Publisher's Notes. Acts 1975, No. 928, which became effective simultaneously with the Arkansas Criminal Code on January 1, 1976, repealed former criminal provisions. Section 2 of that act provided that, although all or part of a statute defining a criminal offense was amended or repealed by the act, the statute or part thereof so amended or repealed would remain in force for the purpose of authorizing the prosecution, conviction and punishment of a person committing an offense under the statute or part thereof prior to the effective date of the act.

For Comments regarding the Criminal Code, see Commentaries Volume B.

Effective Dates. Acts 1975, No. 280, § 101: effective Jan. 1, 1976.

Acts 1975, No. 928, § 1: effective simultaneously with the Arkansas Criminal Code on Jan. 1, 1976.

Case Notes

Purpose.

Purpose of the 1976 Criminal Code was to eliminate archaic statutes, replace the profusion of overlapping statutes, and develop an evenhanded method of grading offenses. Brimer v. State, 295 Ark. 20, 746 S.W.2d 370 (1988).

Subtitle 1. General Provisions

Chapter 1 General Provisions

Preambles. Acts 1987, Nos. 484 and 586, contained a preamble which read:

“Whereas, in many instances, child victims are threatened or intimidated to prevent the prompt reporting of abuse or sexual offenses; and

“Whereas, it is in the best interest of the State to extend the statute of limitations for certain offenses involving child victims;

“Now therefore …”

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Effective Dates. Acts 1994 (2nd Ex. Sess.), No. 45, § 6: Aug. 25, 1994. Emergency clause provided: “It is hereby found and determined by the Seventy-Ninth General Assembly of the State of Arkansas, meeting in the Second Extraordinary Session of 1994, that minors commit many serious criminal offenses by the use of deadly weapons or by the use of prohibited weapons. The criminal penalties for furnishing deadly weapons to minors and for furnishing prohibited weapons, must be increased in order to decrease the availability of such weapons. Therefore, in order to immediately enhance the penalties for furnishing a deadly weapon to a minor and for furnishing a prohibited weapon, an emergency is hereby declared to exist and this act being necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Research References

ALR.

Automatism or unconsciousness as defense to criminal charge. 27 A.L.R.4th 1067.

Am. Jur. 21 Am. Jur. 2d, Crim. L., § 1 et seq.

Ark. L. Rev.

1976 Criminal Code-General Principles, 30 Ark. L. Rev. 111.

C.J.S. 22 C.J.S., Crim. L., § 1 et seq.

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Law, 1 U. Ark. Little Rock L.J. 153.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

5-1-101. Title.

This act shall be known as the “Arkansas Criminal Code”.

History. Acts 1975, No. 280, § 101; A.S.A. 1947, § 41-101.

A.C.R.C. Notes. For application of the Arkansas Criminal Code to a prosecution for an offense defined by a statute not a part of the Arkansas Criminal Code, see § 5-1-103(b).

Meaning of “Arkansas Criminal Code”. Acts 1975, No. 280, as amended by Acts 1977, No. 360, codified as §§ 5-1-1015-1-115, 5-1-116 [repealed], 5-2-2015-2-209, 5-2-3015-2-313, former 5-2-314, former 5-2-315, 5-2-316, 5-2-4015-2-406, 5-2-5015-2-503, 5-2-6015-2-614, 5-3-1015-3-103, 5-3-2015-3-204, 5-3-301, 5-3-302, 5-3-4015-3-407, 5-4-1015-4-104, 5-4-201, 5-4-202, 5-4-203 [repealed], 5-4-204, 5-4-3015-4-307, 5-4-3085-4-311 [repealed], 5-4-4015-4-404, 5-4-5015-4-504, 5-4-505 [repealed], 5-4-6015-4-608, 5-5-101, 5-5-102, 5-10-1015-10-105, 5-11-1015-11-106, 5-12-1015-12-103, 5-13-2015-13-208, 5-13-301, 5-14-1015-14-103, 5-14-1045-14-109 [repealed], 5-14-1105-14-112, 5-25-101, 5-26-2015-26-203, 5-26-401, 5-27-201, 5-27-202, 5-27-205, 5-27-206, 5-27-209, 5-36-1015-36-108, 5-37-101, 5-37-2015-37-214, 5-38-101, 5-38-2025-38-205, 5-38-3015-38-303, 5-39-101, 5-39-2015-39-203, 5-52-101, 5-52-102 [repealed], 5-52-103 [repealed], 5-52-1045-52-107, 5-53-1015-53-116, 5-54-1015-54-113, 5-54-114 [repealed], 5-54-1155-54-121, 5-60-101, 5-62-101 [repealed], 5-62-122, 5-70-1015-70-106, 5-71-101, 5-71-2015-71-215, 5-71-216 [repealed], 5-73-1015-73-110, 12-29-109.

Case Notes

Cited: Johnson v. State, 261 Ark. 714, 551 S.W.2d 203 (1977); Campbell v. State, 265 Ark. 77, 576 S.W.2d 938 (1979); Patrick v. State, 265 Ark. 334, 576 S.W.2d 191 (1979); Woodard v. Sargent, 806 F.2d 153 (8th Cir. 1986); Cummings v. State, 353 Ark. 618, 110 S.W.3d 272 (2003); Stivers v. State, 354 Ark. 140, 118 S.W.3d 558 (2003).

5-1-102. Definitions.

As used in the Arkansas Criminal Code:

  1. “Act” or “action” means the same as defined in § 5-2-201;
  2. “Actor” includes, when appropriate, a person who possesses something or who omits to act;
  3. “Conduct” means the same as defined in § 5-2-201;
  4. “Deadly weapon” means:
    1. A firearm or anything manifestly designed, made, or adapted for the purpose of inflicting death or serious physical injury; or
    2. Anything that in the manner of its use or intended use is capable of causing death or serious physical injury;
  5. “Element of the offense” means the conduct, the attendant circumstances, or the result of conduct that:
    1. Is specified in the definition of the offense;
    2. Establishes the kind of culpable mental state required for commission of the offense; or
    3. Negates an excuse or justification for the conduct;
    1. “Firearm” means any device designed, made, or adapted to expel a projectile by the action of an explosive or any device readily convertible to that use.
    2. “Firearm” includes:
      1. A device described in subdivision (6)(A) of this section that is not loaded or lacks a clip or another component to render it immediately operable; and
      2. Components that can readily be assembled into a device described in subdivision (6)(A) of this section;
  6. “Included offense” means the same as defined in § 5-1-110(b);
    1. “Knowingly” or an equivalent term such as “knowing”, “with knowledge”, “willful”, or “willfully” means the same as knowingly as defined in § 5-2-202.
    2. However, if the statute clearly indicates a legislative intent to require a culpable mental state of “purposely”, “willful” or “willfully” means the same as “purposely” defined in § 5-2-202;
  7. “Law” includes a statute or court decision;
  8. “Law enforcement officer” means any public servant vested by law with a duty to maintain public order or to make an arrest for an offense;
  9. “Negligently” or an equivalent term such as “negligence” or “with negligence” means the same as defined in § 5-2-202;
  10. “Omission” or “omit to act” means the same as defined in § 5-2-201;
    1. “Person”, “actor”, “defendant”, “he”, “she”, “her”, or “him” includes:
      1. Any natural person; and
      2. When appropriate, an organization as defined in § 5-2-501.
        1. As used in §§ 5-10-101 — 5-10-105, “person” also includes an unborn child in utero at any stage of development.
        2. “Unborn child” means offspring of human beings from conception until birth.
      1. This subdivision (13)(B) does not apply to:
        1. An act that causes the death of an unborn child in utero if the act was committed during a legal abortion to which the woman consented, including an abortion performed to remove an ectopic pregnancy or other nonviable pregnancy when the embryo is not going to develop further;
        2. An act that is committed pursuant to a usual and customary standard of medical practice during diagnostic testing or therapeutic treatment;
        3. An act that is committed in the course of medical research, experimental medicine, or an act deemed necessary to save the life or preserve the health of the woman;
        4. Assisted reproduction technology activity, procedure, or treatment; or
        5. An act occurring before transfer to the uterus of the woman of an embryo created through in vitro fertilization.
      2. Nothing in this subdivision (13)(B) shall be construed to allow the charging or conviction of a woman with any criminal offense in the death of her own unborn child in utero;
  11. “Physical injury” means the:
    1. Impairment of physical condition;
    2. Infliction of substantial pain; or
    3. Infliction of bruising, swelling, or a visible mark associated with physical trauma;
  12. “Possess” means to exercise actual dominion, control, or management over a tangible object;
  13. “Public servant” means any:
    1. Officer or employee of this state or of any political subdivision of this state;
    2. Person exercising a function of any officer or employee of this state or any political subdivision of this state;
      1. Person acting as an adviser, consultant, or otherwise in performing any governmental function.
      2. However, this subdivision (16)(C) does not include a witness; or
    3. Person elected, appointed, or otherwise designated to become a public servant although not yet occupying that position;
  14. “Purposely” or an equivalent term such as “purpose”, “with purpose”, “intentional”, “intentionally”, “intended”, or “with intent to” means the same as purposely as defined in § 5-2-202;
  15. “Reasonably believes” or “reasonable belief” means a belief:
    1. That an ordinary and prudent person would form under the circumstances in question; and
    2. Not recklessly or negligently formed;
  16. “Sawed-off or short-barreled rifle” means:
    1. A rifle having one (1) or more barrels less than sixteen inches (16") in length; or
    2. Any weapon made from a rifle, whether by alteration, modification, or otherwise, if the weapon, as modified, has an overall length of less than twenty-six inches (26");
  17. “Sawed-off or short-barreled shotgun” means:
    1. A shotgun having one (1) or more barrels less than eighteen inches (18") in length; or
    2. Any weapon made from a shotgun, whether by alteration, modification, or otherwise, if the weapon, as modified, has an overall length of less than twenty-six inches (26");
  18. “Serious physical injury” means physical injury that creates a substantial risk of death or that causes protracted disfigurement, protracted impairment of health, or loss or protracted impairment of the function of any bodily member or organ; and
  19. “Statute” includes the Arkansas Constitution and any statute of this state, any ordinance of a political subdivision of this state, and any rule or regulation lawfully adopted by an agency of this state.

History. Acts 1975, No. 280, § 115; A.S.A. 1947, § 41-115; Acts 1994 (2nd Ex. Sess.), No. 45, § 2; 1999, No. 1273, §§ 1-3; 1999, No. 1476, § 1; 2005, No. 1994, § 442; 2007, No. 827, § 11; 2013, No. 1032, § 1.

Amendments. The 2013 amendment substituted “offspring of human beings from conception to birth” for “a living fetus of twelve (12) weeks or greater gestation” in (13)(B)(i)(b); added the ending to in (13)(B)(ii)(a) beginning “including an abortion”; and added (13)(B)(ii)(d) and (13)(B)(ii)(e).

Meaning of “Arkansas Criminal Code”. See note to § 5-1-101.

Research References

ALR.

Dog as deadly or dangerous weapon for purposes of statutes aggravating offenses such as assault and robbery. 124 A.L.R.5th 657.

Ark. L. Rev.

The Fetal Protection Act: Redefining “Person” for the Purposes of Arkansas' Criminal Homicide Statutes, 54 Ark. L. Rev. 75 (2001).

U. Ark. Little Rock L.J.

Davis, Survey of Arkansas Law: Criminal Law, 2 U. Ark. Little Rock L.J. 193.

Annual Survey of Caselaw, Tort Law, 24 U. Ark. Little Rock L. Rev. 1085.

Case Notes

Constitutionality.

Defendant's argument that this section was unconstitutional was not considered by the appellate court where defendant failed to present a record or abstract on appeal that informed the appellate court of the arguments made below; failure to produce a critical document on appeal precluded the appellate court's consideration of any constitutional issues. Bullock v. State, 353 Ark. 577, 111 S.W.3d 380 (2003).

Deadly Weapon.

Jury's finding that an automobile driven by defendant was a deadly weapon was supported by evidence. Harmon v. State, 260 Ark. 665, 543 S.W.2d 43 (1976).

A gun is a deadly weapon, even if it has faulty ammunition that could not inflict serious injury. Mitchell v. State, 290 Ark. 87, 717 S.W.2d 195 (1986).

Five foot length of iron pipe was capable of causing death or serious injury. Jones v. State, 292 Ark. 183, 729 S.W.2d 10 (1987).

Scissors clearly fall within the definition of a deadly weapon. Johnson v. State, 326 Ark. 3, 929 S.W.2d 707 (1996).

Evidence was sufficient to find that the object used in a stabbing was a deadly weapon in the manner of its use, even though it was not identifiable, because it was sharp, pointy, and when stabbed at the victim was capable of penetrating his torso and puncturing his lung. Medlock v. State, 2013 Ark. App. 609 (2013).

Because there was evidence that defendant’s accomplice caused injury to the victim using a deadly weapon, and because the jury was instructed on accomplice liability, there was sufficient evidence presented to support defendant’s second-degree battery conviction as the baseball bat swung by the accomplice, while not specifically designed for the purpose of inflicting death or serious physical injury, could clearly be used in a manner capable of causing death or serious physical injury when it was swung at the victim with the intent to strike her, and did strike her and fracture her hand. Wimbley v. State, 2014 Ark. App. 405, 437 S.W.3d 132 (2014).

State sufficiently showed a beer bottle was a deadly weapon because the bottle, being glass, was capable of greater damage than was inflicted. Wheeler v. State, 2017 Ark. App. 540, 532 S.W.3d 602 (2017).

Element of Offense.

Because defendant presented evidence arguably supporting self defense or a justification defense to a charge of aggravated assault under Arkansas law, the government had to negate that defense by a preponderance of the evidence for an enhancement for using the firearm in connection with another felony offense under U.S. Sentencing Guidelines Manual § 2K2.1(b)(5) [now (b)(6)] (2005), to apply because whether circumstances negated defendant's excuse or justification was an element of the offense under subdivision (5)(C) of this section, which had to be proved by the state under § 5-1-111(a)(1), and the definition of aggravated assault expressly excluded any person acting in self-defense or the defense of a third party under § 5-13-204(c)(2). United States v. Raglin, 500 F.3d 675 (8th Cir. 2007).

Substantial evidence existed to support a second-degree murder conviction because defendant's justification defense could have been reasonably rejected; the jury could have credited testimony indicating that defendant walked towards the victim holding a gun after being told that the girls present did not want to fight. Moody v. State, 2014 Ark. App. 538, 444 S.W.3d 389 (2014).

In a trial for manslaughter under § 5-10-104, the circuit court erred when it did not instruct the jury on justification because, under § 5-2-614, if defendant was reckless or negligent in forming the belief that force was necessary, then, and only then, was the defense unavailable; however, if defendant was not reckless or negligent in forming his belief, the defense was available, and that was a decision for the jury. Schnarr v. State, 2018 Ark. 333, 561 S.W.3d 308 (2018).

Firearm.

An M-1 rifle used by the Veterans of Foreign Wars for ceremonial purposes was a “firearm” within the meaning of this section, notwithstanding that it had been modified to shoot only blanks, because it could be easily converted to fire live ammunition with no special tools. Ward v. State, 64 Ark. App. 120, 981 S.W.2d 96 (1998).

Court did not err in declining to direct a verdict on the charges of felon in possession of a firearm and simultaneous possession of drugs and a firearm because the firearm in question met the statutory definition of firearm under this section; hence, defendant's convictions were upheld. Hunt v. State, 354 Ark. 682, 128 S.W.3d 820 (2003).

Jury Instructions.

The trial court did not err in refusing to instruct the jury on the statutory definition of “sawed-off shotgun” where such definition was not enacted at the time of the offense. Bridges v. State, 327 Ark. 392, 938 S.W.2d 561 (1997).

Prosecutor did not clearly and unequivocally misstate the state's burden of disproving self-defense beyond a reasonable doubt during voir dire and, therefore, the trial court did not manifestly abuse its discretion by failing to instruct the jury not to consider same; the prosecutor relied on the Arkansas Model Jury Instructions — Criminal as the basis for the definition and explanation of proof beyond a reasonable doubt and his statements to the jury about conflicting testimony were not technically incorrect, however, his statements represented a subtle attempt to shift the burden of proof by equating defendant's burden of proof with the state's burden. Anderson v. State, 353 Ark. 384, 108 S.W.3d 592 (2003), cert. denied, Anderson v. Arkansas, 540 U.S. 1050, 124 S. Ct. 832 (2003), appeal dismissed, — Ark. —, — S.W.3d —, 2006 Ark. LEXIS 109 (Jan. 12, 2006), dismissed, Anderson v. Norris, — F. Supp. 2d —, 2008 U.S. Dist. LEXIS 10114 (E.D. Ark. Feb. 8, 2008).

Person.

District court concluded that the Arkansas Supreme Court would extend its decision in Aka, which held that wrongful death suits could be brought on behalf of unborn, viable fetuses, to allow a negligence suit to be filed on a child's behalf, seeking to recover for alleged negligently inflicted injuries that the child sustained in utero. The district court noted that the state supreme court had found persuasive the state legislature's decision to expand the definition of “person” in the homicide and probate laws, subdivision (13)(B)(i)(b) of this section, § 28-1-118(a), to include viable fetuses, thereby giving statutory protection to unborn children, and that it would be absurd to think that less protection would be provided under Arkansas law to children who suffered in utero injury, but nevertheless managed to be born. Crussell v. Electrolux Home Prods., 499 F. Supp. 2d 1137 (W.D Ark. 2007).

Arkansas Criminal Code expressly limits criminalizing conduct with respect to an unborn child to homicide offenses, and even then, does not allow a mother to be charged or convicted of any homicide offense while her child is in utero. Therefore, a conviction under § 5-13-210 for introduction of a controlled substance into the body of another person based on defendant's ingestion of drugs while pregnant could not stand. Arms v. State, 2015 Ark. 364, 471 S.W.3d 637 (2015).

In a death penalty case, defendant's argument that the circuit court erred in permitting the jury to consider the death of the victim's unborn child as an aggravating circumstance under § 5-4-604 was abandoned below and could not be raised on appeal because defendant did not conclusively show prejudice, and he failed to show that the Supreme Court would unquestionably grant him Rule 37 relief on the issue. Smith v. State, 2018 Ark. 277, 555 S.W.3d 881 (2018).

Wicks exception for matters essential to consideration of the death penalty did not apply to the circuit court's failure to bring to the jury's attention that a “person” could not be an unborn child as it applies to the aggravating circumstances listed in § 5-4-604; while the prosecutor chose not to file a separate homicide charge for the death of the victim's unborn child, he could have. Smith v. State, 2018 Ark. 277, 555 S.W.3d 881 (2018).

Physical Injury.

Evidence was insufficient to establish that victim's physical condition was impaired or that victim was inflicted with substantial pain. Kelley v. State, 7 Ark. App. 130, 644 S.W.2d 638 (1983), superseded by statute as stated in, Conner v. State, 75 Ark. App. 418, 58 S.W.3d 865 (2001); Hundley v. State, 22 Ark. App. 239, 738 S.W.2d 107 (1987); Johnson v. State, 28 Ark. App. 256, 773 S.W.2d 450 (1989).

Injuries were sufficient to demonstrate that there was “substantial pain” within the meaning of subdivision (14). Middleton v. State, 14 Ark. App. 92, 685 S.W.2d 182 (1985); Armstrong v. State, 35 Ark. App. 188, 816 S.W.2d 620 (1991).

In determining whether an injury inflicts substantial pain for purposes of subdivision (14), the trier of fact must consider all of the testimony and may consider the severity of the attack and the sensitivity of the area of the body to which the injury is inflicted; the finder of fact is not required to set aside its common knowledge and may consider the evidence in the light of its observations and experiences in the affairs of life. Holmes v. State, 15 Ark. App. 163, 690 S.W.2d 738 (1985); Cole v. State, 33 Ark. App. 98, 802 S.W.2d 472 (1991).

Where the two-year old victim had bite marks on her buttocks and pinch marks and apparent fingerprints on her face, and there was testimony by the babysitter that the child appeared to be terrified of the defendant, the jury could reasonably find that the infliction of the bruises was accompanied by the infliction of substantial pain and the victim suffered “physical injury.” Spencer v. State, 17 Ark. App. 149, 705 S.W.2d 454 (1986).

Fact that victim does not verbalize his pain is not conclusive as to whether substantial pain has been inflicted. Cole v. State, 33 Ark. App. 98, 802 S.W.2d 472 (1991).

Evidence was sufficient to show that the victim sustained a physical injury, even though she was not hospitalized, where she testified that she was stabbed in the shoulder, back, and arm and that the knife penetrated the muscle in her shoulder area, that she felt faint and “felt this warmness run down my body,” that she was scarred as a result of the attack, and that she continued to receive treatment for those scars. Farrelly v. State, 70 Ark. App. 158, 15 S.W.3d 699 (2000).

In determining whether a “physical injury” occurred, the trier of fact may consider the sensitivity of the area of the body to which the injury is inflicted and the severity of the attack; thus, where victim testified that defendant beat him repeatedly with a steel pipe, resulting in his face and nose being “busted up” as well as considerable facial bleeding, the trial court did not err in finding that defendant's purpose was to inflict substantial pain with the pipe. Stultz v. State, 92 Ark. App. 204, 212 S.W.3d 42 (2005).

Defendant's suspended sentence was properly revoked under § 5-4-309(d), where the state proved that defendant committed third-degree domestic battery under § 5-26-305(a), by showing that defendant inflicted physical injury under subdivision (14) of this section by pulling his wife's hair and throwing her against a vehicle. Andrews v. State, 2009 Ark. App. 624 (2009).

During a hearing on the state's petition to revoke a defendant's suspended sentence, defendant admitted that he slapped his pregnant wife and a responding officer testified to a personal observation of the swollen knot on the wife's cheek and knot over the wife's right eye from being hit; this evidence was sufficient to find that defendant inexcusably violated a condition of that suspension and that defendant had committed the offense of domestic battery in the third degree. May v. State, 2009 Ark. App. 703 (2009).

Teacher's testimony alone was sufficient evidence of physical injury to support defendant juvenile's adjudication for second degree in violation of § 5-13-202 for striking the teacher in the arm because the teacher testified that after appellant hit her, the pain she suffered in her arm was of a sufficient nature to cause her to seek medical treatment, and she also testified that her arm was “very sore” for at least a week; while medical treatment is not required in order to establish a physical injury, the fact the pain was of a sufficient nature to cause the victim to seek medical care constitutes evidence that she experienced “substantial pain.” M.T. v. State, 2009 Ark. App. 761, 350 S.W.3d 792 (2009).

Revocation of defendant's suspended imposition of sentence for two felony convictions was appropriate because the circuit court's finding that she committed third-degree domestic battering and thus violated the condition that she break no laws, was not clearly against the preponderance of the evidence. The testimony was sufficient to prove that, either purposefully or recklessly, she struck her nephew and caused him physical injury in the form of substantial pain under § 5-26-305(a) and subdivision (14) of this section. Westbrook v. State, 2011 Ark. App. 615 (2011).

Suspension of an earlier sentence was properly revoked because defendant committed domestic battery in the third degree where an infant child suffered an arm fracture in defendant's care, and a medical examination revealed healing fractures other places; moreover, there was evidence that other injury incidents had occurred while the child was in defendant's care, and there was testimony that defendant was too rough with the child. The standard for reckless was what a reasonable person in the circumstances would have observed. Singletary v. State, 2013 Ark. App. 699 (2013).

Evidence was sufficient to support the revocation of a probationary sentence based on defendant's commission of domestic battering in the third degree. Defendant's boyfriend reported the incident to police, and photographs of his injuries were admitted into evidence without objection; defendant did not contest that her boyfriend was a household member or that his injuries met the statutory definition of “physical injury”, and the boyfriend's testimony was sufficient to show that defendant caused the injuries recklessly or purposefully. Glennon v. State, 2016 Ark. App. 25, 480 S.W.3d 894 (2016).

Evidence supported the second-degree domestic battering conviction under § 5-26-304 where neighbors heard sounds of loud banging and yelling, and defendant beat the child with a leather belt repeatedly for at least five minutes, causing welts and lashings. Jefferson v. State, 2017 Ark. App. 492, 532 S.W.3d 75 (2017).

Circuit court did not err in denying defendant's motion for directed verdict on the charge of battery in the second degree because the victim, a jailer, testified he suffered an abrasion on his forehead during the altercation with defendant; scratches and abrasions are sufficient to meet the definition of physical injury, and the jury was entitled to give credit to the victim's testimony. Chambers v. State, 2020 Ark. App. 54, 595 S.W.3d 371 (2020).

Possess.

Possession (possess) as defined in this section concerns the actual dominion, control or management and includes constructive possession with knowledge of presence and control of the substance, rather than literal or physical possession. Glover v. State, 273 Ark. 376, 619 S.W.2d 629 (1981).

Possession excludes a passing control, fleeting and shadowy in nature; however, this exclusion does not insulate from prosecution those who seek to dispose of contraband upon discovering that the police are approaching. Turner v. State, 24 Ark. App. 102, 749 S.W.2d 339 (1988).

Evidence was sufficient to support defendant's conviction of possession of drug paraphernalia with intent to manufacture because the jury could reasonably conclude that defendant constructively possessed the paraphernalia with intent to manufacture where defendant owned the property jointly with his wife, defendant was the only person in the house when the police arrived, and defendant admitted to the officers that the methamphetamine lab in the home was his. Cantrell v. State, 2009 Ark. 456, 343 S.W.3d 591 (2009).

When a rape victim testified at defendant's probation revocation hearing that he had a gun at the time of the rape, that testimony was sufficient for the court to find that he had possessed a firearm within the meaning of § 5-73-103(a)(1) and subdivision (15) of this section. Craig v. State, 2010 Ark. App. 309 (2010).

Evidence that there was a funnel, plastic tubing, coffee filters, camp fuel, syringes, gloves, a metal spoon, a smoking device, a bag of ammonia nitrate, and a pill crusher in the master bedroom of defendant's home, along with a burn barrel in the back yard, was sufficient to support a conviction for possession of paraphernalia with intent to manufacture. Gowen v. State, 2011 Ark. App. 761, 387 S.W.3d 230 (2011).

Evidence supported the State's assertion that the cocaine was found in a place immediately and exclusively accessible to defendant and was subject to his control, as the container with the cocaine was found clearly visible in the passenger seat of defendant's car, and he was alone. Although defendant claimed he had no knowledge of the container and that another person had been a passenger, the circuit court did not find his testimony to be credible. Clark v. State, 2015 Ark. App. 679, 477 S.W.3d 544 (2015).

State did not have to prove that defendant physically held the contraband because he had constructive possession of the contraband; all of the contraband was immediately accessible to defendant and in his exclusive control as the only occupant of the vehicle. Thus, counsel's no-merit brief was proper and his motion to be relieved was granted because counsel correctly asserted that there could be no meritorious challenge to the trial court's determination that defendant was in possession of the firearm, methamphetamine, and drug paraphernalia. Gill v. State, 2017 Ark. App. 22, 511 S.W.3d 865 (2017).

Evidence was sufficient to convict defendant of possession of three controlled substances because the substances were all found in a boot owned by defendant in the bed of his pickup truck; and there was no evidence that anyone else was in the truck or exercised any form of control over the truck. Vonholt v. State, 2018 Ark. App. 53, 540 S.W.3d 312 (2018).

Purposely.

Evidence presented was substantial enough that the jury did not have to resort to conjecture to convict defendant of first-degree murder, given in part that witnesses testified that defendant and the victim had been fighting, and although defendant claimed self-defense, the victim was shot in the head, which supported the idea that the victim was shot intentionally, not during a struggle for defendant's life. Toombs v. State, 2015 Ark. App. 71, appeal dismissed, 2015 Ark. 471 (2015).

Reasonable Belief.

Because a juvenile's father had not resorted to use of a deadly weapon during an argument, because there had been an interlude of approximately five minutes since their last confrontation, because the father, at the time he was struck, had turned away from the juvenile, and because the juvenile did not testify as to whether the juvenile's beliefs were reasonable, the juvenile lacked justification under subdivision (18) of this section and §§ 5-2-606(a)(1), 5-2-607(a)(1), (2), and was properly adjudicated as a delinquent for second-degree domestic battering. D.W. v. State, 2011 Ark. App. 187 (2011).

Serious Physical Injury.

Issue as to whether the victim's injuries constituted a temporary or protracted impairment of a function of a bodily member or organ was for resolution by the jury. Harmon v. State, 260 Ark. 665, 543 S.W.2d 43 (1976).

Serious physical injury, as defined in this section, meets the constitutional standards for definiteness and is not vague or overbroad since it states the extent of harm that the victim must endure in order for the injury to constitute a “serious physical injury.” Lum v. State, 281 Ark. 495, 665 S.W.2d 265 (1984).

Evidence was sufficient to support a finding of serious physical injury. Lum v. State, 281 Ark. 495, 665 S.W.2d 265 (1984); Tarentino v. State, 302 Ark. 55, 786 S.W.2d 584 (1990); Purifoy v. State, 307 Ark. 482, 822 S.W.2d 374 (1991); Weaver v. State, 324 Ark. 290, 920 S.W.2d 491 (1996).

Where defendant held child-victim's hands under hot water long enough to cause second- and third-degree burns, victim suffered a “serious physical injury” as defined in subdivision (19) of this section, but where defendant lacked the mental state required for first-degree battery, defendant was guilty of second-degree battery. Tigue v. State, 319 Ark. 147, 889 S.W.2d 760 (1994).

Where victim was hit repeatedly in the head and face with defendant's fist, was kicked repeatedly, has a permanent scar on her forehead, remained in the emergency room for three and one half hours, and subsequently remained in the hospital for thirty-six to forty-eight hours, there was substantial evidence to support defendant's conviction for second degree battery. Black v. State, 50 Ark. App. 42, 901 S.W.2d 849 (1995).

There was substantial evidence that defendant acted with the purpose to cause serious physical injury to the victim under circumstances manifesting extreme indifference to the value of human life where he kicked the victim in the head repeatedly after the victim was down. Harmon v. State, 340 Ark. 18, 8 S.W.3d 472 (2000).

Defendant caused “serious physical injury” to his wife, as defined in subdivision (19), where he shot her in the buttocks and the bullets pierced her small intestine, causing her to spend nine days in the hospital. Brown v. State, 347 Ark. 308, 65 S.W.3d 394 (2001).

No serious injury under § 5-13-102(19) or 5-13-201(a)(1), or injury by means of a firearm under § 5-13-201(a)(7), was shown where defendant hit the victim with the butt of a pistol because the injury did not require stitches and because striking a person in such a manner did not constitute injury to another person by means of a firearm under § 5-13-201(a)(7); rather, the injury was covered by § 5-13-202(a)(1). Smith v. State, 352 Ark. 92, 98 S.W.3d 433 (2003).

Officer's testimony that when he opened the side door and looked in the driver's seat he observed a .22 Derringer pistol in plain view, which was loaded with two rounds, constituted substantial evidence that the .22 pistol was a firearm within the meaning of subdivision (6) of this section. Saulsberry v. State, 81 Ark. App. 419, 102 S.W.3d 907 (2003).

Where the victim, a child, was bathed by defendant and received second-degree burns, the physicians at the hospital determined that the child had sustained an intentionally-inflicted immersion injury in which she was forcibly held in position while immersed in scalding water, and the child still bore scars from the incident two years later, there was substantial evidence to show that the victim sustained a serious physical injury as required by subdivision (19), and defendant's conviction for first degree battery under § 5-13-201(a)(6) was proper. Britt v. State, 83 Ark. App. 117, 118 S.W.3d 140 (2003).

Evidence was sufficient to show that defendant acted “under circumstances manifesting extreme indifference to the value of human life” and to sustain his conviction for first degree battery because defendant admittedly placed a child in a tub of water so hot that it severed the skin from his feet, and defendant's own statements, although inconsistent, supported the conclusion that he knew that it was his responsibility to properly supervise the child during a bath and to ensure a safe water temperature and that he consciously disregarded the risks involved. Bell v. State, 99 Ark. App. 300, 259 S.W.3d 472 (2007).

Where defendant stepped out of his motel room and fired a .45 caliber semiautomatic pistol through the windshield of a nearby car, striking all three occupants and killing two of them, the evidence was sufficient to support defendant's conviction of committing a terroristic act under § 5-13-310(a)(1)(A) and (B) as to the third victim because the evidence established that the third victim was shot in the foot, and the court rejected defendant's argument that the evidence was insufficient for failing to establish that the victim suffered a “serious physical injury” as that term is defined in subdivision (21) of this section. The evidence was sufficient to establish that the victim suffered a serious physical injury because the victim suffered a gunshot wound from a .45 caliber semiautomatic pistol that was serious enough to warrant emergency medical care, the victim continued to experience pain and tenderness while walking and was often unable to wear shoes due to the lasting effects of the wound, and the victim was unable to participate in activities that he enjoyed before sustaining the injury, such as playing basketball, and had visible scarring from the entry and exit of the bullet; this evidence was sufficient to support the jury's factual finding that the victim suffered a serious physical injury as a result of defendant's actions. Butler v. State, 2009 Ark. App. 695, 371 S.W.3d 699 (2009).

Defendant's conviction for aggravated assault was proper because there was evidence that defendant's conduct created a substantial risk of serious physical injury, as defined in subdivision (21) of this section; defendant hit the victim with the butt of a pistol with sufficient force to knock the victim down, breaking facial bones and causing the victim's eye to swell shut. Pitts v. State, 2012 Ark. App. 228 (2012).

During parents' trial for first-degree battery against their infant, the court did not err in refusing to instruct the jury on the lesser-included offense of third-degree battery because the physical injury the infant sustained could only be described as serious under subdivision (21) of this section; the infant was severely malnourished to the point of starvation and death would have occurred within days without medical attention. Bruner v. State, 2013 Ark. 68, 426 S.W.3d 386 (2013).

Trial court did not err in denying defendant's motion for a directed verdict on the aggravated-robbery offense as the State presented evidence that the victim suffered serious physical injury; as a result of the attack, the victim had little control over his right side, suffered partial memory loss, was confined to a wheelchair, and would require constant care for the rest of his life. Britt v. State, 2015 Ark. App. 456, 468 S.W.3d 285 (2015).

Sufficient evidence supported defendant's aggravated assault conviction, given that defendant had beaten the victim repeatedly while she was bound in such a position that she had to hold her head up in order not to choke, photographs depicted serious injuries to her face, head, and neck, and defendant threatened to kill her and talked about disposing of her body. Reynolds v. State, 2016 Ark. 214, 492 S.W.3d 491 (2016).

Conviction for aggravated residential burglary was reversed because there was insufficient evidence that defendant attempted to inflict a serious physical injury under § 5-39-204(a)(2). Serious physical injury could be inflicted during a sexual assault, but under current Arkansas law, a sexual assault does not necessarily constitute a serious physical injury; even assuming that defendant did intend to sexually assault the victim, defendant's intention, combined with his grabbing her shoulder and causing a minor scratch to her baby's face, did not constitute a substantial step under § 5-3-201 toward inflicting a serious physical injury, as defined by this section. Inskeep v. State, 2016 Ark. App. 135, 484 S.W.3d 709 (2016).

Evidence was sufficient to show that a baby sustained a serious physical injury for purposes of § 5-13-201(a)(9) where the medical testimony described the skull fracture, the pain potentially caused by the subdural bleeding, and the greater risk of developing further complications. Suchey v. State, 2016 Ark. App. 225, 490 S.W.3d 320 (2016).

Evidence was sufficient to convict defendant of unlawful discharge of a firearm from a motor vehicle and battery as the victim suffered a serious physical injury. The victim testified that he received three gunshot wounds, was hospitalized, lost a kidney, and suffered further infections as a result of the wound; and the victim's injury caused protracted impairment of his health as the victim testified about the complications that resulted in infection and required him to return to the hospital, receive antibiotics, and have drainage tubes placed in his body. Johnson v. State, 2017 Ark. App. 71, 510 S.W.3d 298 (2017).

Trial court did not abuse its discretion in ruling that defendant, charged with first-degree battery, was not entitled to a second-degree battery instruction under § 5-13-202(a)(1) because defendant provided no rational basis for a second-degree battery instruction, as (1) the victim's bullet wounds creating a substantial risk of death were a serious injury, (2) defendant's claim that the victim's injury was not serious was no basis for the instruction, as first- and second-degree battery both required a serious physical injury, and (3) evidence that defendant shot the victim in the neck and in the back as the victim fled showed intent to inflict serious physical injury. Dixon v. State, 2019 Ark. 245, 581 S.W.3d 505 (2019).

Cited: Martin v. State, 261 Ark. 80, 547 S.W.2d 81 (1977); France v. State, 262 Ark. 193, 555 S.W.2d 225 (1977); Rust v. State, 263 Ark. 350, 565 S.W.2d 19 (1978); Sbabo v. State, 264 Ark. 497, 572 S.W.2d 585 (1978); Fink v. State, 265 Ark. 865, 582 S.W.2d 3 (1979); Killman v. State, 274 Ark. 422, 625 S.W.2d 489 (1981); Kendrick v. State, 6 Ark. App. 427, 644 S.W.2d 297 (1982); Hall v. State, 11 Ark. App. 53, 666 S.W.2d 408 (1984); Harper v. State, 17 Ark. App. 237, 707 S.W.2d 332 (1986); Lair v. State, 19 Ark. App. 172, 718 S.W.2d 467 (1986); Henderson v. State, 291 Ark. 138, 722 S.W.2d 842 (1987); Shells v. State, 22 Ark. App. 62, 733 S.W.2d 743 (1987); Johnson v. State, 26 Ark. App. 286, 764 S.W.2d 621 (1989); Campbell v. State, 300 Ark. 606, 780 S.W.2d 567 (1989); Strawhacker v. State, 304 Ark. 726, 804 S.W.2d 720 (1991); Enoch v. State, 37 Ark. App. 103, 826 S.W.2d 291 (1992); Anderson v. State, 312 Ark. 606, 852 S.W.2d 309 (1993); Gibson v. State, 316 Ark. 705, 875 S.W.2d 58 (1994); Hagen v. State, 47 Ark. App. 137, 886 S.W.2d 889 (1994); Forrest v. Ford, 324 Ark. 27, 918 S.W.2d 162 (1996); Sykes v. State, 57 Ark. App. 5, 940 S.W.2d 888 (1997); Beulah v. State, 352 Ark. 472, 101 S.W.3d 802 (2003); McCoy v. Crumby, 353 Ark. 251, 106 S.W.3d 462 (2003); Wells v. State, 93 Ark. App. 106, 217 S.W.3d 1455 (2005); Kale v. Ark. State Med. Bd., 367 Ark. 151, 238 S.W.3d 89 (2006); Autrand v. State, 2010 Ark. App. 245 (2010); Stalnaker v. State, 2014 Ark. App. 412, 437 S.W.3d 700 (2014); Coger v. State, 2017 Ark. App. 466, 529 S.W.3d 640 (2017); Wade v. State, 2017 Ark. App. 157, 516 S.W.3d 772 (2017); Caldwell v. State, 2018 Ark. App. 588, 565 S.W.3d 539 (2018).

5-1-103. Applicability to offenses generally.

  1. The provisions of the Arkansas Criminal Code govern a prosecution for any offense defined by the Arkansas Criminal Code and committed after January 1, 1976.
  2. Unless otherwise expressly provided, the provisions of the Arkansas Criminal Code govern a prosecution for any offense defined by a statute not part of the Arkansas Criminal Code and committed after January 1, 1976.
    1. The provisions of the Arkansas Criminal Code do not apply to the prosecution for any offense committed prior to January 1, 1976.
    2. An offense committed prior to January 1, 1976, shall be construed and punished in accordance with the law existing at the time of the commission of the offense.
    1. A defendant in a criminal prosecution for an offense committed prior to January 1, 1976, may elect to have the construction and application of any defense to the prosecution governed by the provisions of the Arkansas Criminal Code.
      1. An election under subdivision (d)(1) of this section shall be made by motion to the court that is to conduct the trial.
        1. The motion shall be timely filed but not later than ten (10) days before the date set for the trial of the case.
        2. However, the court for a good cause shown may entertain the motion at a later time.
  3. When all or part of a statute defining a criminal offense is amended or repealed, the statute or part of the statute that is amended or repealed remains in force for the purpose of authorizing the prosecution, conviction, and punishment of a person committing an offense under the statute or part of the statute prior to the effective date of the amending or repealing act.

History. Acts 1975, No. 280, § 102; A.S.A. 1947, § 41-102.

Meaning of “Arkansas Criminal Code”. See note to § 5-1-101.

Case Notes

Applicability.

The application of subsection (d) is governed by § 5-1-111(c). Campbell v. State, 265 Ark. 77, 576 S.W.2d 938 (1979).

Since the Uniform Controlled Substances Act is silent as to procedures for enhanced sentencing in cases involving multiple offenses, this section applies. Prichard v. State, 300 Ark. 10, 775 S.W.2d 898 (1989).

Applicable Law.

Where an offense was committed before the effective date of the criminal code and the defendant did not file a motion electing to have his trial governed by the code, preexisting law was applicable to the defendant's defenses. Johnson v. State, 261 Ark. 714, 551 S.W.2d 203 (1977).

Where defendant was convicted of and sentenced after the passage of the Criminal Code but prior to its effective date, it would have been improper for the trial court to have followed the Criminal Code. Neal v. State, 270 Ark. 442, 605 S.W.2d 421 (1980).

Where crime was committed prior to the effective date of the criminal code, the courts would look to the statute applicable at the time the crime was committed to determine whether the passage of time prevented prosecution of the defendant. Iberg v. Langston, 286 Ark. 390, 691 S.W.2d 870 (1985).

Election.

Court was not required to proceed under the new code where a timely request for the application of the new criminal code as required by subsection (d) had not been made and since no good cause was shown as to why the motion should be entertained at a later time. Clark v. State, 260 Ark. 479, 541 S.W.2d 683 (1976).

Although a defendant in a prosecution for an offense committed prior to the effective date of the code may elect to have the construction and application of any defense to the prosecution governed by code provisions, the state has no election. Patrick v. State, 265 Ark. 334, 576 S.W.2d 191 (1979), overruled in part, Iberg v. Langston, 286 Ark. 390, 691 S.W.2d 870 (1985).

Repealed Statutes.

Defendant convicted on a plea of nolo contendere to sexual misconduct was not entitled to an arrest of judgment; although § 5-14-107, the statute defining sexual misconduct as a criminal offense, was repealed before defendant entered his plea of nolo contendere, the statute was in effect at the time he committed the offense. Holt v. State, 85 Ark. App. 151, 147 S.W.3d 699 (2004).

Cited: Long v. State, 260 Ark. 417, 542 S.W.2d 742 (1976); Butler v. State, 261 Ark. 369, 549 S.W.2d 65 (1977); Walker v. State, 263 Ark. 485, 565 S.W.2d 605 (1978); Thompson v. City of Little Rock, 264 Ark. 213, 570 S.W.2d 262 (1978); Cox v. Hutto, 476 F. Supp. 906 (E.D. Ark. 1979); Mabry v. Klimas, 448 U.S. 444, 100 S. Ct. 2755, 65 L. Ed. 2d 897 (1980); Klimas v. State, 271 Ark. 508, 609 S.W.2d 46 (1980); Dollar v. State, 287 Ark. 61, 697 S.W.2d 868 (1985); Elders v. State, 321 Ark. 60, 900 S.W.2d 170 (1995); Johnson v. State, 331 Ark. 421, 961 S.W.2d 764 (1998); Ark. Dep't of Corr. v. Williams, 2009 Ark. 523, 357 S.W.3d 867 (2009).

5-1-104. Territorial applicability.

  1. A person may be convicted under a law of this state of an offense committed by his or her own or another person's conduct for which he or she is legally accountable if:
    1. Either the conduct or a result that is an element of the offense occurs within this state;
    2. Conduct occurring outside this state constitutes an attempt to commit an offense within this state;
    3. Conduct occurring outside this state constitutes a conspiracy to commit an offense within this state and an overt act in furtherance of the conspiracy occurs within this state;
    4. Conduct occurring within this state establishes complicity in the commission of, or an attempt, solicitation, or conspiracy to commit, an offense in another jurisdiction that is also an offense under the law of this state;
    5. The offense consists of the omission to perform a legal duty imposed by a law of this state based on domicile, residence, or a relationship to a person, thing, or transaction in the state; or
    6. The offense is defined by a statute of this state that expressly prohibits conduct outside the state and the conduct bears a reasonable relation to a legitimate interest of this state and the person knows or should know that his or her conduct is likely to affect that legitimate interest of this state.
  2. When the offense is homicide, either the death of the victim or the physical contact causing death constitutes a “result” within the meaning of subdivision (a)(1) of this section.

History. Acts 1975, No. 280, § 103; A.S.A. 1947, § 41-103.

Case Notes

Jurisdiction.

When reviewing the evidence on a jurisdictional question, the court of appeals need only determine whether there is substantial evidence to support the finding of jurisdiction. Dunham v. State, 315 Ark. 580, 868 S.W.2d 496 (1994).

There was jurisdiction to try and convict defendant of pandering, pursuant to § 5-27-304(a), where he emailed photographs of himself, nude, and other minors engaging in sexual activities from his home in another state to an address in Arkansas; there was jurisdiction pursuant to subdivision (a)(1) of this section because defendant's conduct, as well as the result of his conduct, occurred within Arkansas, where the photos were received. Kirwan v. State, 351 Ark. 603, 96 S.W.3d 724 (2003).

Arkansas trial court had jurisdiction over defendant, a Georgia resident, during his trial for theft of property and computer fraud where defendant caused the victim, an Arkansas resident, to access her computer by virtue of his email correspondence for the purpose of obtaining money with a false or fraudulent intent, representation, or promise. Powell v. State, 97 Ark. App. 239, 246 S.W.3d 891 (2007).

Where defendant was tried on alternate theories of capital murder—rape felony murder and child-abuse murder—and a general verdict form was used, and extraterritorial jurisdiction did not extend to the alleged rape that occurred in Missouri, the appellate court was unable to determine which theory the jury based the conviction on and therefore the conviction was reversed. Although death was the consequence or result of the rape, rape is not defined to include death as a consequence, and thus, under the plain language of this section, extraterritorial jurisdiction did not extend to the alleged rape that occurred in Missouri. Torres v. State, 2019 Ark. 101, 571 S.W.3d 456 (2019).

Cited: Dollar v. State, 287 Ark. 61, 697 S.W.2d 868 (1985); Sanders v. State, 312 Ark. 11, 846 S.W.2d 651 (1993).

5-1-105. Offenses — Court authority not limited.

  1. An offense is conduct for which a sentence to a term of imprisonment or fine or both is authorized by statute.
  2. An offense is classified as follows:
    1. Felony;
    2. Misdemeanor; or
    3. Violation.
  3. Nothing in the Arkansas Criminal Code shall be construed to limit the power of a court to punish for contempt or to employ any sanction authorized by law for the enforcement of an order, judgment, or decree.

History. Acts 1975, No. 280, § 111; A.S.A. 1947, § 41-111.

Meaning of “Arkansas Criminal Code”. See note to § 5-1-101.

Case Notes

Cited: McKinney v. City of El Dorado, 308 Ark. 284, 824 S.W.2d 826 (1992); Vachon v. City of Fort Smith, 308 Ark. 636, 826 S.W.2d 277 (1992).

5-1-106. Felonies.

  1. An offense is a felony if the offense is designated a felony by:
    1. The Arkansas Criminal Code; or
    2. A statute not a part of the Arkansas Criminal Code.
  2. A felony is classified as follows:
    1. Class Y felony;
    2. Class A felony;
    3. Class B felony;
    4. Class C felony; or
    5. Class D felony.
    1. Any felony defined by a statute not a part of the Arkansas Criminal Code that does not specify the class of the felony or prescribe a limitation on a sentence to imprisonment upon conviction of the felony is a Class D felony.
    2. Any felony defined by a statute not a part of the Arkansas Criminal Code that does prescribe a limitation on a sentence to imprisonment upon conviction of the felony is an unclassified felony.

History. Acts 1975, No. 280, § 112; 1981, No. 620, § 2; A.S.A. 1947, § 41-112.

Meaning of “Arkansas Criminal Code”. See note to § 5-1-101.

Case Notes

Sentence.

If the maximum sentence for an offense was death or confinement in the penitentiary then, even though a lesser sentence was imposed, the offense was deemed a felony. Merritt v. Jones, 259 Ark. 380, 533 S.W.2d 497 (1976) (decision under prior law).

Cited: Dollar v. State, 287 Ark. 61, 697 S.W.2d 868 (1985).

5-1-107. Misdemeanors.

  1. An offense is a misdemeanor if the offense is:
    1. Designated a misdemeanor by the Arkansas Criminal Code;
    2. Designated a misdemeanor by a statute not a part of the Arkansas Criminal Code, except as provided in § 5-1-108; or
    3. Not designated a felony and a sentence to imprisonment is authorized upon conviction.
  2. A misdemeanor is classified as follows:
    1. Class A misdemeanor;
    2. Class B misdemeanor; or
    3. Class C misdemeanor.
    1. Any misdemeanor defined by a statute not a part of the Arkansas Criminal Code that does not specify the class of the misdemeanor or prescribe a limitation on a sentence to imprisonment upon conviction of the misdemeanor is a Class A misdemeanor.
    2. Any misdemeanor defined by a statute not a part of the Arkansas Criminal Code that does prescribe a limitation on a sentence to imprisonment upon conviction of the misdemeanor is an unclassified misdemeanor.

History. Acts 1975, No. 280, § 113; A.S.A. 1947, § 41-113.

Meaning of “Arkansas Criminal Code”. See note to § 5-1-101.

Cross References. Ordinances punishing act made misdemeanor by state law, penalties, §§ 14-55-501, 14-55-502.

Case Notes

Jurisdiction.

According to the plain language of subsection (a) of this section, because a violation of any Arkansas Game and Fish Commission (AGFC) regulation carried a penalty that could include imprisonment but was not designated a felony, the act of violating an AGFC regulation was a misdemeanor; therefore, while the Bickerstaff case set forth a holding that the only penalty for violating the AGFC regulation was a fine, that was an incorrect statement of the law. State v. Herndon, 365 Ark. 185, 226 S.W.3d 771 (2006).

Cited: Dollar v. State, 287 Ark. 61, 697 S.W.2d 868 (1985); Duhon v. State, 299 Ark. 503, 774 S.W.2d 830 (1989).

5-1-108. Violations.

  1. An offense is a violation if the offense is designated a violation by:
    1. The Arkansas Criminal Code; or
    2. A statute not a part of the Arkansas Criminal Code.
  2. Regardless of any designation appearing in the statute defining an offense, an offense is a violation for purposes of the Arkansas Criminal Code if the statute defining the offense provides that no sentence other than a fine, fine or forfeiture, or civil penalty is authorized upon conviction.

History. Acts 1975, No. 280, § 114; A.S.A. 1947, § 41-114.

Meaning of “Arkansas Criminal Code”. See note to § 5-1-101.

Research References

Ark. L. Notes.

Bryan Foster, The Purpose of Criminal Evictions: Applying the Theories of Punishment to Arkansas’ Criminal Eviction Statute, 2018 Ark. L. Notes 1993.

Ark. L. Rev.

Case Note, Harbison v. State: Just Say No to a Usable Amount, 45 Ark. L. Rev. 425.

Case Notes

Cited: Duhon v. State, 299 Ark. 503, 774 S.W.2d 830 (1989); McKinney v. City of El Dorado, 308 Ark. 284, 824 S.W.2d 826 (1992); Vachon v. City of Fort Smith, 308 Ark. 636, 826 S.W.2d 277 (1992); State v. Bickerstaff, 320 Ark. 641, 899 S.W.2d 68 (1995); State v. Roberts, 321 Ark. 31, 900 S.W.2d 175 (1995); State v. Herndon, 365 Ark. 185, 226 S.W.3d 771 (2006); Williams v. State, 2009 Ark. App. 554 (2009).

5-1-109. Statute of limitations.

    1. A prosecution for the following offenses may be commenced at any time:
      1. Capital murder, § 5-10-101;
      2. Murder in the first degree, § 5-10-102;
      3. Murder in the second degree, § 5-10-103;
      4. Rape, § 5-14-103, if the victim was a minor at the time of the offense;
      5. Sexual indecency with a child, § 5-14-110;
      6. Sexual assault in the first degree, § 5-14-124;
      7. Sexual assault in the second degree, § 5-14-125, if the victim was a minor at the time of the offense;
      8. Incest, § 5-26-202, if the victim was a minor at the time of the offense;
      9. Engaging children in sexually explicit conduct for use in visual or print medium, § 5-27-303;
      10. Transportation of minors for prohibited sexual conduct, § 5-27-305;
      11. Employing or consenting to the use of a child in a sexual performance, § 5-27-402;
      12. Producing, directing, or promoting a sexual performance by a child, § 5-27-403; and
      13. Computer exploitation of a child in the first degree, § 5-27-605.
    2. A prosecution may be commenced for a violation of the following offenses, if, when the alleged violation occurred, the offense was committed against a minor, the violation has not been previously reported to a law enforcement agency or prosecuting attorney, and the victim has not reached the age of twenty-eight (28) years of age:
      1. Sexual assault in the third degree, § 5-14-126;
      2. Sexual assault in the fourth degree, § 5-14-127;
      3. Endangering the welfare of a minor in the first degree, § 5-27-205;
      4. Permitting abuse of a minor, § 5-27-221; and
      5. Computer child pornography, § 5-27-603.
    3. A prosecution for arson, § 5-38-301(a)(1)(G), may be commenced within ten (10) years after the offense was committed.
  1. Except as otherwise provided in this section, a prosecution for another offense shall be commenced within the following periods of limitation after the offense's commission:
      1. Class Y felony or Class A felony, six (6) years.
      2. However, for rape, § 5-14-103, the period of limitation is eliminated if biological evidence of the alleged perpetrator is identified that is capable of producing a deoxyribonucleic acid (DNA) profile;
      1. Except as provided in subdivision (b)(2)(B)(i) of this section, Class B felony, Class C felony, Class D felony, or an unclassified felony, three (3) years.
        1. A prosecution may be commenced for a violation of § 23-66-502 as follows:
          1. Within three (3) years of completion of the last act taken to perpetrate alleged fraud; or
          2. Within five (5) years of any alleged violation of § 23-66-502 involving a motor vehicle purposely used to cause a motor vehicle accident for the purpose of filing an insurance claim.
        2. If a prosecution could not be commenced within the time period prescribed by subdivision (b)(2)(B)(i) of this section because it was not reasonably possible to discover the alleged fraud at the time of the violation, the time period prescribed shall be extended for a period of three (3) years.
        3. The period of limitation under this subdivision (b)(2)(B) may not extend more than ten (10) years after the date of the violation of § 23-66-502;
      1. Misdemeanor or violation, one (1) year.
      2. However:
        1. For failure to notify by a mandated reporter in the first degree, § 12-18-201, and failure to notify by a mandated reporter in the second degree, § 12-18-202, the period of limitation is ten (10) years after the child victim reaches eighteen (18) years of age if the child in question was subject to child maltreatment; and
        2. For a nine-point or greater violation of an Arkansas State Game and Fish Commission regulation or rule, the period of limitation is three (3) years; and
    1. Municipal ordinance violation, one (1) year unless a different period of time not to exceed three (3) years is set by ordinance of the municipal government.
  2. If the period prescribed in subsection (b) of this section has expired, a prosecution may nevertheless be commenced for:
    1. Any offense involving either fraud or breach of a fiduciary obligation, within one (1) year after the offense is discovered or should reasonably have been discovered by an aggrieved party or by a person who has a legal duty to represent an aggrieved party and who is himself or herself not a party to the offense; and
      1. Any offense that is concealed involving felonious conduct in office by a public servant at any time within five (5) years after he or she leaves public office or employment or within five (5) years after the offense is discovered or should reasonably have been discovered, whichever is sooner.
      2. However, in no event does this subdivision (c)(2) extend the period of limitation by more than ten (10) years after the commission of the offense.
  3. A defendant may be convicted of any offense included in the offense charged, notwithstanding that the period of limitation has expired for the included offense, if as to the offense charged the period of limitation has not expired or there is no period of limitation, and there is sufficient evidence to sustain a conviction for the offense charged.
    1. For the purposes of this section, an offense is committed either when:
      1. Every element occurs; or
      2. If a legislative purpose to prohibit a continuing course of conduct plainly appears, at the time the course of conduct or the defendant's complicity in the course of conduct is terminated.
    2. Time starts to run on the day after the offense is committed.
  4. A prosecution is commenced when an arrest warrant or other process is issued based on an indictment, information, or other charging instrument if the arrest warrant or other process is sought to be executed without unreasonable delay.
  5. The period of limitation does not run:
      1. During any time when the accused is continually absent from the state or has no reasonably ascertainable place of abode or work within the state.
      2. However, in no event does this subdivision (g)(1) extend the period of limitation otherwise applicable by more than three (3) years; or
    1. During any period when a prosecution against the accused for the same conduct is pending in this state.
  6. If the period prescribed in subsection (b) of this section has expired, a prosecution may nevertheless be commenced for a violation of the following offenses if, when the alleged violation occurred, the offense was committed against a minor, the violation has not previously been reported to a law enforcement agency or prosecuting attorney, and the period prescribed in subsection (b) of this section has not expired since the victim has reached eighteen (18) years of age:
    1. Battery in the first degree, § 5-13-201;
    2. Battery in the second degree, § 5-13-202;
    3. Aggravated assault, § 5-13-204;
    4. Terroristic threatening in the first degree, § 5-13-301;
    5. Kidnapping, § 5-11-102;
    6. False imprisonment in the first degree, § 5-11-103;
    7. Permanent detention or restraint, § 5-11-106; and
    8. Criminal attempt, criminal solicitation, or criminal conspiracy to commit any offense listed in this subsection, §§ 5-3-201, 5-3-202, 5-3-301, and 5-3-401.
  7. If there is biological evidence connecting a person with the commission of an offense and that person's identity is unknown, the prosecution is commenced if an indictment or information is filed against the unknown person and the indictment contains the genetic information of the unknown person and the genetic information is accepted to be likely to be applicable only to the unknown person.
  8. When deoxyribonucleic acid (DNA) testing implicates a person previously identified through a search of the State DNA Data Base or National DNA Index System, a statute of limitation shall not preclude prosecution of the offense.

History. Acts 1975, No. 280, § 104; 1981, No. 620, § 1; A.S.A. 1947, § 41-104; Acts 1987, No. 484, § 1; 1987, No. 586, § 1; 2001, No. 920, § 1; 2001, No. 1780, § 2; 2003, No. 1087, § 8; 2003, No. 1390, § 1; 2005, No. 2250, § 1; 2009, No. 1444, § 1; 2011, No. 698, § 1; 2011, No. 1127, §§ 1, 2; 2013, No. 144, § 1; 2013, No. 1086, § 1; 2015, No. 1009, § 1; 2017, No. 630, § 1; 2017, No. 695, § 1; 2019, No. 315, § 148.

A.C.R.C. Notes. Acts 2001, No. 1780, § 1, provided: “The General Assembly finds that the mission of the criminal justice system is to punish the guilty and to exonerate the innocent. The General Assembly further finds that Arkansas laws and procedures should be changed in order to accommodate the advent of new technologies enhancing the ability to analyze scientific evidence.”

Publisher's Notes. This section may have impliedly repealed Rev. Stat., ch. 45, §§ 250-254, or portions of Rev. Stat., ch. 45, §§ 250-254.

Rev. Stat., ch. 45, § 250, provided that any person could be prosecuted, tried, and punished for any offense punishable with death at any time after the offense was committed. Rev. Stat., ch. 45, § 251, further provided that no person was to be prosecuted, tried, and punished for non-capital felonies, other than certain cases of embezzlement, unless an indictment was found within three years after the commission of the offense. Rev. Stat., ch. 45, § 252, provided that no person was to be tried, prosecuted, and punished for any offense less than felony, or any fine or forfeiture, unless the indictment was found or the prosecution instituted within one year after the commission of the offense or incurring of the fine or forfeiture. Rev. Stat., ch. 45, § 253, added that, in all cases, time in which the defendant was a nonresident was not to constitute part of the limitation of §§ 250-252, and §§ 251 and 252 were not to avail any person who should flee from justice. Finally, Rev. Stat., ch. 45, § 254, provided that when any indictment or prosecution should be quashed, set aside, or reversed, the time during which the indictment or prosecution was pending was not to be computed as part of the time of the limitation prescribed for the offense.

However, in Patrick v. State, 265 Ark. 334, 576 S.W.2d 191 (1979), the Arkansas Supreme Court held that there is no irreconcilable conflict between this section and Rev. Stat., ch. 45, § 251, when the latter is applied only to offenses committed prior to January 1, 1976, the effective date of the Arkansas Criminal Code.

Amendments. The 2009 amendment rewrote (b)(1)(B); substituted “§ 5-27-221” for “§ 5-27-221(a)(1) and (3)” in (h)(15); and rewrote (j).

The 2011 amendment by No. 698 inserted present (b)(4).

The 2011 amendment by No. 1127 added (a)(2); and deleted former (h)(8) through (h)(21) and redesignated the remaining subdivisions accordingly.

The 2013 amendment by No. 144 rewrote (a)(1); deleted former (a)(2)(A), (a)(2)(B), (a)(2)(C), (a)(2)(F), (a)(2)(I) and (a)(2)(N) and redesignated the remaining subsections accordingly.

The 2015 amendment redesignated language in (b)(3)(B) as (b)(3)(B)(i); and added (b)(3)(B)(ii).

The 2017 amendment by No. 630 added (a)(3).

The 2017 amendment by No. 695 redesignated former (b)(2) as (b)(2)(A); added “Except as provided in subdivision (b)(2)(B)(i) of this section” in (b)(2)(A); and added (b)(2)(B).

The 2019 amendment inserted “or rule” in (b)(3)(B)(ii).

Cross References. Physical evidence in sex offense prosecutions — Retention and disposition, § 12-12-104.

Research References

ALR.

Validity, Construction, and Application of State Statutes Eliminating, Extending, or Tolling Statute of Limitations for Sexual Offense When DNA Can Provide Identity of Alleged Perpetrator. 16 A.L.R.7th 7 (2015).

U. Ark. Little Rock L.J.

Davis, Survey of Arkansas Law: Criminal Law, 2 U. Ark. Little Rock L.J. 193.

DeSimone, Survey of Criminal Law, 3 U. Ark. Little Rock L.J. 191.

Survey — Criminal Law, 10 U. Ark. Little Rock L.J. 559.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Computer Crimes, 26 U. Ark. Little Rock L. Rev. 361.

Case Notes

Applicability.

Where defendant was charged with willfully attempting to evade or defeat the payment of tax, in violation of § 26-18-201(a), and was convicted of failure to pay tax, in violation of § 26-18-202, the six-year statute of limitations under § 26-18-306(j) was applicable rather than the more general three-year limitations period under subdivision (b)(2) of this section; section 26-18-306(j) specifically provides a six-year limitations period for prosecutions for any of the various criminal offenses arising under the provisions of any state tax law, and it is a well-settled principle of law that a general statute does not apply when a specific one governs the subject matter. Owens v. State, 354 Ark. 644, 128 S.W.3d 445 (2003).

Where defendant was convicted for failing to pay child support for six years, subdivision (b)(2) of this section did not limit the restitution order to three years because the statute limited prosecutions, not restitution. Hampton v. State, 357 Ark. 473, 183 S.W.3d 148 (2004).

Aggrieved Party.

The “aggrieved party” in a criminal context is the victim of the crime. State v. Switzer, 305 Ark. 158, 806 S.W.2d 368 (1991).

The state or public is the “aggrieved party” with respect to offenses of public servant bribery and hindering apprehension or prosecution. State v. Switzer, 305 Ark. 158, 806 S.W.2d 368 (1991).

Arrest Warrant, Other Process, Etc.

A traffic citation is embraced within the statutory term “other charging instrument” that is required in initiating a prosecution; where citation is delivered immediately following arrest, the one-year limitation on misdemeanor charges is not applicable. Thompson v. City of Little Rock, 264 Ark. 213, 570 S.W.2d 262 (1978).

Arrest warrant held invalid as being both defective and “stale.” Webb v. State, 269 Ark. 415, 601 S.W.2d 848 (1980).

Authority of Court.

The one year allowed for prosecution of misdemeanors is more than an ordinary statute of limitations as it goes to the court's power to try the case. McIlwain v. State, 226 Ark. 818, 294 S.W.2d 350 (1956) (decision under prior law).

Where the offense did not fall within any of the exceptions provided in the former provision, similar to subsection (c), the peace court was without jurisdiction to try defendant for the offense where a warrant was not issued within the statutory period after the alleged commission of the offense. Savage v. Hawkins, 239 Ark. 658, 391 S.W.2d 18 (1965) (decision under prior law).

Inmate's appeal from the denial of his petition for a writ of habeas corpus was dismissed as the inmate could not state grounds on which to maintain his petition; appellate court rejected inmate's claim that the trial court did not have jurisdiction to charge him for the underlying conviction of rape of a person less than fourteen years old because inmate was charged within five years of the victim's 18th birthday and, therefore, was within the statute of limitations set forth in subdivisions (b)(1) and (h) of this section. Young v. Norris, 365 Ark. 219, 226 S.W.3d 797 (2006).

Burden of Proof.

State must prove that the offense was committed within the statutory period or else that the running of the statute has been suspended. James v. State, 110 Ark. 170, 160 S.W. 1090 (1913) (decision under prior law).

Commencement of Prosecution.

Defendant's prosecution for murder held not invalidated by delay between the commission of the offense and his arrest. Beckwith v. State, 238 Ark. 196, 379 S.W.2d 19 (1964) (decision under prior law).

No harm came to the defendant's defense as a result of the delay between the date the offense occurred and the date charges were filed since the charges were filed well within the statute of limitations. Alexander v. State, 257 Ark. 343, 516 S.W.2d 368 (1974) (decision under prior law).

Where, although the statute of limitations had not run, there was a delay in filing the charge or initiating prosecution and there was consequent prejudice to the defense, the charge would be dismissed unless the state could demonstrate a satisfactory reason for the delay. Scott v. State, 263 Ark. 669, 566 S.W.2d 737 (1978).

Where, although the action was commenced within the statutory time limit, there was a delay in filing charges or initiating prosecution and there was no indication that the prosecution delayed in order to gain a tactical advantage, the state did not create prejudicial error in failing to bring charges against the defendants at an earlier date. Bliss v. State, 282 Ark. 315, 668 S.W.2d 936 (1984).

Circuit court did not err in dismissing the charge of theft of property by deception under § 5-36-103(a)(2) as barred by the statute of limitations because, contrary to the State's contention, the offense did not constitute a continuing offense. Defendant knowingly obtained the victim's property by deception, with the purpose of depriving the victim of the property, when the victim made wire transfers into an account controlled by defendant. Therefore, the statute of limitations began to run with the transfers and the limitations period expired before the prosecution commenced. State v. Gray, 2016 Ark. 411, 505 S.W.3d 160 (2016).

Trial court erred in its interpretation of this section and its conclusion that the prosecution of the misdemeanor negligent-homicide case had not commenced within the applicable limitations period; although the charging documents were filed after the limitations period, the arrest warrant was issued within the limitations period. State v. Ledwell, 2017 Ark. 252, 526 S.W.3d 1 (2017).

The one-year statute of limitation applicable to misdemeanor charges did not bar conviction where the prosecution was commenced when the arrest warrant was issued, based upon the information filed that same date, and because this occurred well within the period of one year from the date the offense was committed. Deweese v. State, 26 Ark. App. 126, 761 S.W.2d 945 (1988).

The offense of theft of public benefits is a continuing offense and, therefore, the statute of limitations had not expired when the prosecution of the defendant was commenced, even though the defendant completed two of her applications for public benefits more than three years before the prosecution commenced and even though the record did not establish exactly when she received the first illegal benefits, as the prosecution was commenced within three years of her last application. Scott v. State, 69 Ark. App. 121, 10 S.W.3d 476 (2000).

A prosecution was properly commenced on January 23, 1997, where an information was filed and a summons issued on that date, notwithstanding that the defendant did not make her first appearance until November 10, 1997, as the delays in executing the summons were reasonable. Scott v. State, 69 Ark. App. 121, 10 S.W.3d 476 (2000).

Under subsection (h) of this section, the statute of limitations was extended for felonies such as rape up to six years beyond the eighteenth birthday of the victim and, for felonies such as first-degree sexual abuse, up to three years beyond the eighteenth birthday of the victim, regardless of the victim's age at the time of the offense. Gardner v. State, 76 Ark. App. 258, 64 S.W.3d 761 (2001).

The passage of subsection (h) of this section extended the statute of limitations for offenses involving minors and applied retroactively to allow prosecution of certain offenses involving child victims. Dye v. State, 82 Ark. App. 189, 119 S.W.3d 513 (2003).

Trial court did not err in denying defendant's motion dismiss or motion for a directed verdict as felony nonsupport was a continuing offense and defendant was charged within three years of committing the offense. Morris v. State, 88 Ark. App. 251, 197 S.W.3d 41 (2004).

Subdivision (c)(1) of this section permitted prosecution of defendant for thefts of property that occurred outside the three-year statute of limitations because defendant committed fraud by using her position handling the payroll for her employer to steal tens of thousands of dollars and the fraud was discovered less than one year before the criminal proceedings were initiated. Leek v. State, 2012 Ark. App. 699 (2012).

Because the State did not file charges for sexual abuse in the fourth degree against defendant within three years of the alleged victim's eighteenth birthday pursuant to a former version of this section, reversal of the judgment as to those charges and dismissal of defendant's convictions was mandated. Bynum v. State, 2017 Ark. App. 41, 511 S.W.3d 860 (2017).

Continuing Crime.

Where defendant was convicted for failing to pay child support for six years, subdivision (b)(2) of this section did not bar the prosecution for the failure to pay support more than three years before defendant was charged because nonsupport was a continuing crime. Hampton v. State, 357 Ark. 473, 183 S.W.3d 148 (2004).

Trial court did not err in denying defendant's motion to dismiss two charges for theft of property in excess of $2,500 on the ground that the charges were barred by the three-year statute of limitations in subdivision (b)(2) of this section because the amended information was filed within three years of the earliest unauthorized withdrawal from a client's account that was made by defendant, an attorney. Cameron v. State, 94 Ark. App. 58, 224 S.W.3d 559 (2006), appeal dismissed, — Ark. —, — S.W.3d —, 2007 Ark. LEXIS 496 (Sept. 27, 2007).

Trial court erred in denying a father's motion to dismiss a charge of failure to pay child support, a continuing offense, on the ground that the statute of limitations had expired because the date of the crime of nonsupport had to be determined based upon subdivision (b)(3) of this section, prior to its amendment in 1997; the one-year statute of limitations expired several weeks prior to the effective date of the amended version of the statute. Reeves v. State, 374 Ark. 415, 288 S.W.3d 577 (2008).

Prosecution for abuse of a corpse under § 5-60-101(a) was barred by the three-year statute of limitations under subdivision (b)(2) of this section because it was not a continuing-course-of-conduct crime; once defendant disposed of the body parts in a pond, she was no longer physically mistreating the corpse. McClanahan v. State, 2010 Ark. 39, 358 S.W.3d 900 (2010).

Theft by deception under § 5-36-103(a)(2) is generally not a continuing offense. State v. Gray, 2016 Ark. 411, 505 S.W.3d 160 (2016).

Defendant was charged with one crime, theft by receiving under § 5-36-106, which is a continuing offense, and it was not erroneous to aggregate the amount stolen from her employer over a period of time under § 5-36-102(d)(2) and classify the crime as a Class B felony, even though each individual act of acquiring possession did not add up to over $25,000. The last time defendant stole money from her employer was in February 2014, which was well within the time limit for statute of limitations calculations for a Class B felony under this section. Clements v. State, 2020 Ark. App. 175, 594 S.W.3d 922 (2020).

Evidence.

Evidence held sufficient to find that an offense was committed within the statute of limitations. Fain v. State, 189 Ark. 474, 74 S.W.2d 248 (1934); Guise v. State, 198 Ark. 767, 131 S.W.2d 631 (1939) (preceding decisions under prior law).

There was sufficient evidence that the sexual assault against one victim occurred in 2002 and, therefore, was within the three-year statute of limitations of subdivision (b)(2) of this section where the victim testified that defendant, a minister, assaulted her while she was working for the church during the summer of 2002. Talbert v. State, 367 Ark. 262, 239 S.W.3d 504 (2006).

Trial court did not err in denying defendant's motion to dismiss a rape charge based on failure to comply with the statute of limitations. Defendant's argument that the 2001 amendment to subdivision (b)(1)(B) of this section did not apply because there was no showing of an advancement in DNA testing failed. Walker v. State, 2010 Ark. App. 688 (2010).

Homicide.

Since a defendant does not commit the offense of manslaughter until the victim dies, the statute of limitations does not begin to run until that date. Tackett v. State, 298 Ark. 20, 766 S.W.2d 410 (1989), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002).

No Expiration.

Three-year statute of limitations had not run on the failure-to-appear charge. Hall v. State, 2020 Ark. App. 135, 594 S.W.3d 175 (2020).

Public Officer.

The five-year statute of limitations applied where the offense that was concealed involved felonious conduct in office by a public servant. Clark v. State, 308 Ark. 84, 308 Ark. 453, 824 S.W.2d 345 (1992).

Sentences.

No mention is made in this section of a limitation on when a warrant or summons can be issued to show cause why the defendant should not be jailed for failure to pay a fine imposed as a sentence after a conviction for an offense. Basura v. City of Springdale, 47 Ark. App. 66, 884 S.W.2d 629 (1994).

Tolling the Statute.

Where under former similar section, resident referred to a person who was physically present in the state and, where petitioner had not been a resident of the state for part of the time between the commission of an offense and his conviction, the statute of limitations had not run. Grayer v. State, 234 Ark. 548, 353 S.W.2d 148 (1962) (decision under prior law).

The misdemeanor prosecution of defendant was not tolled under subdivision (g)(2) of this section as the state failed to file an information relating to the defendant's felony arrest warrant and, therefore, no felony prosecution was ever commenced. McGrew v. State, 338 Ark. 30, 991 S.W.2d 588 (1999).

Because appellant's forgery offense involved fraud as, for the entire time appellant worked for the employer, she misrepresented her identity as that of another woman, under subdivision (c)(1) of this section, her fraud suspended the statute of limitations until the offense was discovered and the police began their investigation. Barron-Gonzalez v. State, 2013 Ark. App. 120, 426 S.W.3d 508 (2013).

Both the felony negligent-homicide charge and the manslaughter charge arose out of a single action, defendant striking the victim with her car, and thus the filing of the felony negligent-homicide charge tolled the statute of limitations. Blackwell v. State, 2015 Ark. App. 96, 455 S.W.3d 848 (2015).

Waiver.

The limitation provided by former similar section was not waived by failure to plead. Savage v. Hawkins, 239 Ark. 658, 391 S.W.2d 18 (1965) (decision under prior law).

Cited: State v. Reeves, 264 Ark. 622, 574 S.W.2d 647 (1978); Patrick v. State, 265 Ark. 334, 576 S.W.2d 191 (1979); Iberg v. Langston, 286 Ark. 390, 691 S.W.2d 870 (1985); Mullenax v. Langston, 286 Ark. 470, 692 S.W.2d 755 (1985); Dollar v. State, 287 Ark. 61, 697 S.W.2d 868 (1985); Bonds v. State, 296 Ark. 1, 751 S.W.2d 339 (1988); State v. Mazur, 312 Ark. 121, 847 S.W.2d 715 (1993); Westark Christian Action Council v. Stodola, 312 Ark. 249, 848 S.W.2d 935 (1993); Richmond v. State, 326 Ark. 728, 934 S.W.2d 214 (1996); Clark v. State, 2012 Ark. App. 496, 423 S.W.3d 122 (2012).

5-1-110. Conduct constituting more than one offense — Prosecution.

  1. When the same conduct of a defendant may establish the commission of more than one (1) offense, the defendant may be prosecuted for each such offense. However, the defendant may not be convicted of more than one (1) offense if:
    1. One (1) offense is included in the other offense, as defined in subsection (b) of this section;
    2. One (1) offense consists only of a conspiracy, solicitation, or attempt to commit the other offense;
    3. Inconsistent findings of fact are required to establish the commission of the offenses;
    4. The offenses differ only in that one (1) offense is defined to prohibit a designated kind of conduct generally and the other offense to prohibit a specific instance of that conduct; or
    5. The conduct constitutes an offense defined as a continuing course of conduct and the defendant's course of conduct was uninterrupted, unless the law provides that a specific period of the course of conduct constitutes a separate offense.
  2. A defendant may be convicted of one (1) offense included in another offense with which he or she is charged. An offense is included in an offense charged if the offense:
    1. Is established by proof of the same or less than all of the elements required to establish the commission of the offense charged;
    2. Consists of an attempt to commit the offense charged or to commit an offense otherwise included within the offense charged; or
    3. Differs from the offense charged only in the respect that a less serious injury or risk of injury to the same person, property, or public interest or a lesser kind of culpable mental state suffices to establish the offense's commission.
  3. The court is not obligated to charge the jury with respect to an included offense unless there is a rational basis for a verdict acquitting the defendant of the offense charged and convicting him or her of the included offense.
    1. Notwithstanding any provision of law to the contrary, a separate conviction and sentence are authorized for:
      1. Capital murder, § 5-10-101, and any felony utilized as an underlying felony for the capital murder;
      2. Criminal attempt to commit capital murder, §§ 5-3-201 and 5-10-101, and any felony utilized as an underlying felony for the attempted capital murder;
      3. Murder in the first degree, § 5-10-102, and any felony utilized as an underlying felony for the murder in the first degree;
      4. Criminal attempt to commit murder in the first degree, §§ 5-3-201 and 5-10-102, and any felony utilized as an underlying felony for the attempted murder in the first degree; and
      5. Continuing criminal enterprise, § 5-64-405, and any predicate felony utilized to prove the continuing criminal enterprise.
    2. Pursuant to § 5-4-403, with respect to any offense mentioned in subdivision (d)(1) of this section, the trial judge may order that the multiple terms of imprisonment run concurrently or consecutively.

History. Acts 1975, No. 280, § 105; A.S.A. 1947, § 41-105; Acts 1995, No. 657, § 2; 2007, No. 670, § 1; 2009, No. 748, § 1.

A.C.R.C. Notes. Acts 1995, No. 657, § 1, provided:

“It is the intent of the legislature, pursuant to Missouri v. Hunter, 459 U. S. 359 (1983), to explicitly authorize separate convictions, sentences, and cumulative punishments for the offenses specified in Section 2 of this act. Cases such as McClendon v. State, 295 Ark. 303, 748 S. W. 2d 641 (1988), which prohibit separate convictions, sentences, and cumulative punishments for such offenses are hereby overruled.”

Publisher's Notes. Catt v. State, 285 Ark. 691, 691 S.W.2d 120 (1985), which discussed this section in part, was a fictional case written in honor of April Fool's Day and ought not to be relied upon as an official opinion of the Arkansas Supreme Court.

Amendments. The 2009 amendment deleted “and former § 5-64-414” following “§ 5-64-405” in (d)(1)(E).

Research References

ALR.

Propriety of lesser included offense charge in state prosecution of narcotics defendant — Marijuana cases. 1 A.L.R.6th 549.

Propriety of lesser included offense charge in state prosecution of narcotics defendant-Cocaine cases. 2 A.L.R.6th 551.

Ark. L. Rev.

Note, Missouri v. Hunter and the Legislature: Double Punishment Without Double Jeopardy, 37 Ark. L. Rev. 1000.

Note, United States v. Dixon: What Does “Same Offense” Really Mean?, 48 Ark. L. Rev. 709.

Article, Ethical and Effective Representation in Arkansas Capital Trials, 60 Ark. L. Rev. 1.

Recent Development: Arkansas Criminal Law — Felony Manslaughter as a Lesser-Included Offense, 60 Ark. L. Rev. 1017.

U. Ark. Little Rock L.J.

Davis, Survey of Arkansas Law: Criminal Law, 2 U. Ark. Little Rock L.J. 193.

Survey — Criminal Law, 10 U. Ark. Little Rock L.J. 137.

Survey — Criminal Law, 12 U. Ark. Little Rock L.J. 183.

Note, Constitutional Law — Goodbye Grady! Blockburger Wins the Double Jeopardy Rematch: United States v. Dixon, 113 S. Ct. 2849, 509 U.S. 688, 125 L. Ed. 2d 556 (1993), 17 U. Ark. Little Rock L.J. 369.

Case Notes

Purpose.

The purpose of this section is to allow a conviction of a lesser included offense when the accused is not convicted of the greater offense. Akins v. State, 278 Ark. 180, 644 S.W.2d 273 (1983); Hill v. State, 314 Ark. 275, 862 S.W.2d 836 (1993).

The purpose of this section is to allow a conviction of a lesser included offense when the accused is not convicted of the greater offense and to prohibit an accused from being convicted of more than one offense when the proof required to establish the offense necessarily includes proof of every element of another. Handy v. State, 24 Ark. App. 122, 749 S.W.2d 683 (1988).

Applicability.

Unless an offense is defined as a “continuing course of conduct crime,” this section does not apply. Hagen v. State, 318 Ark. 139, 883 S.W.2d 832 (1994).

A defendant cannot object to a double jeopardy violation until he has actually been convicted of the multiple offenses because it is not a violation of double jeopardy under subsection (a)(1) of this section for the state to charge and prosecute on multiple and overlapping charges; it is only after the jury returns guilty verdicts on both offenses that the trial court is required to determine whether convictions could be entered as to both based on the same conduct. Brown v. State, 347 Ark. 308, 65 S.W.3d 394 (2001).

Trial court did not err in denying defendant's post-conviction motion to dismiss his first-degree battery conviction based on double jeopardy because separate convictions and sentences for criminal attempt to commit murder in the first degree were statutorily authorized, each gunshot wound that defendant inflicted on the victim constituted a separate battery, battery was not a continuing course of conduct, and multiple crimes committed on a single episode could be separately punished. Copeland v. State, 2013 Ark. App. 747 (2013).

Continuing Criminal Enterprise.

Simultaneous convictions and sentences for continuing criminal enterprise and its predicate felony offenses do not violate the protection against multiple punishments for the same offense afforded by the federal and Arkansas constitutional double jeopardy clauses, U.S. Const. Amend. 5 and Ark. Const., Art. 2, § 8. Moore v. State, 321 Ark. 249, 903 S.W.2d 154 (1995).

Based on examination of § 5-64-414 and this section, as amended by Acts 1995, No. 595, the General Assembly intended to authorize separate punishments for violations of § 5-64-414 and the underlying substantive predicate offenses. Moore v. State, 321 Ark. 249, 903 S.W.2d 154 (1995).

Continuing Offenses.

A continuing offense must be a continuous act or series of acts set on foot by a single impulse and operated by an intermittent force. Rowe v. State, 271 Ark. 20, 607 S.W.2d 657 (1980), cert. denied, Rowe v. Arkansas, 450 U.S. 1043, 101 S. Ct. 1764 (1981); Watson v. State, 295 Ark. 616, 752 S.W.2d 240 (1988).

Subdivision (a)(5) of this section did not change the common law rule that when the impulse is single only one charge lies, no matter how long the action may continue, however, if successive impulses are separately given, even though all unite in swelling a common stream of action, separate charges lie; the test is whether the individual acts are prohibited or the course of action they constitute is prohibited, if the former, each act is punished separately, if the latter, there can be but one penalty. Rowe v. State, 271 Ark. 20, 607 S.W.2d 657 (1980), cert. denied, Rowe v. Arkansas, 450 U.S. 1043, 101 S. Ct. 1764 (1981).

Certain offenses held not to be defined as constituting a course of conduct. Rowe v. State, 271 Ark. 20, 607 S.W.2d 657 (1980), cert. denied, Rowe v. Arkansas, 450 U.S. 1043, 101 S. Ct. 1764 (1981).

Acts held not to be one continuous offense so as to prohibit defendant from being convicted of several offenses. Hickerson v. State, 282 Ark. 217, 667 S.W.2d 654 (1984).

Rape is not defined as a continuing offense; it is a single crime that may be committed in either of two ways, by engaging in sexual intercourse or deviate sexual activity with another person by forcible compulsion. Tarry v. State, 289 Ark. 193, 710 S.W.2d 202 (1986).

Where the defendant committed three acts of aggravated robbery separated in point of time and place, there was not a single continuing offense and the trial court did not err in convicting and sentencing him for three offenses. Madewell v. State, 290 Ark. 580, 720 S.W.2d 913 (1986).

Subdivision (a)(5) of this section is not applicable where defendant is charged with two separate offenses and for different conduct for each offense; thus, defendant cannot be charged with several counts for the same continuous crime. Rhodes v. State, 293 Ark. 211, 736 S.W.2d 284 (1987).

Aggravated robbery is not a continuing offense. Rhodes v. State, 293 Ark. 211, 736 S.W.2d 284 (1987).

Aggravated robbery and aggravated assault, arising from the same incident, overlap. Bishop v. State, 294 Ark. 303, 742 S.W.2d 911 (1988), overruled in part, Matthews v. State, 2009 Ark. 321, 319 S.W.3d 266 (2009).

For subdivision (a)(5) of this section to be applicable, the conduct must be defined as a continuing course of conduct crime. Rhodes v. State, 293 Ark. 211, 736 S.W.2d 284 (1987); Smith v. State, 296 Ark. 451, 757 S.W.2d 554 (1988).

Neither terroristic threatening nor false imprisonment is defined as a continuing offense and, because neither offense is defined as a continuing course of conduct, subdivision (a)(5) of this section has no application. Smith v. State, 296 Ark. 451, 757 S.W.2d 554 (1988).

Neither manslaughter nor second degree battery is specifically defined as a continuing course of conduct. Lawrence v. State, 39 Ark. App. 39, 839 S.W.2d 10 (1992).

The crime of committing a terroristic act is not a continuous course of conduct crime and, therefore, the defendant was properly convicted of three separate terroristic acts where he fired three quick, successive shots into his girlfriend's apartment. McLennan v. State, 337 Ark. 83, 987 S.W.2d 668 (1999).

Instructions.

Court held to have acted properly in not giving instruction on lesser included offense. Harmon v. State, 260 Ark. 665, 543 S.W.2d 43 (1976); Walker v. State, 262 Ark. 331, 556 S.W.2d 655 (1977); Hair v. State, 266 Ark. 583, 587 S.W.2d 34 (1979); Sargent v. State, 272 Ark. 336, 614 S.W.2d 503 (1981); Smith v. State, 277 Ark. 403, 642 S.W.2d 299 (1982); Wood v. State, 287 Ark. 203, 697 S.W.2d 884 (1985).

The trial court is not obligated to charge the jury with respect to an included offense unless there is a rational basis for a possible verdict acquitting the defendant of the offense charged and for convicting of defendant the included offense. Crenshaw v. State, 271 Ark. 484, 609 S.W.2d 120 (Ct. App. 1980); Beed v. State, 271 Ark. 526, 609 S.W.2d 898 (1980); Earl v. State, 272 Ark. 5, 612 S.W.2d 98 (1981); Sargent v. State, 272 Ark. 336, 614 S.W.2d 503 (1981); Savannah v. State, 7 Ark. App. 161, 645 S.W.2d 694 (1983); Roberts v. State, 281 Ark. 218, 663 S.W.2d 178 (1984); Wood v. State, 287 Ark. 203, 697 S.W.2d 884 (1985).

It is not error to refuse to instruct the jury on a lesser included offense where the evidence clearly shows that the defendant is either guilty of the greater offense or innocent. Beed v. State, 271 Ark. 526, 609 S.W.2d 898 (1980).

Refusal to give correct instruction on a lesser included offense and its punishment when there is testimony furnishing a reasonable basis on which the accused may be found guilty of the lesser offense or where there is the slightest evidence tending to disprove one of the elements of the larger offense is error. Bongfeldt v. State, 6 Ark. App. 102, 639 S.W.2d 70 (1982).

Where there is no evidence tending to disprove one of the elements of the larger offense the court is not required to instruct on the lesser one because, absent such evidence, there is no reasonable basis for finding an accused guilty of the lesser offense. Bongfeldt v. State, 6 Ark. App. 102, 639 S.W.2d 70 (1982).

Trial court erred in failing to give instruction on lesser included offense. Savannah v. State, 7 Ark. App. 161, 645 S.W.2d 694 (1983); O'Rourke v. State, 298 Ark. 144, 765 S.W.2d 916 (1989).

When the jury convicts a defendant of a serious offense rather than a less serious included offense about which the jury was also instructed, the court's refusal to submit a third offense that is included but is even less serious than the other two cannot be prejudicial. McKinnon v. State, 287 Ark. 1, 695 S.W.2d 826 (1985).

In a prosecution for forgery, the trial court did not err by refusing to instruct the jury on the lesser included offense of criminal attempt to commit forgery; the crime of forgery was complete upon the defendant's being in possession of the forged instrument, upon his attempt to pass the check, or upon his passing of the check, and the defendant was either guilty of forgery or nothing. McGirt v. State, 289 Ark. 7, 708 S.W.2d 620 (1986).

Where the defendant was charged with homicide in the course of a burglary, the failure to instruct on first degree murder was not reversible error because the objection of counsel was that the court should have given the instruction because of evidence, which counsel could not recite, that the defendant entered the victim's residence for a purpose other than to commit a burglary. Rhodes v. State, 290 Ark. 60, 716 S.W.2d 758 (1986).

A lesser included offense instruction need not be given unless there is a rational basis. Doby v. State, 290 Ark. 408, 720 S.W.2d 694 (1986); Whitener v. State, 311 Ark. 377, 843 S.W.2d 853 (1992), superseded by statute as stated in, State v. Galyean, 315 Ark. 699, 870 S.W.2d 706 (1994).

In prosecution for rape of his daughter, where defendant's defense was one of complete innocence and that nothing improper occurred between him and his daughter, he was not entitled to jury instructions on the lesser included offenses of carnal abuse in the third degree and sexual misconduct. Flurry v. State, 290 Ark. 417, 720 S.W.2d 699 (1986).

The trial court is not obligated to charge the jury with respect to a lesser included offense when there is no rational basis for the jury to find appellant guilty of a lesser included offense. Tarkington v. State, 313 Ark. 399, 855 S.W.2d 306 (1993).

Subsection (c) of this section does not delegate the decision regarding the propriety of a lesser included offense instruction to the defendant but, rather, requires the trial court to determine whether the proffered instruction concerns a lesser included offense and, if so, whether a rational basis exists for a verdict acquitting the defendant of the greater offense and convicting him of the lesser. State v. Jones, 321 Ark. 451, 903 S.W.2d 170 (1995).

Although there was no evidence to support the lesser-included-offense instruction at the time the instructions were discussed, the court had been alerted by defense counsel that such evidence was forthcoming and should have withheld ruling on the instructions pending presentation of the defense case. Allen v. State, 53 Ark. App. 225, 920 S.W.2d 860 (1996), rev'd, 326 Ark. 541, 932 S.W.2d 764 (Ark. 1996).

In a first-degree battery case, a trial court did not err by refusing to give an instruction on second-degree battery because it was not a lesser included offense; both alternatives given in the proffered instruction required an additional element, serious physical injury, that was not required in the first-degree battery instruction that was given, which only required physical injury when the injury was caused by a firearm. Further, the proffered instruction was not a lesser-included offense because the offense was not an attempt offense, and the proffered instruction did not differ from the offense charged only in the respect that a less serious injury to the same person sufficed to establish the offense's commission. Spight v. State, 101 Ark. App. 400, 278 S.W.3d 599 (2008).

Circuit court did not abuse its discretion in denying defendant's second-degree battery instruction because the offense charged was first-degree battery pursuant to § 5-13-201(a)(3), and the jury was not required to find that defendant employed a firearm in order to convict him of that offense, nor was the jury required to apply the firearm enhancement if it convicted defendant of first-degree battery; the firearm enhancement was not an element of the first-degree-battery offense but was an additional sentence authorized by statute if defendant was convicted of first-degree battery, and the jury determined that defendant employed a firearm during commission of that offense. Reed v. State, 2011 Ark. App. 352, 383 S.W.3d 881 (2011).

Where a defendant appealed his conviction for first-degree battery, a trial court abused its discretion in failing to instruct the jury on third-degree battery since there was some evidence to support such an instruction. The defendant testified that he did not mean to drop the infant on her head and that it was an accident, and an expert offered his opinion that a baby's skull could be fractured by a fall such as the one described by the defendant. Washington v. State, 2014 Ark. App. 122 (2014).

Lesser-Included Offenses.

Where the offense of which defendant was found guilty is a lesser included offense of that offense with which he was charged, he is in no position to complain of being convicted of the lesser crime. France v. State, 262 Ark. 193, 555 S.W.2d 225 (1977).

Offenses held not to be lesser included offenses. McDonald v. State, 266 Ark. 56, 582 S.W.2d 272 (1979); Williams v. State, 11 Ark. App. 11, 665 S.W.2d 299 (1984); Collins v. Lockhart, 771 F.2d 1580 (8th Cir. 1985).

Where, in proving a specified offense, there must be proof of the same or less than all the elements required to establish the commission of a greater offense, the specified offense is thus an included offense which falls within the double conviction prohibition of this section, and the double jeopardy prohibition of the Fifth Amendment of the United States Constitution. Swaite v. State, 272 Ark. 128, 612 S.W.2d 307 (1981).

Court could include offense as a lesser included offense pursuant to subsection (b). Glover v. State, 273 Ark. 376, 619 S.W.2d 629 (1981).

Conviction held to be proper under subdivision (b)(3) as a lesser included offense. Slavens v. State, 1 Ark. App. 245, 614 S.W.2d 529 (1981).

Offense held to be a lesser included offense of another offense. Martin v. State, 277 Ark. 175, 639 S.W.2d 738 (1982); Robinson v. State, 279 Ark. 61, 648 S.W.2d 446 (1983); James v. State, 280 Ark. 359, 658 S.W.2d 382 (1983).

Where an offense requires proof of a fact which is not an element in the proof of another greater offense, the lesser offense is not included in the greater offense. Allen v. State, 281 Ark. 1, 660 S.W.2d 922 (1983), cert. denied, 472 U.S. 1019, 105 S. Ct. 3482, 87 L. Ed. 2d 617 (1985).

An offense is not a lesser included offense solely because a greater offense includes all of the elements of an underlying offense; the lesser included offense doctrine additionally requires that the two crimes be of the same generic class and that the differences between the offenses be based upon the degree of risk or risk of injury to person or property or else upon grades of intent or degrees of culpability. Thompson v. State, 284 Ark. 403, 682 S.W.2d 742 (1985), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002).

Offenses held to be of a different nature and not of the same generic class and, consequently, one offense was not a lesser offense included within the other. Thompson v. State, 284 Ark. 403, 682 S.W.2d 742 (1985), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002).

Offense held not to be a lesser included offense of another because the two offenses each contain an element that the other does not; therefore, the two crimes do not meet the statutory definition of an included offense since one offense is not established by proof “of the same or less” than the elements required to prove the other greater offense. Henderson v. State, 286 Ark. 4, 688 S.W.2d 734 (1985), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002), but see McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002), restating the test for determining when an offense is included in another offense Hall v. State, 15 Ark. App. 309, 692 S.W.2d 769 (1985).

When the commission of a criminal offense by definition cannot be established without the commission of any underlying criminal offense, convictions for both offenses are barred by this section. Ward v. State, 20 Ark. App. 172, 726 S.W.2d 289 (1987); Ballew v. State, 298 Ark. 175, 766 S.W.2d 14 (1989).

Since rape and attempted rape are lesser included offenses of capital murder, it was error for the defendant to be convicted and sentenced for attempted rape. Carmichael v. State, 296 Ark. 479, 757 S.W.2d 944 (1988).

Arson is neither a lesser offense included within conspiracy to commit theft by deception nor an “element included offense” of conspiracy to commit theft by deception. Shamlin v. State, 23 Ark. App. 39, 743 S.W.2d 1 (1988), rehearing denied, 23 Ark. App. 39, 744 S.W.2d 405 (1988), cert. denied, Shamlin v. Arkansas, 488 U.S. 863, 109 S. Ct. 163 (1988).

Trial court did not err in refusing to reduce charge to second-degree murder on double jeopardy grounds. Lamb v. State, 23 Ark. App. 115, 743 S.W.2d 399 (1988).

Neither rape nor kidnapping is a lesser included offense of the other, as each involves separate elements, and it is not necessary to prove one offense in order to prove the other. Handy v. State, 24 Ark. App. 122, 749 S.W.2d 683 (1988).

A kidnapping which qualifies as a Class B felony is not a lesser included offense of a kidnapping which constitutes a Class Y felony. Rather, the offense is still kidnapping, even when there is a voluntary, safe release of the victim. Woods v. State, 302 Ark. 512, 790 S.W.2d 892 (1990).

An offense is not a lesser included offense solely because a greater offense includes all the elements of the lesser offense; the lesser included offense doctrine additionally requires that the two offenses be of the same generic class and that the difference between the offenses be based upon the degree of risk or risk of injury to person or property or else upon grades of intent or degrees of culpability. Ritchie v. State, 31 Ark. App. 177, 790 S.W.2d 919 (1990).

Aggravated robbery is not a “lesser included offense” of capital felony murder because robbery and murder are not in the same generic class; however, aggravated robbery is an “element included offense” of capital felony murder because, by statutory definition, capital murder could not be committed without committing aggravated robbery in a case where aggravated robbery is the underlying felony supporting the capital murder charge. Mullins v. State, 303 Ark. 695, 799 S.W.2d 550 (1990).

Rape and first degree battery are separate and distinct crimes with different elements of proof; and neither is a crime which can be subsumed under the other. Strawhacker v. State, 304 Ark. 726, 804 S.W.2d 720 (1991).

Where defendant was convicted of both attempted capital murder, ostensibly the more serious crime, which was a Class A felony, and aggravated robbery, a Class Y felony, the trial court properly set aside the attempted capital murder conviction based on the classification of the crime, rather than whether it was a lesser included offense. Beard v. State, 306 Ark. 546, 816 S.W.2d 860 (1991).

Aggravated and first degree assault are not lesser included offenses of resisting arrest. Enoch v. State, 37 Ark. App. 103, 826 S.W.2d 291 (1992).

Violation of the implied consent law is not a lesser included offense of driving while intoxicated, and the offense of driving while intoxicated is not a lesser included offense of violation of the implied consent law. Frana v. State, 323 Ark. 1, 912 S.W.2d 930 (1996).

In a prosecution for kidnapping, aggravated robbery, and theft of property, the defendant was not entitled to have the jury instructed with regard to false imprisonment as a lesser included offense since his defense was based on a denial of all charges and, thus, his instruction request was inconsistent with his own proof. Nichols v. State, 69 Ark. App. 212, 11 S.W.3d 19 (2000).

There was no double jeopardy violation where a defendant was convicted of both possession with intent to deliver a controlled substance and simultaneous possession of drugs and firearms, notwithstanding that possession of a controlled substance with intent to sell is an included offense within simultaneous possession of a controlled substance and a firearm, since the General Assembly made it clear that it wished to assess an additional penalty for simultaneously possessing controlled substances and a firearm. Rowbottom v. State, 341 Ark. 33, 13 S.W.3d 904 (2000).

Driving while intoxicated is a lesser included offense of negligent homicide; therefore, the trial court erred in sentencing the defendant separately on that count. Montague v. State, 68 Ark. App. 145, 5 S.W.3d 101 (1999), aff'd, 341 Ark. 144, 14 S.W.3d 867 (2000).

Felony manslaughter is not a lesser included offense of capital felony murder or first-degree felony murder. Hill v. State, 344 Ark. 216, 40 S.W.3d 751 (2001), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002), but see McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002), restating the test for determining when an offense is included in another offense.

There was no violation of this section where the defendant was convicted of both manufacturing methamphetamine and possession of methamphetamine with intent to distribute, since the latter crime is not a lesser included offense of the former crime. Cothren v. State, 344 Ark. 697, 42 S.W.3d 543 (2001).

Trial court was not obligated under subsection (c) to instruct the jury on second degree murder as a lesser included offense where there sufficient corroborated testimony and medical evidence supporting a verdict of first degree murder. Atkinson v. State, 347 Ark. 336, 64 S.W.3d 259 (2002).

Sections 5-27-303(b) and 5-27-403(a) constituted two separate offenses in that the actor and prohibited conduct in § 5-27-303(b) was different from the actor and prohibited conduct in § 5-27-403(a); as a guardian to the child, defendant husband's conduct was prohibited under § 5-27-303(b), and under § 5-27-403(a), defendant was a person who produced, directed, or promoted a website which included photographs depicting the lewd exhibition of the breasts of a female and the genitals or pubic area of the child, who was younger than 17. Cummings v. State, 353 Ark. 618, 110 S.W.3d 272 (2003).

Operation of a vehicle without a valid license plate in violation of § 27-14-304 is not a lesser included offense of willfully attempting to evade or defeat the payment of tax, in violation of § 26-18-201(a), and failure to pay tax, in violation of § 26-18-202; it is possible to commit the greater offenses without committing the offense of operating a vehicle without a license plate, and the lesser charge requires proof of an additional element not required under the greater offenses. Owens v. State, 354 Ark. 644, 128 S.W.3d 445 (2003).

Defendant's conviction for first-degree murder was improper where the evidence warranted a manslaughter instruction that should have been presented to the jury; because there was evidence that warranted an instruction on a lesser-included offense, including the fact that the victim shot at defendant first until his gun jammed, it was in error to refuse to give the manslaughter instruction. Whittier v. State, 84 Ark. App. 362, 141 S.W.3d 924 (2004).

Court did not err in refusing to instruct the jury on sexual indecency with a child where it was not a lesser included offense of rape because committing the crime of sexual indecency with a child was not an attempt to commit rape, and the injury or risk of injury was the same for both offenses; specifically, subjecting the victim to deviate sexual activity was the injury or risk of injury for both offenses. Pratt v. State, 359 Ark. 16, 194 S.W.3d 183 (2004).

Because sexual misconduct was not a lesser-included offense of rape, the trial court did not abuse its discretion in denying defendant's proffered lesser-included instructions. McDuffy v. State, 359 Ark. 180, 196 S.W.3d 12 (2004).

Trial court erred in finding defendant guilty of second-degree forgery as it was not a lesser-included offense of first-degree forgery, set forth in the charging instrument and under which the trial proceeded; as provided in § 5-37-201(b) and (c), second-degree forgery requires proof of documents different from those for first-degree forgery and does not meet the requirements of the tests set out in subsection (b) of this section for a lesser-included offense, therefore, they are two separate crimes. Eagle v. State, 92 Ark. App. 328, 213 S.W.3d 661 (2005).

Court did not err in denying an instruction on the lesser-included offense of second-degree murder where defendant was unable to point to any evidence in the record that supported a knowing mental state rather than a purposeful mental state because he proclaimed his innocence throughout the trial and even took the stand in his own defense, denying any involvement in the murder; moreover, the jury was instructed on both capital murder and first-degree murder, but convicted defendant of the greater offense of capital murder. Flowers v. State, 362 Ark. 193, 208 S.W.3d 113 (2005).

Second-degree false imprisonment is not a lesser included offense of kidnapping; thus, instruction on second-degree or first-degree false imprisonment was not required in a kidnapping case. Davis v. State, 365 Ark. 634, 232 S.W.3d 476 (2006).

Circuit court erred in instructing the jury on felony manslaughter as a lesser included offense of capital felony murder, because the “extreme indifference” element was not a culpable mental state relating to a specific homicide victim but merely described the dangerous circumstances generally set in motion by defendant, and since the “extreme indifference” standard was not a mens rea related to a specific victim, it could not support a lesser included offense based on a less culpable mental state; the sole mens rea element in capital felony murder and first degree felony murder related to the underlying felony and not to the homicide itself. Perry v. State, 371 Ark. 170, 264 S.W.3d 498 (2007).

First-degree battery is not a lesser included offense of aggravated robbery as it is not established by proof of the same or less than all of the elements required to prove aggravated robbery. First-degree battery requires proof of the use of a firearm, whereas aggravated robbery does not; aggravated robbery requires proof of a robbery, whereas first-degree battery does not. Clark v. State, 373 Ark. 161, 282 S.W.3d 801 (2008).

Prohibition against double jeopardy was not violated when defendant was convicted of first-degree battery and aggravated robbery because the elements of the offenses were not the same, and first-degree battery was not a lesser included offense of aggravated robbery. Clark v. State, 373 Ark. 161, 282 S.W.3d 801 (2008).

Neither § 5-64-401(c)(1) nor § 5-64-403(c)(1)(A)(i) are lesser included offenses of the other pursuant to the terms of subsection (b) of this section because the plain language shows that possession of a controlled substance does not require the simultaneous possession of paraphernalia, and possession of paraphernalia does not require the simultaneous possession of a controlled substance; the elements of the two offenses can be completely exclusive of each other. Koster v. State, 374 Ark. 74, 286 S.W.3d 152 (2008).

Trial court did not err during defendant's trial in refusing to instruct a jury on the lesser offense of sexual assault in the second degree, in violation of § 5-14-125(a)(3)(A)-(B), on one count of rape, in violation of § 5-14-103(a)(3)(A), because sexual assault was not established by proof of the same or less than all of the elements required to establish rape, as required by subsection (b) of this section to be a lesser-included offense. Joyner v. State, 2009 Ark. 168, 303 S.W.3d 54, cert. denied, 558 U.S. 1047, 130 S. Ct. 736, 175 L. Ed. 2d 514 (2009).

Trial court did not err in refusing to instruct the jury on aggravated assault during defendant's trial for aggravated robbery because aggravated assault, in violation of § 5-13-204(a)(1) and (2), was not a lesser-included offense of aggravated robbery pursuant to subdivision (b)(1) of this section as the two offenses required different elements of proof; aggravated assault required proof of circumstances manifesting extreme indifference to the value of human life, whereas aggravated robbery did not require such proof. Matthews v. State, 2009 Ark. 321, 319 S.W.3d 266 (2009).

In a case in which defendant was convicted of simultaneous possession of drugs and firearms and possession of a controlled substance with the intent to deliver and he argued that the latter conviction was a lesser-included offense of the simultaneous-possession charge and that his double-jeopardy rights had been violated because he had been convicted twice of the same crime, the latter conviction did not violate subdivision (a)(1) of this section. Under the Rowbottom decision, convictions for simultaneous possession of drugs and firearms and for possession with the intent to deliver did not violate double-jeopardy rules. Lee v. State, 2010 Ark. App. 224 (2010).

Although there was not substantial evidence to support defendant's convictions for aggravated assault pursuant to § 5-13-204(a) with respect to defendant sideswiping a victim's vehicle on an interstate, under subsection (b) of this section, the evidence would clearly sustain convictions for the lesser-included offense of first degree assault under § 5-13-205(a); the testimony established defendant acted recklessly when he approached the victim's vehicle from the rear, going very fast, and in passing the victim's vehicle on the left, defendant sideswiped the vehicle. Mance v. State, 2010 Ark. App. 472 (2010).

Sexual indecency with a child was not a lesser included offense of sexual assault in the first degree, as sexual indecency with a child required solicitation, which was not required for sexual assault in the first degree, and sexual assault in the first degree required that the sexual conduct occur but not that the defendant solicit the conduct. Sexual indecency with a child requires proof that the victim was less than fifteen years old, whereas sexual assault in the first degree only requires that the victim was less than eighteen years old. Halliday v. State, 2011 Ark. App. 544, 386 S.W.3d 51 (2011).

In a case in which a jury convicted defendant of capital murder in the shooting death of his ex-wife, the trial court properly refused to instruct the jury on reckless manslaughter and negligent homicide. Defendant, who fired once into a residence, mortally striking his ex-wife in the back, offered no rational basis to support giving either instruction on the basis that his actions were reckless or negligent. Jones v. State, 2012 Ark. 38, 388 S.W.3d 411 (2012).

In a criminal trial, the circuit court did not abuse its discretion in denying defendant's request to instruct the jury that second-degree sexual assault under § 5-14-125(a)(3) was a lesser offense included in rape of a person less than fourteen years of age, as defined in § 5-14-103(a)(3)(A), because the offense contained two elements not included in rape: defendant's age and marital status. Therefore, second-degree sexual assault was not a lesser offense included in rape under the tests set forth in subsection (b) of this section. Webb v. State, 2012 Ark. 64 (2012).

Defense counsel was not ineffective for not objecting that defendants' convictions violated double jeopardy under subsection (b) of this section because possession of drug paraphernalia with intent to manufacture methamphetamine was not a lesser-included offense of manufacturing methamphetamine, in violation of § 5-64-101(m). Myers v. State, 2012 Ark. 143, 400 S.W.3d 231 (2012).

Appellant sentenced to 540 months' incarceration for manufacturing a controlled substance, two counts of possession of drug paraphernalia with the intent to manufacture methamphetamine, and failure to appear was not entitled to proceed with an appeal of the decision denying his petition for writ of habeas corpus. The trial court was not without jurisdiction to accept appellant's guilty plea for the charges of possession of drug paraphernalia with intent to manufacture methamphetamine, as it was not a lesser-included offense of manufacturing methamphetamine for purposes of subsection (b) of this section because the offenses do not share the same elements; a conviction for manufacturing methamphetamine requires the State to prove that a defendant is engaged in the production, preparation, propagation, compounding, conversion, or processing of methamphetamine, whereas possession of drug paraphernalia with intent to manufacture methamphetamine requires no such proof. McHaney v. Hobbs, 2012 Ark. 361 (2012).

Jury instruction on the lesser-included offense of attempted aggravated robbery was not warranted because there was no evidence of the offense of attempt under § 5-3-201(a)(2); when appellant stormed out of a retail store's stockroom brandishing a gun and pointing it employees, he actually completed the offense of aggravated robbery. Thomas v. State, 2012 Ark. App. 466, 422 S.W.3d 217 (2012).

In a theft trial, it was not necessary to instruct the jury on the lesser-included offense of attempted theft because defendant clearly exercised unauthorized control over a store's property when he threw it over a fence into an area off the store's parking lot; it was not necessary that defendant also “take” the property to complete the crime. Cole v. State, 2013 Ark. App. 492 (2013).

Circuit court did not abuse its discretion when it declined defendant's request to include a lesser-included-offense jury instruction for second-degree sexual assault; second-degree sexual assault is not a lesser-included offense of rape because it requires proof of two elements that rape does not: defendant's age (18 or over) and defendant's marital status (not married to the victim). Hartman v. State, 2015 Ark. 30, 454 S.W.3d 721 (2015).

Circuit court's decision to revoke defendant's probation based on his committing the crime of manufacturing methamphetamine was not in error; although the evidence was insufficient to show that defendant committed that offense, it was sufficient to support the offense of attempting to manufacture methamphetamine. Atteberry v. State, 2016 Ark. App. 331 (2016).

In a robbery case in which several witnesses testified that defendant shoved a store employee out of the way and swung at another store employee while trying to flee with a money bag, the trial court did not err in denying defendant's request that the jury be instructed on theft as a lesser-included offense of robbery. Cartwright v. State, 2016 Ark. App. 425, 501 S.W.3d 849 (2016).

Theft is not a lesser-included offense of robbery pursuant to subsection (b) of this section. The wrongful appropriation of the victim's property is an essential element of theft, while robbery can be committed without actually taking the property of another, since robbery is defined as employing or threatening to employ physical force upon another with the purpose of committing a felony or misdemeanor theft or resisting apprehension immediately thereafter. Cartwright v. State, 2016 Ark. App. 425, 501 S.W.3d 849 (2016).

Defendants' argument that the firearm-enhancement statute was a lesser-included offense of any crime for which use of a firearm was an element, thereby making their sentences for the underlying felonies and the firearm enhancements illegal, was unpreserved for review because it was not properly framed as a challenge to an illegal sentence; the argument was a double-jeopardy challenge, and it had already been directly addressed and rejected. Anderson v. State, 2017 Ark. App. 300 (2017).

While the juvenile was charged with second-degree terroristic threatening and the circuit court in effect sua sponte amended the charge when it found the juvenile guilty of second-degree assault, and second-degree assault is not a lesser-included offense of second-degree terroristic threatening, the juvenile failed to raise the due process issue at the circuit court level and therefore failed to preserve the issue for appellate review. I.K. v. State, 2018 Ark. App. 584, 564 S.W.3d 579 (2018).

Revocation of defendant's suspended sentence was appropriate; even though the evidence did not establish any physical injury to the victim to support the allegation of second-degree battery on a law enforcement officer under § 5-13-202, the Court of Appeals without invitation held that the evidence was sufficient to support the lesser-included offense of second-degree assault under § 5-13-206. Caldwell v. State, 2018 Ark. App. 588, 565 S.W.3d 539 (2018).

Trial court did not err in failing to instruct the jury on negligent homicide because it was not a lesser-included offense of unlawful discharge of a firearm from a vehicle, and defendant's proffered instruction did not meet any of the three alternative tests set out in this section where the culpable mental state for negligent homicide was directed at the act of causing the death of another person and the culpable mental state for first-degree unlawful discharge of a firearm from a vehicle was directed at the act of discharging the firearm. Webb v. State, 2019 Ark. App. 436, 587 S.W.3d 252 (2019).

Multiple Charges.

Subsection (a) means that a defendant may be prosecuted for more than one offense, but, under specified circumstances, a judgment of conviction may only be entered for one of the offenses. Hill v. State, 314 Ark. 275, 862 S.W.2d 836 (1993).

By allowing prosecution for both conspiracy and the underlying offense, this section does not merge the inchoate offense into the ultimate offense. Williams v. State, 54 Ark. App. 271, 927 S.W.2d 812 (1996), superseded, 328 Ark. 487, 944 S.W.2d 822 (1997).

Multiple Convictions.

Where offenses are separate, a defendant who had been convicted of the several offenses was not twice placed in jeopardy by being convicted of both offenses. King v. State, 262 Ark. 342, 557 S.W.2d 386 (1977), overruled in part, State v. Brown, 356 Ark. 460, 156 S.W.3d 722 (2004).

Where separate offenses were committed, each commencing at a distinct point in time as the result of a separate impulse, and defendant could be convicted and sentenced for both offenses. Rowe v. State, 271 Ark. 20, 607 S.W.2d 657 (1980), cert. denied, Rowe v. Arkansas, 450 U.S. 1043, 101 S. Ct. 1764 (1981).

There was error in entering a judgment of conviction on more than one offense where one of the offenses was established by proof of less than all of the elements required to establish the commission of another offense. Earl v. State, 272 Ark. 5, 612 S.W.2d 98 (1981).

There was no statutory or constitutional prohibition against convictions on separate counts, since, although the crimes were committed in the same escapade, they were not of the same conduct because they were committed against different persons, thus they were added elements of proof as to different victims. Swaite v. State, 272 Ark. 128, 612 S.W.2d 307 (1981).

Where a defendant was sentenced for several offenses, the conviction for the greater offense was affirmed, but the conviction for the lesser included offense was set aside, since subdivisions (a)(1) and (b)(1) prohibit the entry of a judgment of conviction on the greater offense and on the underlying lesser included offense. Singleton v. State, 274 Ark. 126, 623 S.W.2d 180 (1981), cert. denied, Singleton v. Arkansas, 456 U.S. 938, 102 S. Ct. 1996, 72 L. Ed. 2d 458 (1982), cert. denied, Singleton v. Arkansas, 459 U.S. 882, 103 S. Ct. 184 (1982).

Subdivision (a)(1) only prohibits two convictions where one offense is included in another; accordingly, a defendant can be convicted of one offense and acquitted of another where the offenses arise out of the same conduct, since one offense is one of the elements of proof necessary to find a defendant guilty of the second so that acquittal of the second charge is not dispositive of the first charge. Johnson v. State, 274 Ark. 293, 623 S.W.2d 831 (1981).

It was not improper under subdivision (a)(1) to convict defendant of a lesser offense but acquit him of the greater offense since the greater offense required proof that the defendant committed the lesser offense and another fact. Johnson v. State, 274 Ark. 293, 623 S.W.2d 831 (1981).

Convictions on more than one count did not violate the prohibition against double jeopardy. Foster v. State, 275 Ark. 427, 631 S.W.2d 7 (1982).

Where the prosecution of defendant for two offenses arose from the same incident, his convictions for both offenses violated the prohibition against double jeopardy since one offense was a lesser included offense of the other; therefore, his conviction and sentence for the lesser included offense would be set aside. Brewer v. State, 277 Ark. 40, 639 S.W.2d 54 (1982).

When there has been more than one finding of guilt resulting from the same conduct, the lesser penalty should be set aside. Akins v. State, 278 Ark. 180, 644 S.W.2d 273 (1983).

When a criminal offense by definition includes a lesser offense, a conviction cannot be had for both offenses under this section. Hill v. State, 278 Ark. 194, 644 S.W.2d 282 (1983).

Where it was necessary to prove the elements of one or more offenses to prove the elements of another offense, the conviction and sentence imposed for the lesser included offenses were set aside, and the conviction and sentence for the greater offense were not disturbed. Hill v. State, 278 Ark. 194, 644 S.W.2d 282 (1983).

Where one offense was a lesser included offense of another, and the defendant had been convicted and sentenced for both offenses, the conviction and sentence for the lesser included offense would be set aside. Robinson v. State, 279 Ark. 61, 648 S.W.2d 446 (1983).

Where the defendant's convictions for two offenses grew out of a single act, and the proof required to prove the greater of the offenses necessarily included proof of the lesser offense, the defendant's conviction and sentence for the lesser offense had to be set aside. Sanders v. State, 279 Ark. 32, 648 S.W.2d 451 (1983).

This section prohibited a court from convicting and sentencing a defendant for several offenses involving the same victim where both charges arose from the same occurrence. Walton v. State, 279 Ark. 193, 650 S.W.2d 231 (1983).

Where the same proof was required for each of two counts of an offense involving the same victim, the entry of conviction on both counts was prohibited by subdivisions (a)(1) and (b)(1). Mitchell v. State, 281 Ark. 112, 661 S.W.2d 390 (1983).

Where none of the crimes was necessarily a lesser included offense of the other, since all involve separate elements, and it is not necessary to prove one offense in order to prove another, this section did not preclude defendant's conviction for all crimes charged. Hickerson v. State, 282 Ark. 217, 667 S.W.2d 654 (1984).

Where offense was not a lesser included offense of another offense, the defendant could be sentenced for both of these offenses without violating this section or the double jeopardy clause of the Fifth Amendment to the U.S. Constitution. Collins v. Lockhart, 771 F.2d 1580 (8th Cir. 1985).

Where the charges were based upon the same elements, the two felonies were merged into one, and under subdivision (b)(1) defendant could only be convicted of one offense; thus, defendant's conviction for the greater of the two offenses was affirmed and his conviction for the lesser of the two offenses was reversed and dismissed. Blair v. State, 16 Ark. App. 1, 696 S.W.2d 755 (1985).

Where the defendant raped the victim with his finger, and then, after leaving the bedroom and returning, got an erection and penetrated her, the two acts of rape were of a different nature and were separated in point of time, and the defendant was properly convicted of two counts of rape. Tarry v. State, 289 Ark. 193, 710 S.W.2d 202 (1986).

The double jeopardy clause and subsection (a) and subdivision (b)(1) of this section did not preclude the defendant's convictions of both attempted first degree murder and aggravated robbery, where the defendant held the first victim at gunpoint and examined her jewelry with the purpose of committing a theft, and then he shot the second victim. Kinsey v. State, 290 Ark. 4, 716 S.W.2d 188 (1986).

Battery in the first degree is distinguishable from aggravated robbery in that (1) the battery offense requires serious physical injury to another, while aggravated robbery does not, and (2) aggravated robbery requires the purpose of committing robbery while being armed with a deadly weapon, or the representation that one is so armed, while first-degree battery, by statutory definition, requires neither of these two elements. Consequently, defendant can be prosecuted for both offenses. Robinson v. Lockhart, 823 F.2d 210 (8th Cir. 1987).

Where the restraint exceeds that which necessarily accompanies the crime of aggravated robbery, the robber is also subject to prosecution for kidnapping. Frensley v. State, 291 Ark. 268, 724 S.W.2d 165 (1987).

The criminal code does not excuse a defendant for multiple crimes committed during one escapade, and so convictions for burglary and breaking or entering are proper. Ward v. State, 20 Ark. App. 172, 726 S.W.2d 289 (1987).

Where evidence was sufficient to show successive and separate impulses as to theft of two persons' property, convictions on separate counts of theft were proper. Perkins v. State, 298 Ark. 322, 767 S.W.2d 514 (1989).

This section does not prohibit conviction for both conspiracy and the underlying substantive offense of delivery of a controlled substance where the conspiracy contemplated the commission of a series of criminal acts, not merely a single transaction. Lee v. State, 27 Ark. App. 198, 770 S.W.2d 148 (1989), cert. denied, Lee v. Arkansas, 493 U.S. 847, 110 S. Ct. 142 (1989).

A jury may convict on some counts but not on others, and may convict in different degrees on some counts, because of compassion or compromise and not solely because there was insufficient evidence of guilt. Jordan v. State, 323 Ark. 628, 917 S.W.2d 164 (1996).

Defendant, charged with two counts of capital murder, was properly found guilty of second-degree murder and attempted first-degree murder. Jordan v. State, 323 Ark. 628, 917 S.W.2d 164 (1996).

This section does not prohibit convictions for both delivery of a controlled substance and conspiracy to deliver. Williams v. State, 54 Ark. App. 271, 927 S.W.2d 812 (1996), superseded, 328 Ark. 487, 944 S.W.2d 822 (1997).

Merger of two capital murders was not required under § 5-1-110(d)(1), and where defendant waived a sentencing hearing, thereby giving the trial court sole sentencing authority under § 5-4-103(b)(4), the trial court had the authority to order defendant's sentences to run consecutively under § 5-4-403(a). Walker v. State, 353 Ark. 12, 110 S.W.3d 752 (2003).

Multiple convictions were not allowed where a defendant was charged with attempted capital murder and two underlying felonies, kidnapping and aggravated robbery; thus, the kidnapping charge was selected in defendant's case to merge into the attempted capital murder conviction as the General Assembly did not clearly express an intent in this section to allow for multiple convictions for each of those crimes. Flowers v. Norris, 347 Ark. 760, 68 S.W.3d 289 (2002).

Pursuant to subdivision (d)(1), defendant's convictions for both first-degree murder and the underlying felony of aggravated robbery was authorized by the legislature and his convictions did not violate the federal or state Double Jeopardy Clauses. Hudson v. State, 85 Ark. App. 85, 146 S.W.3d 380 (2004).

Trial court did not err in sentencing defendant, who was convicted of two counts of committing a terroristic act, to 30 years' imprisonment pursuant to the “three strikes” provision of § 5-4-501 (d)(1) based on the fact that he had been convicted the previous month of three counts of aggravated robbery in an unrelated case. Benson v. State, 86 Ark. App. 154, 164 S.W.3d 495 (2004).

Defendant was properly convicted of capital murder and arson after he told a neighbor that his trailer home exploded while his girlfriend was inside; the constitutional prohibition against double jeopardy was not violated because subdivision (d)(1)(A) of this section permitted a sentence for both crimes. Meadows v. State, 358 Ark. 396, 191 S.W.3d 527 (2004).

Trial court did not err in determining that consecutive sentencing for aggravated robbery, § 5-12-103(a)(1), first-degree terroristic threatening, § 5-13-301(a)(1)(A), and second-degree battery, § 5-13-202(a)(2), did not violate the prohibition against double jeopardy in Ark. Const. Art. 2, § 8 and the Fifth Amendment because neither first-degree terroristic threatening nor second-degree battery was a lesser-included offense of aggravated robbery since both crimes required proof of additional facts not required by aggravated robbery; the offense of first-degree terroristic threatening requires the elements of threatening to cause the death of the victim and the purpose of terrorizing the victim, and a conviction for second-degree battery requires proof of purposely causing physical injury to the victim. Walker v. State, 2012 Ark. App. 61, 389 S.W.3d 10 (2012).

Since the underlying felony for the first-degree murder charge was robbery, it was proper for defendant to be sentenced on the first-degree murder conviction and its underlying felony of robbery and the trial court erred in imposing a sentence for aggravated robbery. Thompson v. State, 2015 Ark. 271 (2015).

Circuit court properly denied defendant's petition for writ of habeas corpus because a conviction under § 5-27-602(a)(1) for each photograph sent by defendant did not violate double jeopardy, even though he sent only one email with one attachment. The number of charges brought against defendant was authorized by the legislature, defendant did not dispute that the email he sent contained 30 separate photographs depicting children engaging in sexually explicit conduct, and, although “computer file” is included in the list of media in § 5-27-602(a)(1), the fact that the 30 photographs were attached to the email in a single file was not relevant where it is the number of photographs distributed, not the manner of distribution, that gives rise to the number of permissible charges. Pelletier v. Kelley, 2018 Ark. 347, 561 S.W.3d 730 (2018).

Multiple Impulses.

Where the evidence displayed defendant's impulse to kidnap the victim and additional impulses to batter and threaten to kill her when she resisted the kidnapping, convictions for the separate offenses of first degree terroristic threatening (§ 5-13-301), second degree battery (§ 5-13-202), and attempted kidnapping (§ 5-3-201) were upheld because defendant's criminal acts were not all part of the attempted kidnapping and were not a continuing course of conduct. Hagen v. State, 318 Ark. 139, 883 S.W.2d 832 (1994).

Defendant was properly charged with multiple counts of rape rather than one count where there were separate penetrations occurring as a result of separate impulses, notwithstanding that the acts were not separated in time. Ricks v. State, 327 Ark. 513, 940 S.W.2d 422 (1997).

Parole.

Denial of parole is not a new punishment for purposes of double jeopardy. Clawitter v. Lockhart, 286 Ark. 131, 689 S.W.2d 558 (1985).

Review.

Appeal which raised an issue of the application of subsection (c), rather than its interpretation, did not involve the correct and uniform administration of the criminal law and was not addressed by the Supreme Court. State v. Jones, 321 Ark. 451, 903 S.W.2d 170 (1995).

A defendant is required to address the lesser included offenses in his motion for a directed verdict to preserve on appeal a challenge to the sufficiency of the evidence necessary to support a conviction for a lesser included offense; failure to question the sufficiency of the evidence for lesser included offenses, either by name or by apprising the trial court of the elements of the lesser included offenses, at the close of the state's case constituted a waiver of the argument. Jordan v. State, 323 Ark. 628, 917 S.W.2d 164 (1996).

Defendant failed to preserve his double-jeopardy argument for appellate review because he failed to raise the argument after the jury had returned its guilty verdicts. Sheppard v. State, 2014 Ark. App. 206 (2014).

Court of Appeals lacked jurisdiction to consider defendant's interlocutory appeal because his notice of appeal was untimely; the circuit court's denial of defendant's motion to dismiss was necessarily a denial of his res judicata arguments, and thus, the dismissal order was the one from which defendant should have filed his notice of appeal. Shaver v. State, 2018 Ark. App. 242, 548 S.W.3d 222 (2018).

Separate Acts.

Prosecutor explained there were three aggravated assaults, plus the prosecutor identified the injuries the victim suffered from defendant's actions, and these were separate acts resulting from separate impulses, even though they happened during the same criminal episode, and they constituted distinct acts, such that the trial court did not err in denying the motion to dismiss. Rodriguez v. State, 2014 Ark. App. 660, 449 S.W.3d 306 (2014).

Trial court did not abuse its discretion in denying postconviction relief because trial counsel was not ineffective for failing to move for dismissal of the charge of second-degree sexual assault on double jeopardy grounds, as the State presented evidence of separate impulses comprising separate acts conforming with the definitions of rape and second-degree sexual assault. Sorum v. State, 2019 Ark. App. 354, 582 S.W.3d 18 (2019).

Writ of Error Coram Nobis.

Double-jeopardy claims do not fall within any of the four categories of recognized claims for a writ of error coram nobis. Pelletier v. State, 2015 Ark. 432, 474 S.W.3d 500 (2015).

Cited: Hamilton v. State, 262 Ark. 366, 556 S.W.2d 884 (1977); Lowe v. State, 264 Ark. 205, 570 S.W.2d 253 (1978); Sbabo v. State, 264 Ark. 497, 572 S.W.2d 585 (1978); Grays v. State, 264 Ark. 564, 572 S.W.2d 847 (1978); Utley v. State, 266 Ark. 794, 586 S.W.2d 242 (Ct. App. 1979); Lewis v. State, 267 Ark. 933, 591 S.W.2d 687 (Ct. App. 1979); Swaite v. State, 274 Ark. 154, 623 S.W.2d 176 (1981); Hill v. State, 276 Ark. 300, 634 S.W.2d 120 (1982); Robinson v. State, 278 Ark. 516, 648 S.W.2d 444 (1983); Moore v. State, 280 Ark. 222, 656 S.W.2d 698 (1983); Thomas v. State, 280 Ark. 593, 660 S.W.2d 169 (1983); Rowe v. Lockhart, 736 F.2d 457 (8th Cir. 1984); Shrader v. State, 13 Ark. App. 17, 678 S.W.2d 777 (1984); Glisson v. State, 286 Ark. 329, 692 S.W.2d 227 (1985); Zones v. State, 287 Ark. 483, 702 S.W.2d 1 (1985); Speer v. State, 18 Ark. App. 1, 708 S.W.2d 94 (1986); Holloway v. State, 18 Ark. App. 136, 711 S.W.2d 484 (1986); Watson v. State, 290 Ark. 484, 720 S.W.2d 310 (1986); Gooden v. State, 295 Ark. 385, 749 S.W.2d 657 (1988); Rolark v. State, 299 Ark. 299, 772 S.W.2d 588 (1989); Yates v. State, 301 Ark. 424, 785 S.W.2d 199 (1990); Jeffers v. State, 301 Ark. 590, 786 S.W.2d 114 (1990); Harrison v. State, 303 Ark. 247, 796 S.W.2d 329 (1990); Leshe v. State, 304 Ark. 442, 803 S.W.2d 522 (1991); Frazier v. State, 309 Ark. 228, 828 Ark. 838, 828 S.W.2d 838 (1992); Bonds v. State, 310 Ark. 541, 837 S.W.2d 881 (1992); Tisdale v. State, 311 Ark. 220, 843 S.W.2d 803 (1992); Patrick v. State, 314 Ark. 285, 862 S.W.2d 239 (1993); Lindsey v. State, 54 Ark. App. 266, 925 S.W.2d 441 (1996); Sherman v. State, 326 Ark. 153, 931 S.W.2d 417 (1996); Brown v. State, 74 Ark. App. 281, 47 S.W.3d 314 (2001); Wyatt v. State, 75 Ark. App. 1, 54 S.W.3d 549 (2001); Hardman v. State, 356 Ark. 7, 144 S.W.3d 744 (2004); Porter v. State, 358 Ark. 403, 191 S.W.3d 531 (2004); Harper v. State, 359 Ark. 142, 194 S.W.3d 730 (2004); Coombs v. Hot Springs Village Prop. Owners Ass'n, 98 Ark. App. 226, 254 S.W.3d 5 (2007); Rea v. State, 2015 Ark. 431, 474 S.W.3d 493 (2015).

5-1-111. Burden of proof — Defenses and affirmative defenses — Presumption.

  1. Except as provided in subsections (b), (c), and (d) of this section, no person may be convicted of an offense unless the following are proved beyond a reasonable doubt:
    1. Each element of the offense;
    2. Jurisdiction;
    3. Venue; and
    4. The commission of the offense within the time period specified in § 5-1-109.
  2. The state is not required to prove jurisdiction or venue unless evidence is admitted that affirmatively shows that the court lacks jurisdiction or venue.
    1. The issue of the existence of a defense does not need to be submitted to the jury unless evidence is admitted supporting the defense.
    2. If the issue of the existence of a defense is submitted to the jury, the court shall charge that any reasonable doubt on the issue requires that the defendant be acquitted.
    3. A “defense” is any matter:
      1. Designated a defense by a section of the Arkansas Criminal Code;
      2. Designated a defense by a statute not a part of the Arkansas Criminal Code; or
      3. Involving an excuse or justification peculiarly within the knowledge of the defendant on which he or she can fairly be required to introduce supporting evidence.
    1. The defendant shall prove an affirmative defense by a preponderance of the evidence.
    2. An “affirmative defense” is any matter designated an affirmative defense by a:
      1. Section of the Arkansas Criminal Code; or
      2. Statute not a part of the Arkansas Criminal Code.
  3. When the Arkansas Criminal Code or a statute not a part of the Arkansas Criminal Code provides that proof of a particular fact gives rise to a presumption as to the existence of a fact that is an element of the offense, the provision has the following consequences:
    1. If there is evidence of the fact giving rise to the presumption, the issue as to the existence of the presumed fact shall be submitted to the jury unless the court determines that the evidence as a whole precludes a finding beyond a reasonable doubt of the presumed fact; and
      1. If the issue as to the existence of the presumed fact is submitted to the jury, the court shall charge that evidence of the fact giving rise to the presumption is for the jury's consideration under all the circumstances of the case and to be weighed in determining the issue.
      2. However, the evidence of the fact giving rise to the presumption alone does not impose a duty of finding the presumed fact, even if the evidence is unrebutted.

History. Acts 1975, No. 280, § 110; A.S.A. 1947, § 41-110.

Meaning of “Arkansas Criminal Code”. See note to § 5-1-101.

Research References

Ark. L. Rev.

The Constitutionality of Affirmative Defenses to Criminal Charges, 29 Ark. L. Rev. 430.

Article, Ethical and Effective Representation in Arkansas Capital Trials, 60 Ark. L. Rev. 1.

Case Notes

Constitutionality.

Requiring a criminal defendant to prove his affirmative defense by a preponderance of the evidence does not violate the due process clause of the United States Constitution.Hobgood v. State, 262 Ark. 725, 562 S.W.2d 41, cert. denied, 439 U.S. 963, 99 S. Ct. 449, 58 L. Ed. 2d 421 (1978).

Construction.

The application of § 5-1-103(d) is governed by subsection (c) of this section. Campbell v. State, 265 Ark. 77, 576 S.W.2d 938 (1979).

The requirement of proof of jurisdiction under subsection (a) is tempered by subsection (b). Dewitt v. State, 306 Ark. 559, 815 S.W.2d 942 (1991).

In defendant's insurance fraud case, the state's appeal of the trial court's instruction on entrapment by estoppel was dismissed where the state was not asking for an interpretation of the law, but rather a ruling on the application of the law to the facts of the particular case; because the state's argument merely raised the issue of application and not the interpretation of a statutory provision, the appeal did not involve the correct and uniform administration of the criminal law. State v. Hagan-Sherwin, 356 Ark. 597, 158 S.W.3d 156 (2004).

Burden of Proof.

To prevail on an insanity defense, a defendant has to prove, by a preponderance of the evidence, that at the time of the events in question, “as a result of mental disease or defect,” he lacked the capacity to “conform his conduct to the requirements of law or to appreciate the criminality of his conduct” under § 5-2-312(a) -- (see now § 5-2-301) and subsection (d) of this section. Hill v. Lockhart, 28 F.3d 832 (8th Cir. 1994), rehearing denied, — F.3d —, 1994 U.S. App. LEXIS 22021 (8th Cir. Aug. 16, 1994), cert. denied, Norris v. Hill, 513 U.S. 1102, 115 S. Ct. 778 (1995).

Capital Cases.

The burden of proof is not higher in death cases than the standard of beyond a reasonable doubt. Nooner v. State, 322 Ark. 87, 907 S.W.2d 677 (1995), cert. denied, Nooner v. Arkansas, 517 U.S. 1143, 116 S. Ct. 1436, 134 L. Ed. 2d 558 (1996).

Defenses.

Defendant had burden to prove circumstances which would excuse or justify the killing. Deatherage v. State, 194 Ark. 513, 108 S.W.2d 904 (1937); Burgy v. State, 256 Ark. 677, 509 S.W.2d 820 (1974) (preceding decisions under prior law).

It was error for the court to instruct the jury that to justify the killing the burden was on defendant to prove self-defense or any element of self-defense by a preponderance of the evidence. Mode v. State, 231 Ark. 477, 330 S.W.2d 88 (1959), cert. denied, Mode v. Arkansas, 370 U.S. 909, 82 S. Ct. 1255 (1962) (decision under prior law).

Evidence sufficient to warrant instructing the jury on the burden of proving circumstances of mitigation. Bosnick v. State, 248 Ark. 1289, 455 S.W.2d 688 (1970) (decision under prior law).

Entrapment must be proved by the defendant by a preponderance of the evidence. Spears v. State, 264 Ark. 83, 568 S.W.2d 492 (1978); Rhoades v. State, 270 Ark. 962, 607 S.W.2d 76 (1980), cert. denied, Rhoades v. Arkansas, 452 U.S. 915, 101 S. Ct. 3048 (1981); Walls v. State, 280 Ark. 291, 658 S.W.2d 362 (1983); Hill v. State, 13 Ark. App. 307, 683 S.W.2d 628 (1985); Webber v. State, 15 Ark. App. 261, 692 S.W.2d 255 (1985).

Where the evidence was in conflict on the question of an affirmative defense, it presented a question of fact for the trial court as to whether defendant had carried his burden of proof, and since the defense had not been established as a matter of law, deferment must be given to the trial court. Leeper v. State, 264 Ark. 298, 571 S.W.2d 580 (1978).

The question of preponderance is primarily one for the jury, and a judge may direct a verdict only when no fact issue exists. Campbell v. State, 265 Ark. 77, 576 S.W.2d 938 (1979).

Defense of mental disease or defect is an affirmative defense which defendant must prove by a preponderance of the evidence. Campbell v. State, 265 Ark. 77, 576 S.W.2d 938 (1979); Gruzen v. State, 267 Ark. 380, 591 S.W.2d 342 (1979), cert. denied, 449 U.S. 852, 101 S. Ct. 144, 66 L. Ed. 2d 64 (1980); Gruzen v. Arkansas, 459 U.S. 1020, 103 S. Ct. 386, 74 L. Ed. 2d 517 (1982).

The disposition of one found mentally unfit to proceed with a trial because of mental disease or defect cannot possibly be considered a defense under the Code. Campbell v. State, 265 Ark. 77, 576 S.W.2d 938 (1979).

Justification is not an affirmative defense; it becomes a defense when any evidence is offered tending to support its existence and such evidence may be introduced by either side. Peals v. State, 266 Ark. 410, 584 S.W.2d 1 (1979).

Subsection (c)(3) does not require the trial court, sua sponte, to give an instruction on an ordinary defense. Schwindling v. State, 269 Ark. 388, 602 S.W.2d 639 (1980).

The burden on the defendant to prove an affirmative defense by preponderance of the evidence does not arise until after the state has proved every element of the offense beyond a reasonable doubt. Fairchild v. State, 284 Ark. 289, 681 S.W.2d 380 (1984), cert. denied, Fairchild v. Arkansas, 471 U.S. 1111, 105 S. Ct. 2346 (1985).

Entrapment is not required to be found as a matter of law when the testimony of the accused, showing entrapment, is not rebutted by evidence presented by the state. McCaslin v. State, 298 Ark. 335, 767 S.W.2d 306 (1989).

Neither subsection (d) of this section nor § 5-2-607(a) defines justification or self defense as an affirmative defense. Patterson v. State, 306 Ark. 385, 815 S.W.2d 377 (1991).

There is no requirement in the criminal law requiring the pleading of affirmative defenses. Sumner v. State, 35 Ark. App. 203, 816 S.W.2d 623 (1991).

The trial court was incorrect in ruling that the defense should not refer to the word entrapment during the trial because entrapment had not been pled, in light of the fact that the state acknowledged it had been put on notice that the defense would be raised. Sumner v. State, 35 Ark. App. 203, 816 S.W.2d 623 (1991).

Because defendant presented evidence arguably supporting self defense or a justification defense to a charge of aggravated assault under Arkansas law, the government had to negate that defense by a preponderance of the evidence for an enhancement for using the firearm in connection with another felony offense under U.S. Sentencing Guidelines Manual § 2K2.1(b)(5) [now (b)(6)] (2005), to apply because whether circumstances negated defendant's excuse or justification was an element of the offense under § 5-1-102(5)(C), which had to be proved by the state under subdivision (a)(1) of this section, and the definition of aggravated assault expressly excluded any person acting in self-defense or the defense of a third party under § 5-13-204(c)(2). United States v. Raglin, 500 F.3d 675 (8th Cir. 2007).

Circuit court did not abuse its discretion in denying defendant's motion for acquittal based on lack of capacity because the circuit court was confronted with conflicting forensic evaluations, and the existence of conflicting proof and the consequent questions of fact that arose from the conflicts supported the circuit court's discretionary decision to deny defendant's motion for acquittal. Russell v. State, 2013 Ark. 369 (2013).

Substantial evidence existed to support a second-degree murder conviction because defendant's justification defense could have been reasonably rejected; the jury could have credited testimony indicating that defendant walked towards the victim holding a gun after being told that the girls present did not want to fight. Moody v. State, 2014 Ark. App. 538, 444 S.W.3d 389 (2014).

Evidence.

Circumstantial evidence can constitute substantial evidence. Dixon v. State, 311 Ark. 613, 846 S.W.2d 170 (1993).

There was sufficient evidence that the sexual assault against one victim occurred in 2002 and, therefore, was within the three-year statute of limitations of § 5-1-109(b)(2) where the victim testified that defendant, a minister, assaulted her while she was working for the church during the summer of 2002. Talbert v. State, 367 Ark. 262, 239 S.W.3d 504 (2006).

Instructions.

Instruction in language of former similar provision that the burden of the whole case is on the state and that when evidence is introduced either on the part of the state or the defendant which tends to justify or excuse the act of the defendant and which, in connection with the other evidence in the case, raises in the minds of the jury a reasonable doubt as to the guilt of the defendant the jury must acquit was proper. Thomas v. State, 85 Ark. 357, 108 S.W. 224 (1908) (decision under prior law).

While it was error where there was a conflict as to who committed the offense, to instruct in the language of this section, the error was not prejudicial as assuming that the offense was committed by the accused if no such construction was placed upon it by the court or counsel and the question as to who committed the offense was otherwise submitted to the jury. Easter v. State, 96 Ark. 629, 132 S.W. 924 (1910) (decision under prior law).

Instruction that burden of proving justification or excuse devolved upon the defendant unless the state's evidence showed that an offense of a lesser degree involving excuse was committed or that the accused was justified or excused in committing the offense, held proper. Turner v. State, 128 Ark. 565, 195 S.W. 5 (1917); Crews v. State, 179 Ark. 94, 14 S.W.2d 261 (1929); Hogue v. State, 194 Ark. 1089, 110 S.W.2d 11 (1937); Covey v. State, 232 Ark. 79, 334 S.W.2d 648 (1960) (preceding decisions under prior law).

Instruction in the language of former similar section, while abstract, held not prejudicial. Wilson v. State, 126 Ark. 354, 190 S.W. 441 (1916) (decision under prior law).

The giving of former section concerning burden of proving mitigation as an instruction was proper against contentions that instruction assumed the offense to have been proved and that there was no issue of justification or excuse. Trammell v. State, 193 Ark. 21, 97 S.W.2d 902 (1936) (decision under prior law).

Where there was evidence introduced by the state, which would support a conviction, it was not error for the court to instruct the jury, that the offense being proved, the burden was upon the defendant to prove mitigating circumstances to justify or excuse the homicide. Newboles v. State, 214 Ark. 240, 215 S.W.2d 285 (1948) (decision under prior law).

In a criminal case an instruction on burden of proof given in the words of former statute concerning burden of proving mitigation was sufficient. McGarrah v. State, 217 Ark. 186, 229 S.W.2d 665 (1950) (decision under prior law).

Instruction of court in conformity with the language of former section concerning circumstance of proving mitigation and as to presumption of defendant's innocence was proper. Hardin v. State, 225 Ark. 602, 284 S.W.2d 111 (1955) (decision under prior law).

It was not error for the court in a criminal case to instruct the jury in the language of former section concerning burden of proving mitigation, where the jury was also instructed to the effect that defendant was presumed innocent until found beyond a reasonable doubt to be guilty. Brown v. State, 231 Ark. 363, 329 S.W.2d 521 (1959) (decision under prior law).

Instruction in the language of former section concerning burden of proving circumstances of mitigation held not justified. Bosnick v. State, 248 Ark. 1289, 455 S.W.2d 688 (1970) (decision under prior law).

Instruction that, if the jury had a reasonable doubt as to the degree of the offense, it must give the benefit of that doubt to the defendant, and it should convict the defendant of a lesser degree of the offense, did not mislead the jury as to the burden of proof. Leonard v. State, 251 Ark. 1090, 476 S.W.2d 807 (1972) (decision under prior law).

Regardless of the trial court's mistake in describing justification or self defense as an affirmative defense, there was no reversible error because no objection was made to the instruction. Patterson v. State, 306 Ark. 385, 815 S.W.2d 377 (1991).

Jurisdiction.

Before the state is called upon to offer any evidence on the question of jurisdiction, there must be positive evidence that the offense occurred outside the jurisdiction of the court. Gardner v. State, 263 Ark. 739, 569 S.W.2d 74 (1978), cert. denied, Gardner v. Arkansas, 440 U.S. 911, 99 S. Ct. 1224, 59 L. Ed. 2d 460 (1979); Richards v. State, 279 Ark. 219, 650 S.W.2d 566 (1983); Graham v. State, 34 Ark. App. 126, 806 S.W.2d 32 (1991); Nicholson v. State, 319 Ark. 566, 892 S.W.2d 507 (1995).

While jurisdiction must be proven beyond a reasonable doubt at the trial level, on appeal the test is only whether there is substantial evidence to support a jury verdict. Gardner v. State, 263 Ark. 739, 569 S.W.2d 74 (1978), cert. denied, Gardner v. Arkansas, 440 U.S. 911, 99 S. Ct. 1224, 59 L. Ed. 2d 460 (1979).

It is not essential to a prosecution in this state that all the elements of the crime charged take place in Arkansas; rather if the requisite elements of the crime are committed in different jurisdictions, any state in which an essential part of the crime is committed may take jurisdiction. Gardner v. State, 263 Ark. 739, 569 S.W.2d 74 (1978), cert. denied, Gardner v. Arkansas, 440 U.S. 911, 99 S. Ct. 1224, 59 L. Ed. 2d 460 (1979); Glisson v. State, 286 Ark. 329, 692 S.W.2d 227 (1985), rehearing denied, 286 Ark. 329, 695 S.W.2d 121 (1985).

Evidence held sufficient to support the jury's finding that the offense had occurred in Arkansas. Gardner v. State, 263 Ark. 739, 569 S.W.2d 74 (1978), cert. denied, Gardner v. Arkansas, 440 U.S. 911, 99 S. Ct. 1224, 59 L. Ed. 2d 460 (1979).

The state is presumed to have jurisdiction. Glisson v. State, 286 Ark. 329, 692 S.W.2d 227 (1985), rehearing denied, 286 Ark. 329, 695 S.W.2d 121 (1985).

Where there was evidence before the trial court that the offense took place at least in part in Arkansas, even if there had been an affirmative showing by the defendant of lack of jurisdiction, the state's proof was sufficient to overcome it. Glisson v. State, 286 Ark. 329, 692 S.W.2d 227 (1985), rehearing denied, 286 Ark. 329, 695 S.W.2d 121 (1985).

Although the murder instrument was found in a county other than where the crime was prosecuted and a police chief who investigated the crime testified it was his opinion that the victim had been killed in that other county, but he did not state his basis for that opinion, there was no positive evidence from which a juror could say where the crime occurred; therefore, the state did not have the burden to prove that the crime occurred in the county where it was prosecuted. Dix v. State, 290 Ark. 28, 715 S.W.2d 879 (1986).

If the requisite elements of a crime are committed in different jurisdictions, any state in which an essential part of the crime is committed may take jurisdiction. Findley v. State, 307 Ark. 53, 818 S.W.2d 242 (1991).

It is not essential to a prosecution in Arkansas that all elements of the crime charged take place in Arkansas; jurisdiction can lie in this state if at least one element of the charged offense occurred in Arkansas. Graham v. State, 34 Ark. App. 126, 806 S.W.2d 32 (1991).

There was no reasonable basis to question the trial court's exercise of jurisdiction in defendant's trial for murder, where eyewitness testimony affirmatively proved where the murder occurred. Mackey v. Lockhart, 307 Ark. 321, 819 S.W.2d 702 (1991).

Defendant's territorial jurisdictional claim was dismissed where he presented no positive evidence that the offense occurred anywhere other than in the county of the circuit court in which it was filed. Cates v. State, 329 Ark. 585, 952 S.W.2d 135 (1997).

Where the state presented substantial evidence that one or more elements of appellant's felony murder offense—murder while kidnapping or attempting to kidnap his victim—occurred in Miller County, territorial jurisdiction was proper there pursuant to subsection (b) of this section. Ridling v. State, 360 Ark. 424, 203 S.W.3d 63 (2005).

Jurisdiction in Arkansas was proper for defendant's theft trial because sufficient circumstantial evidence existed to show that defendant took unauthorized control of a vehicle in West Memphis. King v. State, 361 Ark. 402, 206 S.W.3d 883 (2005), appeal dismissed, — Ark. —, — S.W.3d —, 2006 Ark. LEXIS 368 (June 15, 2006).

Defendant's contention that the evidence was insufficient to prove that the murder took place in Arkansas was rejected as, although evidence showed that the victim's body was found in Oklahoma, and there was no positive evidence presented that the crime actually occurred outside of Arkansas; the record provided ample substantial evidence that, at the very least, the premeditation and deliberation element of capital murder and kidnapping by deception occurred in Arkansas. Smith v. State, 367 Ark. 274, 239 S.W.3d 494 (2006).

Fact that a victim was unable to provide details regarding the timing and location of the rape and the evidence that contradicted her testimony as to the location of the rapes was not positive evidence that the rape occurred outside the trial court's jurisdiction under this section; the victim's testimony that the rape occurred in Siloam Springs, Arkansas was substantial evidence that the trial court had jurisdiction. Strickland v. State, 2010 Ark. App. 599, 378 S.W.3d 157 (2010), rehearing denied, — Ark. App. —, — S.W.3d —, 2010 Ark. App. LEXIS 744 (Ark. Ct. App. Oct. 27, 2010).

In a case where defendant was convicted of second-degree sexual assault, a lesser-included offense of rape, the circuit court did not err in finding that it had jurisdiction because the victim and her brother identified photographs of the trailer and the bed in the back room as the place where the sexual acts took place; there was simply no evidence that the rape occurred in Garland County, where the children were interviewed, or in any location other than the trailer where they lived with their father; and a presumption was created in favor of jurisdiction in Saline County where the charge was filed by the State as there was no positive evidence that the act occurred outside of Saline County. Lewis v. State, 2016 Ark. App. 257, 492 S.W.3d 538 (2016).

State was not required to prove jurisdiction when defendant was accused of two counts of sexual assault; there was no positive evidence that the crime occurred outside the jurisdiction of the trial court. While separate and distinct criminal conduct may have occurred in Hot Springs and Tulsa, that did not mean that affirmative proof was established that the trial court lacked jurisdiction over defendant's convictions for sexual assaults that occurred in his home. Bynum v. State, 2017 Ark. App. 41, 511 S.W.3d 860 (2017).

Defendant's lack of jurisdiction argument failed where he never presented the trial court with any affirmative evidence that the crime took place outside of the county. Bates v. State, 2017 Ark. App. 123, 516 S.W.3d 275 (2017).

Presumption.

The unexplained possession or control by a person of recently stolen property, or the acquisition by a person of property for a consideration known to be far below its reasonable value, gives rise to a presumption that he or she knows or believes that the property was stolen. Jones v. State, 20 Ark. App. 1, 722 S.W.2d 871 (1987).

Reasonable Doubt.

The burden of the case as a whole was on the state. Cogburn v. State, 76 Ark. 110, 88 S.W. 822 (1905); Tignor v. State, 76 Ark. 489, 89 S.W. 96 (1905); Petty v. State, 76 Ark. 515, 89 S.W. 465 (1905) (preceding decisions under prior law).

It was not necessary that each link in the chain of evidence be established beyond doubt; it was sufficient if all together satisfy the jury beyond a reasonable doubt of defendant's guilt. Carr v. State, 81 Ark. 589, 99 S.W. 831 (1907) (decision under prior law).

One was entitled to the benefit of a reasonable doubt not only as to his guilt, but as to the degree of the offense. Childs v. State, 98 Ark. 430, 136 S.W. 285 (1911); Walker v. State, 100 Ark. 180, 139 S.W. 1139 (1911); Scoggin v. State, 109 Ark. 510, 159 S.W. 211 (1913); Carlton v. State, 109 Ark. 516, 161 S.W. 145 (1913); Edwards v. State, 110 Ark. 590, 163 S.W. 155 (1914); Deatherage v. State, 194 Ark. 513, 108 S.W.2d 904 (1937) (preceding decisions under prior law).

Notwithstanding former section concerning burden of proving mitigation, the burden was still on the state to prove the accused's guilt of any degree of crime included in the indictment. Reynolds v. State, 186 Ark. 223, 53 S.W.2d 224 (1932) (decision under prior law).

Statute of Limitations.

Charges against defendant, including rape, were not time-barred, even under a three-year statute of limitations, because the amended information on its face alleged that the offenses occurred within the applicable time period; moreover, a victim testified that defendant touched her inappropriately in April 2011. Dowdy v. State, 2015 Ark. 35 (2015).

Venue.

Defendant's contention that the state failed to establish venue held to be without merit. Dodson v. State, 4 Ark. App. 1, 626 S.W.2d 624 (1982), cert. denied, Dodson v. Arkansas, 457 U.S. 1136, 102 S. Ct. 2966 (1982).

State was not required to put on proof that the offense charged was committed in the county and venue was presumed proper unless there was affirmative evidence to the contrary. Baggett v. State, 15 Ark. App. 113, 690 S.W.2d 362 (1985).

The state is not required to prove jurisdiction or venue unless evidence is admitted that affirmatively shows that the court lacks jurisdiction or venue unless the defendant produces evidence to dispute the propriety of the venue of the trial. Higgins v. State, 317 Ark. 555, 879 S.W.2d 424 (1994).

Cited: Long v. State, 260 Ark. 417, 542 S.W.2d 742 (1976); Langley v. State, 261 Ark. 539, 549 S.W.2d 799 (1977); Akins v. State, 264 Ark. 376, 572 S.W.2d 140 (1978); Patrick v. State, 265 Ark. 334, 576 S.W.2d 191 (1979); Andrews v. State, 265 Ark. 390, 578 S.W.2d 585 (1979); Thomas v. State, 266 Ark. 162, 583 S.W.2d 32 (1979); Hobgood v. Housewright, 698 F.2d 962 (8th Cir. 1983); Moss v. State, 280 Ark. 27, 655 S.W.2d 375 (1983); Holt v. State, 281 Ark. 210, 662 S.W.2d 822 (1984); Hickerson v. State, 282 Ark. 217, 667 S.W.2d 654 (1984); Coleman v. State, 12 Ark. App. 214, 671 S.W.2d 221 (1984); Johnson v. State, 298 Ark. 617, 770 S.W.2d 128 (1989); Lee v. State, 27 Ark. App. 198, 770 S.W.2d 148 (1989); Carle v. Burnett, 311 Ark. 477, 845 S.W.2d 7 (1993); Lindsey v. State, 54 Ark. App. 266, 925 S.W.2d 441 (1996); Renfro v. State, 331 Ark. 253, 962 S.W.2d 745 (1998); Donovan v. State, 71 Ark. App. 226, 32 S.W.3d 1 (2000); Haynes v. State, 346 Ark. 388, 58 S.W.3d 336 (2001); Peoples v. State, 2019 Ark. App. 559, 590 S.W.3d 783 (2019); Clements v. State, 2020 Ark. App. 175, 594 S.W.3d 922 (2020).

5-1-112. Affirmative defense — Former prosecution for same offense.

A former prosecution is an affirmative defense to a subsequent prosecution for the same offense under any of the following circumstances:

    1. The former prosecution resulted in an acquittal.
      1. There is an acquittal if the former prosecution resulted in a determination of not guilty.
      2. A determination of guilt of a lesser included offense is an acquittal of the greater inclusive offense although the conviction is subsequently set aside;
    1. The former prosecution resulted in a conviction.
    2. There is a conviction if the former prosecution resulted in a:
      1. Judgment of conviction that has not been reversed or vacated;
      2. Verdict of guilty that has not been set aside and that is capable of supporting a judgment; or
      3. Plea of guilty or nolo contendere accepted by the court; or
  1. The former prosecution was terminated without the express or implied consent of the defendant after the jury was sworn or, if trial was before the court, after the first witness was sworn, unless the termination was justified by overruling necessity.

History. Acts 1975, No. 280, § 106; A.S.A. 1947, § 41-106.

Cross References. Double jeopardy prohibition, Ark. Const., Art. 2, § 8.

Due process of law and just compensation clauses, U.S. Const., Amend. 5.

Research References

Ark. L. Rev.

The Constitutionality of Affirmative Defenses to Criminal Charges, 29 Ark. L. Rev. 430.

U. Ark. Little Rock L.J.

Derden, Survey of Arkansas Law: Criminal Procedure, 2 U. Ark. Little Rock L.J. 203.

Case Notes

Acquittal.

A trial ending in a hung jury is not the equivalent of acquittal for purposes of establishing a former jeopardy or collateral estoppel to bar retrial. Prince v. State, 304 Ark. 692, 805 S.W.2d 46 (1991).

While a directed verdict dismissing a charge alleged against defendant in an information acquitted him of that charge, the prosecutor was allowed to amend the information to charge a lesser-included offense, and defendant's prosecution for and conviction of that offense, in the same proceeding in which the greater charge had been alleged, did not offend double jeopardy or subsection (1) of this section. Hughes v. State, 347 Ark. 696, 66 S.W.3d 645 (2002).

Fifth Amendment and Ark. Const. Art. 2, § 8’s double jeopardy clauses did not bar defendant's retrial on capital-murder and first-degree murder charges because, although the jury forewoman announced in open court that the jury had found defendant not guilty on those charges, the jury had deadlocked on a manslaughter charge, a mistrial was declared, and there were no “findings” or “verdicts”; a trial court's declaration of a mistrial because of a hung jury was not an event that terminated the original jeopardy to which defendant was subjected, and the mere reading of the jury's verdict in open court did not constitute an acquittal. The statutory provision for what constitutes an acquittal in no way forecloses the requirement that for an acquittal to be final it must be entered of record. Blueford v. State, 2011 Ark. 8, 370 S.W.3d 496 (2011), aff'd, 566 U.S. 599, 132 S. Ct. 2044, 182 L. Ed. 2d 937 (2012).

Appeals.

If the district court finds a defendant has failed to make a colorable showing of previous jeopardy and the threat of repeated jeopardy, the filing of a notice of appeal from the denial of the double jeopardy motion does not divest the district court of jurisdiction. United States v. Brown, 926 F.2d 779 (8th Cir. 1991).

Attachment of Jeopardy.

Since a jury was never sworn to hear defendant's case, double jeopardy did not attach and the trial court did not err in denying the motion to dismiss the charge on such grounds. Smith v. State, 307 Ark. 542, 821 S.W.2d 774 (1992).

In both bench and jury trials, jeopardy attaches when the trial judge or jury hears the first witness and not until then. Tipton v. State, 331 Ark. 28, 959 S.W.2d 39 (1998).

At the beginning of defendant's rape trial, voir dire was conducted by both parties and a jury was selected but not sworn; due to a four-month delay in trial while the parties awaited the results from the crime lab, the circuit court ordered a mistrial. Because the jury had not been sworn under oath, double jeopardy did not attach under this section. Williams v. State, 371 Ark. 550, 268 S.W.3d 868 (2007).

Burden of Proof.

Since a plea of former acquittal or conviction is an affirmative defense, the burden is on the accused to sustain the plea. The accused must prove not only the former jeopardy conviction, or acquittal, but also the identity of the offenses and the jurisdiction of the court in the former trial. Prince v. State, 304 Ark. 692, 805 S.W.2d 46 (1991).

The burden is on the state to demonstrate that the state will not rely on conduct for which the defendant has already been convicted in proving the pending charge. State v. Thornton, 306 Ark. 402, 815 S.W.2d 386 (1991).

Common-Law Defenses.

The law-of-the-case defense is an affirmative defense like estoppel or res judicata. State v. Bell, 329 Ark. 422, 948 S.W.2d 557 (1997).

Consent of Defendant to Termination.

A defendant's consent to the termination of a trial can be either express or implied; if the defendant's consent is evident, demonstration of an overruling necessity is not required in order to avoid the affirmative defense of double jeopardy. Phillips v. State, 338 Ark. 209, 992 S.W.2d 86 (1999).

In a case where defendant and his son were tried together, because defendant expressly requested the trial court to grant a mistrial, that request obviated the need to demonstrate an overruling necessity in order to avoid a claim of double jeopardy, and the state constitutional double jeopardy provision did not impose an affirmative duty on the trial court to determine if the jury was divided on defendant's guilt or innocence. Turner v. State, 2013 Ark. App. 754 (2013).

Defendant requested a continuance, which was granted, then the trial court sua sponte declared a mistrial, and defense counsel acquiesced; thus, defendant expressly consented to the mistrial and the trial court correctly found that double jeopardy had not attached. Hoey v. State, 2017 Ark. App. 253, 519 S.W.3d 745 (2017).

Construction with Other Law.

Entry of the judgment and commitment order is what determines the effectiveness of a guilty plea; thus, to the extent subdivision (2) of this section conflicts with Ark. Sup. Ct. Admin. Order No. 2, it is superseded by that order and Arkansas caselaw. Bradford v. State, 351 Ark. 394, 94 S.W.3d 904 (2003).

Continuance.

A continuance is not a termination, and this section would not be applicable where the proceedings were merely continued and then resumed, not terminated and then begun anew. Daniels v. State, 12 Ark. App. 251, 674 S.W.2d 949 (1984).

Where a continuance was requested for the benefit of the defense and was granted without objection, the necessary consent to termination of the prosecution under subdivision (3) will be implied. Woods v. State, 287 Ark. 212, 697 S.W.2d 890 (1985).

Conviction.

Prosecution in circuit court, of defendant convicted by a municipal court jury of misdemeanor and felony drug offenses, barred by double jeopardy. Craig v. State, 314 Ark. 585, 863 S.W.2d 825 (1993).

Guilty Pleas.

Defendant's accepted guilty plea, along with the resulting sentence, was never memorialized as a judgment and commitment order and, thus, was never an effective judgment of conviction. Bradford v. State, 351 Ark. 394, 94 S.W.3d 904 (2003).

Mistrial.

Where defendant had ample opportunity to apprise judge that defendant was not seeking or agreeing to a mistrial, no violation of subdivision (3) of this section occurred. Rowlins v. State, 319 Ark. 323, 891 S.W.2d 56 (1995).

Where the defendant successfully moved to reconvene his trial after the court excused a juror who was related to a witness, he could not later complain that the subsequent trial was barred by double jeopardy. Schalk v. State, 63 Ark. App. 251, 977 S.W.2d 495 (1998).

Trial court did not err by not allowing defendant to present evidence at his second trial concerning his affirmative defense of double jeopardy under this section, pursuant to which he would have presented evidence of the circumstances that resulted in the mistrial at his first trial, because doing so would allow a jury to usurp an appellate court's function of reviewing the mistrial by deciding whether there was an abuse of discretion as a question of fact, rather than requiring the issue to be reviewed on appeal as a matter of law. Koster v. State, 374 Ark. 74, 286 S.W.3d 152 (2008).

Mistrial was not justified when defense counsel's opening statement purportedly changed the theory of defense in a murder trial from self defense to accident; because the court could have taken corrective measures and proceeded with trial, the mistrial was unjustified, and any subsequent prosecution was prohibited. Shelton v. State, 2009 Ark. 388, 326 S.W.3d 429 (2009).

Denial of defendant's motions to bar his retrial on the charge of first-degree murder were proper because his trial ended in a mistrial without a final verdict entered in the record, and there was no actual verdict of acquittal under subdivision (1)(B)(i) of this section. Neither the transitional jury instruction nor the jury's written status report of the vote on the lesser-included charge negated the requirements for a formal verdict and there was no merit to defendant's arguments that the jury's note reflecting its vote on the lesser-included offense of second-degree murder constituted an implicit acquittal on the charge of first-degree murder, and that entry of the jury's note into the record rendered it controlling for the purpose of jeopardy on first degree. Basham v. State, 2011 Ark. App. 384 (2011), cert. denied, 566 U.S. 1034, 132 S. Ct. 2710, 183 L. Ed. 2d 67 (2012).

Prior to retrial, a court did not err in denying defendant's motion to dismiss rape and robbery charges on double jeopardy grounds because there was ample support for the trial court's conclusion that the jury was unable to reach a verdict in the first trial; the foreperson stated on the record that the jury was deadlocked and the individual jurors all agreed. Gold v. State, 2013 Ark. 220 (2013).

Overruling Necessity.

Either a deadlocked jury or the illness of a juror is a circumstance which qualifies as “overruling necessity.” Shaw v. State, 304 Ark. 381, 802 S.W.2d 468 (1991).

Where the prosecutor had become ill and could not continue with the prosecution of defendant's trial and the trial court proceeded by accepting a deputy prosecutor, but subsequently, a conflict with one of the jurors was revealed, it was manifestly necessary for the court to order a mistrial, a second trial was not barred by double jeopardy. Green v. State, 52 Ark. App. 244, 917 S.W.2d 171 (1996).

State did not prove an overriding necessity to end a prior trial under subdivision (3) of this section to prevent a dismissal on double jeopardy grounds as a witness exceeded the trial judge's order not to tell the jury what conclusion to reach in the prior trial, but the testimony did not tell the jury what conclusion to reach; the judge's admonition cured any error or prejudice. Everetts v. State, 2011 Ark. App. 629 (2011).

Defendant's retrial did not violate double jeopardy because the circuit court did not abuse its discretion in sua sponte declaring a mistrial due to an overruling necessity, based on (1) a number of circumstances outside the control of the court and the State, including the unexpected unavailability of an interpreter for a second day of trial and a full docket the rest of the week, and (2) the court's efforts to try to complete the trial in one day. Vasquez-Ramirez v. State, 2019 Ark. App. 599, 591 S.W.3d 379 (2019).

Remand.

Where the error in prematurely dismissing the charge occurred before jeopardy attached, as there never was a determination that the state failed to prove the elements of the crime, the case was remanded rather than dismissed. State v. Thornton, 306 Ark. 402, 815 S.W.2d 386 (1991).

Separate Offenses.

Defendant's convictions for incest in one county did not prevent his prosecution for incest in another county where the second prosecution was not for the same offense committed in the first county and where the offenses in the second county were not based on the same conduct for which he was convicted in the first county. Fletcher v. State, 53 Ark. App. 135, 920 S.W.2d 42 (1996).

Cited: Bly v. State, 267 Ark. 613, 593 S.W.2d 450 (1980); Willis v. State, 299 Ark. 356, 772 S.W.2d 584 (1989); Leach v. State, 313 Ark. 80, 852 S.W.2d 116 (1993); Basura v. City of Springdale, 47 Ark. App. 66, 884 S.W.2d 629 (1994); Sherman v. State, 326 Ark. 153, 931 S.W.2d 417 (1996); Cohns v. State, 2017 Ark. App. 177, 516 S.W.3d 789 (2017).

5-1-113. Affirmative defense — Former prosecution for different offense.

A former prosecution is an affirmative defense to a subsequent prosecution for a different offense under the following circumstances:

  1. The former prosecution resulted in an acquittal or in a conviction as set out in § 5-1-112, and the subsequent prosecution is for:
    1. Any offense of which the defendant could have been convicted in the first prosecution; or
    2. An offense based on the same conduct, unless:
      1. The offense of which the defendant was formerly convicted or acquitted and the offense for which he or she is subsequently prosecuted each requires proof of a fact not required by the other offense and the law defining each offense is intended to prevent a substantially different harm or evil; or
      2. The second offense was not consummated when the former trial began;
  2. The former prosecution was terminated by an acquittal or by a final order or judgment for the defendant that has not been set aside, reversed, or vacated and that necessarily required a determination inconsistent with a fact that must be established for conviction of the second offense; or
  3. The former prosecution was terminated under the circumstances described in § 5-1-112 and the subsequent prosecution is for an offense of which the defendant could have been convicted had the former prosecution not been terminated.

History. Acts 1975, No. 280, § 107; A.S.A. 1947, § 41-107.

Research References

Ark. L. Rev.

The Constitutionality of Affirmative Defenses to Criminal Charges, 29 Ark. L. Rev. 430.

U. Ark. Little Rock L.J.

Survey — Criminal Procedure, 11 U. Ark. Little Rock L.J. 187.

U. Ark. Little Rock. L. Rev.

Annual Survey of Case Law, Criminal Law, 28 U. Ark. Little Rock L. Rev. 690.

Case Notes

Conspiracy.

While in a sense both the offenses of possession of methamphetamine with intent to deliver and conspiracy to distribute methamphetamine may be based on the same conduct, the offense of possession with intent to deliver and the offense of conspiracy to distribute each requires proof of a fact not required by the other; therefore, the affirmative defense of this section does not apply. Williams v. State, 54 Ark. App. 271, 927 S.W.2d 812 (1996), superseded, 328 Ark. 487, 944 S.W.2d 822 (1997).

Conviction.

Double jeopardy does not attach where there is no possibility of conviction; therefore, a defendant was not entitled to have the charges dismissed on double jeopardy grounds merely because the victim had testified against the same defendant in a separate prosecution involving a different victim. Kellensworth v. State, 275 Ark. 252, 631 S.W.2d 1 (1982).

Different Degrees.

State was not prevented by collateral estoppel from subsequently retrying defendant for a lesser degree of the original offense charged where the first trial did not result in an acquittal and, although the charge at the first trial included a charge on the offense charged in the second trial, there was not a necessary determination of the defendant's guilt of the second offense in the finding of his guilt of the original charge. Bly v. State, 267 Ark. 613, 593 S.W.2d 450 (1980).

Issue Preclusion.

As a consequence of defendant's acquittal of the possession of a firearm charge in the first case, the issue preclusion facet of res judicata and subdivision (2) of this section precluded the state from presenting evidence that defendant possessed a firearm during the battery crimes at the second trial. Mason v. State, 361 Ark. 357, 206 S.W.3d 869 (2005).

Court of Appeals lacked jurisdiction to consider defendant's interlocutory appeal because his notice of appeal was untimely; the circuit court's denial of defendant's motion to dismiss was necessarily a denial of his res judicata arguments, and thus, the dismissal order was the one from which defendant should have filed his notice of appeal. Shaver v. State, 2018 Ark. App. 242, 548 S.W.3d 222 (2018).

Offense Not Yet Consummated.

Where one victim was not dead at the time of the manslaughter conviction stemming from the death of another victim in the same incident, the subsequent prosecution was not barred; this “not yet consummated” exception to a defendant's right not to be tried twice for the same offense does not violate the principle of former jeopardy. Tackett v. State, 294 Ark. 609, 745 S.W.2d 625 (1988).

Separate Offenses.

Where offenses are separate, a defendant who had been convicted of one offense was not twice placed in jeopardy by being convicted of another offense. King v. State, 262 Ark. 342, 557 S.W.2d 386 (1977), overruled in part, State v. Brown, 356 Ark. 460, 156 S.W.3d 722 (2004).

Defendant's convictions for incest in one county did not prevent his prosecution for incest in another county where the second prosecution was not for the same offense committed in first county and where the offenses in the second county were not based on the same conduct for which he was convicted in the first county. Fletcher v. State, 53 Ark. App. 135, 920 S.W.2d 42 (1996).

Where charges against defendant for alleging defrauding insurers were dismissed, this did not mandate a later dismissal of subsequently filed charges alleging Medicaid fraud under res judicata, issue preclusion, or § 5-1-113 because the crimes were not the same. Dilday v. State, 369 Ark. 1, 250 S.W.3d 217 (2007).

Cited: Basura v. City of Springdale, 47 Ark. App. 66, 884 S.W.2d 629 (1994); Sherman v. State, 326 Ark. 153, 931 S.W.2d 417 (1996).

5-1-114. Affirmative defense — Former prosecution in another jurisdiction.

When conduct constitutes an offense within the concurrent jurisdiction of this state and of the United States or another state or territory of the United States, a prosecution in any such other jurisdiction is an affirmative defense to a subsequent prosecution in this state under the following circumstances:

  1. The first prosecution resulted in an acquittal or in a conviction as set out in § 5-1-112, and the subsequent prosecution is based on the same conduct unless:
    1. The offense of which the defendant was formerly convicted or acquitted and the offense for which he or she is subsequently prosecuted each requires proof of a fact not required by the other offense and the law defining each offense is intended to prevent a substantially different harm or evil; or
    2. The second offense was not consummated when the former trial began; or
  2. The former prosecution was terminated by an acquittal or by a final order or judgment for the defendant that has not been set aside, reversed, or vacated and that required a determination inconsistent with a fact that must be established for the conviction of the offense for which the defendant is subsequently prosecuted.

History. Acts 1975, No. 280, § 108; A.S.A. 1947, § 41-108.

Research References

ALR.

Conviction or acquittal in federal court as bar to prosecution in state court for state offense based on same facts — Modern view. 97 A.L.R.5th 201.

Ark. L. Rev.

The Constitutionality of Affirmative Defenses to Criminal Charges, 29 Ark. L. Rev. 430.

U. Ark. Little Rock L. Rev.

Annual Survey of Case Law: Criminal Law, 29 U. Ark. Little Rock L. Rev. 849.

Case Notes

Applicability.

Where underlying conduct upon which the federal conviction and the Arkansas charge were based was not the same, the former jeopardy protection provided in this section did not apply. State v. McMullen, 302 Ark. 252, 789 S.W.2d 715 (1990).

Inconsistent Determinations.

Where state charge requires proof of an element not required for conviction under the federal charge, and not inconsistent with the elements required to be proved to convict on the federal charge, the defendant did not establish a double jeopardy claim under subdivision (2). Journey v. State, 261 Ark. 259, 547 S.W.2d 433 (1977).

Prosecution for Same Conduct.

Where a defendant was acquitted on a federal charge and then charged under state law, and where he had failed to establish a double jeopardy claim under § 16-85-712(b), such claim would also fail under subdivision (1) of this section. Journey v. State, 261 Ark. 259, 547 S.W.2d 433 (1977).

When the same conduct constitutes an offense within concurrent federal and state jurisdictions, a federal conviction or acquittal is an affirmative defense to a state prosecution. Bateman v. State, 265 Ark. 307, 578 S.W.2d 216 (1979).

Identical offenses under state and federal law would not be different merely because the punishments were different. Bateman v. State, 265 Ark. 307, 578 S.W.2d 216 (1979).

Defendant's acquittal of charges under 18 U.S.C.S. § 2423(a) in federal court did not operate as a bar to his statutory rape prosecution in state court as the underlying conduct upon which the federal conviction and Arkansas charge were based was not the same; a state jury's verdict that an act of statutory rape occurred in Arkansas would not necessarily be consistent with a federal jury's finding that, at the point in time when defendant transported the minor across state lines, he did not intend for the minor to engage in sexual activity. Winkle v. State, 366 Ark. 318, 235 S.W.3d 482 (2006).

Cited: Thompson v. State, 27 Ark. App. 164, 768 S.W.2d 39 (1989); State v. Johnson, 330 Ark. 636, 956 S.W.2d 181 (1997).

5-1-115. Former prosecutions that are not affirmative defenses.

A former prosecution is not an affirmative defense within the meaning of §§ 5-1-1125-1-114 under any of the following circumstances:

  1. The former prosecution was before a court that lacked jurisdiction over the defendant or the offense;
  2. The former prosecution was procured by the defendant without the knowledge of the appropriate prosecuting official or aggrieved party and with the purpose of avoiding the sentence that might otherwise be imposed; or
  3. The former prosecution resulted in a judgment of conviction that was held invalid in a subsequent proceeding on a writ of habeas corpus, coram nobis, or similar process.

History. Acts 1975, No. 280, § 109; A.S.A. 1947, § 41-109.

Research References

Ark. L. Rev.

The Constitutionality of Affirmative Defenses to Criminal Charges, 29 Ark. L. Rev. 430.

Case Notes

Common-Law Defenses.

The law-of-the-case defense is an affirmative defense like estoppel or res judicata. State v. Bell, 329 Ark. 422, 948 S.W.2d 557 (1997).

Municipal Court Conviction.

Prosecution in circuit court of defendant convicted by a municipal court jury of misdemeanor and felony drug offenses barred by double jeopardy. Craig v. State, 314 Ark. 585, 863 S.W.2d 825 (1993).

Cited: Muhammad v. State, 67 Ark. App. 262, 998 S.W.2d 763 (1999).

5-1-116. [Repealed.]

Publisher's Notes. This section, concerning the trial of minors, was repealed by Acts 1989, No. 273, § 47. The section was derived from Acts 1975, No. 280, § 617; 1979, No. 815, § 11; 1981, No. 793, § 1; 1983, No. 904, § 1; A.S.A. 1947, § 41-617.

5-1-117 — 5-1-124. [Reserved.]

Publisher's Notes. This section, concerning a right of action not being merged in a felony, was repealed by Acts 2005, No. 1994, § 535. The section was derived from Rev. Stat., ch. 45, § 264; C. & M. Dig., § 1086; Pope's Dig., §§ 1294, 1297; A.S.A. 1947, § 41-151.

5-1-125. [Repealed.]

Chapter 2 Principles of Criminal Liability

Research References

ALR.

Automatism or unconsciousness as defense to criminal charge. 27 A.L.R.4th 1067.

Subchapter 1 — General Provisions

[Reserved]

Subchapter 2 — Culpability

Effective Dates. Acts 1977, No. 101, § 3: Feb. 4, 1977. Emergency clause provided: “It is hereby found and determined by the General Assembly that the defense of voluntary intoxication is detrimental to the welfare and safety of the citizens of this State in that criminals are at times excused from the consequences of their criminal acts merely because of their voluntary intoxication and that this Act is necessary to eliminate the defense of self-induced or voluntary intoxication. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety, shall be in effect from the date of its passage and approval.”

Acts 2015 (1st Ex. Sess.), No. 6, § 7: May 29, 2015. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the Supreme Court of Arkansas held in Leeka v. State, 2015 Ark. 183 (2015), that in order to sustain a conviction for driving while intoxicated, the state must prove that the defendant had a reckless mental state despite the statute not expressly requiring that the defendant's mental state be proven; that the General Assembly intended and still intends to keep driving while intoxicated a strict liability offense requiring no culpable mental state; that the General Assembly passed and the Governor signed Act No. 299 during the 2015 Regular Session which amended § 5-65-103 by combining the offenses of driving while intoxicated and boating while intoxicated; that Act 299 also amended § 5-65-303 by combining the offenses of underage driving under the influence and underage boating under the influence; that Act No. 299 does not become effective until July 22, 2015; that the new offenses of driving and boating while intoxicated and driving or boating under the influence while underage are strict liability offenses requiring no culpable mental state; that Sections 2, 3, and 5 of this act are necessary because the offenses of driving while intoxicated and underage driving under the influence should not have an applicable culpable mental state as they are strict liability offenses; and that Sections 4 and 6 of this act are necessary because the offenses of driving or boating while intoxicated and underage driving or boating under the influence should not have an applicable culpable mental state as they are strict liability offenses. Therefore, an emergency is declared to exist, and:

“(1) Sections 2, 3, and 5 of this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on:

“(A) The date of its approval by the Governor;

“(B) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or

“(C) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto; and

“(2) Sections 4 and 6 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 22, 2015.”

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Research References

ALR.

Coercion, compulsion, or duress as defense to charge of robbery, larceny, or related crime. 1 A.L.R.4th 481.

Availability in state court of defense of entrapment where accused denies committing acts which constitute offense charged. 5 A.L.R.4th 1128.

Test of criminal responsibility: state cases. 9 A.L.R.4th 526.

Defense in sex offense prosecutions, generally. 12 A.L.R.4th 413.

Entrapment to commit traffic offense. 34 A.L.R.4th 1167.

Am. Jur. 21 Am. Jur. 2d, Crim. L., § 126 et seq.

Ark. L. Rev.

1976 Criminal Code — General Principles, 30 Ark. L. Rev. 111.

C.J.S. 22 C.J.S. Crim. L., § 31 et seq.

5-2-201. Definitions generally.

As used in the Arkansas Criminal Code:

  1. “Act” means a bodily movement and includes speech and the conscious possession or control of property;
  2. “Act” as a verb means either to perform an act or to omit to perform an act;
  3. “Conduct” means an act or omission and its accompanying mental state; and
  4. “Omission” means a failure to perform an act and the performance of the act is required by law.

History. Acts 1975, No. 280, § 201; A.S.A. 1947, § 41-201.

Meaning of “Arkansas Criminal Code”. See note to § 5-1-101.

Research References

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

Case Notes

Cited: Hamilton v. State, 262 Ark. 366, 556 S.W.2d 884 (1977); Robinson v. State, 318 Ark. 33, 883 S.W.2d 469 (1994).

5-2-202. Culpable mental states — Definitions.

As used in the Arkansas Criminal Code, there are four (4) kinds of culpable mental states that are defined as follows:

  1. “Purposely.” A person acts purposely with respect to his or her conduct or a result of his or her conduct when it is the person's conscious object to engage in conduct of that nature or to cause the result;
  2. “Knowingly.” A person acts knowingly with respect to:
    1. The person's conduct or the attendant circumstances when he or she is aware that his or her conduct is of that nature or that the attendant circumstances exist; or
    2. A result of the person's conduct when he or she is aware that it is practically certain that his or her conduct will cause the result;
  3. “Recklessly.”
    1. A person acts recklessly with respect to attendant circumstances or a result of his or her conduct when the person consciously disregards a substantial and unjustifiable risk that the attendant circumstances exist or the result will occur.
    2. The risk must be of a nature and degree that disregard of the risk constitutes a gross deviation from the standard of care that a reasonable person would observe in the actor's situation; and
  4. “Negligently.”
    1. A person acts negligently with respect to attendant circumstances or a result of his or her conduct when the person should be aware of a substantial and unjustifiable risk that the attendant circumstances exist or the result will occur.
    2. The risk must be of such a nature and degree that the actor's failure to perceive the risk involves a gross deviation from the standard of care that a reasonable person would observe in the actor's situation considering the nature and purpose of the actor's conduct and the circumstances known to the actor.

History. Acts 1975, No. 280, § 203; A.S.A. 1947, § 41-203.

Meaning of “Arkansas Criminal Code”. See note to § 5-1-101.

Research References

Ark. L. Notes.

Liebman, Voluntary Intoxication as a Defense to Crime, 1983 Ark. L. Notes 29.

Ark. L. Rev.

Case Note, Harbison v. State: Just Say No to a Usable Amount, 45 Ark. L. Rev. 425.

Article, Ethical and Effective Representation in Arkansas Capital Trials, 60 Ark. L. Rev. 1.

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Law, 5 U. Ark. Little Rock L.J. 115.

Notes, Criminal Law — Child Abuse Resulting in Death — Arkansas Amends its First Degree Murder Statute, 10 U. Ark. Little Rock L.J. 785.

Case Notes

Purpose.

Evidence was sufficient to sustain defendant's first degree murder conviction because defendant had a key to the victim's apartment, he admitted that he was at the apartment on the evening of the murder, defendant purchased drugs that night and told the seller that he had “busted a some-bitch's head,” and defendant lied to the police during the investigation. Dunn v. State, 371 Ark. 140, 264 S.W.3d 504 (2007).

Defendant's conviction for first-degree terroristic threatening, pursuant to § 5-13-301(a)(1)(A), could not stand because there was no evidence, either direct or circumstantial, that it was defendant's conscious object—in keeping with subdivision (1) of this section—that his threatening statements, made to his girlfriend, be communicated to the victim, his former wife. Turner v. State, 2010 Ark. App. 214 (2010).

Sufficient evidence established defendant had the necessary purposeful intent, as defined in subdivision (1) of this section, to commit aggravated assault in violation of § 5-13-204(a) with respect to a vehicular incident on a local road because the victim testified defendant stopped his car, put it in reverse, and rammed into the victim's vehicle enough times and with enough force to cause her vehicle to spin; the victim's testimony constituted substantial evidence that it was defendant's conscious object to engage in conduct that created a substantial danger of death or serious physical injury to the victim and her infant son, who was also in the car. Mance v. State, 2010 Ark. App. 472 (2010).

Evidence.

Intent or state of mind is seldom capable of proof by direct evidence and must usually be inferred from the circumstances. Walker v. State, 313 Ark. 478, 855 S.W.2d 932 (1993).

Intent is seldom capable of proof by direct evidence. Akbar v. State, 315 Ark. 627, 869 S.W.2d 706 (1994).

Where there was a plan between defendant and the accomplice to kill a drug dealer during the drug transaction, defendant admitted to driving the truck to a remote location, there was also some evidence that defendant was in a scheme to murder the victim for a fee, defendant lied about the victim's whereabouts, and defendant fled from the scene, there was ample evidence to rationally support the giving of an instruction on the lesser-included offense of first-degree murder. Grillot v. State, 353 Ark. 294, 107 S.W.3d 136 (2003).

In a murder trial, where defendant asserted that the victim was killed as they struggled over a rifle, the jury could have considered the fact that defendant burned not only the victim's body, but all of her personal belongings, in an attempt to cover up his involvement in the crime; such proof was further evidence of a purposeful state of mind. Robinson v. State, 353 Ark. 372, 108 S.W.3d 622 (2003).

Defendant's convictions were supported by substantial evidence where it was shown that (1) shortly after the incident, defendant had a blood-alcohol level of .23 percent, (2) defendant was driving the car that hit two women and narrowly missed a third, (3) just before the impact, defendant was witnessed to speed up and actually swerve the vehicle toward the women's path, and (4) defendant drove away after the impact. Estacuy v. State, 94 Ark. App. 183, 228 S.W.3d 567 (2006).

Evidence was sufficient to sustain defendant's kidnapping conviction as the 13 year old victim's mother relied upon the representation that defendant was taking the victim to the movies with his daughter when she gave permission for the victim to leave her home with defendant; the victim's mother did not consent to defendant escorting her daughter to a motel room under the guise of meeting someone briefly before meeting her daughter at the movies.Mitchem v. State, 96 Ark. App. 78, 238 S.W.3d 623 (2006).

Evidence was sufficient to sustain defendant's convictions for manslaughter because two people in a motor home were killed when defendant drove a fully loaded commercial vehicle weighing over 82,000 pounds, while under the influence of methamphetamine, into the oncoming-traffic lane, striking the motor home, and ultimately driving through it. Defendant never attempted to brake prior to the accident or to return to the proper lane of traffic. Hoyle v. State, 371 Ark. 495, 268 S.W.3d 313 (2007), rehearing denied, — Ark. —, — S.W.3d —, 2008 Ark. LEXIS 12 (Jan. 10, 2008).

Where defendant picked his ex-wife up from work, took her cell phone, started a verbal altercation, drove her to a bridge, stabbed her, threw her to the ground, and pushed her into the water, the evidence was sufficient to prove that defendant possessed the requisite state of mind under subdivision (1) of this section to support his conviction for attempted first-degree murder of his ex-wife. Jones v. State, 2009 Ark. App. 135 (2009).

Sufficient evidence supported the conclusion that a defendant intended to kill a victim: a witness testified that the witness gave defendant a gun, other witnesses testified that defendant shot the victim with that gun, defendant's girlfriend testified that while waiting for defendant in a car, the girlfriend heard two or three shots, and then defendant ran to the car, and inconsistent witness statements regarding whether the shooting occurred inside or outside the victim's apartment were not relevant to the conviction; therefore, defendant's motion for a directed verdict was properly denied. Hawkins v. State, 2009 Ark. App. 675 (2009).

Evidence supporting defendant's convictions for three counts of delivering a controlled substance in violation of § 5-64-401 was substantial because the jury had substantial, if not overwhelming, evidence from which to infer with reasonable certainty from the circumstances that defendant formed the necessary criminal intent to sell a confidential informant crack cocaine; a captain of the police department testified that his office received multiple calls indicating that defendant was engaged in selling controlled substances, and evidence was presented that on three occasions the confidential informant assisted the police in making controlled buys of crack cocaine from defendant and that the substances the confidential informant purchased from defendant tested positive for crack cocaine. Edwards v. State, 2010 Ark. App. 59, 377 S.W.3d 271 (2010).

Trial court did not err by denying defendant's motions for a directed verdict because substantial evidence supported his conviction, as there was evidence that: (1) defendant had prior knowledge of his wife's affair with the victim and investigated the victim's background; (2) defendant waited in his truck after arriving at the store until the victim and his wife were standing by their vehicles; and (3) defendant fired multiple shots, chased the victim, and stood over him to deliver a final shot to the head. James v. State, 2010 Ark. 486, 372 S.W.3d 800 (2010), overruled in part, Kou Her v. State, 2015 Ark. 91, 457 S.W.3d 659 (2015).

Evidence was sufficient to support defendant's conviction of promoting prostitution in the first degree, § 5-70-104, where the State presented substantial evidence of circumstances through the testimony of the four witnesses from which the circuit court could infer that defendant knowingly advanced or profited from the prostitution of a person less than 18 years of age. Tatum v. State, 2014 Ark. App. 68 (2014).

Instructions.

In a case in which a jury convicted defendant of capital murder in the shooting death of his ex-wife, the trial court properly refused to instruct the jury on reckless manslaughter and negligent homicide. Defendant, who fired once into a residence, mortally striking his ex-wife in the back, offered no rational basis to support giving either instruction on the basis that his actions were reckless or negligent. Jones v. State, 2012 Ark. 38, 388 S.W.3d 411 (2012).

Intent.

There was substantial evidence from which the jury could have inferred that it was defendant's conscious object to cause the victim's death, because defendant placed the gun less than one inch away from her head and pulled the trigger, killing her. Williamson v. State, 2013 Ark. 347, 429 S.W.3d 250 (2013).

Knowingly.

Evidence was sufficient to support a verdict that defendant acted “knowingly.” Harris v. State, 262 Ark. 680, 561 S.W.2d 69 (1978); Smith v. State, 30 Ark. App. 111, 783 S.W.2d 72 (1990).

There was ample circumstantial evidence for the jury to find that defendant knowingly caused the death of the infant. Steggall v. State, 340 Ark. 184, 8 S.W.3d 538 (2000).

The court looked at the totality of the circumstances surrounding the interrogation and determined that the state proved that the defendant had the requisite level of comprehension to knowingly waive his rights. Steggall v. State, 340 Ark. 184, 8 S.W.3d 538 (2000).

Sufficient evidence existed for the jury to find that defendant, the victim's caretaker, knowingly committed second-degree murder when she used enough force inserting a rectal thermometer that she punctured the child's rectum, causing peritonitis, and then failed to immediately seek medical attention. Burley v. State, 348 Ark. 422, 73 S.W.3d 600 (2002).

Defendant's conviction for battery in the second degree was appropriate under §§ 5-13-202(a)(4)(C) and 5-2-202(2) because the evidence was clear that defendant intended to restrain the victim. The victim, defendant's mother-in-law, testified that defendant grabbed her, threw her into a chair, and pushed her down anytime the victim had tried to stand up. LaFort v. State, 98 Ark. App. 202, 254 S.W.3d 27 (2007).

Where defendant took a loaded gun from his vehicle after seeing the victim's group outside a department store and deliberately shot the victim three times at close range, the jury could infer that he knowingly caused the victim's death for purposes of subdivision (2)(A) and (B) of this section; the trial court did not abuse its discretion by admitting defendant's statement that he shot the victim, because he wanted to give him an early Christmas present. The statement was probative of defendant's state of mind as well as his lack of remorse; because the evidence was sufficient to support defendant's conviction for second degree murder in violation of § 5-10-103(a)(1), the trial court did not err by denying his motion for a directed verdict. Vorachith v. State, 2009 Ark. App. 656 (2009).

Appellants' convictions for theft of property were affirmed because substantial evidence supported the convictions where (1) while appellants maintained they were simply running a business and made some poor business decisions, the testimony of the victims established a pattern of taking and exercising unauthorized control over the victims' money with the purpose of depriving the victims of their money; (2) the pattern demonstrated that appellants sold items to the victims, accepted the victims' money, purposefully and knowingly delayed delivery of the merchandise, and offered multiple and most often untrue excuses for why the orders did not arrive; and (3) the evidence showed that appellants would tell customers that an item was in shipping, was shipped in the wrong color, back ordered, or damaged in shipping. Williams v. State, 2009 Ark. App. 848 (2009).

Defendant's conviction for murder in the second degree, with a firearm enhancement, was proper because defendant acted knowingly to cause the victim's death under circumstances manifesting extreme indifference to the value of human life, as described in subdivision (2) of this section. The issues involved credibility and it was presumed that a person intended the natural and probable consequences of his or her acts; defendant shot her husband in the wrist with a handgun, he bled to death as a result of the wound, and additional evidence indicated that the fatal wound was defensive in nature. Johnson v. State, 2010 Ark. App. 153, 375 S.W.3d 12 (2010).

Appellant's conviction for second-degree murder was affirmed because the pattern of the gunshots, which were aimed at the victim's chest and upper-arm area, as well as the trajectory of the bullets showed that appellant acted deliberately in a manner that would naturally and probably culminate in the victim's death. Phillips v. State, 2011 Ark. App. 575, 386 S.W.3d 99 (2011).

Defendant's conviction for second-degree battery, in violation of § 5-13-202(a)(4)(C), was supported by the evidence because the number of bruises on his girlfriend's 23-month-old son and the unusual force necessary to cause them, as testified to by an emergency room pediatrician, provided proof that he knowingly caused physical injury under subdivision (2)(B) of this section. Hahn v. State, 2012 Ark. App. 297 (2012).

In his directed verdict motion, appellant did not argue that the State did not prove that he knew of the card's existence in the wallet when he stole it, and that he purposely deprived the owner of the card, and thus this argument was barred from appellate review; even if the court reached the argument, it lacked merit, because (1) the statute only required that one knowingly take unauthorized control over property, and it did not require that one know the value or character of the property that was taken, (2) appellant did not dispute that he knowingly took the owner's wallet with the intent of depriving him of it, (3) his knowledge of the contents of the wallet was not necessary for his conviction, and (4) his unauthorized taking of the wallet that had the debit card was one act and he was liable for all property taken, such that the evidence was sufficient to support his theft conviction. Blakely v. State, 2013 Ark. App. 37 (2013).

Defendant's motion for a directed verdict was properly denied because it was apparent that the jury believed that he knowingly, as defined in subdivision (2) of this section, caused his two-month-old daughter's injuries Hoodenpyle v. State, 2013 Ark. App. 375, 428 S.W.3d 547 (2013).

Evidence was sufficient to support a conviction for theft by deception because defendant entered into a scheme to defraud by inflating a tax refund amount and then diverting the difference to an account she owned; there was substantial evidence that defendant knowingly obtained the property of another by deception. The taxpayer did not agree to have any of her refund deposited into any other account, and defendant was not forthcoming with information about the separate account, despite the taxpayer's multiple inquiries. McClellan v. State, 2014 Ark. App. 725, 452 S.W.3d 116 (2014).

In a first-degree murder case, the trial court did not abuse its discretion in instructing the jury on the lesser-included offense of second-degree murder because the evidence provided a rational basis for an acquittal on the first-degree-murder charge and a conviction on the second-degree-murder charge as defendant did not shoot and kill the victim, but handed his gun to codefendant; defendant could not have known with absolute certainty what codefendant would do; and the jury could have concluded that defendant knowingly caused the death of another person under circumstances manifesting extreme indifference to the value of human life in that he was practically certain that his conduct would cause the death of the victim. Northern v. State, 2015 Ark. App. 426, 467 S.W.3d 755 (2015).

Evidence supported defendant's convictions of distributing, possessing, or viewing matter depicting sexually explicit conduct involving a child under § 5-27-602; there was substantial evidence that defendant exercised dominion and control over the computers that were seized from his residence, and there was no claim that anyone else lived with defendant or had access to the computer, and there was substantial evidence that defendant knowingly possessed the images and videos of child pornography saved on his computer. Bishop v. State, 2015 Ark. App. 436, 467 S.W.3d 763 (2015).

In a second-degree murder case, defendant's motion for a directed verdict was properly denied as a jury could find that the defense of justification was without merit because defendant's conduct of intentionally firing eight warning shots at the victim established extreme indifference to human life; the simple act of pointing a loaded gun at the victim was enough to satisfy the intent standard of second-degree murder; and defendant was not justified in using deadly force against the victim as he initiated the situation that brought about his use of deadly force, evidence at the crime scene did not support defendant's assertion that he was backing up when firing shots, and an eyewitness testified that the victim never charged at defendant. Sullivan v. State, 2015 Ark. App. 514, 470 S.W.3d 312 (2015).

Evidence was sufficient to sustain the jury's finding that defendant acted knowingly and with extreme indifference to the value of human life where defendant was alone with the baby for approximately two hours, the baby developed a deformed head by the time the mother arrived home, defendant packed a bag and insisted on driving his own vehicle to the hospital, and defendant initially claimed that nothing had happened and then offered two improbable explanations for how the baby's skull had been fractured. Suchey v. State, 2016 Ark. App. 225, 490 S.W.3d 320 (2016).

Evidence was sufficient to support defendant's conviction of murder in the first degree under § 5-10-102(a)(3) where the victim was the youngest of defendant's children, a forensic examiner and experts testified that he had died of starvation, evidence showed that defendant had withheld formula from him, and defendant had previously cared for the victim's five other premature siblings, all of whom survived infancy; there was substantial evidence presented to support a conclusion that defendant, who had an IQ of 75, was aware of the risk caused by the infant's obvious malnourishment and that she was aware that it was practically certain her conduct would cause the infant's death. Bowman v. State, 2019 Ark. App. 469, 588 S.W.3d 129 (2019).

Negligently.

In order to be held to have acted negligently under this section, it is not necessary that the actor be fully aware of a perceived risk and recklessly disregard it, rather, it requires only a finding that, under the circumstances, he should have been aware of it and his failure to perceive it was a “gross deviation” from the care a reasonably prudent person would exercise under those circumstances; the section itself declares that the degree of negligence sufficient to establish civil liability will not suffice for the purpose of this section. Phillips v. State, 6 Ark. App. 380, 644 S.W.2d 288 (1982).

There was substantial evidence from which to find that the defendant acted negligently. Phillips v. State, 6 Ark. App. 380, 644 S.W.2d 288 (1982).

Negligent conduct is distinguished from reckless conduct primarily in that it does not involve the conscious disregard of a perceived risk; in order to be held to have acted negligently, it is not necessary that the actor be fully aware of a perceived risk and recklessly disregard it, rather, it requires only a finding that under the circumstances he should have been aware of the risk and his failure to perceive it was a gross deviation from the care a reasonable, prudent person would exercise under those circumstances. Hunter v. State, 341 Ark. 665, 19 S.W.3d 607 (2000).

In defendant's trial for criminally negligent homicide, the trial court erred in failing to grant defendant's motion for directed verdict where the state's evidence that defendant's truck merely crossed the center line of a road was insufficient to support a finding of criminal negligence; this was a different standard from the evidence needed to support a finding of civil negligence. Utley v. State, 93 Ark. App. 381, 219 S.W.3d 709 (2005), rev'd, 366 Ark. 514, 237 S.W.3d 27 (2006).

Evidence was sufficient to support defendant's conviction of negligent homicide where the jury could conclude that defendant's failure to perceive the risk under the facts constituted a gross deviation from the standard of care that a reasonable person would observe in defendant's position. Utley v. State, 366 Ark. 514, 237 S.W.3d 27 (2006).

Appellants' convictions for negligent homicide in the death of their daughter were affirmed; given the record—which included appellants allowing three hours to pass without checking on or knowing the whereabouts of their twenty-two-month-old child—the instant court could not say that the verdicts were not supported by substantial evidence. Marin v. State, 2009 Ark. App. 802 (2009).

Because there was no negligent behavior on the part of defendant pursuant to subsection (4) of this section, his action were purposeful, and a firearm and toolmark examiner for the Arkansas State Crime Lab testified that for the gun to be fired, the trigger had to be pulled, which usually required five to five and a half pounds of pressure, the trial court did not err in refusing to give the jury an instruction on negligent homicide under § 5-10-105(b)(1). Ratterree v. State, 2012 Ark. App. 701 (2012).

Negligent homicide instruction was not warranted because there was no rational basis to conclude that defendant's actions were merely negligent where defendant reached under his car seat, chambered a round, and intentionally fired the weapon directly at the victim's chest. Bennett v. State, 2014 Ark. App. 624, 447 S.W.3d 602 (2014).

Circuit court erred in denying defendant's motion to dismiss a negligent homicide charge under § 5-10-105(b)(1); although there was no question that defendant's failure to see the decedent's vehicle resulted in the fatal accident, there was no evidence that defendant was speeding, driving erratically, under the influence of alcohol, using a phone, or engaged in some similar conduct, and thus, the evidence fell short of establishing criminal negligence. Gill v. State, 2015 Ark. 421, 474 S.W.3d 77 (2015).

Substantial evidence supported defendant's conviction of misdemeanor negligent homicide; the weather conditions were clear on the night in question, defendant was observed crossing five lanes of traffic at high speed and rolling his vehicle, the vehicle's black box indicated that the brakes were never engaged, plus three cans of air duster had been purchased minutes before the accident and a blood sample had detected the presence of difluoroethane, a gas found in air-duster canisters, in defendant's blood. Sizemore v. State, 2015 Ark. App. 728, 478 S.W.3d 281 (2015).

It was not clear that the administrative law judge (ALJ) incorrectly relied on the criminal-negligence standard; however, the father could not show prejudice because applying the criminal-negligence standard only heightened the standard by which the ALJ could find neglect by inadequate supervision under the Child Maltreatment Act, § 12-18-103. W.N. v. Ark. Dep't of Human Servs., 2018 Ark. App. 346, 552 S.W.3d 483 (2018).

Purposely.

The kind of evidence and quantum of proof required to show a “conscious object” so as to make an action purposeful under subdivision (1) of this section is the same as that which was formerly required to show “specific intent,” and may be inferred from the facts and circumstances shown in evidence. Chaviers v. State, 267 Ark. 6, 588 S.W.2d 434 (1979).

Where offense requires a purposeful mental state, the defense of voluntary intoxication is available to a defendant charged with such crime. Davis v. State, 12 Ark. App. 79, 670 S.W.2d 472 (1984).

Evidence was sufficient to support a finding that defendant acted purposely. Black v. State, 306 Ark. 394, 814 S.W.2d 905 (1991); Carter v. State, 324 Ark. 249, 921 S.W.2d 583 (1996); Mulkey v. State, 330 Ark. 113, 952 S.W.2d 149 (1997).

The jury could reasonably have inferred that defendant purposely killed his victim, based on the type of weapon used, the manner of its use, and the location of the wounds. Easter v. State, 306 Ark. 615, 816 S.W.2d 602 (1991).

Purposeful intent of the defendant can be inferred from the manner of the victim's death and the location of the victim's wound. Walker v. State, 313 Ark. 478, 855 S.W.2d 932 (1993).

Premeditation, deliberation, and purposeful intent can be formed on the spur of the moment. Missildine v. State, 314 Ark. 500, 863 S.W.2d 813 (1993).

There was substantial evidence that defendant acted with the purpose to cause serious physical injury to the victim under circumstances manifesting extreme indifference to the value of human life where he kicked the victim in the head repeatedly after the victim was down. Harmon v. State, 340 Ark. 18, 8 S.W.3d 472 (2000).

Where the evidence presented showed that defendant had a stormy relationship with the victim, that they argued the night before a fatal shooting, that defendant had pointed a gun at the victim in the past, that defendant had retrieved a gun on the morning of the shooting, and that defendant admitting to shooting the victim, there was sufficient evidence to sustain a conviction for first-degree murder; the evidence was sufficient to show defendant acted purposely, rather than accidentally. Edmond v. State, 351 Ark. 495, 95 S.W.3d 789 (2003).

Based on the testimony of several eyewitnesses that defendant had shot a victim near a vehicle after an argument, there was sufficient evidence presented to infer that defendant acted with a conscious desire to kill the victim. Winbush v. State, 82 Ark. App. 365, 107 S.W.3d 882 (2003).

A person acts purposely with respect to his conduct or a result thereof when it is his conscious object to engage in conduct of that nature or to cause such a result. Robinson v. State, 353 Ark. 372, 108 S.W.3d 622 (2003).

Appellate court found no merit in defendant's argument that he was merely rhetorically questioning a 14-year-old girl about sex, rather than soliciting her, and that he had no intent to make such a statement where there was testimony that he offered to pay money in exchange for sex, that he offered her more money after she refused him, and that he kissed her on the neck after encouraging the young boys in her charge to kiss her. Heape v. State, 87 Ark. App. 370, 192 S.W.3d 281 (2004).

Evidence was sufficient for a conviction of first-degree murder where the victim was last seen in the company of defendant, defendant made statements to his fellow inmates that he killed the victim with his hands in a fight after an argument, defendant told his brother that he would like to kill the victim, the victim's body was placed on wood burning stove, defendant kicked the pipe off of the stove, and the victim's body was found charred. Johnson v. State, 358 Ark. 460, 193 S.W.3d 260 (2004).

Evidence was sufficient to sustain defendant's forgery and theft convictions where she did not offer a reasonable explanation of how she acquired the forged check; therefore, an inference that she committed the forgery or was an accessory to its commission was warranted and the court did not err in inferring defendant's intent. DeShazer v. State, 94 Ark. App. 363, 230 S.W.3d 285 (2006).

There was sufficient evidence for the jury to determine that defendant had the requisite mens rea for first-degree murder at the time he shot and killed his wife as an expert for the state testified that defendant did not have a mental disease or defect at the time of the shooting; the jury was entitled to believe the state's expert over defendant's expert. Davis v. State, 368 Ark. 401, 246 S.W.3d 862 (2007).

Circuit court did not err by admitting into evidence photographs of the murder victim because her wounds were relevant to show defendant's intent to kill her; they also assisted the jury in understanding the crime-scene investigator's description of the scene, and the circuit court performed a proper evaluation of the photographs before allowing them to be presented to the jury. Davis v. State, 368 Ark. 401, 246 S.W.3d 862 (2007).

Evidence was sufficient to sustain a first degree murder conviction because defendant admitted to hitting, kicking, and stabbing the victim, a knife blade was found at the crime scene, and a matching handle was later found at defendant's house, and defendant's statement to the investigating officer indicated that his conscious object was to cause the death of the victim. Navarro v. State, 371 Ark. 179, 264 S.W.3d 530 (2007).

Evidence was sufficient to show that defendant acted “under circumstances manifesting extreme indifference to the value of human life” and to sustain his conviction for first degree battery because defendant admittedly placed a child in a tub of water so hot that it severed the skin from his feet, and defendant's own statements, although inconsistent, supported the conclusion that he knew that it was his responsibility to properly supervise the child during a bath and to ensure a safe water temperature and that he consciously disregarded the risks involved. Bell v. State, 99 Ark. App. 300, 259 S.W.3d 472 (2007).

Evidence was sufficient to support a conviction for first-degree battery under § 5-13-201(a)(8) where defendant purposely fired three times at an occupied truck on a highway; a passenger was struck and seriously injured. There was a presumption that defendant intended the natural and probable consequences of his actions. Spight v. State, 101 Ark. App. 400, 278 S.W.3d 599 (2008).

Defendant's conviction for theft of property lost, mislaid, or mistakenly delivered was supported by the evidence because defendant failed to take reasonable measures to return a double payment made to defendant's business on behalf of a customer, and acted with purposeful intent under subdivision (1) of this section of depriving the victims. Cora v. State, 2009 Ark. App. 431, 319 S.W.3d 281 (2009).

Evidence was sufficient to support defendant's conviction of first-degree murder for the killing of a romantic rival and to establish the requisite intent of purposefulness because it showed that defendant, while possessing a knife, drove to the victim's residence, confronted her, and stabbed her with the knife in the ensuing altercation. Mooney v. State, 2009 Ark. App. 622, 331 S.W.3d 588 (2009), review denied, — Ark. —, — S.W.3d —, 2009 Ark. LEXIS 820 (Dec. 10, 2009).

Trial court did not err in refusing to direct the verdicts where defendant took actions to conceal the harm to the child, and failed to take action to secure appropriate care for the child; the jury could conclude that defendant rubbing a substance known to cause skin irritation on the face of a toddler where Superglue had already adhered would cause, at the very least, the impairment of physical condition or a visible mark associated with the physical trauma. Price v. State, 2009 Ark. App. 664, 344 S.W.3d 678 (2009).

Defendant's conviction for first-degree criminal mischief under § 5-38-203(a)(1) was supported by substantial evidence as: (1) it was fair to presume that defendant purposely for purposes of subdivision (1) of this section broke a former supervisor's car windows when defendant repeatedly swung a long, heavy metal object at them; (2) defendant's statement to the supervisor immediately prior to smashing the supervisor's windows that defendant should “kick (the supervisor's) ass” demonstrated defendant's anger and indicated a desire to express that anger with violence; and (3) defendant failed to support a claim that defendant's actions were justified. Warren v. State, 2011 Ark. App. 102 (2011).

Defendant's conviction for domestic battering under § 5-26-304(a)(2) was supported by sufficient evidence because the state showed that, with the purpose of causing physical injury, defendant caused injury to the victim, his brother, by means of a deadly weapon. While defendant contended that he was acting in self-defense when he struck the victim with a sickle, the testimony of the victim and the victim's brother established that the victim did not have the gun that he had when police arrived until after defendant had battered both the victim and the victim's brother. Brown v. State, 2011 Ark. App. 150, 381 S.W.3d 175 (2011).

State failed to show that a juvenile engaged in disorderly conduct in a reckless or purposeful manner as those terms were defined by this section, as the juvenile's behavior in unexpectedly coming upon a scene in which the juvenile's mother was being arrested was not a gross deviation from a reasonable standard of care. M.J. v. State, 2011 Ark. App. 171, 381 S.W.3d 880 (2011), rehearing denied, — Ark. App. —, — S.W.3d —, 2011 Ark. App. LEXIS 300 (Apr. 13, 2011).

During a trial for breaking or entering, the jury was not required to believe defendant's claim that defendant did not enter a vehicle with the intent to steal anything under subdivision (1) of this section, but instead to have a place to sleep; defendant's argument overlooked the fact that an officer found a car-stereo faceplate in defendant's pocket. Pruitt v. State, 2011 Ark. App. 754 (2011).

Substantial evidence supported a finding that defendant acted purposely, within the meaning of subdivision (1) of this section, when he discharged a gun in the direction of a step that was three steps down from where the assault victim was standing. Defendant's explanation of the gun accidentally firing did not match the physical evidence of bullet fragments found near a pock mark on the first step to the front porch and both the victim and defendant being wounded. Montalvo v. State, 2012 Ark. App. 119 (2012).

Evidence was sufficient to convict defendant of first-degree murder under § 5-10-102(a)(2) because the three gunshot wounds to the victim alone, at least two of which were fired 35-40 seconds apart, ran counter to defendant's accidental shooting theory; and the evidence supported an inference of purposeful intent under subdivision (1) of this section. Smith v. State, 2012 Ark. App. 359 (2012), dismissed, Smith v. Kelley, — F. Supp. 2d —, 2015 U.S. Dist. LEXIS 119827 (E.D. Ark. Sept. 9, 2015).

Evidence was sufficient to sustain defendant's attempted first-degree murder conviction because defendant knocked on a door and fired a gun at the victim when he opened the door. The jury could reasonably have inferred that defendant purposely engaged in conduct that constituted a substantial step in a course of conduct known to cause death to another person, regardless of that person's identity. Wells v. State, 2012 Ark. App. 596, 424 S.W.3d 378 (2012).

During an inmate's trial for murder in the first degree, in violation of § 5-10-102(a)(2), the court did not err in denying his motion for a directed verdict because there was ample evidence to support the conclusion that he purposely caused the victim's death under subdivision (1) of this section; he admitted to the crime and that it was his intent to kill the victim and that he had to think about how to do it. Kaufman v. State, 2013 Ark. 126 (2013).

Denial of postconviction relief was proper, because the petitioner failed to show the second-degree-murder instruction added an extra element not present in the greater offense of first-degree murder and that counsel should have objected; Second-degree murder was a lesser-included offense of first-degree murder, as it differed from the greater offense only to the extent that it required a lesser kind of culpable mental state. Holloway v. State, 2013 Ark. 140, 426 S.W.3d 462 (2013).

Record contained substantial evidence that defendant had the intent to commit the crime of terroristic threatening, as he made statements that he would destroy anyone who got in his way, and he tried to call his father to talk him out of “it,” and this particular statement was made after defendant loaded or cocked a rifle while pacing; taken in context, the statements were not innocuous, but given the parties' volatile relationship, gave rise to the level sufficient to support a conviction of terroristic threatening. Cauffiel v. State, 2013 Ark. App. 642 (2013).

Circuit court did not err in denying defendant's motion for directed verdict on a first-degree murder charge where defendant lied about seeing the victim, had buried her body, and had disposed of a necktie and bag, and thus, the jury could have concluded from the testimony and circumstantial evidence that he had placed a bag over the victim's head with the purpose of causing her death. Williams v. State, 2015 Ark. 316, 468 S.W.3d 776 (2015).

While there was evidence of the defendant's history of mental difficulties, there was sufficient evidence that she was not acting with such difficulties at the time of the murder; in addition to defendant's deliberate acts after the murder to conceal evidence, law enforcement officers testified that they had clear conversations with the 17-year-old defendant the day of the murder and her mother testified that she was calm immediately before the murder. While the State did not offer a motive for the murder, the jury could reasonably infer from this evidence that defendant purposely killed the victim. Fink v. State, 2015 Ark. 331, 469 S.W.3d 785 (2015).

Defendant was properly found guilty of first-degree murder because she purposely caused the 80-year-old victim's death by stabbing him approximately 36 times, deliberately sought to conceal evidence, and the jury was entitled to believe the testimony of one expert over the other and to find that defendant had not proved the defense of mental disease or defect by a preponderance of the evidence. Fink v. State, 2015 Ark. 331, 469 S.W.3d 785 (2015).

Evidence presented was substantial enough that the jury did not have to resort to conjecture to convict defendant of first-degree murder, given in part that witnesses testified that defendant and the victim had been fighting, and although defendant claimed self-defense, the victim was shot in the head, which supported the idea that the victim was shot intentionally, not during a struggle for defendant's life. Toombs v. State, 2015 Ark. App. 71, appeal dismissed, 2015 Ark. 471 (2015).

Defendant acted with the purpose to cause the victim's death in that defendant, instead of leaving when defendant's paramour became angry and intoxicated, retrieved a handgun, hid it under a sofa cushion beside defendant, and shot defendant's paramour, after the paramour threw a cup of wine at defendant, when the paramour was in a vulnerable position reclined in the paramour's chair. Scott-Paxson v. State, 2015 Ark. App. 149, 457 S.W.3d 311 (2015).

Substantial evidence supported defendant's conviction for residential burglary because the circumstances were plainly sufficient to allow the trial court to reasonably infer, without resort to speculation or conjecture, that he entered the victim's home with the purpose of assaulting her; defendant violently broke into the victim's home, chased her, tried to prevent her from being able to call for help, verbally threatened her safety, and immediately thereafter physically beat her. Davis v. State, 2015 Ark. App. 234, 459 S.W.3d 821 (2015).

It was defendant's brother who fired the shot that killed the victim, and although defendant claimed the State failed to prove it was his conscious object to assist his brother, the law in Arkansas made no distinction between the criminal liability of a principal and an accomplice; defendant drove around with the stated purpose to assist in hunting down and killing the victim, and thus the evidence supported his convictions of first-degree murder and committing a terroristic act, and the circuit court properly denied his motions for directed verdict. Starling v. State, 2015 Ark. App. 429, 468 S.W.3d 294 (2015).

State produced sufficient evidence that defendant purposely killed the victim; it was defendant's conscious object to end the victim's life, given that even after defendant had beaten the victim with a bat for several minutes, and the victim begged her to stop, she did not stop, she made efforts to conceal the crime, including burying the victim's body, and she fled when investigators found the body. Rollf v. State, 2015 Ark. App. 520, 472 S.W.3d 490 (2015).

Trial court did not err in denying appellant's motion for a directed verdict on an aggravated assault charge where, after realizing that he would be unable to escape from two police officers pursuing him, he turned towards one officer and held a knife in a threatening manner, the officer was able to strike appellant with his baton and take away the knife, and thus, appellant was close enough to the officer to cause serious physical injury. Freeman v. State, 2016 Ark. App. 36, 480 S.W.3d 886 (2016).

Evidence was sufficient to convict defendant of first-degree murder because, after stabbing the victim, defendant immediately started trying to cover up evidence when she hid the knife and returned asking another individual what happened; defendant lied to the police during her first interview about her involvement; lying about a crime could indicate a consciousness of guilt, and a jury could properly consider an attempt to cover up one's connection to a crime as proof of a purposeful mental state; and, contrary to defendant's statement to police that she barely swung the knife, the medical examiner testified that the blade had gone halfway through the victim's body. Stearns v. State, 2017 Ark. App. 472, 529 S.W.3d 654 (2017).

In defendant’s trial for first-degree terroristic threatening arising from a workplace incident, it was reasonable for the jury to conclude that defendant threatened the victim in order to terrorize him, in violation of § 5-13-301(a)(1)(A), where multiple witnesses testified that defendant had pointed a pistol at the victim, the victim testified that as defendant aimed, he told him that he was “fixing to shoot”, and the jurors were entitled to rely on their common knowledge and life experiences to infer that, given the circumstances, defendant acted with the conscious objective to cause the victim terror. Hughes v. State, 2020 Ark. App. 114 (2020).

Recklessly.

The definition of “recklessly” is of such common understanding and practice that its meaning in certain statutes as an element of an offense is not unconstitutionally vague. Harmon v. State, 260 Ark. 665, 543 S.W.2d 43 (1976).

The word recklessly is not an obscure, vague or technical word outside the scope of the common understanding of the ordinary individual or juror; therefore, even though there is a statutory definition, such definition is not essential for the jury's understanding of a charge involving reckless conduct. Viar v. State, 269 Ark. 772, 601 S.W.2d 579 (Ct. App. 1980).

Failure to instruct on the meaning of the word “recklessly” was held proper. Viar v. State, 269 Ark. 772, 601 S.W.2d 579 (Ct. App. 1980).

It was error for the trial court to refuse defendant's requested instruction on offense involving negligence since the jury would have determined under this section whether the defendant should have been aware of the risk involved in her actions. Worring v. State, 2 Ark. App. 27, 616 S.W.2d 23 (1981).

There was substantial evidence to support conclusion that defendant acted recklessly. Slavens v. State, 1 Ark. App. 245, 614 S.W.2d 529 (1981); Smith v. State, 3 Ark. App. 224, 623 S.W.2d 862 (1981).

Defendant recklessly caused the death of her baby by consciously disregarding a substantial and unjustifiable risk that death might occur if she did not feed the baby more often. Miles v. State, 59 Ark. App. 97, 954 S.W.2d 286 (1997).

There was sufficient evidence of reckless conduct to support the conviction for second-degree assault where defendant pushed victim from behind as she went through a door; defendant's actions created a substantial risk that the victim would be physically injured by falling on a concrete sidewalk, and it was of no consequence that victim was able to regain her balance before falling. Walker v. State, 330 Ark. 652, 955 S.W.2d 905 (1997).

Evidence that defendant had been stared at by the victim did not provide a rational basis for giving a reckless manslaughter jury instruction. Ellis v. State, 345 Ark. 415, 47 S.W.3d 259 (2001).

Second-degree murder conviction was affirmed because defendant was not entitled to an instruction on the lesser-included offense of involuntary manslaughter under § 5-10-104(a)(3); defendant's act of shooting into an ex-spouse's occupied vehicle did not constitute recklessness. Bankston v. State, 361 Ark. 123, 205 S.W.3d 138 (2005).

Evidence was sufficient to show that defendant acted recklessly as to her son's abuse where she was confronted by her sister-in-law regarding concerns that defendant's son was being abused and defendant did nothing to prevent future abuse. Graham v. State, 365 Ark. 274, 229 S.W.3d 30 (2006).

Defendant's convictions for manslaughter, in violation of § 5-10-104(a)(3), were modified to the lesser-included offense of negligent homicide under § 5-10-105(b)(1) because defendant's acts of crossing the center line, tailgating, and averting defendant's eyes from the road constituted negligence, not recklessness under subdivision (3) of this section. Rollins v. State, 2009 Ark. App. 110, 302 S.W.3d 617 (2009), rev'd, 2009 Ark. 484, 347 S.W.3d 20 (2009).

State produced evidence in the form of a witness that defendant pushed the victim from a moving vehicle and that he struck her afterwards as she lay on the ground; by pushing the victim from a moving vehicle and then kicking her, defendant consciously disregarded the risk that his actions would cause injury to the victim, and there was substantial evidence to support a finding that defendant recklessly caused physical injury to the victim. Lasker v. State, 2009 Ark. App. 591 (2009).

Evidence supported the inference that defendant juvenile intended to engage in the conduct of hitting a nurse and threatening her and a doctor's lives to create public inconvenience, annoyance, or alarm in violation of § 5-71-207 because the nurse testified that defendant attacked her on several different occasions, and defendant did not argue that he was in any way incapable of controlling his actions at the time he threatened to kill either the nurse or the doctor and struck the nurse; at the very least, defendant consciously disregarded the effects of his actions. M.T. v. State, 2009 Ark. App. 761, 350 S.W.3d 792 (2009).

State failed to show that a juvenile engaged in disorderly conduct in a reckless or purposeful manner as those terms were defined by this section, as the juvenile's behavior in unexpectedly coming upon a scene in which the juvenile's mother was being arrested was not a gross deviation from a reasonable standard of care. M.J. v. State, 2011 Ark. App. 171, 381 S.W.3d 880 (2011), rehearing denied, — Ark. App. —, — S.W.3d —, 2011 Ark. App. LEXIS 300 (Apr. 13, 2011).

During defendant's trial for permitting the abuse of her minor child, the court did not err in allowing defendant's mother to testify regarding her reaction to the child's injuries; the testimony was relevant as to whether defendant recklessly failed to take action to prevent the abuse under subdivision (3) of this section. Sullivan v. State, 2012 Ark. 74, 386 S.W.3d 507 (2012).

During parents' trial for first-degree battery against their infant, the court did not err in refusing to instruct the jury on the lesser-included offense of third-degree battery because regardless of whether there was some reckless conduct under subdivision (3) of this section, the physical injury the infant sustained could only be described as serious; the infant was severely malnourished to the point of starvation and death would have occurred within days without medical attention. Bruner v. State, 2013 Ark. 68, 426 S.W.3d 386 (2013).

Because the attorney committed the drug and drug paraphernalia possession crimes with only a reckless mental state under subdivision (3) of this section and § 5-2-203(b), had been rehabilitated, had successfully completed his suspended sentence, and had successfully established his present mental and emotional stability and good moral character, the attorney was not prevented from being readmitted to the Arkanses Bar under Ark. Sup. Ct. P. Reg. Prof'l Conduct § 24(B)(2), and his request for readmission to the Arkansas Bar pursuant to Ark. R. Admis. Bar XIII(G) was granted. In re Haynes, 2013 Ark. 102, 426 S.W.3d 411 (2013).

Substantial evidence supported defendant's manslaughter convictions under § 5-10-104(a)(3) and subdivision (3) of this section given defendant's ingestion of 11 controlled substances prior to driving her SUV across the center line, running two vehicles off the road before striking the victims' car, which had pulled onto the shoulder. Dail v. State, 2013 Ark. App. 184 (2013).

Suspension of an earlier sentence was properly revoked because defendant committed domestic battery in the third degree where an infant child suffered an arm fracture in defendant's care, and a medical examination revealed healing fractures other places; moreover, there was evidence that other injury incidents had occurred while the child was in defendant's care, and there was testimony that defendant was too rough with the child. The standard for reckless was what a reasonable person in the circumstances would have observed. Singletary v. State, 2013 Ark. App. 699 (2013).

Trial court did not err by failing to instruct on attempted reckless manslaughter as a lesser-included offense of attempted second-degree murder because the crime of attempted reckless manslaughter is inherently contradictory. The attempted offense involved an intentional act, and it would have been illogical to ask the jury to find that defendant intended to act recklessly or that he purposely engaged in conduct that was a substantial step in a course of conduct intended to culminate in acting recklessly. Even if the instruction was based on sound law, there was no rational basis for giving it in this case where defendant's actions in running over people were intentional, regardless of whether he intended to bring about the particular result of death. Allen v. State, 2015 Ark. App. 360, 465 S.W.3d 9 (2015).

Circuit court, which instructed the jury on first-degree murder and the lesser-included offense of second-degree murder, did not err in refusing to instruct the jury on reckless manslaughter because the jury was presented with evidence that defendant chased the victim, blocked the victim's vehicle with defendant's vehicle, and ran up to the victim's car, shooting once into the hood of the car and a second time through the windshield of the car, killing the victim. Starling v. State, 2016 Ark. 20, 480 S.W.3d 158 (2016).

Trial court did not err in instructing the jury because, even assuming endangering the welfare of a minor in the third degree was a lesser-included offense of endangering the welfare of a minor in the first degree, there was not a rational basis for giving the instruction. By defendant's own testimony, defendant's actions were not reckless; they were actions that defendant purposely undertook after defendant became upset and frustrated when an infant child would not stop crying, which resulted in serious injury to the child. Myers v. State, 2016 Ark. App. 501, 505 S.W.3d 694 (2016).

Although the circuit court in a bench trial incorrectly held that the applicable culpable mental state was strict liability in a DWI case under § 5-65-103 that did not involve alcohol, defendant's conviction was affirmed where the circuit court made an alternative finding under the correct standard that the State had submitted proof sufficient to satisfy reckless conduct under § 5-2-203 and this section; the testimony of the officer, the pharmacist expert, and the defendant provided sufficient evidence to support a finding that defendant acted recklessly in taking prescribed barbiturates (for her migraine) and then operating a motor vehicle. Cordero v. State, 2019 Ark. App. 484, 588 S.W.3d 369 (2019).

Recklessly and Negligently Distinguished.

Reckless and negligent conduct, as defined in this section, are distinguished in that reckless conduct involves a conscious disregard of a perceived risk; a person charged with negligent homicide is assumed to have been unaware of the existence of the risk. Smith v. State, 3 Ark. App. 224, 623 S.W.2d 862 (1981).

Cited: Martin v. State, 261 Ark. 80, 547 S.W.2d 81 (1977); Hamilton v. State, 262 Ark. 366, 556 S.W.2d 884 (1977); Rust v. State, 263 Ark. 350, 565 S.W.2d 19 (1978); Lowe v. State, 264 Ark. 205, 570 S.W.2d 253 (1978); Sbabo v. State, 264 Ark. 497, 572 S.W.2d 585 (1978); State v. Brown, 265 Ark. 41, 577 S.W.2d 581 (1979); Kirkendall v. State, 265 Ark. 853, 581 S.W.2d 341 (1979); Cates v. State, 267 Ark. 726, 589 S.W.2d 598 (Ct. App. 1979); Dixon v. State, 268 Ark. 471, 597 S.W.2d 77 (1980); Darville v. State, 271 Ark. 580, 609 S.W.2d 50 (1980); Avery v. State, 271 Ark. 584, 609 S.W.2d 52 (1980); Nolen v. State, 278 Ark. 17, 643 S.W.2d 257 (1982); Ethridge v. State, 9 Ark. App. 111, 654 S.W.2d 595 (1983); Blaney v. State, 280 Ark. 253, 657 S.W.2d 531 (1983); Garner v. White, 726 F.2d 1274 (8th Cir. 1984); Coleman v. State, 12 Ark. App. 214, 671 S.W.2d 221 (1984); Heard v. State, 284 Ark. 457, 683 S.W.2d 232 (1985); Neely v. State, 18 Ark. App. 122, 711 S.W.2d 482 (1986); Jackson v. State, 290 Ark. 160, 717 S.W.2d 801 (1986); Fladung v. State, 292 Ark. 510, 730 S.W.2d 901 (1987); Booth v. State, 26 Ark. App. 115, 761 S.W.2d 607 (1988); Johnson v. State, 28 Ark. App. 256, 773 S.W.2d 450 (1989); Dunlap v. State, 303 Ark. 222, 795 S.W.2d 920 (1990); Norton v. State, 307 Ark. 336, 820 S.W.2d 272 (1991); Cole v. State, 33 Ark. App. 98, 802 S.W.2d 472 (1991); Cotnam v. State, 36 Ark. App. 109, 819 S.W.2d 291 (1991); Enoch v. State, 37 Ark. App. 103, 826 S.W.2d 291 (1992); Edwards v. State, 40 Ark. App. 114, 842 S.W.2d 459 (1992); Anderson v. State, 312 Ark. 606, 852 S.W.2d 309 (1993); Paige v. State, 45 Ark. App. 13, 870 S.W.2d 771 (1994); Williams v. State, 321 Ark. 635, 906 S.W.2d 677 (1995); Misskelley v. State, 323 Ark. 449, 915 S.W.2d 702 (1996); Walker v. State, 324 Ark. 106, 918 S.W.2d 172 (1996); Davis v. State, 325 Ark. 96, 925 S.W.2d 768 (1996); Williams v. State, 325 Ark. 432, 930 S.W.2d 297 (1996); Webb v. State, 328 Ark. 12, 941 S.W.2d 417 (1997); Ladwig v. State, 328 Ark. 241, 943 S.W.2d 571 (1997); Cox-Hilstrom v. State, 58 Ark. App. 109, 948 S.W.2d 409 (1997); McGill v. State, 60 Ark. App. 246, 962 S.W.2d 382 (1998); Anderson v. State, 62 Ark. App. 1, 967 S.W.2d 569 (1998); Byrd v. State, 337 Ark. 413, 992 S.W.2d 759 (1999); Terrell v. State, 342 Ark. 208, 27 S.W.3d 423 (2000); Kelley v. State, 75 Ark. App. 144, 55 S.W.3d 309 (2001); McEntire v. State, 363 Ark. 473, 215 S.W.3d 658 (2005); Henson v. State, 94 Ark. App. 163, 227 S.W.3d 450 (2006); MacKool v. State, 365 Ark. 416, 231 S.W.3d 676 (2006); Bell v. State, 371 Ark. 375, 266 S.W.3d 696 (2007); Law v. State, 375 Ark. 505, 292 S.W.3d 277 (2009); Jackson v. State, 2009 Ark. 336, 321 S.W.3d 260 (2009); Moseby v. State, 2010 Ark. App. 5 (2010); Lee v. State, 2010 Ark. App. 15 (2010); Freeman v. State, 2010 Ark. App. 90 (2010); Banks v. State, 2011 Ark. App. 249 (2011); Stevenson v. State, 2013 Ark. 100, 426 S.W.3d 416 (2013); Adams v. State, 2014 Ark. App. 308, 435 S.W.3d 520 (2014); Edwards v. State, 2015 Ark. 377, 472 S.W.3d 479 (2015); Fowler v. State, 2015 Ark. App. 579, 474 S.W.3d 120 (2015); Ta v. State, 2015 Ark. App. 220, 459 S.W.3d 325 (2015); Edwards v. State, 2017 Ark. 207 (2017); Campbell v. State, 2017 Ark. App. 340, 525 S.W.3d 465 (2017); Turner v. State, 2018 Ark. App. 5, 538 S.W.3d 227 (2018).

5-2-203. Culpable mental states — Interpretation of statutes.

  1. If a statute defining an offense prescribes a culpable mental state and does not clearly indicate that the culpable mental state applies to less than all of the elements of the offense, the prescribed culpable mental state applies to each element of the offense.
  2. Except as provided in §§ 5-2-204(b) and (c), if the statute defining an offense does not prescribe a culpable mental state, a culpable mental state is nonetheless required and is established only if a person acts purposely, knowingly, or recklessly.
    1. When a statute defining an offense provides that acting negligently suffices to establish an element of that offense, the element also is established if a person acts purposely, knowingly, or recklessly.
    2. When acting recklessly suffices to establish an element, the element also is established if a person acts purposely or knowingly.
    3. When acting knowingly suffices to establish an element, the element also is established if a person acts purposely.
  3. Knowledge that conduct constitutes an offense or knowledge of the existence, meaning, or application of the statute defining an offense is not an element of an offense unless the statute clearly so provides.

History. Acts 1975, No. 280, § 204; A.S.A. 1947, § 41-204.

Research References

Ark. L. Rev.

Case Note, Harbison v. State: Just Say No to a Usable Amount, 45 Ark. L. Rev. 425.

The Culpability, or Mens Rea, “Defense” in Arkansas, 53 Ark. L. Rev. 805 (2000).

Article, Ethical and Effective Representation in Arkansas Capital Trials, 60 Ark. L. Rev. 1.

Recent Developments: Felony Conviction for Recklessly Violating the State's Drug-and-Paraphernalia-Possession Laws Does Not Prevent Readmission to the Arkansas Bar, 66 Ark. L. Rev. 601 (2013).

U. Ark. Little Rock L.J.

Notes, Criminal Law — Controlled Substances — Arkansas Adopts the Useable Amount Standard. Harbison v. State, 302 Ark. 315, 790 S.W.2d 146, 4 A.L.R.5th 1025 (1990), 13 U. Ark. Little Rock L.J. 583.

Case Notes

Establishment.

Criminal purpose or intent is a state of mind that is not ordinarily susceptible to proof by direct evidence; it may be inferred from facts and circumstances shown to have existed at the time. Chadwell v. State, 37 Ark. App. 9, 822 S.W.2d 402 (1992).

Appellate court found no merit in defendant's argument that he was merely rhetorically questioning a 14-year-old girl about sex, rather than soliciting her, and that he had no intent to make such a statement where there was testimony that he offered to pay money in exchange for sex, that he offered her more money after she refused him, and that he kissed her on the neck after encouraging the young boys in her charge to kiss her. Heape v. State, 87 Ark. App. 370, 192 S.W.3d 281 (2004).

Legislative Intent.

In a first-degree felony murder case, the Supreme Court rejected defendant's contention that it erred in deciding Perry v. State and Hill v. State by failing to apply subsection (b) of this section. Contrary to defendant's suggestion that its decisions ignored the legislature's mandate stated in subsection (b), the Supreme Court's felony-murder jurisprudence was in concert with the legislature's intent. Holian v. State, 2013 Ark. 7 (2013).

Possession of Weapons.

Where a deputy found that defendant had an improvised weapon hidden in his sock while incarcerated at the county jail and defendant said he possessed the weapon because he was “tired of the brutality and he had to do what he had to do”, there was substantial evidence from which the jury could have found that defendant knowingly possessed the weapon for the infliction of serious physical injury or death, in violation of § 5-73-131. Owens v. State, 92 Ark. App. 480, 215 S.W.3d 681 (2005).

Purposely.

Defendant was properly convicted of second-degree assault against a family member because there was substantial evidence that he entered the victim's home with the purpose of assaulting her. Davis v. State, 2015 Ark. App. 234, 459 S.W.3d 821 (2015).

Recklessly.

Because the attorney committed the drug and drug paraphernalia possession crimes with only a reckless mental state under § 5-2-202(3) and subsection (b) of this section, had been rehabilitated, had successfully completed his suspended sentence, and had successfully established his present mental and emotional stability and good moral character, the attorney was not prevented from being readmitted to the Arkanses Bar under Ark. Sup. Ct. P. Reg. Prof'l Conduct § 24(B)(2), and his request for readmission to the Arkansas Bar pursuant to Ark. R. Admis. Bar XIII(G) was granted. In re Haynes, 2013 Ark. 102, 426 S.W.3d 411 (2013).

Although the circuit court in a bench trial incorrectly held that the applicable culpable mental state was strict liability in a DWI case under § 5-65-103 that did not involve alcohol, defendant's conviction was affirmed where the circuit court made an alternative finding under the correct standard that the State had submitted proof sufficient to satisfy reckless conduct under subsection (b) of this section and § 5-2-202; the testimony of the officer, the pharmacist expert, and the defendant provided sufficient evidence to support a finding that defendant acted recklessly in taking prescribed barbiturates (for her migraine) and then operating a motor vehicle. Cordero v. State, 2019 Ark. App. 484, 588 S.W.3d 369 (2019).

Requirement and Establishment.

Where a statute does not contain or specify the culpable mental state required for its violation, pursuant to subsection (b) of this section, the Criminal Code recognizes three distinct culpable mental states under the section to sustain a conviction. Coleman v. State, 12 Ark. App. 214, 671 S.W.2d 221 (1984).

The Omnibus Driving While Intoxicated Act of 1983 is valid even though it does not require a culpable mental state pursuant to subsection (b) of this section. Price v. State, 285 Ark. 148, 685 S.W.2d 506 (1985).

The “Use of Prohibited Weapons” statute, § 5-73-104, does not create a strict liability offense; it requires proof of a culpable mental state. State v. Setzer, 302 Ark. 593, 791 S.W.2d 365 (1990).

Where mandatory language contained within § 27-53-101 did not explicitly enunciate any particular mental state, but instead stated that a driver of a vehicle involved in an accident resulting in death or injury to any person shall immediately stop the vehicle at the scene of the accident, this mandatory language was a clear indication that the accident-causing driver's mental state was irrelevant. Stivers v. State, 354 Ark. 140, 118 S.W.3d 558 (2003).

Circuit court erred in ruling that the Omnibus DWI Act of 1983 is a strict liability statute that does not require proof of a culpable mens rea. As the DWI statute, codified at § 5-65-103, does not prescribe a culpable mental state, a culpable mental state has to be imputed to the offense through the plain language of this section; and the offense is not subject to the statutory exception in § 5-2-204(c)(2) because the offense is included in the Criminal Code. Leeka v. State, 2015 Ark. 183, 461 S.W.3d 331 (2015) (decision under prior law).

Circuit court erred in concluding that § 5-64-411 does not require a culpable mental state. Section 5-64-411 adds an enhanced sentence for a person found guilty of certain offenses, including that for which appellant was convicted, only if an additional requirement is met, i.e., the location where the act was committed; thus, § 5-64-411 defines an offense. Small v. State, 2018 Ark. App. 80, 543 S.W.3d 516 (2018).

Because a circuit court erred in ruling that a sentencing-enhancement offense under § 5-64-411, for delivery of hydrocodone within 1,000 feet of a church, did not require a culpable mental state and improperly instructed the jury, reversal and remand were required; a culpable mental state is imputed under this section when the statute defining an offense does not prescribe a culpable mental state. Silmon v. State, 2018 Ark. App. 388, 557 S.W.3d 266 (2018).

Reversal of defendant's DWI conviction and remand for the circuit court to consider the evidence under the correct standard was appropriate because the circuit court incorrectly held that the applicable culpable mental state for non-alcohol-related offenses was strict liability and the court also did not make an alternative finding under the correct standard. Therefore, the appellate court could not conclude that the circuit court would have concluded that defendant acted at least recklessly under the evidence. Rowton v. State, 2020 Ark. App. 174, 598 S.W.3d 522 (2020).

Use of Weapons.

Section 5-73-104, prohibiting use of certain weapons, does not create a strict liability offense; under subsection (b) of this section, if a statute defining an offense does not prescribe a culpable mental state, culpability is nonetheless required. Yocum v. State, 325 Ark. 180, 925 S.W.2d 385 (1996).

Cited: Martin v. State, 261 Ark. 80, 547 S.W.2d 81 (1977); Menard v. State, 16 Ark. App. 219, 699 S.W.2d 412 (1985); Fisher v. State, 290 Ark. 490, 720 S.W.2d 900 (1986); Bargery v. State, 37 Ark. App. 118, 825 S.W.2d 831 (1992); McDougal v. State, 324 Ark. 354, 922 S.W.2d 323 (1996); Avery v. State, 93 Ark. App. 112, 217 S.W.3d 162 (2005); Edwards v. State, 2010 Ark. App. 59, 377 S.W.3d 271 (2010); French v. State, 2018 Ark. App. 502, 563 S.W.3d 582 (2018).

5-2-204. Elements of culpability — Exceptions to culpable mental state requirement.

  1. A person does not commit an offense unless his or her liability is based on conduct that includes a voluntary act or the omission to perform an act that he or she is physically capable of performing.
  2. A person does not commit an offense unless he or she acts with a culpable mental state with respect to each element of the offense that requires a culpable mental state.
  3. However, a culpable mental state is not required if:
    1. The offense is a violation unless a culpable mental state is expressly included in the definition of the offense;
    2. An offense defined by a statute not a part of the Arkansas Criminal Code clearly indicates a legislative intent to dispense with any culpable mental state requirement for the offense or for any element of the offense; or
    3. The offense is defined as a strict liability offense.

History. Acts 1975, No. 280, § 202; A.S.A. 1947, § 41-202; Acts 2015 (1st Ex. Sess.), No. 6, § 2.

A.C.R.C. Notes.

Acts 2015 (1st Ex. Sess.), No. 6, § 1, provided: “Legislative intent.

“(a) It is the intent of the General Assembly with this act to address the Supreme Court's holding in Leeka v. State, 2015 Ark. 183 (2015), that the state must prove a culpable mental state in a prosecution for driving while intoxicated.

“(b) The General Assembly intends for this act to establish that the current offenses of driving while intoxicated and underage driving under the influence, as well as the offenses of driving or boating while intoxicated and driving or boating under the influence while underage that were created by Acts 2015, No. 299, § 6, be strict liability offenses, which are offenses that require no culpable mental state be proven.”

Amendments. The 2015 (1st Ex. Sess.) amendment added (c)(3).

Meaning of “Arkansas Criminal Code”. See note to § 5-1-101.

Research References

Ark. L. Rev.

Case Note, Harbison v. State: Just Say No to a Usable Amount, 45 Ark. L. Rev. 425.

Article, Ethical and Effective Representation in Arkansas Capital Trials, 60 Ark. L. Rev. 1.

U. Ark. Little Rock L.J.

Notes, Criminal Law — Controlled Substances — Arkansas Adopts the Useable Amount Standard. Harbison v. State, 302 Ark. 315, 790 S.W.2d 146, 4 A.L.R.5th 1025 (1990), 13 U. Ark. Little Rock L.J. 583.

Case Notes

Child Maltreatment Act.

Neglect by inadequate supervision does not require a culpable mental state because it is defined in the Child Maltreatment Act, § 12-18-103, outside of the Arkansas Criminal Code. W.N. v. Ark. Dep't of Human Servs., 2018 Ark. App. 346, 552 S.W.3d 483 (2018).

In a Child Maltreatment Act case involving the death of a child who was left in a car seat on a hot day, it was not clear that the administrative law judge (ALJ) incorrectly relied on the criminal-negligence standard; however, the father could not show prejudice because applying the criminal-negligence standard only heightened the standard by which the ALJ could find neglect by inadequate supervision under the Child Maltreatment Act. W.N. v. Ark. Dep't of Human Servs., 2018 Ark. App. 346, 552 S.W.3d 483 (2018).

Exceptions to Culpable Mental State Requirement.

Circuit court erred in ruling that the Omnibus DWI Act of 1983 is a strict liability statute that does not require proof of a culpable mens rea. As the DWI statute, codified at § 5-65-103, does not prescribe a culpable mental state, a culpable mental state has to be imputed to the DWI offense through the plain language of § 5-2-203; and the offense is not subject to the statutory exception in subdivision (c)(2) of this section because the offense is included in the Criminal Code. Leeka v. State, 2015 Ark. 183, 461 S.W.3d 331 (2015) (decision under prior law).

Intent.

Being aware of one's actions does not encompass the mental state required for a crime of specific intent as one may be cognizant of the circumstances and one's actions yet not intend the result of them. Bowen v. State, 268 Ark. 1088, 598 S.W.2d 447 (Ct. App. 1980).

Because of the difficulty in ascertaining a person's intent, a presumption exists that a person intends the natural and probable consequences of his acts. Tarentino v. State, 302 Ark. 55, 786 S.W.2d 584 (1990); Furr v. State, 308 Ark. 41, 822 S.W.2d 380 (1992), appeal dismissed, — Ark. —, — S.W.3d —, 2003 Ark. LEXIS 666 (Dec. 11, 2003).

Mental State.

Candidate for circuit court judge was not disqualified from running due to his conviction for a violation of § 27-14-306, the fictitious motor vehicle tags statute, as misdemeanor “infamous crimes” under Ark. Const. Art. 5, § 9 and § 7-1-101 are misdemeanor offenses in which “the finder of fact was required to find, or the defendant to admit, an act of deceit, fraud, or false statement”, and the appellate court could not say that a violation of § 27-14-306 required a finding or admission of deceit, fraud, or false statement. Weeks v. Thurston, 2020 Ark. 64, 594 S.W.3d 23 (2020).

While deceit, fraud, or a false statement certainly can be present in a violation of § 27-14-306, a finder of fact is not required under the statute to find deceit, fraud, or a false statement. Furthermore, only one of the three ways a person can violate § 27-14-306 requires a culpable mental state—knowingly permitting; under this section, a culpable mental state is not required if the offense is a violation and a culpable mental state is not expressly included in the definition of the offense. Weeks v. Thurston, 2020 Ark. 64, 594 S.W.3d 23 (2020).

Mental State Irrelevent.

Where mandatory language contained within § 27-53-101 did not explicitly enunciate any particular mental state, but instead stated that a driver of a vehicle involved in an accident resulting in death or injury to any person shall immediately stop the vehicle at the scene of the accident, this mandatory language was a clear indication that the accident-causing driver's mental state was irrelevant. Stivers v. State, 354 Ark. 140, 118 S.W.3d 558 (2003).

Because the failure to register as a sex offender was a strict liability offense under § 12-12-901 et seq. and the state proved that defendant was required to register but failed to do so, the trial court did not err by denying defendant's motion for a directed verdict. Adkins v. State, 371 Ark. 159, 264 S.W.3d 523 (2007).

Cited: Ellis v. State, 270 Ark. 243, 603 S.W.2d 891 (1980); Henson v. State, 94 Ark. App. 163, 227 S.W.3d 450 (2006).

5-2-205. Causation.

Causation may be found when the result would not have occurred but for the conduct of the defendant operating either alone or concurrently with another cause unless:

  1. The concurrent cause was clearly sufficient to produce the result; and
  2. The conduct of the defendant was clearly insufficient to produce the result.

History. Acts 1975, No. 280, § 205; A.S.A. 1947, § 41-205.

Case Notes

Death.

Where conduct hastens or contributes to a person's death, it is a cause of the death. Tackett v. State, 298 Ark. 20, 766 S.W.2d 410 (1989), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002); Porter v. State, 308 Ark. 137, 823 S.W.2d 846 (1992).

Causation may be found notwithstanding that death occurred several years after the conduct in question took place. Tackett v. State, 298 Ark. 20, 766 S.W.2d 410 (1989), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002).

Defendant's conviction for capital murder under subdivision (a)(4) of this section was proper because the circuit court did not err in denying his motion for a directed verdict. Defendant's stabbing of the victim brought about the officers' use of deadly force that killed the victim; had defendant not been stabbing her, the officers would not have attempted to end defendant's attack on her by using deadly force. Anderson v. State, 2011 Ark. 461, 385 S.W.3d 214 (2011).

State produced sufficient evidence that defendant caused the victim's death; although the expert testimony left open possible concurrent causes for the victim's death, the skull injury clearly contributed to his death, defendant was the only person to hit the victim with the aluminum bat, and the victim's blood was found on the bat. Rollf v. State, 2015 Ark. App. 520, 472 S.W.3d 490 (2015).

Sufficient evidence supported defendant's conviction for second-degree murder; while the concurrent causes—the surgical complications, ensuing epidural hematoma, and pneumonia—might have contributed to the victim's death, defendant's conduct in beating and kicking the victim in the head, thereby causing the initial subdural hematoma, was the cause of his death. Claggett v. State, 2019 Ark. App. 208, 575 S.W.3d 169 (2019).

Evidence.

There was substantial evidence that the defendants caused the death of their victim where the medical examiner's testimony, coupled with that of the eyewitnesses, was sufficient to prove that the victim died as a result of internal bleeding from the shots fired by the defendants. Cox v. State, 305 Ark. 244, 808 S.W.2d 306 (1991).

Trial court did not err by denying defendant's motion for a directed verdict on the capital murder charge because: (1) but for defendant's aggravated robbery, speeding, and fleeing from the police, the trooper would not have been in the roadway attempting to retrieve stop sticks and would not have been struck by another trooper's vehicle; (2) the state presented sufficient evidence that defendant acted under circumstances manifesting an extreme indifference to the value of human life, as it showed that defendant robbed the victim with a gun, fled with his accomplice and the loot in a stolen car on a busy interstate, and initiated a high-speed chase while being pursued by several law enforcement officers with their lights and sirens blaring, thereby engaging in life-threatening activity; and (3) the phrase “under circumstances manifesting extreme indifference to the value of human life” was not void for vagueness, as the cases interpreting the phrase provided fair warning that it involved a life-threatening activity. Jefferson v. State, 372 Ark. 307, 276 S.W.3d 214 (2008).

Cited: Anderson v. State, 312 Ark. 606, 852 S.W.2d 309 (1993); Jenkins v. State, 60 Ark. App. 122, 959 S.W.2d 427 (1998).

5-2-206. Ignorance or mistake.

  1. It is a defense to a prosecution that the actor engaged in the conduct charged to constitute the offense under a mistaken belief of fact if:
    1. The statute defining the offense or a statute relating to the offense expressly provides that a mistaken belief of fact constitutes a defense; or
    2. Mistaken belief of fact establishes a defense of justification provided by § 5-2-601 et seq.
  2. Except as provided by subsection (c) of this section, a person is not relieved of criminal liability for conduct because he or she engages in that conduct believing that the conduct does not as a matter of law constitute an offense.
  3. It is an affirmative defense to a prosecution that the actor engaged in the conduct charged to constitute the offense believing that the conduct did not as a matter of law constitute an offense, if the actor acted in reasonable reliance upon an official statement of the law contained in:
    1. A statute or other enactment afterward determined to be invalid or erroneous;
    2. The latest judicial decision of the highest state or federal court that has decided the matter; or
    3. An official interpretation of a public servant or agency charged by law with responsibility for the interpretation or administration of the law defining the offense.
    1. Although ignorance or mistake of fact would otherwise afford a defense to the offense charged, the defense is not available if the defendant would be guilty of another offense had the situation been as he or she supposed.
    2. However, in a case described by subdivision (d)(1) of this section, the ignorance or mistake of fact of the defendant reduces the class or degree of the offense of which he or she may be convicted to that of the offense of which the defendant would be guilty had the situation been as he or she supposed.
  4. A mistake of law other than as to the existence or meaning of the statute under which the defendant is prosecuted is relevant to disprove the specific culpable mental state required by the statute under which the defendant is prosecuted.

History. Acts 1975, No. 280, § 206; A.S.A. 1947, § 41-206.

Research References

Ark. L. Rev.

The Constitutionality of Affirmative Defenses to Criminal Charges, 29 Ark. L. Rev. 430.

Article, Ethical and Effective Representation in Arkansas Capital Trials, 60 Ark. L. Rev. 1.

Case Notes

Jury Instructions.

In a trial in which defendant was convicted of failure to pay a motor vehicle use tax in violation of § 26-18-202, the trial court did not err in giving an instruction that ignorance of the law is not a defense to a crime in the State of Arkansas; it is not inconsistent to instruct the jurors that ignorance will not acquit a defendant outright, while also instructing them of the state's burden to prove the culpable mental state required to commit the offense. Owens v. State, 354 Ark. 644, 128 S.W.3d 445 (2003).

Mistake of Law.

A prior Arkansas Supreme Court ruling on a completely different statute did not justify defendant's reliance on alleged “mistake of law.” Finley v. State, 282 Ark. 146, 666 S.W.2d 701 (1984).

Where the defendant neither relied on an invalid statute nor plead it as an affirmative defense, he was not entitled to rely on that statute. Fowler v. State, 283 Ark. 325, 676 S.W.2d 725 (1984).

Where defendant was charged with possession of gambling devices and a jury found him not guilty by mistake of law due to his reliance upon inapplicable law in operating his arcade business, defendant's assertion of the defense was an admission that he had engaged in illegal conduct and, because the jury found defendant's machines were illegal, the trial court did not err in ordering the machines forfeited and destroyed. Mullins v. State, 359 Ark. 414, 198 S.W.3d 504 (2004).

Official Interpretation.

The parole officer's silence on the question of whether the defendant could lawfully possess a firearm after the completion of his parole was not an “official statement of the law” under subdivision (c)(3) of this section. Fisher v. State, 290 Ark. 490, 720 S.W.2d 900 (1986).

Cited: Wicker v. Goodwin, 813 F. Supp. 676 (E.D. Ark. 1992); Jester v. State, 367 Ark. 249, 239 S.W.3d 484 (2006).

5-2-207. Intoxication.

  1. Intoxication that is not self-induced intoxication is an affirmative defense to a prosecution if at the time a person engages in the conduct charged to constitute the offense the person lacks capacity to:
    1. Conform his or her conduct to the requirements of the law; or
    2. Appreciate the criminality of his or her conduct.
  2. As used in this section:
    1. “Intoxication” means a disturbance of a mental or physical capacity resulting from the introduction of alcohol, a drug, or another substance into the body; and
    2. “Self-induced intoxication” means intoxication caused by a substance that the actor knowingly introduces into his or her body and the actor knows or ought to know the tendency of the substance to cause intoxication.

History. Acts 1975, No. 280, § 207; 1977, No. 101, § 1; A.S.A. 1947, § 41-207.

Research References

Ark. L. Notes.

Liebman, Voluntary Intoxication as a Defense to Crime, 1983 Ark. L. Notes 29.

Malone and Hurst, Update: Voluntary Intoxication as a Defense to Crime, etc., 1987 Ark. L. Notes 91.

Ark. L. Rev.

The Constitutionality of Affirmative Defenses to Criminal Charges, 29 Ark. L. Rev. 430.

Article, Ethical and Effective Representation in Arkansas Capital Trials, 60 Ark. L. Rev. 1.

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Law, 1 U. Ark. Little Rock L.J. 153.

DeSimone, Survey of Criminal Law, 3 U. Ark. Little Rock L.J. 191.

Note, Defense of Involuntary Intoxication No Longer Available to Disprove Intent, etc., 9 U. Ark. Little Rock L.J. 657.

Survey—Criminal Law, 10 U. Ark. Little Rock L.J. 137.

Survey — Criminal Law, 12 U. Ark. Little Rock L.J. 183.

Case Notes

Constitutionality.

This section is constitutionally sound. Sullinger v. State, 310 Ark. 690, 840 S.W.2d 797 (1992).

Burden of Proof.

This section does not eliminate the state's burden to prove purposeful intent. Caldwell v. State, 322 Ark. 543, 910 S.W.2d 667 (1995), cert. denied, Caldwell v. Arkansas, 517 U.S. 1124, 116 S. Ct. 1361, 134 L. Ed. 2d 528 (1996).

Evidence.

Expert testimony as to the physiological effects of defendant's alcohol consumption to show that he lacked the requisite mental state to commit offense was properly excluded since voluntary intoxication is no longer available as a defense or admissible for the purpose of negating specific intent. Pharo v. State, 30 Ark. App. 94, 783 S.W.2d 64 (1990).

Testimony by medical doctor about blackout alcoholism in murder trial was simply another means of using voluntary intoxication as a defense, thus, the witness' testimony was properly excluded since voluntary intoxication was no longer a defense to criminal prosecutions. Spohn v. State, 310 Ark. 500, 837 S.W.2d 873 (1992).

Evidence was sufficient to support a finding of purposeful intent. Caldwell v. State, 322 Ark. 543, 910 S.W.2d 667 (1995), cert. denied, Caldwell v. Arkansas, 517 U.S. 1124, 116 S. Ct. 1361, 134 L. Ed. 2d 528 (1996).

Instructions.

Defendant's proffered instruction which merely emphasized his theory of the case that his intoxication should be considered as diminishing his capacity to form the requisite intent to commit capital murder was properly refused. Kemp v. State, 324 Ark. 178, 919 S.W.2d 943, cert. denied, 519 U.S. 982, 117 S. Ct. 436, 136 L. Ed. 2d 334 (1996).

Self-Induced Intoxication.

Except in cases involving specific intent crimes, voluntary intoxication is not a defense, even though it may produce a form of “temporary insanity” or render the person charged unconscious of what he is doing. Gonce v. State, 11 Ark. App. 278, 669 S.W.2d 490 (1984).

Voluntary intoxication is no longer available as a defense to criminal prosecutions. White v. State, 290 Ark. 130, 717 S.W.2d 784 (1986); Sullinger v. State, 310 Ark. 690, 840 S.W.2d 797 (1992); Spohn v. State, 310 Ark. 500, 837 S.W.2d 873 (1992).

Drinking to the point of intoxication by an alcoholic is self-induced intoxication and therefore not covered by the involuntary intoxication defense. To hold otherwise would serve only to immunize a certain category of people from prosecution for their criminal conduct because of their addiction to alcohol. See v. State, 296 Ark. 498, 757 S.W.2d 947 (1988).

Specific Intent.

Where the crimes in this case were committed when Varnedare v. State, 264 Ark. 596, 573 S.W.2d 57 (1978), was still the law, substantive law recognized the common law defense of voluntary intoxication to specific intent crimes, and the trial court erred in applying State v. White, 290 Ark. 130, 717 S.W.2d 784 (1986), retroactively eliminating a defense available at the time of the offense. Mauppin v. State, 309 Ark. 235, 831 S.W.2d 104 (1992).

Voluntary intoxication is not a defense to the charge of murder in the first degree or to the charge of battery in the second degree; voluntary intoxication is not available as a defense for purposes of negating specific intent. Gilkey v. State, 41 Ark. App. 100, 848 S.W.2d 439 (1993).

Sufficient evidence supported the prosecutor's decision to charge appellant with capital murder; although defendant had no recollection of the events leading to his girlfriend's death, intent could be inferred from the nature and extent of the injuries that caused her death. True v. State, 2017 Ark. 323, 532 S.W.3d 70 (2017).

Cited: Bailey v. State, 263 Ark. 470, 565 S.W.2d 603 (1978); Hobgood v. Housewright, 698 F.2d 962 (8th Cir. 1983); Sullinger v. State, 310 Ark. 690, 840 S.W.2d 797 (1992).

5-2-208. Duress.

  1. It is an affirmative defense to a prosecution that the actor engaged in the conduct charged to constitute an offense because the actor reasonably believed he or she was compelled to engage in the conduct by the threat or use of unlawful force against the actor's person or the person of another that a person of ordinary firmness in the actor's situation would not have resisted.
  2. The affirmative defense provided by this section is unavailable if the actor recklessly placed himself or herself in a situation in which it was reasonably foreseeable that the actor would be subjected to the force or threatened force described in subsection (a) of this section.

History. Acts 1975, No. 280, § 208; A.S.A. 1947, § 41-208.

Research References

Ark. L. Rev.

The Impact of the 1976 Criminal Code on the Law of Accessorial Liability in Arkansas, 31 Ark. L. Rev. 100.

Article, Ethical and Effective Representation in Arkansas Capital Trials, 60 Ark. L. Rev. 1.

Case Notes

In General.

The defense of duress requires that at the time of the conduct constituting the offense the actor suffers an impairment of his ability to control his conduct such that he cannot properly be held accountable for it. Marx v. State, 291 Ark. 325, 724 S.W.2d 456 (1987).

Where a psychologist testified that he did not believe defendant was any more susceptible to reacting to his co-defendant differently than anyone else, defendant could not demonstrate how he was prejudiced by the exclusion of the psychologist's complete testimony regarding the co-defendant's borderline personality disorder. Pugh v. State, 351 Ark. 5, 89 S.W.3d 909 (2002).

Defendant's claim that she was acting in a state of extreme emotional disturbance as a result of fear of her husband, i.e. that she was acting out of duress, was an attempt to mitigate the crime of intentional killing her mother to voluntary manslaughter; as the affirmative defense of duress was available to defendant as a complete defense, this argument was not available to mitigate the charge of murder to manslaughter. MacKool v. State, 363 Ark. 295, 213 S.W.3d 618 (2005).

Accomplices.

The trial court did not err by refusing to declare witness an accomplice as a matter of law; the evidence was such that it was appropriate for the jury to decide whether his participation was under duress under this section and thus that it was not his purpose to aid in the commission of the crime. Cole v. State, 323 Ark. 8, 913 S.W.2d 255 (1996).

Evidence.

Evidence insufficient to find that the defendant acted under duress. Johnson v. State, 266 Ark. 514, 587 S.W.2d 3 (1979); Roleson v. State, 272 Ark. 346, 614 S.W.2d 656 (1981).

The court in a murder prosecution did not err in refusing to instruct the jury with regard to duress where (1) the defendant did not testify and presented no witnesses, and (2) the only evidence of the defendant's defense was presented through his tape-recorded statement, which, at best, amounted to a claim of self-defense, as opposed to duress. Wright v. State, 335 Ark. 395, 983 S.W.2d 397 (1998).

Standard of Proof.

The coercion of the defendant had to appear from all the facts and circumstances, and could not be presumed merely from his presence. Edwards v. State, 27 Ark. 493 (1872) (decision under prior law).

The standard used to measure a person of ordinary firmness takes into account the actor's “situation.” Factors to be considered in determining that situation are those that differentiate the actor from another, such as size, strength, age or health; matters of temperament are not considered. Marx v. State, 291 Ark. 325, 724 S.W.2d 456 (1987).

5-2-209. Entrapment.

  1. It is an affirmative defense that the defendant was entrapped into committing an offense.
    1. Entrapment occurs when a law enforcement officer or any person acting in cooperation with a law enforcement officer induces the commission of an offense by using persuasion or other means likely to cause a normally law-abiding person to commit the offense.
    2. Conduct merely affording a person an opportunity to commit an offense does not constitute entrapment.

History. Acts 1975, No. 280, § 209; A.S.A. 1947, § 41-209.

Research References

ALR.

Entrapment to Commit Federal Crimes of Terrorism. 89 A.L.R. Fed. 2d 215 (2014).

Ark. L. Rev.

The Constitutionality of Affirmative Defenses to Criminal Charges, 29 Ark. L. Rev. 430.

United States v. Jacobson: A Call for Reasonable Suspicion of Criminal Activity as a Threshold Limitation on Governmental Sting Operations, 44 Ark. L. Rev. 493.

Article, Ethical and Effective Representation in Arkansas Capital Trials, 60 Ark. L. Rev. 1.

U. Ark. Little Rock L.J.

Davis, Survey of Arkansas Law: Criminal Law, 2 U. Ark. Little Rock L.J. 193.

Case Notes

In General.

This section focuses the inquiry so as to attribute more importance to the conduct of the law enforcement officers than to any predisposition of the defendant, and the question is directed to the effect of that conduct on “normally law-abiding persons.” Webber v. State, 15 Ark. App. 261, 692 S.W.2d 255 (1985).

Entrapment is not a collateral issue. Young v. State, 308 Ark. 647, 826 S.W.2d 814 (1992).

Purpose.

The purpose of this section is to discourage government conduct that might induce innocent persons to engage in criminal conduct. Spears v. State, 264 Ark. 83, 568 S.W.2d 492 (1978); Riddling v. State, 19 Ark. App. 231, 719 S.W.2d 1 (1986).

Admission of Crime.

In order to raise the defense of entrapment, a defendant must admit the crime. Gipson v. Lockhart, 692 F.2d 66 (8th Cir. 1982); Morris v. State, 300 Ark. 340, 779 S.W.2d 526 (1989).

When the entrapment defense is invoked it is necessarily assumed that the act charged was committed, and where a defendant insists that he did not commit the acts he is charged with, one of the bases of the entrapment defense is absent and he is not entitled to that defense. Smith v. State, 34 Ark. App. 72, 805 S.W.2d 663 (1991); Young v. State, 308 Ark. 647, 826 S.W.2d 814 (1992).

Where defendant denied having committed the act charged, he was not entitled to proceed with evidence of the defense of entrapment, and exclusion of testimony relating to officer's conduct was not error. Young v. State, 308 Ark. 647, 826 S.W.2d 814 (1992).

Trial court did not err in evoking defendant's suspended sentence on the ground that he committed the offense of possession of drug paraphernalia with the intent to manufacture methamphetamine in violation of § 5-64-403(c)(5) because the evidence showed that a reliable source had tipped off the police to the fact that defendant, contrary to the terms and conditions of his release, was continuing to manufacture methamphetamine, and defendant directed the purchases and provided an explanation for each component of the methamphetamine recipe; it was shown that defendant conceived and proposed the methamphetamine cook, buy, and sell arrangement for the manufacture and distribution of the illegal substance, and simply by asserting the defense of entrapment under this section, defendant necessarily admitted committing the offense. Lowe v. State, 2010 Ark. App. 284 (2010).

Defendant, who was convicted for internet stalking, should have been permitted to plead entrapment under this section as an affirmative defense while at the same time denying one or two elements of the crime, and therefore defendant's conviction was reversed, because the doctrine requiring a defendant to admit to all the elements of a crime in order to plead entrapment could result in punishment upon a defendant who was merely entrapped; the doctrine could possibly punish a defendant for a serious crime for merely seeking to require the state to prove its case aside from offering an affirmative defense. Smoak v. State, 2011 Ark. 529, 385 S.W.3d 257 (2011), rehearing denied, — Ark. —, — S.W.3d —, 2012 Ark. LEXIS 26 (Ark. Jan. 19, 2012).

Burden of Proof.

Entrapment must be proved by the defendant by a preponderance of the evidence. Spears v. State, 264 Ark. 83, 568 S.W.2d 492 (1978); Rhoades v. State, 270 Ark. 962, 607 S.W.2d 76 (1980), cert. denied, Rhoades v. Arkansas, 452 U.S. 915, 101 S. Ct. 3048 (1981); Harper v. State, 7 Ark. App. 28, 643 S.W.2d 585 (1982); Walls v. State, 8 Ark. App. 315, 652 S.W.2d 37 (1983), aff'd, 280 Ark. 291, 658 S.W.2d 362 (1983); Jackson v. State, 12 Ark. App. 378, 677 S.W.2d 866 (1984); Webber v. State, 15 Ark. App. 261, 692 S.W.2d 255 (1985); Wedgeworth v. State, 301 Ark. 91, 782 S.W.2d 357 (1990); Kellogg v. State, 37 Ark. App. 162, 827 S.W.2d 166 (1992); Baker v. State, 310 Ark. 485, 837 S.W.2d 471 (1992).

The defendant has the burden of proving he was entrapped. White v. State, 298 Ark. 163, 765 S.W.2d 949 (1989).

Conduct of Law Officer.

In determining the existence of entrapment, primary importance is accorded to the conduct of a law enforcement officer, or the person acting in cooperation with him. Spears v. State, 264 Ark. 83, 568 S.W.2d 492 (1978); Mullins v. State, 265 Ark. 811, 580 S.W.2d 941 (1979); Young v. State, 308 Ark. 647, 826 S.W.2d 814 (1992).

Conduct of a law enforcement officer or informant merely affording the accused the opportunity to do that which he is otherwise ready, willing and able to do is not entrapment. Spears v. State, 264 Ark. 83, 568 S.W.2d 492 (1978); Webber v. State, 15 Ark. App. 261, 692 S.W.2d 255 (1985); Guinn v. State, 27 Ark. App. 260, 771 S.W.2d 290 (1989).

This section places emphasis on the conduct of the law enforcement officer or persons cooperating with him in determining whether the officer has induced the commission of the offense by persuasion or has merely afforded a person who is ready, willing and able to commit the offense the opportunity of doing so. Harper v. State, 7 Ark. App. 28, 643 S.W.2d 585 (1982); Walls v. State, 8 Ark. App. 315, 652 S.W.2d 37 (1983), aff'd, 280 Ark. 291, 658 S.W.2d 362 (1983).

This section attributes more importance to the conduct of the law enforcement officer than to any predisposition of the defendant. Riddling v. State, 19 Ark. App. 231, 719 S.W.2d 1 (1986).

Defendant's Conduct and Predisposition.

Defendant's conduct and predisposition, both prior to and concurrent with, the transactions forming the basis of the charges are still material and relevant, on the question whether the government agents only afforded the opportunity to commit the offenses with which he is charged. Spears v. State, 264 Ark. 83, 568 S.W.2d 492 (1978); White v. State, 298 Ark. 163, 765 S.W.2d 949 (1989).

The defendant's conduct and predisposition both prior to and concurrent with the transaction are material and relevant on the question of whether the accused was only afforded the opportunity to commit the offenses. Harper v. State, 7 Ark. App. 28, 643 S.W.2d 585 (1982).

Entrapment does not occur when government agents merely afford one the opportunity to do that which he already has a predisposition to do. Jackson v. State, 12 Ark. App. 378, 677 S.W.2d 866 (1984); White v. State, 298 Ark. 163, 765 S.W.2d 949 (1989).

Entrapment instruction not given in a drug possession case where package delivery service and police officers provided defendant the opportunity to commit the crime, but did not induce or persuade him to commit the crime. Heritage v. State, 326 Ark. 839, 936 S.W.2d 499 (1996).

Elements of Defense.

“Unconscious commission” of an unlawful act is not an element in the defense of entrapment. French v. State, 260 Ark. 473, 541 S.W.2d 680 (1976).

Circuit court did not err in rejecting criminal defendant's proffered instruction on the defense of entrapment where co-defendant waived the defense prior to trial. Montgomery v. State, 367 Ark. 485, 241 S.W.3d 753 (2006).

Evidence.

Exclusion of evidence of law officer's conduct held to be error. French v. State, 260 Ark. 473, 541 S.W.2d 680 (1976); Brascomb v. State, 261 Ark. 614, 550 S.W.2d 450 (1977).

The accused should be allowed a reasonable latitude in presenting whatever facts and circumstances he claims constitute an entrapment subject to ordinary rules of admissibility. Spears v. State, 264 Ark. 83, 568 S.W.2d 492 (1978); Young v. State, 308 Ark. 647, 826 S.W.2d 814 (1992).

Any evidence having any tendency to make the existence of entrapment more probable is admissible. Spears v. State, 264 Ark. 83, 568 S.W.2d 492 (1978); Young v. State, 308 Ark. 647, 826 S.W.2d 814 (1992).

Any statement made by informant, or in the presence of defendant, indicative of the fact that informant was using persuasion or other means to induce a normally law-abiding person to commit an offense was admissible, not to show the truth of informant's statements, but to show that they were made. Spears v. State, 264 Ark. 83, 568 S.W.2d 492 (1978).

Testimony was relevant and not inadmissible as hearsay since it showed the informant's intent, plan, motive or design. Spears v. State, 264 Ark. 83, 568 S.W.2d 492 (1978).

Evidence insufficient to establish entrapment. Rhoades v. State, 270 Ark. 962, 607 S.W.2d 76 (1980), cert. denied, Rhoades v. Arkansas, 452 U.S. 915, 101 S. Ct. 3048 (1981); Womack v. State, 301 Ark. 193, 783 S.W.2d 33 (1990).

Evidence of other acts or crimes is usually admissible in rebuttal to the defense of entrapment. Jackson v. State, 12 Ark. App. 378, 677 S.W.2d 866 (1984).

The trial court erred in excluding evidence of events that occurred after the transaction when the defendant sold the cocaine to the undercover agent where this evidence would help establish his defense of entrapment by showing that the law enforcement officers desired to have him help them catch “bigger fish,” and when he refused to help them in this regard, he was prosecuted for the transaction. Riddling v. State, 19 Ark. App. 231, 719 S.W.2d 1 (1986).

Where there was evidence of entrapment in the state's evidence-in-chief, a video tape of a meeting between a police informant and the defendant was inadmissible in the state's case-in-chief to show the defendant's predisposition to sell a controlled substance. Riddling v. State, 19 Ark. App. 231, 719 S.W.2d 1 (1986).

The trial court was incorrect in ruling that the defense should not refer to the word entrapment during the trial because entrapment had not been pled, in light of the fact the state acknowledged that it had been put on notice that the defense would be raised. Sumner v. State, 35 Ark. App. 203, 816 S.W.2d 623 (1991).

Court's ruling that defense could not present evidence on entrapment because it had not been pled was harmless error since defendant was permitted to put on his evidence relating to his theory of entrapment and because the trial court was correct in declining to instruct the jury on the defense because there was no evidence to support it. Sumner v. State, 35 Ark. App. 203, 816 S.W.2d 623 (1991).

Where there was evidence that informant was paid for his efforts, but there was no additional evidence tending to show that informant induced defendant into committing the offense, the trial court properly refused to instruct the jury on entrapment. Kellogg v. State, 37 Ark. App. 162, 827 S.W.2d 166 (1992).

Where defendant, having the burden of proof, failed to present any evidence to indicate that he was induced by governmental conduct of a character likely to cause a normally law-abiding person to commit the offense, of which he had been convicted, it was not error for the trial court to refuse to give defendant's proposed instruction on entrapment. Baker v. State, 310 Ark. 485, 837 S.W.2d 471 (1992).

Denial of appellant's, an inmate's, petition for writ of certiorari was improper because the evidence at issue presented a jury question concerning whether the informant had induced the commission of the offense, and the jury was given an instruction on the affirmative defense of entrapment. Thus, the inmate failed to prove that he received the ineffective assistance of counsel. Lowe v. State, 2012 Ark. 185, 423 S.W.3d 6 (2012).

Defendant could not demonstrate any prejudice from the trial court's order granting the State's motion to prohibit him from attacking the credibility of a criminal informant because the jury heard, through the informant's own testimony, that the informant had an extensive criminal history; although it could make a would-be criminal more likely to trust an informant who had a reputation, that was not the same thing as inducing one to act through persuasion. Owens v. State, 2017 Ark. App. 109, 515 S.W.3d 625 (2017).

Failure to Raise.

Trial court did not err in denying postconviction relief where appellant contended that trial counsel was ineffective for failing to raise a defense of entrapment and for not having the jury instructed on that defense; counsel explained her reasons for not pursuing an inconsistent defense to what she believed was a relatively strong innocence defense, and even if appellant was entitled to an instruction on entrapment, counsel was not ineffective simply for failing to request it. Flemons v. State, 2016 Ark. 460, 505 S.W.3d 196 (2016).

Question of Law or Fact.

Where the evidence was in conflict on the question of entrapment, it presented a question of fact for the trial court as to whether defendant had carried his burden of proof. Leeper v. State, 264 Ark. 298, 571 S.W.2d 580 (1978).

Ordinarily, entrapment is a fact question which is properly submitted to the jury, and entrapment as a matter of law is only established if there is no factual issue to be resolved. Walls v. State, 280 Ark. 291, 658 S.W.2d 362 (1983); White v. State, 298 Ark. 163, 765 S.W.2d 949 (1989); Wedgeworth v. State, 301 Ark. 91, 782 S.W.2d 357 (1990).

Entrapment is ordinarily a fact question. Riddling v. State, 19 Ark. App. 231, 719 S.W.2d 1 (1986).

Entrapment is not required to be found as a matter of law when the testimony of the accused, showing entrapment, is not rebutted by evidence presented by the state. McCaslin v. State, 298 Ark. 335, 767 S.W.2d 306 (1989).

There was no basis for finding entrapment as a matter of law because factual issues clearly had to be resolved in deciding the issue where informant testified that he never threatened defendant by saying he would notify the press of defendant's drug abuse and defendant testified that informant did make such a threat. Elders v. State, 321 Ark. 60, 900 S.W.2d 170 (1995).

Trial court did not err in denying defendant's motions for a directed verdict on the ground of entrapment where there were factual issues to be decided by the jury as to whether the conduct of law enforcement would have caused a law-abiding citizen to commit internet stalking of a child. Squyres v. State, 2015 Ark. App. 665, 476 S.W.3d 839 (2015).

Cited: Hill v. State, 33 Ark. App. 135, 803 S.W.2d 935 (1991).

Subchapter 3 — Mental Disease or Defect

A.C.R.C. Notes. This subchapter and § 16-86-101 et seq., which concerns the “insanity defense” and the alleged mental disease or defect of the defendant, may have conflicting provisions.

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Cross References. Mental retardation, § 5-4-618.

Procedure when insanity an issue, § 16-86-101 et seq.

Effective Dates. Acts 1979, No. 886, §§ 2, 4: July 1, 1979. Emergency clause provided: “It is hereby found and determined by the General Assembly of the State of Arkansas that this Act is necessary to insure continued examination of those defendants committed to the State Hospital by the courts. Therefore, an emergency is hereby declared to exist, and this Act shall be in full force and effect from and after July 1, 1979.”

Acts 1989, Nos. 645 and 911, § 9: June 1, 1989. Emergency clause provided: “It is hereby found and determined by the General Assembly that the present procedures for the commitment and discharge of insanity acquittees at the State Hospital are inadequate to protect the public and it is necessary to preserve the public peace, health and safety. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after June 1, 1989.”

Acts 1989, No. 898, § 4: Mar. 22, 1989. Emergency clause provided: “The Mental Health Staff of the Department of Correction is dedicated to treatment of those under the care and custody of the Department once commitment occurs, after determination of sanity. Determination of sanity is an area of expertise provided by other areas of the community, including but not limited to the State Hospital. Therefore, an emergency is hereby declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety, shall be in full force and effect from and after its passage and approval.”

Acts 1995, No. 767, § [8]: Mar. 24, 1995. Emergency clause provided: “It is hereby found and determined by the General Assembly of the State of Arkansas that recent serious random acts of violence committed by insanity acquittees have heightened the awareness of the General Assembly to provide a mechanism whereby those persons can be tracked and nearby residence can be warned of their whereabouts so precautions may be taken to protect lives and property. Therefore, an emergency is hereby declared to exist and this act being necessary for the immediate preservation of the public peace, health, and safety, shall be in full force and effect from and after its passage and approval.”

Acts 2007, No. 463, § 6: July 1, 2007. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that federal law prohibits the sale of firearms to persons who have been committed to a mental institution; that it is the intent of this act to require the submission of information to create a confidential database that may only be used for firearm sales or transactions; and that this act is necessary because possession of a firearm by a person that is suicidal, homicidal, or gravely disabled poses an critical threat of harm to the citizens of this state. Therefore, an emergency is declared to exist and this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2007.”

Acts 2007, No. 623, § 2: Mar. 28, 2007. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the present procedure for revocation of conditional release orders is inadequate to protect the public; that this act is necessary to clarify and refute the Original Commentary regarding § 5-2-316(b); and that this act is necessary to assure continued treatment for those persons who cannot or will not maintain appropriate treatment and who have previously shown the capacity to commit felonies. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

Research References

ALR.

Bifurcated criminal trial on issue of insanity defense. 1 A.L.R.4th 884.

Adequacy of defense counsel's representation of criminal client regarding incompetency, insanity, and related issues. 2 A.L.R.4th 27, 17 A.L.R.4th 575.

Test of criminal responsibility: state cases. 9 A.L.R.4th 526.

Competency to stand trial of criminal defendant diagnosed as “mentally retarded”. 23 A.L.R.4th 493.

Competency to stand trial of criminal defendant diagnosed as “schizophrenic.” 33 A.L.R.4th 1062.

Admissibility of results of computer analysis of defendant's mental state. 37 A.L.R.4th 510.

Am. Jur. 21 Am. Jur. 2d, Crim. L., § 37 et seq.

Ark. L. Rev.

1976 Criminal Code — General Principles, 30 Ark. L. Rev. 111.

Sullivan, Psychiatric Defenses in Arkansas Criminal Trials, 48 Ark. L. Rev. 439.

C.J.S. 22 C.J.S., Crim. L., § 55 et seq.

Case Notes

Constitutionality.

Sections of the Arkansas Criminal Code providing procedures for commitment and release of persons charged with a crime are not facially or inherently unconstitutional. Coley v. Clinton, 479 F. Supp. 1036 (E.D. Ark. 1979).

Power of the Court.

The intent behind Ark. Const., Art. 7, § 34, cannot be construed to alter the inherent power of the law courts to deal with the defense of insanity since there is no conceivable way that circuit courts can be deprived altogether of jurisdiction to deal with insanity matters where they are incidental to criminal charges. Schock v. Thomas, 274 Ark. 493, 625 S.W.2d 521 (1981).

Cited: Mauppin v. State, 309 Ark. 235, 831 S.W.2d 104 (1992).

5-2-301. Definitions.

As used in this subchapter:

  1. “Appropriate facility” means any facility within or without this state to which a defendant is eligible for admission and treatment for mental disease or defect;
  2. “Compliance monitor” means either a social service representative or licensed social worker, or both, employed by the Department of Human Services for the purpose of, including, but not limited to:
    1. Verifying that a person conditionally released pursuant to a provision of this subchapter is in compliance with the conditions for release;
    2. Providing social service assistance to a person conditionally released pursuant to a provision of this subchapter; and
    3. Reporting compliance with the conditions for release or lack of compliance with the conditions for release to the appropriate circuit court;
  3. “Designated receiving facility or program” means an inpatient or outpatient treatment facility or program that is designated within each geographic area of the state by the Director of the Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services to accept the responsibility for the care, custody, and treatment of a person involuntarily admitted to the state mental health system;
  4. “Expert” means a qualified psychiatrist or a qualified psychologist;
  5. “Frivolous” means clearly lacking any basis in fact or law;
  6. “Lack of criminal responsibility” means that due to a mental disease or defect a defendant lacked the capacity at the time of the alleged offense to either:
    1. Appreciate the criminality of his or her conduct; or
    2. Conform his or her conduct to the requirements of the law;
    1. “Mental disease or defect” means a:
      1. Substantial disorder of thought, mood, perception, orientation, or memory that grossly impairs judgment, behavior, capacity to recognize reality, or ability to meet the ordinary demands of life;
      2. State of significantly subaverage general intellectual functioning existing concurrently with a defect of adaptive behavior that developed during the developmental period; or
      3. Significant impairment in cognitive functioning acquired as a direct consequence of a brain injury or resulting from a progressively deteriorating neurological condition.
    2. As used in the Arkansas Criminal Code, “mental disease or defect” does not include an abnormality manifested only by:
      1. Repeated criminal or otherwise antisocial conduct;
      2. Continuous or noncontinuous periods of intoxication, as defined in § 5-2-207(b)(1), caused by a substance such as alcohol or a drug; or
      3. Dependence upon or addiction to any substance such as alcohol or a drug;
  7. “Prescribed regimen of medical, psychiatric, or psychological care or treatment” means care or treatment for a mental illness, as defined in § 20-47-202;
  8. “Qualified psychiatrist” means a licensed psychiatrist who has successfully completed or is currently participating in a post-residency fellowship in forensic psychiatry accredited by the American Board of Psychiatry and Neurology, Inc., or has successfully completed a forensic certification course approved by the department, and who is currently approved by the department to administer a forensic examination as defined in this subchapter;
  9. “Qualified psychologist” means a licensed psychologist who has successfully completed or is currently participating in a formal postdoctoral fellowship training program in forensic psychology or has successfully completed a forensic certification course approved by the department, and who is currently approved by the department to administer a forensic examination as defined in this subchapter;
  10. “Repetitive” means filed within six (6) months of an application under § 5-2-316 that has been previously denied and that fails to demonstrate a material change in circumstances;
    1. “Restraint” means any manual method, physical or mechanical device, material, or equipment that immobilizes a person or reduces the ability of a person to move his or her arms, legs, body, or head freely.
    2. “Restraint” does not include devices such as orthopedically prescribed devices, surgical dressings or bandages, protective helmets, or other methods that involve the physical holding of a person for the purpose of protecting the person from falling or to permit the person to participate in activities without the risk of physical harm to himself or herself; and
  11. “State mental health system” means the Arkansas State Hospital and any other facility or program certified by the Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services.

History. Acts 1975, No. 280, § 616; A.S.A. 1947, § 41-616; Acts 1995, No. 767, § 1; 1997, No. 922, § 1; 2001, No. 1554, § 1; 2007, No. 636, § 1; 2013, No. 981, §§ 1, 2; 2017, No. 472, §§ 1-3; 2017, No. 913, §§ 11, 12.

Amendments. The 2013 amendment redesignated former (7) and (8) as present (8) and (9); in present (8), substituted “either” for “or is currently participating in” and inserted “has successfully completed”; substituted “received a post doctoral ... Psychology or” for “successfully completed or is ... psychology or has” in present (9); and inserted present (5) and (10) and redesignated the remaining subdivisions accordingly.

The 2017 amendment by No. 472 deleted the definition for “Capacity of the defendant to have the culpable mental state”; added the definitions for “Expert” and “Lack of criminal responsibility”; and added “or resulting from a progressively deteriorating neurological condition” in (7)(A)(iii).

The 2017 amendment by No. 913 substituted “Division of Aging, Adult, and Behavioral Health Services” for “Division of Behavioral Health Services” in (3) and (13).

Meaning of “Arkansas Criminal Code”. See note to § 5-1-101.

Research References

Ark. L. Rev.

Article, Ethical and Effective Representation in Arkansas Capital Trials, 60 Ark. L. Rev. 1.

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

Capacity to Form Specific Intent.

Where defendant was found guilty of first-degree murder and attempted first-degree murder, the trial court did not abuse its discretion in excluding certain expert testimony regarding defendant's capacity to form intent. The expert's report did not state that defendant lacked the capacity to form intent, only that it was impacted or impaired, and the expert also opined that defendant's psychotic disorder did not render him unable to appreciate the criminality of his conduct or to conform his conduct to the requirements of the law. Furthermore, there was ample evidence of purposeful conduct where defendant left a bar and returned with a shotgun that he used against the victims. Edwards v. State, 2015 Ark. 377, 472 S.W.3d 479 (2015).

5-2-302. Lack of fitness to proceed generally.

  1. No person who lacks the capacity to understand a proceeding against him or her or to assist effectively in his or her own defense as a result of mental disease or defect shall be tried, convicted, or sentenced for the commission of an offense so long as the incapacity endures.
  2. A court shall not enter a judgment of acquittal on the ground of mental disease or defect against a defendant who lacks the capacity to understand a proceeding against him or her or to assist effectively in his or her own defense as a result of mental disease or defect.

History. Acts 1975, No. 280, § 603; A.S.A. 1947, § 41-603; Acts 2001, No. 1554, § 2.

Cross References. Allegation of insanity of convicted defendant, § 16-86-111.

Research References

ALR.

Amnesia as Affecting Defendant's Competency to Stand Trial. 100 A.L.R.6th 535 (2014).

Posttraumatic Stress Disorder (PTSD) as Defense to Murder, Assault, or other Violent Crime. 4 A.L.R.7th Art. 5 (2015).

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

Construction.

This section, which precludes trial, conviction, or sentencing of a person who lacks capacity to understand the proceedings or assist in his defense, does not conflict with § 5-2-313 which specifically provides for a judgment of acquittal of such person. Stover v. Hamilton, 270 Ark. 310, 604 S.W.2d 934 (1980).

Amnesia.

Amnesia or lack of memory is not an adequate ground for holding a defendant incompetent to stand trial. Lawrence v. State, 39 Ark. App. 39, 839 S.W.2d 10 (1992).

Burden of Proof.

A defendant in a criminal case is ordinarily presumed to be mentally competent to stand trial, and the burden of proving incompetence is upon the defendant. Mask v. State, 314 Ark. 25, 869 S.W.2d 1 (1993).

Competency.

In order to be competent to stand trial, a defendant must have the capacity to understand the nature and object of the proceedings brought against him, to consult with counsel, and to assist in the preparation of his defense. Addison v. State, 298 Ark. 1, 765 S.W.2d 566 (1989), overruled, State v. Bell, 329 Ark. 422, 948 S.W.2d 557 (1997).

For a finding of fitness to stand trial, this section does not require that the accused be able to identify with specificity the charges filed against him or her, as in the distinction between first degree murder and capital murder, instead it requires only that the accused understand the proceedings. Key v. State, 325 Ark. 73, 923 S.W.2d 865 (1996).

A criminal defendant is presumed to be competent, and the burden of proving incompetence is on the accused; the test of competency to stand trial is whether a defendant has sufficient present ability to consult with his lawyer with a reasonable degree of rational understanding and whether he has a rational, as well as factual, understanding of the proceedings against him. Haynes v. State, 346 Ark. 388, 58 S.W.3d 336 (2001).

Where physician testified the only disorder defendant suffered from was antisocial personality disorder and that defendant understood the charges against him, as well as the role of the trial judge, prosecutor, and defense counsel, and where the record revealed that defendant stated in open court that he had instructed his attorneys to file a motion to dismiss and in another instance wrote a letter to the trial judge seeking new counsel and discussing the nature of judicial proceedings, the trial court did not err in finding defendant competent to stand trial. Ware v. State, 348 Ark. 181, 75 S.W.3d 165 (2002).

Where doctor determined that defendant demonstrated a fully-developed, persecutory-type delusion, the court suspended defendant's trial for attempting to commit capital murder and did not proceed until his fitness was restored; at that time, two doctors testified that defendant did not lack the capacity to understand the proceedings against him and to assist effectively in his own defense. Steward v. State, 95 Ark. App. 6, 233 S.W.3d 180 (2006).

Determination of defendant's capacity was supported by credible testimony of a qualified medical expert that defendant, despite some mental illness, understood the proceedings sufficiently to assist counsel in defendant's defense. Bayless v. State, 2010 Ark. App. 456 (2010).

Trial court erred under subsection (a) of this section in denying defendant's petition for writ of error coram nobis because the record overwhelmingly illustrated that his cognitive deficits and mental illnesses interfered with his ability to effectively and rationally assist counsel during his murder trial. Newman v. State, 2014 Ark. 7 (2014), appeal dismissed, 2017 Ark. 257, 525 S.W.3d 457 (2017).

There was no evidence to suggest incompetency other than the fact that defendant rambled, had an unusual speech pattern, and testified to irrelevant matters, which was insufficient to require the trial court to sua sponte halt the proceedings and order a competency evaluation. Thus, defendant could not avail himself of the exception to the rule that a court would not address arguments raised for the first time on appeal, and as he failed to raise the issue below, and the trial court was not obligated to raise it sua sponte, the revocation of probation was affirmed. Lewis v. State, 2016 Ark. App. 503, 505 S.W.3d 725 (2016).

There was no abuse of discretion in the trial court's denial of defendant's request for a second mental evaluation; in the first evaluation conducted by a doctor at the state hospital, defendant was found to be competent to stand trial, and the doctor testified at trial that after talking with defendant that day his opinion had not changed. Hamilton v. State, 2017 Ark. App. 447, 526 S.W.3d 859 (2017) (decision under prior law).

Due Process.

The conviction of an accused while he is legally incompetent to stand trial violates due process. Addison v. State, 298 Ark. 1, 765 S.W.2d 566 (1989), overruled, State v. Bell, 329 Ark. 422, 948 S.W.2d 557 (1997).

Where evidence showed that defendant was delusional while on trial, the trial judge should have halted the trial and made a new determination of competency; while the failure to hold a further competency hearing violated due process, the proper remedy was not to grant the writ of habeas corpus, but to conduct a post-conviction competency hearing. Reynolds v. Norris, 86 F.3d 796 (8th Cir. 1996).

Evidence.

Trial court did not err by finding defendant competent to stand trial where an uncontradicted report stated defendant was able to understand the proceedings against him and assist in his own defense. Mask v. State, 314 Ark. 25, 869 S.W.2d 1 (1993).

Despite conflicting expert testimony, trial court's determination of defendant's competency stands if there is substantial evidence to support the court's finding. Mauppin v. State, 314 Ark. 566, 865 S.W.2d 270 (1993).

Evidence supported the court's ruling of competency. Mitchell v. State, 323 Ark. 116, 913 S.W.2d 264 (1996), overruled, MacKintrush v. State, 334 Ark. 390, 978 S.W.2d 293 (1998).

Intoxication.

A person who is so intoxicated as to be unable to understand the proceedings or effectively participate in his defense ought not to be tried until that incapacity has been removed. Meekins v. State, 34 Ark. App. 67, 806 S.W.2d 9 (1991).

Although defendant's blood alcohol level registered at a level higher than that required to presume intoxication when tested before entering the court room for trial, neither a continuance nor mistrial were required where defendant appeared to be coherent and able to assist counsel, and where defense counsel failed to renew motion for a continuance at any time during the trial after having full opportunity to observe and confer with his client. Meekins v. State, 34 Ark. App. 67, 806 S.W.2d 9 (1991).

Jurisdiction.

Where the accused was never acquitted by the circuit court, but was found to be unable to cooperate effectively with his attorney in the preparation of his defense and the proceedings against him were suspended, the circuit court never lost jurisdiction to the probate court. Mauppin v. State, 309 Ark. 235, 831 S.W.2d 104 (1992).

Circuit court did not have jurisdiction to reconsider its decision dismissing the charges against defendant and to set the case for a status hearing on defendant's fitness for trial where the State filed neither a motion nor an appeal within 30 days of entry of the order of dismissal. Rosales-Almenar v. State, 2017 Ark. App. 678 (2017).

Review.

On review of a finding of fitness to stand trial, the appellate court will affirm if there is substantial evidence to support the trial court's finding. Key v. State, 325 Ark. 73, 923 S.W.2d 865 (1996).

Trial court did not err by failing to sua sponte order a competency hearing because both the State’s expert and defendant’s expert agreed prior to trial that defendant had no mental defect and was fit to stand trial, the defense never requested that defendant be reevaluated, the trial court was not unreasonable in believing that defendant had the capacity to understand the nature and object of the proceedings despite exhibiting some bizarre behavior, and there was not evidence that defendant was unable to consult with counsel. Britton v. State, 2014 Ark. 192, 433 S.W.3d 856 (2014).

Circuit court order denying appellant's motion for mental evaluation was reversed where the original record contained only the circuit court's orders that did not include any findings, the recollections of what had taken place were not definitive, and a filed, written order was not provided; thus, there was nothing in the record or supplemented record to determine on what basis the circuit court had made its decision to deny the mental evaluation and find appellant competent to proceed. Watson v. State, 2018 Ark. App. 169, 547 S.W.3d 89 (2018).

Cited: Branham v. State, 274 Ark. 109, 623 S.W.2d 1 (1981); Jacobs v. State, 294 Ark. 551, 744 S.W.2d 728 (1988); Rankin v. State, 329 Ark. 379, 948 S.W.2d 397 (1997); Smith v. State, 2011 Ark. App. 104, 380 S.W.3d 524 (2011).

5-2-303. Admissibility of evidence to show mental state.

Evidence that the defendant suffered from a mental disease or defect is admissible to prove whether the defendant had the kind of culpable mental state required for commission of the offense charged.

History. Acts 1975, No. 280, § 602; A.S.A. 1947, § 41-602.

Case Notes

Instructions.

A defendant was not entitled to a specific instruction informing the jury that he had placed in issue his mental capacity to form the kind of mental state necessary to establish the commission of the alleged offense. Robinson v. State, 269 Ark. 90, 598 S.W.2d 421 (1980).

A trial judge need not give an instruction with regard to the defendant's possession of the kind of culpable mental state required for the commission of the offense charged in addition to giving an instruction on the issue of mental disease or defect. Westbrook v. State, 274 Ark. 309, 624 S.W.2d 433 (1981).

Trial court properly refused to instruct the jury on defendant's mental state because the requested instruction was a modified version of the model instructions and the jury had been instructed regarding the state's burden of proof and the elements of first-degree murder and lesser offenses so that the instruction was effectively given. Ross v. State, 96 Ark. App. 385, 242 S.W.3d 298 (2006).

Purposely.

Where defendant was found guilty of first-degree murder and attempted first-degree murder, the trial court did not abuse its discretion in excluding certain expert testimony regarding defendant's capacity to form intent. The expert's report did not state that defendant lacked the capacity to form intent, only that it was impacted or impaired, and the expert also opined that defendant's psychotic disorder did not render him unable to appreciate the criminality of his conduct or to conform his conduct to the requirements of the law. Furthermore, there was ample evidence of purposeful conduct where defendant left a bar and returned with a shotgun that he used against the victims. Edwards v. State, 2015 Ark. 377, 472 S.W.3d 479 (2015).

Relevancy.

The nature, extent and location of wounds were relevant and material on the questions of intent and state of mind and, even if the mental disease or defect did not constitute a defense, evidence of it was relevant on the question of his culpable mental state and especially on the element of premeditation. Campbell v. State, 265 Ark. 77, 576 S.W.2d 938 (1979).

Trial court abused its discretion in excluding the proffered testimony of defendant, defendant's mother, and his friend about his mental disease, because it was directly relevant to the requirement that the State prove, beyond a reasonable doubt, that defendant purposely kidnapped and battered his victims, and thus admissible under this section. Brown v. State, 2016 Ark. App. 616, 509 S.W.3d 671 (2016).

Cited: Catlett v. State, 321 Ark. 1, 900 S.W.2d 523 (1995); Westbrook v. Norris, 923 F. Supp. 1129 (E.D. Ark. 1996).

5-2-304. Notice requirement.

  1. When a defendant intends to raise lack of criminal responsibility as a defense in a prosecution or put in issue his or her fitness to proceed, the defendant shall notify the prosecutor and the court at the earliest practicable time.
    1. Failure to notify the prosecutor within a reasonable time before the trial date entitles the prosecutor to a continuance that for limitation purposes is deemed an excluded period granted on application of the defendant.
    2. Alternatively, in lieu of suspending any further proceedings under § 5-2-328, the court may order the immediate examination of the defendant at a designated receiving facility or program by an expert.

History. Acts 1975, No. 280, § 604; 1977, No. 360, § 1; A.S.A. 1947, § 41-604; Acts 1995, No. 767, § 2; 2017, No. 472, § 4.

Amendments. The 2017 amendment substituted “lack of criminal responsibility” for “mental disease or defect” in (a); and, in (b)(2), substituted “§ 5-2-328” for “§ 5-2-305” and “an expert” for “a qualified psychiatrist or a qualified psychologist”.

Cross References. Plea of insanity when period before trial short or insanity alleged after charge, § 16-86-108.

Case Notes

Failure to Give Timely Notice.

The defendant was not improperly denied his right to present a defense of mental disease or defect or alternatively to put on psychiatric testimony to negate the element of intent where (1) he had not formally raised the defense as late as one day before trial, but instead stated that he reserved the right to raise the insanity defense until he could cross-examine a physician who had indicated that the defendant might show signs of mental illness, and (2) the trial judge had directed the defendant to give notice of such affirmative defense 10 days before trial, but he chose not to do so, and only did so midway into the state's case. Copeland v. State, 343 Ark. 327, 37 S.W.3d 567 (2001).

Notice.

Circuit court acted without jurisdiction in ordering defendant to submit to a criminal responsibility examination because defendant had not filed a notice of intent to raise the defense of not guilty for reason of mental disease or defect. Friar v. Erwin, 2014 Ark. 487, 450 S.W.3d 666 (2014).

Cited: Clark v. State, 260 Ark. 479, 541 S.W.2d 683 (1976); Thorne v. State, 269 Ark. 556, 601 S.W.2d 886 (1980); Henry v. State, 278 Ark. 478, 647 S.W.2d 419 (1983); Addison v. State, 298 Ark. 1, 765 S.W.2d 566 (1989); Walker v. State, 303 Ark. 401, 797 S.W.2d 447 (1990); Hill v. Lockhart, 28 F.3d 832 (8th Cir. 1994); Key v. State, 325 Ark. 73, 923 S.W.2d 865 (1996); King v. State, 2014 Ark. App. 81, 432 S.W.3d 127 (2014).

5-2-305. [Repealed.]

A.C.R.C. Notes. This section was amended by Acts 2017, No. 913, §§ 13 and 14 to change the name of the Division of Behavioral Health Services to the Division of Aging, Adult, and Behavioral Health Services in subdivisions (a)(3)(B), (b)(1)(C), (b)(2), and (b)(3). However, this section was specifically repealed by Acts 2017, No. 472, § 5.

Publisher's Notes. This section, concerning mental health examination of defendant, was repealed by Acts 2017, No. 472, § 5. The section was derived from Acts 1975, No. 280, § 605; 1977, No. 360, § 2; 1979, No. 886, § 1; 1983, No. 191, § 3; A.S.A. 1947, § 41-605; Acts 1989, No. 645, §§ 5, 6; 1989, No. 898, § 1; 1989, No. 911, §§ 5, 6; 1995, No. 767, § 3; 2001, No. 1554, § 3; 2011, No. 991, §§ 1-3; 2013, No. 506, § 1; 2015, No. 1155, §§ 1, 2. For current law, see §§ 5-2-3275-2-530.

Research References

ALR.

Adequacy, Under Strickland Standard, of Defense Counsel’s Representation of Client in Sentencing Phase of State Court Death Penalty Case — Counsel’s Purported Complete Failure to Investigate Client’s Mental Illness or Dysfunction. 6 A.L.R.7th Art. 3 (2015).

Ark. L. Rev.

Recent Developments: Criminal Law: Placing Burden of Proof on Defendant to Show Issue of Insanity Found Constitutional, 33 Ark. L. Rev. 433.

U. Ark. Little Rock L.J.

Note, Constitutional Law — Indigent Defense — Arkansas Statutory Fee and Expense Limitations Unconstitutional.Arnold v. Kemp, 306 Ark. 294, 813 S.W.2d 770 (1991), 14 U. Ark. Little Rock L.J. 595.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

5-2-306. Access to defendant by examiners of his or her choice.

When a defendant desires to be examined by one (1) or more qualified physicians or other experts of his or her own choice, that qualified physician or other expert is permitted to have reasonable access to the defendant for the purpose of examination.

History. Acts 1975, No. 280, § 610; A.S.A. 1947, § 41-610.

Case Notes

In General.

Court did not err in denying a motion for an independent mental evaluation or for failing to hold a mental competency hearing where a mental evaluation had been performed on defendant at his request, a hearing to determine fitness to proceed was also held, and defendant presented no evidence to cast doubt on his fitness to proceed. Avery v. State, 93 Ark. App. 112, 217 S.W.3d 162 (2005).

Timely Request.

Defendant's motion for continuance filed the day before trial to obtain an independent examination to support an affirmative defense of lack of criminal responsibility was properly denied as he had ample time to pursue an independent evaluation before trial, but instead planned to wait and see what the state hospital's report would conclude before seeking to obtain his own experts for an evaluation; although the state hospital's report was not provided until shortly before trial, a defendant who employs such a “wait and see” strategy is not acting diligently in attempting to secure the necessary information on which to build a defense of mental disease or defect. In addition, defendant failed to show any prejudice from the denial of the continuance. Hendrix v. State, 2019 Ark. 351, 588 S.W.3d 17 (2019).

5-2-307. Admissibility of statements made during examination or treatment.

A statement made by a person during an examination or treatment is admissible as evidence only:

  1. To the extent permitted by the Arkansas Rules of Evidence; and
  2. If the statement is constitutionally admissible.

History. Acts 1975, No. 280, § 615; 1977, No. 360, § 3; A.S.A. 1947, § 41-615; Acts 2017, No. 472, § 6.

A.C.R.C. Notes. The Uniform Rules of Evidence, § 16-41-101, were repealed by Acts 2013, No. 1148, § 2[7]. For present law, see the Arkansas Rules of Evidence promulgated by the Supreme Court.

Amendments. The 2017 amendment substituted “A” for “Any” in the introductory language; and substituted “Arkansas Rules of Evidence” for “Uniform Rules of Evidence, § 16-41-101 [repealed]” in (1).

Case Notes

Cited: Randleman v. State, 310 Ark. 411, 837 S.W.2d 449 (1992).

5-2-308. Expert witnesses — Mental health examiner.

    1. At a hearing concerning a defendant's lack of criminal responsibility or fitness to proceed, or upon trial, an examiner who conducted an examination under § 5-2-327 or § 5-2-328 may be called as a witness by the prosecution, the defendant, or the court.
    2. If the examiner is called by the court, he or she is subject to cross-examination by the prosecution and by the defendant.
  1. Both the prosecution and the defendant may summon any other qualified physician or other expert to testify.

History. Acts 1975, No. 280, § 611; A.S.A. 1947, § 41-611; Acts 2017, No. 472, § 7.

Amendments. The 2017 amendment added “Mental health examiner” in the section heading; redesignated former (a) as (a)(1); in (a)(1), inserted “lack of criminal” and substituted “conducted an examination under § 5-2-327 or § 5-2-328” for “reported pursuant to § 5-2-305”; redesignated former (b) as (a)(2); in (a)(2), substituted “If the examiner is called” for “If called” and “he or she” for “the examiner called as a witness”; redesignated former (c) as present (b); and made a stylistic change.

Cross References. Testimony of mental health examiners, § 16-86-106.

5-2-309. Determination of fitness to proceed.

  1. If the defendant's fitness to proceed becomes an issue at any stage of the case, the issue of the defendant's fitness to proceed shall be determined by the court.
  2. If neither party contests the finding of the report filed pursuant to § 5-2-327, the court may make the determination under subsection (a) of this section on the basis of the report.
  3. If the finding of the report is contested, the court shall hold a hearing on the issue of the defendant's fitness to proceed.

History. Acts 1975, No. 280, § 606; A.S.A. 1947, § 41-606; Acts 2017, No. 472, § 8.

Amendments. The 2017 amendment inserted “at any stage of the case” in (a); and substituted “§ 5-2-327” for “§ 5-2-305” in (b).

Research References

ALR.

Amnesia as Affecting Defendant's Competency to Stand Trial. 100 A.L.R.6th 535 (2014).

Case Notes

Constitutionality.

The action of the trial court in resolving the question as to defendant's fitness to stand trial was proper and this section in making the issue a question of law does not in any way violate Ark. Const., Art. 7, § 23 which requires issues of law to be determined by the court and matters of fact to be resolved by the jury. Rogers v. State, 264 Ark. 258, 570 S.W.2d 268 (1978).

Appeal.

On appeal, the court will affirm where there is substantial evidence to support the trial court's findings concerning a defendant's fitness to proceed. Substantial evidence is evidence of sufficient force and character to compel a conclusion of reasonable and material certainty. Addison v. State, 298 Ark. 1, 765 S.W.2d 566 (1989), overruled, State v. Bell, 329 Ark. 422, 948 S.W.2d 557 (1997).

Duty to Decide Fitness.

Where, testimony of experts differed as to the defendant's capability of assisting in his defense and understanding the nature and extent of his actions, the trial court should have made a determination of defendant's mental condition and whether or not he was competent to proceed to trial. Westbrook v. State, 265 Ark. 736, 580 S.W.2d 702 (1979).

It was the duty of the court to make a determination of the issue of the defendant's fitness to proceed with the trial, either on the report of the Arkansas State Hospital or after a hearing on that issue; and it was reversible error for the trial judge to leave the matter to the jury to decide. Gruzen v. State, 267 Ark. 380, 591 S.W.2d 342 (1979), cert. denied, 449 U.S. 852, 101 S. Ct. 144, 66 L. Ed. 2d 64 (1980); Gruzen v. Arkansas, 459 U.S. 1020, 103 S. Ct. 386, 74 L. Ed. 2d 517 (1982).

It is the duty of the trial court to make a determination of a defendant's fitness to proceed to trial when it becomes an issue, and it is reversible error to leave the matter for the jury's determination. Lipscomb v. State, 271 Ark. 337, 609 S.W.2d 15 (1980); Robertson v. State, 298 Ark. 131, 765 S.W.2d 936 (1989).

Where psychiatrist's report raises a reasonable doubt about defendant's competency to stand trial, the trial court should order a full examination and report pursuant to § 5-2-305(c) and, if warranted by the report, should conduct a determination of fitness to proceed pursuant to this section. Jacobs v. State, 294 Ark. 551, 744 S.W.2d 728 (1988).

Where the trial court's inquiry into the defendant's competency consisted of: no witnesses; the only medical report was a one paragraph letter from the mental health center; and the trial court's questioning was very limited, the hearing did not comply with due process. Griffin v. Lockhart, 935 F.2d 926 (8th Cir. 1991).

Where three doctors, in a collective opinion, were unable to arrive at a consensus on whether the defendant was competent, and, therefore, recommended further evaluation, there was a sufficient doubt raised about defendant's competency for trial. Griffin v. Lockhart, 935 F.2d 926 (8th Cir. 1991).

Trial court committed reversible error by failing to immediately suspend the proceedings in defendant's trial for first degree murder and order a psychiatric evaluation upon defendant's motion requesting that an evaluation be done. Kelly v. State, 80 Ark. App. 126, 91 S.W.3d 526 (2002).

Although defendant raised the issue of his lack of capacity at the time of the alleged offenses due to mental disease or defect, as well as the issue of his mental retardation for purposes of applying the death penalty, these were two issues separate and distinct from the issue of capacity to stand trial. Because defendant's competency to stand trial was never in dispute, and because defendant acknowledged his competency at trial, the trial court did not err in failing to rule on defendant's competency. Miller v. State, 2010 Ark. 1, 362 S.W.3d 264 (2010), rehearing denied, — Ark. —, — S.W.3d —, 2010 Ark. LEXIS 95 (Feb. 12, 2010).

Hearing.

Evidence sufficient to find that there was no prejudicial error in the conduct of the competency hearing. Wright v. State, 270 Ark. 78, 603 S.W.2d 408 (1980).

Where there was no indication in the record that the defendant contested the competency finding, the trial court was not required to hold a hearing on the issue. Mask v. State, 314 Ark. 25, 869 S.W.2d 1 (1993).

A court must hold a hearing on fitness if the report filed under this section is contested. Greene v. State, 335 Ark. 1, 977 S.W.2d 192 (1998).

Trial court was not obligated to hold a hearing on the issue of competency to stand trial where two mental evaluations concluded that defendant was fit to stand trial and was not impaired by mental defect, and the findings were not contested by either party. Weston v. State, 366 Ark. 265, 234 S.W.3d 848 (2006).

In a probation revocation case, a trial court did not err by failing to hold a hearing on defendant's competency or suspend the proceedings and order a mental evaluation because a doctor's findings were not challenged. Even if counsel's statements to the trial court were viewed as a motion for a second evaluation, there was no ruling from the trial court on this issue, which precluded appellate review. Singleton v. State, 2014 Ark. App. 165 (2014).

Trial court erred in denying defendant's request for a competency hearing because a hearing was mandatory where defendant plainly took issue with a psychologist's finding that he was competent and requested a hearing. Simpson v. State, 2015 Ark. App. 103, 455 S.W.3d 856 (2015).

Motions.

Where defense counsel requested a psychiatric examination of the defendant, and the psychiatrist's report stated defendant was fit to stand trial, the court was not required to make further findings in the absence of a defense motion and if the defense's original request was intended as such a motion as well, it was obligated to obtain a ruling on the motion. McClellan v. State, 264 Ark. 223, 570 S.W.2d 278 (1978).

A pretrial motion for a psychiatric examination for a criminal defendant was not sufficient to raise the requisite reasonable or bona fide doubt necessary for the trial judge to make a finding of the defendant's incompetency to stand trial. Collins v. Housewright, 664 F.2d 181 (8th Cir. 1981), cert. denied, 455 U.S. 1004, 102 S. Ct. 1639, 71 L. Ed. 2d 872 (1982).

Court did not err in denying a motion for an independent mental evaluation or for failing to hold a mental competency hearing where a mental evaluation had been performed on defendant at his request, a hearing to determine fitness to proceed was also held, and defendant presented no evidence to cast doubt on his fitness to proceed. Avery v. State, 93 Ark. App. 112, 217 S.W.3d 162 (2005).

Post-Conviction Hearing.

The trial court arguably should have ordered a competency hearing, irrespective of the psychiatrist's report finding the defendant competent, where there was evidence which may have cast doubt on the defendant's competency to stand trial; however, any error was rectified when the trial court held the post-conviction proceeding under ARCrP 37.1, at which time the defendant received a full and fair hearing on the issue of his competency. Campbell v. Lockhart, 789 F.2d 644 (8th Cir. 1986).

Although trial counsel's failure to request a competency hearing where there was a substantial doubt about the petitioner's competency may have constituted ineffective assistance of counsel, the failure of the defendant's trial counsel to pursue the issue of his competency did not violate his right to effective assistance of counsel where the defendant did receive a subsequent post-conviction hearing. Campbell v. Lockhart, 789 F.2d 644 (8th Cir. 1986).

Rebuttable Presumption.

There is a presumption of competence to stand trial, and the burden of proof of incompetence is on the defendant. Lipscomb v. State, 271 Ark. 337, 609 S.W.2d 15 (1980).

Test of Competence.

The test of competence to stand trial is whether an accused has sufficient present ability to consult with his lawyer with a reasonable degree of rational understanding and whether he has a rational as well as factual understanding of the proceedings against him. Lipscomb v. State, 271 Ark. 337, 609 S.W.2d 15 (1980); Lawrence v. State, 39 Ark. App. 39, 839 S.W.2d 10 (1992).

Amnesia or lack of memory is not an adequate ground for holding a defendant incompetent to stand trial. Lawrence v. State, 39 Ark. App. 39, 839 S.W.2d 10 (1992).

5-2-310. Lack of fitness to proceed — Procedures subsequent to finding.

      1. If the court determines that a defendant lacks fitness to proceed, the proceeding against him or her shall be suspended and the court may commit the defendant to the custody of the Department of Human Services for detention, care, and treatment until restoration of fitness to proceed.
      2. However, if the court is satisfied that the defendant may be released without danger to himself or herself or to the person or property of another, the court may order the defendant's release and the release shall continue at the discretion of the court on conditions the court determines necessary.
    1. A copy of the report filed under § 5-2-327 shall be attached to the order of commitment or order of conditional release.
    1. Within a reasonable period of time, but in any case within ten (10) months of a commitment pursuant to subsection (a) of this section, the department shall file with the committing court a written report indicating whether the defendant is fit to proceed, or if not, whether:
      1. The defendant's mental disease or defect is of a nature precluding restoration of fitness to proceed; and
      2. The defendant presents a danger to himself or herself or to the person or property of another.
      1. The court shall make a determination within one (1) year of a commitment pursuant to subsection (a) of this section.
      2. Pursuant to the report of the department or as a result of a hearing on the report, if the court determines that the defendant is fit to proceed, prosecution in ordinary course may commence.
      3. If the defendant lacks fitness to proceed but does not present a danger to himself or herself or to the person or property of another, the court may release the defendant on conditions the court determines to be proper.
      4. If the defendant lacks fitness to proceed and presents a danger to himself or herself or the person or property of another, the court shall order the department to petition for an involuntary admission.
      5. Upon filing of an order finding that the defendant lacks fitness to proceed issued under subdivision (b)(2)(A) of this section with a circuit clerk or a probate clerk, the circuit clerk or the probate clerk shall submit a copy of the order to the Arkansas Crime Information Center.
    1. On the court's own motion or upon application of the department, the prosecuting attorney, or the defendant, and after a hearing if a hearing is requested, if the court determines that the defendant has regained fitness to proceed, the criminal proceeding shall be resumed.
    2. However, if the court is of the view that so much time has elapsed since the alleged commission of the offense in question that it would be unjust to resume the criminal proceeding, the court may dismiss the charge.

History. Acts 1975, No. 280, § 607; A.S.A. 1947, § 41-607; Acts 1989, No. 645, § 1; 1989, No. 911, § 1; 2007, No. 463, § 1; 2007, No. 568, § 1; 2017, No. 472, § 9.

Publisher's Notes. Acts 1989, No. 645, § 8, provided:

“It is the express intent of this act to adopt the standards for committing insanity acquittees and the automatic commitment procedures as authorized by Jones v. United States, 463 U. S. 354, 103 S. Ct. 3043, 77 L. Ed. 2d 694 (1903) and United States v. Wallace, 845 F.2d 1471 (8th Cir. 1988).”

Amendments. The 2017 amendment substituted “under § 5-2-327” for “pursuant to § 5-2-305” in (a)(2).

Case Notes

Applicability.

There is nothing in this section, or §§ 5-2-3015-2-309 or 5-2-3115-2-316 to indicate that it should have any retroactive or retrospective effect; therefore, Subsection (b) has no application to defendant, who was committed to the state hospital until restored to reason more than three years before this section went into effect. Campbell v. State, 265 Ark. 77, 576 S.W.2d 938 (1979).

This section concerns an accused who is being held on a pending charge but is “unfit to proceed,” and where defendant had been acquitted of murder charge on grounds of mental disease so that there were no criminal charges pending against the defendant nor could there ever be any criminal charges brought against him for that particular offense, the section would be inapplicable; and confinement should have been ordered pursuant to the statute governing civil commitment. Stover v. Hamilton, 270 Ark. 310, 604 S.W.2d 934 (1980).

Annual Report.

The director of the Arkansas State Hospital has a duty under the statute to file the annual report for an accused who was committed after being found incompetent to stand trial. Coley v. Clinton, 479 F. Supp. 1036 (E.D. Ark. 1979).

Application for Release.

Patients of the Arkansas State Hospital who were committed for a sufficient length of time under procedures for commitment of persons charged with crime clearly had a right, under the Code, to present an application for release to the committing trial court, or to contest a report by the director of the State Hospital which stated that the patient should remain hospitalized. Coley v. Clinton, 479 F. Supp. 1036 (E.D. Ark. 1979).

Dismissal of Charges.

Where the report of a staff psychologist at a state hospital where the defendant was committed did not address the issue of defendant's fitness to proceed, or whether the defendant was dangerous to himself or the person or property of others, the trial court was correct in denying defendant's petition asking that the charges against him be dismissed because he would never be competent to stand trial. Mauppin v. State, 309 Ark. 235, 831 S.W.2d 104 (1992).

Circuit court does not have the authority under this section to dismiss charges against an unfit defendant; the plain language of this section involves only the situation in which a criminal defendant has regained his or her fitness to stand trial. Therefore, the dismissal of second-degree battery and second-degree assault charges was improper since there was no evidence that defendant had become competent to stand trial. State v. Thomas, 2014 Ark. 362, 439 S.W.3d 690 (2014).

Parties agreed that the circuit court's dismissal of the case under this section was error but the circuit court did not have jurisdiction to reconsider its dismissal, reinstate the case, and set a status hearing as the State did not file an appeal, a motion for a new trial, or any other written motion to reconsider within 30 days of entry of the order. Schepp v. State, 2017 Ark. App. 677, 536 S.W.3d 663 (2017).

Circuit court did not have jurisdiction to reconsider its decision dismissing the charges against defendant and to set the case for a status hearing on defendant's fitness for trial where the State filed neither a motion nor an appeal within 30 days of entry of the order of dismissal. Rosales-Almenar v. State, 2017 Ark. App. 678 (2017).

Jurisdiction.

Where the accused was never acquitted by the circuit court, but was found to be unable to cooperate effectively with his attorney in the preparation of his defense and proceedings against him were suspended, the circuit court never lost jurisdiction to the probate court. Mauppin v. State, 309 Ark. 235, 831 S.W.2d 104 (1992).

Length of Detention.

Although the defendant was in the state hospital for a period longer than the one-year period that a circuit court can commit a person who lacks fitness to proceed, commitment had a dual purpose, mental evaluation and medical recuperation, and even if the commitment violated this section, an illegal detention will not void a subsequent conviction. Mauppin v. State, 309 Ark. 235, 831 S.W.2d 104 (1992).

Where a pretrial detainee who suffered from acute psychosis died after he was returned to jail because there was no available hospital bed, his right to be free from deliberate indifference on the part of the county sheriffs was not violated as the detention at issue was less than five days. Winters v. Ark. Dept' of Health & Human Servs., 437 F. Supp. 2d 851 (E.D. Ark. 2006), aff'd, 491 F.3d 933 (8th Cir. 2007).

Speedy Trial.

Exclusion from the 12-month speedy-trial period of the time period between when defendant was committed for restoration until he was determined to be competent was appropriate; the circuit court was unable to determine that defendant was fit to proceed during that time primarily because defendant refused to submit to an evaluation. Newman v. Cottrell, 2016 Ark. 413, 503 S.W.3d 74 (2016).

Suspension of Proceedings.

Where doctor determined that defendant demonstrated a fully-developed, persecutory-type delusion, the court suspended defendant's trial for attempting to commit capital murder, however, the proceedings commenced when two doctors testified that defendant did not lack the capacity to understand the proceedings against him and to assist effectively in his own defense; further, an additional mental-health evaluation was not warranted when defendant later claimed he was hearing voices. Steward v. State, 95 Ark. App. 6, 233 S.W.3d 180 (2006).

5-2-311. Lack of fitness to proceed — Motions without defendant's personal participation.

The fact that the defendant lacks fitness to proceed does not preclude through counsel and without the personal participation of the defendant any motion upon:

  1. A ground that the:
    1. Indictment is insufficient;
    2. Statute of limitations has run; or
    3. Prosecution is barred by a former prosecution; or
  2. Any other ground that the court deems susceptible of fair determination prior to trial.

History. Acts 1975, No. 280, § 608; A.S.A. 1947, § 41-608.

Case Notes

Cited: Addison v. State, 298 Ark. 1, 765 S.W.2d 566 (1989).

5-2-312. Lack of criminal responsibility — Affirmative defense.

    1. It is an affirmative defense to a prosecution that at the time the defendant engaged in the conduct charged he or she lacked criminal responsibility.
    2. When the affirmative defense of lack of criminal responsibility is presented to a jury, prior to deliberations the jury shall be instructed regarding the disposition of a defendant acquitted due to the defendant's lack of criminal responsibility as described under § 5-2-314.
  1. When a defendant is acquitted on a ground of lack of criminal responsibility, the verdict and judgment shall state that the defendant was acquitted on a ground of lack of criminal responsibility.

History. Acts 1975, No. 280, § 601; A.S.A. 1947, § 41-601; Acts 2001, No. 248, § 1; 2017, No. 472, § 10.

A.C.R.C. Notes. Acts 2001, No. 248, § 2, provided:

“Intent.

(a)(1) It is the intent of the General Assembly that Arkansas join the majority of jurisdictions to have considered the question that juries be fully informed and understand that evidence admitted on the question of mental disease or defect may be considered by them on the question of the mental state of the accused to commit the offense charged or a lesser included offense.

“(2) It is the intent of the General Assembly to specifically abrogate Robinson v. State, 269 Ark. 90, 598 S.W.2d 421 (1980); Westbrook v. State, 274 Ark. 309, 624 S.W.2d 433 (1981); and Riggs v. State, 339 Ark. 111, 3 S.W.3d 305 (1999).

“(b) It is further the intent of the General Assembly that juries in Arkansas be fully informed and understand that a defendant acquitted by reason of his mental disease or defect will not automatically be released and whether he will ever be released depends upon what is found by the Arkansas State Hospital and the courts.

“(c)(1) The General Assembly considers that most states require juries, in cases asserting the defense of mental disease or defect, to be informed of the disposition of the defendant, so that the juries will not erroneously believe that the defendant would immediately be released from custody should they find the defendant not guilty by reason of mental disease or defect, because it can divert juries from fairly determining that question.

“(2) Arkansas previously expressed the judicial rationale, in cases in which the defendant asserts the defense of mental disease or defect, that informing juries on matters of the disposition of offenders would divert juries from their duty to decide the facts. See, e.g., Madison v. State, 287 Ark. 179, 697 S.W.2d 106 (1985). This rationale for denying such a jury instruction was abrogated in 1993 by the General Assembly by the adoption of bifurcated sentencing in Arkansas Code 16-97-103(1) which requires that juries be instructed as to ‘the law applicable to parole, meritorious good time, or transfer’ in determining a sentence. Therefore, the rationale for not so instructing the jury having been changed by the General Assembly, juries should now be informed of the effect of their verdict in cases where this affirmative defense is raised.”

Amendments. The 2017 amendment substituted “criminal responsibility” for “capacity” in the section heading; substituted “criminal responsibility” for “capacity as a result of mental disease or defect to” in (a)(1); deleted (a)(1)(A) and (a)(1)(B); in (a)(2), substituted “lack of criminal responsibility” for “mental disease or defect” and substituted “due to the defendant's lack of criminal responsibility as described under” for “on a ground of mental disease or defect pursuant to”; deleted former (b); redesignated former (c) as present (b); and twice substituted “lack of criminal responsibility” for “mental disease or defect” in (b).

Meaning of “Arkansas Criminal Code”. See note to § 5-1-101.

Cross References. Instruction to jury when insanity a defense, § 16-89-125.

Research References

ALR.

Posttraumatic Stress Disorder (PTSD) as Defense to Murder, Assault, or other Violent Crime. 4 A.L.R.7th Art. 5 (2015).

Ark. L. Rev.

The Constitutionality of Affirmative Defenses to Criminal Charges, 29 Ark. L. Rev. 430.

Recent Developments: Criminal Law: Placing Burden of Proof on Defendant to Show Issue of Insanity Found Constitutional, 33 Ark. L. Rev. 433.

Sullivan, Psychiatric Defenses in Arkansas Criminal Trials, 48 Ark. L. Rev. 439.

Article, Ethical and Effective Representation in Arkansas Capital Trials, 60 Ark. L. Rev. 1.

U. Ark. Little Rock L.J.

DeSimone, Survey of Criminal Law, 3 U. Ark. Little Rock L.J. 191.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

In General.

This section, drawn from the Model Penal Code, replaces the former test of insanity in Arkansas, which was essentially the M'Naghten test. Lipscomb v. State, 271 Ark. 337, 609 S.W.2d 15 (1980).

Applicability.

This section does not apply to juveniles during the adjudication phase of a delinquency proceeding in juvenile court. K.M. v. State, 335 Ark. 85, 983 S.W.2d 93 (1998).

Although defendant raised the issue of his lack of capacity at the time of the alleged offenses due to mental disease or defect, as well as the issue of his mental retardation for purposes of applying the death penalty, these were two issues separate and distinct from the issue of capacity to stand trial. Because defendant's competency to stand trial was never in dispute, and because defendant acknowledged his competency at trial, the trial court did not err in failing to rule on defendant's competency. Miller v. State, 2010 Ark. 1, 362 S.W.3d 264 (2010), rehearing denied, — Ark. —, — S.W.3d —, 2010 Ark. LEXIS 95 (Feb. 12, 2010).

Burden of Proof.

The burden was upon the defendant to prove insanity by a preponderance of the evidence. Casat v. State, 40 Ark. 511 (1883), superseded by statute as stated in, Coleman v. State, 12 Ark. App. 214, 671 S.W.2d 221 (1984); Cavaness v. State, 43 Ark. 331 (1884); Coates v. State, 50 Ark. 330, 7 S.W. 304 (1888); Williams v. State, 50 Ark. 511, 9 S.W. 5 (1888); Bolling v. State, 54 Ark. 588, 16 S.W. 658 (1891) (decisions under prior law).

The law presumes that every man is sane and that he intends the natural consequences of his acts; and where one was charged with murder in the first degree and it was admitted that if sane he was guilty as charged and the plea of insanity was interposed in his defense, the burden was on the accused to establish his insanity by a preponderance of the evidence. Bell v. State, 120 Ark. 530, 180 S.W. 186 (1915) (decision under prior law).

The defense of mental disease or defect is an affirmative defense which defendant must prove by a preponderance of the evidence. Campbell v. State, 265 Ark. 77, 576 S.W.2d 938 (1979); Gruzen v. State, 267 Ark. 380, 591 S.W.2d 342 (1979), cert. denied, 449 U.S. 852, 101 S. Ct. 144, 66 L. Ed. 2d 64 (1980); Gruzen v. Arkansas, 459 U.S. 1020, 103 S. Ct. 386, 74 L. Ed. 2d 517 (1982); Mask v. State, 314 Ark. 25, 869 S.W.2d 1 (1993).

Instruction as to burden of proof by state and defendant held proper. Andrews v. State, 265 Ark. 390, 578 S.W.2d 585 (1979).

The burden is upon the accused to establish that he was suffering from a mental disease or defect to the degree which would require him to be acquitted. Westbrook v. State, 265 Ark. 736, 580 S.W.2d 702 (1979).

It is true that the defense of not guilty by reason of insanity placed the burden of proof of such defense upon the defendant, but because the defendant is required to affirmatively prove certain defenses, it does not follow that the state is relieved of the overall burden of proving the guilt of the accused beyond a reasonable doubt. Westbrook v. State, 265 Ark. 736, 580 S.W.2d 702 (1979).

The burden of proof of the affirmative defense or defect is by a preponderance of the evidence, which is much less than the burden required of the state in the overall case which is that of proof beyond a reasonable doubt. Westbrook v. State, 265 Ark. 736, 580 S.W.2d 702 (1979).

The insane delusion instruction is not in conformity with the present law, and giving it constituted reversible error. Lipscomb v. State, 271 Ark. 337, 609 S.W.2d 15 (1980).

The state is not relieved of the burden of proving beyond a reasonable doubt each element of the offense charged merely because a defendant has raised the affirmative defense of mental disease or defect under subsection (a), to this extent this section does not presuppose an admission of the act in question, and thus a defendant's privilege against self-incrimination is not violated. Gruzen v. State, 276 Ark. 149, 634 S.W.2d 92 (1982), cert. denied, Gruzen v. Arkansas, 459 U.S. 1020, 103 S. Ct. 386, 74 L. Ed. 2d 517 (1982).

To prevail on an insanity defense, a defendant has to prove, by a preponderance of the evidence, that at the time of the events in question, “as a result of mental disease or defect,” he lacked the capacity to “conform his conduct to the requirements of law or to appreciate the criminality of his conduct” under this section and § 5-1-111(d). Hill v. Lockhart, 28 F.3d 832 (8th Cir. 1994), rehearing denied, — F.3d —, 1994 U.S. App. LEXIS 22021 (8th Cir. Aug. 16, 1994), cert. denied, Norris v. Hill, 513 U.S. 1102, 115 S. Ct. 778 (1995).

In a prosecution for capital felony murder, evidence the defendant was receiving Social Security checks for a mental disability was inadmissible to show lack of mental capacity, absent a showing that the standard for determining entitlement to such aid was the same as the statutory description of lack of capacity to engage in criminal misconduct. Bowden v. State, 328 Ark. 15, 940 S.W.2d 494 (1997).

A determination that an individual presents a clear and present danger to himself or others, as is required for civil commitment under § 20-47-207, is not necessarily the same as a determination that an individual lacks the capacity to form culpable intent, as is required to acquit an individual under this section. Edwards v. State, 328 Ark. 394, 943 S.W.2d 600, cert. denied, 522 U.S. 950, 118 S. Ct. 370, 139 L. Ed. 2d 288 (1997).

In a murder case, defendant failed to prove his defense of mental disease or defect because the state's expert testified that defendant showed no signs of significant cognitive impairment or active psychiatric disease. She diagnosed defendant with alcohol dependence and marijuana dependence, neither of which constituted a mental disease. Navarro v. State, 371 Ark. 179, 264 S.W.3d 530 (2007).

During an inmate's trial for murder, the jury was entitled to believe the testimony of the State's expert over the inmate's experts and to decide that the inmate had not proved the defense of mental disease or defect by a preponderance of the evidence. Kaufman v. State, 2013 Ark. 126 (2013).

Duty of Court.

Where testimony of experts differed as to the defendant's capability of assisting in his defense and understanding the nature and extent of his actions, the trial court should have made a determination of defendant's mental condition and whether or not he was competent to proceed to trial. Westbrook v. State, 265 Ark. 736, 580 S.W.2d 702 (1979).

The decision of whether to direct a verdict of acquittal is discretionary with the trial court under § 5-2-313; a directed verdict of acquittal is properly denied where there are questions of fact remaining concerning the defendant's affirmative defense of insanity under this section. Phillips v. State, 314 Ark. 531, 863 S.W.2d 309 (1993).

Evidence.

For cases discussing the opinion testimony of nonexperts, see Shaeffer v. State, 61 Ark. 241, 32 S.W. 679 (1895); Dewein v. State, 120 Ark. 302, 179 S.W. 346 (1915); Hankins v. State, 133 Ark. 38, 201 S.W. 832 (1917) (preceding decisions under prior law); Phillips v. State, 266 Ark. 883, 587 S.W.2d 83 (Ct. App. 1979).

After the evidence was all in, an expert could be asked his opinion as to the defendant's mental condition at the time of the criminal act, assuming the existence of facts which the evidence tended to prove; however, in the exercise of its discretion, the trial court could refuse to permit a medical witness to testify where the witness stated that he had practiced medicine only a short time, had never treated a mental disease, and had only studied them as far as ordinary cases were concerned. Green v. State, 64 Ark. 523, 43 S.W. 973 (1898) (decision under prior law).

Confession of accused held admissible, though he pleaded insanity, for the purpose of enabling the jury to determine his mental capacity. Ince v. State, 77 Ark. 418, 88 S.W. 818 (1905) (decision under prior law).

Where testimony of psychiatrists for state and defense differed in their conclusions on whether the defendant's capacity, the evidence was sufficient to sustain the jury's verdict of guilty. Stanley v. State, 248 Ark. 787, 454 S.W.2d 72 (1970) (decision under prior law).

There was substantial evidence to support a finding by the jury that defendant was legally responsible for her acts. Curry v. State, 272 Ark. 291, 613 S.W.2d 829 (1981); Robertson v. State, 304 Ark. 332, 802 S.W.2d 920 (1991).

Upon the evidence presented, defendant failed to prove by a preponderance of the evidence that at the time of the offenses, he was suffering from a mental disease or defect to the extent that he lacked the capacity to appreciate the criminality of his conduct or to conform his conduct to the requirements of the law. Couch v. State, 274 Ark. 29, 621 S.W.2d 694 (1981).

Although, in a prosecution for delivery of a controlled substance, a therapist confirmed that the defendant had been diagnosed as having posttraumatic stress syndrome and that she was treating him for this condition, the defendant failed to produce evidence to justify his proffered jury instruction on mental disease or defect. Briggs v. State, 18 Ark. App. 292, 715 S.W.2d 223 (1986).

Evidence of moodiness, irritability, and nervousness does not go to the substance of an instruction based on subsection (a). There must be some indication from the evidence that the defendant lacks the appreciation that sane men have of what it is they are doing and of its legal and moral consequences. Davis v. State, 293 Ark. 472, 739 S.W.2d 150 (1987).

Medical evidence on the issue of insanity is highly persuasive; however, a jury is not bound to accept opinion testimony of experts as conclusive, and it is not compelled to believe their testimony any more than the testimony of other witnesses. Even when several competent experts concur in their opinions, and no opposing expert evidence is offered, the jury is bound to decide the issue upon its own judgment. Davasher v. State, 308 Ark. 154, 823 S.W.2d 863 (1992), cert. denied, Davasher v. Arkansas, 504 U.S. 976, 112 S. Ct. 2948 (1992).

Evidence sufficient to support finding that defendant was sane and had the mental capacity necessary to perform the crime. Mask v. State, 314 Ark. 25, 869 S.W.2d 1 (1993).

While medical evidence on the issue of insanity is highly persuasive, a jury is not bound to accept opinion testimony of experts as conclusive, and it is not compelled to believe their testimony any more than the testimony of other witnesses; it is for the jury to decide whether a defendant has sustained the burden of proving insanity by a preponderance of the evidence. Burns v. State, 323 Ark. 206, 913 S.W.2d 789 (1996).

Sufficient evidence existed for the jury to find that defendant was sane and legally responsible when he committed the crimes. Burns v. State, 323 Ark. 206, 913 S.W.2d 789 (1996).

Defendant's motion for an order of acquittal, on the basis of expert testimony that he lacked the capacity to have the culpable mental state to commit the offense charged, was denied where the State's evidence raised questions of fact regarding the defendant's defense of insanity. Morgan v. State, 333 Ark. 294, 971 S.W.2d 219 (1998).

Defendant was properly found guilty of first-degree murder because she purposely caused the 80-year-old victim's death by stabbing him approximately 36 times, deliberately sought to conceal evidence, and the jury was entitled to believe the testimony of one expert over the other and to find that defendant had not proved the defense of mental disease or defect by a preponderance of the evidence. Fink v. State, 2015 Ark. 331, 469 S.W.3d 785 (2015).

Expert Testimony.

Where defendant was found guilty of first-degree murder and attempted first-degree murder, the trial court did not abuse its discretion in excluding certain expert testimony regarding defendant's capacity to form intent. The expert's report did not state that defendant lacked the capacity to form intent, only that it was impacted or impaired, and the expert also opined that defendant's psychotic disorder did not render him unable to appreciate the criminality of his conduct or to conform his conduct to the requirements of the law. Furthermore, there was ample evidence of purposeful conduct where defendant left a bar and returned with a shotgun that he used against the victims. Edwards v. State, 2015 Ark. 377, 472 S.W.3d 479 (2015).

Where the trial court excluded expert testimony in a first-degree murder trial regarding defendant's capacity to form intent, defendant's assertion that he was denied due process by the deprivation of his only defense was not preserved for appellate review because defendant did not raise the argument to the circuit court. Edwards v. State, 2015 Ark. 377, 472 S.W.3d 479 (2015).

Ineffective Assistance of Counsel.

Trial court did not clearly err when it found that trial counsel was not ineffective for failing to request a mental evaluation before advising appellant to plead guilty; the conclusions presented in the postconviction mental evaluation established that it was unlikely that a more thorough investigation of appellant's mental-health history would have produced sufficient evidence supporting an affirmative defense or would have eliminated appellant's exposure to a possible death sentence. True v. State, 2017 Ark. 323, 532 S.W.3d 70 (2017).

Instructions.

The jury is not to be told the options available to the trial court when a defendant is found not guilty by mental defect or disease. Robertson v. State, 304 Ark. 332, 802 S.W.2d 920 (1991); Burns v. State, 323 Ark. 206, 913 S.W.2d 789 (1996).

Circuit court did not abuse its discretion in refusing to instruct the jury on defendant's mental state at the time of the offense because defendant presented no supporting evidence for the instructions; the defense's own witness opined that at the time of the crime defendant did not have a severe mental disease or defect. Cage v. State, 2017 Ark. 277, 528 S.W.3d 825 (2017).

Judicial Review.

Supreme Court, upon reviewing the evidence as to a defense of insanity, will not attempt to determine where the preponderance of the evidence lies, but will affirm the judgment if there is substantial evidence to support the verdict. Avery v. State, 271 Ark. 584, 609 S.W.2d 52 (1980).

Circuit court did not abuse its discretion in denying defendant's motion for acquittal based on lack of capacity because the circuit court was confronted with conflicting forensic evaluations, and the existence of conflicting proof and the consequent questions of fact that arose from the conflicts supported the circuit court's discretionary decision to deny defendant's motion for acquittal. Russell v. State, 2013 Ark. 369 (2013).

Mental Disease or Defect.

It was no defense to a crime committed by a sane person that it was done under the influence of an irresistible impulse, or by overmastering anger, or revenge, or passion. Casat v. State, 40 Ark. 511 (1883), superseded by statute as stated in, Coleman v. State, 12 Ark. App. 214, 671 S.W.2d 221 (1984); Williams v. State, 50 Ark. 511, 9 S.W. 5 (1888); Bolling v. State, 54 Ark. 588, 16 S.W. 658 (1891); Smith v. State, 55 Ark. 259, 18 S.W. 237 (1891) (preceding decisions under prior law).

A person who knew right from wrong could be so afflicted that he lost the power to choose and could not function as a free agent under some particular situation; and, if a person was incapable, because of idiocy or lunacy, of distinguishing between right and wrong, as to the particular act, at the time he committed it, he was not criminally responsible for the act. Green v. State, 64 Ark. 523, 43 S.W. 973 (1898) (decision under prior law).

Testimony showing that defendant was angered or excited when he fired the shot was not sufficient to justify the jury in finding that he was insane. Hulsey v. State, 111 Ark. 510, 164 S.W. 273 (1914) (decision under prior law).

Defendant's statement that “it's going to be all right … I'm going to plead temporary insanity … I'll get off” was evidence of calculation and even premeditation on the part of defendant and exhibited an awareness of the legal and moral consequences of his actions. Phillips v. State, 314 Ark. 531, 863 S.W.2d 309 (1993).

The performance of defendant's lawyers at the guilt phase of his state court murder trial was deficient on account of their failure to present evidence of his history on anti-psychotic drugs and the likelihood that he had stopped taking them sometime within three to seven weeks before commission of the offense. Hill v. Lockhart, 28 F.3d 832 (8th Cir. 1994), rehearing denied, — F.3d —, 1994 U.S. App. LEXIS 22021 (8th Cir. Aug. 16, 1994), cert. denied, Norris v. Hill, 513 U.S. 1102, 115 S. Ct. 778 (1995).

In a prosecution for capital murder, as defendant failed to move for a directed verdict on the basis of the affirmative defense of mental disease or defect, that issue was not preserved for review. Marcyniuk v. State, 2010 Ark. 257, 373 S.W.3d 243 (2010).

Appellant's convictions for second-degree murder and first-degree battery were affirmed because the jury was free to give credit to the forensic psychologist's testimony that appellant had no mental illness, or that he was able in any event to appreciate the criminality of his conduct and to conform his conduct in accordance with the law. Lands v. State, 2012 Ark. App. 616, 424 S.W.3d 390 (2012).

In a second-degree murder case, a trial court did not abuse its discretion by allowing testimony from a second doctor that personality disorders were not mental diseases in the context of this statute because testimony about what constituted a mental disease had previously been accepted; the challenged testimony simply embraced the issue of mental disease from a medical point of view, and it did not mandate a legal conclusion. Moreover, because a first doctor opined that a personality disorder was a mental disease in her report, and the report was entered into evidence, her opinion, despite being written and not oral, was evidence properly subject to rebuttal. Hajek-McClure v. State, 2014 Ark. App. 690, 450 S.W.3d 259 (2014).

Trial court, acting as the factfinder, chose to credit the testimony of a sheriff's deputy that defendant was high on methamphetamine at the time of a crime over the opinion of a doctor, who performed psychological evaluations of defendant, that defendant was suffering from a mental disease, schizoaffective disorder. The court was entitled to believe the deputy's testimony over the doctor's testimony and to decide that defendant did not prove the defense of mental disease by a preponderance of the evidence. Sharp v. State, 2019 Ark. App. 506, 588 S.W.3d 770 (2019).

Statements by Prosecutor.

Statement taken in full context with other statements, which meant that, even though the jurors might find the state proved beyond a reasonable doubt that defendant had the requisite mental culpability to commit a crime, they were then to determine whether he could conform his conduct to the requirements of the law, did not prejudice defendant. Catlett v. State, 321 Ark. 1, 900 S.W.2d 523 (1995).

Tests of Capacity.

The insanity that excused crime must have been such as to render the defendant incapable of distinguishing right from wrong, in respect to the crime committed; or, if he was conscious of the act that he was committing, and knew its consequences, that by reason of his insanity he was wrought up to a frenzy which rendered him incapable of controlling his actions. Williams v. State, 50 Ark. 511, 9 S.W. 5 (1888); Scruggs v. State, 131 Ark. 320, 198 S.W. 694 (1917) (decisions under prior law).

Whether the accused was capable of distinguishing right from wrong in the general affairs of life was not a test of his sanity. Bell v. State, 120 Ark. 530, 180 S.W. 186 (1915) (decision under prior law).

Mental capacity to know that one's acts were in violation of the law was not one of the tests of insanity. Bell v. State, 120 Ark. 530, 180 S.W. 186 (1915) (decision under prior law).

Where insanity was interposed as a defense, such defense could not avail unless it appeared from a preponderance of the evidence, first that at the time of the crime, the defendant was under such a defect of reason from disease of mind as not to know the nature and quality of the act he was doing, or, second, if he did not know it, that he did not know that he was doing what was wrong, or third, if he knew the nature and quality of the act and knew that it was wrong, that he was under such duress of mental disease as to be incapable of choosing between right and wrong as to the act done and unable, because of the disease, to resist the doing of the wrong act which act was the result solely of his mental disease. Bell v. State, 120 Ark. 530, 180 S.W. 186 (1915) (decision under prior law).

This section is complete in setting out the tests to be applied in determining if a defendant is not guilty by reason of insanity which is whether or not the defendant could (1) conform his conduct to the law or (2) appreciate the criminality of his conduct. Lipscomb v. State, 271 Ark. 337, 609 S.W.2d 15 (1980).

Withdrawal of Incompetency Defense.

Affirmative defenses can be withdrawn; however, the inherent nature of the mental defect defense, once asserted, requires the court to examine closely a defendant's ability to take his competency out of issue. Griffin v. State, 25 Ark. App. 186, 755 S.W.2d 574 (1988).

Cited: Coley v. Clinton, 635 F.2d 1364 (8th Cir. 1980); Branham v. State, 274 Ark. 109, 623 S.W.2d 1 (1981); Schock v. Thomas, 274 Ark. 493, 625 S.W.2d 521 (1981); Berna v. State, 282 Ark. 563, 670 S.W.2d 434 (1984); Davies v. State, 286 Ark. 9, 688 S.W.2d 738 (1985); Wall v. State, 289 Ark. 570, 715 S.W.2d 208 (1986); Edwards v. Stills, 335 Ark. 470, 984 S.W.2d 366 (1998); Haynes v. State, 346 Ark. 388, 58 S.W.3d 336 (2001); Adams v. State, 2013 Ark. 174, 427 S.W.3d 63 (2013); Edwards v. State, 2017 Ark. 207 (2017).

5-2-313. Acquittal based on lack of criminal responsibility report.

  1. On the basis of the report filed under § 5-2-328 and after a hearing, if a hearing is requested, the court may enter judgment of acquittal on the ground of lack of criminal responsibility if the court is satisfied that the following criteria are met:
    1. The defendant currently has the capacity to understand the proceedings against him or her and to assist effectively in his or her own defense; and
    2. At the time of the conduct charged, the defendant lacked criminal responsibility.
  2. If the defendant did not raise the issue of lack of criminal responsibility as an affirmative defense under § 5-2-328, then the court is required to make a factual determination that the defendant committed the offense and that he or she lacked criminal responsibility at the time of the commission of the offense.

History. Acts 1975, No. 280, § 609; A.S.A. 1947, § 41-609; Acts 1989, No. 645, § 2; 1989, No. 911, § 2; 2001, No. 1554, § 4; 2017, No. 472, § 11.

Publisher's Notes. Acts 1989, No. 645, § 8, provided:

“It is the express intent of this act to adopt the standards for committing insanity acquittees and the automatic commitment procedures as authorized by Jones v. United States, 463 U. S. 354, 103 S. Ct. 3043, 77 L. Ed. 2d 694 (1903) and United States v. Wallace, 845 F.2d 1471 (8th Cir. 1988).”

Amendments. The 2017 amendment substituted “lack of criminal responsibility” for “mental health” in the section heading; substituted “lack of criminal responsibility” for “mental disease or defect” and similar language throughout the section; substituted “§ 5-2-328” for “5-2-305” in (a) and (b); rewrote (a)(2); and made stylistic changes.

Research References

Ark. L. Rev.

Sullivan, Psychiatric Defenses in Arkansas Criminal Trials, 48 Ark. L. Rev. 439.

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

Acquittal Denied.

Where testimony was in decided conflict with respect to the defendant's mental capacity, the trial judge properly refused to take the issue from the jury and acquit the defendant on the ground of mental disease or defect pursuant to this section, since the section is intended to permit acquittal only in cases of extreme mental disease or defect where the lack of responsibility on the part of the defendant is clear. Westbrook v. State, 274 Ark. 309, 624 S.W.2d 433 (1981); Burns v. State, 323 Ark. 206, 913 S.W.2d 789 (1996).

Denial of motion for acquittal due to mental incapacity was appropriate where evidence showed the defendant took fairly elaborate steps to hide the crime, pleaded the fifth and requested a lawyer. Franks v. State, 306 Ark. 75, 811 S.W.2d 301 (1991).

Where psychiatric report stated that some of defendant's multiple personalities appeared to understand the wrongfulness of the alleged behavior and thus sought to avoid apprehension, but other alter egos had no memory of the events, it did not present a “clear” determination of lack of mental capacity, and there was no error in failure to acquit. Bowen v. State, 322 Ark. 483, 911 S.W.2d 555 (1995), cert. denied, Bowen v. Arkansas, 517 U.S. 1226, 116 S. Ct. 1861, 134 L. Ed. 2d 960 (1996).

Circuit court did not abuse its discretion in denying defendant's motion for acquittal based on lack of capacity because the circuit court was confronted with conflicting forensic evaluations, and the existence of conflicting proof and the consequent questions of fact that arose from the conflicts supported the circuit court's discretionary decision to deny defendant's motion for acquittal. Russell v. State, 2013 Ark. 369 (2013).

Civil Commitment.

When the court terminated all proceedings against a defendant on grounds of mental disease, his status was as if he had never been charged with the crime upon which those proceedings were instituted; therefore, confinement, after acquittal, should have been ordered pursuant to the statute governing civil commitment. Stover v. Hamilton, 270 Ark. 310, 604 S.W.2d 934 (1980).

By entering a plea of not guilty by reason of mental disease or defect, defendant conceded that he engaged in the conduct charged; because he availed himself of the procedure afforded under § 5-2-313, defendant's due-process rights were not violated. Ark. Dep't of Corr. v. Bailey, 368 Ark. 518, 247 S.W.3d 851 (2007).

Effect of Other Law.

Section 5-2-302 does not conflict with this section. Stover v. Hamilton, 270 Ark. 310, 604 S.W.2d 934 (1980).

Evidence.

Medical evidence that a defendant lacks the capacity to appreciate the criminality of his conduct or conform his conduct to the requirements of the law does not obligate a judge to acquit under this section if there is substantial evidence presented that would support the judge's finding that the affirmative defense of mental defect was not proved by a preponderance of the evidence. Fields v. State, 36 Ark. App. 179, 820 S.W.2d 467 (1991).

Where the state hospital's expert witnesses offered opinions concerning defendant's mental status that were far from being clear, and where the state offered other evidence showing defendant did not exhibit any conduct which indicated to his co-workers that he was not able to control his behavior on the day of the shootings, court did not err in refusing to grant his motion for judgment of acquittal. Burns v. State, 323 Ark. 206, 913 S.W.2d 789 (1996).

Factual Determination.

It is only when the defendant does not raise the issue of mental defect that the court is required to make a factual determination that the defendant committed the offense and that he was suffering from a mental disease or defect at the time the offense was committed. Cleveland v. Frazier, 338 Ark. 581, 999 S.W.2d 188 (1999), cert. denied, 528 U.S. 1173, 120 S. Ct. 1201 (2000).

Scope of Discretion.

The decision of whether to direct a verdict of acquittal is discretionary with the trial court under this section; a directed verdict of acquittal is properly denied where there are questions of fact remaining concerning the defendant's affirmative defense of insanity under § 5-2-312. Phillips v. State, 314 Ark. 531, 863 S.W.2d 309 (1993).

Cited: Schock v. Thomas, 274 Ark. 493, 625 S.W.2d 521 (1981); Davasher v. State, 308 Ark. 154, 823 S.W.2d 863 (1992); Mauppin v. State, 309 Ark. 235, 831 S.W.2d 104 (1992).

5-2-314. Acquittal — Examination of defendant — Hearing.

  1. When a defendant is acquitted due to the defendant's lack of criminal responsibility, a circuit court is required to determine, and to include the determination in the order of acquittal, one (1) of the following:
    1. The offense involved bodily injury to another person or serious damage to the property of another person or involved a substantial risk of bodily injury to another person or serious damage to the property of another person, and that the defendant remains affected by mental disease or defect;
    2. The offense involved bodily injury to another person or serious damage to the property of another person or involved a substantial risk of bodily injury to another person or serious damage to the property of another person, and that the defendant is no longer affected by mental disease or defect;
    3. The offense did not involve bodily injury to another person or serious damage to the property of another person nor did it involve substantial risk of bodily injury to another person or serious damage to the property of another person, and that the defendant remains affected by mental disease or defect; or
    4. The offense did not involve bodily injury to another person or serious damage to the property of another person nor did it involve a substantial risk of bodily injury to another person or serious damage to the property of another person, and that the defendant is no longer affected by mental disease or defect.
    1. If the circuit court enters a determination based on subdivision (a)(1) or subdivision (a)(3) of this section, the circuit court shall order the defendant committed to the custody of the Department of Human Services for an examination by a psychiatrist or a licensed psychologist.
    2. Upon filing of an order of commitment under subdivision (b)(1) of this section with a circuit clerk, the circuit clerk shall submit a copy of the order to the Arkansas Crime Information Center.
  2. If the circuit court enters a determination based on subdivision (a)(2) or subdivision (a)(4) of this section, the circuit court shall immediately discharge the defendant.
      1. The department shall file the psychiatric or psychological report with the probate clerk of the circuit court having venue within thirty (30) days following receipt of an order of acquittal.
      2. If before thirty (30) days the department makes application to the circuit court for an extension of time to file the psychiatric or psychological report and the circuit court finds there is good cause for the delay, the circuit court may order that additional time be allowed for the department to file the psychiatric or psychological report.
      3. A hearing shall be conducted by the circuit court and shall take place not later than ten (10) days following the filing of the psychiatric or psychological report with the circuit court.
    1. If the psychiatric or psychological report is not filed within thirty (30) days following the department's receipt of an order of acquittal or within such additional time as authorized by the circuit court, the circuit court may grant a petition for a writ of habeas corpus ordering the release of the defendant under terms and conditions that are reasonable and just for the defendant and societal concerns about the safety of persons and property of others.
    1. A person found not guilty of an offense involving bodily injury to another person or serious damage to the property of another person or involving a substantial risk of bodily injury to another person or serious damage to the property of another person due to the person's lack of criminal responsibility has the burden of proving by clear and convincing evidence that his or her release would not create a substantial risk of bodily injury to another person or serious damage to property of another person due to a present mental disease or defect.
    2. With respect to any other offense, the person has the burden of proof by a preponderance of the evidence.
    1. A person acquitted whose mental condition is the subject of a hearing has a right to counsel.
      1. If it appears to the circuit court that the person acquitted is in need of counsel, an attorney shall be appointed immediately upon filing of the original petition.
        1. When an attorney is appointed by the circuit court, the circuit court shall determine the amount of the fee to be paid the attorney appointed by the circuit court and issue an order of payment.
        2. The amount of the fee allowed shall be based upon the time and effort of the attorney in the investigation, preparation, and representation of the client at the court hearings.
    1. The quorum court of each county shall appropriate funds for the purpose of payment of the attorney's fees provided for by subsection (f) of this section.
    2. Upon presentment of a claim accompanied by an order of the circuit court fixing the fee, the claim shall be approved by the county court and paid in the same manner as other claims against the county are paid.
  3. A hearing conducted pursuant to subsection (d) of this section may be held at the Arkansas State Hospital or a designated receiving facility or program where the person acquitted is detained.
  4. When conducting any hearing set out in this section, the circuit judge may conduct the hearing within any county of his or her judicial district.
      1. It is the duty of the prosecuting attorney's office in the county where the petition is filed to represent the State of Arkansas at any hearing held pursuant to this section except a hearing pending at the Arkansas State Hospital in Pulaski County.
      2. A prosecuting attorney may contract with another attorney to provide services under subdivision (j)(1)(A) of this section.
    1. The office of the Prosecutor Coordinator shall appear for and on behalf of the State of Arkansas at the Arkansas State Hospital in Little Rock.
    2. Representation under this subsection is a part of the official duties of a prosecuting attorney or the office of the Prosecutor Coordinator and the prosecuting attorney or the office of the Prosecutor Coordinator is immune from civil liability in the performance of this official duty.

History. Acts 1989, No. 645, § 3; 1989, No. 821, § 1; 1989, No. 911, § 3; 1995, No. 609, § 1; 2003, No. 1185, § 3; 2005, No. 1446, § 1; 2007, No. 463, § 2; 2007, No. 568, § 3; 2017, No. 472, §§ 12, 13.

A.C.R.C. Notes. Identical Acts 1989, Nos. 645 and 911, § 3, provided, in part, that “the provisions of this section shall be in lieu of Arkansas Code § 5-2-314 and shall apply to persons who are acquitted by reason of mental disease or defect after the effective date of this act.” Former § 5-2-314 derived from the following sources: Acts 1975, No. 280, § 612; 1983, No. 917, §§ 1, 3; A.S.A. 1947, §§ 41-612, 41-612.2. It was also amended by Acts 1989, No. 821, § 1; however, the enactment by identical Act Nos. 645 and 911 is deemed to be controlling.

Amendments. The 2017 amendment substituted “due to the defendant's lack of criminal responsibility” for “on the ground of mental disease or defect” in the introductory language of (a); and, in (e)(1), substituted “A person found not guilty” for “A person found not guilty on the ground of mental disease or defect” and inserted “due to the person's lack of criminal responsibility”.

Cross References. Jurisdiction of circuit courts over involuntary commitments, § 20-47-205.

Research References

ALR.

Extended Commitment of One Committed to Institution as Consequence of Acquittal of Crime on Ground of Insanity. 52 A.L.R.6th 567.

U. Ark. Little Rock L.J.

Legislation of the 1983 General Assembly, Criminal Law, 6 U. Ark. Little Rock L.J. 613.

Case Notes

Applicability.

The court correctly proceeded under this section and § 5-2-315 instead of under the civil commitment statutes where defendant was suffering from borderline intellectual functioning. Barnett v. State, 328 Ark. 246, 942 S.W.2d 860 (1997).

Application for Release.

Patients of the Arkansas State Hospital who were committed for a sufficient length of time under procedures for commitment of persons charged with crime clearly had a right, under the Code, to present an application for release to the committing trial court, or to contest a report by the director of the State Hospital which stated that the patient should remain hospitalized. Coley v. Clinton, 479 F. Supp. 1036 (E.D. Ark. 1979) (decision under prior law).

Commitment Constitutional.

Confinement based on a criminal commitment pursuant to this section and § 5-2-315 does not violate Ark. Const., Art. 2, § 8 or the Fourteenth Amendment to the United States Constitution since the commitment must be based on a finding that the defendant is a danger to himself and other persons or property and is not based solely on his incompetency to stand trial. Schock v. Thomas, 274 Ark. 493, 625 S.W.2d 521 (1981) (decision under prior law).

When an accused is sufficiently linked with conduct which sustains a finding of dangerousness, his commitment by a circuit court in connection with criminal charges is based on a rational distinction from the commitment procedures followed in civil cases; accordingly, the fact that a criminal defendant committed under this section is subjected to a more lenient commitment standard, is subject to disparity in custodial care and is held to a more stringent release standard than that applied to patients committed under the civil commitment statutes, does not deny him equal protection under the Fourteenth Amendment to the United States Constitution. Schock v. Thomas, 274 Ark. 493, 625 S.W.2d 521 (1981) (decision under prior law).

Denial of Release.

Appellant did not meet his burden under subdivision (e)(1) of this section. Although appellant had not been physically aggressive while at the hospital, he had verbally threatened others and the doctor opined that appellant continued to be a high risk of danger to himself and others; thus, the circuit court did not clearly err by refusing to release appellant from the custody of the Department of Human Services. Beare v. Ark. Dep't of Human Servs. (In re Beare), 2018 Ark. App. 598 (2018).

Instructions.

A trial court is not required to give a requested instruction to the jury which is taken from the language of this section and explains to the jury that even after a verdict of not guilty by reason of insanity the court would still have alternative dispositions of the defendant. Curry v. State, 271 Ark. 913, 611 S.W.2d 745 (1981); Dean v. State, 272 Ark. 448, 615 S.W.2d 354 (1981); Couch v. State, 274 Ark. 29, 621 S.W.2d 694 (1981) (preceding decisions under prior law).

The jury is not to be told the options available to the court when a defendant is found not guilty by reason of mental disease or defect and it is equally impermissible to comment on one of the alternatives, as it would be to comment on all of them. Love v. State, 281 Ark. 379, 664 S.W.2d 457 (1984); Schock v. Thomas, 274 Ark. 493, 625 S.W.2d 521 (1981) (decision under prior law); Robertson v. State, 304 Ark. 332, 802 S.W.2d 920 (1991).

Trial judge was correct in refusing proffered jury instruction concerning the consequences which result when a defendant is acquitted on the grounds of mental disease or defect. Hubbard v. State, 306 Ark. 153, 812 S.W.2d 107 (1991).

Jurisdiction.

The circuit court has jurisdiction at the initial stage to make a valid commitment to the state hospital of persons found not guilty by reason of insanity or found to be incapable of assisting in their defense, but subsequent proceedings must be under the jurisdiction of probate courts. Schock v. Thomas, 274 Ark. 493, 625 S.W.2d 521 (1981) (decision under prior law).

Where it had been more than two years since the trial court dismissed the murder charge against the petitioner because of her mental disease and committed her to the State Hospital pursuant to this section, the petition was entitled to a termination of her criminal commitment, with any continued commitment to be by way of civil commitment. Mannix v. State, 273 Ark. 492, 621 S.W.2d 222 (1981) (decision under prior law).

Jurisdiction of the probate court in hearings where petitioner has the burden of proving that his release would not create a substantial risk of bodily injury to another person or serious damage to property of another due to a present mental disease or defect, was established by the automatic order of commitment entered by the circuit court. Hattison v. State, 324 Ark. 317, 920 S.W.2d 849 (1996).

While a commitment cannot be indefinite, there is no reason to deprive the probate court of jurisdiction due to a late psychiatric report. Hattison v. State, 324 Ark. 317, 920 S.W.2d 849 (1996).

A 6-month delay in the filing of an Act 911 (Acts 1989, No. 991) report did not cause the probate court to lose jurisdiction. Daniels v. State, 333 Ark. 620, 970 S.W.2d 278 (1998).

Although acquitee asserted that, because the judgment of acquittal was entered July 1, 2003, and the DHS director's report was not filed until October 2, 2003, there was no compliance with the requirement that a report had to be filed within 30 days of acquittal, the appellate court held that, despite the untimeliness of the DHS report, it did not compromise the trial court's authority to impose continued DHS commitment. Gibson v. State, 89 Ark. App. 184, 201 S.W.3d 422 (2005).

Where the judgment of acquittal was entered July 1, 2003, and the DHS Director's report was not filed until October 2, 2003, there was no compliance with the requirement that a report be filed within thirty days of acquittal; however, despite the untimeliness of the DHS report, it did not compromise the trial court's authority to impose continued DHS commitment. Gibson v. State, 89 Ark. App. 184, 201 S.W.3d 422 (2005).

Cited: Drone v. State, 303 Ark. 607, 798 S.W.2d 434 (1990); Sanders v. State, 304 Ark. 109, 798 S.W.2d 926 (1990); Mauppin v. State, 309 Ark. 235, 831 S.W.2d 104 (1992).

5-2-315. Discharge or conditional release.

      1. When the Secretary of the Department of Human Services or his or her designee determines that a person acquitted has recovered from his or her mental disease or defect to such an extent that his or her release or his or her conditional release under a prescribed regimen of medical, psychiatric, or psychological care or treatment would no longer create a substantial risk of bodily injury to another person or serious damage to the property of another person, the secretary shall promptly file an application for discharge or conditional release of the person acquitted with the circuit court that ordered the commitment.
      2. In addition, if the person acquitted has an impairment due to alcohol or substance abuse, the secretary may petition the circuit court for involuntary commitment under § 20-64-815.
    1. The secretary shall send a copy of the application to the counsel for the person acquitted and to the attorney for the state.
    1. Within twenty (20) days after receiving the application for discharge or conditional release of the person acquitted, the attorney for the state may petition the circuit court for a hearing to determine whether the person acquitted should be released.
    2. If the attorney for the state does not request a hearing, the circuit court may conduct a hearing on its own motion or discharge the person acquitted.
  1. If the circuit court finds after a hearing under subsection (b) of this section by the standard specified in § 5-2-314(e) that the person acquitted has recovered from his or her mental disease or defect to such an extent that:
    1. The discharge of the person acquitted would no longer create a substantial risk of bodily injury to another person or serious damage to property of another person, then the circuit court shall order that the person acquitted be immediately discharged; or
    2. The conditional release of the person acquitted under a prescribed regimen of medical, psychiatric, or psychological care or treatment would no longer create a substantial risk of bodily injury to another person or serious damage to property of another person, then the circuit court shall order:
      1. That the person acquitted be conditionally released under a prescribed regimen of medical, psychiatric, or psychological care or treatment that has been:
        1. Prepared for the person acquitted;
        2. Certified to the circuit court as appropriate by the director of the facility in which the person acquitted is committed; and
        3. Found by the circuit court to be appropriate; and
      2. Explicit conditions of release, including without limitation requirements that:
        1. The person acquitted comply with the prescribed regimen of medical, psychiatric, or psychological care or treatment;
        2. The person acquitted be subject to regularly scheduled personal contact with a compliance monitor for the purpose of verifying compliance with the conditions of release;
        3. Compliance with the conditions of release be documented with the circuit court by the compliance monitor at ninety-day intervals or at such intervals as the circuit court may order; and
        4. Impose the conditions of release for a period of up to five (5) years.
  2. If the circuit court determines that the person acquitted has not met his or her burden of proof under subsection (c) of this section, the person acquitted shall continue to be committed to the custody of the Department of Human Services.
  3. A person ordered to be in charge of a prescribed regimen of medical, psychiatric, or psychological care or treatment of a person acquitted shall provide:
    1. The prescribed regimen of medical, psychiatric, or psychological care or treatment;
    2. Periodic written documentation to a compliance monitor of compliance with the conditions of release, including, but not limited to, documentation of compliance with the prescribed:
      1. Medication;
      2. Treatment and therapy;
      3. Substance abuse treatment; and
      4. Drug testing; and
      1. Written notice of any failure of the person acquitted to comply with the prescribed regimen of medical, psychiatric, or psychological care or treatment to the:
        1. Compliance monitor;
        2. Attorney for the person acquitted;
        3. Attorney for the state; and
        4. Circuit court having jurisdiction.
      2. The written notice under subdivision (e)(3)(A) of this section shall be provided immediately upon the failure of the person acquitted to comply with a condition of release.
        1. Upon the written notice under subdivision (e)(3)(A) of this section or upon other probable cause to believe that the person acquitted has failed to comply with the prescribed regimen of medical, psychiatric, or psychological care or treatment, the person acquitted may be detained and shall be taken without unnecessary delay before the circuit court having jurisdiction over him or her.
        2. After a hearing, the circuit court shall determine whether the person acquitted should be remanded to an appropriate facility on the ground that, in light of his or her failure to comply with the prescribed regimen of medical, psychiatric, or psychological care or treatment, his or her continued release would create a substantial risk of bodily injury to another person or serious damage to property of another person.
      3. At any time after a hearing employing the same criteria, the circuit court may modify or eliminate the prescribed regimen of medical, psychiatric, or psychological care or treatment.
    1. Regardless of whether the secretary or his or her designee has filed an application pursuant to a provision of subsection (a) of this section, and at any time during the commitment of the person acquitted, a person acquitted, his or her counsel, or his or her legal guardian may file with the circuit court that ordered the commitment a motion for a hearing to determine whether the person acquitted should be discharged from the facility in which the person acquitted is committed.
    2. However, no motion under subdivision (f)(1) of this section may be filed more than one (1) time every one hundred eighty (180) days.
    3. A copy of the motion under subdivision (f)(1) of this section shall be sent to the:
      1. Director of the facility in which the person acquitted is committed; and
      2. Attorney for the state.

History. Acts 1989, No. 645, § 4; 1989, No. 911, § 4; 1995, No. 609, § 2; 1995, No. 767, § 4; 1997, No. 922, § 2; 2011, No. 990, § 1; 2019, No. 910, §§ 5122, 5123.

A.C.R.C. Notes. Acts 1989, No. 645, § 4, and No. 911, § 4, provided, in part, that the “provisions of this section shall be in lieu of Arkansas Code § 5-2-315 and shall apply to persons who are acquitted by reason of mental disease or defect after the effective date of this act.” Former § 5-2-315 derived from Acts 1975, No. 280, § 613; A.S.A. 1947, § 41-613.

Amendments. The 2011 amendment inserted “including without limitation requirements” in (c)(2)(B); and added (c)(2)(B)(iv).

The 2019 amendment substituted “Secretary of the Department of Human Services” for “Director of the Department of Human Services” in (a)(1)(A); and substituted “secretary” for “director” throughout (a) and in (f)(1).

Case Notes

Applicability.

The court correctly proceeded under this section and § 5-2-314, instead of under the civil commitment statutes where defendant was suffering from borderline intellectual functioning. Barnett v. State, 328 Ark. 246, 942 S.W.2d 860 (1997).

Defendant did not prove by clear and convincing evidence that he should have been released outright instead of receiving a conditional release; defendant suffered from bipolar disorder for which he had to take medicine to control, and there was evidence that defendant would stop taking his medication and again return to a natural remedy. Bailey v. State, 80 Ark. App. 193, 95 S.W.3d 811 (2002).

Acquitee's confinement was not solely dependent on a department of human services (DHS) determination that he was fit for release; while it was true that an acquittee could be released upon recommendation of the DHS, the acquittee himself could apply for a release pursuant to subdivision (f)(1) of this section, and that remedy was available to the acquitee notwithstanding the fact that it was not referenced in the final disposition order. Gibson v. State, 89 Ark. App. 184, 201 S.W.3d 422 (2005).

Commitment Constitutional.

Confinement based on a criminal commitment pursuant to § 5-2-314 and a former version of this section did not violate Ark. Const., Art. 2, § 8 or U.S. Const. Amend. 14, since the commitment had to be based on a finding that the defendant was a danger to himself and other persons or property and was not based solely on his incompetency to stand trial. Schock v. Thomas, 274 Ark. 493, 625 S.W.2d 521 (1981) (decision under prior law).

Quasi-Judicial Immunity.

Because a lawsuit sought to hold a psychiatrist liable for the psychiatrist's performance of functions integral to the judicial process in providing psychiatric treatment to a conditional releasee as mandated by the conditional release order, the psychiatrist was entitled to quasi-judicial immunity when the releasee murdered the decedent; although the psychiatrist was not specifically identified in the conditional release order, the psychiatrist's treatment of the releasee expressly arose from the conditional release order and was within the scope of that order. Martin v. Smith, 2019 Ark. 232, 576 S.W.3d 32 (2019).

Cited: Owens v. Taylor, 299 Ark. 373, 772 S.W.2d 596 (1989).

5-2-316. Conditional release — Subsequent discharge, modification, or revocation.

    1. The Secretary of the Department of Human Services or his or her designee or a person conditionally released under § 5-2-315, or both, may apply to the court ordering the conditional release for discharge from or modification of the order granting conditional release on the ground that the person conditionally released under § 5-2-315 may be discharged or the order modified without danger to the person conditionally released under § 5-2-315 or to the person or property of another person.
    2. The application shall be accompanied by a supporting affidavit of a qualified physician.
    3. A copy of the application and affidavit shall be transmitted to the prosecuting attorney of the judicial circuit from which the person was conditionally released and to any person supervising his or her release, and the hearing on the application shall be held following notice to the prosecuting attorney and the person supervising his or her release.
    4. On its own motion or on the motion of a party, a court shall dismiss an application made under this section if the court determines that the application is frivolous or repetitive.
    1. After notice to the conditionally released person and a hearing, the court may determine that the conditionally released person has violated a condition of release or that for the safety of the conditionally released person or for the safety of the person or property of another person the conditional release should be modified, extended for a period specified by the court not to exceed five (5) years, or revoked.
      1. If an order is entered revoking the most recent order of conditional release under subdivision (b)(1) of this section, all conditions of the release shall be abated, and the person shall be ordered to be committed to the custody of the secretary or the secretary's designee.
      2. After the revocation described in subdivision (b)(2)(A) of this section, the person is subject to future discharge or conditional release only under the procedure prescribed in § 5-2-315.

History. Acts 1975, No. 280, § 614; A.S.A. 1947, § 41-614; Acts 1997, No. 922, § 3; 2007, No. 623, § 1; 2011, No. 990, § 2; 2013, No. 981, § 3; 2013, No. 1125, § 1; 2019, No. 910, §§ 5124, 5125.

Amendments. The 2011 amendment, in (a)(1), substituted “the director of the Department of Human Services or his or her designee, or a” for “any” and “under § 5-2-314, or both” for “pursuant to § 5-2-314 or § 5-2-315”; in (b)(1), deleted “within five (5) years after the most recent order of conditional release is issued pursuant to § 5-2-314 or § 5-2-315 and” preceding “after notice,” inserted “person” following “another,” and substituted “modified, extended for a period specified by the court not to exceed five (5) years, or revoked” for “modified or revoked”; in (b)(2)(A), deleted “including the five-year conditional release time frame in subdivision (b)(1) of this section” following “abated” and “of the Department of Human Services” following “director”; and inserted “conditional” in (b)(2)(B).

The 2013 amendment by No. 981 inserted (a)(4).

The 2013 amendment by No. 1125, in (a)(1), substituted “the person conditionally released under § 5-2-315” for “he or she” and for “himself or herself.”

The 2019 amendment substituted “Secretary of the Department of Human Services” for “Director of the Department of Human Services” in (a)(1); and substituted “secretary” for “director” and “secretary's” for “director's” in (b)(2)(A).

Case Notes

Jurisdiction.

Circuit court did not lack jurisdiction in 2006 to consider a petition for the conditional release of a state hospital patient who had been the subject of an initial conditional-release order in 1993 because this section, even prior to clarifying amendments made in 2007, could not properly be read as automatically depriving the court of jurisdiction 5 years after an initial order. State v. Owens, 370 Ark. 421, 260 S.W.3d 288 (2007).

Revocation Upheld.

Conditional release properly revoked where mentally ill appellant violated the terms of his conditional release from the state hospital by leaving the state; the trial judge was entitled to disbelieve his uncorroborated claim that he did so involuntarily due to inadequate medication. Manning v. State, 76 Ark. App. 91, 61 S.W.3d 910 (2001).

Circuit court did not err in revoking appellant's order of conditional release from the state mental hospital where her release was conditioned on treating her one-on-one nurse with dignity and respect and taking her medication, and the evidence showed that she was noncompliant with taking her medication, she was verbally hostile to multiple individuals assisting with her treatment, and she threatened to beat and kill her nurse. Allmon-Lipscomb v. Arkansas, 2017 Ark. App. 301 (2017).

Cited: Barnett v. State, 328 Ark. 246, 942 S.W.2d 860 (1997).

5-2-317. Jurisdiction and venue.

  1. A circuit court has exclusive jurisdiction over a person acquitted by reason of mental disease or defect and committed to the custody of the Secretary of the Department of Human Services pursuant to § 5-2-314(b).
  2. Venue is determined as follows:
    1. For a person committed to the custody of the Department of Human Services pursuant to § 5-2-314(b) and who has been committed to the Arkansas State Hospital for examination, then venue may be in Pulaski County for the initial hearing pursuant to § 5-2-314 and for a conditional release hearing pursuant to § 5-2-315; and
    2. For a person who has been conditionally released pursuant to § 5-2-315, then venue for any hearing seeking the modification, revocation, or dismissal of a conditional release order is in the county where the person currently resides.

History. Acts 1995, No. 609, § 3; 2003, No. 1185, § 4; 2005, No. 1845, § 1; 2019, No. 910, § 5126.

Amendments. The 2019 amendment substituted “Secretary of the Department of Human Services” for “Director of the Department of Human Services” in (a).

5-2-318 — 5-2-324. [Reserved.]

Publisher's Notes. This section, concerning the civil commitment at expiration of maximum term, was repealed by Acts 1989, No, 911, § 7. The section was derived from Acts 1983, No. 917, § 2; A.S.A. 1947, § 41-612.1.

5-2-326. Restraint of an Arkansas State Hospital patient.

  1. If necessary for security, an Arkansas State Hospital patient shall be physically restrained with a restraint while being transported to locations away from hospital grounds or to and from any court appearance.
  2. A patient shall not be physically restrained with a restraint if the restraint is medically contraindicated.
  3. The restraint shall be implemented in accordance with safe and appropriate restraint techniques as determined by hospital policy.
  4. The restraint used shall be the least restrictive type or technique necessary to effectively protect the patient, staff members, or others from harm.
  5. The restraint shall not be used as a means of coercion, discipline, convenience, or retaliation by staff.

History. Acts 2007, No. 636, § 2.

5-2-327. Examination of defendant — Fitness to proceed.

    1. Any party or the court may raise the issue of the defendant's fitness to proceed.
    2. The court shall order an examination under this section if it finds there is a reasonable suspicion that a defendant is not fit to proceed.
      1. Subject to §§ 5-2-304 and 5-2-311, the court shall immediately suspend further proceedings in a prosecution if it has ordered an examination under this section.
        1. If a jury has been impaneled and the court suspends proceedings under subdivision (a)(3)(A) of this section, the court may retain the jury or declare a mistrial and discharge the jury.
        2. A discharge of the jury is not a bar to further prosecution.
    3. If a court suspends further proceedings in the prosecution under subdivision (a)(3)(A) of this section, the court shall enter an order:
      1. Appointing one (1) or more experts who do not practice in the Arkansas State Hospital to examine the defendant and report on the defendant's mental condition; or
        1. Directing the Director of the Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services to provide an expert who will examine and report upon the defendant's mental condition.
        2. The director or his or her designee shall determine the location of the examination required under subdivision (a)(4)(B)(i) of this section.
  1. An examination ordered under this section shall be for a period not exceeding sixty (60) days unless the director or his or her designee determines a longer period of examination is necessary for the purpose of the examination.
    1. A uniform order to be used by a court ordering an examination of a defendant's fitness to proceed under this section shall be developed by the Administrative Office of the Courts in conjunction with the following organizations:
      1. The Arkansas Prosecuting Attorneys Association;
      2. The Department of Human Services; and
      3. The Arkansas Public Defender Commission.
    2. The uniform order developed under this subsection shall contain the following information:
      1. The defendant's name, age, gender, and race;
      2. The criminal charges pending against the defendant;
      3. The defendant's attorney's name and address;
      4. The defendant's custody status;
      5. The case number for which the examination was ordered;
      6. A unique identifying number on the incident reporting form as required by the Arkansas Crime Information Center; and
      7. The name of the requesting attorney, if applicable.
    3. An examination under this section shall not be conducted without using the uniform order required under this subsection.
    4. The uniform order shall require the prosecuting attorney to provide to the examiner any information relevant to the examination, including without limitation:
      1. The name and address of any attorney involved in the matter; and
      2. Information about the alleged offense.
    5. The court may require the attorney for the defendant to provide any available information relevant to the examination, including without limitation:
      1. Psychiatric records;
      2. Medical records; or
      3. Records pertaining to treatment of the defendant for substance or alcohol abuse.
    1. An examination report ordered under this section shall be filed with the clerk of the court ordering the examination and is a public record.
    2. The court clerk shall provide copies of the examination report to the defendant's attorney and the prosecuting attorney.
    1. An examination report prepared by an examiner ordered under this section shall:
      1. Contain an opinion as to whether or not the defendant is fit to proceed and the basis for the opinion;
      2. Contain an opinion as to whether the defendant has a mental disease or defect;
      3. Contain a substantiated diagnosis in the terminology of the American Psychiatric Association's most current edition of the Diagnostic and Statistical Manual of Mental Disorders;
      4. Document that the examiner explained to the defendant:
        1. The purpose of the examination;
        2. The persons to whom the examination report is provided; and
        3. The limits on rules of confidentiality applying to the relationship between the examiner and the defendant; and
      5. Describe, in specific terms:
        1. The procedures, techniques, and tests used in the examination;
        2. The purpose of each procedure, technique, or test; and
        3. The conclusions reached.
    2. An examiner's opinion on the defendant's fitness to proceed or lack of fitness to proceed may not be based solely on the defendant's refusal to communicate during the examination.
      1. During an examination to determine a defendant's fitness to proceed and in any examination report based on that examination, an examiner shall consider:
        1. The capacity of the defendant during criminal proceedings to:
          1. Rationally understand the charges against him or her and the potential consequences of the pending criminal proceedings;
          2. Disclose to the defendant's attorney pertinent facts, events, and states of mind;
          3. Engage in a reasoned choice of legal strategies and options;
          4. Understand the adversarial nature of criminal proceedings;
          5. Exhibit appropriate courtroom behavior; and
          6. Testify;
        2. As supported by current indications and the defendant's personal history, whether the defendant is a person with:
          1. A mental disease or defect; or
          2. An intellectual disability; and
        3. The degree of impairment resulting from the mental disease or defect or intellectual disability, if existent, and the specific impact on the defendant's capacity to engage with the defendant's attorney in an effective manner.
      2. The information or lack of information contained in the examiner's report is not intended to limit the introduction of evidence regarding the defendant's fitness to proceed.
  2. This subchapter does not preclude the defendant from having an examination conducted by an expert of the defendant's own choosing to determine the defendant's fitness to proceed, and the court shall provide the defendant's expert with a reasonable opportunity to examine the defendant upon a timely request.
  3. When the defendant has previously been found fit to proceed, the court may order a second or subsequent examination to determine a defendant's fitness to proceed only if the court:
    1. Finds reasonable cause to believe that new or previously undiscovered evidence calls into question the factual, legal, or scientific basis of the opinion upon which the previous finding of fitness relied;
    2. Finds reasonable cause to believe that the defendant's mental condition has changed; or
    3. Sets forth in the order a factual or legal basis upon which to order another examination.
  4. Upon completion of examination under this section, the court may enter an order providing for further examination of the defendant and may order the defendant into the custody of the director for further examination and observation if the court determines that commitment and further examination are warranted.

History. Acts 2017, No. 472, § 14.

Case Notes

Applicability.

Former section was inapplicable to a sentence revocation hearing; thus, the decision whether to provide psychiatric assistance to one facing a revocation hearing, like the decision concerning entitlement to counsel, must be on a case by case basis, and while due process must be accorded the defendant, there is no entitlement to the full range of criminal trial safeguards because the court is not dealing with a person who had yet to be convicted of anything. Pyland v. State, 302 Ark. 444, 790 S.W.2d 178 (1990) (decision under prior law).

Compliance with Former Statute.

Where psychiatrist's report raises a reasonable doubt about defendant's competency to stand trial, the trial court should order a full examination and report and, if warranted by the report, should conduct a determination of fitness to proceed pursuant to § 5-2-309. Jacobs v. State, 294 Ark. 551, 744 S.W.2d 728 (1988) (decision under prior law).

The appointment of a psychiatrist was not required under former statute; substantial compliance with former statute through an evaluation by a psychologist was enough. King v. State, 317 Ark. 293, 877 S.W.2d 583 (1994) (decision under prior law).

Continuance denied even though psychiatric report had not been filed in strict compliance with former statute where defendant failed to show any prejudice. Turner v. State, 326 Ark. 115, 931 S.W.2d 86 (1996) (decision under prior law).

Trial court committed reversible error by failing to immediately suspend the proceedings in defendant's trial for first-degree murder and order a psychiatric evaluation upon defendant's motion requesting that an evaluation be done. Kelly v. State, 80 Ark. App. 126, 91 S.W.3d 526 (2002) (decision under prior law).

Trial court erred in deeming defendant's federal mental evaluation sufficient to satisfy Arkansas' mandatory statutory scheme governing state mental evaluations; the trial judge's decision was a gross abuse of his discretion that warranted the granting of a writ of certiorari. Smith v. Fox, 358 Ark. 388, 193 S.W.3d 238 (2004) (decision under prior law).

Defendant's conviction for breaking or entering was proper because the trial court did not err in failing to suspend the proceedings sua sponte and order a second competency hearing based on his actions shortly before and during trial. In part, although defendant appeared to have required restraint at trial because he would stand at inappropriate times, and he asserted that he did not understand the proceedings, those behaviors were entirely consistent with those observed during the videotaped interview following his arrest, after which defendant underwent a psychological examination. Vilayvanh v. State, 2012 Ark. App. 561 (2012) (decision under prior law).

Circuit court did not err in ordering a fitness to proceed examination because the State and the circuit court both raised the issue of fitness to proceed, and the circuit court's order clearly stated that it found reasonable suspicion to believe that defendant was not fit to proceed; the statute authorizes the circuit court to raise the issue of a defendant's fitness to proceed and requires it to order the examination once a finding of reasonable suspicion has been made. Friar v. Erwin, 2014 Ark. 487, 450 S.W.3d 666 (2014) (decision under prior law).

Costs.

Due process of law does not require the state to furnish expenses for a defendant to shop from doctor to doctor until he finds one who considers him mentally incompetent. Berna v. State, 282 Ark. 563, 670 S.W.2d 434 (1984), cert. denied, 470 U.S. 1085, 105 S. Ct. 1847, 85 L. Ed. 2d 145 (1985) (decision under prior law).

Examination Report.

Where the psychiatrist's report regarding the defendant's fitness to stand trial substantially complied with the requirements of former statute, the trial court did not err in requiring the defendant to proceed to trial, even though the report was not in the exact terms of former statute. Ball v. State, 278 Ark. 423, 646 S.W.2d 693 (1983) (decision under prior law).

Denial of the inmate's petition for postconviction relief under Ark. R. Crim. P. 37.1 was improper as to the competency issue because the supreme court was unable to determine whether there were any results of the mental evaluation of which the parties or the court might have been made aware, whether those results were contested, or whether there was any other resolution settling the issue of the inmate's competency to proceed and enter his plea. Sandoval-Vega v. State, 2011 Ark. 393, 384 S.W.3d 508 (2011) (decision under prior law).

Hearing.

Evidence sufficient to find that there was no prejudicial error in the conduct of the competency hearing. Wright v. State, 270 Ark. 78, 603 S.W.2d 408 (1980) (decision under prior law).

A pre-trial hearing on the morning of trial, where the court considered the propriety of defendant's withdrawal of his incompetency defense before allowing the case to proceed, complied with procedural due process requirements. Griffin v. State, 25 Ark. App. 186, 755 S.W.2d 574 (1988) (decision under prior law).

Trial court erred in denying defendant's request for a competency hearing because a hearing was mandatory where defendant plainly took issue with a psychologist's finding that he was competent and requested a hearing. Simpson v. State, 2015 Ark. App. 103, 455 S.W.3d 856 (2015) (decision under prior law).

Fitness to Proceed.

Under the statute, the court may raise the incompetency defense on its own at any time it has “reason to doubt” a defendant's fitness to proceed. Griffin v. State, 25 Ark. App. 186, 755 S.W.2d 574 (1988) (decision under prior law).

Trial court's refusal to halt the proceedings and order a mental evaluation based on defendant's notice was proper where there was no specific assertion that appellant was suffering from a mental disease or defect which affected his competency to proceed, but rather that it was his lack of recollection of the incident that was affecting his capacity to proceed. Lawrence v. State, 39 Ark. App. 39, 839 S.W.2d 10 (1992) (decision under prior law).

Trial court did not err in denying defendant's request for a mental evaluation where there was no evidence to suggest that he lacked an appreciation for the seriousness of the charges against him or an ability to assist his attorney in his defense, and the trial court found him fit to proceed. Bryant v. State, 94 Ark. App. 387, 231 S.W.3d 91 (2006) (decision under prior law).

Pursuant to defense counsel's motion, the court suspended defendant's trial for a mental-health evaluation and a doctor determined that defendant demonstrated a fully-developed, persecutory-type delusion; however, once defendant's fitness was restored, his prosecution for attempting to commit capital murder could proceed and the court was not required to order a second evaluation when defendant later claimed he was hearing voices. Steward v. State, 95 Ark. App. 6, 233 S.W.3d 180 (2006) (decision under prior law).

Where defendant appealed his convictions for violating §§ 5-64-443(c) and 5-64-420(a)(2), the circuit court did not err by denying his motion for a psychological evaluation. Defendant's mere statement that he was depressed was not enough to give the circuit court reason to believe that mental disease or defect would be an issue or to give the circuit court reason to doubt his fitness to proceed. King v. State, 2014 Ark. App. 81, 432 S.W.3d 127 (2014) (decision under prior law).

In a probation revocation case, defendant waived an argument relating to whether the trial court should have halted proceedings and ordered an assessment because he never filed notice that he intended to rely on a defense of mental disease or defect or that he was putting into issue his fitness to proceed; moreover, defense counsel indicated that no issue existed. Even if the trial court had denied a mental evaluation, there was no reversible error in proceeding with the revocation hearing since this was not a criminal trial, and defendant had undergone two evaluations previously. Ring v. State, 2014 Ark. App. 169 (2014) (decision under prior law).

Request or Motion for Examination.

A pretrial motion for a psychiatric examination was not sufficient to raise the requisite reasonable or bona fide doubt necessary for the trial judge to make a finding of the defendant's incompetency to stand trial. Collins v. Housewright, 664 F.2d 181 (8th Cir. 1981), cert. denied, 455 U.S. 1004, 102 S. Ct. 1639, 71 L. Ed. 2d 872 (1982) (decision under prior law).

Supplementary Examination.

Where the psychiatrist's report told the court virtually nothing and was palpably in noncompliance with former statute and the defendant had a history of mental illness, further observation and examination should have been ordered and his conviction was reversed. Vance v. State, 288 Ark. 274, 704 S.W.2d 170 (1986) (decision under prior law).

5-2-328. Examination of defendant — Affirmative defense of lack of criminal responsibility.

    1. Subject to § 5-2-311, if and only if a defendant charged in circuit court files a notice of intent to raise the affirmative defense of lack of criminal responsibility under § 5-2-304, the circuit court shall immediately suspend any further proceedings.
    2. When the defendant files notice under subdivision (a)(1) of this section, then the circuit court may on its own motion or on the motion of the prosecuting attorney or the defense attorney enter an order appointing one (1) or more disinterested experts to examine the defendant with regard to the defense of lack of criminal responsibility.
      1. An examination under this section shall be for a period not exceeding sixty (60) days or a longer period as the Director of the Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services or his or her designee determines to be necessary for the purpose of the examination.
        1. A person designated by the circuit court to perform an examination under this section shall file the examination report with the clerk of the circuit court ordering the examination.
        2. An examination report filed under this subdivision (a)(3)(B) is a public record.
        3. A copy of the examination report shall be provided by the clerk to the defendant's attorney and the prosecuting attorney.
    1. A uniform order to be used by a circuit court ordering an examination of a defendant's lack of criminal responsibility under this section shall be developed by the Administrative Office of the Courts in conjunction with the following organizations:
      1. The Arkansas Prosecuting Attorneys Association;
      2. The Department of Human Services; and
      3. The Arkansas Public Defender Commission.
    2. The uniform order developed under this subsection shall contain, without limitation, the following information:
      1. The defendant's name, age, gender, and race;
      2. The criminal charges pending against the defendant;
      3. The defendant's attorney's name and address;
      4. The defendant's custody status;
      5. The case number for which the examination was ordered;
      6. A unique identifying number on the incident reporting form as required by the Arkansas Crime Information Center; and
      7. The name of the requesting attorney, if applicable.
    3. The uniform order shall require the prosecuting attorney to provide to the examiner any information relevant to the examination, including without limitation:
      1. The name and address of any attorney involved in the matter;
      2. Information about the alleged offense; and
      3. Any information about the defendant's background that is determined to be relevant to the examination, including the criminal history of the defendant.
    4. The circuit court may require the attorney for the defendant to provide any available information relevant to the examination, including without limitation:
      1. Psychiatric records;
      2. Medical records; or
      3. Records pertaining to treatment of the defendant for substance or alcohol abuse.
    5. After it is developed, a copy of the uniform order under this subsection shall be forwarded to the director.
    6. An examination under this section shall not be conducted without using the uniform order required under this subsection.
  1. An examination report prepared by an examiner ordered under this section shall contain:
    1. A description of the nature of the examination;
    2. An opinion as to whether as the result of a mental disease or defect the defendant at the time of the alleged offense lacked the capacity to appreciate the criminality of his or her conduct or to conform his or her conduct to the requirements of the law, an explanation of the examiner's opinion, and the basis of that opinion;
    3. When directed by the circuit court, an opinion as to whether at the time of the alleged offense the defendant lacked the capacity to form a culpable mental state that is required to establish an element of the alleged offense, an explanation of the examiner's opinion, and the basis of that opinion; and
    4. If an examination cannot be conducted because of the unwillingness of the defendant to participate in the examination, an opinion as to whether the unwillingness of the defendant is the result of mental disease or defect.
    1. An examiner appointed under this section to examine a defendant with regard to a defense of lack of criminal responsibility also may be appointed by the circuit court to examine the defendant with regard to the defendant's fitness to proceed under § 5-2-327.
    2. However, the examiner must file with the circuit court separate written reports concerning the defendant's fitness to proceed and lack of criminal responsibility.
  2. Unless otherwise required by this section, an examiner shall not render an opinion or issue a report on the defendant's lack of criminal responsibility if the examiner believes that the defendant is not fit to proceed until the circuit court issuing the order for an examination into the defendant's lack of criminal responsibility makes a determination as to the defendant's fitness to proceed.
  3. A circuit court shall not order the Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services to conduct an examination of a defendant's lack of criminal responsibility if a previous examination into the defendant's fitness to proceed has already determined that the defendant does not have a mental disease or defect unless the requesting party can show reasonable cause to believe:
    1. There is evidence of a mental disease or defect that was not fully considered in the previous examination into the defendant's fitness to proceed; or
    2. That the previous opinion that the defendant does not have a mental disease or defect was based on information or facts later shown to be false or unreliable.
    1. This section does not prevent a defendant from having an examination into his or her lack of criminal responsibility conducted by his or her expert or from maintaining a defense of not guilty by reason of a lack of criminal responsibility using testimony from a defense expert or other evidence.
    2. If a defendant wishes to be examined by an expert of his or her own choosing, the circuit court shall provide the expert with reasonable opportunity to examine the defendant upon a timely request.

History. Acts 2017, No. 472, § 15.

Case Notes

Access to Records.

Defendant was denied crucial evidence to aid in his defense when he was not furnished the full records of the state hospital relating to two prior commitments to the state hospital. Westbrook v. State, 265 Ark. 736, 580 S.W.2d 702 (1979) (decision under prior law).

Where a court ordered the mental examination of a defendant, it was prejudicial error to deny him access to the reports and records of the state mental hospital and a regional mental health center regarding such examinations. Hayes v. State, 274 Ark. 440, 625 S.W.2d 498 (1981) (decision under prior law).

Compliance with Former Statute.

Evidence was sufficient to find that there was compliance with the statutory requirement as to a mental examination. Wright v. State, 270 Ark. 78, 603 S.W.2d 408 (1980) (decision under prior law).

The examination, conducted during defendant's stay at the state hospital, by a doctor, who was admittedly a psychologist rather than a psychiatrist, substantially complied with former statute. Hubbard v. State, 306 Ark. 153, 812 S.W.2d 107 (1991) (decision under prior law).

Where a defendant is evaluated by the state hospital, such an evaluation complies with the examination requirements of Ake v. Oklahoma, 470 U.S. 68, 105 S. Ct. 1087, 84 L. Ed. 2d 53 (1985). Beard v. State, 306 Ark. 546, 816 S.W.2d 860 (1991) (decision under prior law).

Where report explicitly referred to the defendant's history of substance abuse, incarceration for delinquency, and psychiatric problems, even though examiner may not have had before him the full medical, psychiatric, and delinquency records of the defendant, report substantially complied with the requirements of state law. Brooks v. State, 308 Ark. 660, 827 S.W.2d 119 (1992) (decision under prior law).

The trial court did not err in failing to order a psychiatric evaluation by the state hospital where the trial court correctly determined that the evaluation by a local, approved psychologist was a proper alternative and was in compliance with former statute. Rucker v. State, 320 Ark. 643, 899 S.W.2d 447 (1995) (decision under prior law).

Continuance denied even though psychiatric report had not been filed in strict compliance with former statute where defendant failed to show any prejudice. Turner v. State, 326 Ark. 115, 931 S.W.2d 86 (1996) (decision under prior law).

Trial court committed reversible error by failing to immediately suspend the proceedings in defendant's trial for first-degree murder and order a psychiatric evaluation upon defendant's motion requesting that an evaluation be done. Kelly v. State, 80 Ark. App. 126, 91 S.W.3d 526 (2002) (decision under prior law).

Trial court erred in deeming defendant's federal mental evaluation sufficient to satisfy Arkansas' mandatory statutory scheme governing state mental evaluations; the trial judge's decision was a gross abuse of his discretion that warranted the granting of a writ of certiorari. Smith v. Fox, 358 Ark. 388, 193 S.W.3d 238 (2004) (decision under prior law).

Continuance.

Defendant's motion for continuance filed the day before trial to obtain an independent examination to support an affirmative defense of lack of criminal responsibility was properly denied as he had ample time to pursue an independent evaluation before trial, but instead planned to wait and see what the state hospital's report would conclude before seeking to obtain his own experts for an evaluation; although the state hospital's report was not provided until shortly before trial, a defendant who employs such a “wait and see” strategy is not acting diligently in attempting to secure the necessary information on which to build a defense of mental disease or defect. In addition, defendant failed to show any prejudice from the denial of the continuance. Hendrix v. State, 2019 Ark. 351, 588 S.W.3d 17 (2019).

Costs.

Due process of law does not require the state to furnish expenses for a defendant to shop from doctor to doctor until he finds one who considers him mentally incompetent. Berna v. State, 282 Ark. 563, 670 S.W.2d 434 (1984), cert. denied, 470 U.S. 1085, 105 S. Ct. 1847, 85 L. Ed. 2d 145 (1985) (decision under prior law).

Expert Opinion.

Where defendant was found guilty of first-degree murder and attempted first-degree murder, the trial court did not abuse its discretion in excluding certain expert testimony regarding defendant's capacity to form intent. The expert's report did not state that defendant lacked the capacity to form intent, only that it was impacted or impaired, and the expert also opined that defendant's psychotic disorder did not render him unable to appreciate the criminality of his conduct or to conform his conduct to the requirements of the law. Furthermore, there was ample evidence of purposeful conduct where defendant left a bar and returned with a shotgun that he used against the victims. Edwards v. State, 2015 Ark. 377, 472 S.W.3d 479 (2015) (decision under prior law).

Hearing.

A pre-trial hearing on the morning of trial, where the court considered the propriety of defendant's withdrawal of his incompetency defense before allowing the case to proceed, complied with procedural due process requirements. Griffin v. State, 25 Ark. App. 186, 755 S.W.2d 574 (1988) (decision under prior law).

Notice of Intent.

Circuit court acted without jurisdiction in ordering defendant to submit to a criminal responsibility examination because defendant had not filed a notice of intent to raise the defense of not guilty for reason of mental disease or defect. Friar v. Erwin, 2014 Ark. 487, 450 S.W.3d 666 (2014) (decision under prior law).

Psychiatrist's Opinion.

While psychiatrist's opinion was a conditional one, it was nonetheless an opinion as to defendant's “ability to appreciate the criminality of his conduct or to conform his conduct to the requirements of law” at the time the offense was committed. Walker v. State, 303 Ark. 401, 797 S.W.2d 447 (1990) (decision under prior law).

Former statute required no unequivocal or conclusive opinion, but provided only that such reports contain some opinion as to the extent to which the defendant's mental capacity was impaired. Williams v. State, 320 Ark. 67, 894 S.W.2d 923 (1995) (decision under prior law).

Request or Motion for Examination.

The time necessary to complete a mental examination requested by a defendant is excluded from the one-year period for speedy trial. Romes v. State, 356 Ark. 26, 144 S.W.3d 750 (2004) (decision under prior law).

5-2-329. Data to be maintained by the Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services.

    1. The Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services shall maintain a database of all examinations of defendants performed under this subchapter.
    2. The database shall be maintained in a manner that enables it to generate reports and compile data with or without personal identifying information.
    3. The database shall contain without limitation:
      1. The defendant's information on the uniform order required under § 5-2-327 or § 5-2-328;
      2. The name of the judge who ordered the examination, if known;
      3. The name of the attorney who requested the examination, if known;
      4. The name of the examiner who conducted the examination;
      5. The result of the examination;
      6. If the defendant was examined regarding his or her fitness to proceed, whether the defendant had his or her fitness to proceed restored; and
      7. If the defendant was found not guilty or acquitted because of the affirmative defense of lack of criminal responsibility, the defendant's progress through his or her commitment and conditional release.
  1. The database should be designed in a manner that allows reports to be generated for the General Assembly, researchers, and the public to track the efficiency and effectiveness of the examination process and the restoration and treatment programs of the division without invading the privacy of individual defendants and patients.

History. Acts 2017, No. 472, § 16.

5-2-330. Examination by Division of Correction prohibited.

A defendant committed to and under the supervision of the Division of Correction who is charged in circuit court shall not undergo an examination or observation conducted under this subchapter by a psychiatrist or other mental health employee of the division to determine the mental condition of the defendant.

History. Acts 2017, No. 472, § 17; 2019, No. 910, § 645.

Amendments. The 2019 amendment substituted “Division of Correction” for “Department of Correction” in the section heading and the section.

5-2-331. Cost of mental health services, examination, and treatment of defendant.

  1. A person or entity that provides treatment or other mental health services under this subchapter may impose a charge for the cost of the treatment or other mental health services rendered.
  2. A charge for the cost of treatment or other mental health services under this section may not exceed the actual cost of the treatment or other mental health services provided.
    1. The Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services shall promulgate rules establishing reasonable charges for the cost of treatment or other mental health services under this section.
    2. Rules establishing reasonable charges for the cost of treatment or other mental health services under this section shall provide for waiving or postponing the collection of the charges based on:
      1. Clinical considerations;
      2. The defendant's inability to pay; or
      3. A court determination that the defendant is wholly or partly indigent and qualifies for the appointment of an attorney under § 16-87-213.

History. Acts 2019, No. 567, § 1.

Subchapter 4 — Parties to Offenses

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Cross References. Conviction on testimony of accomplice, § 16-89-111.

Venue of prosecutions against accessories, § 16-88-114.

Research References

ALR.

Test of criminal responsibility: state cases. 9 A.L.R.4th 526.

Acquittal of principal or his conviction of lesser degree of offense as affecting prosecution of accessory and aider and abettor. 9 A.L.R.4th 972.

Am. Jur. 21 Am. Jur. 2d, Crim. L., § 204 et seq.

Ark. L. Rev.

The Impact of the 1976 Criminal Code on the Law of Accessorial Liability in Arkansas, 31 Ark. L. Rev. 100.

C.J.S. 22 C.J.S., Crim. L., § 79 et seq.

Case Notes

In General.

The law no longer distinguishes between an accessory and the principal. Williams v. State, 267 Ark. 527, 593 S.W.2d 8 (1980).

Accessories.

An accessory before the fact is now referred to as an accomplice, defined in § 5-2-403, and one who was formerly an accessory after the fact is now guilty of the separate crime of hindering apprehension and prosecution under § 5-54-105. Fight v. State, 314 Ark. 438, 863 S.W.2d 800 (1993).

5-2-401. Criminal liability generally.

A person may commit an offense either by his or her own conduct or that of another person.

History. Acts 1975, No. 280, § 301; A.S.A. 1947, § 41-301.

Case Notes

Application.

Defendant's conviction for capital murder, in violation of § 5-10-101(a)(4), was proper because there was substantial evidence that defendant was guilty as an accomplice pursuant to this section and §§ 5-2-402(2) and 5-2-403(b)(1), (2), and his argument that there was insufficient evidence of his acting as an accomplice by encouraging, aiding, or assisting the killer in stabbing the victim, was not preserved for review. Lawshea v. State, 2009 Ark. 600, 357 S.W.3d 901 (2009).

Evidence.

Concerted action to commit an unlawful act may be shown by circumstantial evidence without direct proof of a conspiracy by prior agreement; hence, defendant could properly be found guilty of an offense not only by her own conduct but also by that of her accomplices. King v. State, 271 Ark. 417, 609 S.W.2d 32 (1980).

Defendant's conviction for capital murder was supported by substantial evidence where he served as an accomplice to the murder by directing his brother to “come on down” from the attic because the victim moved, suggesting that his brother needed to finish killing the victim, which he did while defendant watched. Wilson v. State, 365 Ark. 664, 232 S.W.3d 455 (2006).

Instructions.

Jury instruction taken almost verbatim from this section was correct despite mention of “accomplices” where both defendants were principals inasmuch as, when two or more persons assist one another in the commission of an offense, each is an accomplice and is criminally liable for the conduct of both. Andrews v. State, 262 Ark. 190, 555 S.W.2d 224 (1977).

Participation.

When two or more persons assist one another in the commission of a crime, each is an accomplice and criminally liable for the conduct of both. Parker v. State, 265 Ark. 315, 578 S.W.2d 206 (1979).

Each participant in a crime is liable for his own conduct but cannot disclaim responsibility for all of the conduct in a particular episode because he did not personally take part in every act which it took to accomplish the crime. Parker v. State, 265 Ark. 315, 578 S.W.2d 206 (1979); Ruiz v. State, 265 Ark. 875, 582 S.W.2d 915 (1979).

Under accomplice liability, a person may commit an offense by his own conduct or by that of another person. Wilson v. State, 365 Ark. 664, 232 S.W.3d 455 (2006).

Cited: Long v. State, 260 Ark. 417, 542 S.W.2d 742 (1976); Ward v. State, 6 Ark. App. 349, 642 S.W.2d 328 (1982); Fisher v. State, 7 Ark. App. 1, 643 S.W.2d 571 (1982).

5-2-402. Liability for conduct of another generally.

A person is criminally liable for the conduct of another person if:

  1. The person is made criminally liable for the conduct of another person by the statute defining the offense;
  2. The person is an accomplice of another person in the commission of an offense; or
  3. Acting with a culpable mental state sufficient for the commission of the offense, the person causes another person to engage in conduct that would constitute an offense but for a defense available to the other person.

History. Acts 1975, No. 280, § 302; A.S.A. 1947, § 41-302.

Case Notes

Accomplice/Principal Distinction.

It was defendant's brother who fired the shot that killed the victim, and although defendant claimed the State failed to prove it was his conscious object to assist his brother, the law in Arkansas made no distinction between the criminal liability of a principal and an accomplice; defendant drove around with the stated purpose to assist in hunting down and killing the victim, and thus the evidence supported his convictions of first-degree murder and committing a terroristic act, and the circuit court properly denied his motions for directed verdict. Starling v. State, 2015 Ark. App. 429, 468 S.W.3d 294 (2015).

Accomplices.

Accessory could be tried and punished as a principal. Fanning v. State, 199 Ark. 932, 136 S.W.2d 1040 (1940); Fleeman v. State, 204 Ark. 772, 165 S.W.2d 62 (1942); Warford v. State, 214 Ark. 423, 216 S.W.2d 781 (1949); Lauderdale v. State, 233 Ark. 96, 343 S.W.2d 422 (1961); Ballew v. State, 246 Ark. 1191, 441 S.W.2d 453 (1969); Murrah v. State, 253 Ark. 432, 486 S.W.2d 897 (1972), overruled in part, Waters v. State, 271 Ark. 33, 607 S.W.2d 336 (Ark. 1980) (preceding decisions under prior law).

One who stood by, aided and abetted, could be tried as a principal regardless of what happened in cases against his alleged accomplices. Rush v. State, 239 Ark. 878, 395 S.W.2d 3 (1965) (decision under prior law).

One need not actually take an active part in an offense to be convicted of that charge, and where the defendant accompanied those who actually committed the offense, supplied them with a means of committing the offense, and was aware of the likelihood of some harm occurring, she brought herself within the terms of this section and § 5-4-403, she was properly convicted. Hallman v. State, 264 Ark. 900, 575 S.W.2d 688 (1979).

There is no distinction between the criminal responsibility of an accomplice and the person who actually commits the offense. Redman v. State, 265 Ark. 774, 580 S.W.2d 945 (1979); Swaite v. State, 272 Ark. 128, 612 S.W.2d 307 (1981).

One who aids or assists in the commission of a crime is as guilty as the actual perpetrator of the deed; the distinction between a principal and an accessory has been abolished. Smith v. State, 271 Ark. 671, 609 S.W.2d 922 (1981).

Defendant was an active participant in the transaction, and as an accomplice he was liable for the criminal conduct of the other participants; therefore, he was properly charged and convicted as a principal. Yent v. State, 9 Ark. App. 356, 660 S.W.2d 178 (1983).

A co-conspirator may also be an accomplice. Shrader v. State, 13 Ark. App. 17, 678 S.W.2d 777 (1984).

Evidence was sufficient to support a conviction for capital murder based on accomplice liability where it was shown that defendant was involved in the planning of the murder, that he helped the killer set up his alibi, and that he selected the grave site and helped dig the grave where the victim's body was to be buried. Davis v. State, 350 Ark. 22, 86 S.W.3d 872 (2002).

Defendant had the burden of proving that a witness was an accomplice whose testimony had to be corroborated, since mere presence at the crime scene or failure to inform law enforcement officers of a crime did not make the witness an accomplice as a matter of law. Cook v. State, 350 Ark. 398, 86 S.W.3d 916 (2002).

Person is criminally liable for the conduct of another person when he is the accomplice of another person in the commission of an offense. Wilson v. State, 365 Ark. 664, 232 S.W.3d 455 (2006).

Defendant's conviction for capital murder, in violation of § 5-10-101(a)(4), was proper because there was substantial evidence that defendant was guilty as an accomplice pursuant to §§ 5-2-401, 5-2-403(b)(1), (2), and subdivision (2) of this section, and his argument that there was insufficient evidence of his acting as an accomplice by encouraging, aiding, or assisting the killer in stabbing the victim, was not preserved for review. Lawshea v. State, 2009 Ark. 600, 357 S.W.3d 901 (2009).

Substantial evidence supported defendant's convictions for aggravated robbery, kidnapping, aggravated assault, theft of property, unlawful discharge of a firearm from a vehicle, and fleeing because while the state did not prove that defendant actually entered a bank, it did provide substantial evidence that he was the driver of the getaway car and thus was an accomplice of the two men who committed the aggravated robbery, kidnapping, and theft of property; while defendant did not personally shoot at an officer's vehicle, his conduct of driving the fleeing vehicle while another person in the car fired the shots sufficiently implicated him as an accomplice to unlawfully discharging a firearm from a vehicle. Barber v. State, 2010 Ark. App. 210, 374 S.W.3d 709 (2010).

Evidence was sufficient to convict defendant of theft as an accomplice because defendant asked the complainant to give the back-seat passenger a ride; the back-seat passenger took the complainant's wallet and the $3700 it contained while defendant struggled with the complainant to take her cell phone; it was up to the circuit court to decide whether defendant and the back-seat passenger acted in concert to divert the complainant's attention and steal her money; defendant's account of events differed so significantly from the testimony of other witnesses that the trial court, as the trier of fact, could readily discount her entire testimony; and her attempt to flee from the crime scene was relevant to the issue of guilt. Cosey v. State, 2014 Ark. App. 441, 439 S.W.3d 731 (2014).

While no witness directly identified defendant as being the actual robber, a person was criminally liable for the conduct of another when he was an accomplice; defendant's car was stopped driving away from a robbery, he had two passengers with him, inside the car was the same amount of money that had been stolen, and the clothing in the car matched the description of what the robber wore, and the jury was permitted to weigh the evidence in reaching its guilty verdict. Richardson v. State, 2014 Ark. App. 679, 449 S.W.3d 718 (2014).

In a case where defendant was convicted of two counts of aggravated robbery, there was sufficient evidence presented to corroborate the accomplice's testimony because defendant told a detective he was at the store on the date of the robbery; surveillance tapes showed defendant, co-defendant, and the accomplice in the store at the same time as the victim, leaving the store immediately after the victim, and leaving the parking lot right behind the victim; defendant's mother testified that the vehicle police were searching for in connection with the aggravated robberies belonged to defendant; and, at trial, the victim's sister identified defendant as the person who committed the aggravated robberies with co-defendant. Foster v. State, 2017 Ark. App. 63, 510 S.W.3d 782 (2017).

Enhancement of Punishment.

Enhancement of defendant's punishment on the basis of his companion's actions during the commission of an offense was proper, since under a former statute an accomplice was as guilty as his confederate and subject to the same punishment. Gammel v. State, 259 Ark. 96, 531 S.W.2d 474 (1976) (decision under prior law).

Employment Relationship.

Employer's civil liability upheld where an employee killed his employer's neighbor when the neighbor pointed a gun at the employer; the employer was an accomplice to that manslaughter. Costner v. Adams, 82 Ark. App. 148, 121 S.W.3d 164 (2003).

Evidence.

Concerted action to commit an unlawful act may be shown by circumstantial evidence, without direct proof of a conspiracy by prior agreement. King v. State, 271 Ark. 417, 609 S.W.2d 32 (1980).

Evidence sufficient to support defendant's conviction for crime performed by another. Smith v. State, 271 Ark. 671, 609 S.W.2d 922 (1981); Swaite v. State, 272 Ark. 128, 612 S.W.2d 307 (1981); Wallace v. Lockhart, 701 F.2d 719 (8th Cir. 1983), cert. denied, 464 U.S. 934, 104 S. Ct. 340, 78 L. Ed. 2d 308 (1983); Ashley v. State, 22 Ark. App. 73, 732 S.W.2d 872 (1987); Purifoy v. State, 307 Ark. 482, 822 S.W.2d 374 (1991).

Evidence in the form of testimony of a mother and her daughter and son, both of whom were under the age of 14, that defendant, who was husband and father to the victims, sexually assaulted the daughter by inserting his finger into the daughter's vagina and forcing the daughter to perform oral sex on defendant, forcing the son and daughter to have sexual intercourse, and forcing the son to have intercourse with the mother, along with medical evidence of injuries to the daughter consistent with sexual assault, supported defendant's conviction for rape and three counts of accomplice to rape under the law of parties. Clem v. State, 351 Ark. 112, 90 S.W.3d 428 (2002).

There was sufficient evidence to support a conviction for manufacturing methamphetamine based on accomplice liability where the evidence showed that drug manufacturing was taking place on defendant's property, defendant admitted knowledge of the operation, and a co-defendant also testified regarding defendant's knowledge of the operation. George v. State, 356 Ark. 345, 151 S.W.3d 770 (2004).

Evidence was sufficient to sustain a conviction for attempted capital murder where there was substantial evidence that defendant was not merely engaged in the “act of driving”; the victim, a police officer, testified that the driver attempted to run him over, he observed a flash from the passenger side window, he realized that he had heard a gunshot, and an officer identified defendant as the driver of the vehicle. Clark v. State, 358 Ark. 469, 192 S.W.3d 248 (2004).

Evidence was sufficient to sustain defendant's aggravated robbery conviction where defendant admitted to being in the vehicle when the crimes occurred, the evidence showed that he was the driver, defendant waited while an accomplice fired shots at the van's driver, and defendant retrieved the bank bag. Jefferson v. State, 359 Ark. 454, 198 S.W.3d 527 (2004).

Evidence was sufficient to convict defendant of first degree murder and theft where, in addition to the testimony of defendant's wife, who was an accomplice, defendant's own statements to the police, his conduct before and after the crime, and statements of the victim's friends regarding her fear of defendant tended to connect him to the crimes; further, although there was no evidence that defendant ever drove victim's Cadillac or had the vehicle in his possession, the jury might have determined that defendant facilitated the theft by leaving the accomplice without a vehicle at the victim's house, and there was evidence that the theft of the Cadillac was part of the plan to murder the victim. MacKool v. State, 365 Ark. 416, 231 S.W.3d 676 (2006).

Defendant's conviction for capital murder was supported by substantial evidence where he served as an accomplice to the murder by directing his brother to “come on down” from the attic because the victim moved, suggesting that his brother needed to finish killing the victim, which he did while defendant watched. Wilson v. State, 365 Ark. 664, 232 S.W.3d 455 (2006).

Defendant's convictions for two counts of aggravated robbery were proper because a neighbor verified that one of the intruders had a gun; the victim told officers that the intruders hid their guns in the closet, where two guns were found; and both intruders were charged in the same instrument, implicating accomplice liability, under subdivision (2) of this section. That provided substantial evidence to support the finding that the intruders at minimum represented by word or conduct that they were armed as a threat in order to commit the theft. Hinton v. State, 2010 Ark. App. 341 (2010).

Defendant's convictions for two counts of aggravated burglary were proper because defendant's argument that there was no direct proof on the record of defendant holding a gun was without merit since substantial circumstantial evidence supported a finding of guilt, either as a principal or an accomplice, as defined in subdivision (2) of this section. A neighbor verified that one of the intruders had a gun, the victim told the officers that the intruders hid their guns in the closet, where two guns were found, and both intruders were charged in the same instrument, implicating accomplice liability; that provided substantial evidence supporting the finding that the intruders at minimum represented by word or conduct that they were armed as a threat. Hinton v. State, 2010 Ark. App. 341 (2010).

Defendant's convictions for breaking or entering, in violation of § 5-39-202(1), and theft of property, in violation of § 5-36-103(a)(1), were supported by the evidence because defendant's unlawful presence near a storage shed, flight from the victim, and association with persons involved in the crimes suggested that defendant jointly participated in the crimes under subdivision (a)(2) of this section. Goforth v. State, 2010 Ark. App. 735 (2010).

Trial court did not err in denying defendant's motion for a directed verdict during a trial for first-degree murder as an accomplice, in violation of subsection (2) of this section, because a codefendant testified that defendant hired the codefendant to murder his wife; the state presented the testimony of five witnesses concerning the fear of defendant's wife that he would kill her. Camp v. State, 2011 Ark. 155, 381 S.W.3d 11 (2011).

Substantial evidence supported a juvenile's second-degree battery disposition based on accomplice liability under subsection (2) of this section because a codefendant testified that the juvenile solicited and encouraged the plan to beat her boyfriend, who she suspected of cheating; the juvenile could be found guilty of the conduct of her accomplices who threw the punches. L.C. v. State, 2012 Ark. App. 666, 424 S.W.3d 887 (2012).

There was substantial evidence to support convictions for two aggravated-robbery counts based on accomplice liability where defendant was in a car moving away from the robbery scene, he was found with roughly the same amount of money that was stolen in the robbery, and he used a false name. Moreover, one of the vehicle's passengers was wearing clothing that matched the description of the perpetrator. Davis v. State, 2013 Ark. App. 658, 430 S.W.3d 190 (2013).

Because there was evidence that defendant’s accomplice caused injury to the victim using a deadly weapon, and because the jury was instructed on accomplice liability, there was sufficient evidence presented to support defendant’s second-degree battery conviction as the baseball bat swung by the accomplice, while not specifically designed for the purpose of inflicting death or serious physical injury, could clearly be used in a manner capable of causing death or serious physical injury when it was swung at the victim with the intent to strike her, and did strike her and fracture her hand. Wimbley v. State, 2014 Ark. App. 405, 437 S.W.3d 132 (2014).

Trial court did not err in denying defendant's motions for a directed verdict based on the ground that there was insufficient evidence to corroborate an accomplice's testimony where defendant admitted that he had been in the car with the individuals who carried out the robberies, a video showed him on a shopping trip to buy hoodies one hour before the armed robberies, and the act of buying the hoodies was a substantial step toward commission of the crimes. Willis v. State, 2018 Ark. App. 199, 546 S.W.3d 550 (2018).

Substantial evidence supported defendant's convictions as an accomplice to first-degree murder and aggravated robbery as defendant was in the proximity of the crime, a video put defendant inside the victim's home shortly before the video tended to establish the victim had been killed, and he had the opportunity to aid in the commission of the crime. Jackson v. State, 2018 Ark. App. 330, 552 S.W.3d 55 (2018).

Innocent Agents.

One is no less guilty of the commission of a crime because he uses the overt conduct of an innocent agent. Parnell v. State, 323 Ark. 34, 912 S.W.2d 422 (1996).

Defendant properly held guilty of rape for forcing his adopted children to engage in sexual relations, even though the two children themselves were not guilty of that crime. Parnell v. State, 323 Ark. 34, 912 S.W.2d 422 (1996).

Instructions.

For cases discussing jury instructions concerning an accessory's liability, see Burnett v. State, 80 Ark. 225, 96 S.W. 1007 (1906); Witherspoon v. State, 179 Ark. 647, 17 S.W.2d 307 (1929); Simmons v. State, 184 Ark. 373, 42 S.W.2d 549 (1931); London v. State, 204 Ark. 767, 164 S.W.2d 988 (1942); Fleeman v. State, 204 Ark. 772, 165 S.W.2d 62 (1942); Fitzhugh v. State, 207 Ark. 117, 179 S.W.2d 173 (1944), superseded by statute as stated in, Fight v. State, 314 Ark. 438, 863 S.W.2d 800 (1993); Roberts v. State, 254 Ark. 39, 491 S.W.2d 390 (1973); Parker v. State, 258 Ark. 880, 529 S.W.2d 860 (1975) (preceding decisions under prior law).

Because the status of the driver of the car and the juvenile who gave directions to the victim's house as accomplices was a mixed question of law and fact, the trial court properly did not instruct the jury that they were accomplices as a matter of law as agreeing to drive defendant and the accomplice to the victim's house with no questions asked did not conclusively show that the driver knew about or participated in the robbery or battery; it was the role of the jury to determine whether the juvenile had to have known that the robbery and battery were about to occur; and no testimony showed beyond dispute that either the driver or the juvenile knew of defendant's plan to rob the victim or that they encouraged him to shoot the victim. West v. State, 2017 Ark. App. 416, 530 S.W.3d 355 (2017).

Venue.

Action against accessory for acts in another county was properly brought in county where theft occurred as the acts of the accessory were the same as the principal. State v. Reeves, 246 Ark. 1187, 442 S.W.2d 229 (1969) (decision under prior law).

Cited: Estate of Sargent v. Benton State Bank, 279 Ark. 402, 652 S.W.2d 10 (1983); Berry v. State, 290 Ark. 223, 718 S.W.2d 447 (1986); Heffernan v. Lockhart, 834 F.2d 1431 (8th Cir. 1987); Wilford v. State, 300 Ark. 185, 777 S.W.2d 855 (1989); Wilson v. State, 301 Ark. 342, 783 S.W.2d 852 (1990); Clements v. State, 303 Ark. 319, 796 S.W.2d 839 (1990); Wofford v. State, 44 Ark. App. 94, 867 S.W.2d 181 (1993); Ramsey v. State, 2010 Ark. App. 836, 378 S.W.3d 797 (2010); Shelter Mut. Ins. Co. v. Lovelace, 2020 Ark. 93, 594 S.W.3d 84 (2020).

5-2-403. Accomplices.

  1. A person is an accomplice of another person in the commission of an offense if, with the purpose of promoting or facilitating the commission of an offense, the person:
    1. Solicits, advises, encourages, or coerces the other person to commit the offense;
    2. Aids, agrees to aid, or attempts to aid the other person in planning or committing the offense; or
    3. Having a legal duty to prevent the commission of the offense, fails to make a proper effort to prevent the commission of the offense.
  2. When causing a particular result is an element of an offense, a person is an accomplice of another person in the commission of that offense if, acting with respect to that particular result with the kind of culpable mental state sufficient for the commission of the offense, the person:
    1. Solicits, advises, encourages, or coerces the other person to engage in the conduct causing the particular result;
    2. Aids, agrees to aid, or attempts to aid the other person in planning or engaging in the conduct causing the particular result; or
    3. Having a legal duty to prevent the conduct causing the particular result, fails to make a proper effort to prevent the conduct causing the particular result.

History. Acts 1975, No. 280, § 303; A.S.A. 1947, § 41-303.

Research References

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Law, 1 U. Ark. Little Rock L.J. 153.

Case Notes

In General.

There is no distinction between the criminal liability of an accomplice and the person who actually commits the offense. Riggins v. State, 317 Ark. 636, 882 S.W.2d 664 (1994).

Subsection (a) applies in the felony-murder context when an accomplice has the purpose of promoting or facilitating the underlying felony that results in death, whereas subsection (b) applies when the issue is whether the accomplice intended the results of his actions with criminal culpability, that is, intended the death itself. Jones v. State, 336 Ark. 191, 984 S.W.2d 432 (1999), appeal dismissed, — Ark. —, — S.W.3d —, 2000 Ark. LEXIS 148 (Mar. 16, 2000).

Accessories.

The former distinction between principals and accessories was abolished. Fleeman v. State, 204 Ark. 772, 165 S.W.2d 62 (1942); McClure v. State, 214 Ark. 159, 215 S.W.2d 524 (1948); Trotter v. State, 237 Ark. 820, 377 S.W.2d 14 (1964), cert. denied, Trotter v. Arkansas, 379 U.S. 890, 85 S. Ct. 164 (1964); Ballew v. State, 246 Ark. 1191, 441 S.W.2d 453 (1969); Miller v. State, 253 Ark. 1060, 490 S.W.2d 445 (1973) (preceding decisions under prior law).

An accessory before the fact is an accomplice. Tyler v. State, 265 Ark. 822, 581 S.W.2d 328 (1979).

The present criminal code treats the concept of accessories differently from the common law and is consistent with the weight of authority. Under present law an accessory before the fact is an accomplice, and one who was formerly an accessory after the fact is now guilty of a separate crime, i.e., hindering apprehension and prosecution. Ritchie v. State, 31 Ark. App. 177, 790 S.W.2d 919 (1990).

An accessory before the fact is now referred to as an accomplice, and one who was formerly an accessory after the fact is now guilty of a separate crime under § 5-54-105 — hindering apprehension and prosecution. Fight v. State, 314 Ark. 438, 863 S.W.2d 800 (1993).

Trial court properly terminated the parental rights of the mother and father under § 9-27-341 and found that each parent, either as the offender or as the accomplice, had committed a felony battery against a grandson of the mother because the mother's story that she was not involved was implausible considering the medical testimony; termination was in the child's best interests under § 9-27-341(b)(3)(A)(i) and (ii) given that the child was a dependent-neglected child under § 9-27-303(15)(A) and one purpose of § 9-27-302(2)(B) was to protect a juvenile's safety. Todd v. Ark. Dep't of Human Servs., 85 Ark. App. 174, 151 S.W.3d 315 (2004).

Accomplice Testimony.

Where defendant's friend testified that defendant tried to rob the victim in his truck and shot him when he resisted, defendant's fingerprints were found on the truck and the blood on the gun matched defendant's DNA. Even if the friend was deemed an accomplice for purposes of this section, the evidence was sufficient to connect defendant to the offense. Bush v. State, 374 Ark. 506, 288 S.W.3d 658 (2008).

Evidence to corroborate a witness's testimony was not required because defendant failed to demonstrate that the witness was an accomplice; first, the witness testified that he was merely present in the vehicle and this testimony was unrefuted, second, the circuit court did not find him to be an accomplice at law, and finally, the appellate court had no knowledge of whether the jury decided if the witness was an accomplice. Farmer v. State, 2019 Ark. App. 331 (2019).

Even assuming the witness was an accomplice, there was independent evidence tending to connect defendant with attempted capital murder, unlawful discharge of a firearm from a vehicle, and fleeing, as his letters and call to the witness were consistent with testimony that defendant was the shooter, and the jury could have found that defendant's alleged actions in firing the assault rifle at the officer and telling the driver to go aided and encouraged the driver in fleeing from the officer. Farmer v. State, 2019 Ark. App. 331 (2019).

Burden of Proof.

A person must first be found to be an accomplice under this section for the requirement of corroborative evidence to come into play under § 16-89-111(e)(1); it is the burden of the defendant to prove that a witness is an accomplice whose testimony must be corroborated. Rockett v. State, 319 Ark. 335, 891 S.W.2d 366 (1995).

Buyer of Illicit Drugs.

A buyer of illicit drugs is not an accomplice of the seller. Talley v. State, 312 Ark. 271, 849 S.W.2d 493 (1993).

Culpable Activities.

Where persons combined to do an unlawful thing, if the act of one proceeding according to the common plan terminated in a criminal result, even though not the particular result intended, all were liable. Carr v. State, 43 Ark. 99 (1884); Dorsey v. State, 219 Ark. 101, 240 S.W.2d 30 (1951), cert. denied, Dorsey v. Arkansas, 342 U.S. 851, 72 S. Ct. 80 (1951) (preceding decisions under prior law).

All who procured, participated in, or assented to the commission of a misdemeanor, were punishable as principals. Foster v. State, 45 Ark. 361 (1885); Fortenbury v. State, 47 Ark. 188, 1 S.W. 58 (1886); Crocker v. State, 49 Ark. 60, 4 S.W. 197 (1887). See also Miller v. State, 55 Ark. 188, 17 S.W. 719 (1891) (preceding decisions under prior law).

One who was present and aiding and abetting in the commission of a crime could be indicted for that crime, though he did not do the act necessary to commit the crime, nor attempt to do so. Hunter v. State, 104 Ark. 245, 149 S.W. 99 (1912) (decision under prior law).

One who counseled and procured the commission of an offense though absent at time act was committed, could be charged in the indictment with doing the act. McClure v. State, 214 Ark. 159, 215 S.W.2d 524 (1948) (decision under prior law).

A defendant could be convicted of being an accessory before the fact for involuntary manslaughter, if he sat in a car and allowed the driver to drive the car in a drunken and reckless manner, which resulted in death to another individual. Lewis v. State, 220 Ark. 914, 251 S.W.2d 490 (1952), superseded by statute as stated in, Fight v. State, 314 Ark. 438, 863 S.W.2d 800 (1993) (decision under prior law).

All of the participants in a crime which resulted in a second crime were equally guilty of the second crime. Stewart v. State, 257 Ark. 753, 519 S.W.2d 733, cert. denied, 423 U.S. 859, 96 S. Ct. 113, 46 L. Ed. 2d 86 (1975) (decision under prior law).

Where there was substantial evidence to show that the defendant not only stood by, but aided, abetted and assisted in the commission of an offense, he could not defend on the ground that he was a mere bystander. Fant v. State, 258 Ark. 1015, 530 S.W.2d 364 (1975) (decision under prior law).

Where the defendant accompanied those who actually committed the offense, supplied them with an instrument used to commit the offense, and aware of the likelihood of the commission of a crime, she brought herself within the terms of § 5-2-402 and this section, she was properly convicted. Hallman v. State, 264 Ark. 900, 575 S.W.2d 688 (1979).

Defendant who helped others commit a crime was not an accomplice to crime where he had no knowledge that the activities constituted a crime. Martinez v. State, 269 Ark. 231, 601 S.W.2d 576 (1980).

Defendant's conduct in helping to plan crime and disposing of incriminating evidence made her an accomplice as a matter of law under this section. Roleson v. State, 272 Ark. 346, 614 S.W.2d 656 (1981).

This section does not contemplate that a person is an accomplice only if he is present at the scene of the crime; no such construction can be placed on the statute's plain language; therefore, a defendant is not precluded from being charged as an accomplice to crime merely because she was not present when the crime took place. Roleson v. State, 277 Ark. 148, 640 S.W.2d 113 (1982).

Where the evidence at most indicated that the witness may have had reason to suspect that the defendants were up to no good, the evidence was not sufficient to establish that the witness should be held to be an accomplice, since suspicion alone is not enough to make a witness an accomplice as a matter of law. Perry v. State, 277 Ark. 357, 642 S.W.2d 865 (1982).

A person need not take an active part in an offense to be convicted of such if the person accompanied the person or persons who actually committed the offense and assisted in such commission. Henry v. State, 278 Ark. 478, 647 S.W.2d 419 (1983), cert. denied, Henry v. Arkansas, 464 U.S. 835, 104 S. Ct. 121 (1983).

One who merely introduces a buyer to a seller cannot be convicted of delivery of the article to be sold, or of possession with intent to deliver; however, where the defendant was an active participant in the transaction, he was an accomplice and was liable for the criminal conduct of the other participants. Yent v. State, 9 Ark. App. 356, 660 S.W.2d 178 (1983).

The term “accomplice” does not embrace one who had guilty knowledge or who is morally delinquent; mere presence, acquiescence, silence or knowledge that a crime is being committed, in the absence of some legal duty to act, concealment or knowledge or failure to inform officers of the law, is not sufficient to make an accomplice. Robinson v. State, 11 Ark. App. 18, 665 S.W.2d 890 (1984).

Presence of an accused in the proximity of a crime, opportunity, and association with a person involved in the crime in a manner suggestive of joint participation are relevant factors in determining the connection of an accomplice with the crime. Ashley v. State, 22 Ark. App. 73, 732 S.W.2d 872 (1987); Alford v. State, 33 Ark. App. 179, 804 S.W.2d 370 (1991).

Mere presence, acquiescence, silence, or knowledge that crime is being committed, in absence of legal duty to act, or failure to inform officers of law is not sufficient to make one an accomplice. Scherrer v. State, 294 Ark. 227, 742 S.W.2d 877 (1988).

Mere presence at the scene of the crime or failure to inform law enforcement officers of a crime does not make one an accomplice as a matter of law. Pilcher v. State, 303 Ark. 335, 796 S.W.2d 845 (1990).

A defendant can be an accomplice to murder even though the defendant's participation in the murder is, compared to that of the principal, relatively passive. Thomas v. State, 312 Ark. 158, 847 S.W.2d 695 (1993).

No accomplice criminal responsibility results from supplying an intoxicant to one allegedly responsible as a principal for violations of § 5-10-104(a)(1), § 5-13-204(a), or § 27-53-101(a)(1). Fight v. State, 314 Ark. 438, 863 S.W.2d 800 (1993).

A person need not take an active part in an offense to be convicted in violation of this section if the person accompanied the person or persons who actually committed the offense and assisted in such commission. Gibson v. State, 316 Ark. 705, 875 S.W.2d 58 (1994).

Given defendant's presence and his willingness to make change and comment on the quality of the drugs being purchased, it is apparent he was aiding or attempting to aid in the consummation of the sales; the evidence thus was sufficient to show he was an accomplice. Jacobs v. State, 317 Ark. 454, 878 S.W.2d 734 (1994).

Stolen goods recovered from a dwelling shared by an accomplice is not sufficient corroboration standing alone of accomplice liability; however, possession of stolen property by the accused is a proper circumstance to consider in determining whether there was evidence tending to connect him with the crimes of burglary and grand larceny; the presence of an accused in the proximity of a crime, opportunity, and association with a person involved in the crime in a manner suggestive of joint participation are relevant facts in determining the connection of an accomplice with the crime; a person's flight to avoid arrest may be considered as corroboration of evidence tending to establish his guilt. Passley v. State, 323 Ark. 301, 915 S.W.2d 248 (1996).

Relevant factors in determining the connection of an accomplice to a crime are the presence of the accused in proximity of the crime, the opportunity to commit the crime, and an association with a person involved in the crime in a manner suggestive of joint participation. Carter v. State, 324 Ark. 249, 921 S.W.2d 583 (1996).

Where more than one weapon was fired and the State presented evidence by which the jury could conclude that defendant aided in the commission of the murder and battery, the defendant's culpability was not affected by which bullets actually killed one victim and wounded another. Carter v. State, 324 Ark. 249, 921 S.W.2d 583 (1996).

Defendant, as an accomplice to arson, did not have to have a “conscious object” to commit arson. Reed v. State, 326 Ark. 27, 929 S.W.2d 703 (1996).

Even though “mere presence” does not make one an accomplice, there can be enough presence to constitute probable cause to arrest. State v. Bell, 329 Ark. 422, 948 S.W.2d 557 (1997).

Under principles of accomplice liability, defendant's culpability was not diminished by the fact that the accomplice was not also in possession of a weapon. Releford v. State, 59 Ark. App. 136, 954 S.W.2d 295 (1997).

Duress.

The trial court did not err by refusing to declare witness an accomplice as a matter of law; the evidence was such that it was appropriate for the jury to decide whether his participation was under duress under § 5-2-208 and thus that it was not his purpose to aid in the commission of the crime. Cole v. State, 323 Ark. 8, 913 S.W.2d 255 (1996).

Employment Relationship.

Where an employee killed his employer's neighbor when the neighbor pointed a gun at the employer, the employee was liable for manslaughter and his employer was an accomplice to that manslaughter. Costner v. Adams, 82 Ark. App. 148, 121 S.W.3d 164 (2003).

Evidence.

The fact that a witness was suspected, arrested and bound over to await the action of the grand jury did not show that she was an accomplice in the commission of the crime where she was never indicted for the offense and there was nothing in the evidence to warrant an indictment against her. Rogers v. State, 136 Ark. 161, 206 S.W. 152 (1918) (decision under prior law).

Evidence sufficient to support conviction of accessory. Warford v. State, 214 Ark. 423, 216 S.W.2d 781 (1949); Kurck v. State, 242 Ark. 742, 415 S.W.2d 61 (1967) (preceding decisions under prior law) Ashley v. State, 22 Ark. App. 73, 732 S.W.2d 872 (1987); Cassell v. Lockhart, 886 F.2d 178 (8th Cir. 1989), cert. denied, 493 U.S. 1092, 110 S. Ct. 1164 (1990); Hooks v. State, 303 Ark. 236, 795 S.W.2d 56 (1990); Standridge v. Standridge, 304 Ark. 364, 803 S.W.2d 496 (1991); Williams v. State, 329 Ark. 8, 946 S.W.2d 678 (1997).

Evidence was sufficient to prove intent requisite for conviction. Murrah v. State, 253 Ark. 432, 486 S.W.2d 897 (1972), overruled in part, Waters v. State, 271 Ark. 33, 607 S.W.2d 336 (Ark. 1980) (decision under prior law).

Question as to whether the defendant was an accomplice was properly submitted to the jury. Wilson v. State, 261 Ark. 820, 552 S.W.2d 223 (1977); Pilcher v. State, 303 Ark. 335, 796 S.W.2d 845 (1990).

Evidence was sufficient to support conviction as accomplice on one count but not for the other since there was no evidence showing that he was aware that a crime was being committed. Martinez v. State, 269 Ark. 231, 601 S.W.2d 576 (1980).

Concerted action to commit an unlawful act may be shown by circumstantial evidence, without direct proof of a conspiracy by prior agreement; hence, defendant could properly be found guilty of offense not only by her own conduct but also by that of her two accomplices. King v. State, 271 Ark. 417, 609 S.W.2d 32 (1980).

There was sufficient evidence to support conviction. Swaite v. State, 272 Ark. 128, 612 S.W.2d 307 (1981); Henry v. State, 278 Ark. 478, 647 S.W.2d 419 (1983), cert. denied, Henry v. Arkansas, 464 U.S. 835, 104 S. Ct. 121 (1983); Bell v. State, 334 Ark. 285, 973 S.W.2d 806 (1998).

Where evidence concerning the defendant showed only that he was present at the scene of crime and that he had on previous occasions heard his brother discuss his intentions to commit crime, the trial court's finding that the defendant knowingly participated in the crime was clearly against the preponderance of the evidence. Estate of Sargent v. Benton State Bank, 279 Ark. 402, 652 S.W.2d 10 (1983).

Defendant has burden of proving witness is an accomplice whose testimony must be corroborated. Scherrer v. State, 294 Ark. 227, 742 S.W.2d 877 (1988); Pilcher v. State, 303 Ark. 335, 796 S.W.2d 845 (1990); Vickers v. State, 313 Ark. 64, 852 S.W.2d 787 (1993).

Defendant's presence at the crime scene and knowledge of the crime was shown, but such was insufficient to make him an accomplice. Nelson v. State, 306 Ark. 456, 816 S.W.2d 159 (1991).

Evidence held sufficient to sustain a conviction for first degree murder based on accomplice liability. Riggins v. State, 317 Ark. 636, 882 S.W.2d 664 (1994); Britt v. State, 344 Ark. 13, 38 S.W.3d 363 (2001).

Evidence of shooting held sufficient to support first degree murder conviction. Robinson v. State, 318 Ark. 33, 883 S.W.2d 469 (1994).

Where defendant's incriminating statement allegedly was uttered after a shooting murder occurred, it was not “in furtherance” of a crime, and was admissible because it tended to show the effect on the listener, i.e., instigating defendant's immediate response showing his approval of the shooting and tending to prove defendant's status as an accomplice. Cole v. State, 323 Ark. 8, 913 S.W.2d 255 (1996).

Evidence held sufficient to establish the joint nature of appellant's activities with the co-defendants. Passley v. State, 323 Ark. 301, 915 S.W.2d 248 (1996).

Where witness lured murder victim to the murder site, but there was no evidence that witness had knowledge of the crime that was going to occur, the facts did not show conclusively that witness was an accomplice as a matter of law. King v. State, 323 Ark. 671, 916 S.W.2d 732 (1996).

Evidence sufficient to support conviction for capital murder based on accomplice liability. Allen v. State, 324 Ark. 1, 918 S.W.2d 699 (1996).

Evidence determining defendant's liability for crime as an accomplice need only be sufficient to show he encouraged or aided in the commission of the crime. Cooper v. State, 324 Ark. 135, 919 S.W.2d 205 (1996), overruled, MacKintrush v. State, 334 Ark. 390, 978 S.W.2d 293 (1998), overruled in part, MacKintrush v. State, 334 Ark. 390, 978 S.W.2d 293 (1998).

Evidence of first-degree murder held sufficient where an accomplice carried a .38-caliber handgun on the night of the murder, and expert testimony indicated that the bullets recovered from the victim were fired from such a weapon. Matthews v. State, 56 Ark. App. 141, 940 S.W.2d 498 (1997).

The evidence was sufficient to show that defendant possessed the requisite knowledge and intent and was an accomplice in three murders. Thomas v. State, 330 Ark. 442, 954 S.W.2d 255 (1997).

Evidence was insufficient to establish the defendant's accomplice liability for delivery of a counterfeit substance where a police officer testified that (1) he was working undercover with two other individuals, purchasing illegal drugs, and they drove up to defendant, who was standing on a street corner, and asked if he had a twenty-dollar rock of cocaine that he would sell to them, (2) the defendant answered, “No” and then looked over to three individuals seated on a park bench and asked if they had any drugs to sell, (3) one of those individuals stood up, approached the car and handed the officer three wrapped rocks of what appeared to be rock cocaine, and (4) when the officer returned to the police station and unwrapped the rocks, he found they were only gravel. Heard v. State, 71 Ark. App. 377, 32 S.W.3d 30 (2000).

In a murder prosecution, the defendant was not entitled to a directed verdict on the basis that the only witness against him was an accomplice to the crime and that his testimony was not corroborated by additional evidence as there was no uncontroverted evidence that the witness aided, agreed to aid, or attempted to aid in planning or engaging in the conduct that resulted in the victim's death, the witness had no legal duty to prevent the defendant's conduct which resulted in the victim's death, and, therefore, the trial court properly submitted the issue to the jury. Raynor v. State, 343 Ark. 575, 36 S.W.3d 315 (2001).

In accord with Riggins v. State, 317 Ark. 636, 882 S.W.2d 664 (1994). See Britt v. State, 344 Ark. 13, 38 S.W.3d 363 (2001).

Defendant could not be convicted of being an accomplice to the manufacture of methamphetamine, based on her possession and sale of some of its ingredients, when there was no evidence that methamphetamine had been manufactured. Ford v. State, 75 Ark. App. 126, 55 S.W.3d 315 (2001).

Evidence was sufficient to support a conviction for capital murder based on accomplice liability where it was shown that defendant was involved in the planning of the murder, that he helped the killer set up his alibi, and that he selected the grave site and helped dig the grave where the victim's body was to be buried. Davis v. State, 350 Ark. 22, 86 S.W.3d 872 (2002).

There was sufficient evidence to support a conviction for manufacturing methamphetamine based on accomplice liability where the evidence showed that drug manufacturing was taking place on defendant's property, defendant admitted knowledge of the operation, and a co-defendant also testified regarding defendant's knowledge of the operation. George v. State, 356 Ark. 345, 151 S.W.3d 770 (2004).

There was sufficient evidence to support the verdict finding the first defendant guilty of first-degree murder where (1) the first defendant gave two recorded statements in which she admitted to being at the crime scene, (2) in one of her statements, the first defendant told the police that she intended to kill the victim but was unable to muster the strength and that she handed the murder weapon to the second defendant after he stated that he would kill the victim, thus, confessing to either murdering or aiding in the murder of the victim, and (3) the victim died as a result of a homicide. Woolbright v. State, 357 Ark. 63, 160 S.W.3d 315 (2004).

Evidence was sufficient to sustain a conviction for attempted capital murder where there was substantial evidence that defendant was not merely engaged in the “act of driving”; the victim, a police officer, testified that the driver attempted to run him over, he observed a flash from the passenger side window, he realized that he had heard a gunshot, and an officer identified defendant as the driver of the vehicle. Clark v. State, 358 Ark. 469, 192 S.W.3d 248 (2004).

Although the state conceded that it was the principal, and not defendant, who fired the fatal shot, evidence was sufficient to prove that defendant had the purpose of promoting or facilitating the commission of the offense and that he aided, agreed to aid, or attempted to aid the principal in the commission of the murder. Woods v. State, 363 Ark. 272, 213 S.W.3d 627 (2005).

Court did not err in denying defendant's motions for a directed verdict because defendant's silence, knowledge, concealment, and failure to inform law enforcement officers of the sexual assaults committed against her daughter by two men who had resided with defendant made her an accomplice to those assaults under subdivision (a)(1) of this section; there was no doubt that defendant was aware that the men were raping her daughter at various times when the girl was between eight or nine and 15 years of age. Hutcheson v. State, 92 Ark. App. 307, 213 S.W.3d 25 (2005).

Defendant's conviction for theft by receiving was proper as the evidence established that his companion was in the store where the victim worked around the time that her credit card was stolen, defendant presented that credit card at a gas station a short time later, and defendant and his companion tried to purchase over $100 in merchandise; the state provided sufficient evidence to prove that defendant was at least an accomplice in the crime. Henson v. State, 94 Ark. App. 163, 227 S.W.3d 450 (2006).

Evidence was sufficient to convict defendant of first degree murder and theft where, in addition to the testimony of defendant's wife, who was an accomplice, defendant's own statements to the police, his conduct before and after the crime, and statements of the victim's friends regarding her fear of defendant tended to connect him to the crimes; further, although there was no evidence that defendant ever drove victim's Cadillac or had the vehicle in his possession, the jury might have determined that defendant facilitated the theft by leaving the accomplice without a vehicle at the victim's house, and there was evidence that the theft of the Cadillac was part of the plan to murder the victim. MacKool v. State, 365 Ark. 416, 231 S.W.3d 676 (2006).

Defendant's conviction for capital murder was supported by substantial evidence where he served as an accomplice to the murder by directing his brother to “come on down” from the attic because the victim moved, suggesting that his brother needed to finish killing the victim, which he did while defendant watched. Wilson v. State, 365 Ark. 664, 232 S.W.3d 455 (2006).

There was sufficient evidence to support a residential burglary conviction under § 5-39-201 based on defendant's act of helping to remove, transport, and sell stolen items, even though he did not enter a residence himself. Therefore, a motion for a directed verdict was properly denied. Hickman v. State, 99 Ark. App. 363, 260 S.W.3d 747 (2007), rev'd, 372 Ark. 438, 277 S.W.3d 217 (2008).

Pursuant to subsection (b) of this section, the state presented sufficient evidence of premeditation and deliberation: the evidence presented at trial showed that defendant was aware that several individuals desired that the victim be killed; that the killer who stabbed the victim approached defendant on at least three occasions about joining him in committing the killing; that despite his close relationship with the victim, defendant never warned her of any danger; that on the day of the murder, the killer announced to defendant they were going to “make this money”; that defendant rode with the killer and two other individuals to the victim's home; that defendant gained entry to the victim's home; and that defendant was present in the bedroom where the victim's body was found. In addition, defendant fled to Cleveland, Ohio after the crime. Lawshea v. State, 2009 Ark. 600, 357 S.W.3d 901 (2009).

Substantial evidence supported defendant's convictions for aggravated robbery, kidnapping, aggravated assault, theft of property, unlawful discharge of a firearm from a vehicle, and fleeing because while the state did not prove that defendant actually entered a bank, it did provide substantial evidence that he was the driver of the getaway car and thus was an accomplice of the two men who committed the aggravated robbery, kidnapping, and theft of property; while defendant did not personally shoot at an officer's vehicle, his conduct of driving the fleeing vehicle while another person in the car fired the shots sufficiently implicated him as an accomplice to unlawfully discharging a firearm from a vehicle. Barber v. State, 2010 Ark. App. 210, 374 S.W.3d 709 (2010).

State presented sufficient evidence to show that defendant was an accomplice to his traveling companion's crime of robbing a bank because defendant was in proximity of the crime, he had the opportunity to help the companion get away from the bank, and he associated with the companion both immediately before and immediately after the companion robbed the bank; defendant and the companion were traveling together for at least three weeks before the bank robbery, they arrived at the bank separately, defendant left the parking lot as the companion exited the vehicle to rob the bank, and he picked the companion up off the premises. Grissom v. State, 2010 Ark. App. 504 (2010).

Defendant's convictions for breaking or entering, in violation of § 5-39-202(1), and theft of property, in violation of § 5-36-103(a)(1), were supported by the evidence because defendant's unlawful presence near a storage shed, flight from the victim, and association with persons involved in the crimes suggested that defendant jointly participated in the crimes under subdivision (b)(2) of this section. Goforth v. State, 2010 Ark. App. 735 (2010).

Sufficient evidence supported defendant's convictions as an accomplice, as defined in this section, to aggravated robbery and theft of property because defendant was present during the crime, the state established a substantial association between defendant and codefendant, and, based on those linking facts, it was reasonable for the jury to conclude that defendant assisted her codefendant by finding the victim, setting up a meeting, leading the victim to a remote location, assuring the victim would have a substantial amount of cash, moving to the backseat of the car during the robbery, and by encouraging the victim to give codefendant the cash. Ramsey v. State, 2010 Ark. App. 836, 378 S.W.3d 797 (2010).

Trial court did not err in denying defendant's motion for a directed verdict during a trial for first-degree murder as an accomplice, in violation of § 5-10-102(a)(2) and subdivision (a)(1) of this section, because a codefendant testified that defendant hired the codefendant to murder his wife; the state presented the testimony of five witnesses concerning the fear of defendant's wife that he would kill her. Camp v. State, 2011 Ark. 155, 381 S.W.3d 11 (2011).

Judgment finding that appellant was an accomplice to misdemeanor theft of property was affirmed because appellant and the thief stood outside the off-limits locker room together, looked down the hall, went into the locker room together, looked out of and reentered the locker room more than once, and then left the locker room together. T.D. v. State, 2012 Ark. App. 140 (2012).

Substantial evidence supported a juvenile's second-degree battery disposition based on accomplice liability under subdivisions (a)(1)-(2) and (b)(1)-(2) of this section because a codefendant testified that the juvenile solicited and encouraged the plan to beat her boyfriend, who she suspected of cheating; the juvenile could be found guilty of the conduct of her accomplices who threw the punches. L.C. v. State, 2012 Ark. App. 666, 424 S.W.3d 887 (2012).

Evidence was sufficient to support convictions of aggravated robbery, theft of property, aggravated assault, and an enhancement due to the use of a firearm because the victim identified appellant as the principal involved in several crimes and the accomplice under subsection (a) of this sectionas to the theft. The jury did not have to believe testimony from the other participant about appellant's involvement, and there were other factors linking appellant to the crimes; both appellant and the other participant fled the scene, they were both found hiding in the same apartment, and they were both in proximity to a loaded gun and the victim's pants. Bass v. State, 2013 Ark. App. 55 (2013).

Evidence was sufficient to support convictions of aggravated robbery, theft of property, aggravated assault, and an enhancement due to the use of a firearm because the victim identified appellant as the principal involved in several crimes and the accomplice under subsection (a) of this sectionas to the theft. The jury did not have to believe testimony from the other participant about appellant's involvement, and there were other factors linking appellant to the crimes; both appellant and the other participant fled the scene, they were both found hiding in the same apartment, and they were both in proximity to a loaded gun and the victim's pants. Bass v. State, 2013 Ark. App. 55 (2013).

Evidence was sufficient to sustain convictions for capital murder and aggravated robbery because a witness's testimony corroborated that defendant was an accomplice to the aggravated robbery, defendant knew there was a large amount of marijuana at the home, a gun was used during the robbery, and the victim's death occurred during the robbery under circumstances manifesting extreme indifference to the value of human life. Bradley v. State, 2013 Ark. 58, 426 S.W.3d 363 (2013).

There was substantial evidence to support convictions for two aggravated-robbery counts based on accomplice liability where defendant was in a car moving away from the robbery scene, he was found with roughly the same amount of money that was stolen in the robbery, and he used a false name. Moreover, one of the vehicle's passengers was wearing clothing that matched the description of the perpetrator. Davis v. State, 2013 Ark. App. 658, 430 S.W.3d 190 (2013).

Appellant, a juvenile, was improperly adjudicated delinquent of the crime of accomplice to theft of property; there was no direct evidence that appellant took a phone, and circumstantial evidence did not exclude every other reasonable hypothesis consistent with innocence. There was no evidence that he solicited, advised, encouraged, or coerced anyone to take the phone, or that he aided, agreed to aid, or attempted to aid another person in planning or committing a theft, and the possibility that someone else took the phone remained. J.J. v. State, 2014 Ark. App. 267 (2014).

Evidence was sufficient to convict defendant of eight counts of theft for stealing horses, a horse trailer, and tack from a university and to deny her motion for directed verdict because several witnesses testified that defendant planned the thefts, gave a map of the stables to her boyfriend and his friend, provided the use of her truck for the thefts, assisted her boyfriend and his friend in hiding the trailer at her aunt and uncle's home, directed her boyfriend to kill one horse and hide the remaining four horses, and secured a place for her boyfriend and his friend to hide at her daughter's house. Cox v. State, 2014 Ark. App. 321 (2014).

Trial court properly found defendant guilty as an accomplice to the crime of kidnapping because defendant not only accompanied her son to the victim's apartment, she also assisted him in beating her, encouraged him to “get” her, he forcibly exposed the victim to defendant, choked her, and then forced her down the hallway into a bedroom where he raped her orally and vaginally. Singleton-Harris v. State, 2014 Ark. App. 436, 439 S.W.3d 720 (2014).

Evidence was sufficient to convict defendant of theft as an accomplice because defendant asked the complainant to give the back-seat passenger a ride; the back-seat passenger took the complainant's wallet and the $3700 it contained while defendant struggled with the complainant to take her cell phone; it was up to the circuit court to decide whether defendant and the back-seat passenger acted in concert to divert the complainant's attention and steal her money; defendant's account of events differed so significantly from the testimony of other witnesses that the trial court, as the trier of fact, could readily discount her entire testimony; and her attempt to flee from the crime scene was relevant to the issue of guilt. Cosey v. State, 2014 Ark. App. 441, 439 S.W.3d 731 (2014).

Defendant juvenile attempted to aid her boyfriend by shielding his actions and then looking around, she knew he was going to steal, and her actions aided the commission of the theft; the court affirmed defendant's delinquency adjudication for being an accomplice to theft of property based on the sufficient evidence. H.V. v. State, 2014 Ark. App. 607, 447 S.W.3d 619 (2014).

While no witness directly identified defendant as being the actual robber, a person was criminally liable for the conduct of another when he was an accomplice; defendant's car was stopped driving away from a robbery, he had two passengers with him, inside the car was the same amount of money that had been stolen, and the clothing in the car matched the description of what the robber wore, and the jury was permitted to weigh the evidence in reaching its guilty verdict. Richardson v. State, 2014 Ark. App. 679, 449 S.W.3d 718 (2014).

Evidence was sufficient to support convictions for aggravated robbery and capital murder because defendant's intent was inferred from the actions of his accomplice; defendant's statement to police provided direct evidence of the accomplice's intent to commit an aggravated robbery, and his account of how the accomplice murdered the victim by shooting her in the forehead was substantial evidence of causing the death of a person under circumstances manifesting extreme indifference to the value of human life. There was ample proof of defendant's participation as he accompanied others to the victim's residence, persuaded her to open the door, helped search the residence, and collected and kept his own share of the property that was stolen. Conway v. State, 2016 Ark. 7, 479 S.W.3d 1 (2016).

Evidence Sufficient.

Evidence was sufficient to convict defendant of aggravated residential burglary because defendant was an accomplice in the aggravated residential burglary, and, thus, it was irrelevant whether defendant entered the house or not as her accomplice clearly entered the house; defendant was in the vicinity of the crime, she was holding a knife, and, according to the victim's testimony, she ran toward the victim with the knife after the victim chased the accomplice out of his house; and the trial court was not required to believe defendant's version of events that the accomplice never asked defendant to assist with the crime, and her testimony that she would never use a knife in a violent manner. Wilson v. State, 2016 Ark. App. 218, 489 S.W.3d 716 (2016).

There was sufficient evidence that defendant was an accomplice to the crimes of aggravated robbery and capital murder as defendant admitted that he and the codefendants sat in a car planning the theft of beer from a gas station and convenience store and surveillance videos showed that defendant and a codefendant rushed into the store together, that codefendant shot the store clerk, and that defendant attempted to open the cash register, appeared to look around for something to steal, and searched the victim's pockets before fleeing. Williams v. State, 2017 Ark. 287, 528 S.W.3d 839 (2017).

In a case where defendant was convicted of two counts of aggravated robbery, there was sufficient evidence presented to corroborate the accomplice's testimony because defendant told a detective he was at the store on the date of the robbery; surveillance tapes showed defendant, co-defendant, and the accomplice in the store at the same time as the victim, leaving the store immediately after the victim, and leaving the parking lot right behind the victim; defendant's mother testified that the vehicle police were searching for in connection with the aggravated robberies belonged to defendant; and, at trial, the victim's sister identified defendant as the person who committed the aggravated robberies with co-defendant. Foster v. State, 2017 Ark. App. 63, 510 S.W.3d 782 (2017).

Evidence was sufficient to convict under § 5-14-103 where the victim testified that the juvenile and codefendant had forced her into a fieldhouse and that codefendant had touched her on the inside with his finger while the juvenile restrained her by the waist and grabbed her hands, and there was nothing inherently improbable or physically impossible about the testimony. K.B. v. State, 2017 Ark. App. 478, 531 S.W.3d 420 (2017).

Substantial evidence supported defendant's convictions as an accomplice to first-degree murder and aggravated robbery as defendant was in the proximity of the crime, a video put defendant inside the victim's home shortly before the video tended to establish the victim had been killed, and he had the opportunity to aid in the commission of the crime. Jackson v. State, 2018 Ark. App. 330, 552 S.W.3d 55 (2018).

Evidence was sufficient to convict defendant of aggravated robbery either as a principal or as an accomplice because defendant's boyfriend told her they were going to pick up the victim and that he intended to beat him up and take anything that the victim had on him; despite knowing the boyfriend's purpose, defendant still agreed to drive him; substantial corroborating evidence connecting defendant to the crime included two interviews she gave to the police and her written statement, which were admitted at trial; and the victim's death made the offense an aggravated robbery regardless of her knowledge of whether a gun might be used. Vaughan v. State, 2018 Ark. App. 439, 555 S.W.3d 922 (2018).

Grant of Immunity.

A grant of immunity alone does not cause a witness to be an accomplice as a matter of law. Pilcher v. State, 303 Ark. 335, 796 S.W.2d 845 (1990).

Hindering Apprehension and Prosecution.

Hindering apprehension or prosecution is not a lesser included offense of the offense of being an accomplice. Ritchie v. State, 31 Ark. App. 177, 790 S.W.2d 919 (1990).

Information.

Trial court had not erred when it allowed the State to go forward with an accomplice theory even though the information failed to allege such where the information in fact named the offense and the party to be charged, it contained the elements of the offense intended to be charged and it apprised appellant of what he had to be prepared to meet. Polk v. State, 82 Ark. App. 210, 105 S.W.3d 797 (2003).

Instructions.

In prosecution for manslaughter instruction that unless jury believed that defendant was driving the truck at the time of the collision which resulted in death, defendant should be acquitted was properly refused. Fitzhugh v. State, 207 Ark. 117, 179 S.W.2d 173 (1944), superseded by statute as stated in, Fight v. State, 314 Ark. 438, 863 S.W.2d 800 (1993) (decision under prior law).

Jury instruction that, if defendant was found to have aided, abetted or assisted in the perpetration of the crime, his punishment was to be assessed as if he were a principal was erroneous as it equated guilt with punishment. Pickens v. Lockhart, 714 F.2d 1455 (8th Cir. 1983).

Evidence insufficient to find that defendant was entitled to an instruction that witnesses were accomplices as a matter of law; however, their status as accomplices was in dispute and the court should have given instructions on accomplices. Robinson v. State, 11 Ark. App. 18, 665 S.W.2d 890 (1984).

There was no abuse of discretion in the trial court's refusal to give an accomplice instruction, where the alleged accomplice testified that she was at work during the time of the break-in, there was no testimony contradicting this, and she denied that she knew anything about the burglary and theft before the fact, but she lied to the police initially. Hopes v. State, 306 Ark. 492, 816 S.W.2d 167 (1991).

Instruction that a person is criminally responsible for the conduct of another person when he is an accomplice in the commission of an offense and stating that an accomplice is one who directly participates in the commission of an offense or who with the purpose of promoting or facilitating the commission of an offense agrees to aid, aids, or attempts to aid the other person or persons in the planning or committing the offense was consistent with Arkansas Model Criminal Instruction 401 and this section. Misskelley v. State, 323 Ark. 449, 915 S.W.2d 702 (1996).

According to the evidence presented at trial, there was a plan between defendant and the accomplice to kill a drug dealer during the drug transaction, defendant admitted to driving the truck to a remote location, there was also some evidence that defendant was in a scheme to murder the victim for a fee, defendant lied about the victim's whereabouts, and defendant fled from the scene; thus, there was ample evidence to rationally support the giving of an instruction on the lesser-included offense of first-degree murder. Grillot v. State, 353 Ark. 294, 107 S.W.3d 136 (2003).

Although there was sufficient evidence to support a burglary conviction, a trial court committed reversible error when it failed to give a disputed accomplice jury instruction; the evidence showed that a witness in the case did more than just acquiesce to the burglary and fail to notify police. Specifically, the witness accompanied defendant and an associate when they left the scene of the crime; the witness knew that the stolen merchandise was transported in defendant's van; the witness accepted a stolen check from the associate; he was present when the stolen merchandise was sold; and he did not reveal the information to authorities until he was arrested for using the stolen check. Hickman v. State, 99 Ark. App. 363, 260 S.W.3d 747 (2007), rev'd, 372 Ark. 438, 277 S.W.3d 217 (2008).

During defendant's trial for aggravated robbery, theft, and battery, the trial court did not err in instructing the jury on accomplice liability under subsection (a) of this section; the jury could have considered defendant a principal or an accomplice to the persons involved in a “drug deal gone bad.” Taylor v. State, 2013 Ark. App. 146 (2013).

Trial court did not err in instructing the jury on accomplice liability during defendant's murder and kidnapping trial because testimony from five witnesses supported the theory that he was either a principal or an accomplice with his son; defendant's cell mate testified that defendant confessed to killing one victim and concealing the other three homicides from law enforcement. Green v. State, 2013 Ark. 497, 430 S.W.3d 729 (2013).

Intent.

Defendant, as an accomplice to arson, did not have to have a “conscious object” to commit arson. Reed v. State, 326 Ark. 27, 929 S.W.2d 703 (1996).

Liability.

One need not actually take an active part in an offense to be convicted of that charge. Hallman v. State, 264 Ark. 900, 575 S.W.2d 688 (1979).

When two or more persons assist one another in the commission of a crime, each is an accomplice and criminally liable for the conduct of both. Parker v. State, 265 Ark. 315, 578 S.W.2d 206 (1979).

Each participant in a crime is liable for his own conduct but he cannot disclaim responsibility for all of the conduct in a particular episode because he did not personally take part in every act which it took to accomplish the crime. Parker v. State, 265 Ark. 315, 578 S.W.2d 206 (1979); Ruiz v. State, 265 Ark. 875, 582 S.W.2d 915 (1979); Alford v. State, 33 Ark. App. 179, 804 S.W.2d 370 (1991).

There is no distinction between the criminal responsibility of an accomplice and the person who actually commits the offense. Redman v. State, 265 Ark. 774, 580 S.W.2d 945 (1979); Swaite v. State, 272 Ark. 128, 612 S.W.2d 307 (1981).

An accomplice's liability does not attach until the state proves that the substantive crime was completed; therefore, where defendant was charged as an accomplice to an offense, he could only be convicted if the state proved the crime was committed. Savannah v. State, 7 Ark. App. 161, 645 S.W.2d 694 (1983).

When two or more persons assist one another in the commission of a crime, each is an accomplice and is criminally liable for the conduct of both, and a participant cannot disclaim responsibility because he did not personally take part in every act that went to make up the crime as a whole. Booker v. State, 32 Ark. App. 94, 796 S.W.2d 854 (1990).

Although defendant never actually possessed the gun, he was liable as an accomplice because he assisted and actively participated in the crime. Crutchfield v. State, 306 Ark. 97, 812 S.W.2d 459 (1991).

As the proof at trial was amply sufficient in illustrating the joint nature of defendant's and co-defendant's activities, the fact that the co-defendant's shots may have actually inflicted the victim's fatal injuries and a bystander's leg wounds was irrelevant to the question of defendant's criminal liability for the offenses. Purifoy v. State, 307 Ark. 482, 822 S.W.2d 374 (1991).

So long as a defendant renders the requisite aid or encouragement to the principal with regard to the offense at issue, the defendant is an accomplice even though the defendant may have rendered the encouragement or aid reluctantly. Thomas v. State, 312 Ark. 158, 847 S.W.2d 695 (1993).

When two people assist one another in the commission of a crime, each is an accomplice and criminally liable for the conduct of both; one cannot disclaim accomplice liability simply because he did not personally take part in every act that went to make up the crime as a whole. Henson v. State, 94 Ark. App. 163, 227 S.W.3d 450 (2006).

Defendant's conviction for capital murder, in violation of § 5-10-101(a)(4), was proper because there was substantial evidence that defendant was guilty as an accomplice pursuant to §§ 5-2-401, 5-2-402(2) and subdivisions (b)(1) and (2) of this section, and his argument that there was insufficient evidence of his acting as an accomplice by encouraging, aiding, or assisting the killer in stabbing the victim, was not preserved for review. Lawshea v. State, 2009 Ark. 600, 357 S.W.3d 901 (2009).

Because the juvenile was not “charged with supervision of a minor” as set forth in § 5-27-205, she was not in the class of persons who could commit the offense of first-degree endangering the welfare of a minor, and thus she could not be principally culpable for committing the offense. The juvenile's sister, and not the juvenile, was identified as the babysitter of the one-year-old child. And because the juvenile, and not her sister, was the person who sparked the stun gun at the child, she could not be charged as an accomplice and therefore her adjudication was reversed. K.F. v. State, 2019 Ark. App. 312, 578 S.W.3d 324 (2019).

Question of Law or Fact.

Whether a witness was an accomplice to an alleged crime was generally a question of fact for the jury; if the facts were in dispute, it was a mixed question of law and fact. Rogers v. State, 136 Ark. 161, 206 S.W. 152 (1918) (decision under prior law).

It was error to refuse to submit to the jury the question of whether or not the state's witnesses were accomplices. Satterfield v. State, 245 Ark. 337, 432 S.W.2d 472 (1968) (decision under prior law).

Where the testimony of the witnesses showed conclusively that they were accomplices and took part in the conspiracy, the question of whether they were accomplices for purposes of § 16-89-111 is one of law. Williams v. State, 328 Ark. 487, 944 S.W.2d 822 (1997).

Testimony.

Defendant's convictions for capital murder and kidnapping were appropriate because a witness' testimony alone was enough to corroborate an accomplice's testimony against defendant. Evidence showed that bullets found near the victims' bodies were fired from a .22 caliber rifle and a .38 caliber revolver and according to another witness, an individual wanted to buy a .38 caliber revolver from defendant; essentially, when all of the evidence was viewed in a light most favorable to the state, it tended to connect defendant to the commission of the crimes. Gilcrease v. State, 2009 Ark. 298, 318 S.W.3d 70 (2009).

Cited: Bowles v. State, 265 Ark. 457, 579 S.W.2d 596 (1979); Brewer v. State, 271 Ark. 810, 611 S.W.2d 179 (1981); Lear v. State, 278 Ark. 70, 643 S.W.2d 550 (1982); Blann v. State, 15 Ark. App. 364, 695 S.W.2d 382 (1985); Heffernan v. Lockhart, 834 F.2d 1431 (8th Cir. 1987); Wilson v. State, 25 Ark. App. 126, 753 S.W.2d 287 (1988); Perkins v. State, 298 Ark. 322, 767 S.W.2d 514 (1989); Wilford v. State, 300 Ark. 185, 777 S.W.2d 855 (1989); Wilson v. State, 301 Ark. 342, 783 S.W.2d 852 (1990); Clements v. State, 303 Ark. 319, 796 S.W.2d 839 (1990); Wofford v. State, 44 Ark. App. 94, 867 S.W.2d 181 (1993); Kennedy v. State, 325 Ark. 3, 923 S.W.2d 274 (1996); Peete v. State, 59 Ark. App. 186, 955 S.W.2d 708 (1997); Strain v. State, 2012 Ark. 42, 394 S.W.3d 294 (2012).

5-2-404. Defenses.

  1. Unless otherwise provided by the statute defining the offense, a person is not an accomplice in an offense if:
    1. The person is a victim of the offense; or
    2. The offense is defined so that the person's conduct is inevitably incident to the commission of the offense.
  2. It is an affirmative defense to a prosecution for an offense respecting which the liability of the defendant is based on the conduct of another person that the defendant terminates his or her complicity prior to the commission of the offense and:
    1. Wholly deprives his or her complicity of effectiveness in the commission of the offense;
    2. Gives timely warning to an appropriate law enforcement authority; or
    3. Otherwise makes a proper effort to prevent commission of the offense.

History. Acts 1975, No. 280, § 305; 1977, No. 474, § 1; A.S.A. 1947, § 41-305.

Research References

Ark. L. Rev.

The Constitutionality of Affirmative Defenses to Criminal Charges, 29 Ark. L. Rev. 430.

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Law, 1 U. Ark. Little Rock L.J. 153.

Case Notes

Conduct Incident to Offense.

The person who purchased a controlled substance from defendant was not an accomplice, whether or not the buyer solicited the sale. Long v. State, 260 Ark. 417, 542 S.W.2d 742 (1976).

Conspiracy.

Where an individual agreed to join conspiracy and provided funds for the accomplishment of its purpose, he did not withdraw as an accomplice when he retrieved his money; the conspiracy was in effect at the time he joined it, and his act of putting money into the scheme sealed his status as an accomplice and co-conspirator. Strickland v. State, 16 Ark. App. 293, 701 S.W.2d 127 (1985).

Victim of Offense.

If the “victim” of incest is in fact a victim, she, or he, is not an accessory. Camp v. State, 288 Ark. 269, 704 S.W.2d 617 (1986).

The incest statute existed to protect the minor stepdaughter, even assuming that she was a willing participant; therefore the stepdaughter was a victim, not an accomplice, and corroboration of her testimony was not required. Mobbs v. State, 307 Ark. 505, 821 S.W.2d 769 (1991), overruled, Thomas v. State, 322 Ark. 670, 911 S.W.2d 259 (1995), overruled in part, Thomas v. State, 322 Ark. 670, 911 S.W.2d 259 (1995).

Cited: Butler v. State, 261 Ark. 369, 549 S.W.2d 65 (1977); Shrader v. State, 13 Ark. App. 17, 678 S.W.2d 777 (1984); Johnson v. State, 288 Ark. 101, 702 S.W.2d 2 (1986); Wilkins v. State, 324 Ark. 60, 918 S.W.2d 702 (1996).

5-2-405. Claims that are not defenses to liability for another.

In any prosecution for an offense in which the liability of the defendant is based on conduct of another person, it is no defense that:

  1. The offense charged, as defined, can be committed only by a particular class of persons and the defendant not belonging to that particular class of persons is for that reason legally incapable of committing the offense in an individual capacity, unless imposing liability on the defendant is inconsistent with the purpose of the provision establishing his or her incapacity;
  2. The other person has not been charged with, prosecuted for, convicted of, or has been acquitted of any offense or has been convicted of a different offense or degree of offense, based upon the conduct in question, even if the defendant and the other person were tried jointly; or
  3. The other person has a legal immunity from prosecution based upon the conduct in question.

History. Acts 1975, No. 280, § 304; A.S.A. 1947, § 41-304; Acts 1995, No. 1294, § 1.

A.C.R.C. Notes. Acts 1995, No. 1294, § 3, provided:

“By these amendments the General Assembly of the State of Arkansas legislatively overrules Yedrysek v. State, 293 Ark. 541, 739 S.W.2d 672 (1987).”

Research References

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

Case Notes

Charges Against Another.

The dismissal of charges against the principal cannot be used as a defense by an accused accomplice, and the accomplice could still be convicted. Roleson v. State, 277 Ark. 148, 640 S.W.2d 113 (1982).

The trial judge's refusal to allow the defendant accomplice to inform the jury, through instruction, testimony, etc., that the principal's conviction was reversed and dismissed on appeal, or that the principal was not currently charged, were all proper rulings by the trial judge since it was irrelevant to the accomplice's trial or sentence that the principal was released. Roleson v. State, 277 Ark. 148, 640 S.W.2d 113 (1982).

This section clearly indicates that the absence of a battery charge against defendant's accomplice was irrelevant to the question of defendant's liability. Purifoy v. State, 307 Ark. 482, 822 S.W.2d 374 (1991).

Cited: Jared v. State, 17 Ark. App. 223, 707 S.W.2d 325 (1986); Weaver v. State, 305 Ark. 180, 806 S.W.2d 615 (1991); Parnell v. State, 323 Ark. 34, 912 S.W.2d 422 (1996).

5-2-406. Multiple convictions — Different degrees.

When two (2) or more persons are criminally liable for an offense of which there are different degrees, each person is liable only for the degree of the offense that is consistent with the person's own:

  1. Culpable mental state; or
  2. Accountability for an aggravating fact or circumstance.

History. Acts 1975, No. 280, § 306; A.S.A. 1947, § 41-306.

Case Notes

Applicability.

Although this section is a correct statement of the law, it is not a model jury instruction; it is unnecessary to give it to the jury when its substance is covered by other instructions. Wilson v. State, 364 Ark. 550, 222 S.W.3d 171 (2006).

During defendant's trial for capital murder, the trial court correctly refused to give a proffered non-model jury instruction because defendant was tried alone and the liability of her sons, who were also charged with capital murder for the murder of their landlord, had not been decided; this section is not relevant where the defendant is tried alone. Wilson v. State, 364 Ark. 550, 222 S.W.3d 171 (2006).

Trial court did not err in refusing to give the jury instruction concerning different criminal liabilities of co-defendants because the jury found defendant guilty of capital murder, even though it had been instructed on the lesser included offenses of first and second-degree murder; thus, any error in failing to give a manslaughter or negligent homicide instruction was cured. Vidos v. State, 367 Ark. 296, 239 S.W.3d 467 (2006).

Proper Convictions.

The court did not err in convicting defendant as an accessory to a lesser degree of an offense even though both he and the principal were indicted for a higher degree of the offense and the principal was convicted of higher degree of the offense. Fields v. State, 213 Ark. 899, 214 S.W.2d 230 (1948) (decision under prior law).

There was no inconsistency in holding one codefendant guilty of being an accomplice to a lesser included offense while holding the other codefendant guilty of the greater offense. Blann v. State, 15 Ark. App. 364, 695 S.W.2d 382 (1985).

Cited: Ventress v. State, 303 Ark. 194, 794 S.W.2d 619 (1990); Taylor v. State, 303 Ark. 586, 799 S.W.2d 519 (1990); Jones v. State, 336 Ark. 191, 984 S.W.2d 432 (1999); Strain v. State, 2012 Ark. 42, 394 S.W.3d 294 (2012).

Subchapter 5 — Organizations and Their Agents

Research References

Am. Jur. 21 Am. Jur. 2d, Crim. L., § 210.

C.J.S. 22 C.J.S., Crim. L., § 84.

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

5-2-501. Definitions.

As used in this subchapter:

  1. “Agent” means any officer, director, or employee of an organization or any other person who is authorized to act in behalf of an organization;
  2. “High managerial agent” means an agent or officer of an organization who has duties of such responsibility that his or her conduct reasonably may be assumed to represent the policy of the organization; and
  3. “Organization” means a legal entity and includes:
    1. A corporation, company, association, firm, partnership, or joint-stock company;
    2. A foundation, institution, society, union, club, or church; or
    3. Any other group of persons organized for any purpose.

History. Acts 1975, No. 280, § 401; A.S.A. 1947, § 41-401.

5-2-502. Liability of organizations.

  1. An organization commits an offense if:
    1. The organization omits to discharge a specific duty of affirmative performance imposed on an organization by law and the omission is prohibited by criminal law;
    2. The conduct or result specified in the definition of the offense is engaged in, authorized, solicited, requested, commanded, or recklessly tolerated by the board of directors of a corporation or by the executive board of another type of organization or by a high managerial agent acting within the scope of his or her office or employment and in behalf of the organization; or
    3. The conduct or result specified in the definition of the offense is engaged in or caused by an agent of the organization while acting within the scope of his or her office or employment and in behalf of the organization and the offense is:
      1. A violation;
      2. A misdemeanor of any class; or
      3. Defined by a statute that clearly indicates a legislative purpose to impose criminal liability on an organization.
  2. Notwithstanding a provision of this subchapter, if the statute defining an offense designates an agent for whose conduct an organization is liable or the circumstances under which an organization is liable, the provisions of that statute apply.

History. Acts 1975, No. 280, § 402; A.S.A. 1947, § 41-402.

5-2-503. Liability of agents.

  1. A person is criminally liable for any conduct constituting an offense that he or she performs or causes to be performed in the name of or in behalf of an organization to the same extent as if that conduct were performed in his or her own name or behalf.
    1. When a duty to act or refrain from acting is imposed by law upon an organization, any agent of the organization having primary responsibility for the discharge of the duty is criminally liable for a reckless performance or omission to perform the required act to the same extent as if the duty were imposed by law directly upon the agent.
    2. A person convicted of an offense by reason of his or her criminal liability for the conduct of an organization is not subject to the sentence authorized by § 5-4-201(e).

History. Acts 1975, No. 280, § 403; A.S.A. 1947, § 41-403.

Subchapter 6 — Justification

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Effective Dates. Acts 1981, No. 884, § 3: Mar. 28, 1981. Emergency clause provided: “It is hereby found and determined by the General Assembly that in many instances felons have successfully sued their victims or bystanders as a result of the victims or bystanders attempting to protect themselves or others from personal injury during the commission of a felony; that such situation is fundamentally unjust; and that this Act is immediately necessary to correct such injustice. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

Research References

Am. Jur. 6 Am. Jur. 2d, Asslt. & B., § 46 et seq.

Ark. L. Rev.

1976 Criminal Code — General Principles, 30 Ark. L. Rev. 111.

C.J.S. 6A C.J.S., Asslt. & B., § 99 et seq.

22 C.J.S., Crim. L., § 53.

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

5-2-601. Definitions.

As used in this subchapter:

  1. “Common carrier” means any vehicle used to transport for hire any member of the public;
  2. “Deadly physical force” means physical force that under the circumstances in which it is used is readily capable of causing death or serious physical injury;
  3. “Dwelling” means an enclosed space that is used or intended to be used as a human habitation, home, or residence on a temporary or permanent basis;
  4. “Minor” means any person under eighteen (18) years of age;
    1. “Occupiable structure” means a vehicle, building, or other structure:
      1. Where any person lives or carries on a business or other calling;
      2. Where people assemble for a purpose of business, government, education, religion, entertainment, or public transportation; or
      3. That is customarily used for overnight accommodation of a person whether or not a person is actually present.
    2. “Occupiable structure” includes each unit of an occupiable structure divided into a separately occupied unit;
  5. “Physical force” means:
    1. Any bodily impact, restraint, or confinement; or
    2. The threat of any bodily impact, restraint, or confinement;
  6. “Premises” means:
    1. An occupiable structure; or
    2. Any real property;
  7. “Unlawful physical force” means physical force that is employed without the consent of the person against whom it is directed and the employment of the physical force constitutes a criminal offense or tort or would constitute a criminal offense or tort except for a defense other than the defense of justification or privilege; and
  8. “Vehicle” means any craft or device designed for the transportation of a person or property across land or water or through the air.

History. Acts 1975, No. 280, § 501; A.S.A. 1947, § 41-501.

Case Notes

Deadly Physical Force.

The provocation restriction on the defense of justification applies equally to the use of “physical force” and “deadly physical force” because “deadly physical force” is defined under this section to include “physical force.” Jones v. State, 1 Ark. App. 318, 615 S.W.2d 388 (1981).

Preponderance of the evidence supported the district court's finding that defendant's use of deadly physical force under subdivisions (2) and (6)(B) of this section, which occurred when he pointed a loaded pistol at an undercover officer, was not justified or in self defense, and thus, he was guilty of the felony of aggravated assault under Arkansas law, and the four-level enhancement under U.S. Sentencing Guidelines Manual § 2K2.1(b)(5), now (b)(6), was properly imposed because (1) defendant did not act in self-defense within the meaning of § 5-13-204(c)(2) as he used deadly force against men who had obeyed his command to leave his property and who were loitering on the public sidewalk in front of his house as there was no evidence they were imminently endangering defendant's life under § 5-2-607(a); (2) under § 5-2-607(b)(1), defendant could not use deadly force after he had retreated safely to his house and returned later, unprovoked, to threaten the men; (3) defendant's conduct was not justified as permissible defense of his property within the purview of § 5-2-608 because use of deadly physical force was not authorized by § 5-2-607, and he had no reason to believe that the men who had quietly obeyed a command to leave his property would come back to commit arson or burglary; and (4) defendant's conduct was not justified to defend his home under § 5-2-620 because the men defendant assaulted were not attempting to enter his home, so the statute did not apply. United States v. Raglin, 500 F.3d 675 (8th Cir. 2007).

Cited: David v. State, 286 Ark. 205, 691 S.W.2d 133 (1985); Stalnaker v. State, 2014 Ark. App. 412, 437 S.W.3d 700 (2014).

5-2-602. Defense.

In a prosecution for an offense, justification as defined in this subchapter is a defense.

History. Acts 1975, No. 280, § 502; A.S.A. 1947, § 41-502.

Case Notes

General Denial and Justification.

In a bench trial resulting in defendant's convictions for aggravated assault on a family member and aggravated assault, the circuit court erred as a matter of law in refusing to consider the defense of justification by ruling that defendant could not present the inconsistent defenses of a general denial and justification; where there is evidence that would support a finding of self-defense, case law has held that a jury instruction is appropriate notwithstanding defendant's testimony that he did not commit the crime. Thus, the circuit court committed an error of law in ruling that defendant was required to choose between the defenses of general denial and justification. Gray v. State, 2019 Ark. App. 543, 590 S.W.3d 177 (2019).

Cited: Thomas v. State, 266 Ark. 162, 583 S.W.2d 32 (1979); Brizendine v. State, 4 Ark. App. 19, 627 S.W.2d 26 (1982); Taylor v. State, 28 Ark. App. 146, 771 S.W.2d 318 (1989).

5-2-603. Execution of public duty.

  1. Conduct that would otherwise constitute an offense is justifiable when it is:
    1. Required or authorized by law or by a judicial decree; or
    2. Performed by a public servant or a person acting at the public servant's direction in a reasonable exercise or performance of the public servant's official power, duty, or function.
  2. The justification afforded by this section applies if the actor reasonably believes his or her conduct is required or authorized:
    1. By the judgment or direction of a competent court or tribunal or in the lawful execution of legal process, notwithstanding lack of jurisdiction of the court or tribunal or defect in the legal process; or
    2. To assist a public servant in the performance of the public servant's duty, notwithstanding that the public servant has exceeded the public servant's legal authority.

History. Acts 1975, No. 280, § 503; A.S.A. 1947, § 41-503.

Case Notes

Applicability.

Defendant who sold a controlled substance to an undercover police officer was not entitled to claim justification under subdivision (b)(2) of this section. Christian v. State, 318 Ark. 813, 889 S.W.2d 717 (1994).

In a case in which defendant, a former correctional officer, was convicted by a jury for possession of methamphetamine with the intent to deliver, possession of marijuana with the intent to deliver, possession of drug paraphernalia, and furnishing prohibited articles, he argued unsuccessfully that the circuit court erred in rejecting a proffered jury instruction on justification. Defendant did not testify at trial, and there was no evidence presented below supporting appellant's claim that his possession was the result of confiscating the contraband; rather, the testimony indicated that he was attempting to evade detection. Waller v. State, 2010 Ark. App. 56 (2010).

Public Servants.

An undercover police officer who purchases a controlled substance from a narcotics dealer is not an accomplice of the seller. Brizendine v. State, 4 Ark. App. 19, 627 S.W.2d 26 (1982).

5-2-604. Choice of evils.

  1. Conduct that would otherwise constitute an offense is justifiable when:
    1. The conduct is necessary as an emergency measure to avoid an imminent public or private injury; and
    2. According to ordinary standards of reasonableness, the desirability and urgency of avoiding the imminent public or private injury outweigh the injury sought to be prevented by the law proscribing the conduct.
  2. Justification under this section shall not rest upon a consideration pertaining to the morality or advisability of the statute defining the offense charged.
  3. If the actor is reckless or negligent in bringing about the situation requiring a choice of evils or in appraising the necessity for his or her conduct, the justification afforded by this section is unavailable in a prosecution for any offense for which recklessness or negligence, as the case may be, suffices to establish a culpable mental state.

History. Acts 1975, No. 280, § 504; A.S.A. 1947, § 41-504.

Research References

ALR.

Application of Defense of Necessity to Murder, 23 A.L.R.7th Art. 1 (2018).

Case Notes

In General.

The language of this section differs to some extent from that of Tentative Draft No. 8 of the Model Penal Code and is more limiting, but the basic principles of the defense are similar to those espoused by that draft. Koonce v. State, 269 Ark. 96, 598 S.W.2d 741 (1980).

Construction.

This section is to be narrowly construed and applied. Stultz v. State, 20 Ark. App. 90, 724 S.W.2d 189 (1987); Pursley v. State, 21 Ark. App. 107, 730 S.W.2d 250 (1987).

In defendant's insurance fraud case, the trial court did not engage in a statutory interpretation of this section but, instead, simply applied the statute to the evidence presented at trial; because the state's argument merely raised the issue of application and not the interpretation of a statutory provision, the state's appeal did not involve the correct and uniform administration of the criminal law and the argument was not a proper basis for an appeal by the State. State v. Hagan-Sherwin, 356 Ark. 597, 158 S.W.3d 156 (2004).

Applicability.

Justification as argued under this section does not appear to be appropriate in a charge of homicide. Peals v. State, 266 Ark. 410, 584 S.W.2d 1 (1979).

The choice of evils instruction should not be given in a homicide case when self-defense is argued by the defendant. Hart v. State, 296 Ark. 290, 756 S.W.2d 451 (1988).

Actor's Conduct.

A justification defense was unavailable under subsection (c) to parolee who knowingly and recklessly placed himself in a position where he could get into trouble. Polk v. State, 329 Ark. 174, 947 S.W.2d 758 (1997).

In a case where defendant was found guilty of being a felon in possession of a firearm, the trial court properly denied his request for a jury instruction on the “choice of evils” defense under this section because (1) although he needed money, the situation did not rise to the level of the extraordinary attendant circumstances that was required to invoke the “choice of evils” defense; and (2) there were reasonable, legal alternatives to his conduct such as having his father or another non-felon pawn the firearm. Prodell v. State, 102 Ark. App. 360, 285 S.W.3d 673 (2008).

Defendant's act of going outside with the gun and continuing interaction with the victim was sufficient evidence to reject the choice of evils defense under subdivision (a)(1) of this section and sustain his conviction for being a felon in possession of a firearm. Green v. State, 2011 Ark. App. 700 (2011).

Proof.

In order for choice of evils defense to be available, there must be proof of extraordinary attendant circumstances requiring emergency measures in order to avoid an imminent public or private injury. Pursley v. State, 21 Ark. App. 107, 730 S.W.2d 250 (1987).

5-2-605. Use of physical force generally.

The use upon another person of physical force that would otherwise constitute an offense is justifiable under any of the following circumstances:

  1. A parent, teacher, guardian, or other person entrusted with care and supervision of a minor or an incompetent person may use reasonable and appropriate physical force upon the minor or incompetent person when and to the extent reasonably necessary to maintain discipline or to promote the welfare of the minor or incompetent person;
  2. A warden or other authorized official of a correctional facility may use nondeadly physical force to the extent reasonably necessary to maintain order and discipline;
  3. A person responsible for the maintenance of order in a common carrier or a person acting under the responsible person's direction may use nondeadly physical force to the extent reasonably necessary to maintain order;
  4. A person who reasonably believes that another person is about to commit suicide or to inflict serious physical injury upon himself or herself may use nondeadly physical force upon the other person to the extent reasonably necessary to thwart the suicide or infliction of serious physical injury;
  5. A duly licensed physician or a person assisting a duly licensed physician at the duly licensed physician's direction may use physical force for the purpose of administering a recognized form of treatment reasonably adapted to promoting the physical or mental health of a patient if the treatment is administered:
    1. With the consent of the patient or, if the patient is a minor who is unable to appreciate or understand the nature or possible consequences of the proposed medical treatment or is an incompetent person, with the consent of a parent, guardian, or other person entrusted with the patient's care and supervision; or
    2. In an emergency when the duly licensed physician reasonably believes that no person competent to consent can be consulted and that a reasonable person, wishing to safeguard the welfare of the patient, would consent.

History. Acts 1975, No. 280, § 505; A.S.A. 1947, § 41-505; Acts 2007, No. 827, § 12.

Cross References. Guards and other officials, powers and duties toward working county inmates, § 27-66-602.

Teachers, discipline of students, § 6-18-501 et seq.

Research References

ALR.

Application of Defense of Necessity to Murder, 23 A.L.R.7th Art. 1 (2018).

Case Notes

Discipline.

Evidence was insufficient to support a finding that the physical force used by the defendant in disciplining her grandchild was unreasonable or inappropriate under the circumstances. Sykes v. State, 57 Ark. App. 5, 940 S.W.2d 888 (1997).

There was substantial evidence to support the jury's finding that defendant committed the crime of false imprisonment of her daughter by exercising excessive and unreasonable restraint that created a substantial risk of serious physical injury; there was no merit to defendant's argument that, as a parent, she could not be held liable for criminal conduct committed against her daughter because she had the lawful authority to consent to restraint of her child. Dick v. State, 364 Ark. 133, 217 S.W.3d 778 (2005).

Evidence supported the second-degree domestic battering conviction under § 5-26-304 where neighbors heard sounds of loud banging and yelling, and defendant beat the child with a leather belt repeatedly for at least five minutes, causing welts and lashings. Jefferson v. State, 2017 Ark. App. 492, 532 S.W.3d 75 (2017).

Cited: Walton v. State, 53 Ark. App. 18, 918 S.W.2d 192 (1996).

5-2-606. Use of physical force in defense of a person.

    1. A person is justified in using physical force upon another person to defend himself or herself or a third person from what the person reasonably believes to be the use or imminent use of unlawful physical force by that other person, and the person may use a degree of force that he or she reasonably believes to be necessary.
    2. However, the person may not use deadly physical force except as provided in § 5-2-607.
  1. A person is not justified in using physical force upon another person if:
    1. With purpose to cause physical injury or death to the other person, the person provokes the use of unlawful physical force by the other person;
      1. The person is the initial aggressor.
      2. However, the initial aggressor's use of physical force upon another person is justifiable if:
        1. The initial aggressor in good faith withdraws from the encounter and effectively communicates to the other person his or her purpose to withdraw from the encounter; and
        2. The other person continues or threatens to continue the use of unlawful physical force; or
    2. The physical force involved is the product of a combat by agreement not authorized by law.

History. Acts 1975, No. 280, § 506; A.S.A. 1947, § 41-506; Acts 2007, No. 827, § 13.

Research References

ALR.

Application of Defense of Necessity to Murder, 23 A.L.R.7th Art. 1 (2018).

U. Ark. Little Rock L.J.

Derden, Survey of Arkansas Law: Evidence, 2 U. Ark. Little Rock L.J. 232.

Case Notes

Evidence.

Evidence sufficient to find that defendant could not rely upon self defense or justification as defenses. Graham v. State, 2 Ark. App. 266, 621 S.W.2d 4 (1981); Ricketts v. State, 292 Ark. 256, 729 S.W.2d 400 (1987).

Evidence held sufficient to support conviction. Gilliam v. State, 294 Ark. 115, 741 S.W.2d 631 (1987).

In a case involving terroristic acts under § 5-13-310(a)(1), the exclusion of a computer-generated threat to bolster a self-defense claim was error since the evidence was relevant under Ark. R. Evid. 401; however, the error was harmless since evidence of other threats could have been elicited. McKeever v. State, 367 Ark. 374, 240 S.W.2d 583 (2006).

Trial court did not abuse its discretion in refusing to give defendant's proffered justification-defense jury instruction because this section and § 5-2-607 and the model jury instructions demonstrated that only the deadly physical force model jury instruction was appropriate, if any instruction was appropriate. Stalnaker v. State, 2014 Ark. App. 412, 437 S.W.3d 700 (2014).

Instructions.

Evidence did not warrant the giving of an instruction on the justified use of force in self-defense. Walton v. State, 53 Ark. App. 18, 918 S.W.2d 192 (1996).

While this section and § 5-2-607 stated that the defendant was justified in using force or deadly force only if he reasonably believed that the situation necessitated the defensive force employed, both first-degree and second-degree assault were committed if defendant acted recklessly, under §§ 5-13-205 and 5-13-206, and § 5-2-614 provided that justification was not available as a defense to an offense for which recklessness suffices to establish culpability; therefore, defendant was not entitled to self-defense or justification instructions with regard to his charges for first and second-degree assault. Merritt v. State, 82 Ark. App. 351, 107 S.W.3d 894 (2003).

Justification.

Where the defendant had entertained a grudge against the deceased and had used language in his hearing to provoke him to anger and cause him to bring on a combat whereby the defendant might have the opportunity of killing him or doing him great bodily harm, the defendant would not be excused or justified in the killing unless he withdrew from the combat as far as he could and did all in his power consistent with his safety to avoid the danger and avert the necessity of the killing. Manasco v. State, 104 Ark. 397, 148 S.W. 1025 (1912) (decision under prior law).

Justification is not an affirmative defense; it becomes a defense when any evidence is offered tending to support its existence and such evidence may be introduced by either side. Peals v. State, 266 Ark. 410, 584 S.W.2d 1 (1979).

The provocation restriction on the defense of justification applies equally to the use of physical force and deadly physical force because deadly physical force is defined to include physical force; therefore an instruction combining the law under this section and under § 5-2-607 held proper. Jones v. State, 1 Ark. App. 318, 615 S.W.2d 388 (1981).

Evidence held sufficient to find that refusal to give requested instruction regarding justification was error. Lucas v. State, 5 Ark. App. 168, 634 S.W.2d 145 (1982).

One who claims self-defense must show not only that the person killed was the aggressor, but that the accused used all reasonable means within his power and consistent with his safety to avoid the killing. Ricketts v. State, 292 Ark. 256, 729 S.W.2d 400 (1987).

Because a juvenile's father had not resorted to use of a deadly weapon during an argument, because there had been an interlude of approximately five minutes since their last confrontation, because the father, at the time he was struck, had turned away from the juvenile, and because the juvenile did not testify as to whether the juvenile's beliefs were reasonable, the juvenile lacked justification under subdivision (a)(1) of this section and §§ 5-1-102(18), 5-2-607(a)(1), (2), and was properly adjudicated as a delinquent for second-degree domestic battering. D.W. v. State, 2011 Ark. App. 187 (2011).

State of Mind.

Defendant, who alleged self-defense, should have been permitted to testify that he had been told that the deceased had previously killed three people, since the testimony was offered to show defendant's state of mind at the time of the shooting. Pope v. State, 262 Ark. 476, 557 S.W.2d 887 (1977).

In those cases in which the specific acts of violence by the victim were directed at the defendant or were within his knowledge before the crime, they are admissible as being probative of what he reasonably believed and therefore directly relevant to his plea of self-defense; testimony of specific acts not shown to have been within the knowledge of the defendant are not directly probative of defendant's beliefs. Britt v. State, 7 Ark. App. 156, 645 S.W.2d 699 (1983).

Who aggressed is only one factor or circumstance tending to shed light on the essential element of the defense, i.e., defendant's beliefs at the time of the crime and the fact of who aggressed does not prove defendant's beliefs directly. Britt v. State, 7 Ark. App. 156, 645 S.W.2d 699 (1983).

Victim's Prior Violent Acts.

The fact of the victim's aggressive character is probative of whether the victim was aggressor at the time of the crime, but the fact of who aggressed is not an element of the defense of justification. Britt v. State, 7 Ark. App. 156, 645 S.W.2d 699 (1983).

Exclusion of testimony purporting to prove a violent character trait of the victim by a specific instance of prior violent conduct which was not shown to have been within the knowledge of the defendant held proper; however, trial court properly admitted reputation evidence tending to show victim's trait for violence as probative of the issue of who was the aggressor. Britt v. State, 7 Ark. App. 156, 645 S.W.2d 699 (1983).

Cited: Hodges v. Everett, 2 Ark. App. 125, 617 S.W.2d 29 (1981); Wing v. Britton, 748 F.2d 494 (8th Cir. 1984).

5-2-607. Use of deadly physical force in defense of a person.

  1. A person is justified in using deadly physical force upon another person if the person reasonably believes that the other person is:
    1. Committing or about to commit a felony involving force or violence;
    2. Using or about to use unlawful deadly physical force; or
    3. Imminently endangering the person's life or imminently about to victimize the person as described in § 9-15-103 from the continuation of a pattern of domestic abuse.
  2. A person may not use deadly physical force in self-defense if the person knows that he or she can avoid the necessity of using deadly physical force:
      1. By retreating.
      2. However, a person is not required to retreat if the person is:
        1. Unable to retreat with complete safety;
        2. In the person's dwelling or on the curtilage surrounding the person's dwelling and was not the original aggressor; or
        3. A law enforcement officer or a person assisting at the direction of a law enforcement officer; or
    1. With complete safety by surrendering possession of property to a person claiming a lawful right to possession of the property.
  3. As used in this section:
    1. “Curtilage” means the land adjoining a dwelling that is convenient for residential purposes and habitually used for residential purposes, but not necessarily enclosed, and includes an outbuilding that is directly and intimately connected with the dwelling and in close proximity to the dwelling; and
    2. “Domestic abuse” means:
      1. Physical harm, bodily injury, assault, or the infliction of fear of imminent physical harm, bodily injury, or assault between family or household members; or
      2. Any sexual conduct between family or household members, whether minors or adults, that constitutes a crime under the laws of this state.

History. Acts 1975, No. 280, § 507; A.S.A. 1947, § 41-507; Acts 1997, No. 1257, § 1; 2007, No. 111, § 1; 2009, No. 748, § 2; 2015, No. 828, § 1.

Amendments. The 2009 amendment, in (a)(3), deleted (a)(3)(B) and redesignated the remaining subdivision accordingly; made a stylistic change in the introductory language of (b); inserted (c)(2), redesignated the remainder of (c) accordingly, substituted “residential” for “family” twice in (c)(1), and made related changes.

The 2015 amendment deleted “with complete safety” at the end of the introductory language of (b); inserted present (b)(1)(B)(i) and redesignated the remaining subdivisions accordingly; and substituted “With complete safety by” for “By” in (b)(2).

Cross References. Evidence of victim's character, Evid. Rules 404 and 405.

Research References

ALR.

Application of Defense of Necessity to Murder, 23 A.L.R.7th Art. 1 (2018).

U. Ark. Little Rock L.J.

Derden, Survey of Arkansas Law: Evidence, 2 U. Ark. Little Rock L.J. 232.

Case Notes

Assault.

A condition precedent to a plea of self-defense is an assault upon the defendant of such a character that it is with murderous intent, or places the defendant in fear of his life, or great bodily harm; a mere assault is not sufficient to justify the plea of self-defense. Girtman v. State, 285 Ark. 13, 684 S.W.2d 806 (1985); Heinze v. State, 309 Ark. 162, 827 S.W.2d 658 (1992).

Avoidance of Danger.

In order to justify the taking of life in self-defense, the party must have employed all means within his power and consistent with his safety to have avoided the danger and averted the necessity. McPherson v. State, 29 Ark. 225 (1874); Palmore v. State, 29 Ark. 248 (1874); Fitzpatrick v. State, 37 Ark. 238 (1881); Dolan v. State, 40 Ark. 454 (1883); McDonald v. State, 104 Ark. 317, 149 S.W. 95 (1912) (preceding decisions under prior law).

One resisting an assault must have employed all the means in his power consistent with his safety to avoid the danger and to avert the necessity of killing; however, where such an assault was so fierce as to make it, apparently, as dangerous for the person assaulted to retreat as it was to stand, it was not his duty to retreat but he could stand his ground and, if necessary to save his own life or to prevent great bodily injury, could slay his assailant. Duncan v. State, 49 Ark. 543, 6 S.W. 164 (1887) (decision under prior law).

A requested instruction that, although the defendant went to a house where he knew the deceased to be and that the deceased would probably attack the defendant, that if, in the encounter the defendant acted in self-defense, he must be acquitted, was properly refused as being opposed to the rule that one must have done everything possible to avoid a killing. Valentine v. State, 108 Ark. 594, 159 S.W. 26 (1913) (decision under prior law).

Preponderance of the evidence supported the district court's finding that defendant's use of deadly physical force under § 5-2-601(2) and (6)(B), which occurred when he pointed a loaded pistol at an undercover officer, was not justified or in self defense, and thus, he was guilty of the felony of aggravated assault under Arkansas law, and the four-level enhancement under U.S. Sentencing Guidelines Manual § 2K2.1(b)(5), now (b)(6), was properly imposed because (1) defendant did not act in self-defense within the meaning of § 5-13-204(c)(2) as he used deadly force against men who had obeyed his command to leave his property and who were loitering on the public sidewalk in front of his house as there was no evidence they were imminently endangering defendant's life under subsection (a) of this section; (2) under subdivision (b)(1) of this section, defendant could not use deadly force after he had retreated safely to his house and returned later, unprovoked, to threaten the men; (3) defendant's conduct was not justified as permissible defense of his property within the purview of § 5-2-608 because use of deadly physical force was not authorized by this section, and he had no reason to believe that the men who had quietly obeyed a command to leave his property would come back to commit arson or burglary; and (4) defendant's conduct was not justified to defend his home under § 5-2-620 because the men defendant assaulted were not attempting to enter his home, so the statute did not apply. United States v. Raglin, 500 F.3d 675 (8th Cir. 2007).

Directed Verdict.

Defendant convicted of murder did not preserve for review the denial of his directed verdict motion; in his motion, defendant failed to identify specifically how the State's proof was insufficient to negate defendant's claim of self-defense—e.g., whether the State failed to show that defendant lacked a reasonable belief that the victims were about to use deadly force; whether the State failed to demonstrate that defendant could not have retreated safely; or whether the State failed to demonstrate that the victims were not committing, or were about to commit, a felony involving force or violence. Kinsey v. State, 2016 Ark. 393, 503 S.W.3d 772 (2016).

Evidence.

Evidence of threats made by a third person against the defendant was incompetent when the same had no bearing upon the question whether or not the deceased was the aggressor. Carter v. State, 108 Ark. 124, 156 S.W. 443 (1913) (decision under prior law); Barker v. State, 21 Ark. App. 56, 728 S.W.2d 204 (1987).

Testimony showing victim had peaceful intentions toward defendant was admissible exception to hearsay rule where accused was claiming self-defense. Hill v. State, 255 Ark. 720, 502 S.W.2d 649 (1973) (decision under prior law).

It was improper to exclude evidence which showed that decedents had inflicted, and threatened, harm to the defendant, since, under § 16-41-101, Rule 404, where a claim of justification is raised, such evidence is relevant to the issue of who was the aggressor and whether the accused reasonably believed he was in danger of suffering unlawful deadly physical force. Smith v. State, 273 Ark. 47, 616 S.W.2d 14 (1981).

Evidence sufficient to find that the killing was justified. Calaway v. Southern Farm Bureau Life Ins. Co., 2 Ark. App. 69, 619 S.W.2d 301 (1981).

Evidence sufficient to find that the defendant could not rely upon self defense or justification as defenses. Graham v. State, 2 Ark. App. 266, 621 S.W.2d 4 (1981); Ricketts v. State, 292 Ark. 256, 729 S.W.2d 400 (1987); Heinze v. State, 309 Ark. 162, 827 S.W.2d 658 (1992).

The defendant in a murder prosecution was not entitled to have the jury instructed with regard to self-defense where (1) the defendant punched the victim in the face without provocation or aggressive action by the victim, (2) the victim did not pursue the defendant after that incident, (3) the defendant and his cohorts returned to the victim's truck, at which point the victim pointed a gun at their vehicle, (4) the defendant and his cohorts exited the vehicle and disarmed the victim, (5) the victim tried to punch the defendant, but the swing missed, (5) the defendant then knocked the victim to the ground, straddled him, and began punching him about the head and body, and (6) the defendant's cohorts then began kicking the victim about the head and body. Craig v. State, 70 Ark. App. 71, 14 S.W.3d 893 (2000).

Evidence was sufficient to rebut a claim of justification under this section and to convict defendant of attempted-capital murder and first-degree battery as defendant shot at the victim while he was running away, and defendant then drove around the neighborhood, found the victim, and fired more shots that struck the victim. Green v. State, 2011 Ark. App. 700 (2011).

Substantial evidence existed to support a second-degree murder conviction because defendant's justification defense could have been reasonably rejected; the jury could have credited testimony indicating that defendant walked towards the victim holding a gun after being told that the girls present did not want to fight. It was up to the jury to determine if it was reasonable for defendant to believe that she was in danger of being killed or suffering great bodily injury. Moody v. State, 2014 Ark. App. 538, 444 S.W.3d 389 (2014).

Evidence was sufficient to convict defendant of second-degree murder where the State's evidence rebutted defendant's claim of justification; defendant stabbed the victim, threw his knife in a creek, fled the scene, failed to alert law enforcement, and threw away his clothes in a dumpster at a hotel. Moreover, a jailhouse witness testified that defendant had stated that the crime was not committed in self-defense; rather, defendant stated he killed the victim during an attempted theft. Bailey v. State, 2016 Ark. App. 209, 489 S.W.3d 203 (2016).

Evidence was sufficient to support a conviction for second-degree murder because defendant was not justified in using deadly force against the victim based on a belief that the victim was reaching for a gun; defendant was the first and only person to draw a weapon, and surveillance video showed that defendant was the initial aggressor and failed to retreat. Wade v. State, 2017 Ark. App. 157, 516 S.W.3d 772 (2017).

In a second-degree murder case, there was no abuse of discretion in granting the State's motion to exclude testimony from the medical examiner that the victim had illegal controlled substances in his system at the time of his death because the report's probative value was far outweighed by the danger of unfair prejudice. The toxicology report was irrelevant because defendant did not know at the time of the shooting that the victim had ingested drugs; moreover, defendant was not prejudiced by the ruling because he presented proof of the victim's erratic and aggressive behavior. Wade v. State, 2017 Ark. App. 157, 516 S.W.3d 772 (2017).

Substantial evidence supported defendant's conviction for first-degree murder under the felony murder rule because defendant shot and killed a responding auxiliary sheriff's deputy while defendant was hiding two hours after fleeing from a residential burglary with items taken in the burglary. Furthermore, the jury reasonably found that defendant was not justified in his use of deadly force. Kauffeld v. State, 2017 Ark. App. 440, 528 S.W.3d 302 (2017).

Trial court did not err in allowing pictures defendant took on the victim's cell phone after the victim was dead because the pictures went to defendant's state of mind and were relevant to the State's theory that he committed first-degree murder and did not kill the victim in self-defense. Roberts v. State, 2018 Ark. App. 332, 552 S.W.3d 446 (2018).

Concerning the second-degree murder conviction, there was substantial evidence to refute defendant's claim that she was justified in using deadly physical force because the eyewitness testified that the victim never struck or even touched defendant before she attacked him from behind with a knife as the victim was walking away from her holding his infant daughter; although defendant claimed to have been punched in the face and dragged on the ground by the victim, she had no injuries to substantiate those claims; and the medical examiner testified that the victim died as a result of being forcefully stabbed over the shoulder with a knife from behind and that, in addition to that fatal wound, the victim had been stabbed or cut multiple additional times with the knife. Gillard v. State, 2019 Ark. App. 438, 586 S.W.3d 703 (2019).

Substantial evidence supported the jury's verdict that the State negated defendant's justification defense because (1) defendant approached the victim and pulled a gun out of his waistband, and, (2) considering eyewitness testimony and a surveillance video, a jury could find defendant's belief that he was justified in using deadly force was not reasonable. Brown v. State, 2020 Ark. App. 198, 595 S.W.3d 456 (2020).

Instructions.

Refusal to give requested instruction substantially in the language of former section defining justifiable homicide was not an error where other instructions given sufficiently covered that defense. Hogue v. State, 194 Ark. 1089, 110 S.W.2d 11 (1937) (decision under prior law).

Instruction following the wording of former similar section held proper. Gentry v. State, 201 Ark. 729, 147 S.W.2d 1 (1941) (decision under prior law).

Defendant held entitled to an instruction on justifiable homicide. Jordon v. State, 238 Ark. 398, 382 S.W.2d 185 (1964) (decision under prior law).

Refusal to instruct the jury of self-defense held proper. Jackson v. State, 245 Ark. 331, 432 S.W.2d 876 (1968) (decision under prior law).

A permissible addition to a jury instruction on self-defense was where an assailant abandoned an attack which was later renewed voluntarily without justification by the person attacked, then the person renewing the attack could not prevail on a claim of self-defense. Chaney v. State, 256 Ark. 198, 506 S.W.2d 134 (1974) (decision under prior law).

Trial court held not required to include in its instructions to the jury the exceptions found in subdivision (b)(1). Ervin v. State, 262 Ark. 439, 557 S.W.2d 617 (1977).

Court did not err in giving justification instruction based on this section rather than defendant's proffered instruction, based on § 5-2-614, since defendant's instruction was a misapplication of § 5-2-614. Kendrick v. State, 6 Ark. App. 427, 644 S.W.2d 297 (1982).

The trial court did not err in refusing to give one of the defendant's proposed instructions, where the defendant offered a modification of the model instruction based on this section, which modification would have changed the law that a person doesn't have to retreat if in his dwelling, to, if in his dwelling or on his curtilage. David v. State, 286 Ark. 205, 691 S.W.2d 133 (1985).

Where the undisputed proof was that defendant walked away from the victim, went to the waiting car, got his loaded pistol from under the car seat, and then walked back to the place of confrontation and killed the victim, the defendant could have avoided the use of force with complete safety; therefore, he was not entitled to the instruction on justification. Martin v. State, 290 Ark. 293, 718 S.W.2d 938 (1986).

Trial court did not err in declining proffered instruction that “dwelling” included the curtilage, and it did not err in failing to instruct that “dwelling” included porch. AMCI 4105 instruction represents an accurate statement of Arkansas law. Hopes v. State, 294 Ark. 319, 742 S.W.2d 561 (1988).

Where there is evidence of self-defense it is error for the court not to give an appropriate instruction, but the question is one of fact for the jury. Taylor v. State, 28 Ark. App. 146, 771 S.W.2d 318 (1989).

Evidence did not warrant an instruction on the justified use of deadly physical force in self-defense. Walton v. State, 53 Ark. App. 18, 918 S.W.2d 192 (1996).

Jury instruction on justification should have been given where there was conflicting evidence on justification and the State had the burden of showing that it was the defendant's alleged excessive force, rather than his initial response, that resulted in the death of the victim. Humphrey v. State, 332 Ark. 398, 966 S.W.2d 213 (1998).

While § 5-2-606 and this section stated that the defendant was justified in using force or deadly force only if he reasonably believed that the situation necessitated the defensive force employed, both first-degree and second-degree assault were committed if defendant acted recklessly, under §§ 5-13-205 and 5-13-206, and § 5-2-614 provided that justification was not available as a defense to an offense for which recklessness suffices to establish culpability; therefore, defendant was not entitled to self-defense or justification instructions with regard to his charges for first and second-degree assault. Merritt v. State, 82 Ark. App. 351, 107 S.W.3d 894 (2003).

Since defendant was not at his own home and was by all accounts standing outside when he commenced the shooting, and defendant failed to proffer an instruction with a complete statement of the law regarding the use of deadly force only if retreat was not possible, the trial court did not err in declining to give an instruction on self-defense. Ghoston v. State, 84 Ark. App. 387, 141 S.W.3d 907 (2004).

Because second-degree battery has as one of its elements the infliction of serious physical injury, it is a “felony involving force or violence”; thus, in a second-degree murder case, the trial court erred by failing to give a jury instruction for justification that had both second-degree battery and unlawful deadly physical force alternatives since both were warranted by evidence that defendant was confronted by three men in an attack before he stabbed one of them in the heart with a pocket knife. Hamilton v. State, 97 Ark. App. 172, 245 S.W.3d 710 (2006).

Defendant's challenge to the jury instruction used by the trial court for justification and use of physical force in defense of a person was more lenient than the instruction that defendant requested, which was based upon the use of deadly physical force, pursuant to this section, and defendant did not have a cognizable habeas corpus claim based upon the use of the instruction. Cagle v. Norris, 474 F.3d 1090 (8th Cir. 2007).

In a case in which the jury was instructed on justification and the use of deadly force in defense of a person under Ark. Model Jury Instruction Crim. § 705 (2d ed.) that reflected the language of this section and defendant was convicted by a jury of second-degree murder and was sentenced to prison under the enhancement provision for a total of 540 months, defendant argued unsuccessfully that the circuit court erred by refusing the jury instruction he proffered on self-defense, a non-model jury instruction reflecting the language of § 5-2-620. There was no merit to his argument that mere technical changes to § 5-2-620 and the legislature's reaffirmation of the statute's public policy somehow translated into legislative intent that juries in criminal cases be instructed as to an individual's right to defend himself or herself against a person intruding into his or her home. Hutchinson v. State, 2010 Ark. App. 235 (2010).

Trial court did not abuse its discretion in refusing to give defendant's proffered justification-defense jury instruction because § 5-2-606 and this section and the model jury instructions demonstrated that only the deadly physical force model jury instruction was appropriate, if any instruction was appropriate. Stalnaker v. State, 2014 Ark. App. 412, 437 S.W.3d 700 (2014).

In a second-degree murder case, a trial court did not err by refusing to give a proffered instruction on justification because the grassy area where defendant confronted the victim and shot her was not properly considered curtilage. Moody v. State, 2014 Ark. App. 538, 444 S.W.3d 389 (2014).

Circuit court did not err in refusing to give defendant's proffered instruction on self-defense where the model jury instruction was a complete statement of the law; the appellate court rejected defendant's argument that the model jury instruction incorrectly allocated the burden of proof on self-defense to the defendant. Kinsey v. State, 2016 Ark. 393, 503 S.W.3d 772 (2016).

Defendant's proffered instruction on self-defense was not a complete instruction of the law because it presumed that justification is an element of the offense when that is a question for the jury. Kinsey v. State, 2016 Ark. 393, 503 S.W.3d 772 (2016).

Necessity.

No one, in resisting an assault made upon him in the course of a sudden quarrel, or upon a sudden reencounter, or in a combat on a sudden quarrel, or which was made from anger suddenly aroused at the time the assault is made, was justified or excused in taking the life of his assailant, unless he was so endangered by such assault as to make it necessary to kill the assailant to save his own life or to prevent a great bodily injury. Duncan v. State, 49 Ark. 543, 6 S.W. 164 (1887) (decision under prior law).

Homicide was justifiable if it appeared necessary to defendant. Smith v. State, 59 Ark. 132, 26 S.W. 712 (1894); Carpenter v. State, 62 Ark. 286, 36 S.W. 900 (1896) (preceding decisions under prior law).

Where deceased was a law enforcement officer and the jury was instructed that if defendant had no notice of the fact, or reasonable grounds to know that the deceased was an officer and the killing was apparently necessary to save his own life or to prevent his receiving great bodily injury, the killing of the deceased was homicide in self-defense, it was not prejudicial error to refuse a further instruction to the effect if the killing appeared to the defendant to be necessary, he was justified in taking the life of the deceased. Bruce v. State, 68 Ark. 310, 57 S.W. 1103 (1900) (decision under prior law).

An instruction that, if the defendant shot the deceased under compulsion by third parties to save his own life, the jury should acquit, was properly refused, as unlawful compulsion was not a sufficient justification for taking the life of an innocent person. Brewer v. State, 72 Ark. 145, 78 S.W. 773 (1904) (decision under prior law).

A killing in self-defense was justifiable only when it was necessary. Thomas v. State, 74 Ark. 431, 86 S.W. 404 (1905) (decision under prior law).

In a prosecution for murder, an instruction on self-defense that “it must appear to the defendant at the time of the difficulty that the danger was so urgent and pressing that in order to save his own life or to prevent his receiving great bodily injury, the killing of the deceased was necessary” was not erroneous as taking away the right of one to stand his own ground in his own home and to resist assaults. Bealmear v. State, 104 Ark. 616, 150 S.W. 129 (1912) (decision under prior law).

It must have appeared to defendant that the killing was necessary to save his own life, or to prevent great bodily harm. Fisher v. State, 109 Ark. 456, 160 S.W. 210 (1913) (decision under prior law).

Preservation for Review.

In an appeal of convictions for second-degree battery and aggravated residential burglary, the appellate court could not address defendant's argument that the evidence was insufficient to negate self-defense because it was not preserved for appeal. Defendant's directed-verdict motion to the circuit court did not mention self-defense or the elements of self-defense the State failed to negate. Thompson v. State, 2019 Ark. App. 391 (2019).

Prior Violent Acts of Victims.

Refusal to admit testimony of specific prior violent acts of the victims which were unknown to the defendant held proper. Halfacre v. State, 277 Ark. 168, 639 S.W.2d 734 (1982).

Exclusion of testimony purporting to prove a violent character trait of the victim by a specific instance of prior violent conduct which was not shown to have been within the knowledge of the defendant held proper; however, trial court properly admitted reputation evidence tending to show victim's trait for violence as probative of the issue of who was the aggressor. Britt v. State, 7 Ark. App. 156, 645 S.W.2d 699 (1983).

In those cases in which the specific acts of violence by the victim were directed at the defendant or were within his knowledge before the crime, they are admissible as being probative of what he reasonably believed and therefore directly relevant to his plea of self-defense; testimony of specific acts not shown to have been within the knowledge of the defendant are not directly probative of defendant's beliefs. Britt v. State, 7 Ark. App. 156, 645 S.W.2d 699 (1983).

The fact of the victim's aggressive character is probative of whether the victim was aggressor at the time of the crime, but the fact of who aggressed is not an element of the defense of justification. Britt v. State, 7 Ark. App. 156, 645 S.W.2d 699 (1983).

In a murder trial where defendant asserted self-defense and was convicted of manslaughter, evidence of specific instances of the victim's past violent conduct was not relevant for the purpose for which it was offered because events of which the defendant was not aware could not have affected his state of mind. Therefore, the exclusion of the evidence was not arbitrary and did not violate defendant's constitutional right to present a complete defense. Schnarr v. State, 2017 Ark. 10 (2017).

In a murder trial where defendant asserted self-defense and was convicted of manslaughter, the circuit court did not err in excluding evidence of specific instances of the victim's past violent conduct where defendant had no knowledge of that past conduct and the purpose for which the evidence was offered pertained to defendant's state of mind. Schnarr v. State, 2017 Ark. 10 (2017).

When self-defense is asserted, the evidentiary rules governing the admissibility of specific instances of the victim's past violent conduct are Ark. R. Evid. 404(a)(2) and 405. Schnarr v. State, 2017 Ark. 10 (2017).

In a murder trial where defendant asserted self-defense and was convicted of manslaughter, defendant's contention that evidence of specific instances of the victim's past violent conduct was admissible to corroborate defendant's testimony that the victim was the aggressor was not made below and thus was not reviewable on appeal. Schnarr v. State, 2017 Ark. 10 (2017).

Trial court did not err in limiting defendant's presentation of prior violent altercations between him and the victim, his brother, to those that occurred within five years of the murder because that was when defendant began to interact with the victim after a 35-year absence; defendant was still permitted to introduce multiple recent instances in which the victim had attacked him, and thus imposing the five-year limitation was harmless and did not prejudice defendant. Roberts v. State, 2018 Ark. App. 332, 552 S.W.3d 446 (2018).

Provocation by Defendant.

Where the defendant brought upon himself a difficulty in which he continued until he brought upon himself a necessity to kill, the law would not hold him guiltless, yet a person accused of crime could show in justification that, although he brought the danger upon himself, he changed his conduct and endeavored to escape but could not without striking the mortal blow. Aikin v. State, 58 Ark. 544, 25 S.W. 840 (1894); Wheatley v. State, 93 Ark. 409, 125 S.W. 414 (1910); Ferguson v. State, 95 Ark. 428, 129 S.W. 813 (1910); Price v. State, 114 Ark. 398, 170 S.W. 235 (1914) (preceding decisions under prior law).

Refusal to instruct that, although the defendant went to the room of the deceased for the purpose of bringing on a difficulty, and such difficulty was brought on by the defendant and such fight ensued, still if the deceased engaged in such fight with a chair, the same being a deadly weapon or one calculated to inflict great bodily injury upon the defendant and the defendant after being set upon with a chair, drew his pistol and fired the fatal shot, he should be acquitted held proper. Blair v. State, 69 Ark. 558, 64 S.W. 948 (1901) (decision under prior law).

A plea of self-defense could not be sustained where defendant called to deceased and made no effort to avoid a difficulty. Clingan v. State, 77 Ark. 141, 91 S.W. 12 (1905) (decision under prior law).

One using opprobrious words was not precluded from acting in self-defense, unless he used them to bring on the opportunity to kill. Wheatley v. State, 93 Ark. 409, 125 S.W. 414 (1910); Ferguson v. State, 95 Ark. 428, 129 S.W. 813 (1910) (preceding decisions under prior law).

Where the defendant had entertained a grudge against the deceased and had used language in his hearing to provoke him to anger and cause him to bring on a combat whereby the defendant might have the opportunity of killing him or doing him great bodily harm, the defendant would not be excused or justified in the killing unless he withdrew from the combat as far as he could and did all in his power consistent with his safety to avoid the danger and avert the necessity of the killing. Manasco v. State, 104 Ark. 397, 148 S.W. 1025 (1912) (decision under prior law).

Defendant could not provoke an assault, and then without making any effort to abandon the difficulty, shoot his assailant while his own life was not in danger. Arnott v. State, 109 Ark. 378, 159 S.W. 1105 (1913) (decision under prior law).

Where defendant claimed self-defense but the undisputed evidence showed him as an aggressor, there was no prejudice where the court modified the instruction on self-defense by fully explaining to the jury the applicability of such defense. Chaney v. State, 256 Ark. 198, 506 S.W.2d 134 (1974) (decision under prior law).

Although no mention of provocation is found in this section, obviously the provocation restriction on the defense of justification from § 5-2-605 applies equally to the use of “physical force” and “deadly physical force” is defined under § 5-2-601 to include “physical force.” Jones v. State, 1 Ark. App. 318, 615 S.W.2d 388 (1981).

A plea of self-defense is not justified where the evidence showed the defendant armed himself and went to a place in anticipation that the decedent would be there and would attack him; or that the defendant provoked an attack upon himself by the decedent with the intention of killing the decedent. Girtman v. State, 285 Ark. 13, 684 S.W.2d 806 (1985).

Reasonable Belief or State of Mind.

Where defendant acted too hastily and without due care in killing one whom he thought was about to assault him, he was guilty of manslaughter, and not justifiable or excusable homicide. Bruder v. State, 110 Ark. 402, 161 S.W. 1067 (1913) (decision under prior law).

It must have appeared that the circumstances were sufficient to have excited the fears of a reasonably prudent person; a bare fear that deceased would commit the act, to prevent which the homicide was committed, was not sufficient. Plumley v. State, 116 Ark. 17, 171 S.W. 925 (1914) (decision under prior law).

Where the defendant fired the fatal shot under the belief that it was necessary in order to protect himself from great harm, and he fired the shot for that purpose, he should be acquitted, although the jury believed that the accused was mistaken in his conclusion as to the danger to himself. Biddle v. State, 131 Ark. 537, 199 S.W. 913 (1917) (decision under prior law).

One who slew another under the honest belief that his life or limb was in imminent peril and committed the act to prevent the apprehended danger was in the exercise of a lawful act, but unless he acted with due caution and circumspection, he was guilty of manslaughter. Deatherage v. State, 194 Ark. 513, 108 S.W.2d 904 (1937) (decision under prior law).

Instruction regarding fear sufficient to justify killing was not improper nor in conflict with instruction on self-defense. Young v. State, 206 Ark. 19, 176 S.W.2d 151 (1943) (decision under prior law).

Defendant should have been permitted to testify that he had been told that the deceased had previously killed three people, since the testimony was offered to show defendant's state of mind at the time of the shooting. Pope v. State, 262 Ark. 476, 557 S.W.2d 887 (1977).

The actor must have a reasonable belief that the situation necessitates the defensive force employed; in addition, the defense is available only to one who acts reasonably in administering such force. Kendrick v. State, 6 Ark. App. 427, 644 S.W.2d 297 (1982).

Who aggressed is only one factor or circumstance tending to shed light on the essential element of the defense, i.e., defendant's beliefs at the time of the crime and the fact of who aggressed does not prove defendant's beliefs directly. Britt v. State, 7 Ark. App. 156, 645 S.W.2d 699 (1983).

The question of justification is a matter of the defendant's intent, and is a question of fact to be decided by the trier of fact. Taylor v. State, 28 Ark. App. 146, 771 S.W.2d 318 (1989).

Because a juvenile's father had not resorted to use of a deadly weapon during an argument, because there had been an interlude of approximately five minutes since their last confrontation, because the father, at the time he was struck, had turned away from the juvenile, and because the juvenile did not testify as to whether the juvenile's beliefs were reasonable, the juvenile lacked justification under §§ 5-1-102(18), 5-2-606(a)(1), and subdivisions (a)(1) and (2) of this section, and was properly adjudicated as a delinquent for second-degree domestic battering. D.W. v. State, 2011 Ark. App. 187 (2011).

Requirement to Retreat.

Defendant's argument focused on her belief that she was in danger of great bodily harm, but it disregarded the requirement in this section that she attempt to retreat if she was not at her own residence and could do so safely; it was this requirement that the trial court found defendant was unable to satisfy in her defense of justification, which was not error. Graves v. State, 2019 Ark. App. 293 (2019).

Self-Defense.

Deadly physical force is justified as self-defense only if the use of such force cannot be avoided as by retreating. Girtman v. State, 285 Ark. 13, 684 S.W.2d 806 (1985).

Where the defendant was walking away when the victim aimed a pistol at his back, the victim admitted she would have shot him, and a bystander warned the defendant that he was about to be shot when the defendant turned around and shot the victim, the defendant could not have retreated with complete safety and was assaulted in a manner sufficient to cause a realistic fear for his life; therefore, justification was an available defense. Martin v. State, 290 Ark. 293, 718 S.W.2d 938 (1986).

One who claims self-defense must show not only that the person killed was the aggressor, but that the accused used all reasonable means within his power and consistent with his safety to avoid the killing. Ricketts v. State, 292 Ark. 256, 729 S.W.2d 400 (1987).

Neither § 5-1-111(d) nor subsection (a) of this section defines justification or self-defense as an affirmative defense. Patterson v. State, 306 Ark. 385, 815 S.W.2d 377 (1991).

Regardless of the trial court's mistake in describing justification or self-defense as an affirmative defense, there was no reversible error because no objection was made to the instruction. Patterson v. State, 306 Ark. 385, 815 S.W.2d 377 (1991).

Where defendant fired four to five shots at the victim from his car, the victim was in his car at the time and did not do anything threatening or pose any immediate harm to defendant and defendant presented little evidence to support his claim that the shooting was in self-defense, his claim was self-defense was properly rejected. Walker v. State, 91 Ark. App. 300, 210 S.W.3d 157 (2005).

When defendant shot and killed the victim outside his aunt's home, she testified that the victim took a few steps backward, and defendant raised his shirt, brandished a weapon, and fired upon the victim; she did not see a gun in the victim's hand, and her son also testified that defendant was the first to draw a weapon. In defendant's criminal prosecution for murder, the trial court made a credibility determination, found that defendant was the initial aggressor in the deadly altercation, and rejected his self-defense claim under subdivision (a)(2) of this section; the Court of Appeals of Arkansas found substantial evidence to support the trial court's decision. Dishman v. State, 2009 Ark. App. 715 (2009).

Substantial evidence negated defendant's claim of self-defense under subdivision (a)(2) of this section in his trial for first degree battery, under § 5-13-201, because there was no evidence that the victim was armed when defendant shot him and, although defendant testified that the victim attacked him earlier in the day, there was no evidence of an injury to defendant and defendant testified that he was not afraid of the victim; although defendant testified at trial that he was afraid that the victim was going to attack him at the time that he shot him, defendant never made a similar claim in his statement to the police after the incident. Metcalf v. State, 2011 Ark. App. 55 (2011).

During petitioner's capital murder trial, counsel did not perform deficiently by failing to present the affirmative defense of self-defense; evidence showed that petitioner initiated the encounter on the day of the shooting by traveling to his former wife's home while carrying a firearm. Dansby v. Hobbs, 766 F.3d 809 (8th Cir. 2014), cert. denied, — U.S. —, 136 S. Ct. 297, 193 L. Ed. 2d 46 (2015).

Trial court did not err in refusing to give a justification of deadly force jury instruction as defendant offered an incorrect version of the law. Gould v. State, 2014 Ark. App. 543, 444 S.W.3d 408 (2014).

Defendant argued that because there were only two witnesses to the actual shooting, and one was not credible and another's testimony was that the victim was the aggressor, the State failed to disprove the justification defense beyond a reasonable doubt, but this argument was rejected; because there was evidence from which the jury could have found defendant not to be justified in his use of deadly force in this instance, the court affirmed on this point. Lewis v. State, 2014 Ark. App. 730, 451 S.W.3d 591 (2014).

Petitioner was not entitled to a writ of error coram nobis on the ground that the prosecutor withheld material exculpatory evidence in violation of Brady because the presentation of the witness's account of events would not have changed the outcome of the trial by establishing that petitioner fired in self-defense; petitioner admitted that he did not see a gun in the victim's possession and that he could have retreated. Stenhouse v. State, 2016 Ark. 295, 497 S.W.3d 679 (2016), cert. denied, — U.S. —, 137 S. Ct. 837, 197 L. Ed. 2d 75 (2017).

In a first-degree murder trial, there was substantial evidence supporting the jury's verdict that the State disproved defendant's justification defense; there was no other weapon found in the car with the victim, who was shot in the head from behind, defendant immediately fled the scene, defendant admitted it was his immediate reaction to shoot in response to the victim's grabbing him, and justification was a question of fact for the jury to resolve. Jimmerson v. State, 2019 Ark. App. 578, 590 S.W.3d 764 (2019).

Withdrawal of Aggressor.

One who killed his adversary while the latter was manifestly seeking to retire from the combat was guilty of murder or manslaughter, according to the circumstances; but, where one was defending himself from an unlawful attack, it was not incumbent upon him to suspend his defense because assailant was withdrawing himself from the immediate locality of the attempt if such withdrawal was apparently for the purpose of securing a position from which to renew the combat with effect. Luckenbill v. State, 52 Ark. 45, 11 S.W. 963 (1889); Weaver v. State, 83 Ark. 119, 102 S.W. 713 (1907); McDonald v. State, 104 Ark. 317, 149 S.W. 95 (1912) (preceding decisions under prior law).

Even if the jury believed that the victim was the original aggressor, it was not established, as a matter of law, that the use of deadly physical force by the defendant was justified even though, as an occupant of the house, he was not required to retreat; and even if the victim was the original aggressor, if he had, in good faith, withdrawn from the encounter, and the danger to the defendant was no longer immediate, urgent and pressing, the defendant was not justified in pursuing him to continue the fight or to use deadly physical force on him. Thomas v. State, 266 Ark. 162, 583 S.W.2d 32 (1979).

Cited: Hampton v. State, 6 Ark. App. 245, 639 S.W.2d 754 (1982); Smith v. State, 30 Ark. App. 111, 783 S.W.2d 72 (1990); Sharp v. State, 90 Ark. App. 81, 204 S.W.3d 68 (2005); Stocker v. State, 2012 Ark. App. 624 (2012).

5-2-608. Use of physical force in defense of premises.

  1. A person in lawful possession or control of premises or a vehicle is justified in using nondeadly physical force upon another person when and to the extent that the person reasonably believes the use of nondeadly physical force is necessary to prevent or terminate the commission or attempted commission of a criminal trespass by the other person in or upon the premises or vehicle.
  2. A person may use deadly physical force under the circumstances set forth in subsection (a) of this section if:
    1. Use of deadly physical force is authorized by § 5-2-607; or
    2. The person reasonably believes the use of deadly physical force is necessary to prevent the commission of arson or burglary by a trespasser.

History. Acts 1975, No. 280, § 508; A.S.A. 1947, § 41-508.

Case Notes

Evidence.

Defendant was entitled to have the jury consider all the conduct of the decedent in order to determine whether there was a necessity for defendant to act in defense of another or the defense of his household. Brockwell v. State, 260 Ark. 807, 545 S.W.2d 60 (1976).

Preponderance of the evidence supported the district court's finding that defendant's use of deadly physical force under § 5-2-601(2) and (6)(B), which occurred when he pointed a loaded pistol at an undercover officer, was not justified or in self defense, and thus, he was guilty of the felony of aggravated assault under Arkansas law, and the four-level enhancement under U.S. Sentencing Guidelines Manual § 2K2.1(b)(5), now (b)(6), was properly imposed because (1) defendant did not act in self-defense within the meaning of § 5-13-204(c)(2) as he used deadly force against men who had obeyed his command to leave his property and who were loitering on the public sidewalk in front of his house as there was no evidence they were imminently endangering defendant's life under § 5-2-607(a); (2) under § 5-2-607(b)(1), defendant could not use deadly force after he had retreated safely to his house and returned later, unprovoked, to threaten the men; (3) defendant's conduct was not justified as permissible defense of his property within the purview of this section because use of deadly physical force was not authorized by § 5-2-607, and he had no reason to believe that the men who had quietly obeyed a command to leave his property would come back to commit arson or burglary; and (4) defendant's conduct was not justified to defend his home under § 5-2-620 because the men defendant assaulted were not attempting to enter his home, so the statute did not apply. United States v. Raglin, 500 F.3d 675 (8th Cir. 2007).

Defendant's conviction for battery in the second degree was proper because he did not have a justification defense under subsection (a) of this section since his version of the events was unbelievable; any reasonable person would have realized that the victim was acting on behalf of a repossession agency and therefore, defendant could not have been acting on a reasonable belief that he was preventing a criminal trespass. There was also no evidence to indicate that the victim used force against defendant or threatened him with force. Washington v. State, 2010 Ark. App. 339, 374 S.W.3d 822 (2010), review denied, — Ark. —, — S.W.3d —, 2010 Ark. LEXIS 379 (June 24, 2010).

Guests.

A guest had the same right as his host to resist a violent attempt of another to enter the house for the purpose of assaulting “any person dwelling or being therein.” King v. State, 55 Ark. 604, 19 S.W. 110 (1892) (decision under prior law).

Instructions.

Giving an instruction to show that the theory of the state in a prosecution for manslaughter was that deceased had abandoned the controversy and that defendant renewed it was not error, where defendant's theory of self-defense and defense of home and property was fully presented in other instructions given. Connelly v. State, 233 Ark. 826, 350 S.W.2d 298 (1961) (decision under prior law).

Jury Question.

Whether assault was justified as in defense of accused's home was for jury. Davis v. State, 206 Ark. 726, 177 S.W.2d 190 (1944) (decision under prior law).

Retreat.

One who was assaulted in his own home was not bound to retreat, and if the circumstances were such as reasonably to cause the defendant to believe that he was in imminent danger of losing his own life or of receiving great bodily harm and he did so believe, then he was justified in using the force necessary to protect himself and, if necessary, to this end, he could kill the assailant. Elder v. State, 69 Ark. 648, 65 S.W. 938 (1901) (decision under prior law).

State of Mind.

Verdict for defendant was authorized by evidence that defendant in his own premises shot decedent believing him to be armed and fearing an attack. Phillips v. Turney, 198 Ark. 364, 129 S.W.2d 963 (1939) (decision under prior law).

Instruction that if accused made the assault acting in good faith as a reasonable person under apprehension that his house or residence was about to be entered by some person for purpose of committing burglary or robbery or assaulting any person dwelling therein, and that he fired the shots under that belief in good faith, he would not be guilty, was proper. Davis v. State, 206 Ark. 726, 177 S.W.2d 190 (1944) (decision under prior law).

5-2-609. Use of physical force in defense of property.

A person is justified in using nondeadly physical force upon another person when and to the extent that the person reasonably believes the use of nondeadly physical force is necessary to prevent or terminate the other person's:

  1. Commission or attempted commission of theft or criminal mischief; or
  2. Subsequent flight from the commission or attempted commission of theft or criminal mischief.

History. Acts 1975, No. 280, § 509; A.S.A. 1947, § 41-509; Acts 2003, No. 1090, § 1.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Criminal Liability, 26 U. Ark. Little Rock L. Rev. 373.

5-2-610. Use of physical force by law enforcement officers.

  1. A law enforcement officer is justified in using nondeadly physical force or threatening to use deadly physical force upon another person if the law enforcement officer reasonably believes the use of nondeadly physical force or the threat of use of deadly physical force is necessary to:
    1. Effect an arrest or to prevent the escape from custody of an arrested person unless the law enforcement officer knows that the arrest is unlawful; or
    2. Defend himself or herself or a third person from what the law enforcement officer reasonably believes to be the use or imminent use of physical force while effecting or attempting to effect an arrest or while preventing or attempting to prevent an escape.
  2. A law enforcement officer is justified in using deadly physical force upon another person if the law enforcement officer reasonably believes that the use of deadly physical force is necessary to:
    1. Effect an arrest or to prevent the escape from custody of an arrested person whom the law enforcement officer reasonably believes has committed or attempted to commit a felony and is presently armed or dangerous; or
    2. Defend himself or herself or a third person from what the law enforcement officer reasonably believes to be the use or imminent use of deadly physical force.

History. Acts 1975, No. 280, § 510; A.S.A. 1947, § 41-510; Acts 2005, No. 1994, § 491.

Case Notes

Conduct of Officer.

A peace officer could not avail himself of the plea of self-defense in justification of a homicide, the necessity for which grew out of his own unlawful conduct in making an arrest. Roberson v. State, 53 Ark. 516, 14 S.W. 902 (1890) (decision under prior law).

If the defendant brought on the difficulty, he could not take shelter behind his character as an officer, but, rather, he stood as any other person. Johnson v. State, 58 Ark. 57, 23 S.W. 7 (1893) (decision under prior law).

Necessity.

Officers' right in resisting assault could rise no higher than the right of self-defense and, before taking human life, they must have at least acted with due care and circumspection. Deatherage v. State, 194 Ark. 513, 108 S.W.2d 904 (1937) (decision under prior law).

Preventing Escape.

An officer could kill to prevent the escape of a felon. Cavaness v. State, 43 Ark. 331 (1884); Green v. State, 91 Ark. 510, 121 S.W. 727 (1909) (preceding decisions under prior law).

An officer could not kill to prevent the escape of one guilty of a misdemeanor. Thomas v. Kinkead, 55 Ark. 502, 18 S.W. 854 (1892); Smith v. State, 59 Ark. 132, 26 S.W. 712 (1894) (preceding decisions under prior law).

Cited: Heslip v. Lobbs, 554 F. Supp. 694 (E.D. Ark. 1982); Forrest v. Ford, 324 Ark. 27, 918 S.W.2d 162 (1996).

5-2-611. Use of physical force by private person aiding law enforcement officers.

  1. A person is justified in using nondeadly physical force when and to the extent the person reasonably believes the use of nondeadly physical force is necessary to:
    1. Effect the arrest of a person reasonably believed to be committing or to have committed a felony; or
    2. Prevent the escape of a person reasonably believed to have committed a felony.
  2. A person who has been directed by a law enforcement officer to assist in effecting an arrest or in preventing an escape is justified in using nondeadly physical force when and to the extent that the person reasonably believes the use of nondeadly physical force is necessary to carry out the law enforcement officer's direction.
  3. A person who has been directed by a law enforcement officer to assist in effecting an arrest or in preventing an escape is justified in using deadly physical force if the person reasonably believes the use of deadly physical force is necessary to defend himself or herself or a third person from what the person reasonably believes to be the use or imminent use of deadly physical force.

History. Acts 1975, No. 280, § 511; 1977, No. 474, § 2; A.S.A. 1947, § 41-511.

5-2-612. Use of physical force in resisting arrest.

Whether the arrest is lawful or unlawful, a person may not use physical force to resist an arrest by a person who is known or reasonably appears to be a:

  1. Law enforcement officer; or
  2. Private citizen directed by a law enforcement officer to assist in effecting an arrest.

History. Acts 1975, No. 280, § 512; A.S.A. 1947, § 41-512.

Case Notes

Purpose.

This section is designed to ensure that law enforcement activities are conducted peacefully by discouraging violent responses to both legal and illegal arrests. Heslip v. Lobbs, 554 F. Supp. 694 (E.D. Ark. 1982).

Defenses.

This section does not deprive one of the defense of justification if a law enforcement officer uses excessive force in making an arrest; one may use such force as he reasonably believes necessary to defend against any unlawful force he reasonably believes a law enforcement officer is about to inflict upon him. Carter v. State, 9 Ark. App. 206, 657 S.W.2d 213 (1983).

The defense of justification will fail if interposed in a case involving resistance to a lawful or unlawful arrest, whether or not under warrant, so long as the person resisting knew or should have known the arrest was by a law enforcement officer or a person acting under his direction. Thompson v. State, 284 Ark. 403, 682 S.W.2d 742 (1985), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002).

Instructions.

Where the jury could have found from the evidence that the defendant knew or reasonably should have known, that the man was a law enforcement officer, it was proper to instruct the jury that the defendant did not have the right to use force to resist arrest by a person who was known, or reasonably appeared, to be a law enforcement officer. Barnes v. State, 4 Ark. App. 84, 628 S.W.2d 334 (1982).

Refusal to give requested instruction for a charge under § 5-54-104, where there was evidence from which the jury might have found that the defendant reasonably believed the law enforcement officers were using, or about to use, excessive physical force upon a friend of his who lay handcuffed and bleeding on the ground, was ground for reversal. Lucas v. State, 5 Ark. App. 168, 634 S.W.2d 145 (1982).

Remedies for Arrestee.

While this section prohibits an arrestee from resorting to self-help remedies, such as resisting or fleeing an arresting officer, it does not foreclose legal remedies. Heslip v. Lobbs, 554 F. Supp. 694 (E.D. Ark. 1982).

5-2-613. Use of physical force to prevent escape from correctional facility or custody of correctional officer.

  1. Unless the correctional officer knows or reasonably should know that a prisoner is charged with or has been convicted of only a misdemeanor, a correctional officer employed by the Division of Correction or by a private contractor in a correctional facility housing inmates for the division or a city or county correctional officer employed in a correctional facility or jail is justified in using deadly physical force when and to the extent that the correctional officer reasonably believes the use of deadly physical force is necessary to prevent the escape of a prisoner from:
    1. A correctional facility; or
    2. Custody of a correctional officer outside a correctional facility for any purpose.
  2. If the correctional officer knows or reasonably should know that a prisoner is charged with or has been convicted of only a misdemeanor, only nondeadly physical force may be used.

History. Acts 1975, No. 280, § 513; A.S.A. 1947, § 41-513; Acts 1997, No. 525, § 1; 2019, No. 910, § 646.

Amendments. The 2019 amendment substituted “Division of Correction” for “Department of Correction” in (a).

Cross References. Authority of Department of Correction officers and guards, § 12-29-115.

5-2-614. Use of reckless or negligent force.

  1. When a person believes that the use of physical force is necessary for any purpose justifying that use of physical force under this subchapter but the person is reckless or negligent either in forming that belief or in employing an excessive degree of physical force, the justification afforded by this subchapter is unavailable in a prosecution for an offense for which recklessness or negligence suffices to establish a culpable mental state.
  2. When a person is justified under this subchapter in using physical force but he or she recklessly or negligently injures or creates a substantial risk of injury to a third party, the justification afforded by this subchapter is unavailable in a prosecution for the recklessness or negligence toward the third party.

History. Acts 1975, No. 280, § 514; A.S.A. 1947, § 41-514.

Case Notes

Administration of Force.

Where defendant acted too hastily and without due care in killing one whom he thought was about to assault him, he was guilty of manslaughter, and not justifiable or excusable homicide. Bruder v. State, 110 Ark. 402, 161 S.W. 1067 (1913) (decision under prior law).

One who slew another under the honest belief that his life or limb was in imminent peril and committed the act to prevent the apprehended danger was in the exercise of a lawful act, but unless he acted with due caution and circumspection, he was guilty of manslaughter. Deatherage v. State, 194 Ark. 513, 108 S.W.2d 904 (1937) (decision under prior law).

The actor must have a “reasonable belief” that the situation necessitates the defensive force employed; in addition, the defense in available only to one who acts reasonably in administering such force. Kendrick v. State, 6 Ark. App. 427, 644 S.W.2d 297 (1982).

Instructions.

It was proper for court to give instruction which was practically in language of former section which precluded bare fear of offenses from justifying a homicide. Lamb v. State, 218 Ark. 602, 238 S.W.2d 99 (1951) (decision under prior law).

Instruction based on § 5-2-607 rather than defendant's proffered instruction based on this section held proper. Kendrick v. State, 6 Ark. App. 427, 644 S.W.2d 297 (1982).

Where proffered instruction omitted the phrase “is necessary for any of the purposes justifying that use of force under this subchapter,” which appears in subsection (a), such instruction did not correctly state the law, the trial court did not err in refusing to give it. Kemp v. State, 324 Ark. 178, 919 S.W.2d 943, cert. denied, 519 U.S. 982, 117 S. Ct. 436, 136 L. Ed. 2d 334 (1996).

Based upon the evidence presented at trial, there was no rational basis for the “imperfect self-defense” instruction where defendant left the residence, armed himself with a gun, returned to the residence, and opened fire upon entering the front door; therefore, defendant could not rationally argue that he recklessly or negligently formed the belief that the use of deadly force was necessary to protect himself. Kemp v. State, 348 Ark. 750, 74 S.W.3d 224 (2002).

While §§ 5-2-606 and 5-2-607 stated that the defendant was justified in using force or deadly force only if he reasonably believed that the situation necessitated the defensive force employed, both first-degree and second-degree assault were committed if defendant acted recklessly, under §§ 5-13-205 and 5-13-206, and this section provided that justification was not available as a defense to an offense for which recklessness suffices to establish culpability; therefore, defendant was not entitled to self-defense or justification instructions with regard to his charges for first and second-degree assault. Merritt v. State, 82 Ark. App. 351, 107 S.W.3d 894 (2003).

There was no abuse of discretion in a trial court's refusal of defendant's proffered imperfect self-defense jury instruction because there was no rational basis for the instruction where the only basis for the instruction was defendant's self-serving statements or testimony, contradicted by other witnesses. Norris v. State, 2010 Ark. 174, 368 S.W.3d 52 (2010), rehearing denied, — Ark. —, — S.W.3d —, 2010 Ark. LEXIS 292 (May 20, 2010).

Circuit properly refused to give an instruction based on imperfect self-defense where there was no evidence that the victim appeared to be armed or that he had made any threats to indicate that he was armed, and defendant denied that the victim had threatened him with bodily harm. Schnarr v. State, 2017 Ark. 10 (2017).

Circuit court properly denied appellant's petition for postconviction relief because trial counsel was not ineffective for failing to request a non-model jury instruction on imperfect self-defense pursuant to this section. Nelson v. State, 2018 Ark. App. 583, 566 S.W.3d 530 (2018).

Reasonable Belief.

It must have appeared that the circumstances were sufficient to have excited the fears of a reasonably prudent person; a bare fear that deceased would commit the act, to prevent which the homicide was committed, was not sufficient. Plumley v. State, 116 Ark. 17, 171 S.W. 925 (1914) (decision under prior law).

Where the defendant fired the fatal shot under the belief that it was necessary in order to protect himself from great harm, and he fired the shot for that purpose, he should be acquitted, although the jury believed that the accused was mistaken in his conclusion as to the danger to himself. Biddle v. State, 131 Ark. 537, 199 S.W. 913 (1917) (decision under prior law).

Instruction regarding fear sufficient to justify killing was not improper nor in conflict with instruction on self-defense. Young v. State, 206 Ark. 19, 176 S.W.2d 151 (1943) (decision under prior law).

In murder prosecution, trial court did not err in refusing to give requested jury instruction that the degree of force used in self-defense is presumed reasonable when a person is in his own home and, instead, submitting to the jury AMCI 4105 concerning reasonable belief. Jewell v. State, 38 Ark. App. 254, 832 S.W.2d 856 (1992).

In a trial for manslaughter under § 5-10-104, the circuit court erred when it did not instruct the jury on justification because, under this section, if defendant was reckless or negligent in forming the belief that force was necessary, then, and only then, was the defense unavailable; however, if defendant was not reckless or negligent in forming his belief, the defense was available, and that was a decision for the jury. Schnarr v. State, 2018 Ark. 333, 561 S.W.3d 308 (2018).

Denial of the justification is not triggered until culpability is determined. Prohibiting a justification defense because the charged offense involves recklessness would be premature as it is for the jury to determine culpability. Schnarr v. State, 2018 Ark. 333, 561 S.W.3d 308 (2018).

Plain language of this section provides that once the jury determines whether a defendant has been reckless or negligent in forming the belief that force is necessary, then the applicability of the justification defense is determined. Schnarr v. State, 2018 Ark. 333, 561 S.W.3d 308 (2018).

Justification is not an affirmative defense that must be pleaded but becomes a defense when any evidence tending to support its existence is offered to support it; a justification, such as self-defense, is considered an element of the offense under § 5-1-102(5)(C), and once raised, it must be disproved by the prosecution beyond a reasonable doubt. Schnarr v. State, 2018 Ark. 333, 561 S.W.3d 308 (2018).

5-2-615. Use of physical force by a pregnant woman in defense of her unborn child.

  1. As used in this section:
    1. “Pregnant” means the female reproductive condition of having an unborn child in the female's body; and
    2. “Unborn child” means the offspring of human beings from conception until birth.
  2. A pregnant woman is justified in using physical force or deadly physical force against another person to protect her unborn child if, under the circumstances as the pregnant woman reasonably believes them to be, she would be justified under § 5-2-606 or § 5-2-607 in using physical force or deadly physical force to protect herself against the unlawful physical force or unlawful deadly physical force she reasonably believes to be threatening her unborn child.
  3. The justification for using physical force or deadly physical force against another person to protect a pregnant woman's unborn child is not available if:
    1. The use of the physical force or deadly physical force for protection was used by a person other than the pregnant woman; or
      1. The use of the deadly physical force for protection would not be allowed under § 5-2-607(b).
      2. However, the pregnant woman is not obligated to retreat or surrender possession of property as described in § 5-2-607(b) unless the pregnant woman knows she can avoid the necessity of using deadly physical force and simultaneously ensure the complete safety of her unborn child.

History. Acts 2013, No. 156, § 3.

A.C.R.C. Notes. Acts 2013, No. 156, § 1, provided: Findings.

“The General Assembly finds that:

“(1) Violence and abuse are often higher during pregnancy than during any other period in a woman's lifetime;

“(2) Women are more likely to suffer increased abuse as a result of unintended pregnancies;

“(3) Younger women are at a higher risk for pregnancy-associated homicide;

“(4) A pregnant woman is more likely to be a victim of homicide than to die of any other cause;

“(5) Homicide and other violent crimes are the leading causes of death for women of reproductive age;

“(6) Husbands, ex-husbands, or boyfriends are often the perpetrators of pregnancy-associated homicide or violence;

“(7) Moreover, when husbands, ex-husbands, or boyfriends are involved, the violence is often directed at the unborn child or intended to end or jeopardize the pregnancy;

“(8) Violence against a pregnant woman puts the life and bodily integrity of both the pregnant woman and the unborn child at risk;

“(9) According to the Centers for Disease Control and Prevention, every year in the United States more than three hundred thousand (300,000) pregnant women experience some kind of violence involving an intimate partner;

“(10) The Centers for Disease Control and Prevention define domestic violence during pregnancy as ‘physical, sexual, or psychological/emotional violence or threats of physical or sexual violence that are inflicted on a pregnant woman’; and

“(11) In a household survey cited in ‘Battering and Pregnancy’ (Midwifery Today 19:1998), it was found that pregnant women are sixty and six tenths percent (60.6%) more likely to be beaten than women who are not pregnant.”

Acts 2013, No. 156, § 2, provided: Legislative intent.

“By passing this act, the General Assembly intends to:

“(1) Ensure that the affirmative right of a pregnant woman to carry her child to term is protected;

“(2) Ensure that defenses to criminal liability provide for a pregnant woman's right to use physical force including deadly force to protect her unborn child; and

“(3) Supplement, but not supersede, the applicability of any other defenses to criminal liability currently provided in the Arkansas Code.”

5-2-616 — 5-2-619. [Reserved.]

  1. The right of an individual to defend himself or herself and the life of a person or property in the individual's home against harm, injury, or loss by a person unlawfully entering or attempting to enter or intrude into the home is reaffirmed as a fundamental right to be preserved and promoted as a public policy in this state.
  2. There is a legal presumption that any force or means used to accomplish a purpose described in subsection (a) of this section was exercised in a lawful and necessary manner, unless the presumption is overcome by clear and convincing evidence to the contrary.
  3. The public policy stated in subsection (a) of this section shall be strictly complied with by the court and an appropriate instruction of this public policy shall be given to a jury sitting in trial of criminal charges brought in connection with this public policy.

History. Acts 1981, No. 880, § 1; A.S.A. 1947, § 41-507.1.

A.C.R.C. Notes. The effect of the presumption in subsection (b) of this section in a criminal case is questionable due to the requirements in § 5-1-111(c) that the prosecution rebut a defense by proof beyond a reasonable doubt. See Clark v. State, 15 Ark. App. 393, 695 S.W.2d 396 (1985).

Case Notes

Burden of Proof.

State's obligation to prove the elements of aggravated assault beyond a reasonable doubt subsumed the lesser burden of proof to overcome the presumption of legality in the defense of one's home. Montalvo v. State, 2012 Ark. App. 119 (2012).

Instructions.

The trial court did not err in refusing to instruct the jury upon this section where the jury was instructed pursuant to AMCI 4105. Clark v. State, 15 Ark. App. 393, 695 S.W.2d 396 (1985); Jewell v. State, 38 Ark. App. 254, 832 S.W.2d 856 (1992).

Trial court did not err in instructing the jury that “reasonably believes” or “reasonable belief” means the belief that an ordinary, prudent man would form under the circumstances in question and not one recklessly or negligently formed, pursuant to AMCI 4105; the court rejected defendant's argument that this definition would allow the jury to find defendant guilty, even if it believed facts that would require a finding of not guilty, since a finding that defendant acted negligently or recklessly would not support a conviction for first degree or second degree murder or manslaughter. Jewell v. State, 38 Ark. App. 254, 832 S.W.2d 856 (1992).

In a case in which the jury was instructed on justification and the use of deadly force in defense of a person under Ark. Model Jury Instruction Crim. § 705 (2d ed.) that reflected the language of § 5-2-607 and defendant was convicted by a jury of second-degree murder and was sentenced to prison under the enhancement provision for a total of 540 months, defendant argued unsuccessfully that the circuit court erred by refusing the jury instruction he proffered on self-defense, a non-model jury instruction reflecting the language of this section. There was no merit to his argument that mere technical changes to this section and the legislature's reaffirmation of the statute's public policy somehow translated into legislative intent that juries in criminal cases be instructed as to an individual's right to defend himself or herself against a person intruding into his or her home. Hutchinson v. State, 2010 Ark. App. 235 (2010).

Nature of Right.

This section gives one the right to defend himself and others and his property against unlawful intrusion, but not the right to be an aggressor. Carter v. State, 9 Ark. App. 206, 657 S.W.2d 213 (1983).

As far as this section may implicate the basic right to defend without retreat, a person may exercise that right “in his home” and that is consistent with § 5-2-607(b)(1) and AMCI 4105. Hopes v. State, 294 Ark. 319, 742 S.W.2d 561 (1988).

Unprovoked Attack.

Evidence was sufficient to find that the defendant's unprovoked physical attack was unlawful. Carter v. State, 9 Ark. App. 206, 657 S.W.2d 213 (1983).

Preponderance of the evidence supported the district court's finding that defendant's use of deadly physical force under § 5-2-601(2) and (6)(B), which occurred when he pointed a loaded pistol at an undercover officer, was not justified or in self defense, and thus, he was guilty of the felony of aggravated assault under Arkansas law, and the four-level enhancement under U.S. Sentencing Guidelines Manual § 2K2.1(b)(5), now (b)(6), was properly imposed because (1) defendant did not act in self-defense within the meaning of § 5-13-204(c)(2) as he used deadly force against men who had obeyed his command to leave his property and who were loitering on the public sidewalk in front of his house as there was no evidence they were imminently endangering defendant's life under § 5-2-607(a); (2) under § 5-2-607(b)(1), defendant could not use deadly force after he had retreated safely to his house and returned later, unprovoked, to threaten the men; (3) defendant's conduct was not justified as permissible defense of his property within the purview of § 5-2-608 because use of deadly physical force was not authorized by § 5-2-607, and he had no reason to believe that the men who had quietly obeyed a command to leave his property would come back to commit arson or burglary; and (4) defendant's conduct was not justified to defend his home under this section because the men defendant assaulted were not attempting to enter his home, so the statute did not apply. United States v. Raglin, 500 F.3d 675 (8th Cir. 2007).

Cited: Doles v. State, 280 Ark. 299, 657 S.W.2d 538 (1983).

5-2-621. [Transferred.]

Publisher's Notes. Former § 5-2-621 was renumbered as § 16-120-303 in 2016 by the Arkansas Code Revision Commission.

5-2-622. Gambling debts and losses.

It is no defense to a prosecution for a crime of violence that a person was seeking recovery or replevin of a gambling debt or loss in circumstances in which civil recovery is permitted by § 16-118-103.

History. Acts 2009, No. 460, § 1.

A.C.R.C. Notes. Acts 2009, No. 460, § 3, provided: “It is the intent of this Act to overrule Daniels v. State, 373 Ark. 536, ___ S.W.3d ___ (2008), and its interpretation of § 16-118-103(a)(1). That case and its interpretation of replevin and the holding in Davidson v. State, 200 Ark. 495, 139 S.W.2d 409 (1940), are contrary to the public policy of this State.”

5-2-325. [Repealed.]

5-2-620. Use of force to defend persons and property within home.

Chapter 3 Inchoate Offenses

Research References

Am. Jur. 21 Am. Jur. 2d, Crim. L., § 174 et seq.

C.J.S. 21 C.J.S., Crim. L., § 114 et seq., § 126 et seq.

Subchapter 1 — General Provisions

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

5-3-101. Mitigation — Affirmative defense.

It is an affirmative defense to a prosecution for criminal attempt, solicitation, or conspiracy that:

  1. The conduct charged to constitute the offense is inherently unlikely to result or to culminate in the commission of a crime; and
  2. Neither the conduct nor the defendant presents a public danger warranting imposition of criminal liability.

History. Acts 1975, No. 280, § 715; A.S.A. 1947, § 41-715.

Research References

Ark. L. Rev.

The Constitutionality of Affirmative Defenses to Criminal Charges, 29 Ark. L. Rev. 430.

Case Notes

Conduct Unlikely to Result in Crime.

The plan or plans discussed by which a crime could be committed certainly cannot be characterized as conduct inherently unlikely to result or to culminate in the commission of a crime. Chronister v. State, 265 Ark. 437, 580 S.W.2d 676 (1979).

5-3-102. Multiple convictions barred.

A person may not be convicted of more than one (1) offense defined by this chapter for conduct designed to commit or to culminate in the commission of the same offense.

History. Acts 1975, No. 280, § 716; A.S.A. 1947, § 41-716.

5-3-103. Solicitation and conspiracy — Defenses and claims that are not defenses.

  1. It is a defense to a prosecution for solicitation or conspiracy to commit an offense that:
    1. The defendant is a victim of the offense; or
    2. The offense is defined so that the defendant's conduct is inevitably incident to the commission of the offense.
  2. It is not a defense to a prosecution for conspiracy or solicitation to commit an offense that:
    1. The defendant or the person whom the defendant solicits or with whom the defendant conspires does not occupy a particular position or have a particular characteristic that is an element of that offense, if the defendant believes that one (1) of the persons does;
    2. The person whom the defendant solicits or with whom the defendant conspires is irresponsible or is immune to prosecution or conviction for the commission of the offense or has feigned agreement;
    3. The person whom the defendant solicits or with whom the defendant conspires has not been charged with, prosecuted for, convicted of, or has been acquitted of an offense based upon the conduct alleged or has been convicted of a different offense or degree of offense, even if the defendant and the person whom the defendant solicits or with whom the defendant conspires were tried jointly;
    4. The person whom the defendant solicits or with whom the defendant conspires could not be guilty of committing that offense because that person is unaware of the criminal nature of the conduct in question or of the defendant's criminal purpose; or
    5. The offense charged, as defined, can be committed only by a particular class of persons, and the defendant, not belonging to that particular class of persons, is for that reason legally incapable of committing the offense in an individual capacity unless imposing liability on the defendant is inconsistent with the purpose of the provision establishing the defendant's incapacity.

History. Acts 1975, No. 280, § 713; A.S.A. 1947, § 41-713; Acts 1995, No. 1294, § 2.

A.C.R.C. Notes. Acts 1995, No. 1294, § 3, provided:

“By these amendments the General Assembly of the State of Arkansas legislatively overrules Yedrysek v. State, 293 Ark. 541, 739 S.W.2d 672 (1987).”

Research References

U. Ark. Little Rock L.J.

Survey — Criminal Law, 11 U. Ark. Little Rock L.J. 175.

Case Notes

Defense to Prosecution.

It is not a defense to a prosecution for conspiracy to commit an offense that the person with whom the defendant is alleged to have conspired has not been charged, prosecuted, convicted, or has been acquitted of an offense based upon the conduct alleged. Shamlin v. State, 19 Ark. App. 165, 718 S.W.2d 462 (1986); Shamlin v. State, 23 Ark. App. 39, 743 S.W.2d 1 (1988), rehearing denied, 23 Ark. App. 39, 744 S.W.2d 405 (1988), cert. denied, Shamlin v. Arkansas, 488 U.S. 863, 109 S. Ct. 163 (1988).

It is no defense that co-conspirators have been either acquitted or convicted of a different offense as the rationale allowing for inconsistent verdicts in conspiracy cases where the conspirators are separately tried does not pertain in the case of joint trials; unlike where separate trials are involved, in a joint trial the state tries the co-conspirator by use of the same proof bearing on the same charges and offered before the same court or jury. Yedrysek v. State, 293 Ark. 541, 739 S.W.2d 672 (1987).

Evidence.

Evidence held sufficient to support conviction. Guinn v. State, 23 Ark. App. 5, 740 S.W.2d 148 (1987).

Cited: Chronister v. State, 265 Ark. 437, 580 S.W.2d 676 (1979).

Subchapter 2 — Criminal Attempt

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Research References

ALR.

Impossibility of consummation as defense to prosecution for attempt. 41 A.L.R.4th 588.

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

5-3-201. Conduct constituting attempt.

  1. A person attempts to commit an offense if he or she purposely engages in conduct that:
    1. Would constitute an offense if the attendant circumstances were as the person believes them to be; or
    2. Constitutes a substantial step in a course of conduct intended to culminate in the commission of an offense whether or not the attendant circumstances are as the person believes them to be.
  2. When causing a particular result is an element of the offense, a person commits the offense of criminal attempt if, acting with the kind of culpable mental state otherwise required for the commission of the offense, the person purposely engages in conduct that constitutes a substantial step in a course of conduct intended or known to cause the particular result.
  3. Conduct is not a substantial step under this section unless the conduct is strongly corroborative of the person's criminal purpose.

History. Acts 1975, No. 280, § 701; A.S.A. 1947, § 41-701.

Research References

Ark. L. Rev.

Case Note, Criminal Liability for Attempting to Inflict the AIDS Virus: Possibilities in Arkansas' Future, 45 Ark. L. Rev. 505.

U. Ark. Little Rock L.J.

Survey — Criminal Law, 10 U. Ark. Little Rock L.J. 137.

Case Notes

Applicability.

This section states that a person commits the criminal act of attempt when his conduct constitutes a substantial step intended to result in the commission of an offense; it does not exclude any crimes from its application, nor does it list any crimes to which it applies. Mitchell v. State, 290 Ark. 87, 717 S.W.2d 195 (1986).

Appeal.

Defendant's motion for acquittal on the attempted rape charge addressed the “substantial step” element of the crime and was therefore specific enough to preserve the issue on appeal. Daffron v. State, 318 Ark. 182, 885 S.W.2d 3 (1994).

Attempted Aggravated Robbery.

Jury instruction on the lesser-included offense of attempted aggravated robbery was not warranted because there was no evidence of the offense of attempt under subdivision (a)(2) of this section; when appellant stormed out of a retail store's stockroom brandishing a gun and pointing it employees, he actually completed the offense of aggravated robbery. Thomas v. State, 2012 Ark. App. 466, 422 S.W.3d 217 (2012).

Attempted Battery.

Attempted battery is a crime under this section. Mitchell v. State, 290 Ark. 87, 717 S.W.2d 195 (1986).

The fact that the victim was injured, but not seriously, did not preclude a charge of attempted first degree battery, even though the defendant's conduct also fit the definition of battery in the third degree. Mitchell v. State, 290 Ark. 87, 717 S.W.2d 195 (1986).

Where the defendant intended to kill or seriously injure the victim, and the defendant took a substantial step to carry out his purpose, and only because of the misfire was such a misfortune avoided, the evidence supported the charge of attempted battery in the first degree. Mitchell v. State, 290 Ark. 87, 717 S.W.2d 195 (1986).

Attempted Burglary.

Although the defendant was convicted of attempted burglary, it was nevertheless necessary to prove that he attempted to enter an occupiable structure with the purpose of committing therein an offense punishable by imprisonment. Cristee v. State, 25 Ark. App. 303, 757 S.W.2d 565 (1988).

Evidence sufficient to find appellant guilty of attempted breaking or entering. Powell v. State, 33 Ark. App. 1, 799 S.W.2d 566 (1990).

Where there was evidence that defendant made an attempt to enter a building by the use of a key, and that he had no permission to make such an entry, the evidence was sufficient to support the finding that defendant took a substantial step toward committing the offense of burglary. Ward v. State, 35 Ark. App. 148, 816 S.W.2d 173 (1991).

Where defendant attempted to enter a building at 3:00 a.m., which was closed to the public, and as there was no reasonable basis for the attempted illegal entry other than for the purpose of committing a theft therein, the evidence was sufficient to support that conviction. Ward v. State, 35 Ark. App. 148, 816 S.W.2d 173 (1991).

Evidence of breaking into a house is not evidence of intent to commit a crime therein. Tiller v. State, 42 Ark. App. 64, 854 S.W.2d 730 (1993).

Circuit court erred in convicting defendant of attempted residential burglary; even though he was caught unlawfully entering his girlfriend's former residence while holding a small bag and fled when her daughter yelled at him, there was no evidence that he did so with the purpose or specific intent of committing therein a theft of property. There was no evidence to show whether the bag was empty or contained something, defendant was not a complete stranger to the daughter or to the residence, the illegal entry was in the middle of the day, and the window was known to not close properly. Whitworth v. State, 2017 Ark. App. 462, 531 S.W.3d 407 (2017).

Attempted Capital Murder.

Evidence was sufficient to uphold conviction for attempted capital murder. Holbird v. State, 301 Ark. 382, 784 S.W.2d 171 (1990).

Under this section and § 5-10-101, premeditation and deliberation constitute the necessary mental state for the commission of attempted capital murder. Salley v. State, 303 Ark. 278, 796 S.W.2d 335 (1990).

The trial court did not err in allowing the state to amend the information charging “attempt to commit capital felony murder” by allowing the deletion of the word “felony,” after the state had rested its case in chief, and after the defendant's motion to dismiss, because allowing the state to strike the word “felony” from each information did not cause any real change in the nature or degree of the charges against the defendant. Ledguies v. State, 46 Ark. App. 144, 877 S.W.2d 946 (1994).

Where evidence showed that there was a history of domestic abuse and threats, that defendant had a knife, a pair of handcuffs, duct tape, a leatherman-type tool, and gloves when he was arrested, and that defendant told the unavailable officer that defendant intended to tie the victim up and kill her, the state had no direct evidence of defendant's intent to commit murder without the improperly admitted testimony of the unavailable officer. Proctor v. State, 349 Ark. 648, 79 S.W.3d 370 (2002).

Evidence was sufficient to sustain a conviction for attempted capital murder where there was substantial evidence that defendant was not merely engaged in the “act of driving”; the victim, a police officer, testified that the driver attempted to run him over, he observed a flash from the passenger side window, he realized that he had heard a gunshot, and an officer identified defendant as the driver of the vehicle. Clark v. State, 358 Ark. 469, 192 S.W.3d 248 (2004).

Trial court did not err in denying defendant's motion to supress certain statements she made during questioning regarding her missing child; although defendant claimed that she had done the best she could to convey to the officer that she was concerned about continuing to talk to him without a lawyer present, when the officer asked defendant whether she was asking for a lawyer, she did not answer that question but continued answering other questions and did not mention a lawyer again during the interview. Gilbert v. State, 88 Ark. App. 296, 198 S.W.3d 561 (2004).

Even if defendant's sufficiency of the evidence argument been preserved, the appellate court would have found that the evidence supporting the verdict of guilty of attempted first-degree murder and filing a false report was substantial where defendant reported her child as missing but later told police where they could find him. Gilbert v. State, 88 Ark. App. 296, 198 S.W.3d 561 (2004).

Evidence was sufficient to convict defendant of criminal attempt to commit capital murder where (1) while searching for a suspect, the trooper stopped in the middle of a street and observed a vehicle 30-40 yards away; (2) the vehicle began moving towards the trooper with its headlights on; (3) the trooper then observed a flash from the passenger-side window and heard a pop, which he thought was a gunshot; (4) the trooper believed that he was shot at because he was the only person on the street at 1:30 a.m.; (5) the vehicle was later stopped and a spent shell casing that was found inside the vehicle on the passenger side matched a weapon that was found about a block and a half away from where the vehicle ultimately stopped; and (6) witnesses testified that defendant and the driver had just left the home of the suspect's aunt, whom the trooper had been previously chasing. Simmons v. State, 89 Ark. App. 34, 199 S.W.3d 711 (2004).

Aggravated robbery is not a lesser included offense of attempted capital murder because, while an aggravated-robbery charge shares the intent to rob with attempted capital murder, aggravated robbery also requires one of three other elements. Two of those elements, being armed with a deadly weapon, or representing as such, are unique to aggravated robbery, and the third possible element of aggravated robbery is having inflicted or attempted to inflict death or serious physical injury upon another, which is not equivalent to the element in attempted capital murder that a defendant, in the course of or in flight from such robbery, caused the death of a person under circumstances manifesting extreme indifference to the value of human life. Clark v. State, 373 Ark. 161, 282 S.W.3d 801 (2008).

Prohibition against double jeopardy was not violated when defendant was convicted of aggravated robbery and attempted capital murder because the robbery was the underlying felony, and aggravated robbery was not the lesser-included offense of attempted capital murder. Clark v. State, 373 Ark. 161, 282 S.W.3d 801 (2008).

Defendant's conviction for attempted capital murder, in violation of § 5-10-101(a)(4) and subdivision (a)(2) of this section, was supported by the evidence because the victim, defendant's wife, testified that he came into the garage demanding to talk to her, shot her, and commented that she should die; defendant's coworker testified that defendant stated that he was going to shoot his wife if she had any divorce papers. Johnson v. State, 375 Ark. 462, 291 S.W.3d 581 (2009), cert. denied, Johnson v. Arkansas, 558 U.S. 847, 130 S. Ct. 118, 175 L. Ed. 2d 77 (2009).

Where defendant picked his ex-wife up from work, drove her to a bridge, stabbed her, threw her to the ground, and pushed her into the water, the evidence was sufficient to support his conviction for attempted first-degree murder in violation of § 5-10-102(a)(2) and subdivision (a)(2) of this section. When defendant learned the police had been called, he threw the victim a rope and told her to get herself out the water. Jones v. State, 2009 Ark. App. 135 (2009).

In a case in which defendant was found guilty on three counts of attempted first-degree murder, of being a felon in possession of a firearm, and three counts of committing a terroristic act, he unsuccessfully argued that substantial evidence did not support his convictions; while the evidence was circumstantial, substantial evidence supported the conclusion that defendant committed the crimes in question. Moments after the shooting, a dark-colored car was observed speeding away from the area without its lights on even though it was dark outside, that car crashed into another vehicle five blocks from the shooting, a witness positively identified defendant as the person who emerged from the driver's side of the car carrying a long rifle, shell casings from a rifle were recovered from the scene of the shooting, defendant's DNA was found on the driver's side airbag of the car, and the car contained a letter addressed to defendant. Smith v. State, 2010 Ark. App. 216 (2010).

Evidence was sufficient to sustain defendant's attempted capital murder convictions because, after shooting the officer in the shoulder, defendant fired five additional shots at the fleeing officers; the officer's pat-down of defendant showed that he was unarmed, but he had the wherewithal to run into the apartment and retrieve his gun. Inthisone v. State, 2013 Ark. App. 482 (2013).

Even assuming the witness was an accomplice, there was independent evidence tending to connect defendant with attempted capital murder, unlawful discharge of a firearm from a vehicle, and fleeing, as his letters and call to the witness were consistent with testimony that defendant was the shooter, and the jury could have found that defendant's alleged actions in firing the assault rifle at the officer and telling the driver to go aided and encouraged the driver in fleeing from the officer. Farmer v. State, 2019 Ark. App. 331 (2019).

Attempted Kidnapping.

The crime of attempted kidnapping is encompassed in this section and § 5-11-102. Green v. State, 313 Ark. 87, 852 S.W.2d 110 (1993).

Where the evidence displayed defendant's impulse to kidnap the victim and additional impulses to batter and threaten to kill her when she resisted the kidnapping, convictions for the separate offenses of first degree terroristic threatening (§ 5-13-301), second degree battery (§ 5-13-202), and attempted kidnapping were upheld because defendant's criminal acts were not all part of the attempted kidnapping and were not a continuing course of conduct. Hagen v. State, 318 Ark. 139, 883 S.W.2d 832 (1994).

Although defendant had a knife, a pair of handcuffs, duct tape, a leatherman-type tool, and gloves when he was arrested, the circumstantial evidence of defendant's intent to restrain the victim's liberty for the purpose of terrorizing or harming the victim was not overwhelming and defendant's conviction for attempted kidnapping, pursuant to § 5-11-102(a) and subdivision (a)(2) of this section, was reversed. Proctor v. State, 349 Ark. 648, 79 S.W.3d 370 (2002).

Attempted Murder.

Evidence was sufficient to sustain defendant's conviction for attempted first-degree murder under subdivision (a)(2) of this section and § 5-10-102(a)(1) as the evidence demonstrated that defendant, in the process of fleeing a store that he had just robbed at gunpoint, shot at a police officer two times. A jury could reasonably conclude that the act of shooting at someone was a substantial step toward causing that person's death. Lambert v. State, 2011 Ark. App. 258 (2011).

Defendant's convictions for first-degree murder and aggravated robbery, in violation of this § 5-10-102(a), this section, and § 5-12-103(a), were supported by sufficient evidence, as the evidence showed that defendant was armed with a deadly weapon for the purpose of committing the theft of a cab driver, that defendant threatened the driver, and that the driver was shot in the struggle over the gun. Garr v. State, 2011 Ark. App. 509 (2011).

Evidence was sufficient to sustain defendant's attempted first-degree murder conviction because defendant knocked on a door and fired a gun at the victim when he opened the door. The jury could reasonably have inferred that defendant purposely engaged in conduct that constituted a substantial step in a course of conduct known to cause death to another person, regardless of that person's identity. Wells v. State, 2012 Ark. App. 596, 424 S.W.3d 378 (2012).

There was sufficient evidence to convict defendant of attempted capital murder, where the evidence showed defendant threatened to kill the victim and made the conscious decision to attack him with a semiautomatic gun, but the weapon jammed when defendant pointed it at the victim in order to shoot and kill him, and the victim escaped before defendant could attempt to fire again. Hill v. State, 2015 Ark. App. 700, 478 S.W.3d 225 (2015).

Attempted Possession of Controlled Substance.

Evidence was sufficient to support a conviction for criminal attempt to possess crack cocaine where (1) the defendant approached an undercover officer posing as a street-level crack cocaine dealer and asked for a “thirty,” (2) the defendant was thereafter arrested and found to have $30 in his possession, and (3) the officer testified that, based on his experience in the area, the term “thirty” meant $30 of crack cocaine. Barnett v. State, 68 Ark. App. 38, 3 S.W.3d 344 (1999).

Attempted Rape.

A person attempts the offense of rape if he purposely engages in conduct that constitutes a substantial step in a course of conduct intended to culminate in the commission of rape whether or not the attendant circumstances are as he believes them to be. Summerlin v. State, 296 Ark. 347, 756 S.W.2d 908 (1988).

Where defendant had taken sexual liberties with his twelve-year-old daughter, even though he had not forced intercourse or prevented her from leaving the bedroom, the evidence of criminal attempt to rape was sufficient. Daffron v. State, 318 Ark. 182, 885 S.W.2d 3 (1994).

Attempted removal of the victim's clothing is not essential to a finding of attempted rape; defendant's words and actions constituted substantial evidence that he intended to rape the victim and that he took a substantial step towards raping her. Hagen v. State, 47 Ark. App. 137, 886 S.W.2d 889 (1994).

There was sufficient evidence to convict defendant of attempted rape against an 11-year old fictional girl, who was a product of an internet email sting operation by police, because there was no defense of impossibility to attempt crimes, pursuant to subsection § 5-3-201(a)(2) of this section, and the fact that defendant drove from his home state to the alleged home state of the girl with sexual accessories and photographic equipment represented a substantial step towards completing the commission of the crime, pursuant to § 5-14-103(a)(1)(C)(i). Kirwan v. State, 351 Ark. 603, 96 S.W.3d 724 (2003).

District court properly denied a habeas petition alleging violation of due process where substantial evidence supported attempted rape as the underlying felony for capital felony murder; review of the historical facts showed that the inmate unbuckled the victim's belt, unzipped her jeans, and removed her shirt and socks, and the inmate was seen by other witnesses in a state of partial undress. Nance v. Norris, 392 F.3d 284 (8th Cir. 2004), rehearing denied, — F.3d —, 2005 U.S. App. LEXIS 3898 (8th Cir. Mar. 8, 2005), cert. denied, 126 S. Ct. 133, 163 L. Ed. 2d 136 (U.S. 2005).

Evidence was sufficient to sustain an attempted rape conviction where defendant initiated a call to the 13 year old victim, picked her up under false pretenses, isolated her in a motel room, told her that he and his girlfriend intended to engage in sexual intercourse with her, and he returned to the motel room with his girlfriend; those steps went beyond mere planning and preparation. Mitchem v. State, 96 Ark. App. 78, 238 S.W.3d 623 (2006).

Defendant's conviction for attempted rape of his 13-year-old stepdaughter, in violation of § 5-14-103(a)(3)(A) and subsection (b) of this section, was supported by the evidence because the victim testified that defendant, who wanted oral sex from her, thrust himself upon her while she was in the shower until her grandmother, who lived next door, appeared at the front door. Forrest v. State, 2010 Ark. App. 686 (2010).

Conviction for aggravated residential burglary was reversed because there was insufficient evidence that defendant attempted to inflict a serious physical injury under § 5-39-204(a)(2). Serious physical injury could be inflicted during a sexual assault, but under current Arkansas law, a sexual assault does not necessarily constitute a serious physical injury; even assuming that defendant did intend to sexually assault the victim, defendant's intention, combined with his grabbing her shoulder and causing a minor scratch to her baby's face, did not constitute a substantial step toward inflicting a serious physical injury, as defined by § 5-1-102. Inskeep v. State, 2016 Ark. App. 135, 484 S.W.3d 709 (2016).

Attempted Reckless Manslaughter.

Trial court did not err by failing to instruct on attempted reckless manslaughter as a lesser-included offense of attempted second-degree murder because the crime of attempted reckless manslaughter is inherently contradictory. The attempted offense involved an intentional act, and it would have been illogical to ask the jury to find that defendant intended to act recklessly or that he purposely engaged in conduct that was a substantial step in a course of conduct intended to culminate in acting recklessly. Even if the instruction was based on sound law, there was no rational basis for giving it in this case where defendant's actions in running over people were intentional, regardless of whether he intended to bring about the particular result of death. Allen v. State, 2015 Ark. App. 360, 465 S.W.3d 9 (2015).

Attempted Robbery.

Substantial evidence supported defendant's capital murder conviction under § 5-10-101, as there was sufficient evidence that defendant committed the underlying felony of attempted robbery under § 5-12-102 and this section; defendant approached the victim with a weapon, demanded his phone, and pointed the weapon at the victim at point-blank range. Hicks v. State, 2017 Ark. 262, 526 S.W.3d 831 (2017).

Attempted Sexual Assault.

Defendant was charged with second-degree sexual assault but convicted of the lesser-included offense of attempted second-degree sexual assault and his sufficiency argument was not preserved for review; defendant's directed-verdict motion, which the trial court denied, pertained to the completed offense of second-degree sexual assault, and not its attempt, and to the extent the “mens rea” argument was even preserved, the jury could assume that defendant's purposeful acts of touching the 16-year-old victim's vagina and attempting to lift her shirt, combined with the questions he was asking her, were attempts to have sexual contact with her for his sexual gratification. Perea v. State, 2019 Ark. App. 426, 586 S.W.3d 690 (2019).

Attempted Theft by Deception.

For the offense of attempted theft by deception, the issues are the defendant's state of mind and his belief as to what the facts are, not whether an item taken has actual value or whether the defendant actually deceived the victim. Wilson v. State, 56 Ark. App. 47, 939 S.W.2d 313 (1997).

Evidence of attempted theft by deception held sufficient. Wilson v. State, 56 Ark. App. 47, 939 S.W.2d 313 (1997).

Commission of the Principal Offense.

Although defendant was obliged to abort his robbery of a small store, the evidence of kidnapping, aggravated robbery, and attempted murder held sufficient. Durham v. State, 320 Ark. 689, 899 S.W.2d 470 (1995).

Conduct Intended to Culminate in Crime.

To warrant a conviction of attempt to commit offense it had to appear not only that defendant intended to commit the offense, but that he did some overt act toward accomplishment of his purpose. Priest v. State, 204 Ark. 490, 163 S.W.2d 159 (1942); Boyd v. State, 207 Ark. 830, 182 S.W.2d 937 (1944) (preceding decisions under prior law).

Evidence sufficient to show that defendant had taken a substantial step intended to culminate in the offense. White v. State, 266 Ark. 499, 585 S.W.2d 952 (1979); Berry v. State, 278 Ark. 578, 647 S.W.2d 453 (1983).

Evidence held insufficient to support the conviction. White v. State, 266 Ark. 499, 585 S.W.2d 952 (1979); Mills v. State, 270 Ark. 141, 603 S.W.2d 416 (1980); Abdullah v. State, 301 Ark. 235, 783 S.W.2d 58 (1990).

Criminal Purpose.

Premeditation, deliberation, and intent may be inferred from the circumstances, such as the character of the weapon used, the manner in which it is used, the nature, extent and location of the wounds inflicted, the conduct of the accused, etc. Davis v. State, 115 Ark. 566, 173 S.W. 829 (1914); Nunley v. State, 223 Ark. 838, 270 S.W.2d 904 (1954); Turner v. State, 258 Ark. 425, 527 S.W.2d 580 (1975) (preceding decisions under prior law); Stout v. State, 263 Ark. 355, 565 S.W.2d 23 (1978).

The intent to commit a crime could be inferred from acts and circumstances of the incident, but it could not be implied as a matter of law. Ward v. State, 208 Ark. 602, 186 S.W.2d 950 (1945) (decision under prior law).

It was not essential that intent should have existed for any particular length of time before the crime, as it could be conceived in a moment. Nunley v. State, 223 Ark. 838, 270 S.W.2d 904 (1954) (decision under prior law); Stout v. State, 263 Ark. 355, 565 S.W.2d 23 (1978).

Premeditation and deliberation held established. Clay v. State, 262 Ark. 285, 556 S.W.2d 137 (1977).

Premeditation and deliberation can be instantaneous. Stout v. State, 263 Ark. 355, 565 S.W.2d 23 (1978).

Evidence held sufficient to show premeditation and deliberation supporting a conviction. Hamilton v. State, 262 Ark. 366, 556 S.W.2d 884 (1977); Salley v. State, 303 Ark. 278, 796 S.W.2d 335 (1990).

Whether criminal intent may be reasonably inferred from the evidence is a question of fact to be determined by the trier of fact who resolves any conflicts in testimony and determines the credibility of the witnesses, and its conclusion on credibility is binding on the appellate court. Kendrick v. State, 37 Ark. App. 95, 823 S.W.2d 931 (1992).

Since intent cannot be proven by direct evidence (intent or purpose, being a state of mind, can seldom be positively known to others), the factfinder is allowed to draw upon his own common knowledge and experience, and the presumption that a person intends the natural and probable consequences of his acts, to infer intent from the circumstances. Kendrick v. State, 37 Ark. App. 95, 823 S.W.2d 931 (1992).

Evidence.

Uncorroborated testimony of the minor victims was sufficient evidence to support convictions of rape and attempted rape. Winfrey v. State, 293 Ark. 342, 738 S.W.2d 391 (1987).

Identifications of defendant from two photographic spreads upheld. Jackson v. State, 318 Ark. 39, 883 S.W.2d 466 (1994).

Evidence held sufficient to support conviction. Britt v. State, 344 Ark. 13, 38 S.W.3d 363 (2001).

Sufficient evidence supported the conclusion that a defendant intended to kill a victim: a witness testified that the witness gave defendant a gun, other witnesses testified that defendant shot the victim with that gun, defendant's girlfriend testified that while waiting for defendant in a car, the girlfriend heard two or three shots, and then defendant ran to the car, and inconsistent witness statements regarding whether the shooting occurred inside or outside the victim's apartment were not relevant to the conviction; therefore, defendant's motion for a directed verdict was properly denied. Hawkins v. State, 2009 Ark. App. 675 (2009).

Denial of appellant's, an inmate's, petition for postconviction relief pursuant to Ark. R. Crim. P. 37.1 was appropriate because the evidence demonstrated that he was not prejudiced by his trial counsel's failure to properly renew his motion for directed verdict at the close of all the evidence. While the inmate was unable to challenge the sufficiency of the evidence in his direct appeal, there was substantial evidence to support the verdicts, including the inmate himself admitting to hitting his wife's car from behind and then getting out of his truck and shooting her; the surviving victim testified that after falling in an attempt to run away from the scene, she looked up and saw the inmate over her smiling and holding a shotgun. Davis v. State, 2011 Ark. 493 (2011).

Instructions.

Where act of defendant constituted crime, the trial court properly refused to instruct the jury on attempt. Mallett v. State, 17 Ark. App. 29, 702 S.W.2d 814 (1986).

Lesser Included Offenses.

Sexual abuse in the first degree is a lesser included offense of attempted rape. Speer v. State, 18 Ark. App. 1, 708 S.W.2d 94 (1986).

Where defendant was charged under § 5-37-207 for fraudulent use of a credit card but he never obtained property as required by the section, the case was remanded for judgment of conviction to be entered for the lesser included offense of attempted fraudulent use of credit cards. Davidson v. State, 305 Ark. 592, 810 S.W.2d 327 (1991).

During defendant's trial for attempted murder, the court did not err in refusing to instruct the jury on the lesser-included offense of attempted extreme-emotional-disturbance manslaughter, in violation of § 5-10-104(a)(1)(A) and subsection (b) of this section, because defendant's self-serving testimony was the only evidence of provocation presented; the evidence corroborated the victim's testimony that defendant stabbed the victim with a knife. Townsell v. State, 2010 Ark. App. 754 (2010).

In a theft trial, it was not necessary to instruct the jury on the lesser-included offense of attempted theft because defendant clearly exercised unauthorized control over a store's property when he threw it over a fence into an area off the store's parking lot; it was not necessary that defendant also “take” the property to complete the crime. Cole v. State, 2013 Ark. App. 492 (2013).

Cited: McGee v. State, 262 Ark. 473, 557 S.W.2d 885 (1977); Barnum v. State, 268 Ark. 141, 594 S.W.2d 229 (1980); Glenn v. United States Dep't of Labor, Occupational Safety & Health Admin., 517 F. Supp. 362 (E.D. Ark. 1981); Rowe v. State, 271 Ark. 20, 607 S.W.2d 657 (1980); Glason v. State, 272 Ark. 28, 611 S.W.2d 752 (1981); Swaite v. State, 272 Ark. 128, 612 S.W.2d 307 (1981); Sutton v. State, 1 Ark. App. 58, 613 S.W.2d 399 (1981); Wilson v. State, 272 Ark. 361, 614 S.W.2d 663 (1981); Rowe v. State, 275 Ark. 37, 627 S.W.2d 16 (1982); Fisk v. State, 5 Ark. App. 5, 631 S.W.2d 626 (1982); Barnum v. State, 276 Ark. 477, 637 S.W.2d 534 (1982); Wilson v. State, 277 Ark. 219, 640 S.W.2d 440 (1982); Moore v. State, 280 Ark. 222, 656 S.W.2d 698 (1983); James v. State, 280 Ark. 359, 658 S.W.2d 382 (1983); Rowe v. Lockhart, 736 F.2d 457 (8th Cir. 1984); Avery v. State, 15 Ark. App. 134, 690 S.W.2d 732 (1985); Weddle v. State, 15 Ark. App. 402, 695 S.W.2d 840 (1985); Muck v. State, 292 Ark. 310, 730 S.W.2d 214 (1987); Thompson v. State, 27 Ark. App. 164, 768 S.W.2d 39 (1989); Pharo v. State, 30 Ark. App. 94, 783 S.W.2d 64 (1990); Thomas v. State, 315 Ark. 79, 864 S.W.2d 835 (1993); Watkins v. State, 320 Ark. 163, 895 S.W.2d 532 (1995).

5-3-202. Complicity.

  1. A person attempts to commit an offense if, with the purpose of aiding another person in the commission of the offense, the person engages in conduct that would establish his or her complicity under § 5-2-402 if the offense were committed by the other person.
  2. It is not a defense to a prosecution under this section that:
    1. The other person did not commit or attempt to commit an offense; or
    2. It was impossible for the actor to assist the other person in the commission of the offense if the actor could have assisted the other person had the attendant circumstances been as the actor believed them to be.

History. Acts 1975, No. 280, § 702; A.S.A. 1947, § 41-702.

5-3-203. Classification.

A criminal attempt is a:

  1. Class Y felony if the offense attempted is capital murder;
  2. Class A felony if the offense attempted is treason or a Class Y felony other than capital murder;
  3. Class B felony if the offense attempted is a Class A felony;
  4. Class C felony if the offense attempted is a Class B felony;
  5. Class D felony if the offense attempted is a Class C felony;
  6. Class A misdemeanor if the offense attempted is a Class D felony or an unclassified felony;
  7. Class B misdemeanor if the offense attempted is a Class A misdemeanor;
  8. Class C misdemeanor if the offense attempted is a Class B misdemeanor; or
  9. Violation if the offense attempted is a Class C misdemeanor or an unclassified misdemeanor.

History. Acts 1975, No. 280, § 703; 1981, No. 620, § 3; A.S.A. 1947, § 41-703; Acts 2005, No. 1888, § 1.

Cross References. Fines, § 5-4-201.

Term of imprisonment, § 5-4-401.

Research References

Ark. L. Rev.

Case Note, Criminal Liability for Attempting to Inflict the AIDS Virus: Possibilities in Arkansas' Future, 45 Ark. L. Rev. 505.

Case Notes

Conviction Set Aside.

Where defendant was convicted of both attempted capital murder, ostensibly the more serious crime, which was a Class A felony, and aggravated robbery, a Class Y felony, the trial court properly set aside the attempted capital murder conviction based on the classification of the crime, rather than whether it was a lesser included offense. Beard v. State, 306 Ark. 546, 816 S.W.2d 860 (1991).

Reasonable Cause to Arrest.

Denial of motion to suppress was not clearly against the preponderance of the evidence, because the inventory search of defendant's vehicle was proper upon defendant's lawful arrest, and it was standard police policy to inventory the contents of any vehicle before having it towed; at the time of defendant's arrest theft of property was a Class C felony if the value of the property was less than $2,500 but more than $500, and criminal attempt was a Class D felony if the offense attempted was a Class C felony. Boykin v. State, 2012 Ark. App. 274, 409 S.W.3d 321 (2012).

Cited: Glenn v. United States Dep't of Labor, Occupational Safety & Health Admin., 517 F. Supp. 362 (E.D. Ark. 1981); Wilson v. State, 277 Ark. 219, 640 S.W.2d 440 (1982); Rowe v. Lockhart, 736 F.2d 457 (8th Cir. 1984); Bell v. Lockhart, 741 F.2d 1105 (8th Cir. 1984); Powell v. State, 33 Ark. App. 1, 799 S.W.2d 566 (1990); Davidson v. State, 305 Ark. 592, 810 S.W.2d 327 (1991); Wright v. State, 80 Ark. App. 114, 91 S.W.3d 553 (2002); Small v. State, 371 Ark. 244, 264 S.W.3d 512 (2007).

5-3-204. Renunciation.

    1. It is an affirmative defense to a prosecution under § 5-3-201(a)(2) or (b) that the defendant abandons his or her effort to commit the offense, and by the abandonment prevents the commission of the offense, under circumstances manifesting a voluntary and complete renunciation of his or her criminal purpose.
    2. However, the establishment of the affirmative defense under subdivision (a)(1) of this section does not affect the liability of an accomplice who does not join in the abandonment or prevention.
  1. It is an affirmative defense to a prosecution under § 5-3-202 that the defendant terminates his or her complicity in the commission of the offense and:
    1. Wholly deprives his or her complicity of effectiveness in the commission of the offense;
    2. Gives timely warning to an appropriate law enforcement authority; or
    3. Otherwise makes a substantial effort to prevent the commission of the offense, under circumstances manifesting a voluntary and complete renunciation of his or her criminal purpose.

History. Acts 1975, No. 280, § 704; A.S.A. 1947, § 41-704.

Research References

Ark. L. Rev.

The Constitutionality of Affirmative Defenses to Criminal Charges, 29 Ark. L. Rev. 430.

Article, Ethical and Effective Representation in Arkansas Capital Trials, 60 Ark. L. Rev. 1.

Case Notes

Cited: Gilbert v. State, 88 Ark. App. 296, 198 S.W.3d 561 (2004).

Subchapter 3 — Criminal Solicitation

Research References

ALR.

Solicitation to commit crime against more than one person or property, made in single conversation, as single or multiple crimes. 24 A.L.R.4th 1324.

5-3-301. Conduct constituting solicitation — Classification.

  1. A person solicits the commission of an offense if, with the purpose of promoting or facilitating the commission of a specific offense, the person commands, urges, or requests another person to engage in specific conduct that would:
    1. Constitute that offense;
    2. Constitute an attempt to commit that offense;
    3. Cause the result specified by the definition of that offense; or
    4. Establish the other person's complicity in the commission or attempted commission of that offense.
  2. Criminal solicitation is a:
    1. Class A felony if the offense solicited is capital murder, treason, or a Class Y felony;
    2. Class B felony if the offense solicited is a Class A felony;
    3. Class C felony if the offense solicited is a Class B felony;
    4. Class D felony if the offense solicited is a Class C felony;
    5. Class A misdemeanor if the offense solicited is a Class D felony or an unclassified felony;
    6. Class B misdemeanor if the offense solicited is a Class A misdemeanor;
    7. Class C misdemeanor if the offense solicited is a Class B misdemeanor; or
    8. Violation if the offense solicited is a Class C misdemeanor or an unclassified misdemeanor.

History. Acts 1975, No. 280, § 705; 1981, No. 620, § 4; A.S.A. 1947, § 41-705.

Cross References. Fines, § 5-4-201.

Term of imprisonment, § 5-4-401.

Case Notes

Evidence.

In a trial for solicitation to commit first-degree murder, evidence of the instrumentality to be used in the murder was entirely relevant since it clearly evidenced the purpose of the solicitation as well as the means that defendant promoted to perpetrate foul play; thus, a simulated bomb and a videotape depicting its detonation qualified as proof of a material fact under Evid. Rule 401. Loy v. State, 310 Ark. 33, 832 S.W.2d 499 (1992).

There was sufficient evidence to uphold defendant's conviction of solicitation of capital murder under this section where the record showed that appellant urged undercover officer to engage in specific conduct that would constitute capital murder under § 5-10-101. Jimenez v. State, 83 Ark. App. 377, 128 S.W.3d 483 (2003).

Evidence was sufficient for a conviction of committing sexual indecency with a child where defendant offered a 14 year old girl money in exchange for sex, she understood that he had meant sexual intercourse and that he was serious, and his request amounted to solicitation; further, the appellate court found no merit in defendant's argument that he was merely rhetorically questioning a 14-year-old girl about sex, rather than soliciting her. Heape v. State, 87 Ark. App. 370, 192 S.W.3d 281 (2004).

Jury Instructions.

Trial court properly refused to instruct the jury, in connection with defendant's trial for solicitation to commit capital murder in violation of this section, on the defense of impossibility because there was no evidence to support a finding that the murder of the police officers was inherently unlikely. Jimenez v. State, 83 Ark. App. 377, 128 S.W.3d 483 (2003).

Cited: Chronister v. State, 265 Ark. 437, 580 S.W.2d 676 (1979); Fisk v. State, 5 Ark. App. 5, 631 S.W.2d 626 (1982).

5-3-302. Renunciation.

It is an affirmative defense to a prosecution for criminal solicitation that the defendant prevented the commission of the offense solicited under circumstances manifesting a voluntary and complete renunciation of his or her criminal purpose.

History. Acts 1975, No. 280, § 706; A.S.A. 1947, § 41-706.

Research References

Ark. L. Rev.

Article, Ethical and Effective Representation in Arkansas Capital Trials, 60 Ark. L. Rev. 1.

Subchapter 4 — Criminal Conspiracy

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Cross References. Conviction on testimony of accomplice, § 16-89-111.

Research References

ALR.

Prosecution or conviction of one conspirator as affected by disposition of case against coconspirators. 19 A.L.R.4th 192.

5-3-401. Conduct constituting conspiracy.

A person conspires to commit an offense if with the purpose of promoting or facilitating the commission of any criminal offense:

  1. The person agrees with another person or other persons that:
    1. One (1) or more of the persons will engage in conduct that constitutes that offense; or
    2. The person will aid in the planning or commission of that criminal offense; and
  2. The person or another person with whom the person conspires does any overt act in pursuance of the conspiracy.

History. Acts 1975, No. 280, § 707; A.S.A. 1947, § 41-707.

Cross References. Overt acts in conspiracy, § 16-89-112.

Case Notes

Accomplices.

A coconspirator may also be an accomplice. Shrader v. State, 13 Ark. App. 17, 678 S.W.2d 777 (1984).

Consummation of Offense.

A conspiracy to commit a felony was merged in the felony when committed; after the felony was consummated, the conspiracy was not indictable. Elsey v. State, 47 Ark. 572, 2 S.W. 337 (1886) (decision under prior law).

Evidence.

For cases discussing admissibility of acts and declarations of coconspirators, see Benton v. State, 78 Ark. 284, 94 S.W. 688 (1906); Harper v. State, 79 Ark. 594, 96 S.W. 1003 (1906); Storms v. State, 81 Ark. 25, 98 S.W. 678 (1906); Cumnock v. State, 87 Ark. 34, 112 S.W. 147 (1908); Wiley v. State, 92 Ark. 586, 124 S.W. 249 (1909); Easter v. State, 96 Ark. 629, 132 S.W. 924 (1910); Parker v. State, 98 Ark. 575, 137 S.W. 253 (1911) (preceding decisions under prior law); Smith v. State, 6 Ark. App. 228, 640 S.W.2d 805 (1982).

A conspiracy would be shown by circumstantial evidence. Venable v. State, 156 Ark. 564, 246 S.W. 860 (1923). See also Powell v. State, 133 Ark. 477, 203 S.W. 25 (1918) (decision under prior law).

Under this section, it is required that state both allege and prove specific overt act evidencing that conspiracy has been put in motion, and, provided issue is properly raised, failure to both allege and prove such an act is fatal to a conviction. Guinn v. State, 23 Ark. App. 5, 740 S.W.2d 148 (1987).

State may rely on inferences drawn from the course of conduct of alleged conspirators to provide evidence of the agreement. Shamlin v. State, 23 Ark. App. 39, 743 S.W.2d 1 (1988), rehearing denied, 23 Ark. App. 39, 744 S.W.2d 405 (1988), cert. denied, Shamlin v. Arkansas, 488 U.S. 863, 109 S. Ct. 163 (1988).

Conspiracy to commit an unlawful act may be proved by circumstances and the inferences drawn from the course of conduct of the alleged conspirators. Lee v. State, 27 Ark. App. 198, 770 S.W.2d 148 (1989), cert. denied, Lee v. Arkansas, 493 U.S. 847, 110 S. Ct. 142 (1989).

Defendant's conviction for conspiracy to commit capital murder was supported by substantial evidence. Jones v. State, 45 Ark. App. 28, 871 S.W.2d 403 (1994).

Defendant committed an overt act in furtherance of a conspiracy to commit kidnapping, aggravated robbery, theft of property, and aggravated residential burglary because he took another person to his residence and showed the person the inside of the premises, discussed how to break in the residence and how to subdue his wife, and identified the property to be taken from the residence. Winkler v. State, 2012 Ark. App. 704, 425 S.W.3d 808 (2012).

Evidence was sufficient to convict defendant of conspiracy to deliver methamphetamine as the jury could infer that an agreement existed between defendant and the individual who sold the drugs to a confidential informant; defendant possessed a large amount of methamphetamine in his truck, he possessed the money that the confidential informant had previously given to the seller, the seller referred to defendant as his source, and defendant possessed digital scales with the methamphetamine. Vonholt v. State, 2018 Ark. App. 53, 540 S.W.3d 312 (2018).

Substantial evidence supported defendant's conviction for conspiracy to commit rape because there was evidence that he made a plan with an undercover officer posing as a father to rape his 13-year-old daughter, and defendant took overt steps in furtherance of the plan; the sexually graphic language used by defendant left no doubt that he wanted to have sex with the father's daughter, plus defendant showed up at the meeting place at the appointed time in the vehicle he said he would be driving, and he had two gifts in his vehicle for the daughter. Frederic v. State, 2018 Ark. App. 449, 560 S.W.3d 494 (2018).

Evidence was sufficient to support defendant's conviction of conspiracy to deliver where a confidential informant bought methamphetamine in a transaction that occurred in a vehicle occupied by defendant driver and the codefendant; the jury could reasonably conclude that defendant and codefendant were working together to deliver methamphetamine and that defendant assisted in that effort. Baker v. State, 2019 Ark. App. 515, 588 S.W.3d 844 (2019).

Inchoate Offense.

A conspiracy is an inchoate offense, and under Arkansas law it is a crime in and of itself. Savannah v. State, 7 Ark. App. 161, 645 S.W.2d 694 (1983).

Indictment or Information.

An indictment for conspiracy to commit a felony had to allege that the felony was not committed. Elsey v. State, 47 Ark. 572, 2 S.W. 337 (1886) (decision under prior law).

Indictment that charged defendant and others with the crime of conspiracy to commit a felony clearly apprised defendant of the crime charged and amendment of the indictment to add the words “the felony not having been committed” was simply a matter of form, which did nothing to change the nature of the crime otherwise charged. Owen v. State, 263 Ark. 493, 565 S.W.2d 607 (1978) (decision under prior law).

Jury Question.

Where an individual's knowledge of conspiracy was in dispute, his complicity was a fact issue which was properly presented to the jury. Strickland v. State, 16 Ark. App. 293, 701 S.W.2d 127 (1985).

Liability.

A conspiracy offense under the Arkansas Criminal Code is intended to be a separate crime, and liability is not imposed on a conspirator for the substantive offenses that are the object of the conspiracy. Savannah v. State, 7 Ark. App. 161, 645 S.W.2d 694 (1983).

Where defendant was charged as a conspirator to commit a crime he could be convicted where State did not prove the crime was committed. Savannah v. State, 7 Ark. App. 161, 645 S.W.2d 694 (1983).

Where the combination of persons to do an unlawful act is shown, and the plan terminates in a crime, each person is liable for the acts of the others undertaken in furtherance of the plan. Lee v. State, 27 Ark. App. 198, 770 S.W.2d 148 (1989), cert. denied, Lee v. Arkansas, 493 U.S. 847, 110 S. Ct. 142 (1989).

Sentence.

There was no error in the trial court's sentencing of defendant because the court complied with the conspiracy statute and had the authority to impose a sentence of nine years' imprisonment with respect to the conspiracy conviction. Winkler v. State, 2012 Ark. App. 704, 425 S.W.3d 808 (2012).

Cited: Ellis v. State, 4 Ark. App. 201, 628 S.W.2d 871 (1982); Sweat v. State, 5 Ark. App. 284, 635 S.W.2d 296 (1982); Estate of Sargent v. Benton State Bank, 279 Ark. 402, 652 S.W.2d 10 (1983); Guinn v. State, 27 Ark. App. 260, 771 S.W.2d 290 (1989); Casement v. State, 318 Ark. 225, 884 S.W.2d 593 (1994); Williams v. State, 328 Ark. 487, 944 S.W.2d 822 (1997).

5-3-402. Scope of conspiratorial relationship.

If an actor knows or could reasonably expect that a person with whom the actor conspires has himself or herself conspired or will conspire with another person to commit the same criminal offense, the actor is deemed to have conspired with the other person, whether or not the actor knows the other person's identity.

History. Acts 1975, No. 280, § 708; A.S.A. 1947, § 41-708.

Case Notes

Meeting of Coconspirators.

Proof of the actual meeting of the alleged conspirators was not necessary if it was shown that two or more persons aimed their acts toward the accomplishment of the same unlawful purpose. Chapline v. State, 77 Ark. 444, 95 S.W. 477 (1906); Powell v. State, 133 Ark. 477, 203 S.W. 25 (1918) (preceding decisions under prior law).

5-3-403. Multiple criminal objectives.

If a person conspires to commit a number of criminal offenses, the person commits only one (1) conspiracy if the multiple offenses are the object of the same agreement or continuous conspiratorial relationship.

History. Acts 1975, No. 280, § 709; A.S.A. 1947, § 41-709.

Case Notes

Multiple Substantive Offenses.

If multiple substantive offenses are committed pursuant to a single conspiracy, a conspirator may be prosecuted for each separate substantive offense in which he is a principal or an accomplice. McMillen v. State, 302 Ark. 601, 792 S.W.2d 315 (1990).

Trial court did not err because judicial precedent allowed the prosecution of one count of conspiracy to commit multiple object offenses; moreover, defendant was not prejudiced by the inclusion of multiple object offenses in the single charge because he faced thirty years in prison but the jury sentenced him to nine years' imprisonment. Winkler v. State, 2012 Ark. App. 704, 425 S.W.3d 808 (2012).

Single Agreement or Continuous Relationship.

A single agreement or continuous conspiratorial relationship constitutes a single conspiracy offense, whether intended to culminate in distinct offenses or in successive violations of the same statute, and this section clearly precludes more than one conspiracy prosecution as a result of a single agreement or relationship. McMillen v. State, 302 Ark. 601, 792 S.W.2d 315 (1990).

Cited: Guinn v. State, 23 Ark. App. 5, 740 S.W.2d 148 (1987); Leach v. State, 303 Ark. 309, 796 S.W.2d 837 (1990); Leach v. State, 313 Ark. 80, 852 S.W.2d 116 (1993).

5-3-404. Classification.

Criminal conspiracy is a:

  1. Class A felony if an object of the conspiracy is commission of capital murder, treason, or a Class Y felony;
  2. Class B felony if an object of the conspiracy is commission of a Class A felony;
  3. Class C felony if an object of the conspiracy is commission of a Class B felony;
  4. Class D felony if an object of the conspiracy is commission of a Class C felony;
  5. Class A misdemeanor if an object of the conspiracy is commission of a Class D felony or an unclassified felony;
  6. Class B misdemeanor if an object of the conspiracy is commission of a Class A misdemeanor; or
  7. Class C misdemeanor if an object of the conspiracy is commission of a Class B misdemeanor.

History. Acts 1975, No. 280, § 714; 1981, No. 620, § 5; A.S.A. 1947, § 41-714.

Cross References. Fines, § 5-4-201.

Term of imprisonment, § 5-4-401.

Case Notes

Cited: Baxter v. State, 324 Ark. 440, 922 S.W.2d 682 (1996).

5-3-405. Renunciation of criminal purpose.

It is an affirmative defense to a prosecution for conspiracy to commit an offense that the defendant:

  1. Thwarted the success of the conspiracy under circumstances manifesting a complete and voluntary renunciation of the defendant's criminal purpose; or
  2. Terminated his or her participation in the conspiracy and:
    1. Gave timely warning to an appropriate law enforcement authority; or
    2. Otherwise made a substantial effort to prevent the commission of the offense, under circumstances manifesting a voluntary and complete renunciation of the defendant's criminal purpose.

History. Acts 1975, No. 280, § 710; A.S.A. 1947, § 41-710.

Research References

ALR.

Imprisonment as Constituting Withdrawal from Conspiracy. 100 A.L.R.6th 335 (2014).

Ark. L. Rev.

Article, Ethical and Effective Representation in Arkansas Capital Trials, 60 Ark. L. Rev. 1.

Case Notes

Presumption of Continued Participation.

Unless a conspirator produces affirmative evidence of withdrawal, his participation in the conspiracy is presumed to continue until the last overt act by any of the conspirators. Gass v. State, 17 Ark. App. 176, 706 S.W.2d 397 (1986).

Sufficiency of Renunciation.

Defendant's actions failed to renounce the conspiracy. Strickland v. State, 16 Ark. App. 293, 701 S.W.2d 127 (1985); Gass v. State, 17 Ark. App. 176, 706 S.W.2d 397 (1986).

Cited: Shrader v. State, 13 Ark. App. 17, 678 S.W.2d 777 (1984).

5-3-406. Statute of limitations.

  1. For the purposes of § 5-1-109, a conspiracy is a continuing course of conduct that terminates when the offense or offenses that are the object of the conspiracy are committed.
  2. However, if a person abandons the agreement a conspiracy is terminated as to him or her only, when the person:
    1. Advises other persons with whom the person conspired of his or her abandonment; or
    2. Informs a law enforcement authority of the existence of the conspiracy and of his or her participation in the conspiracy.

History. Acts 1975, No. 280, § 711; A.S.A. 1947, § 41-711.

5-3-407. Venue for prosecution.

A prosecution for criminal conspiracy may be brought in any county where any overt act in furtherance of the conspiracy is alleged to have occurred, and that county is a proper place of venue for the prosecution of any person charged as a party to that conspiracy.

History. Acts 1975, No. 280, § 712; A.S.A. 1947, § 41-712.

Case Notes

Cited: Lee v. State, 27 Ark. App. 198, 770 S.W.2d 148 (1989).

Chapter 4 Disposition of Offenders

Research References

Ark. L. Rev.

1976 Criminal Code — General Principles, 30 Ark. L. Rev. 111.

Disposition of Offenders: Under Arkansas' New Criminal Code, 30 Ark. L. Rev. 222.

Wade, Comments: “Fine and/or Imprisonment”: Pauper's Dilemma or Delight? 33 Ark. L. Rev. 378.

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

Legislative Survey, Criminal Law, 4 U. Ark. Little Rock L.J. 583.

Arkansas Law Survey, Wilson, Criminal Procedure, 7 U. Ark. Little Rock L.J. 191.

Legislative Survey, Criminal Law, 16 U. Ark. Little Rock L.J. 91.

Legislative Survey, Criminal Procedure, 16 U. Ark. Little Rock L.J. 99.

Case Notes

Cited: Johnson v. State, 331 Ark. 421, 961 S.W.2d 764 (1998); Harness v. State, 352 Ark. 335, 101 S.W.3d 235 (2003).

Subchapter 1 — General Provisions

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Cross References. Judgment and sentence generally, § 16-90-101 et seq.

Restitution by offender to victim, § 16-90-301 et seq.

Effective Dates. Acts 1983, No. 409, § 6: July 1, 1983. Emergency clause provided: “It is hereby determined by the General Assembly that certain criminal sentencing statutes are in need of immediate clarification for the more efficient administration of justice in this State. Therefore, an emergency is hereby declared to exist, and this Act, being necessary for the preservation of the public peace, health and safety, shall be in full force and effect from and after July 1, 1983.”

Acts 1991, No. 608, § 8: Mar. 19, 1991. Emergency clause provided: “It is hereby found and determined by the Seventy-Eighth General Assembly that there is considerable confusion concerning the application and effect of sentencing provisions for Class Y felonies, second degree murder, driving while intoxicated and drug related offenses; that amendment of existing provisions is necessary to clarify these provisions; and that this act is immediately necessary to achieve that end for the protection of the public health and safety and, therefore, should be given effect immediately. Therefore, an emergency is hereby declared to exist and this act, being necessary for the preservation of public peace, health and safety, shall be in full force and effect from and after its passage and approval.”

Acts 1993, Nos. 532 and 550, § 13: Mar. 16, 1993. Emergency clause provided: “It is hereby found and determined by the General Assembly of the State of Arkansas that the sentencing policies and standards of the State of Arkansas are in need of immediate reform in order to better provide for a balanced correctional system and to better effectuate the rehabilitation of persons convicted of crimes and to make possible their return as useful members of the community and passage of this act is necessary to facilitate these reforms. Therefore, an emergency is hereby declared to exist and this act being necessary for the immediate preservation of the public peace, health, and safety, shall be in full force and effect, unless provided for otherwise herein, from and after its passage and approval.”

Acts 2017, No. 539, § 14: Mar. 20, 2017. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that in light of recent United States Supreme Court decisions in Miller v. Alabama and Montgomery v. Louisiana, more than one hundred persons in Arkansas are entitled to relief under those decisions; and that this act is immediately necessary in order to make those persons eligible for parole in order to be in compliance with Montgomery v. Louisiana. Therefore, an emergency is declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

Research References

ALR.

Power of court, during same term, to increase severity of sentence. 26 A.L.R.4th 905.

Power of court to increase severity of unlawful sentence. 28 A.L.R.4th 147.

Sentencing judge's consideration of defendant's perjury or lying in pleas or testimony in present trial. 34 A.L.R.4th 888.

Permissibility of sentence to a fine only, under statutory provision for imprisonment or imprisonment and fine. 35 A.L.R.4th 192.

Am. Jur. 21A Am. Jur. 2d, Crim. L., § 791 et seq.

Ark. L. Rev.

Note, Conley v. State: Mitigation Before Guilt, 45 Ark. L. Rev. 995.

C.J.S. 24 C.J.S., Crim. L., § 1458 et seq.

U. Ark. Little Rock L.J.

DiPippa, Suspending Imposition and Execution of Criminal Sentences, Etc., 10 U. Ark. Little Rock L.J. 367.

5-4-101. Definitions.

As used in this chapter:

    1. “Imprisonment” means:
      1. Incarceration in a detention facility operated by the state or any of its political subdivisions; or
      2. Home detention as described in § 16-93-708.
    2. “Imprisonment” may mean incarceration in a privately operated detention facility under contract to the state or any of its political subdivisions;
  1. “Probation” or “place on probation” means a procedure in which a defendant who pleads or is found guilty of an offense is released by the court without pronouncement of sentence but subject to the supervision of a probation officer;
  2. “Probation officer” means a salaried officer attached to the court pursuant to § 16-93-402 [repealed] or a reputable person designated by the court to supervise a defendant who is placed on probation;
  3. “Recidivism” means a criminal act that results in the rearrest, reconviction, or return to incarceration of a person with or without a new sentence during a three-year period following the person's release from custody;
    1. “Restitution” means the act of making good or giving equivalent value for any loss, damage, or injury.
    2. “Restitution” may also include in the event of an injury or loss that the offender has special capacity to restore or repair a sentence to perform that reparation; and
  4. “Suspension” or “suspend imposition of sentence” means a procedure in which a defendant who pleads or is found guilty of an offense is released by the court without pronouncement of sentence and without supervision.

History. Acts 1975, No. 280, § 801; 1981, No. 620, § 6; A.S.A. 1947, § 41-801; Acts 1993, No. 533, § 1; 1993, No. 553, § 1; 1999, No. 216, § 1; 2005, No. 680, § 1; 2013, No. 1030, § 1.

Amendments. The 2013 amendment added the definition for “Recidivism.”

A.C.R.C. Notes. Acts 2011, No. 570, § 91, repealed § 16-93-402 referenced in subdivision (3) of this section. For current law, see generally 16-93-301 et seq.

RESEARCH REFERENCES

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2005 Arkansas General Assembly, Criminal Law, 28 U. Ark. Little Rock L. Rev. 335.

Case Notes

Court.

The word “court” refers to the judge, not the judge and jury. Gardner v. State, 263 Ark. 739, 569 S.W.2d 74 (1978), cert. denied, Gardner v. Arkansas, 440 U.S. 911, 99 S. Ct. 1224, 59 L. Ed. 2d 460 (1979).

Restitution.

Trial court had no jurisdiction to revoke defendant's suspended sentence because defendant owed no restitution at the end of his suspended sentence, and the trial court could not retain jurisdiction over him; defendant's child support was not to make good an actual economic loss of a victim of his failure to comply with the reporting requirements of the Sex and Child Offender Registration Act. Owens v. State, 2009 Ark. App. 532, 337 S.W.3d 527 (2009).

Court retained jurisdiction to revoke the suspended sentence for failure to pay restitution, because the petitioner was charged with fleeing to avoid arrest for possession of marijuana and causing property damage while fleeing, and was ordered to pay restitution for the damage he caused during the course of the criminal episode. Arter v. State, 2012 Ark. App. 327, 414 S.W.3d 391 (2012).

Suspension or Probation.

A court is authorized to suspend imposition of sentence or place the defendant on probation but it may not do both since, by subsection (1) of this section, a suspension is “without supervision,” while under subsection (2) of this section, probation requires the “supervision of a probation officer.” Culpepper v. State, 268 Ark. 263, 595 S.W.2d 220 (1980), superseded by statute as stated in, Smith v. State, 18 Ark. App. 152, 713 S.W.2d 241 (1986); Jefferson v. State, 270 Ark. 909, 606 S.W.2d 592 (1980).

Based on the clear, unambiguous language of § 12-12-1109(a)(2)(A) and § 12-12-1103(1), it was clear that the trial court did not illegally sentence defendant by requiring him to submit to a DNA sample after he received a suspended sentence because whatever conflict subsection (a) of this section might have provided, if any, was resolved by the fact that its definitions were used only for Title 5, Chapter 4. Davis v. State, 94 Ark. App. 240, 228 S.W.3d 529 (2006).

Trial court did not err in sentencing defendant after revoking his probation because defendant pleaded guilty to second-degree domestic battery, § 5-26-304, and third-degree domestic battery, § 5-26-305, and his sentences of ten and six years, respectively, were sentences that could have been originally imposed for the offenses of which he was found guilty. Jones v. State, 2012 Ark. App. 69, 388 S.W.3d 503 (2012).

Cited: Wolfe v. State, 266 Ark. 811, 586 S.W.2d 4 (Ct. App. 1979); McGee v. State, 271 Ark. 611, 609 S.W.2d 73 (1980); Cooper v. State, 278 Ark. 394, 645 S.W.2d 950 (1983); Williams v. State, 280 Ark. 543, 659 S.W.2d 948 (1983); Smith v. State, 18 Ark. App. 152, 713 S.W.2d 241 (1986); Diffee v. State, 290 Ark. 194, 718 S.W.2d 94 (1986); Lee v. State, 299 Ark. 187, 772 S.W.2d 324 (1989); Ramey v. State, 62 Ark. App. 204, 972 S.W.2d 952 (1998); Bramucci v. State, 76 Ark. App. 8, 62 S.W.3d 10 (2001).

5-4-102. Presentence investigation.

  1. If punishment is fixed by the court, the court may order a presentence investigation before imposing sentence.
    1. The presentence investigation should be conducted by a presentence officer or another person designated by the court and should include an analysis of:
      1. The circumstances surrounding the commission of the offense;
      2. The defendant's history of delinquency or criminality, physical and mental condition, family situation and background, economic status, education, occupation, and personal habits; and
      3. Any other matter that the investigator deems relevant or the court directs to be included.
    2. In a case involving a violation of § 5-11-106 in which a minor was unlawfully detained, restrained, taken, enticed, or kept, the presentence investigation shall include ascertaining the expenses incurred by a law enforcement agency, the Department of Human Services, and the lawful custodian in searching for and returning the minor to the lawful custodian.
    1. Before imposing sentence, the court may order the defendant to submit to psychiatric examination and evaluation for a period not to exceed thirty (30) days.
    2. The defendant may be remanded for psychiatric examination and evaluation to the Arkansas State Hospital, or the court may appoint a qualified psychiatrist to make the psychiatric examination and evaluation.
    1. Before imposing sentence, the court shall advise the defendant or his or her counsel of the factual contents and conclusions of any presentence investigation or psychiatric examination and evaluation and afford fair opportunity, if the defendant so requests, to controvert the factual contents and conclusions.
    2. A source of confidential information does not need to be disclosed.
  2. If the defendant is sentenced to imprisonment, a copy of the report of any presentence investigation or psychiatric examination or evaluation shall be transmitted immediately to the Division of Correction or, when the defendant is committed to the custody of a specific institution, to that specific institution.

History. Acts 1975, No. 280, § 804; A.S.A. 1947, § 41-804; Acts 1987, No. 487, § 2; 2019, No. 910, § 647.

Amendments. The 2019 amendment substituted “Division of Correction” for “Department of Correction” in (e).

Case Notes

Defendant's Rights.

Where the sentencing court informed the defendant of the numerous factors that it was considering prior to pronouncing a sentence, and the defendant made no objection and did not request an opportunity to controvert the information under consideration, then the court committed no reversible error by considering such information in determining the defendant's sentence. Nash v. State, 267 Ark. 870, 591 S.W.2d 670 (Ct. App. 1979).

The defendant does not have the right to confront the witnesses against him on matters incident to sentencing. Nash v. State, 267 Ark. 870, 591 S.W.2d 670 (Ct. App. 1979).

Introduction of all defendant's prior convictions was unnecessary, and denied him protection of this section. Tatum v. State, 21 Ark. App. 237, 731 S.W.2d 227 (1987).

Presentence Report.

While it would have been better practice for the trial court to have permitted the defendant to prepare and submit a presentence report, in deciding the prison terms were to run consecutively, the trial court made reference to the evidence he had already heard, and thus it appeared that he exercised his discretion and did not just mechanically make the sentences consecutive. Scott v. State, 284 Ark. 388, 681 S.W.2d 915 (1985).

Nothing in this section requires that the trial judge follow the recommendation of the presentence report or that he specify the relative weight he attached to each element contained in the report before he sentences a defendant. Noland v. State, 265 Ark. 764, 580 S.W.2d 953 (1979).

Although this section states that the trial court “may” order a presentence investigation and report, if it fixes the punishment, there is no authority requiring the trial court to do so. Brown v. State, 278 Ark. 604, 648 S.W.2d 67 (1983).

Where punishment is to be fixed by the jury, a presentence report is not required to be given to the jury when the issue of punishment is submitted. Ricarte v. State, 290 Ark. 100, 717 S.W.2d 488 (1986).

Court did not abuse its discretion by admitting the presentence report into evidence, because the probation officer's report was not admitted as expert testimony and the court assured defendant it would give the report the proper weight, and defendant was aware of the contents of the report and elicited contradictory testimony from the therapist. Howerton v. State, 2012 Ark. App. 331, 413 S.W.3d 861 (2012).

5-4-103. Sentencing — Role of jury and court.

  1. If a defendant is charged with a felony and is found guilty of an offense by a jury, the jury shall fix punishment in a separate proceeding as authorized by this chapter.
  2. Except as provided by §§ 5-4-601 — 5-4-605, 5-4-607, and 5-4-608, the court shall fix punishment as authorized by this chapter in any case in which:
    1. The defendant pleads guilty to an offense;
    2. The defendant's guilt is tried by the court;
    3. The jury fails to agree on punishment;
    4. The prosecution and the defense agree that the court may fix punishment; or
    5. A jury sentence is found by the trial court or an appellate court to be in excess of the punishment authorized by law.

History. Acts 1975, No. 280, § 802; A.S.A. 1947, § 41-802; Acts 1993, No. 535, § 1; 1993, No. 551, § 1.

A.C.R.C. Notes. Acts 1995, No. 892, § 1, provided:

“The uncodified Section 7 of Act 551 of 1993 which sunsets the bifurcated sentencing procedures in Arkansas Code Annotated §§ 5-4-103, 16-97-101, 16-97-102, 16-97-103, and 16-97-104 is repealed.”

Publisher's Notes. Acts 1993, Nos. 535 and 551, § 7, provided:

“The bifurcation procedures in Sections 1 and 2 of this act [codified as § 5-4-103 and §§ 16-97-10116-97-104] shall become effective on January 1, 1994, and shall expire on June 30, 1997.”

Cross References. Fixing punishment, § 16-90-107.

Case Notes

Constitutionality.

Arkansas's new bifurcated sentencing laws did not violate the Ex Post Facto Clause because they did not criminalize conduct that was previously non-criminal, did not increase the severity or harshness of the punishment for the offenses that defendant committed, and did not deprive him of a defense that was available to him at the time he committed the offenses with which he was charged; because the penalty or sentence authorized under the prior and new sentencing statutes remains the same as applied in defendant's situation, any change was merely procedural and not substantively prejudicial or an ex post facto violation. Williams v. State, 318 Ark. 846, 887 S.W.2d 530 (1994).

Arkansas's bifurcated sentencing procedures in §§ 5-4-103 and 16-97-103 are not violative of the ex post facto clause in the United States Constitution or Ark. Const., Art. 2, § 17. Diffee v. State, 319 Ark. 669, 894 S.W.2d 564 (1995).

Where, on the first day of trial, the trial court conducted a proceeding under the heading of “Bill of Exceptions” in which witnesses and other trial-related matters were discussed at length and defendant had ample opportunity to make any motions, and where defendant elected to wait until the second day of trial to file his motion concerning the constitutionality of Acts 1993, Nos. 535 and 551, and alerted the court of its pendency only on the third day of trial, because an issue must be presented to the trial court at the earliest opportunity in order to preserve it for appeal, the motion in question was untimely. Watkins v. State, 320 Ark. 163, 895 S.W.2d 532 (1995).

When defendant was originally tried and convicted in 1993, Arkansas law then authorized, and he received, a non-bifurcated trial. However, after his original conviction, but before his case was reversed and remanded, Arkansas law was amended to permit bifurcated trials in all felony cases. At defendant's second trial on remand, trying defendant's case pursuant to the newly-enacted bifurcated trial procedure did not violate the Ex Post Facto Clause. Suggs v. State, 322 Ark. 40, 907 S.W.2d 124 (1995).

In General.

Sentencing in Arkansas is entirely a matter of statute. State v. Freeman, 312 Ark. 34, 846 S.W.2d 660 (1993).

Since the court did not believe the “zero” punishment submitted by the jury in the primary verdict form was valid, the court could have opted to impose the jury's recommended alternative sentence of eighteen months probation instead of taking over sentencing. Slaughter v. State, 69 Ark. App. 65, 12 S.W.3d 240 (2000).

Construction.

Section 5-4-501, requiring that one who has previously been convicted of two or more violent felonies and who is then convicted of rape is to be sentenced to life imprisonment without parole, is not in conflict with subsection (a) of this section, providing that a jury is to fix punishment of one found guilty of a felony, because of the additional language of this section that the jury is to fix punishment “as authorized by this chapter.” Ricks v. State, 327 Ark. 513, 940 S.W.2d 422 (1997).

Applicability.

The trial court's retroactive employment of the 1994 versions of §§ 5-4-103 and 16-97-103 to offenses committed in 1993 did not subject defendant to substantive prejudice in violation of the Ex Post Facto Clause of the United States Constitution. Williams v. State, 318 Ark. 846, 887 S.W.2d 530 (1994).

Authority of Court.

After the jury's confusion resulted in the jury returning two verdict forms, one recommending an alternative sentence of probation without specifying a term and the other recommending only a fine, there was no error when the circuit court accepted a sentencing agreement allowing the court to sentence defendant to a term of years of probation rather than resubmitting the matter to the jury. Barfield v. State, 2019 Ark. App. 501, 588 S.W.3d 412 (2019).

After the jury's confusion resulted in the jury returning two verdict forms, one recommending an alternative sentence of probation without specifying a term and the other recommending only a fine, the circuit court did not abuse its discretion in sentencing defendant to 10 years' probation and imposing a $3,500 fine; defense counsel agreed to allow the court to sentence defendant to a term of years of probation rather than resubmitting the matter to the jury and the circuit court accepted the jury's alternative sentencing recommendation of probation and expressly advised defendant that the fine was imposed as a condition of the probation. Barfield v. State, 2019 Ark. App. 501, 588 S.W.3d 412 (2019).

Construction With Other Laws.

This section does not repeal § 16-90-120; the statutes speak to two different issues and can be read in harmony. Watson v. State, 71 Ark. App. 52, 26 S.W.3d 588 (2000).

Merger of two capital murders was not required under § 5-1-110(d)(1), and where defendant waived a sentencing hearing, thereby giving the trial court sole sentencing authority under § 5-4-103(b)(4), the trial court had the authority to order defendant's sentences to run consecutively under § 5-4-403(a). Walker v. State, 353 Ark. 12, 110 S.W.3d 752 (2003).

Sentence Fixed by Jury.

Under § 16-89-126(c) and this section, the defendant was entitled to have a jury fix his sentence for his conviction of driving while intoxicated, and his proffered jury instruction to this effect should have been given. Tharp v. State, 294 Ark. 615, 745 S.W.2d 612 (1988).

Neither the trial court nor counsel should comment on parole, because the jury would be inclined to impose excessive punishment in order to compensate for early release. Haynes v. State, 311 Ark. 651, 846 S.W.2d 179 (1993).

Trial court imposed an illegal sentence when it rejected a jury's verdict and took it upon itself to sentence defendant where the jury's sentencing verdict of zero years in prison and a fine of zero dollars was a proper and valid sentence for second-degree battery. Donaldson v. State, 370 Ark. 3, 257 S.W.3d 74 (2007).

Petitioner's death sentence could not stand because the manner in which the jury completed its form allowed only the conclusion that it eliminated from its consideration all evidence presented of mitigating circumstances and sentenced petitioner to death solely based on an aggravating circumstance, which was reversible error. Williams v. State, 2011 Ark. 534 (2011), overruled, Nooner v. State, 2014 Ark. 296, 438 S.W.3d 233 (2014).

Defendant's appeal of convictions for residential burglary and theft of property was frivolous because, inter alia, defendant was not entitled to have the trial court fix sentence, since a jury convicted defendant of a felony and the prosecutor did not consent to sentencing by the court. Guthrie v. State, 2017 Ark. App. 681 (2017).

Sentencing by Court.

Trial court's sentencing action was proper. Scherrer v. State, 294 Ark. 227, 742 S.W.2d 877 (1988).

The requirement that the jury fix the sentence does not render the presentence report requirement of § 5-65-109 meaningless; there are situations when the report still will be of value, as when the court fixes the sentence under one of the exceptions of subsection (b) of this section. Tharp v. State, 294 Ark. 615, 745 S.W.2d 612 (1988).

Where none of the circumstances enumerated in subsection (b) were applicable, judge lacked statutory authority to increase term of imprisonment imposed by a jury, and his action was unauthorized and illegal. Richards v. State, 309 Ark. 133, 827 S.W.2d 155 (1992).

Where the judge said nothing about balancing the fine and imprisonment elements of the sentence when he reduced the fine and illegally increased the sentence, the appellate court had no reason to reverse the fine portion of the sentence. Richards v. State, 309 Ark. 133, 827 S.W.2d 155 (1992).

There is nothing in this section that limits a circuit court's discretion to what the jury was considering before the court assumed control of the matter, and sentence which was within the statutory range was not an abuse of the circuit court's discretion. Henderson v. State, 310 Ark. 287, 835 S.W.2d 865 (1992).

The trial court was authorized to fix punishment when the jury was unable to agree upon the punishment and only eleven jurors remained after one was disqualified. Johnson v. State, 328 Ark. 526, 944 S.W.2d 115 (1997).

Where the jury convicted defendant of possession of cocaine with intent to deliver and recommended a sentence of 3 years' probation, the trial court was permitted to sentence defendant to 20 years' imprisonment rather than follow the jury's recommendation; the jury's recommendation of 3 years' probation was not authorized by § 5-64-401(a)(1), which required a minimum sentence of 20 years. Ewings v. State, 85 Ark. App. 411, 155 S.W.3d 715 (2004).

Sentence imposed on the enhancement offense of commission of a felony with a firearm was not void or illegal as it was specifically allowed by statute. By failing to object when given the opportunity, defendants indicated their agreement with the trial court's fixing the punishment. Watkins v. State, 2009 Ark. App. 124, 302 S.W.3d 635 (2009).

Under subdivision (b)(4) of this section, the judge rather than the jury may impose a sentence where the prosecution and the defense agree that the court may fix punishment. Nevertheless, it is generally improper for the trial court to sentence on the enhancement provision in place of the jury. Watkins v. State, 2010 Ark. 156, 362 S.W.3d 910 (2010).

Waiver of Sentence by Jury.

Defendant executed a written waiver of his right to a jury trial, which was signed by defendant, his attorney, the prosecutor, and the judge, and the circuit court made a verbatim record of defendant's personal waiver of his right to jury trial in open court; because defendant was waiving his right to be tried by a jury on the charges, he was also waiving his right to be sentenced by a jury on the charges. Johns v. State, 2014 Ark. App. 560, 444 S.W.3d 873 (2014).

Waiver form provided that defendant was facing sentences for up to 15 years, which range clearly showed the enhanced sentencing range, as ordinarily the range was not to exceed six years for a Class D felony, plus the circuit court directly referenced the enhanced punishment ranges and asked defendant if he understood the same; the waiver ensured that defendant understood that, if found guilty, he was to be sentenced by the circuit court, and his waiver was valid. Johns v. State, 2014 Ark. App. 560, 444 S.W.3d 873 (2014).

Cited: Killman v. State, 274 Ark. 422, 625 S.W.2d 489 (1981); Scott v. State, 284 Ark. 388, 681 S.W.2d 915 (1985); Davis v. State, 291 Ark. 191, 723 S.W.2d 366 (1987); Parker v. State, 292 Ark. 421, 731 S.W.2d 756 (1987); Fitzhugh v. State, 293 Ark. 315, 737 S.W.2d 638 (1987); Mulanax v. State, 301 Ark. 321, 783 S.W.2d 851 (1990); Townsend v. State, 308 Ark. 266, 824 S.W.2d 821 (1992); Townsend v. State, 308 Ark. 266, 824 S.W.2d 821 (1992); Ladwig v. State, 328 Ark. 241, 943 S.W.2d 571 (1997); Thomas v. State, 349 Ark. 447, 79 S.W.3d 347 (2002); Brown v. State, 82 Ark. App. 61, 110 S.W.3d 293 (2003); Sullivan v. State, 366 Ark. 183, 234 S.W.3d 285 (2006); Loar v. State, 368 Ark. 171, 243 S.W.3d 923 (2006); Henry v. State, 2011 Ark. App. 169, 378 S.W.3d 832 (2011).

5-4-104. Authorized sentences generally.

  1. No defendant convicted of an offense shall be sentenced otherwise than in accordance with this chapter.
  2. A defendant convicted of capital murder, § 5-10-101, or treason, § 5-51-201, shall be sentenced to death or life imprisonment without parole in accordance with §§ 5-4-601 — 5-4-605, 5-4-607, and 5-4-608, except if the defendant was younger than eighteen (18) years of age at the time he or she committed the capital murder or treason he or she shall be sentenced to life imprisonment with the possibility of parole after serving a minimum of thirty (30) years' imprisonment.
    1. A defendant convicted of a Class Y felony or murder in the second degree, § 5-10-103, shall be sentenced to a term of imprisonment in accordance with §§ 5-4-401 — 5-4-404.
    2. In addition to imposing a term of imprisonment, the trial court may sentence a defendant convicted of a Class Y felony or murder in the second degree, § 5-10-103, to any one (1) or more of the following:
      1. Pay a fine as authorized by §§ 5-4-201 and 5-4-202;
      2. Make restitution as authorized by § 5-4-205; or
      3. Suspend imposition of an additional term of imprisonment, as authorized by subdivision (e)(3) of this section.
  3. A defendant convicted of an offense other than a Class Y felony, capital murder, § 5-10-101, treason, § 5-51-201, or murder in the second degree, § 5-10-103, may be sentenced to any one (1) or more of the following, except as precluded by subsection (e) of this section:
    1. Imprisonment as authorized by §§ 5-4-401 — 5-4-404;
    2. Probation as authorized by §§ 5-4-301 — 5-4-307 and 16-93-306 — 16-93-314;
    3. Payment of a fine as authorized by §§ 5-4-201 and 5-4-202;
    4. Restitution as authorized by a provision of § 5-4-205; or
    5. Imprisonment and payment of a fine.
      1. The court shall not suspend imposition of sentence as to a term of imprisonment nor place the defendant on probation for the following offenses:
        1. Capital murder, § 5-10-101;
        2. Treason, § 5-51-201;
        3. A Class Y felony, except to the extent suspension of an additional term of imprisonment is permitted in subsection (c) of this section;
        4. Driving or boating while intoxicated, § 5-65-103;
        5. Murder in the second degree, § 5-10-103, except to the extent suspension of an additional term of imprisonment is permitted in subsection (c) of this section; or
        6. Engaging in a continuing criminal enterprise, § 5-64-405.
        1. In any other case, the court may suspend imposition of sentence or place the defendant on probation, in accordance with §§ 5-4-301 — 5-4-307 and 16-93-306 — 16-93-314, except as otherwise specifically prohibited by statute.
        2. The court may not suspend execution of sentence.
    1. If the offense is punishable by fine and imprisonment, the court may sentence the defendant to pay a fine and suspend imposition of the sentence as to imprisonment or place the defendant on probation.
      1. The court may sentence the defendant to a term of imprisonment and suspend imposition of sentence as to an additional term of imprisonment.
      2. However, the court shall not sentence a defendant to imprisonment and place him or her on probation, except as authorized by § 5-4-304.
    1. If the court determines that an offender under eighteen (18) years of age would be more amenable to a rehabilitation program of the Division of Youth Services and that he or she previously has not been committed to the Division of Youth Services on more than one (1) occasion, the court may sentence the offender under eighteen (18) years of age to the Division of Correction for a term of years, suspend the sentence, and commit him or her to the custody of the Division of Youth Services.
    2. In a case under subdivision (f)(1) of this section, if the offender under eighteen (18) years of age completes the program of the Division of Youth Services satisfactorily, the Division of Youth Services shall return him or her to the sentencing court and provide the sentencing court with a written report of his or her progress and a recommendation that the offender under eighteen (18) years of age be placed on probation.
      1. In the event that the offender under eighteen (18) years of age violates a rule of the Division of Youth Services' program or facility or is otherwise not amenable to the Division of Youth Services' rehabilitative effort, the Division of Youth Services may return him or her to the sentencing court with a written report of his or her conduct and a recommendation that the offender under eighteen (18) years of age be transferred to the Division of Correction.
      2. If the court finds that the offender under eighteen (18) years of age has violated a rule of the Division of Youth Services' program or facility or is otherwise not amenable to the Division of Youth Services' rehabilitative effort, the court shall then revoke the suspension of the sentence originally imposed and commit the offender under eighteen (18) years of age to the Division of Correction.
  4. This chapter does not deprive the court of any authority conferred by law to:
    1. Order a forfeiture of property;
    2. Suspend or cancel a license;
    3. Dissolve a corporation;
    4. Remove a person from office;
    5. Cite for contempt;
    6. Impose any civil penalty; or
    7. Assess costs as set forth in subsection (h) of this section.
  5. A defendant convicted of violating § 5-11-106, in which a minor was unlawfully detained, restrained, taken, enticed, or kept, may be assessed and ordered to pay expenses incurred by a law enforcement agency, the Department of Human Services, or the lawful custodian in searching for or returning the minor to the lawful custodian.

History. Acts 1975, No. 280, § 803; 1981, No. 620, § 7; 1983, No. 409, § 1; A.S.A. 1947, § 41-803; Acts 1987, No. 487, § 1; 1991, No. 608, §§ 1, 2; 1993, No. 192, § 1; 1993, No. 532, §§ 5, 9; 1993, No. 533, §§ 2, 3; 1993, No. 550, §§ 5, 9; 1993, No. 553, §§ 2, 3; 2001, No. 559, § 8; 2009, No. 748, § 3; 2011, No. 570, §§ 3, 4; 2011, No. 1120, §§ 1, 2; 2013, No. 1490, § 2; 2015, No. 299, § 1; 2017, No. 539, § 3; 2019, No. 910, § 648.

A.C.R.C. Notes. Acts 1991, No. 608, § 4, provided:

“It is the express intent of this act to clarify current sentencing provisions for Class Y felonies, second degree murder, driving while intoxicated and drug related offenses under the Uniform Controlled Substances Act. Current provisions have created considerable confusion as to what forms of punishment are permitted or prohibited in certain cases. Part of the confusion stems from the fact that § 5-4-301 has never been amended to correlate with the language of § 5-4-104, nor with amendments to other criminal offense provisions. See Harris v. State, 15 Ark. App. 58, 689 S.W.2d 353 (1985). Additional confusion has arisen because the intent underlying mandatory sentences for the enumerated offenses is not furthered by disallowing the imposition of other forms of punishment in addition to mandatory imprisonment. The intent of §§ 5-4-104(e)(1) and 5-4-301(a)(1) was to insure that persons convicted of serious offenses received, and were forced to serve, sentences commensurate with the severity of the offense committed. See id. at 62 (Glaze, J., concurring). It is inconceivable that one convicted of the most reprehensible crime must be imprisoned, but at the same time, cannot be fined or ordered to pay restitution to the victim or the victim's family, or be subjected to a suspended additional term of imprisonment.

“Finally, confusion has arisen by the fact that certain offenses codified outside of the Criminal Code contain specific sentencing provisions that may or may not be read consistently with sentencing provisions within the code. For example, current provisions under the Omnibus DWI Act (§ 5-65-101 et seq.) require mandatory imprisonment, but expressly disallow only probation for first offenders under § 16-93-303. Insofar as sentencing provisions within the Criminal Code do not expressly prohibit suspension of sentences or probation for offenses under the act, there is some question as to which provision prevails. See Lovell v. State, 283 Ark. 425, 678 S.W.2d 318, reh'g denied, 283 Ark. 434, 678 S.W.2d 318 (1984). It is the intent of this act to resolve the ambiguity.

“As noted in Lovell, id. at 434-B-C, statutes possessing their own penal provisions concerning probation and suspended sentences have been, and may later be, enacted. It is the intent of this act, in the amendment of §§ 5-4-104(e)(1) and 5-4-301(a)(1), to provide that provisions within acts possessing their own penal provisions will control.”

Acts 2011, No. 570, § 1, provided: “Legislative intent. The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Acts 2013, No. 1490, § 1, provided: “Legislative intent.

“(a) It is the intent of the General Assembly to revise the punishments authorized for persons who are not yet eighteen (18) years of age when they commit capital murder after the effective date of this act.

“(b) It is not the intent of the General Assembly to authorize the revised punishments for those persons who committed capital murder when they were not yet eighteen (18) years of age prior to the effective date of this act.”

Acts 2017, No. 539, § 1, provided: “Title. This act shall be known and may be cited as the ‘Fair Sentencing of Minors Act of 2017’.”

Acts 2017, No. 539, § 2, provided: “Legislative intent.

“(a)(1) The General Assembly acknowledges and recognizes that minors are constitutionally different from adults and that these differences must be taken into account when minors are sentenced for adult crimes.

“(2) As the United States Supreme Court quoted in Miller v. Alabama, 132 S. Ct. 2455 (2012), ‘only a relatively small proportion of adolescents’ who engage in illegal activity ‘develop entrenched patterns of problem behavior,’ and ‘developments in psychology and brain science continue to show fundamental differences between juvenile and adult minds,’ including ‘parts of the brain involved in behavior control’.

“(3) Minors are more vulnerable to negative influences and outside pressures, including from their family and peers, and they have limited control over their own environment and lack the ability to extricate themselves from horrific, crime-producing settings.

“(4) The United States Supreme Court has emphasized through its cases in Miller, Roper v. Simmons, 543 U.S. 551 (2005), and Graham v. Florida, 560 U.S. 48 (2010), that ‘the distinctive attributes of youth diminish the penological justifications for imposing the harshest sentences on juvenile offenders, even when they commit terrible crimes’.

“(5) Youthfulness both lessens a juvenile's moral culpability and enhances the prospect that, as a youth matures into an adult and neurological development occurs, these individuals can become contributing members of society.

“(b) In the wake of these United States Supreme Court decisions and the emerging juvenile brain and behavioral development science, several states, including Texas, Utah, South Dakota, Wyoming, Nevada, Iowa, Kansas, Kentucky, Montana, Alaska, West Virginia, Colorado, Hawaii, Delaware, Connecticut, Vermont, Massachussets, and the District of Columbia, have eliminated the sentence of life without parole for minors.

“(c) It is the intent of the General Assembly to eliminate life without parole as a sentencing option for minors and to create more age-appropriate sentencing standards in compliance with the United States Constitution for minors who commit serious crimes.”

Publisher's Notes. The later legislation enacting this section may have repealed § 16-90-202 by implication. See Hodge v. State, 320 Ark. 31, 894 S.W.2d 927 (1995).

Amendments. The 2009 amendment substituted “§ 5-64-405” for “former § 5-64-414” in (e)(1)(A)(vi).

The 2011 amendment by No. 570 inserted “5-4-307 and 16-93-306 — 16-93-314” in (d)(2) and (e)(1)(B)(i).

The 2011 amendment by No. 1120 substituted “§§ 5-4-201 and 5-4-202” for “§§ 5-4-2015-4-203” in (c)(2)(A) and (d)(3).

The 2013 amendment rewrote (b).

The 2015 amendment inserted “or boating” following “Driving” in (e)(1)(A)(iv).

The 2017 amendment deleted former (b)(1) and the former (b)(2) designation; and, in (b), inserted “or treason” and substituted “thirty (30)” for “twenty-eight (28)”.

The 2019 amendment substituted “Division of Correction” for “Department of Correction” and “Division of Youth Services of the Department of Human Services” for “division” and similar language throughout (f).

Research References

ALR.

Downward departure under state sentencing guidelines permitting downward departure for defendants with significantly reduced mental capacity, including alcohol or drug dependency. 113 A.L.R.5th 597.

U. Ark. Little Rock L.J.

Legislative Survey, Criminal Law, 8 U. Ark. Little Rock L.J. 559.

Legislative Survey, Criminal Law, 14 U. Ark. Little Rock L.J. 753.

Annual Survey of Caselaw, Criminal Procedure, 26 U. Ark. Little Rock L. Rev. 885.

U. Ark. Little Rock L. Rev.

Annual Survey of Case Law: Criminal Law, 29 U. Ark. Little Rock L. Rev. 849.

Case Notes

In General.

Former section which fixed penalty for certain offense did not violate the Eighth Amendment of the U.S. constitution prohibiting cruel and unusual punishment, nor was penalty cruel and unusual punishment prohibited by state constitution. Johnson v. State, 214 Ark. 902, 218 S.W.2d 687 (1949) (decision under prior law).

The former statute providing life imprisonment without parole did not violate the constitutional provision vesting the power to grant pardons, reprieves and commutations of sentences in the governor. Tanner v. State, 259 Ark. 243, 532 S.W.2d 168 (1976) (decision under prior law).

The extent of sentencing in criminal cases is controlled by the legislature, and the Arkansas circuit courts have no inherent authority to fashion sentences. Shelton v. State, 44 Ark. App. 156, 870 S.W.2d 398 (1994).

Construction.

The Arkansas Supreme Court has expanded the literal meaning of subsection (a) of this section to say that statutes that define a criminal offense and also possess their own sentencing provisions will control over the general code language. State v. Townsend, 314 Ark. 427, 863 S.W.2d 288 (1993).

Authorizing a particular form of punishment is a far cry from mandating that it be considered, or that the jury be instructed that it be considered in a given case. Dale v. State, 55 Ark. App. 184, 935 S.W.2d 274 (1996).

Act 192 of 1993 amended subdivision (e)(1) of this section and § 5-4-301(a)(1) to permit suspension and probation as alternative sentences for certain drug offenses. Crouse v. State, 2012 Ark. 442 (2012).

Where defendant was found guilty of aggravated robbery and theft of property, his sentence was enhanced by seven years pursuant to § 16-90-120 for employing a firearm in the commission of a felony. The enhancement did not violate the plain language of subsection (a) of this section, because subsection (a) and § 16-90-120(a)-(b) can be read harmoniously to mean that § 16-90-120(a)-(b) is only a sentence enhancement, while the Arkansas Criminal Code provides the minimum sentences to be imposed for each specific offense. Williams v. State, 2013 Ark. App. 179 (2013).

Two fifteen-year sentences imposed by the jury under the firearm enhancement were not illegal, because § 16-90-120 and this section could be read in a harmonious manner, and without statutory amendments, the appellate courts' interpretations of the statutes remained the law. Smith v. State, 2013 Ark. 364 (2013).

Applicability.

The version of this section in effect on the date of the crime was committed is the statute that must govern sentencing. State v. Townsend, 314 Ark. 427, 863 S.W.2d 288 (1993).

The fact that Acts 1993, No. 192, now codified as subdivision (e)(1) of this section and § 5-4-301(a)(1), was approved before commission of the crime and effective after the crime did not require its application; the effective date of the act was controlling. Elders v. State, 321 Ark. 60, 900 S.W.2d 170 (1995).

Legislature did not intend for the penalty provisions of the Fair Sentencing of Minors Act of 2017 (FSMA), codified at § 5-4-104(b) and § 5-10-101(c), to apply retroactively where the FSMA contained no general retroactivity provision, no retroactivity provision was attached to the FSMA's penalty provisions, and the legislature had expressly stated its intent that other sections of the FSMA applied retroactively. Therefore, the revised punishment for juveniles convicted of capital murder applies only to crimes committed on or after March 20, 2017, the effective date of the FSMA. Harris v. State, 2018 Ark. 179 (2018).

Parole-eligibility provision of the Fair Sentencing of Minors Act of 2017 (FSMA), codified at § 16-93-621(a)(2), did not apply at the time of defendant's hearing because the provision, by its plain language, applies only to those juvenile offenders who are serving a sentence for either capital or first-degree murder; because defendant's life-without-parole sentence was vacated in 2016 under Jackson v. Norris, 2013 Ark. 175, and Kelly v. Gordon, 2015 Ark. 277, he was no longer serving a sentence to which parole eligibility could attach. Harris v. State, 2018 Ark. 179 (2018).

Because the relevant provisions of the Fair Sentencing of Minors Act of 2017 were inapplicable to defendant, defendant was entitled to a hearing under Jackson v. Norris, 2013 Ark. 175, to present Miller evidence for consideration and sentencing within the discretionary range for a Class Y felony. Harris v. State, 2018 Ark. 179 (2018).

In accord with Harris v. State, 2018 Ark. 179, 547 S.W.3d 64. Robinson v. State, 2018 Ark. 353, 563 S.W.3d 530 (2018).

In accord with Harris v. State, 2018 Ark. 179. The circuit court erred in applying the Fair Sentencing of Minors Act of 2017 (FSMA) to defendant juvenile's case because defendant committed his crime before the effective date of the FSMA, and thus, the penalty provisions did not apply; because defendant's sentence was vacated, he was no longer serving a sentence to which parole eligibility could attach, and thus, the parole-eligibility provision of the FSMA did not apply at the time of his hearing on the State's motion for resentencing. Ray v. State, 2019 Ark. 46, 567 S.W.3d 63 (2019).

In accord with Harris v. State, 2018 Ark. 179. Howell v. State, 2019 Ark. 59, 567 S.W.3d 842 (2019); Miller v. State, 2019 Ark. 81, 570 S.W.3d 448 (2019); Elliott v. State, 2019 Ark. 162 (2019).

Authority of Court.

A trial court may reduce the extent or duration of the punishment assessed by the jury if, in the judge's opinion, the conviction is proper but the punishment assessed is still greater than, under the circumstances of the case, ought to be inflicted, as long as the punishment is not reduced below the limit prescribed by the law under § 16-90-107(e); in such a case, the court could reduce the term of imprisonment, then suspend an additional term of imprisonment, with the sum of the two terms not exceeding the jury's original fixed term of imprisonment, meaning § 5-4-104(e)(3) is not rendered a nullity. Brown v. State, 82 Ark. App. 61, 110 S.W.3d 293 (2003).

Citation of Statute.

In the case of requests for probation or a suspended sentence, this section requires appellant to cite the appropriate statute under which he claims he is entitled to such relief, and if the request for probation is specific, but does not include an assertion that appellant was entitled to probation pursuant to this section and § 5-4-301, the Supreme Court will not address whether appellant is entitled to probation based on those sections. Baker v. State, 310 Ark. 485, 837 S.W.2d 471 (1992).

Conversion of Fine Into Jail Term.

The equal protection rule that the state cannot impose a fine as a sentence and then automatically convert it into a jail term solely because the defendant is indigent and cannot forthwith pay the fine in full was not violated where the defendant, with the assistance of counsel, tendered his own schedule of payment for restitution in exchange for a suspended sentence and then made sporadic payments in violation of the payment schedule. Hoffman v. State, 289 Ark. 184, 711 S.W.2d 151 (1986).

Double Jeopardy.

Where the defendant was ordered to pay a fine and simultaneously placed on probation, and the defendant paid the fine, but she violated the conditions of probation, the defendant was not unconstitutionally subjected to double jeopardy when the court revoked her probation and imposed a five-year sentence. Diffee v. State, 290 Ark. 194, 718 S.W.2d 94 (1986).

Effect of Amendments.

Acts 1993, No. 192 amended former § 5-4-301(a)(1)(F) and former subdivision (e)(1)(F) of this section to remove the language from the two statutes which prohibited trial courts from imposing suspended imposition of sentence or probation of controlled substance offenders; the act did not provide for retroactive application, and, thus, its operation is prospective only. State v. Whale, 314 Ark. 576, 863 S.W.2d 290 (1993); State v. Williams, 315 Ark. 464, 868 S.W.2d 461 (1994); State v. Galyean, 315 Ark. 699, 870 S.W.2d 706 (1994).

Fines.

Subsection (e) of this section does not prohibit the court from imposing fines on a defendant who has previously been convicted of two or more felonies; instead, it means that the court is not allowed to impose only a fine in place of prison sentence when the defendant is a habitual offender. Kinsey v. State, 290 Ark. 4, 716 S.W.2d 188 (1986).

Under subsection (e) of this section, the court acted within its statutory authority in assessing a fine and at the same time placing the defendant on probation. Diffee v. State, 290 Ark. 194, 718 S.W.2d 94 (1986).

A trial court exceeds its jurisdiction when, having imposed a sentence for a term of years, which the defendant has been serving, it adds a fine for a subsequent offense. DeHart v. State, 312 Ark. 323, 849 S.W.2d 497 (1993).

In defendant's drug case, the court erroneously instructed the jury regarding penalties in the sentencing phase where it allowed for the jury to consider only the possibility of imprisonment when defendant was an habitual offender; the court failed to give the jury the option of considering only the payment of a fine, as authorized by subdivision (d)(3) of this section. Jones v. State, 357 Ark. 545, 182 S.W.3d 485 (2004).

Court erred in failing to give defendant's proffered jury instruction allowing the jury to consider imposing a fine without imprisonment, notwithstanding his status as a habitual offender, because the model jury instruction which allowed for the jury to consider only the possibility of imprisonment when the defendant was a habitual offender did not accurately reflect the law, as it did not give the jury the option of considering only the payment of a fine, as authorized by subdivision (d)(3) of this section. Andrews v. State, 2012 Ark. App. 597, 424 S.W.3d 349 (2012).

Illegal Sentence.

Circuit court imposed an illegal sentence upon defendant when it attempted to require him to undergo drug and alcohol treatment as a condition of his incarceration after it revoked his probation because no statute authorized the imposition of conditions upon a sentence of incarceration and thus, the circuit court lacked authority to do so. Richie v. State, 2009 Ark. 602, 357 S.W.3d 909 (2009).

Upon defendant's conviction for rape and second-degree battery, the circuit court erred in ordering him to complete a sex-offender treatment program because he was sentenced under §§ 5-4-401, 5-4-501 and these statutes did not authorize the court to order a sex-offender treatment program. Pursuant to § 5-4-303, a circuit court may clearly place conditions on a defendant when the court suspends the imposition of sentence or places the defendant on probation, but that there is no similar provision in subsection (d) of this section that would allow a court to place specific conditions on a sentence of incarceration. White v. State, 2012 Ark. 221, 408 S.W.3d 720 (2012).

Upon revoking defendant's probation for the fraudulent use of a credit or debit card, the trial court sentenced defendant to 365 days' incarceration and required her to attend a drug program. Because such a condition to incarceration was not authorized by subsection (d) of this section, the sentence was illegal. Runion v. State, 2012 Ark. App. 365 (2012).

While this section and § 5-4-301 did not prohibit the suspended imposition of sentence for the offense of sexual assault in the second degree, the trial court could not have entered a judgment imposing a sentence for 180 months' imprisonment and also suspending imposition of an additional 180 months' imprisonment because the judgment had the effect of placing defendant under the jurisdiction of the court for 360 months when the maximum sentence authorized by statute was 240 months. Ward v. State, 2016 Ark. 8, 479 S.W.3d 9 (2016).

Mandatory Sentences.

Since subsection (c) provides that a defendant convicted of a Class Y felony must be sentenced to imprisonment, a defendant convicted of such an offense could not be given a suspended sentence or probation even where the prosecutor agreed that some form of probation would be proper. Harris v. State, 15 Ark. App. 58, 689 S.W.2d 353 (1985).

Where suspended sentences violated the mandatory provisions of subsection (e), they were void, and since the original sentences were illegal, even though partially executed, the sentencing court could correct them, even though a notice of appeal had been filed. Lambert v. State, 286 Ark. 408, 692 S.W.2d 238 (1985).

The suspension of a part of the Class Y felony sentence is prohibited under subsection (e) of this section. Campbell v. State, 288 Ark. 213, 703 S.W.2d 855 (1986).

Upon conviction for aggravated robbery and misdemeanor theft of property, defendant's enhanced sentence as a habitual offender with two prior felony convictions was affirmed as there was no conflict between subsection (a) of this section and § 16-90-120(a) and (b); subsection (a) refers only to the initial sentence and § 16-90-120(a) and (b) refer only to a sentence enhancement that could be added to the initial sentence. Williams v. State, 364 Ark. 203, 217 S.W.3d 817 (2005).

Probation.

Probation was not a sentence option for rape, a Class Y felony; probation was available as a sentence alternative only for certain Class Y drug offenses. State v. Pinell, 353 Ark. 129, 114 S.W.3d 175 (2003).

Restitution.

The power to sentence the defendant to make restitution was clearly prescribed by law, and thus the sentence was not illegal on its face. Cotnam v. State, 36 Ark. App. 109, 819 S.W.2d 291 (1991).

Supersession of Statute.

It is possible that § 16-90-202 may have been repealed by subsection (a) of this section. Hodge v. State, 320 Ark. 31, 894 S.W.2d 927 (1995).

Suspension or Probation.

Where the defendant was sentenced to a term imprisonment with part of the term to be suspended on certain conditions and when the defendant violated those conditions, the trial court had the power to sentence the defendant to another term in prison since the court's conditional suspension amounted to a decision to suspend the pronouncement of an additional number of years to the original sentence to prison. Holland v. State, 267 Ark. 956, 591 S.W.2d 698 (Ct. App. 1979).

Court is authorized to suspend imposition of sentence or place the defendant on probation, but it may not do both since by § 5-4-101(1), a suspension is “without supervision,” while under § 5-4-101(2), probation requires the “supervision of a probation officer.” Culpepper v. State, 268 Ark. 263, 595 S.W.2d 220 (1980), superseded by statute as stated in, Smith v. State, 18 Ark. App. 152, 713 S.W.2d 241 (1986).

Where the defendant was sentenced to a term of imprisonment which was suspended with a number of years probation, upon the revocation of his probation the court could not increase his sentence since the court at the time of his original sentencing could have suspended imposition of the sentence or placed him on probation, and the court had chosen to put him on probation. Culpepper v. State, 268 Ark. 263, 595 S.W.2d 220 (1980), superseded by statute as stated in, Smith v. State, 18 Ark. App. 152, 713 S.W.2d 241 (1986).

The court, and not the jury, has the power to suspend imposition of sentence. Rhoades v. State, 270 Ark. 962, 607 S.W.2d 76 (1980), cert. denied, Rhoades v. Arkansas, 452 U.S. 915, 101 S. Ct. 3048 (1981).

Apart from this section, the common law “court probation” procedure is no longer available as a sentencing alternative. English v. State, 274 Ark. 304, 626 S.W.2d 191 (1981).

A court probation proceeding, as codified in subsection (e) of this section, does not constitute either a “conviction” or “finding of guilt” under § 5-4-501 until the original guilty plea is finally accepted and, therefore, is inadmissible for sentence enhancement purposes in a subsequent prosecution. English v. State, 274 Ark. 304, 626 S.W.2d 191 (1981).

Placing the defendant on probation without imposing a sentence is the essential element in “court probation”; all other statutory sentencing procedures require that a judgment of conviction be entered, and the sentence begins to run from the time of the sentence and it is immaterial whether the trial court suspends the imposition of the sentence or the execution of the sentence. English v. State, 274 Ark. 304, 626 S.W.2d 191 (1981).

Where the trial court revoked the defendant's probation and sentenced him to a term of imprisonment at the Department of Correction, the court could not impose a term of probation on the defendant in addition to the imprisonment. Marion v. State, 4 Ark. App. 359, 631 S.W.2d 315 (1982).

Where court could either suspend imposition of the sentence or place the defendant on probation but it could not do both, and court entered an order suspending sentence and an order placing defendant on probation, the judgment would be construed as a suspension of the imposition of sentence for the probation period. Cooper v. State, 278 Ark. 394, 645 S.W.2d 950 (1983).

When a court grants unauthorized dual judgments of sentence and one is imposed and served, and the other is the suspension of a sentence, there is an election by operation of law and the sentencing court has elected to order the sentence actually imposed; the other is void. Hunter v. State, 278 Ark. 428, 645 S.W.2d 954 (1983).

Where the trial court sentenced the defendant to a term of imprisonment, suspended execution of the sentence, and placed him on probation, at a subsequent revocation hearing, the trial court could only revoke the fixed term remaining on the suspended sentence, and a new sentence could not be set at the revocation hearing. Deaton v. State, 283 Ark. 79, 671 S.W.2d 175 (1984).

A trial court was only authorized to suspend imposition of a sentence, not the execution of a sentence. Miller v. State, 13 Ark. App. 314, 683 S.W.2d 937 (1985).

Court probation, apart from that authorized by statute, is no longer available as a sentencing alternative inasmuch as it was codified under the Arkansas Criminal Code. The same is true of “advisory sentences” and all other unauthorized forms of sentencing where the trial court takes the defendant's plea under advisement subject to conditions which are, in essence, terms of probation or suspended sentences. Hoffman v. State, 289 Ark. 184, 711 S.W.2d 151 (1986).

Where defendant was sentenced to period of imprisonment for one year and any additional term of imprisonment for a period of up to five years was suspended, imposition of nine year sentence upon revocation of suspension when court found defendant, subsequent to his release committed the crime of robbery, was proper since 10 years is the maximum for the crime for which he was placed on suspension. Smith v. State, 18 Ark. App. 152, 713 S.W.2d 241 (1986).

Where after defendant pleaded guilty to a charge of theft, a class C felony for which the maximum sentence is 10 years, the court could sentence defendant to one year of imprisonment and suspend imposition of an additional sentence to the penitentiary for a period of five years, since the five year period of suspension did not exceed the maximum prison sentence allowable for the offense. Smith v. State, 18 Ark. App. 152, 713 S.W.2d 241 (1986).

While it is true that subsection (e) of this section provides that a defendant cannot be sentenced to a term of imprisonment to be followed by a period of probation otherwise than in accordance with § 5-4-304, a court has the authority to sentence one to a term of imprisonment to be followed by a period of suspension. Smith v. State, 18 Ark. App. 152, 713 S.W.2d 241 (1986).

After release from prison an inmate is on probation under supervision of the Department of Correction; the distinction between suspension and probation is whether supervision is exercised, and that is the reason the statutes prohibit a court from sentencing a defendant to a term in prison and following it by a period of probation. Subdivision (e)(3) of this section appears to allow a period of suspension following a term in prison. Brimer v. State, 295 Ark. 20, 746 S.W.2d 370 (1988).

A trial court may not impose a sentence of imprisonment in the state Department of Correction that is followed by probation. Bangs v. State, 310 Ark. 235, 835 S.W.2d 294 (1992).

The trial court has no inherent authority to suspend imposition of a sentence and must follow the statutory requirements of this section. State v. Freeman, 312 Ark. 34, 846 S.W.2d 660 (1993).

The circuit court erred by imposing a sentence of three years' supervised probation for possession of a controlled substance with intent to deliver, pursuant to § 16-93-501(10) (repealed), where intent to deliver cocaine was a Class Y felony and a minimum sentence of 10 years was mandatory under former § 5-4-301(a)(1)(F) and former subdivision (e)(1)(F) of this section. State v. Williams, 315 Ark. 464, 868 S.W.2d 461 (1994).

Where, at the time the offense was committed, § 5-64-407, former subdivision (e)(1)(F) of this section and former § 5-4-301(a)(1)(F) prohibited probation for delivery (as opposed to possession) of a controlled substance, the trial court erred in placing defendant on probation. State v. Landis, 315 Ark. 681, 870 S.W.2d 704 (1994); State v. Galyean, 315 Ark. 699, 870 S.W.2d 706 (1994).

Court could sentence a defendant to one term of imprisonment and suspend imposition of sentence as to an additional term of imprisonment. Bramucci v. State, 76 Ark. App. 8, 62 S.W.3d 10 (2001).

—Suspension Prohibited.

Effective March 16, 1993, The General Assembly, by specific terms, prohibited trial courts from suspending execution of sentences by enacting subdivision (e)(1)(B)(ii) of this section. Meadows v. State, 320 Ark. 686, 899 S.W.2d 72 (1995).

When a defendant is convicted of a Class Y felony, the General Assembly has specifically provided that a trial court shall not suspend imposition of sentence as to a term of imprisonment or place the defendant on probation. State v. Stephenson, 340 Ark. 229, 9 S.W.3d 495 (2000).

The trial court had no statutory authority to suspend the imposition of sentence or to suspend execution of the 10-year sentence on the Class Y felony charge of simultaneous possession of drugs and firearms. State v. Stephenson, 340 Ark. 229, 9 S.W.3d 495 (2000).

Defendant's conviction for simultaneous possession of drugs and a firearm constituted a Class Y felony for which no part of her sentence could be suspended pursuant to Ark. Code Ann. § 5-4-301(a)(1)(C); therefore, the trial court erred when it suspended 7 years of defendant's 10-year sentence. State v. Hardiman, 353 Ark. 125, 114 S.W.3d 164 (2003).

Under § 5-4-301(a)(1)(F), the trial court lacked statutory authority to suspend imposition of defendant's 20-year sentence for delivery of cocaine upon defendant's guilty plea in 1991 and the judgment was facially invalid, thus, the 20-year sentence that petitioner was currently serving (upon the revocation of the suspended sentence in 1998), was illegal; however, an illegal sentence could be corrected and remand for resentencing was proper. Taylor v. State, 354 Ark. 450, 125 S.W.3d 174 (2003).

Unauthorized Sentence.

Where after the defendant entered a guilty plea to class C felony theft of property, for which the maximum sentence is 10 years, a sentence of 6 years in prison, with 2 years suspended on condition that the defendant pay the sum of $135,000 at the rate of $200.00 per month, beginning 60 days after defendant's release from prison, and continuing for 12 years, at which time a civil judgment would be entered for the outstanding balance, was not authorized. Brimer v. State, 295 Ark. 20, 746 S.W.2d 370 (1988).

The trial court exceeded its authority by ignoring the dictates of subsection (a) and by suspending imposition of five of six years contrary to the mandate of § 5-4-501(a)(4). State v. Freeman, 312 Ark. 34, 846 S.W.2d 660 (1993).

Original judgment and commitment order for driving while intoxicated, was illegal because the term of imprisonment imposed followed by a specified term of probation exceeded the maximum penalty for the offense committed and because the imposition of probation following a term of imprisonment is prohibited by this section. Petree v. State, 323 Ark. 570, 920 S.W.2d 819 (1996).

Defendant's sentence of 20 years' imprisonment, suspended to an additional term of 20 years, pursuant to his guilty plea to one count of manufacturing methamphetamine, and two counts of possession of drug paraphernalia, was modified to provide that defendant was no longer required to report to a supervising officer, as the sentence was actually one of probation rather than suspension, which was a sentence specifically prohibited by statute. Harness v. State, 352 Ark. 335, 101 S.W.3d 235 (2003).

Trial court was without authority, under Ark. Code Ann. § 5-4-104(e)(3) to add a five-year suspended sentence to the terms of imprisonment decided by the jury in finding defendant guilty of manufacturing methamphetamine and possession of drug paraphernalia with intent to manufacture methamphetamine, even though the additional sentence was suspended. Brown v. State, 82 Ark. App. 61, 110 S.W.3d 293 (2003).

Where the jury sentenced defendant on fifteen of the twenty counts of violation of a minor to no term of imprisonment and a fine of zero dollars, the sentence was illegal as the sentencing range was five to twenty years' imprisonment, or a fine not to exceed $15,000, or both; thus, remand for resentencing on those counts was ordered. Smith v. State, 354 Ark. 226, 118 S.W.3d 542 (2003).

Circuit court's special condition in defendant's sentence that he complete a mandatory drug treatment program while in prison was illegal as it had no authority to impose such a condition under subsection (d) of this section. Once he was sentenced, it was for the Arkansas Department of Correction to determine the conditions of his incarceration. Cline v. State, 2011 Ark. App. 315 (2011).

In a case involving rape and other offenses, a remand was necessary for a trial court to resolve an incongruity within the judgment and commitment order itself, which referred to conditions of a suspended sentence, despite a specification that there were no suspended imposition of sentence. If completion of a Reduction of Sexual Victimization Program was ordered as a condition of incarceration, the circuit court had the opportunity to correct it because only the Arkansas Department of Correction that could have determined any conditions of incarceration. Dillard v. State, 2012 Ark. App. 503 (2012).

Writ of Habeas Corpus Denied.

Habeas relief was not warranted because an applicant was charged under a former first-degree murder statute where a murder was committed in the course of a robbery, and he was properly sentenced to life imprisonment without parole on his plea of guilty to capital-felony murder. An argument that murder in the first degree and capital murder were separate offenses with a separate penalty was rejected. Gooch v. Hobbs, 2014 Ark. 73 (2014) (Decided under former §§ 41-4702, 41-4706).

Cited: Wolfe v. State, 266 Ark. 811, 586 S.W.2d 4 (Ct. App. 1979); Chaviers v. State, 267 Ark. 6, 588 S.W.2d 434 (1979); Lingo v. State, 271 Ark. 776, 610 S.W.2d 580 (1981); Killman v. State, 274 Ark. 422, 625 S.W.2d 489 (1981); Johnson v. State, 292 Ark. 632, 732 S.W.2d 817 (1987); Jones v. State, 297 Ark. 485, 763 S.W.2d 81 (1989); Lee v. State, 299 Ark. 187, 772 S.W.2d 324 (1989); Delph v. State, 300 Ark. 492, 780 S.W.2d 527 (1989); Matthews v. State, 305 Ark. 207, 807 S.W.2d 29 (1991); Pennington v. State, 305 Ark. 507, 808 S.W.2d 780 (1991); Bangs v. State, 310 Ark. 235, 835 S.W.2d 294 (1992); Elders v. State, 321 Ark. 60, 900 S.W.2d 170 (1995); State v. Zawodniak, 329 Ark. 179, 946 S.W.2d 936 (1997); Johnson v. State, 331 Ark. 421, 961 S.W.2d 764 (1998); Sullivan v. State, 366 Ark. 183, 234 S.W.3d 285 (2006); Donaldson v. State, 370 Ark. 3, 257 S.W.3d 74 (2007); Polivka v. State, 2010 Ark. 152, 362 S.W.3d 918 (2010); Jackson v. Norris, 2013 Ark. 175, 426 S.W.3d 906 (2013); State v. O'Quinn, 2013 Ark. 219, 427 S.W.3d 668 (2013); Bongfeldt v. State, 6 Ark. App. 102, 639 S.W.2d 70 (1982); Simmons v. State, 13 Ark. App. 208, 681 S.W.2d 422 (1985);Palmer v. State, 31 Ark. App. 97, 788 S.W.2d 248 (1990); Vega v. State, 56 Ark. App. 145, 939 S.W.2d 322 (1997); Lair v. State, 283 Ark. 237, 675 S.W.2d 361 (1984); Nelson v. State, 284 Ark. 156, 680 S.W.2d 91 (1984); Neal v. State, 2016 Ark. 287, 497 S.W.3d 666 (2016); Liggins v. State, 2016 Ark. 432, 505 S.W.3d 191 (2016); Burnell v. State, 2016 Ark. App. 10 (2016); Hunter v. State, 2017 Ark. App. 256, 522 S.W.3d 793 (2017).

5-4-105. [Repealed.]

A.C.R.C. Notes. Former subdivision (a)(1) of this section was amended by Acts 2011, No. 570, § 5 to delete the reference to § 5-4-311 and to insert references to § 16-90-1301 et seq. and § 16-93-314. However, Acts 2011, No. 626, § 1 specifically repealed this section, and, pursuant to § 1-2-207(b), was the later act.

Publisher's Notes. This section, concerning expungement and sealing options, was repealed by Acts 2011, No. 626, § 1. The section was derived from Acts 2007, No. 744, § 1.

5-4-106. Extended post-conviction no contact order.

  1. As used in this section:
    1. “Extended post-conviction no contact order” means an order issued by a court to a defendant after a conviction for an offense listed in subsection (b) of this section that contains terms as described in subsection (d) of this section; and
    2. “Victim” means:
      1. A person against whom an offense listed in subsection (b) of this section was committed; or
      2. A family member of a person against whom capital murder, § 5-10-101, murder in the first degree, § 5-10-102, or murder in the second degree, § 5-10-103, was committed.
  2. At the request of the prosecuting attorney, a court shall determine whether to issue an extended post-conviction no contact order to a person convicted of one (1) or more of the following offenses:
    1. Capital murder, § 5-10-101, or attempted capital murder;
    2. Murder in the first degree, § 5-10-102, or attempted murder in the first degree;
    3. Murder in the second degree, § 5-10-103, or attempted murder in the second degree;
    4. Kidnapping, § 5-11-102;
    5. Battery in the first degree, § 5-13-201;
    6. Battery in the second degree, § 5-13-202;
    7. Rape, § 5-14-103;
    8. Sexual assault in the first degree, § 5-14-124;
    9. Domestic battering in the first degree, § 5-26-303;
    10. Domestic battering in the second degree, § 5-26-304; or
    11. Aggravated assault upon a law enforcement officer or an employee of a correctional facility, § 5-13-211, if a Class Y felony.
    1. If a request is made under subsection (b) of this section, the court shall order the defendant to show cause why an extended post-conviction no contact order shall not be issued and shall hold a show cause hearing at the sentencing of the defendant.
    2. A victim has the right to be heard at the show cause hearing.
  3. If the court determines after the show cause hearing under subsection (c) of this section that the defendant should be subject to an extended post-conviction no contact order, the court shall:
    1. Enter written findings of fact and the grounds on which the extended post-conviction no contact order is issued;
    2. Determine the time period the extended post-conviction no contact order is effective, up to the life of the defendant, and include the time period in the extended post-conviction no contact order;
    3. Determine the terms described in subsection (e) of this section to be included in the extended post-conviction no contact order and include the terms in the extended post-conviction no contact order;
    4. Issue the extended post-conviction no contact order in a separate document from the judgment imposing the sentence on the defendant; and
    5. Provide a copy of the extended post-conviction no contact order to the defendant.
  4. The court may include one (1) or more of the following terms in the extended post-conviction no contact order:
    1. Order the defendant not to threaten, visit, assault, molest, or otherwise interfere with the victim;
    2. Order the defendant not to follow the victim, including at the victim's workplace;
    3. Order the defendant not to harass the victim;
    4. Order the defendant not to abuse or injure the victim;
    5. Order the defendant not to contact the victim by telephone, written communication, or electronic means; or
    6. Order the defendant to refrain from entering or remaining present at the victim's residence, school, place of employment, or other specified place at times when the victim is present.
    1. An extended post-conviction no contact order entered under this section shall be enforced by a law enforcement agency without further order by the court.
    2. A law enforcement officer shall arrest and take a person into custody, with or without a warrant or other process, if the law enforcement officer has probable cause to believe that the person knowingly violated an extended post-conviction no contact order.
  5. Upon petition by either the prosecuting attorney or the person subject to the extended post-conviction no contact order, an extended post-conviction no contact order may be modified or terminated by the court if circumstances change that substantially alter:
    1. A term or condition of the extended post-conviction no contact order; or
    2. The reason for the issuance of the extended post-conviction no contact order.
  6. A person who knowingly violates an extended post-conviction no contact order upon conviction is guilty of a Class A misdemeanor.

History. Acts 2013, No. 1103, § 1; 2017, No. 367, § 1.

Amendments. The 2017 amendment added (b)(11).

5-4-107. Extended supervision and monitoring for certain sex offenders.

    1. The Division of Correction within one hundred twenty (120) days before the release on parole of a person who is required to register as a sex offender under the Sex Offender Registration Act of 1997, § 12-12-901 et seq., shall notify in writing the prosecuting attorney in the judicial district in which the person was sentenced of the person's impending release on parole.
    2. The Division of Community Correction within one hundred twenty (120) days before the release from probation of a person who is required to register as a sex offender under the Sex Offender Registration Act of 1997, § 12-12-901 et seq., shall notify in writing the prosecuting attorney in the judicial district in which the person was sentenced of the person's impending release from probation.
    3. The Arkansas State Hospital within thirty (30) days before the release from inpatient treatment of a person who was acquitted of a sex offense by reason of mental disease or defect or who is required to register as a sex offender under the Sex Offender Registration Act of 1997, § 12-12-901 et seq., shall notify in writing the prosecuting attorney in the judicial district in which the person was committed of the person's impending release from inpatient treatment.
    1. The prosecuting attorney may file a petition in the circuit court requesting that the person to be released from incarceration, probation, or inpatient treatment be subject to an extended period of supervision and monitoring and alleging that the extended period of supervision and monitoring is necessary because the person poses a serious risk to the public and that there is a likelihood that the person would commit additional criminal offenses.
    2. A copy of the petition and any supporting documents shall be served by the prosecuting attorney on the person in accordance with the Arkansas Rules of Civil Procedure.
    3. If a hearing is requested, it shall be held at the earliest practicable time and at a time and on a date that would accommodate the transport of the person from a Division of Correction facility, Division of Community Correction facility, or the Arkansas State Hospital to the appropriate circuit court.
      1. A person subject to a petition for extended supervision and monitoring filed under this section shall be represented by an attorney if the person requests to be represented by an attorney.
      2. If the person requests an attorney, the circuit court shall conduct a hearing to consider the appointment of an attorney to represent the person.
      1. The person subject to a petition for extended supervision and monitoring filed under this section shall be present at the hearing on the petition.
        1. At the hearing the circuit court shall inform the person of the existence of possible relief under the Arkansas Rules of Criminal Procedure or as provided by law and shall determine whether the person desires the appointment of an attorney to represent him or her in proceedings under this section.
        2. If the person waives the appointment of an attorney, the waiver shall be made in open court on the record.
        3. If the circuit court determines that the person is indigent and that he or she either accepts the appointment of an attorney or is unable to make a competent decision whether to accept or reject an attorney, the circuit court shall issue written findings to that effect and enter a written order appointing an attorney to represent the person in proceedings under this section.
        4. If the circuit court determines that the person waives the appointment of an attorney and understands the legal consequences of his or her decision, or that the person is not indigent, the circuit court shall issue written findings to that effect and enter a written order declining to appoint an attorney to represent the person in proceedings under this section.
        5. In determining whether the person is indigent, the circuit court shall consider the cost of post-conviction proceedings for persons subject to extended supervision and monitoring under this section.
    1. If the circuit court finds by a preponderance of the evidence that the person about to be released from incarceration, probation, or inpatient treatment poses a serious risk to the public and that there is a likelihood that the person would commit additional criminal offenses, the court may order that the person be subject to an extended period of supervision and monitoring for a period of up to fifteen (15) years.
      1. A court order of extended supervision and monitoring under this subsection may be renewed at any time prior to the expiration of the order on the circuit court's own order but only after another hearing and subsequent findings.
      2. A person subject to extended supervision and monitoring under this section is entitled to notice of and to attend the hearing on the renewal, as well as being entitled to contest the renewal of the order of extended supervision and monitoring.
    1. A person who is subject to extended supervision and monitoring under this section may file a petition to be relieved of the order of extended supervision and monitoring after five (5) years have elapsed since the date of the original order.
    2. The prosecuting attorney is entitled to notice of a petition filed under this subsection and to a hearing on the petition.
    3. The circuit court shall rescind the order for extended supervision and monitoring if the person proves by clear and convincing evidence that he or she no longer poses a serious risk to the public and there is no longer a likelihood that the person would commit additional criminal offenses.
    4. If a petition filed under this subsection is denied, the person may not file another petition under this subsection until five (5) years have elapsed since the date of the order of denial.
  1. An appeal of the grant or denial of a petition filed under this section may be taken by either party as provided by Supreme Court rule, and the appellate court shall review the case using an abuse of discretion standard.
  2. An order for extended supervision and monitoring under this section may include the requirement that the person wear an ankle monitor or other electronic device designed to track the person's movements at all times.
  3. The Division of Community Correction shall administer any extended supervision and monitoring under this section and may adopt rules to implement this section.

History. Acts 2015, No. 973, § 1; 2019, No. 910, §§ 649-651.

Amendments. The 2019 amendment substituted “Division of Correction” for “Department of Correction” and “Division of Community Correction” for “Department of Community Correction” throughout (a), (b), and (h).

5-4-108. Sentencing for person who committed an offense when he or she was less than 18 years of age.

A defendant shall not be sentenced to death or life imprisonment without the possibility of parole for an offense if the defendant was less than eighteen (18) years of age at the time the offense was committed.

History. Acts 2017, No. 539, § 4.

A.C.R.C. Notes. Acts 2017, No. 539, § 1, provided: “Title. This act shall be known and may be cited as the ‘Fair Sentencing of Minors Act of 2017’.”

Acts 2017, No. 539, § 2, provided: “Legislative intent.

“(a)(1) The General Assembly acknowledges and recognizes that minors are constitutionally different from adults and that these differences must be taken into account when minors are sentenced for adult crimes.

“(2) As the United States Supreme Court quoted in Miller v. Alabama, 132 S. Ct. 2455 (2012), ‘only a relatively small proportion of adolescents’ who engage in illegal activity ‘develop entrenched patterns of problem behavior,’ and ‘developments in psychology and brain science continue to show fundamental differences between juvenile and adult minds,’ including ‘parts of the brain involved in behavior control’.

“(3) Minors are more vulnerable to negative influences and outside pressures, including from their family and peers, and they have limited control over their own environment and lack the ability to extricate themselves from horrific, crime-producing settings.

“(4) The United States Supreme Court has emphasized through its cases in Miller, Roper v. Simmons, 543 U.S. 551 (2005), and Graham v. Florida, 560 U.S. 48 (2010), that ‘the distinctive attributes of youth diminish the penological justifications for imposing the harshest sentences on juvenile offenders, even when they commit terrible crimes”.

“(5) Youthfulness both lessens a juvenile's moral culpability and enhances the prospect that, as a youth matures into an adult and neurological development occurs, these individuals can become contributing members of society.

“(b) In the wake of these United States Supreme Court decisions and the emerging juvenile brain and behavioral development science, several states, including Texas, Utah, South Dakota, Wyoming, Nevada, Iowa, Kansas, Kentucky, Montana, Alaska, West Virginia, Colorado, Hawaii, Delaware, Connecticut, Vermont, Massachussets, and the District of Columbia, have eliminated the sentence of life without parole for minors.

“(c) It is the intent of the General Assembly to eliminate life without parole as a sentencing option for minors and to create more age-appropriate sentencing standards in compliance with the United States Constitution for minors who commit serious crimes.”

5-4-109. Sentencing for sex offense.

A person who is convicted of an offense for which he or she is required to register as a sex offender under the Sex Offender Registration Act of 1997, § 12-12-901 et seq., shall be notified at his or her sentencing by the court that he or she is prohibited from recording a person under fourteen (14) years of age under § 5-14-137 if he or she is assessed as a Level 3 or Level 4 offender.

History. Acts 2019, No. 621, § 1.

Subchapter 2 — Fines, Costs, and Restitution

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Effective Dates. Acts 2007, No. 346, § 2: Mar. 19, 2007. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that children and other citizens of this state are being exposed to harmful material by persons who violate obscenity laws for profit; that any person including an individual or an organization or an agent of an individual or an organization that obtains pecuniary gain from a felony violation of the obscenity laws should be subject to an increased fine; and that this act is necessary because an increased fine will deter future felony violations of obscenity laws. Therefore, an emergency is declared to exist and this act being necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2013, No. 1460, § 17: Jan. 1, 2014. Effective date provided: “This act becomes effective on and after January 1, 2014.”

Research References

ALR.

Permissibility of sentence to a fine only, under statutory provision for imprisonment or imprisonment and fine. 35 A.L.R.4th 192.

Amount of victim's restitution. 19 A.L.R.5th 823.

Am. Jur. 21A Am. Jur. 2d, Crim. L., § 944 et seq.

C.J.S. 36A C.J.S., Fines, § 1 et seq.

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Law, 1 U. Ark. Little Rock L.J. 153.

5-4-201. Fines — Limitations on amount.

  1. A defendant convicted of a felony may be sentenced to pay a fine:
    1. Not exceeding fifteen thousand dollars ($15,000) if the conviction is of a Class A felony or Class B felony;
    2. Not exceeding ten thousand dollars ($10,000) if the conviction is of a Class C felony or Class D felony; or
    3. In accordance with a limitation of the statute defining the felony if the conviction is of an unclassified felony.
  2. A defendant convicted of a misdemeanor may be sentenced to pay a fine:
    1. Not exceeding two thousand five hundred dollars ($2,500) if the conviction is of a Class A misdemeanor;
    2. Not exceeding one thousand dollars ($1,000) if the conviction is of a Class B misdemeanor;
    3. Not exceeding five hundred dollars ($500) if the conviction is of a Class C misdemeanor; or
    4. In accordance with a limitation of the statute defining the misdemeanor if the conviction is of an unclassified misdemeanor.
  3. A defendant convicted of a violation may be sentenced to pay a fine:
    1. Not exceeding one hundred dollars ($100) if the violation is defined by the Arkansas Criminal Code or defined by a statute enacted subsequent to January 1, 1976, that does not prescribe a different limitation on the amount of the fine; or
    2. In accordance with a limitation of the statute defining the violation if that statute prescribes limitations on the amount of the fine.
    1. Notwithstanding a limit imposed by this section, if the defendant has derived pecuniary gain from commission of an offense, then upon conviction of the offense the defendant may be sentenced to pay a fine not exceeding two (2) times the amount of the pecuniary gain.
    2. As used in this subsection, “pecuniary gain” means the amount of money or the value of property derived from the commission of the offense, less the amount of money or the value of property returned to the victim of the crime or seized by or surrendered to a lawful authority prior to the time sentence is imposed.
  4. An organization convicted of an offense may be sentenced to pay a fine authorized by subsection (d) of this section or not exceeding two (2) times the maximum fine otherwise authorized upon conviction of the offense by subsection (a), (b), or (c) of this section.
    1. Notwithstanding a limit imposed by this section or the section defining the felony offense, if a defendant has derived pecuniary gain from the commission of a felony offense under § 5-68-201 et seq., § 5-68-301 et seq., the Arkansas Law on Obscenity, § 5-68-401 et seq., or § 5-68-501 et seq., then upon conviction of the felony offense, the defendant may be sentenced to pay a fine not exceeding two hundred fifty thousand dollars ($250,000).
    2. As used in this subsection, “derived pecuniary gain” means that a defendant received income, benefit, property, money, or anything of value from the commission of a felony offense under § 5-68-201 et seq., § 5-68-301 et seq., the Arkansas Law on Obscenity, § 5-68-401 et seq., or § 5-68-501 et seq.

History. Acts 1975, No. 280, § 1101; A.S.A. 1947, § 41-1101; Acts 2007, No. 346, § 1; 2009, No. 209, § 1.

Amendments. The 2009 amendment substituted “two thousand five hundred dollars ($2,500)” for “one thousand dollars ($1,000)” in (b)(1), substituted “one thousand dollars ($1,000)” for “five hundred dollars “($500)” in (b)(2), and substituted “five hundred dollars “($500)” for “one hundred dollars ($100)” in (b)(3).

Meaning of “Arkansas Criminal Code”. See note to § 5-1-101.

Research References

U. Ark. Little Rock L.J.

Survey — Criminal Procedure, 10 U. Ark. Little Rock L.J. 567.

Survey — Probate, 10 U. Ark. Little Rock L.J. 599.

Case Notes

Amount of Fine.

Imposing a fine of zero dollars is not imposing a fine at all. Higgins v. State, 326 Ark. 1030, 936 S.W.2d 740 (1996).

Assessment.

Inasmuch as the assessment of penalties is optional with the jury, it was reversible error for the trial court to submit a verdict form which indicated that the assessment of penalties was mandatory in case of a verdict of guilty. Bolden v. State, 262 Ark. 718, 561 S.W.2d 281 (1978).

Sentence of imprisonment and a fine was within the range of sentences for a defendant convicted of a class B felony who had previous felony convictions. Davis v. State, 275 Ark. 264, 630 S.W.2d 1 (1982).

Evidence.

In a capital murder case, there was sufficient evidence that defendant murdered the victim for pecuniary gain where defendant took the victim's car, television set, silverware, Bible, and other items of personal property from her home after he killed her. Thessing v. State, 365 Ark. 384, 230 S.W.3d 526 (2006), cert. denied, Thessing v. Arkansas, 549 U.S. 891, 127 S. Ct. 193, 166 L. Ed. 2d 158 (2006).

Sentence Appropriate.

Sixty-day sentence for contempt based on a failure to pay child support was allowable, despite the lack of statutory authority under subdivision (b)(3) of this section, because the will of the Arkansas General Assembly was not a limitation upon the power of the trial court to inflict a reasonable punishment for disobedience. Norman v. Cooper, 101 Ark. App. 446, 278 S.W.3d 569 (2008).

Prosecutor was entitled to defend herself and defendant could not show prejudice from the prosecutor's rebuttal, given that for aggravated robbery, he could have received up to a 40-year prison term, yet he received the minimum sentence of 10 years, and for his theft conviction, he could have received up to a six-year prison term or a fine up to $10,000 or both, and he received no prison time and was ordered only to pay a $250 fine. Delatorre v. State, 2015 Ark. App. 498, 471 S.W.3d 223 (2015).

Unauthorized Sentence.

Where the jury sentenced defendant on fifteen of the twenty counts of violation of a minor to no term of imprisonment and a fine of zero dollars, the sentence was illegal as the sentencing range was five to twenty years imprisonment or a fine not to exceed $15,000, or both; thus, remand for resentencing on those counts was ordered. Smith v. State, 354 Ark. 226, 118 S.W.3d 542 (2003).

Cited: Wilson v. State, 261 Ark. 820, 552 S.W.2d 223 (1977); Berry v. State, 263 Ark. 446, 565 S.W.2d 418 (1978); Hunter v. State, 264 Ark. 195, 570 S.W.2d 267 (1978); Cannon v. State, 265 Ark. 270, 578 S.W.2d 20 (1979); Reeves v. Mabry, 615 F.2d 489 (8th Cir. 1980); Mills v. State, 270 Ark. 141, 603 S.W.2d 416 (1980); Mathis v. State, 267 Ark. 904, 591 S.W.2d 679 (Ct. App. 1979); Philmon v. State, 267 Ark. 1121, 593 S.W.2d 504 (1980); Rhoades v. State, 270 Ark. 962, 607 S.W.2d 76 (1980); Scott v. State, 1 Ark. App. 207, 614 S.W.2d 239 (1981); Summerlin v. State, 7 Ark. App. 10, 643 S.W.2d 582 (1982); Masingill v. State, 7 Ark. App. 90, 644 S.W.2d 614 (1983); Rogers v. State, 10 Ark. App. 19, 660 S.W.2d 949 (1983); Wright v. Burton, 279 Ark. 1, 648 S.W.2d 794 (1983); Hill v. Lockhart, 474 U.S. 52, 106 S. Ct. 366, 88 L. Ed. 2d 203 (1985); Simmons v. State, 13 Ark. App. 208, 681 S.W.2d 422 (1985); Smith v. State, 18 Ark. App. 152, 713 S.W.2d 241 (1986); Duhon v. State, 299 Ark. 503, 774 S.W.2d 830 (1989); Butler v. State, 309 Ark. 211, 829 S.W.2d 412; Tigue v. State, 319 Ark. 147, 889 S.W.2d 760 (1994); Rush v. State, 324 Ark. 147, 919 S.W.2d 933 (1996); Jester v. State, 367 Ark. 249, 239 S.W.3d 484 (2006).

5-4-202. Alternative sentence prohibited — Time of payment.

  1. If the defendant is sentenced to pay a fine or costs, the court shall not at the same time impose an alternative sentence or imprisonment to be served if the fine or costs are not paid.
    1. If a defendant is sentenced to pay a fine or costs, the court may grant permission for payment to be made:
      1. Within a specified period of time; or
      2. In specified installments.
    2. If permission under subdivision (b)(1) of this section is not granted in the sentence, the fine or costs are payable immediately.

History. Acts 1975, No. 280, § 1102; A.S.A. 1947, § 41-1102; Acts 2011, No. 1120, § 3.

Amendments. The 2011 amendment deleted (a)(2).

Case Notes

Cited: Jones v. State, 297 Ark. 485, 763 S.W.2d 81 (1989); Beard v. State, 306 Ark. 546, 816 S.W.2d 860 (1991).

5-4-203. [Repealed.]

Publisher's Notes. This section, concerning consequences of nonpayment, was repealed by Acts 2009, No. 633, § 1. The section was derived from Acts 1975, No. 280, § 1103; A.S.A. 1947, § 41-1103; Acts 1995, No. 1116, § 1; 2001, No. 1553, § 5; 2003, No. 110, § 1.

5-4-204. Collection after default.

  1. When a defendant sentenced to pay a fine or costs defaults in the payment of the fine or costs or of any installment, the fine or costs may be collected by any means authorized for the enforcement of a money judgment in a civil action.
  2. A judgment that the defendant pay a fine or costs constitutes a lien on the real property and personal property of the defendant in the same manner and to the same extent as a money judgment in a civil action.

History. Acts 1975, No. 280, § 1104; A.S.A. 1947, § 41-1104.

Original Commentary to § 5-4-204

Subsection (a) restates present law by authorizing the collection of fines or costs through civil process. For preexisting law see, Rev. Stat., Ch. 45, § 203 and Criminal Code § 296 indexed as Ark. Stat. Ann. § 43-2404 (Repl. 1964).

Under subsection (b) reference is again made to the civil statutes for the law governing attachment of liens. The earlier rules governing when a judgment to pay a fine or costs constituted a lien on real and personal property were found in Ark. Stat. Ann. § 43-2403 (Repl. 1964). The Commission perceived no reason why the effect on a defendant’s property of a judgment to pay a fine or costs should be any different from the effect generated by a civil judgment. Moreover, § 43-2403 did not fully protect the interests of innocent third parties since it created a lien on real and personal property from the time of arrest rather than the time judgment was entered and created a lien on personal property even though the property was left in the hands of the judgment debtor.

Case Notes

Cited: Wade v. State, 269 Ark. 685, 599 S.W.2d 764 (Ct. App. 1980); Jones v. State, 297 Ark. 485, 763 S.W.2d 81 (1989); Skelton v. City of Atkins, 317 Ark. 28, 875 S.W.2d 504 (1994).

5-4-205. Restitution.

    1. A defendant who is found guilty or who enters a plea of guilty or nolo contendere to an offense may be ordered to pay restitution.
    2. If the court decides not to order restitution or orders restitution of only a portion of the loss suffered by the victim, the court shall state on the record in detail the reasons for not ordering restitution or for ordering restitution of only a portion of the loss.
    1. Whether a trial court or a jury, the sentencing authority shall make a determination of actual economic loss caused to a victim by the offense.
    2. When an offense has resulted in bodily injury to a victim, a restitution order entered under this section may require that the defendant:
      1. Pay the cost of a necessary medical or related professional service or device relating to physical, psychiatric, and psychological care, including nonmedical care and treatment rendered in accordance with a recognized method of healing;
      2. Pay the cost of necessary physical and occupational therapy and rehabilitation;
        1. Reimburse the victim for income lost by the victim as a result of the offense.
        2. The maximum that a victim may recover for lost income is fifty thousand dollars ($50,000); and
      3. Pay an amount equal to the cost of a necessary funeral and related services in the case of an offense that resulted in bodily injury that also resulted in the death of a victim.
    3. When an offense has not resulted in bodily injury to a victim, a restitution order entered under this section may require that the defendant reimburse the victim for income lost by the victim as a result of the offense.
      1. The determination of the amount of loss is a factual question to be decided by the preponderance of the evidence presented to the sentencing authority during the sentencing phase of a trial.
      2. The amount of loss may be decided by agreement between a defendant and the victim represented by the prosecuting attorney.
    4. If any item listed in subdivision (b)(2) of this section has been paid by the Crime Victims Reparations Board and the court orders restitution, the restitution order shall provide that the board is to be reimbursed by the defendant.
    1. As used in this section and in any provision of law relating to restitution, “victim” means any person, partnership, corporation, or governmental entity or agency that suffers property damage or loss, monetary expense, or physical injury or death as a direct or indirect result of the defendant's offense or criminal episode.
    2. “Victim” includes a victim's estate if the victim is deceased and a victim's next of kin if the victim is deceased as a result of the offense.
  1. A record of a defendant shall not be sealed under the Comprehensive Criminal Record Sealing Act of 2013, § 16-90-1401 et seq., until all court-ordered restitution has been paid.
    1. Restitution shall be made immediately unless prior to the imposition of sentence the court determines that the defendant should be:
      1. Given a specified time to pay; or
        1. Allowed to pay in specified installments.
        2. If a court authorizes payment of restitution by a defendant in specified installments, a monthly installment fee of five dollars ($5.00) shall be assessed on the defendant for making restitution payments on an installment basis in addition to the restitution and other assessments authorized.
        3. The monthly installment fee under subdivision (e)(1)(B)(ii) of this section shall be remitted to the collecting official to be used to defray the cost of restitution collection.
        4. [Repealed.]
    2. In determining the method of payment, the court shall take into account:
      1. The financial resources of the defendant and the burden that payment of restitution will impose with regard to another obligation of the defendant;
      2. The ability of the defendant to pay restitution on an installment basis or on another condition to be fixed by the court; and
      3. The rehabilitative effect on the defendant of the payment of restitution and the method of payment.
    1. If the defendant is placed on probation or any form of conditional release, any restitution ordered under this section is a condition of the suspended imposition of sentence, probation, parole, or transfer.
    2. The court may revoke probation and any agency establishing a condition of release may revoke the conditional release if the defendant fails to comply with the order and if the defendant has not made a good faith effort to comply with the order.
    3. In determining whether to revoke probation or conditional release, the court or releasing authority shall consider:
      1. The defendant's employment status;
      2. The defendant's earning ability;
      3. The defendant's financial resources;
      4. The willfulness of the defendant's failure to pay; and
      5. Any other special circumstances that may have a bearing on the defendant's ability to pay.
    1. The court shall enter a judgment against the defendant for the amount determined under subdivision (b)(4) of this section.
    2. The judgment may be enforced by the state or a beneficiary of the judgment in the same manner as a judgment for money in a civil action.
    3. A judgment under this section may be discharged by a settlement between the defendant and the beneficiary of the judgment.
    4. The court shall determine priority among multiple beneficiaries on the basis of:
      1. The seriousness of the harm each beneficiary suffered;
      2. The other resources of the beneficiaries; and
      3. Other equitable factors.
    5. If more than one (1) defendant is convicted of the crime for which there is a judgment under this section, the defendants are jointly and severally liable for the judgment unless the court determines otherwise.
      1. A judgment shall require payment to the Division of Community Correction.
      2. The division shall provide for supervision and disbursement of funds under subdivision (g)(6)(A) of this section by the division's authorized economic sanction officers.
    1. A judgment under this section does not bar a remedy available in a civil action under other law.
    2. A payment under this section shall be credited against a money judgment obtained by the beneficiary of the payment in a civil action.
    3. A determination under this section and the fact that payment was or was not ordered or made:
      1. Are not admissible in evidence in a civil action; and
      2. Do not affect the merits of a civil action.

History. Acts 1993, No. 533, § 4; 1993, No. 553, § 4; 2001, No. 1059, § 1; 2003, No. 1336, § 1; 2009, No. 633, § 2; 2009, No. 770, § 1; 2013, No. 1460, § 1; 2015, No. 583, § 1.

A.C.R.C. Notes. As originally enacted by Acts 1993, Nos. 533 and 553, § 4, this section also provided:

“Any restitution type program currently being operated by a prosecuting attorney or a circuit court may continue and the Department of Community Punishment shall assist such program whenever possible.”

Amendments. The 2009 amendment by No. 633, in (e)(1)(B), inserted present (e)(1)(B)(iv) and redesignated the remaining text accordingly.

The 2009 amendment by No. 770 inserted (e)(1)(B)(ii) and (e)(1)(B)(iii), and redesignated the remaining text of (e)(1)(B) accordingly.

The 2013 amendment, in (d), substituted “sealed” for “expunged”; and “the Comprehensive Criminal Record Sealing Act of 2013, § 16-90-1401” for “§ 16-90-901.”

The 2015 amendment repealed (e)(1)(B)(iv).

Cross References. Arkansas Crime Victims Reparations Act, § 16-90-701.

Legislative determination, § 16-90-301 et seq.

Effective Dates. Acts 2013, No. 1460, § 17: Jan. 1, 2014. Effective date provided: “This act becomes effective on and after January 1, 2014.”

Research References

ALR.

Measure and Elements of Restitution to Which Victim is Entitled under State Criminal Statute — Payment for Installation of Alarm or Locks or Change of Locks Due to Burglary, Attempted Burglary, or Felonious Breaking and Entering. 44 A.L.R.6th 301.

Propriety, Measure, and Elements of Restitution to Which Victim is Entitled Under State Criminal Statute — Cruelty to, Killing, or Abandonment of, Animals. 45 A.L.R.6th 435.

Mandatory Victims Restitution Act — Constitutional Issues. 20 A.L.R. Fed. 2d 239.

Validity, Construction, and Application of State Computer Crime and Fraud Laws. 87 A.L.R.6th 1.

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

Amount.

The dollar amount required for a conviction under § 5-36-103(b)(2)(A) does not put a ceiling on the amount of restitution. Nix v. State, 54 Ark. App. 302, 925 S.W.2d 802 (1996).

Amount of Restitution.

Where the defendant pleaded no contest to theft by receiving, but was neither charged with nor pleaded no contest to burglary, he could be ordered to make restitution to antique dealers to whom he sold stolen property, but could not be ordered to make restitution for other stolen property that he was not charged with having stolen and which he was not proven to have possessed. Fortson v. State, 66 Ark. App. 225, 989 S.W.2d 553 (1999).

In a prosecution for theft by deception, amounts of money paid by members of the defendant's family on his behalf to the victim had to be considered in determining the victim's actual economic loss pursuant to the statute. Donovan v. State, 71 Ark. App. 226, 32 S.W.3d 1 (2000).

Although it was true that the trial court was required to determine the actual economic loss to the victims in determining the amount of restitution defendant would have to pay, the trial court's apparent failure to make that determination was not preserved for review because defendant did not object to imposition of the restitution order at trial; accordingly, he could not raise that issue for the first time on appeal. Milton v. State, 83 Ark. App. 42, 137 S.W.3d 402 (2003).

Restitution order that included items on it for which defendant had not been charged was reversed and remanded back to the trial court to determine the appropriate amount of restitution under based on the value of the items that defendant was charged with stealing and pled guilty or no contest to stealing. Simmons v. State, 90 Ark. App. 273, 205 S.W.3d 194 (2005).

Amount of restitution defendant was ordered to pay upon being found guilty of computer fraud was found to be excessive as the trial court failed to properly calculate the victim's actual economic loss; the court should not have included the cost of investigation of defendant's crime. Tumlison v. State, 93 Ark. App. 91, 216 S.W.3d 620 (2005).

Subdivision (a)(3)(A) of this section required that the amount of restitution defendant owed be determined by the preponderance of the evidence presented to the sentencing authority during the trial court's sentencing phase; however, no evidence was presented, only the incorrect recitation by the state of the amount of a dishonored check. Beqiri v. State, 94 Ark. App. 45, 224 S.W.3d 575 (2006).

Failure to Comply.

A defendant's failure to make bona fide efforts to seek employment or to borrow money to pay restitution may justify imprisonment. Jordan v. State, 327 Ark. 117, 939 S.W.2d 255 (1997).

Order revoking defendant's suspended sentences pursuant to § 5-4-309(d) was overturned where the trial court erred in failing to consider whether defendant's failure to pay fines, costs, and restitution was excusable under subdivision (f)(3) of this section; there was evidence showing that defendant had only $60 left after monthly expenses. Phillips v. State, 101 Ark. App. 190, 272 S.W.3d 123 (2008).

Trial court had no jurisdiction to revoke defendant's suspended sentence because defendant owed no restitution at the end of his suspended sentence, and the trial court could not retain jurisdiction over him; defendant's child support was not to make good an actual economic loss of a victim of his failure to comply with the reporting requirements of the Sex and Child Offender Registration Act. Owens v. State, 2009 Ark. App. 532, 337 S.W.3d 527 (2009).

Father's suspended sentences for felony nonsupport and other crimes were properly revoked for failure to make restitution payments on child support arrearages where the father failed to pay even when employed as a cook, claimed health problems but admitted there was no disability, and submitted only a few job applications. Thompson v. State, 2009 Ark. App. 620 (2009).

While defendant was serving a suspended sentence for overdraft, theft of property, theft by deception, and two counts of failure to appear, he failed to pay his court-ordered restitution of $82,000; while he made $620 per week as a truck driver, he had to pay $100 per week in daycare and $400 per month in child support. Defendant's child-support obligations constituted a special circumstance bearing on his ability to pay, as contemplated by this section; nonetheless, the trial court did not err by revoking his suspended sentence for the failure to pay child support, because he testified that he made partial payments due to his mistaken understanding as to the amount due. Reese v. State, 2009 Ark. App. 678 (2009).

Trial court erred in revoking defendant's probation for failure to pay a child support arrearage following a conviction for felony nonsupport in violation of § 5-26-401(a) and (b)(2)(B) where defendant asserted an inability to pay and offered a disability as a reasonable excuse for his nonpayment and where the state offered no evidence of defendant's other sources of income, his assets, or his expenses. The trial court should have applied the standard found at § 5-4-309(d), in that defendant inexcusably failed to comply, as refined by the restitution-specific factors in subsection (f) of this section. Hanna v. Arkansas, 2009 Ark. App. 809, 372 S.W.3d 375 (2009).

Judgment revoking appellant's probated sentence was affirmed where (1) despite appellant's attempt to excuse his failure to pay fines and restitution, the trial court found that appellant had committed a multitude of violations and that these violations specifically included a failure to make good-faith efforts to pay fines and restitution; and (2) there was evidence that appellant spent his money on something nonessential, alcohol, and this use of alcohol was also in violation of his terms of probation. Barringer v. State, 2010 Ark. App. 369 (2010).

Circuit court properly revoked defendant's suspended sentence, pursuant to § 5-4-309, for nonpayment of court costs and fines because the state introduced, without objection, a ledger sheet reflecting defendant's nonpayment and defendant did not have a reasonable excuse for failing to pay, pursuant to subdivision (f)(3) of this section; the state proved defendant's failure to pay was inexcusable. Burkhart v. State, 2010 Ark. App. 462 (2010).

Circuit court did not err in revoking the suspended sentence defendant received for second-degree forgery because the circuit court's finding that defendant's failure to pay restitution, a fine, and court costs was both willful and inexcusable was not clearly against the preponderance of the evidence; the circuit court could find that defendant was capable of working, that he was employed in some capacity, and that he received income from the government, and instead of meeting his financial obligations, defendant chose to spend money on nonessential items such as alcohol and cigarettes. Wicks v. State, 2010 Ark. App. 499, 375 S.W.3d 769 (2010).

Trial court did not err in continuing defendant's probation for failure to pay restitution as ordered, despite defendant's argument that she was looking for work, that she was seeking to have her theft conviction overturned, and that she was trying to get disability, all of which claims were seriously undermined by the state. Newsom v. State, 2011 Ark. App. 760, 387 S.W.3d 245 (2011), rehearing denied, — Ark. App. —, — S.W.3d —, 2012 Ark. App. LEXIS 75 (Ark. Ct. App. Jan. 4, 2012).

Appellant did not dispute that he did not pay known obligations and he acknowledged his income allowed him to pay, and it was the trial court's decision to determine the weight and credibility of the evidence; the trial court's findings in revoking appellant's suspended sentence for purposes of subdivision (f)(3) of this section were not clearly against the evidence. Reyes v. State, 2012 Ark. App. 358 (2012).

Jurisdiction.

Court retained jurisdiction to revoke the suspended sentence for failure to pay restitution, because the petitioner was charged with fleeing to avoid arrest for possession of marijuana and causing property damage while fleeing, and was ordered to pay restitution for the damage he caused during the course of the criminal episode. Arter v. State, 2012 Ark. App. 327, 414 S.W.3d 391 (2012).

Restitution Not Authorized.

Because the trial court lacked the authority to order restitution in a proceeding for revocation of a suspended sentence, pursuant to subdivision (a)(1) of this section, defendant's sentence was modified to delete the restitution provision. Otherwise, his ten-year sentence was affirmed. Simpson v. State, 2010 Ark. App. 33 (2010).

Trial court erred in ordering defendant to pay restitution in connection with the alleged commission of theft of scrap metal because defendant was found not guilty of that offense by the trial court. Bogard v. State, 2014 Ark. App. 700, 450 S.W.3d 690 (2014).

Circuit court erred in ordering restitution based on a forged check following revocation of defendant's probation because restitution was not statutorily authorized for offenses with which defendant had not been charged or to which defendant did not plead guilty or no contest, and the State conceded error. Phillips v. State, 2017 Ark. App. 320 (2017).

Revocation Improper.

Circuit court erred in revoking defendant's suspended imposition of sentence (SIS); although the Office of Child Support Enforcement (OCSE) did not have authority over the conditions of defendant's SIS, he attempted to comply with his SIS and his reliance on “the State” was excusable where the OCSE records showed that he called the office, updated his information, inquired about his case, and was told he had a zero balance and the case was closed even after he asked that the records be checked again. Frahm v. State, 2016 Ark. App. 85, 483 S.W.3d 317 (2016).

Revocation Proper.

Trial court did not err in considering the statutory factors for failure to pay restitution when it revoked defendant's probation because, while he was not ordered to pay restitution, defendant was admittedly capable of working and the trial court did not believe that he had made a sufficient effort to make the payments required by his probation. McGuire v. State, 2014 Ark. App. 52 (2014).

Circuit court did not clearly err in finding that defendant willfully violated the condition of her probation requiring her to make payments of court costs, a fine, and restitution and in revoking her probation because the circuit court found that she had paid $1,483.60 toward her fines and restitution, but that the remainder of the agreed-upon payments of $5,236.72 was outstanding; the amount of restitution and fines defendant agreed to pay were clearly explained in the judgment-and-disposition order she had signed; defendant's testimony that she had been ill or injured and unable to work was unsubstantiated; and the circuit court did not believe that she was making a sufficient effort to make payments. Bohannon v. State, 2014 Ark. App. 434, 439 S.W.3d 735 (2014).

Record contained sufficient evidence to support the decision that defendant inexcusably failed to comply with a condition of suspension, namely the payment of restitution, as there was sufficient evidence as to his ability to pay, his current earnings, and his employment, and the circuit court made a determination of credibility regarding his explanation for nonpayment; the decision to revoke his suspended sentence was affirmed. Hutchinson v. State, 2014 Ark. App. 680, 449 S.W.3d 332 (2014).

Trial court properly suspended defendant's imposition of sentence for willfully failing to comply with its terms and conditions because restitution was a condition of the suspended imposition of sentence and defendant's failure to pay restitution was “willful” where the State introduced, without objection, evidence of defendant's nonpayment of his restitution, it was only after defendant was arrested on the revocation warrant that he attempted to make payments towards his court-ordered restitution, and, although he had the complete ability to pay, he did not do so. Robertson v. State, 2015 Ark. App. 113 (2015).

Revocation of probation and suspended imposition of sentence upheld. Webster v. State, 2019 Ark. App. 454, 588 S.W.3d 95 (2019).

Circuit court's decision to revoke defendant's probation was not clearly against the preponderance of the evidence due to defendant's failure to pay monthly restitution as ordered; the State showed the nonpayment was willful based on evidence defendant's disability income exceeded her expenses, which included nonessential items, including cable television. Young v. State, 2019 Ark. App. 580, 591 S.W.3d 385 (2019).

Defendant's probation was properly revoked because the State introduced testimony that defendant had not paid fines, fees, and costs as directed; once the State established a record of nonpayment, defendant had the burden of demonstrating an inability to pay or some reasonable excuse for his failure to pay; defendant acknowledged that he had been employed at times during the term of his probation; and the circuit court, as the trier of fact, was entitled to assess defendant's explanation for his failure to pay and conclude that his nonpayment was not excusable. Straub v. State, 2019 Ark. App. 302, 577 S.W.3d 776 (2019).

Settlement.

Where defendant was convicted of battery and ordered to pay $40,304.35 in restitution, the release signed by the victim in the civil suit when she received $25,000 from the insurance company did not prevent the court from ordering defendant to pay the remaining restitution obligation of $10,708.94; because the plain language of the release revealed absolutely no mention of the restitution order under subdivision (g)(3) of this section was inapplicable. Moore v. State, 2012 Ark. 350 (2012).

“Victim.”

After defendant was convicted of four counts of cruelty to animals, a trial court properly ordered defendant to pay $5,091 in restitution to an equine humane society because the humane society was a victim under subdivision (c)(1) of this section; the humane society incurred monetary expense as a result of defendant's cruelty to horses when it cared for and obtained treatment for the horses following their seizure. Brown v. State, 375 Ark. 499, 292 S.W.3d 288 (2009).

Car's insurer, which was required to pay compensation to the owner of the car as an indirect result of defendant's crime of fleeing and theft by receiving the car after defendant wrecked the car, rendering it a total loss, was a “victim” and an “aggrieved party” entitled to restitution under this section and § 5-4-303. Singleton v. State, 2009 Ark. 594, 357 S.W.3d 891 (2009).

Waiver.

Although defendants may have initially objected to a restitution order and the State's introduction of the restitution-assessment form, they subsequently waived their objections when they agreed to pay the restitution, despite the trial court specifically stating that it would hold a restitution hearing if needed. Crews v. State, 2015 Ark. App. 633 (2015).

Cited: McDonald v. State, 2015 Ark. App. 510 (2015).

5-4-206. Collection of unpaid restitution — Interception of state income tax returns.

  1. As used in this section, “restitution order” means a judgment and commitment order, judgment and disposition order, or other order that imposes a duty on a defendant to pay restitution.
  2. A court that orders the payment of restitution as a condition of a defendant's sentence shall note on the restitution order that the restitution may be collected through an interception of the defendant's state income tax return if the defendant has failed to comply with the terms and conditions of the restitution order.
  3. If a victim who is to receive restitution under a restitution order informs the prosecuting attorney that he or she has not been paid the ordered restitution in accordance with the restitution order, the prosecuting attorney may file a petition under this section to request the interception of the defendant's state income tax return in order to satisfy the restitution order.
    1. A petition filed under this section shall be filed under the same case number as the original criminal offense.
    2. A defendant subject to the restitution order shall be served a copy of the petition and given notice of the hearing under the applicable rules of procedure.
    1. The court shall order the interception of the defendant's state income tax return in an amount sufficient to satisfy the restitution order if it finds that:
      1. The defendant has knowingly failed to abide by the terms and conditions of the restitution order; and
      2. There exist no mitigating factors that would justify the nonpayment of restitution.
    2. An order under this subsection shall remain in force until the restitution amount in the court's order has been satisfied through interception of the defendant's state income tax return or by other means.
    1. After obtaining an order under subsection (e) of this section, the prosecuting attorney or other county official or entity with a duty to collect restitution may proceed under § 26-36-301 et seq. to collect the owed restitution from the defendant's state income tax return.
    2. The Department of Finance and Administration shall promulgate rules to implement subdivision (f)(1) of this section.

History. Acts 2015, No. 837, § 1.

Subchapter 3 — Suspension or Probation

Cross References. Restitution by offender to victim, § 16-90-301 et seq.

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Effective Dates. Acts 1991, No. 608, § 8: Mar. 19, 1991. Emergency clause provided: “It is hereby found and determined by the Seventy-Eighth General Assembly that there is considerable confusion concerning the application and effect of sentencing provisions for Class Y felonies, second degree murder, driving while intoxicated and drug related offenses; that amendment of existing provisions is necessary to clarify these provisions; and that this act is immediately necessary to achieve that end for the protection of the public health and safety and, therefore, should be given effect immediately. Therefore, an emergency is hereby declared to exist and this act, being necessary for the preservation of public peace, health and safety, shall be in full force and effect from and after its passage and approval.”

Acts 1993, Nos. 532 and 550, § 13: Mar. 16, 1993. Emergency clause provided: “It is hereby found and determined by the General Assembly of the State of Arkansas that the sentencing policies and standards of the State of Arkansas are in need of immediate reform in order to better provide for a balanced correctional system and to better effectuate the rehabilitation of persons convicted of crimes and to make possible their return as useful members of the community and passage of this act is necessary to facilitate these reforms. Therefore, an emergency is hereby declared to exist and this act being necessary for the immediate preservation of the public peace, health, and safety, shall be in full force and effect, unless provided for otherwise herein, from and after its passage and approval.”

Acts 1994 (2nd Ex. Sess.), Nos. 30 and 31, § 9: Aug. 24, 1994. Emergency clause provided: “It is hereby found and determined by the Seventy-Ninth General Assembly, meeting in Second Extraordinary Session, that under current law, sixteen and seventeen year olds can no longer enroll in adult education and attend a GED program, and the GED programs are more suitable than the public schools in meeting the educational needs of some sixteen and seventeen year olds. Therefore, an emergency is hereby declared to exist and this act being necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1999, No. 1564, § 10: Apr. 15, 1999. Emergency clause provided: “It is hereby found and determined by the Eighty-second General Assembly that there is an immediate necessity for additional funding to provide for the defense of indigent persons by public defenders that this Act so provides; and that this Act should go into effect as soon as possible in order to protect the constitutional rights of indigent defendants. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health and safety shall become effective on the date of its approval by the Governor. If the bill is neither approved nor vetoed by the Governor, it shall become effective on the expiration of the period of time during which the Governor may veto the bill. If the bill is vetoed by the Governor and the veto is overridden, it shall become effective on the date the last house overrides the veto.”

Acts 1999, No. 1569, § 8: Apr. 15, 1999. Emergency clause provided: “It is hereby found and determined by the Eighty-second General Assembly that McGhee v. State, Ark. (Oct. 15, 1998) held that a court revoking a suspended sentence or probation and adding a term of confinement as a condition of the suspension or probation, cannot subsequently revoke at a second revocation hearing and impose a term of incarceration. Therefore, in accord with the sentencing policy of the state contained in Arkansas Code 16-90-801(c), which provides that there should be a continuum of sanctions with significant intermediate sanctions (including short terms of confinement) utilized when appropriate. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health and safety shall become effective on the date of its approval by the Governor. If the bill is neither approved nor vetoed by the Governor, it shall become effective on the expiration of the period of time during which the Governor may veto the bill. If the bill is vetoed by the Governor and the veto is overridden, it shall become effective on the date the last house overrides the veto.”

Acts 2019, No. 871, § 24: July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly, that the Constitution of the State of Arkansas prohibits the appropriation of funds for more than a one (1) year period; that the effectiveness of this Act on July 1, 2019 is essential to the operation of the agency for which the appropriations in this Act are provided, and that in the event of an extension of the legislative session, the delay in the effective date of this Act beyond July 1, 2019 could work irreparable harm upon the proper administration and provision of essential governmental programs. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after July 1, 2019”.

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

Research References

ALR.

Immunity of public officer from liability for injuries caused by negligently released individual. 5 A.L.R.4th 773.

Conditioning probation on defendant's serving part of period in jail or prison. 6 A.L.R.4th 446.

Injuries caused by negligently released individual. 6 A.L.R.4th 1155.

Hearsay evidence: Admissibility at revocation hearings. 11 A.L.R.4th 999.

Liability of governmental officer or entity for failure to warn or notify of release of potentially dangerous individual from custody. 12 A.L.R.4th 722.

Power of court to revoke or modify probation for violations committed during the probation term. 13 A.L.R.4th 1240.

Propriety, as condition of probation, of requiring that probationer refrain from consumption of alcoholic beverages. 19 A.L.R.4th 1251.

Revocation: Acts committed after imposition of sentence but prior to commencement of probation term. 22 A.L.R.4th 755.

Increased sentence following revocation. 23 A.L.R.4th 883.

Halfway house, rehabilitation center, or other restrictive environment as condition. 24 A.L.R.4th 789.

Conditioning probation on defendant's not entering specified geographical area. 28 A.L.R.4th 725.

Right of convicted defendant to refuse probation. 28 A.L.R.4th 736.

Am. Jur. 21A Am. Jur. 2d, Crim. L., 901 et seq.

C.J.S. 24 C.J.S., Crim. L., § 1571(1) et seq.

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Law, 1 U. Ark. Little Rock L.J. 153.

DiPippa, Suspending Imposition and Execution of Criminal Sentences, Etc., 10 U. Ark. Little Rock L.J. 367.

Case Notes

Purpose.

The provisions of this subchapter and their commentaries make it clear that the drafters of the code, as enacted in its original form, intended to abandon the concept of suspended execution of sentence in favor of suspended imposition; one of the underlying purposes for adopting the concept of suspended imposition of sentence was to provide a method for maintaining a “clean slate” for certain offenders whose record of conviction could not theretofore be expunged as provided for first offenders and those offenders under 26 years of age, and that purpose was implemented by the adoption of §§ 5-4-301, 5-4-303, and 5-4-304. Smith v. State, 18 Ark. App. 152, 713 S.W.2d 241 (1986).

Cited: Pennington v. State, 305 Ark. 507, 808 S.W.2d 780 (1991); Johnson v. State, 331 Ark. 421, 961 S.W.2d 764 (1998).

5-4-301. Crimes for which suspension or probation prohibited — Criteria for suspension or probation in other cases.

    1. A court shall not suspend imposition of sentence as to a term of imprisonment or place a defendant on probation for the following offenses:
      1. Capital murder, § 5-10-101;
      2. Treason, § 5-51-201;
      3. A Class Y felony, except to the extent suspension of an additional term of imprisonment is permitted in § 5-4-104(c);
      4. Driving or boating while intoxicated, § 5-65-103;
      5. Murder in the second degree, § 5-10-103, except to the extent suspension of an additional term of imprisonment is permitted in § 5-4-104(c); or
      6. Engaging in a continuing criminal enterprise, § 5-64-405.
    2. If it is determined pursuant to § 5-4-502 that a defendant has previously been convicted of two (2) or more felonies, the court shall not:
      1. Suspend imposition of sentence; or
      2. Place the defendant on probation.
  1. In making a determination as to suspension or probation, the court shall consider whether:
    1. There is undue risk that during the period of a suspension or probation the defendant will commit another offense;
    2. The defendant is in need of correctional treatment that can be provided most effectively by his or her commitment to an institution;
    3. Suspension or probation will discount the seriousness of the defendant's offense; or
    4. The defendant has the means available or is so gainfully employed that restitution or compensation to the victim of the defendant's offense will not cause an unreasonable financial hardship and will be beneficial to the rehabilitation of the defendant.
  2. While not controlling the discretion of the court, the following grounds shall be accorded weight in favor of suspension or probation:
    1. The defendant's conduct neither caused nor threatened serious harm;
    2. The defendant did not contemplate that his or her conduct would cause or threaten serious harm;
    3. The defendant acted under strong provocation;
    4. There was a substantial ground tending to excuse or justify the defendant's conduct, though failing to establish a defense;
    5. The victim of the offense induced or facilitated its commission;
    6. The defendant has compensated or will compensate the victim of the offense for the damage or injury that the victim sustained;
    7. The defendant has no history of prior delinquency or criminal activity or has led a law-abiding life for a substantial period of time before the commission of the present offense;
    8. The defendant's conduct was the result of circumstances unlikely to recur;
    9. The character and attitude of the defendant indicate that he or she is unlikely to commit another offense;
    10. The defendant is particularly likely to respond affirmatively to suspension or probation;
    11. The imprisonment of the defendant would entail excessive hardship to the defendant or to a dependent of the defendant;
    12. The defendant is elderly or in poor health; or
    13. The defendant cooperated with law enforcement authorities in his or her own prosecution or in bringing another offender to justice.
    1. When the court suspends the imposition of sentence on a defendant or places him or her on probation, the court shall enter a judgment of conviction only if the court sentences the defendant to:
      1. Pay a fine and suspends imposition of sentence as to imprisonment or places the defendant on probation; or
      2. A term of imprisonment and suspends imposition of sentence as to an additional term of imprisonment.
    2. The entry of a judgment of conviction does not preclude:
      1. The modification of the original order suspending the imposition of sentence on a defendant or placing a defendant on probation following a revocation hearing held pursuant to § 16-93-307; and
      2. A modification set within the limits of §§ 16-93-309 and 16-93-312.

History. Acts 1975, No. 280, § 1201; 1977, No. 474, §§ 2, 8; 1977, No. 482, § 2; A.S.A. 1947, § 41-1201; Acts 1991, No. 608, § 3; 1993, No. 192, § 2; 1999, No. 1569, § 1; 2009, No. 748, § 4; 2011, No. 570, § 6; 2015, No. 299, § 2.

A.C.R.C. Notes. Acts 1991, No. 608, § 4, provided:

“It is the express intent of this act to clarify current sentencing provisions for Class Y felonies, second degree murder, driving while intoxicated and drug related offenses under the Uniform Controlled Substances Act. Current provisions have created considerable confusion as to what forms of punishment are permitted or prohibited in certain cases. Part of the confusion stems from the fact that § 5-4-301 has never been amended to correlate with the language of § 5-4-104, nor with amendments to other criminal offense provisions. See Harris v. State, 15 Ark. App. 58, 689 S.W.2d 353 (1985). Additional confusion has arisen because the intent underlying mandatory sentences for the enumerated offenses is not furthered by disallowing the imposition of other forms of punishment in addition to mandatory imprisonment. The intent of §§ 5-4-104(e)(1) and 5-4-301(a)(1) was to insure that persons convicted of serious offenses received, and were forced to serve, sentences commensurate with the severity of the offense committed. See id. at 62 (Glaze, J., concurring). It is inconceivable that one convicted of the most reprehensible crime must be imprisoned, but at the same time, cannot be fined or ordered to pay restitution to the victim or the victim's family, or be subjected to a suspended additional term of imprisonment.

“Finally, confusion has arisen by the fact that certain offenses codified outside of the Criminal Code contain specific sentencing provisions that may or may not be read consistently with sentencing provisions within the code. For example, current provisions under the Omnibus DWI Act require mandatory imprisonment, but expressly disallow only probation for first offenders under § 16-93-303. Insofar as sentencing provisions within the Criminal Code do not expressly prohibit suspension of sentences or probation for offenses under the act, there is some question as to which provision prevails. See Lovell v. State, 283 Ark. 425, 678 S.W.2d 318, reh'g denied, 283 Ark. 434, 678 S.W.2d 318 (1984). It is the intent of this act to resolve the ambiguity.

“As noted in Lovell, id. at 434-B-C, statutes possessing their own penal provisions concerning probation and suspended sentences have been, and may later be, enacted. It is the intent of this act, in the amendment of §§ 5-4-104(e)(1) and 5-4-301(a)(1), to provide that provisions within acts possessing their own penal provisions will control.”

Acts 2011, No. 570, § 1, provided:

“Legislative intent. The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2009 amendment substituted “§ 5-64-405” for “former § 5-64-414” in (a)(1)(F).

The 2011 amendment substituted “§ 16-93-307” for “§ 5-4-310” in (d)(2)(A); and substituted “§ 16-93-309 and § 16-93-312” for “§§ 5-4-303, 5-4-304, and 5-4-306” in (d)(2)(B).

The 2015 amendment inserted “or boating” following “Driving” in (a)(1)(D).

Research References

U. Ark. Little Rock L.J.

Survey of Legislation, Criminal Law 14 U. Ark. Little Rock L.J. 753.

Case Notes

Citation of Statute.

In the case of requests for probation or a suspended sentence, it is required that appellant cite the appropriate statute under which he claims he is entitled to such relief, and if the appellant's request for probation is specific, but does not include an assertion that appellant was entitled to probation pursuant to § 5-4-104 and this section, the Supreme Court will not address whether appellant is entitled to probation based on those sections. Baker v. State, 310 Ark. 485, 837 S.W.2d 471 (1992).

Convictions.

Trial court did not commit error in considering the conduct of the defendant, including prior convictions. Lingo v. State, 271 Ark. 776, 610 S.W.2d 580 (1981).

Section 5-4-304 was intended merely as an alternative method of sentencing, for subsection (d) of this section contains two specific exceptions to the general rule that a judgment of conviction is not to be entered against one who is placed on suspension or probation. Smith v. State, 18 Ark. App. 152, 713 S.W.2d 241 (1986).

Where defendant received only probation, i.e., no fine or prison term, no conviction judgment should have been entered, thus entitling her later to be discharged and have all proceedings dismissed against her if she complied with the conditions of her probation. Baker v. State, 318 Ark. 223, 884 S.W.2d 603 (1994).

Circuit court had the authority to impose a sentence of probation because no evidence was presented and no determination was made that defendant was a habitual offender who had been convicted of two or more felonies. Because the sentence of probation was not an illegal sentence, it followed that the revocation of probation was also not illegal. Whitson v. State, 2014 Ark. App. 283 (2014).

Court.

The word court refers to the judge, and not the judge and jury. Gardner v. State, 263 Ark. 739, 569 S.W.2d 74 (1978), cert. denied, Gardner v. Arkansas, 440 U.S. 911, 99 S. Ct. 1224, 59 L. Ed. 2d 460 (1979).

Court's Authority.

The propriety of suspending the execution of a sentence rests in the sound discretion of the trial court, not in the appellate court. Parker v. State, 265 Ark. 134, 577 S.W.2d 414 (1979).

At the time of revocation of probation the trial court could impose any sentence on probationer that might have been imposed originally for the offense provided that any sentence to pay a fine or to imprisonment, when combined with any previous fine or imprisonment imposed for the same offense, not exceed the limits of §§ 5-4-401(a)(3) and 5-4-201(a)(1). Simmons v. State, 13 Ark. App. 208, 681 S.W.2d 422 (1985).

The trial court was without authority to suspend the sentence of a defendant convicted of driving while intoxicated or put him on probation so he would not have to attend an alcohol treatment or education program. Harris v. State, 285 Ark. 345, 686 S.W.2d 440 (1985).

The court did not have the power to revoke defendant's suspended sentence prior to the commencement of the suspension period. Harness v. State, 352 Ark. 335, 101 S.W.3d 235 (2003).

Since defendant pled guilty to a Class C felony as a habitual offender, the circuit court was required to sentence her in accordance with subdivision (a)(2) of this section and § 5-4-501(a)(2)(D), and the circuit court exceeded its statutory authority when it placed defendant on probation; defendant knew about the statute's sentencing range and, at the time of defendant's plea in open court, the circuit court expressly reiterated that her offense carried with it a sentencing range of three to twenty years' imprisonment. State v. Joslin, 364 Ark. 545, 222 S.W.3d 168 (2006).

Circuit court did not err in revoking defendant's suspended sentence and probation and in sentencing him to 197 months imprisonment with forty-seven months suspended because the circuit court was within its authority to revoke the original sentences and prescribe the resulting sentence and was also within its authority to run the prescribed sentences consecutively when the prescribed sentence in the first case, thirty months with an additional forty-seven months' suspended, was within the circuit court's authority; because defendant was convicted of a Class C felony, the circuit court could have originally sentenced him to ten years' imprisonment for failure to appear pursuant to § 5-4-401(a)(4), the sentence imposed as a result of revocation in the second case did not exceed the statutory maximum for the underlying offense and was not illegal on its face, and a notation on the judgment and disposition order in the second case was an insufficient basis for defendant's allegation that the circuit court unambiguously intended to impose a presumptive sentence of thirty-six months in the event he failed to comply with the conditions of his probation. Ward v. State, 2010 Ark. App. 79, 374 S.W.3d 62 (2010).

Where defendant was guilty of violating § 5-64-401(a)(1) (repealed by 2011 Ark. Acts 570, § 33) and § 5-64-403(c)(5) and the circuit court sentenced him as a habitual offender pursuant to the § 5-4-501, the sentence was nonetheless illegal because under subdivision (a)(2) of this section, the circuit court did not have the authority to suspend 10 years of the 15-year sentence it imposed. State v. O'Quinn, 2013 Ark. 219, 427 S.W.3d 668 (2013).

Drug Offenses.

Former subdivision (a)(1)(F) of this section includes possession of methamphetamine with intent to deliver. State v. Knight, 318 Ark. 158, 884 S.W.2d 258 (1994).

Where defendant pleaded guilty to possession with the intent to deliver, and should have been sentenced to at least ten years imprisonment without probation under § 5-64-401(a)(1)(i), the trial judge had no authority to order probation based on the judge's sua sponte reduction of the charge to mere possession. State v. Knight, 318 Ark. 158, 884 S.W.2d 258 (1994).

Act 192 of 1993 amended §§ 5-4-104(e)(1) and subdivision (a)(1) of this section to permit suspension and probation as alternative sentences for certain drug offenses. Crouse v. State, 2012 Ark. 442 (2012).

Effect of Amendments.

The version of this section in effect on the date of the crime was committed is the statute that must govern sentencing. State v. Townsend, 314 Ark. 427, 863 S.W.2d 288 (1993).

The trial court could not suspend the sentence for a violation of § 5-64-401 committed prior to August 13, 1993, the effective date of the 1993 amendment to this section and to § 5-4-104. State v. Townsend, 314 Ark. 427, 863 S.W.2d 288 (1993).

Acts 1993, No. 192 amended subdivision (a)(1)(F) of this section and former § 5-4-104(e)(1)(F) to remove the language from the two statutes which prohibited trial courts from imposing suspended imposition of sentence or probation of controlled substance offenders; the act does not provide for retroactive application, and, thus, its operation is prospective only. State v. Whale, 314 Ark. 576, 863 S.W.2d 290 (1993); State v. Williams, 315 Ark. 464, 868 S.W.2d 461 (1994); State v. Galyean, 315 Ark. 699, 870 S.W.2d 706 (1994).

The fact that Acts 1993, No. 192, now codified as § 5-4-104(e)(1) and subdivision (a)(1) of this section, was approved before commission of the crime and effective after the crime did not require its application; the effective date of the act was controlling. Elders v. State, 321 Ark. 60, 900 S.W.2d 170 (1995).

Where the amendment to subsection (d)(2) was not in effect at the time a crime was committed, the circuit court had no jurisdiction to modify its original sentence. Bagwell v. State, 346 Ark. 18, 53 S.W.3d 520 (2001), superseded by statute as stated in, Sheets v. State, — Ark. App. —, — S.W.3d —, 2002 Ark. App. LEXIS 416 (July 3, 2002), superseded by statute as stated in, Carter v. State, 350 Ark. 229, 85 S.W.3d 914 (2002), superseded by statute as stated in, Mills v. State, — Ark. App. —, — S.W.3d —, 2004 Ark. App. LEXIS 128 (Feb. 11, 2004).

Entry of Conviction.

When the trial court placed the defendant on probation and imposed a fine of $500.00 in the original cases, a valid judgment of conviction was entered. Webb v. State, 66 Ark. App. 367, 990 S.W.2d 591 (1999).

Fine.

A separate, unsatisfied, existing fine is not the sort of contemporaneous “fine” mentioned in subdivision (d)(1) of this section. Harmon v. State, 317 Ark. 47, 876 S.W.2d 240 (1994), superseded by statute as stated in, Carter v. State, 350 Ark. 229, 85 S.W.3d 914 (2002), superseded by statute as stated in, Crowder v. State, — Ark. App. —, — S.W.3d —, 2003 Ark. App. LEXIS 324 (Apr. 23, 2003), superseded by statute as stated in, Mills v. State, — Ark. App. —, — S.W.3d —, 2004 Ark. App. LEXIS 128 (Feb. 11, 2004), superseded by statute as stated in, McCrary v. State, — Ark. App. —, — S.W.3d —, 2005 Ark. App. LEXIS 24 (Jan. 12, 2005).

A sentence by a circuit court to pay a fine is put into execution when the judgment of conviction is entered. Harmon v. State, 317 Ark. 47, 876 S.W.2d 240 (1994), superseded by statute as stated in, Carter v. State, 350 Ark. 229, 85 S.W.3d 914 (2002), superseded by statute as stated in, Crowder v. State, — Ark. App. —, — S.W.3d —, 2003 Ark. App. LEXIS 324 (Apr. 23, 2003), superseded by statute as stated in, Mills v. State, — Ark. App. —, — S.W.3d —, 2004 Ark. App. LEXIS 128 (Feb. 11, 2004), superseded by statute as stated in, McCrary v. State, — Ark. App. —, — S.W.3d —, 2005 Ark. App. LEXIS 24 (Jan. 12, 2005).

Illegal Sentence.

While § 5-4-104 and this section did not prohibit the suspended imposition of sentence for the offense of sexual assault in the second degree, the trial court could not have entered a judgment imposing a sentence for 180 months' imprisonment and also suspending imposition of an additional 180 months' imprisonment because the judgment had the effect of placing defendant under the jurisdiction of the court for 360 months when the maximum sentence authorized by statute was 240 months. Ward v. State, 2016 Ark. 8, 479 S.W.3d 9 (2016).

Appellant's original sentence was not illegal where the term of imprisonment was more than the statutory minimum, and thus, the trial court did not lack authority to impose an additional suspended sentence. Todd v. State, 2016 Ark. App. 270, 493 S.W.3d 350 (2016).

Mandatory Sentences.

Since § 5-4-104(c) provides that a defendant convicted of a Class Y felony must be sentenced to imprisonment, a defendant convicted of such an offense could not be given a suspended sentence or probation even where the prosecutor agreed that some form of probation would be proper. Harris v. State, 15 Ark. App. 58, 689 S.W.2d 353 (1985).

The circuit court erred by imposing a sentence of three years' supervised probation for possession of a controlled substance with intent to deliver, pursuant to § 16-93-501(10), where intent to deliver cocaine was a Class Y felony and a minimum sentence of 10 years was mandatory under a former version of subdivision (a)(1)(F) of this section and former § 5-4-104(e)(1)(F). State v. Williams, 315 Ark. 464, 868 S.W.2d 461 (1994).

Where, at the time the offense was committed, § 5-64-407, former § 5-4-104(e)(1)(F) and a former version of subdivision (a)(1)(F) of this section prohibited probation for delivery (as opposed to possession) of a controlled substance, the trial court erred in placing defendant on probation. State v. Landis, 315 Ark. 681, 870 S.W.2d 704 (1994); State v. Galyean, 315 Ark. 699, 870 S.W.2d 706 (1994).

Mitigating Circumstances.

It was not improper for the trial court to refuse to allow defendant's psychiatrist to testify to the jury, as to a mitigating circumstance, since this section leaves mitigating circumstances for the consideration of the sentencing court, even though § 5-4-103 provides that the jury shall fix punishment. Killman v. State, 274 Ark. 422, 625 S.W.2d 489 (1981).

The jury has no authority to grant probation; therefore, questions of mitigation are properly presented to the court which has the responsibility of sentencing after the maximum punishment is fixed by the jury. Lair v. State, 283 Ark. 237, 675 S.W.2d 361 (1984).

Modification.

The provisions of subdivision (d)(1) of this section mean that a guilty plea, a fine, and suspension of imposition of sentence amount to a conviction, which, in turn, entails execution; this precludes a court from proceeding under the auspices of § 5-4-306(b). Harmon v. State, 317 Ark. 47, 876 S.W.2d 240 (1994), superseded by statute as stated in, Carter v. State, 350 Ark. 229, 85 S.W.3d 914 (2002), superseded by statute as stated in, Crowder v. State, — Ark. App. —, — S.W.3d —, 2003 Ark. App. LEXIS 324 (Apr. 23, 2003), superseded by statute as stated in, Mills v. State, — Ark. App. —, — S.W.3d —, 2004 Ark. App. LEXIS 128 (Feb. 11, 2004), superseded by statute as stated in, McCrary v. State, — Ark. App. —, — S.W.3d —, 2005 Ark. App. LEXIS 24 (Jan. 12, 2005).

By enacting Acts 1999, No. 1569, the legislature specifically intended to overturn prior case law and empower trial courts to use intermediate sanctions in probation revocations and to modify original sentences where appropriate; thus, the trial court was within its jurisdiction to modify defendant's original order by its second revocation order. Moseley v. State, 349 Ark. 589, 80 S.W.3d 325 (2002).

1999 Ark. Acts 1569 was not in effect at the time defendant's original crime was committed and could not be invoked by the State to apply to the facts of defendant's case; defendant committed the offense and his sentence was put into execution prior to the effective date of the provisions of the act and, for that reason, the act did not apply because the original charge was committed prior to April 15, 1999, such that defendant's plea of guilty, coupled with a fine and probation, constituted a conviction, thereby depriving the trial court of subject matter jurisdiction to amend or modify his original sentence that had been executed. Gates v. State, 353 Ark. 333, 107 S.W.3d 868 (2003).

Upon the revocation of defendant's probation for eight violations of the Arkansas Hot Check Law, the trial court was authorized under subdivision (d)(2) of this section and § 5-4-309(f)(1)(A) to modify the original order and impose multiple sentences of imprisonment to be served consecutively in accordance with § 5-4-403(a). The trial court did not err by sentencing defendant to twenty years in prison each on four hot-check counts to run consecutively and ten years in prison each on the other felony hot-check counts to run concurrently. Maldonado v. State, 2009 Ark. 432 (2009).

Suspension of Sentence.

When a defendant is convicted of a Class Y felony, the General Assembly has specifically provided that a trial court shall not suspend imposition of sentence as to a term of imprisonment or place the defendant on probation. State v. Stephenson, 340 Ark. 229, 9 S.W.3d 495 (2000).

Under Ark. Code Ann. § 5-4-401(a)(1), a defendant convicted of a Class Y felony had to be sentenced to a term of not less than 10 years nor more than 40 years, or life; defendant's conviction for simultaneous possession of drugs and a firearm constituted a Class Y felony for which no part of her sentence could be suspended pursuant to Ark. Code Ann. § 5-4-301(a)(1)(C); therefore, the trial court erred when it suspended 7 years of her 10-year sentence. State v. Hardiman, 353 Ark. 125, 114 S.W.3d 164 (2003).

Under subdivision (a)(1)(F), the trial court lacked statutory authority to suspend imposition of defendant's 20-year sentence for delivery of cocaine upon defendant's guilty plea in 1991 and the judgment was facially invalid, thus, the 20-year sentence that petitioner was currently serving (upon the revocation of the suspended sentence in 1998), was illegal; however, an illegal sentence could be corrected and remand for resentencing was proper. Taylor v. State, 354 Ark. 450, 125 S.W.3d 174 (2003).

Where defendant pleaded guilty to delivery of a controlled substance and possession of a controlled substance, and the former sentence was suspended and the latter sentence was imposed and served, and where suspension of the delivery offense was illegal pursuant to this section, it did not result in unauthorized dual judgments of sentence, making the suspended sentence void by operation of law, because the two sentences were separate and distinct. Taylor v. State, 354 Ark. 450, 125 S.W.3d 174 (2003).

There was no violation of appellant's due process rights for entitlement to habeas relief where appellant had been sentenced to five years' probation and fined for first-degree sexual abuse, a trial court properly sentenced him to 10 years in prison upon revocation of probation under § 5-4-309(f) because appellant could have originally received that term under §§ 5-14-108, 5-4-401(a)(4) and there had been no sentence imposed that had been improperly modified under §§ 5-4-301(d) (1997), or 16-93-402(e). Rickenbacker v. Norris, 361 Ark. 291, 206 S.W.3d 220 (2005).

Subdivision (a)(2)(A) of this section does not prohibit the suspension of any portion of defendant's habitual sentence where case law interpreted a similarly worded former statutory provision to find that the trial court was free to suspend an additional term in the habitual range as long as only a portion was suspended beyond the statutory minimum term, and the General Assembly had not rejected that interpretation. Todd v. State, 2016 Ark. App. 204, 489 S.W.3d 207 (2016).

Pursuant to subdivision (d)(2) of this section and former § 5-4-309 (see now § 16-93-308), the circuit court was authorized at revocation to modify the original order and impose any sentence that originally could have been given. Todd v. State, 2016 Ark. App. 204, 489 S.W.3d 207 (2016).

This section did not preclude an order of suspended imposition of sentence (SIS) where at the time appellant was placed on SIS, it had not been determined that he had previously been convicted of two or more felonies; he was not charged, convicted, or sentenced as an habitual offender. Robertson v. State, 2016 Ark. App. 379, 499 S.W.3d 247 (2016).

Because appellant was not determined to be a habitual offender when his plea was accepted and he was placed on suspended imposition of sentence (SIS), he could not be sentenced as a habitual offender on revocation of that SIS. Appellant's 20-year sentence on revocation did not exceed the nonhabitual range for Class B felonies, but the sentencing order erroneously reflected that he was sentenced as a habitual offender and the case was remanded in part for entry of a corrected sentencing order. Robertson v. State, 2016 Ark. App. 379, 499 S.W.3d 247 (2016).

Revocation of defendant's suspended imposition of sentence (SIS) was upheld; based on precedent, the SIS was not an illegal sentence even though defendant was an habitual offender because the circuit court also imposed a term of imprisonment. Anderson v. State, 2018 Ark. App. 389, 557 S.W.3d 283 (2018).

Cited: Coleman v. State, 15 Ark. App. 5, 688 S.W.2d 313 (1985); David v. State, 286 Ark. 205, 691 S.W.2d 133 (1985); Diffee v. State, 290 Ark. 194, 718 S.W.2d 94 (1986); Robinson v. Lockhart, 823 F.2d 210 (8th Cir. 1987); Jones v. State, 297 Ark. 485, 763 S.W.2d 81 (1989); Lee v. State, 299 Ark. 187, 772 S.W.2d 324 (1989); Howard v. State, 301 Ark. 281, 783 S.W.2d 61 (1990); Pennington v. State, 305 Ark. 507, 808 S.W.2d 780 (1991); Cobbins v. State, 306 Ark. 447, 816 S.W.2d 161 (1991); Baker v. State, 310 Ark. 485, 837 S.W.2d 471 (1992); Robinson v. State, 41 Ark. App. 20, 847 S.W.2d 49 (1993); Enos v. State, 313 Ark. 683, 858 S.W.2d 72 (1993); Jones v. State, 54 Ark. App. 150, 924 S.W.2d 470 (1996); Higgins v. State, 326 Ark. 1030, 936 S.W.2d 740 (1996); Harrell v. State, 331 Ark. 232, 962 S.W.2d 325 (1998); Brown v. State, 74 Ark. App. 281, 47 S.W.3d 314 (2001); United States Bank, N.A. v. Milburn, 352 Ark. 144, 100 S.W.3d 674 (2003); Rickenbacker v. Norris, 361 Ark. 291, 206 S.W.3d 220 (2005); Small v. State, 371 Ark. 244, 264 S.W.3d 512 (2007).

5-4-302. Effect of noncode statutes.

When a defendant who pleads or is found guilty of an offense defined by a statute not a part of the Arkansas Criminal Code is eligible for suspension or probation pursuant to that statute, the court may make any disposition permitted by that statute.

History. Acts 1975, No. 280, § 1202; A.S.A. 1947, § 41-1202.

Meaning of “Arkansas Criminal Code”. See note to § 5-1-101.

Case Notes

Cited: Pennington v. State, 305 Ark. 507, 808 S.W.2d 780 (1991).

5-4-303. Conditions of suspension or probation.

  1. If a court suspends imposition of sentence on a defendant or places him or her on probation, the court shall attach such conditions as are reasonably necessary to assist the defendant in leading a law-abiding life.
  2. The court shall provide as an express condition of every suspension or probation that the defendant not commit an offense punishable by imprisonment during the period of suspension or probation.
  3. If the court suspends imposition of sentence on a defendant or places him or her on probation, as a condition of its order the court may require that the defendant:
    1. Support his or her dependents and meet his or her family responsibilities;
    2. Undergo available medical or psychiatric treatment and enter and remain in a specified institution when required for medical or psychiatric treatment;
    3. Participate in a community-based rehabilitative program or work-release program that uses practices proven to reduce recidivism and for which the court may impose a reasonable fee or assessment on the defendant to be used in support of the community-based rehabilitative program or work-release program;
    4. Refrain from frequenting an unlawful or designated place or consorting with a designated person;
    5. Have no firearm in his or her possession;
    6. Make restitution to an aggrieved party in an amount the defendant can afford to pay for the actual loss or damage caused by his or her offense;
    7. Post a bond, with or without surety, conditioned on the performance of a prescribed condition; and
    8. Satisfy any other condition reasonably related to the rehabilitation of the defendant and not unduly restrictive of his or her liberty or incompatible with his or her freedom of conscience.
  4. If the court places a defendant on probation, as a condition of its order the court may require that the defendant:
    1. Report as directed to the court or the probation officer and permit the probation officer to visit the defendant at the defendant's place of employment or elsewhere;
    2. Remain within the jurisdiction of the court unless granted permission to leave in a written statement by the court or the probation officer; and
    3. Answer any reasonable inquiry by the court or the probation officer and promptly notify the court or probation officer of any change in address or employment.
  5. If the court suspends imposition of sentence on a defendant or places him or her on probation, the court shall:
    1. Require that the defendant either:
      1. Work consistently in suitable employment for the entire duration of his or her suspended sentence or probation or for three (3) years, whichever occurs earlier; or
        1. If the defendant is unemployed, pursue a prescribed secular course of study and show continuous progress in improving academic skills and education by increasing his or her reading, math, and communication skills to at least the ninth grade level regardless of a prior high school or other educational credentials.
        2. Under subdivision (e)(1)(B)(i) of this section, a defendant shall also meet at least one (1) of the following benchmarks:
          1. Earn a Career Readiness Certificate;
          2. Earn a Workforce Alliance for Growth in the Economy certificate;
          3. Earn a high school diploma by passing the Adult Education Section-approved assessment; or
          4. Enroll in vocational training designed to equip him or her for suitable employment.
        3. If the defendant is serving a suspended sentence or is on probation at the end of the study or training required by subdivision (e)(1)(B)(i) of this section, he or she shall work in suitable employment for the remainder of his or her suspended sentence or probation or for three (3) years, whichever occurs earlier; and
    2. Give the defendant a written statement explicitly setting forth the conditions under which he or she is being released.
    1. If the court suspends imposition of sentence on a defendant or places him or her on probation conditioned upon his or her making restitution under subdivision (c)(6) of this section, the court, by concurrence of the victim, defendant, and the prosecuting authority, shall determine the amount to be paid as restitution.
    2. After considering the assets, financial condition, and occupation of the defendant, the court shall further determine:
      1. Whether restitution shall be total or partial;
      2. The amounts to be paid if by periodic payments; and
      3. If a personal service is contemplated, the reasonable value and rate of compensation for the personal service rendered to the victim.
    1. In a case in which counsel has been appointed to represent a defendant due to the defendant's indigency and the court suspends imposition of sentence or places a defendant on probation at the time of disposition, the court shall revisit the issue of the defendant's indigency.
      1. When appropriate and when the defendant is financially able to do so, the court may assess an attorney's fee to be paid by the defendant as part of his or her suspension or probation.
      2. The amount of the assessed attorney's fee shall be commensurate with the defendant's ability to pay.
      3. The assessed attorney's fee shall be paid to the state as a means of partial reimbursement for providing appointed counsel.
    2. In no event is failure to pay an assessed attorney's fee, standing alone, a ground for the revocation of a suspension or probation.
      1. The assessed attorney's fee under subdivision (g)(2) of this section shall be collected by the county or city official, agency, or department designated under § 16-13-709 as primarily responsible for the collection of fines assessed in a circuit court or district court of this state.
      2. On or before the tenth day of each month, the county or city official, agency, or department described in subdivision (g)(4)(A) of this section shall remit any assessed attorney's fee collected to the Arkansas Public Defender Commission on a form provided by the commission.
      3. The commission shall deposit the money collected into a separate account within the State Central Services Fund to be known as “Public Defender Attorney Fees” to be used solely to defray costs for the commission.
  6. In addition to other available sanctions, a person sentenced prior to August 1, 2017, who is on probation under this section has the option to be sanctioned administratively under § 16-93-306(d) as it existed at the time of his or her sentence or as § 16-93-306 exists as of August 1, 2017.
    1. Unless specified otherwise in subsection (g) of this section and § 16-87-213, the moneys collected by the courts under subsection (g) of this section and § 16-87-213 shall be deposited into the State Treasury to the credit of the State Central Services Fund.
    2. If Arkansas law requires that the fees levied under subsection (g) of this section be deposited into the State Administration of Justice Fund, the Treasurer of State shall transfer the amount of the fees collected each month under subsection (g) of this section from the State Administration of Justice Fund to the State Central Services Fund.

History. Acts 1975, No. 280, § 1203; 1977, No. 474, §§ 3, 9; 1977, No. 482, § 3; 1985, No. 315, § 1; A.S.A. 1947, § 41-1203; Acts 1989, No. 305, § 1; 1993, No. 119, § 1; 1997, No. 281, § 1; 1999, No. 231, § 1; 1999, No. 1564, § 6; 1999, No. 1569, § 2; 2003, No. 1765, § 1; 2011, No. 570, § 7; 2015, No. 1198, § 1; 2017, No. 423, § 1; 2019, No. 871, § 17; 2019, No. 910, § 131.

A.C.R.C. Notes. Pursuant to § 1-2-207, subsection (g) of this section is set out above as amended by Acts 1999, Nos. 213, 1564, and 1569. Subsection (g) of this section was also amended by Acts 1999, No. 1081, to read as follows:

“(g) In cases where the counsel has been appointed to represent a defendant due to his indigency and if the court suspends the imposition of sentence or places a defendant on probation at the time of disposition, the court may revisit the issue of the defendant's indigency. Where appropriate, and where the defendant is financially able to do so, the court may assess an attorney's fee to be paid by the defendant as part of his suspended or probated sentence. The amount of the fee assessed should be commensurate with the defendant's ability to pay. The fee assessed shall be paid to the state as a means of partial reimbursement for providing appointed counsel. In no event shall failure to pay the assessed attorney's fees, standing alone, be grounds for the revocation of the suspended sentence or probated sentence. Any money collected pursuant to this subsection shall be remitted on or before the tenth (10th) day of the month following the month of collection to the Department of Finance and Administration, Administration of Justice Fund Section, for deposit in the State Administration of Justice Fund.”

Acts 2011, No. 570, § 1, provided:

“Legislative intent. The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Acts 2013, No. 1394, § 9, provided: Fee Generation and Support—Courts.

“Unless specified otherwise in Arkansas Code § 5-4-303(g) and Arkansas Code 16-87-213 the monies collected by the courts under the authority of § 5-4-303(g) and 16-87-213 shall be deposited into the State Treasury to the credit of the State Central Services Fund.

“In the event that the law requires that the fees levied under § 5-4-303(g) be deposited into the State Administration of Justice Fund, the State Treasurer shall transfer the amount of the fees collected each month under the authority of Arkansas Code § 5-4-303(g) from the State Administration of Justice Fund to the State Central Services Fund.

“The provisions of this section shall be in effect only from July 1, 2013 through June 30, 2014.”

Acts 2015, No. 972, § 11, provided:

“FEE GENERATION AND SUPPORT — COURTS. Unless specified otherwise in Arkansas Code § 5-4-303(g) and Arkansas Code 16-87-213 the monies collected by the courts under the authority of § 5-4-303(g) and 16-87-213 shall be deposited into the State Treasury to the credit of the State Central Services Fund.

“In the event that the law requires that the fees levied under § 5-4-303(g) be deposited into the State Administration of Justice Fund, the State Treasurer shall transfer the amount of the fees collected each month under the authority of Arkansas Code § 5-4-303(g) from the State Administration of Justice Fund to the State Central Services Fund.

“The provisions of this section shall be in effect only from July 1, 2015 through June 30, 2016.”

Acts 2016, No. 235, § 9, provided: “FEE GENERATION AND SUPPORT — COURTS. Unless specified otherwise in Arkansas Code § 5-4-303(g) and Arkansas Code 16-87-213 the monies collected by the courts under the authority of § 5-4-303(g) and 16-87-213 shall be deposited into the State Treasury to the credit of the State Central Services Fund.

“In the event that the law requires that the fees levied under § 5-4-303(g) be deposited into the State Administration of Justice Fund, the State Treasurer shall transfer the amount of the fees collected each month under the authority of Arkansas Code § 5-4-303(g) from the State Administration of Justice Fund to the State Central Services Fund.

“The provisions of this section shall be in effect only from July 1, 2016 through June 30, 2017.”

Amendments. The 2011 amendment substituted “uses practices proven to reduce recidivism” for “meets the minimum state standards for certification” in (c)(5); deleted former (d), (f) and (j) and redesignated the remaining subsections accordingly; and rewrote present (f).

The 2015 amendment deleted former (c)(2) and (c)(3), and redesignated the remaining subdivisions accordingly; inserted “in a written statement” in (d)(2); substituted “court shall” for “defendant shall” in the introductory language of (e); inserted (e)(1); inserted designation (e)(2); and substituted “Give the defendant” for “be given” in (e)(2).

The 2017 amendment added (h).

The 2019 amendment by No. 871 added (i).

The 2019 amendment by No. 910 substituted “Adult Education Section” for “Department of Career Education” in (e)(1)(B)(ii) (c)

Cross References. Payment of the supervision fee by the offender, § 16-93-104.

Research References

ALR.

Propriety of Requirement, as Condition of Probation, That Defendant Refrain from Use of Intoxicants. 46 A.L.R.6th 241.

Validity, Construction, and Application of State Computer Crime and Fraud Laws. 87 A.L.R.6th 1.

Validity, Construction, and Application of State Sex Offender Statutes Prohibiting Use of Computers and Internet as Conditions of Probation or Sentence. 89 A.L.R.6th 261.

U. Ark. Little Rock L. Rev.

Annual Survey of Caselaw, Criminal Procedure, 26 U. Ark. Little Rock L. Rev. 885.

Case Notes

In General.

This section is available to the trial courts if deemed just and proper. Brimer v. State, 295 Ark. 20, 746 S.W.2d 370 (1988).

An “alias bench warrant” did not meet the requirements of former § 5-4-309(e) because such a warrant was not issued for an arrest due to violation of probation under subdivision (h)(2) of this section (former subsection (f)); however, under subdivision (h)(2), which was adopted after § 5-4-309, the trial court retained jurisdiction to revoke defendant's probation, even beyond the expiration of defendant's probation period in 2000, where defendant had failed to pay the full amount of required restitution. Smith v. State, 83 Ark. App. 48, 115 S.W.3d 820 (2003).

Appeal.

Where defendant was tried for assault on a family member and felon in possession of a firearm, at no time did defendant raise the issue at trial that the State had failed to provide defendant with a written list of the conditions of defendant's probation on a prior conviction such that defendant's probation could not be revoked; thus, the issue was waived on appeal, and in any event, defendant had stipulated that the new charges would constitute grounds for revocation and there was no error in revoking defendant's probation. Nelson v. State, 84 Ark. App. 373, 141 S.W.3d 900 (2004).

Contrary to defendant's allegation, the terms and conditions of defendant's suspended imposition of sentence were a part of the trial court's sentencing order and were also included in the clerk's record. The appellate court could not say that the trial court clearly erred in revoking defendant's suspended sentence. Valencia v. State, 2016 Ark. App. 176 (2016).

Community Service.

Where the written notice of the terms of probation provided to the defendant indicated that he was to perform 100 hours of community service, but did not explicitly impose a deadline earlier than the completion of his period of probation, such a condition imposed by the probation office was invalid. Wade v. State, 64 Ark. App. 108, 983 S.W.2d 147 (1998).

Explanation of Conditions.

Where defendant had been clearly advised in open court what was expected of him for him to remain on probation, there was substantial compliance with the requirement he be explicitly advised of his conditions of probation and not prejudiced in any way; and while the record did not reflect that defendant ever had a conference with probation officials, or that defendant actually received documents articulating the conditions of his probation, this omission did not vitiate his suspended sentence and probation. Thornton v. State, 267 Ark. 675, 590 S.W.2d 57 (Ct. App. 1979).

All conditions for a suspended sentence, including any requirement of good behavior, must be in writing if the suspended sentence is to be revocable; therefore, courts have no power to imply and subsequently revoke conditions which were not expressly communicated in writing to a defendant as a condition of his suspended sentence. Ross v. State, 268 Ark. 189, 594 S.W.2d 852 (1980).

Where the trial court failed to expressly condition the appellant's suspended sentence as required by statute, the trial court lacked the authority to revoke his suspended sentence on the basis of a violation of an implied condition that the defendant maintain good behavior and refrain from criminal conduct. Ross v. State, 268 Ark. 189, 594 S.W.2d 852 (1980).

This section and § 16-90-106 clearly show that the defendant is entitled to know the effect of his sentence, and the trial court was held not to have performed this function. Culpepper v. State, 268 Ark. 263, 595 S.W.2d 220 (1980), superseded by statute as stated in, Smith v. State, 18 Ark. App. 152, 713 S.W.2d 241 (1986).

Where defendant was not given written statement of conditions for release but was merely told that suspension was during good behavior, the trial court erred in revoking defendant's suspended sentence, on the basis that the state had failed to produce any proof that appellant had any knowledge of the conditions of suspension or probation. Neely v. State, 7 Ark. App. 238, 647 S.W.2d 473 (1983).

The requirement in subsection (e) is only a procedural matter which, if not complied with, constitutes reversible error, but in no wise ousts the jurisdiction of the court; like all other procedural errors for which reversal on appeal might be based, it may be waived by failure to assert it. Cavin v. State, 11 Ark. App. 294, 669 S.W.2d 508 (1984).

Modification.

Since court retains jurisdiction of a case when it suspends imposition of sentence, it also has power to modify conditions of a suspension; thus, the court is authorized to modify the conditions which are imposed when the imposition of sentence is suspended, or to impose additional conditions, as long as the conditions are changed as authorized by this section. Palmer v. State, 31 Ark. App. 97, 788 S.W.2d 248 (1990).

By enacting Acts 1999, No. 1569, the legislature specifically intended to overturn prior case law and empower trial courts to use intermediate sanctions in probation revocations and to modify original sentences where appropriate; thus, the trial court was within its jurisdiction to modify defendant's original order by its second revocation order. Moseley v. State, 349 Ark. 589, 80 S.W.3d 325 (2002).

Trial court lacked authority, pursuant to subdivision (d)(2) of this section, to lengthen defendant's probationary period where defendant had made progress in the drug-court program under the Drug Court Act, § 16-98-301 et seq., because the trial court did not hold a revocation hearing pursuant to § 5-4-310. Cross v. State, 2009 Ark. 597, 357 S.W.3d 895 (2009).

No Cause for Revocation.

Trial court had no jurisdiction to revoke defendant's suspended sentence, because defendant owed no restitution at the end of his suspended sentence, and the trial court could not retain jurisdiction over him; defendant's child support was not to make good an actual economic loss of a victim of his failure to comply with the reporting requirements of the Sex and Child Offender Registration Act. Owens v. State, 2009 Ark. App. 532, 337 S.W.3d 527 (2009).

Revocation of defendant's probation, based upon defendant absconding, was inappropriate because there was nothing in the conditions requiring defendant to report or to notify the probation department of a change of address. Accordingly, the circuit court based its revocation of defendant's probation on a violation that was not a written condition of defendant's probation. Tomes v. State, 2019 Ark. App. 267, 577 S.W.3d 21 (2019).

Rehabilitation Program.

Where the suspended sentence was expressly conditioned upon the successful completion of the drug rehabilitation program, but where defendant did not complete the program, and there was no showing that defendant was arbitrarily dismissed from the program, then the trial judge could justifiably find by a preponderance of the evidence that the defendant had failed to comply with a condition of his suspension or probation. Adams v. State, 269 Ark. 601, 599 S.W.2d 437 (Ct. App. 1980).

Trial court properly revoked defendant's suspended sentence for sexual abuse and sentenced defendant to six years in prison because it was undisputed that defendant never completed the Arkansas Reduction of Sexual Victimization Program, which was a condition of the suspended sentence pursuant to subsection (g) of this section. Seamster v. State, 2009 Ark. 258, 308 S.W.3d 567 (2009).

Restitution or Reparation.

Subdivision (c)(8) is aimed at allowing an accused to remain out of prison so long as satisfactory payments of restitution are being made; immediate imprisonment would thwart such intent. Brimer v. State, 295 Ark. 20, 746 S.W.2d 370 (1988).

If the court suspends the imposition of sentence or places defendant on probation conditioned upon making restitution as provided by this section, payment must be in an amount the defendant can afford to pay and the victim, defendant, and prosecuting attorney must agree on the amount. Brimer v. State, 295 Ark. 20, 746 S.W.2d 370 (1988).

A circuit court retains jurisdiction over a defendant who has been orderd to pay restitution as a condition of a deferred imposition of sentence until the restitution has been paid in full, even beyond the duration of deferment. Kyle v. State, 312 Ark. 274, 849 S.W.2d 935 (1993).

The “shall” in subsection (f) of this section indicates that the court's jurisdiction automatically continues until the restitution is complete; moreover, the disjunctive “or” gives the court the option to either extend the probation period or revoke the suspended sentence. Kyle v. State, 312 Ark. 274, 849 S.W.2d 935 (1993).

Defendant's argument that, under this section he had to agree to the amount of restitution before it was imposed by the court, was meretless; the statute simply provided that the court could set the amount of restitution if the victim, defendant, and prosecuting attorney agree to allowed the court to do so. Tumlison v. State, 93 Ark. App. 91, 216 S.W.3d 620 (2005).

Car's insurer, which was required to pay compensation to the owner of the car as an indirect result of defendant's crime of fleeing and theft by receiving the car after defendant wrecked the car, rendering it a total loss, was a “victim” and an “aggrieved party” entitled to restitution under § 5-4-205 and this section. Singleton v. State, 2009 Ark. 594, 357 S.W.3d 891 (2009).

Trial court did not err in continuing defendant's probation for failure to pay restitution as ordered, despite defendant's argument that she was looking for work, that she was seeking to have her theft conviction overturned, and that she was trying to get disability, all of which claims were seriously undermined by the state. Newsom v. State, 2011 Ark. App. 760, 387 S.W.3d 245 (2011), rehearing denied, — Ark. App. —, — S.W.3d —, 2012 Ark. App. LEXIS 75 (Ark. Ct. App. Jan. 4, 2012).

Court retained jurisdiction to revoke the suspended sentence for failure to pay restitution, because the petitioner was charged with fleeing to avoid arrest for possession of marijuana and causing property damage while fleeing, and was ordered to pay restitution for the damage he caused during the course of the criminal episode. Arter v. State, 2012 Ark. App. 327, 414 S.W.3d 391 (2012).

Trial court was without jurisdiction to revoke defendant's suspended sentence for fourth offense DWI, because the period of the suspended sentence had expired two years prior to the state filing a petition for revocation. Defendant was not ordered to pay restitution, so jurisdiction could not be continued under subdivision (h)(2) of this section. Wallace v. State, 2012 Ark. App. 571 (2012).

Sentence Upon Revocation of Suspension.

Where defendant was sentenced to period of imprisonment for one year and any additional term of imprisonment for a period of up to five years was suspended, imposition of nine year sentence upon revocation of suspension when court found defendant, subsequent to his release committed the crime of robbery was proper since 10 years is the maximum for the crime for which he was placed on suspension. Smith v. State, 18 Ark. App. 152, 713 S.W.2d 241 (1986).

The court did not have the power to revoke defendant's suspended sentence prior to the commencement of the suspension period. Harness v. State, 352 Ark. 335, 101 S.W.3d 235 (2003).

When defendant was serving a suspended sentence for overdraft, theft of property, theft by deception, and two counts of failure to appear, he failed to pay his court-ordered restitution of $82,000; the trial court did not err by revoking his suspended sentence. While this section permitted the trial court to fashion an alternative remedy that did not involve incarceration, the trial court sentenced defendant to ten years in the Arkansas Department of Correction. Reese v. State, 2009 Ark. App. 678 (2009).

Statement of Conditions.

Decision to revoke probation due to a probationer's failure to comply with conditions was proper because written conditions were provided probationer as required by subsection (g) of this section; there was evidence that the conditions were expressly communicated in writing and verbally to the probationer; and there was no evidence of confusion on the probationer's part. White v. State, 2010 Ark. App. 157 (2010).

There is no requirement under this section that the defendant sign a written acknowledgment when he receives the written statement of conditions or that one be introduced at a revocation hearing. Even without considering certain testimony, the trial court found that defendant received a copy of the conditions of his probation based on testimony about routine practices; moreover, defendant indicated by his testimony that he was aware of the conditions of his probation when he disputed the violations and partially complied with the conditions. Johnson v. State, 2014 Ark. App. 606, 447 S.W.3d 143 (2014).

Suspension or Probation.

After release from prison an inmate is on probation under supervision of the Department of Correction; the distinction between suspension and probation is whether supervision is exercised, and that is the reason the statutes prohibit a court from sentencing a defendant to a term in prison and following it by a period of probation. Section § 5-4-104(e)(3) appears to allow a period of suspension following a term in prison. Brimer v. State, 295 Ark. 20, 746 S.W.2d 370 (1988).

Subsection (f) did not authorize the trial court to extend defendant's probation for his failure to pay the fine and costs; subsection (f) only applies to defendants ordered to pay restitution or reparations. Jones v. State, 54 Ark. App. 150, 924 S.W.2d 470 (1996).

Unauthorized Sentence.

Where after the defendant entered a guilty plea to class C felony theft of property, for which the maximum sentence is 10 years, a sentence of 6 years in prison, with 2 years suspended on condition that the defendant pay the sum of $135,000 at the rate of $200 per month, beginning 60 days after defendant's release from prison, and continuing for 12 years, at which time a civil judgment would be entered for the outstanding balance, was not authorized. Brimer v. State, 295 Ark. 20, 746 S.W.2d 370 (1988).

Upon defendant's conviction for rape and second-degree battery, the circuit court erred in ordering him to complete a sex-offender treatment program because he was sentenced under §§ 5-4-401, 5-4-501 and these statutes did not authorize the court to order a sex-offender treatment program. Pursuant to this section, a circuit court may clearly place conditions on a defendant when the court suspends the imposition of sentence or places the defendant on probation, but that there is no similar provision in § 5-4-104(d) that would allow a court to place specific conditions on a sentence of incarceration. White v. State, 2012 Ark. 221, 408 S.W.3d 720 (2012).

Upon revoking defendant's probation for the fraudulent use of a credit or debit card, the trial court sentenced defendant to 365 days' incarceration and required her to attend a drug program. Because defendant was not sentenced to probation, the condition to incarceration was not authorized by subdivision (d)(4) of this section; therefore, the sentence was illegal. Runion v. State, 2012 Ark. App. 365 (2012).

In a case involving rape and other offenses, a remand was necessary for a trial court to resolve an incongruity within the judgment and commitment order itself, which referred to conditions of a suspended sentence, despite a specification that there were no suspended imposition of sentence. If completion of a Reduction of Sexual Victimization Program was ordered as a condition of incarceration, the circuit court had the opportunity to correct it because only the Arkansas Department of Correction that could have determined any conditions of incarceration. Dillard v. State, 2012 Ark. App. 503 (2012).

Validity of Conditions.

Conditions for probation will be upheld if they bear a reasonable relationship to the crime committed or to future criminality; therefore, certain conditions imposed upon a defendant held valid; however, other conditions imposed upon defendant were held to be too broad, vague and insufficiently tailored to bear a reasonable relationship to probation/suspension objectives of rehabilitation and future criminality. Young v. State, 286 Ark. 413, 692 S.W.2d 752 (1985), cert. denied, Young v. Arkansas, 474 U.S. 1070, 106 S. Ct. 830 (1986).

In a case dealing with domestic offenses, although the jury was permitted to recommend an alternative sentence under § 16-97-101(4), the trial court had the discretion as to whether to impose it; thus, the trial court was permitted to accept a jury's recommended alternative sentences of probation and suspended sentences and then impose fines as a condition of those sentences, pursuant to this section. Sullivan v. State, 366 Ark. 183, 234 S.W.3d 285 (2006).

Written Notice.

Nothing in this section requires that the defendant be informed in writing that he is subject to a sentence greater than the probationary period imposed. Harris v. State, 270 Ark. 634, 606 S.W.2d 93 (Ct. App. 1980).

Although this section requires that a defendant be given a written statement specifically setting forth the conditions of his suspended sentence, this procedural right, like any other, may be waived. Banning v. State, 22 Ark. App. 144, 737 S.W.2d 167 (1987).

Subsection (e) did not apply where defendant's probation period was merely extended to allow her to pay the restitution at a rate she indicated that she could afford. Kyle v. State, 312 Ark. 274, 849 S.W.2d 935 (1993).

The authority to enforce the terms of a suspended sentence is not itself a condition of the suspended sentence and is not required to be stated in writing. Kyle v. State, 312 Ark. 274, 849 S.W.2d 935 (1993).

Defendant's suspended sentence could not be revoked when he never received any written conditions of his suspended sentence as required by this section. Zollicoffer v. State, 55 Ark. App. 166, 934 S.W.2d 939 (1996).

Revocation of the defendant's probation was not improper because he was not given written notice of the terms of probation in a 1998 order which superseded an original 1996 order of probation, since the defendant's probation was revoked on the basis of a violation of probationary terms contained in the 1996 probation order, which he acknowledged receiving. Morgan v. State, 72 Ark. App. 482, 37 S.W.3d 684 (2001).

Despite the fact that an order suspending defendant's sentence for theft of property and residential burglary did not specifically state that defendant was required to surrender to police on a certain date in order to serve jail time, the preponderance of the evidence showed that defendant's failure to report violated the provisions of the order that required good behavior and a law-abiding lifestyle; evidence showed that defendant was caught after leading police on a chase. Richardson v. State, 85 Ark. App. 347, 157 S.W.3d 536 (2004).

Revocation of probation on forgery and battery charges was proper because probationer's signature on the documents listing the conditions of probation was sufficient to support the trial court's determination that the probationer had been provided the conditions, pursuant to subsection (g) of this section, and knew, understood, and consented to the conditions. Berry v. State, 2010 Ark. App. 217 (2010).

Trial court did not err in revoking defendant's probation because the conclusion that defendant received a written copy of the probation conditions, as required by subsections (a) and (e) of this section, was not clearly against the preponderance of evidence; defendant's probation officer testified that the officer explained the conditions of probation to defendant and that defendant signed a copy of the conditions. Lambert v. State, 2013 Ark. App. 64, 426 S.W.3d 478 (2013).

Defendant's suspended sentence was properly revoked for non-payment of restitution because his behavior relating to payment and his receipt of arrearage amount indicated that he was aware of amended amount of restitution, and defendant received notice of amended order via his attorney and was bound by his agent. Fleming v. State, 2013 Ark. App. 551 (2013).

Circuit court erred in revoking defendant's suspended sentence for failure to complete a community-service obligation because, while the conditions imposed upon her contained a duty to comply with all special conditions imposed by the court, no special conditions were noted in the order, and a subsequent contempt order did not clearly inform her that a new obligation or condition was added to her suspended sentence or that a failure to comply with that new condition could result in revocation. Blankenship v. State, 2014 Ark. App. 104 (2014).

Evidence was sufficient to show that defendant received the conditions of suspension that were expressly communicated in writing where he had signed the conditions document, acknowledged having received all of the other paperwork associated with his plea, and he neither contended that he was unaware of the conditions of his suspended sentence nor refuted a deputy's testimony about the sheriff's office's standard practices of giving copies of paperwork to anyone placed on probation or suspension. Geeslin v. State, 2017 Ark. App. 571, 533 S.W.3d 132 (2017).

Contrary to defendant's argument on appeal of the revocation of his suspended imposition of sentence, the requirement in subsection (e) of this section concerning a written statement is not an issue of subject-matter jurisdiction that can be raised at any time; instead, defendant waived the argument by not objecting on that basis at the revocation hearing. Gilbreth v. State, 2020 Ark. App. 86, 596 S.W.3d 29 (2020).

Cited: Pearson v. State, 262 Ark. 513, 558 S.W.2d 149 (1977); Cogburn v. State, 264 Ark. 173, 569 S.W.2d 658 (1978); Wolfe v. State, 266 Ark. 811, 586 S.W.2d 4 (Ct. App. 1979); Wolfe v. State, 266 Ark. 811, 586 S.W.2d 4 (Ct. App. 1979); Hunter v. State, 278 Ark. 428, 645 S.W.2d 954 (1983); Davis v. State, 291 Ark. 191, 723 S.W.2d 366 (1987); Ross v. State, 22 Ark. App. 232, 738 S.W.2d 112 (1987); Jones v. State, 297 Ark. 485, 763 S.W.2d 81 (1989); Harmon v. State, 317 Ark. 47, 876 S.W.2d 240 (1994); McGhee v. State, 334 Ark. 543, 975 S.W.2d 834 (1998); Myers v. State, 2014 Ark. App. 720, 451 S.W.3d 588 (2014).

5-4-304. Confinement as condition of suspension or probation.

  1. If a court suspends the imposition of sentence on a defendant or places him or her on probation, the court may require as an additional condition of its order that the defendant serve a period of confinement in the county jail, city jail, or other authorized local detention, correctional, or rehabilitative facility at any time or consecutive or nonconsecutive intervals within the period of suspension or probation as the court shall direct.
  2. An order that the defendant serve a period of confinement as a condition of suspension or probation is not deemed a sentence to a term of imprisonment, and a court does not need to enter a judgment of conviction before imposing a period of confinement as a condition of suspension or probation.
      1. The period actually spent in confinement pursuant to this section in a county jail, city jail, or other authorized local detention, correctional, or rehabilitative facility shall not exceed:
        1. One hundred twenty (120) days in the case of a felony; or
        2. Thirty (30) days in the case of a misdemeanor.
      2. In the case of confinement to a facility in the Division of Community Correction, the period actually spent in confinement under this section shall not exceed three hundred sixty-five (365) days.
    1. For purposes of this subsection, any part of a twenty-four-hour period spent in confinement constitutes a day of confinement.

History. Acts 1975, No. 280, § 1204; A.S.A. 1947, § 41-1204; Acts 1993, No. 532, § 6; 1993, No. 550, § 6; 1999, No. 1569, § 3; 2003, No. 1742, § 1; 2005, No. 1443, § 1; 2011, No. 570, § 8; 2019, No. 910, § 652.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided:

“Legislative intent. The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2011 amendment substituted “detention” for “detentional” in (a) and (c)(1)(A); and, deleted former (c) and (e) and redesignated the remaining subsections accordingly.

The 2019 amendment substituted “Division of Community Correction” for “Department of Community Correction” in (c)(1)(B).

Research References

U. Ark. Little Rock L. Rev.

Annual Survey of Caselaw, Criminal Procedure, 26 U. Ark. Little Rock L. Rev. 885.

Survey of Legislation, 2005 Arkansas General Assembly, Criminal Law, 28 U. Ark. Little Rock L. Rev. 335.

Case Notes

Purpose.

This section was intended merely as an alternative method of sentencing, for § 5-4-301(d) contains two specific exceptions to the general rule that a judgment of conviction is not to be entered against one who is placed on suspension or probation. Smith v. State, 18 Ark. App. 152, 713 S.W.2d 241 (1986).

This section was not intended as a limitation on the authority to enter a judgment of commitment to a term in the Department of Correction followed by a period of suspended imposition, but merely as a discretionary alternative to other authorized sentences. Smith v. State, 18 Ark. App. 152, 713 S.W.2d 241 (1986).

Applicability.

This section provides for the placing of a defendant in a county or city jail with conditions of probation, and does not apply to a term of imprisonment at the Department of Correction. Marion v. State, 4 Ark. App. 359, 631 S.W.2d 315 (1982).

This section has application only to those criminal defendants upon whom imposition of sentence is suspended entirely. Smith v. State, 18 Ark. App. 152, 713 S.W.2d 241 (1986).

Where defendant's crimes were committed prior to the effective date of subsection (c) of this section, its provisions were not applicable to defendant's probation revocation hearing; accordingly, the trial court committed error when it found that defendant had violated the terms of his probation and added an additional condition thereon because, after imposition of the original sentence, the court lost jurisdiction to amend or modify the sentence. Climer v. State, 80 Ark. App. 281, 95 S.W.3d 11 (2003).

Credit for Time Served.

Where a court of appeals was unable to find anything in the abstract of pleadings and testimony to indicate that a defendant had actually served the jail time to which he was sentenced as part of a suspended prison sentence, the court held that the defendant had not demonstrated his entitlement to credit for the time. Coleman v. State, 15 Ark. App. 5, 688 S.W.2d 313 (1985).

On direct appeal, a defendant could not raise the issue of the failure of the trial court to grant credit for time already served pursuant to subsection (a) where he failed to raise the issue in the trial court below; however, he could raise the issue in a petition filed with the circuit court under Ark. R. Crim. P. Rule 37. Morgan v. State, 73 Ark. App. 107, 42 S.W.3d 569 (2001).

Dual Judgments.

When a court grants unauthorized dual judgments of sentence and one is imposed and served, and the other is the suspension of a sentence, there is an election by operation of law and the sentencing court has elected to order the sentence actually imposed; the other is void. Hunter v. State, 278 Ark. 428, 645 S.W.2d 954 (1983).

Illegal Sentence.

Defendant's sentence was illegal because, as a condition of his probation, the court confined him to the county jail for a term in excess of that allowed by this section. Gage v. State, 307 Ark. 285, 819 S.W.2d 279 (1991).

Defendant's sentence of 20 years imprisonment, suspended to an additional term of 20 years, pursuant to his guilty plea to one count of manufacturing methamphetamine, and two counts of possession of drug paraphernalia, was modified to provide that defendant was no longer required to report to a supervising officer, as the sentence was actually one of probation rather than suspension, which was a sentence specifically prohibited by statute. Harness v. State, 352 Ark. 335, 101 S.W.3d 235 (2003).

Defendant's sentence was illegal where the version of this section effective when defendant committed the crime limited time served as a condition of probation to one hundred twenty days in confinement; the trial court erred in amending defendant's probation to include a year in a Regional Punishment Facility. Scissom v. State, 367 Ark. 368, 240 S.W.3d 100 (2006).

Upon revoking defendant's probation for the fraudulent use of a credit or debit card, the trial court sentenced defendant to 365 days' incarceration in accordance with subdivision (d)(1)(B) of this section and required her to attend a drug program. Because such a condition to incarceration was not authorized by § 5-4-104(d), the sentence was illegal. Runion v. State, 2012 Ark. App. 365 (2012).

In a probation revocation case, defendant's original sentence on a Class A misdemeanor was remanded for correction, because (1) the sentence was illegal on its face, as defendant was sentenced to both 20 days in jail and 12 months' probation and, contrary to subsection (a) of this section, the original sentencing order did not show that the 20 days' confinement was a condition of defendant's probation; and (2) the trial court failed to give defendant credit for the 20 days he was ordered to serve in the original order. Thompson v. State, 2017 Ark. App. 158, 516 S.W.3d 297 (2017).

Imprisonment and Probation or Suspension.

While it is true that § 5-4-104(e) provides that a defendant cannot be sentenced to a term of imprisonment to be followed by a period of probation otherwise than in accordance with this section, a court has the authority to sentence one to a term of imprisonment to be followed by a period of suspension. Smith v. State, 18 Ark. App. 152, 713 S.W.2d 241 (1986).

A trial court may not impose a sentence of imprisonment in the state Department of Correction that is followed by probation. Bangs v. State, 310 Ark. 235, 835 S.W.2d 294 (1992).

Nothing in this section prohibited the trial court from revoking probation and imposing any sentence which might have originally been imposed; thus, defendant's sentence of 90 days in the county jail with 90 days credit as a period of confinement in the trial court's original order of probation did not preclude the court from ordering six years imprisonment following the state's second petition for revocation and a finding of guilt on the part of the defendant for violating his probation. Moseley v. State, 349 Ark. 589, 80 S.W.3d 325 (2002).

Trial court erred in imposing additional confinement as a condition of defendant's probation because subsection (d) of this section, which was in effect when the underlying offense was committed, did not allow additional time if a period of confinement had been included in the original order. Scissom v. State, 94 Ark. App. 452, 232 S.W.3d 502 (2006), aff'd in part, reversed in part, 367 Ark. 368, 240 S.W.3d 100 (2006).

Cited: Davis v. State, 291 Ark. 191, 723 S.W.2d 366 (1987); Brimer v. State, 295 Ark. 20, 746 S.W.2d 370 (1988); Lee v. State, 299 Ark. 187, 772 S.W.2d 324 (1989); Palmer v. State, 31 Ark. App. 97, 788 S.W.2d 248 (1990); Bilderback v. State, 319 Ark. 643, 893 S.W.2d 780 (1995); McGhee v. State, 334 Ark. 543, 975 S.W.2d 834 (1998); Richie v. State, 2009 Ark. 602, 357 S.W.3d 909 (2009).

5-4-305. Effect on appeal.

  1. If a court suspends imposition of sentence on a defendant or places him or her on probation, the fact that a judgment of conviction is not entered does not preclude:
    1. An appeal on the basis of any error in the adjudication of guilt or any error in the entry of the order of the suspension or probation; or
    2. The imposition of any costs authorized by law.
  2. An appeal following a suspension or probation may be taken by filing notice of appeal in the manner prescribed by law within thirty (30) days after the docket entry of the suspension or probation.

History. Acts 1975, No. 280, § 1211; A.S.A. 1947, § 41-1211.

Case Notes

Appeal Properly Dismissed.

Circuit court properly dismissed defendant's appeal to the circuit court from the district court's order of probation under the First Offender Act, § 16-93-301 et seq.; this section did not grant defendant the right to appeal as there had been no adjudication of guilt and defendant never alleged any error in the entry of the order of probation. Barner v. State, 2015 Ark. 247, 464 S.W.3d 450 (2015).

5-4-306. Time period generally.

If a court suspends imposition of sentence on a defendant or places him or her on probation, the period of suspension or probation shall be for a definite period of time not to exceed the maximum jail or prison sentence allowable for the offense charged.

History. Acts 1975, No. 280, § 1205; 1977, No. 772, § 1; A.S.A. 1947, § 41-1205; Acts 1999, No. 1569, § 4; 2011, No. 570, § 9.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided:

“Legislative intent. The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2011 amendment deleted “Modification” from the end of the section heading; and deleted (a)(2) and (b).

Case Notes

Applicability.

Imposition of a sentence of probation can not exceed the maximum jail time allowable for the offense charged; thus, the trial court did not have the authority to place defendant on supervised probation for 36 months where his maximum sentence in jail was one year. Hamm v. State, 75 Ark. App. 358, 57 S.W.3d 252 (2001).

Misdemeanor Conviction.

Where defendant was convicted of two counts of misdemeanor possession of marijuana, and was sentenced to 18 months probation, his sentence violated § 5-4-403(c)(2) which provides that the aggregate of consecutive terms for misdemeanors shall not exceed one year; the one year maximum is applicable to the defendant's probationary sentence by virtue of subsection (a) of this section. Brunson v. State, 45 Ark. App. 161, 873 S.W.2d 562 (1994).

Modification of Conditions.

Where original order only suspended imposition of sentence as to imprisonment and did not suspend imposition of fine, modification was not covered by subsection (b). Jones v. State, 297 Ark. 485, 763 S.W.2d 81 (1989).

Suspension of Sentence.

Where after defendant pleaded guilty to a charge of theft, a class C felony for which the maximum sentence is 10 years, the court could sentence defendant to one year of imprisonment and suspend imposition of an additional sentence to the penitentiary for a period of five years, since the five year period of suspension did not exceed the maximum prison sentence allowable for the offense. Smith v. State, 18 Ark. App. 152, 713 S.W.2d 241 (1986).

Where after the defendant entered a guilty plea to class C felony theft of property, for which the maximum sentence is 10 years, a sentence of 6 years in prison, with 2 years suspended on condition that the defendant pay the sum of $135,000 at the rate of $200 per month, beginning 60 days after defendant's release from prison, and continuing for 12 years, at which time a civil judgment would be entered for the outstanding balance, was not authorized. Brimer v. State, 295 Ark. 20, 746 S.W.2d 370 (1988).

Cited: Walker v. State, 263 Ark. 485, 565 S.W.2d 605 (1978); Palmer v. State, 31 Ark. App. 97, 788 S.W.2d 248 (1990).

Harness v. State, 352 Ark. 335, 101 S.W.3d 235 (2003).

5-4-307. Time period — Calculation.

  1. Except as provided in subsection (c) of this section, a period of suspension or probation commences to run when the circuit court pronounces the probationer's sentence in the courtroom or upon the entry of a sentencing order, whichever occurs first.
    1. Whether pronounced or entered at the same or a different time, multiple periods of suspension or probation run concurrently.
    2. The period of a suspension or probation also runs concurrently with any federal or state term of imprisonment or parole to which a defendant is or becomes subject to during the period of the suspension or probation.
  2. If a court sentences a defendant to a term of imprisonment and suspends imposition of sentence as to an additional term of imprisonment, the period of the suspension commences to run on the day the defendant is lawfully set at liberty from the imprisonment.

History. Acts 1975, No. 280, § 1206; A.S.A. 1947, § 41-1206; Acts 2019, No. 248, § 1.

Amendments. The 2019 amendment substituted “when the circuit court pronounces the probationer's sentence in the courtroom or upon the entry of a sentencing order, whichever occurs first” for “on the day it is imposed” in (a); and substituted “pronounced or entered” for “imposed” in (b)(1).

Research References

Ark. L. Rev.

Mark James Chaney, Recent Developments: Arkansas Supreme Court Denies Judges' Discretion to Suspend Enhanced Criminal Sentences Imposed by Statute and Holds All Suspensions of Enhanced Sentences Allowed Under Law Must Run Concurrently with the Primary Sentence, 66 Ark. L. Rev. 907 (2013).

U. Ark. Little Rock L. Rev.

Annual Survey of Caselaw, Criminal Procedure, 26 U. Ark. Little Rock L. Rev. 885.

Case Notes

In General.

This section reduced the prior law to exactness in the matter of when a suspended sentence commences to run upon release from a period of confinement, and although it is included in the Arkansas Rules of Criminal Procedure, it is not a new manner of computing the running time but clarifies the law as it existed prior to enactment of the Arkansas Criminal Code. Matthews v. State, 265 Ark. 298, 578 S.W.2d 30 (1979).

The court did not have the power to revoke defendant's suspended sentence prior to the commencement of the suspension period. Harness v. State, 352 Ark. 335, 101 S.W.3d 235 (2003).

Although a suspended sentence for escape had probably expired prior to the date of a revocation hearing, defendant was not entitled to relief because a motion to supplement the record to add the date of release was denied; the evidence was never presented to the trial court prior to the entry of judgment. Rameriz v. State, 91 Ark. App. 271, 209 S.W.3d 457 (2005).

Defendant's sentences were not illegal where the applicable order did not state that the sentences were to run consecutively, and thus, under § 5-4-403 and this section, the sentences ran concurrently. McElroy v. State, 2018 Ark. App. 342, 553 S.W.3d 182 (2018).

Commencement of Sentence.

The trial court had authority to revoke suspended sentence for violation occurring prior to the commencement of the suspension period. Venable v. State, 27 Ark. App. 289, 770 S.W.2d 170 (1989), overruled, Harness v. State, 352 Ark. 335, 101 S.W.3d 235 (2003).

The suspended four and one-half year portion of defendant's sentence began to run on the day that he was released from the Department of Correction. Lyons v. State, 35 Ark. App. 29, 813 S.W.2d 262 (1991).

Trial court had authority to revoke a suspended sentence imposed for residential burglary because the sentence commenced on the day it was rendered, despite the fact that defendant was ordered to serve a term of imprisonment on the same day. Richardson v. State, 85 Ark. App. 347, 157 S.W.3d 536 (2004).

Where defendant was sentenced to prison plus a suspended sentence for an additional term, but defendant violated the conditions of her suspended sentence before she served any of her prison sentence, the portion of the trial court's order that imposed an unauthorized twenty-year prison term was reversed; a trial court does not have the authority to revoke a suspended sentence before the commencement of the period of suspension and, in such instances, the resulting sentence is void. Stultz v. State, 92 Ark. App. 204, 212 S.W.3d 42 (2005).

Trial court did not lack jurisdiction to revoke defendant's suspended sentence on the ground that defendant failed to complete the Arkansas Reduction of Sexual Victimization Program (RSVP) as the conduct did not occur prior to the suspended sentence; the judgment and commitment order imposed a six-year term of imprisonment to be served concurrently with the 10-year suspended sentence, as required by subdivision (b)(2) of this section. Seamster v. State, 2009 Ark. 258, 308 S.W.3d 567 (2009).

In a probation revocation case, defendant’s argument that the imposition of more time than her original sentence was improper was rejected because, even though the period of probation began to run when defendant was sentenced, the trial court could have imposed any sentence upon revocation that could have been imposed originally under former § 5-4-309(g)(1)(A). Defendant pled guilty to 2 Class C felonies and was subject to a maximum sentence of 10 years on both counts; therefore, sentences of 72 months and 50 months upon revocation were permitted. Whitson v. State, 2014 Ark. App. 283 (2014).

Probation.

Where the defendant was sentenced on two charges of theft of property and burglary, receiving a 6-year term of imprisonment for theft of property and another 6-year term for burglary, to run consecutively to the theft, and the court then ordered that execution of the sentence of the burglary term be suspended, placing the defendant on probation for 6 years, the court erred in running his probation consecutively to his term of imprisonment. Hendrix v. State, 291 Ark. 134, 722 S.W.2d 596 (1987).

Suspended Sentences.

On probation revocation, it was error to order suspended sentences consecutive to a prison sentence because subdivision (b)(2) of this section, dealing specifically with suspended sentencing, did not allow suspended sentences consecutive to a prison sentence for another charge. Walden v. State, 2014 Ark. 193, 433 S.W.3d 864 (2014).

On probation revocation, it was error to order consecutive suspended sentences because subdivision (b)(1) of this section barred such sentences. Walden v. State, 2014 Ark. 193, 433 S.W.3d 864 (2014).

Although the appellate court upheld the revocation of defendant's suspended sentence, it modified the sentencing order to reflect that the two sentences were to run concurrently. Valencia v. State, 2016 Ark. App. 176 (2016).

Trial court did not err in sentencing appellant to imprisonment upon revocation of his suspended sentence where the State's evidence showed that he had been released from prison and was thereafter accused and convicted of forgery. Todd v. State, 2016 Ark. App. 270, 493 S.W.3d 350 (2016).

Trial court erred in requiring defendant to complete drug and/or alcohol treatment while incarcerated because her suspended imposition of sentence (SIS) could not begin until she was released from prison, and no condition of SIS could be imposed prior to that date. Holmes-Childers v. State, 2016 Ark. App. 464, 504 S.W.3d 645 (2016).

Trial court erred in revoking defendant's suspended imposition of sentence (SIS) and in sentencing her to six years' incarceration; defendant's original sentence was illegal because suspended sentences imposed with terms of imprisonment for different crimes must run concurrently, not consecutively, and the trial court failed to first correct the original sentencing order before revoking defendant's SIS, which left the original illegal sentence still in place. Dodds v. State, 2018 Ark. App. 86, 543 S.W.3d 513 (2018).

Defense counsel was not allowed to withdraw under Ark. Sup. Ct. & Ct. App. R. 4-3(k); although counsel adequately addressed the adverse rulings from the probation revocation hearing, counsel did not address any issue of sentencing in his no-merit brief and defendant's sentencing was arguably illegal as it imposed a suspended imposition of sentence consecutive to other terms of imprisonment, an issue that could be raised at any time, and should have been addressed by counsel. Norton v. State, 2018 Ark. App. 370, 553 S.W.3d 765 (2018).

Suspension.

In a case where a trial court revoked defendant's suspended impositions of sentence (SIS) for two felonies, the trial court did not err by imposing a sentence that included two consecutive suspended sentences; defendant had 6 years to do in prison from the consecutive running of his terms of imprisonment and, when he was released from imprisonment, he was on SIS for concurrent total of 5 years. An incorrect oral ruling did not control the appellate court's decision. Jones v. State, 2014 Ark. App. 167 (2014).

Defendant's underlying suspended sentence was an illegal sentence because the trial court ran it consecutively to the two six-year terms of imprisonment and the sentence was statutorily required to run concurrently with the prison sentences. Reyes v. State, 2015 Ark. App. 55, 454 S.W.3d 279 (2015).

Cited: Vann v. State, 16 Ark. App. 199, 698 S.W.2d 814 (1985); Jones v. State, 52 Ark. App. 179, 916 S.W.2d 766 (1996); Bramucci v. State, 76 Ark. App. 8, 62 S.W.3d 10 (2001); Byrd v. State, 84 Ark. App. 203, 138 S.W.3d 109 (2003); Donovan v. State, 95 Ark. App. 378, 237 S.W.3d 484 (2006).

5-4-308. [Repealed.]

Publisher's Notes. This section, concerning transfer of jurisdiction, was repealed by Acts 2011, No. 570, § 10. The section was derived from Acts 1975, No. 280, § 1207; A.S.A. 1947, § 41-1207.

5-4-309. [Repealed.]

Publisher's Notes. This section, concerning violation of conditions of probation or suspension and arrest, revocation, and sentencing, was repealed by Acts 2011, No. 570, § 11. The section was derived from Acts 1975, No. 280, § 1208; A.S.A. 1947, § 41-1208; Acts 1999, No. 847, § 1; 2003, No. 841, § 1; 2005, No. 1534, § 1; 2009, No. 633, § 3.

5-4-310. [Repealed.]

Publisher's Notes. This section, concerning revocation hearings, was repealed by Acts 2011, No. 570, § 12. The section was derived from Acts 1975, No. 280, § 1209; A.S.A. 1947, § 41-1209.

5-4-311. [Repealed.]

Publisher's Notes. This section, concerning discharge and dismissal, was repealed by Acts 2011, No. 570, § 13. The section was derived from Acts 1975, No. 280, § 1210; 1977, No. 474, § 10; A.S.A. 1947, § 41-1210; Acts 1995, No. 998, § 1; 1999, No. 1407, § 2.

5-4-312. Presentence investigation — Placement in a community correction program.

    1. A court may require that either a presentence investigation be conducted by either the probation officer or presentence investigation officer assigned to the court or that the defense counsel of a defendant, the prosecuting attorney, a probation officer, and other persons whom the court believes have information relevant to the sentencing of the defendant submit to the court the information in writing prior to sentencing.
    2. The presentence investigation or information submitted by the persons described in subdivision (a)(1) of this section shall be forwarded with the commitment order to the circuit clerk and retained in the defendant's case file.
  1. Upon a preliminary determination by a court that a defendant is an eligible offender and that placement in a community correction program under § 16-93-1201 et seq. is proper, the court may:
      1. Suspend the imposition of the sentence or place the defendant on probation, under § 5-4-104, § 5-4-201 et seq., §§ 5-4-301 — 5-4-307, and § 16-93-314.
      2. A sentence under subdivision (b)(1)(A) of this section may be accompanied by assignment to a community correction program under § 16-93-1201 et seq. for a designated period of time commensurate with the goals of the community correction program assignment and the rules established by the Board of Corrections for the operation of community correction programs.
      3. The court shall maintain jurisdiction over the defendant sentenced under subdivision (b)(1)(A) of this section with supervision outside the confines of the specific programming provided by probation officers assigned to the court.
        1. If a person sentenced under subdivision (b)(1)(A) of this section violates any term or condition of his or her sentence or term of probation, revocation of the sentence or term of probation shall be consistent with the procedures established by law for the revocation of suspended imposition of sentence or probation.
        2. Upon revocation as described in subdivision (b)(1)(D)(i) of this section, the court shall determine whether the defendant shall remain under the jurisdiction of the court and be assigned to a more restrictive community correction program, facility, or institution for a period of time or committed to the Division of Correction.
        3. If the defendant is committed to the Division of Correction under subdivision (b)(1)(D)(ii) of this section, the court shall specify if the commitment is for judicial transfer of the defendant to the Division of Community Correction or is a commitment to the Division of Correction;
      1. Commit the defendant to the custody of the Division of Correction for judicial transfer to the Division of Community Correction subject to the following:
        1. That the sentence imposed provides that the defendant shall not serve more than three (3) years of confinement, with credit for meritorious good time, with initial placement in a Division of Community Correction facility; and
        2. That the preliminary placement in the Division of Community Correction facility is conditioned upon the Division of Community Correction's final determination of the defendant's initial and continuing eligibility for Division of Community Correction placement and the defendant's compliance with all applicable rules established by the Board of Corrections for community correction programs.
      2. Post-prison supervision of the defendant shall accompany and follow the community correction program when appropriate; or
      1. Sentence the defendant to the Division of Correction, granting the Division of Correction the ability to administratively transfer the defendant to the Division of Community Correction if the Division of Correction determines that the sentence imposed meets the eligibility requirements for placement in a community correction program under this subchapter and § 16-93-1201 et seq.
      2. Administrative transfer to the Division of Community Correction under subdivision (b)(3)(A) of this section is conditioned upon bed space availability and upon the Division of Community Correction's final determination of the defendant's initial and continuing eligibility for Division of Community Correction placement.
      3. A determination of ineligibility under subdivision (b)(3)(A) of this section by the Division of Community Correction shall result in the immediate return of the defendant to the Division of Correction.
      4. A decision to release a defendant administratively transferred to the Division of Community Correction from the Division of Correction under subdivision (b)(3)(A) of this section is vested solely with the Parole Board.
  2. A defendant may not be excluded from placement in a community correction program under this section based solely on the defendant's inability to speak, read, write, hear, or understand English.
    1. If after receipt of an order directing a defendant to a community correction center, the Division of Community Correction determines that the defendant is not eligible for placement in a community correction program under § 16-93-1201 et seq., the Division of Community Correction shall not admit the defendant but shall immediately notify the prosecuting attorney in writing.
    2. After receipt of the notice required under subdivision (d)(1) of this section, the prosecuting attorney shall notify the court of the defendant's ineligibility for placement in a community correction center, and the court shall resentence the defendant accordingly.

History. Acts 2011, No. 570, § 14; 2015, No. 549, § 1; 2017, No. 423, § 2; 2019, No. 910, §§ 653-655.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “Legislative intent. The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2015 amendment inserted (d)(1) and (2).

The 2017 amendment inserted “a preliminary” in the introductory language of (b); substituted “defendant” for “offender” following “transfer of the” in (b)(1)(D)(iii); substituted “three (3) years” for “two (2) years” in (b)(2)(A)(i); in (b)(2)(A)(ii), substituted “That the preliminary” for “That the initial”, “upon the Department of Community Correction's final determination of the defendant's initial and continuing” for “upon the defendant's continuing”, and “the Board of Corrections” for “the board”; added (b)(3)(A) through (b)(3)(D); and made stylistic changes.

The 2019 amendment substituted “Division of Correction” for “Department of Correction” and “Division of Community Correction” for “Department of Community Correction” throughout (b) and (d).

Research References

Ark. L. Rev.

Mason L. Boling, Legislative Note: That Was the Easy Part: The Development of Arkansas's Public Safety Improvement Act of 2011, and Why the Biggest Obstacle to Prison Reform Remains Intact, 66 Ark. L. Rev. 1109 (2013).

5-4-313. Placement in a drug treatment program — Drug court alternative.

If a judicial district has one (1) or more of the following programs in place at the time of a defendant's sentencing for a felony, a court may sentence the defendant to:

  1. A posttrial treatment program for drug abuse under § 16-98-201; or
  2. Drug court under the Arkansas Drug Court Act, § 16-98-301 et seq.

History. Acts 2011, No. 570, § 14.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided:

“Legislative intent. The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Research References

Ark. L. Rev.

Mason L. Boling, Legislative Note: That Was the Easy Part: The Development of Arkansas's Public Safety Improvement Act of 2011, and Why the Biggest Obstacle to Prison Reform Remains Intact, 66 Ark. L. Rev. 1109 (2013).

5-4-314 — 5-4-319. [Reserved.]

  1. Any person who pleads guilty or nolo contendere or is found guilty in any circuit court of this state of a felony and whose sentence of imprisonment is placed on suspension or who is placed on probation may be ordered by the circuit court to report to an appropriate Division of Correction facility on a date certain to be scheduled by the division for the duration of that work day to observe the operation of the division's facility.
  2. The person convicted of the felony shall bear the cost of transportation to and from the division's facility.

History. Acts 1985, No. 548, § 1; A.S.A. 1947, § 41-1212; Acts 2019, No. 910, § 656.

Amendments. The 2019 amendment, in (a), substituted “Division of Correction” for “Department of Correction”, “division” for “department”, and “division's” for “department's”.

5-4-321. Judgment in certain misdemeanor traffic cases — Postponement.

  1. In a misdemeanor traffic case, other than a case involving driving under the influence of alcohol or a drug, a judge may postpone a judgment for not more than one (1) year, and during the one (1) year period a defendant:
    1. Is in a probation status, supervised or unsupervised; and
    2. Remains in a probation status until a judgment is entered.
  2. At the request of a defendant, parent of a minor defendant, or counsel for a defendant, judgment shall be entered as quickly as feasible and not more than ten (10) days following the request.
  3. At the request of a defendant, parent of a minor defendant, or counsel for a defendant, probation may be continued and judgment postponed for more than one (1) year.

History. Acts 1985, No. 967, §§ 1, 2; A.S.A. 1947, §§ 75-1059, 75-1060; Acts 1987, No. 457, § 1.

Publisher's Notes. Acts 1985, No. 967, §§ 1, 2, are also codified as §§ 27-50-701, 27-50-702.

5-4-322. District court or city court — Probation — Fees and fines authorized.

    1. A district court or city court may:
      1. Place a defendant on probation or sentence him or her to public service work; and
      2. As a condition of its order, require the defendant to pay a:
        1. Fine in one (1) or several sums; and
        2. Probation fee or a public service work supervisory fee in an amount to be established by the district court or city court.
      1. The broad objective of probation is to educate and rehabilitate a person placed on probation.
      2. A condition for probation shall bear a reasonable relationship to the offense committed or to future criminality and be reasonably necessary to assist the defendant in leading a law-abiding life.
      1. A condition of probation shall be closely monitored and supervised by the district court or city court or by a probation officer.
      2. The district court or city court shall determine if a condition of probation is in compliance with the provisions of subdivision (a)(2) of this section.
    1. This section regarding probation and probation fees does not apply when the defendant is charged with violating the Omnibus DWI or BWI Act, § 5-65-101 et seq., or the Underage DUI or BUI Law, § 5-65-301 et seq.
    2. When the defendant is charged with violating the Omnibus DWI or BWI Act, § 5-65-101 et seq., the district court may require the defendant to pay a public service work supervisory fee in an amount to be established by it if the district court orders public service in lieu of jail under § 5-65-111.
    3. When the defendant is charged with violating the Underage DUI or BUI Law, § 5-65-301 et seq., the district court may require the defendant to pay a public service work supervisory fee in an amount to be established by it for any public service work ordered by the district court.
  1. This section is supplemental to any other law allowing a district court or city court to attach a condition on an order of probation.
    1. Except as provided in subsection (e) of this section, no district court or city court may impose a probation fee in any case in which the only sentence available is a monetary fine, court costs, or if applicable, restitution.
    2. In a case described in subdivision (d)(1) of this section, a defendant may be given time to make the payments, and the installment payment fee in § 16-13-704 is the only fee authorized for administering those accounts.
    3. If the sentence available includes imprisonment, probation and probation fees may be ordered in lieu of imprisonment.
  2. If a fine is an authorized sentence, the fine may be suspended and probation and a probation fee may be ordered in lieu of the fine.
    1. A probation fee shall be collected in full for each month in which a defendant is on probation.
    2. The probation fee shall accrue for each month that a defendant does not make a payment and the defendant remains on probation as ordered by the district court or city court.

History. Acts 1991, No. 190, § 1; 1993, No. 777, § 1; 2001, No. 1809, § 4; 2003, No. 1765, § 2; 2005, No. 2239, § 1; 2015, No. 299, § 3.

Amendments. The 2015 amendment, in (b)(1), inserted “or BWI” preceding “Act” and “or BUI” following “DUI”; in (b)(2), inserted “or BWI,” deleted “or city court” preceding “may require,” deleted “or city court” preceding “orders,” and substituted “under” for “pursuant to”; and, in (b)(3), inserted “or BUI,” deleted “or city court” preceding “may require,” and deleted “or city court” at the end.

Case Notes

Judicial Immunity.

In a private probation company's 42 U.S.C. § 1983 action, stemming from two Craighead County district court judges’ implementation of an amnesty program forgiving probation fees, the judges were entitled to judicial immunity because such action was related to district courts’ authorized functions; Arkansas law provided that the district courts had jurisdiction to modify or dismiss probation sentences and conditions of misdemeanor offenders. Justice Network Inc. v. Craighead Cty., 931 F.3d 753 (8th Cir. 2019).

5-4-323. Additional conditions — High school diploma or high school equivalency diploma — Employment training.

    1. As an additional requirement for suspension of sentence or probation, a court may require any person who is sentenced for a felony or a Class A misdemeanor to make a good faith effort toward completion of a high school diploma or a high school equivalency diploma approved by the Adult Education Section unless the person has already achieved a high school diploma or a high school equivalency diploma.
    2. The additional requirement under subdivision (a)(1) of this section shall be implemented only:
      1. After the appropriate school or adult education program has received notice from the court at least ten (10) working days prior to the person's making application to enroll so as to allow a school or adult education program official to review the person's educational records; and
      2. Upon the acceptance of the person by the administrative head of the school or adult education program.
    3. If no appropriate school or adult education program can be found, the additional requirement under subdivision (a)(1) of this section is of no effect.
    4. In the alternative, the court may allow the defendant to pursue a prescribed course of study or vocational training approved by the court that is designed to equip him or her for suitable employment.
      1. After consultation with the school or the adult education program, the court shall determine the appropriate documentation for a person participating under a provision of this section and shall report any documentation of school or adult education program participation on a quarterly basis to the Administrative Office of the Courts.
      2. The office shall then report to the Adult Education Section.
    1. Unless the person is employed or has a skill that will facilitate immediate employment, the court may require any person sentenced for a felony or a Class A misdemeanor to make a good faith effort toward obtaining gainful employment by participating in an appropriate employment training program as an additional requirement for suspension of sentence or probation.
      1. The additional requirement under subdivision (b)(1) of this section shall be implemented by the person's reporting to the local workforce center for registration, intake, and employability skills assessment.
      2. If the person is on probation, the additional requirement under subdivision (b)(1) of this section shall be accomplished in conjunction with the probation officer.
      3. In addition to the employability skills assessment, the person shall register for employment with the local workforce center and upon obtaining employment shall communicate the event to the:
        1. Court if on suspension of sentence; or
        2. Probation officer if on probation.
  1. As used in this section, “good faith effort” means a person:
    1. Has been enrolled in a program of instruction leading to a high school diploma or a high school equivalency diploma and is attending a school or an adult education course; or
    2. Is registered for employment and enrolled and participating in an employment-training program with the purpose of obtaining gainful employment.
  2. A person who fails to make a good faith effort to comply with a court order issued under this section upon conviction is guilty of a violation and shall be punished by a fine of at least one hundred dollars ($100) but not more than one thousand dollars ($1,000).

History. Acts 1991, No. 857, § 1; 1993, No. 343, § 1; 1993, No. 1267, § 1; 1994 (2nd Ex. Sess.), No. 30, § 4; 1994 (2nd Ex. Sess.), No. 31, § 4; 1999, No. 1323, § 2; 2003, No. 1006, § 1; 2007, No. 827, § 14; 2011, No. 570, §§ 15-17; 2015, No. 1115, § 1; 2019, No. 910, §§ 132, 133.

A.C.R.C. Notes. Identical Acts 1994 (2nd Ex. Sess.), Nos. 30 and 31, § 5, provided:

“The Department of Vocational Education shall promulgate emergency rules and regulations to implement the provisions of this act relative to adult education within ten (10) days from and after its passage and approval.”

Acts 2011, No. 570, § 1, provided:

“Legislative intent. The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2011 amendment deleted former (c) and redesignated the remaining subsections accordingly; substituted “As used in this section, ‘Good faith effort’” for “‘A good faith effort’” in the introductory paragraph of (c).

The 2015 amendment substituted “high school equivalency diploma” for “general education development certificate” throughout the section; and substituted “high school equivalency diploma approved by the Department of Career Education” for “general education development certificate” in (a)(1).

The 2019 amendment substituted “Adult Education Section” for “Department of Career Education” in (a)(1) and (a)(5)(B).

Case Notes

Good Faith Effort.

Whether a good faith effort has been made is a question of fact to be determined by the trial judge. Ramsey v. State, 60 Ark. App. 206, 959 S.W.2d 765 (1998).

The fact that the defendant had been truant once, tardy twice and suspended for ten days from school, all within a period of less than a month, was sufficient proof of his lack of a good faith effort to obtain his high-school diploma or GED in violation of his probation. Ramsey v. State, 60 Ark. App. 206, 959 S.W.2d 765 (1998).

Subchapter 4 — Imprisonment

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Effective Dates. Acts 1983, No. 409, § 6: July 1, 1983. Emergency clause provided: “It is hereby determined by the General Assembly that certain criminal sentencing statutes are in need of immediate clarification for the more efficient administration of justice in this State. Therefore, an emergency is hereby declared to exist, and this Act, being necessary for the preservation of the public peace, health and safety, shall be in full force and effect from and after July 1, 1983.”

Acts 1985, No. 982, § 3: Apr. 15, 1985. Emergency clause provided: “It is hereby found and determined by the General Assembly that the problem of drug abuse in this State is increasing at an alarming rate and that additional provisions are needed to assist in enforcement of the provisions of Acts 306 and 417 of 1983. This Act is immediately necessary to provide such enforcement assistance for the protection of the public health and safety and therefore should be given effect immediately. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

Research References

ALR.

Work-release or “hardship” sentences: Computation of incarceration time under. 28 A.L.R.4th 1265.

Am. Jur. 21A Am. Jur. 2d, Crim. L., § 972 et seq.

C.J.S. 24 C.J.S., Crim. L., § 1582 et seq.

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Law, 1 U. Ark. Little Rock L.J. 153.

Legislative Survey, Criminal Law, 8 U. Ark. Little Rock L.J. 559.

Legislative Survey, Juvenile Law, 8 U. Ark. Little Rock L.J. 591.

5-4-401. Sentence.

  1. A defendant convicted of a felony shall receive a determinate sentence according to the following limitations:
    1. For a Class Y felony, the sentence shall be not less than ten (10) years and not more than forty (40) years, or life;
    2. For a Class A felony, the sentence shall be not less than six (6) years nor more than thirty (30) years;
    3. For a Class B felony, the sentence shall be not less than five (5) years nor more than twenty (20) years;
    4. For a Class C felony, the sentence shall be not less than three (3) years nor more than ten (10) years;
    5. For a Class D felony, the sentence shall not exceed six (6) years; and
    6. For an unclassified felony, the sentence shall be in accordance with a limitation of the statute defining the felony.
  2. A defendant convicted of a misdemeanor may be sentenced according to the following limitations:
    1. For a Class A misdemeanor, the sentence shall not exceed one (1) year;
    2. For a Class B misdemeanor, the sentence shall not exceed ninety (90) days;
    3. For a Class C misdemeanor, the sentence shall not exceed thirty (30) days; and
    4. For an unclassified misdemeanor, the sentence shall be in accordance with a limitation of the statute defining the misdemeanor.

History. Acts 1975, No. 280, § 901; 1977, No. 474, § 3; 1981, No. 620, § 8; 1983, No. 409, § 2; A.S.A. 1947, § 41-901.

Research References

ALR.

Downward departure under state sentencing guidelines permitting downward departure for defendants with significantly reduced mental capacity, including alcohol or drug dependency. 113 A.L.R.5th 597.

Construction and Application of Rule Announced in Miller v. Alabama that Sentences of Life Without Parole for Persons Under 18 at Time of Committing Homicide Offense Violate Eighth Amendment If Mandatory and Imposed Without Considering Youth-Related Factors. 16 A.L.R.7th Art. 4 (2015).

Ark. L. Rev.

Case Note, Criminal Liability for Attempting to Inflict the AIDS Virus: Possibilities in Arkansas' Future, 45 Ark. L. Rev. 505.

U. Ark. Little Rock L.J.

Legislation of the 1983 General Assembly, Criminal Law, 6 U. Ark. Little Rock L.J. 613.

Survey — Criminal Law, 10 U. Ark. Little Rock L.J. 559.

Survey — Criminal Procedure, 10 U. Ark. Little Rock L.J. 567.

Survey — Probate, 10 U. Ark. Little Rock L.J. 599.

Notes, Criminal Law — Child Abuse Resulting in Death — Arkansas Amends its First Degree Murder Statute, 10 U. Ark. Little Rock L.J. 785.

Annual Survey of Caselaw, Criminal Procedure, 26 U. Ark. Little Rock L. Rev. 885.

Case Notes

In General.

Sentencing in Arkansas is entirely a matter of statute. State v. Freeman, 312 Ark. 34, 846 S.W.2d 660 (1993).

Granting of the inmate's petition for postconviction relief was inappropriate because the circuit court failed to make the required finding under Strickland's prejudice prong since a defendant who received a sentence less than the maximum sentence for the offense could not show prejudice from the sentence itself. The maximum sentence that the inmate could have received for the offense of first-degree battery was 20 years and a $15,000 fine; she received 180 months in prison and a fine of $7,500. State v. Smith, 368 Ark. 620, 249 S.W.3d 119 (2007).

Construction.

When a defendant is facing his third violent felony conviction, his “third strike,” a defendant will receive a harsher sentence under § 5-4-501(d) than he would have otherwise received under this section. Nahlen v. State, 330 Ark. 1, 953 S.W.2d 877 (1997).

Because Class D felonies are the only classified felonies that do not have a specified lower limit for sentencing, “zero” was held to be the lower limit of the sentencing range for a Class D felony. Slaughter v. State, 69 Ark. App. 65, 12 S.W.3d 240 (2000).

While it is true that a term of zero years in prison or a fine of zero dollars are, strictly speaking, no imprisonment and no fine, the terms “up to” and “not exceeding,” as used in Ark. Code Ann. § 5-4-401(a)(5), includes zero when no lower limit is set. Because courts strictly construe criminal statutes and resolve any doubt in favor of the defendant, it only follows that a sentencing range which allows for a term of imprisonment “up to” a set number of years or a fine “not exceeding” a set amount includes zero. Donaldson v. State, 370 Ark. 3, 257 S.W.3d 74 (2007).

Applicable Law.

The reclassification of an offense from one class of felony to another was a substantive change in the law and that those charged with the offense after the effective date of the amendment should be tried under the substantive law in effect when the crime was committed. Smith v. State, 277 Ark. 64, 639 S.W.2d 348 (1982); Young v. State, 14 Ark. App. 122, 685 S.W.2d 823 (1985).

Revocation of defendant's probation and sentence of eight years imprisonment was proper where the State met its burden of proof for a conviction of a felon in possession of a firearm, a Class B felony; because defendant's conviction on the Class B level was not illegal on its face, the trial court did not impose an illegal sentence upon him when resentencing him after his probation revocation, notwithstanding any possible confusion of the trial court's intent concerning which felony level. Timmons v. State, 81 Ark. App. 219, 100 S.W.3d 52 (2003).

Applicable Range.

Defendant was sentenced to six years' imprisonment for Class D possession of marijuana, but as there was no evidence that he was sentenced as a habitual offender, the applicable range was zero to six years. Reed v. State, 2013 Ark. App. 432 (2013), aff'd, 2014 Ark. App. 10 (2014).

While it appeared the attorneys were under the impression that defendant's exposure was within the sentencing range of the habitual-offender statute, nothing showed he was sentenced as a habitual offender, and therefore the applicable sentencing range for his Class C felonies was three to 10 years. Reed v. State, 2013 Ark. App. 432 (2013), aff'd, 2014 Ark. App. 10 (2014).

Conditions of probation signed by defendant warned him that any violation could result in a sentence of up to 10 years' imprisonment, and because he was sentenced within the range allowed by the applicable statutes, the revocation and sentence were affirmed. Leal v. State, 2014 Ark. App. 673 (2014).

Defendant's sentence for manslaughter was illegal on its face, as the judgment reflected a sentence of zero years' imprisonment for the manslaughter conviction, a Class C felony, which required a three-year minimum; however, as the State did not file a notice of appeal or of cross-appeal, the legality of the manslaughter sentence could not be considered. Blackwell v. State, 2015 Ark. App. 96, 455 S.W.3d 848 (2015).

Attempted Capital Murder.

Since statutory law regarding conviction for attempted capital murder only allowed for a 30-year sentence, defendant's sentence on that charge had to be modified so that a 30-year sentence, and not the 40-year original sentence, could be imposed. Flowers v. Norris, 347 Ark. 760, 68 S.W.3d 289 (2002).

During a trial for attempted first-degree murder, defendant was not entitled to a mistrial based on the prosecutor's questions to a witness during the sentencing phase of the trial about blood stains on the bridge; defendant failed to request a cautionary instruction. He could not show prejudice, because his twenty-eight-year sentence was within the statutory range set forth in subdivision (a)(2) of this section for a Class A felony and less than the maximum sentence within the statutory range. Jones v. State, 2009 Ark. App. 135 (2009).

Due Process.

Where defendant was sentenced under the 1983 amended version of the Arkansas habitual offender statute not in force when he committed his crime, and which on its face did not apply to him, there was a violation of the ex post facto clause of the Constitution, denying him due process. Jones v. Arkansas, 929 F.2d 375 (8th Cir. 1991).

Because defendant was unable to show that he was prejudiced by his 40 year sentence for first-degree murder, as it was less than the maximum possible sentence for his conviction, the court did not consider his claim that his due process rights were violated by the admission of a photographic history of the victim's life during sentencing. Tate v. State, 367 Ark. 576, 242 S.W.3d 254 (2006).

Evidence.

Because defendant was sentenced to the minimum sentence on the first count of commercial burglary and to probation on the remaining counts, he could not establish prejudice from the introduction of evidence during sentencing of his marijuana use. Gillean v. State, 2015 Ark. App. 698, 478 S.W.3d 255 (2015).

Factors Considered.

Since this section allows the punishment to range from minimum term to a maximum term of years, vesting great discretionary latitude in the jury, the legislature intended for the jury to consider all the aggravating and mitigating circumstances shown by the evidence, else there would be no basis for the exercise of discretion. Hunter v. State, 264 Ark. 195, 570 S.W.2d 267 (1978).

The nature of the prior felony and the facts surrounding the incident leading to defendant's arrest do reflect on the seriousness of the crime and are relevant in the determination of sentence, and if these factors were not meant to be considered in sentencing, the General Assembly could have provided for imprisonment for a definite term upon conviction of a felon for possession of a firearm rather than allowing the jury to impose any sentence not in excess of five years. Combs v. State, 270 Ark. 496, 606 S.W.2d 61 (1980).

Habitual Offenders.

The use of the word “may” in this section and § 5-4-501 does not mean that, in all habitual offender cases, the provisions of both sections are available and that the court is required to choose from those two statutes; the sentences for habitual offenders are governed by § 5-4-501, and the minimum sentences for habitual offenders are different than for persons who have not been convicted of two or more felonies. Rogers v. State, 10 Ark. App. 19, 660 S.W.2d 949 (1983).

Illegal Sentences.

Sentences imposed upon revocation of defendant's suspended imposition of sentences were illegal because there was no evidence in the record that defendant was convicted and sentenced as a habitual offender and the sentences imposed by the trial court exceeded the statutory range. Reed v. State, 2014 Ark. App. 10 (2014).

Juveniles.

Juvenile's capital-murder sentence of life without parole under § 5-10-101(c) was unconstitutional; the case was remanded for resentencing under the discretionary range for a Class Y felony, under subdivision (a)(1) of this section, after a sentencing hearing at which the juvenile could present mitigating evidence to a jury. Whiteside v. State, 2013 Ark. 176, 426 S.W.3d 917 (2013), cert. denied, Whiteside v. Arkansas, — U.S. —, 134 S. Ct. 311, 187 L. Ed. 2d 220 (2013).

When defendant sought a resentencing hearing under Miller after being sentenced to life imprisonment without the possibility of parole for a murder committed in 1986 when defendant was a juvenile, it was error to deny the request and resentence defendant to life imprisonment with the possibility of parole after 30 years based on the Fair Sentencing of Minors Act of 2017 (FSMA); the FSMA did not apply for the reasons stated in Harris v. State, 2018 Ark. 179, and Robinson v. State, 2018 Ark. 353. Segerstrom v. State, 2019 Ark. 36, 566 S.W.3d 466 (2019).

In accord with Harris v. State, 2018 Ark. 179. Circuit court erred in applying the Fair Sentencing of Minors Act of 2017 (FSMA) to defendant juvenile's case because defendant committed his crime before the effective date of the FSMA, and thus, the penalty provisions did not apply; defendant was entitled to a hearing to present evidence for consideration and sentencing within the discretionary range for a Class Y felony, which was 10 to 40 years or life. Ray v. State, 2019 Ark. 46, 567 S.W.3d 63 (2019).

Modification of Sentence.

While the Supreme Court may reduce a sentence which results from passion or prejudice or is an abuse of the jury's discretion, it is not empowered to reduce a sentence which is within the statutory limits in the absence of error in the proceeding, simply because it might think the sentence to be excessive since to do so would not only be an act of clemency but would be a substitution of the judgment of a group of appellate judges who had not seen or heard the parties and witnesses for the judgment of a jury and a trial judge who had done so. Stout v. State, 263 Ark. 355, 565 S.W.2d 23 (1978).

Where the trial court's errors could have improperly influenced the jury in its setting of the sentence, the Court of Appeals affirmed the conviction but reduced the sentence to the minimum the jury could have given for the offense of which the defendant was convicted. Philmon v. State, 267 Ark. 1121, 593 S.W.2d 504 (1980).

Where the sentence was within the lawful maximum for the offense and was unaffected by any demonstrated error in the trial, the Supreme Court had no authority to modify the sentence. Lear v. State, 278 Ark. 70, 643 S.W.2d 550 (1982).

Where the defendant was originally sentenced to 50 years with 15 years suspended for a Class Y felony, the trial judge was right to modify the sentence to 35 years, but the defendant was not entitled to the 15 years suspended under the original sentence. Campbell v. State, 288 Ark. 213, 703 S.W.2d 855 (1986).

Defendant's conviction for simultaneous possession of drugs and a firearm constituted a Class Y felony for which no part of her sentence could be suspended pursuant to Ark. Code Ann. § 5-4-301(a)(1)(C); therefore, the trial court erred when it suspended 7 years of defendant's 10-year sentence. State v. Hardiman, 353 Ark. 125, 114 S.W.3d 164 (2003).

Although defendant's Class C felony conviction for theft by receiving in excess of $500.00 could not stand, defendant did not challenge the sufficiency of the evidence showing that he was generally guilty of theft by receiving and, as the value of the stolen generator was at most $499.99, defendant still stood convicted of a Class A misdemeanor; accordingly, his conviction was modified to reflect the maximum sentence for a Class A misdemeanor of one year, with credit for any time defendant had already served. Russell v. State, 367 Ark. 557, 242 S.W.3d 265 (2006).

Upon the revocation of defendant's probation for eight violations of the Arkansas Hot Check Law, the trial court was authorized under §§ 5-4-301(d)(2) and 5-4-309(f)(1)(A) to modify the original order and impose multiple sentences of imprisonment to be served consecutively in accordance with Ark. Code Ann. § 5-4-403(a). The trial court did not err by sentencing defendant to twenty years in prison each on four hot-check counts to run consecutively and ten years in prison each on the other felony hot-check counts to run concurrently; the sentences were within the parameters authorized for multiple felony convictions under this section. Maldonado v. State, 2009 Ark. 432 (2009).

Where defendant's conviction for aggravated residential burglary under § 5-39-204 was reversed because there was insufficient evidence that defendant attempted to inflict a serious physical injury and defendant did not dispute that residential burglary under § 5-39-201 was proven, his 40-year sentence was modified to the maximum allowed for residential burglary, a Class B felony, which was 20 years' imprisonment. Inskeep v. State, 2016 Ark. App. 135, 484 S.W.3d 709 (2016).

Multiple Penalty Statutes.

If the general assembly specifically authorizes cumulative punishment under two statutes, regardless of whether those two statutes proscribe the same conduct, the trial court may impose cumulative punishment in a single trial. Jernigan v. State, 38 Ark. App. 102, 828 S.W.2d 864 (1992).

When two punishment statutes exist, a court is not prevented from using the more stringent provision. Jernigan v. State, 38 Ark. App. 102, 828 S.W.2d 864 (1992).

Optional or Mandatory Sentences.

Inasmuch as the assessment of penalties is optional with the jury, it was reversible error for the trial court to submit a verdict form which indicated that the assessment of penalties was mandatory in case of a verdict of guilty. Bolden v. State, 262 Ark. 718, 561 S.W.2d 281 (1978).

Where statute's sentencing provisions are mandatory and imprisonment is required, such a sentence cannot be reduced or suspended by the judge. Lovell v. State, 283 Ark. 434, 681 S.W.2d 395 (1984).

Postconviction Proceedings.

Where appellant entered negotiated pleas of guilty to kidnapping under § 5-11-102 and additional charges, he was sentenced to 120 months' in prison with an additional 120-month suspended sentence; appellant was not entitled to postconviction relief under Ark. R. Crim. P. 37.1, because he could not prove that counsel failed to advise him of a possible life sentence under this section. On the record, counsel indicated that he had advised appellant that he could be subject to a life sentence if he violated the terms of the suspended sentence. French v. State, 2009 Ark. 443 (2009).

Trial court properly denied defendant's motion for postconviction relief because the evidence showed that defendant's guilty pleas were made on the advice of competent counsel; had defendant not pled guilty, defendant potentially faced up to life in prison for each rape offense and up to 10 years in prison for a failure-to-appear offense, pursuant to subdivisions (a)(1) and (4) of this section. Henson v. State, 2011 Ark. 375 (2011).

Prejudice.

Defendant failed to show prejudice resulting from the admissibility of his juvenile criminal record at sentencing because defendant could have been sentenced to a total of 30 years, but was sentenced to 12 years' imprisonment, followed by 18 years' suspended imposition of sentence; therefore, defendant received a sentence short of the maximum sentence and was not prejudiced from the sentence itself. Johnson v. State, 2010 Ark. App. 606, 378 S.W.3d 152 (2010), review denied, — Ark. —, — S.W.3d —, 2010 Ark. LEXIS 486 (Oct. 21, 2010).

Defendant received 17 years in prison for second-degree sexual assault, which was within the statutory range; because defendant could not establish a sentencing phase error as a matter of law, the appellate court was not required to address whether the circuit court erred in admitting certain evidence. Holley v. State, 2014 Ark. App. 557, 444 S.W.3d 884 (2014).

Propriety of Sentence.

Evidence sufficient to find that it could not be said that the punishment resulted from passion or prejudice or that the jury abused its discretion, and such sentence was not so wholly disproportionate to the crime as to shock the moral sense of the community. Stout v. State, 263 Ark. 355, 565 S.W.2d 23 (1978).

Where sentence was within the permissible maximum, it was therefore not excessive. Hunter v. State, 264 Ark. 195, 570 S.W.2d 267 (1978).

Supreme Court upheld the sentence as within the limits fixed by this section even though the court might have thought it to be unduly severe. Jennings v. State, 268 Ark. 216, 594 S.W.2d 855 (1980).

Where defendant who, on another charge, had previously had execution of his sentence suspended and had been placed on probation was again charged and convicted of an offense, the trial court did not err in sentencing him on the revocation of probation or suspended sentence to more time than the term of his probation. Jefferson v. State, 270 Ark. 909, 606 S.W.2d 592 (1980).

Sentence did not constitute cruel and unusual punishment, since the sentence was within the limits imposed by statute; the fact that punishment is severe does not make it cruel or unusual. Conti v. State, 10 Ark. App. 352, 664 S.W.2d 502 (1984).

Sentencing of defendant to five years imprisonment for each of five counts of sexual abuse in the first degree was within the statutory range and the Supreme Court would not review defendant's contention that the sentences given for the separate counts were excessive. Cupit v. State, 324 Ark. 438, 920 S.W.2d 853 (1996).

Sentencing range of 10 years to 40 years or life was the appropriate range for aggravated robbery by a person who was not a habitual offender notwithstanding that the defendant asserted he was erroneously identified by the trial court as a habitual offender. Love v. State, 324 Ark. 526, 922 S.W.2d 701 (1996).

Subdivision (a)(1) of this section authorized a sentence of ten to forty years or life in prison for a Class Y felony, which rape was considered to be, and § 5-4-403(a) allowed a court to impose consecutive sentences for multiple convictions; thus, defendant's sentence was not unduly harsh. Simmons v. State, 95 Ark. App. 114, 234 S.W.3d 321 (2006).

Trial court's decision to permit the introduction of evidence relating to defendant's criminal history during the sentencing phase of his trial was consistent with the mandates of § 16-97-103; at sentencing, under subdivision (a)(1) of this section, defendant was subjected to the normal ranges of Class A and Y felonies as opposed to the enhanced ranges designated for habitual offenders. Defendant actually received the minimum sentences allowed on two of his four convictions and less than the maximum on the other two and, under § 5-4-403, his sentences were ordered to run concurrently rather than consecutively, as they could have; thus, defendant not only failed to establish a threshold evidentiary error supporting reversal, but he also failed to show that he suffered prejudice during sentencing. Wilson v. State, 100 Ark. App. 14, 262 S.W.3d 628 (2007).

Trial judge did not err in denying defendant's motion to recuse on the ground that the judge knew his fiancee's parents because defendant failed to show bias; defendant's 20-year sentences for two counts of possession of methamphetamine with intent to deliver did not include a possession of drug paraphernalia conviction for which defendant could have received up to 20 years in prison under subdivision (3) of this section and § 5-64-403(c)(5)(A). Rudd v. State, 2010 Ark. App. 784 (2010).

In a case where probation was revoked, a 20-year sentence for Class B felony kidnapping was not improper since it was authorized under subdivision (a)(3) of this section; the appellate court was unable to reduce a sentence within the range of punishment contemplated by the Arkansas Legislature. Moreover, since appellant failed to object to the sentence imposed, he was unable to argue on appeal that the trial court erred by failing to consider alternatives to the 20-year sentence. Pfeifer v. State, 2012 Ark. App. 556 (2012).

Inmate's appeal of the denial of the inmate's petition to correct an illegal sentence, pursuant to § 16-90-111, was dismissed because (1) Ark. R. Crim. P. 37.2(b) said all postconviction relief grounds cognizable under Ark. R. Crim. P. 37.1 had to be raised in a Rule 37.1 petition filed within 90 days of the date of judgment when a defendant pled guilty, even though § 16-90-111 let a trial court correct an illegal sentence at any time, as the statute was superseded to the extent the statute conflicted with the Rule's time limits, (2) the petition was filed over six years after judgment was entered, (3) the time limits in Ark. R. Crim. P. 37.2 were jurisdictional, denying a trial court jurisdiction if the time limits were not met, and, on appeal, a reviewing court, and (4) the inmate's sentence was within the prescribed statutory ranges in § 5-4-501(b)(2)(A) and subdivision (b)(1) of this section. Redus v. State, 2013 Ark. 9 (2013).

Circuit court erred by denying appellant juvenile's petition for writ of habeas corpus; because he was only fourteen years old when he committed capital-murder and aggravated-robbery, his mandatory sentence of life imprisonment without parole violated the Eighth Amendment, U.S. Const. amend. VIII. In considering the capital-murder statute as it pertained to juveniles, the Supreme Court of Arkansas severed portions of § 5-10-101(c) which provided that capital murder was punishable by death or life imprisonment without parole; instead, the offense was subject to a punishement range for a Class Y felony under subdivision (a)(1) of this section of not less than ten years and not more than forty years, or life. Jackson v. Norris, 2013 Ark. 175, 426 S.W.3d 906 (2013).

Counsel was allowed to withdraw, because the appeal was wholly without merit, when the petitioner's sentence was appropriate; the petitioner was sentenced to ten years' incarceration on each charge to be run consecutively, for a total of twenty years, and the sentence was within the sentencing range for a Class B felony. Fritts v. State, 2013 Ark. App. 404 (2013).

Because defendant was sentenced in excess of the statutory amount for the two Class C offenses, there was an argument that the sentences were illegal. Reed v. State, 2013 Ark. App. 432 (2013), aff'd, 2014 Ark. App. 10 (2014).

While on its face, the 2011 sentence was within the statutory range, in 2008 he was sentenced to two years' imprisonment and later released, and thus the maximum imprisonment sentence he could receive upon revocation in 2011 was four years, and thus there was an argument that this sentence was illegal. Reed v. State, 2013 Ark. App. 432 (2013), aff'd, 2014 Ark. App. 10 (2014).

Defendant’s probation revocation sentence of 14 years in prison was proper because (1) Acts 1999, No. 1569 was in effect when the crimes were committed, so the trial court could impose any sentence originally available, (2) a maximum sentence of 20 years was originally available, and (3) defendant had served six years. Walden v. State, 2014 Ark. 193, 433 S.W.3d 864 (2014).

Defendant’s four-year suspended imposition of sentence on probation revocation was proper because (1) Acts 1999, No. 1569 was in effect when the crimes were committed, so the trial court could impose any sentence originally available, (2) a maximum sentence of 10 years was originally available, and (3) defendant had served six years. Walden v. State, 2014 Ark. 193, 433 S.W.3d 864 (2014).

Prosecutor was entitled to defend herself and defendant could not show prejudice from the prosecutor's rebuttal, given that for aggravated robbery, he could have received up to a 40-year prison term, yet he received the minimum sentence of 10 years, and for his theft conviction, he could have received up to a six-year prison term or a fine up to $10,000 or both, and he received no prison time and was ordered only to pay a $250 fine. Delatorre v. State, 2015 Ark. App. 498, 471 S.W.3d 223 (2015).

Sentence of 119 months for failure to appear was not an abuse of discretion, it was clear from the trial court's ruling that the severity of the sentence that defendant received was due to the seriousness of the circumstances surrounding the offense and there was no indication that defendant was being punished for offenses for which he was not convicted or that his sentence was a result of passion or prejudice. Whittier v. State, 2015 Ark. App. 536 (2015).

Imposing 20 days' incarceration on a wife who admittedly violated a divorce decree requiring her to notify the court before spending her daughter's funds was not an abuse of discretion where the wife admittedly and repeatedly violated a known court order over several years, and the court could have imposed up to 30 days' of incarceration under subdivision (b)(3) of this section. Coleman v. Coleman, 2016 Ark. App. 324, 497 S.W.3d 688 (2016).

Defendant's sentence for 26 years for residential burglary and theft of property worth more than $1,000 but less than $5,000 was not excessive because, while at the maximum, the sentence was within the statutory range. Bass v. State, 2019 Ark. App. 407 (2019).

Ranges.

Waiver form provided that defendant was facing sentences for up to 15 years, which range clearly showed the enhanced sentencing range, as ordinarily the range was not to exceed six years for a Class D felony, plus the circuit court directly referenced the enhanced punishment ranges and asked defendant if he understood the same; the waiver ensured that defendant understood that, if found guilty, he was to be sentenced by the circuit court, and his waiver was valid. Johns v. State, 2014 Ark. App. 560, 444 S.W.3d 873 (2014).

Under Arkansas law, possession of a firearm by a felon is at most a class B felony, punishable by no more than 20 years. Unless the flight causes serious physical injury to another, fleeing by vehicle is at most a class D felony, punishable by up to six years. United States v. Thomas, 790 F.3d 784 (8th Cir. 2015).

Defendant's sentence for second-degree assault against a family member was modified to 90 days, to be served concurrently with his 15-year sentence for the burglary, because the trial court erred in sentencing him to one year of imprisonment since the sentence could not exceed 90 days. Davis v. State, 2015 Ark. App. 234, 459 S.W.3d 821 (2015).

In a case involving drugs and weapons offenses, it was error to allow a video of law enforcement officers firing a weapon found in the search of the home to be played for the jury and admitted into evidence because it was not relevant to any of the specific offenses charged since the offenses did not require that the weapon be fireable; however, the error was harmless because the evidence against defendant was overwhelming and defendant's sentences fell within the statutory sentence ranges. Gutierrez v. State, 2015 Ark. App. 516, 472 S.W.3d 147 (2015).

Right to Jury Trial.

Wife was not entitled to a jury trial after the circuit court found her in indirect criminal contempt because there was no dispute that the sentence imposed on the wife was less than six months and that the misdemeanor statute did not authorize a sentence in excess of six months, and there was nothing to indicate from the court's colloquy with the wife's counsel that the court contemplated imposing a sentence greater than six months. Damron v. Damron, 2019 Ark. App. 160, 574 S.W.3d 166 (2019).

Stacking.

State v. Lawson, 295 Ark. 37, 746 S.W.2d 544 (1988), prohibits “stacking” of specific subsequent-offense penalty enhancements like the one in the driving while impaired statute, which operates to convert a misdemeanor to a felony because of multiple recurrences of the same underlying offense within a specified period of time; the Court of Appeals of Arkansas, Division One, declines to expand Lawson past that boundary. Therefore, there was no impermissible stacking of a specific firearm enhancement statute for a felon in possession of a firearm under § 5-73-103(c)(1) with the general habitual-offender enhancement statute under subdivision (b)(2)(C) of this section; § 5-73-103(c)(1) did not contain an enhancement for recidivism, there was no greater sentence than if either statute was applied singly, and the designation of the possession offense as a Class B felony was not an enhancement. Moore v. State, 2012 Ark. App. 662 (2012).

Suspension or Probation.

The proper sentence for rape, a Class Y felony under § 5-14-102(a)(1)(2), was 10 to 40 years imprisonment, or life under § 5-4-401(a)(1); probation was not a sentence option. State v. Pinell, 353 Ark. 129, 114 S.W.3d 175 (2003).

Trial court erred in imposing a 10-year sentence for defendant's terroristic threatening conviction after his probation was revoked because the terroristic threatening conviction was a Class D felony and was punishable by a maximum sentence of six years' imprisonment. Turner v. State, 88 Ark. App. 40, 194 S.W.3d 225 (2004), overruled in part, Bush v. State, 90 Ark. App. 373, 206 S.W.3d 268 (2005).

Where appellant had been sentenced to five years' probation and fined for first-degree sexual abuse, a trial court properly sentenced him to 10 years in prison upon revocation of probation under § 5-4-309(f) because appellant could have originally received that term under §§ 5-14-108, 5-4-401(a)(4) and there had been no sentence imposed that had been improperly modified under §§ 5-4-301(d) (1997), or 16-93-402(e). Rickenbacker v. Norris, 361 Ark. 291, 206 S.W.3d 220 (2005).

Circuit court did not err in revoking defendant's suspended sentence and probation and in sentencing him to 197 months imprisonment with forty-seven months suspended because the circuit court was within its authority to revoke the original sentences and prescribe the resulting sentence and was also within its authority to run the prescribed sentences consecutively when the prescribed sentence in the first case, thirty months with an additional forty-seven months' suspended, was within the circuit court's authority; because defendant was convicted of a Class C felony, the circuit court could have originally sentenced him to ten years' imprisonment for failure to appear pursuant to subdivision (a)(4) of this section, the sentence imposed as a result of revocation in the second case did not exceed the statutory maximum for the underlying offense and was not illegal on its face, and a notation on the judgment and disposition order in the second case was an insufficient basis for defendant's allegation that the circuit court unambiguously intended to impose a presumptive sentence of thirty-six months in the event he failed to comply with the conditions of his probation. Ward v. State, 2010 Ark. App. 79, 374 S.W.3d 62 (2010).

Trial court did not err in sentencing defendant after revoking his probation because defendant pleaded guilty to second-degree domestic battery, § 5-26-304, and third-degree domestic battery, § 5-26-305, and his sentences of ten and six years, respectively, were sentences that could have been originally imposed for the offenses of which he was found guilty. Jones v. State, 2012 Ark. App. 69, 388 S.W.3d 503 (2012).

Trial court erred in resentencing defendant because the five-year sentence with five years' suspended imposition of sentence that the court imposed on revocation of defendant's probation exceeded the maximum allowable sentence available for defendant's conviction for tampering with physical evidence, a Class D felony. Wilson v. State, 2016 Ark. App. 342 (2016).

Unauthorized Sentence.

Where after the defendant entered a guilty plea to class C felony theft of property, for which the maximum sentence is 10 years, a sentence of 6 years in prison, with 2 years suspended on condition that the defendant pay the sum of $135,000 at the rate of $200 per month, beginning 60 days after defendant's release from prison, and continuing for 12 years, at which time a civil judgment would be entered for the outstanding balance, was not authorized. Brimer v. State, 295 Ark. 20, 746 S.W.2d 370 (1988).

Defendant's sentence of 20 years imprisonment, suspended to an additional term of 20 years, pursuant to his guilty plea to one count of manufacturing methamphetamine, and two counts of possession of drug paraphernalia, was modified to provide that defendant was no longer required to report to a supervising officer, as the sentence was actually one of probation rather than suspension, which was a sentence specifically prohibited by statute. Harness v. State, 352 Ark. 335, 101 S.W.3d 235 (2003).

Where the jury sentenced defendant on fifteen of the twenty counts of violation of a minor to no term of imprisonment and a fine of zero dollars, the sentence was illegal as the sentencing range was five to twenty years imprisonment, or a fine not to exceed $15,000, or both; thus, remand for resentencing on those counts was ordered. Smith v. State, 354 Ark. 226, 118 S.W.3d 542 (2003).

Trial court was not authorized to impose a ten year sentence for a first-degree terroristic threatening conviction, a class D felony punishable by a maximum sentence of six years imprisonment, and defendant thus received an illegal sentence; further, the 10-year sentence recited in the judgment and commitment order was erroneous because the trial court pronounced sentence of only one year at the conclusion of the revocation hearing, and the oral pronouncement of the trial court governed. Turner v. State, 88 Ark. App. 40, 194 S.W.3d 225 (2004), overruled in part, Bush v. State, 90 Ark. App. 373, 206 S.W.3d 268 (2005).

Trial court imposed an illegal sentence when it rejected a jury's verdict and took it upon itself to sentence defendant where the jury's sentencing verdict of zero years in prison and a fine of zero dollars was a proper and valid sentence for second-degree battery under Ark. Code Ann. § 5-4-401(a)(5). Donaldson v. State, 370 Ark. 3, 257 S.W.3d 74 (2007).

Upon defendant's conviction for rape and second-degree battery, the circuit court erred in ordering him to complete a sex-offender treatment program because he was sentenced under this section and § 5-4-501—these statutes did not authorize the court to order a sex-offender treatment program. White v. State, 2012 Ark. 221, 408 S.W.3d 720 (2012).

Court entered an illegal sentence by sentencing the petitioner to seventy-two-months' imprisonment on a misdemeanor, because if property damage occurred as a direct result of fleeing on foot, the offense was a Class A misdemeanor, and a sentence for a Class A misdemeanor should not exceed one year. Arter v. State, 2012 Ark. App. 327, 414 S.W.3d 391 (2012).

Because the sentence of 20 years' imprisonment with a 10-year suspended imposition of sentence, while falling within the statutory-sentencing range for Class A arson under § 5-38-301(b)(5) and subdivision (a)(2) of this section, exceeded the range for Class B residential burglary and Class C theft of property, under §§ 5-39-201(a)(2), 5-36-103(b)(2), and subdivisions (a)(3) and (4) of this section, the residential-burglary and theft-of-property sentences were illegal, and the case was remanded for resentencing. Wakeley v. State, 2013 Ark. App. 231 (2013).

Writ of Habeas Corpus Denied.

Denial of writ of habeas corpus was affirmed because the inmate failed to state a cognizable claim when he did not dispute that the sentences were within the range set in this section, and he was well informed as to the nature of the charges and the range of punishment those charges carried pursuant to his negotiated guilty pleas. Anderson v. Norris, 370 Ark. 110, 257 S.W.3d 540 (2007).

Denial of writ of habeas corpus was proper, because life imprisonment for aggravated robbery was within the statutory range, irrespective of any enhancement as a habitual offender, and a sentence that was within the prescribed range was not illegal. Goins v. Norris, 2012 Ark. 192 (2012).

Habeas relief was not warranted because an applicant was charged under a former first-degree murder statute where a murder was committed in the course of a robbery, and he was properly sentenced to life imprisonment without parole on his plea of guilty to capital-felony murder. An argument that murder in the first degree and capital murder were separate offenses with a separate penalty was rejected. Gooch v. Hobbs, 2014 Ark. 73 (2014) (Decided under former § 41-4701).

Cited: Wilson v. State, 261 Ark. 820, 552 S.W.2d 223 (1977); Berry v. State, 263 Ark. 446, 565 S.W.2d 418 (1978); Cannon v. State, 265 Ark. 270, 578 S.W.2d 20 (1979); Noland v. State, 265 Ark. 764, 580 S.W.2d 953 (1979); McDonald v. State, 266 Ark. 56, 582 S.W.2d 272 (1979); Chaviers v. State, 267 Ark. 6, 588 S.W.2d 434 (1979); Mathis v. State, 267 Ark. 904, 591 S.W.2d 679 (Ct. App. 1979); Rogers v. Britton, 476 F. Supp. 1036 (E.D. Ark. 1979); Reeves v. Mabry, 615 F.2d 489 (8th Cir. 1980); Mills v. State, 270 Ark. 141, 603 S.W.2d 416 (1980); Shepherd v. State, 270 Ark. 457, 605 S.W.2d 414 (1980); Acklin v. State, 270 Ark. 879, 606 S.W.2d 594 (1980); Caldwell v. State, 268 Ark. 713, 595 S.W.2d 253 (Ct. App. 1980); Branham v. State, 274 Ark. 109, 623 S.W.2d 1 (1981); Scott v. State, 1 Ark. App. 207, 614 S.W.2d 239 (1981); Summerlin v. State, 7 Ark. App. 10, 643 S.W.2d 582 (1982); Wright v. Burton, 279 Ark. 1, 648 S.W.2d 794 (1983); Henderson v. State, 279 Ark. 435, 652 S.W.2d 16 (1983); Stocker v. State, 280 Ark. 450, 658 S.W.2d 879 (1983); Masingill v. State, 7 Ark. App. 90, 644 S.W.2d 614 (1983); Bell v. Lockhart, 741 F.2d 1105 (8th Cir. 1984); O'Riordan v. State, 281 Ark. 424, 665 S.W.2d 255 (1984); Golden v. State, 10 Ark. App. 362, 664 S.W.2d 496 (1984); Simmons v. State, 13 Ark. App. 208, 681 S.W.2d 422 (1985); Scott v. State, 284 Ark. 388, 681 S.W.2d 915 (1985); Hill v. Lockhart, 474 U.S. 52, 106 S. Ct. 366, 88 L. Ed. 2d 203 (1985); David v. State, 286 Ark. 205, 691 S.W.2d 133 (1985); Smith v. State, 286 Ark. 247, 691 S.W.2d 154 (1985); Oliver v. State, 14 Ark. App. 240, 687 S.W.2d 850 (1985); Smith v. State, 18 Ark. App. 152, 713 S.W.2d 241 (1986); Leggins v. Lockhart, 649 F. Supp. 894 (E.D. Ark. 1986); Nelson v. Lockhart, 828 F.2d 446 (8th Cir. 1987); Meadows v. State, 291 Ark. 105, 722 S.W.2d 584 (1987); Williams v. State, 292 Ark. 616, 732 S.W.2d 135 (1987); Pettit v. State, 296 Ark. 423, 758 S.W.2d 1 (1988); Johnson v. State, 26 Ark. App. 286, 764 S.W.2d 621 (1989); Scott v. State, 27 Ark. App. 1, 764 S.W.2d 625 (1989); Jones v. State, 27 Ark. App. 24, 765 S.W.2d 15 (1989); Campbell v. State, 300 Ark. 606, 780 S.W.2d 567 (1989); Dunlap v. State, 303 Ark. 222, 795 S.W.2d 920 (1990); Sherman v. State, 30 Ark. App. 217, 785 S.W.2d 49 (1990); Sossamon v. State, 31 Ark. App. 131, 789 S.W.2d 738 (1990); Hill v. State, 303 Ark. 462, 798 S.W.2d 65 (1990); Mullins v. State, 303 Ark. 695, 799 S.W.2d 550 (1990); Powell v. State, 33 Ark. App. 1, 799 S.W.2d 566 (1990); Smith v. Lockhart, 923 F.2d 1314 (8th Cir. 1991); Pennington v. State, 305 Ark. 507, 808 S.W.2d 780 (1991); McKillion v. State, 306 Ark. 511, 815 S.W.2d 936 (1991); Butler v. State, 309 Ark. 211, 829 S.W.2d 412; Bonds v. State, 310 Ark. 541, 837 S.W.2d 881 (1992); State v. Murphy, 315 Ark. 68, 864 S.W.2d 842 (1993); McKee v. State, 316 Ark. 174, 871 S.W.2d 351 (1994); Tigue v. State, 319 Ark. 147, 889 S.W.2d 760 (1994); Woods v. State, 323 Ark. 605, 916 S.W.2d 728 (1996); Green v. State, 323 Ark. 635, 916 S.W.2d 756 (1996); Rush v. State, 324 Ark. 147, 919 S.W.2d 933 (1996); Baxter v. State, 324 Ark. 440, 922 S.W.2d 682 (1996); Higgins v. State, 326 Ark. 1030, 936 S.W.2d 740 (1996); Ashe v. State, 57 Ark. App. 99, 942 S.W.2d 267; Allstate Ins. Co. v. Burrough, 120 F.3d 834 (8th Cir. 1997); Kirkendoll v. State, 57 Ark. App. 321, 945 S.W.2d 400 (1997); State v. Zawodniak, 329 Ark. 179, 946 S.W.2d 936 (1997); Harmon v. State, 340 Ark. 18, 8 S.W.3d 472 (2000); Jester v. State, 367 Ark. 249, 239 S.W.3d 484 (2006); Small v. State, 371 Ark. 244, 264 S.W.3d 512 (2007); Ward v. State, 2010 Ark. App. 79, 374 S.W.3d 62 (2010); Reed v. State, 2011 Ark. 115 (2011); Washington v. State, 2014 Ark. App. 122 (2014); Singleton v. State, 2014 Ark. App. 165 (2014); Whitson v. State, 2014 Ark. App. 283 (2014); Jones v. State, 2015 Ark. App. 621 (2015).

5-4-402. Place of imprisonment.

  1. Except as provided in §§ 5-4-304 and 16-93-708, a defendant convicted of a felony and sentenced to imprisonment shall be committed to the custody of the Division of Correction for the term of his or her sentence or until released in accordance with law.
  2. Except as provided in § 16-93-708, a defendant convicted of a misdemeanor and sentenced to imprisonment shall be committed to the county jail or other authorized institution designated by the court for the term of his or her sentence or until released in accordance with law.
  3. Except as provided in § 5-4-304 or § 16-93-708, a defendant convicted of a felony violation of §§ 5-64-419 — 5-64-442 and sentenced to imprisonment shall be committed to the custody of the Division of Correction for the term of his or her sentence or until released in accordance with law.
      1. A juvenile sentenced in circuit court who is less than sixteen (16) years of age when sentenced shall be committed to the custody of the Division of Youth Services until his or her sixteenth birthday, at which time he or she shall be transferred to the Division of Correction, except as provided by court order or parole decision made by the Parole Board.
      2. Any record from the Division of Youth Services shall be transferred to the Division of Correction at the time the juvenile is transferred.
    1. A juvenile less than sixteen (16) years of age who is awaiting transfer to the Division of Correction shall be segregated from the general delinquency population housed at the Division of Youth Services.
    1. With the consent and approval of the Division of Youth Services, the Division of Correction may transfer from the Division of Correction to the Division of Youth Services any inmate less than eighteen (18) years of age who, in the opinion of the Division of Correction and the Division of Youth Services, is more suited and adaptable by age, physical size, and temperament to a program of the Department of Human Services.
      1. An inmate transferred to the Division of Youth Services shall be segregated from the general delinquency population housed at the Division of Youth Services.
      2. If an inmate violates a rule of the Division of Youth Services' program or facility or is otherwise not amenable to the Division of Youth Services' rehabilitative effort, the Division of Youth Services may return the inmate to the Division of Correction.
    2. Any inmate transferred to the Division of Youth Services under this subsection shall be returned to the Division of Correction on the inmate's eighteenth birthday.

History. Acts 1975, No. 280, § 902; 1985, No. 982, § 1; A.S.A. 1947, § 41-902; Acts 1999, No. 1192, § 11; 2001, No. 559, § 9; 2005, No. 680, § 2; 2011, No. 570, § 18; 2011, No. 1120, § 4; 2019, No. 910, § 657.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided:

“Legislative intent. The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2011 amendment by No. 570, in (c), inserted “§ 5-4-304 or” and “felony,” and substituted “§ 5-64-419 — § 5-64-442 and sentenced to imprisonment” for “§ 5-64-401.”

The 2011 amendment by No. 1120 deleted “5-4-203” preceding “§ 5-4-304” in (a).

The 2019 amendment substituted “Division of Correction” for “Department of Correction” and “Division of Youth Services of the Department of Human Services” for “division” and similar language throughout the section.

RESEARCH REFERENCES

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2005 Arkansas General Assembly, Criminal Law, 28 U. Ark. Little Rock L. Rev. 335.

Case Notes

Jurisdiction.

Circuit court lacked jurisdiction to consider the appeal, because the petitioner's allegation, in reality, was a challenge to the calculation of his parole eligibility and the Arkansas Department of Correction's application of a parole-eligibility statute to his sentence, and the judiciary had no jurisdiction over how parole eligibility was determined or the conditions to be placed on it once the sentence was placed into execution. Johnson v. State, 2012 Ark. 212 (2012).

Cited: Cannon v. State, 265 Ark. 270, 578 S.W.2d 20 (1979); Oliver v. State, 14 Ark. App. 240, 687 S.W.2d 850 (1985); Sossamon v. State, 31 Ark. App. 131, 789 S.W.2d 738 (1990).

5-4-403. Multiple sentences — Concurrent and consecutive terms.

  1. When multiple sentences of imprisonment are imposed on a defendant convicted of more than one (1) offense, including an offense for which a previous suspension or probation has been revoked, the sentences shall run concurrently unless, upon recommendation of the jury or the court's own motion, the court orders the sentences to run consecutively.
  2. When a sentence of imprisonment is imposed on a defendant who has previously been sentenced to imprisonment, whether by a court of this state, a court of another state, or a federal court, the subsequent sentence shall run concurrently with any undischarged portion of the previous sentence unless, upon recommendation of the jury or the court's own motion, the court imposing the subsequent sentence orders it to run consecutively with the previous sentence.
  3. The power of the court to order that sentences run consecutively is subject to the following limitations:
    1. A sentence of imprisonment for a misdemeanor and a sentence of imprisonment for a felony shall run concurrently, and both sentences are satisfied by service of sentence for a felony; and
    2. The aggregate of consecutive terms for misdemeanors shall not exceed one (1) year.
  4. The court is not bound by a recommendation of the jury concerning a sentencing option under this section.

History. Acts 1975, No. 280, § 903; A.S.A. 1947, § 41-903; Acts 2001, No. 1644, § 1.

Cross References. Conduct constituting more than one offense, § 5-1-110.

Research References

ALR.

Construction and Application of U.S.S.G. § 5G1.3(b), Requiring Federal Sentence to Run Concurrently to Undischarged State Sentence When State Sentence Has Been Fully Taken into Account in Determining Offense Level for Federal Offense — Particular Events Preceding Federal Sentence and Sentencing Credit. 32 A.L.R. Fed. 2d 178.

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

Construction.

Subdivision (c)(1) of this section pertains to the power of the court to order consecutive as opposed to concurrent sentences; it is silent on the question of a felony sentence being completed prior to a concurrent misdemeanor sentence. Ricks v. State, 316 Ark. 601, 873 S.W.2d 808 (1994).

This section says absolutely nothing about the subsequent sentence being discharged by the completion of the earlier sentence when the subsequent sentence extends beyond the earlier sentence; this section takes as a given the probability that a misdemeanor sentence will be shorter in duration than a felony sentence and thus contemplates that the former's terminal date will fall within the latter's actual span. Ricks v. State, 316 Ark. 601, 873 S.W.2d 808 (1994).

Where defendant's suspended sentence had already been revoked when he was sentenced on the misdemeanor theft-by-receiving charge, there was nothing inconsistent with the intent of this section in the trial court's decision to order the defendant to be remanded to the custody of the local authorities to serve the rest of his misdemeanor sentence upon the completion of his felony term. Ricks v. State, 316 Ark. 601, 873 S.W.2d 808 (1994).

Appellate Review.

Defendant did not preserve the issue of consecutive sentences for appellate review where defendant failed to make an objection after the trial court announced its ruling on his sentences. Mixon v. State, 330 Ark. 171, 954 S.W.2d 214 (1997).

Where (1) petitioner pleaded guilty to delivery of a controlled substance, and possession of a controlled substance in separate cases on the same date in 1991, (2) resentencing on the “suspended” sentence for “delivery of a controlled substance” was required because that sentence was illegal, and (3) the commitment orders did not reveal whether the trial court intended the sentences to be served consecutively or concurrently, petitioner was entitled to a reduction, as to the delivery offense, for time served on the possession conviction. Taylor v. State, 354 Ark. 450, 125 S.W.3d 174 (2003).

Trial court had discretion to require defendant's sentences for two felony convictions to run consecutively with defendant's remaining sentence for a parole violation, and the sentence was not illegal; in addition, to the extent that defendant contended that the trial court abused its discretion, the matter was not properly preserved because defendant did not object to the trial court. Campea v. State, 87 Ark. App. 225, 189 S.W.3d 459 (2004).

Concurrent Sentences.

In the absence of an order to the contrary, subsequent sentences are to be served concurrently; therefore, where a judgment and commitment were silent as to whether the sentences were to be consecutive or concurrent to sentences that the defendant was already serving time for, the trial court had no authority to amend its judgment and commitment, after the sentences were put into execution, to order that the sentences be served consecutively. Glick v. State, 283 Ark. 412, 677 S.W.2d 844 (1984); Hadley v. State, 322 Ark. 472, 910 S.W.2d 675 (1995).

Where the defendant was convicted of a felony and a misdemeanor and ordered to serve consecutive sentences, the misdemeanor sentence was void because the court lacked the authority to impose it under subdivision (c)(1) of this section; therefore, the defendant was entitled to a writ of habeas corpus after he had served the sentence on the felony conviction. Howard v. State, 289 Ark. 587, 715 S.W.2d 440 (1986).

In a case where defendant was convicted of misdemeanor violating a protection order and felony stalking, a trial court erred by ordering that the sentences were to be served consecutively; pursuant to this section, the sentences should have run concurrently. Brawner v. State, 2013 Ark. App. 413, 428 S.W.3d 600 (2013).

Defendant's sentence for second-degree assault against a family member was modified to 90 days, to be served concurrently with his 15-year sentence for the burglary, because the trial court erred in sentencing him to one year of imprisonment since the sentence could not exceed 90 days. Davis v. State, 2015 Ark. App. 234, 459 S.W.3d 821 (2015).

Defendant's sentences were not illegal where the applicable order did not state that the sentences were to run consecutively, and thus, under this section and § 5-4-307, the sentences ran concurrently. McElroy v. State, 2018 Ark. App. 342, 553 S.W.3d 182 (2018).

Consecutive Sentences.

Where defendant had three prior felony convictions and was convicted of four separate counts, a sentence of four consecutive life sentences was neither an abuse of discretion nor cruel and unusual punishment. Duncan v. State, 267 Ark. 41, 588 S.W.2d 432 (1979).

Consecutive sentences held proper. Edwards v. State, 300 Ark. 4, 775 S.W.2d 900 (1989).

Sentence of two fifty-year terms, which the court ordered to run consecutively, upheld. Durham v. State, 320 Ark. 689, 899 S.W.2d 470 (1995).

Under this section, the trial court clearly has authority to order that sentences be served consecutively. Love v. State, 324 Ark. 526, 922 S.W.2d 701 (1996).

Where the circuit judge sentenced the defendant to consecutive rather than concurrent sentences, and the defendant did not have an opportunity to object because the proceedings adjourned prior to the court's pronouncement, the case was remanded for resentencing. Lawhon v. State, 327 Ark. 674, 940 S.W.2d 475 (1997), appeal dismissed, 328 Ark. 335, 942 S.W.2d 864 (Ark. 1997).

Where defendant was prosecuted for violation of a minor in the first degree and not under the rape statute, the commission of both offenses prohibited sexual intercourse or deviate sexual activity; thus, under subsection (a) of this section, the trial court did not err in imposing consecutive sentences. Smith v. State, 354 Ark. 226, 118 S.W.3d 542 (2003).

Section 5-4-401(a)(1) authorized a sentence of ten to forty years or life in prison for a Class Y felony, which rape was considered to be, and this section allowed a court to impose consecutive sentences for multiple convictions; thus, defendant's sentence was not unduly harsh. Simmons v. State, 95 Ark. App. 114, 234 S.W.3d 321 (2006).

Upon the revocation of defendant's probation for eight violations of the Arkansas Hot Check Law, the trial court was authorized under §§ 5-4-301(d)(2) and 5-4-309(f)(1)(A) to modify the original order and impose multiple sentences of imprisonment to be served consecutively in accordance with subsection (a) of this section. The trial court did not err by sentencing defendant to twenty years in prison each on four hot-check counts to run consecutively and ten years in prison each on the other felony hot-check counts to run concurrently. Maldonado v. State, 2009 Ark. 432 (2009).

Pursuant to subsection (a) of this section, the circuit court did not abuse its discretion in ordering defendant's sentences to run consecutively where the trial court expressly stated that it was relying on the testimony presented in defendant's case and was not considering the evidence from the other two trials. Throneberry v. State, 2009 Ark. 507, 342 S.W.3d 269 (2009).

Trial court did not abuse its discretion by ordering defendant’s sentences for 20 counts of distributing, possessing, or viewing matter depicting sexually explicit conduct involving a child to run consecutively because there was no indication that the trial court failed to consider factors urged by the defense, each sentence was within the statutory range of punishment, and no exception applied. Steele v. State, 2014 Ark. App. 257, 434 S.W.3d 424 (2014).

Jury sentenced defendant to eight years and 20 years, respectively, for two second-degree murder convictions, to be served consecutively; the sentence was within the statutory sentencing range, even for a single count of second-degree murder, and no abuse of discretion was shown. Lewis v. State, 2014 Ark. App. 730, 451 S.W.3d 591 (2014).

Trial court is permitted, based on subsection (a) of this section, to order that multiple sentences of imprisonment for multiple offenses be run consecutively, including those where suspension had been revoked. Todd v. State, 2016 Ark. App. 204, 489 S.W.3d 207 (2016).

Any argument that the circuit court abused its discretion in ordering defendant's sentences to be served consecutively would be wholly frivolous because defendant pleaded guilty to the crimes of rape and attempted first-degree murder, and he requested the maximum sentence in open court. Jones v. State, 2017 Ark. 266 (2017).

Defendant's 10-year sentence for possession of a firearm by a felon was within the statutory range of punishment for a Class D felony committed by a defendant previously convicted of four or more felonies, and the circuit court's decision to run the sentence consecutively to defendant's other sentence was within the court's discretion. McNeely v. State, 2017 Ark. App. 483, 530 S.W.3d 876 (2017).

Even though the jury recommended concurrent sentences, there was no reversible error in the trial court's imposition of consecutive sentences for the terroristic acts convictions, to run consecutively to the first-degree murder life sentence, because the trial court was not bound by the jury's recommendation and the written order imposing consecutive sentences controlled over the trial court's oral ruling. Ellis v. State, 2019 Ark. 286, 585 S.W.3d 661 (2019).

Determination of Sentence.

The choice between concurrent and consecutive sentences is vested in the judge, not the jury; where the trial court attempted to implement what he perceived the jury wanted rather than to exercise his own discretion relative to the sentencing, the Supreme Court remanded for resentencing. Wing v. State, 14 Ark. App. 190, 686 S.W.2d 452 (1985).

The question of whether two separate sentences should run consecutively or concurrently lies solely within the province of the trial court. Abdullah v. State, 290 Ark. 537, 720 S.W.2d 902 (1986); Love v. State, 324 Ark. 526, 922 S.W.2d 701 (1996).

Trial court which had the discretion at the initial sentencing of imposing sentences concurrently or consecutively made them concurrent and, having done so, had no power to change them to consecutive sentences after execution had begun. Trial court cannot modify a valid sentence once execution has begun. Avants v. State, 293 Ark. 24, 732 S.W.2d 149 (1987).

Considering that the sentences imposed after defendant's trial for possession of cocaine, methamphetamine, and marijuana were within the statutory maximum and minimum and the trial judge contemplated whether to “stack” them or not, it was abundantly clear that the trial judge exercised discretion when sentencing, and the appellate court could not say that the trial court abused it in that exercise. Davidson v. State, 76 Ark. App. 464, 68 S.W.3d 331 (2002), cert. denied, Davidson v. Arkansas, 537 U.S. 820, 123 S. Ct. 98 (2002).

Trial court did not err in sentencing defendant after revoking his probation because defendant pleaded guilty to second-degree domestic battery, § 5-26-304, and third-degree domestic battery, § 5-26-305, and his sentences of ten and six years, respectively, were sentences that could have been originally imposed for the offenses of which he was found guilty. Jones v. State, 2012 Ark. App. 69, 388 S.W.3d 503 (2012).

Trial court could have reasonably concluded that defendant's commission of five new felonies warranted consecutive sentences, given that the sentences defendant had received on defendant's previous 12 felonies had apparently not served to deter defendant's criminal conduct. Turner v. State, 2012 Ark. App. 150, 391 S.W.3d 358 (2012).

Discretion of Court.

The trial judge did not improperly fail to exercise his discretion in sentencing the defendant and did not err in sentencing him to serve consecutive sentences where the jury recommended that the court sentence the defendant to serve consecutive sentences and the judge deferred to the jury's recommendation. Blagg v. State, 72 Ark. App. 32, 31 S.W.3d 872 (2000).

Trial court did not err in sustaining the State's objection to defendant's closing argument regarding the matter of consecutive sentences; the trial court had the discretion only to impose either consecutive or concurrent sentences pursuant to Ark. Code Ann. § 5-4-403(a), (d), and defense counsel's closing argument that suggested that defendant's multiple sentences automatically ran consecutively was an incorrect statement of the law. Smith v. State, 352 Ark. 92, 98 S.W.3d 433 (2003).

Merger of two capital murders was not required under § 5-1-110(d)(1), and where defendant waived a sentencing hearing, thereby giving the trial court sole sentencing authority under § 5-4-103(b)(4), the trial court had the authority to order defendant's sentences to run consecutively under § 5-4-403(a). Walker v. State, 353 Ark. 12, 110 S.W.3d 752 (2003).

Subsection (d) states that the court is not bound by the recommendations as to consecutive or concurrent sentencing options of the jury, the decision of whether to impose consecutive or concurrent sentences was solely within the province of the trial judge; where the jury did not make a recommendation as to whether the sentences should run consecutively or concurrently, the trial court did not abuse its discretion in denying defendant's motions for a mistrial. Smith v. State, 85 Ark. App. 475, 157 S.W.3d 566 (2004).

Imposition of consecutive sentences was not in violation of defendant's due process rights or the Eighth Amendment to the U.S. Constitution where the trial judge noted that the sentences imposed on each count were less than the maximum and that the approach was consistent with other jury sentences in the country; the trial judge clearly exercised discretion in accepting the jury's recommendation. Ford v. State, 99 Ark. App. 119, 257 S.W.3d 560 (2007).

Trial court's decision to permit the introduction of evidence relating to defendant's criminal history during the sentencing phase of his trial was consistent with the mandates of § 16-97-103; at sentencing, under § 5-4-401(a)(1), defendant was subjected to the normal ranges of Class A and Y felonies as opposed to the enhanced ranges designated for habitual offenders. Defendant actually received the minimum sentences allowed on two of his four convictions and less than the maximum on the other two and, under this section, his sentences were ordered to run concurrently rather than consecutively, as they could have; thus, defendant not only failed to establish a threshold evidentiary error supporting reversal, but he also failed to show that he suffered prejudice during sentencing. Wilson v. State, 100 Ark. App. 14, 262 S.W.3d 628 (2007).

In making a decision between concurrent and consecutive sentences under this section, the trial court should make it clear that it was its discretion being exercised when entering the sentences and not the jury's; thus, the trial court did not err in not instructing the jury on concurrent and consecutive sentences. Lee v. State, 2013 Ark. App. 209 (2013).

It is well settled that it is within the discretion of the circuit court to decide whether a defendant's sentences run concurrently or consecutively, and defendant bears the heavy burden to establish that the circuit court abused or failed to exercise that discretion. Clark v. State, 2019 Ark. App. 362, 584 S.W.3d 680 (2019).

Error.

Applicant was entitled to relief, because an error by the Arkansas Department of Correction (ADC) in failing to enter the Fourth Division conviction and sentence in the ADC system caused the failure to have the applicant complete his concurrent state sentences before being transferred to the United States Bureau of Prisons (BOP); the ADC must correct its record to show that the applicant began serving his Fourth Division sentence on the same date he began to serve his Second Division sentence, and upon transfer to the ADC from the BOP, the applicant must serve whatever remains of the sentence he would have served in the ADC had the ADC run his state sentences concurrently as required. Kelley v. Norris, 2012 Ark. 86 (2012).

Evidence.

Evidence in the form of testimony of a mother and her daughter and son, both of whom were under the age of 14, that defendant, who was husband and father to the victims, sexually assaulted the daughter by inserting his finger into the daughter's vagina and forcing the daughter to perform oral sex on defendant, forcing the son and daughter to have sexual intercourse, and forcing the son to have intercourse with the mother, along with medical evidence of injuries to the daughter consistent with sexual assault, supported defendant's conviction for rape and three counts of accomplice to rape as an accomplice. Clem v. State, 351 Ark. 112, 90 S.W.3d 428 (2002).

Filing Fees.

This section is not relevant to question of whether an appellant must pay a filing fee on appeal of both misdemeanor and felony charges. Langley v. State, 343 Ark. 324, 34 S.W.3d 364 (2001).

Misdemeanors.

Where defendant was convicted of two counts of misdemeanor possession of marijuana, and was sentenced to 18 months probation, his sentence violated subdivision (c)(2) of this section which provides that the aggregate of consecutive terms for misdemeanors shall not exceed one year; the one year maximum is applicable to the defendant's probationary sentence by virtue of § 5-4-306(a). Brunson v. State, 45 Ark. App. 161, 873 S.W.2d 562 (1994).

Under this section, a trial court lacks the authority to impose an aggregate sentence of more than one year for the two misdemeanor offenses or to run misdemeanor sentences consecutively with the felony sentences. Moore v. State, 330 Ark. 514, 954 S.W.2d 932 (1997).

Cited: Shipman v. State, 261 Ark. 559, 550 S.W.2d 424 (1977); Welch v. State, 269 Ark. 208, 599 S.W.2d 717; Acklin v. State, 270 Ark. 879, 606 S.W.2d 594 (1980); Beavers v. Lockhart, 755 F.2d 657 (8th Cir. 1985); Parker v. State, 292 Ark. 421, 731 S.W.2d 756 (1987); Fitzhugh v. State, 293 Ark. 315, 737 S.W.2d 638 (1987); Pettit v. State, 296 Ark. 423, 758 S.W.2d 1 (1988); Lee v. State, 299 Ark. 187, 772 S.W.2d 324 (1989); Moore v. State, 299 Ark. 532, 773 S.W.2d 834 (1989); Bond v. State, 45 Ark. App. 177, 873 S.W.2d 569 (1994); Aaron v. State, 319 Ark. 320, 891 S.W.2d 364 (1995); Smallwood v. State, 326 Ark. 813, 935 S.W.2d 530 (1996); Teague v. State, 328 Ark. 724, 946 S.W.2d 670 (1997); Wilson v. State, 332 Ark. 7, 962 S.W.2d 805 (1998); Gines v. State, 2009 Ark. App. 628 (2009).

5-4-404. Credit for time spent in custody.

If a defendant is held in custody for conduct that results in a sentence to imprisonment or confinement as a condition of suspension or probation, the court, the Division of Correction, or the Division of Community Correction shall credit the time spent in custody against the sentence, including time spent in a local jail facility awaiting transfer to the Division of Correction or the Division of Community Correction.

History. Acts 1975, No. 280, § 904; A.S.A. 1947, § 41-904; Acts 2001, No. 1034, § 1; 2019, No. 910, § 658.

Amendments. The 2019 amendment substituted “Division of Correction” for “Department of Correction” twice and “Division of Community Correction” for “Department of Community Correction” twice.

Research References

ALR.

Defendant's Right to Credit for Time Spent in Halfway House, Rehabilitation Center, or Similar Restrictive Environment as Condition of Pretrial Release. 46 A.L.R.6th 63.

Case Notes

Entitlement to Credit.

Defendant was held entitled to credit for the number of days spent in jail from the date of his arrest on an alias warrant to the date of his conviction. Hodges v. State, 267 Ark. 1112, 593 S.W.2d 494 (Ct. App. 1980).

Jail time credit is appropriate when a defendant's pretrial incarceration is due to his inability to make bail, but is inappropriate for time served in connection with wholly unrelated charges based on conduct other than for which the defendant is ultimately sentenced. Boone v. State, 270 Ark. 83, 603 S.W.2d 410 (1980).

Defendant should have received credit on his revoked suspended sentence for the days he spent in custody awaiting trial on another charge that resulted in a suspended sentence but was not entitled to credit for jail time spent for the crime underlying the revocation of the suspended sentence. Boone v. State, 270 Ark. 83, 603 S.W.2d 410 (1980).

Court held that the defendant had not demonstrated his entitlement to credit for the time. Coleman v. State, 15 Ark. App. 5, 688 S.W.2d 313 (1985); Humphrey v. State, 300 Ark. 383, 779 S.W.2d 530 (1989).

This section provides for jail time credit against sentence where pretrial incarceration was imposed due to conduct that resulted in conviction and sentence. Defendant was not entitled to credit for jail time served as a fugitive while awaiting return to Arkansas. Allen v. State, 294 Ark. 209, 742 S.W.2d 886 (1988).

A defendant is not entitled to jail credit on a subsequent sentence for time spent in jail on a parole revocation, even if the parole revocation results from the crime for which he receives a subsequent sentence. Wilson v. State, 56 Ark. App. 47, 939 S.W.2d 313 (1997).

Time spent enrolled in an electronic monitoring program is not time spent “in custody” for purposes of the statute; time spent “in custody” under the statute is available only to those persons who remain in the custody of a penal institution. Bush v. State, 338 Ark. 772, 2 S.W.3d 761 (1999).

Where appellant did not complete drug court, he was required to serve a six-year sentence for forgery and a ten-year suspended sentence for theft. Under § 5-4-404, he was entitled to 53 days credit for the time he spent in jail before he entered drug court; appellant was not entitled to credit for the time that his case was in drug court. Laxton v. State, 99 Ark. App. 1, 256 S.W.3d 518 (2007).

Defendant was not entitled to jail-time credit for confinement under this section, because he served time in confinement as a condition of probation, not from being held in custody as a matter of pretrial incarceration. Burgess v. State, 2016 Ark. 175, 490 S.W.3d 645 (2016).

Defendant was not entitled to more jail time credit because he was essentially asking for his jail time to be counted twice when he asked that an additional 394 days of the same jail time credit be applied to his sentence for the initial charges; regardless of whether the jail time from defendant's initial arrest until his sentencing on the subsequent charges applied against his sentence, the time could not be applied against both sentences. Hanley v. State, 2017 Ark. App. 583, 535 S.W.3d 276 (2017).

Defendant did not demonstrate that he was entitled to an additional 100 days of jail-time credit; however, defendant was entitled to an additional 50 days' jail-time credit, which was the number of days between the date of his original arrest and the date he signed the terms and conditions of probation. Howard v. State, 2019 Ark. App. 604, 592 S.W.3d 246 (2019).

Trial court did not err in denying defendant's claim for additional jail-time credit against his murder conviction for the period of time after defendant's bond was revoked on the murder charge when he was arrested on possession charges. This section does not address how jail-time credits are to be allocated or attributed between multiple convictions, defendant was sentenced on multiple convictions, and defendant offered no persuasive authority that the trial court erred. Bailey v. State, 2019 Ark. App. 53, 571 S.W.3d 21 (2019).

Guilty Pleas.

Where appellant pleaded guilty to aggravated robbery, forgery, criminal mischief, and battery, Ark. R. App. P. Crim. 1 did not permit him to appeal the denial of jail-time credit under this section because it was an integral part of the acceptance of appellant's guilty plea. Kennedy v. State, 2013 Ark. App. 140 (2013).

Preservation for Review.

Because defendant did not request jail-time credit below, either directly or in an Ark. R. Crim. P. 37 petition, his claim was not properly preserved and could not be raised for the first time on appeal. Weatherford v. State, 2019 Ark. App. 536, 590 S.W.3d 172 (2019).

Even though defendant claimed his sentence was illegal, and could be raised for the first time on appeal because the circuit court's failure to award jail-time credit would require him to serve more than the maximum amount of time designated in the statutes for his offenses, defendant's sentence was not illegal on its face because the sentence was within the maximum prescribed by law; instead, a complaint for jail-time credit is a request for modification of a sentence imposed in an illegal manner. Weatherford v. State, 2019 Ark. App. 536, 590 S.W.3d 172 (2019).

Although defendant did not articulate a specific amount of jail-time credit in the lower court, his argument on appeal was preserved because he did motion the lower court for jail-time credit. Howard v. State, 2019 Ark. App. 604, 592 S.W.3d 246 (2019).

Unrelated Charges.

Where the defendant was incarcerated in another state because he was a fugitive from justice in this state and he had committed other crimes in the other state, the reasons for incarceration in the other state were wholly unrelated to the conduct that resulted in the defendant's sentence in this state; consequently, the defendant could not receive any credit for the period of time that he was incarcerated in the other state. Cox v. State, 288 Ark. 300, 705 S.W.2d 1 (1986), superseded by statute as stated in, Jones v. State, 301 Ark. 510, 785 S.W.2d 217 (1990).

The defendant was not entitled to credit for time in jail for an unrelated charge. McGirt v. State, 289 Ark. 7, 708 S.W.2d 620 (1986); Travis v. State, 292 Ark. 463, 730 S.W.2d 501 (1987); Jones v. State, 301 Ark. 510, 785 S.W.2d 217 (1990), rehearing denied, , 1990 Ark. LEXIS 287.

Cited: Campbell v. State, 265 Ark. 77, 576 S.W.2d 938 (1979); Cannon v. State, 265 Ark. 270, 578 S.W.2d 20 (1979); Carey v. State, 268 Ark. 332, 596 S.W.2d 688 (1980); Elliott v. State, 268 Ark. 454, 597 S.W.2d 76 (1980); Walters v. State, 267 Ark. 155, 621 S.W.2d 468 (1979); Griffin v. State, 2 Ark. App. 145, 617 S.W.2d 21 (1981); Hughes v. State, 3 Ark. App. 275, 625 S.W.2d 547 (1981); Hughes v. State, 281 Ark. 428, 664 S.W.2d 471 (1984); Travis v. Lockhart, 925 F.2d 1095 (8th Cir. 1991).

Subchapter 5 — Extended Term of Imprisonment

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Effective Dates. Acts 1983, No. 409, § 6: July 1, 1983. Emergency clause provided: “It is hereby determined by the General Assembly that certain criminal sentencing statutes are in need of immediate clarification for the more efficient administration of justice in this State. Therefore, an emergency is hereby declared to exist, and this Act, being necessary for the preservation of the public peace, health and safety, shall be in full force and effect from and after July 1, 1983.”

Acts 1993, Nos. 532 and 550, § 13: Mar. 16, 1993. Emergency clause provided: “It is hereby found and determined by the General Assembly of the State of Arkansas that the sentencing policies and standards of the State of Arkansas are in need of immediate reform in order to better provide for a balanced correctional system and to better effectuate the rehabilitation of persons convicted of crimes and to make possible their return as useful members of the community and passage of this act is necessary to facilitate these reforms. Therefore, an emergency is hereby declared to exist and this act being necessary for the immediate preservation of the public peace, health, and safety, shall be in full force and effect, unless provided for otherwise herein, from and after its passage and approval.”

Acts 2015, No. 895, § 49: Apr. 1, 2015. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that prison overcrowding is one of the largest problems currently burdening the state both from a public safety and budgetary standpoint; that safe and effective measures are needed to immediately combat this problem; and that this act is immediately necessary because in the interests of public safety and the state budget the Department of Correction, Department of Community Correction, Department of Human Services, and the Parole Board should be allowed to immediately implement these new measures. Therefore, an emergency is declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

Research References

ALR.

Statute or ordinance mandating imprisonment for habitual or repeated offender. 2 A.L.R.4th 618.

Using single prior felony conviction as basis for offense of possessing weapon by convicted felon and to enhance sentence. 37 A.L.R.4th 1168.

Am. Jur. 39 Am. Jur. 2d, Habit. Crim., § 19 et seq.

Ark. L. Rev.

Griffin, Case Notes: Bordenkircher v. Hayes, 434 U.S. 357, 98 S. Ct. 663, 54 L. Ed. 2d 604: The Relationship Between Prosecutorial Discretion and Vindictiveness in Plea Bargaining, 33 Ark. L. Rev. 211.

Note, Helm v. Solem: Can a Prison Sentence Constitute Cruel and Unusual Punishment?, 36 Ark. L. Rev. 673.

Notes, Shockley v. State: The Constitutionality of the Arkansas Habitual Offender Determination Procedure, 39 Ark. L. Rev. 553.

Note, Conley v. State: Mitigation Before Guilt, 45 Ark. L. Rev. 995.

C.J.S. 24 C.J.S., Crim. L., § 1638 et seq.

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Law, 5 U. Ark. Little Rock L.J. 115.

Case Notes

Purpose.

The obvious intent of this subchapter is to enhance punishment of a party who has a habit of criminal conduct. Tackett v. State, 298 Ark. 20, 766 S.W.2d 410 (1989), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002).

The legislature intended the focus of this subchapter to be on prior convictions, not on prior sentences. Green v. State, 313 Ark. 87, 852 S.W.2d 110 (1993).

This subchapter was not designed to act as a deterrent but as a punitive statute which provides that, in appropriate cases, a prior conviction, regardless of the date of the crime, may be used to increase punishment. Jackson v. State, 47 Ark. App. 86, 885 S.W.2d 303 (1994).

Applicability.

The General Assembly did not intend the new, reduced sentences in the 1993 amendment to apply to felonies committed after June 30, 1983, but to make them applicable to felonies committed after June 30, 1993. State v. Dennis, 318 Ark. 80, 883 S.W.2d 811 (1994); State v. Brummett, 318 Ark. 220, 885 S.W.2d 8 (1994).

Information.

The trial court properly allowed the prosecutor to amend the information to charge defendant as a habitual offender after the conclusion of plea negotiations. Davis v. State, 319 Ark. 460, 892 S.W.2d 472 (1995).

Jury Trial.

Defendant's right to a trial by jury was not unduly encumbered by the Habitual Offender Act. Walker v. State, 314 Ark. 628, 864 S.W.2d 230 (1993).

Single Criminal Act.

To utilize prior convictions arising from one single act to enhance punishment pursuant to the Habitual Offender Act contravenes fundamental fairness and due process. Simply put, there is nothing habitual about the commission of a single criminal act resulting in multiple charges and convictions. Tackett v. State, 298 Ark. 20, 766 S.W.2d 410 (1989), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002).

Cited: Leggins v. Lockhart, 822 F.2d 764 (8th Cir. 1987); Adams v. State, 314 Ark. 431, 863 S.W.2d 285 (1993); McClish v. State, 331 Ark. 295, 962 S.W.2d 332 (1998).

5-4-501. Habitual offenders — Sentencing for felony.

    1. A defendant meeting the following criteria may be sentenced to pay any fine authorized by law for the felony conviction and to an extended term of imprisonment as set forth in subdivision (a)(2) of this section:
      1. A defendant who:
        1. Is convicted of a felony other than those enumerated in subsections (c) and (d) of this section committed after June 30, 1993; and
        2. Has previously been convicted of more than one (1) felony but fewer than four (4) felonies or who has been found guilty of more than one (1) but fewer than four (4) felonies;
      2. A defendant who:
        1. Is convicted of any felony enumerated in subsection (c) of this section committed after August 31, 1997; and
        2. Has previously been convicted of more than one (1) felony but fewer than four (4) felonies not enumerated in subsection (c) of this section or who has been found guilty of more than one (1) but fewer than four (4) felonies not enumerated in subsection (c) of this section; or
      3. A defendant who:
        1. Is convicted of any felony enumerated in subsection (d) of this section committed after August 31, 1997; and
        2. Has previously been convicted of more than one (1) felony but fewer than four (4) felonies not enumerated in subsection (d) of this section or has been found guilty of more than one (1) but fewer than four (4) felonies not enumerated in subsection (d) of this section.
    2. The extended term of imprisonment for a defendant described in subdivision (a)(1) of this section is as follows:
      1. For a conviction of a Class Y felony, a term of imprisonment of not less than ten (10) years nor more than sixty (60) years, or life;
      2. For a conviction of a Class A felony, a term of imprisonment of not less than six (6) years nor more than fifty (50) years;
      3. For a conviction of a Class B felony, a term of imprisonment of not less than five (5) years nor more than thirty (30) years;
      4. For a conviction of a Class C felony, a term of imprisonment of not less than three (3) years nor more than twenty (20) years;
      5. For a conviction of a Class D felony, a term of imprisonment of not more than twelve (12) years;
      6. For a conviction of an unclassified felony punishable by less than life imprisonment, a term of imprisonment not more than five (5) years more than the maximum sentence for the unclassified felony; and
      7. For a conviction of an unclassified felony punishable by life imprisonment, a term of imprisonment not less than ten (10) years nor more than fifty (50) years, or life.
    1. A defendant meeting the following criteria may be sentenced to pay any fine authorized by law for the felony conviction and to an extended term of imprisonment as set forth in subdivision (b)(2) of this section:
      1. A defendant who:
        1. Is convicted of a felony other than a felony enumerated in subsections (c) and (d) of this section committed after June 30, 1993; and
        2. Has previously been convicted of four (4) or more felonies or who has been found guilty of four (4) or more felonies;
      2. A defendant who:
        1. Is convicted of any felony enumerated in subsection (c) of this section committed after June 30, 1997; and
        2. Has previously been convicted of four (4) or more felonies not enumerated in subsection (c) of this section or who has been found guilty of four (4) or more felonies not enumerated in subsection (c) of this section; or
      3. A defendant who:
        1. Is convicted of any felony enumerated in subsection (d) of this section committed after June 30, 1997; and
        2. Has previously been convicted of four (4) or more felonies not enumerated in subsection (d) of this section or who has been found guilty of four (4) or more felonies not enumerated in subsection (d) of this section.
    2. The extended term of imprisonment for a defendant described in subdivision (b)(1) of this section is as follows:
      1. For a conviction of a Class Y felony, a term of imprisonment of not less than ten (10) years nor more than life;
      2. For a conviction of a Class A felony, a term of imprisonment of not less than six (6) years nor more than sixty (60) years;
      3. For a conviction of a Class B felony, a term of imprisonment of not less than five (5) years nor more than forty (40) years;
      4. For a conviction of a Class C felony, a term of imprisonment of not less than three (3) years nor more than thirty (30) years;
      5. For a conviction of a Class D felony, a term of imprisonment of not more than fifteen (15) years;
      6. For a conviction of an unclassified felony punishable by less than life imprisonment, a term of imprisonment not more than two (2) times the maximum sentence for the unclassified felony offense; and
      7. For a conviction of an unclassified felony punishable by life imprisonment, a term of imprisonment not less than ten (10) years nor more than fifty (50) years, or life.
    1. Except as provided in subdivision (c)(3) of this section, a defendant who is convicted of a serious felony involving violence enumerated in subdivision (c)(2) of this section and who previously has been convicted of one (1) or more of the serious felonies involving violence enumerated in subdivision (c)(2) of this section may be sentenced to pay any fine authorized by law for the serious felony involving violence conviction and shall be sentenced:
      1. To imprisonment for a term of not less than forty (40) years nor more than eighty (80) years, or life; and
      2. Without eligibility for parole or community correction transfer except under § 16-93-615.
    2. As used in this subsection, “serious felony involving violence” means:
      1. Any of the following felonies:
        1. Murder in the first degree, § 5-10-102;
        2. Murder in the second degree, § 5-10-103;
        3. Kidnapping, § 5-11-102, involving an activity making it a Class Y felony;
        4. Aggravated robbery, § 5-12-103;
        5. Terroristic act, § 5-13-310, involving an activity making it a Class Y felony;
        6. Rape, § 5-14-103;
        7. Sexual assault in the first degree, § 5-14-124;
        8. Causing a catastrophe, § 5-38-202(a);
        9. Aggravated residential burglary, § 5-39-204; or
        10. Aggravated assault upon a law enforcement officer or an employee of a correctional facility, § 5-13-211, if a Class Y felony; or
      2. A conviction of a comparable serious felony involving violence from another jurisdiction.
    3. A defendant who is convicted of rape, § 5-14-103, or sexual assault in the first degree, § 5-14-124, involving a victim less than fourteen (14) years of age and who has previously been convicted of one (1) or more of the serious felonies involving violence enumerated in subdivision (c)(2) of this section may be sentenced to pay any fine authorized by law for the rape or sexual assault in the first degree conviction and shall be sentenced to life in prison without the possibility of parole.
      1. The following procedure governs a trial at which a sentence to an extended term of imprisonment is sought pursuant to this subsection:
        1. The jury shall first hear all evidence relevant to the serious felony involving violence with which the defendant is currently charged and shall retire to reach a verdict of guilt or innocence on this charge;
          1. If the defendant is found guilty of the serious felony involving violence, out of the hearing of the jury the trial court shall hear evidence of whether the defendant has pleaded guilty or nolo contendere to or been found guilty of a prior serious felony involving violence and shall determine the number of prior serious felony involving violence convictions, if any.
          2. The defendant has the right to hear and controvert evidence described in subdivision (c)(4)(A)(ii)(a) of this section and to offer evidence in his or her support;
          1. The trial court shall then instruct the jury as to the number of prior convictions for a serious felony involving violence and the statutory sentencing range.
          2. The jury may be advised as to the nature of a prior serious felony involving violence conviction and the date and place of a prior serious felony involving violence conviction; and
        2. The jury shall retire again and then determine a sentence within the statutory range.
      2. The determination of whether a felony conviction from another jurisdiction is comparable to an enumerated serious felony involving violence under Arkansas criminal law lies within the discretion of the trial judge at the time of sentencing.
    1. A defendant who is convicted of a felony involving violence enumerated in subdivision (d)(2) of this section and who previously has been convicted of two (2) or more of the felonies involving violence enumerated in subdivision (d)(2) of this section may be sentenced to pay any fine authorized by law for the felony involving violence conviction and shall be sentenced to an extended term of imprisonment without eligibility for parole or community correction transfer except under § 16-93-615 as follows:
      1. For a conviction of a Class Y felony, a term of imprisonment of not less than life in prison;
      2. For a conviction of a Class A felony, a term of imprisonment of not less than forty (40) years nor more than life in prison;
      3. For a conviction of a Class B felony or for a conviction of an unclassified felony punishable by life imprisonment, a term of imprisonment of not less than thirty (30) years nor more than sixty (60) years;
      4. For a conviction of a Class C felony, a term of imprisonment of not less than twenty-five (25) years nor more than forty (40) years;
      5. For a conviction of a Class D felony, a term of imprisonment of not less than twenty (20) years nor more than forty (40) years; and
      6. For a conviction of an unclassified felony punishable by less than life imprisonment, a term of imprisonment not more than three (3) times the maximum sentence for the unclassified felony offense.
    2. As used in this subsection, “felony involving violence” means:
      1. Any of the following felonies:
        1. Murder in the first degree, § 5-10-102;
        2. Murder in the second degree, § 5-10-103;
        3. Kidnapping, § 5-11-102;
        4. Aggravated robbery, § 5-12-103;
        5. Rape, § 5-14-103;
        6. Battery in the first degree, § 5-13-201;
        7. Terroristic act, § 5-13-310;
        8. Sexual assault in the first degree, § 5-14-124;
        9. Sexual assault in the second degree, § 5-14-125;
        10. Domestic battering in the first degree, § 5-26-303;
        11. Residential burglary, § 5-39-201(a);
        12. Aggravated residential burglary, § 5-39-204;
        13. Unlawful discharge of a firearm from a vehicle, § 5-74-107;
        14. Criminal use of prohibited weapons, § 5-73-104, involving an activity making it a Class B felony;
        15. A felony attempt, solicitation, or conspiracy to commit:
          1. Capital murder, § 5-10-101;
          2. Murder in the first degree, § 5-10-102;
          3. Murder in the second degree, § 5-10-103;
          4. Kidnapping, § 5-11-102;
          5. Aggravated robbery, § 5-12-103;
          6. Aggravated assault upon a law enforcement officer or an employee of a correctional facility, § 5-13-211, if a Class Y felony;
          7. Rape, § 5-14-103;
          8. Battery in the first degree, § 5-13-201;
          9. Domestic battering in the first degree, § 5-26-303;
          10. Residential burglary, § 5-39-201(a); or
          11. Aggravated residential burglary, § 5-39-204; or
        16. Aggravated assault upon a law enforcement officer or an employee of a correctional facility, § 5-13-211, if a Class Y felony; or
      2. A conviction of a comparable felony involving violence from another jurisdiction.
      1. The following procedure governs a trial at which a sentence to an extended term of imprisonment is sought pursuant to this subsection:
        1. The jury shall first hear all evidence relevant to the felony involving violence with which the defendant is currently charged and shall retire to reach a verdict of guilt or innocence on this charge;
          1. If the defendant is found guilty of the felony involving violence, out of the hearing of the jury the trial court shall hear evidence of whether the defendant has pleaded guilty or nolo contendere to or been found guilty of two (2) or more prior felonies involving violence and shall determine the number of prior felony involving violence convictions, if any.
          2. The defendant has the right to hear and controvert evidence described in subdivision (d)(3)(A)(ii)(a) of this section and to offer evidence in his or her support;
          1. The trial court shall then instruct the jury as to the number of prior felony involving violence convictions and the statutory sentencing range.
          2. The jury may be advised as to the nature of a prior felony involving violence conviction and the date and place of a prior felony involving violence conviction; and
        2. The jury shall retire again and then determine a sentence within the statutory range.
      2. The determination of whether a felony conviction from another jurisdiction is comparable to an enumerated felony involving violence under Arkansas criminal law lies within the discretion of the trial judge at the time of sentencing.
    1. For the purpose of determining whether a defendant has previously been convicted or found guilty of two (2) or more felonies, a conviction or finding of guilt of burglary, § 5-39-201, and of the felony that was the object of the burglary are considered a single felony conviction or finding of guilt.
    2. A conviction or finding of guilt of an offense that was a felony under the law in effect prior to January 1, 1976, is considered a previous felony conviction or finding of guilt.
  1. For the purposes of determining whether a defendant has previously been convicted of a serious felony involving violence or a felony involving violence under subsections (c) and (d) of this section, the entry of a plea of guilty or nolo contendere or a finding of guilt by a court to a felony enumerated in subsections (c) and (d) of this section, respectively, as a result of which a court places the defendant on a suspended imposition of sentence, a suspended sentence, or probation, or sentences the defendant to the Division of Correction, is considered a previous felony conviction.
  2. Any defendant deemed eligible to be sentenced under a provision of both subsections (c) and (d) of this section shall be sentenced only under subsection (d) of this section.
  3. If the provisions of subsection (c) or subsection (d) of this section, or both, are held invalid by a court, the defendant's case shall be remanded to the trial court for resentencing of the defendant under the provisions of subsections (a) and (b) of this section.

History. Acts 1975, No. 280, § 1001; 1977, No. 474, § 4; 1981, No. 620, § 9; 1983, No. 409, § 3; A.S.A. 1947, § 41-1001; Acts 1993, No. 532, § 7; 1993, No. 550, § 7; 1995, No. 1009, § 1; 1995, No. 1011, § 1; 1997, No. 1197, § 1; 2001, No. 1553, § 6; 2003, No. 1390, § 2; 2006 (1st Ex. Sess.), No. 5, § 1; 2007, No. 827, §§ 15, 16; 2007, No. 852, § 1; 2009, No. 1395, §§ 1, 2; 2011, No. 570, §§ 19, 20; 2015, No. 895, § 3; 2017, No. 367, §§ 2-4; 2019, No. 910, § 659.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “Legislative intent. The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Acts 2015, No. 895, § 1, provided: “Legislative intent. It is the intent of the General Assembly to implement wide-ranging reforms to the criminal justice system in order to address prison overcrowding, promote seamless reentry into society, reduce medical costs incurred by the state and local governments, aid law enforcement agencies in fighting crime and keeping the peace, and to enhance public safety.”

Amendments. The 2009 amendment added (c)(2)(ix); inserted present (d)(2)(A)(xi) and redesignated the remaining subdivisions accordingly; added (d)(2)(A)(xiv) (i) ; and made related changes.

The 2011 amendment substituted “§ 16-93-615” for “§ 16-93-1302” in (c)(1)(B) and (d)(1).

The 2015 amendment inserted (d)(2)(A)(xi) and redesignated the remaining subdivisions accordingly; and inserted (d)(2)(A)(xv) (i) and redesignated former (d)(2)(A)(xv) (i) as (d)(2)(A)(xv) (j)

The 2017 amendment added (c)(2)(A)(x); inserted (d)(2)(A)(xv) (f) and redesignated the remaining subdivisions accordingly; and added (d)(2)(A)(xvi).

The 2019 amendment substituted “Division of Correction” for “Department of Correction” in (f).

Research References

ALR.

Construction and Application of U.S. Const. Art. I, § 10, cl. 1, and State Constitutional Provisions Proscribing State Bills of Attainder. 63 A.L.R.6th 1.

U. Ark. Little Rock L.J.

Legislation of the 1983 General Assembly, Criminal Law, 6 U. Ark. Little Rock L.J. 613.

Survey — Criminal Law, 11 U. Ark. Little Rock L.J. 175.

Case Notes

Constitutionality.

Defendant had no standing to challenge the ambiguity of subsection (d) of this section where he received the benefit of the more liberal of the two possible interpretations. Nahlen v. State, 330 Ark. 1, 953 S.W.2d 877 (1997).

This section is not unconstitutionally vague and does not violate the due process clause. Booker v. State, 335 Ark. 316, 984 S.W.2d 16 (1998).

There is a rational basis for enacting the enhancement provision in subsection (d) and, therefore, any perceived “conflict” between this section and any other statute allowing the jury to sentence to the same punishment does not create a constitutional violation. Bunch v. State, 344 Ark. 730, 43 S.W.3d 132 (2001).

The imposition of a life sentence under subsection (d) for aggravated robbery and theft of property did not constitute cruel and unusual punishment under the Eighth Amendment to the United States Constitution or Ark. Const., Art. 2, § 9. Bunch v. State, 344 Ark. 730, 43 S.W.3d 132 (2001).

Subsection (d)(3), by which the legislature enacted a mandatory sentence, does not violate the separation of powers doctrine in either the federal or state constitutions and does not constitute a bill of attainder. Bunch v. State, 344 Ark. 730, 43 S.W.3d 132 (2001).

As the three-strikes law was in effect when defendant committed armed robbery and his life sentence was in accordance with that provision, that his prior convictions occurred before enactment of subsection (d) was immaterial. Parker v. State, 355 Ark. 639, 144 S.W.3d 270 (2004).

Trial court did not clearly err by rejecting appellant's constitutional challenge to this section as conclusory and unsupported by legal authority because there was no showing that Johnson v. United States, 135 S. Ct. 2551, 192 L. Ed. 2d 569 (2015), was applicable to this section or that this section was unconstitutionally applied in appellant's case; appellant also did not demonstrate that appellate counsel was ineffective by failing to raise a meritless constitutional challenge on direct appeal. Wooten v. State, 2016 Ark. 376, 502 S.W.3d 503 (2016).

Unlike the federal statute addressed in Johnson v. United States, 135 S. Ct. 2551, 192 L. Ed. 2d 569 (2015), the Arkansas habitual-offender statute does not contain a vague definition of what constitutes a “serious felony involving violence”; instead, the Arkansas statute clearly enumerates the specific crimes that fall within that definition. In any event, appellant's sentence was not enhanced based on the nature of the crime. Wooten v. State, 2016 Ark. 376, 502 S.W.3d 503 (2016).

Defendant failed to preserve his argument on appeal that the circuit court erred in sentencing him as an habitual offender based on conduct that occurred before the conviction that was used for enhancement purposes; while defendant specifically requested a ruling based on the due-process clauses of the state and federal constitutions, at no time did he assert to the circuit court that the application of the sentencing enhancement provisions violated the ex post facto clause of either constitution. Stover v. State, 2017 Ark. 66, 511 S.W.3d 333 (2017).

When a 2015 amendment to subdivision (d)(2) of this section included residential burglary in the list of crimes considered to be felonies involving violence, no ex post facto violation occurred even though defendant's convictions for residential burglary that were counted toward enhancement of his sentence occurred before the effective date of the amendment. Nothing in subdivision (d)(1) of this section limited counted violent felony convictions to those occurring after the effective date of the statute, appellant did not deny that he had committed four felonies that were now explicitly classified as violent felonies, and appellant was clearly on notice of the date the statutory change became effective. Handy v. State, 2017 Ark. App. 74, 510 S.W.3d 292 (2017).

When a 2015 amendment to subdivision (d)(2) of this section included residential burglary in the list of crimes considered to be felonies involving violence, no ex post facto violation occurred even though defendant's guilty pleas to residential burglary that were counted toward enhancement of his sentence occurred before the effective date of the amendment. Brigance v. State, 2018 Ark. App. 213, 548 S.W.3d 147 (2018).

In General.

This section does not create a distinct additional offense or independent crime but simply affords evidence to increase the punishment and to furnish a guide for the court or jury in fixing the final punishment in event of conviction of the offense charged. Finch v. State, 262 Ark. 313, 556 S.W.2d 434 (1977).

Habitual criminal statute was not designed to act as a deterrent, but is simply a punitive statute, which provides in clear language that in an appropriate case, a prior conviction, regardless of the date of the crime, may be used to increase punishment. Washington v. State, 273 Ark. 482, 621 S.W.2d 216 (1981); Hunter v. State, 8 Ark. App. 283, 653 S.W.2d 159 (1983); Spivey v. State, 25 Ark. App. 269, 757 S.W.2d 186 (1988).

Sentencing in Arkansas is entirely a matter of statute. State v. Freeman, 312 Ark. 34, 846 S.W.2d 660 (1993).

Enhancement statute was not a distinct additional offense, but rather it provided a guide for the court or jury in fixing final punishment on the charged offense. Jones v. State, 347 Ark. 455, 65 S.W.3d 402 (2002), cert. denied, Jones v. Arkansas, 536 U.S. 909, 122 S. Ct. 2366 (2002).

Purpose of the statute is to punish repeat offenders severely. Misenheimer v. State, 100 Ark. App. 189, 265 S.W.3d 764 (2007).

Construction.

Because § 16-90-803, although enacted at a later date, contains no repealing clause and does not conflict with this section, the state has the option of alleging specific habitual status in the information or simply charging the underlying offense. Mackey v. State, 56 Ark. App. 164, 939 S.W.2d 851, superseded, 329 Ark. 229, 947 S.W.2d 359 (1997).

This section, requiring that one who has previously been convicted of two or more violent felonies and who is then convicted of rape is to be sentenced to life imprisonment without parole, is not in conflict with § 5-4-103(a), providing that a jury is to fix punishment of one found guilty of a felony, because of the additional language of the latter that the jury is to fix punishment “as authorized by this chapter.” Ricks v. State, 327 Ark. 513, 940 S.W.2d 422 (1997).

This section is ambiguous: subdivision (d)(1) contains the words “separate and distinct prior occasions” but subdivision (d)(3)(A) does not, and each of those subdivisions purports to provide when the three-strikes enhancement applies. Nahlen v. State, 330 Ark. 1, 953 S.W.2d 877 (1997).

This section comes into play only upon a showing of “more than one” previous conviction of a felony. McDonald v. State, 266 Ark. 56, 582 S.W.2d 272 (1979).

Section 5-64-408, which was enacted after this section, does not preclude sentencing a habitual criminal under this section. When two punishment statutes exist, a court is not prevented from using the more stringent provision. Russell v. State, 295 Ark. 619, 751 S.W.2d 334 (1988).

The June 30, 1983, time limit is applicable only to the conviction being enhanced, and not to prior convictions being used for enhancement purposes. Spivey v. State, 25 Ark. App. 269, 757 S.W.2d 186 (1988).

The intent of the General Assembly was to apply Acts 1993, No. 550, § 7 to crimes committed by habitual offenders after June 30, 1993, thus coinciding with its effective date of July 1, 1993; to hold otherwise would risk disproportionate sentences being imposed on habitual offenders who committed crimes between 1983 and 1993, yet were sentenced pursuant to different versions of this section depending upon the date of trial. Neely v. State, 317 Ark. 312, 877 S.W.2d 589 (1994).

The General Assembly did not intend the new, reduced sentences in the 1993 amendment to apply to felonies committed after June 30, 1983, but to make them applicable to felonies committed after June 30, 1993. State v. Dennis, 318 Ark. 80, 883 S.W.2d 811 (1994); State v. Brummett, 318 Ark. 220, 885 S.W.2d 8 (1994).

The General Assembly intended to apply the 1993 reduced sentencing guidelines to felonies committed after June 30, 1993; the reference to 1983 in subsection (a) was a drafting error. State v. Kinard, 319 Ark. 360, 891 S.W.2d 378 (1995); State v. Rodriques, 319 Ark. 366, 891 S.W.2d 63 (1995).

The date of the offense is immaterial to the application of subsection (d)(1), which permits enhancement for prior convictions with offenses committed subsequent to the charged offense. Beavers v. State, 345 Ark. 291, 46 S.W.3d 532 (2001).

Defendant's sentence was not authorized under § 5-65-111(b)(4) because the the trial court used the habitual offender statute, § 5-4-501(a)(2)(F) in conjunction with the DWI sentencing enhancement provision; therefore, his sentence was properly modified from 15 to 10 years imprisonment. Peterson v. State, 81 Ark. App. 226, 100 S.W.3d 66 (2003).

The appellate court presumed that, when amending this section in 1997, the legislature was fully aware of the Arkansas Supreme Court's interpretation of this section as requiring convictions arising from separate criminal acts, and that it was the legislature's intent to abandon this interpretation by omitting the “separate and distinct prior occasion” language. Benson v. State, 86 Ark. App. 154, 164 S.W.3d 495 (2004).

Court must give the words of the statute their ordinary meaning. Misenheimer v. State, 100 Ark. App. 189, 265 S.W.3d 764 (2007).

Statute is unambiguous. Misenheimer v. State, 100 Ark. App. 189, 265 S.W.3d 764 (2007).

Appeals.

Objections to the form of the information used to charge the defendant, to the introduction of a certified copy of a docket sheet to prove one of the defendant's prior felony convictions, and a claim of counsel's failure to object to the introduction of the docket sheet constitutes ineffective assistance of counsel could not be raised for the first time on appeal. Rogers v. State, 289 Ark. 257, 711 S.W.2d 461 (1986).

Petitioner held entitled to remand of case for an evidentiary hearing on his claims of ineffective assistance of counsel and improper sentencing under this section, though issues were not raised in his pro se petition. Ward v. Lockhart, 841 F.2d 844 (8th Cir. 1988).

While it is true that a defendant's right to due process of law requires that he receive notice prior to trial of the filing of an habitual offender charge, it is also true that a denial of any right, even a constitutional one, must be objected to at trial to be preserved for appeal. Kittler v. State, 304 Ark. 344, 802 S.W.2d 925 (1991).

A bench-trial contemporaneous objection to challenge the existence of prior convictions to establish habitual offender status is required to preserve the issue for appeal. Mackey v. State, 329 Ark. 229, 947 S.W.2d 359 (1997).

Defendant's argument that the appellate court could address his habitual offender status on appeal because it involved an illegal sentence, rather than the sufficiency of the evidence supporting the trial court's finding that he was an habitual offender, was without merit; defendant's argument was not preserved for appellate review because he failed to object to the proof of his habitual offender status during his sentencing. Jones v. State, 83 Ark. App. 195, 119 S.W.3d 70 (2003).

Classification of Offense.

The enhancement provided for under this section is greater when § 5-64-401(c) is first applied to enhance the offense class. Prichard v. Lockhart, 990 F.2d 352 (8th Cir. 1993).

Convictions.

—In General.

Suspended sentences are still “convictions” within the meaning of the habitual criminal law. Reeves v. State, 263 Ark. 227, 564 S.W.2d 503 (1978), cert. denied, Reeves v. Arkansas, 439 U.S. 964, 99 S. Ct. 450, 58 L. Ed. 2d 422 (1978).

This section does not require that the defendant has previously been sentenced to serve a jail sentence; rather, it is enough if he has been found guilty and been put on probation. Campbell v. State, 264 Ark. 575, 572 S.W.2d 845 (1978).

Since subsection (b) refers to convictions rather than confinements, each conviction, which is one of two or more sentences which were served concurrently, must be counted separately in determining the sentence that may be imposed. Wright v. State, 267 Ark. 264, 590 S.W.2d 15 (1979).

Where the state introduced certified copies of previous judgments for purposes of enhancing the defendant's sentence, even though one of the judgments reflected a different last name from that of the defendant, there was still substantial evidence to support the jury's finding that the defendant had suffered that conviction. Elmore v. State, 268 Ark. 225, 595 S.W.2d 218 (1980).

Where the information filed against the defendant merely alleged that the defendant had been convicted of “two or more” prior felonies, only two prior convictions could be admitted against the defendant for the purpose of increasing his sentence since only the prior convictions alleged can be used. Clinkscale v. State, 269 Ark. 324, 602 S.W.2d 618 (1980). But see Reed v. State, 282 Ark. 492, 669 S.W.2d 192 (1984).

Where there was evidence introduced at the trial that the defendant had been convicted and sentenced on three prior felony offenses, it is clear that defendant was correctly charged with having been convicted of “more than one” felony offense as provided in this section. Terry v. State, 271 Ark. 715, 610 S.W.2d 272 (1981).

Each plea of guilty to separate offenses constitutes a separate prior conviction for purposes of the habitual offender statute under subsection (b). Blackmon v. State, 272 Ark. 157, 612 S.W.2d 319 (1981); Knight v. State, 277 Ark. 213, 640 S.W.2d 442 (1982).

Where defendant had a prior felony conviction in another state and conviction for an offense which occurred prior to present offense, but conviction was entered subsequent to the present offense, the defendant should be subject to the harsher punishment of an habitual criminal under this section which applies to defendants who have been convicted of more than one but less than four previous felonies. Conley v. State, 272 Ark. 33, 612 S.W.2d 722 (1981).

A court probation proceeding does not constitute either a “conviction” or “finding of guilt” under this section until the original guilty plea is finally accepted and therefore is inadmissible for sentence enhancement purposes in a subsequent prosecution. English v. State, 274 Ark. 304, 626 S.W.2d 191 (1981).

Where two of the prior convictions were for offenses committed prior to the commission of the instant offense, those convictions could be used to enhance the punishment even though the convictions were not obtained until after the commission of the instant offense. Hunter v. State, 8 Ark. App. 283, 653 S.W.2d 159 (1983).

Where evidence of three prior convictions were before the court, defendant's contention that charges in two of the convictions arose out of the same incident was of no consequence because there was clear evidence of two prior felony convictions before the court and there was no indication that defendant had been prejudiced by introduction of the convictions. Andrews v. State, 283 Ark. 297, 675 S.W.2d 636 (1984).

An amended information which alleged that the defendant had more than two prior convictions merely tracked the language of the sentence enhancement statute and did not limit the state to proving only two prior felonies. Reed v. State, 282 Ark. 492, 669 S.W.2d 192 (1984). But see, Clinkscale v. State, 269 Ark. 324, 602 S.W.2d 618 (1980).

The mere fact that some of the prior felony offenses may have been committed in one escapade does not necessarily make them one crime for purposes of enhancement of sentence as an habitual offender. Glick v. State, 286 Ark. 133, 689 S.W.2d 559 (1985).

Even though a defendant's prior felony convictions were on appeal, they were final for purposes of enhancing his sentence as an habitual offender. Hill v. State, 13 Ark. App. 307, 683 S.W.2d 628 (1985).

Where the defendant had four prior felony convictions, the three concurrent 75-year terms of imprisonment for the three counts of delivery of controlled substances were not excessive. Parker v. State, 290 Ark. 94, 717 S.W.2d 197 (1986).

For purposes of sentence enhancement, a conviction is final when judgment is pronounced, and prior convictions on appeal may be used for sentence enhancement. Birchett v. State, 291 Ark. 379, 724 S.W.2d 492 (1987).

For purposes of this section, there is no distinction between “two or more” and “more than two”, or “four or more” and “more than four,” and if state alleges “four or more,” there is no limit to number which may be proven. But it would be error to allow the state to prove “four or more” priors when the information charges the defendant with only “two or more” felonies, because a more severe range of punishment for the offense is invoked when four or more priors are established. Malone v. State, 292 Ark. 243, 729 S.W.2d 167 (1987).

Trial court erroneously allowed four prior felony convictions to be admitted when information alleged only two or more prior convictions. Shells v. State, 22 Ark. App. 62, 733 S.W.2d 743 (1987).

Breaking and entering at three separate locations constitutes three separate offenses for the purpose of showing that a defendant has been convicted of more than one but less than four felonies and should have his sentence enhanced in accordance with subsection (a). Rolark v. State, 299 Ark. 299, 772 S.W.2d 588 (1989).

The fact that defendant was granted probation on prior convictions does not lessen the fact that they were convictions satisfying the criterion of subsection (a). Rolark v. State, 299 Ark. 299, 772 S.W.2d 588 (1989).

State's use of defendant's prior conviction to prove the first element of the crime of being in possession of a firearm, and its use of the same prior conviction to enhance defendant's punishment as an habitual offender did not constitute a prohibited form of double-counting. Woodson v. State, 302 Ark. 10, 786 S.W.2d 120 (1990).

Where evidence of prior offenses showed the entry of a plea of nolo contendere and indicated that the defendant was placed on five years statutory probation, but there was no indication in any of the documents that the court refused to accept the defendant's plea, formally or otherwise, defendant's probation was not the type of court probation which could be excluded from evidence on the basis that it did not involve a finding of guilt. Stevens v. State, 38 Ark. App. 209, 832 S.W.2d 275 (1992).

Trial court properly allowed enhancement of defendant's sentence under the Habitual Offenders Act where the record reflected that the defendant was found guilty by a jury of two offenses, sentenced to terms of imprisonment and that trial court entered a conviction judgment committing defendant to Arkansas Department of Correction. Baxter v. State, 324 Ark. 440, 922 S.W.2d 682 (1996).

Trial court did not err in admitting certain of defendant's prior convictions for sentence-enhancement purposes where they occurred after the offenses in the present case, but defendant was convicted of them before his conviction in this case. Dodson v. State, 358 Ark. 372, 191 S.W.3d 511 (2004).

—Burglary.

Provision of this section that a conviction or finding of guilt of burglary and of the felony that was the object of the burglary shall be considered a single felony conviction or finding of guilt is the only instance in the habitual offender act where the legislature specifically provided for two convictions to be treated as one, and the purpose of the provision seems clearly limited; accordingly, the argument that prior convictions arose from continuing course of conduct since the crimes occurred on the same day with the same victim and that, as they were not separate occurrences, the trial court should have considered them as only one conviction for the purpose of applying the habitual offender statute, was without merit. Wesson v. State, 5 Ark. App. 154, 633 S.W.2d 713 (1982).

Subsection (c) provides that a conviction of burglary and the felony that was the object of the burglary shall be considered a single felony conviction; the state legislature did not intend for any other convictions to merge for purposes of recidivist treatment. Glick v. Lockhart, 770 F.2d 737 (8th Cir. 1985), cert. denied, 474 U.S. 1084, 106 S. Ct. 857 (1986).

It was error to count a defendant's conviction of burglary and theft arising out of a single episode as separate offenses for purposes of enhancement as an habitual offender. Glick v. State, 286 Ark. 133, 689 S.W.2d 559 (1985).

The General Assembly intended to treat convictions for breaking or entering the object of which was theft as a single felony for enhancement purposes under subsection (c) of this section. Thomas v. State, 315 Ark. 79, 864 S.W.2d 835 (1993).

The term “burglary” in subsection (c) of this section includes the lesser included offense of breaking or entering, and breaking or entering and the object of that offense — in this case, theft — should be considered a single felony conviction for purposes of enhancing punishment. Thomas v. State, 315 Ark. 79, 864 S.W.2d 835 (1993).

Where defendant was sentenced to an extended term of imprisonment as a habitual offender with more than one but less than four felony convictions under this section, the trial court erred by not merging his prior convictions for breaking or entering and for theft of property into a single felony conviction for enhancement purposes. Thomas v. State, 315 Ark. 79, 864 S.W.2d 835 (1993).

—Invalidity.

Unless the records of prior convictions show that the defendant was represented by counsel, there is a presumption that the defendant was denied assistance of counsel and the convictions cannot be used to enhance punishment under recidivist statutes. Reeves v. Mabry, 480 F. Supp. 529 (W.D. Ark. 1979), aff'd, 615 F.2d 489 (8th Cir. 1980); Stewart v. State, 300 Ark. 147, 777 S.W.2d 844 (1989).

Where the testimony of the circuit clerk, which was supported by the docket sheet, showed that the plea of guilty was accepted by the court only after defendant had conferred with counsel, and where the intent of the court to appoint that counsel was clear, the failure to use the word “appoint” did not destroy the validity of the guilty plea. Reeves v. Mabry, 480 F. Supp. 529 (W.D. Ark. 1979), aff'd, 615 F.2d 489 (8th Cir. 1980).

A jury assessing punishment under a state habitual criminal statute may not constitutionally enhance punishment by reference to a previous conviction that had been obtained in violation of a constitutional right of the defendant, such as the right to counsel protected by the Sixth and Fourteenth Amendments to the Constitution of the United States; and, where a state court record reflects that a jury in imposing an enhanced term of imprisonment on a person convicted of being an habitual criminal considered or may have considered a constitutionally invalid prior conviction, the habitual criminal sentence that was imposed must generally be set aside and the case sent back to the sentencing court for appropriate proceedings. Reeves v. Mabry, 615 F.2d 489 (8th Cir. 1980).

Where in sentencing defendant, the statements of defendant following his arrest to a police officer giving a detailed account of prior felony convictions, and the use of the officer's testimony without evidence being offered as to whether or not defendant was represented by counsel on any of his prior convictions so as to possibly render them constitutionally infirm, clearly violated a substantial right of the defendant and constituted error under § 16-41-101, Rule 103, thus requiring a new trial. Addington v. State, 2 Ark. App. 7, 616 S.W.2d 742 (1981).

Where accused insisted that the state failed to show that he had been represented by counsel in his five prior convictions in another state, but the evidence indicated that the defendant's judgment and sentence forms clearly stated that the defendant had been represented by an attorney at all appearances, the prior foreign convictions were properly used for enhancement purposes. Knight v. State, 277 Ark. 213, 640 S.W.2d 442 (1982).

—Juvenile Adjudications.

A prior juvenile delinquency adjudication cannot be considered as a conviction for purposes of sentence enhancement as a habitual offender. Vanesch v. State, 70 Ark. App. 277, 16 S.W.3d 306 (2000).

—Misdemeanors.

A misdemeanor, no matter how frequent, should not be treated as a substitute for one of the predicate felony convictions used for habitual offender statutes. Lawson v. State, 295 Ark. 37, 746 S.W.2d 544 (1988).

Use of a felony, which would otherwise be only a misdemeanor and becomes a felony simply by virtue of its repetition (for example a conviction under § 5-65-111(b)(3)), for habitual offender purposes, is specifically condemned. Lawson v. State, 295 Ark. 37, 746 S.W.2d 544 (1988).

Legislature did not intend that the specific criminal enhancement statute for driving while intoxicated, § 5-65-111, should be coupled with this section, the general criminal enhancement statute, for the resulting purpose of creating a greater sentence than if either statute had been applied singly. Lawson v. State, 295 Ark. 37, 746 S.W.2d 544 (1988).

—Related Offenses.

Felony convictions for the related offenses of possession of a controlled substance under § 5-64-401 and possession of drug paraphernalia under § 5-64-403 fall under two separate statutes and are not considered one offense for the purposes of sentencing under this section. McCullough v. State, 44 Ark. App. 99, 866 S.W.2d 845 (1993).

Convictions for two drug offenses on the same day, while probably related, did not count as only one prior felony conviction for the purposes of sentence enhancement. Jackson v. State, 47 Ark. App. 86, 885 S.W.2d 303 (1994).

—Tried As Adult.

Defendant's habitual offender sentence to a term of life imprisonment was affirmed where he had committed two prior violent felonies as a minor but was tried as an adult, those prior convictions were properly admitted, and defendant and the State acknowledged that defendant would receive an automatic life sentence for being a “three striker” under this section. Price v. State, 2019 Ark. 323, 588 S.W.3d 1 (2019).

Cruel and Unusual Punishment.

Doubling a sentence for a person convicted twice for a drug-related offense is not cruel and unusual punishment. Pridgeon v. State, 266 Ark. 651, 587 S.W.2d 225 (1979).

Where defendant had prior felony convictions and was convicted of four separate counts of an offense, sentence was neither an abuse of discretion nor cruel and unusual punishment. Duncan v. State, 267 Ark. 41, 588 S.W.2d 432 (1979).

Double Jeopardy.

Application of this section does not constitute double jeopardy. Wright v. State, 267 Ark. 264, 590 S.W.2d 15 (1979).

The state can use the defendant's prior felony convictions to convict him of felony in possession of a firearm and then use the same prior felony convictions to enhance the penalty for that conviction. The defendant was not convicted of two offenses which share the same elements, and thus he was not twice put in jeopardy for the same offense. Traylor v. State, 304 Ark. 174, 801 S.W.2d 267 (1990).

Effect of Amendments.

The 1993 amendment amends this section such that the minimum sentences for habitual offenders are equal to the minimum sentences for non-habitual offenders. State v. Murphy, 315 Ark. 68, 864 S.W.2d 842 (1993).

Impermissible Classifications.

Charges brought under the Habitual Offender Act based on an impermissible classification such as race would, of course, be unconstitutional. Beavers v. Lockhart, 755 F.2d 657 (8th Cir. 1985).

Information.

Amendment of an information to increase allegations from two to three prior felony convictions did not increase the statutory punishment range and did not result in prejudice sufficient to warrant a new trial. Christian v. State, 318 Ark. 813, 889 S.W.2d 717 (1994).

On remand of defendant's criminal conviction for aggravated robbery and felon in possession of a firearm, the state was permitted to a file an amended information alleging defendant's habitual-offender status pursuant to this section as defendant had been convicted of four counts of rape and one count of aggravated robbery in a separate case. Townsend v. State, 355 Ark. 248, 134 S.W.3d 545 (2003).

Even though a prosecutor was not allowed to amend a felony information under § 16-85-407 in a theft of property case to show the value of a vehicle stolen since that changed the class of the crime, there was no reversible error because the sentence imposed was less than the maximum for either the amended or the original charge. Therefore, defendant was not prejudiced. Ward v. State, 97 Ark. App. 294, 248 S.W.3d 489 (2007).

Circuit court did not err in sentencing defendant as a habitual offender because there was no error in the form of the amended felony information; the amended felony information incorporated by reference the charges included in the original information and quoted the habitual-offender statute, and that was sufficient to alert defendant to the fact that he could be sentenced as a habitual offender and that his prior convictions could be considered in assessing an enhanced sentence. Glaze v. State, 2011 Ark. 464, 385 S.W.3d 203 (2011).

There was no error in the timing of the amendment of the felony information because the amendment did not change the nature of the crime charged, and there was no basis for concluding that defendant was unfairly surprised by the state's amended felony information; prior to the filing of the amended felony information, defendant received a certified copy of the judgment and commitment order convicting him of three prior felonies. Glaze v. State, 2011 Ark. 464, 385 S.W.3d 203 (2011).

Defendant serving sentence for second-degree murder was not entitled to proceed on a writ of error coram nobis because (1) his claims that the information was not properly amended and that the sentence was therefore invalid were not extrinsic to the record and could have been made at trial, and (2) a claim of ineffective assistance of counsel for failure to object was not a ground for the writ. Rainer v. State, 2019 Ark. 42, 566 S.W.3d 462 (2019).

Instruction.

Where at least two prior convictions were admitted by a defendant, it was not error to refuse to instruct the jury with regard to the range of punishment if no such convictions were shown. Wilson v. State, 262 Ark. 339, 556 S.W.2d 657 (1977).

Where the state offered proof that the defendant in a capital felony murder case had been convicted of five prior felonies, two of which involved threats or violence, the trial court did not err in allowing the state to prove all five prior felonies where the court clearly instructed the jury that they were to consider only the two convictions involving threats or violence as aggravating circumstances and that the other convictions were to be considered only for enhancement purposes. Hill v. State, 275 Ark. 71, 628 S.W.2d 284 (1982), cert. denied, Hill v. Arkansas, 459 U.S. 882, 103 S. Ct. 180 (1982).

Defendant was not prejudiced by jury instruction nor by his attorney's failure to object to the instruction which incorrectly stated the number of prior convictions required where the defendant testified he had been convicted of the number of convictions stated as required in the erroneous instruction. Grooms v. Lockhart, 919 F.2d 505 (8th Cir. 1990).

The sensible meaning of the habitual offender statute is to give the jury discretion to sentence only within the parameters set out in the statute; therefore, the statute does not permit an instruction of penalties under the non-habitual offender statute. McKillion v. State, 306 Ark. 511, 815 S.W.2d 936 (1991).

In defendant's drug case, the court erroneously instructed the jury regarding penalties in the sentencing phase where it allowed for the jury to consider only the possibility of imprisonment when defendant was an habitual offender; the court failed to give the jury the option of considering only the payment of a fine, as authorized by § 5-4-104(d)(3). Jones v. State, 357 Ark. 545, 182 S.W.3d 485 (2004).

Mandatory Sentences.

The minimum sentences for habitual offenders are mandatory. State v. Freeman, 312 Ark. 34, 846 S.W.2d 660 (1993).

The trial court exceeded its authority by ignoring the dictates of § 5-4-104(a) and by suspending imposition of five of six years contrary to the mandate of by subdivision (a)(4). State v. Freeman, 312 Ark. 34, 846 S.W.2d 660 (1993).

Sentencing under this section is mandatory, not optional. State v. Murphy, 315 Ark. 68, 864 S.W.2d 842 (1993).

The word “may” in this section indicates that the jury or the trial court, whichever is considering the sentence to be imposed, has only the discretion to sentence an accused within the range of punishment set out in the recidivist statute. State v. Murphy, 315 Ark. 68, 864 S.W.2d 842 (1993).

Notice of Charge.

Where defendant was on parole from former convictions, and had been advised during plea negotiations that habitual criminal charges would be filed, he was not in a position to complain of prejudice or allege surprise. Duke v. State, 266 Ark. 697, 587 S.W.2d 570 (1979).

The purpose of the requirement in habitual criminal cases that the state allege the previous offenses in the indictment is to afford the defendant notice and give him an opportunity to refute the charges. Reed v. State, 282 Ark. 492, 669 S.W.2d 192 (1984).

The defendant's argument that an allegation in an information of “more than two” prior convictions was too vague to inform a defendant adequately of the charge against him was without merit because the defendant was placed on notice by the amended information that he was being charged as an habitual offender with a minimum of three convictions. Reed v. State, 282 Ark. 492, 669 S.W.2d 192 (1984).

An amended information alleging two or more previous felony convictions put defendant on notice that he would have to defend at least two convictions. Stephens v. State, 15 Ark. App. 352, 693 S.W.2d 64 (1985).

Where defendant was put on notice that the state intended to make an amendment to the information to enhance defendant's punishment through the habitual offender statute, and the defendant was not surprised when the trial court allowed the information to be amended so as to allow for enhancement of his punishment upon conviction, it was not error for the state to amend its information, charging appellant as a habitual criminal, on the day of trial. Traylor v. State, 304 Ark. 174, 801 S.W.2d 267 (1990).

Proof.

A prior judgment of conviction, based on a guilty plea, for the purposes of this section, need not show the plea was freely and voluntarily made, since it is assumed that such was the case when the defendant was represented by an attorney, unless the contrary is shown. Brown v. State, 264 Ark. 248, 570 S.W.2d 251 (1978).

The burden was upon the prosecution to offer proof showing that the attending felonies were not the objects of their respective burglaries so as to constitute separate prior convictions and avoid the provisions of subsection (c). Steffen v. State, 267 Ark. 402, 590 S.W.2d 302 (1979).

The burden is on the prosecution to offer proof that the attending felony is not the object of the burglary and where no such proof was shown by the state, defendant's prior conviction of burglary and theft could only be counted as one offense and would not support an enhanced sentence. Ellis v. State, 270 Ark. 243, 603 S.W.2d 891 (1980); Walker v. Lockhart, 807 F.2d 136 (8th Cir. 1986).

A previous conviction or finding of guilt of a felony may be proved by any evidence that satisfies the trier of fact beyond a reasonable doubt that the defendant was convicted or found guilty. Ply v. State, 270 Ark. 554, 606 S.W.2d 556 (1980).

This section only requires proof of a prior conviction, not the underlying elements of the conviction. Hill v. State, 275 Ark. 71, 628 S.W.2d 284 (1982), cert. denied, Hill v. Arkansas, 459 U.S. 882, 103 S. Ct. 180 (1982).

Where the defendant had three prior convictions in another state and all three convictions were punishable by imprisonment of a term in excess of one year, the evidence was sufficient to support the extended term under this habitual offender statute. McGirt v. State, 289 Ark. 7, 708 S.W.2d 620 (1986).

For the purpose of sentence enhancement, the state may prove a prior conviction by any evidence that satisfies the court beyond a reasonable doubt that the defendant was convicted or found guilty. Stewart v. State, 300 Ark. 147, 777 S.W.2d 844 (1989).

A record of a prior conviction may be used for enhanced sentencing purposes if the record of such conviction shows on its face that the accused was represented by counsel at the time of the plea. Robinson v. State, 314 Ark. 243, 861 S.W.2d 548 (1993).

The state's failure to provide proof of the defendant's prior convictions during the sentencing phase required reversal of the court's finding that the defendant was a habitual offender. Mackey v. State, 56 Ark. App. 164, 939 S.W.2d 851, superseded, 329 Ark. 229, 947 S.W.2d 359 (1997).

Although the docket sheet did not reflect an entry of judgment, there was no error in allowing the admission of a certified copy of the trial court's docket notations reflecting a suspended sentence to help prove a prior conviction of a felony. Mulkey v. State, 330 Ark. 113, 952 S.W.2d 149 (1997).

Propriety of Sentence.

Defendant's sentence was not illegal on its face; although she was given a sentence greater than the presumed one, her sentence was authorized pursuant to this section, which governs sentencing for habitual offenders. Brown v. State, 85 Ark. App. 382, 155 S.W.3d 22 (2004).

Saline County court did not err in sentencing defendant as a habitual offender under subsection (b) of this section after defendant was convicted of felonies in Pulaski County where two days separated defendant's theft of a pick-up truck and defendant's crimes during a high-speed chase. Defendant's crimes involved multiple acts, harmed different people, and occurred at different locations in different counties. Misenheimer v. State, 100 Ark. App. 189, 265 S.W.3d 764 (2007).

Petitioner's 900-month prison sentence as a habitual offender for the offenses of aggravated robbery, theft of property, and two counts of second-degree battery was not illegal because the sentence was within the range provided in subdivision (b)(2)(A) of this section. Reed v. Hobbs, 2012 Ark. 61 (2012).

Trial court did not err in sentencing defendant to 30 years in prison as a habitual offender because defendant was convicted of four Class C felonies and one Class B felony, and therefore faced a maximum sentence of 160 years in prison as a habitual offender under subdivisions (b)(2)(C) and (D) of this section. Turner v. State, 2012 Ark. App. 150, 391 S.W.3d 358 (2012).

Upon defendant's conviction for rape and second-degree battery, the circuit court erred in ordering him to complete a sex-offender treatment program because he was sentenced under § 5-4-401 and this section—these statutes did not authorize the court to order a sex-offender treatment program. White v. State, 2012 Ark. 221, 408 S.W.3d 720 (2012).

Inmate's appeal of the denial of the inmate's petition to correct an illegal sentence, pursuant to § 16-90-111, was dismissed because (1) Ark. R. Crim. P. 37.2(b) said all postconviction relief grounds cognizable under Ark. R. Crim. P. 37.1 had to be raised in a Rule 37.1 petition filed within 90 days of the date of judgment when a defendant pled guilty, even though Ark. Code Ann. § 16-90-111 let a trial court correct an illegal sentence at any time, as the statute was superseded to the extent the statute conflicted with the Rule's time limits, (2) the petition was filed over six years after judgment was entered, (3) the time limits in Ark. R. Crim. P. 37.2 were jurisdictional, denying a trial court jurisdiction if the time limits were not met, and, on appeal, a reviewing court, and (4) the inmate's sentence was within the prescribed statutory ranges in subdivision (b)(2)(A) of this section and § 5-4-401(b)(1). Redus v. State, 2013 Ark. 9 (2013).

Where defendant was guilty of violating § 5-64-401(a)(1) (repealed by 2011 Ark. Acts 570, § 33) and § 5-64-403(c)(5) and the circuit court sentenced him as a habitual offender pursuant to the this section, the sentence was nonetheless illegal because under subdivision § 5-64-301(a)(2), the circuit court did not have the authority to suspend 10 years of the 15-year sentence it imposed. State v. O'Quinn, 2013 Ark. 219, 427 S.W.3d 668 (2013).

Defendant was charged with only one crime: engaging in a continuing criminal enterprise under § 5-64-405, and although the State charged him as a habitual offender, habitual-offender status is not a separate crime or offense, and the sentence had to be modified accordingly. Hunter v. State, 2017 Ark. App. 256, 522 S.W.3d 793 (2017).

Defendant's 10-year sentence for possession of a firearm by a felon was within the statutory range of punishment for a Class D felony committed by a defendant previously convicted of four or more felonies, and the circuit court's decision to run the sentence consecutively to defendant's other sentence was within the court's discretion. McNeely v. State, 2017 Ark. App. 483, 530 S.W.3d 876 (2017).

Defendant's claim that he was convicted of an offense for which he was not charged and that he had to be sentenced under subsection (a) of this section did not entitle him to proceed on a writ of error coram nobis; the notation concerning subsection (a) of this section on the judgment appeared to be a scrivener's error since the jury was instructed on subsection (c) of this section and the two prior convictions described in the information did not fall within the parameters of subsection (a) as one was for second-degree murder, and the factual basis for defendant's claims did not implicate the facial validity of the trial court's judgment or jurisdiction. Rainer v. State, 2019 Ark. 42, 566 S.W.3d 462 (2019).

Representation by Counsel.

A prior conviction cannot be used to enhance punishment unless the defendant was represented by counsel or he validly waived counsel. Mangiapane v. State, 46 Ark. App. 64, 46 Ark. App. 65, 876 S.W.2d 610 (1994).

Where the docket sheet in question included an express notation from which it could reasonably be inferred that counsel was appointed to represent defendant, and that that representation continued throughout the course of the proceedings since there was no entry showing that counsel had been dismissed, defendant's enhanced sentence was approved. Mangiapane v. State, 46 Ark. App. 64, 46 Ark. App. 65, 876 S.W.2d 610 (1994).

A prior conviction cannot be used to enhance punishment unless the defendant was represented by counsel or validly waived counsel. Byrum v. State, 318 Ark. 87, 884 S.W.2d 248 (1994).

Where the state had supplied the defendant with a “pen pack” for each prior conviction which did not reflect the defendant had an attorney in each case, but the docket entries showing representation were not supplied to defense counsel prior to the sentencing phase of trial, defendant's objection was meritless since the defense had been put on notice the state was going to ask for sentence enhancement because of the prior convictions and should have anticipated the pen pack's deficiency regarding prior representation being corrected. Byrum v. State, 318 Ark. 87, 884 S.W.2d 248 (1994).

A conviction cannot be used to enhance punishment under the recidivist statutes unless the records of prior convictions show that the defendant was represented by counsel or waived counsel. Bradley v. State, 320 Ark. 100, 896 S.W.2d 425 (1995).

Handwritten notations on the docket sheet, stating that defendant had waived his right to counsel, were sufficient to allow the conviction to be used for enhancement purposes. Bradley v. State, 320 Ark. 100, 896 S.W.2d 425 (1995).

Retrial.

Defendant could be tried as an habitual offender on retrial, even though his habitual offender status was not prosecuted in the first trial; raising the defendant's habitual offender status at the second trial did not constitute prosecutorial vindictiveness. Gardner v. State, 332 Ark. 33, 963 S.W.2d 590 (1998).

Where defendant was convicted of delivery of methamphetamine, defendant pled guilty to eight other felony drug charges during the pendency of his appeal; after his first case was reversed and remanded, the state did not err by using the felony convictions to amend the information to allege that defendant was subject to punishment as a habitual offender under this section. During defendant's new trial, the circuit court did not err in instructing the jury of defendant's habitual-offender status; defendant was clearly eligible for an enhanced sentence. Phavixay v. State, 2009 Ark. 452, 352 S.W.3d 311 (2009).

Role of Jury or Judge.

The judge and not the jury should determine whether a defendant is an habitual offender. Lovelace v. Lockhart, 765 F.2d 742 (8th Cir. 1985), cert. denied, 474 U.S. 1010, 106 S. Ct. 538 (1985).

Waiver form provided that defendant was facing sentences for up to 15 years, which range clearly showed the enhanced sentencing range, as ordinarily the range was not to exceed six years for a Class D felony, plus the circuit court directly referenced the enhanced punishment ranges and asked defendant if he understood the same; the waiver ensured that defendant understood that, if found guilty, he was to be sentenced by the circuit court, and his waiver was valid. Johns v. State, 2014 Ark. App. 560, 444 S.W.3d 873 (2014).

Sentences.

Sentence imposed was consistent with the language of this section. Wright v. State, 267 Ark. 264, 590 S.W.2d 15 (1979).

Where sentence was erroneously enhanced on basis of prior conviction, such error did not mandate a new trial since Supreme Court could reduce the sentence in lieu of reversing and remanding for a new trial. Ellis v. State, 270 Ark. 243, 603 S.W.2d 891 (1980).

Where defendant successfully challenged the use of foreign convictions in enhancing his sentence, but never challenged Arkansas felony convictions introduced in evidence, and where, under the law in force at the time of his conviction, the minimum punishments under the recidivist statutes would have been imprisonment for 21 years and the circuit judge could have made the sentences for the two offenses run concurrently in order to make certain that defendant had not suffered any prejudice, his sentence would be reduced to 21 years. Klimas v. State, 271 Ark. 508, 609 S.W.2d 46 (1980).

Although the evidence was insufficient to support the finding that the defendant in a burglary prosecution had violated § 5-4-505 (repealed), resentencing the defendant was unnecessary where the sentence that the defendant had received was the minimum sentence he could have received under this section as an extended term of punishment. Jordon v. State, 274 Ark. 572, 626 S.W.2d 947 (1982).

Sentence of term of imprisonment and fine was within the range of sentences for a defendant convicted of a class B felony who had eight previous felony convictions. Davis v. State, 275 Ark. 264, 630 S.W.2d 1 (1982).

The use of the word “may” in § 5-4-401 and this section does not mean that, in all habitual offender cases, the provisions of both sections are available and that the court is required to choose from those two statutes; the sentences for habitual offenders are governed by this section and the minimum sentences for habitual offenders are different than for persons who have not been convicted of two or more felonies. Rogers v. State, 10 Ark. App. 19, 660 S.W.2d 949 (1983).

Defendant charged with delivery of a controlled substance under § 5-64-401(a)(1)(i) and as an habitual offender under this section was subject to the range of sentences for class Y felonies under this section. Williams v. State, 292 Ark. 616, 732 S.W.2d 135 (1987).

Trial court did not err in allowing prior felony convictions into evidence in sentencing phase of trial. Shells v. State, 22 Ark. App. 62, 733 S.W.2d 743 (1987).

There is no provision under Arkansas law or the United States Constitution which prohibits a sentence of a term of years which exceeds usual life span of human beings. Malone v. State, 294 Ark. 127, 741 S.W.2d 246 (1987); Luckey v. State, 302 Ark. 116, 787 S.W.2d 244 (1990); Franklin v. State, 308 Ark. 539, 825 S.W.2d 263 (1992).

Sentence of “more than life” would be life without possibility of parole or death, the only penalties more severe than life in prison. Malone v. State, 294 Ark. 127, 741 S.W.2d 246 (1987).

Defendant who was convicted of aggravated robbery and as an habitual offender was properly sentenced to 40 years imprisonment under subdivision (b)(1), since aggravated robbery is a Class Y felony and those provisions of § 5-12-103(c) (repealed) which contained enhancement provisions were repealed by Acts 1981, No. 620, § 13. Tippitt v. State, 294 Ark. 342, 742 S.W.2d 931 (1988).

The word “may” in this section does not mean the jury is permitted, but not required, to sentence defendant to twenty to forty years but that the jury may sentence the offender to any term of years between twenty and forty. Hart v. State, 301 Ark. 200, 783 S.W.2d 40 (1990).

The court reduced the sentence for possession with intent to deliver cocaine from a term of sixty years to fifty years, the maximum term of years under subdivision (a)(7) of this section, in accordance with § 16-91-113(c)(3). Nichols v. State, 306 Ark. 417, 815 S.W.2d 382 (1991).

A sentence of 300 years did not exceed life imprisonment since the only sentences greater than life would be life without parole and death. Franklin v. State, 308 Ark. 539, 825 S.W.2d 263 (1992).

Imposition of life sentence was proper where defendant was convicted of rape, a class Y felony, and with a record of four prior felonies, the range of his punishment was forty years to life imprisonment. Henderson v. State, 310 Ark. 287, 835 S.W.2d 865 (1992).

Sentence of “more than life” is defined as life without parole or death; therefore, two sentences of one hundred years each for two aggravated robbery convictions were within the statutory limits of subdivision (b)(1) and thus were not facially illegal. Claiborne v. State, 319 Ark. 537, 893 S.W.2d 324 (1995).

The court erred in reducing defendant's jury sentence from thirty to fifteen years where the jury's sentence was within the range of permissible sentences under this section. Ashe v. State, 57 Ark. App. 99, 942 S.W.2d 267.

There was no double jeopardy violation where defendant was sentenced for violating both subdivision (a)(1)(i) of this section (possession with intent to deliver a controlled substance) and § 5-74-106 (simultaneous possession of drugs and firearms); the legislature made it clear that it wished to assess an additional penalty for simultaneously possessing drugs and a firearm. Rowbottom v. State, 341 Ark. 33, 13 S.W.3d 904 (2000).

Sentencing defendant under the specific provisions of § 5-26-305(b), which enhanced the offense to a Class D felony, and to also sentence him under this section, the general habitual offender statute, was impermissible and resulted in an illegal sentence of twelve years imprisonment that had to be corrected. Banks v. State, 354 Ark. 404, 125 S.W.3d 147 (2003).

Trial court did not err in sentencing defendant, who was convicted of two counts of committing a terroristic act, to 30 years' imprisonment pursuant to the “three strikes” provision of subdivision (d)(1) of this section based on the fact that he had been convicted the previous month of three counts of aggravated robbery in an unrelated case. Benson v. State, 86 Ark. App. 154, 164 S.W.3d 495 (2004).

Because defendant pled guilty to a Class C felony as a habitual offender, the circuit court was required to sentence her in accordance with § 5-4-301(a)(2) and subdivision (a)(2)(D) of this section, and the circuit court exceeded its statutory authority when it placed defendant on probation; defendant knew about the statute's sentencing range and, at the time of defendant's plea in open court, the circuit court expressly reiterated that her offense carried with it a sentencing range of three to twenty years' imprisonment. State v. Joslin, 364 Ark. 545, 222 S.W.3d 168 (2006).

In a case involving a habitual offender, a 15-year sentence imposed for felony weapon possession was illegal because the maximum sentence allowed under § 5-4-501(a)(2)(E) was 12 years. Ward v. State, 97 Ark. App. 294, 248 S.W.3d 489 (2007).

Circuit court erred in sentencing defendant under § 16-90-201 because the statute was repealed by implication with the enactment of this section, and the effect of sentencing defendant under § 16-90-201 was prejudicial since there was the possibility that the jury would have returned a sentence less than the minimum set forth in § 16-90-201; because sentencing had to be determined by the law in effect at the time of the commission of a crime, defendant was entitled to a jury instruction in accordance with this section, the Criminal Code's habitual-offender statute. Glaze v. State, 2011 Ark. 464, 385 S.W.3d 203 (2011).

General Assembly clearly took up the subject matter of the enhanced sentencing of habitual offenders anew in this section, the more current statute, and the conflict between § 16-90-201 and this section is irreconcilable, resulting in a repeal by implication of § 16-90-201; a plain reading of this section and § 16-90-201 makes clear that this section is the more comprehensive statute, covering the same subject matter as § 16-90-201 as well as including additional provisions to provide for the sentencing of habitual offenders who are convicted of serious and violent felonies, and it is further evident that the two statutes cannot be read together harmoniously, as the two statutes cannot be read together harmoniously, as the sentencing ranges prescribed by each statute conflict. Glaze v. State, 2011 Ark. 464, 385 S.W.3d 203 (2011).

Defendant's sentence was proper under §§ 5-4-501 to 5-4-504 because the reference, “Attorney: Public Defender,” was sufficient to prove that defendant was represented by counsel regarding his Illinois conviction for aggravated robbery. There was no supplemental testimony explaining the reference, but it was clear that a “public defender” could only reasonably reference representation for defendant; thus, the designated reference in the pen pack was sufficient to satisfy the state's burden in the case. Anthony v. State, 2011 Ark. App. 660 (2011).

Denial of writ of habeas corpus was proper, because life imprisonment for aggravated robbery was within the statutory range, irrespective of any enhancement as a habitual offender, and a sentence that was within the prescribed range was not illegal. Goins v. Norris, 2012 Ark. 192 (2012).

In an aggravated robbery case where habitual offender status was at issue, a trial court did not err by refusing to give the jury an instruction on the sentences that appellant had received in federal court for prior bank robbery convictions because it was within the trial court's discretion to do so, pursuant to § 16-97-103(2). Walden v. State, 2012 Ark. App. 307, 419 S.W.3d 739 (2012).

In an aggravated robbery case, an issue relating to a motion for a new trial was preserved for appellate review because an oral motion prior to the entry of the judgment and commitment order was made in open court, the state was aware that the motion had been made, and the state was given an opportunity to respond. However, because appellant received a sentence within the statutory range short of the maximum, he was not prejudiced by an victim-impact statement, and a new trial was not warranted; appellant received a 60-year term of imprisonment, but the maximum he could have received was life in prison. Walden v. State, 2012 Ark. App. 307, 419 S.W.3d 739 (2012).

Defendant originally pleaded guilty and was sentenced as a habitual offender, despite the failure of the judgment to indicate that fact; the circuit court was free to correct a clerical error to have the judgment speak the truth, and thus defendant was not illegally sentenced. Heard v. State, 2014 Ark. App. 674 (2014).

Defendant's sentence was affirmed because defendant could not challenge his prior convictions used for enhancement purposes for the first time on appeal, his sentence was within the permissible statutory range for a defendant convicted of a Class C felony who had four or more prior felony convictions, and defendant's argument that the State did not prove that he was represented by counsel in each of those convictions was not preserved for appellate review where it was not previously raised. Slater v. State, 2015 Ark. App. 94 (2015).

Defendant's sentence on the sexual indecency conviction was illegal to the extent it exceeded 12 years. McMullin v. State, 2016 Ark. App. 181, 486 S.W.3d 818 (2016).

Defendant was charged as a habitual offender, having been previously convicted of four felonies, and the jury convicted him of a Class D felony for possessing a usable amount of cocaine, and thus the jury could have imposed punishment within a range of zero years to not more than 15 years in prison; the circuit court explicitly considered defendant's criminal history and determined that an alternative sentence of probation would not be appropriate, and this was not an abuse of discretion, but an exercise of it. Wells v. State, 2017 Ark. App. 174, 518 S.W.3d 106 (2017).

Because defendant received 40 years on each count of threatening a judicial officer, as enhanced under this section, the sentence was above the statutory range and therefore illegal. Defendant's sentence for first-degree terroristic threatening also was facially illegal. Radford v. State, 2018 Ark. App. 89, 538 S.W.3d 894 (2018).

Trial court expressly accepted defendant's no-contest plea to domestic battery in the second degree after a lengthy discussion, and because the trial court accepted the plea, it was within the trial court's discretion to determine whether it would allow defendant to withdraw his plea; defendant failed to show that the trial court abused its discretion by not allowing him to withdraw his plea after entry or that a manifest injustice occurred when the trial court increased his active sentence from the 3 years in the agreement to 12 years and then to 20 years because the trial court was within its authority to sentence him under this section. Lee v. State, 2018 Ark. App. 116, 544 S.W.3d 71 (2018).

Petitioner's appeal of the order dismissing his pro se petition for a writ of habeas corpus was dismissed because his concurrent sentences fell within the maximum sentences allowed under the law at the time the offenses were committed and therefore were not illegal on the face of the judgment and there was no showing that the trial court lacked jurisdiction. Johnson v. Kelley, 2019 Ark. 230, 577 S.W.3d 710 (2019).

Waiver.

Where a defendant sentenced as an habitual offender objected to his sentence based upon the fact that no showing was made that he was represented by counsel in the underlying misdemeanor convictions used to advance the conviction to a felony, failed to adduce proof at trial to show lack of representation and also did not raise the issue, any procedural error upon which reversal might be based was waived by his failure to assert it. Wing v. State, 14 Ark. App. 190, 686 S.W.2d 452 (1985).

Where defendant argued in the trial court that his two prior convictions for rape and kidnapping should count as one offense because they occurred on the same date, defendant waived his right to raise the new claim on appeal that the two offenses should count as one because the state had not shown that the force used to commit the kidnapping did not exceed that needed to commit the rape; however, the trial court erred in sentencing defendant to life without parole because defendant was eligible for parole under § 16-93-1302. Mayes v. State, 351 Ark. 26, 89 S.W.3d 926 (2002).

Because defendant expressly waived presentation of proof as to both charges and the enhancement, the circuit court's denial of his petition to correct an illegal sentence under § 16-90-111 was not clearly erroneous; the circuit court had found that defendant entered a negotiated plea of nolo contendere to false imprisonment and manslaughter, pleaded to the manslaughter charge as a habitual offender, and waived the presentation of proof and evidence as to the charges to which he was eventually sentenced as well as the enhancement of the charges. Johnson v. State, 2019 Ark. App. 68, 571 S.W.3d 519 (2019).

Cited: Wilson v. State, 261 Ark. 820, 552 S.W.2d 223 (1977); Thomas v. State, 262 Ark. 79, 553 S.W.2d 32 (1977); Houston v. State, 263 Ark. 607, 566 S.W.2d 403 (1978); Brown v. State, 264 Ark. 248, 570 S.W.2d 251 (1978); Taylor v. Mabry, 593 F.2d 318 (8th Cir. 1979); Cox v. Hutto, 476 F. Supp. 906 (E.D. Ark. 1979); Hixson v. State, 266 Ark. 778, 587 S.W.2d 70 (1979); Cox v. Hutto, 619 F.2d 731 (8th Cir. 1980); Thorne v. State, 269 Ark. 556, 601 S.W.2d 886 (1980); Jones v. State, 270 Ark. 328, 605 S.W.2d 7 (1980); Norton v. State, 271 Ark. 451, 609 S.W.2d 1 (1980); Shelton v. State, 271 Ark. 342, 609 S.W.2d 18 (1980); Hixson v. Housewright, 642 F.2d 242 (8th Cir. 1981); Morrow v. State, 271 Ark. 806, 610 S.W.2d 878; Loane v. State, 271 Ark. 797, 611 S.W.2d 190 (1981); Conley v. State, 272 Ark. 33, 612 S.W.2d 722 (1981); Thorne v. State, 274 Ark. 102, 622 S.W.2d 178 (1981); Crafton v. State, 274 Ark. 319, 624 S.W.2d 440 (1981); Thomas v. State, 2 Ark. App. 238, 620 S.W.2d 300 (1981); Scroggins v. State, 276 Ark. 177, 633 S.W.2d 33 (1982); Griffin v. State, 276 Ark. 266, 633 S.W.2d 708 (1982); Gilbert v. State, 277 Ark. 61, 639 S.W.2d 346 (1982); Harris v. State, 6 Ark. App. 89, 638 S.W.2d 698 (1982); Stocker v. State, 280 Ark. 450, 658 S.W.2d 879 (1983); Johnson v. Lockhart, 746 F.2d 1367 (8th Cir. 1984); Glenn v. State, 281 Ark. 454, 664 S.W.2d 868 (1984); Shockley v. State, 282 Ark. 281, 668 S.W.2d 22 (1984); McDonald v. State, 284 Ark. 201, 680 S.W.2d 703 (1984); Williams v. State, 11 Ark. App. 11, 665 S.W.2d 299 (1984); Mitchell v. State, 12 Ark. App. 263, 675 S.W.2d 373 (1984); Clinkscale v. State, 13 Ark. App. 149, 680 S.W.2d 728 (1984); Lawrence v. Lockhart, 767 F.2d 449 (8th Cir. 1985); Schwindling v. Smith, 777 F.2d 431 (8th Cir. 1985); Peters v. State, 286 Ark. 421, 692 S.W.2d 243 (1985); Neely v. State, 18 Ark. App. 122, 711 S.W.2d 482 (1986); Murdock v. State, 18 Ark. App. 228, 712 S.W.2d 321 (1986); Kinsey v. State, 290 Ark. 4, 716 S.W.2d 188 (1986); Denton v. State, 290 Ark. 24, 716 S.W.2d 198 (1986); Graham v. State, 290 Ark. 107, 717 S.W.2d 203 (1986); Leggins v. Lockhart, 649 F. Supp. 894 (E.D. Ark. 1986); Nelson v. Lockhart, 828 F.2d 446 (8th Cir. 1987); Shockley v. State, 291 Ark. 251, 724 S.W.2d 156 (1987); Williams v. State, 22 Ark. App. 253, 739 S.W.2d 174 (1987); Smith v. Lockhart, 882 F.2d 331 (8th Cir. 1989); Smith v. State, 300 Ark. 330, 778 S.W.2d 947 (1989); Robinson v. State, 303 Ark. 351, 797 S.W.2d 425 (1990); Cranford v. State, 303 Ark. 393, 797 S.W.2d 442 (1990); Johnson v. Lockhart, 921 F.2d 796 (8th Cir. 1990); Gomez v. State, 305 Ark. 496, 809 S.W.2d 809 (1991); Evans v. State, 310 Ark. 397, 836 S.W.2d 384 (1992); Talley v. State, 312 Ark. 271, 849 S.W.2d 493 (1993); Gaines v. State, 313 Ark. 561, 855 S.W.2d 956 (1993); Terry v. Endell, 32 F.3d 325 (8th Cir. 1994); Bray v. State, 322 Ark. 178, 908 S.W.2d 88 (1995); Williams v. State, 325 Ark. 432, 930 S.W.2d 297 (1996); Wright v. State, 327 Ark. 455, 939 S.W.2d 835 (1997); Leaks v. State, 339 Ark. 348, 5 S.W.3d 448 (1999); Bunch v. State, 346 Ark. 33, 57 S.W.3d 124 (2001); Coleman v. State, 2017 Ark. 218 (2017).

5-4-502. Habitual offenders — Sentencing procedure.

The following procedure governs a trial at which a sentence to an extended term of imprisonment is sought pursuant to § 5-4-501:

  1. The jury shall first hear all evidence relevant to the felony with which the defendant is currently charged and shall retire to reach a verdict of guilt or innocence on this charge;
    1. If the defendant is found guilty of the felony, out of the hearing of the jury the trial court shall hear evidence of the defendant's prior felony convictions or prior findings of the defendant's guilt of felonies and shall determine the number of prior felony convictions, if any.
    2. The defendant shall have the right to hear and controvert evidence described in subdivision (2)(A) of this section and to offer evidence in his or her support;
    1. The trial court shall then instruct the jury as to the number of prior felony convictions and the statutory sentencing range.
    2. The jury may be advised as to the nature of a prior felony conviction and the date and place of a prior felony conviction; and
  2. The jury shall retire again and then determine a sentence within the statutory range.

History. Acts 1975, No. 280, § 1005; 1977, No. 474, § 7; 1981, No. 252, § 3; A.S.A. 1947, § 41-1005.

Case Notes

Constitutionality.

This section is not unconstitutional under Ark. Const., Art. 7, § 23, since the number of prior felony convictions of the defendant is a matter of law and not a question of fact. Shockley v. State, 282 Ark. 281, 668 S.W.2d 22 (1984).

Construction.

Section 16-90-205 and this section both address the bifurcated procedure for trials involving habitual criminals; Title 16 addresses judgment and sentencing generally, and this title addresses disposition of offenders. Thomas v. State, 315 Ark. 518, 868 S.W.2d 85 (1994).

Although § 16-90-205 contains a provision which states “nothing in this subdivision shall prohibit cross-examination of a defendant as to previous convictions when the defendant takes the stand in his own defense,” this section does not contain a corresponding provision. Thomas v. State, 315 Ark. 518, 868 S.W.2d 85 (1994).

Purpose.

The habitual criminal statute was not designed to act as a deterrent but as a punitive statute that provides, in an appropriate case, that a prior conviction, regardless of the date of the crime, may be used to increase punishment. Gillie v. State, 305 Ark. 296, 808 S.W.2d 320 (1991).

Applicability.

This section is inapplicable to the Omnibus Driving While Intoxicated Act. Peters v. State, 286 Ark. 421, 692 S.W.2d 243 (1985).

This section is not inapplicable in bench trials even though it refers only to a jury. State v. Freeman, 312 Ark. 34, 846 S.W.2d 660 (1993).

Bifurcated Trial.

The trial of an habitual offender is bifurcated only to protect the defendant by withholding proof of his earlier convictions until the jury has found him guilty, and the sole purpose of the second stage is to allow the jury to consider possible enhancement of the sentence, not its reduction. Heard v. State, 272 Ark. 140, 612 S.W.2d 312 (1981) (decision prior to 1981 amendment).

Purpose of bifurcated process is to protect defendant by withholding proof of his prior convictions until jury has found him guilty. Bifurcated procedure should be followed in cases where it applies, even where prior convictions are an element of offense charged; however, this protection must be balanced with state's entitlement to prove all elements of an offense. Tatum v. State, 21 Ark. App. 237, 731 S.W.2d 227 (1987).

The General Assembly intended for the procedure in this section to apply in jury trials and, in doing so, to provide for bifurcated trials to protect the defendant by withholding proof of his earlier convictions until the jury has found him guilty. State v. Freeman, 312 Ark. 34, 846 S.W.2d 660 (1993).

The bifurcated procedures outlined in §§ 16-97-10116-97-104 are applicable to cases involving an alleged habitual offender; it was not error under this section to allow testimony and argument during the sentencing phase. Daniels v. State, 322 Ark. 367, 908 S.W.2d 638 (1995).

Compliance.

Where certified copies of judgments showing that defendant had pled guilty to prior offenses were placed in the record, there was, if not a literal compliance with the requirements of subdivision (2), certainly a substantial compliance. Jones v. State, 283 Ark. 308, 675 S.W.2d 825 (1984).

The correct statutory procedure in a bifurcated trial is, after a finding of guilt, for the trial court to hold a hearing, out of the presence of the jury, to determine the number of prior convictions and then to instruct the jury as to the number to be considered by them in fixing the punishment. Graham v. State, 290 Ark. 107, 717 S.W.2d 203 (1986).

Trial judge in a bench trial had the authority to enhance defendant's sentence. Adams v. State, 2014 Ark. App. 308, 435 S.W.3d 520 (2014).

Defendant's Evidence.

There is no indication in this section of a legislative intention to permit a habitual offender to introduce any evidence during the second stage of the trial except proof to rebut the evidence of previous convictions. Heard v. State, 272 Ark. 140, 612 S.W.2d 312 (1981) (decision prior to 1981 amendment).

Where the prosecution presented certified copies of prior foreign felony convictions, the defendant was not entitled to present testimony that he was actually innocent of the crimes and had pleaded guilty on the advice of counsel since this section does not give a defendant the right to argue his innocence at a later date when he has conceded that he pleaded guilty to each of the prior felonies. Harris v. State, 273 Ark. 355, 620 S.W.2d 289 (1981) (decision prior to 1981 amendment).

Failure of trial court to allow defendant to present claim that he pled guilty to prior felonies on advice of counsel but that he was actually innocent of the charges was not a violation of U.S. Const., Amend. 6 since a claim of innocence of the crimes charged alone does nothing to detract from the validity of a guilty plea. Harris v. Lockhart, 743 F.2d 619 (8th Cir. 1984).

Although the trial court commented to the jury that the defendant's prior convictions in another state rendered the defendant infamous, which was further evidence the jury could consider in determining whether the prior convictions were felonies, the comment was not cause for reversal. First, the defendant had no right to have a jury decide the issue; therefore, the defendant could not show any prejudice by the comment to the jury. Second, the issue of the number of prior convictions is a matter of law, not fact; thus, the prohibition against commenting on a factual issue, in Ark. Const., Art. 7, § 23, did not apply. McGirt v. State, 289 Ark. 7, 708 S.W.2d 620 (1986).

It is not mandatory that the jury know the nature, time, and place of the previous felonies; that is a matter of discretion with the trial court. Graham v. State, 290 Ark. 107, 717 S.W.2d 203 (1986).

The trial court is under no duty to sua sponte inform the jury of the nature of the previous convictions and the dates and places thereof in the absence of a request for such information by the parties or the jury. Graham v. State, 290 Ark. 107, 717 S.W.2d 203 (1986).

The purpose of the procedure set forth in subdivision (2) of this section was to enable the court to determine the number of prior convictions the jury might consider in the sentencing phase, the section does not provide that the hearing be held before the jury. It provides exactly the opposite. Traylor v. State, 304 Ark. 174, 801 S.W.2d 267 (1990).

Evidence.

Both § 16-90-205 and this section provide that evidence of prior convictions shall not be considered until after the defendant is found guilty. Thomas v. State, 315 Ark. 518, 868 S.W.2d 85 (1994).

The introduction of a prior criminal conviction is not forbidden during the guilt/innocence phase of a bifurcated trial. Thomas v. State, 315 Ark. 518, 868 S.W.2d 85 (1994).

Guilty Pleas.

Each plea of guilty to each offense is considered as a separate and previous conviction, even though concurrent sentences are imposed, under the habitual offender statutes; a defendant's claim of innocence with respect to some of the established prior convictions is irrelevant. Gilbert v. State, 277 Ark. 61, 639 S.W.2d 346 (1982).

Instruction.

In an aggravated robbery case where habitual offender status was at issue, a trial court did not err by refusing to give the jury an instruction on the sentences that appellant had received in federal court for prior bank robbery convictions because it was within the trial court's discretion to do so, pursuant to § 16-97-103(2). Walden v. State, 2012 Ark. App. 307, 419 S.W.3d 739 (2012).

Proof.

Even though the defendant may controvert evidence of his previous felony convictions and offer evidence to rebut the state's evidence, the burden remains on the state to prove such connections beyond a reasonable doubt. Leggins v. State, 267 Ark. 293, 590 S.W.2d 22 (1979).

A previous conviction or finding of guilt of a felony may be proved by any evidence that satisfies the trier of fact beyond a reasonable doubt that the defendant was convicted or found guilty. Ply v. State, 270 Ark. 554, 606 S.W.2d 556 (1980).

The trial court erred in allowing the jury to take copies of defendant's prior convictions into the deliberation room because such material is not introduced into evidence to be considered by the jury. Graham v. State, 290 Ark. 107, 717 S.W.2d 203 (1986).

Trial court permitted improper introduction of evidence of prior convictions. Costillo v. State, 292 Ark. 43, 728 S.W.2d 153 (1987), overruled, Oliver v. State, 323 Ark. 743, 918 S.W.2d 690 (1996).

For purposes of sentence enhancement, prior convictions are proven by judgments during the punishment phase of the trial. Robinson v. State, 295 Ark. 693, 751 S.W.2d 335 (1988).

Stipulations.

Stipulation as to the existence of prior convictions did not deprive defendant of due process of law nor was his right to have the state prove the prior offenses and his right to rebut that proof waived. Morrow v. State, 271 Ark. 806, 610 S.W.2d 878, cert. denied, 454 U.S. 819, 102 S. Ct. 99, 70 L. Ed. 2d 89 (1981).

Cited: Klimas v. Mabry, 599 F.2d 842 (8th Cir. 1979); Duncan v. State, 267 Ark. 41, 588 S.W.2d 432 (1979); Cox v. Hutto, 619 F.2d 731 (8th Cir. 1980); Lingo v. State, 271 Ark. 776, 610 S.W.2d 580 (1981); Price v. State, 276 Ark. 80, 632 S.W.2d 429 (1982); Montgomery v. State, 277 Ark. 95, 640 S.W.2d 108 (1982); Hunter v. State, 280 Ark. 307, 657 S.W.2d 543 (1983); Taylor v. State, 9 Ark. App. 286, 658 S.W.2d 432 (1983); Young v. State, 283 Ark. 435, 678 S.W.2d 329 (1984); Beavers v. Lockhart, 755 F.2d 657 (8th Cir. 1985); Nelson v. Lockhart, 641 F. Supp. 174 (E.D. Ark. 1986); Nelson v. Lockhart, 828 F.2d 446 (8th Cir. 1987); Houston v. State, 293 Ark. 492, 739 S.W.2d 154 (1987); Ward v. Lockhart, 841 F.2d 844 (8th Cir. 1988); Prichard v. State, 300 Ark. 10, 775 S.W.2d 898 (1989); Jones v. Arkansas, 929 F.2d 375 (8th Cir. 1991); Beard v. State, 306 Ark. 546, 816 S.W.2d 860 (1991); Lewis v. State, 41 Ark. App. 89, 848 S.W.2d 955 (1993); Benton v. State, 41 Ark. App. 167, 850 S.W.2d 36 (1993); Heard v. State, 316 Ark. 731, 876 S.W.2d 231 (1994); Rush v. State, 324 Ark. 147, 919 S.W.2d 933 (1996); Lockhart v. State, — Ark. —, — S.W.3d —, 2005 Ark. LEXIS 707 (Nov. 10, 2005); Whitson v. State, 2014 Ark. App. 283 (2014).

5-4-503. Habitual offenders — Previous conviction in another jurisdiction.

For purposes of § 5-4-501, a conviction or finding of guilt of an offense in another jurisdiction constitutes a previous conviction or finding of guilt of a felony if a sentence of death or of imprisonment for a term in excess of one (1) year was authorized under a law of the other jurisdiction.

History. Acts 1975, No. 280, § 1002; 1977, No. 474, § 5; A.S.A. 1947, § 41-1002.

A.C.R.C. Notes. This section was held to supersede § 16-90-203 in McGirt v. State, 289 Ark. 7, 708 S.W.2d 620 (1986).

Research References

Ark. L. Rev.

Conflict of Laws: Arkansas, 32 Ark. L. Rev. 1.

Case Notes

Conviction.

Evidence of defendant's prior Oklahoma deferred sentence and plea of nolo contendere to the offense of rape in the first degree held admissible for sentencing purposes. McClish v. State, 331 Ark. 295, 962 S.W.2d 332 (1998).

Felonies.

Where the defendant's prior convictions in another state carried sentences in excess of one year, all of the convictions would be considered felonies for the purpose of applying the habitual offender statute. Knight v. State, 277 Ark. 213, 640 S.W.2d 442 (1982).

Where the defendant had three prior convictions in another state and all three convictions were punishable by imprisonment of a term in excess of one year, the evidence was sufficient to support the extended term under § 5-4-501, the habitual offender statute. McGirt v. State, 289 Ark. 7, 708 S.W.2d 620 (1986).

Supersession.

Section 16-90-203, governing the effect of conviction in another state, was superseded by this section. McGirt v. State, 289 Ark. 7, 708 S.W.2d 620 (1986).

Cited: Bly v. State, 267 Ark. 613, 593 S.W.2d 450 (1980); Lincoln v. State, 287 Ark. 16, 696 S.W.2d 316 (1985); Cherry v. State, 302 Ark. 462, 791 S.W.2d 354 (1990).

5-4-504. Habitual offenders — Proof of previous conviction.

  1. A previous conviction or finding of guilt of a felony may be proved by any evidence that satisfies the trial court beyond a reasonable doubt that the defendant was convicted or found guilty.
  2. Any of the following are sufficient to support a finding of a prior conviction or finding of guilt:
    1. A certified copy of the record of a previous conviction or finding of guilt by a court of record;
    2. A certificate of the warden or other chief officer of a correctional institution of this state or of another jurisdiction, containing the name and fingerprints of the defendant as the name and fingerprints appear in the records of the warden's or other chief officer's office; or
    3. A certificate of the chief custodian of the records of the United States Department of Justice, containing the name and fingerprints of the defendant as the name and fingerprints appear in the records of the chief custodian's office.

History. Acts 1975, No. 280, § 1003; 1977, No. 474, § 6; 1981, No. 252, § 1; A.S.A. 1947, § 41-1003.

Case Notes

Certified Copy.

Where the docket book was the original, not a copy, there was no reason whatever to certify or authenticate that it was an exact copy. Heard v. State, 316 Ark. 731, 876 S.W.2d 231 (1994).

Circuit Clerk's certification of a copy of a previous conviction record as a true copy, rather than a true and correct copy, was sufficient to satisfy subdivision (b)(1) of this section. Byrum v. State, 318 Ark. 87, 884 S.W.2d 248 (1994).

Convictions.

Prior convictions on appeal may be used for sentence enhancement. Birchett v. State, 291 Ark. 379, 724 S.W.2d 492 (1987).

Unless the records of prior convictions show that the defendant was represented by counsel, there is a presumption that the defendant was denied assistance of counsel, and the convictions cannot be used to enhance punishment under the habitual offender provisions. Stewart v. State, 300 Ark. 147, 777 S.W.2d 844 (1989).

Evidence.

Proof of defendant's previous convictions was not inadmissible as hearsay where circuit clerk's testimony about them was based upon docket entries and there was no suggestion that the docket entries did not correctly reflect the court's judgments. Reeves v. State, 263 Ark. 227, 564 S.W.2d 503 (1978), cert. denied, Reeves v. Arkansas, 439 U.S. 964, 99 S. Ct. 450, 58 L. Ed. 2d 422 (1978).

Where the state introduced prior convictions, under different names which could not be said to sound identical, the jury's finding that the defendant was the same person as that in the previous convictions was not supported by substantial evidence. Leggins v. State, 267 Ark. 293, 590 S.W.2d 22 (1979).

Even though one of the certified copies of the previous judgments against the defendant reflected a different last name from that of the defendant, there was still substantial evidence to support the jury's finding that the defendant had suffered that conviction. Elmore v. State, 268 Ark. 225, 595 S.W.2d 218 (1980).

The similarity in sound between a name the defendant had signed on an affidavit and one appearing on a prior conviction connected defendant with the prior conviction. Leggins v. State, 271 Ark. 616, 609 S.W.2d 76 (1980).

Where the proof of prior conditions consisted of copies of orders of commitment from a court of competent jurisdiction, duly certified under seal, there was substantial evidence by which the jury could find the prior convictions proved as required by this section. Thomas v. State, 2 Ark. App. 238, 620 S.W.2d 300 (1981).

Evidence held sufficient for the jury to enhance the defendant's sentence. Guzman v. State, 3 Ark. App. 240, 625 S.W.2d 540 (1981); Allen v. State, 294 Ark. 209, 742 S.W.2d 886 (1988).

There was sufficient prima facie proof of defendant's previous convictions. Kaestel v. State, 274 Ark. 550, 626 S.W.2d 940 (1982).

Evidence of prior felony convictions held admissible. Shells v. State, 22 Ark. App. 62, 733 S.W.2d 743 (1987).

There was substantial evidence to support finding that appellant had been previously convicted of four felonies. Williams v. State, 304 Ark. 279, 801 S.W.2d 296 (1990).

Although the docket sheet did not reflect an entry of judgment, there was no error in allowing the admission of a certified copy of the trial court's docket notations reflecting a suspended sentence to help prove a prior conviction of a felony. Mulkey v. State, 330 Ark. 113, 952 S.W.2d 149 (1997).

Trial court did not err in considering two Mississippi convictions as proof of defendant's habitual-offender status because there was substantial evidence of defendant's identity due to his unique full name. Gipson v. State, 2013 Ark. App. 651 (2013).

Substantial evidence supported the trial judge's imposing a sentencing enhancement because the prosecution presented a certified copy of a prior felony conviction for defendant, identified as a white male (the same race as defendant) with the same date of birth as defendant. Adams v. State, 2014 Ark. App. 308, 435 S.W.3d 520 (2014).

Instructions.

Where the proof of previous convictions was undisputed, the judge was permitted to instruct the jury that the defendant had a certain number of previous convictions. Ricarte v. State, 290 Ark. 100, 717 S.W.2d 488 (1986).

Juvenile Delinquency Adjudication.

A prior juvenile delinquency adjudication cannot be used for sentence enhancement under the habitual offender law. Vanesch v. State, 343 Ark. 381, 37 S.W.3d 196 (2001).

Proof.

The burden of proof is on the state to prove the defendant's prior convictions for the purpose of sentencing under the habitual offender statute; the state, however, is not limited to the methods of proof set forth in the statute. Elmore v. State, 268 Ark. 225, 595 S.W.2d 218 (1980); Allen v. State, 294 Ark. 209, 742 S.W.2d 886 (1988).

The state is not limited to the modes of proof of prior convictions listed specifically in this section but can rely on any evidence that satisfied the appropriate burden of proof. Montgomery v. State, 277 Ark. 95, 640 S.W.2d 108 (1982).

A previous conviction, or finding of guilt, of a felony may be proved by any evidence that satisfies the trial court beyond a reasonable doubt that the defendant was convicted or found guilty. Pacee v. State, 306 Ark. 563, 816 S.W.2d 856 (1991).

Where there was no suggestion whatever that the proof presented did not correctly reflect the judgments in the earlier cases in which defendant was convicted, the state sufficiently proved the three prior convictions. Daniels v. State, 322 Ark. 367, 908 S.W.2d 638 (1995).

Circuit court did not abuse its discretion in admitting the Department of Correction pen pack and an uncertified copy of a court of appeals opinion for sentencing-enhancement purposes; although the pen pack incorrectly reflected a guilty plea to two prior felonies, it included defendant's prior convictions, offense dates, sentencing dates, felony classifications, and sentences for each conviction, and the appellate opinion showed that the conviction and sentence were affirmed. Although neither of the documents strictly complied with subsection (b) of this section, the documents did satisfy the circuit court beyond a reasonable doubt under subsection (a) of this section that defendant had been found guilty of the prior felonies. Rayburn v. State, 2019 Ark. 254, 583 S.W.3d 385 (2019).

Question of Fact.

The question of whether photographs and certified records actually established beyond a reasonable doubt that the defendant was the person who had been convicted of the previous offenses is for the trier of fact to decide. Montgomery v. State, 277 Ark. 95, 640 S.W.2d 108 (1982).

Right of Confrontation.

The introduction of a copy of the defendant's record of prior convictions, which was certified by the custodian of the records, did not violate the defendant's right of confrontation. Montgomery v. State, 277 Ark. 95, 640 S.W.2d 108 (1982).

Scope of Review.

On an appeal, the test is whether there is substantial evidence from which the jury could have found that the defendant was previously convicted of the questioned felony. Elmore v. State, 268 Ark. 225, 595 S.W.2d 218 (1980); Montgomery v. State, 277 Ark. 95, 640 S.W.2d 108 (1982); Allen v. State, 294 Ark. 209, 742 S.W.2d 886 (1988).

Cited: Ply v. State, 270 Ark. 554, 606 S.W.2d 556 (1980); Addington v. State, 2 Ark. App. 7, 616 S.W.2d 742 (1981); Guzman v. State, 3 Ark. App. 240, 625 S.W.2d 540 (1981); Gilbert v. State, 277 Ark. 61, 639 S.W.2d 346 (1982); Glenn v. State, 281 Ark. 454, 664 S.W.2d 868 (1984); Jones v. State, 283 Ark. 308, 675 S.W.2d 825 (1984); Beavers v. Lockhart, 755 F.2d 657 (8th Cir. 1985); Lincoln v. State, 287 Ark. 16, 696 S.W.2d 316 (1985); Nelson v. Lockhart, 641 F. Supp. 174 (E.D. Ark. 1986); Leggins v. Lockhart, 649 F. Supp. 894 (E.D. Ark. 1986); Nelson v. Lockhart, 828 F.2d 446 (8th Cir. 1987); Ward v. Lockhart, 841 F.2d 844 (8th Cir. 1988); Thomas v. State, 303 Ark. 210, 795 S.W.2d 917 (1990); Jones v. Arkansas, 929 F.2d 375 (8th Cir. 1991); Rush v. State, 324 Ark. 147, 919 S.W.2d 933 (1996); King v. State, 62 Ark. App. 112, 969 S.W.2d 199 (1998); Ray v. State, 2009 Ark. 521, 357 S.W.3d 872 (2009).

5-4-505, 5-4-506. [Repealed.]

Publisher's Notes. These sections, concerning sentence enhancement for use of a firearm and for physical injury to older persons, were repealed by identical Acts 1993, Nos. 532 and 550, § 9. The sections were derived from the following sources:

§ 5-4-505. Acts 1975, No. 280, § 1004; 1981, No. 252, § 2; A.S.A. 1947, § 41-1004.

§ 5-4-506. Acts 1987, No. 160, § 1.

Subchapter 6 — Trial and Sentence — Capital Murder

Publisher's Notes. Acts 1975, No. 280, § 1309, provided that if any provision of §§ 5-4-6015-4-608 or the application thereof to any person or circumstance was held invalid that the invalidity was not to affect other provisions or applications of §§ 5-4-6015-4-608 that could be given effect without the invalid provision or application, and to that end the provisions of §§ 5-4-601 — 5-4-608 were declared to be severable.

For Comments regarding the Criminal Code, see Commentaries Volume B.

Cross References. Costs and fees — Capital cases, § 16-92-104.

Execution of Sentence — Death Penalty, § 16-90-501 et seq.

Post-conviction, § 16-91-201 et seq.

Effective Dates. Acts 1983, No. 546, § 3: Mar. 19, 1983. Emergency clause provided: “It is hereby found and determined that those defendants whose death sentences have been vacated by the appellate courts, with their convictions upheld, have been sentenced to life without parole; because of the provision requiring sentencing by the same jury that determines guilt, the State must either accept the reduced sentence, or, if it wishes to reimpose the death penalty, to retry both the guilt and sentencing phases; it is a waste of judicial resources to require the retrying of an error-free trial if the State wishes to seek to reimpose the death penalty; and this Act is immediately necessary to rectify that problem. Therefore, an emergency is hereby declared to exist, and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1985, No. 833, § 2: Apr. 4, 1985. Emergency clause provided: “It is hereby found and determined by the General Assembly that the present statute governing aggravating circumstances which justify the imposition of the death penalty does not adequately provide for appropriate punishment when the crime of capital murder is committed in an especially heinous, atrocious or cruel manner of committing a capital felony murder is an appropriate consideration in determining the penalty for such a crime; and that the addition of this aggravating circumstance to the statutorily authorized list of aggravating circumstances is immediately necessary to provide for its consideration in trials for capital murders which may occur after the passage and approval of this Act. Therefore, an emergency is hereby declared to exist and this Act being necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1993, No. 1089, § 6: Apr. 13, 1993. Emergency clause provided: “It is hereby found and determined by the General Assembly that it is necessary to authorize the admission of victim impact evidence at the penalty phase of capital murder trials and that immediate passage of this act is necessary to protect the public peace, health and safety of the state of Arkansas. Therefore, an emergency is hereby declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall be in full force and effect from and after its passage and approval.”

Acts 2009, No. 1296, § 3: Apr. 9, 2009. Emergency clause provided:

“It is found and determined by the General Assembly of the State of Arkansas that the prompt administration of the death penalty following conviction of a capital offense is necessary to deter the future commission of capital offenses; and that this act is immediately necessary to deter capital offenses and prevent the loss of lives that result upon the commission of capital offenses. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on:

“(1) The date of its approval by the Governor;

“(2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or

“(3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2013, No. 139, § 4: Feb. 20, 2013. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the current procedures for the administration of the sentence of lethal injection have been declared unconstitutional by the Supreme Court; and that this act is immediately necessary because the constitutional administration of a lethal injection to the state's most dangerous convicted persons furthers the health, safety, and welfare of the people of Arkansas. Therefore, an emergency is declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2015, No. 1096, § 4: Apr. 6, 2015. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the courts now require heightened legislative oversight and control over the procedures used in carrying out capital punishment. In addition, victims' families need assurance that capital sentences will be carried out in compliance with prevailing case law. Therefore, an emergency is declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2017, No. 539, § 14: Mar. 20, 2017. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that in light of recent United States Supreme Court decisions in Miller v. Alabama and Montgomery v. Louisiana, more than one hundred persons in Arkansas are entitled to relief under those decisions; and that this act is immediately necessary in order to make those persons eligible for parole in order to be in compliance with Montgomery v. Louisiana. Therefore, an emergency is declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

Research References

ALR.

Propriety of imposition of death sentence by state court following jury's recommendation of life imprisonment or lesser sentence. 8 A.L.R.4th 1028.

Am. Jur. 21A Am. Jur. 2d, Crim. L., §§ 950-975.

Ark. L. Rev.

The Constitutionality of Affirmative Defenses to Criminal Charges, 29 Ark. L. Rev. 430.

Note, Grigsby v. Mabry: Convictions Rendered by Death-Qualified Juries Are Unconstitutional, 39 Ark. L. Rev. 335.

Lushing, Capital Punishment: A Disputation, 42 Ark. L. Rev. 105.

C.J.S. 24 C.J.S., Crim L., § 1529 et seq.

U. Ark. Little Rock L.J.

Note, Criminal Procedure — Waiver of Appellate Review of Death Sentences in Arkansas; Standing — Capacity to Litigate Matters of Public Interest in Arkansas,Franz v. State, 296 Ark. 181, 754 S.W.2d 839 (1988), 11 U. Ark. Little Rock L.J. 569.

Case Notes

Constitutionality.

The Arkansas capital punishment procedure under § 5-10-101 and this subchapter appropriately narrows the class of death eligible persons and is constitutional. Perry v. Lockhart, 871 F.2d 1384 (8th Cir. Ark. 1989).

Cited: Franz v. Lockhart, 700 F. Supp. 1005 (E.D. Ark. 1988).

5-4-601. Legislative intent.

  1. In enacting this subchapter, it is the intent of the General Assembly to specify the procedures and standards pursuant to which a sentencing body shall conform in making a determination as to whether a sentence of death is to be imposed upon a conviction of capital murder.
  2. If the provisions of this subchapter respecting sentencing procedures are held invalid with regard to the imposition of a sentence of death or a sentence of death is declared to be invalid per se, it is the intent of the General Assembly that:
    1. Capital murder is punishable by life imprisonment without parole; and
    2. The procedures and findings required by §§ 5-4-602 — 5-4-605, 5-4-607, and 5-4-608 are deemed repealed and of no effect.

History. Acts 1975, No. 280, § 1308; A.S.A. 1947, § 41-1308.

Case Notes

Juveniles.

Circuit court erred by denying appellant juvenile's petition for writ of habeas corpus; because he was only fourteen years old when he committed capital-murder and aggravated-robbery, his mandatory sentence of life imprisonment without parole violated the Eighth Amendment, U.S. Const. amend. VIII. In considering the capital-murder statute as it pertained to juveniles, the Supreme Court of Arkansas severed portions of § 5-10-101(c) which provided that capital murder was punishable by death or life imprisonment without parole pursuant to this section and §§ 5-4-605, 5-4-607, and 5-4-608. Jackson v. Norris, 2013 Ark. 175, 426 S.W.3d 906 (2013).

Cited: Singleton v. Lockhart, 653 F. Supp. 1114 (E.D. Ark. 1986); Wilson v. State, 295 Ark. 682, 751 S.W.2d 734 (1988); Rush v. State, 324 Ark. 147, 919 S.W.2d 933 (1996); Camargo v. State, 327 Ark. 631, 940 S.W.2d 464 (1997).

5-4-602. Capital murder charge — Trial procedure.

The following procedures govern a trial of a person charged with capital murder:

  1. The jury shall first hear all evidence relevant to the charge and shall then retire to reach a verdict of guilt or innocence;
  2. If the defendant is found not guilty of the capital offense charged but guilty of a lesser included offense, the sentence shall be determined and imposed as provided by law;
    1. If the defendant is found guilty of capital murder, the same jury shall sit again in order to:
      1. Hear additional evidence as provided by subdivisions (4) and (5) of this section; and
      2. Determine the sentence in the manner provided by § 5-4-603.
    2. However, if the state waives the death penalty, stipulates that no aggravating circumstance exists, or stipulates that mitigating circumstances outweigh aggravating circumstances, then:
      1. A hearing under subdivision (3)(A) of this section is not required; and
      2. The trial court shall sentence the defendant to life imprisonment without parole.
    3. If the defendant was less than eighteen (18) years of age at the time of the offense, then a hearing under subdivision (3)(A) of this section is not required;
    1. If the defendant and the state are accorded an opportunity to rebut the evidence, in determining the sentence evidence may be presented to the jury as to any:
      1. Matter relating to an aggravating circumstance enumerated in § 5-4-604;
      2. Mitigating circumstance; or
      3. Other matter relevant to punishment, including, but not limited to, victim impact evidence.
      1. Evidence as to any mitigating circumstance may be presented by either the state or the defendant regardless of the evidence's admissibility under the rules governing admission of evidence in a trial of a criminal matter.
      2. However, mitigating circumstance evidence shall be relevant to the issue of punishment, including, but not limited to, the nature and circumstances of the crime, and the defendant's character, background, history, and mental and physical condition as set forth in § 5-4-605.
    2. The admissibility of evidence relevant to an aggravating circumstance set forth in § 5-4-604 is governed by the rules governing the admission of evidence in a trial of a criminal matter.
    3. Any evidence admitted at the trial relevant to punishment may be considered by the jury without the necessity of reintroducing the evidence at the sentencing proceeding; and
  3. The state and the defendant or his or her counsel are permitted to present argument respecting sentencing:
    1. The state shall open the argument;
    2. The defendant is permitted to reply; and
    3. The state is then permitted to reply in rebuttal.

History. Acts 1975, No. 280, § 1301; A.S.A. 1947, § 41-1301; Acts 1993, No. 1089, § 1; 2017, No. 539, § 5.

A.C.R.C. Notes. Acts 2017, No. 539, § 1, provided: “Title. This act shall be known and may be cited as the ‘Fair Sentencing of Minors Act of 2017’.”

Acts 2017, No. 539, § 2, provided: “Legislative intent.

“(a)(1) The General Assembly acknowledges and recognizes that minors are constitutionally different from adults and that these differences must be taken into account when minors are sentenced for adult crimes.

“(2) As the United States Supreme Court quoted in Miller v. Alabama, 132 S. Ct. 2455 (2012), ‘only a relatively small proportion of adolescents’ who engage in illegal activity ‘develop entrenched patterns of problem behavior,’ and ‘developments in psychology and brain science continue to show fundamental differences between juvenile and adult minds,’ including ‘parts of the brain involved in behavior control’.

“(3) Minors are more vulnerable to negative influences and outside pressures, including from their family and peers, and they have limited control over their own environment and lack the ability to extricate themselves from horrific, crime-producing settings.

“(4) The United States Supreme Court has emphasized through its cases in Miller, Roper v. Simmons, 543 U.S. 551 (2005), and Graham v. Florida, 560 U.S. 48 (2010), that ‘the distinctive attributes of youth diminish the penological justifications for imposing the harshest sentences on juvenile offenders, even when they commit terrible crimes’.

“(5) Youthfulness both lessens a juvenile's moral culpability and enhances the prospect that, as a youth matures into an adult and neurological development occurs, these individuals can become contributing members of society.

“(b) In the wake of these United States Supreme Court decisions and the emerging juvenile brain and behavioral development science, several states, including Texas, Utah, South Dakota, Wyoming, Nevada, Iowa, Kansas, Kentucky, Montana, Alaska, West Virginia, Colorado, Hawaii, Delaware, Connecticut, Vermont, Massachussets, and the District of Columbia, have eliminated the sentence of life without parole for minors.

“(c) It is the intent of the General Assembly to eliminate life without parole as a sentencing option for minors and to create more age-appropriate sentencing standards in compliance with the United States Constitution for minors who commit serious crimes.”

Amendments. The 2017 amendment, in (3)(B)(i), substituted “A hearing” for “No hearing” and “is not” for “is”; and added (3)(C).

Publisher's Notes. Acts 1993, No. 1089, § 2, provided: “It is the express intention of this act to permit the prosecution to introduce victim impact evidence as permitted by the United States Supreme Court in Payne v. Tennessee, 111 S. Ct. 2597, 115 L. Ed. 2d 720 (1991).”

Research References

ALR.

Validity, Construction, and Application of Pattern and Nonpattern Jury Instructions in State Death Penalty Proceedings. 83 A.L.R.6th 255.

Ark. L. Rev.

Article, Ethical and Effective Representation in Arkansas Capital Trials, 60 Ark. L. Rev. 1.

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Constitutional Law, 1 U. Ark. Little Rock L.J. 140.

Survey of Arkansas Law, Criminal Procedure, 5 U. Ark. Little Rock L.J. 123.

Case Notes

Constitutionality.

Where defendant was sentenced to life imprisonment without parole, he could not attack as unconstitutionally vague provisions of former similar statute which would have permitted the jury to impose the death penalty after assessing aggravating circumstances, since defendant had not been penalized by that provision. Williams v. State, 260 Ark. 457, 541 S.W.2d 300 (1976) (decision under prior law).

Sections 5-4-6025-4-605 do not place an impermissible burden on the exercise of the constitutional right to trial by jury. Ruiz v. State, 275 Ark. 410, 630 S.W.2d 44 (1982), cert. denied, Ruiz v. Arkansas, 459 U.S. 882, 103 S. Ct. 181 (1982).

Allegation that the Arkansas death penalty statute impermissibly penalized petitioner's exercise of his constitutional right to plead not guilty and to have a jury trial was rejected. Hill v. State, 278 Ark. 194, 644 S.W.2d 282 (1983).

There is no right to plead guilty, and the fact that only a jury may impose the death penalty does not invalidate this section and §§ 5-4-6035-4-605. Hayes v. State, 280 Ark. 509, 660 S.W.2d 648 (1983), cert. denied, 465 U.S. 1051, 104 S. Ct. 1331, 79 L. Ed. 2d 726 (1984).

This section and § 5-10-101 et seq. are not unconstitutionally ambiguous, overbroad or vague, either facially or as applied. Ruiz v. Norris, 868 F. Supp. 1471 (E.D. Ark. 1994), aff'd, 71 F.3d 1404 (8th Cir. 1995).

Subdivision (4) of this section is not violative of due process; the impact of the murder on the victim's family is relevant to the jury's decision as to whether to recommend that the death sentenced be imposed. Lee v. State, 327 Ark. 692, 942 S.W.2d 231, cert. denied, 522 U.S. 1002, 118 S. Ct. 572 (1997).

Appeal.

In a capital felony case, it is the duty of the Supreme Court to examine the entire record, not only for those errors raised on appeal, but also for those that may be found in the record. Bly v. State, 263 Ark. 138, 562 S.W.2d 605 (1978).

Defendant who did not receive the death penalty lacked standing to point to errors having to do with the jury's consideration of the death penalty. Weaver v. State, 305 Ark. 180, 806 S.W.2d 615 (1991); King v. State, 312 Ark. 89, 847 S.W.2d 37 (1993).

Disguised evidentiary argument that testimony should have been admitted under subdivision (4), which states that the rules of evidence, such as hearsay, do not apply to mitigating evidence in capital cases, was not entertained in Rule 37 petition. Johnson v. State, 321 Ark. 117, 900 S.W.2d 940 (1995).

Where defendant moved for summary reversal of his conviction for capital murder based upon the omission of the original photo array from the record, but defendant had failed to object to the eyewitnesses' in-court identifications at trial, and because defendant's only point on appeal would have been procedurally barred, the appellate court held that the record on appeal was sufficient without the original photo array. Lewis v. State, 354 Ark. 359, 123 S.W.3d 891 (2003).

Cruel and Unusual Punishment.

Sentence of life imprisonment without parole was not cruel or unusual punishment, where the sentence was within the limits established by the legislature. Dyas v. State, 260 Ark. 303, 539 S.W.2d 251 (1976) (decision under prior law).

Where jury found defendant guilty of capital murder, the sentence it imposed of life imprisonment without parole was within the statutory limits of this section and thus not cruel and unusual punishment under the Eighth Amendment to the United States Constitution. Wilson v. State, 271 Ark. 682, 611 S.W.2d 739 (1981).

Death Penalty.

A procedure for prosecuting those charged with capital felony murder in which the jury must make a unanimous determination of guilt of one of the narrowly defined categories of the crime beyond a reasonable doubt, and in which the same jury in the sentencing phase of the trial must hear testimony tending to show one or more specifically enumerated groups of aggravating circumstances plus evidence relevant to mitigating circumstances, provided adequate safeguards against arbitrary or capricious imposition of the death penalty. Collins v. State, 261 Ark. 195, 548 S.W.2d 106, cert. denied, 434 U.S. 878, 98 S. Ct. 231 (1977) (decision under prior law).

Argument that the death penalty was unconstitutional was rejected. Hayes v. State, 278 Ark. 211, 645 S.W.2d 662 (1983), cert. denied, Hayes v. Arkansas, 464 U.S. 865, 104 S. Ct. 198, 78 L. Ed. 2d 173 (1984).

Death sentence was not invalid because the trial court instructed the jury on pecuniary gain as an aggravating circumstance, and this aggravating circumstance did not violate U.S. Const. Amend. 8 by improperly duplicating an element of the robbery/murder offense with which he was convicted. Duplicative nature of Arkansas's statutory aggravating circumstance of pecuniary gain where the defendant is convicted of robbery/murder does not render the defendant's sentencing infirm, since the constitutionally-mandated-narrowing function was performed at the guilt phase. O'Rourke v. State, 295 Ark. 57, 746 S.W.2d 52 (1988).

Imposition of death penalty upheld. Cox v. State, 313 Ark. 184, 853 S.W.2d 266 (1993); Sanders v. State, 317 Ark. 328, 878 S.W.2d 391 (1994), cert. denied, Sanders v. Arkansas, 513 U.S. 1162, 115 S. Ct. 1126 (1995).

Both the capital murder conviction and the death penalty sentence held invalid and set aside. Miller v. Lockhart, 861 F. Supp. 1425 (E.D. Ark. 1994), aff'd, 65 F.3d 676 (8th Cir. 1995).

Circuit court did not abuse its discretion in allowing the State's penalty-phase rebuttal closing argument because the State's comments were not specifically designed to appeal to the jurors' passions; the State briefly summarized the reasons why it chose to pursue the death penalty, namely, that defendant had shot the victim with a crossbow and that he lacked remorse. Smith v. State, 2018 Ark. 277, 555 S.W.3d 881 (2018).

Defendant's Rights.

Although many capital defendants express a desire to give up if they are convicted, and an attorney should try to persuade the client to act in his best interests, this duty does not remove the ultimate decision of whether to present mitigating evidence from the client. Snell v. Lockhart, 14 F.3d 1289 (8th Cir. Ark. 1994).

Effect of Amendments.

It appears that before 1993 Arkansas would not permit victim impact evidence or evidence of future dangerousness or evidence of any other aggravating circumstances not listed in § 5-4-604; however, the Arkansas Supreme Court has, albeit sub silentio, previously approved arguments concerning future dangerousness. Ruiz v. Norris, 868 F. Supp. 1471 (E.D. Ark. 1994), aff'd, 71 F.3d 1404 (8th Cir. 1995).

In 1993, subdivision (4) of this section was amended to allow the state to present additional evidence in aggravation beyond the enumerated statutory factors by providing for the introduction of “any other matter relevant to punishment”, including, but not limited to, victim-impact evidence. Ruiz v. Norris, 868 F. Supp. 1471 (E.D. Ark. 1994), aff'd, 71 F.3d 1404 (8th Cir. 1995).

Evidence.

During the penalty stage of a capital murder trial, the state was not required to repeat evidence of aggravating circumstances in addition to any such evidence previously presented during the guilt or innocence phase of the trial. Neal v. State, 259 Ark. 27, 531 S.W.2d 17 (1975), vacated, Collins v. Arkansas, 429 U.S. 808, 97 S. Ct. 44, 97 S. Ct. 45 (1976), aff'd, 261 Ark. 336, 548 S.W.2d 135 (1977), vacated insofar as judgment left undisturbed the death penalty imposed, Collins v. Arkansas, 429 U.S. 808, 97 S. Ct. 44, 97 S. Ct. 45 (1976) (decision under prior law).

Even though this section tends to relax the requirement of admissibility with regard to authenticity or hearsay, the legislature did not intend to totally open the door to any and all matters simply because mitigation is the issue, so that testimony should be sworn and the state given an opportunity to cross-examine unless there are compelling and valid reasons for not doing so. Hobbs v. State, 273 Ark. 125, 617 S.W.2d 347 (1981).

The trial court did not err when, in the penalty phase of the capital murder trial, it refused to allow a defense witness to testify as to the defendant's charitable acts which the defendant had related to him, because the defendant was available to testify and there was no reason for the admission of such hearsay testimony. Hill v. State, 275 Ark. 71, 628 S.W.2d 284 (1982), cert. denied, Hill v. Arkansas, 459 U.S. 882, 103 S. Ct. 180 (1982).

The trial court should exclude from the penalty phase of the trial the results of a polygraph examination given to the defendant; while the rules of evidence are not applicable to the penalty phase of the trial, the evidence offered must be probative of some issue to be properly considered in the penalty phase. Hendrickson v. State, 285 Ark. 462, 688 S.W.2d 295 (1985).

If either the trial court or a reviewing court finds that, after removal of any infirm factors, the residual evidence offered by the state at the initial proceeding will not support a death verdict, then the state has failed in its proof and may not try again. Singleton v. Lockhart, 653 F. Supp. 1114 (E.D. Ark. 1986), aff'd in part, reversed in part, 871 F.2d 1395 (8th Cir. Ark. 1989).

Any relevant mitigating evidence concerning a defendant's character should not be excluded; such evidence may include defendant's behavior and conduct that existed not only before and at time of crime, but also that which occurred before sentencing and during the period of post-conviction relief, should a later resentencing occur. Pickens v. State, 292 Ark. 362, 730 S.W.2d 230, cert. denied, 484 U.S. 917, 108 S. Ct. 269, 98 L. Ed. 2d 226 (1987).

Although subdivision (4) of this section provides that, in determining the sentence, evidence concerning mitigating circumstances may be presented regardless of the rules of evidence, but “evidence relevant to the aggravating circumstances … shall be governed by the rules governing the admission of evidence …,” Evid. Rule 609 does not prevent the use of prior convictions if more than 10 years have elapsed since the date of the prior conviction. Evid. Rule 609 only prevents the use of prior convictions more than 10 years old for impeachment purposes; it is based upon the concept that a crime committed more than 10 years ago is no longer probative of a witness's truthfulness at the time of trial. On the other hand, the aggravating circumstances statute, § 5-4-604, is not concerned with the defendant's character at the time of trial; instead, this section is concerned with disclosing whether the defendant's history establishes such a propensity for violence that it will reoccur. Therefore, Evid. Rule 609 does not prevent the introduction of felony convictions more than 10 years old to show a propensity to violence in the penalty phase. Whitmore v. State, 296 Ark. 308, 756 S.W.2d 890 (1988).

Although subdivision (4) allows mitigating evidence to be presented regardless of its admissibility under the rules of evidence in criminal trials it does not open the way for irrelevant evidence. Pickens v. State, 301 Ark. 244, 783 S.W.2d 341 (1990), cert. denied, Pickens v. Arkansas, 497 U.S. 1011, 110 S. Ct. 3257 (1990).

Under subdivision (4), a psychologist can use a patient's history to give the patient's prognosis. Johnson v. State, 308 Ark. 7, 823 S.W.2d 800 (Ark. 1992).

Evidence sufficient to find that petitioner made a knowing and intelligent waiver of his right to present evidence of mitigating circumstances during penalty phase. Snell v. Lockhart, 791 F. Supp. 1367 (E.D. Ark. 1992), cert. denied, Snell v. Arkansas, 490 U.S. 1075, 109 S. Ct. 2090 (1989), aff'd in part, reversed in part, 14 F.3d 1289 (8th Cir. Ark. 1994).

The prosecutor's argument, along with the submission of the underlying nonviolent felonies to the jury for consideration during sentencing constituted constitutional error, which had a substantial and injurious effect or influence in the jury's determination that defendant should receive the death penalty. Hill v. Lockhart, 824 F. Supp. 1327 (E.D. Ark. 1993), modified, 28 F.3d 832 (8th Cir. 1994).

In the penalty phase of a capital murder case, the defendant is not bound by the rules of evidence in showing mitigating circumstances, but the state is bound by the rules of evidence in proving aggravating circumstances under subdivision (4) of this section. Greene v. State, 317 Ark. 350, 878 S.W.2d 384 (1994).

By expanding the scope of permissible evidence during the penalty phase, the General Assembly has not expanded the scope of punishment or added a new aggravating circumstance; permitting testimony under Act 1993, No. 1089 did not constitute an ex post facto law. Nooner v. State, 322 Ark. 87, 907 S.W.2d 677 (1995), cert. denied, Nooner v. Arkansas, 517 U.S. 1143, 116 S. Ct. 1436, 134 L. Ed. 2d 558 (1996).

Defendant's accomplice's testimony was corroborated and admissible, as other evidence independently established the accomplice's description of the double murder; the medical examiner's testimony, an officer's testimony, and testimony about defendant's van were all in accordance with the accomplice's testimony. Baughman v. State, 353 Ark. 1, 110 S.W.3d 740 (2003).

It was not clear whether the testimony of a psychologist regarding the state death-row inmate's social history would have been admissible pursuant to subdivision (4)(B) of this section at the penalty phase of the inmate's capital murder trial without other witnesses providing a factual foundation for his opinions; although, at the time of the inmate's trial, expert testimony presenting social history as mitigating evidence at the penalty phase of Arkansas capital cases was not uncommon, other witnesses, usually the inmate, also testified and provided factual foundation for the expert's opinions. While the federal district court allowed this evidence at the inmate's evidentiary hearing under 28 U.S.C.S. § 2254(e)(2), the state trial court in a Ark. R. Crim. P. 37 evidentiary proceeding was in the best position to consider this issue. Williams v. Norris, 576 F.3d 850 (8th Cir. 2009).

Habeas Corpus Relief.

An evidentiary and procedural ruling based upon this section cannot be the basis of habeas corpus relief unless it can be shown that the ruling violates a specific constitutional provision or that it is so prejudicial as to violate due process. Pickens v. Lockhart, 802 F. Supp. 208 (E.D. Ark. 1992), aff'd, 4 F.3d 1446 (8th Cir. Ark. 1993).

Instructions.

Trial court did not err in allowing the state to prove all the defendant's prior felonies where the court clearly instructed the jury that they were to consider only the prior convictions involving threats or violence as aggravating circumstances and that the other convictions were to be considered only for enhancement purposes. Hill v. State, 275 Ark. 71, 628 S.W.2d 284 (1982), cert. denied, Hill v. Arkansas, 459 U.S. 882, 103 S. Ct. 180 (1982).

Defendant's argument that, had the trial court instructed the jury on lesser-included offenses to terroristic threatening and aggravated assault, the jury might have found that he committed one or more misdemeanors, which would not have triggered the prior felony aggravating circumstances, held without merit; even if the jury had found the prior felony aggravating circumstance, it could only impose a sentence of death after considering (i) whether this aggravating circumstance justified a sentence of death, and (ii) whether this aggravating circumstance outweighed any mitigating circumstances found to exist. Parker v. Norris, 64 F.3d 1178 (8th Cir. 1995), cert. denied, 516 U.S. 1095, 116 S. Ct. 820, 133 L. Ed. 2d 764 (1996).

Joint Sentencing.

A joint sentencing trial does not, per se, deprive any defendant of the right to individualized sentencing; where the evidence relating to the separate defendants is readily identifiable, and the jury is properly instructed, there is no problem. Ruiz v. Norris, 868 F. Supp. 1471 (E.D. Ark. 1994), aff'd, 71 F.3d 1404 (8th Cir. 1995).

Juries.

Insofar as the same jury is required to sit in both phases of a bifurcated trial, the idea that a juror who could qualify for only one phase of the trial can sit in both or that, on voir dire, the dual role of the jury should be distinguished, is foreclosed. Giles v. State, 261 Ark. 413, 549 S.W.2d 479, cert. denied, 434 U.S. 894, 98 S. Ct. 272, 54 L. Ed. 2d 180 (1977) (decision under prior law).

It is not impermissible for the same “death qualified” jury to both hear the evidence and determine the sentence in a bifurcated trial for capital murder. Lasley v. State, 274 Ark. 352, 625 S.W.2d 466 (1981).

The law of Arkansas permits prospective jurors to be challenged if they would automatically vote for the death penalty upon conviction regardless of the evidence. Grigsby v. Mabry, 569 F. Supp. 1273 (E.D. Ark. 1983), modified, 758 F.2d 226 (8th Cir. Ark. 1985).

The exclusion for cause of the veniremen with conscientious objections to the death penalty, without a determination that their objections would preclude their finding defendant guilty, did not deny him his right to an impartial jury and to a jury that was representative of the community. Hill v. State, 278 Ark. 194, 644 S.W.2d 282 (1983).

The death-qualification of the jury did not deprive defendant of an impartial jury. Abernathy v. State, 278 Ark. 250, 644 S.W.2d 590 (1983); Hayes v. State, 278 Ark. 211, 645 S.W.2d 662 (1983), cert. denied, Hayes v. Arkansas, 464 U.S. 865, 104 S. Ct. 198, 78 L. Ed. 2d 173 (1984); Hayes v. Arkansas, 465 U.S. 1051, 104 S. Ct. 1331, 79 L. Ed. 2d 726 (1984).

A death-qualified jury is constitutional. Simmons v. State, 278 Ark. 305, 645 S.W.2d 680 (1983), cert. denied, Simmons v. Arkansas, 464 U.S. 865, 104 S. Ct. 197, 78 L. Ed. 2d 173 (1983); Henry v. State, 278 Ark. 478, 647 S.W.2d 419 (1983), cert. denied, Henry v. Arkansas, 464 U.S. 835, 104 S. Ct. 121 (1983); Rector v. State, 280 Ark. 385, 659 S.W.2d 168 (1983), cert. denied, Rector v. Arkansas, 466 U.S. 988, 104 S. Ct. 2370, 80 L. Ed. 2d 842 (1984).

Exclusion for cause of two veniremen because of their uncertainty as to capital punishment, and failure to excuse for cause a venireman who showed a preference for it, did not constitute abuse of discretion. Clines v. State, 280 Ark. 77, 656 S.W.2d 684 (1983), cert. denied, Clines v. Arkansas, 465 U.S. 1051, 104 S. Ct. 1328, 79 L. Ed. 2d 723 (1984).

Jurors who are unalterably opposed to capital punishment should not be permitted to participate in the determination of guilt or innocence in capital cases and their exclusion is proper. Rector v. State, 280 Ark. 385, 659 S.W.2d 168 (1983), cert. denied, Rector v. Arkansas, 466 U.S. 988, 104 S. Ct. 2370, 80 L. Ed. 2d 842 (1984).

The removal for cause, prior to the guilt phase of a bifurcated capital trial, of prospective jurors who state that they cannot, under any circumstances, vote for the imposition of the death penalty does not violate a defendant's right under the Sixth and Fourteenth Amendments of the United States Constitution to have his guilt or innocence determined by an impartial jury selected from a representative cross section of the community or his constitutional right to an impartial jury. Lockhart v. McCree, 476 U.S. 162, 106 S. Ct. 1758 (1986).

The removal for cause, prior to the guilt phase of a bifurcated capital trial, of prospective jurors who state that they cannot, under any circumstances, vote for the imposition of the death penalty serves the state's entirely proper interest in obtaining a single jury that can impartially decide all of the issues in the defendant's case. Lockhart v. McCree, 476 U.S. 162, 106 S. Ct. 1758 (1986).

Since Arkansas recognizes the death penalty, jurors in a capital murder case must be able to consider imposing a death sentence if they are to perform their function as jurors; the trial court correctly decided that those excused jurors could not perform their duties, because they would not consider imposing a death sentence. Williams v. State, 288 Ark. 444, 705 S.W.2d 888 (1986).

The proper standard to be used in releasing a juror is whether the juror's views would prevent or substantially impair the performance of his duties as a juror in accordance with his instructions and oath. Williams v. State, 288 Ark. 444, 705 S.W.2d 888 (1986).

Life Sentence.

A sentence of “life in prison” or “straight life” is distinguishable from “life imprisonment without parole.” The former sentence may be imposed for conviction on a Class Y felony, such as rape, but the latter sentence may be imposed only for conviction of capital murder. Logan v. Lockhart, 994 F.2d 1324 (8th Cir. 1993), cert. denied, 510 U.S. 1057, 114 S. Ct. 722 (1994).

Mitigating Circumstances.

Although the rules of evidence are not applicable to the admissibility of mitigating evidence, the statute does not open the way for the admission of irrelevant evidence; to be admissible, evidence of mitigating circumstances must be relevant to the issue of the defendant's punishment. McGehee v. State, 338 Ark. 152, 992 S.W.2d 110 (1999).

The disposition of charges against the codefendant had nothing to do with the defendant's character, record, background, history, condition, or the circumstances of his crime; therefore, it was not relevant as a mitigating circumstance. Simpson v. State, 339 Ark. 467, 6 S.W.3d 104 (1999).

It is not the case that any testimony a defendant believes would make the jury less likely to return a death verdict must be allowed to satisfy the dictates of federal due process; the broad range of facts admissible must focus on the persona of the defendant or on the fabric of the crime of which he has been convicted. Greene v. State, 343 Ark. 526, 37 S.W.3d 579 (2001), rehearing denied, Greene v. Arkansas, 534 U.S. 858, 122 S. Ct. 135 (2001).

Evidence of a murder victim's wife's forgiveness and her opinion that life imprisonment was the appropriate penalty did not constitute relevant mitigating evidence. Greene v. State, 343 Ark. 526, 37 S.W.3d 579 (2001), rehearing denied, Greene v. Arkansas, 534 U.S. 858, 122 S. Ct. 135 (2001).

Granting of petitioner's, an inmate's, petition to reinvest jurisdiction in the trial court to pursue a petition for writ of error coram nobis on the issue of the state's failure to disclose a sheriff's report concerning the inmate's childhood abuse was proper because the claim had apparent merit, which the circuit court should evaluate under subdivision (4)(B)(ii) of this section. Howard v. State, 2012 Ark. 177, 403 S.W.3d 38 (2012), cert. denied, Howard v. Arkansas, 568 U.S. 981, 133 S. Ct. 528, 184 L. Ed. 2d 345 (2012).

Circuit court did not commit reversible error by excluding defendant's offer to plead guilty to capital murder in exchange for a life sentence, as evidence of a mitigating factor, i.e., acceptance of responsibility for his crime. The offer to plead with the stated condition was not relevant mitigating evidence, as evidence that defendant offered to plead guilty in exchange for a lesser sanction was not evidence that he was taking responsibility for his crime. Holly v. State, 2017 Ark. 201 (2017).

Prior Convictions.

The admission of defendant's prior convictions at the penalty phase was erroneous and had a substantial and injurious effect or influence on the jury's determination that defendant should receive the death penalty. Ford v. Lockhart, 861 F. Supp. 1447 (E.D. Ark. 1994), aff'd, Ford v. Norris, 67 F.3d 162 (8th Cir. 1995).

To prove the defendant's prior commission of a violent felony that resulted in a conviction, the state may present any matters relating to the prior violent felony, including the circumstances surrounding the commission of the prior crime. Ward v. State, 338 Ark. 619, 1 S.W.3d 1 (1999).

Validity of Procedure.

A procedure for prosecuting those charged with capital felony murder in which the jury must make a unanimous determination of guilt of one of the narrowly defined categories of the crime beyond a reasonable doubt, and in which the same jury in the sentencing phase of the trial must hear testimony tending to show one or more specifically enumerated groups of aggravating circumstances plus evidence relevant to mitigating circumstances, provided adequate safeguards against arbitrary or capricious imposition of the death penalty. Collins v. State, 261 Ark. 195, 548 S.W.2d 106, cert. denied, 434 U.S. 878, 98 S. Ct. 231 (1977) (decision under prior law).

Victim Impact Evidence.

State inmate, who was convicted of murder and sentenced to death, was not entitled to federal habeas relief based on the admission of victim impact testimony under this section; application of the victim impact evidence statute, which was passed after the crime was committed, did not violate the Ex Post Facto Clause because the statute was procedural in nature. Also, the Arkansas Supreme Court did not unreasonably apply federal law in finding no Sixth Amendment violation, as victim impact testimony was not an aggravating circumstance, and in finding no requirement that the jury be specifically instructed about how to consider the evidence. Johnson v. Norris, 537 F.3d 840 (8th Cir. 2008), rehearing denied, — F.3d —, 2008 U.S. App. LEXIS 28328 (8th Cir. Ark. Sept. 11, 2008), cert. denied, — U.S. —, 129 S. Ct. 1334, 173 L. Ed. 2d 605 (2009).

In a capital murder case, the state was properly allowed to present three witnesses who discussed the impact of the victims' deaths because this section did not declare what victim-impact evidence was relevant in any given case — that issue was decided by the circuit court, and victim-impact evidence was relevant to assist the jury in imposing punishment based on a measurement of the injury to society. Thomas v. State, 370 Ark. 70, 257 S.W.3d 92, cert. denied, 552 U.S. 1025, 128 S. Ct. 620, 169 L. Ed. 2d 399 (2007).

—Constitutionality.

Victim impact statute is not void for vagueness and not violative of Ark. Const., Art. 2, § 9. Kemp v. State, 324 Ark. 178, 919 S.W.2d 943, cert. denied, 519 U.S. 982, 117 S. Ct. 436, 136 L. Ed. 2d 334 (1996).

Constitutionality of victim impact testimony upheld. Johnson v. State, 326 Ark. 430, 934 S.W.2d 179 (1996), cert. denied, Johnson v. Arkansas, 520 U.S. 1242, 117 S. Ct. 1848, 137 L. Ed. 2d 1051, 1997 U.S. LEXIS 3296 (1997).

The mere fact that the legislature has provided for the presentation of victim impact evidence does not mean that the victim impact evidence will be so unduly prejudicial as to render the trial fundamentally unfair and violate due process. Noel v. Norris, 194 F. Supp. 2d 893 (E.D. Ark. 2002).

Inmate who had been sentenced to death was incorrect in his argument that victim impact procedure was inadequate in not requiring the jury to find proof beyond a reasonable doubt as to victim statements; the court also specifically rejected the notion that victim-impact evidence is an aggravating circumstance or that it violates the statutory weighing process set out in §§ 5-4-603 through 5-4-605. Johnson v. State, 356 Ark. 534, 157 S.W.3d 151, cert. denied, 543 U.S. 932, 125 S. Ct. 326, 160 L. Ed. 2d 235 (2004).

Arkansas's victim impact evidence statute, § 5-4-602(4), is procedural in nature and does not offend the Ex Post Facto Clause; the statute does not alter the potential penalty faced by any defendant, nor does it alter the state's burden of proof. Nooner v. Norris, 402 F.3d 801 (8th Cir. 2005), rehearing denied, — F.3d —, 2005 U.S. App. LEXIS 24870 (8th Cir. Nov. 18, 2005), cert. denied, 126 S. Ct. 2037, 164 L. Ed. 2d 794 (U.S. 2006).

Where habeas petitioner argued that his trial counsel was ineffective for failing to challenge the Arkansas victim impact statute as unconstitutional, counsel was not ineffective because subdivision (4) of this section was not unconstitutional, and the petitioner failed to show how the victim impact testimony in his case prejudiced him or violated his constitutional rights. Jackson v. Norris, 468 F. Supp. 2d 1030 (E.D. Ark. 2007), vacated, 2007 U.S. App. LEXIS 27006 (8th Cir. Ark. 2007).

—In General.

Subdivision (4) of this section clearly provides that evidence may be presented as to any matter relevant to punishment, including, but not limited to, victim-impact evidence; this section does not require that the evidence be limited to rebuttal. Wooten v. State, 325 Ark. 510, 931 S.W.2d 408 (1996), cert. denied, Wooten v. Arkansas, 519 U.S. 1125, 117 S. Ct. 979 (1997).

The General Assembly clearly expressed the policy of this State that victim-impact evidence is relevant to the decision of what punishment is appropriate. Noel v. State, 331 Ark. 79, 960 S.W.2d 439 (1998).

The Victim Impact Statute, subdivision (4) of this section, which permits the presentation of victim impact evidence, does not improperly create a new aggravator outside the state statutory scheme of aggravators set forth in § 5-4-604. Noel v. Norris, 194 F. Supp. 2d 893 (E.D. Ark. 2002).

Subdivison (4) of this section is not in conflict with §§ 5-4-603 through 5-4-605 and the Arkansas Rules of Evidence because victim-impact evidence is relevant to punishment separately from aggravating and mitigating circumstances. Anderson v. State, 367 Ark. 536, 242 S.W.3d 229 (2006), cert. denied, 551 U.S. 1133, 127 S. Ct. 2973, 168 L. Ed. 2d 707 (2007).

—Relevance.

Victim-impact evidence is not an additional aggravating circumstance but rather is relevant evidence which informs the jury of the toll the murder has taken on the victim's family; such evidence has been sanctioned by the U.S. Supreme Court as relevant, although as a safeguard against excessive victim-impact evidence, the Due Process Clause provides a mechanism for relief when such evidence is so unduly prejudicial that it renders the trial fundamentally unfair. Noel v. State, 331 Ark. 79, 960 S.W.2d 439 (1998).

Penalty recommendations from family members of the victim are not relevant as victim-impact evidence. Greene v. State, 343 Ark. 526, 37 S.W.3d 579 (2001), rehearing denied, Greene v. Arkansas, 534 U.S. 858, 122 S. Ct. 135 (2001).

Where the prisoner failed to show how the victim impact evidence admitted during the sentencing phase of his capital murder trial differed from that deemed admissible in prior U.S. Supreme Court cases or how it unduly prejudiced him, he was unable to establish that subdivision (4) of this section was void for vagueness; the prisoner's Eighth Amendment and due process challenges to the statute likewise failed. Nooner v. Norris, 402 F.3d 801 (8th Cir. 2005), rehearing denied, — F.3d —, 2005 U.S. App. LEXIS 24870 (8th Cir. Nov. 18, 2005), cert. denied, 126 S. Ct. 2037, 164 L. Ed. 2d 794 (U.S. 2006).

In defendant's trial for capital murder, the testimony of the victim's father, two sisters, and one of her children was not unduly prejudicial but rather was relevant to show the impact her death had on her family, which was precisely the purpose envisioned by the Arkansas General Assembly in enacting subdivision (4) of this section; thus, the trial court did not abuse its discretion in admitting victim-impact evidence during defendant's sentencing because such evidence was relevant under the Arkansas capital-murder-sentencing process. Springs v. State, 368 Ark. 256, 244 S.W.3d 683 (2006), cert. denied, 550 U.S. 939, 127 S. Ct. 2257, 167 L. Ed. 2d 1100 (2007).

Voir Dire.

Defendants in a capital murder case are not permitted to voir dire the jury between the guilt phase and the penalty phase of the trial since subdivision (3) requires the same jury sit at both phases. Ruiz v. State, 273 Ark. 94, 617 S.W.2d 6 (1981), cert. denied, Ruiz v. Arkansas, 454 U.S. 1093, 102 S. Ct. 659 (1981).

Waiver.

Defendant validly waived his right to present mitigating evidence where he had for months steadfastly refused to present mitigating evidence because he wanted to spare his family and friends from the trauma of such proceedings, the issue was discussed every time his attorneys met with defendant, and furthermore, because defendant had gone through a previous capital murder trial where he did present mitigating evidence, he certainly understood both the purpose of such evidence and the effect which it would have on those testifying; consequently, he made an informed and voluntary choice. Snell v. Lockhart, 14 F.3d 1289 (8th Cir. Ark. 1994).

Cited: Titus v. State, 268 Ark. 9, 593 S.W.2d 164 (1980); Heard v. State, 272 Ark. 140, 612 S.W.2d 312 (1981); Gruzen v. State, 276 Ark. 149, 634 S.W.2d 92 (1982); Wilson v. State, 295 Ark. 682, 751 S.W.2d 734 (1988); Ruiz v. State, 299 Ark. 144, 772 S.W.2d 297 (1989); Fretwell v. Lockhart, 946 F.2d 571 (8th Cir. 1991); Beard v. State, 306 Ark. 546, 816 S.W.2d 860 (1991); Townsend v. State, 308 Ark. 266, 824 S.W.2d 821 (1992); Hill v. Lockhart, 28 F.3d 832 (8th Cir. 1994); Williams v. State, 325 Ark. 432, 930 S.W.2d 297 (1996); Cox v. Norris, 958 F. Supp. 411 (E.D. Ark. 1996); Jackson v. State, 330 Ark. 126, 954 S.W.2d 894 (1997); Kemp v. State, 335 Ark. 139, 983 S.W.2d 383 (1998); Jones v. State, 340 Ark. 390, 10 S.W.3d 449 (2000); Copeland v. State, 343 Ark. 327, 37 S.W.3d 567 (2001); Thessing v. State, 365 Ark. 384, 230 S.W.3d 526 (2006); Dimas-Martinez v. State, 2011 Ark. 515, 385 S.W.3d 238 (2011).

5-4-603. Findings required for death sentence — Harmless error review.

  1. The jury shall impose a sentence of death if the jury unanimously returns written findings that:
    1. An aggravating circumstance exists beyond a reasonable doubt;
    2. Aggravating circumstances outweigh beyond a reasonable doubt all mitigating circumstances found to exist; and
    3. Aggravating circumstances justify a sentence of death beyond a reasonable doubt.
  2. The jury shall impose a sentence of life imprisonment without parole if the jury finds that:
    1. Aggravating circumstances do not exist beyond a reasonable doubt;
    2. Aggravating circumstances do not outweigh beyond a reasonable doubt all mitigating circumstances found to exist; or
    3. Aggravating circumstances do not justify a sentence of death beyond a reasonable doubt.
  3. If the jury does not make any finding required by subsection (a) of this section, the court shall impose a sentence of life imprisonment without parole.
    1. On an appellate review of a death sentence, the Supreme Court shall conduct a harmless error review of the defendant's death sentence if:
      1. The Supreme Court finds that the jury erred in finding the existence of any aggravating circumstance for any reason; and
      2. The jury found no mitigating circumstance.
    2. The Supreme Court shall conduct a harmless error review under subdivision (d)(1) of this section by determining that a remaining aggravating circumstance:
      1. Exists beyond a reasonable doubt; and
      2. Justifies a sentence of death beyond a reasonable doubt.
  4. If the Supreme Court concludes that the erroneous finding of any aggravating circumstance by the jury would not have changed the jury's decision to impose the death penalty on the defendant, then a simple majority of the court may vote to affirm the defendant's death sentence.

History. Acts 1975, No. 280, § 1302; 1977, No. 474, § 11; A.S.A. 1947, § 41-1302; Acts 1987, No. 412, § 1.

Research References

Ark. L. Rev.

Article, Ethical and Effective Representation in Arkansas Capital Trials, 60 Ark. L. Rev. 1.

Janet C. Hoeffel, Death Beyond a Reasonable Doubt, 70 Ark. L. Rev. 267 (2017).

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Procedure, 5 U. Ark. Little Rock L.J. 123.

Survey of Arkansas Law: Criminal Procedure, 6 U. Ark. Little Rock L.J. 119.

Survey — Criminal Procedure, 10 U. Ark. Little Rock L.J. 567.

Case Notes

Constitutionality.

Former death penalty statute held constitutional. Swindler v. State, 264 Ark. 107, 569 S.W.2d 120 (1978) (decision under prior law).

Sections 5-4-6025-4-605 do not place an impermissible burden on the exercise of the constitutional right to trial by jury; since, under this section the trial judge is not required to impose the death penalty in every case in which the jury verdict prescribes it. Ruiz v. State, 275 Ark. 410, 630 S.W.2d 44 (1982), cert. denied, Ruiz v. Arkansas, 459 U.S. 882, 103 S. Ct. 181 (1982).

This section, which sets out the findings required for a death sentence, is not unconstitutional. Hill v. State, 278 Ark. 194, 644 S.W.2d 282 (1983); Bowen v. State, 322 Ark. 483, 911 S.W.2d 555 (1995), cert. denied, Bowen v. Arkansas, 517 U.S. 1226, 116 S. Ct. 1861, 134 L. Ed. 2d 960 (1996).

The claim that the Arkansas statutory scheme regarding capital murder is unconstitutional in that it does not require the jury to separately weigh each defendant's role in a crime involving capital murder, so as to determine individual culpability, was rejected where the evidence showed that the blame for victim's murder rested with near equality on all of the defendants. Clines v. State, 280 Ark. 77, 656 S.W.2d 684 (1983), cert. denied, Clines v. Arkansas, 465 U.S. 1051, 104 S. Ct. 1328, 79 L. Ed. 2d 723 (1984).

Since this sentencing statute does not require a mandatory death sentence, but rather establishes criteria which must be strictly met before a death sentence shall be imposed, it is not unconstitutional. Hill v. State, 289 Ark. 387, 713 S.W.2d 233 (1986), cert. denied, Hill v. Arkansas, 479 U.S. 1101, 107 S. Ct. 1331 (1987).

This section does not violate the Eighth Amendment, and this section as applied did not violate defendant's right to due process. Singleton v. Lockhart, 962 F.2d 1315 (8th Cir. 1992), cert. denied, Singleton v. Norris, 506 U.S. 964, 113 S. Ct. 435 (1992).

The argument that the provisions in this section are unconstitutional because they prohibit the jury from exercising mercy, and therefore amount to a mandatory death penalty, held without merit. Jackson v. State, 330 Ark. 126, 954 S.W.2d 894 (1997).

The “shall impose” language of this section is constitutional; the jury has the option of mercy and shall return a sentence of death only if certain conditions are met. Cox v. Norris, 133 F.3d 565 (8th Cir. 1997), cert. denied, 525 U.S. 834, 119 S. Ct. 89 (1998).

This section, in conjunction with § 5-4-604, constitutionally narrows the class of persons eligible for the death penalty. Cox v. Norris, 133 F.3d 565 (8th Cir. 1997), cert. denied, 525 U.S. 834, 119 S. Ct. 89 (1998).

This section is constitutional. Noel v. State, 331 Ark. 79, 960 S.W.2d 439 (1998).

This section does not unconstitutionally provide for the mandatory imposition of the death sentence; a jury may show mercy simply by finding that the aggravating circumstances do not justify the imposition of a death sentence. Greene v. State, 335 Ark. 1, 977 S.W.2d 192 (1998).

Subsection (a) is constitutional, notwithstanding the contention that it mandates the imposition of the death penalty and does not allow the jury to show mercy. Camargo v. State, 337 Ark. 105, 987 S.W.2d 680 (1999).

The statute does not require a mandatory death penalty and, therefore, is not unconstitutional. Williams v. State, 338 Ark. 97, 991 S.W.2d 565 (1999).

This section is not facially unconstitutional on grounds that it does not permit the jury to give adequate effect to mitigating evidence. Williams v. Norris, 576 F.3d 850 (8th Cir. 2009).

In General.

This section provides for the narrowing of the death eligible class in the penalty phase of the trial. Johnson v. State, 308 Ark. 7, 823 S.W.2d 800 (Ark. 1992).

This section is properly applied where the jury is instructed that it can, by finding that circumstances will not warrant the imposition of the death penalty, return a verdict of life without parole. Whitmore v. State, 299 Ark. 55, 771 S.W.2d 266 (1989).

Application of this section does not result in a mandatory death sentence. Williams v. State, 346 Ark. 54, 56 S.W.3d 360 (2001).

Applicability.

The court may conduct a harmless-error analysis if the jury found no mitigating circumstances, or when the jury makes an error in finding that an aggravating circumstance exists. Jones v. State, 329 Ark. 62, 947 S.W.2d 339 (1997), cert. denied, Jones v. Arkansas, 522 U.S. 1002, 118 S. Ct. 574 (1997).

Aggravating or Mitigating Circumstances.

During the penalty stage of a capital murder trial, the state was not required to repeat evidence of aggravating circumstances in addition to any such evidence previously presented during the guilt or innocence phase of the trial. Neal v. State, 259 Ark. 27, 531 S.W.2d 17 (1975), vacated, Collins v. Arkansas, 429 U.S. 808, 97 S. Ct. 44, 97 S. Ct. 45 (1976), aff'd, 261 Ark. 336, 548 S.W.2d 135 (1977); vacated insofar as judgment left undisturbed the death penalty imposed, Collins v. Arkansas, 429 U.S. 808, 97 S. Ct. 44, 97 S. Ct. 45 (1976) (decision under prior law).

Weighing the aggravating circumstances against the mitigating ones for sentencing purposes is not simply a matter of counting the number of aggravating and mitigating circumstances and striking a balance but is a reasoned judgment to be exercised in light of the totality of the circumstances. Giles v. State, 261 Ark. 413, 549 S.W.2d 479, cert. denied, 434 U.S. 894, 98 S. Ct. 272, 54 L. Ed. 2d 180 (1977) (decision under prior law).

Where the jury found that aggravating circumstances existed and that no mitigating circumstances existed, the facts supported the sentence of death. Woodard v. State, 261 Ark. 895, 553 S.W.2d 259 (1977), cert. denied, Woodard v. Arkansas, 439 U.S. 1122, 99 S. Ct. 1034 (1979) (decision under prior law).

Jury must find not only that the aggravating circumstances outweigh the mitigating circumstances, but also that the aggravating circumstances justify a sentence of death beyond a reasonable doubt as required by subdivision (a)(3) of this section. Williams v. State, 274 Ark. 9, 621 S.W.2d 686 (1981), cert. denied, Williams v. Arkansas, 459 U.S. 1042, 103 S. Ct. 460 (1982).

This section requires only that the jury unanimously find at least one of the aggravating circumstances set out in § 5-4-604 to exist before it can impose the death penalty; accordingly, where the jury found one aggravating circumstance, it could properly impose the death penalty. Hayes v. State, 280 Ark. 509, 660 S.W.2d 648 (1983), cert. denied, 465 U.S. 1051, 104 S. Ct. 1331, 79 L. Ed. 2d 726 (1984).

Jury's finding that the aggravating circumstances outweighed beyond a reasonable doubt any mitgating circumstances was supported by the evidence. Hayes v. State, 278 Ark. 211, 645 S.W.2d 662 (1983), cert. denied, Hayes v. Arkansas, 464 U.S. 865, 104 S. Ct. 198, 78 L. Ed. 2d 173 (1984); Bowen v. State, 322 Ark. 483, 911 S.W.2d 555 (1995), cert. denied, Bowen v. Arkansas, 517 U.S. 1226, 116 S. Ct. 1861, 134 L. Ed. 2d 960 (1996).

Any relevant mitigating evidence concerning a defendant's character should not be excluded; such evidence may include defendant's behavior and conduct that existed not only before, and at time of the crime, but also that which occurred before sentencing and during the period of post-conviction relief, should a later resentencing occur. Pickens v. State, 292 Ark. 362, 730 S.W.2d 230, cert. denied, 484 U.S. 917, 108 S. Ct. 269, 98 L. Ed. 2d 226 (1987).

It is a matter of judgment whether the facts support the jury's findings as to the issues of aggravating and mitigating circumstances, but an appellate court will not substitute its judgment for that of the jury that heard the evidence if there is a reasonable and understandable application of the facts to the statutory requirements. O'Rourke v. State, 295 Ark. 57, 746 S.W.2d 52 (1988).

Although petitioner claimed that his attorney was ineffective in not objecting to the prosecutor's statement in his closing argument during the penalty phase that if the jury finds aggravating circumstances which outweigh the mitigating circumstances, they should sentence him to death, it was held that, while this section actually provides that to sentence a defendant to death the jury must also find that the aggravating circumstances must justify a sentence of death, the petitioner failed to prove that he was prejudiced by the omission; it was unlikely that the addition of the omitted phrase would have resulted in a different sentence. O'Rourke v. State, 298 Ark. 144, 765 S.W.2d 916 (1989).

Even if the jury finds that the aggravating circumstances outweigh the mitigating circumstances under this section the jury may nevertheless reject the penalty of death if it finds the aggravating circumstances do not justify a penalty of death beyond a reasonable doubt. Whitmore v. Lockhart, 834 F. Supp. 1105 (E.D. Ark. 1992), aff'd, 8 F.3d 614 (8th Cir. Ark. 1993).

While the aggravating circumstance in § 5-4-604(3) does not place any time restriction on which violent crimes may be considered, the jury must still find, pursuant to subdivision (a)(3) of this section, that the aggravating circumstances justify a sentence of death beyond a reasonable doubt; thus, in the event the jury finds that the defendant committed a violent crime many years ago, it may take into account that the previous crime was nothing more than one moment's indiscretion as a youth and reject the penalty of death on that basis. Whitmore v. Lockhart, 834 F. Supp. 1105 (E.D. Ark. 1992), aff'd, 8 F.3d 614 (8th Cir. Ark. 1993).

Defendant's argument that, had the trial court instructed the jury on lesser-included offenses to terroristic threatening and aggravated assault, the jury might have found that he committed one or more misdemeanors, which would not have triggered the prior felony aggravating circumstances, held without merit; even if the jury had found the prior felony aggravating circumstance, it could only impose a sentence of death after considering (i) whether this aggravating circumstance justified a sentence of death, and (ii) whether this aggravating circumstance outweighed any mitigating circumstances found to exist. Parker v. Norris, 64 F.3d 1178 (8th Cir. 1995), cert. denied, 516 U.S. 1095, 116 S. Ct. 820, 133 L. Ed. 2d 764 (1996).

Aggravating circumstance existed beyond a reasonable doubt, where defendant had previously threatened a law enforcement officer with a butcher knife, which was the offense for which defendant was currently on parole. Williams v. State, 321 Ark. 344, 902 S.W.2d 767 (1995), cert. denied, Williams v. Arkansas, 516 U.S. 1030, 116 S. Ct. 676, 133 L. Ed. 2d 525 (1995), rehearing denied, — Ark. —, — S.W.3d —, 2012 Ark. LEXIS 45 (Ark. Jan. 26, 2012).

In death penalty case, proof of a prior felony involving violence was sufficient as a aggravating circumstance. Nooner v. State, 322 Ark. 87, 907 S.W.2d 677 (1995), cert. denied, Nooner v. Arkansas, 517 U.S. 1143, 116 S. Ct. 1436, 134 L. Ed. 2d 558 (1996).

Where the jury unanimously found two mitigating circumstances on each count: (1) Appellant grew up in an environment of abuse and alcoholism; and (2) appellant grew up in an environment where his father provided an example of extreme violent reactions to situations, the Supreme Court must reverse for resentencing the death sentences on the counts relating to three shooting victims. Kemp v. State, 324 Ark. 178, 919 S.W.2d 943, cert. denied, 519 U.S. 982, 117 S. Ct. 436, 136 L. Ed. 2d 334 (1996).

Where sentencing jury clearly found that one aggravating factor existed, that the aggravating factor outweighed any mitigating factors, and that the death penalty was justified, the court applied the analysis under subsection (d) and determined that the inconsistent findings regarding a mitigating factor were harmless error and affirmed the death penalty sentence. Robbins v. State, 356 Ark. 225, 149 S.W.3d 871 (2004).

Death sentence imposed on defendant convicted of capital murder was reversed because confusion led the jury to disregard any consideration of mitigating circumstances; no polling of the jury regarding any mitigating circumstance took place and the jury manifestly erred by marking the box that there was no evidence presented of any mitigators, despite the fact that an abundance of such evidence was, in fact, presented. Anderson v. State, 357 Ark. 180, 163 S.W.3d 333 (2004).

Defendant's due process rights were not violated by trial court's refusal to authorize funds to hire a psychiatrist to testify at the sentencing part of defendant's capital murder trial as the assistance of a doctor who participated in the competency evaluation in the defense met the requirements of Ake v. Oklahoma. Davis v. Norris, 423 F.3d 868 (8th Cir. 2005).

Because a jury clearly erred in finding the aggravating circumstance of an underlying robbery when defendant was trying to recover from the murder victim money that he had lost gambling in a card game with the victim, harmless error analysis was not required. Daniels v. State, 373 Ark. 536, 285 S.W.3d 205 (2008), superseded by statute as stated in, Heard v. State, 2009 Ark. 546, 354 S.W.3d 49 (2009).

Petitioner's death sentence could not stand because the manner in which the jury completed its form allowed only the conclusion that it eliminated from its consideration all evidence presented of mitigating circumstances and sentenced petitioner to death solely based on an aggravating circumstance, which was reversible error. Williams v. State, 2011 Ark. 534 (2011), overruled, Nooner v. State, 2014 Ark. 296, 438 S.W.3d 233 (2014).

Burden of Proof.

This section clearly requires findings of aggravators beyond a reasonable doubt. Johnson v. State, 326 Ark. 430, 934 S.W.2d 179 (1996), cert. denied, Johnson v. Arkansas, 520 U.S. 1242, 117 S. Ct. 1848, 137 L. Ed. 2d 1051, 1997 U.S. LEXIS 3296 (1997).

Construction With Other Law.

Section 5-4-602(4) is not in conflict with §§ 5-4-603 through 5-4-605 and the Arkansas Rules of Evidence because victim-impact evidence is relevant to punishment separately from aggravating and mitigating circumstances. Anderson v. State, 367 Ark. 536, 242 S.W.3d 229 (2006), cert. denied, 551 U.S. 1133, 127 S. Ct. 2973, 168 L. Ed. 2d 707 (2007).

Death Penalty.

The state may, if it chooses, resentence defendant whose death sentence was set aside because jury considered an invalid aggravating circumstance, relying on the remaining aggravating circumstance and any others which it might be able to prove. Perry v. Lockhart, 656 F. Supp. 46 (E.D. Ark. 1986), aff'd in part, reversed in part, 871 F.2d 1384 (8th Cir. Ark. 1989).

Death sentence was not invalid because the trial court instructed the jury on pecuniary gain as an aggravating circumstance, and this aggravating circumstance did not violate U.S. Const. Amend. 8 by improperly duplicating an element of the robbery/murder offense with which he was convicted. Duplicative nature of Arkansas's statutory aggravating circumstance of pecuniary gain where the defendant is convicted of robbery/murder does not render the defendant's sentencing infirm, since the constitutionally-mandated-narrowing function was performed at the guilt phase. O'Rourke v. State, 295 Ark. 57, 746 S.W.2d 52 (1988).

Denial of defendant's motion to prohibit the state from seeking the death penalty on retrial of the charge of capital murder was appropriate because there was no acquittal of the death penalty when the circuit court imposed the life sentence as required by law after the jury deadlocked on the penalty issue and then the circuit court imposed the sentence of life without parole as a matter of law, under subsection (c) of this section. Osburn v. State, 2011 Ark. 406 (2011), cert. denied, 568 U.S. 827, 133 S. Ct. 102, 184 L. Ed. 2d 47 (2012).

Discretion of Court and Jury.

This section provides that the jury shall impose a sentence of death if it returns certain written findings, but the trial judge is not required to impose the death penalty in every case in which the jury verdict prescribes it. Hill v. State, 278 Ark. 194, 644 S.W.2d 282 (1983).

Juries are not bound to return a verdict of death if they find aggravating circumstances outweigh mitigating circumstances; whatever the jury may find with respect to aggravation versus mitigation, it is still free to return a verdict of life without parole, simply by finding that the aggravating circumstances do not justify a sentence of death. Additionally, because the capital murder statute and the first degree murder statute overlap in appropriate cases, the jury may refuse consideration of both the death penalty and life without parole, by returning a guilty verdict as to the charge of murder in the first degree. Clines v. State, 280 Ark. 77, 656 S.W.2d 684 (1983), cert. denied, Clines v. Arkansas, 465 U.S. 1051, 104 S. Ct. 1328, 79 L. Ed. 2d 723 (1984).

Jury, irrespective of its findings under these provisions, can still return a life verdict without parole simply by rejecting the death penalty. Pickens v. State, 292 Ark. 362, 730 S.W.2d 230, cert. denied, 484 U.S. 917, 108 S. Ct. 269, 98 L. Ed. 2d 226 (1987).

This section does not contain a binding instruction, i.e., does not require a mandatory death sentence, but rather provides specified criteria that must be fully satisfied before the death sentence can be imposed; this section provides that a jury is free to sentence to life without parole if it finds the aggravating circumstances do not “justify” death. Echols v. State, 326 Ark. 917, 936 S.W.2d 509 (1996), cert. denied, 520 U.S. 1244, 117 S. Ct. 1853, 137 L. Ed. 2d 1055 (1997).

Jury cannot ignore a stipulated mitigating factor. Anderson v. State, 357 Ark. 180, 163 S.W.3d 333 (2004).

Evidence.

Evidence sufficient to find that death penalty was not wantonly, arbitrarily or freakishly imposed, and was not excessive in relation to the crime and the jury's verdict was relatively free of passion or prejudice. Clines v. State, 280 Ark. 77, 656 S.W.2d 684 (1983), cert. denied, Clines v. Arkansas, 465 U.S. 1051, 104 S. Ct. 1328, 79 L. Ed. 2d 723 (1984).

Evidence supported the jury's finding that defendant had previously committed another felony, an element of which was the use of threat of violence to another person. Hayes v. State, 278 Ark. 211, 645 S.W.2d 662 (1983), cert. denied, Hayes v. Arkansas, 464 U.S. 865, 104 S. Ct. 198, 78 L. Ed. 2d 173 (1984); Hayes v. Arkansas, 465 U.S. 1051, 104 S. Ct. 1331, 79 L. Ed. 2d 726 (1984).

Evidence sufficient to support jury's finding that no mitigating factors existed. O'Rourke v. State, 295 Ark. 57, 746 S.W.2d 52 (1988).

Where the prosecutor only admitted the conviction judgment of a previously committed felony into evidence to establish an aggravating circumstance at the sentencing phase of defendant's trial, and that previous judgment was later reversed, the use of the previous conviction was prejudicial and the defendant was entitled to be resentenced. Sanders v. State, 308 Ark. 178, 824 S.W.2d 353 (1992).

Where, in a prosecution for capital murder, the jury found two aggravating circumstances and did not find any mitigating factors, imposition of the death penalty was upheld. Henderson v. State, 311 Ark. 398, 844 S.W.2d 360 (1993).

Jurors.

This section contemplates that persons on the jury will be capable of imposing the death penalty; accordingly, it was not error for the trial court to strike for cause persons who stated that they could not under any circumstances impose the death penalty. Henderson v. State, 279 Ark. 414, 652 S.W.2d 26, cert. denied, Henderson v. Arkansas, 464 U.S. 1012, 104 S. Ct. 536 (1983).

State's questioning of venire persons regarding the imposition of death for the murder of a single person did not lead to a jury organized to return a verdict of death; the State was simply exploring whether the jurors could follow the court's instructions with respect to capital murder. Anderson v. State, 357 Ark. 180, 163 S.W.3d 333 (2004).

Jury Instructions.

Judge's instruction during the sentencing phase in a capital murder case that the jury could not, consistent with the law and the evidence, find that no evidence of mitigating circumstances had been presented, did not violate a habeas petitioner's rights under the Sixth and Eighth Amendments because the judge promoted, rather than obstructed, the jury's consideration of mitigating evidence. Jackson v. Norris, 468 F. Supp. 2d 1030 (E.D. Ark. 2007), vacated, 2007 U.S. App. LEXIS 27006 (8th Cir. Ark. 2007).

Where habeas petitioner argued that his trial counsel was ineffective for failing to object to the trial court's handling of the jury's error concerning the existence of mitigating circumstances, even assuming that the petitioner could show deficient performance in the failure to object, the failure to object had no effect on the jury's imposition of the death penalty because the trial court made no error in instructing the jury during the penalty phase. Jackson v. Norris, 468 F. Supp. 2d 1030 (E.D. Ark. 2007), vacated, 2007 U.S. App. LEXIS 27006 (8th Cir. Ark. 2007).

At the Miller resentencing hearing of appellant, who had received a sentence of life without parole as a juvenile offender in 1980, the circuit court properly rejected appellant's proffered jury instructions because the instructions would have asked the jury to make findings that are required only in death cases, and appellant was facing a sentence of life on resentencing. Hundley v. State, 2020 Ark. 89, 594 S.W.3d 60 (2020).

Justify.

Justification is an essential element for the imposition of a death sentence. Noel v. State, 331 Ark. 79, 960 S.W.2d 439 (1998).

Supreme Court Review.

The state Supreme Court may determine that subsection (d) of this section cannot be applied to the petitioner and/or that the court is without authority to reweigh the circumstances or apply harmless-error review. Snell v. Lockhart, 791 F. Supp. 1367 (E.D. Ark. 1992), cert. denied, Snell v. Arkansas, 490 U.S. 1075, 109 S. Ct. 2090 (1989), aff'd in part, reversed in part, 14 F.3d 1289 (8th Cir. Ark. 1994).

If the Supreme Court is unable to conclude that the erroneous finding of an aggravating circumstance would not have changed the jury's decision to impose the death penalty, the sentence must be set aside. Sanders v. State, 308 Ark. 178, 824 S.W.2d 353 (1992).

Where the jury foreman asked the trial judge whether the jury could consider another capital murder conviction as an aggravating circumstance, it was impossible to surmise the amount of emphasis the jury gave this aggravating circumstance, and the Supreme Court was unable to conclude that the jury would have still imposed the death penalty; consequently case was remanded for resentencing. Sanders v. State, 308 Ark. 178, 824 S.W.2d 353 (1992).

A defendant's death sentence may be affirmed using harmless error only if the error would not have changed the jury's decision to impose the death penalty. Ward v. State, 308 Ark. 415, 827 S.W.2d 110 (1992), cert. denied, Ward v. Arkansas, 506 U.S. 841, 113 S. Ct. 124 (1992).

Because the result of the sentencing proceeding was rendered neither unreliable nor fundamentally unfair as a result of counsel's failure to make an objection to an improper aggravating factor, the failure to object did not constitute reversible “prejudice.” Lockhart v. Fretwell, 506 U.S. 364, 113 S. Ct. 838 (1993).

The applicable statutory provisions as well as prior decisions of the Arkansas Supreme Court are crystal clear that the application of the reasonable doubt standard is required in appellate review of aggravating circumstances findings. Miller v. Lockhart, 861 F. Supp. 1425 (E.D. Ark. 1994), aff'd, 65 F.3d 676 (8th Cir. 1995).

The standards employed by the Arkansas Supreme Court to determine the sufficiency of the evidence to support the jury's findings, relative to the aggravating circumstances were not adequate; it is readily apparent that the standard employed by the Arkansas Supreme Court in reviewing the findings of the jury was a lesser standard than a “reasonable doubt” analysis. Miller v. Lockhart, 861 F. Supp. 1425 (E.D. Ark. 1994), aff'd, 65 F.3d 676 (8th Cir. 1995).

The Arkansas Supreme Court can perform the statutory harmless error analysis in the penalty phase only if the jury found no mitigating circumstances. Greene v. State, 317 Ark. 350, 878 S.W.2d 384 (1994).

Where there was no erroneous finding of any aggravating circumstance with respect to the death penalty, the Supreme Court would not conduct a harmless-error review under subsection (d). Nance v. State, 323 Ark. 583, 918 S.W.2d 114 (1996), cert. denied, Nance v. Arkansas, 519 U.S. 847, 117 S. Ct. 134, 136 L. Ed. 2d 83 (1996).

When the jury has made an error regarding mitigating circumstances, but no error regarding aggravating circumstances, such error would clearly be harmless if the jury unanimously found that several aggravating circumstances existed, that they outweighed beyond a reasonable doubt any mitigating circumstances found by any juror to exist, and that the aggravating circumstances justified beyond a reasonable doubt a sentence of death. Hill v. State, 331 Ark. 312, 962 S.W.2d 762, cert. denied, 525 U.S. 860, 119 S. Ct. 145, 142 L. Ed. 2d 118 (1998).

Unanimous Return Required.

Where defendant had been convicted of capital murder, the failure of the jury to unanimously return a written finding that aggravating circumstances justified a sentence of death beyond a reasonable doubt required reversal of the sentencing phase. Camargo v. State, 327 Ark. 631, 940 S.W.2d 464 (1997). See also Jones v. State, 329 Ark. 62, 947 S.W.2d 339 (1997), cert. denied, Jones v. Arkansas, 522 U.S. 1002, 118 S. Ct. 574 (1997).

This section requires that the jury vote unanimously and perform a weighing test of the mitigating factors against the aggravating factors before it can impose the death penalty. Jackson v. State, 352 Ark. 359, 105 S.W.3d 352 (Ark. 2003).

Death penalty upheld where the trial court did not direct the jury to impose the death penalty, but properly instructed the jury to correct an error made in completing the verdict form, and the jury unanimously agreed that there were no mitigating circumstances. Jackson v. State, 352 Ark. 359, 105 S.W.3d 352 (Ark. 2003).

Verdict Forms.

This section requires the jury to complete three verdict forms: the first deals with aggravating circumstances, where the jury checks off any of the statutory aggravating circumstances found to exist beyond a reasonable doubt; the second form similarly deals with mitigating circumstances, where the jury identifies those which are unanimously found to exist, those which fewer than all of the jurors believe exist, and those for which there is evidence but which the jurors unanimously agree do not exist; and the third verdict form deals with whether any existing aggravating circumstances outweigh any existing mitigating circumstances and whether the aggravating circumstances justify a death sentence. Snell v. Lockhart, 14 F.3d 1289 (8th Cir. Ark. 1994).

Defendant's death sentence was reversed and remanded for resentencing because verdict Form 2 was not signed or filed and, therefore, the court was unable to say that the jury considered any possible mitigating circumstances, much less that it concluded that beyond a reasonable doubt that the only aggravating circumstance outweighed any mitigating circumstances. Anderson v. State, 353 Ark. 384, 108 S.W.3d 592 (2003), cert. denied, Anderson v. Arkansas, 540 U.S. 1050, 124 S. Ct. 832 (2003), appeal dismissed, — Ark. —, — S.W.3d —, 2006 Ark. LEXIS 109 (Jan. 12, 2006), dismissed, Anderson v. Norris, — F. Supp. 2d —, 2008 U.S. Dist. LEXIS 10114 (E.D. Ark. Feb. 8, 2008).

Submission of a single set of verdict forms deprived the jury of the opportunity to separately consider the circumstances surrounding each of the murders in determining the punishment to be assessed for each count. Submission of a single set of forms was an error that impacted the validity of the death sentence imposed by the jury. Wertz v. State, 2016 Ark. 249, 493 S.W.3d 772 (2016).

Although the jury completed the verdict forms it was given, the erroneous submission of a single set of forms deprived the jury of the opportunity to determine which aggravators applied to which of the murders. The presence of a defect in the appellate process and the fact that appellant received a sentence of death weighed heavily in favor of the Supreme Court granting a motion to recall the mandate and ordering resentencing. Wertz v. State, 2016 Ark. 249, 493 S.W.3d 772 (2016).

Victim Impact Evidence.

Inmate who had been sentenced to death was incorrect in his argument that victim impact procedure was inadequate in not requiring the jury to find proof beyond a reasonable doubt as to victim statements; the court also specifically rejected the notion that victim-impact evidence is an aggravating circumstance or that it violates the statutory weighing process set out in §§ 5-4-603 through 5-4-605. Johnson v. State, 356 Ark. 534, 157 S.W.3d 151, cert. denied, 543 U.S. 932, 125 S. Ct. 326, 160 L. Ed. 2d 235 (2004).

Harmless error analysis under this section did not apply in reviewing the propriety of victim impact statements in which the victim's survivors testified that they wished the jury to impose the death sentence, because the alleged error in admitting the statements did not challenge the jury's finding of aggravating circumstances. Miller v. State, 2010 Ark. 1, 362 S.W.3d 264 (2010), rehearing denied, — Ark. —, — S.W.3d —, 2010 Ark. LEXIS 95 (Feb. 12, 2010).

Circuit court properly denied defendant's claim for postconviction relief because the victim-impact testimony requesting life without parole for his murder conviction was not prejudicial as defendant received a 40-year sentence. Liggins v. State, 2016 Ark. 432, 505 S.W.3d 191 (2016).

Cited: Hulsey v. State, 268 Ark. 312, 595 S.W.2d 934 (1980); Simmons v. Lockhart, 626 F. Supp. 872 (E.D. Ark. 1985); Wilson v. State, 295 Ark. 682, 751 S.W.2d 734 (1988); Perry v. Lockhart, 871 F.2d 1384 (8th Cir. Ark. 1989); Singleton v. Lockhart, 871 F.2d 1395 (8th Cir. Ark. 1989); Coulter v. State, 304 Ark. 527, 804 S.W.2d 348 (1991); Fretwell v. Lockhart, 946 F.2d 571 (8th Cir. 1991); Mauppin v. State, 309 Ark. 235, 831 S.W.2d 104 (1992); Whitmore v. Lockhart, 8 F.3d 614 (8th Cir. Ark. 1993); Hill v. Lockhart, 824 F. Supp. 1327 (E.D. Ark. 1993); Hill v. Lockhart, 28 F.3d 832 (8th Cir. 1994); Ruiz v. Norris, 868 F. Supp. 1471 (E.D. Ark. 1994); Dansby v. State, 319 Ark. 506, 893 S.W.2d 331 (1995); Sasser v. State, 321 Ark. 438, 902 S.W.2d 773 (1995); Porter v. State, 321 Ark. 555, 905 S.W.2d 835 (1995); Nooner v. State, 322 Ark. 87, 907 S.W.2d 677 (1995); Lee v. State, 327 Ark. 692, 942 S.W.2d 231; Riggs v. State, 339 Ark. 111, 3 S.W.3d 305 (1999); Isom v. State, 356 Ark. 156, 148 S.W.3d 257 (2004); Thessing v. State, 365 Ark. 384, 230 S.W.3d 526 (2006); Thomas v. State, 370 Ark. 70, 257 S.W.3d 92; Grubbs v. State, 2020 Ark. 42, 592 S.W.3d 688 (2020).

5-4-604. Aggravating circumstances.

An aggravating circumstance is limited to the following:

  1. The capital murder was committed by a person imprisoned as a result of a felony conviction;
  2. The capital murder was committed by a person unlawfully at liberty after being sentenced to imprisonment as a result of a felony conviction;
  3. The person previously committed another felony, an element of which was the use or threat of violence to another person or the creation of a substantial risk of death or serious physical injury to another person;
  4. The person in the commission of the capital murder knowingly created a great risk of death to a person other than the victim or caused the death of more than one (1) person in the same criminal episode;
  5. The capital murder was committed for the purpose of avoiding or preventing an arrest or effecting an escape from custody;
  6. The capital murder was committed for pecuniary gain;
  7. The capital murder was committed for the purpose of disrupting or hindering the lawful exercise of any government or political function;
    1. The capital murder was committed in an especially cruel or depraved manner.
      1. For purposes of subdivision (8)(A) of this section, a capital murder is committed in an especially cruel manner when, as part of a course of conduct intended to inflict mental anguish, serious physical abuse, or torture upon the victim prior to the victim's death, mental anguish, serious physical abuse, or torture is inflicted.
        1. “Mental anguish” means the victim's uncertainty as to his or her ultimate fate.
        2. “Serious physical abuse” means physical abuse that creates a substantial risk of death or that causes protracted impairment of health, or loss or protracted impairment of the function of any bodily member or organ.
        3. “Torture” means the infliction of extreme physical pain for a prolonged period of time prior to the victim's death.
    2. For purposes of subdivision (8)(A) of this section, a capital murder is committed in an especially depraved manner when the person relishes the murder, evidencing debasement or perversion, or shows an indifference to the suffering of the victim and evidences a sense of pleasure in committing the murder;
  8. The capital murder was committed by means of a destructive device, bomb, explosive, or similar device that the person planted, hid, or concealed in any place, area, dwelling, building, or structure, or mailed or delivered, or caused to be planted, hidden, concealed, mailed, or delivered, and the person knew that his or her act would create a great risk of death to human life; or
  9. The capital murder was committed against a person whom the defendant knew or reasonably should have known was especially vulnerable to the attack because:
    1. Of either a temporary or permanent severe physical or mental disability which would interfere with the victim's ability to flee or to defend himself or herself; or
    2. The person was twelve (12) years of age or younger.

History. Acts 1975, No. 280, § 1303; 1977, No. 474, § 12; 1985, No. 833, § 1; A.S.A. 1947, § 41-1303; Acts 1991, No. 683, §§ 3, 4; 1995, No. 1205, § 1; 1997, No. 946, § 1; 2001, No. 308, § 1.

A.C.R.C. Notes. Acts 1995, No. 1205, § 2, provided:

“Legislative History. This is to memorialize the Arkansas Supreme Court's decision in Cox v. State, 313 Ark. 184 (1993), recognizing that Arkansas Code Annotated § 5-4-604(4) applies when a defendant knowingly creates a grave risk of death to another person in addition to the victim of the offense.”

Research References

ALR.

Validity, Construction, and Application of Aggravating and Mitigating Provisions of Death Penalty Statutes — Supreme Court Cases. 21 A.L.R. Fed. 2d 1.

Construction and Application of United States Sentencing Guideline § 2A2.1(b)(1), 18 U.S.C.A., Providing Enhancement for Attempted Murder or Assault with Intent to Commit Murder Dependent Upon Nature or Degree of Injury. 30 A.L.R. Fed. 2d 385.

Ark. L. Rev.

Article, Ethical and Effective Representation in Arkansas Capital Trials, 60 Ark. L. Rev. 1.

U. Ark. Little Rock L.J.

Survey — Criminal Law, 12 U. Ark. Little Rock L.J. 183.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

Constitutionality.

—In General.

The defendant's argument that the capital murder sentencing statutes are unconstitutionally vague in that the aggravating circumstances of this section are too closely related to the elements of capital felony murder was explicitly rejected because the aggravating circumstances are not an element of capital murder. Henderson v. State, 279 Ark. 414, 652 S.W.2d 26, cert. denied, Henderson v. Arkansas, 464 U.S. 1012, 104 S. Ct. 536 (1983).

Subdivision (8) (since amended) held to be too broad and vague to be sustained under the Eighth and Fourteenth Amendments to the United States Constitution. Wilson v. State, 295 Ark. 682, 751 S.W.2d 734 (1988), amended, 295 Ark. 692A, 752 S.W.2d 762 (Ark. 1988).

Subdivision (5) held not to be unconstitutionally vague or overbroad. Coulter v. State, 304 Ark. 527, 804 S.W.2d 348 (1991), cert. denied, Coulter v. Arkansas, 502 U.S. 829, 112 S. Ct. 102 (1991).

The aggravating circumstance providing that the murder was committed for the purpose of avoiding or preventing an arrest, is not vague, overbroad, nor fails to narrow and channel the jury's discretion in determining the appropriateness of punishment. Whitmore v. Lockhart, 834 F. Supp. 1105 (E.D. Ark. 1992), aff'd, 8 F.3d 614 (8th Cir. Ark. 1993).

This section adequately narrows the class of death-eligible defendants and enables the sentencer to make a principled distinction between those who deserve the death penalty and those who do not. Whitmore v. Lockhart, 8 F.3d 614 (8th Cir. Ark. 1993).

The homicide statutes' 1989 revisions, which upgraded “premeditated and deliberated” murder from first-degree murder to capital murder, did not violate the constitutional prohibition against sentencing guidelines that fail to sufficiently narrow jury discretion in death penalty cases, because under this section's revised capital sentencing scheme, the constitutionally-required narrowing function is provided by the “aggravating circumstance” requirement at the penalty phase. Sheridan v. State, 313 Ark. 23, 852 S.W.2d 772 (1993).

Subdivisions (5) and (8) held not to be so overbroad or vague as to be unconstitutional. Bowen v. State, 322 Ark. 483, 911 S.W.2d 555 (1995), cert. denied, Bowen v. Arkansas, 517 U.S. 1226, 116 S. Ct. 1861, 134 L. Ed. 2d 960 (1996).

The aggravating factor in subdivision (5), that defendant committed murder to avoid or prevent arrest, is not unconstitutionally vague and overbroad because the statutory definition is specific enough to guide the jury and to avoid arbitrary and capricious imposition of the death penalty. Wainwright v. Lockhart, 80 F.3d 1226 (8th Cir. Ark. 1996).

The “especially cruel” aggravating circumstance is not vague or overbroad. Johnson v. State, 326 Ark. 430, 934 S.W.2d 179 (1996), cert. denied, Johnson v. Arkansas, 520 U.S. 1242, 117 S. Ct. 1848, 137 L. Ed. 2d 1051, 1997 U.S. LEXIS 3296 (1997).

Subdivision (8) of this section is not unconstitutional. Echols v. State, 326 Ark. 917, 936 S.W.2d 509 (1996), cert. denied, 520 U.S. 1244, 117 S. Ct. 1853, 137 L. Ed. 2d 1055 (1997).

Duplication of an element of a capital offense by one or more aggravating circumstances does render the death penalty scheme unconstitutional. Cox v. Norris, 133 F.3d 565 (8th Cir. 1997), cert. denied, 525 U.S. 834, 119 S. Ct. 89 (1998).

—Effect of Amendments.

The legislature rewrote the aggravating circumstances in 1991 and based the statutory definitions of “especially cruel manner” and “especially depraved manner” on the Arizona Supreme Court's limiting interpretation of its “especially heinous, cruel or depraved” aggravating circumstance that had been found by the United States Supreme Court to pass constitutional muster. Greene v. State, 317 Ark. 350, 878 S.W.2d 384 (1994).

—Ex Post Facto Application.

The “cruel or depraved manner” aggravating circumstance, which had not been enacted at the time the crime was committed, is not a merely procedural provision and could not be applied ex post facto. Bowen v. State, 322 Ark. 483, 911 S.W.2d 555 (1995), cert. denied, Bowen v. Arkansas, 517 U.S. 1226, 116 S. Ct. 1861, 134 L. Ed. 2d 960 (1996).

—Standing.

Defendant had no standing to contest the constitutionality of the death penalty and the application of subdivision (8) in particular, because he received a lesser sentence. King v. State, 312 Ark. 89, 847 S.W.2d 37 (1993).

Purpose.

The reason for subdivision (3) is to allow the state to show that the defendant has a character for violent crimes or a history of committing such crimes. Parker v. State, 292 Ark. 421, 731 S.W.2d 756 (1987).

The purpose of aggravating circumstances is to qualify a defendant for the death penalty. Cox v. State, 313 Ark. 184, 853 S.W.2d 266 (1993).

Applicability.

Subdivision (3) of this section applies to crimes not connected in time or place to the killing for which the defendant has just been convicted. Hill v. State, 289 Ark. 387, 713 S.W.2d 233 (1986), cert. denied, Hill v. Arkansas, 479 U.S. 1101, 107 S. Ct. 1331 (1987); Parker v. State, 292 Ark. 421, 731 S.W.2d 756 (1987).

Accomplice Testimony.

Defendant's sentence of death after he was convicted of two counts of capital murder was appropriate under former § 41-1303(4) because a victim's mother testified that she found the victims' child in their home, near his father's lifeless body, and shotgun shells were found both in the living room, where the child was found, as well as in a bedroom in which was the child's crib. Prior to the murders occurring, defendant told an accomplice that children might be present and that those over eight would need to be eliminated as possible witnesses. Wertz v. State, 374 Ark. 256, 287 S.W.3d 528 (2008).

Additional Factors.

In 1993, § 5-4-602 was amended to allow the state to present additional evidence in aggravation beyond the enumerated statutory factors by providing for the introduction of “any other matter relevant to punishment,” including, but not limited to, victim-impact evidence. Ruiz v. Norris, 868 F. Supp. 1471 (E.D. Ark. 1994), aff'd, 71 F.3d 1404 (8th Cir. 1995).

It appears that before 1993 Arkansas would not permit victim impact evidence or evidence of future dangerousness or evidence of any other aggravating circumstances not listed in this section; however, the Arkansas Supreme Court has, albeit sub silentio, previously approved arguments concerning future dangerousness. Ruiz v. Norris, 868 F. Supp. 1471 (E.D. Ark. 1994), aff'd, 71 F.3d 1404 (8th Cir. 1995).

Appellate Review.

The applicable statutory provisions as well as prior decisions of the Arkansas Supreme Court are crystal clear that the application of the reasonable doubt standard is required in appellate review of aggravating circumstances findings. Miller v. Lockhart, 861 F. Supp. 1425 (E.D. Ark. 1994), aff'd, 65 F.3d 676 (8th Cir. 1995).

The standards employed by the Arkansas Supreme Court to determine the sufficiency of the evidence to support the jury's findings, relative to the aggravating circumstances, were not adequate; it is readily apparent that the standard employed by the Arkansas Supreme Court in reviewing the findings of the jury was a lesser standard than a “reasonable doubt” analysis. Miller v. Lockhart, 861 F. Supp. 1425 (E.D. Ark. 1994), aff'd, 65 F.3d 676 (8th Cir. 1995).

In a death penalty case, defendant's argument that the circuit court erred in permitting the jury to consider the death of the victim's unborn child as an aggravating circumstance was abandoned below and could not be raised on appeal because defendant did not conclusively show prejudice, and he failed to show that the Supreme Court would unquestionably grant him Rule 37 relief on the issue. Smith v. State, 2018 Ark. 277, 555 S.W.3d 881 (2018).

Avoiding Arrest.

A complaint and warrant for defendant's unlawful flight to avoid prosecution, was admissible to show that the shooting was for the purpose of avoiding or preventing a lawful arrest. Swindler v. State, 264 Ark. 107, 569 S.W.2d 120 (1978).

The aggravating circumstance that the murder was committed to avoid arrest or to effect escape from custody was properly submitted to the jury and was not vague and overbroad where, under the facts of the case, the jury was justified in finding that defendant shot victim to increase his chances of avoiding arrest. Hill v. State, 278 Ark. 194, 644 S.W.2d 282 (1983).

Aggravating circumstance (5) was not vague and overbroad as applied to case. Pickens v. State, 292 Ark. 362, 730 S.W.2d 230, cert. denied, 484 U.S. 917, 108 S. Ct. 269, 98 L. Ed. 2d 226 (1987).

Although a consequence of every murder is the elimination of the victim as a potential witness, avoiding arrest is not necessarily an invariable motivation for killing. Whitmore v. Lockhart, 834 F. Supp. 1105 (E.D. Ark. 1992), aff'd, 8 F.3d 614 (8th Cir. Ark. 1993).

The aggravating circumstance providing that the murder was committed for the purpose of avoiding or preventing an arrest does not unconstitutionally duplicate an element of the underlying felony of robbery, since avoiding arrest is not necessarily an invariable motivation for killing; the aggravating circumstance of avoiding arrest does not as a matter of logic necessarily duplicate an element of the underlying capital crime of robbery. Whitmore v. Lockhart, 834 F. Supp. 1105 (E.D. Ark. 1992), aff'd, 8 F.3d 614 (8th Cir. Ark. 1993).

Killing an informant to eliminate a witness is the same thing as avoiding or preventing a lawful arrest and is an aggravating circumstance under subdivision (5) of this section. Sheridan v. State, 313 Ark. 23, 852 S.W.2d 772 (1993).

If a murder is committed during a robbery, it is reasonable to infer that the murder was committed to ensure that the defendant would not be reported and arrested; where defendant did not dispute the sufficiency of the finding that victim was murdered during a robbery, the court should not have have held that insufficient evidence existed that defendant committed the murder in order to avoid arrest. Miller v. Lockhart, 65 F.3d 676 (8th Cir. 1995).

Jury's guilt-phase finding that in the course of committing robbery, defendant caused the death of person under circumstances manifesting extreme indifference to the value of human life, did not conflict with its penalty-phase finding of the aggravating circumstance that the murder was committed purposely to avoid arrest; any higher intent requirement at the penalty phase simply supported the aggravating circumstance and further narrowed the class of murderers eligible for death penalty. Wainwright v. Lockhart, 80 F.3d 1226 (8th Cir. Ark. 1996).

The evidence supported the jury's conclusion that the defendant committed murder for the purpose of preventing his arrest on other crimes where the primary motivation for kidnapping, beating, and killing the victim was that he had informed the police about the criminal activities of the defendant and others. McGehee v. State, 338 Ark. 152, 992 S.W.2d 110 (1999).

In a prosecution for the murder of the defendant's wife and her two sons, the evidence supported the submission of the aggravating circumstance that the murders were committed for the purpose of avoiding or preventing arrest where (1) the defendant first killed his wife and then killed one son in his bed and the other son as he entered the house, (2) the sons were the only potential witnesses to the homicide of the the wife, and (3) the nature of the sons' wounds did not support an inference that the defendant accidentally hit them with a knife when he was trying to fend them off. Jones v. State, 340 Ark. 390, 10 S.W.3d 449 (2000).

In a prosecution for capital felony murder on the basis that the defendant killed a child during the course of and in furtherance of raping her under circumstances manifesting extreme indifference to the value of human life, a jury finding of the aggravating circumstance that the capital murder was committed for the purpose of avoiding or preventing arrest did not improperly elevate the requisite mental state for the charged crime since that crime required proof of deliberate conduct by the defendant and the requirement of deliberate conduct was consistent with the conclusion that the decision to kill the child, after raping her, was motivated by the defendant's desire or purpose to avoid arrest. Coulter v. State, 343 Ark. 22, 31 S.W.3d 826 (2000).

In defendant's capital murder case, the court did not err by allowing the submission of the aggravating factor that the capital felony murder was committed to avoid or prevent an arrest since the jury could have readily found that defendant sought to kill both victims to eliminate them as witnesses and, thus, prevent his arrest. Isom v. State, 356 Ark. 156, 148 S.W.3d 257 (2004), cert. denied, Isom v. Arkansas, 543 U.S. 865, 125 S. Ct. 204 (2004).

Cruel or Depraved Manner.

There was substantial evidence before the jury to support the finding that the aggravating circumstance existed beyond a reasonable doubt in each of two counts of capital murder where (1) the means of inflicting death on one victim was serious physical abuse that created a substantial risk of death which, when continued and intensified, did finally result in death, and (2) the other victim watched the defendant's attack on his brother and sister and must have suffered indescribable mental anguish and uncertainty as to his own ultimate fate as the defendant turned his attack upon him. Willett v. State, 335 Ark. 427, 983 S.W.2d 409 (1998).

There was substantial evidence that defendant committed the murder in an especially cruel manner where the victim was bludgeoned, anally raped, and strangled, while her young daughter sat, bound to a chair, in an adjoining room. Jones v. State, 340 Ark. 1, 8 S.W.3d 482 (2000), review or rehearing denied, 340 Ark. 10, 8 S.W.3d 482 (2000).

Evidence was sufficient to support a determination that a murder was committed in an especially cruel or depraved manner where an expert testified that the victim was alive when his hands and feet were tied, when he was kicked and stabbed, when he was shot in the chest, and when his face was cut from mouth to ear. Greene v. State, 343 Ark. 526, 37 S.W.3d 579 (2001), rehearing denied, Greene v. Arkansas, 534 U.S. 858, 122 S. Ct. 135 (2001).

Given that defendant caused “deep-seated injuries” to a 12-year-old girl when defendant raped her, and given the fact that defendant strangled her afterwards, buried her body in the woods, and then threw her clothes into a nearby creek, there was sufficient evidence to support the aggravating circumstance found under Ark. Code Ann. § 5-4-604(8). Roberts v. State, 352 Ark. 489, 102 S.W.3d 482 (2003), overruled in part, Dimas-Martinez v. State, 2011 Ark. 515, 385 S.W.3d 238 (2011).

Because there was ample testimony and evidence to support a finding that the victim suffered severe physical abuse as well as torture, there was sufficient evidence to support the jury's finding that the murder was committed in an especially cruel or depraved manner pursuant to subdivision (8)(A) of this section. Newman v. State, 353 Ark. 258, 106 S.W.3d 438 (2003).

There was sufficient evidence that the murder was committed in an especially cruel or depraved manner under subdivision (8)(A) of this section where, according to the state's expert, the victim would have lived several minutes after the first shot and a witness testified that several seconds passed between the first and second shots. Anderson v. State, 353 Ark. 384, 108 S.W.3d 592 (2003), cert. denied, Anderson v. Arkansas, 540 U.S. 1050, 124 S. Ct. 832 (2003), appeal dismissed, — Ark. —, — S.W.3d —, 2006 Ark. LEXIS 109 (Jan. 12, 2006), dismissed, Anderson v. Norris, — F. Supp. 2d —, 2008 U.S. Dist. LEXIS 10114 (E.D. Ark. Feb. 8, 2008).

State inmate, who was convicted of murder and sentenced to death, was not entitled to federal habeas relief based on a claim that the “especially cruel manner” aggravating circumstance under subdivision (8) of this section was unconstitutionally vague or overbroad; the United States Supreme Court had upheld a nearly identical statute against an Eighth Amendment vagueness challenge, and it was not unreasonable for the Arkansas Supreme Court to have concluded that the aggravating circumstance genuinely narrowed the class of death-eligible persons. Johnson v. Norris, 537 F.3d 840 (8th Cir. 2008), rehearing denied, — F.3d —, 2008 U.S. App. LEXIS 28328 (8th Cir. Ark. Sept. 11, 2008), cert. denied, — U.S. —, 129 S. Ct. 1334, 173 L. Ed. 2d 605 (2009).

In the death-row inmate's case, the jury's unanimous finding as an aggravating circumstance that capital murder was committed in an especially cruel or depraved manner under subdivision (8)(A) of this section was supported by constitutionally sufficient evidence since the circumstantial evidence in the record allowed a rational jury to find the requisite intent to inflict mental anguish, serious physical abuse, or torture. Williams v. Norris, 576 F.3d 850 (8th Cir. 2009).

After defendant's conviction of capital murder, the jury that sentenced him to death properly found the existence of aggravating factors involving cruelty and depravity, as evidence that defendant broke into the victim's apartment, waited hours for her to return, and then viciously attacked her as she walked in the door, stabbing her several times, was sufficient to prove the murder was especially cruel or depraved. Marcyniuk v. State, 2010 Ark. 257, 373 S.W.3d 243 (2010).

Death Penalty.

The state may, if it chooses, resentence defendant whose death sentence was set aside because jury considered an invalid aggravating circumstance, relying on the remaining aggravating circumstance and any others which it might be able to prove. Perry v. Lockhart, 656 F. Supp. 46 (E.D. Ark. 1986), aff'd in part, reversed in part, 871 F.2d 1384 (8th Cir. Ark. 1989).

Death sentence was set aside as having been arrived at unconstitutionally because the jury may have relied upon its finding that the defendant had a pecuniary motive for committing the crime, a fact which is necessarily true in all cases of capital felony murder involving robbery. Perry v. Lockhart, 656 F. Supp. 46 (E.D. Ark. 1986), aff'd in part, reversed in part, 871 F.2d 1384 (8th Cir. Ark. 1989).

In passing subdivision (3) of this section, the General Assembly intended to narrow the class of persons exposed to the death penalty to those with a predisposition for violent acts. The state, during the guilt and innocence phase, can always prove other acts done at the same time as the principal crime to show the aggravated nature of the crime charged; furthermore, subdivision (8) of this section (since amended) allows the state, during the penalty phase, to show the murder was done in a particularly heinous manner. The reason, then, for subdivision (3) is to allow the state to show that the defendant has a character for violent crimes or a history of such crimes. Hill v. State, 289 Ark. 387, 713 S.W.2d 233 (1986), cert. denied, Hill v. Arkansas, 479 U.S. 1101, 107 S. Ct. 1331 (1987).

Death sentence was not invalid because the trial court instructed the jury on pecuniary gain as an aggravating circumstance, and this aggravating circumstance did not violate U.S. Const. Amend. 8 by improperly duplicating an element of the robbery/murder offense with which he was convicted. Duplicative nature of Arkansas's statutory aggravating circumstance of pecuniary gain where the defendant is convicted of robbery/murder does not render the defendant's sentencing infirm, since the constitutionally-mandated-narrowing function was performed at the guilt phase. O'Rourke v. State, 295 Ark. 57, 746 S.W.2d 52 (1988).

It was error to have permitted the jury to find defendant guilty of capital murder on the basis that it was committed in the course of burglary where the jury was not allowed to consider the robbery or any purpose for the entry of the victim's home independent of the acts which resulted in his death. Sellers v. State, 295 Ark. 489, 749 S.W.2d 669 (1988).

The death penalty may not be imposed unless the state can prove the existence of an “aggravating circumstance,” so as to genuinely narrow the class of persons eligible for the death penalty. Ward v. State, 308 Ark. 415, 827 S.W.2d 110 (1992), cert. denied, Ward v. Arkansas, 506 U.S. 841, 113 S. Ct. 124 (1992).

Due Process.

Insofar as former provisions governing sentencing for capital felonies limited the jury's consideration of aggravating circumstances for sentencing purposes to those enumerated, but did not limit consideration of mitigating circumstances, it worked to the advantage rather than prejudice of a defendant and posed no problem of due process. Giles v. State, 261 Ark. 413, 549 S.W.2d 479, cert. denied, 434 U.S. 894, 98 S. Ct. 272, 54 L. Ed. 2d 180 (1977) (decision under prior law).

Evidence was sufficient to find that the shooting at one victim was so closely connected in both time and place to the murder of other victims that it did not present a portrait of the defendant as having previously demonstrated a character for violent crimes or a history for committing such crimes so that it could not be used as an aggravating circumstance under subdivision (3). Parker v. State, 292 Ark. 421, 731 S.W.2d 756 (1987).

It is a matter of judgment whether the facts support the jury's findings as to the issues of aggravating and mitigating circumstances, but an appellate court will not substitute its judgment for that of the jury that heard the evidence if there is a reasonable and understandable application of the facts to the statutory requirements. O'Rourke v. State, 295 Ark. 57, 746 S.W.2d 52 (1988).

Substantial evidence held to support jury's finding that prior felony conviction was an aggravating circumstance. Whitmore v. State, 296 Ark. 308, 756 S.W.2d 890 (1988).

Evidence was sufficient to establish the aggravating circumstance that the capital murder was committed for the purpose of avoiding or preventing an arrest or affecting an escape from custody. Sanders v. State, 308 Ark. 178, 824 S.W.2d 353 (1992).

Fear of Detection.

Fear of detection would be an aggravating circumstance, not a mitigating one. Simmons v. State, 278 Ark. 305, 645 S.W.2d 680 (1983), cert. denied, Simmons v. Arkansas, 464 U.S. 865, 104 S. Ct. 197, 78 L. Ed. 2d 173 (1983).

Death penalty verdict was not invalidated where jurors listed only aggravating factors permitted by this section and listed fear of detection as a mitigating factor; the juror's finding would not be disturbed since it was rational. Simmons v. Lockhart, 814 F.2d 504 (8th Cir. 1987), cert. denied, 485 U.S. 1015, 108 S. Ct. 1489, 99 L. Ed. 2d 717 (1988).

Great Risk of Death to One Other Than Victim.

Where other persons were in the direct line of fire of the defendant's gun, the trial court did not err in submitting to the jury the question whether he had created a great risk of death to one other than the victim. Swindler v. State, 264 Ark. 107, 569 S.W.2d 120 (1978).

Where petitioner alleged that this section was unconstitutionally applied to him, since, at the penalty phase of the trial, the court instructed the jury that it could consider as an aggravating circumstance whether the defendant had knowingly created a great risk of death to a person other than the victim, the appellate court held that this ground was patently meritless, there being ample evidence that the petitioner knowingly created a great risk of death to a person other than the victim. Swindler v. Lockhart, 693 F. Supp. 760 (E.D. Ark. 1988), aff'd, 885 F.2d 1342 (8th Cir. 1989).

This section covers actual deaths even though only “risk” is mentioned. Cox v. State, 313 Ark. 184, 853 S.W.2d 266 (1993).

Jury did not have to resort to speculation or conjecture to conclude that defendant knowingly placed an individual in great risk of death, as defendant fired his gun twice in her immediate direction and the second shot hit her in the arm. Defendant knew that the individual was standing next to another person, and knew that he was employing deadly force, having just killed his wife. Accordingly, the circuit court did not err in submitting that aggravating circumstance to the jury. Reid v. State, 2019 Ark. 363, 588 S.W.3d 725 (2019).

Harmless error.

In a prosecution for murder, any error in allowing the jury to consider the aggravating factor that the murder was committed in an especially cruel or depraved manner was harmless where three other aggravating factors were found to exist and no mitigating factors were found to exist. Jones v. State, 340 Ark. 390, 10 S.W.3d 449 (2000).

Impermissible Considerations.

Neither the savagery of the attack nor the sadistic mind of the attacker is an aggravating circumstance the jury is allowed to consider. Gruzen v. State, 267 Ark. 380, 591 S.W.2d 342 (1979), cert. denied, 449 U.S. 852, 101 S. Ct. 144, 66 L. Ed. 2d 64 (1980); Gruzen v. Arkansas, 459 U.S. 1020, 103 S. Ct. 386, 74 L. Ed. 2d 517 (1982).

Instructions.

Circuit judges are directed to omit from submission any aggravating or mitigating circumstances that are completely unsupported by any evidence. Miller v. State, 269 Ark. 341, 605 S.W.2d 430 (1980), cert. denied, Miller v. Arkansas, 450 U.S. 1035, 101 S. Ct. 1750 (1981), superseded by statute as stated in, Ruiz v. Norris, 868 F. Supp. 1471 (E.D. Ark. 1994).

Court did not err in allowing the state to prove all the defendant's prior felonies where the court clearly instructed the jury that they were to consider only those convictions which involved threats or violence as aggravating circumstances and that the other convictions were to be considered only for enhancement purposes. Hill v. State, 275 Ark. 71, 628 S.W.2d 284 (1982), cert. denied, Hill v. Arkansas, 459 U.S. 882, 103 S. Ct. 180 (1982); Hill v. State, 278 Ark. 194, 644 S.W.2d 282 (1983).

The circuit judge should not submit to the jury any aggravating or mitigating circumstances that are completely unsupported by any evidence; however, if there is any evidence of the aggravating or mitigating circumstances, however slight, the matter should be submitted to the jury. Ford v. State, 276 Ark. 98, 633 S.W.2d 3 (1982), cert. denied, Ford v. Arkansas, 459 U.S. 1022, 103 S. Ct. 389 (1982); Swindler v. Lockhart, 885 F.2d 1342 (8th Cir. 1989), cert. denied, 495 U.S. 911, 110 S. Ct. 1938 (1990).

Mandatory Sentence.

This section does not create a mandatory death sentence, since Awhatever the jury may find with respect to aggravation versus mitigation, it is still free to return a verdict of life without parole, simply by finding that the aggravating circumstances do not justify a sentence of death. Sheridan v. State, 313 Ark. 23, 852 S.W.2d 772 (1993).

Multiple Deaths.

Using other homicides as aggravating factors is permissible. Cox v. Norris, 133 F.3d 565 (8th Cir. 1997), cert. denied, 525 U.S. 834, 119 S. Ct. 89 (1998).

In a prosecution for three murders, it was proper to allow the jury to consider the aggravating factor that the defendant caused the death of more than one person in the same criminal episode. Jones v. State, 340 Ark. 390, 10 S.W.3d 449 (2000).

Wicks exception for matters essential to consideration of the death penalty did not apply to the circuit court's failure to bring to the jury's attention that a “person” could not be an unborn child as it applies to the aggravating circumstances listed in this section; while the prosecutor chose not to file a separate homicide charge for the death of the victim's unborn child, he could have. Smith v. State, 2018 Ark. 277, 555 S.W.3d 881 (2018).

Parole.

Contention that felony conviction from which defendant was paroled did not amount to an aggravating circumstance was without merit. Swindler v. State, 264 Ark. 107, 569 S.W.2d 120 (1978).

Pecuniary Gain.

The phrase “pecuniary gain” was a matter of such common understanding and practice that it could not be said that an ordinary man or juror would have to speculate as to its meaning in its context as an aggravating circumstance in capital murder. Neal v. State, 259 Ark. 27, 531 S.W.2d 17 (1975), vacated, Collins v. Arkansas, 429 U.S. 808, 97 S. Ct. 44, 97 S. Ct. 45 (1976), aff'd, 261 Ark. 336, 548 S.W.2d 135 (1977); vacated insofar as judgment left undisturbed the death penalty imposed, Collins v. Arkansas, 429 U.S. 808, 97 S. Ct. 44, 97 S. Ct. 45 (1976) (decision under prior law).

Imposition of the death penalty was justified where there was sufficient evidence that the murder was committed for pecuniary gain. Neal v. State, 261 Ark. 336, 548 S.W.2d 135 (1977), cert. denied, Neal v. Arkansas, 434 U.S. 878, 98 S. Ct. 231 (1977) (decision under prior law).

Whether the homicide was committed for pecuniary gain is a pertinent and proper fact for the jury's consideration in determining whether the death sentence should be imposed. Woodard v. State, 261 Ark. 895, 553 S.W.2d 259 (1977), cert. denied, Woodard v. Arkansas, 439 U.S. 1122, 99 S. Ct. 1034 (1979) (decision under prior law).

In a capital murder case, there was sufficient evidence that defendant murdered the victim for pecuniary gain where defendant took the victim's car, television set, silverware, Bible, and other items of personal property from her home after he killed her. Thessing v. State, 365 Ark. 384, 230 S.W.3d 526 (2006), cert. denied, Thessing v. Arkansas, 549 U.S. 891, 127 S. Ct. 193, 166 L. Ed. 2d 158 (2006).

In the death-row inmate's capital murder trial, the pecuniary gain statutory aggravating factor did not unconstitutionally fail to narrow the class of death-eligible offenders on the ground that it merely duplicated an element of the underlying crime of felony murder during the course of a robbery, because the jury in the inmate's case was not instructed that the felony underlying the charge of capital murder was robbery; rather, the jury was instructed that the underlying felony was kidnapping, pursuant to § 5-10-101(a)(1)(iii), and that, consistent with the statutory definition of kidnapping under § 5-11-102(a)(3)-(5), it had to find that the inmate had restrained the victim with the purpose of inflicting physical injury upon her or engaging in sexual intercourse or sexual contact, or of committing aggravated robbery or any flight thereafter. After convicting the inmate of capital murder, the jury found in the penalty phase that he committed the murder for pecuniary gain, consistent with subdivision (6) of this section; thus, there was no duplication of constitutional dimension or otherwise. Williams v. Norris, 576 F.3d 850 (8th Cir. 2009).

Prior Offenses.

Where accused admitted that he had previously pleaded guilty to several named charges, the fact that there was no crime technically labeled as such when he pleaded guilty to them did not prohibit the state from introducing those judgments of conviction as aggravating circumstances. Miller v. State, 269 Ark. 341, 605 S.W.2d 430 (1980), cert. denied, Miller v. Arkansas, 450 U.S. 1035, 101 S. Ct. 1750 (1981), superseded by statute as stated in, Ruiz v. Norris, 868 F. Supp. 1471 (E.D. Ark. 1994).

Where the trial court allowed the jury to consider defendant's single previous conviction without supplying any details about the offense, the offense could not be considered as a felony creating the substantial risk of death or serious physical injury to another person, absent supporting proof, since the offense as defined could be committed with no possibility of violence or injury to anyone. Williams v. State, 274 Ark. 9, 621 S.W.2d 686 (1981), cert. denied, Williams v. Arkansas, 459 U.S. 1042, 103 S. Ct. 460 (1982).

In order for an offense to be admissible as an aggravating circumstance, pursuant to this section, the felony committed must include the use or threat of violence to another person, or the creation of substantial risk of death or serious physical injury to another person; sometimes a burglary could include this risk. Ford v. State, 276 Ark. 98, 633 S.W.2d 3 (1982), cert. denied, Ford v. Arkansas, 459 U.S. 1022, 103 S. Ct. 389 (1982).

It was error for the trial court to allow evidence of prior crimes which did not involve the use or threat of violence or create substantial risk of death or serious physical injury to another person as an aggravating circumstance; neither were these prior felonies proper for the purpose of anticipating a showing of lack of prior convictions as a mitigating circumstance. Ford v. State, 276 Ark. 98, 633 S.W.2d 3 (1982), cert. denied, Ford v. Arkansas, 459 U.S. 1022, 103 S. Ct. 389 (1982).

Evidence of a prior manslaughter conviction is admissible as an aggravating circumstance. Harmon v. State, 277 Ark. 265, 641 S.W.2d 21 (1982), overruled in part, White v. State, 290 Ark. 130, 717 S.W.2d 784 (1986).

The penalty phase of capital murder cases ought not to be turned into a separate trial for other crimes, but the legislature has made it plain in amending subdivision (3) that the state can offer evidence that a defendant “committed” another crime which involves an element of violence. Miller v. State, 280 Ark. 551, 660 S.W.2d 163 (1983).

When the state in the penalty phase of capital murder cases attempts to prove another unrelated crime, without having evidence of a conviction, it does so at some risk and the trial court must prevent prejudicial evidence from reaching the jury; also, a defendant has a right to present rebutting evidence in such a case, just as in a trial. Miller v. State, 280 Ark. 551, 660 S.W.2d 163 (1983).

Uncorroborated testimony was admissible where it was offered to prove aggravating circumstance that defendants previously committed a crime of violence. Clines v. State, 280 Ark. 77, 656 S.W.2d 684 (1983), cert. denied, Clines v. Arkansas, 465 U.S. 1051, 104 S. Ct. 1328, 79 L. Ed. 2d 723 (1984).

This section prohibits a person convicted of a felony from possessing a firearm, regardless of the fact that the prior felony conviction is subject to collateral attack, and this prohibition continues until the conviction is either successfully attacked and set aside, or a specific pardon is granted; therefore, there was no error in the trial court admitting evidence of the defendant's prior felony conviction which the defendant claimed was subject to collateral attack on constitutional grounds. Reynolds v. State, 18 Ark. App. 193, 712 S.W.2d 329 (1986).

Where the crimes used to prove an aggravated circumstance involved other victims, in another place and previously in time to the principal crime for which defendant was convicted, they were properly used as an aggravating circumstance. Hill v. State, 289 Ark. 387, 713 S.W.2d 233 (1986), cert. denied, Hill v. Arkansas, 479 U.S. 1101, 107 S. Ct. 1331 (1987).

Although § 5-4-602(4) provides that, in determining the sentence, evidence concerning mitigating circumstances may be presented regardless of the rules of evidence, but “evidence relevant to the aggravating circumstances … shall be governed by the rules governing the admission of evidence …,” Evid. Rule 609 does not prevent the use of prior convictions if more than 10 years have elapsed since the date of the prior conviction. Evidence Rule 609 only prevents the use of prior convictions more than 10 years old for impeachment purposes; it is based upon the concept that a crime committed more than 10 years ago is no longer probative of a witness's truthfulness at the time of trial. On the other hand, this section, the aggravating circumstances statute, is not concerned with the defendant's character at the time of trial; instead, this section is concerned with disclosing whether the defendant's history establishes such a propensity for violence that it will reoccur. Therefore, Evid. Rule 609 does not prevent the introduction of felony convictions more than 10 years old to show a propensity to violence in the penalty phase. Whitmore v. State, 296 Ark. 308, 756 S.W.2d 890 (1988).

The admission of unsubstantiated allegations of prior offenses is prejudicial error in the penalty phase of the trial. While the state is not limited to admission of a prior conviction in proving that a defendant committed a prior felony, mere allegations do not constitute proof. Ward v. State, 308 Ark. 415, 827 S.W.2d 110 (1992), cert. denied, Ward v. Arkansas, 506 U.S. 841, 113 S. Ct. 124 (1992).

Constitutional error occurred during the penalty phase when the prosecutor used three nonviolent felonies as a non-statutory aggravating circumstance. Hill v. Lockhart, 824 F. Supp. 1327 (E.D. Ark. 1993), modified, 28 F.3d 832 (8th Cir. 1994).

The admission of defendant's prior convictions at the penalty phase was erroneous and had a substantial and injurious effect or influence on the jury's determination that defendant should receive the death penalty. Ford v. Lockhart, 861 F. Supp. 1447 (E.D. Ark. 1994), aff'd, Ford v. Norris, 67 F.3d 162 (8th Cir. 1995).

Implicit in the phrase in subdivision (3) of this section “previously committed another felony,” which itself is supported by the statutory elaboration of the element of “the use of threat of violence” and “the creation of a substantial risk of death or serious physical injury,” is at least the contemplation of a conviction; indeed, proof of a conviction serves to establish the aggravating circumstance of a previous violent felony. Sanders v. State, 317 Ark. 328, 878 S.W.2d 391 (1994), cert. denied, Sanders v. Arkansas, 513 U.S. 1162, 115 S. Ct. 1126 (1995).

The fundamental thrust of this section is prospective; naturally, a violent felony that was committed after the killing in question (but which resulted in a conviction prior to the sentencing hearing) would have considerable bearing on a convicted murderer's propensity to “strike again.” Sanders v. State, 317 Ark. 328, 878 S.W.2d 391 (1994), cert. denied, Sanders v. Arkansas, 513 U.S. 1162, 115 S. Ct. 1126 (1995).

A violent felony committed after a crime that warrants imposition of the death penalty may be considered as an aggravating circumstance in the sentencing phase when the conviction for the violent felony was entered prior to the sentencing trial. Sanders v. State, 317 Ark. 328, 878 S.W.2d 391 (1994), cert. denied, Sanders v. Arkansas, 513 U.S. 1162, 115 S. Ct. 1126 (1995).

A death sentence that is predicated upon proof of the defendant's conviction of an unrelated prior violent felony must be vacated if the prior violent felony is, subsequent to the imposition of the death penalty, reversed. Greene v. State, 317 Ark. 350, 878 S.W.2d 384 (1994).

The prosecution may prove previously uncharged prior felonies to establish the aggravating circumstance in subdivision (3). Parker v. Norris, 64 F.3d 1178 (8th Cir. 1995), cert. denied, 516 U.S. 1095, 116 S. Ct. 820, 133 L. Ed. 2d 764 (1996).

This provision applies to crimes not connected to time and place of the killing for which the defendant has just been convicted. Dansby v. State, 319 Ark. 506, 893 S.W.2d 331 (1995).

There was no “double-counting” of aggravating factors where defendant (1) was shown to have a prior violent criminal history; and (2) had been imprisoned for that violent crime. Jackson v. State, 330 Ark. 126, 954 S.W.2d 894 (1997).

Evidence held insufficient to establish that the defendant committed a “prior violent felony”; evidence that the defendant abducted his niece and killed his brother in North Carolina did not establish that such acts were classified as felonies in North Carolina. Greene v. State, 335 Ark. 1, 977 S.W.2d 192 (1998).

Evidence was sufficient to establish that the defendant had previously committed another felony and that the prior felony necessarily involved use or threat of violence to another where the state introduced into evidence a criminal information and conviction judgment reflecting that the defendant had previously been found guilty of first degree battery. Collins v. State, 338 Ark. 1, 991 S.W.2d 541 (1999).

The trial court did not err in permitting the state to establish a subsection (3) aggravating circumstance by admission of a kidnapping conviction based upon an abduction occurring subsequent to the capital murder at issue. Williams v. State, 338 Ark. 97, 991 S.W.2d 565 (1999).

The jury's death-penalty deliberations were not adversely affected by any alleged mislabeling in the jury instructions of the defendant's three prior violent felonies as three aggravating circumstances rather than as three felonies supporting one aggravating circumstance. Engram v. State, 341 Ark. 196, 15 S.W.3d 678 (2000), cert. denied, Engram v. Arkansas, 531 U.S. 1081, 121 S. Ct. 783 (2001).

Because defendant admitted beating a man “half to death” and defendant's battery conviction and photographs of the battery victim were introduced into evidence, there was sufficient evidence to support the jury's finding of a prior felony conviction involving violence pursuant to subdivision (3) of this section. Newman v. State, 353 Ark. 258, 106 S.W.3d 438 (2003).

Consideration of a death-row inmate's prior conviction for a robbery that he committed when he was 15 years old as an aggravating factor under subdivision (3) of this section did not violate the Eighth Amendment because, in 1988, years before the inmate's capital murder trial, a plurality of the United States Supreme Court wrote that execution of a 15-year-old would violate the Eighth Amendment; thus, the argument that the inmate belatedly sought to raise before the federal habeas court was not so novel that its legal basis was not reasonably available to him in state court. Williams v. Norris, 576 F.3d 850 (8th Cir. 2009).

Proof.

The same degree of proof is not required to sustain a finding that an aggravating or mitigating circumstance exists, as would be required to sustain a conviction if that circumstance was a separate crime. Clines v. State, 280 Ark. 77, 656 S.W.2d 684 (1983), cert. denied, Clines v. Arkansas, 465 U.S. 1051, 104 S. Ct. 1328, 79 L. Ed. 2d 723 (1984).

Where jury was presented with proof of an aggravating circumstance that defendant had been convicted of felonies in other states but no details of the crimes were provided, there was no requirement that the state try a prior felony conviction a second time or that it present evidence that a prior conviction had as an element the use or threat of violence. Hill v. State, 278 Ark. 194, 644 S.W.2d 282 (1983).

Where the mandated narrowing function was performed at the guilt phase, the fact that the aggravating circumstance duplicated one of the elements of the crime did not make the sentence constitutionally infirm. Gardner v. State, 296 Ark. 41, 754 S.W.2d 518 (1988).

The trial court did not err in admitting photographs of the victim at the penalty phase. Ruiz v. Norris, 868 F. Supp. 1471 (E.D. Ark. 1994), aff'd, 71 F.3d 1404 (8th Cir. 1995).

In a capital murder case, there was sufficient evidence that the victim had a temporary or permanent physical disability where the victim was 67 years old, overweight, and had recently undergone chemotherapy and radiation treatments; in light of the fact that the victim was beaten to death without being able to flee or defend herself and the fact that he had been to her house before, substantial evidence existed to support the jury's verdict regarding the aggravating circumstance. Thessing v. State, 365 Ark. 384, 230 S.W.3d 526 (2006), cert. denied, Thessing v. Arkansas, 549 U.S. 891, 127 S. Ct. 193, 166 L. Ed. 2d 158 (2006).

Time Limitations.

While the aggravating circumstance in subdivision (3) of this section does not place any time restriction on which violent crimes may be considered, the jury must still find, pursuant to § 5-4-603(a)(3), that the aggravating circumstances justify a sentence of death beyond a reasonable doubt; thus, in the event the jury finds that the defendant committed a violent crime many years ago, it may take into account that the previous crime was nothing more than one moment's indiscretion as a youth and reject the penalty of death on that basis. Whitmore v. Lockhart, 834 F. Supp. 1105 (E.D. Ark. 1992), aff'd, 8 F.3d 614 (8th Cir. Ark. 1993).

Victim Impact Evidence.

The Victim Impact Statute, § 5-4-602(4), which permits the presentation of victim impact evidence, does not improperly create a new aggravator outside the state statutory scheme of aggravators set forth in this section. Noel v. Norris, 194 F. Supp. 2d 893 (E.D. Ark. 2002).

The presentation of victim impact evidence does not constitute a departure from the normal statutory sentencing scheme in which aggravating and mitigating factors are weighed such as to permit a jury to impose death for an impermissible reason such as sympathy or indignation. Noel v. Norris, 194 F. Supp. 2d 893 (E.D. Ark. 2002).

Inmate who had been sentenced to death was incorrect in his argument that victim impact procedure was inadequate in not requiring the jury to find proof beyond a reasonable doubt as to victim statements; the court also specifically rejected the notion that victim-impact evidence is an aggravating circumstance or that it violates the statutory weighing process set out in §§ 5-4-603 through 5-4-605. Johnson v. State, 356 Ark. 534, 157 S.W.3d 151, cert. denied, 543 U.S. 932, 125 S. Ct. 326, 160 L. Ed. 2d 235 (2004).

Section 5-4-602(4) is not in conflict with §§ 5-4-603 through 5-4-605 and the Arkansas Rules of Evidence because victim-impact evidence is relevant to punishment separately from aggravating and mitigating circumstances. Anderson v. State, 367 Ark. 536, 242 S.W.3d 229 (2006), cert. denied, 551 U.S. 1133, 127 S. Ct. 2973, 168 L. Ed. 2d 707 (2007).

In a capital murder case, the State did not suggest that victim-impact evidence should be viewed as an aggravating circumstance. Instead, during closing argument, the State urged the jury to weigh defendant's emotional distress against the emotional distress he inflicted on his family. The circuit court did not abuse its discretion in allowing the State's argument. Reid v. State, 2019 Ark. 363, 588 S.W.3d 725 (2019).

Cited: Clark v. State, 264 Ark. 630, 573 S.W.2d 622 (1978); Westbrook v. State, 265 Ark. 736, 580 S.W.2d 702 (1979); Collins v. Lockhart, 545 F. Supp. 83 (E.D. Ark. 1982); Hayes v. State, 280 Ark. 509, 660 S.W.2d 648 (1983); Hayes v. Arkansas, 465 U.S. 1051, 104 S. Ct. 1331, 79 L. Ed. 2d 726 (1984); Simmons v. Lockhart, 626 F. Supp. 872 (E.D. Ark. 1985); Duncan v. State, 291 Ark. 521, 726 S.W.2d 653 (1987); Gardner v. State, 297 Ark. 541, 764 S.W.2d 416 (1989); Perry v. Lockhart, 871 F.2d 1384 (8th Cir. Ark. 1989); Singleton v. Lockhart, 871 F.2d 1395 (8th Cir. Ark. 1989); Hill v. Lockhart, 719 F. Supp. 1469 (E.D. Ark. 1989); Whitmore v. State, 299 Ark. 55, 771 S.W.2d 266 (1989); Parker v. State, 300 Ark. 360, 779 S.W.2d 156 (1989); Pickens v. State, 301 Ark. 244, 783 S.W.2d 341 (1990); Hill v. Lockhart, 927 F.2d 340 (8th Cir. Ark. 1991); Fretwell v. Lockhart, 946 F.2d 571 (8th Cir. 1991); Snell v. Lockhart, 791 F. Supp. 1367 (E.D. Ark. 1992); Hill v. Lockhart, 791 F. Supp. 1388 (E.D. Ark. 1992); Pickens v. Lockhart, 802 F. Supp. 208 (E.D. Ark. 1992); Hill v. Lockhart, 28 F.3d 832 (8th Cir. 1994); Wainwright v. Norris, 872 F. Supp. 574 (E.D. Ark. 1994); Rush v. State, 324 Ark. 147, 919 S.W.2d 933 (1996); Kemp v. State, 324 Ark. 178, 919 S.W.2d 943; Lee v. State, 327 Ark. 692, 942 S.W.2d 231; Fretwell v. Norris, 133 F.3d 621 (8th Cir. 1998); Jones v. State, 340 Ark. 1, 8 S.W.3d 482 (2000); Williams v. State, 347 Ark. 728, 67 S.W.3d 548 (2002); Thomas v. State, 370 Ark. 70, 257 S.W.3d 92; Dimas-Martinez v. State, 2011 Ark. 515, 385 S.W.3d 238 (2011).

5-4-605. Mitigating circumstances.

A mitigating circumstance includes, but is not limited to, the following:

  1. The capital murder was committed while the defendant was under extreme mental or emotional disturbance;
  2. The capital murder was committed while the defendant was acting under an unusual pressure or influence or under the domination of another person;
  3. The capital murder was committed while the capacity of the defendant to appreciate the wrongfulness of his or her conduct or to conform his or her conduct to the requirements of law was impaired as a result of mental disease or defect, intoxication, or drug abuse;
  4. The youth of the defendant at the time of the commission of the capital murder;
  5. The capital murder was committed by another person and the defendant was an accomplice and his or her participation was relatively minor; or
  6. The defendant has no significant history of prior criminal activity.

History. Acts 1975, No. 280, § 1304; A.S.A. 1947, § 41-1304.

Research References

ALR.

Validity, Construction, and Application of Aggravating and Mitigating Provisions of Death Penalty Statutes — Supreme Court Cases. 21 A.L.R. Fed. 2d 1.

Construction and Application of United States Sentencing Guideline § 2A2.1(b)(1), 18 U.S.C.A., Providing Enhancement for Attempted Murder or Assault with Intent to Commit Murder Dependent Upon Nature or Degree of Injury. 30 A.L.R. Fed. 2d 385.

Ark. L. Rev.

Blume and Bruck, Sentencing the Mentally Retarded to Death: An Eighth Amendment Analysis, 41 Ark. L. Rev. 725.

Sullivan, Psychiatric Defenses in Arkansas Criminal Trials, 48 Ark. L. Rev. 439.

U. Ark. Little Rock L. Rev.

Annual Survey of Caselaw, Evidence, 24 U. Ark. Little Rock L. Rev. 1007.

Case Notes

Constitutionality.

The language used by the legislature in naming the various elements of mitigation could not be said to be vague and beyond the common understanding and practices of the ordinary man or juror so as to be constitutionally defective. Neal v. State, 259 Ark. 27, 531 S.W.2d 17 (1975), vacated, Collins v. Arkansas, 429 U.S. 808, 97 S. Ct. 44, 97 S. Ct. 45 (1976), aff'd, 261 Ark. 336, 548 S.W.2d 135 (1977); vacated insofar as judgment left undisturbed the death penalty imposed, Collins v. Arkansas, 429 U.S. 808, 97 S. Ct. 44, 97 S. Ct. 45 (1976) (decision under prior law).

The capital murder sentencing statutes are not unconstitutionally vague simply because this section does not contain a specific definition of “mitigating circumstance”; the fact that the jury is not limited to specifically enumerated mitigating factors accrues to the benefit of the defendant, because it gives the jury a greater opportunity to extend leniency to him. Henderson v. State, 279 Ark. 414, 652 S.W.2d 26, cert. denied, Henderson v. Arkansas, 464 U.S. 1012, 104 S. Ct. 536 (1983).

In General.

Mitigating circumstances are not limited to the several mentioned in this section; the jury may take into account any circumstance which it considers to mitigate the seriousness of the crime. Simmons v. Lockhart, 814 F.2d 504 (8th Cir. 1987), cert. denied, 485 U.S. 1015, 108 S. Ct. 1489, 99 L. Ed. 2d 717 (1988).

This section outlines six explicit statutory mitigating circumstances, but juries may find anything to be a mitigating circumstance. Snell v. Lockhart, 14 F.3d 1289 (8th Cir. Ark. 1994).

The mitigating circumstances that may be presented to the jury are not limited to those set out in the statute. Willett v. State, 335 Ark. 427, 983 S.W.2d 409 (1998).

Applicability.

Mitigating circumstances, as typified by those listed in this section, are applicable only to the particular defendant, not to capital punishment in general. Simmons v. State, 278 Ark. 305, 645 S.W.2d 680 (1983), cert. denied, Simmons v. Arkansas, 464 U.S. 865, 104 S. Ct. 197, 78 L. Ed. 2d 173 (1983).

Abuse.

Evidence of a background of abuse is both relevant and important to a jury's determination of appropriate punishment. Ford v. Lockhart, 861 F. Supp. 1447 (E.D. Ark. 1994), aff'd, Ford v. Norris, 67 F.3d 162 (8th Cir. 1995).

Had the jurors been provided information concerning the abuse defendant suffered as a child, along with evidence that he was intoxicated at the time of offense, they would have not imposed the death penalty. Ford v. Lockhart, 861 F. Supp. 1447 (E.D. Ark. 1994), aff'd, Ford v. Norris, 67 F.3d 162 (8th Cir. 1995).

Due Process.

Insofar as former section governing sentencing for capital felonies limited the jury's consideration of aggravating circumstances for sentencing purposes to those enumerated, but did not limit consideration of mitigating circumstances, it worked to the advantage rather than prejudice of a defendant and thus the sentencing procedures posed no problem of due process. Giles v. State, 261 Ark. 413, 549 S.W.2d 479, cert. denied, 434 U.S. 894, 98 S. Ct. 272, 54 L. Ed. 2d 180 (1977) (decision under prior law).

Evidence.

Court correctly refused to allow the defense to introduce pictures of a gas chamber, a gallows, and an electric chair, none of which could be regarded as a mitigating circumstance. Simmons v. State, 278 Ark. 305, 645 S.W.2d 680 (1983), cert. denied, Simmons v. Arkansas, 464 U.S. 865, 104 S. Ct. 197, 78 L. Ed. 2d 173 (1983).

It is a matter of judgment whether the facts support the jury's findings as to the issues of aggravating and mitigating circumstances, but an appellate court will not substitute its judgment for that of the jury that heard the evidence if there is a reasonable and understandable application of the facts to the statutory requirements. O'Rourke v. State, 295 Ark. 57, 746 S.W.2d 52 (1988).

The list of mitigating circumstances set out in this section consists of circumstances relating to the capital offense for which the defendant is being sentenced; this list is not exclusive, and a defendant may submit other circumstances for the jury's consideration. However, court rejected argument that jury must find a mitigating circumstance based on the definition of the prior offense of voluntary manslaughter as including acts arising from serious provocation by the victim. Ward v. State, 308 Ark. 415, 827 S.W.2d 110 (1992), cert. denied, Ward v. Arkansas, 506 U.S. 841, 113 S. Ct. 124 (1992).

A jury is not required to believe the defendant's evidence and is not required to find a mitigating circumstance; a jury is not required to find a mitigating circumstance just because the defendant puts before the jury some evidence that could serve as the basis for finding the mitigating circumstance. Echols v. State, 326 Ark. 917, 936 S.W.2d 509 (1996), cert. denied, 520 U.S. 1244, 117 S. Ct. 1853, 137 L. Ed. 2d 1055 (1997).

A jury may generally refuse to believe a defendant's mitigating evidence, but when there is no question about credibility and, when, in addition, objective proof makes a reasonable conclusion inescapable, the jury cannot arbitrarily disregard that proof and refuse to reach that conclusion. Echols v. State, 326 Ark. 917, 936 S.W.2d 509 (1996), cert. denied, 520 U.S. 1244, 117 S. Ct. 1853, 137 L. Ed. 2d 1055 (1997).

Photographs showing the crime scene with the victim present and photographs of the autopsy performed on the victim as the photographs were admissible as relevant to the State's robbery theory and to show that the fatal gunshot was a contact wound from the rear; evidence that defendant was arrested at a nearby liquor store after having just purchased some wine was admissible to show defendant's motive was robbery. Matthews v. State, 352 Ark. 166, 99 S.W.3d 403 (2003), appeal dismissed, — Ark. —, — S.W.3d —, 2007 Ark. LEXIS 612 (Nov. 15, 2007).

Fear of Detection.

Fear of detection would be an aggravating circumstance, not a mitigating one. Simmons v. State, 278 Ark. 305, 645 S.W.2d 680 (1983), cert. denied, Simmons v. Arkansas, 464 U.S. 865, 104 S. Ct. 197, 78 L. Ed. 2d 173 (1983).

Death penalty verdict was not invalidated where jurors listed only aggravating factors permitted by § 5-4-604 and listed fear of detection as a mitigating factor; the juror's finding would not be disturbed since it was rational. Simmons v. Lockhart, 814 F.2d 504 (8th Cir. 1987), cert. denied, 485 U.S. 1015, 108 S. Ct. 1489, 99 L. Ed. 2d 717 (1988).

Jury could view the murderer's fear of detection as a mitigating circumstance as to the killing of the last three victims in that it at least provided an understandable, although twisted, motive, and therefore mitigated the coldbloodedness of those crimes. Simmons v. Lockhart, 814 F.2d 504 (8th Cir. 1987), cert. denied, 485 U.S. 1015, 108 S. Ct. 1489, 99 L. Ed. 2d 717 (1988).

Instructions.

Circuit judges are hereafter directed to omit from submission any aggravating or mitigating circumstances that are completely unsupported by any evidence. Miller v. State, 269 Ark. 341, 605 S.W.2d 430 (1980), cert. denied, Miller v. Arkansas, 450 U.S. 1035, 101 S. Ct. 1750 (1981), superseded by statute as stated in, Ruiz v. Norris, 868 F. Supp. 1471 (E.D. Ark. 1994).

The jury was erroneously instructed by the trial court that the jury must unanimously find that mitigating circumstances existed; accordingly, the jury was deprived of the right to assess the mitigating circumstances individually and weigh mitigating circumstances as each juror chose to do. Because of the disadvantage and impairment that the jury was confronted with in weighing and evaluating the aggravating circumstances as against mitigating circumstances, the jury would not have been justified in assessing the death penalty beyond a reasonable doubt. Miller v. Lockhart, 861 F. Supp. 1425 (E.D. Ark. 1994), aff'd, 65 F.3d 676 (8th Cir. 1995).

Instructions, together with forms with questions regarding unanimity on certain points, relating to mitigating circumstances found not to lead the jury to the misunderstanding that a unanimous vote is required before any mitigating circumstance may be found. Bowen v. State, 322 Ark. 483, 911 S.W.2d 555 (1995), cert. denied, Bowen v. Arkansas, 517 U.S. 1226, 116 S. Ct. 1861, 134 L. Ed. 2d 960 (1996).

Judicial Review.

A harmless error analysis may not be applied to mitigating circumstances found by the jury. Willett v. State, 322 Ark. 613, 911 S.W.2d 937 (1995). See also Jones v. State, 329 Ark. 62, 947 S.W.2d 339 (1997), cert. denied, Jones v. Arkansas, 522 U.S. 1002, 118 S. Ct. 574 (1997).

Other Mitigating Factors.

Even though defendant may have changed his life in prison, the jury could have found that this change was not a mitigating factor. Hill v. State, 331 Ark. 312, 962 S.W.2d 762, cert. denied, 525 U.S. 860, 119 S. Ct. 145, 142 L. Ed. 2d 118 (1998).

Counsel was not ineffective for refraining from investigating or presenting evidence concerning the physical and mental abuse the defendant suffered at the hands of his father as a child. Fretwell v. Norris, 133 F.3d 621 (8th Cir. 1998), cert. denied, 525 U.S. 846, 119 S. Ct. 115 (1998).

Prior Criminal Activity.

It is important to note that subdivision (6) states “no significant prior history of criminal activity,” and not “no significant prior history of prior convictions.” Echols v. State, 326 Ark. 917, 936 S.W.2d 509 (1996), cert. denied, 520 U.S. 1244, 117 S. Ct. 1853, 137 L. Ed. 2d 1055 (1997).

Religious and Ethical Considerations.

Religious and philosophical approaches to the death penalty are not relevant as mitigating evidence. Hill v. State, 275 Ark. 71, 628 S.W.2d 284 (1982), cert. denied, Hill v. Arkansas, 459 U.S. 882, 103 S. Ct. 180 (1982).

Sentence.

The trial court had the authority to order defendant's two capital murder sentences to run consecutively under § 5-4-403(a); merger was not required by § 5-1-110(d)(1). Walker v. State, 353 Ark. 12, 110 S.W.3d 752 (2003).

State of Mind.

Where the state adduced testimony from psychiatrist that defendant was examined by him and found to be without psychosis and to know right from wrong, the evidence justified the jury's finding that no mitigating circumstances existed. Neal v. State, 259 Ark. 27, 531 S.W.2d 17 (1975), vacated, Collins v. Arkansas, 429 U.S. 808, 97 S. Ct. 44, 97 S. Ct. 45 (1976), aff'd, 261 Ark. 336, 548 S.W.2d 135 (1977); vacated insofar as judgment left undisturbed the death penalty imposed, Collins v. Arkansas, 429 U.S. 808, 97 S. Ct. 44, 97 S. Ct. 45 (1976) (decision under prior law).

Imposition of the death penalty was justified where there was sufficient evidentiary support for the jury's failure to find, as a mitigating circumstance, that the defendant had no capacity for understanding the wrongfulness of his conduct or that he was mentally impaired or emotionally disturbed at the time of the crime. Neal v. State, 261 Ark. 336, 548 S.W.2d 135 (1977), cert. denied, Neal v. Arkansas, 434 U.S. 878, 98 S. Ct. 231 (1977) (decision under prior law).

Where the only evidence of extreme emotional disturbance was the opinion testimony of clinical psychologists that emotional pressures in certain situations typically accompany the disorders said to belong to defendants, the testimony was general and the jury was not required to accept opinion as fact or even conclude that what was generally true was specifically true of these defendants. Ruiz v. State, 273 Ark. 94, 617 S.W.2d 6 (1981), cert. denied, Ruiz v. Arkansas, 454 U.S. 1093, 102 S. Ct. 659 (1981).

The performance of defendant's lawyers at the guilt phase of his state court murder trial was deficient on account of their failure to present evidence of his history on anti-psychotic drugs and the likelihood that he had stopped taking them sometime within three to seven weeks before commission of the offense. Hill v. Lockhart, 28 F.3d 832 (8th Cir. 1994), rehearing denied, — F.3d —, 1994 U.S. App. LEXIS 22021 (8th Cir. Aug. 16, 1994), cert. denied, Norris v. Hill, 513 U.S. 1102, 115 S. Ct. 778 (1995).

Defendant was not deprived of constitutionally-mandated psychiatric assistance. Parker v. Norris, 64 F.3d 1178 (8th Cir. 1995), cert. denied, 516 U.S. 1095, 116 S. Ct. 820, 133 L. Ed. 2d 764 (1996).

Even if the opinions of the doctors at the state hospital, indicating that defendant suffered from multiple mental defects, had remained uncontradicted, which they did not, the jury would have been free to disbelieve them and find that punishment of defendant should not be mitigated by his mental condition. Bowen v. State, 322 Ark. 483, 911 S.W.2d 555 (1995), cert. denied, Bowen v. Arkansas, 517 U.S. 1226, 116 S. Ct. 1861, 134 L. Ed. 2d 960 (1996).

Prosecutor properly stated the law concerning § 5-4-605(3), when the prosecutor reminded the jury of the psychological examiner's expert opinion of defendant's ability to appreciate the criminality of his conduct, to conform his conduct to the law, and then explained that because defendant was able to do both of these things the mitigating circumstances presented by the defense would not apply; the State was permissibly responding to defendant's claim of the presence of mitigating circumstances by impairment due to mental disease or defect. Jackson v. State, 352 Ark. 359, 105 S.W.3d 352 (Ark. 2003).

Where defendant was sentenced to death after his conviction of capital murder, as the jury acknowledged that he suffered from borderline-personality disorder and generalized anxiety disorder but found that those disorders did not prevent from being able to conform his behavior to the law and that he was not under extreme mental or emotional disturbance at the time of the murder, the trial court met its obligation to bring before the jury mitigating factors regarding defendant's mental disease or defect. Marcyniuk v. State, 2010 Ark. 257, 373 S.W.3d 243 (2010).

Totality of Circumstances.

Weighing the aggravating circumstances against the mitigating ones for sentencing purposes is not simply a matter of counting the number of aggravating and mitigating circumstances and striking a balance but is a reasoned judgment to be exercised in light of the totality of the circumstances. Giles v. State, 261 Ark. 413, 549 S.W.2d 479, cert. denied, 434 U.S. 894, 98 S. Ct. 272, 54 L. Ed. 2d 180 (1977) (decision under prior law).

Trial Proceedings.

In defendant's trial for two capital murders and aggravated robbery, defendant's argument that some third person, who may or may not have had a burn related to the burning of the victims in a car, and who may or may not have had a motive for revenge against one of the murder victims, should have been implicated as having committed the crimes for which defendant was charged, held without merit; the proposition was highly speculative and conjectural, and under both Burmingham and Zinger , the evidence was clearly not admissible. Walker v. State, 353 Ark. 12, 110 S.W.3d 752 (2003).

Petitioner's death sentence could not stand because the manner in which the jury completed its form allowed only the conclusion that it eliminated from its consideration all evidence presented of mitigating circumstances and sentenced petitioner to death solely based on an aggravating circumstance, which was reversible error. Williams v. State, 2011 Ark. 534 (2011), overruled, Nooner v. State, 2014 Ark. 296, 438 S.W.3d 233 (2014).

Victim Impact Evidence.

Inmate who had been sentenced to death was incorrect in his argument that victim impact procedure was inadequate in not requiring the jury to find proof beyond a reasonable doubt as to victim statements; the court also specifically rejected the notion that victim-impact evidence is an aggravating circumstance or that it violates the statutory weighing process set out in §§ 5-4-603 through 5-4-605. Johnson v. State, 356 Ark. 534, 157 S.W.3d 151, cert. denied, 543 U.S. 932, 125 S. Ct. 326, 160 L. Ed. 2d 235 (2004).

Section 5-4-602(4) is not in conflict with §§ 5-4-603 through 5-4-605 and the Arkansas Rules of Evidence because victim-impact evidence is relevant to punishment separately from aggravating and mitigating circumstances. Anderson v. State, 367 Ark. 536, 242 S.W.3d 229 (2006), cert. denied, 551 U.S. 1133, 127 S. Ct. 2973, 168 L. Ed. 2d 707 (2007).

Youth of Defendant.

While chronological age does not necessarily control in the jury's determination of whether a defendant's youth is a mitigating circumstance, it is an important factor which must still be weighed in light of varying conditions and circumstances. Giles v. State, 261 Ark. 413, 549 S.W.2d 479, cert. denied, 434 U.S. 894, 98 S. Ct. 272, 54 L. Ed. 2d 180 (1977) (decision under prior law).

This section does not define youth in terms of mere chronological age; the term “youth” must be considered as relative and this factor weighed in the light of varying conditions and circumstances. Hill v. Lockhart, 927 F.2d 340 (8th Cir. Ark. 1991).

Circuit court erred by denying appellant juvenile's petition for writ of habeas corpus; because he was only fourteen years old when he committed capital-murder and aggravated-robbery, his mandatory sentence of life imprisonment without parole violated the Eighth Amendment, U.S. Const. amend. VIII. In considering the capital-murder statute as it pertained to juveniles, the Supreme Court of Arkansas severed portions of § 5-10-101(c) which provided that capital murder was punishable by death or life imprisonment without parole pursuant to this section and §§ 5-4-601, 5-4-607, and 5-4-608. Jackson v. Norris, 2013 Ark. 175, 426 S.W.3d 906 (2013).

Cited: Pickens v. Lockhart, 714 F.2d 1455 (8th Cir. 1983); Singleton v. Lockhart, 653 F. Supp. 1114 (E.D. Ark. 1986); Whitmore v. State, 296 Ark. 308, 756 S.W.2d 890 (1988); Hill v. Lockhart, 719 F. Supp. 1469 (E.D. Ark. 1989); Rector v. Lockhart, 727 F. Supp. 1285 (E.D. Ark. 1990); Coulter v. State, 304 Ark. 527, 804 S.W.2d 348 (1991); Snell v. Lockhart, 791 F. Supp. 1367 (E.D. Ark. 1992); Hill v. Lockhart, 791 F. Supp. 1388 (E.D. Ark. 1992); Whitmore v. Lockhart, 834 F. Supp. 1105 (E.D. Ark. 1992); Whitmore v. Lockhart, 8 F.3d 614 (8th Cir. Ark. 1993); Hill v. Lockhart, 824 F. Supp. 1327 (E.D. Ark. 1993); Lee v. State, 327 Ark. 692, 942 S.W.2d 231; Thomas v. State, 370 Ark. 70, 257 S.W.3d 92; True v. State, 2017 Ark. 323, 532 S.W.3d 70 (2017).

Jackson v. State, 352 Ark. 359, 105 S.W.3d 352 (Ark. 2003); Beulah v. State, 352 Ark. 472, 101 S.W.3d 802 (2003).

5-4-606. Life imprisonment without parole.

A person sentenced to life imprisonment without parole shall:

  1. Be remanded to the custody of the Division of Correction for imprisonment for the remainder of his or her life; and
  2. Not be released except pursuant to commutation, pardon, or reprieve of the Governor.

History. Acts 1975, No. 280, § 1305; A.S.A. 1947, § 41-1305; Acts 2019, No. 910, § 660.

Amendments. The 2019 amendment substituted “Division of Correction” for “Department of Correction” in (1).

Case Notes

Imposition.

A sentence of “life in prison” or “straight life” is distinguishable from “life imprisonment without parole”; the former sentence may be imposed for conviction on a Class Y felony, such as rape, but the latter sentence may be imposed only for conviction of capital murder. Logan v. Lockhart, 994 F.2d 1324 (8th Cir. 1993), cert. denied, 510 U.S. 1057, 114 S. Ct. 722 (1994).

Possible Release.

Counsel was not ineffective for failing to make a meritless argument where the prosecutor objected to defense counsel's plea for the jury to impose a life sentence without parole, which he claimed would keep defendant from ever getting out of prison; the prosecutor correctly stated that a person sentenced to life imprisonment could be released pursuant to commutation, pardon, or reprieve of the governor. Greene v. State, 356 Ark. 59, 146 S.W.3d 871 (2004).

Circuit court did not err in concluding that petitioner failed to satisfy the prejudice prong of Strickland and, therefore, was not entitled to relief because the mere fact that the jury chose the more severe of two possible punishments was not a sufficient demonstration of prejudice in light of the aggravators found to exist by the jury; trial counsel's statement that petitioner could be pardoned if he received a life sentence, although unnecessary, was a correct statement of the law. Sales v. State, 2014 Ark. 384, 441 S.W.3d 883 (2014).

5-4-607. Application for executive clemency — Regulations.

  1. The pardon of a person convicted of capital murder, § 5-10-101, or of a Class Y felony, Class A felony, or Class B felony, or the commutation of a sentence of a person convicted of capital murder, § 5-10-101, or of a Class Y felony, Class A felony, or Class B felony, may be granted only in the manner provided in this section.
    1. A copy of the application for pardon or commutation shall be filed with:
      1. The Secretary of State;
      2. The Attorney General;
      3. The sheriff of the county where the offense was committed;
      4. The prosecuting attorney of the judicial district where the applicant was found guilty and sentenced, if still in office, and, if not, the successor of that prosecuting attorney;
      5. The circuit judge presiding over the proceedings at which the applicant was found guilty and sentenced, if still in office, and, if not, the successor of that circuit judge; and
      6. The victim of the crime or the victim's next of kin, if he or she files a request for notice with the prosecuting attorney.
      1. The application shall set forth a ground upon which the pardon or commutation is sought.
      2. If the application involves a conviction for capital murder, § 5-10-101, a notice of the application shall be published by two (2) insertions, separated by a minimum of seven (7) days, in a newspaper of general circulation in the county or counties where the offense or offenses of the applicant were committed.
  2. On granting an application for pardon or commutation, the Governor shall:
    1. Include in his or her written order the reason for the granting of the application; and
    2. File with the House of Representatives and the Senate a copy of his or her written order which shall state the:
      1. Applicant's name;
      2. Offense of which the applicant was convicted and the sentence imposed;
      3. Date of the judgment imposing the sentence; and
      4. Effective date of the pardon or commutation.
  3. A person sentenced to death or to life imprisonment without parole is not eligible for parole and shall not be paroled.
  4. If the sentence of a person sentenced to death or life imprisonment without parole is commuted by the Governor to a term of years, the person shall not be paroled, nor shall the length of his or her incarceration be reduced in any way to less than the full term of years specified in the order of commutation or in any subsequent order of commutation.
  5. A reprieve may be granted as presently provided by law.

History. Acts 1975, No. 280, § 1306; 1977, No. 474, § 13; A.S.A. 1947, § 41-1306; Acts 1991, No. 706, § 1; 1993, No. 741, § 1; 1999, No. 498, § 1; 2001, No. 201, § 1; 2003, No. 1169, § 1; 2005, No. 1975, § 1; 2005, No. 2097, § 1.

A.C.R.C. Notes. This section is set out above as amended by Acts 2005, No. 1975, § 1, which repealed former subsection (d). Former subsection (d) was also amended by Acts 2005, No. 2097, § 1, to read as follows:

“(d)(1) Except as provided in subdivision (d)(3) of this section, any person who has been convicted of capital murder, § 5-10- 101, or of any Class Y or Class A felony, excluding nonviolent offenses under the Uniform Controlled Substances Act, § 5-64-101 et seq., and who makes an application shall not be eligible to reapply for a period of four (4) years after the date of filing of the application that was denied, except that a person whose application was denied by the Governor after receiving a majority vote by the Post Prison Transfer Board in favor of the application is eligible to reapply one (1) year after the date the application was denied by the Governor.

“(2) Any person who made an application for pardon or commutation that was denied on or after July 1, 2004, shall be eligible to reapply for pardon or commutation four (4) years after the date of filing of the application that was denied.

“(3)(A) The Post Prison Transfer Board may waive the waiting period for filing a new application for pardon or commutation described in subdivision (d)(1) of this section if:

“(i) It has been at least twelve (12) months after the date of the filing of the application that was denied; and

“(ii) The Post Prison Transfer Board determines that the person whose application was denied has established that:

(a) New material evidence relating to the person's guilt or punishment has been discovered;

(b) The person's physical or mental health has substantially deteriorated; or

(c) Other meritorious circumstances justify a waiver of the waiting period.

“(B)(i) The Board of Corrections shall promulgate rules that will establish policies and procedures for waiver of the waiting period.

“(ii) The Board of Corrections may make additions, amendments, changes, or alterations to the rules in accordance with the Arkansas Administrative Procedure Act, § 25-15-201 et seq.”

Cross References. Executive Clemency, § 16-93-204.

Research References

ALR.

Judicial Investigation of Pardon by Governor. 101 A.L.R.6th 431 (2015).

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

In General.

The Governor has absolute discretion in granting or denying executive clemency; however, the decision must be made after mandated statutory procedures have been completed. Perry v. Brownlee, 927 F. Supp. 480 (E.D. Ark. 1997), rev'd, 122 F.3d 20 (8th Cir. 1997).

Juvenile Offenders.

Circuit court erred by denying appellant juvenile's petition for writ of habeas corpus; because he was only fourteen years old when he committed capital-murder and aggravated-robbery, his mandatory sentence of life imprisonment without parole violated the Eighth Amendment, U.S. Const. amend. VIII. In considering the capital-murder statute as it pertained to juveniles, the Supreme Court of Arkansas severed portions of § 5-10-101(c) which provided that capital murder was punishable by death or life imprisonment without parole pursuant to this section and §§ 5-4-601, 5-4-605, and 5-4-608. Jackson v. Norris, 2013 Ark. 175, 426 S.W.3d 906 (2013).

5-4-608. Waiver of death penalty.

  1. If a defendant is charged with capital murder, with the permission of the court the prosecuting attorney may waive the death penalty.
  2. In a case described in subsection (a) of this section, if the defendant pleads guilty to capital murder or is found guilty of capital murder after trial to the court or to a jury, the trial court shall sentence the defendant to life imprisonment without parole.

History. Acts 1975, No. 280, § 1307; 1977, No. 474, § 14; A.S.A. 1947, § 41-1307.

Case Notes

Ineffective Assistance of Counsel.

Trial court properly found appellant's guilty plea was voluntarily and intelligently entered because trial counsel's advice that he faced a death sentence was not erroneous as the death penalty remained a potential outcome of any trial; no evidence or testimony was introduced to establish that the death penalty had been waived, and the circumstances surrounding the death of the victim and her unborn child supported counsel's reasonable belief that appellant faced a potential death sentence. True v. State, 2017 Ark. 323, 532 S.W.3d 70 (2017).

Juvenile Offenders.

Circuit court erred by denying appellant juvenile's petition for writ of habeas corpus; because he was only fourteen years old when he committed capital-murder and aggravated-robbery, his mandatory sentence of life imprisonment without parole violated the Eighth Amendment, U.S. Const. amend. VIII. In considering the capital-murder statute as it pertained to juveniles, the Supreme Court of Arkansas severed portions of § 5-10-101(c) which provided that capital murder was punishable by death or life imprisonment without parole pursuant to §§ 5-4-601, 5-4-605, 5-4-607, and this section. Jackson v. Norris, 2013 Ark. 175, 426 S.W.3d 906 (2013).

5-4-609 — 5-4-614. [Reserved.]

A person convicted of a capital offense shall be punished by death by lethal injection or by life imprisonment without parole pursuant to this subchapter.

History. Acts 1973, No. 438, § 6; 1975, No. 928, § 17; A.S.A. 1947, § 41-1351.

Case Notes

Constitutionality.

The death penalty per se is not violative of the federal Eighth and Fourteenth Amendments. Clark v. State, 264 Ark. 630, 573 S.W.2d 622 (1978).

Assistance of Counsel.

Trial court did not clearly err when it found that appellant's guilty plea was voluntarily and intelligently entered because trial counsel was not ineffective for allegedly pressuring appellant into pleading guilty to avoid the death penalty; although appellant argued that the prosecutor had not filed notice of intent to seek the death penalty, the circumstances surrounding the death of the victim and her unborn child supported trial counsel's reasonable belief that appellant faced a potential death sentence. True v. State, 2017 Ark. 323, 532 S.W.3d 70 (2017).

Cited: Collins v. State, 259 Ark. 8, 531 S.W.2d 13 (1975); Neal v. State, 259 Ark. 27, 531 S.W.2d 17 (1975); Collins v. Arkansas, 429 U.S. 808, 97 S. Ct. 44, 97 S. Ct. 45 (1976); Emerson v. State, 43 Ark. 372 (1884); Jackson v. Norris, 2013 Ark. 175, 426 S.W.3d 906 (2013).

5-4-616. Procedures following remand of capital case after vacation of death sentence — Retroactive application.

  1. Notwithstanding § 5-4-602(3) that requires that the same jury sit in the sentencing phase of a capital murder trial, the following shall apply:
      1. Upon any appeal by the defendant when the sentence is of death, if the appellate court finds prejudicial error in the sentencing proceeding only, the appellate court may set aside the sentence of death and remand the case to the trial court in the jurisdiction in which the defendant was originally sentenced.
      2. No error in the sentencing proceeding shall result in the reversal of the conviction for a capital felony.
      3. When a capital case is remanded after vacation of a death sentence, the prosecutor may move the trial court to:
        1. Impose a sentence of life without parole, and the trial court may impose the sentence of life without parole without a hearing; or
        2. Impanel a new sentencing jury;
    1. If the prosecutor elects subdivision (a)(1)(C)(ii) of this section the trial court shall impanel a new jury for the purpose of conducting a new sentencing proceeding;
    2. A new sentencing proceeding is governed by the provisions of § 5-4-602(4) and (5) and §§ 5-4-603 — 5-4-605;
      1. Any exhibit and a transcript of any testimony or other evidence properly admitted in the prior trial and sentencing is admissible in the new sentencing proceeding.
      2. Additional relevant evidence may be admitted including testimony of a witness who testified at the previous trial; and
    3. The provisions of this section:
      1. Are procedural; and
      2. Apply retroactively to any defendant sentenced to death after January 1, 1974.
  2. This section shall not be construed to amend a provision of § 5-4-602 requiring the same jury to sit in both the guilt and sentencing phases of the original trial.

History. Acts 1983, No. 546, § 1; A.S.A. 1947, § 41-1358.

Case Notes

Constitutionality.

Section is not unconstitutional, since state may not seek any greater penalty or punishment against defendant for crime he committed than that which was available under prior law. Pickens v. State, 292 Ark. 362, 730 S.W.2d 230, cert. denied, 484 U.S. 917, 108 S. Ct. 269, 98 L. Ed. 2d 226 (1987).

The retroactive application provision of this section does not violate the ex post facto clause. Ruiz v. Norris, 868 F. Supp. 1471 (E.D. Ark. 1994), aff'd, 71 F.3d 1404 (8th Cir. 1995).

Applicability.

When there is no error other than in the sentencing phase of the trial, it is appropriate to follow this section, vacating the sentence of death and remanding the case to the trial court. Wilson v. State, 295 Ark. 682, 751 S.W.2d 734 (1988), amended, 295 Ark. 692A, 752 S.W.2d 762 (Ark. 1988).

Prior to the enactment of this section, upon a finding of reversible error at the sentencing phase, defendants would have been retried on both guilt and penalty issues. Ruiz v. Norris, 868 F. Supp. 1471 (E.D. Ark. 1994), aff'd, 71 F.3d 1404 (8th Cir. 1995).

It was error for three murder victims' survivors to testify during the sentencing phase that they desired the jury to impose the death sentence; the testimony resulted in a violation of defendant's Eighth Amendment rights. The case was remanded to the trial court for resentencing pursuant to this section. Miller v. State, 2010 Ark. 1, 362 S.W.3d 264 (2010), rehearing denied, — Ark. —, — S.W.3d —, 2010 Ark. LEXIS 95 (Feb. 12, 2010).

Construction With Other Laws.

There is no direct conflict between Rule of Evidence 804(b)(1) and subdivision (a)(4) of this section, as this section is limited specifically to resentencing in criminal trials and the rule of evidence applies to all proceedings whether civil or criminal; thus, in a resentencing hearing in a murder prosecution, the trial court properly allowed the use of testimony from a prior sentencing hearing without evidence of unavailability. Greene v. State, 343 Ark. 526, 37 S.W.3d 579 (2001), rehearing denied, Greene v. Arkansas, 534 U.S. 858, 122 S. Ct. 135 (2001).

Evidence.

State should not be precluded from introducing additional relevant evidence on remand at a resentencing trial, especially when defendant's guilt already has been established and when defendant has not shown or demonstrated prejudice that would result from the admission of such evidence. Pickens v. State, 292 Ark. 362, 730 S.W.2d 230, cert. denied, 484 U.S. 917, 108 S. Ct. 269, 98 L. Ed. 2d 226 (1987).

Subdivision (a)(4) of this section provides that relevant evidence from the prior trial may be admitted without any further foundation. Ruiz v. Norris, 868 F. Supp. 1471 (E.D. Ark. 1994), aff'd, 71 F.3d 1404 (8th Cir. 1995).

Place of Resentencing.

This section requires that following remand after vacation of his death sentence, the resentencing was to be conducted in the county where the defendant was originally tried, found guilty and sentenced, even though the murder took place in another county. Pickens v. Circuit Court, 283 Ark. 97, 671 S.W.2d 163 (1984).

This section is not local or special law changing the venue in criminal cases; this section did not fix venue, but merely reinvested venue for resentencing purposes in county parties agreed on. Pickens v. State, 292 Ark. 362, 730 S.W.2d 230, cert. denied, 484 U.S. 917, 108 S. Ct. 269, 98 L. Ed. 2d 226 (1987).

Motion for change of venue at resentencing denied where defendant did not demonstrate sufficient prejudice and had waived any objection after concurring in the makeup of the jury. Hill v. State, 331 Ark. 312, 962 S.W.2d 762, cert. denied, 525 U.S. 860, 119 S. Ct. 145, 142 L. Ed. 2d 118 (1998).

Cited: Pickens v. Lockhart, 802 F. Supp. 208 (E.D. Ark. 1992); Greene v. State, 317 Ark. 350, 878 S.W.2d 384 (1994); Willett v. State, 322 Ark. 613, 911 S.W.2d 937 (1995); Ford v. Wilson, 327 Ark. 243, 939 S.W.2d 258 (1997); Camargo v. State, 327 Ark. 631, 940 S.W.2d 464 (1997); Greene v. State, 356 Ark. 59, 146 S.W.3d 871 (2004).

5-4-617. Method of execution.

  1. The Division of Correction shall carry out the sentence of death by intravenous lethal injection of the drug or drugs described in subsection (c) of this section in an amount sufficient to cause death.
  2. The Director of the Division of Correction or his or her designee may order the dispensation and administration of the drug or drugs described in subsection (c) of this section for the purpose of carrying out the lethal-injection procedure, and a prescription is not required.
  3. The division shall select one (1) of the following options for a lethal-injection protocol, depending on the availability of the drugs:
    1. A barbiturate; or
    2. Midazolam, followed by vecuronium bromide, followed by potassium chloride.
  4. The drug or drugs described in subsection (c) of this section used to carry out the lethal injection shall be:
    1. Approved by the United States Food and Drug Administration and made by a manufacturer approved by the United States Food and Drug Administration;
    2. Obtained from a facility registered with the United States Food and Drug Administration; or
    3. Obtained from a compounding pharmacy that has been accredited by a national organization that accredits compounding pharmacies.
  5. The drugs set forth in subsection (c) of this section shall be administered along with any additional substances, such as saline solution, called for in the instructions.
  6. Catheters, sterile intravenous solution, and other equipment used for the intravenous injection of the drug or drugs set forth in subsection (c) of this section shall be sterilized and prepared in a manner that is safe and commonly performed in connection with the intravenous administration of drugs of that type.
  7. The director shall develop logistical procedures necessary to carry out the sentence of death, including:
    1. The following matters:
      1. Ensuring that the drugs and substances set forth in this section and other necessary supplies for the lethal injection are available for use on the scheduled date of the execution;
      2. Conducting employee orientation of the lethal injection procedure before the day of the execution;
      3. Determining the logistics of the viewing;
      4. Coordinating with other governmental agencies involved with security and law enforcement;
      5. Transferring the condemned prisoner to the facility where the sentence of death will be carried out;
      6. Escorting the condemned prisoner from the holding cell to the execution chamber;
      7. Determining the identity, arrival, and departure of the persons involved with carrying out the sentence of death at the facility where the sentence of death will be carried out; and
      8. Making arrangements for the disposition of the condemned prisoner's body and personal property; and
    2. The following matters pertaining to other logistical issues:
      1. Chaplaincy services;
      2. Visitation privileges;
      3. Determining the condemned prisoner's death, which shall be pronounced according to accepted medical standards; and
      4. Establishing a protocol for any necessary mixing or reconstitution of the drugs and substances set forth in this section in accordance with the instructions.
  8. The procedures for carrying out the sentence of death and related matters are not subject to the Arkansas Administrative Procedure Act, § 25-15-201 et seq.
    1. Except as provided for under subdivision (i)(2) of this section, a person shall not disclose in response to a request under the Freedom of Information Act of 1967, § 25-19-101 et seq., or in response to discovery under the Arkansas Rules of Civil Procedure, or otherwise, any of the following:
      1. Documents, records, or information that may identify or reasonably lead to the identification of entities or persons who participate in the execution process or administer lethal injections;
      2. Documents, records, or information that may identify or reasonably lead directly or indirectly to the identification of an entity or person who compounds, synthesizes, tests, sells, supplies, manufactures, transports, procures, dispenses, or prescribes the drug or drugs described in subsection (c) of this section, or that provides the medical supplies or medical equipment for the execution process; or
      3. Documents, records, or information that concern the procedures under subdivision (g)(1) of this section and the implementation of the procedures under subdivision (g)(1) of this section.
    2. The following documents, records, and information may be disclosed:
      1. The director may disclose or authorize disclosure of documents, records, and information to his or her subordinates, contractors, or vendors to the extent necessary to carry out his or her duties under this section;
      2. The director may disclose or authorize disclosure of documents, records, and information to the Governor or the Attorney General, or both; and
      3. The Governor or the Attorney General, or both, may disclose or authorize the disclosure of documents, records, and information to their subordinates to the extent necessary to carry out their duties under law.
      1. If any part of this subsection is invalidated by a final and unappealable court order, any unauthorized disclosure of information under this section shall be permitted only after the entry and service of an order prohibiting public disclosure or use of the documents, records, or information and requiring that a public filing of the documents, records, or information be done under seal.
      2. A person who recklessly discloses documents, records, or information in violation of an order under this subdivision (i)(3) upon conviction is guilty of a Class D felony.
    1. The director shall certify under oath that the drug or drugs described in subsection (c) of this section meet the requirements of subsection (d) of this section.
    2. After the certification required under this subsection, a challenge to the conformity of the drug or drugs described under subsection (c) of this section with the requirements of subsection (d) of this section shall be brought only as an original action in the Supreme Court.
  9. The division shall make available to the public any of the following information upon request, so long as the information that may be used to identify an entity or person listed in subsection (i) of this section is redacted and maintained as confidential:
    1. The certification provided for under subsection (j) of this section; and
    2. The division's procedure for administering the drug or drugs described in subsection (c) of this section.
  10. The division shall carry out the sentence of death by electrocution if execution by lethal injection under this section is invalidated by a final and unappealable court order.
  11. Every person that procures, prepares, administers, monitors, or supervises the injection of a drug or drugs under this section has immunity under § 19-10-305.
  12. A person who recklessly discloses documents, records, or information in violation of subdivision (i)(1) of this section upon conviction is guilty of a Class D felony.

History. Acts 1983, No. 774, §§ 1, 5, 6; A.S.A. 1947, §§ 41-1352, 41-1356, 41-1357; Acts 2009, No. 1296, § 2; 2013, No. 139, § 2; 2015, No. 1096, § 2; 2019, No. 810, § 3.

A.C.R.C. Notes. Acts 2009, No. 1296, § 1 provided: “This act shall be known and may be cited as the ‘Methods of Execution Act’.”

Acts 2013, No. 139, § 1, provided: Legislative findings.

“(a) The laws of Arkansas impose the sentence of death for its most serious offenses. The General Assembly finds it necessary to provide a means of carrying out the sentence of death while also complying with the constitutional prohibition on cruel and unusual punishment.

“(b) To address objections to the method of lethal injection previously provided by law, the General Assembly finds that it should adopt a method of lethal injection that uses a barbiturate to bring about the death of the condemned prisoner.

“(c) The General Assembly finds that this measure meets those goals and satisfies the separation-of-powers doctrine by setting forth the state's policy and the procedural guidelines for carrying out the sentence of death.

“(d) The General Assembly acknowledges that the manufacturers of the drugs set forth in this act may use preservatives or additives and recommend mixing or administering the drugs with sterile solutions such as saline. The General Assembly finds that these uses and recommendations are appropriate and would not conflict with the procedures set forth in this act.”

Acts 2013, No. 139, § 3, provided: Severability Clause.

“If any provision of this act or the application of this act to any person or circumstance is held invalid or unconstitutional, the invalidity or unconstitutionality does not affect other provisions or applications of this act which can be given effect without the invalid or unconstitutional provision or application, and to this end the provisions of this act are severable.”

Acts 2015, No. 1096, § 1, provided: “Legislative findings.

“(a) The laws of Arkansas impose the sentence of death for its most serious offenses. The General Assembly finds it necessary to provide a means of carrying out the sentence of death while also complying with the constitutional prohibition on cruel and unusual punishment.

“(b) To address objections to the method of lethal injection previously provided by law and to address the problem of drug shortages, the General Assembly finds that it should adopt alternative methods of lethal injection to bring about the death of the condemned prisoner.

“(c) The General Assembly finds that this act meets those goals and satisfies the separation-of-powers doctrine by setting forth the state's policy and the procedural guidelines for carrying out the sentence of death.”

Acts 2015, No. 1096, § 3, provided: “SEVERABILITY CLAUSE. If any provision of this act or its application to any person or circumstance is held invalid, the invalidity does not affect other provisions or applications of this act which can be given effect without the invalid provision or application, and to this end the provisions of this act are severable.”

Acts 2019, No. 810, § 1, provided: “Legislative findings. The General Assembly finds that:

“(1) As United States Supreme Court Justice Samuel Alito has explained, there is a well-documented guerilla war being waged against the death penalty;

“(2) Anti-death-penalty advocates have pressured pharmaceutical companies to refuse to supply the drugs used by states to carry out death sentences;

“(3) The Department of Correction is unable to acquire the necessary drugs used to carry out lethal injections due to the lack of effective confidentiality regarding the manufacturers, suppliers, and others involved in the provision of lethal injunction drugs; and

“(4) Any disclosure of the information described under this act, beyond disclosure to the government officials required to carry out their duties under law, is detrimental to the carrying out of lawful sentences of executions.”

Acts 2019, No. 810, § 2, provided: “Legislative intent. It is the intent of the General Assembly:

“(1) To ensure absolute confidentiality of any documents, records, or information that could lead to the identification of a person or entity involved in any way in the Department of Correction's provisioning of drugs used for lethal injections; and

“(2) That the confidentiality provisions of this act be construed as broadly as possible to ensure that the Department of Correction is able to acquire the drugs necessary for lethal injections.”

Publisher's Notes. Acts 1983, No. 774, § 2, provided that the act applied only to capital offenses committed after July 4, 1983, and that nothing in the act was to be construed to alter the execution of a sentence of death imposed for crimes committed prior to July 4, 1983, except as provided in § 3 of the act.

Acts 1983, No. 774, § 3, provided that any defendant sentenced to death by electrocution prior to July 4, 1983, could elect to be executed by lethal injection and that the election must be exercised in writing one (1) week prior to the date of execution or it would be deemed waived.

Acts 1983, No. 774, § 4, provided that all references in the laws to execution by electrocution should mean execution by lethal injection except as to capital offenses already committed.

Amendments. The 2009 amendment rewrote the section.

The 2013 amendment rewrote the section.

The 2015 amendment rewrote the section.

The 2019 amendment rewrote (i); inserted (j); rewrote and redesignated former (j) as (k); redesignated former (k) and (l) as (l) and (m); and added (n).

Research References

Ark. L. Rev.

Lauren E. Murphy, Comment: Third Time's a Charm: Whether Hobbs v. Jones Inspired a Durable Change to Arkansas's Method of Execution Act, 66 Ark. L. Rev. 813 (2013).

Daisy C. Karlson, Recent Developments: Arkansas Supreme Court Upholds State’s Death Penalty Three-Drug Protocol, Kelley v. Johnson, 69 Ark. L. Rev. 871 (2016).

Julie Vandiver, Eleven Years of Lethal Injection Challenges in Arkansas, 70 Ark. L. Rev. 409 (2017).

Case Notes

Constitutionality.

In a 42 U.S.C.S. § 1983 case alleging that this section, the Arkansas Methods of Execution Act, violated that Due Process Clause of the Fourteenth Amendment and the Ex Post Facto Claus, two death-row inmates argued that the Arkansas Department of Corrections violated the Food, Drug and Cosmetic Act (FDCA), 21 U.S.C.S. § 301 et seq., and the Controlled Substances Act (CSA), 21 U.S.C.S. § 801 et seq. Neither the FDCA nor the CSA provided for a private right of action, and the Declaratory Judgment Act did not provide them with private rights of action under the FDCA and the CSA. Jones v. Hobbs, 745 F. Supp. 2d 886 (E.D. Ark. 2010).

2009 Ark. Acts 1296, amending this section, applied to all who would be executed after its enactment, and it did not change either the inmate's criminal liability or his sentence; because the Act would not be retroactively applied, it did not violate the ex post facto clause, and the trial court had to lift the injunction staying the inmate's execution. Ark. Dep't of Corr. v. Williams, 2009 Ark. 523, 357 S.W.3d 867 (2009), cert. denied, 562 U.S. 913, 131 S. Ct. 271, 178 L. Ed. 2d 179 (2010).

Prisoners could do no more than speculate that this section, the Arkansas Method of Execution Act, created a significant risk of more painful execution because it granted the Director of the Arkansas Department of Correction the ability to omit anesthesia from the protocol. This was not the significant risk of increased punishment needed for a violation of the Ex Post Facto Clause. Williams v. Hobbs, 658 F.3d 842 (8th Cir. 2011).

Supreme Court declared the entirety of the Method of Execution Act of 2009 unconstitutional. The legislature abdicated its responsibility and passed to the Department of Correction the unfettered discretion to determine all protocol and procedures, most notably the chemicals to be used, for a state execution. Hobbs v. Jones, 2012 Ark. 293, 412 S.W.3d 844 (2012).

Acts 2013, No. 139 did not violate separation of powers by delegating to the Arkansas Department of Correction power to select a barbiturate to use in lethal injections because Act 139 gave guidance on how to carry out the death penalty, drugs to be used, the order in which to administer the drugs, how much to administer, and the policy for carrying out the death penalty; thus, reasonable guidelines bounded Act 139's delegation of authority. Hobbs v. McGehee, 2015 Ark. 116, 458 S.W.3d 707 (2015) (decided under former version of statute).

Acts 2013, No. 139 was not unconstitutional for not stating qualifications of those involved in lethal injections because such level of detail was not constitutionally required. Hobbs v. McGehee, 2015 Ark. 116, 458 S.W.3d 707 (2015) (decided under former version of statute).

In challenging a method of execution under Ark. Const., Art. 2, § 9, the burden falls squarely on a prisoner to show that (1) the current method of execution presents a risk that is sure or very likely to cause serious illness and needless suffering and that gives rise to sufficiently imminent dangers; and (2) there are known, feasible, readily implemented, and available alternatives that significantly reduce a substantial risk of severe pain. Kelley v. Johnson, 2016 Ark. 268, 496 S.W.3d 346 (2016), cert. denied, 137 S. Ct. 1067, 197 L. Ed. 2d 235 (2017).

In a suit challenging this section, the prisoners failed to meet their burden under Ark. Const., Art. 2, § 9, where they had not shown that the proposed alternative drugs were available to the Arkansas Department of Correction for use in an execution. Kelley v. Johnson, 2016 Ark. 268, 496 S.W.3d 346 (2016), cert. denied, 137 S. Ct. 1067, 197 L. Ed. 2d 235 (2017).

Ark. Const., Art. 2, § 8, did not compel the disclosure of the identity of the supplier of the drugs used in executions where the Arkansas Department of Correction voluntarily submitted the drugs it had obtained to an independent laboratory for testing, the test results confirmed that the contents of the vials match the FDA-approved labeling and revealed that all three drugs meet applicable potency requirements, and thus, identifying the supplier of the drugs served no useful purpose in establishing the prisoners' claim. Kelley v. Johnson, 2016 Ark. 268, 496 S.W.3d 346 (2016), cert. denied, 137 S. Ct. 1067, 197 L. Ed. 2d 235 (2017).

Disclosure of the suppliers of execution drugs was not required under Ark. Const., Art. 2, § 6, where the current supplier of the drugs agreed to provide them only on the condition of anonymity, that supplier was no longer inclined to sell the drugs to the Arkansas Department of Correction, and thus, disclosing the information was actually detrimental to the process. Kelley v. Johnson, 2016 Ark. 268, 496 S.W.3d 346 (2016), cert. denied, 137 S. Ct. 1067, 197 L. Ed. 2d 235 (2017).

This section did not offend Ark. Const., Art. 19, § 12, where it was left to the General Assembly to determine the time and the manner for the disclosure of public expenditures, and the General Assembly determined that any disclosure was to be made by the Arkansas Department of Correction in litigation on the condition that it first apply for a protective order. Kelley v. Johnson, 2016 Ark. 268, 496 S.W.3d 346 (2016), cert. denied, 137 S. Ct. 1067, 197 L. Ed. 2d 235 (2017).

Cruel and Unusual Punishment.

Although the trial court refused to grant a continuance at the penalty phase because it considered testimony to be offered about the effects of electrocution on the human body to be inadmissible as mitigating evidence, the judge stating that a determination as to whether electrocution constituted cruel and unusual punishment was a question of law, not of fact, and thus was outside the province of the jury, the argument has since been mooted by the fact that the General Assembly has changed the method of execution from electrocution to lethal injection. This change would permit one now to elect either of these methods by which to die, so even if there were error in the exclusion of the testimony, a convicted person suffered no actual harm in the jury's not being apprised of the pain and suffering incurred during an electrocution, for he need not choose that method of execution. Swindler v. Lockhart, 693 F. Supp. 760 (E.D. Ark. 1988), aff'd, 885 F.2d 1342 (8th Cir. 1989).

FOIA Requests.

The plain language of subdivision (a)(5)(B) of this section defeated death-row prisoners' argument that it prohibited disclosure of the quantity, method, and order of administration of the chemicals because it expressly indicated that such information will be available through a request under the Arkansas Freedom Of Information Act of 1967 (FOIA), § 25-19-101 et seq.Williams v. Hobbs, 658 F.3d 842 (8th Cir. 2011).

Review of the entirety of this section reveals that the Legislature explicitly referred to a manufacturer of lethal drugs in two different subdivisions, (d)(1) and (j)(1). This demonstrates that the Legislature was aware of the differences between the terms manufacturer, seller, and supplier and that it could have easily included manufacturer among the entities whose identity was confidential for purposes of the Method of Execution Act had it intended to do so. Ark. Dep't of Corr. v. Shults, 2017 Ark. 300, 529 S.W.3d 628 (2017).

Circuit court was correct in determining that the identity of lethal drug manufacturers was not protected under the confidentiality provisions of this section where the language of the entire statute revealed that the Legislature treated manufacturers differently than sellers and suppliers, and treating a manufacturer the same as a supplier and seller would have rendered subdivision (j)(1) meaningless and would have defeated the purpose of requiring FDA-approved drugs. Ark. Dep't of Corr. v. Shults, 2017 Ark. 300, 529 S.W.3d 628 (2017).

Department of Correction was required to redact and maintain as confidential information such as lot, control, and/or batch numbers from the labels and/or package inserts as that information could lead to the identification of the seller and/or supplier of the drug used for execution. Ark. Dep't of Corr. v. Shults, 2017 Ark. 300, 529 S.W.3d 628 (2017).

Although the identity of drug manufacturers was not protected under the confidentiality provisions of the Method of Execution Act, § 5-4-617, disclosure of information such as lot, batch, and/or control numbers could have led to the identification of the seller and/or supplier of the potassium chloride; thus, the Department of Correction was required to redact and maintain that information as confidential. Ark. Dep't of Corr. v. Shults, 2018 Ark. 94, 541 S.W.3d 410 (2018).

Pronouncement of Death.

The death of a person who has been executed must be pronounced according to accepted standards of medical practice. Hill v. Lockhart, 791 F. Supp. 1388 (E.D. Ark. 1992).

An execution ends with the pronouncement of death by someone qualified to determine the absence of vital signs, and this section does not require that this determination be made by a medical doctor. Hill v. Lockhart, 791 F. Supp. 1388 (E.D. Ark. 1992).

Stay of Execution.

Prisoners were entitled to stay of executions pending resolution of litigation pending in the lower court because the prisoners filed their complaint immediately after Acts 2015, No. 1096 was enacted, their complaint contained bona fide constitutional claims, and the first executions were set for October 21, 2015. Kelley v. Griffen, 2015 Ark. 375, 472 S.W.3d 135 (2015).

Cited: Fairchild v. State, 286 Ark. 191, 690 S.W.2d 355 (1985); Thessing v. State, 365 Ark. 384, 230 S.W.3d 526 (2006).

5-4-618. Defendants with intellectual disabilities.

    1. As used in this section, “intellectual disabilities” means:
      1. Significantly below-average general intellectual functioning accompanied by a significant deficit or impairment in adaptive functioning manifest in the developmental period, but no later than eighteen (18) years of age; and
      2. A deficit in adaptive behavior.
    2. There is a rebuttable presumption of intellectual disabilities when a defendant has an intelligence quotient of sixty-five (65) or below.
  1. No defendant with intellectual disabilities at the time of committing capital murder shall be sentenced to death.
  2. The defendant has the burden of proving intellectual disabilities at the time of committing the offense by a preponderance of the evidence.
    1. A defendant on trial for capital murder shall raise the special sentencing provision of intellectual disabilities by motion prior to trial.
      1. Prior to trial, the court shall determine if the defendant has an intellectual disability.
        1. If the court determines that the defendant does not have an intellectual disability, the defendant may raise the question of an intellectual disability to the jury for determination de novo during the sentencing phase of the trial.
        2. At the time the jury retires to decide mitigating and aggravating circumstances, the jury shall be given a special verdict form on an intellectual disability.
        3. If the jury unanimously determines that the defendant had an intellectual disability at the time of the commission of capital murder, then the defendant will automatically be sentenced to life imprisonment without possibility of parole.
      2. If the court determines that the defendant has an intellectual disability, then:
        1. The jury is not “death qualified”; and
        2. The jury shall sentence the defendant to life imprisonment without possibility of parole upon conviction.
  3. However, this section is not deemed to:
    1. Require unanimity for consideration of any mitigating circumstance; or
    2. Supersede any suggested mitigating circumstance regarding mental defect or disease currently found in § 5-4-605.

History. Acts 1993, No. 420, § 1; 2019, No. 1035, § 3.

Amendments. The 2019 amendment substituted “Defendants with intellectual disabilities” for “Mental retardation” in the section heading; substituted “‘intellectual disabilities’” for “‘mental retardation’” in the introductory language of (a)(1) and made similar changes throughout the section; and substituted “below-average” for “subaverage” in (a)(1)(A).

Research References

Ark. L. Rev.

Article, Ethical and Effective Representation in Arkansas Capital Trials, 60 Ark. L. Rev. 1.

Case Notes

Applicability.

Where there had previously been a judicial determination that defendant was not mentally retarded, this section did not apply. Fairchild v. Norris, 314 Ark. 221, 861 S.W.2d 111 (1993).

Where the question of defendant's mental retardation was addressed and resolved by the federal courts before this section's prohibition was enacted, the mere passage of Acts 1993, No. 420 does not require a new resolution of this issue. Fairchild v. Norris, 317 Ark. 166, 876 S.W.2d 588, cert. denied, 513 U.S. 974, 115 S. Ct. 448 (1994).

Whether defendant was mentally retarded was a question of fact for the jury to decide in the sentencing phase of his trial where the trial court found the evidence to be inconsistent, based on the records and two mental evaluations, including evidence suggesting that defendant was malingering. Weston v. State, 366 Ark. 265, 234 S.W.3d 848 (2006).

State inmate was entitled to an evidentiary hearing on a federal habeas claim that the inmate's Arkansas death sentence violated the Eighth Amendment because of the inmate's mental retardation. The inmate's failure to present a mental retardation defense at trial pursuant to this section did not preclude the separate and previously unavailable federal claim. Simpson v. Norris, 490 F.3d 1029 (8th Cir. 2007), rehearing denied, 499 F.3d 874 (8th Cir. 2007), cert. denied, 552 U.S. 1224, 128 S. Ct. 1226, 170 L. Ed. 2d 140 (2008).

Prisoner who had filed a federal habeas petition after being sentenced to death in state court for capital murder was entitled to have the district court's finding that the prisoner was not mentally retarded vacated because the district court's misconceptions about the Arkansas mental retardation legal standard led it to answer the wrong factual questions, and the legal errors were not harmless since it would not be unreasonable for a factfinder to find the prisoner mentally retarded. Sasser v. Hobbs, 735 F.3d 833 (8th Cir. 2013).

Appellate Review.

The standard for reviewing a trial court's determination that a defendant is not mentally retarded under this section will be affirmed if it is supported by substantial evidence. Rankin v. State, 329 Ark. 379, 948 S.W.2d 397 (1997).

In a criminal prosecution for capital murder, where the circuit court determined that defendant was not mentally retarded, he was permitted to raise the question of mental retardation to the jury for determination de novo during the sentencing phase of the trial, pursuant to subdivision (d)(2)(A) of this section. Anderson v. State, 357 Ark. 180, 163 S.W.3d 333 (2004).

Petitioner's claim that he was unable to raise the defense that he was mentally retarded and that his execution violated U.S. Const. amend. VIII in state court prior to the United States Supreme Court's decision that the execution of mentally retarded individuals violated the Eighth Amendment's prohibition on cruel and unusual punishment was meritless because petitioner failed to avail himself of subsection (b) of this section, which prohibited the execution of defendants with mental retardation and which satisfied the Eighth Amendment. Engram v. State, 360 Ark. 140, 200 S.W.3d 367 (2004), cert. denied, Engram v. Arkansas, 125 S. Ct. 2965, 162 L. Ed. 2d 893 (U.S. 2005).

Defendant's argument that he was ineligible for execution because his expert diagnosed him with mild intellectual disability was not ripe for review because an execution date had not yet been set. Lard v. State, 2020 Ark. 110, 595 S.W.3d 355 (2020).

Determinative Factors.

Although a defendant is entitled under subdivision (a)(2) to a rebuttable presumption of mental retardation if his intelligence quotient (I.Q.) is 65 or below, the definition of “mental retardation” encompasses more than an I.Q. score. Rankin v. State, 329 Ark. 379, 948 S.W.2d 397 (1997).

Term “adaptive behavior” under subdivision (a)(1)(B) of this section encompasses the same skill areas as adaptive functioning, but there is no age requirement on the evidence used to establish limitations in adaptive behavior. Jackson v. Norris, 615 F.3d 959 (8th Cir. 2010).

Prisoner was entitled to a hearing on a claim that carrying out the death penalty would violate the Eighth Amendment because the prisoner was mentally retarded. Fact issues existed as to whether the prisoner was mentally retarded under the definition set forth in subsection (a) of this section; tests administered prior to the prisoner's 18th birthday allegedly indicated an IQ of 70, and the prisoner offered evidence of a deficit in adaptive functioning prior to age 18 and a deficit in adaptive behavior with no age limit. Jackson v. Norris, 615 F.3d 959 (8th Cir. 2010).

Evidence supported trial court's finding that defendant was not mentally retarded, despite the fact that he had been in special education classes since elementary school, because experts testified that he had an intelligence quotient within the range of 71 to 84, low average, that he had been employed, and that while incarcerated he kept up with financial transactions, wrote letters, and held telephone conversations. Miller v. State, 2010 Ark. 1, 362 S.W.3d 264 (2010), rehearing denied, — Ark. —, — S.W.3d —, 2010 Ark. LEXIS 95 (Feb. 12, 2010).

Denial of appellant's, an inmate's, petition for postconviction relief was appropriate because he alleged only bare conclusions and had not overcome the presumption of trial counsel's competence by identifying specific acts and omissions that could not have been the result of reasonable professional judgment. Counsel's testimony established that, because the inmate's IQ fell at the pivotal point of 65, that was a strategic decision not to pursue further the issue of the inmate's IQ and mental retardation. Anderson v. State, 2011 Ark. 488, 385 S.W.3d 783 (2011).

Rebuttable Presumption.

Scores of 66 and 72 on two I.Q. tests did not entitle defendant to the rebuttable presumption under subdivision (a)(2). Rankin v. State, 329 Ark. 379, 948 S.W.2d 397 (1997).

Murder defendant's motion to recall mandate and reopen his case was denied as defendant should have obtained a ruling on his retardation issue before trial; defendant failed to file a motion under subsection (b) of this section, which prevented a mentally retarded defendant from being sentenced to death, or to request a ruling on the retardation issue, and, at a competency hearing, a forensic psychologist for the state concluded defendant was not retarded. Engram v. State, 360 Ark. 140, 200 S.W.3d 367 (2004), cert. denied, Engram v. Arkansas, 125 S. Ct. 2965, 162 L. Ed. 2d 893 (U.S. 2005).

Where a forensic psychologist testified that defendant's IQ score would likely fall between the scores of 76 and 86, defendant was not entitled to the rebuttable presumption of mental retardation under subdivision (a)(2) of this section and, thus, the trial court had no duty to raise sua sponte the issue of whether defendant was not eligible for the death penalty. Engram v. State, 360 Ark. 140, 200 S.W.3d 367 (2004), cert. denied, Engram v. Arkansas, 125 S. Ct. 2965, 162 L. Ed. 2d 893 (U.S. 2005).

Appellate court rejected inmate's motion to recall the mandate in his appeal and reopen his case as inmate never raised a claim of mental retardation until his federal habeas corpus petition, which was filed 10 years after his petition for post-conviction relief, and did not meet the presumption of retardation in subdivision (2) of this section as the inmate had an IQ of 94, which was far above the IQ of 65 that entitled a person to a presumption. Coulter v. State, 365 Ark. 262, 227 S.W.3d 904 (2006), cert. denied, Coulter v. Arkansas, 549 U.S. 858, 127 S. Ct. 138, 166 L. Ed. 2d 101 (2006).

Cited: Reams v. State, 322 Ark. 336, 909 S.W.2d 324 (1995); Jones v. State, 340 Ark. 390, 10 S.W.3d 449 (2000); Sanford v. State, 342 Ark. 22, 25 S.W.3d 414 (2000); Dimas-Martinez v. State, 2011 Ark. 515, 385 S.W.3d 238 (2011).

Subchapter 7 — Enhanced Penalties for Certain Offenses

Effective Dates. Acts 2017, No. 332 § 4: Mar. 3, 2017. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that current and former law enforcement officers, first responders, and their family members are oftentimes specifically targeted for a criminal offense based on who they are and the dangerous and necessary job that law enforcement officers and first responders do; that persons who commit offenses targeted at current and former law enforcement officers, first responders, or their family members should be sentenced more harshly than is currently provided for in the law; and that this act is immediately necessary because a message needs to be sent that the State of Arkansas does not condone the targeting of current and former law enforcement officers, first responders, or their family members for criminal activity. Therefore, an emergency is declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

5-4-701. Definitions.

As used in this subchapter:

  1. “Child” means a person under eighteen (18) years of age;
  2. “Conductor” means a conductor, switchman, brakeman, trainman, or fireman licensed and certified by the Federal Railroad Administration;
  3. “Engineer” means an engineer licensed and certified by the Federal Railroad Administration;
  4. “Family member of a current or former law enforcement officer or first responder” means the husband, wife, son, daughter, brother, sister, or parent of a current or former law enforcement officer or first responder;
  5. “First responder” means a firefighter or a person employed as an emergency medical provider;
  6. “In the presence of a child” means in the physical presence of a child or knowing or having reason to know that a child is present and may see or hear an act;
  7. “Law enforcement officer” includes without limitation a:
    1. Prosecuting attorney or a deputy prosecuting attorney;
    2. Code enforcement officer; and
    3. Corrections officer;
  8. “Public transit employee” means a bus, rail, or trolley operator tasked with the transport of persons;
  9. “Railroad or public transit employee” means a conductor, engineer, public transit employee, or railroad management; and
  10. “Railroad management” means a rail employee overseeing and assisting in the operation of rail transit.

History. Acts 2001, No. 1707, § 1; 2005, No. 1994, § 290; 2009, No. 33, § 1; 2011, No. 1120, § 5; 2017, No. 332, § 2; 2017, No. 714, § 1; 2017, No. 955, § 1.

Publisher's Notes. Acts 2017, No. 955, § 1 specifically amended this section as amended by Acts 2017, No. 332.

Amendments. The 2009 amendment inserted “aggravated cruelty to a dog, cat, or horse” in (2) and made a related change.

The 2011 amendment deleted “of assault, battery, domestic battering, aggravated cruelty to a dog, cat, or horse, or assault on a family member or household member” following “may see or hear an act” in (2).

The 2017 amendment by No. 332 added the definitions for “Family member of a current or former law enforcement officer or first responder”, “First responder”, and “Law enforcement officer”.

The 2017 amendment by No. 714 substituted “eighteen (18)” for “sixteen (16)” in (1).

The 2017 amendment by No. 955 added the definitions for “Conductor”, “Engineer”, “Public transit employee”, “Railroad or public transit employee”, and “Railroad management”.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

In the Presence of a Child.

Evidence at trial was sufficient to prove that defendant “had reason to know” that a person under the age of 16 was present at the time he shot the victim; the testimony showed that eight children were at the house the day of the shooting, six of whom were under the age of 16, one child had come out on the porch immediately before the shooting while defendant was in the driveway, and several children were on the porch while defendant was firing his gun. Thus, the circuit court did not err in denying defendant's motion for directed verdict on the enhancement under § 5-4-702 for committing the offense of battery in the presence of a child. Williams v. State, 2019 Ark. App. 152, 573 S.W.3d 547 (2019).

5-4-702. Enhanced penalties for offenses committed in presence of a child.

  1. A person who commits any of the following offenses may be subject to an enhanced sentence of an additional term of imprisonment of not less than one (1) year and not greater than ten (10) years if the offense is committed in the presence of a child:
    1. Capital murder, § 5-10-101;
    2. Murder in the first degree, § 5-10-102;
    3. Murder in the second degree, § 5-10-103;
    4. Aggravated robbery, § 5-12-103;
    5. A felony offense of assault or battery under § 5-13-201 et seq.;
    6. Rape, § 5-14-103;
    7. Sexual assault in the second degree, § 5-14-125; or
    8. A felony offense of domestic battering or assault on a family or household member under §§ 5-26-303 — 5-26-309.
  2. Any person who commits the offense of aggravated cruelty to a dog, cat, or equine under § 5-62-104 may be subject to an enhanced sentence of an additional term of imprisonment not to exceed five (5) years if the offense is committed in the presence of a child.
    1. To seek an enhanced penalty established in this section, a prosecuting attorney shall notify the defendant in writing that the defendant is subject to the enhanced penalty.
    2. If the defendant is charged by information or indictment, the prosecuting attorney may include the written notice in the information or indictment.
  3. The enhanced portion of the sentence is consecutive to any other sentence imposed.
  4. Any person convicted under this section is not eligible for early release on parole or community correction transfer for the enhanced portion of the sentence.

History. Acts 2001, No. 1707, § 2; 2007, No. 1047, § 1; 2009, No. 33, § 1; 2009, No. 936, § 1; 2017, No. 389, § 1; 2019, No. 324, § 1.

Amendments. The 2009 amendment by No. 33, in (a), updated an internal reference and made a minor stylistic change; inserted (b); and redesignated the remaining subsections accordingly.

The 2009 amendment by No. 936, in (a), inserted “homicide, § 5-10-101 — § 5-10-103,” inserted “§ 5-13-201 et seq., or,” substituted “§ 5-26-3035-26-309” for “as provided in § 5-13-201 et seq., or § 5-26-3035-26-311,” and made related changes.

The 2017 amendment substituted “equine” for “horse” in (b).

The 2019 amendment substituted “A person who commits any of the following offenses may be subject” for “Any person who commits a felony offense involving homicide, §§ 5-10-1015-10-103, assault or battery, § 5-3-201 et seq., or domestic battering or assault on a family member or household member, §§ 5-26-3035-26-309, may be subject” in the introductory language of (a) and added (a)(1) through (a)(8).

Research References

Ark. L. Rev.

Mark James Chaney, Recent Developments: Arkansas Supreme Court Denies Judges' Discretion to Suspend Enhanced Criminal Sentences Imposed by Statute and Holds All Suspensions of Enhanced Sentences Allowed Under Law Must Run Concurrently with the Primary Sentence, 66 Ark. L. Rev. 907 (2013).

U. Ark. Little Rock L. Rev.

Annual Survey of Case Law: Criminal Law, 29 U. Ark. Little Rock L. Rev. 849.

Case Notes

Construction.

Use of the word “may” does not mean that a jury has the discretion as to whether to impose an enhanced sentence where a crime of domestic violence was committed in the presence of a child, rather, it means the state had the option of seeking the enhancement; thus, where no sentence was imposed by the jury, a trial court did not err by imposing one under § 16-90-107(a). Sullivan v. State, 366 Ark. 183, 234 S.W.3d 285 (2006).

Trial court lacked authority to impose a 10-year enhanced sentence on defendant for committing manslaughter in the presence of a child because the sentence was illegal where manslaughter was not referenced in the enhancement statute. Hart v. State, 2014 Ark. 250 (2014).

Evidence.

Evidence was sufficient to convict defendant of committing aggravated assault and terroristic threatening in the presence of a child, his infant son; in her 911 call, defendant's wife stated that defendant choked her, she could not breathe, and he threatened to kill her, all in the presence of their child. Mathis v. State, 2012 Ark. App. 285, 423 S.W.3d 91 (2012).

Evidence was sufficient for the enhancement under this section where a sibling was tearful and shaken and indicated to responding officers that she was not okay, she had heard the sounds of her brother being beaten and her mother pleading, and defendant knew or had reason to know that the sibling lived in the home with her brother and would be there. Jefferson v. State, 2017 Ark. App. 492, 532 S.W.3d 75 (2017).

When a statute, such as the definition of “in the presence of a child” under § 5-4-701, provides that a defendant must know or have reason to know a fact, the defendant's knowledge may be inferred from the circumstances. Williams v. State, 2019 Ark. App. 152, 573 S.W.3d 547 (2019).

Evidence at trial was sufficient to prove that defendant “had reason to know” that a person under the age of 16 was present at the time he shot the victim; the testimony showed that eight children were at the house the day of the shooting, six of whom were under the age of 16, one child had come out on the porch immediately before the shooting while defendant was in the driveway, and several children were on the porch while defendant was firing his gun. Thus, the circuit court did not err in denying defendant's motion for directed verdict on the enhancement for committing the offense of battery in the presence of a child. Williams v. State, 2019 Ark. App. 152, 573 S.W.3d 547 (2019).

5-4-703. Additional fine — Offense committed against a child or in the presence of a child.

  1. In addition to any other sentence, the court shall assess an additional fine of one hundred dollars ($100) for the following offenses if the finder of fact determines that the offense was committed against a child or in the presence of a child:
    1. A felony involving violence as defined in § 5-4-501(d)(2);
    2. Manslaughter, § 5-10-104, or negligent homicide, § 5-10-105;
    3. False imprisonment in the first degree, § 5-11-103, or false imprisonment in the second degree, § 5-11-104;
    4. Battery in the second degree, § 5-13-202, or battery in the third degree, § 5-13-203;
    5. Aggravated assault, § 5-13-204, assault in the first degree, § 5-13-205, assault in the second degree, § 5-13-206, assault in the third degree, § 5-13-207, or coercion, § 5-13-208;
    6. Introduction of controlled substance into body of another person, § 5-13-210;
    7. Terroristic threatening, § 5-13-301, or terroristic act, § 5-13-310;
    8. Sexual indecency with a child, § 5-14-110, indecent exposure, § 5-14-112, sexual assault in the third degree, § 5-14-126, or sexual assault in the fourth degree, § 5-14-127;
    9. Trafficking of persons, § 5-18-103, or patronizing a victim of human trafficking, § 5-18-104;
    10. Domestic battering in the second degree, § 5-26-304, domestic battering in the third degree, § 5-26-305, aggravated assault on a family or household member, § 5-26-306, first degree assault on a family or household member, § 5-26-307, second degree assault on a family or household member, § 5-26-308, or third degree assault on a family or household member, § 5-26-309;
    11. Endangering the welfare of a minor in the first degree, § 5-27-205, endangering the welfare of a minor in the second degree, § 5-27-206, or endangering the welfare of a minor in the third degree, § 5-27-207;
    12. Engaging in sexually explicit conduct for use in visual or print medium, § 5-27-303, pandering or possessing visual or print medium depicting sexually explicit conduct involving a child, § 5-27-304, transportation of minors for prohibited sexual conduct, § 5-27-305, internet stalking of a child, § 5-27-306, or sexually grooming a child, § 5-27-307;
    13. Employing or consenting to the use of a child in a sexual performance, § 5-27-402, or producing, directing, or promoting a sexual performance by a child, § 5-27-403;
    14. Distributing, possessing, or viewing of matter depicting sexually explicit conduct involving a child, § 5-27-602, computer child pornography, § 5-27-603, failure to report child pornography, § 5-27-604, or computer exploitation of a child, § 5-27-605;
    15. Fleeing, if under § 5-54-125(d);
    16. Aggravated cruelty to a dog, cat, or equine, § 5-62-104;
    17. A controlled substance offense in which an enhanced penalty under § 5-64-406 or § 5-64-407 is applied;
    18. Driving or boating while intoxicated, § 5-65-103; or
    19. Reckless driving, § 27-50-308.
    1. A fine assessed and collected under this section shall be remitted on or before the fifteenth day of the following month to the Arkansas Children's Advocacy Center Fund under § 19-5-1260.
    2. A form identifying the amount of fines assessed under this section shall be transmitted with the collected fines.

History. Acts 2015, No. 1220, § 1; 2017, No. 389, § 2; 2017, No. 714, § 2.

Amendments. The 2017 amendment by No. 389 substituted “equine” for “horse” in (a)(16).

The 2017 amendment by No. 714 substituted “one hundred dollars ($100)” for “twenty-five dollars ($25.00)” in (a); inserted (a)(15); redesignated former (a)(15) as (a)(17) and former (a)(17) as (a)(18); added (a)(19); and added “under § 19-5-1260” at the end of (b)(1).

5-4-704. Sentence enhancement for offense targeting current or former law enforcement officer, first responder, or family member of current or former law enforcement officer or first responder.

  1. A person is subject to an enhanced sentence under this section if the person purposely selected the victim of an offense committed by the person because the victim is:
    1. Currently employed or was formerly employed as a law enforcement officer or first responder; or
    2. A family member of a current or former law enforcement officer or first responder.
  2. If a sentence enhancement is sought under this section, the information or indictment shall include:
    1. That the sentence enhancement under this section is being sought; and
    2. The allegations supporting the imposition of the enhanced sentence under this section.
  3. The sentence enhancement under this section is as follows:
    1. If the person is convicted of a Class A misdemeanor or an unclassified misdemeanor with a possible sentence greater than ninety (90) days' imprisonment, an additional period of imprisonment of not more than one (1) year;
    2. If the person is convicted of a Class C felony, Class D felony, or an unclassified felony, an additional period of imprisonment of at least six (6) months but no more than two (2) years; and
    3. If the person is convicted of a Class Y felony, Class A felony, or Class B felony, an additional period of imprisonment of at least two (2) years but no more than ten (10) years.
  4. The sentence enhancement under this section is not applicable if:
    1. The victim of the offense is a law enforcement officer or first responder; and
    2. An element of the underlying offense is that the victim is a law enforcement officer or first responder.

History. Acts 2017, No. 332, § 3.

A.C.R.C. Notes. Acts 2017, No. 332, § 1, provided: “Legislative intent.

“(a) The General Assembly finds that there are a number of criminal offenses that have heightened or enhanced sentences when the victim is a law enforcement officer or first responder as opposed to if the victim of a similar criminal offense were just a member of the public at large.

“(b) The sentence enhancement under Section 3 of this act is not intended to apply to criminal offenses against a law enforcement officer or first responder when the criminal offenses already provide for a heightened or enhanced sentence because the victim is a law enforcement officer or first responder.

“(c) Therefore, it is the intent of the General Assembly that subsection (d) of Section 3 of this act prohibits a sentence enhancement under Section 3 of this act when the victim of the criminal offense is a law enforcement officer or first responder and the criminal offense for which the defendant was charged could only be committed against a law enforcement officer or first responder.”

5-4-705. Sentence enhancement for offense targeting railroad or public transit employee.

  1. A person is subject to an enhanced sentence under this section if the person purposely selected the victim of an offense committed by the person because the victim is a railroad or public transit employee.
  2. If a sentence enhancement is sought under this section, the information or indictment shall include:
    1. That the sentence enhancement under this section is being sought; and
    2. The allegations supporting the imposition of the enhanced sentence under this section.
  3. The sentence enhancement under this section is as follows:
    1. If the person is convicted of a Class A misdemeanor or an unclassified misdemeanor with a possible sentence greater than ninety (90) days' imprisonment, an additional period of imprisonment of not more than one (1) year;
    2. If the person is convicted of a Class C felony, Class D felony, or an unclassified felony, an additional period of imprisonment of at least six (6) months but no more than two (2) years; and
    3. If the person is convicted of a Class Y felony, Class A felony, or Class B felony, an additional period of imprisonment of at least two (2) years but no more than ten (10) years.

History. Acts 2017, No. 955, § 2.

5-4-706. Local cybercrime fee.

  1. As used in this section, “applicable felony” means:
    1. A felony involving violence as defined in § 5-4-501(d)(2);
    2. A felony offense for which a person is required to register as a sex offender under the Sex Offender Registration Act of 1997, § 12-12-901 et seq.; or
    3. A felony offense under § 12-12-904.
  2. In addition to any other fee authorized or required by law, a circuit court shall assess an additional fee of up to five hundred dollars ($500) for each applicable felony conviction for an offense that the trier of fact finds:
    1. Involved the use of a computer, an electronic device, or the internet; and
    2. The investigation of which expended specialized law enforcement personnel or materials designed to investigate offenses involving a computer, an electronic device, or the internet.
      1. A fee provided for under subsection (b) of this section and collected in a circuit court shall be remitted by the tenth day of each month to a special cybercrime fee law enforcement fund to be administered by the prosecuting attorney.
      2. The special cybercrime fee law enforcement fund shall consist of moneys obtained under this section or as otherwise provided for by law.
    1. Moneys in the special cybercrime fee law enforcement fund shall be expended on a periodic basis and upon a showing of necessity to local law enforcement agencies located in or in part of the judicial district for the purposes of training law enforcement personnel in the investigation of offenses involving the use of a computer, electronic device, or the internet and in procuring tools and devices that assist in the investigation of offenses involving the use of a computer, electronic device, or the internet.
    2. Moneys in the special cybercrime fee law enforcement fund shall not be considered a source of revenue to meet a normal operating expense.

History. Acts 2017, No. 1109, § 1.

5-4-707. Additional term of imprisonment for offense constituting violence against church or other place of worship.

  1. As used in this section, “serious felony involving violence” means:
    1. Murder in the first degree, § 5-10-102;
    2. Murder in the second degree, § 5-10-103;
    3. Battery in the first degree, § 5-13-201;
    4. Aggravated assault, § 5-13-204;
    5. Terroristic threatening, § 5-13-301, if a felony;
    6. Terroristic act, § 5-13-310;
    7. Causing a catastrophe, § 5-38-202(a);
    8. Arson, § 5-38-301;
    9. Terrorism, § 5-54-205;
    10. A felony offense under § 5-54-201;
    11. Unlawful discharge of a firearm from a vehicle, § 5-74-107;
    12. Criminal use of prohibited weapons, § 5-73-104, involving an activity making it a Class B felony; or
    13. A felony attempt, solicitation, or conspiracy to commit an offense listed in this subsection, if the attempt, solicitation, or conspiracy itself is a felony.
  2. A person is subject to an additional term of imprisonment under this section if the person:
    1. Purposely selected the victim of an offense committed by the person because the victim was present on the grounds of or in a church or other place of worship at the time of the offense; and
    2. Committed a serious felony involving violence against the victim.
  3. If an additional term of imprisonment is sought under this section, the information or indictment shall include:
    1. That the additional term of imprisonment under this section is being sought; and
    2. The allegations supporting the imposition of the additional term of imprisonment under this section.
  4. The additional term of imprisonment under this section is for a minimum of one (1) year but no more than ten (10) years in the Division of Correction.
  5. The additional term of imprisonment under this section is consecutive to any other sentence imposed.
  6. A person receiving an additional term of imprisonment under this section is not eligible for early release on parole or community correction transfer for the additional term of imprisonment.

History. Acts 2019, No. 1046, § 1.

Subchapter 8 — Sentencing Alternative — Community Service Work

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided:

“Legislative intent. The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Effective Dates. Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

5-4-801. Definitions.

As used in this subchapter:

  1. “Community work project” means any program in which an eligible offender in a county jail is allowed to work under the supervision of a government entity on projects on public lands, public buildings, public roads, public parks, and public rights-of-way designed to benefit the government entity supervising the eligible offender;
  2. “Eligible offender” means any person convicted of a misdemeanor offense or felony offense other than:
    1. Capital murder, § 5-10-101;
    2. Murder in the first degree, § 5-10-102;
    3. Murder in the second degree, § 5-10-103;
    4. Manslaughter, § 5-10-104;
    5. Rape, § 5-14-103;
    6. Kidnapping, § 5-11-102;
    7. Aggravated robbery, § 5-12-103;
    8. Driving or boating while intoxicated, second or subsequent offense, § 5-65-103;
    9. Negligent homicide, § 5-10-105;
    10. Trafficking a controlled substance, § 5-64-440;
    11. Any felony involving violence as listed under § 5-4-501(d)(2); or
    12. Any offense requiring registration under the Sex Offender Registration Act of 1997, § 12-12-901 et seq.; and
  3. “Work incentive credit” means a sentence credit of up to three (3) days as designated by the court toward completion of an eligible offender's sentence for each day the eligible offender works on a community work project.

History. Acts 2011, No. 570, § 21; 2015, No. 299, § 4.

Amendments. The 2015 amendment inserted “or boating” in (2)(H).

Research References

Ark. L. Rev.

Mason L. Boling, Legislative Note: That Was the Easy Part: The Development of Arkansas's Public Safety Improvement Act of 2011, and Why the Biggest Obstacle to Prison Reform Remains Intact, 66 Ark. L. Rev. 1109 (2013).

5-4-802. Rules.

The Board of Corrections shall promulgate necessary rules to be followed by a government entity in the supervision of eligible offenders sentenced under this subchapter.

History. Acts 2011, No. 570, § 21; 2013, No. 1125, § 2.

Amendments. The 2013 amendment substituted “sentenced” for “utilized” in the introductory language.

5-4-803. Procedure.

  1. A court may sentence an eligible offender under this subchapter.
    1. If a court elects to sentence an eligible offender under this subchapter, the court may suspend imposition of sentence for the eligible offender for a period not to exceed the period of years that is the maximum penalty for the offense for which convicted upon condition that the eligible offender be incarcerated in a county jail or regional jail to participate in a community work project.
    2. In order for the eligible offender to participate in a community work project, space must be available in the county jail or regional jail as certified by the county sheriff to the:
      1. Division of Correction for an eligible offender committed to the division; or
      2. Court for an eligible offender serving time for a misdemeanor offense.
    3. The length of the community work project service and incarceration shall not exceed eighteen (18) months for a felony offense with work incentive credit or, in the case of a misdemeanor offense, the maximum length of incarceration for the misdemeanor offense reduced by the work incentive credit.
    1. If an eligible offender sentenced under this subchapter withdraws consent to participate in a community work project, then:
      1. The county sheriff shall notify the court and bring the eligible offender before the court within a reasonable time; and
      2. The court shall determine whether the eligible offender has withdrawn consent to participate in a community work project.
    2. If the court finds that the eligible offender has withdrawn consent to participate in the community work project, the court shall remand the eligible offender for the remaining portion of the eligible offender's sentence to the:
      1. Division for a felony offense; or
      2. County sheriff for a misdemeanor offense.
    3. If an eligible offender withdraws consent to participate in a community work project, the eligible offender is entitled to all good time and parole eligibility considerations as provided by law.
    4. Any portion of the sentence that was suspended by the court at the time of the original sentence is not affected by the removal of an eligible offender from participating in the community work project.
    1. If an eligible offender's conduct while participating in a community work project is unsatisfactory, upon petition filed by the prosecuting attorney, the court may schedule a hearing to determine if the eligible offender should be allowed to continue to participate in the community work project.
    2. A hearing under this subsection shall follow the same format and accord the eligible offender the same safeguards as the revocation procedure in § 16-93-307.
    3. The burden of proof necessary for revocation of a sentence under this subchapter shall be a preponderance of the evidence that the eligible offender's conduct has been unsatisfactory while participating in a community work project.
    4. If the court finds that the eligible offender's conduct has been unsatisfactory while performing in a community work project, the court shall remand the eligible offender for the remaining portion of the eligible offender's sentence to the:
      1. Division for a felony offense; or
      2. County sheriff for a misdemeanor offense.
    5. If an eligible offender's conduct is found to be unsatisfactory, the eligible offender is entitled to all good time and parole eligibility considerations as provided by law.

History. Acts 2011, No. 570, § 21; 2013, No. 1125, § 3; 2019, No. 910, §§ 661-663.

Amendments. The 2013 amendment subdivided part of (b)(2) into (b)(2)(A) and (b)(2)(B); and inserted “Court” in present (b)(2)(B).

The 2019 amendment substituted “Division of Correction” for “Department of Correction” in (b)(2)(A), (c)(2)(A), and (d)(4)(A).

Research References

Ark. L. Rev.

Mason L. Boling, Legislative Note: That Was the Easy Part: The Development of Arkansas's Public Safety Improvement Act of 2011, and Why the Biggest Obstacle to Prison Reform Remains Intact, 66 Ark. L. Rev. 1109 (2013).

5-4-804. Medical treatment and costs.

The state is responsible for the cost of medical treatment approved by the Division of Correction of an eligible offender sentenced to a felony under this subchapter if the medical treatment is for:

  1. The result of an injury sustained on the work site of the community work project or during transportation to and from the work site by a government entity; or
    1. The result of illness or an injury sustained by an eligible offender committed to the county jail or regional jail and who is assigned to a community work project.
    2. The division may transfer an eligible offender committed to a county jail or regional jail under this subchapter to a medical facility or treatment facility, including a facility of the division, it deems appropriate for the medical treatment.
  2. Nothing in this section precludes the division from seeking reimbursement or damages from a person or entity that contributes to or causes the injury or illness referred to in this section.

History. Acts 2011, No. 570, § 21; 2019, No. 910, § 664.

Amendments. The 2019 amendment substituted “Division of Correction” for “Department of Correction” throughout the section.

5-4-805. Reimbursement for housing eligible offenders.

The state shall reimburse a county for housing an eligible offender convicted of a felony offense and sentenced under this subchapter at a rate to be determined by the Board of Corrections.

History. Acts 2011, No. 570, § 21.

Subchapter 9 — Sentencing Alternative — Pre-adjudication Probation

Effective Dates. Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

5-4-901. Legislative intent.

The intent of this act is to provide the judiciary with an additional alternative to the disposition of criminal offenders that would assist the offender in atoning for his or her criminal transgression and promote the enforcement of the state's criminal statutes while easing the inmate burden on the county jails and the Division of Correction.

History. Acts 2013, No. 1340, § 1; 2019, No. 910, § 665.

Amendments. The 2019 amendment substituted “Division of Correction” for “Department of Correction”.

Research References

Ark. L. Rev.

Mason L. Boling, Legislative Note: That Was the Easy Part: The Development of Arkansas's Public Safety Improvement Act of 2011, and Why the Biggest Obstacle to Prison Reform Remains Intact, 66 Ark. L. Rev. 1109 (2013).

5-4-902. Definitions.

As used in this subchapter, “pre-adjudication” means the period of time after:

  1. The prosecuting attorney files a criminal information or an indictment is filed in circuit court;
  2. The person named in the criminal information or indictment is arraigned on the charge in circuit court; and
  3. The person enters the program without a guilty plea or the person enters a plea of guilty but before the circuit court enters a judgment and pronounces a sentence against the person.

History. Acts 2013, No. 1340, § 1.

5-4-903. Program authorized.

    1. Each judicial district of this state may establish a pre-adjudication probation program under this subchapter.
    2. The structure, method, and operation of the pre-adjudication probation program may differ and shall be based upon the specific needs of and resources available to the judicial district where the pre-adjudication probation program is located.
    1. A pre-adjudication probation program may incorporate services from various state agencies and educational institutions, including without limitation the Division of Community Correction, the Department of Human Services, the Adult Education Section, vocational schools, technical schools, community colleges, and two-year and four-year public universities.
    2. Participating state agencies and educational institutions may provide:
      1. Persons to serve as pre-adjudication probation officers, drug counselors, or other support staff;
      2. Drug testing and other substance-abuse facilities;
      3. Intensive short-term and long-term residential treatment for participants in the pre-adjudication probation program who have demonstrated a need for substance abuse treatment or other mental health-related treatment;
      4. Educational materials, classrooms, and staff; and
      5. Other personnel, support staff, or facilities that the circuit court administering the pre-adjudication probation program finds necessary or helpful.
  1. Subject to an appropriation, funding, and position authorization, both programmatic and administrative, the Administrative Office of the Courts shall:
    1. Provide state-level coordination and support for circuit courts administering the pre-adjudication probation program;
    2. Administer funds for the maintenance and operation of local pre-adjudication probation programs;
    3. Provide training and education to judges and other professionals involved in pre-adjudication probation programs; and
    4. Operate as a liaison between judges and other state-level agencies providing services to pre-adjudication probation programs.

History. Acts 2013, No. 1340, § 1; 2015, No. 1198, § 2; 2019, No. 910, § 1033.

Amendments. The 2015 amendment rewrote (b)(1); inserted “and educational institutions” in the introductory language of (b)(2); inserted (b)(2)(D); and redesignated former (b)(2)(D) as (b)(2)(E).

The 2019 amendment substituted “Division of Community Correction” for “Department of Community Correction” and “of the Division of Workforce Services” for “of the Department of Career Education” in (b)(1).

5-4-904. Eligibility.

  1. The judicial district in which a person is charged with a felony shall have in place a pre-adjudication probation program as authorized by this subchapter before this subchapter may be utilized by the person charged with the felony, the circuit court with jurisdiction, or the state.
  2. A person charged with a felony is eligible to participate in a pre-adjudication probation program if:
    1. The circuit court with jurisdiction over the case and the prosecuting attorney agree; and
    2. The person is not charged with one (1) of the following criminal offenses:
      1. A criminal offense for which the person would be required to register as a sex offender under the Sex Offender Registration Act of 1997, § 12-12-901 et seq.;
      2. A felony involving violence as listed in § 5-4-501(d)(2);
      3. A felony involving a victim who was seventeen (17) years of age or younger at the time the felony was committed; or
      4. A felony involving a victim who was sixty-five (65) years of age or older at the time the felony was committed.
    1. A person charged with a traffic offense committed in any type of motor vehicle who was a holder of a commercial learner's permit or commercial driver license at the time the traffic offense was committed is ineligible to participate in a pre-adjudication probation program.
    2. As used in subdivision (c)(1) of this section, “traffic offense” does not include a parking violation, motor vehicle weight violation, or motor vehicle defect violation.

History. Acts 2013, No. 1340, § 1.

5-4-905. Sanctions.

    1. A pre-adjudication probation program judge may impose sanctions on a pre-adjudication probation program participant who fails to complete certain court-ordered pre-adjudication program requirements or meet certain court-ordered pre-adjudication program goals.
    2. Sanctions may include without limitation:
      1. Time spent in the custody of the county sheriff;
      2. Additional fines;
      3. Community service;
      4. Substance abuse testing;
      5. Written assignments; and
      6. Volunteer work for a nonprofit organization.
  1. The imposition of an additional sanction under this section:
    1. Is not an execution of a sentence resulting from a conviction for the criminal offense for which the participant has entered the pre-adjudication probation program; and
    2. Does not result by itself in the expulsion of the pre-adjudication probation program participant from the pre-adjudication probation program.

History. Acts 2013, No. 1340, § 1.

5-4-906. Record sealing upon completion.

  1. A pre-adjudication probation program judge, on his or her own motion or upon a request from the participant in the pre-adjudication probation program, shall order sealing and dismissal of a case if:
    1. The participant in the pre-adjudication probation program has successfully completed a pre-adjudication probation program, as determined by the pre-adjudication probation program judge;
    2. The pre-adjudication probation program judge has received a recommendation from the prosecuting attorney for sealing and dismissal of the case; and
    3. The pre-adjudication probation program judge, after considering the past criminal history of the participant in the pre-adjudication probation program, determines that sealing and dismissal of the case is appropriate.
  2. Unless otherwise ordered by the pre-adjudication probation program court, sealing under this section shall be as described in the Comprehensive Criminal Record Sealing Act of 2013, § 16-90-1401 et seq.

History. Acts 2013, No. 1340, § 1; 2015, No. 1155, § 3.

A.C.R.C. Notes. Effective January 1, 2014, Acts 2013, No. 1460, § 7, repealed § 16-90-901 et seq. referenced in subsection (b) of this section. For the law effective January 1, 2014, on the expungement and sealing of criminal records, see the Comprehensive Criminal Record Sealing Act of 2013, § 16-90-1401 et seq.

Amendments. The 2015 amendment substituted “sealing” for “expungement” throughout the section; and substituted “the Comprehensive Criminal Record Sealing Act of 2013, § 16-90-1401 et seq.” for “§ 16-90-901 et seq. [repealed]” in (b).

5-4-907. Cost, fees, and restitution.

  1. The pre-adjudication probation program judge may order the offender to pay:
    1. Court costs as provided in § 16-10-305;
    2. Any substance abuse treatment costs;
    3. Drug testing costs;
    4. Costs associated with mental health treatment;
    5. A pre-adjudication probation program user fee;
    6. Any restitution owed the victim of the charged criminal offense;
    7. Necessary supervision fees;
    8. Any applicable residential treatment fees;
    9. Tuition and other educational fees for vocational schools, technical schools, community colleges, or two-year and four-year public universities that are part of the pre-adjudication probation program for which the offender is participating; and
    10. Any fees determined or authorized under § 12-27-125(b)(17)(B) or § 16-93-104(a)(1), which are to be paid to the Division of Community Correction.
    1. The pre-adjudication probation program judge shall establish a schedule for the payment of costs, fees, and restitution.
    2. The cost for substance abuse treatment, mental health treatment, drug testing, and supervision shall be set by the treatment and supervision providers respectively and made part of the order of the pre-adjudication probation program judge for payment.
    3. Pre-adjudication probation program user fees shall be set by the pre-adjudication probation program judge.
    4. Treatment, drug testing, and supervision costs or fees shall be paid to the respective providers.
    5. Fees determined or authorized under § 12-27-125(b)(17)(B) or § 16-93-104(a)(1) shall be paid to the division.
    6. Restitution to the victim shall be paid directly to the victim.
  2. Court orders for costs, fees, and restitution shall remain an obligation of the participant in the pre-adjudication probation program with court monitoring until fully paid.

History. Acts 2013, No. 1340, § 1; 2015, No. 1198, § 3.

Amendments. The 2015 amendment inserted present (a)(9), and redesignated former (a)(9) as (a)(10).

5-4-908. Program operation.

    1. A pre-adjudication probation program may require a separate judicial processing system differing in practice and design from the traditional adversarial criminal prosecution and trial systems.
    2. A pre-adjudication probation program team shall be designated by a circuit judge assigned to manage the pre-adjudication probation program docket and may include a circuit judge, a prosecuting attorney, a public defender or private defense attorney, one (1) or more probation officers, and any other individual or individuals determined necessary by the pre-adjudication probation program judge.
      1. The administrative judge of the judicial district shall designate one (1) or more circuit judges to administer the pre-adjudication probation program.
      2. If a county is in a judicial district that does not have a circuit judge who is able to administer the pre-adjudication probation program on a consistent basis, the administrative plan for the judicial circuit required by Supreme Court Administrative Order No. 14 may designate a state district court judge to administer the pre-adjudication probation program.
  1. Each judicial district may develop a training and implementation manual for a pre-adjudication probation program with the assistance of:
    1. The Department of Human Services;
    2. The Division of Elementary and Secondary Education;
    3. The Adult Education Section;
    4. The Division of Community Correction;
    5. The Administrative Office of the Courts; and
    6. Any vocational school, technical school, community college, or two-year and four-year public university that has volunteered to be part of the pre-adjudication program in the judicial district.

History. Acts 2013, No. 1340, § 1; 2015, No. 1198, § 4; 2019, No. 910, § 134.

Amendments. The 2015 amendment deleted “the” at the end of the introductory language of (b); added “The” in (b)(1) through (b)(5); and added (b)(6).

The 2019 amendment substituted “Division of Elementary and Secondary Education” for “Department of Education” in (b)(2); substituted “Adult Education Section” for “Department of Career Education” in (b)(3); and substituted “Division of Community Correction” for “Department of Community Correction” in (b)(4).

5-4-909. Administrative Office of the Courts.

The Administrative Office of the Courts shall:

  1. Serve as a coordinator between pre-adjudication probation program judges, the Department of Community Correction, and other parties;
  2. Establish, manage, and maintain a uniform statewide pre-adjudication probation program information system to track information and data on pre-adjudication probation program participants;
  3. Train and educate pre-adjudication probation program judges and pre-adjudication probation program staff in those judicial districts maintaining a pre-adjudication probation program;
  4. Oversee the disbursement of funds appropriated to the Administrative Office of the Courts for the maintenance and operation of local pre-adjudication probation programs based on a formula developed by the office; and
  5. Develop guidelines to serve as a framework for developing effective local pre-adjudication probation programs and to provide a structure for conducting research and evaluation for pre-adjudication probation program accountability.

History. Acts 2013, No. 1340, § 1.

5-4-910. Disposition of court costs and user fees.

  1. All court costs and pre-adjudication probation program user fees assessed by the pre-adjudication probation program judge shall be paid to the circuit court clerk for remittance to the county treasury under § 14-14-1313.
  2. The county treasurer shall credit all court costs received under this section to the county administration of justice fund to be distributed under § 16-10-307.
  3. The county treasurer shall credit all pre-adjudication probation program user fees received under this section to a fund known as the county pre-adjudication probation program fund and appropriated by the quorum court for the benefit and administration of the pre-adjudication probation program.

History. Acts 2013, No. 1340, § 1.

5-4-911. Required resources.

Each pre-adjudication probation program established under this subchapter, subject to an appropriation, funding, and position authorization, both programmatic and administrative, shall be provided with the following resources:

  1. The Department of Community Correction shall provide the following pursuant to § 5-4-903 for adult offenders:
    1. A minimum of one (1) counselor position for every thirty (30) pre-adjudication probation program participants;
    2. A minimum of one (1) probation officer position for every forty (40) pre-adjudication probation program participants;
    3. A minimum of one (1) administrative assistant position for each pre-adjudication probation program; and
    4. Drug screens and testing as needed.
  2. The Administrative Office of the Courts shall:
    1. Provide funding for additional ongoing maintenance and operation costs of local pre-adjudication probation programs not provided by the Department of Community Correction or the Department of Human Services, including without limitation local pre-adjudication probation program supplies, education, travel, and related expenses;
    2. Provide direct support to the pre-adjudication probation program judge and pre-adjudication probation program;
    3. Provide coordination between the multidisciplinary team and the pre-adjudication probation program judge;
    4. Provide case management;
    5. Monitor compliance of pre-adjudication probation program participants with pre-adjudication probation program requirements; and
    6. Provide pre-adjudication probation program evaluation and accountability.

History. Acts 2013, No. 1340, § 1.

5-4-912. Collection of data — Reporting requirement.

    1. A pre-adjudication probation program shall collect and provide data on pre-adjudication probation program applicants and all participants as required by the Administrative Office of the Courts.
    2. Data collected under subdivision (a)(1) of this section shall include:
      1. The total number of applicants;
      2. The total number of participants;
      3. The total number of successful applicants;
      4. The total number of successful participants;
      5. The reason why each unsuccessful participant did not complete the pre-adjudication probation program;
      6. Information about what happened to each unsuccessful participant;
      7. The total number of participants who were arrested for a new criminal offense while in the pre-adjudication probation program;
      8. The total number of participants who were convicted of a new criminal offense while in the pre-adjudication probation program;
      9. The total number of participants who committed a violation of one (1) or more conditions of the pre-adjudication probation program and the resulting sanction;
      10. The results of the initial risk-needs assessment review for each participant;
      11. The race and gender of each applicant;
      12. The race and gender of each participant;
      13. The race and gender of each victim of an offense committed by the applicant;
      14. The race and gender of each victim of an offense committed by the participant; and
      15. Any other data or information as required by the office.
  1. The data collected for evaluation purposes under subsection (a) of this section shall:
    1. Include a minimum standard data set developed and specified by the office; and
    2. Be maintained in the court files or be otherwise accessible by the courts and the office.
    1. After an individual is discharged either upon completion or termination of a pre-adjudication probation program, the pre-adjudication probation program as far as is practicable shall conduct follow-up contacts with and reviews of former pre-adjudication probation program participants for key outcome indicators of drug use, recidivism, and employment.
      1. The follow-up contacts with and reviews of former pre-adjudication probation program participants shall be conducted as frequently and for a period of time as determined by the office based upon the nature of the pre-adjudication probation program and the nature of the participants.
      2. The follow-up contacts with and reviews of former pre-adjudication probation program participants are not extensions of the pre-adjudication probation program court's jurisdiction over the pre-adjudication probation program participants.
  2. For purposes of standardized measurement of success of pre-adjudication probation programs across the state, the office in consultation with other state agencies shall adopt an operational definition of terms to be used in any evaluation and report of pre-adjudication probation programs such as:
    1. “Incentives given”;
    2. “Recidivism”;
    3. “Retention”;
    4. “Relapses”;
    5. “Restarts”; and
    6. “Sanctions imposed”.
  3. Each pre-adjudication probation program shall provide all information requested by the office.
  4. The office, the Division of Community Correction, the Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services, and the Arkansas Crime Information Center shall work together to share and make available data to provide a comprehensive data management system for the state's pre-adjudication probation programs.
    1. The office shall:
      1. Develop a statewide evaluation model for pre-adjudication probation programs; and
      2. Conduct ongoing evaluations of the effectiveness and efficiency of all pre-adjudication probation programs.
    2. The office shall submit to the General Assembly by July 1 of each year a report of the evaluations under subdivision (g)(1) of this section.

History. Acts 2013, No. 1340, § 1; 2017, No. 913, § 15.

A.C.R.C. Notes. Subsection (d) of this section may be affected by Acts 2013, No. 1030, § 1, which enacted § 5-4-101(4) and established a definition of “recidivism” for purposes of this chapter.

Amendments. The 2017 amendment substituted “Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services” for “Division of Behavioral Health Services” in (f).

5-4-913. Education screening.

A person eligible to enter a pre-adjudication program under this subchapter shall have his or her education level assessed by the court by completing a reading, literacy, and math assessment by the Adult Education Section.

History. Acts 2015, No. 1198, § 5; 2019, No. 910, § 1034.

Amendments. The 2019 amendment substituted “Adult Education Section” for “Department of Career Education”.

5-4-320. Certain convicted felons to observe operations of correctional facility.

5-4-615. Conviction — Punishments.

Chapter 5 Disposition of Contraband and Seized Property

Research References

ALR.

Forfeiture of money to state or local authorities based on its association with or proximity to other contraband. 38 A.L.R.4th 496.

Necessity of conviction of offense associated with property seized to support forfeiture. 38 A.L.R.4th 515.

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

Subchapter 1 — General Provisions

Cross References. Disarming of minors and mentally defective or irresponsible persons, disposition of property, § 5-73-110.

Property subject to forfeiture, § 5-64-505.

5-5-101. Disposition of contraband and seized property.

  1. Any seized property shall be returned to the rightful owner or possessor of the seized property except contraband owned by a defendant.
    1. As used in this section, “contraband” means any:
      1. Article possessed under a circumstance prohibited by law;
      2. Weapon or other instrument used in the commission or attempted commission of a felony;
      3. Visual, print, or electronic medium that depicts sexually explicit conduct involving a child prohibited under § 5-27-304;
      4. Visual, print, or electronic medium that contains a sexual performance of a child prohibited under § 5-27-403;
      5. Item the possession of which is prohibited by § 5-27-602;
      6. Item the production of which is prohibited by § 5-27-603;
      7. Item the production of which is prohibited by § 5-27-605; or
      8. Other article designated “contraband” by law.
    2. “Contraband” does not include a visual, a print, or an electronic medium created, obtained, or possessed by licensed medical personnel or a regulated medical facility for the purpose of treatment or documentation of injuries to a child.
    1. Contraband shall be destroyed.
    2. Except as limited under subdivision (c)(3) of this section, in the discretion of the court having jurisdiction, any contraband capable of lawful use may be:
      1. Retained for use by the law enforcement agency responsible for the arrest; or
      2. Sold and the proceeds disposed of in the manner provided by subsections (e)-(g) of this section.
    3. Contraband described in subdivisions (b)(1)(C)-(H) of this section and having no lawful use shall not be retained.
      1. Except as provided in subdivision (d)(2) of this section, unclaimed seized property shall be sold at public auction to be held by the chief law enforcement officer of the county, city, or town law enforcement agency that seized the unclaimed seized property or the chief law enforcement officer's designee.
      2. The proceeds of the sale, less the cost of the sale and any storage charge incurred in preserving the unclaimed seized property, shall be paid into the general fund of the county, city, or town whose law enforcement agency performed the seizure.
      1. Unclaimed seized property that is a recreational item may be donated at no cost to a local or state agency, a nonprofit organization, or an educational program designed to provide education, assistance, or recreation to children.
        1. As used in subdivision (d)(2)(A) of this section, “recreational item” means an item generally used for children's activities and play.
        2. “Recreational item” includes without limitation a bicycle but does not include a motor vehicle or motorcycle.
  2. The time and place of sale of seized property shall be advertised:
    1. For at least fourteen (14) days next before the day of sale by posting written notice at the courthouse door; and
    2. By publication in the form of at least two (2) insertions, at least three (3) days apart, before the day of sale in a weekly or daily newspaper published or customarily distributed in the county.
    1. Any seized property to be sold at public sale shall be offered for sale on the day for which it was advertised between 9:00 a.m. and 3:00 p.m., publicly, by auction, and for ready money.
    2. The highest bidder shall be the purchaser.
    1. The proceeds from any sale of seized property shall be delivered to the county, city, or town treasurer, as the case may be, to be held by him or her in a separate account for a period of three (3) months.
    2. If any person during the time described in subdivision (g)(1) of this section establishes to the satisfaction of the county, city, or town treasurer that he or she was at the time of sale the owner of any seized property sold as provided in subsection (f) of this section, the person shall be paid the amount realized from sale of the seized property less the expenses of the sale.
    3. Any money in the separate account not claimed or paid within the designated three-month period shall be paid into the general fund of the county, city, or town whose law enforcement agency performed the seizure.

History. Acts 1975, No. 280, § 1401; 1977, No. 360, § 4; A.S.A. 1947, § 41-1401; Acts 1991, No. 1030, § 1; 2003, No. 135, § 1; 2007, No. 703, §§ 1, 2; 2009, No. 748, § 5; 2011, No. 171, § 1.

Amendments. The 2009 amendment redesignated (b)(1) through (b)(8) as (b)(1)(A) through (b)(1)(H), redesignated the exception in (b)(1)(H) as present (b)(2), and made related and minor stylistic changes.

The 2011 amendment redesignated (d)(1) as (d)(1)(A) and (d)(2) as (d)(1)(B); inserted “Except as provided in subdivision (d)(2) of this section” in (d)(1)(A); and added present (d)(2).

Case Notes

Construction.

There is no conflict between this section and ARCrP, Rule 15(f), and the latter is simply the procedural implementation of the former. Wilburn v. Toopeka Corp., 265 Ark. 141, 578 S.W.2d 406 (1979).

Burden of Proof.

When the rightful owner of seized property files a motion to have the property returned and the State claims the seized property is contraband, the burden of proof is on the State to prove by a preponderance of the evidence that the seized property is contraband. Herron v. State, 2019 Ark. App. 367, 583 S.W.3d 408 (2019).

Defendant was entitled to the return of seized property—a shotgun—because the circuit court clearly erred in finding that the shotgun was contraband; the State, which called no witnesses and presented no evidence in support of its contention that the shotgun had been used in the commission of a felony, failed to meet its burden of proving that the shotgun was contraband. Herron v. State, 2019 Ark. App. 367, 583 S.W.3d 408 (2019).

Mistake of Law Defense.

Where defendant was charged with possession of gambling devices and a jury found him not guilty by mistake of law due to his reliance upon inapplicable law in operating his arcade business, defendant's assertion of the defense was an admission that he had engaged in illegal conduct and, because the jury found defendant's machines were illegal, the trial court did not err in ordering the machines forfeited and destroyed. Mullins v. State, 359 Ark. 414, 198 S.W.3d 504 (2004).

Possessed Under Circumstances Prohibited by Law.

Currency being held in the hand or pocket while waiting to make a future bet was not “possessed under circumstances prohibited by law” within the meaning of this section. Henry v. State, 280 Ark. 24, 655 S.W.2d 372 (1983).

Cited: Anderson v. Sharp County, 295 Ark. 366, 749 S.W.2d 306 (1988).

5-5-102. Effect of noncode statutes.

When a statute not a part of the Arkansas Criminal Code specifies a procedure for the disposition or destruction of a particular type of seized property, the seized property shall be disposed of or destroyed in accordance with that statute.

History. Acts 1975, No. 280, § 1402; A.S.A. 1947, § 41-1402.

Meaning of “Arkansas Criminal Code”. See note to § 5-1-101.

Subchapter 2 — Forfeiture of Conveyances Used in Commission of Certain Crimes

Effective Dates. Acts 1985, No. 238, § 6: Mar. 4, 1985. Emergency clause provided: “It is hereby found and determined by the General Assembly that present law does not adequately deter burglaries, robberies, thefts or arsons; that to provide for the forfeiture of vehicles, vessels or aircraft used in the commission of those crimes would be an additional deterrent to the commission of those crimes; that this Act provides for such forfeiture and should be given immediate effect in order to help deter burglaries, robberies, thefts and arsons. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Research References

U. Ark. Little Rock L. Rev.

Mary Ward, Note: Arkansas’s Human Trafficking Laws: Steps in the Right Direction or a False Sense of Accomplishment?, 37 U. Ark. Little Rock L. Rev. 133 (2014).

5-5-201. Forfeiture requirement — Exceptions.

  1. Upon conviction, any conveyance, including an aircraft, motor vehicle, or vessel, is subject to forfeiture under this subchapter if it is used in the commission or attempt of:
    1. A burglary;
    2. A robbery;
    3. A theft;
    4. An arson; or
    5. Trafficking of persons, § 5-18-103.
  2. However:
    1. A conveyance used by any person as a common carrier in the transaction of business as a common carrier is not subject to forfeiture under this subchapter unless it appears that the owner or other person in charge of the conveyance was a consenting party or privy to the commission or attempt to commit the offense;
    2. A conveyance is not subject to forfeiture under this subchapter by reason of any act or omission established by the owner of the conveyance to have been committed or omitted without his or her knowledge or consent and without the knowledge or consent of any person having possession, care, or control of the conveyance with the owner's permission; and
    3. A forfeiture of a conveyance encumbered by a security interest is subject to the security interest of the secured party if the secured party neither had knowledge of nor consented to the use of the conveyance in the commission or attempt to commit the offense.
    1. A person who uses or possesses one (1) or more of the following items or conveyances in the commission of a second or subsequent offense for criminal trespass, § 5-39-203, or criminal trespass on premises located in an unincorporated area, § 5-39-305, that occurs within five (5) years of a prior offense of criminal trespass, § 5-39-203, or criminal trespass on premises located in an unincorporated area, § 5-39-305, is subject to that item's or conveyance's being seized and forfeited under this subchapter:
      1. An all-terrain vehicle, as defined under § 27-21-102;
      2. A conveyance, including an aircraft, motor vehicle, or vessel;
      3. A harvesting device, as defined under § 5-39-101;
      4. A killing device, as defined under § 5-39-101; or
      5. A tool or other implement.
    2. A person or entity that has a valid security interest in an item or conveyance subject to seizure and forfeiture under this subsection is entitled to notice of any forfeiture proceeding as well as the right to intervene in the forfeiture proceeding in order to secure and represent the person's or entity's interest in the item or conveyance to be forfeited.

History. Acts 1985, No. 238, § 1; A.S.A. 1947, § 41-1403; Acts 2013, No. 1157, § 2; 2013, No. 1363, § 1; 2017, No. 877, § 1.

Amendments. The 2013 amendment by No. 1157 rewrote (a).

The 2013 amendment by No. 1363 added (c).

The 2017 amendment, in (b)(1), substituted “A conveyance” for “No conveyance” and substituted “is not subject to” for “is subject to”; substituted “A conveyance is not” for “No conveyance is” in (b)(2); and rewrote (c).

Research References

U. Ark. Little Rock L.J.

Legislative Survey, Criminal Law, 8 U. Ark. Little Rock L.J. 559.

5-5-202. Seizure of conveyances.

  1. A conveyance subject to forfeiture under this subchapter may be seized by any law enforcement agent upon process issued by any circuit court having jurisdiction over the conveyance upon a petition filed by the prosecuting attorney of the judicial district.
  2. Seizure without process may be made if:
    1. The seizure is incident to an arrest or a search under a search warrant; or
    2. Any law enforcement officer has probable cause to believe that the conveyance was used in the commission or attempt of:
      1. A burglary;
      2. A robbery;
      3. A theft;
      4. An arson; or
      5. Trafficking of persons, § 5-18-103.

History. Acts 1985, No. 238, § 2; A.S.A. 1947, § 41-1404; Acts 2013, No. 1157, § 3; 2015, No. 1155, § 4.

Amendments. The 2013 amendment, in (b)(2), added the (A) through (D) designations; added (E); and inserted “or attempt” in the introductory language of (b)(2).

The 2015 amendment substituted “officer” for “agent” in (b)(2).

5-5-203. Control of seized conveyances.

  1. When a conveyance is seized under this subchapter, the conveyance shall remain in the custody of the seizing law enforcement agency.
    1. The conveyance is not subject to replevin.
    2. However, the conveyance is subject only to an order or decree of the circuit court having jurisdiction over the conveyance.

History. Acts 1985, No. 238, § 3; A.S.A. 1947, § 41-1405.

5-5-204. Use or sale of conveyances — Disposition of sale proceeds.

      1. Upon conviction and a hearing, when the circuit court having jurisdiction over the conveyance seized finds by a preponderance of the evidence that a ground for a forfeiture exists under this subchapter, the circuit court may enter an order to sell the conveyance.
      2. After allowance for reasonable expenses of seizure and maintenance of custody of the conveyance, the proceeds from a sale under subdivision (a)(1)(A) of this section shall be used to satisfy any outstanding restitution under § 5-4-205 owed to a victim of an offense for which the conveyance was used, if the victim files a petition with the circuit court or makes a request to the circuit court within thirty (30) days of the filing of the judgment and commitment order of the convicted defendant.
    1. If there is not a victim of an offense owed restitution under § 5-4-205, the circuit court shall enter an order to:
      1. Permit the law enforcement agency or the prosecuting attorney for the judicial district in which the conveyance was seized to retain the conveyance for official use; or
        1. Permit the law enforcement agency to sell the conveyance at a public or private sale.
        2. In the event of a sale, the circuit court shall provide by order that the proceeds be used for payment of any proper expense of the proceeding for forfeiture and sale, including expenses of:
          1. Investigation;
          2. Seizure;
          3. Maintenance of custody;
          4. Advertising; and
          5. Court costs.
  1. Any proceeds from the sale of a forfeited conveyance under subdivision (a)(2)(B) of this section, or if there was a victim of an offense owed restitution under § 5-4-205, the proceeds remaining after the satisfaction of the victim's restitution under § 5-4-205 in excess of a proper expense shall be distributed as follows:
    1. Forty percent (40%) to be deposited into the State Treasury as special revenues to the credit of the Department of Arkansas State Police Fund;
      1. Forty percent (40%) to the law enforcement agency that perfected the arrest.
      2. However, if a federal agency perfected the arrest, the forty percent (40%) under subdivision (b)(2)(A) of this section shall be distributed to the county sheriff's office of the county responsible for the prosecution; and
    2. Twenty percent (20%) to the county sheriff's office of the county responsible for the prosecution.

History. Acts 1985, No. 238, § 4; A.S.A. 1947, § 41-1406; Acts 2011, No. 866, § 1; 2013, No. 1125, § 4.

A.C.R.C. Notes. Acts 2011, No. 866, § 1, as enacted, amended subdivision (a)(1) of this section to read “Upon conviction, … the circuit court shall shall may enter an order …”. The intent was to delete “shall” and insert “may”.

Amendments. The 2011 amendment rewrote present (a)(1); inserted the introductory language of present (a)(2) and redesignated the subdivisions accordingly; and rewrote the introductory language of (b).

The 2013 amendment redesignated and subdivided former (a)(1) as present (a)(1)(A) and (a)(1)(B); in present (a)(1)(A), inserted “and a hearing” and deleted “upon a hearing” following “seized finds” and “with the proceeds, after” following “sell the conveyance”; and in (b)(1)(B), inserted “After” and substituted “of the conveyance, the proceeds from a sale under subdivision (a)(1)(A) of this section shall be used” for “going.”

1988 SUPPLEMENTARY COMMENTARY

Act 238 of 1985 added §§ 5-5-201 to 204. These sections refine the § 5-5-101 definition of contraband and deal more explicitly with seizure and sale of conveyances as well as disposition of the sale proceeds.

The enumeration of subject offenses throughout does not include any degree of homicide, battery, or assault. Also absent are references to kidnapping or sexual offenses. If §§ 5-5-201 to 204 are construed to supersede § 5-5-101 where conveyances are involved, an automobile used in a capital murder or a kidnapping is no longer subject to seizure under this chapter.

Subchapter 3 — Forfeiture of Property Due to Theft of Livestock

5-5-301. Definitions.

As used in this subchapter:

    1. “Contraband property” means property of any nature, including personal property, tangible property, or intangible property.
    2. “Contraband property” does not include real property;
  1. “Livestock” means:
    1. Cattle or swine or a sheep, goat, horse, or mule; and
    2. Any carcass, skin, or part of cattle or swine or a sheep, goat, horse, or mule; and
  2. “Theft of livestock” means a theft of property:
    1. That is classified as a felony violation pursuant to § 5-36-103; and
    2. In which the property taken was livestock.

History. Acts 1993, No. 1031, § 1.

5-5-302. Property subject to forfeiture.

  1. The following property is subject to forfeiture pursuant to this subchapter:
    1. Contraband property used or intended to be used in the commission of theft of livestock;
    2. The proceeds gained from the commission of theft of livestock;
    3. Personal property acquired with proceeds gained from the commission of theft of livestock;
      1. Any conveyance, including an aircraft, vessel, vehicle, or horse that is used or intended for use to transport or in any manner to facilitate the transportation for the purpose of the commission of theft of livestock.
      2. No conveyance used by any person as a common carrier in the transportation of business as a common carrier is subject to forfeiture under this section unless it appears that the owner or other person in charge of the conveyance is a consenting party or privy to a violation of this subchapter.
      3. No conveyance is subject to forfeiture under this section by reason of any act or omission established by the owner of the conveyance to have been committed or omitted without the owner's knowledge or consent.
      4. A forfeiture of a conveyance encumbered by a bona fide security interest is subject to the bona fide security interest of the secured party;
    4. Any book, record, or research product or material including microfilm, tape, or data that is used or intended for use in the theft of livestock; and
        1. Anything of value furnished or intended to be furnished or traded or used as payment or invested for anything of value in return for the commission of the theft of livestock.
        2. However, subdivision (a)(6)(A)(i) of this section does not include real property.
      1. It may be presumed that property described in subdivision (a)(6)(A)(i) of this section was acquired with proceeds gained from the commission of theft of livestock and is subject to forfeiture.
  2. Property that is used in the commission of theft of livestock that has title of ownership with two (2) parties on the title or a cosigner is subject to forfeiture if one (1) party on the title uses the property in the commission of theft of livestock or receives titled property as the proceeds of the commission of theft of livestock, even if the second party claims that he or she did not have knowledge or involvement in the commission of theft of livestock.
    1. Any money, coin, or currency found in possession of a person arrested for the theft of livestock or found in, on, or in close proximity to any forfeited property used or intended for the use in the theft of livestock is presumed to be forfeitable under this section.
    2. The burden of proof is upon a claimant of property described in subdivision (c)(1) of this section to rebut the presumption under subdivision (c)(1) of this section.

History. Acts 1993, No. 1031, § 2.

5-5-303. Petition for forfeiture — Order.

    1. The prosecuting attorney of the judicial district within whose jurisdiction there is property that is sought to be forfeited pursuant to § 5-5-302 shall promptly proceed against the property by filing in the circuit court having jurisdiction of the property a petition for an order to show cause why the circuit court should not order forfeiture of the property.
    2. The petition shall be verified and shall set forth:
      1. A statement that the action is brought pursuant to § 5-5-302;
      2. The law enforcement agency bringing the action;
      3. A description of the property sought to be forfeited;
      4. A statement that on or about a date certain the property was used or intended to be used in a criminal act constituting theft of livestock or that a criminal act constituting theft of livestock took place in, upon, or by means of the property;
      5. A statement detailing the facts in support of subsection (a) of this section; and
      6. A list of all persons known to the law enforcement agency, after diligent search and inquiry, who may claim an ownership interest in the property by title or registration or by virtue of a lien allegedly perfected in the manner prescribed by law.
    1. Upon receipt of a petition complying with the requirements of subsection (a) of this section, the circuit judge of the court having jurisdiction shall issue an order to show cause setting forth a statement that this subchapter is the controlling law.
    2. In addition, the order shall set a date at least forty-one (41) days from the date of first publication of the order pursuant to subsection (c) of this section for any person claiming an interest in the property to file such pleadings as the person desires as to why the circuit court should not order the forfeiture of the property to use, sale, or other disposition by the law enforcement agency seeking forfeiture of the property.
    3. The circuit court shall further order that any person who does not appear on that date is deemed to have defaulted and waived any claim to the property.
    1. The prosecuting attorney shall give notice of the forfeiture proceedings by:
      1. Causing to be published a copy of the order to show cause two (2) times each week for two (2) consecutive weeks in a newspaper having general circulation in the county where the property is located; and
      2. Sending a copy of the petition and order to show cause by certified mail, return receipt requested, to any person having ownership of or a security interest in the property or in the manner provided in Rule 4 of the Arkansas Rules of Civil Procedure, if:
        1. The property is of a type for which title or registration is required by law;
        2. The owner of the property is known in fact to the law enforcement agency at the time of seizure; or
        3. The property is subject to a security interest perfected in accordance with the Uniform Commercial Code, § 4-1-101 et seq.
    2. The law enforcement agency is obligated only to make diligent search and inquiry as to the owner of the property and if, after diligent search and inquiry, the law enforcement agency is unable to ascertain the owner, the requirement of actual notice by mail with respect to a person having a perfected security interest in the property is not applicable.
  1. At the hearing on the matter, the petitioner has the burden to establish that the property is subject to forfeiture as provided in § 5-5-302.
  2. The final order of forfeiture by the circuit court perfects in the law enforcement agency right, title, and interest in and to the property and relates back to the date of the seizure.
  3. Physical seizure of property is not necessary in order to allege in a petition under this section that property is forfeitable.
  4. Upon filing the petition, the prosecuting attorney for the judicial district may also seek such protective order as is necessary to prevent the transfer, encumbrance, or other disposal of any property named in the petition.

History. Acts 1993, No. 1031, § 3.

5-5-304. Disposition of forfeited property.

  1. Subject to the provisions of subsection (c) of this section, if property forfeited pursuant to § 5-5-302 is harmful to the public health or is required by law to be destroyed, the law enforcement agency to which the property is forfeited shall:
    1. Require the sheriff of the county to take custody of the property and remove it to any appropriate location for disposition in accordance with law; or
    2. Forward the property to the Department of Arkansas State Police for disposition.
  2. Subject to the provisions of subsection (c) of this section, if property forfeited pursuant to § 5-5-302 is not harmful to the public health and is not required by law to be destroyed, the law enforcement agency to which the property is forfeited shall:
    1. Sell the property in accordance with subsection (d) of this section; or
    2. Retain the property for official use if the property is not subject to a lien that has been preserved by the circuit court.
  3. If the property is a controlled substance, the law enforcement agency to which the property is forfeited shall transfer it to the Drug Enforcement Administration of the United States Department of Justice or the Department of Health for disposition or destruction.
    1. If a law enforcement agency desires to sell property forfeited to it pursuant to § 5-5-302, the law enforcement agency shall first cause notice of the sale to be made by publication at least two (2) times a week for two (2) consecutive weeks in a newspaper having general circulation in the county and sending a copy of the notice of the sale by certified mail, return receipt requested, to any person having ownership of or a security interest in the property or in the manner provided in Rule 4 of the Arkansas Rules of Civil Procedure, if:
      1. The property is of a type for which title or registration is required by law;
      2. The owner of the property is known in fact to the law enforcement agency at the time of seizure; or
      3. The property is subject to a security interest perfected in accordance with the Uniform Commercial Code, § 4-1-101 et seq.
    2. The notice of the sale shall include the time, place, and conditions of the sale and a description of the property to be sold.
    3. The property shall then be disposed of at public auction to the highest bidder for cash without appraisal.

History. Acts 1993, No. 1031, § 4.

5-5-305. Disposition of proceeds.

  1. The proceeds of any sale pursuant to § 5-5-304 and any moneys forfeited pursuant to § 5-5-302 shall be applied to payment of the:
    1. Balance due on any lien preserved by the circuit court in the forfeiture proceeding;
    2. Cost incurred by the seizing law enforcement agency in connection with the storage, maintenance, security, and forfeiture of the property;
    3. Cost incurred by the prosecuting attorney or attorney for the law enforcement agency approved by the prosecuting attorney to which the property is forfeited; and
    4. Cost incurred by the circuit court.
  2. The remaining proceeds or moneys shall be disposed of as follows:
    1. If the law enforcement agency is a state agency, the entire amount shall be deposited into the State Treasury into the fund for that state agency for the law enforcement purposes for that state agency; and
      1. If the law enforcement agency is a:
        1. County sheriff's office, the entire amount shall be deposited into the county treasury and credited to a special law enforcement forfeiture fund in the county treasury; or
        2. City or town police agency, the entire amount shall be deposited into the city or town treasury and credited to a special law enforcement forfeiture fund in the city or town treasury.
      2. Moneys in the special law enforcement forfeiture fund in the county, city, or town treasury shall be expended only upon appropriation to the county sheriff's office or to the city or town police agency by the county quorum court or governing body of the city or town:
        1. To defray the cost of a protracted investigation;
        2. To provide additional technical equipment or expertise;
        3. To provide matching funds to obtain a federal grant; or
        4. For such other law enforcement purposes as the county quorum court or governing body of the city or town deems appropriate.
      3. Moneys in the special law enforcement forfeiture fund in the county, city, or town treasury shall not be considered a source of revenue to meet a normal operating expense.

History. Acts 1993, No. 1031, § 5.

5-5-306. When more than one agency involved.

  1. If more than one (1) law enforcement agency is substantially involved in effecting a forfeiture pursuant to § 5-5-302, the circuit court having jurisdiction over the forfeiture proceeding shall equitably distribute the property among the law enforcement agencies.
  2. Any forfeited money or any proceeds remaining after the sale of the property shall be equitably distributed:
    1. To the county, city, or town for deposit into the respective county, city, or town treasury and credited to the special law enforcement forfeiture fund provided in § 5-5-305; and
    2. In the manner as provided in § 5-5-305.

History. Acts 1993, No. 1031, § 6.

Subchapter 4 — Forfeiture of Weapons and Ammunition

Cross References. State Crime Laboratory, § 12-12-301 et seq.

Effective Dates. Acts 1995, No. 202, § 5: Feb. 9, 1995. Emergency clause provided: “It is hereby found and determined by the General Assembly that there exists a shortage of test weapons and ammunition to be used by the State Crime Lab for use in solving crime; that the shortage extends to type and caliber of weapons and ammunition not currently available to the State Crime Lab; that the State Crime Lab is in need of weapons for testing purposes; that crimes involving weapons are increasing in occurrence and violence; that the diversity of weapons used in the commission of crimes is significantly greater than the current inventory of test weapons and ammunition. Therefore, in order to enable the Crime Lab to fully assist law enforcement in solving crime, proving evidence, and training of firearms and weapons experts, an emergency is hereby declared to exist and this act being necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Research References

C.J.S. 28A C.J.S., Drugs & N, § 134 et seq.

37 C.J.S., Forf., §§ 3, 4.

94 C.J.S. Weapons, § 51.

5-5-401. Definitions.

As used in this subchapter, “weapon” means any firearm, bomb, explosive, metal knuckles, sword, spear, or other device employed as an instrument of crime by subjecting another to physical harm or fear of physical harm.

History. Acts 1995, No. 202, § 1; 2007, No. 827, § 17.

5-5-402. Transfer to State Crime Laboratory.

    1. Notwithstanding any other provision of this chapter, a weapon or ammunition seized by any agency of the State of Arkansas or any local law enforcement agency in the state, and that is forfeited pursuant to law, may be transferred to the State Crime Laboratory.
    2. However, no transfer of a weapon or ammunition shall be made pursuant to this section until there is a final determination concerning the disposition of the weapon or ammunition by the court having jurisdiction over the weapon or ammunition.
  1. In addition to a forfeited weapon or ammunition, any other weapon or ammunition held by an agency of the state or a local law enforcement agency for which the agency has no use may be transferred to the laboratory under the procedures prescribed in this subchapter.
  2. Nothing contained in this subchapter shall be construed to preclude a voluntary transfer to the State Crime Laboratory by an individual, entity, or agency of the United States Government.

History. Acts 1995, No. 202, § 1; 2007, No. 827, § 18.

Cross References. Testing by State Crime Laboratory, § 12-12-324.

5-5-403. Authority of State Crime Laboratory to receive.

The State Crime Laboratory may:

  1. Receive a weapon or ammunition pursuant to this subchapter; and
  2. Use a weapon or ammunition received pursuant to this subchapter for:
    1. Testing;
    2. Training;
    3. Data compilation; or
    4. Such other appropriate purposes as are determined by the Executive Director of the State Crime Laboratory.

History. Acts 1995, No. 202, § 1.

Cross References. Testing by State Crime Laboratory, § 12-12-324.

5-5-404. Receipts.

    1. When any weapon or ammunition is transferred and delivered to the State Crime Laboratory, the laboratory shall provide a receipt to be signed by the transferor or donor and the laboratory officer or employee accepting the weapon or ammunition.
    2. The receipt shall contain the following information:
      1. A list of any weapon by type, make, and caliber;
      2. The serial number of a weapon, when available;
      3. The case number of the case in which the weapon was involved, when available; and
      4. The type, caliber, and make of the ammunition, when available.
  1. A copy of the receipt shall be retained by the laboratory and a copy of the receipt shall be delivered to the agency, individual, or other entity transferring or donating a weapon or ammunition.

History. Acts 1995, No. 202, § 1.

5-5-405. Destruction.

When the Executive Director of the State Crime Laboratory determines that any weapon or ammunition transferred or donated pursuant to a provision of this subchapter is no longer useful to the State Crime Laboratory, the weapon, piece of weapon, or ammunition shall be destroyed.

History. Acts 1995, No. 202, § 1.

Subchapter 5 — Impoundment of Motor Vehicle Due to Prostitution Offense

5-5-501. Motor vehicle impoundment.

  1. An arresting law enforcement officer may impound the motor vehicle of a person arrested if:
    1. The motor vehicle was used in the commission of an offense under § 5-70-101 et seq. by the person arrested;
    2. The person arrested is the owner of the motor vehicle or the motor vehicle is being rented and the person arrested is the lessee; and
    3. Either:
      1. The person arrested has previously been convicted of an offense under § 5-70-101 et seq.; or
      2. An ordinance under subsection (b) of this section is in effect and the offense was committed within an area designated under subsection (b) of this section.
    1. A local government may designate by ordinance an area within which a motor vehicle is subject to impoundment if a person using a motor vehicle is arrested for an offense under § 5-70-101 et seq.
    2. The designation must be based on evidence indicating that the area has a disproportionately higher number of arrests for an offense under § 5-70-101 et seq. as compared to other areas within the same jurisdiction.
    3. The local government shall post signs at the boundaries of the area to indicate that the area has been designated under this subsection.
    1. An impoundment of a motor vehicle under this section shall be in accordance with state law, and the impoundment shall be indicated as a “prostitution hold”.
      1. Before redeeming the impounded motor vehicle, and in addition to all applicable impoundment, towing, and storage fees paid to the towing company as provided by law, an owner of an impounded motor vehicle shall pay an impoundment fee of five hundred dollars ($500) to the impounding law enforcement agency.
        1. Upon receipt of the impoundment fee paid under subdivision (c)(2)(A) of this section, the impounding law enforcement agency shall issue a written receipt to the owner of the impounded motor vehicle, which the owner shall provide to the towing company.
        2. The written receipt issued under subdivision (c)(2)(B)(i) of this section authorizes the towing company to release the impounded motor vehicle upon payment of all impoundment, towing, and storage fees.
        3. A towing company that relies on a forged receipt to release a motor vehicle impounded under this section is not liable to the impounding law enforcement agency for any unpaid impoundment fee under this subsection.
  2. An impoundment fee assessed under this section shall be collected by the impounding law enforcement agency and remitted to the Human Trafficking Victim Support Fund on the first business day of each month.
    1. In a legal proceeding to contest the validity of an impoundment under this section in which the person substantially prevails, in which the person is found not guilty at trial for the offense or offenses for which the motor vehicle was impounded, or in which the charges for which the motor vehicle was impounded are dismissed, the person is entitled to a full refund of the impoundment, towing, and storage fees paid and the impounding fee paid under subsection (c) of this section.
    2. A refund made under this subsection shall be paid by the impounding law enforcement agency.
    3. Before receiving a refund under this subsection, the person must provide proof of payment of the fee for which he or she is claiming a refund.

History. Acts 2017, No. 765, § 1.

Chapters 6-9 [Reserved.]

[Reserved]

Subtitle 2. Offenses Against the Person

Chapter 10 Homicide

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Cross References. Fines, § 5-4-201.

Term of imprisonment, § 5-4-401.

Effective Dates. Acts 1987 (1st Ex. Sess.), No. 52, § 2: June 29, 1987. Emergency clause provided: “It is hereby found and determined by the General Assembly that in the case of Ronnie Midgett, Sr. vs. State of Arkansas, CR 86-215, the Supreme Court of the State of Arkansas failed to find evidence of premeditation and deliberation in order to affirm a jury finding of first degree murder where a child's death was caused from a beating at the hands of his drunken father, and therefore reduced the father's conviction to second degree murder causing considerable confusion with reference to the application of Arkansas' first degree murder statute to child abuse cases resulting in death, the immediate passage of this Act is necessary in order to clearly establish Arkansas' first degree murder statute to be applicable in such cases. Therefore, an emergency is hereby declared to exist, and this Act being necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 2003, No. 1342, § 6: Apr. 14, 2003. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the State of Arkansas' criminal statutes do not adequately address terrorism, as terrorism is known since September 11, 2001. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; or (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2017, No. 539, § 14: Mar. 20, 2017. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that in light of recent United States Supreme Court decisions in Miller v. Alabama and Montgomery v. Louisiana, more than one hundred persons in Arkansas are entitled to relief under those decisions; and that this act is immediately necessary in order to make those persons eligible for parole in order to be in compliance with Montgomery v. Louisiana. Therefore, an emergency is declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

Research References

ALR.

Criminal liability for injury or death caused by operation of pleasure boat. 8 A.L.R.4th 886.

Single act affecting multiple victims as constituting multiple assaults or homicides. 8 A.L.R.4th 960.

Criminal responsibility. 9 A.L.R.4th 526.

Felony-murder doctrine: judicial abrogation of. 13 A.L.R.4th 1226.

Accused's right, in homicide case, to have jury instructed as to both unintentional shooting and self-defense. 15 A.L.R.4th 983.

Malice “aforethought,” “deliberation,” or “premeditation” as elements of murder in the first degree. 18 A.L.R.4th 961.

Admissibility of expert or opinion testimony on battered wife or battered woman syndrome. 18 A.L.R.4th 1153.

Skeletal remains: admissibility of expert or opinion testimony concerning identification. 18 A.L.R.4th 1294.

Propriety of manslaughter conviction in prosecution for murder, absent proof of necessary elements of manslaughter. 19 A.L.R.4th 861.

Statute defining homicide by conduct manifesting “depraved indifference”. 25 A.L.R.4th 311.

Homicide as precluding taking under will or by intestacy. 25 A.L.R.4th 787.

Sufficiency of evidence of mother's neglect of infant born alive, in minutes or hours immediately following unattended birth, to establish culpable homicide. 40 A.L.R.4th 724.

Homicide by causing brain-dead condition of victim. 42 A.L.R.4th 742.

Corporation's criminal liability for homicide. 45 A.L.R.4th 1021.

Withdrawal of life supports from comatose patient. 47 A.L.R.4th 18.

Application of Defense of Necessity to Murder, 23 A.L.R.7th Art. 1 (2018).

Comment Note: Criminal Liability for Death Resulting from Unlawfully Furnishing Intoxicating Liquor or Drugs to Another, 29 A.L.R.7th Art. 8 (2018).

Am. Jur. 40 Am. Jur. 2d, Homicide, § 1 et seq.

Ark. L. Rev.

The Constitutionality of Affirmative Defenses to Criminal Charges, 29 Ark. L. Rev. 430.

1976 Criminal Code — General Principles, 30 Ark. L. Rev. 111.

Manslaughter: The Resting Place of Several Former Statutes, 30 Ark. L. Rev. 213.

The Impact of the 1976 Criminal Code on the Law of Accessorial Liability in Arkansas, 31 Ark. L. Rev. 100.

Note, Grigsby v. Mabry: Convictions Rendered by Death-Qualified Juries Are Unconstitutional, 39 Ark. L. Rev. 335.

C.J.S. 40 C.J.S., Homicide, § 1 et seq.

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

Survey of Arkansas Law: Criminal Procedure, 6 U. Ark. Little Rock L.J. 119.

Survey — Criminal Law, 11 U. Ark. Little Rock L.J. 175.

Survey, Criminal Law, 12 U. Ark. Little Rock L.J. 617.

Survey, Criminal Law, 13 U. Ark. Little Rock L.J. 341.

Case Notes

Constitutionality.

This chapter and § 5-4-602 are not unconstitutionally ambiguous, overbroad or vague, either facially or as applied. Ruiz v. Norris, 868 F. Supp. 1471 (E.D. Ark. 1994), aff'd, 71 F.3d 1404 (8th Cir. 1995).

5-10-101. Capital murder.

  1. A person commits capital murder if:
    1. Acting alone or with one (1) or more other persons:
      1. The person commits or attempts to commit:
        1. Terrorism, as defined in § 5-54-205;
        2. Rape, § 5-14-103;
        3. Kidnapping, § 5-11-102;
        4. Vehicular piracy, § 5-11-105;
        5. Robbery, § 5-12-102;
        6. Aggravated robbery, § 5-12-103;
        7. Residential burglary, § 5-39-201(a);
        8. Commercial burglary, § 5-39-201(b);
        9. Aggravated residential burglary, § 5-39-204;
        10. A felony violation of the Uniform Controlled Substances Act, §§ 5-64-101 — 5-64-508, involving an actual delivery of a controlled substance; or
        11. First degree escape, § 5-54-110; and
      2. In the course of and in furtherance of the felony or in immediate flight from the felony, the person or an accomplice causes the death of a person under circumstances manifesting extreme indifference to the value of human life;
    2. Acting alone or with one (1) or more other persons:
      1. The person commits or attempts to commit arson, § 5-38-301; and
      2. In the course of and in furtherance of the felony or in immediate flight from the felony, the person or an accomplice causes the death of any person;
    3. With the premeditated and deliberated purpose of causing the death of any law enforcement officer, jailer, prison official, firefighter, judge or other court official, probation officer, parole officer, any military personnel, or teacher or school employee, when such person is acting in the line of duty, the person causes the death of any person;
    4. With the premeditated and deliberated purpose of causing the death of another person, the person causes the death of any person;
    5. With the premeditated and deliberated purpose of causing the death of the holder of any public office filled by election or appointment or a candidate for public office, the person causes the death of any person;
    6. While incarcerated in the Division of Correction or the Division of Community Correction, the person purposely causes the death of another person after premeditation and deliberation;
    7. Pursuant to an agreement that the person cause the death of another person in return for anything of value, he or she causes the death of any person;
    8. The person enters into an agreement in which a person is to cause the death of another person in return for anything of value, and a person hired pursuant to the agreement causes the death of any person;
      1. Under circumstances manifesting extreme indifference to the value of human life, the person knowingly causes the death of a person fourteen (14) years of age or younger at the time the murder was committed if the defendant was eighteen (18) years of age or older at the time the murder was committed.
      2. It is an affirmative defense to any prosecution under this subdivision (a)(9) arising from the failure of the parent, guardian, or person standing in loco parentis to provide specified medical or surgical treatment, that the parent, guardian, or person standing in loco parentis relied solely on spiritual treatment through prayer in accordance with the tenets and practices of an established church or religious denomination of which he or she is a member; or
    9. The person:
      1. Purposely discharges a firearm from a vehicle at a person or at a vehicle, conveyance, or a residential or commercial occupiable structure that he or she knows or has good reason to believe to be occupied by a person; and
      2. Thereby causes the death of another person under circumstances manifesting extreme indifference to the value of human life.
  2. It is an affirmative defense to any prosecution under subdivision (a)(1) of this section for an offense in which the defendant was not the only participant that the defendant did not commit the homicidal act or in any way solicit, command, induce, procure, counsel, or aid in the homicidal act's commission.
    1. Capital murder is punishable as follows:
      1. If the defendant was eighteen (18) years of age or older at the time he or she committed the capital murder:
        1. Death; or
        2. Life imprisonment without parole under §§ 5-4-601 — 5-4-605, 5-4-607, and 5-4-608; or
      2. If the defendant was younger than eighteen (18) years of age at the time he or she committed the capital murder, life imprisonment with the possibility of parole after serving a minimum of thirty (30) years' imprisonment.
    2. For any purpose other than disposition under §§ 5-4-101 — 5-4-104, 5-4-201 — 5-4-204, 5-4-301 — 5-4-307, 5-4-401 — 5-4-404, 5-4-501 — 5-4-504, 5-4-601 — 5-4-605, 5-4-607, 5-4-608, 16-93-307, 16-93-313, and 16-93-314, capital murder is a Class Y felony.

History. Acts 1975, No. 280, § 1501; 1983, No. 341, § 1; 1985, No. 840, § 1; A.S.A. 1947, § 41-1501; Acts 1987, No. 242, § 2; 1989, No. 97, § 1; 1989, No. 856, § 1; 1991, No. 683, § 1; 1993, No. 1189, § 2; 1995, No. 258, § 1; 1995, No. 800, § 1; 2003, No. 1342, § 5; 2007, No. 827, §§ 19, 20; 2009, No. 748, § 6; 2009, No. 1395, § 3; 2011, No. 570, § 22; 2013, No. 1490, § 3; 2017, No. 539, § 6; 2019, No. 910, § 666.

A.C.R.C. Notes. Acts 1993, No. 1189, § 1, provided:

“(a) The General Assembly of the State of Arkansas finds that the State of Arkansas is experiencing an increase in violent crime committed by school age juveniles and the growth of street gangs made up largely of school age juveniles. The General Assembly of the State of Arkansas further finds that the number of school related crimes is increasing.

“(b) It is the intent of the General Assembly of the State of Arkansas to insure the safest possible learning environment for our students, teachers and other school employees.”

Regarding the reference to the “Uniform Controlled Substances Act, §§ 5-64-1015-65-508” in subdivision (a)(1)(A)(x) of this section, the following sections within that reference have been repealed: §§ 5-64-409, 5-64-416, and 5-64-509.

Acts 2009, No. 1395, § 3, and Acts 2009, No. 748, § 6, both added “Aggravated residential burglary, § 5-39-204” to the list of underlying felonies for felony capital murder in subdivision (a)(1)(A) of this section.

Acts 2011, No. 570, § 1, provided:

“Legislative intent. The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Acts 2013, No. 1490, § 1, provided: “Legislative intent.

“(a) It is the intent of the General Assembly to revise the punishments authorized for persons who are not yet eighteen (18) years of age when they commit capital murder after the effective date of this act.

“(b) It is not the intent of the General Assembly to authorize the revised punishments for those persons who committed capital murder when they were not yet eighteen (18) years of age prior to the effective date of this act.”

Acts 2017, No. 539, § 1, provided: “Title. This act shall be known and may be cited as the ‘Fair Sentencing of Minors Act of 2017’.”

Acts 2017, No. 539, § 2, provided: “Legislative intent.

“(a)(1) The General Assembly acknowledges and recognizes that minors are constitutionally different from adults and that these differences must be taken into account when minors are sentenced for adult crimes.

“(2) As the United States Supreme Court quoted in Miller v. Alabama, 132 S. Ct. 2455 (2012), ‘only a relatively small proportion of adolescents’ who engage in illegal activity ‘develop entrenched patterns of problem behavior,’ and ‘developments in psychology and brain science continue to show fundamental differences between juvenile and adult minds,’ including ‘parts of the brain involved in behavior control’.

“(3) Minors are more vulnerable to negative influences and outside pressures, including from their family and peers, and they have limited control over their own environment and lack the ability to extricate themselves from horrific, crime-producing settings.

“(4) The United States Supreme Court has emphasized through its cases in Miller, Roper v. Simmons, 543 U.S. 551 (2005), and Graham v. Florida, 560 U.S. 48 (2010), that ‘the distinctive attributes of youth diminish the penological justifications for imposing the harshest sentences on juvenile offenders, even when they commit terrible crimes’.

“(5) Youthfulness both lessens a juvenile's moral culpability and enhances the prospect that, as a youth matures into an adult and neurological development occurs, these individuals can become contributing members of society.

“(b) In the wake of these United States Supreme Court decisions and the emerging juvenile brain and behavioral development science, several states, including Texas, Utah, South Dakota, Wyoming, Nevada, Iowa, Kansas, Kentucky, Montana, Alaska, West Virginia, Colorado, Hawaii, Delaware, Connecticut, Vermont, Massachussets, and the District of Columbia, have eliminated the sentence of life without parole for minors.

“(c) It is the intent of the General Assembly to eliminate life without parole as a sentencing option for minors and to create more age-appropriate sentencing standards in compliance with the United States Constitution for minors who commit serious crimes.”

Amendments. The 2009 amendment by No. 748 inserted present (a)(1)(A)(ix).

The 2009 amendment by No. 1395 inserted present (a)(1)(A)(ix) and redesignated the remaining subdivisions accordingly; and made a minor stylistic change in (a)(1)(B).

The 2011 amendment, in (c)(2), substituted “5-4-307” for “5-4-308, 5-4-310, 5-4-311” and inserted “16-93-307, 16-93-313, and 16-93-314.”

The 2013 amendment rewrote (c).

The 2017 amendment deleted former (c)(1)(B)(i) and the former (c)(1)(B)(ii) designation; and substituted “thirty (30)” for “twenty-eight (28)” in (c)(1)(B).

The 2019 amendment substituted “Division of Correction” for “Department of Correction” and “Division of Community Correction” for “Department of Community Correction” in (a)(6).

Cross References. Conduct constituting more than one offense, § 5-1-110.

Research References

ALR.

Propriety of lesser included offense charge of voluntary manslaughter to jury in state murder prosecution — Twenty-first century cases. 3 A.L.R.6th 543.

Sufficiency of Evidence to Support Homicide Conviction Where No Body Was Produced. 65 A.L.R.6th 359.

Ark. L. Rev.

Article, Ethical and Effective Representation in Arkansas Capital Trials, 60 Ark. L. Rev. 1.

U. Ark. Little Rock L.J.

Survey, Criminal Law, 12 U. Ark. Little Rock L.J. 617.

Survey — Criminal Law, 14 U. Ark. Little Rock L.J. 753.

Annual Survey of Caselaw, Criminal Law, 25 U. Ark. Little Rock L. Rev. 925.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Arkansas Anti-Terrorism Act of 2003, 26 U. Ark. Little Rock L. Rev. 374.

Case Notes

Constitutionality.

At the conclusion of the guilt phase of the death-row inmate's trial, the state trial court instructed the jury on the elements of capital murder, subdivision (a)(1) of this section, and first-degree murder, § 5-10-102(a)(1), which were substantively identical because the underlying felony for both offenses was kidnapping; this overlap did not violate due process by risking arbitrary decisionmaking in a capital case. Williams v. Norris, 576 F.3d 850 (8th Cir. 2009).

Circuit court erred by denying appellant juvenile's petition for writ of habeas corpus; because he was only fourteen years old when he committed capital-murder and aggravated-robbery, his mandatory sentence of life imprisonment without parole violated the Eighth Amendment, U.S. Const. amend. VIII. In considering the capital-murder statute as it pertained to juveniles, the Supreme Court of Arkansas severed portions of subsection (c) of this section which provided that capital murder was punishable by death or life imprisonment without parole. Jackson v. Norris, 2013 Ark. 175, 426 S.W.3d 906 (2013).

Juvenile's capital-murder sentence of life without parole under subsection (c) of this section was unconstitutional; the case was remanded for resentencing under the discretionary range for a Class Y felony, § 5-4-401(a)(1), after a sentencing hearing at which the juvenile could present mitigating evidence to a jury. Whiteside v. State, 2013 Ark. 176, 426 S.W.3d 917 (2013), cert. denied, Whiteside v. Arkansas, — U.S. —, 134 S. Ct. 311, 187 L. Ed. 2d 220 (2013).

—In general.

The capital felony murder statute is not unconstitutional. Swindler v. State, 264 Ark. 107, 569 S.W.2d 120 (1978); Sanders v. State, 317 Ark. 328, 878 S.W.2d 391 (1994), cert. denied, Sanders v. Arkansas, 513 U.S. 1162, 115 S. Ct. 1126 (1995); Carmichael v. State, 340 Ark. 598, 12 S.W.3d 225 (2000).

The fact that the jury must find the existence of robbery in order to convict of capital felony murder committed in the course of a robbery and then may also consider the motive of robbery as an aggravating circumstance under § 5-4-604(6) concerning “pecuniary gain” does not render the jury's discretion unfettered or unconstitutionally arbitrary; rather, the jury's attention is directed to the specific circumstances of the crime. Woodard v. Sargent, 567 F. Supp. 1548 (E.D. Ark. 1983), rev'd, 753 F.2d 694 (8th Cir. Ark. 1985).

The capital felony murder statute, and the first-degree murder statute, are not void for vagueness because they overlap. Abernathy v. State, 278 Ark. 250, 644 S.W.2d 590 (1983); Owens v. State, 283 Ark. 327, 675 S.W.2d 834 (1984).

Argument of defendant that the Arkansas death penalty was unconstitutional was rejected. Hayes v. State, 278 Ark. 211, 645 S.W.2d 662 (1983), cert. denied, Hayes v. Arkansas, 464 U.S. 865, 104 S. Ct. 198, 78 L. Ed. 2d 173 (1984); Hayes v. Arkansas, 465 U.S. 1051, 104 S. Ct. 1331, 79 L. Ed. 2d 726 (1984).

Capital murder and first-degree murder statutes are constitutional. Simpson v. State, 278 Ark. 334, 645 S.W.2d 688 (1983).

The claim that the Arkansas statutory scheme regarding capital murder is unconstitutional in that it does not require the jury to separately weigh each defendant's role in a crime involving capital murder, so as to determine individual culpability, was rejected upon the evidence presented. Clines v. State, 280 Ark. 77, 656 S.W.2d 684 (1983), cert. denied, Clines v. Arkansas, 465 U.S. 1051, 104 S. Ct. 1328, 79 L. Ed. 2d 723 (1984); Clines v. Arkansas, 465 U.S. 1051, 104 S. Ct. 1328, 79 L. Ed. 2d 723 (1984).

Even though the state may charge a murder during the course of a felony as either capital or first-degree murder, there is no violation of defendant's right to equal protection. Penn v. State, 284 Ark. 234, 681 S.W.2d 307 (1984).

The overlap of subdivision (a)(1) of this section with § 5-10-102(a)(1) does not deprive the accused of due process and equal protection of the laws. Cannon v. State, 286 Ark. 242, 690 S.W.2d 725 (1985).

The Supreme Court has held consistently that the death penalty as provided for by this section is constitutional. Pruett v. State, 287 Ark. 124, 697 S.W.2d 872 (1985).

Both this section and the murder in the first degree statute, § 5-10-102, clearly identify the conduct prohibited and unambiguously describe the applicable penalties, thus providing adequate notice; therefore, these sections are not unconstitutionally vague. Simmons v. Lockhart, 626 F. Supp. 872 (E.D. Ark. 1985), aff'd, 814 F.2d 504 (8th Cir. 1987).

The removal for cause, prior to the guilt phase of a bifurcated capital trial, of prospective jurors who state that they cannot, under any circumstances, vote for the imposition of the death penalty does not violate a defendant's right under the Sixth and Fourteenth Amendments of the United States Constitution to have his guilt or innocence determined by an impartial jury selected from a representative cross section of the community or his constitutional right to an impartial jury. Lockhart v. McCree, 476 U.S. 162, 106 S. Ct. 1758 (1986).

It is not unconstitutional to seek the death penalty when a black defendant is tried for the murder of a white victim. Burnett v. State, 295 Ark. 401, 749 S.W.2d 308 (1988).

The Arkansas capital punishment procedure under this section and § 5-4-601 et seq. appropriately narrows the class of death eligible persons and is constitutional. Perry v. Lockhart, 871 F.2d 1384 (8th Cir. Ark. 1989).

The homicide statutes' 1989 revisions, which upgraded “premeditated and deliberated” murder from first-degree murder to capital murder, did not violate the constitutional prohibition against sentencing guidelines that fail to sufficiently narrow jury discretion in death penalty cases, because under Arkansas' revised capital sentencing scheme, § 5-4-604, the constitutionally-required narrowing function is provided by the “aggravating circumstance” requirement at the penalty phase. Sheridan v. State, 313 Ark. 23, 852 S.W.2d 772 (1993).

The elements of “premeditated and deliberated” capital murder under subdivision (a)(4) of this section, and the elements of “purposeful” first-degree murder under subdivision (a)(2) of this section do not unconstitutionally or impermissibly overlap. Sheridan v. State, 313 Ark. 23, 852 S.W.2d 772 (1993).

While that class of offenses described in subdivision (a)(4) of this section is somewhat broad, it becomes genuinely narrowed by the aggravating circumstances listed in § 5-4-604. Cox v. State, 313 Ark. 184, 853 S.W.2d 266 (1993).

The overlapping of subdivision (a)(4) of this section and § 5-10-102(a)(2) does not constitute some sort of constitutional violation. Buchanan v. State, 315 Ark. 227, 866 S.W.2d 395 (1993).

Subdivision (a)(4) is not unconstitutional under the federal Eighth and Fourteenth Amendments to the federal constitution because it fails to adequately narrow the class of persons eligible for the death penalty and permits arbitrary prosecutions. Willett v. State, 322 Ark. 613, 911 S.W.2d 937 (1995).

This section sufficiently narrows the class of murderers eligible for the death penalty by specifying only a subgroup of murderers as capital ones. Wainwright v. Lockhart, 80 F.3d 1226 (8th Cir. Ark. 1996).

This section does not unconstitutionally overlap with § 5-10-102. Echols v. State, 326 Ark. 917, 936 S.W.2d 509 (1996), cert. denied, 520 U.S. 1244, 117 S. Ct. 1853, 137 L. Ed. 2d 1055 (1997).

The Arkansas Supreme Court, in Brown v. State, 325 Ark. 504, 929 S.W.2d 146 (1996), did not read out of the capital-felony-murder statute the fourth element of the offense (circumstances manifesting extreme indifference), and it is this element that performs the constitutionally required narrowing function. Ruiz v. Norris, 104 F.3d 163 (8th Cir. 1997).

This section does not have an unconstitutional overlap in the definitions of capital felony murder and first-degree felony murder. Jones v. State, 328 Ark. 307, 942 S.W.2d 851 (1997).

Subsection (b) does not improperly shift the state's burden of proof of proving every element of the offense beyond a reasonable doubt to the defendant and, therefore, the subsection is not violative of the due process clause. Jones v. State, 336 Ark. 191, 984 S.W.2d 432 (1999), appeal dismissed, — Ark. —, — S.W.3d —, 2000 Ark. LEXIS 148 (Mar. 16, 2000).

—Cruel and Unusual Punishment.

Upon conviction of capital felony murder, defendant's sentence of life imprisonment without parole was not cruel or unusual punishment, where the sentence was within limits established by the legislature. Dyas v. State, 260 Ark. 303, 539 S.W.2d 251 (1976) (decision under prior law).

Sentence of life imprisonment without parole was within the statutory limits of § 5-4-602 and thus not cruel and unusual punishment under the Eighth Amendment to the United States Constitution. Wilson v. State, 271 Ark. 682, 611 S.W.2d 739 (1981).

The Arkansas death penalty statute as a matter of law, as opposed to a matter of personal conscience, does not violate the Eighth Amendment's ban on cruel and unusual punishment. Fairchild v. State, 284 Ark. 289, 681 S.W.2d 380 (1984), cert. denied, Fairchild v. Arkansas, 471 U.S. 1111, 105 S. Ct. 2346 (1985).

—Standing.

Defendant, having received a sentence of life without parole, had no standing to challenge the constitutionality of the death penalty. Van Pelt v. State, 306 Ark. 624, 816 S.W.2d 607 (1991).

Defendant lacked standing to argue that the capital felony murder statute is constitutionally invalid because no narrowing mechanism exists where the defendant did not receive the death penalty. McArthur v. State, 309 Ark. 196, 830 S.W.2d 842 (1992).

—Vagueness.

The overlapping nature of this section and § 5-10-102 does not render those statutes unconstitutional in their application. Wilson v. State, 271 Ark. 682, 611 S.W.2d 739 (1981); McClendon v. State, 295 Ark. 303, 748 S.W.2d 641 (1988); White v. State, 298 Ark. 55, 764 S.W.2d 613 (1989); Hill v. State, 303 Ark. 462, 798 S.W.2d 65 (1990); Coulter v. State, 304 Ark. 527, 804 S.W.2d 348 (1991), cert. denied, Coulter v. Arkansas, 502 U.S. 829, 112 S. Ct. 102 (1991).

Capital murder statute and the first-degree murder statute are not vague, since they clearly set out what acts are prohibited and are not constitutionally infirm, even though they overlap, because there is no impermissible uncertainty in the definition of the offenses. Earl v. State, 272 Ark. 5, 612 S.W.2d 98 (1981); McArthur v. State, 309 Ark. 196, 830 S.W.2d 842 (1992).

Where the wording of the capital felony murder statute and the first-degree murder statute overlap, such overlapping is not unconstitutionally vague and the overall scheme is not unconstitutional. Ruiz v. State, 273 Ark. 94, 617 S.W.2d 6 (1981), cert. denied, Ruiz v. Arkansas, 454 U.S. 1093, 102 S. Ct. 659 (1981).

The capital murder statute and the first-degree murder statute, § 5-10-102, are not unconstitutionally vague even though they overlap in such a way that an accused may be charged with either crime for the same conduct. Simpson v. State, 274 Ark. 188, 623 S.W.2d 200 (1981); Penn v. State, 284 Ark. 234, 681 S.W.2d 307 (1984).

The overlap of subdivision (a)(1) of this section and of § 5-10-102(a)(1) does not render them unconstitutionally vague, since they clearly set out what acts are prohibited and there is no impermissible uncertainty in the definition of the offenses. Coble v. State, 274 Ark. 134, 624 S.W.2d 421 (1981).

The defendant's argument that the capital murder sentencing statutes are unconstitutionally vague in that the aggravating circumstances of § 5-4-604 are too closely related to the elements of capital felony murder as set out in this section was explicitly rejected because the aggravating circumstances are not an element of capital murder. Henderson v. State, 279 Ark. 414, 652 S.W.2d 26, cert. denied, Henderson v. Arkansas, 464 U.S. 1012, 104 S. Ct. 536 (1983).

Overlapping between “premeditation and deliberation” in the capital murder statute and “purpose” in the murder one statute does not render the two statutes void for vagueness. Weaver v. State, 305 Ark. 180, 806 S.W.2d 615 (1991); Ward v. State, 308 Ark. 415, 827 S.W.2d 110 (1992), cert. denied, Ward v. Arkansas, 506 U.S. 841, 113 S. Ct. 124 (1992).

The offense of premeditated and deliberated capital murder does not violate the constitutional prohibition of vagueness. Smith v. State, 306 Ark. 483, 815 S.W.2d 922 (1991).

While this section and § 5-10-102 may appear to overlap on the degree of required intent, this does not render them unconstitutional due to vagueness or arbitrariness. Van Pelt v. State, 306 Ark. 624, 816 S.W.2d 607 (1991); Simpson v. Lockhart, 942 F.2d 493 (8th Cir. 1991).

This section is not unconstitutionally vague nor does it deny a defendant equal protection because it overlaps with the first degree felony murder statute, § 5-10-102. Hill v. Lockhart, 824 F. Supp. 1327 (E.D. Ark. 1993), modified, 28 F.3d 832 (8th Cir. 1994).

The statute for murder in the first degree, § 5-10-102, and this section, are not unconstitutionally vague, and any overlap in the two sections does not create a constitutional infirmity in the sections. Vickers v. State, 313 Ark. 64, 852 S.W.2d 787 (1993).

This section is not void for vagueness. Williams v. State, 338 Ark. 97, 991 S.W.2d 565 (1999).

This section is not void for vagueness or because of its overlap with § 5-10-102(a)(2). Fudge v. State, 341 Ark. 759, 20 S.W.3d 315 (2000), cert. denied, Fudge v. Arkansas, 531 U.S. 1020, 121 S. Ct. 585 (2000).

Applicability.

Legislature did not intend for the penalty provisions of the Fair Sentencing of Minors Act of 2017 (FSMA), codified at § 5-4-104(b) and § 5-10-101(c), to apply retroactively where the FSMA contained no general retroactivity provision, no retroactivity provision was attached to the FSMA's penalty provisions, and the legislature had expressly stated its intent that other sections of the FSMA applied retroactively. Therefore, the revised punishment for juveniles convicted of capital murder applies only to crimes committed on or after March 20, 2017, the effective date of the FSMA. Harris v. State, 2018 Ark. 179 (2018).

Parole-eligibility provision of the Fair Sentencing of Minors Act of 2017 (FSMA), codified at § 16-93-621(a)(2), did not apply at the time of defendant's hearing because the provision, by its plain language, applies only to those juvenile offenders who are serving a sentence for either capital or first-degree murder; because defendant's life-without-parole sentence was vacated in 2016 under Jackson v. Norris, 2013 Ark. 175, and Kelly v. Gordon, 2015 Ark. 277, he was no longer serving a sentence to which parole eligibility could attach. Harris v. State, 2018 Ark. 179 (2018).

Because the relevant provisions of the Fair Sentencing of Minors Act of 2017 were inapplicable to defendant, defendant was entitled to a hearing under Jackson v. Norris, 2013 Ark. 175, to present Miller evidence for consideration and sentencing within the discretionary range for a Class Y felony. Harris v. State, 2018 Ark. 179 (2018).

In accord with Harris v. State, 2018 Ark. 179. Robinson v. State, 2018 Ark. 353, 563 S.W.3d 530 (2018); Howell v. State, 2019 Ark. 59, 567 S.W.3d 842 (2019); Elliott v. State, 2019 Ark. 162 (2019).

Accomplice.

Evidence was sufficient to support the defendant's conviction as an accomplice to capital murder. Hallman v. State, 264 Ark. 900, 575 S.W.2d 688 (1979); Henry v. State, 278 Ark. 478, 647 S.W.2d 419 (1983), cert. denied, Henry v. Arkansas, 464 U.S. 835, 104 S. Ct. 121 (1983); Allen v. State, 324 Ark. 1, 918 S.W.2d 699 (1996); Kennedy v. State, 325 Ark. 3, 923 S.W.2d 274 (1996).

A person need not take an active part in a murder to be convicted of such if the person accompanied the person or persons who actually committed the murder and assisted in such commission. Hallman v. State, 264 Ark. 900, 575 S.W.2d 688 (1979); Henry v. State, 278 Ark. 478, 647 S.W.2d 419 (1983), cert. denied, Henry v. Arkansas, 464 U.S. 835, 104 S. Ct. 121 (1983); White v. State, 298 Ark. 55, 764 S.W.2d 613 (1989); Sellers v. State, 300 Ark. 280, 778 S.W.2d 603 (1989); Walker v. State, 308 Ark. 498, 825 S.W.2d 822 (1992).

Where defendant was an accomplice and had the requisite intent, the fact that defendant's role in the crime was of a nonviolent nature, and that defendant was unaware that the victim would be killed, made no difference. Dixon v. State, 319 Ark. 347, 891 S.W.2d 59 (1995).

Evidence presented at trial was sufficient to support defendant's conviction where the jury could reasonably have found that he in some way solicited, commanded, induced, procured, counseled, or aided in the commission of the crime; further, a statute cited by defendant stating that, because he was a juvenile at the time of his offense, his parent should have been present during questioning had not yet been enacted at the time he himself was questioned. Jackson v. State, 359 Ark. 87, 194 S.W.3d 757 (2004).

Trial court did not err in denying defendant's motion for directed verdict as there was sufficient evidence to support defendant's conviction of the underlying felony, aggravated robbery, and capital-murder, after eliminating the accomplice testimony; other corroborating evidence demonstrated that defendant had the purpose of committing theft with the use of physical force, was armed with a deadly weapon, and caused the death of the victim and, further, a doctor testified that the victim died from a gunshot wound. Gardner v. State, 364 Ark. 506, 221 S.W.3d 339 (2006).

Defendant's conviction for capital murder, in violation of subdivision (a)(4) of this section, was proper because there was substantial evidence that defendant was guilty as an accomplice pursuant to §§ 5-2-401, 5-2-402(2) and 5-2-403(b)(1), (2), and his argument that there was insufficient evidence of his acting as an accomplice by encouraging, aiding, or assisting the killer in stabbing the victim, was not preserved for review. Lawshea v. State, 2009 Ark. 600, 357 S.W.3d 901 (2009).

Evidence was sufficient to support convictions for aggravated robbery and capital murder because defendant's intent was inferred from the actions of his accomplice; defendant's statement to police provided direct evidence of the accomplice's intent to commit an aggravated robbery, and his account of how the accomplice murdered the victim by shooting her in the forehead was substantial evidence of causing the death of a person under circumstances manifesting extreme indifference to the value of human life. There was ample proof of defendant's participation as he accompanied others to the victim's residence, persuaded her to open the door, helped search the residence, and collected and kept his own share of the property that was stolen. Conway v. State, 2016 Ark. 7, 479 S.W.3d 1 (2016).

There was sufficient evidence that defendant was an accomplice to the crimes of aggravated robbery and capital murder as defendant admitted that he and the codefendants sat in a car planning the theft of beer from a gas station and convenience store and surveillance videos showed that defendant and a codefendant rushed into the store together, that codefendant shot the store clerk, and that defendant attempted to open the cash register, appeared to look around for something to steal, and searched the victim's pockets before fleeing. Williams v. State, 2017 Ark. 287, 528 S.W.3d 839 (2017).

Even assuming the witness was an accomplice, there was independent evidence tending to connect defendant with attempted capital murder, unlawful discharge of a firearm from a vehicle, and fleeing, as his letters and call to the witness were consistent with testimony that defendant was the shooter, and the jury could have found that defendant's alleged actions in firing the assault rifle at the officer and telling the driver to go aided and encouraged the driver in fleeing from the officer. Farmer v. State, 2019 Ark. App. 331 (2019).

Denying defendant's motion for directed verdict on the capital felony murder and aggravated robbery charges was not error where the State presented evidence that two people were involved in the crime, the vehicle used in the crime belonged to defendant's girlfriend, and a handgun that forensically matched the bullets and shell casings found at the crime scene as well as a nearly empty bottle of numerically related whiskey were found in defendant's apartment. The jury was free to conclude that defendant was the shooter or the shooter's accomplice. Finley v. State, 2019 Ark. 336, 587 S.W.3d 223 (2019).

Affirmative Defense.

To establish the affirmative defense under subsection (b), a defendant must prove that he was not the only participant, that he did not commit the homicide act and that he did not in any way solicit, command, induce, procure, counsel, or aid in the commission of the homicide act; obviously, none of these elements are elements of the crime of capital felony murder. Moss v. State, 280 Ark. 27, 655 S.W.2d 375 (1983), cert. denied, Moss v. Arkansas, 465 U.S. 1105, 104 S. Ct. 1606, 80 L. Ed. 2d 135 (1984).

No rational basis for affirmative defense instruction held shown. O'Rourke v. State, 298 Ark. 144, 765 S.W.2d 916 (1989).

Where defendant's defense to capital felony murder charge was that he had nothing to do with the victim's death, and in fact claimed that two other men were implicated in the beating and killing of the victim, it would have made no sense to instruct on the lesser offense of first-degree-felony murder. Hall v. State, 326 Ark. 318, 933 S.W.2d 363 (1996).

The evidence established that the defendant was not entitled to the affirmative defense under subsection (b) where the co-perpetrator testified that (1) the defendant asked the victim to follow her back across town after she dropped the co-perpetrator off, (2) she specifically told the co-perpetrator to follow them and to rob the victim, (3) she told the co-perpetrator that the victim asked her if she would have sex with him if he paid her, and (4) she told the co-perpetrator that she would go into the back of the victim's van and that he should then shoot the victim and take his money. Arnett v. State, 342 Ark. 66, 27 S.W.3d 721 (2000).

Jury could reasonably conclude from defendant's actions during the robbery that defendant induced, procured, or aided in the murder of the victim and the affirmative defense under subsection (b) of this section did not apply where defendant: (1) agreed to rob a store; (2) controlled the stocker in the store while the accomplice took the money from the manager; (3) ushered the victims into the cooler at gun point; and (4) helped keep control of the victims. Miles v. State, 350 Ark. 243, 85 S.W.3d 907 (2002).

Trial court did not err by rejecting defendant's argument that the affirmative defense provisions of subsection (b) of this section unconstitutionally shifted the burden of proof to defendant because he failed to meet the high burden of showing that the court's refusal to overrule cases holding that the statute was constitutional would result in great injustice or injury. Jefferson v. State, 372 Ark. 307, 276 S.W.3d 214 (2008).

Aggravating Circumstances.

There is no distinction based upon the finding of aggravating circumstances between capital murder under this section and murder in the first degree under § 5-10-102 since neither section makes aggravating circumstances an element of the offense; thus, there is no need to make a finding of some aggravating circumstances in order to sustain a conviction for capital murder. Wilson v. State, 271 Ark. 682, 611 S.W.2d 739 (1981).

Where the jury could properly find that the victim was killed to prevent any identification of the assailant, the death penalty statute was not unconstitutionally applied to defendant who argued that aggravating circumstance of killing “to avoid arrest” would apply to every felony murder. Woodard v. Sargent, 567 F. Supp. 1548 (E.D. Ark. 1983), rev'd, 753 F.2d 694 (8th Cir. Ark. 1985).

Everyone who commits murder in the course of a robbery commits the crime for purposes of pecuniary gain; therefore, the pecuniary-gain aggravating circumstance unconstitutionally duplicates an element of the underlying offense of capital felony murder. Woodard v. Sargent, 806 F.2d 153 (8th Cir. 1986) (decision under prior law).

In a conviction upon defendant's having slain two persons, “pecuniary gain” would be a permissible aggravating circumstance. Perry v. Lockhart, 656 F. Supp. 46 (E.D. Ark. 1986), aff'd in part, reversed in part, 871 F.2d 1384 (8th Cir. Ark. 1989).

In the death-row inmate's capital murder trial, the pecuniary gain statutory aggravating factor did not unconstitutionally fail to narrow the class of death-eligible offenders on the ground that it merely duplicated an element of the underlying crime of felony murder during the course of a robbery, because the jury in the inmate's case was not instructed that the felony underlying the charge of capital murder was robbery; rather, the jury was instructed that the underlying felony was kidnapping, pursuant to subdivision (a)(1)(iii) of this section, and that, consistent with the statutory definition of kidnapping under § 5-11-102(a)(3)-(5), it had to find that the inmate had restrained the victim with the purpose of inflicting physical injury upon her or engaging in sexual intercourse or sexual contact, or of committing aggravated robbery or any flight thereafter. After convicting the inmate of capital murder, the jury found in the penalty phase that he committed the murder for pecuniary gain, consistent with § 5-4-604(6); thus, there was no duplication of constitutional dimension or otherwise. Williams v. Norris, 576 F.3d 850 (8th Cir. 2009).

After defendant's conviction of capital murder, the jury that sentenced him to death properly found the existence of aggravating factors involving cruelty and depravity, as evidence that defendant broke into the victim's apartment, waited hours for her to return, and then viciously attacked her as she walked in the door, stabbing her several times, was sufficient to prove the murder was especially cruel or depraved. Marcyniuk v. State, 2010 Ark. 257, 373 S.W.3d 243 (2010).

Agreement to Kill.

Subdivision (a)(7) does not require that an actual exchange of something for value take place in order to establish the offense; proof is only necessary that there be an agreement to kill in exchange for something of value. Orsini v. State, 281 Ark. 348, 665 S.W.2d 245 (1984), cert. denied, Orsini v. Arkansas, 469 U.S. 847, 105 S. Ct. 162, 83 L. Ed. 2d 98 (1984), US Supreme Court cert. denied, Orsini v. Arkansas, 523 U.S. 1099, 118 S. Ct. 1568, 140 L. Ed. 2d 801 (1998).

Evidence as to the existence of an agreement between murderer and defendant to cause the death held insufficient to support a conviction of capital felony murder. Ketelson v. State, 317 Ark. 324, 877 S.W.2d 910 (1994).

Another Person.

The statutory phrase “another person” means a person other than the defendant himself. Mitchell v. State, 306 Ark. 464, 816 S.W.2d 566 (1991).

Appeal.

Defendant's argument on appeal that there was insufficient evidence to support the underlying felony of aggravated robbery was not considered where defendant failed to preserve this point for review under the procedure required by ARCrP 36.21(b). Davis v. State, 320 Ark. 329, 896 S.W.2d 438 (1995).

Appellate Review.

Although the jury should be instructed that circumstantial evidence must be consistent with the guilt of the defendant and inconsistent with any other reasonable conclusion, the standard on appeal is to determine whether the verdict is supported by substantial evidence, which means whether the jury could have reached its conclusion without resorting to speculation or conjecture. Echols v. State, 326 Ark. 917, 936 S.W.2d 509 (1996), cert. denied, 520 U.S. 1244, 117 S. Ct. 1853, 137 L. Ed. 2d 1055 (1997).

An automatic review of the entire record in all death-penalty cases is useful when evaluating whether a defendant's waiver of his right to appeal was proper under Franz v. State, 296 Ark. 181, 754 S.W.2d 839 (1988). Such a review would also enable the court to determine (1) whether any errors raised in the trial court are prejudicial to the defendant, in accordance with Ark. Code Ann. § 16-91-113(a) (1987) and Ark. Sup. Ct. R. 4-3(h); (2) whether any plain errors covered by the exceptions outlined in Wicks v. State, 270 Ark. 781, 606 S.W.2d 366 (1980), have occurred; and (3) whether other fundamental safeguards were followed. State v. Smith, 340 Ark. 257, 12 S.W.3d 629 (2000).

Assistance of Counsel.

Where the defendant's attorney failed to notify him as to the trial date and as a result the defendant missed the first day of trial, and during the defendant's absence, counsel stipulated to the cause of death and to allow the State Crime Laboratory report into evidence, the defendant was denied effective assistance of counsel as counsel lost for the defendant the right to cross-examination, which probably would have proved that the shotgun blast fired by the defendant did not strike the victim directly, and if there were any intervening events which caused or contributed to the victim's death. Mason v. State, 289 Ark. 299, 712 S.W.2d 275 (1986).

Where the defendant's attorney did not notify him of the trial date and, as a result, the defendant missed the first day of trial, the defendant was denied effective assistance of counsel, even though the attorney waived the defendant's presence as a matter of trial strategy, because the defendant was not able to participate in any manner in the selection of jurors taken the first day. Mason v. State, 289 Ark. 299, 712 S.W.2d 275 (1986).

Trial court did not clearly err when it found that appellant's guilty plea was voluntarily and intelligently entered because trial counsel was not ineffective for allegedly pressuring appellant into pleading guilty to avoid the death penalty; although appellant argued that the prosecutor had not filed notice of intent to seek the death penalty, the circumstances surrounding the death of the victim and her unborn child supported trial counsel's reasonable belief that appellant faced a potential death sentence. True v. State, 2017 Ark. 323, 532 S.W.3d 70 (2017).

Burden of Proof.

Nothing in either this section or § 5-10-102 relieves the state from proving each element necessary to constitute a higher degree of culpability than the first-degree murder statute in trying a case under the capital murder statute, and nothing relieved the state of the absolute burden of proving each element of the offense beyond a reasonable doubt. Wilson v. State, 271 Ark. 682, 611 S.W.2d 739 (1981).

Subsection (b) does not impermissibly absolve the state of the duty of proving any element of capital felony murder beyond a reasonable doubt, and trial court did not err in failing to submit the affirmative defense as ordinary defense without burden of proof being placed on defendant. Moss v. State, 280 Ark. 27, 655 S.W.2d 375 (1983), cert. denied, Moss v. Arkansas, 465 U.S. 1105, 104 S. Ct. 1606, 80 L. Ed. 2d 135 (1984).

The burden on the defendant to prove an affirmative defense, such as the affirmative defense of nonparticipation does not arise until the State has met its burden of proof as to the elements of the offense. Moss v. State, 280 Ark. 27, 655 S.W.2d 375 (1983), cert. denied, Moss v. Arkansas, 465 U.S. 1105, 104 S. Ct. 1606, 80 L. Ed. 2d 135 (1984); Breault v. State, 280 Ark. 372, 659 S.W.2d 176 (1983).

In a prosecution for capital murder, the burden on the defendant to prove an affirmative defense by preponderance of the evidence does not arise until after the state has proved every element of capital felony murder beyond a reasonable doubt. Fairchild v. State, 284 Ark. 289, 681 S.W.2d 380 (1984), cert. denied, Fairchild v. Arkansas, 471 U.S. 1111, 105 S. Ct. 2346 (1985).

The state was required to prove beyond a reasonable doubt all the elements of the offense of capital murder; proof of the nonexistence of the affirmative defense of self-induced intoxication was not constitutionally required. Pruett v. State, 287 Ark. 124, 697 S.W.2d 872 (1985).

Proof of either robbery/murder or multiple killings is sufficient to convict of capital murder and make the defendant death-eligible. Perry v. Lockhart, 656 F. Supp. 46 (E.D. Ark. 1986), aff'd in part, reversed in part, 871 F.2d 1384 (8th Cir. Ark. 1989).

The state is not required to prove premeditation and deliberation for a conviction under subdivision (a)(9) of this section. Davis v. State, 325 Ark. 96, 925 S.W.2d 768 (1996).

To establish the requisite mens rea for capital murder, the State had prove that defendant had the conscious object to cause the victim's death, that such an intention was formed before he acted, and that he weighed in his mind the consequences of his course of conduct. Thornton v. State, 2014 Ark. 157, 433 S.W.3d 216 (2014).

Child Abuse.

Evidence, although circumstantial, that defendant engaged in cruel, malicious, and continuous course of child abuse culminating in a violent act that caused a child's death held sufficient to sustain a conviction under subdivision (a)(9) of this section. Davis v. State, 325 Ark. 96, 925 S.W.2d 768 (1996).

There was ample circumstantial evidence for the jury to find that defendant knowingly caused the death of the infant. Steggall v. State, 340 Ark. 184, 8 S.W.3d 538 (2000).

Death Penalty.

The defendant's death sentence, which was based in part on the pecuniary-gain aggravating circumstance, was set aside, even though his case was decided before Collins v. Lockhart, 754 F.2d 258 (8th Cir.), cert. denied — U.S. —, 106 S. Ct. 546, 88 L. Ed. 2d 475 (1985), which held that the pecuniary-gain aggravating circumstance could not be used to impose the death penalty for a murder in the course of a robbery where the defendant's counsel urged this argument when the action was first appealed. Woodard v. Sargent, 806 F.2d 153 (8th Cir. 1986) (decision under prior law).

Because the aggravating circumstance of pecuniary gain is invalid as applied in cases of capital felony murder committed during the course of robberies, the death penalties imposed against the defendants were invalid and set aside, where this argument was made when the actions were first appealed. Ruiz v. Lockhart, 806 F.2d 158 (8th Cir. 1986).

The capital felony murder statute does not amount to a mandatory death sentence because the jury cannot show mercy regardless of its findings. Burnett v. State, 295 Ark. 401, 749 S.W.2d 308 (1988).

Evidence sufficient to find that the death penalty was not freakishly or arbitrarily applied. Davis v. State, 314 Ark. 257, 863 S.W.2d 259 (1993), cert. denied, Davis v. Arkansas, 511 U.S. 1026, 114 S. Ct. 1417 (1994).

In defendant's trial for capital murder, the testimony of the victim's father, two sisters, and one of her children was not unduly prejudicial but rather was relevant to show the impact her death had on her family, which was precisely the purpose envisioned by the Arkansas General Assembly in enacting § 5-4-602(4); thus, the trial court did not abuse its discretion in admitting victim-impact evidence during defendant's sentencing because such evidence was relevant under the Arkansas capital-murder-sentencing process. Springs v. State, 368 Ark. 256, 244 S.W.3d 683 (2006), cert. denied, 550 U.S. 939, 127 S. Ct. 2257, 167 L. Ed. 2d 1100 (2007).

Where defendant was sentenced to death after his conviction of capital murder, as the jury acknowledged that he suffered from borderline-personality disorder and generalized anxiety disorder but found that those disorders did not prevent from being able to conform his behavior to the law and that he was not under extreme mental or emotional disturbance at the time of the murder, the trial court met its obligation to bring before the jury mitigating factors regarding defendant's mental disease or defect. Marcyniuk v. State, 2010 Ark. 257, 373 S.W.3d 243 (2010).

Degree of Offense.

The homicide statutes do not confer arbitrary power upon prosecutors and juries to select between capital murder and murder in the first degree. Cromwell v. State, 269 Ark. 104, 598 S.W.2d 733 (1980).

Double Jeopardy.

In proving the specified underlying felony, there must be proof of the same or less than all of the elements required to establish the commission of the capital offense and the specified felony is thus an included offense which falls within the double conviction prohibition of § 5-1-110, and the double jeopardy prohibition of the Fifth Amendment of the United States Constitution. Swaite v. State, 272 Ark. 128, 612 S.W.2d 307 (1981).

It was illegal to enter a judgment of conviction for both attempted capital felony murder and aggravated robbery when the aggravated robbery was the underlying specified felony to the charge of attempted capital murder, because aggravated robbery is a lesser included offense and in proving the elements of attempted capital murder, it was necessary to prove the elements of aggravated robbery; therefore, the conviction and sentence for aggravated robbery would be set aside. Rowe v. State, 275 Ark. 37, 627 S.W.2d 16 (1982), superseded by statute as stated in, Van Jenkins v. State, 2017 Ark. 288, 529 S.W.3d 236 (2017).

Where the defendant was convicted and sentenced for both attempted capital murder and aggravated robbery, his conviction and sentence for the lesser included offense of aggravated robbery had to be set aside since aggravated robbery was the underlying specified felony to the charge of attempted capital murder. Barnum v. State, 276 Ark. 477, 637 S.W.2d 534 (1982), superseded by statute as stated in, Walker v. State, 353 Ark. 12, 110 S.W.3d 752 (2003).

Defendant was properly convicted of capital murder and arson after he told a neighbor that his trailer home exploded while his girlfriend was inside; the constitutional prohibition against double jeopardy was not violated because § 5-1-110(d)(1)(A) permitted a sentence for both crimes. Meadows v. State, 358 Ark. 396, 191 S.W.3d 527 (2004).

Defendant convicted of capital murder, attempted capital murder, and aggravated robbery failed to show that his double jeopardy rights were violated; under subdivision (d)(1)(A) of this section, separate convictions and sentences were authorized for both the capital murder and the felony underlying the capital-murder charge. Jackson v. State, 2013 Ark. 19 (2013).

Defendant convicted of capital murder, attempted capital murder, and aggravated robbery failed to show that his double jeopardy rights were violated; under subdivision (d)(1)(A) of this section, separate convictions and sentences were authorized for both the capital murder and the felony underlying the capital-murder charge. Jackson v. State, 2013 Ark. 19 (2013).

Evidence.

Photographs of victim and crime scene held admissible. Rodgers v. State, 261 Ark. 293, 547 S.W.2d 419 (1977); Hulsey v. State, 261 Ark. 449, 549 S.W.2d 73 (1977), cert. denied, 439 U.S. 882, 58 L. Ed. 2d 194 (1978) (preceding decisions under prior law); Gruzen v. State, 267 Ark. 380, 591 S.W.2d 342 (1979), cert. denied, 449 U.S. 852, 101 S. Ct. 144, 66 L. Ed. 2d 64 (1980); Gruzen v. Arkansas, 459 U.S. 1020, 103 S. Ct. 386, 74 L. Ed. 2d 517 (1982); Couch v. State, 274 Ark. 29, 621 S.W.2d 694 (1981); Hill v. State, 275 Ark. 71, 628 S.W.2d 284 (1982), cert. denied, Hill v. Arkansas, 459 U.S. 882, 103 S. Ct. 180 (1982); Perry v. State, 277 Ark. 357, 642 S.W.2d 865 (1982); Fairchild v. State, 284 Ark. 289, 681 S.W.2d 380 (1984), cert. denied, Fairchild v. Arkansas, 471 U.S. 1111, 105 S. Ct. 2346 (1985); Holland v. State, 288 Ark. 435, 706 S.W.2d 375 (1986); Hendrickson v. State, 290 Ark. 319, 719 S.W.2d 420 (Ark. 1986); Parker v. State, 300 Ark. 360, 779 S.W.2d 156 (1989), cert. denied, Parker v. Arkansas, 498 U.S. 883, 111 S. Ct. 218 (1990).

Evidence was sufficient to establish the motive for the crime. Bush v. State, 261 Ark. 577, 550 S.W.2d 175 (1977).

Evidence held insufficient to support the charge of murder. Bly v. State, 263 Ark. 138, 562 S.W.2d 605 (1978); Pickens v. State, 301 Ark. 244, 783 S.W.2d 341 (1990), cert. denied, Pickens v. Arkansas, 497 U.S. 1011, 110 S. Ct. 3257 (1990).

Evidence held sufficient to support the defendant's conviction. Swindler v. State, 267 Ark. 418, 592 S.W.2d 91 (1979), cert. denied, 449 U.S. 1057, 101 S. Ct. 630, 66 L. Ed. 2d 511 (1980); Titus v. State, 268 Ark. 9, 593 S.W.2d 164 (1980); Wallace v. Lockhart, 701 F.2d 719 (8th Cir. 1983), cert. denied, 464 U.S. 934, 104 S. Ct. 340, 78 L. Ed. 2d 308 (1983); Simmons v. State, 278 Ark. 305, 645 S.W.2d 680 (1983), cert. denied, Simmons v. Arkansas, 464 U.S. 865, 104 S. Ct. 197, 78 L. Ed. 2d 173 (1983); Surridge v. State, 279 Ark. 183, 650 S.W.2d 561 (1983); Moore v. State, 280 Ark. 222, 656 S.W.2d 698 (1983); Hayes v. State, 278 Ark. 211, 645 S.W.2d 662 (1983), cert. denied, Hayes v. Arkansas, 464 U.S. 865, 104 S. Ct. 198, 78 L. Ed. 2d 173 (1984); Thrash v. State, 291 Ark. 575, 726 S.W.2d 283 (1987); Cassell v. Lockhart, 886 F.2d 178 (8th Cir. 1989), cert. denied, 493 U.S. 1092, 110 S. Ct. 1164 (1990); Ferguson v. State, 298 Ark. 600, 769 S.W.2d 418 (1989); Owens v. State, 300 Ark. 73, 777 S.W.2d 205 (1989); Remeta v. State, 300 Ark. 92, 777 S.W.2d 833 (1989); Thomas v. State, 300 Ark. 103, 776 S.W.2d 821 (1989); Bussard v. State, 300 Ark. 174, 778 S.W.2d 213 (1989); Findley v. State, 300 Ark. 265, 778 S.W.2d 624 (1989); Sellers v. State, 300 Ark. 280, 778 S.W.2d 603 (1989); Segerstrom v. State, 301 Ark. 314, 783 S.W.2d 847 (1990); Burkhart v. State, 301 Ark. 543, 785 S.W.2d 460 (1990); Wainwright v. State, 302 Ark. 371, 790 S.W.2d 420 (1990), cert. denied, Wainwright v. Arkansas, 499 U.S. 913, 111 S. Ct. 1123 (1991); Sanders v. State, 308 Ark. 178, 824 S.W.2d 353 (1992); Moss v. Lockhart, 971 F.2d 77 (8th Cir. 1992); Jones v. State, 314 Ark. 289, 862 S.W.2d 242 (1993); Hall v. State, 315 Ark. 385, 868 S.W.2d 453 (1993); Trimble v. State, 316 Ark. 161, 871 S.W.2d 562 (1994); Pike v. State, 323 Ark. 56, 912 S.W.2d 431 (1996); Weaver v. State, 324 Ark. 290, 920 S.W.2d 491 (1996); Slocum v. State, 325 Ark. 38, 924 S.W.2d 237 (1996); Key v. State, 325 Ark. 73, 923 S.W.2d 865 (1996); Bangs v. State, 338 Ark. 515, 998 S.W.2d 738 (1999); King v. State, 338 Ark. 591, 999 S.W.2d 183 (1999); Carmichael v. State, 340 Ark. 598, 12 S.W.3d 225 (2000); Flowers v. State, 342 Ark. 45, 25 S.W.3d 422 (2000); Arnett v. State, 342 Ark. 66, 27 S.W.3d 721 (2000); Hutts v. State, 342 Ark. 278, 28 S.W.3d 265 (2000); Branscum v. State, 345 Ark. 21, 43 S.W.3d 148 (2001).

Evidence held sufficient to find that the trial court's ruling that there was no evidence to indicate a lesser degree of murder was error. Brewer v. State, 271 Ark. 254, 608 S.W.2d 363 (1980); Hughes v. State, 303 Ark. 340, 797 S.W.2d 419 (1990).

Evidence sufficient to find that officer was acting in the line of duty as required by subdivision (a)(2) (now subdivision (a)(3)). Renton v. State, 274 Ark. 87, 622 S.W.2d 171 (1981).

Prosecutor's attempt to introduce photograph of victim's body, which had been ruled inadmissible, did not constitute reversible error where the court sustained defense counsel's objections and the photograph was never viewed by the jury. Singleton v. State, 274 Ark. 126, 623 S.W.2d 180 (1981), cert. denied, Singleton v. Arkansas, 456 U.S. 938, 102 S. Ct. 1996, 72 L. Ed. 2d 458 (1982), cert. denied, Singleton v. Arkansas, 459 U.S. 882, 103 S. Ct. 184 (1982).

Evidence relating to motive and intent held admissible. Edgemon v. State, 275 Ark. 313, 630 S.W.2d 26 (1982), aff'd, 292 Ark. 465, 730 S.W.2d 898 (1987); Henry v. State, 278 Ark. 478, 647 S.W.2d 419 (1983), cert. denied, Henry v. Arkansas, 464 U.S. 835, 104 S. Ct. 121 (1983); Orsini v. State, 281 Ark. 348, 665 S.W.2d 245 (1984), cert. denied, Orsini v. Arkansas, 469 U.S. 847, 105 S. Ct. 162, 83 L. Ed. 2d 98 (1984), US Supreme Court cert. denied, Orsini v. Arkansas, 523 U.S. 1099, 118 S. Ct. 1568, 140 L. Ed. 2d 801 (1998); Henderson v. State, 284 Ark. 493, 684 S.W.2d 231 (1985).

Circumstantial evidence alone may be sufficient to support a conviction for capital felony murder since the law makes no distinction between circumstantial evidence and direct evidence. Perry v. State, 277 Ark. 357, 642 S.W.2d 865 (1982).

Where defendant was the last person to see his ex-girlfriend alive, admitted to accidentally shooting her, and was seen near the scene of the crime, the evidence was sufficient to support his conviction for capital murder. Barrett v. State, 354 Ark. 187, 119 S.W.3d 485 (2003).

Evidence was sufficient to convict defendant of capital murder; defendant's admission to strangling the victim and the use of duct tape over the mouth and nose of the victim constituted substantial evidence supporting the jury's conclusion of guilt, and there was evidence that defendant weighed what he was about to do and that he engaged in planning prior to the murder. O'Neal v. State, 356 Ark. 674, 158 S.W.3d 175 (2004).

Defendant's conviction for the capital murder of an 87-year-old woman, who was found shot to death in her yard, was upheld where defendant confessed to police that he “shot the old lady in the back.” Anderson v. State, 357 Ark. 180, 163 S.W.3d 333 (2004).

Evidence held not exculpatory. Simmons v. Lockhart, 626 F. Supp. 872 (E.D. Ark. 1985), aff'd, 814 F.2d 504 (8th Cir. 1987).

Defendant waives any objections to use of statement made by him to police by placing it in evidence. Williams v. State, 288 Ark. 444, 705 S.W.2d 888 (1986).

Defendant held not prejudiced at trial by codefendant's refusal to answer deposition questions. Williams v. State, 288 Ark. 444, 705 S.W.2d 888 (1986).

Testimony of confessed accomplice held sufficiently corroborated. Holland v. State, 288 Ark. 435, 706 S.W.2d 375 (1986).

Evidence held sufficient to show premeditation and deliberation. Watson v. State, 289 Ark. 138, 709 S.W.2d 817 (1986); Farris v. State, 308 Ark. 561, 826 S.W.2d 241 (1992).

Evidence defendant was serving prison sentence held not error. Rhodes v. State, 290 Ark. 60, 716 S.W.2d 758 (1986).

Defendant's involuntary statement cannot be used by state in cross-examination of defense witness. Hendrickson v. State, 290 Ark. 319, 719 S.W.2d 420 (Ark. 1986).

Defendant's statement to police, although inadmissible as evidence during the state's case-in-chief, could be used by the prosecuting attorney in cross-examination and impeachment of defense witness. Hendrickson v. State, 290 Ark. 319, 719 S.W.2d 420 (Ark. 1986).

In prosecution for capital felony murder, the trial court did not abuse its discretion in admitting several color photographs of the victim, who had been strangled in an abandoned building in subfreezing weather, placed on a heap of trash, and burned, where the medical examiner testified the photographs especially supported his conclusions. Watson v. State, 290 Ark. 484, 720 S.W.2d 310 (1986).

In prosecution for capital felony murder, the jury could consider the defendant's statements, which at first were denial, then an admission of being there and then a statement that he burned the body to hide the evidence; a jury may consider and give weight to any false, improbable, and contradictory statements made by an accused explaining suspicious circumstances. Watson v. State, 290 Ark. 484, 720 S.W.2d 310 (1986).

Prejudicial error in allowing confession to be introduced into evidence required reversal. Rose v. State, 294 Ark. 279, 742 S.W.2d 901 (1988).

It was error to have permitted the jury to find defendant guilty of capital murder on the basis that it was committed in the course of burglary where the jury was not allowed to consider the robbery or any purpose for the entry of the victim's home independent of the acts which resulted in his death. Sellers v. State, 295 Ark. 489, 749 S.W.2d 669 (1988).

Where the petitioner was charged with three forms of capital murder, since the form only required a finding of guilty or not guilty and because there was ample evidence to sustain the first two theories, the petitioner failed to demonstrate prejudice. O'Rourke v. State, 298 Ark. 144, 765 S.W.2d 916 (1989).

Proof of aggravated burglary, committed by the defendant an hour after the offense he was on trial for, was clearly admissible as being relevant to prove both his intent and plan, as well as his identity, in the commission of the first incident because it was so factually intertwined with the present offense, although the circumstantial evidence was amply sufficient to connect the defendant with the first incident. Gillie v. State, 305 Ark. 296, 808 S.W.2d 320 (1991).

Circumstantial evidence, consisting of the close proximity of time and place of the killing and the taking of the decedent's property so as to make it all one transaction, was sufficient to allow the jury to conclude the killing occurred in the course of robbery. Patterson v. State, 306 Ark. 385, 815 S.W.2d 377 (1991).

The trial court's decision to allow witness' in-court identification, irrespective of his prior encounter with the defendant at the police station, was proper where there was no evidence suggesting that the police brought the defendant to the station to facilitate an identification by the witness; the witness made his initial identification spontaneously and before the defendant was brought inside the building; and he could not have known for certain that the person who was getting out of the sheriff's car was indeed the suspect in that crime. Van Pelt v. State, 306 Ark. 624, 816 S.W.2d 607 (1991).

The robbery and murder did not have to occur within a brief interval of time to support a capital murder conviction. Findley v. State, 307 Ark. 53, 818 S.W.2d 242 (1991).

Inflammatory photographs are admissible if they tend to shed light on an issue, enable a witness to better describe the objects portrayed, or enable the jury to better understand the testimony. Hickson v. State, 312 Ark. 171, 847 S.W.2d 691 (1993).

Where the trial court considered the questioned photographs, each individually, on two separate occasions at a pre-trial conference and again at trial, it did not admit the photographs with “carte blanche” approval, or with a manifest abuse of its discretion. Hickson v. State, 312 Ark. 171, 847 S.W.2d 691 (1993).

Where the trial court twice considered the admissiblity of a videotape of the crime scene showing the house and the body, and placed limitations on the portions that could be published to the jury, it did not abuse its discretion in admitting the tape into evidence. Hickson v. State, 312 Ark. 171, 847 S.W.2d 691 (1993).

The evidence of robbery and intent to rob held sufficient to support a conviction for capital murder. Owens v. State, 313 Ark. 520, 856 S.W.2d 288 (1993).

Evidence was sufficient to sustain capital murder conviction, even though it was almost all circumstantial. Davis v. State, 314 Ark. 257, 863 S.W.2d 259 (1993), cert. denied, Davis v. Arkansas, 511 U.S. 1026, 114 S. Ct. 1417 (1994).

Defendant's flight to avoid arrest could be considered as corroboration of evidence tending to establish his guilt of capital murder. Davis v. State, 314 Ark. 257, 863 S.W.2d 259 (1993), cert. denied, Davis v. Arkansas, 511 U.S. 1026, 114 S. Ct. 1417 (1994).

Where the weapon used was a .22 caliber semi-automatic rifle with a sawed off stock, the victim suffered five bullet wounds, two entered his front and three entered his back, the nature and manner of use of the weapon was sufficient to support the capital murder verdict. Buchanan v. State, 315 Ark. 227, 866 S.W.2d 395 (1993).

The mere presence of human blood found by luminol testing, without factors which relate that evidence to the crime, is not admissible. Palmer v. State, 315 Ark. 696, 870 S.W.2d 385 (1994).

Defendant's conviction for conspiracy to commit capital murder was supported by substantial evidence. Jones v. State, 45 Ark. App. 28, 871 S.W.2d 403 (1994).

A videotape which showed the crime scene and shed light on the violence done and photographs of crime scene and victim were admissible where they showed the nature and extent of the wounds, which was relevant to a showing of intent, as intent may be inferred from the type of weapon used, the manner of use, and the nature, extent, and location of the wounds, and where they also helped the state prove an element of its case against appellant — the requisite level of intent associated with capital murder. Williams v. State, 316 Ark. 694, 874 S.W.2d 369 (1994).

Evidence of defendant's identification held sufficient to sustain conviction. Jacobs v. State, 316 Ark. 698, 875 S.W.2d 52 (1994).

Defendant's admission of active participation in the rape and murder of victim, along with the evidence that defendant was seen with victim on the night she disappeared, was sufficient to sustain the conviction. Evans v. State, 317 Ark. 449, 879 S.W.2d 409 (1994).

Even if the trial court had erred in admitting items seized in a motel room, the other evidence of defendant's guilt overwhelming supported the convictions for aggravated robbery and capital murder. Rockett v. State, 318 Ark. 831, 890 S.W.2d 235 (1994), overruled, MacKintrush v. State, 334 Ark. 390, 978 S.W.2d 293 (1998).

Conviction for felony murder supported by substantial, albeit not overwhelming, evidence where circumstantial evidence rather than direct evidence placed defendant at the scene. Hill v. Norris, 96 F.3d 1085 (8th Cir. 1996).

Gang-affiliation evidence held admissible to show motive. Scott v. State, 325 Ark. 267, 924 S.W.2d 248 (1996).

Even assuming witness was an accomplice to the murder, there was sufficient corroborative evidence presented to connect defendant to the murder. Choate v. State, 325 Ark. 251, 925 S.W.2d 409 (1996).

Evidence of capital murder held sufficient where five witnesses testified that defendant had confessed to shooting the victim and where evidence found around victim's body indicated that he had been shot by a rifle owned by the defendant. Ferrell v. State, 325 Ark. 455, 929 S.W.2d 697 (1996).

Testimony of accomplice to the victim's kidnapping prior to the murder was sufficiently corroborated to support defendant's conviction for first-degree murder. Peeler v. State, 326 Ark. 423, 932 S.W.2d 312 (1996).

Statement containing knowledge of crime not known by the general public accompanied by witness' overhearing a direct confession was sufficient to sustain conviction for capital murder. Echols v. State, 326 Ark. 917, 936 S.W.2d 509 (1996), cert. denied, 520 U.S. 1244, 117 S. Ct. 1853, 137 L. Ed. 2d 1055 (1997).

Where the State's theory was that the murders were cult-related, and there was additional evidence about occult practices, a book about the occult and evidence that the defendant had been seen dressed like a wizard provided a circumstantial link and was therefore relevant. Echols v. State, 326 Ark. 917, 936 S.W.2d 509 (1996), cert. denied, 520 U.S. 1244, 117 S. Ct. 1853, 137 L. Ed. 2d 1055 (1997).

Videotape, photographs of the crime scene, and two autopsy photographs aided the jury's perception of the crime scene and condition of the victims' bodies and was relevant in establishing premeditation and deliberation. Camargo v. State, 327 Ark. 631, 940 S.W.2d 464 (1997); Lever v. State, 333 Ark. 377, 971 S.W.2d 762 (1998).

Evidence of drug use and drug dealing was clearly intermingled and contemporaneous with the arson, culminating in the commission of the crimes charged, and as such, it was part of the res gestae and admissible as an exception to Rule 404(b). Gaines v. State, 340 Ark. 99, 8 S.W.3d 547 (2000).

The evidence established not only that defendant had every opportunity and motive to kill the victims, but also then destroyed evidence relating to their disappearance, so that the mens rea suggested by the details of the killings satisfied the requirements of premeditated and deliberate purpose. Sanders v. State, 340 Ark. 163, 8 S.W.3d 520 (2000).

Evidence of capital murder held sufficient where defendant was present at the crime scene, knew the robbery of the victim's store had been planned and where defendant's attempts to evade the police officers corroborated his guilt. Ross v. State, 346 Ark. 225, 57 S.W.3d 152 (2001).

Evidence presented at trial was sufficient to sustain defendant's capital murder conviction where: (1) defendant admitted firing three to four shots at the victim while the victim was outside a convenience store where the victim's death occurred; (2) the jury could have used those circumstances to infer that defendant acted with premeditated and deliberate intent; and (3) a witness heard defendant confess to murdering the victim. Jenkins v. State, 348 Ark. 686, 75 S.W.3d 180 (2002).

In a criminal prosecution for first-degree murder, the trial court did not abuse its discretion in allowing tattoo evidence at trial; the tatoo, which read “Death Before Dishonor,” was probative of defendant's motive in the shooting the victim following an altercation. Morris v. State, 358 Ark. 455, 193 S.W.3d 243 (2004).

Where, following an altercation in the parking lot of a nightclub, defendant's car and victim's car were side by side at an intersection, defendant believed he saw a gun pointed at him from the victim's car, and defendant shot into the other car two or three times, striking and killing the victim, the evidence was suffiicent to convict defendant of first-degree murder. Morris v. State, 358 Ark. 455, 193 S.W.3d 243 (2004).

Evidence was sufficient to sustain a conviction for attempted capital murder where there was substantial evidence that defendant was not merely engaged in the “act of driving”; the victim, a police officer, testified that the driver attempted to run him over, he observed a flash from the passenger side window, he realized that he had heard a gunshot, and an officer identified defendant as the driver of the vehicle. Clark v. State, 358 Ark. 469, 192 S.W.3d 248 (2004).

Jury could infer that defendant shot the victim in order to steal drugs and money from the victim, based on defendant's own account of what occurred; thus, there was substantial evidence that defendant shot and killed the victim during the course of, and in furtherance of, an aggravated robbery. Harper v. State, 359 Ark. 142, 194 S.W.3d 730 (2004).

Evidence was sufficient to convict defendant of criminal attempt to commit capital murder where (1) while searching for a suspect, the trooper stopped in the middle of a street and observed a vehicle 30-40 yards away; (2) the vehicle began moving towards the trooper with its headlights on; (3) the trooper then observed a flash from the passenger-side window and heard a pop, which he thought was a gunshot; (4) the trooper believed that he was shot at because he was the only person on the street at 1:30 a.m.; (5) the vehicle was later stopped and a spent shell casing that was found inside the vehicle on the passenger side matched a weapon that was found about a block and a half away from where the vehicle ultimately stopped; and (6) witnesses testified that defendant and the driver had just left the home of the suspect's aunt, whom the trooper had been previously chasing. Simmons v. State, 89 Ark. App. 34, 199 S.W.3d 711 (2004).

Where witness testified that (1) he was in victim's home the day of the murder, (2) defendant arrived with a folding knife and entered victim's bedroom, (3) the victim screamed, (4) defendant's husband stated that defendant had killed the victim, and (5) the witness saw the husband take a can of kerosene from the front porch, there was substantial evidence in support of the jury's conviction of defendant for capital murder and arson. Meadows v. State, 360 Ark. 5, 199 S.W.3d 634 (2004).

Evidence showing that appellant formed a plan to lure the victim into his vehicle with the purpose of injuring or killing him, and that the victim died under circumstances manifesting extreme indifference to the value of human life, was sufficient to support appellant's conviction of capital felony murder, with the underlying charge of kidnapping. Ridling v. State, 360 Ark. 424, 203 S.W.3d 63 (2005).

Evidence clearly supported the state's charges that defendant acted with premeditation and deliberation in the murder of the victim; the state demonstrated that defendant tried to clear the potential witnesses away from the area, pulled the victim into the house against his wishes, closed the door so the act could not be seen, helped dispose of the body and had the victim's car towed away from in front of his house. Woods v. State, 363 Ark. 272, 213 S.W.3d 627 (2005).

Defendant's conviction for capital murder under subdivision (a)(4) of this section was affirmed as the trial court did not err in denying defendant's directed verdict motion; there was ample testimony from eyewitnesses and an assistant medical examiner regarding defendant's shooting of the unarmed victim to support the jury's finding of premeditated and deliberated capital murder in spite of defendant's contention of self-defense. Stenhouse v. State, 362 Ark. 480, 209 S.W.3d 352 (2005).

Trial court did not err by denying defendant's motion for a directed verdict on his capital murder conviction because the evidence was sufficient to support defendant's conviction of the underlying felony, aggravated robbery, even after eliminating the testimony of one of defendant's accomplices. Evidence showed that: (1) defendant had the purpose of committing a theft with the use of physical force, as he and three other individuals went to a witness's house to acquire ammunition for their firearm; (2) the fourth individual testified that defendant and three men arrived at his trailer where defendant displayed a gun, and that he provided ammunition for the gun; (3) a second witness, one of the three men who accompanied defendant, testified that he heard two gunshots fired after the two other men left the victim's apartment after the struggle between defendant and the victim ensued; and (4) the chief medical examiner testified that the victim died from a gunshot wound. Gardner v. State, 362 Ark. 413, 208 S.W.3d 774 (2006).

Although the state was required to prove that defendant was in prison when he killed his cell mate to prove capital murder, that element could have been proven by stipulation and the trial court abused its discretion in allowing the state, over defendant's objections, to introduce evidence of his life sentence and convictions for rape, kidnapping, and burglary; the error was harmless, however, as defendant was not prejudiced by the evidence in that the jury did not sentence him to death but, rather, to a second life sentence. Diemer v. State, 365 Ark. 61, 225 S.W.3d 348 (2006).

In a capital murder and kidnapping case, evidence was sufficient to corroborate an accomplice’s testimony, such as testimony of other witnesses that one of the victims had stolen marijuana plants from defendant, that defendant instructed others to say he was at home at the time of the murders, and that defendant approached his nephew and told him that if he ever said anything about the victims he would get hurt; however, the case was reversed because the trial court improperly allowed evidence concerning other bad acts and reputation. Green v. State, 365 Ark. 478, 231 S.W.3d 638 (2006).

Where defendant was convicted of aggravated robbery and capital murder for killing a grocery store owner, the trial court did not err in denying defendant's motion for a directed verdict because the jury did not have to resort to speculation and conjecture as it apparently believed testimony from defendant's four friends concerning his actions and admissions on the night the crimes were committed and the next day when he fled. Whitt v. State, 365 Ark. 580, 232 S.W.3d 459 (2006).

Where evidence showed that (1) defendant walked back to the car to retrieve a gun and shot the victim in vital areas, (2) defendant made several inculpatory comments when he went back to the car, and (3) he fled from police, there was sufficient evidence to support a capital murder conviction. Davis v. State, 365 Ark. 634, 232 S.W.3d 476 (2006).

Defendant's conviction for capital murder was supported by substantial evidence where, pursuant to § 5-2-403(b)(1)-(2), he served as an accomplice to the murder by directing his brother to “come on down” from the attic because the victim moved, suggesting that his brother needed to finish killing the victim, which he did while defendant watched. Wilson v. State, 365 Ark. 664, 232 S.W.3d 455 (2006).

There was sufficient evidence to support convictions for aggravated robbery and capital murder based on defendant's admission that she held the victim's hands down while he was beaten inside an apartment during an alleged robbery and the testimony of an accomplice waiting outside; the accomplice testimony was sufficiently corroborated. Johnson v. State, 366 Ark. 8, 233 S.W.3d 123 (2006).

There was sufficient evidence to support a conviction under subdivision (a)(1) of this section where evidence showed that two murders were committed during a robbery, defendant made inculpatory statements regarding the robbery, the victims had a large amount of cash, and defendant made calls to their phone on the day of the shooting. Harris v. State, 366 Ark. 190, 234 S.W.3d 273 (2006).

Appellant's capital murder conviction was affirmed where a prosecution witness testified numerous times that he saw appellant shoot the victim; that testimony alone was enough to sustain the conviction, and it was for the jury to determine the credibility of another witness whose description of the shooter was inconsistent with that testimony. Gaye v. State, 368 Ark. 39, 243 S.W.3d 275 (2006).

Despite defendant's assertion that a shooting was accidental, a motion for a directed verdict was properly denied because there was sufficient evidence to support a conviction for capital murder under § 5-10-101(a)(4), based on the testimony of witnesses to the crime, a prior threat to kill the victim, and the fact that the victim was shot several times. The evidence showed that defendant went to the victim's apartment, hit her several times, and shot and killed her when friends tried to intervene. Boyd v. State, 369 Ark. 259, 253 S.W.3d 456 (2007).

Evidence was sufficient to sustain a capital murder conviction because defendant was with the victim the night before he was found dead in his recliner, there was blood splatter on his walls, an empty carton was found next to the victim's recliner that described a canister of pepper spray, and when defendant was arrested, a canister of pepper spray was found on defendant's person. The chief forensic DNA examiner testified that blood samples from defendant's jeans matched the genetic profile of the victim. Young v. State, 370 Ark. 147, 257 S.W.3d 870 (2007).

Directed verdict was properly denied because a jury entered a general verdict; therefore, it was impossible which part of this section defendant was convicted under. Since defendant's sufficiency challenge only went to proof of the underlying felony, there was sufficient evidence regarding the other elements of capital murder where defendant shot her husband while he slept and took his property. Terry v. State, 371 Ark. 50, 263 S.W.3d 528 (2007).

Defendant's conviction for capital murder was proper pursuant to subdivisions (a)(1) and (a)(1)(vi) of this section because defendant's own testimony indicated that he stabbed the victim and took his property as part of the same incident. The number of wounds, coupled with the testimony that there were some defensive and post-mortem wounds, was sufficient to show circumstances manifesting defendant's extreme indifference to the value of human life. Young v. State, 371 Ark. 393, 266 S.W.3d 744 (2007).

Defendant's capital-murder conviction in violation of subdivision (a)(4) of this section was appropriate because defendant stabbed the victim repeatedly, walked away, and then returned to stab him again. That testimony, along with other evidence showing the nature, location, and extent of the 45 knife wounds, permitted the jury to reasonably infer that defendant murdered the victim with both premeditation and deliberation. Winston v. State, 372 Ark. 19, 269 S.W.3d 809 (2007).

Evidence supported the notion that the victim's death was caused in the course of the aggravated robbery, and the manner of his death indicated that it was caused under circumstances manifesting extreme indifference to the value of human life; a witness's account of defendant's confession indicated that the victim was crying and pleading for his life before he was killed. Moore v. State, 372 Ark. 579, 279 S.W.3d 69 (2008).

At trial for capital murder and unlawful discharge of a firearm from a vehicle, witnesses' in-court identifications of defendant were not so unreliable that his conviction should be overturned because: (1) the jury clearly found the witnesses and their identifications of defendant credible; (2) defendant did not challenge or object to the witnesses' in-court identifications when they were made, but instead attempted to discredit their testimony on cross-examination; and (3) he merely challenged the in-court identifications in the context of his challenge to the sufficiency of the evidence. Davenport v. State, 373 Ark. 71, 281 S.W.3d 268 (2008).

Evidence was sufficient to convict defendant of capital murder and a terroristic act when a witness, a retired deputy sheriff, described the perpetrator of a shooting, and defendant matched the description; moreover, a witness testified as to a possible motive, and defendant's relative testified that defendant had asked the relative to lie for defendant. Stephenson v. State, 373 Ark. 134, 282 S.W.3d 772 (2008).

Substantial evidence supported the jury's verdict of premeditated and deliberated capital murder under subdivision (a)(4) of this section where defendant was identified by three separate witnesses as being in the house with the victim moments before the body was discovered and he was seen bending over the location of the body; a knife with the victim's blood on it was found close by the victim's body and defendant's footprints were in the blood at the scene. Sales v. State, 374 Ark. 222, 289 S.W.3d 423 (2008), cert. denied, Sales v. Arkansas, — U.S. —, 129 S. Ct. 2000, 173 L. Ed. 2d 1098 (2009).

Defendant's convictions for two counts of capital murder in violation of former § 41-1501(c) were appropriate because the evidence was sufficient since defendant's former wife testified that defendant was not home on the night in question, that a shotgun was missing, and that defendant told the wife's daughter that she would not have to return to her father's home. The child's father was one of the victims. Wertz v. State, 374 Ark. 256, 287 S.W.3d 528 (2008).

Where defendant's friend testified that defendant tried to rob the victim in his truck and shot him when he resisted, defendant's fingerprints were found on the truck and the blood on the gun matched defendant's DNA. Even if the friend was deemed an accomplice for purposes of §§ 5-2-403 and 16-89-111(e)(1)(A), the Supreme Court of Arkansas found sufficient corroborating evidence to support defendant's conviction for capital murder. Bush v. State, 374 Ark. 506, 288 S.W.3d 658 (2008).

Defendant's capital-murder conviction under subdivision (a)(4) of this section was appropriate because he admitted in his statement that he killed the victim and the fact that over a minute elapsed between the shot to the victim's thigh and the shot to the victim's head sufficiently showed premeditation and deliberation. Jackson v. State, 375 Ark. 321, 290 S.W.3d 574 (2009).

Defendant's conviction for attempted capital murder, in violation of subdivision (a)(4) of this section and § 5-3-201(a)(2), was supported by the evidence because the victim, defendant's wife, testified that he came into the garage demanding to talk to her, shot her, and commented that she should die; defendant's coworker testified that defendant stated that he was going to shoot his wife if she had any divorce papers. Johnson v. State, 375 Ark. 462, 291 S.W.3d 581 (2009), cert. denied, Johnson v. Arkansas, 558 U.S. 847, 130 S. Ct. 118, 175 L. Ed. 2d 77 (2009).

Defendant's capital-murder convictions in violation of subdivision (a)(4) of this section were appropriate because the evidence was sufficient to support an inference of premeditation and deliberation. One victim was shot multiple times and some of those shots were fired at close range; the other victim's gunshots to his neck originated from behind; and there was no evidence to indicate that defendant's self-defense argument was valid. Wallace v. State, 2009 Ark. 90, 302 S.W.3d 580 (2009).

Where three eyewitnesses testified and identified defendant as the person who fired the shot that killed the victim, his car also matched the description of the car driven by the shooter. The Supreme Court of Arkansas held that the evidence was sufficient to sustain the jury's verdict finding him guilty of murder; the trial court did not err by denying defendant's motion for a directed verdict. Page v. State, 2009 Ark. 112, 313 S.W.3d 7 (2009).

Defendant's convictions for two counts of capital murder in violation of subdivision (a)(4) of this section and two counts of kidnapping in violation of § 5-11-102(a) were appropriate, in part because evidence that defendant possessed a gun similar to that used in the murder was independently relevant proof on the issue of defendant's identity. Moreover, its probative value was not substantially outweighed by the danger of unfair prejudice. Gilcrease v. State, 2009 Ark. 298, 318 S.W.3d 70 (2009).

Defendant's conviction of capital murder under subdivision (a)(9)(A) of this section was affirmed because the evidence, including testimony from a doctor that victim's injuries were not consistent with defendant's version of events and testimony of sergeant that defendant did not explain events until after he learned of injuries, was sufficient. Jackson v. State, 2009 Ark. 336, 321 S.W.3d 260 (2009).

In defendant's capital murder trial arising out of the beating death of the two-year-old child of defendant's girlfriend, the evidence, although circumstantial, was sufficient to support his conviction because it established that the child was in good physical condition when entrusted to defendant's care and that she suffered fatal injuries while in defendant's sole custody. The jury did not err in rejecting defendant's testimony that the child slipped and fell, hitting her head on the floor, because the doctors who treated the child testified that this explanation was implausible and was inconsistent with the head injuries suffered by the child; further, the child suffered extensive injuries over her entire body, and defendant offered no explanation for the origin of the many other significant injuries, which the doctors testified were the result of blunt force trauma. Smith v. State, 2009 Ark. 453, 343 S.W.3d 319 (2009).

Evidence was sufficient to show that defendant bound and robbed the victim, that he left her alone in the loft and fled, and that her death was a result of being bound, and defendant clearly intended to restrict the victim's ability to breath and abandon her in a perilous position, which culminated in her death; there was sufficient evidence to prove defendant deliberately engaged in life-threatening behavior. Sykes v. State, 2009 Ark. 522, 357 S.W.3d 882 (2009).

There was sufficient evidence that defendant killed a victim in the course and furtherance of a robbery and there was a nexus between the murder and the robbery where after striking both victims, defendant grabbed the robbery victim and demanded money. Norris v. State, 2010 Ark. 174, 368 S.W.3d 52 (2010), rehearing denied, — Ark. —, — S.W.3d —, 2010 Ark. LEXIS 292 (May 20, 2010).

In a capital murder prosecution, the trial court did not abuse its discretion by allowing the state to show the jury enlarged photos of the victim's body on a projection screen, as the photos illustrated the crime scene, autopsy photographs were used by the forensic examiner to explain the nature of the injuries and cause of death, and the court examined each photo and applied the proper balancing test. Marcyniuk v. State, 2010 Ark. 257, 373 S.W.3d 243 (2010).

Evidence was sufficient to convict defendant of the capital murder of a victim and theft of the victim's vehicle, including eyewitnesses who saw defendant driving the victim's car and saw him with a .45 caliber pistol, the same caliber that was used to kill the victim, at the time of the murder. Lockhart v. State, 2010 Ark. 278, 367 S.W.3d 530 (2010).

Defendant's conviction for capital murder, in violation of subdivision (a)(4) of this section, was supported by the evidence because the state presented evidence that defendant had grown weary of the victim's behavior, that defendant was intrigued by the idea of killing someone, that defendant believed the victim would be a good choice because of the victim's personality and circumstances, that defendant purchased a knife, that defendant approached the victim with the knife while the victim was passed out, and that defendant stabbed the victim five times. Pearcy v. State, 2010 Ark. 454, 375 S.W.3d 622 (2010).

Defendant's conviction for capital murder under subdivision (a)(4) of this section was supported by substantial evidence that included witness testimony that he had been looking for a victim on the day he was killed, he was in possession of a handgun, and he made threats against the victim. Evans v. State, 2011 Ark. 33, 378 S.W.3d 82 (2011).

Defendant's conviction for capital-murder under subdivision (a)(4) of this section was appropriate because the evidence was sufficient. When confronted with the inconsistencies between the testimony of his daughter's mother and defendant's testimony, the jury believed the mother and found that defendant acted with premeditation and deliberation by taking the shotgun to the house, walking to the porch, loading the gun, and firing at the victim after she threw her hands in surrender. Williams v. State, 2011 Ark. 432, 385 S.W.3d 157 (2011).

Defendant's conviction for capital-felony murder under subdivision (a)(1) of this section and § 5-12-103(a)(3) was appropriate because the evidence was sufficient. The last number dialed on the victim's cellular phone was to a phone registered to defendant and a fellow prisoner testified that defendant confessed to selling drugs to the victim, robbing and shooting him, and then leaving him on the road. Dixon v. State, 2011 Ark. 450, 385 S.W.3d 164 (2011).

Defendant's conviction for capital murder under subdivision (a)(4) of this section was proper because the circuit court did not err in denying his motion for a directed verdict. Defendant's stabbing of the victim brought about the officers' use of deadly force that killed the victim; had defendant not been stabbing her, the officers would not have attempted to end defendant's attack on her by using deadly force. Anderson v. State, 2011 Ark. 461, 385 S.W.3d 214 (2011).

Substantial evidence supported defendant's conviction for capital murder, in violation of subdivision (a)(1)(B) of this section, because the state offered evidence to corroborate defendant's confession; the state presented evidence that the murder victim died at the hands of another. Meadows v. State, 2012 Ark. 57, 386 S.W.3d 470 (2012).

Trial court did not err by denying defendant's motion for a directed verdict because the evidence was sufficient to support his capital murder conviction, as it showed that: (1) prior to the victim's death, defendant bragged to a witness that he was going to kill someone; (2) several hours later, an eyewitness was in the cab of the truck sitting between defendant and the victim when defendant began stabbing the victim repeatedly with a knife; (3) two other witnesses who stopped to help heard defendant admit that he had stabbed the victim and saw defendant toss the knife into the back of the truck; (4) one witness heard defendant tell the eyewitness that they needed to take the truck and get rid of the body; (5) the knife was recovered from the truck and blood on it matched the victim; (6) defendant identified the knife as his own; (7) the victim died as a result of multiple stab wounds that were consistent with the knife that was recovered from the truck; and (8) although there was testimony that defendant was intoxicated on the night of the murder, voluntary intoxication was not a defense. Leach v. State, 2012 Ark. 179, 402 S.W.3d 517 (2012).

Evidence was sufficient to sustain defendant's convictions for capital murder and aggravated robbery because defendant drove his accomplice to the victim's house, defendant admitted to hitting the victim over the head, and the evidence illustrated he wanted to harm the victim because he did it again after he stated that the victim was not fazed. Additionally, the victim's wallet was taken from the house. Laswell v. State, 2012 Ark. 201, 404 S.W.3d 818 (2012).

Evidence was sufficient to sustain convictions for capital murder and aggravated robbery because a witness's testimony corroborated that defendant was an accomplice to the aggravated robbery, defendant knew there was a large amount of marijuana at the home, a gun was used during the robbery, and the victim's death occurred during the robbery under circumstances manifesting extreme indifference to the value of human life. Bradley v. State, 2013 Ark. 58, 426 S.W.3d 363 (2013).

Where defendant appealed his conviction for capital murder in furtherance of aggravated robbery, there was substantial evidence to support the finding that the murder was committed during the course and furtherance of an aggravated robbery. Whatever contradictions, conflicts, and inconsistencies there were in the passenger's testimony were for the jury to resolve, and it could credit those parts of his testimony it believed to be true and disregard those it believed to be false. Wells v. State, 2013 Ark. 389, 430 S.W.3d 65 (2013).

Court did not err in denying defendant's motions for a directed verdict on capital-murder charges, in violation of subdivision (a)(4) of this section, because evidence was offered to establish his relationship with the victims, evidence was offered that he always carried a knife and pistol, and evidence was offered of his attempt to conceal the crimes and to manufacture an alibi. Green v. State, 2013 Ark. 497, 430 S.W.3d 729 (2013).

Evidence was sufficient to sustain defendant's attempted capital murder convictions because, after shooting the officer in the shoulder, defendant fired five additional shots at the fleeing officers; the officer's pat-down of defendant showed that he was unarmed, but he had the wherewithal to run into the apartment and retrieve his gun. Inthisone v. State, 2013 Ark. App. 482 (2013).

Testimony that defendant was the last person with the victim, that defendant told four people that morning that he had killed someone, and that defendant confessed to someone he had used a rock to commit the murder, which had been committed with a piece of concrete, was sufficient to support defendant’s capital murder conviction. Watson v. State, 2014 Ark. 203, 444 S.W.3d 835 (2014).

Sufficient evidence showed defendant's capital murder of a victim, under subdivision (a)(4) of this section, because (1) testimony put defendant where the victim's body was found, (2) the victim's blood was found in the vehicle defendant drove, which reeked of gasoline for which the victim's clothing tested positive, (3) defendant's DNA was found in the victim's vagina, and (4) defendant confessed. Brooks v. State, 2016 Ark. 305, 498 S.W.3d 292 (2016).

It was not error to deny defendant's directed verdict motion on capital murder because substantial evidence supported finding defendant murdered the victim, as (1) the victim was having an affair with defendant's husband, (2) defendant confronted the victim, (3) defendant owned the type of gun used to kill the victim, (4) a shirt testing positive for gunshot residue was found on defendant's bed, (5) defendant was at the crime scene at the time of the murder, (6) defendant lied about her whereabouts, (7) defendant's demeanor changed greatly after the murder, and (8) defendant's conduct after the shooting showed a consciousness of guilt. Hyatt v. State, 2018 Ark. 85, 540 S.W.3d 673 (2018).

Trial court did not err in denying defendant's motions for a directed verdict because substantial evidence supported the jury's verdict that he was guilty of capital murder; four witnesses, two of whom were defendant's own children, testified that he shot the victim, and the eyewitness testimony was consistent with the testimony of the medical examiner. Fletcher v. State, 2018 Ark. 261, 555 S.W.3d 858 (2018).

Evidence was sufficient to convict defendant of capital murder with the premeditated and deliberated purpose of causing the victim's death because the accomplices' testimony was corroborated by defendant's statement to police, forensic evidence, and testimony from other witnesses; the medical examiner (ME) testified that the victim died from internal blood loss caused by multiple blunt force injuries; defendant instructed the accomplices to beat the victim with baseball bats; the ME found oil on the victim's inner thighs and in her vagina, which was consistent with chainsaw oil; and defendant told the accomplices to use chainsaw oil as a lubricant and to shove a baseball bat inside the victim's vagina. Chumley v. State, 2019 Ark. 383, 590 S.W.3d 154 (2019).

While the State's case against defendant for capital felony murder/aggravated robbery was premised on circumstantial evidence, testimony clearly corroborated an accomplice's testimony against defendant and the evidence was sufficient to support the jury's verdict even without the accomplice testimony; testimony from multiple witnesses demonstrated that three masked men entered a gas station convenience store, the man in red demanded money from the owner, shot him in the neck, and then turned his gun on an employee, shooting him in the face. Lawshea v. State, 2019 Ark. 68, 567 S.W.3d 853 (2019).

Circuit court properly sentenced defendant for capital murder, unlawful discharge of a firearm from a vehicle, terroristic act, and employing a firearm in the commission of a felony although a witness testified that he shot the victim rather than the defendant and the State's firearms expert was unable to link the bullet recovered from the victim's body to the alleged murder weapon. The jury was free to believe the testimony of two other witnesses and disbelieve the confessing witness and nothing in the capital-murder statute required the State to prove anything regarding the weapon alleged to have been used. Martinez v. State, 2019 Ark. 85, 569 S.W.3d 333 (2019).

Defendant convicted of capital murder and terroristic act was not prejudiced by the hearsay testimony of a detective regarding a witness's statements to the detective and the circuit court's failure to give the limiting instruction because substantially similar testimony by another witness was admitted without objection. Martinez v. State, 2019 Ark. 85, 569 S.W.3d 333 (2019).

—Attempted Capital Murder.

There was sufficient evidence to convict defendant of attempted capital murder, where the evidence showed defendant threatened to kill the victim and made the conscious decision to attack him with a semiautomatic gun, but the weapon jammed when defendant pointed it at the victim in order to shoot and kill him, and the victim escaped before defendant could attempt to fire again. Hill v. State, 2015 Ark. App. 700, 478 S.W.3d 225 (2015).

Indictment or Information.

Mistake in information in specifying subsection of this section held harmless error. Andrews v. State, 265 Ark. 390, 578 S.W.2d 585 (1979).

Where amended information did not substantially affect the degree of the alleged crime for the original information which specifically designated first-degree murder as a capital felony and the amended information charging capital felony murder were virtually identical but for the statutory designation of the offense; the nature of the crime charged was not affected by the amendment. Pickens v. Lockhart, 714 F.2d 1455 (8th Cir. 1983).

Where the count of the information relating to the criminal attempt to commit capital felony murder gave the date of the alleged offense and stated that the conduct created a substantial step in a course of conduct intended to culminate in the murder of a witness, under the circumstances of the case, the conduct charged had to arise pursuant to subdivision (a)(1); while the court should have required the state to identify the specific statute it relied upon to support the count, failure to do so did not prejudice the defendants. Moore v. State, 280 Ark. 222, 656 S.W.2d 698 (1983).

Where language in the information closely follows that in subdivision (a)(7), defendant has no valid complaint regarding the charge. David v. State, 295 Ark. 131, 748 S.W.2d 117 (1988).

Where the only effect of the amendment to the information was to split the original single count of capital murder into two counts of capital murder under the new statutory definition of that offense, this amendment was a matter of form that did not change the nature of the offense charged. Mitchell v. State, 306 Ark. 464, 816 S.W.2d 566 (1991).

The trial court did not err in allowing the state to amend the information charging “attempt to commit capital felony murder” by allowing the deletion of the word “felony,” after the state had rested its case in chief, and after the defendant's motion to dismiss, because allowing the state to strike the word “felony” from each information did not cause any real change in the nature or degree of the charges against the defendant. Ledguies v. State, 46 Ark. App. 144, 877 S.W.2d 946 (1994).

Pretrial amendment of an information that charged capital murder on the basis of felony murder to add, as an alternative, the charge of capital murder on the basis of premeditated and deliberated purpose, does not change the nature of the crime charged in violation of § 16-85-407(b), nor does the amendment of an information that adds an allegation of habitual offender change the nature or degree of the crime. Nance v. State, 323 Ark. 583, 918 S.W.2d 114 (1996), cert. denied, Nance v. Arkansas, 519 U.S. 847, 117 S. Ct. 134, 136 L. Ed. 2d 83 (1996).

Although a deputy prosecutor had signed the first amended information in the name of the prosecutor, but without the prosecutor's consent, the requirements of Ark. Const. Amend. 21 and subject-matter jurisdiction were met where a later amended information was signed by the prosecutor; the State's first amended information did not taint the subsequent amendments properly filed. Hall v. State, 326 Ark. 318, 933 S.W.2d 363 (1996).

The State's amended information, which charged defendant with one count of capital murder, but alleged both premeditated and deliberated murder “and” capital felony murder while committing robbery and burglary, did not change the nature and degree of the offense and did not prejudice the defendant. Hall v. State, 326 Ark. 318, 933 S.W.2d 363 (1996).

There was no violation of § 16-85-407 when an information in a capital murder trial was amended a few days before trial to include a premeditation and deliberation element because defendant was not surprised by such; her own admissions showed that she acted in a premeditated and deliberative manner when she shot her husband as he slept, she had wanted to leave for a long time, and she fled with some of his belongings. Therefore, there was nothing wrong with including the premeditation and deliberation elements in the jury instructions. Terry v. State, 371 Ark. 50, 263 S.W.3d 528 (2007).

Indifference to Human Life.

Evidence held sufficient for jury conclude that the death was caused under circumstances manifesting extreme indifference to the value of human life. Williams v. State, 281 Ark. 387, 663 S.W.2d 928 (1984).

Conduct manifesting extreme indifference to human life indicates that the perpetrator of capital murder must act with deliberate conduct which culminates in the death of some person. Pruett v. State, 287 Ark. 124, 697 S.W.2d 872 (1985); Burnett v. State, 295 Ark. 401, 749 S.W.2d 308 (1988).

There was substantial evidence of conduct manifesting extreme indifference to the value of human life where the victim was severely bruised, her teeth were broken, and she was strangled. McGehee v. State, 328 Ark. 404, 943 S.W.2d 585 (1997).

In a prosecution for capital felony murder on the basis that the defendant killed a child during the course of and in furtherance of raping her under circumstances manifesting extreme indifference to the value of human life, a jury finding of the aggravating circumstance that the capital murder was committed for the purpose of avoiding or preventing arrest did not improperly elevate the requisite mental state for the charged crime since that crime required proof of deliberate conduct by the defendant and the requirement of deliberate conduct was consistent with the conclusion that the decision to kill the child, after raping her, was motivated by the defendant's desire or purpose to avoid arrest. Coulter v. State, 343 Ark. 22, 31 S.W.3d 826 (2000).

The language making knowingly causing the death of a person 14 years of age or younger a capital offense if committed with extreme indifference for human life is defined as acting with deliberate conduct that culminates in the death of some person. Branstetter v. State, 346 Ark. 62, 57 S.W.3d 105 (2001).

Evidence was sufficient to sustain a capital murder conviction where defendant broke into a home, raped one victim, stole money, and killed another victim; this was done under circumstances manifesting extreme indifference to the value of human life. Isom v. State, 356 Ark. 156, 148 S.W.3d 257 (2004), cert. denied, Isom v. Arkansas, 543 U.S. 865, 125 S. Ct. 204 (2004).

In a capital murder case, the state proved defendant's extreme indifference to the value of human life under subdivision (a)(1) of this section where a witness testified that defendant demanded to hold the gun in the robbery, the witness saw defendant point an arm at the victim, defendant admitted to the shooting during a custodial interrogation but claimed the gun discharged accidentally when the delivery man grabbed it, and expert testimony showed that the fatal shot was not made at a close range. Jordan v. State, 356 Ark. 248, 147 S.W.3d 691 (2004).

Evidence was sufficient to establish that defendant caused the victim's death under circumstances manifesting extreme indifference to the value of human life where defendant (1) admitted pointing a loaded gun at one victim in the course of a robbery, (2) fired a gun at another unarmed victim from less than three feet away, (3) repeatedly threatened to shoot all three victims throughout the ordeal, (4) used a gun to shoot the victim at close range and admitted the shooting was intentional, and (5) not only cursed the victim as he died, but threatened the other victims and locked them in a room so he could get away. Porter v. State, 358 Ark. 403, 191 S.W.3d 531 (2004).

Denial of defendant's motion for directed verdict on capital murder and aggravated murder charges under this section and §§ 5-12-102 and 5-12-103 was proper as the evidence showed that defendant held a pistol, a deadly weapon, and that he committed theft while armed with the pistol; the evidence also showed that he caused the death of the victim in immediate flight from the aggravated robbery under circumstances manifesting extreme indifference to the value of human life. Flowers v. State, 373 Ark. 119, 282 S.W.3d 790 (2008).

Instructions.

If the evidence presented at trial warrants instructions on lesser included offenses, such instructions must be given. Westbrook v. State, 265 Ark. 736, 580 S.W.2d 702 (1979).

Where the trial judge clearly instructed the jury that it could find defendant guilty of capital felony murder if she killed the victim either to rob him or in furtherance of the escape, there was no unreasonable discretion in such circumstances; the jury had to find her guilty of murder committed in the course of or in furtherance of a defined felony. Sumlin v. State, 266 Ark. 709, 587 S.W.2d 571 (1979).

Where in murder prosecution trial, judge instructed the jury as to capital felony murder, murder in the first degree, murder in the second degree, and manslaughter, it could not be said that the application of this section precluded consideration of the lesser offense of murder in the first degree. Wilson v. State, 271 Ark. 682, 611 S.W.2d 739 (1981).

Where two persons are murdered, there can be no evidence to support an instruction on first-degree murder because § 5-10-102 involves the premeditated and deliberate death of one person; accordingly, it was proper for the trial judge, in a double murder prosecution, to give instructions on capital murder, murder in the second degree, and manslaughter, but to refuse to give a requested instruction on murder in the first degree. Couch v. State, 274 Ark. 29, 621 S.W.2d 694 (1981).

Failure to instruct the jury on the elements of aggravated robbery and robbery in conjunction with its instructions on first-degree murder where the court had already instructed the jury on the elements of those crimes when it gave the charge of capital murder held not to be prejudicial error. Simpson v. State, 274 Ark. 188, 623 S.W.2d 200 (1981).

Jury instruction which equated guilt with punishment held to be erroneous. Pickens v. Lockhart, 714 F.2d 1455 (8th Cir. 1983).

Defendant held not prejudiced by the instruction on lesser included offense since the jury convicted him of the greater offense of capital felony murder. Henderson v. State, 279 Ark. 414, 652 S.W.2d 26, cert. denied, Henderson v. Arkansas, 464 U.S. 1012, 104 S. Ct. 536 (1983).

Court's failure to instruct on lesser included offenses was reversible error. Moore v. State, 280 Ark. 222, 656 S.W.2d 698 (1983).

The trial court should not attempt to explain matters concerning parole or executive clemency to a jury; thus, refusal to give the instruction to the effect that if defendant were sentenced to life without parole, he would serve the rest of his life in prison was proper. Pruett v. State, 282 Ark. 304, 669 S.W.2d 186, cert. denied, 469 U.S. 963, 105 S. Ct. 362, 83 L. Ed. 2d 298 (1984).

In a prosecution for attempted capital murder, the trial court properly instructed the jury on both the use of physical force in self defense and deadly force in self defense despite defendant's insistence that only the instruction on physical force be given since it is the trial court's responsibility to give wholly correct instructions and the jury heard evidence that the defendant could have used either physical or deadly force. Elmore v. State, 13 Ark. App. 221, 682 S.W.2d 758 (1985).

The giving of the Allen charge in a capital murder prosecution was erroneous as it would encourage unanimity and possibly encourage a penalty of death in order to avoid a retrial, even though if the jury did not unanimously agree on the death sentence their verdict would automatically stand at life without parole, and there would not be a retrial. Fretwell v. State, 289 Ark. 91, 708 S.W.2d 630 (1986).

When capital felony murder is charged under subdivision (a)(1) of this section, first degree felony murder is “a lesser included offense” because the same evidence used to prove the former of necessity proves the latter; therefore, an instruction of first degree murder is required. Rhodes v. State, 290 Ark. 60, 716 S.W.2d 758 (1986); Sanders v. State, 305 Ark. 112, 805 S.W.2d 953 (1991).

Where the defendant was charged with homicide in the course of a burglary, the failure to instruct on first degree murder was not reversible error because the objection of counsel was that the court should have given the instruction because of evidence, which counsel could not recite, that the defendant entered the victim's residence for a purpose other than to commit a burglary. Rhodes v. State, 290 Ark. 60, 716 S.W.2d 758 (1986).

Where victim testified that defendant deliberately shot him through a car window the testimony provided a basis in the evidence for the trial court's instruction on attempted capital murder. Mitchell v. State, 306 Ark. 464, 816 S.W.2d 566 (1991).

Instructions in defendant's felony murder trial did not deny him due process by improperly shifting the burden of proof to him. Moss v. Lockhart, 971 F.2d 77 (8th Cir. 1992).

Where defendant claims that his counsel was ineffective by failing to object to defective instructions of capital murder, defendant must show that, but for his counsel's failure to object to the trial court's omission when instructing the jury on capital felony murder, the jury would have reached a different decision. Hall v. State, 326 Ark. 318, 933 S.W.2d 363 (1996).

In cases involving a trial court's giving of an erroneous instruction involving the trial mechanism to be used in deciding either a civil or criminal case, the appellant is not required to demonstrate prejudice; such a requirement is often an impossible burden, and the requirement of an impossible burden, in effect, renders the requirement of correct instructions on the law meaningless. Hall v. State, 326 Ark. 318, 933 S.W.2d 363 (1996).

According to the evidence presented at trial, there was a plan between defendant and the accomplice to kill a drug dealer during the drug transaction, defendant admitted to driving the truck to a remote location, there was also some evidence that defendant was in a scheme to murder the victim for a fee, defendant lied about the victim's whereabouts, and defendant fled from the scene; thus, there was ample evidence to rationally support the giving of an instruction on the lesser included offense of first-degree murder. Grillot v. State, 353 Ark. 294, 107 S.W.3d 136 (2003).

In addition to instructions on the elements of capital murder, the jury was instructed on lesser included offenses of first-degree murder, second-degree murder, and manslaughter, and defendant not assert that the model jury instructions inaccurately reflected the law; thus, despite his contention that his proffered instructions were more inclusive and a more clear statement of the law on the various issues, the trial court did not err in refusing to submit them to the jury in his capital murder case. Adams v. State, 2009 Ark. 375, 326 S.W.3d 764 (2009), cert. denied, 559 U.S. 1021, 130 S. Ct. 1922, 176 L. Ed. 2d 392 (2010).

Where defendant appealed his conviction for capital murder in furtherance of aggravated robbery, even if there were any evidence to support the giving of an accomplice witness instruction, defendant had not shown that he was prejudiced by the circuit court's failure to give the instruction because the passenger's testimony was sufficiently corroborated by other evidence. Wells v. State, 2013 Ark. 389, 430 S.W.3d 65 (2013).

Intent.

Whether defendant lacked the ability to form an intent to commit murder was a jury question. Novak v. State, 287 Ark. 271, 698 S.W.2d 499 (1985).

Intent to kill is not an element of the offense under subdivision (a)(1). Sellers v. State, 300 Ark. 280, 778 S.W.2d 603 (1989).

Under subdivision (a)(1) of this section, it is not necessary that the State show that the defendant took an active part in the killing so long as he assisted in the commission of the underlying crimes; a defendant must only have the requisite intent for the underlying felony. Dixon v. State, 319 Ark. 347, 891 S.W.2d 59 (1995).

The nature and extent of a victim's wounds is relevant to a showing of intent. Jones v. State, 329 Ark. 62, 947 S.W.2d 339 (1997), cert. denied, Jones v. Arkansas, 522 U.S. 1002, 118 S. Ct. 574 (1997).

Evidence was sufficient to establish intent where the defendant inmate twice struck an officer on the head with a table leg, the officer served on a committee that disciplined the defendant only two days before the incident, and the defendant was unhappy with the outcome. Jones v. State, 72 Ark. App. 271, 35 S.W.3d 345 (2000).

Absent a legally-recognized defense, where defendant intentionally caused the death of another, his act constituted murder; although defendant claimed he shot his live-in companion because she was ill and he felt sorry for her, it was completely irrelevant that the act was motivated by love rather than malice. Boyle v. State, 363 Ark. 356, 214 S.W.3d 250 (2005).

To be guilty of capital murder under subdivision (a)(10) of this section, defendant's conduct evidencing a purposeful mental state was his firing a gun from his vehicle toward the vehicle of three acquaintances with the knowledge that the target vehicle was occupied. It was not required that he acted purposely with regard to killing of the victim. Price v. State, 373 Ark. 435, 284 S.W.3d 462 (2008).

Judicial Review.

In determining the sufficiency of evidence to uphold a conviction the Supreme Court will affirm if there is substantial evidence to support the jury's verdict. Perry v. State, 277 Ark. 357, 642 S.W.2d 865 (1982).

Trial court did not err by denying defendant's motion for a directed verdict on the capital murder charge because: (1) but for defendant's aggravated robbery, speeding, and fleeing from the police, the trooper would not have been in the roadway attempting to retrieve stop sticks and would not have been struck by another trooper's vehicle; (2) the state presented sufficient evidence that defendant acted under circumstances manifesting an extreme indifference to the value of human life, as it showed that defendant robbed the victim with a gun, fled with his accomplice and the loot in a stolen car on a busy interstate, and initiated a high-speed chase while being pursued by several law enforcement officers with their lights and sirens blaring, thereby engaging in life-threatening activity; and (3) the phrase “under circumstances manifesting extreme indifference to the value of human life” was not void for vagueness, as the cases interpreting the phrase provided fair warning that it involved a life-threatening activity. Jefferson v. State, 372 Ark. 307, 276 S.W.3d 214 (2008).

Jurisdiction.

Defendant's contention that the evidence was insufficient to prove that the murder took place in Arkansas was rejected as, although evidence showed that the victim's body was found in Oklahoma, and there was no positive evidence presented that the crime actually occurred outside of Arkansas; the record provided ample substantial evidence that, at the very least, the premeditation and deliberation element of capital murder and kidnapping by deception occurred in Arkansas. Smith v. State, 367 Ark. 274, 239 S.W.3d 494 (2006).

Where defendant was tried on alternate theories of capital murder—rape felony murder and child-abuse murder—and a general verdict form was used, and extraterritorial jurisdiction did not extend to the alleged rape that occurred in Missouri, the appellate court was unable to determine which theory the jury based the conviction on and therefore the conviction was reversed. Although death was the consequence or result of the rape, rape is not defined to include death as a consequence, and thus, under the plain language of § 5-1-104, extraterritorial jurisdiction did not extend to the alleged rape that occurred in Missouri. Torres v. State, 2019 Ark. 101, 571 S.W.3d 456 (2019).

Jurors.

Defendant's contention that a jury qualified to return a death penalty is necessarily prejudiced on the question of guilt or innocence was not supported where he was convicted of a lesser charge. Rodgers v. State, 261 Ark. 293, 547 S.W.2d 419 (1977).

The defendant's motion that prospective jurors who were opposed to the death penalty not be excused from serving on the jury was properly denied since these jurors would under no circumstances consider imposing the death penalty. Swindler v. State, 267 Ark. 418, 592 S.W.2d 91 (1979), cert. denied, 449 U.S. 1057, 101 S. Ct. 630, 66 L. Ed. 2d 511 (1980).

Exclusion of veniremen because of their uncertainty about, or scruples against, the death penalty held to be proper. Woodard v. State, 273 Ark. 235, 617 S.W.2d 861 (1981), cert. denied, Woodard v. Arkansas, 454 U.S. 1068, 102 S. Ct. 618 (1981); Hobbs v. State, 277 Ark. 271, 641 S.W.2d 9 (1982); Clines v. State, 280 Ark. 77, 656 S.W.2d 684 (1983), cert. denied, Clines v. Arkansas, 465 U.S. 1051, 104 S. Ct. 1328, 79 L. Ed. 2d 723 (1984).

Selection of a jury which agreed in advance to consider the death penalty held proper. Perry v. State, 277 Ark. 357, 642 S.W.2d 865 (1982).

The law of Arkansas permits prospective jurors to be challenged if they would automatically vote for the death penalty upon conviction regardless of the evidence. Grigsby v. Mabry, 569 F. Supp. 1273 (E.D. Ark. 1983), modified, 758 F.2d 226 (8th Cir. Ark. 1985).

Argument of defendant that he was denied an impartial jury because the jury selected was “death qualified” and therefore was biased in favor of the prosecution was rejected. Hayes v. State, 278 Ark. 211, 645 S.W.2d 662 (1983), cert. denied, Hayes v. Arkansas, 464 U.S. 865, 104 S. Ct. 198, 78 L. Ed. 2d 173 (1984); Hayes v. Arkansas, 465 U.S. 1051, 104 S. Ct. 1331, 79 L. Ed. 2d 726 (1984).

Defendant was not prejudiced where venireman stated that he had not formed an opinion about capital punishment before the voir dire began, but he had decided that he believed in it under certain circumstances. Heffernan v. State, 278 Ark. 325, 645 S.W.2d 666 (1983), appeal dismissed, — Ark. —, — S.W.3d —, 2002 Ark. LEXIS 363 (June 13, 2002).

Exclusion for cause of two veniremen because of their uncertainty as to capital punishment, and failure to excuse for cause a venireman who showed a preference for capital punishment, did not constitute abuse of discretion. Clines v. State, 280 Ark. 77, 656 S.W.2d 684 (1983), cert. denied, Clines v. Arkansas, 465 U.S. 1051, 104 S. Ct. 1328, 79 L. Ed. 2d 723 (1984).

Death-qualified juries held to be constitutional. Rector v. State, 280 Ark. 385, 659 S.W.2d 168 (1983), cert. denied, Rector v. Arkansas, 466 U.S. 988, 104 S. Ct. 2370, 80 L. Ed. 2d 842 (1984); Harmon v. State, 286 Ark. 184, 690 S.W.2d 125 (1985); Sullivan v. State, 287 Ark. 6, 696 S.W.2d 709 (1985).

Jurors who are unalterably opposed to capital punishment should not be permitted to participate in the determination of guilt or innocence in capital cases and their exclusion is proper, for either of two reasons; first, because conviction-proneness is neither inherently wrong nor destructive of the juror's impartiality, and second, because a jury system that has served its purpose admirably throughout the nation's history ought not to be twisted out of shape for the benefit of those persons least entitled to special favors. It has always been the law in Arkansas, except when the punishment is mandatory, that the same jurors who have the responsibility for determining guilt or innocence must also shoulder the burden of fixing the punishment; that is as it should be, for the two questions are necessarily interwoven. Rector v. State, 280 Ark. 385, 659 S.W.2d 168 (1983), cert. denied, Rector v. Arkansas, 466 U.S. 988, 104 S. Ct. 2370, 80 L. Ed. 2d 842 (1984).

A juror who would require the prosecutor to prove more elements than the law requires because of the severity of the death penalty was properly struck for cause. Fairchild v. State, 284 Ark. 289, 681 S.W.2d 380 (1984), cert. denied, Fairchild v. Arkansas, 471 U.S. 1111, 105 S. Ct. 2346 (1985).

It is not error to empanel a death-qualified jury. Pruett v. State, 287 Ark. 124, 697 S.W.2d 872 (1985).

Defendant was not denied a fair trial because several jurors were dismissed due to their scruples against the death penalty. Snell v. State, 287 Ark. 264, 698 S.W.2d 289 (1985).

Where the trial judge's determination that three prospective jurors were impartial was fairly supported by the record, and none of the three served on the jury as the defendant exercised his peremptory challenges to excuse them, the defendant was not entitled to relief on the grounds that the trial court had refused to excuse those prospective jurors for cause. Simmons v. Lockhart, 626 F. Supp. 872 (E.D. Ark. 1985), aff'd, 814 F.2d 504 (8th Cir. 1987).

The proper standard to be used in releasing a juror is whether the juror's views would prevent or substantially impair the performance of his duties as a juror in accordance with his instructions and oath. Since Arkansas recognizes the death penalty, jurors in a capital murder case must be able to consider imposing a death sentence if they are to perform their function as jurors; the trial court correctly decided that those excused jurors could not perform their duties, because they could not consider imposing a death sentence. Williams v. State, 288 Ark. 444, 705 S.W.2d 888 (1986).

Where the juror reported to the trial judge that he had received a telephone call during the preceding night to “do good,” the trial court properly refused to grant a mistrial; the judge was in a far better position than the appellate court to say whether the particular juror was affected by the telephone call. Holland v. State, 288 Ark. 435, 706 S.W.2d 375 (1986).

If the question on the juror's mind is the ultimate one of whether the accused is guilty, then that juror is expressing a reasonable doubt, and the verdict is not unanimous; therefore, where, in a capital murder trial, the jurors were polled as to their guilty verdicts and one juror responded that his verdict was with a question, the defendant's conviction was reversed. Rhodes v. State, 290 Ark. 60, 716 S.W.2d 758 (1986).

Lesser Included Offenses.

When capital felony murder is charged under this section, first-degree murder is a “lesser included offense” because the same evidence used to prove the former of necessity proves the latter. Therefore, an instruction on first-degree murder is required. Hill v. State, 303 Ark. 462, 798 S.W.2d 65 (1990).

Premeditated and deliberate capital murder includes the lesser charge of purposeful first degree murder. Allen v. State, 310 Ark. 384, 838 S.W.2d 346 (1992).

Second-degree murder is not a lesser included offense of capital felony murder. Brown v. State, 325 Ark. 504, 929 S.W.2d 146 (1996), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002), but see McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002), restating the test for determining when an offense is included in another offense.

Second-degree murder is a lesser included offense of capital murder only if the accused's mental state is an element of the offense. Brown v. State, 325 Ark. 504, 929 S.W.2d 146 (1996), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002), but see McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002), restating the test for determining when an offense is included in another offense.

Evidence was insuffcient to require the court to give a instruction on manslaughter as a lesser included offense of murder, notwithstanding that the defendant's divorce from the victim's daughter may have aroused unbalancing passion within the defendant, where there was no evidence of provocation. Kail v. State, 341 Ark. 89, 14 S.W.3d 878 (2000).

Felony manslaughter is not a lesser included offense of capital felony murder or first-degree felony murder. Hill v. State, 344 Ark. 216, 40 S.W.3d 751 (2001), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002), but see McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002), restating the test for determining when an offense is included in another offense.

Felony manslaughter added an additional element to felony murder relating to the perpetration of the murder itself and, therefore, was not a lesser included offense of capital murder or first-degree murder. Cook v. State, 77 Ark. App. 20, 73 S.W.3d 1 (2002).

Trial court did not err in declining to give defendant's proffered first-degree murder instruction that the state was required to prove a purposeful intent to kill because the requirement that an act be done “purposely” in subdivision (a)(1) referred only to the act of discharging a firearm. Hardman v. State, 356 Ark. 7, 144 S.W.3d 744 (2004).

Trial court did not err in refusing to give a jury instruction concerning different criminal liabilities of co-defendants because the jury found defendant guilty of capital murder, even though it had been instructed on the lesser included offenses of first and second-degree murder; thus, any error in failing to give a manslaughter or negligent homicide instruction was cured.Vidos v. State, 367 Ark. 296, 239 S.W.3d 467 (2006).

Circuit court erred in instructing the jury on felony manslaughter as a lesser included offense of capital felony murder, because the “extreme indifference” element was not a culpable mental state relating to a specific homicide victim but merely described the dangerous circumstances generally set in motion by defendant, and since the “extreme indifference” standard was not a mens rea related to a specific victim, it could not support a lesser included offense based on a less culpable mental state; the sole mens rea element in capital felony murder and first degree felony murder related to the underlying felony and not to the homicide itself. Perry v. State, 371 Ark. 170, 264 S.W.3d 498 (2007).

Prohibition against double jeopardy was not violated when defendant was convicted of aggravated robbery and attempted capital murder because the robbery was the underlying felony, and aggravated robbery was not the lesser included offense of attempted capital murder. Clark v. State, 373 Ark. 161, 282 S.W.3d 801 (2008).

Aggravated robbery is not a lesser included offense of attempted capital murder because, while an aggravated-robbery charge shares the intent to rob with attempted capital murder, aggravated robbery also requires one of three other elements. Two of those elements, being armed with a deadly weapon, or representing as such, are unique to aggravated robbery, and the third possible element of aggravated robbery is having inflicted or attempted to inflict death or serious physical injury upon another, which is not equivalent to the element in attempted capital murder that a defendant, in the course of or in flight from such robbery, caused the death of a person under circumstances manifesting extreme indifference to the value of human life. Clark v. State, 373 Ark. 161, 282 S.W.3d 801 (2008).

Miranda Warnings.

The court looked at the totality of the circumstances surrounding the interrogation and determined that the State proved that the defendant had the requisite level of comprehension to knowingly waive his rights. Steggall v. State, 340 Ark. 184, 8 S.W.3d 538 (2000).

Where there was no testimony presented to indicate that incarcerated defendant made incriminating statements as a result of violence, threats, coercion or offers of reward, and the testimony presented established that defendant's custodial statements that he intended to kill the assaulted corrections officer were spontaneous, the statements were admissible in defendant's trial for attempted capital murder. Fairchild v. State, 349 Ark. 147, 76 S.W.3d 884 (2002).

With respect to a defendant convicted of capital murder, the trial court did not err in finding that defendant knowingly, voluntarily, and intelligently waived his Miranda rights because: (1) two police officers contradicted defendant's assertion that he was in no condition to make any kind of statement and that he did not understand his Miranda rights, and (2) the trial judge himself had listened to the tape of the interview and so was able to hear for himself whether or not defendant sounded as if he were impaired. Reese v. State, 371 Ark. 1, 262 S.W.3d 604 (2007).

Premeditation and Deliberation.

Evidence held sufficient to show premeditation and deliberation supporting a conviction. Hamilton v. State, 262 Ark. 366, 556 S.W.2d 884 (1977); Stout v. State, 263 Ark. 355, 565 S.W.2d 23 (1978); Swindler v. State, 267 Ark. 418, 592 S.W.2d 91 (1979), cert. denied, 449 U.S. 1057, 101 S. Ct. 630, 66 L. Ed. 2d 511 (1980); Shaw v. State, 299 Ark. 474, 773 S.W.2d 827 (1989), cert. denied, — Ark. —, — S.W.3d —, 2005 Ark. LEXIS 256 (Apr. 28, 2005); Salley v. State, 303 Ark. 278, 796 S.W.2d 335 (1990); Catlett v. State, 331 Ark. 270, 962 S.W.2d 313 (1998).

Premeditation and deliberation can be instantaneous and the intent to kill need not have existed for any appreciable length of time and may also be conceived in a moment. Stout v. State, 263 Ark. 355, 565 S.W.2d 23 (1978).

Premeditation and deliberation and intent may all be inferred from the circumstances, such as the character of the weapon used, the manner in which it is used, the nature, extent and location of the wounds inflicted, the conduct of the accused and the like. Stout v. State, 263 Ark. 355, 565 S.W.2d 23 (1978); Farris v. State, 308 Ark. 561, 826 S.W.2d 241 (1992).

Deliberation and premeditation may be inferred from the circumstances of the case as presented at trial. Westbrook v. State, 265 Ark. 736, 580 S.W.2d 702 (1979).

Defendant was guilty of capital murder if premeditation and deliberation were found, but if a lesser culpable state were found, then a finding of second-degree murder or manslaughter was appropriate. Couch v. State, 274 Ark. 29, 621 S.W.2d 694 (1981).

Premeditation and deliberation are not required to exist for any particular length of time and may be formed almost on the spur of a moment. Ford v. State, 276 Ark. 98, 633 S.W.2d 3 (1982), cert. denied, Ford v. Arkansas, 459 U.S. 1022, 103 S. Ct. 389 (1982).

The matter of premeditation and deliberation, absent a confession, can only be proven by circumstantial evidence. Ford v. State, 276 Ark. 98, 633 S.W.2d 3 (1982), cert. denied, Ford v. Arkansas, 459 U.S. 1022, 103 S. Ct. 389 (1982).

The rule that the requisite state of mind of premeditation and deliberation need not exist for any particular length of time is still law. Fields v. State, 280 Ark. 153, 655 S.W.2d 419 (1983).

Breaking into the victims' house, ransacking the house, raping one of the victims, and then inflicting numerous, deep, and fatal stabs wounds with a large knife upon three different victims is substantial circumstantial evidence of a premeditated and deliberated culpable mental state. Ward v. State, 298 Ark. 448, 770 S.W.2d 109 (1989).

Under § 5-3-201 and this section, premeditation and deliberation constitute the necessary mental state for the commission of attempted capital murder. Salley v. State, 303 Ark. 278, 796 S.W.2d 335 (1990).

Where evidence established that defendant armed himself with a sawed-off shotgun, drove to the housing projects, walked to within six feet of the victim at an angle from which the victim couldn't see, spoke the victim's name, and shot the victim in the side of the head, these circumstances provided more than substantial evidence for the jury to infer defendant's premeditation and deliberation. Smith v. State, 306 Ark. 483, 815 S.W.2d 922 (1991).

Capital murder conviction affirmed where defendant shot, raped, and killed an 85-year-old woman before taking $25 from her purse. Sanford v. State, 331 Ark. 334, 962 S.W.2d 335 (1998).

Evidence of premeditation and deliberation held sufficient where defendant had talked about killing the victim for some months before the murder, and where victim had been shot with a pump shotgun and two different types of shells had been fired. Lloyd v. State, 332 Ark. 1, 962 S.W.2d 365 (1998).

Premeditation and deliberation were sufficiently shown where the defendant shot the victims in the head with a firearm, causing their deaths. Hodge v. State, 332 Ark. 377, 965 S.W.2d 766 (1998).

The evidence was sufficient to show premeditation and deliberation in the defendant's killing of his brother, notwithstanding the contention that there was no eyewitness to the incident and that the only testimony on the point at trial was given by the defendant and showed that his brother initiated the fight and that the defendant only defended himself against his brother's attack, where evidence showed that the brother sustained 21 sharp object wounds and 58 blunt object blows and that he also suffered defense wounds consistent with a person holding up his arms to ward off an attacker. Chase v. State, 334 Ark. 274, 973 S.W.2d 791 (1998).

Because intent can rarely be proved by direct evidence, a jury may infer premeditation and deliberation from circumstantial evidence such as the type and character of the weapon used, the manner in which the weapon was used, the nature, extent, and location of the wounds inflicted, and the conduct of the accused. McFarland v. State, 337 Ark. 386, 989 S.W.2d 899 (1999), cert. denied, McFarland v. Arkansas, 528 U.S. 933, 120 S. Ct. 334 (1999).

The necessary premeditation and deliberation is not required to exist for a particular length of time and may be formed in an instant. McFarland v. State, 337 Ark. 386, 989 S.W.2d 899 (1999), cert. denied, McFarland v. Arkansas, 528 U.S. 933, 120 S. Ct. 334 (1999).

Evidence was sufficient to show premeditation and deliberation where (1) while in a car shortly before his death, the victim was asked either by the defendant or by a coperpetrator in the defendant's presence how it felt to know that he was going to die, and (2) the victim's death was the culmination of two prolonged beatings and torture. McFarland v. State, 337 Ark. 386, 989 S.W.2d 899 (1999), cert. denied, McFarland v. Arkansas, 528 U.S. 933, 120 S. Ct. 334 (1999).

Premeditation is not required to exist for a particular length of time; it may be formed in an instant and is rarely capable of proof by direct evidence but must usually be inferred from the circumstances of the crime. Bangs v. State, 338 Ark. 515, 998 S.W.2d 738 (1999).

Premeditation and deliberation may be inferred from the type and character of the weapon, the manner in which the weapon was used, the nature, extent, and location of the wounds, and the accused's conduct. Cobb v. State, 340 Ark. 240, 12 S.W.3d 195 (2000).

The evidence was sufficient to show that defendant acted with premeditation and deliberation when he went to the victim's home with a recently purchased gun, shot the unarmed victim in the back, causing him to suffer paralysis, and then shot him a second time at point-blank-range in the chest and left him to die. Cobb v. State, 340 Ark. 240, 12 S.W.3d 195 (2000).

Where incarcerated defendant grabbed correction officer's flashlight and inflicted repeated blows to the officer's head causing permanent brain injury, the vicious nature of the attack alone could allow the jury to infer premeditation and deliberation to support defendant's attempted capital murder conviction. Fairchild v. State, 349 Ark. 147, 76 S.W.3d 884 (2002).

Where the medical examiner testified that the victim was lying on a couch and didn't have time to move or react, and evidence showed that there was more than an instant for defendant to decide to kill the victim, leave the room to get a gun, return to the room, aim at the victim, and shoot several times, this was sufficient to show premeditation and deliberation under subdivision (a)(4) of this section. Robinson v. State, 363 Ark. 432, 214 S.W.3d 840 (2005).

There was substantial evidence for the jury to conclude that defendant made a premeditated and deliberate choice to shoot and kill the victim, thus, the trial court did not err by denying defendant's motion for a directed verdict; there was testimony that defendant had possession of the weapon that was used to kill the victim, that defendant had a motive to kill him, and that the shots at the victim were intentional and not random shots into the building. Weston v. State, 366 Ark. 265, 234 S.W.3d 848 (2006).

With respect to a defendant convicted of capital murder, there was sufficient evidence of premeditation and deliberation because: (1) evidence showed that the defendant shot the victim four times, including three shots to the head; (2) the nature and location of gunshot wounds were evidence that the jury could have relied on to infer that the defendant acted with premeditation and deliberation; and (3) there was direct evidence that the defendant stated repeatedly that he intended to kill the victim. Reese v. State, 371 Ark. 1, 262 S.W.3d 604 (2007).

Defendant who stabbed a victim multiple times with a long knife could not be found guilty of aggravated robbery absent evidence that he was trying to get money in addition to money that he had lost to the victim by gambling. His felony-capital murder charge based on the robbery was likewise reversed; however, his premeditated and deliberate purpose capital murder conviction was upheld. Daniels v. State, 373 Ark. 536, 285 S.W.3d 205 (2008), superseded by statute as stated in, Heard v. State, 2009 Ark. 546, 354 S.W.3d 49 (2009).

Substantial evidence was presented to the jury to support a capital murder verdict under subdivision (a)(4) of this section and a finding that defendant murdered the victim with premeditation and deliberation, given that (1) a witness testified to seeing defendant and the victim fighting, then they split up, then defendant went back inside his house a second time before emerging with a shotgun, (2) as the victim began to drive away, defendant fired, and (3) the victim's death was caused by the shotgun pellet; the court rejected defendant's claim that the trial court erred in denying his motions for a directed verdict. Adams v. State, 2009 Ark. 375, 326 S.W.3d 764 (2009), cert. denied, 559 U.S. 1021, 130 S. Ct. 1922, 176 L. Ed. 2d 392 (2010).

Defendant's conviction of capital murder was upheld, as evidence that he stalked the victim; broke into her apartment and waited for her for hours; stabbed her when she opened the door; violently struggled with her while she begged for her life; hid her body and fled, was sufficient to establish premeditation and deliberation under subdivision (a)(4) of this section. Marcyniuk v. State, 2010 Ark. 257, 373 S.W.3d 243 (2010).

Armed defendant's statements to a bank courier, “Come on with the bags, don't make me kill you,” along with his firing the gun three times, provided evidence of deliberation by showing that he considered killing the courier, supporting his conviction for attempted premeditated capital murder. Ali v. State, 2011 Ark. App. 758 (2011).

Because the circuit court engaged in speculation in determining that defendant acted with premeditation and deliberation and improperly shifted the burden of proof to him when weighing the evidence, the court reversed defendant's conviction for capital murder; there was no evidence of close-range fire, there could have been multiple scenarios explaining the trajectory of the bullet, and there was no evidence that defendant picked up a gun, walked up behind the victim, and shot him in the head. Thornton v. State, 2014 Ark. 157, 433 S.W.3d 216 (2014).

Petitioner was not entitled to a writ of error coram nobis because there was no reasonable probability that evidence allegedly suppressed would have resulted in a conviction of a lesser-included offense of capital murder; a witness's statement recanting her testimony that the victim was unarmed did not establish that his murder was justified or refute evidence that petitioner acted with premeditation and deliberation when he shot the victim multiple times in the back and at close range. Stenhouse v. State, 2016 Ark. 295, 497 S.W.3d 679 (2016), cert. denied, — U.S. —, 137 S. Ct. 837, 197 L. Ed. 2d 75 (2017).

Substantial evidence supported a jury's finding that defendant acted with premeditation and deliberation in killing a victim because (1) the victim sustained numerous injuries to the victim's face and head caused by separate blows, (2) the number and nature of wounds showed a prolonged and violent struggle, and (3) the victim was strangled, all showing defendant's conscious object to cause the victim's death. Brooks v. State, 2016 Ark. 305, 498 S.W.3d 292 (2016).

Substantial evidence supported a jury's finding that defendant acted with premeditation and deliberation when committing capital murder because it was possible for the jury to have found that, after having time to cool off after her husband left her, defendant drove to the victim's house with a gun and shot the victim five times. Hyatt v. State, 2018 Ark. 85, 540 S.W.3d 673 (2018).

Preservation for Review.

Difference between the elements of capital murder and first-degree murder under the particular subsections of the statutes at issue is in terms of specificity; the capital-murder statute contains a list of specific felonies the defendant must have committed—here, aggravated robbery, whereas the first-degree murder statute simply requires a death to have occurred during the commission of “a felony”. Jackson v. State, 2018 Ark. App. 330, 552 S.W.3d 55 (2018).

Defendant's challenge to the sufficiency of the evidence supporting his conviction as an accomplice to first-degree murder was preserved; although defense counsel did not mention “first-degree murder” in his directed-verdict motion, considering the subsections of the statutes on which the jury was instructed, the elements of capital murder and first-degree murder were the same. Jackson v. State, 2018 Ark. App. 330, 552 S.W.3d 55 (2018).

Sentence.

Punishment of life imprisonment held not to have resulted from passion or prejudice or jury's abuse of its discretion and the sentence was not so wholly disproportionate to the crime as to shock the moral sense of the community. Stout v. State, 263 Ark. 355, 565 S.W.2d 23 (1978).

Where the defendant was convicted of two felony murders and received the death sentence in each, as authorized by statute for each offense, it was not so disproportionate to the nature of the offense as to shock the moral sense of the community. Clark v. State, 264 Ark. 630, 573 S.W.2d 622 (1978).

Evidence held sufficient to find that defendant's sentence should be reduced from death to life without parole. Henry v. State, 278 Ark. 478, 647 S.W.2d 419 (1983), cert. denied, Henry v. Arkansas, 464 U.S. 835, 104 S. Ct. 121 (1983).

The death sentences were carefully and deliberately compared to sentences in other capital cases, and it was found that the death penalty was fully justified. Ruiz v. State, 280 Ark. 190, 655 S.W.2d 441 (1983).

Juries are not bound under the Arkansas statutory scheme to return a verdict of death if they find aggravating circumstances outweigh mitigating circumstances; whatever the jury may find with respect to aggravation versus mitigation, it is still free to return a verdict of life without parole, simply by finding that the aggravating circumstances do not justify a sentence of death; additionally, because the capital murder statute and the first degree murder statute overlap in appropriate cases, the jury may refuse consideration of both the death penalty and life without parole, by returning a guilty verdict as to the charge of murder in the first degree. Clines v. State, 280 Ark. 77, 656 S.W.2d 684 (1983), cert. denied, Clines v. Arkansas, 465 U.S. 1051, 104 S. Ct. 1328, 79 L. Ed. 2d 723 (1984).

Death penalty held not wantonly, arbitrarily or freakishly imposed, and held not excessive in relation to the crime and the jury's verdict held relatively free of passion or prejudice. Clines v. State, 280 Ark. 77, 656 S.W.2d 684 (1983), cert. denied, Clines v. Arkansas, 465 U.S. 1051, 104 S. Ct. 1328, 79 L. Ed. 2d 723 (1984).

Imposition of death sentence as compared to other capital cases held not to be arbitrary. Rector v. State, 280 Ark. 385, 659 S.W.2d 168 (1983), cert. denied, Rector v. Arkansas, 466 U.S. 988, 104 S. Ct. 2370, 80 L. Ed. 2d 842 (1984).

Evidence held sufficient to find that the trial court should reject the defendant's argument that the death sentence is disproportionate. Hendrickson v. State, 285 Ark. 462, 688 S.W.2d 295 (1985).

Where, when the jury asked the court whether a sentence of life without parole “really means no parole,” and the court answered, by agreement of counsel for the defense and for the state, that under a sentence of life without parole the defendant would be incarcerated for life in the Department of Correction unless the governor commuted the sentence to a term of years, the defendant could not argue on appeal that it was error to give this information to the jury. Snell v. State, 290 Ark. 503, 721 S.W.2d 628 (1986), cert. denied, 484 U.S. 872, 108 S. Ct. 202 (1987).

Where the mandated narrowing function was performed at the guilt phase, the fact that the aggravating circumstance duplicated one of the elements of the crime did not make the sentence constitutionally infirm. Gardner v. State, 296 Ark. 41, 754 S.W.2d 518 (1988).

Habeas relief was not warranted because an applicant was charged under a former first-degree murder statute where a murder was committed in the course of a robbery, and he was properly sentenced to life imprisonment without parole on his plea of guilty to capital-felony murder. An argument that murder in the first degree and capital murder were separate offenses with a separate penalty was rejected. [Decided under former section] Gooch v. Hobbs, 2014 Ark. 73 (2014).

Because the evidence was sufficient to establish the premeditation and deliberation required to convict defendant of capital murder, and because the sentence he received was provided for by statute, the trial court did not exceed its authority in sentencing defendant to life imprisonment without parole. Fletcher v. State, 2018 Ark. 261, 555 S.W.3d 858 (2018).

In accord with Harris v. State, 2018 Ark. 179. Circuit court erred in applying the Fair Sentencing of Minors Act of 2017 (FSMA) to defendant juvenile's case because defendant committed his crime before the effective date of the FSMA, and thus, the penalty provisions did not apply; because defendant's sentence was vacated, he was no longer serving a sentence to which parole eligibility could attach, and thus, the parole-eligibility provision of the FSMA did not apply at the time of his hearing on the State's motion for resentencing. Ray v. State, 2019 Ark. 46, 567 S.W.3d 63 (2019).

Single Continuous Transaction.

Where a murder and robbery occur in close proximity to one another in time and place, the jury is justified in finding the murder and robbery to be one continuous transaction. Mitchell v. State, 314 Ark. 343, 862 S.W.2d 254 (1993).

The state need only prove that a robbery and murder were parts of the same transaction, or occurred within the same brief interval, to support a conviction of capital felony murder and need not show a strict causal relationship between the felony and the homicide. Clay v. State, 324 Ark. 9, 919 S.W.2d 190 (1996).

Evidence sufficient to find that murder and robbery occurred together. Clay v. State, 324 Ark. 9, 919 S.W.2d 190 (1996).

Trial Proceedings.

The late disclosure of the identity of the individual whose phone call led to the discovery of the body of one of the murder victims did not preclude the defense counsel from preparing properly for trial where the counsel failed to disclose how the identity of the caller would have been used if it had been known before the trial. Simmons v. Lockhart, 626 F. Supp. 872 (E.D. Ark. 1985), aff'd, 814 F.2d 504 (8th Cir. 1987).

Where, before the voir dire had begun in a capital murder trial, a roll call of the expected witnesses showed that one witness for the state had not yet arrived and a deputy prosecutor remarked: “I don't know what's happened to him unless he's gotten killed,” a mistrial was properly denied because the remark was just a comment that had nothing to do with the trial and did not impute anything to anyone. Holland v. State, 288 Ark. 435, 706 S.W.2d 375 (1986).

Where, in a capital murder prosecution, evidence indirectly showing that the defendant was in the penitentiary was admissible, it was not error for the prosecutor to have mentioned it in his opening statement. Rhodes v. State, 290 Ark. 60, 716 S.W.2d 758 (1986).

Due to the jury's verdict of guilt only as to second degree murder, defendant was not prejudiced by an asserted error in the trial court's denial of motions for directed verdict on capital murder charges. Hickson v. State, 312 Ark. 171, 847 S.W.2d 691 (1993).

Both the capital murder conviction and the death penalty sentence held invalid and set aside. Miller v. Lockhart, 861 F. Supp. 1425 (E.D. Ark. 1994), aff'd, 65 F.3d 676 (8th Cir. 1995).

Where the evidence of a premeditated and deliberated murder was overwhelming, the trial court's error was harmless. Greene v. State, 317 Ark. 350, 878 S.W.2d 384 (1994).

Joint trial of capital murder defendants upheld where joint trial was lengthy, lasting seventeen days, and perhaps separate trials would have taken twice as long and required twice as many jurors; the evidence was not difficult for the jury to segregate; the evidence was not significantly stronger against one defendant than the other; the testimony of one did not compel the other to testify; there was no significant disparity in criminal records of the defendants; and the trial judge thought the jurors could distinguish the evidence and apply the law intelligently to each offense and to each defendant. Echols v. State, 326 Ark. 917, 936 S.W.2d 509 (1996), cert. denied, 520 U.S. 1244, 117 S. Ct. 1853, 137 L. Ed. 2d 1055 (1997).

In defendant's trial for capital murder, the trial court erred in refusing to allow defendant to exercise all his peremptory challenges against certain Caucasian jurors where the State did not prove purposeful discriminatory intent; thus, reversal in regard to the Batson error was required. Holder v. State, 354 Ark. 364, 124 S.W.3d 439 (2003).

Denial of defendant's motion for a brain injury examination did not deprive defendant of a basic tool for his defense as defendant was examined by a psychologist and he failed to object to the admission of the psychologist's report into evidence; defendant could not assert that failure to appoint a head-injury expert rose to the level of protection afforded by the third Wicks exception as (1) defendant was given an opportunity by the trial court to renew the motion for an appointment of the expert but he failed to do so, (2) it was not the trial court's duty to adequately prepare and present defendant's defense, and (3) defendant's argument could not be reviewed as an issue that fell within the purview of Ark. R. App. P. Crim. 10(b)(iv) because it was not a serious error requiring the trial court to intervene and issue an admonition or declare a mistrial. Springs v. State, 368 Ark. 256, 244 S.W.3d 683 (2006), cert. denied, 550 U.S. 939, 127 S. Ct. 2257, 167 L. Ed. 2d 1100 (2007).

Mistrial should have been granted at a trial for capital murder pursuant to this section because a witness testified that defendant had previously been convicted of terroristic threatening for an incident involving the murder victim. Though there was no proof that defendant had been convicted of terroristic threatening, the state received the benefit of prejudicial testimony, and the statement was so prejudicial that it could not be cured by an admonition to the jury. Williams v. State, 2010 Ark. 89, 377 S.W.3d 168 (2010).

Underlying Felony.

It was not improper to charge a defendant with capital felony murder with aggravated robbery as the underlying felony although subsection (a) only lists “robbery” as one of felonies that can support such a charge, since the General Assembly could not conceivably have intended that robbery, which may involve no force, would support a charge of capital murder, while aggravated robbery, an inherently dangerous crime, would not. Simpson v. State, 274 Ark. 188, 623 S.W.2d 200 (1981); McClendon v. State, 295 Ark. 303, 748 S.W.2d 641 (1988).

Testimony held sufficient evidence to support the robbery allegation as the underlying felony to capital murders. Simpson v. State, 278 Ark. 334, 645 S.W.2d 688 (1983).

The evidence of underlying felony held sufficient to support a conviction for capital felony murder. Novak v. State, 287 Ark. 271, 698 S.W.2d 499 (1985); Findley v. State, 300 Ark. 265, 778 S.W.2d 624 (1989).

To prove capital murder the state must first prove the felony, so the felony becomes an element of the murder charge; because it is an essential element, a defendant cannot be tried separately for these crimes or punished for both. Cozzaglio v. State, 289 Ark. 33, 709 S.W.2d 70 (1986); Bussard v. State, 300 Ark. 174, 778 S.W.2d 213 (1989).

For the phrase “in the course of and in furtherance of the felony” to have any meaning, the underlying felony must have an independent objective which the murder facilitates. Burglary committed when defendant chased the victim into the victim's home before killing him could not serve as the underlying felony under subdivision (a)(1), since the intent to kill is what made the entry into the victim's home a burglary, and the burglary was no more than one step toward the commission of the murder and was not to facilitate the murder. Parker v. State, 292 Ark. 421, 731 S.W.2d 756 (1987).

Subdivision (a)(2) (now subdivision (a)(3)) requires no underlying felony and aggravated robbery is not a lesser included offense of attempted capital murder under subdivision (a)(2) (now subdivision (a)(3)). Where aggravated robbery was not the underlying felony of the defendant's attempted capital murder charge, conviction should not be set aside since the attempted capital murder charge was pursuant to subdivision (a)(2) (now subdivision (a)(3)) and not (a)(1). Rhodes v. State, 293 Ark. 211, 736 S.W.2d 284 (1987).

The trial court should not have entered a judgment on conviction for aggravated robbery where aggravated robbery was the underlying felony relied upon by the state to establish the crime of capital murder. The robbery was an essential element of the crime of capital murder, and therefore the defendant could not have been sentenced for aggravated robbery. McClendon v. State, 295 Ark. 303, 748 S.W.2d 641 (1988).

Subdivision (a)(1) requires only one underlying felony to be merged into the capital murder conviction; it does not require that all other felonies charged at the same time be merged into the capital murder conviction. Richie v. State, 298 Ark. 358, 767 S.W.2d 522 (1989).

The crime of theft is not listed in the capital murder statute as an underlying offense which would support a capital murder charge. Clements v. State, 303 Ark. 319, 796 S.W.2d 839 (1990).

When capital felony murder is charged under this section, first-degree murder is a “lesser included offense” because the same evidence used to prove the former of necessity proves the latter. Therefore, an instruction on first-degree murder is required. Hill v. State, 303 Ark. 462, 798 S.W.2d 65 (1990).

A defendant cannot be convicted of capital felony murder under subdivision (a)(1) of this section where the underlying predicate felony is burglary if the object of the burglary is murder. Parker v. Lockhart, 797 F. Supp. 718 (E.D. Ark. 1992).

Although the penetration of the vagina and anus of the victim caused injuries which contributed to the death of the victim, the rape could be used as the underlying felony to support a capital murder charge; penetration of the vagina or anus of a person was not an act which was subsumed by the murder as the penetration was not necessary to cause the death. Warren v. State, 314 Ark. 192, 862 S.W.2d 222 (1993).

Though subdivision (a)(1) has been amended since 1988, aggravated robbery is a predicate felony for capital murder. Nooner v. State, 322 Ark. 87, 907 S.W.2d 677 (1995), cert. denied, Nooner v. Arkansas, 517 U.S. 1143, 116 S. Ct. 1436, 134 L. Ed. 2d 558 (1996).

Where trial court in capital felony murder case improperly submitted to the jury the issue of the underlying felony of first-degree escape, and the jury found defendant guilty of first-degree escape, defendant's conviction for capital felony murder was proper because it was supported by the jury's additional finding that defendant was guilty of the underlying felony of aggravated robbery, which issue was also submitted to the jury. Williams v. State, 347 Ark. 728, 67 S.W.3d 548 (2002).

Evidence was sufficient to prove defendant committed an aggravated robbery as the underlying felony on a capital murder charge under where the corpus delicti of the homicide was established by independent evidence and, therefore, the underlying felony could be shown by defendant's confession alone; further, the fact that defendant's friend wore a recording device for police did not render their conversation a custodial interrogation. Hall v. State, 361 Ark. 379, 206 S.W.3d 830 (2005).

There was substantial evidence that defendant committed felony capital murder, subdivision (a)(1) of this section, where the victim was a frail, disabled man who could not defend himself and this constituted substantial evidence that defendant killed the victim under circumstances manifesting extreme indifference to the value of human life and that he robbed the victim while armed with a deadly weapon and that he inflicted death in the course of that robbery. Sales v. State, 374 Ark. 222, 289 S.W.3d 423 (2008), cert. denied, Sales v. Arkansas, — U.S. —, 129 S. Ct. 2000, 173 L. Ed. 2d 1098 (2009).

Substantial evidence supported defendant's capital murder conviction under this section, as there was sufficient evidence that defendant committed the underlying felony of attempted robbery under §§ 5-3-201(a)(2), 5-12-102; defendant approached the victim with a weapon, demanded his phone, and pointed the weapon at the victim at point-blank range. Hicks v. State, 2017 Ark. 262, 526 S.W.3d 831 (2017).

Venue.

In a prosecution for capital murder where the victim was kidnapped in one county and murdered in another, venue was proper where the murder occurred. Fairchild v. State, 284 Ark. 289, 681 S.W.2d 380 (1984), cert. denied, Fairchild v. Arkansas, 471 U.S. 1111, 105 S. Ct. 2346 (1985).

Where the pre-trial publicity in a capital murder prosecution consisted of primarily brief factual accounts of the events and many did not refer to the defendant in any manner, the relatively few items which appeared after the defendant was charged concerned the defendant's return from a psychiatric examination, pre-trial motions, and hearing on those motions, and where during the voir dire of prospective jurors, each juror stated that he had no opinion as to the guilt or innocence of defendant and that he would follow the judge's instructions, the pre-trial publicity evidenced in the record was not so inflammatory that a wave of public passion against the defendant existed so as to prejudice his right to a fair trial; therefore, the motion for change of venue was correctly denied. Simmons v. Lockhart, 626 F. Supp. 872 (E.D. Ark. 1985), aff'd, 814 F.2d 504 (8th Cir. 1987).

Cited: Rodgers v. State, 261 Ark. 293, 547 S.W.2d 419 (1977); Pickens v. State, 261 Ark. 756, 551 S.W.2d 212 (1977); Baysinger v. State, 261 Ark. 605, 550 S.W.2d 445 (1977); Scott v. State, 263 Ark. 669, 566 S.W.2d 737 (1978); Swindler v. State, 267 Ark. 418, 592 S.W.2d 91 (1979); Davis v. State, 267 Ark. 507, 592 S.W.2d 118 (1980); Titus v. State, 268 Ark. 9, 593 S.W.2d 164 (1980); Cromwell v. State, 269 Ark. 104, 598 S.W.2d 733 (1980); Jones v. State, 269 Ark. 119, 598 S.W.2d 748 (1980); Brewer v. State, 271 Ark. 254, 608 S.W.2d 363 (1980); Brewer v. State, 271 Ark. 810, 611 S.W.2d 179 (1981); Swindler v. State, 272 Ark. 340, 617 S.W.2d 1 (1981); Woodard v. State, 273 Ark. 235, 617 S.W.2d 861 (1981); Derring v. State, 273 Ark. 347, 619 S.W.2d 644 (1981); Renton v. State, 274 Ark. 87, 622 S.W.2d 171 (1981); Singleton v. State, 274 Ark. 126, 623 S.W.2d 180 (1981); Hayes v. State, 274 Ark. 440, 625 S.W.2d 498 (1981); Alexander v. Housewright, 667 F.2d 556 (8th Cir. 1981); Collins v. Lockhart, 545 F. Supp. 83 (E.D. Ark. 1982); Hill v. State, 275 Ark. 71, 628 S.W.2d 284 (1982); Gruzen v. State, 276 Ark. 149, 634 S.W.2d 92 (1982); Rhodes v. State, 276 Ark. 203, 634 S.W.2d 107 (Ark. 1982); Hall v. State, 276 Ark. 245, 634 S.W.2d 115 (1982); Rasmussen v. State, 277 Ark. 238, 641 S.W.2d 699 (1982); Hobbs v. State, 277 Ark. 271, 641 S.W.2d 9 (1982); Perry v. State, 277 Ark. 357, 642 S.W.2d 865 (1982); Pickens v. Lockhart, 714 F.2d 1455 (8th Cir. 1983); Smith v. State, 279 Ark. 68, 648 S.W.2d 490 (1983); Mackey v. State, 279 Ark. 307, 651 S.W.2d 82 (1983); Rowe v. Lockhart, 736 F.2d 457 (8th Cir. 1984); Blue v. Housewright, 739 F.2d 320 (8th Cir. 1984); Bell v. Lockhart, 741 F.2d 1105 (8th Cir. 1984); Hogan v. State, 281 Ark. 250, 663 S.W.2d 726 (1984); Fairchild v. State, 284 Ark. 289, 681 S.W.2d 380 (1984); Elmore v. State, 13 Ark. App. 221, 682 S.W.2d 758 (1985); Pickens v. State, 284 Ark. 506, 683 S.W.2d 614 (1985); Chandler v. State, 284 Ark. 560, 683 S.W.2d 928 (1985); Burnett v. State, 287 Ark. 158, 697 S.W.2d 95 (1985); Pruett v. State, 287 Ark. 124, 697 S.W.2d 872 (1985); Novak v. State, 287 Ark. 271, 698 S.W.2d 499 (1985); Ginter v. Stallcup, 641 F. Supp. 939 (E.D. Ark. 1986); Roderick v. State, 288 Ark. 360, 705 S.W.2d 433 (1986); Craft v. State, 289 Ark. 466, 712 S.W.2d 303 (1986); Singleton v. Lockhart, 653 F. Supp. 1114 (E.D. Ark. 1986); Simmons v. Lockhart, 814 F.2d 504 (8th Cir. 1987); Simmons v. Lockhart, 709 F. Supp. 1457 (E.D. Ark. 1989); Singleton v. Lockhart, 871 F.2d 1395 (8th Cir. Ark. 1989); Ruiz v. State, 299 Ark. 144, 772 S.W.2d 297 (1989); Abdullah v. State, 301 Ark. 235, 783 S.W.2d 58 (1990); Williams v. State, 303 Ark. 193, 794 S.W.2d 618 (1990); Porter v. Lockhart, 925 F.2d 1107 (8th Cir. 1991); Fretwell v. Lockhart, 946 F.2d 571 (8th Cir. 1991); Johnson v. State, 308 Ark. 7, 823 S.W.2d 800 (Ark. 1992); Smith v. State, 308 Ark. 390, 824 S.W.2d 838 (1992); Butler v. State, 311 Ark. 334, 842 S.W.2d 435 (1992); Tisdale v. State, 311 Ark. 220, 843 S.W.2d 803 (1992); Orndorff v. Lockhart, 998 F.2d 1426 (8th Cir. 1993); Dansby v. State, 319 Ark. 506, 893 S.W.2d 331 (1995); Nicholson v. State, 319 Ark. 566, 892 S.W.2d 507 (1995); Rucker v. State, 320 Ark. 643, 899 S.W.2d 447 (1995); Catlett v. State, 321 Ark. 1, 900 S.W.2d 523 (1995); O'Neal v. State, 321 Ark. 626, 907 S.W.2d 116 (1995); Jordan v. State, 323 Ark. 628, 917 S.W.2d 164 (1996); Wilkins v. State, 324 Ark. 60, 918 S.W.2d 702 (1996); Isbell v. State, 326 Ark. 17, 931 S.W.2d 74 (1996); Cox v. Norris, 958 F. Supp. 411 (E.D. Ark. 1996); Singleton v. Norris, 108 F.3d 872 (8th Cir. 1997); Isbell v. State, 326 Ark. 17, 931 S.W.2d 74 (1996); Bowden v. State, 328 Ark. 15, 940 S.W.2d 494 (1997); Rankin v. State, 329 Ark. 379, 948 S.W.2d 397 (1997); Henderson v. State, 329 Ark. 526, 953 S.W.2d 26 (1997); Roseby v. State, 329 Ark. 554, 953 S.W.2d 32 (1997); Cox v. Norris, 133 F.3d 565 (8th Cir. 1997); Landreth v. State, 331 Ark. 12, 960 S.W.2d 434 (1998); Noel v. Norris, 194 F. Supp. 2d 893 (E.D. Ark. 2002); Jimenez v. State, 83 Ark. App. 377, 128 S.W.3d 483 (2003); Coggin v. State, 356 Ark. 424, 156 S.W.3d 712 (2004); Rhodes v. State, 2009 Ark. App. 665 (2009).

5-10-102. Murder in the first degree.

  1. A person commits murder in the first degree if:
    1. Acting alone or with one (1) or more other persons:
      1. The person commits or attempts to commit a felony; and
      2. In the course of and in the furtherance of the felony or in immediate flight from the felony, the person or an accomplice causes the death of any person under circumstances manifesting extreme indifference to the value of human life;
    2. With a purpose of causing the death of another person, the person causes the death of another person; or
    3. The person knowingly causes the death of a person fourteen (14) years of age or younger at the time the murder was committed.
  2. It is an affirmative defense to any prosecution under subdivision (a)(1) of this section for an offense in which the defendant was not the only participant that the defendant:
    1. Did not commit the homicidal act or in any way solicit, command, induce, procure, counsel, or aid the homicidal act's commission;
    2. Was not armed with a deadly weapon;
    3. Reasonably believed that no other participant was armed with a deadly weapon; and
    4. Reasonably believed that no other participant intended to engage in conduct that could result in death or serious physical injury.
    1. Murder in the first degree is a Class Y felony.
    2. Unless the application of § 16-93-621 results in a person's being eligible for parole at an earlier date, if a person was younger than eighteen (18) years of age at the time he or she committed murder in the first degree and is sentenced to life imprisonment, the person is eligible for parole after serving a minimum of twenty-five (25) years' imprisonment.

History. Acts 1975, No. 280, § 1502; 1981, No. 620, § 10; A.S.A. 1947, § 41-1502; Acts 1987 (1st Ex. Sess.), No. 52, § 1; 1989, No. 856, § 2; 1991, No. 683, § 2; 2017, No. 539, § 7.

A.C.R.C. Notes. Acts 2017, No. 539, § 1, provided: “Title. This act shall be known and may be cited as the ‘Fair Sentencing of Minors Act of 2017’.”

Acts 2017, No. 539, § 2, provided: “Legislative intent.

“(a)(1) The General Assembly acknowledges and recognizes that minors are constitutionally different from adults and that these differences must be taken into account when minors are sentenced for adult crimes.

“(2) As the United States Supreme Court quoted in Miller v. Alabama, 132 S. Ct. 2455 (2012), ‘only a relatively small proportion of adolescents’ who engage in illegal activity ‘develop entrenched patterns of problem behavior,’ and ‘developments in psychology and brain science continue to show fundamental differences between juvenile and adult minds,’ including ‘parts of the brain involved in behavior control’.

“(3) Minors are more vulnerable to negative influences and outside pressures, including from their family and peers, and they have limited control over their own environment and lack the ability to extricate themselves from horrific, crime-producing settings.

“(4) The United States Supreme Court has emphasized through its cases in Miller, Roper v. Simmons, 543 U.S. 551 (2005), and Graham v. Florida, 560 U.S. 48 (2010), that ‘the distinctive attributes of youth diminish the penological justifications for imposing the harshest sentences on juvenile offenders, even when they commit terrible crimes’.

“(5) Youthfulness both lessens a juvenile's moral culpability and enhances the prospect that, as a youth matures into an adult and neurological development occurs, these individuals can become contributing members of society.

“(b) In the wake of these United States Supreme Court decisions and the emerging juvenile brain and behavioral development science, several states, including Texas, Utah, South Dakota, Wyoming, Nevada, Iowa, Kansas, Kentucky, Montana, Alaska, West Virginia, Colorado, Hawaii, Delaware, Connecticut, Vermont, Massachussets, and the District of Columbia, have eliminated the sentence of life without parole for minors.

“(c) It is the intent of the General Assembly to eliminate life without parole as a sentencing option for minors and to create more age-appropriate sentencing standards in compliance with the United States Constitution for minors who commit serious crimes.”

Amendments. The 2017 amendment redesignated former (c) as (c)(1); and added (c)(2).

Cross References. Conduct constituting more than one offense, § 5-1-110.

Research References

ALR.

Propriety of lesser included offense charge of voluntary manslaughter to jury in state murder prosecution — Twenty-first century cases. 3 A.L.R.6th 543.

Sufficiency of Evidence to Support Homicide Conviction Where No Body Was Produced. 65 A.L.R.6th 359.

Ark. L. Rev.

Case Note, Criminal Liability for Attempting to Inflict the AIDS Virus: Possibilities in Arkansas' Future, 45 Ark. L. Rev. 505.

Article, Ethical and Effective Representation in Arkansas Capital Trials, 60 Ark. L. Rev. 1.

U. Ark. Little Rock L.J.

Criminal — Law, 4 U. Ark. Little Rock L.J. 583.

Survey — Criminal Law, 10 U. Ark. Little Rock L.J. 559.

Notes, Criminal Law — Child Abuse Resulting in Death — Arkansas Amends its First Degree Murder Statute, 10 U. Ark. Little Rock L.J. 785.

Survey — Criminal Law, 14 U. Ark. Little Rock L.J. 753.

Case Notes

Constitutionality.

The overlapping nature of § 5-10-101 and this section do not render those statutes unconstitutional in their application. Wilson v. State, 271 Ark. 682, 611 S.W.2d 739 (1981); McClendon v. State, 295 Ark. 303, 748 S.W.2d 641 (1988); White v. State, 298 Ark. 55, 764 S.W.2d 613 (1989); Hill v. State, 303 Ark. 462, 798 S.W.2d 65 (1990); Coulter v. State, 304 Ark. 527, 804 S.W.2d 348 (1991), cert. denied, Coulter v. Arkansas, 502 U.S. 829, 112 S. Ct. 102 (1991).

Capital murder statute and the first-degree murder statute are not vague, since they clearly set out what acts are prohibited and are not constitutionally infirm, even though they overlap, because there is no impermissible uncertainty in the definition of the offenses. Earl v. State, 272 Ark. 5, 612 S.W.2d 98 (1981); McArthur v. State, 309 Ark. 196, 830 S.W.2d 842 (1992).

Where the wording of the capital felony murder statute and the first-degree murder statute overlap, such overlapping is not unconstitutionally vague and the overall scheme is not unconstitutional. Ruiz v. State, 273 Ark. 94, 617 S.W.2d 6 (1981), cert. denied, Ruiz v. Arkansas, 454 U.S. 1093, 102 S. Ct. 659 (1981).

The capital murder statute, § 5-10-101, and the first-degree murder statute are not unconstitutionally vague even though they overlap in such a way that an accused may be charged with either crime for the same conduct. Simpson v. State, 274 Ark. 188, 623 S.W.2d 200 (1981).

The overlap of § 5-10-101(a)(1) and subdivision (a)(1) of this section does not render them unconstitutionally vague, since they clearly set out what acts are prohibited and there is no impermissible uncertainty in the definition of the offenses. Coble v. State, 274 Ark. 134, 624 S.W.2d 421 (1981).

The capital felony murder statute is not unconstitutional on the ground that it overlaps with the first-degree felony murder statute. Abernathy v. State, 278 Ark. 250, 644 S.W.2d 590 (1983).

Capital murder and first-degree murder statutes are constitutional. Simpson v. State, 278 Ark. 334, 645 S.W.2d 688 (1983).

The capital felony murder statute, § 5-10-101(a)(1), and the first-degree murder statute, subdivision (a)(1), are not void for vagueness because they overlap. Owens v. State, 283 Ark. 327, 675 S.W.2d 834 (1984).

Murder during the course of a felony may either be charged as capital or first-degree murder at the discretion of the state and this overlap is not unconstitutional under the void for vagueness doctrine. Penn v. State, 284 Ark. 234, 681 S.W.2d 307 (1984).

The overlap of § 5-10-101(a)(1) with subdivision (a)(1) of this section does not deprive the accused of due process and equal protection of the laws. Cannon v. State, 286 Ark. 242, 690 S.W.2d 725 (1985).

Both the capital murder statute, § 5-10-101, and this section clearly identify the conduct prohibited and unambiguously describe the applicable penalties, thus providing adequate notice; therefore, these sections are not unconstitutionally vague. Simmons v. Lockhart, 626 F. Supp. 872 (E.D. Ark. 1985), aff'd, 814 F.2d 504 (8th Cir. 1987).

Overlapping between “premeditation and deliberation” in the capital murder statute and “purpose” in the first degree murder statute does not render the two statutes void for vagueness. Weaver v. State, 305 Ark. 180, 806 S.W.2d 615 (1991); Ward v. State, 308 Ark. 415, 827 S.W.2d 110 (1992), cert. denied, Ward v. Arkansas, 506 U.S. 841, 113 S. Ct. 124 (1992); Camargo v. State, 327 Ark. 631, 940 S.W.2d 464 (1997).

While § 5-10-101 and this section may appear to overlap on the degree of required intent, this does not render them unconstitutional due to vagueness or arbitrariness. Van Pelt v. State, 306 Ark. 624, 816 S.W.2d 607 (1991); Simpson v. Lockhart, 942 F.2d 493 (8th Cir. 1991).

Section 5-10-101 is not unconstitutionally vague nor does it deny a defendant equal protection because it overlaps with this section. Hill v. Lockhart, 824 F. Supp. 1327 (E.D. Ark. 1993), modified, 28 F.3d 832 (8th Cir. 1994).

This section and the capital murder section, § 5-10-101, are not unconstitutionally vague, and any overlap in the two sections does not create a constitutional infirmity in the sections. Vickers v. State, 313 Ark. 64, 852 S.W.2d 787 (1993).

Subdivision (a)(2) of this section is not void for vagueness, but merely broad enough to cover two situations in which a purposeful killing might occur. Vickers v. State, 313 Ark. 64, 852 S.W.2d 787 (1993).

The phrase “causes the death of another person” in subdivision (a)(2) of this section is commonly understood to have a certain meaning and is not unconstitutionally vague. Vickers v. State, 313 Ark. 64, 852 S.W.2d 787 (1993).

The overlapping of § 5-10-101(a)(4) and subdivision (a)(2) of this section does not constitute some sort of constitutional violation. Buchanan v. State, 315 Ark. 227, 866 S.W.2d 395 (1993).

This section does not unconstitutionally overlap with § 5-10-101. Echols v. State, 326 Ark. 917, 936 S.W.2d 509 (1996), cert. denied, 520 U.S. 1244, 117 S. Ct. 1853, 137 L. Ed. 2d 1055 (1997).

This section is not unconstitutional for failure to adequately distinguish between those people for whom death is appropriate and those for whom it is not because § 5-4-603 narrows the death-eligible class at the sentencing phase. Camargo v. State, 327 Ark. 631, 940 S.W.2d 464 (1997).

There is no unconstitutional overlap in the definition of capital felony murder and the definition of first-degree felony murder provided in this section. Jones v. State, 328 Ark. 307, 942 S.W.2d 851 (1997).

The 1989 version of subdivision (a)(2) of this section, which referred to causing the death of “any person,” while acting with a purpose to cause the death of “another person,” was not unconstitutionally vague or overbroad. Hubbard v. State, 334 Ark. 321, 973 S.W.2d 804 (1998).

At the conclusion of the guilt phase of the death-row inmate's trial, the state trial court instructed the jury on the elements of capital murder, § 5-10-101(a)(1), and first-degree murder, subdivision (a)(1) of this section, which were substantively identical because the underlying felony for both offenses was kidnapping; this overlap did not violate due process by risking arbitrary decisionmaking in a capital case. Williams v. Norris, 576 F.3d 850 (8th Cir. 2009).

Construction.

The reference in subdivision (a)(1) of this section to “a felony” was not meant to exclude the felonies specified in § 5-10-101. Cromwell v. State, 269 Ark. 104, 598 S.W.2d 733 (1980).

Circuit court erred in instructing the jury on felony manslaughter as a lesser included offense of capital felony murder, because the “extreme indifference” element was not a culpable mental state relating to a specific homicide victim but merely described the dangerous circumstances generally set in motion by defendant, and since the “extreme indifference” standard was not a mens rea related to a specific victim, it could not support a lesser included offense based on a less culpable mental state; the sole mens rea element in capital felony murder and first degree felony murder related to the underlying felony and not to the homicide itself. Perry v. State, 371 Ark. 170, 264 S.W.3d 498 (2007).

Accomplice.

There was sufficient proof defendant assisted in the commission of murder, kidnapping and attempted murder, where there was testimony he drove car in which victims were confined, assisted in confining them, and encouraged shootings of the victims. Williams v. State, 329 Ark. 8, 946 S.W.2d 678 (1997).

Trial court properly denied defendant's motion for a directed verdict even though the state medical examiner stated that he could not determine the order in which each of the shots was fired or which shooter (defendant or accomplice) fired each of the 13 gunshots; there was no distinction between principals and accomplices, each was an accomplice and criminally liable for the conduct of both. Tillman v. State, 364 Ark. 143, 217 S.W.3d 773 (2005).

Substantial evidence supported appellant's first-degree murder conviction on an accomplice theory where the multiple phone calls between appellant and his brother, who was accused of shooting the two victims, and witness testimony that appellant and the brother discussed a pistol-whipping incident supported the jury's findings of guilt. Taylor v. State, 2017 Ark. App. 331 (2017).

Substantial evidence supported defendant's convictions as an accomplice to first-degree murder and aggravated robbery. Defendant was in the proximity of the crime; a video put defendant inside the victim's home shortly before the video tended to establish the victim had been killed; and he had the opportunity to aid in the commission of the crime in that he returned quicky to the residence after the other party entered, using his shirt to open the door, and subsequently ran from the house carrying the victim's bag. Jackson v. State, 2018 Ark. App. 330, 552 S.W.3d 55 (2018).

Sufficient evidence supported defendant's conviction for the first-degree murder of her four-year-old daughter because the jury—which viewed autopsy photographs and heard testimony describing the numerous bruises and other injuries covering the victim's body—could have concluded that defendant knew or had reasonable cause to know of the abuse of the victim by defendant's boyfriend and failed to make a proper effort to prevent it, thus making defendant guilty as an accomplice. Dycus v. State, 2019 Ark. App. 385, 585 S.W.3d 167 (2019).

Aggravating Circumstances.

There is no distinction based upon the finding of aggravating circumstances between capital murder under § 5-10-101 and murder in the first degree under this section since neither section makes aggravating circumstances an element of the offense; thus, there is no need to make a finding of some aggravating circumstances in order to sustain a conviction for capital murder. Wilson v. State, 271 Ark. 682, 611 S.W.2d 739 (1981).

Appellate Review.

Substantial evidence supported defendant's first-degree murder conviction; substantial evidence, separate from his sister's testimony, connected defendant to the murder, and whether the sister was less credible because she was once charged as an accomplice was for the jury to decide. However, the case was reversed and remanded for a new trial because the record was not sufficient for the Supreme Court of Arkansas to conduct its review under Ark. Sup. Ct. R. 4-3(i). Thrower v. State, 2018 Ark. 256, 554 S.W.3d 825 (2018).

Assistance of Counsel.

Where the defendant, who had been interrogated for several hours, requested a lawyer, and the police asked her who she wanted to call, but when she did not answer, continued the interrogation, all statements made by the defendant after she requested counsel should have been excluded, and her conviction for the murder of her son was reversed. Hughes v. State, 289 Ark. 522, 712 S.W.2d 308 (1986).

Denial of appellant's, an inmate's, petition for postconviction relief was proper because, while he was not able to directly appeal any challenge to the sufficiency of the evidence, there was substantial evidence to support his felony-murder conviction. He failed to demonstrate that he was prejudiced by trial counsel's error in failing to make a directed-verdict motion on the lesser-included charge of first-degree felony murder under subdivision (a)(1) of this section. Lockhart v. State, 2011 Ark. 396 (2011).

Attempted Murder.

Evidence was sufficient to sustain defendant's conviction for attempted first-degree murder under § 5-3-201(a)(2) and subdivision (a)(1) of this section as the evidence demonstrated that defendant, in the process of fleeing a store that he had just robbed at gunpoint, shot at a police officer two times. A jury could reasonably conclude that the act of shooting at someone was a substantial step toward causing that person's death. Lambert v. State, 2011 Ark. App. 258 (2011).

Burden of Proof.

Where murder in the first degree was charged to have been committed in either of two ways, proof of one would not sustain the charge of the other. Rayburn v. State, 69 Ark. 177, 63 S.W. 356 (1901) (decision under prior law).

In homicide cases, the state had to prove the corpus delicti, which meant that it had to prove beyond a reasonable doubt that deceased was in fact killed and that deceased came to his death by the act of someone other than himself. Hays v. State, 230 Ark. 731, 324 S.W.2d 520 (1959) (decision under prior law).

Nothing in either § 5-10-101 or this section relieves the state of proving each element necessary to constitute a higher degree of culpability than the first-degree murder statute in trying a case under the capital murder statute, and nothing relieved the state of the absolute burden of proving each element of the offense beyond a reasonable doubt. Wilson v. State, 271 Ark. 682, 611 S.W.2d 739 (1981).

It is not a denial of due process for the state to place on the defendant the burden of proof by a preponderance of the evidence of an affirmative defense which negates an element of the crime. Hobgood v. Housewright, 698 F.2d 962 (8th Cir. 1983).

Causation.

State produced sufficient evidence that defendant caused the victim's death; although the expert testimony left open possible concurrent causes for the victim's death, the skull injury clearly contributed to his death, defendant was the only person to hit the victim with the aluminum bat, and the victim's blood was found on the bat. Rollf v. State, 2015 Ark. App. 520, 472 S.W.3d 490 (2015).

Defenses.

One who, while in the actual perpetration of a felony by violence, killed another attempting to prevent the felony could not plead self-defense. Spear v. State, 184 Ark. 1047, 44 S.W.2d 663 (1931) (decision under prior law).

Jury was entitled to determine issue of self-defense in murder trial. Long v. State, 223 Ark. 387, 266 S.W.2d 66 (1954) (decision under prior law).

Where a man was assaulted with a murderous intent, he was under no obligation to retreat but could stand his ground and if need be, kill his adversary; however a requested instruction to the effect that a person viciously assaulted by another is not required to retreat was properly refused where the words “murderous intent” were not used therein. Seward v. State, 228 Ark. 712, 310 S.W.2d 239 (1958) (decision under prior law).

Instruction as to self-defense which appeared in last sentence in instruction “if, however, the assault is so fierce as to make it, apparently, as dangerous for him to retreat as to stand, it is not his duty to retreat, but he may stand his ground, and, if necessary to save his own life, or to prevent a great bodily injury, slay his assailant” was sufficient. Seward v. State, 228 Ark. 712, 310 S.W.2d 239 (1958) (decision under prior law).

Evidence held sufficient to negate claim of self-defense. Seward v. State, 228 Ark. 712, 310 S.W.2d 239 (1958) (decision under prior law); Girtman v. State, 285 Ark. 13, 684 S.W.2d 806 (1985).

Voluntary intoxication could not have the effect of reducing the degree of homicide unless it was accompanied by a temporary destruction of the reason. Young v. State, 230 Ark. 737, 324 S.W.2d 524 (1959) (decision under prior law).

While defendant in murder prosecution did plead self-defense or justification, such plea did not permit the state to offer evidence of specific instances of prior misconduct to show she may have been the aggressor because her character was not an essential element of her claim of self-defense. Rowdean v. State, 280 Ark. 146, 655 S.W.2d 413 (1983).

Voluntary intoxication is a defense to specific intent crimes if the defendant's drunkenness negated the required intent; thus, since murder requires culpability, the defense would be available for a murder charge. David v. State, 286 Ark. 205, 691 S.W.2d 133 (1985).

Where defendant was not at his own home and was by all accounts standing outside when he commenced the shooting, and defendant failed to proffer an instruction with a complete statement of the law regarding the use of deadly force only if retreat was not possible, the trial court did not err in declining to give an instruction on self-defense. Ghoston v. State, 84 Ark. App. 387, 141 S.W.3d 907 (2004).

In a first-degree murder trial, there was substantial evidence supporting the jury's verdict that the State disproved defendant's justification defense; there was no other weapon found in the car with the victim, who was shot in the head from behind, defendant immediately fled the scene, defendant admitted it was his immediate reaction to shoot in response to the victim's grabbing him, and justification was a question of fact for the jury to resolve. Jimmerson v. State, 2019 Ark. App. 578, 590 S.W.3d 764 (2019).

Substantial evidence supported the jury's verdict that the State negated defendant's justification defense because (1) defendant approached the victim and pulled a gun out of his waistband, and, (2) considering eyewitness testimony and a surveillance video, a jury could find that defendant's belief that he was justified in using deadly force was not reasonable. Brown v. State, 2020 Ark. App. 198, 595 S.W.3d 456 (2020).

Degree of Offense.

The homicide statutes do not confer arbitrary power upon prosecutors and juries to select between capital murder and murder in the first degree. Cromwell v. State, 269 Ark. 104, 598 S.W.2d 733 (1980).

Double Jeopardy.

A former acquittal for seduction would not have precluded a trial for the killing of an unborn quick child, though the woman involved in each case was the same and the same general testimony might be adduced at the trial. Young v. State, 176 Ark. 170, 2 S.W.2d 14 (1928) (decision under prior law).

The acquittal of a defendant on a charge of willful murder in the course of an armed robbery where the facts reflected that the jury could not have found defendant present at the crime scene without having been obligated to find him guilty of murder, even if it believed he did not actually fire the fatal shot, prevented a subsequent trial of the defendant on a charge of armed robbery arising from the same set of facts under the constitutional guarantees against double jeopardy. Turner v. Arkansas, 407 U.S. 366, 92 S. Ct. 2096, 32 L. Ed. 2d 798 (1972) (decision under prior law).

Since defendant was convicted of rape and attempted first degree murder, and rape and attempted first degree murder are separate and distinct offenses and each requires proof of a fact which the other does not, the convictions for rape and attempted first degree murder did not violate the double jeopardy clause. Wiman v. Lockhart, 797 F.2d 666 (8th Cir.), cert. denied, 479 U.S. 1021, 107 S. Ct. 678, 93 L. Ed. 2d 728 (1986).

The double jeopardy clause and subsection (a) and subdivision (b)(1) of § 5-1-110 did not preclude the defendant's convictions of both attempted first degree murder and aggravated robbery, where the defendant held the first victim at gunpoint and examined her jewelry with the purpose of committing a theft, and then he shot the second victim. Kinsey v. State, 290 Ark. 4, 716 S.W.2d 188 (1986).

Evidence.

Evidence held sufficient to support conviction. King v. State, 68 Ark. 572, 60 S.W. 951 (1901); Jones v. State, 102 Ark. 195, 143 S.W. 907 (1912); Delaney v. State, 212 Ark. 622, 207 S.W.2d 37 (1948); Black v. State, 215 Ark. 618, 222 S.W.2d 816 (1949), cert. denied, Black v. Arkansas, 338 U.S. 956, 70 S. Ct. 490 (1950); Long v. State, 223 Ark. 387, 266 S.W.2d 66 (1954); Hays v. State, 230 Ark. 731, 324 S.W.2d 520 (1959); Young v. State, 230 Ark. 737, 324 S.W.2d 524 (1959); Moore v. State, 231 Ark. 672, 331 S.W.2d 841 (1960); Shipman v. State, 252 Ark. 285, 478 S.W.2d 421 (1972); Smith v. State, 256 Ark. 321, 507 S.W.2d 110 (1974); Robertson v. State, 256 Ark. 366, 507 S.W.2d 513 (1974); Witham v. State, 258 Ark. 541, 527 S.W.2d 905 (1975) (preceding decisions under prior law); White v. State, 266 Ark. 499, 585 S.W.2d 952 (1979); Titus v. State, 268 Ark. 9, 593 S.W.2d 164 (1980); Bly v. State, 267 Ark. 613, 593 S.W.2d 450 (1980); Williamson v. State, 277 Ark. 52, 639 S.W.2d 55 (1982); Long v. State, 280 Ark. 327, 657 S.W.2d 551 (1983); Girtman v. State, 285 Ark. 13, 684 S.W.2d 806 (1985); Mayer v. State, 285 Ark. 73, 685 S.W.2d 143 (1985); Mason v. State, 285 Ark. 479, 688 S.W.2d 299 (1985); Sims v. State, 286 Ark. 476, 695 S.W.2d 376 (1985); Williams v. State, 289 Ark. 69, 709 S.W.2d 80 (1986); Thomerson v. Lockhart, 835 F.2d 1257 (8th Cir. 1987); Harris v. State, 291 Ark. 504, 726 S.W.2d 267 (1987); Williams v. State, 294 Ark. 345, 742 S.W.2d 932 (1988); Bennett v. State, 297 Ark. 115, 759 S.W.2d 799 (1988); Thomas v. Swanson, 881 F.2d 523 (8th Cir. 1989); Hall v. State, 299 Ark. 209, 772 S.W.2d 317 (1989); Hill v. State, 299 Ark. 327, 773 S.W.2d 424 (1989); Williams v. State, 300 Ark. 84, 776 S.W.2d 359 (1989); Tillman v. State, 300 Ark. 132, 777 S.W.2d 217 (1989); Mulanax v. State, 301 Ark. 321, 783 S.W.2d 851 (1990); Starling v. State, 301 Ark. 603, 786 S.W.2d 114 (1990); Cherry v. State, 302 Ark. 462, 791 S.W.2d 354 (1990); Richmond v. State, 302 Ark. 498, 791 S.W.2d 691 (1990); McKinney v. State, 303 Ark. 257, 797 S.W.2d 415 (1990); Pomerleau v. State, 303 Ark. 275, 795 S.W.2d 929 (1990); Black v. State, 306 Ark. 394, 814 S.W.2d 905 (1991); Smith v. State, 308 Ark. 390, 824 S.W.2d 838 (1992); Coleman v. State, 315 Ark. 610, 869 S.W.2d 713 (1994); Akbar v. State, 315 Ark. 627, 869 S.W.2d 706 (1994); Banks v. State, 315 Ark. 666, 869 S.W.2d 700 (1994); Galvin v. State, 323 Ark. 125, 912 S.W.2d 932 (1996); Walker v. State, 324 Ark. 106, 918 S.W.2d 172 (1996); Booker v. State, 335 Ark. 316, 984 S.W.2d 16 (1998); Thompson v. State, 338 Ark. 564, 999 S.W.2d 192 (1999); Terrell v. State, 342 Ark. 208, 27 S.W.3d 423 (2000); Britt v. State, 344 Ark. 13, 38 S.W.3d 363 (2001); Leaks v. State, 345 Ark. 182, 45 S.W.3d 363 (2001), appeal denied, — Ark. —, — S.W.3d —, 2002 Ark. LEXIS 534 (2002); Britt v. State, 344 Ark. 13, 38 S.W.3d 363 (2001).

Circumstantial evidence would sustain a conviction for murder in the first degree. Culbreath v. State, 96 Ark. 177, 131 S.W. 676 (1910) (decision under prior law) Bennett v. State, 297 Ark. 115, 759 S.W.2d 799 (1988); Scott v. State, 303 Ark. 197, 795 S.W.2d 353 (1990).

Evidence held insufficient to support conviction. McClendon v. State, 197 Ark. 1135, 126 S.W.2d 928 (1939); Nichols v. State, 280 Ark. 173, 655 S.W.2d 450 (1983); Hallman v. State, 288 Ark. 454, 706 S.W.2d 387 (1986); Midgett v. State, 292 Ark. 278, 729 S.W.2d 410 (1987), rehearing denied, 292 Ark. 278, 731 S.W.2d 774 (1987), superseded by statute as stated in, Davis v. State, 325 Ark. 96, 925 S.W.2d 768 (1996).

Circumstantial evidence held sufficient to support a finding that defendant committed the murder. Murry v. State, 276 Ark. 372, 635 S.W.2d 237 (1982); Dixon v. State, 311 Ark. 613, 846 S.W.2d 170 (1993); Carter v. State, 324 Ark. 395, 921 S.W.2d 924 (1996).

Photographs of deceased held admissible. Fuller v. State, 278 Ark. 450, 646 S.W.2d 700 (1983); Smith v. State, 282 Ark. 535, 669 S.W.2d 201 (1984); Parker v. State, 290 Ark. 158, 717 S.W.2d 800 (1986).

Testimony held admissible to show motive and intent. Wood v. State, 280 Ark. 248, 657 S.W.2d 528 (1983); Shankle v. State, 309 Ark. 40, 827 S.W.2d 642 (1992).

Trial judge properly permitted introduction of statements made by defendant before he had been given the Miranda warnings where the officers did not even know if a killing had occurred, but trial judge properly excluded statement made after defendant said he wanted to talk to a lawyer. Futch v. State, 288 Ark. 323, 705 S.W.2d 11 (1986).

Testimony held admissible to disprove defendant's alibi. Taylor v. State, 288 Ark. 456, 706 S.W.2d 384 (1986).

The defendant's reference on the witness stand to his refusal to talk without obtaining legal advice was not analogous to the prosecution mentioning an accused's refusal to testify on his own behalf. Dix v. State, 290 Ark. 28, 715 S.W.2d 879 (1986).

In prosecution for first degree murder, the trial judge did not abuse his discretion in admitting the statement of the murder victim that she had been shot even though it was not disputed that she had been shot; the defendant could not prevent the introduction of relevant evidence simply by stipulating to a fact. Henderson v. State, 291 Ark. 138, 722 S.W.2d 842 (1987), cert. denied, Henderson v. Clinton, 493 U.S. 896, 110 S. Ct. 247 (1989).

Inflammatory photographs may be admitted if they tend to shed light on any issue or if they are useful in assisting the jury in understanding testimony. Williams v. State, 300 Ark. 84, 776 S.W.2d 359 (1989).

Evidence was sufficient to sustain the conviction for knowingly causing the death of a person fourteen (14) years of age or younger under circumstances manifesting cruel and malicious indifference to the value of human life. Porter v. State, 308 Ark. 137, 823 S.W.2d 846 (1992).

Circumstantial evidence held sufficient to support conviction. Smith v. State, 314 Ark. 448, 863 S.W.2d 563 (1993).

Circumstantial evidence sufficient to show that defendant acted with the purposeful intent to kill. Missildine v. State, 314 Ark. 500, 863 S.W.2d 813 (1993).

The nature of the weapon used, and the manner of its use, were such that the evidence of defendant's purpose was sufficient. Harris v. State, 314 Ark. 379, 862 S.W.2d 271, 863 S.W.2d 282 (1993).

Conviction of first-degree murder for the murder and rape of a seven-month-old child upheld. Kinney v. State, 315 Ark. 481, 868 S.W.2d 463 (1994).

The testimony of one witness that defendant spoke earlier of killing the woman he was living with, the testimony of gun dealer that defendant purchased five shotgun shells the afternoon of the murder, and the fact that defendant had the loaded shotgun at his side when he entered the house was sufficient to support his conviction for the first-degree murder of his girlfriend. McArty v. State, 316 Ark. 35, 871 S.W.2d 346 (1994).

Evidence held sufficient to sustain a conviction for first degree murder based on accomplice liability. Riggins v. State, 317 Ark. 636, 882 S.W.2d 664 (1994).

Evidence of shooting held sufficient to support first degree murder conviction. Robinson v. State, 318 Ark. 33, 883 S.W.2d 469 (1994).

The evidence that defendant stabbed victim purposefully causing his death was overwhelming. Bradley v. State, 320 Ark. 100, 896 S.W.2d 425 (1995).

Evidence held sufficient to support conviction where there was substantial evidence the defendant purposely aided and facilitated his accomplices in the commission of first-degree murder. Misskelley v. State, 323 Ark. 449, 915 S.W.2d 702 (1996).

The court erred in admitting into evidence a previous violent incident involving the defendant where there was no logical connection between the previous acts and the crime presently charged, although this error was harmless given the other admissible evidence of defendant's intent to commit murder. Abernathy v. State, 325 Ark. 61, 925 S.W.2d 380 (1996).

Evidence held sufficient to sustain defendant's conviction as an accomplice to first-degree murder where both the defendant and a codefendant testified that an accomplice carried a .38-caliber handgun on the night of the murder, and expert testimony indicated that the bullets recovered from the victim were fired from such a weapon. Matthews v. State, 56 Ark. App. 141, 940 S.W.2d 498 (1997).

Evidence held sufficient to show that defendant struck and shook the child knowing that the result could be serious injury or death. Ladwig v. State, 328 Ark. 241, 943 S.W.2d 571 (1997).

Evidence held sufficient to show that defendant's actions were done with the purpose of causing serious physical injury to another person which resulted in the death of the victim. Moore v. State, 58 Ark. App. 120, 947 S.W.2d 395 (1997).

Evidence that wife beat her husband to death in their apartment held sufficient. Goff v. State, 329 Ark. 513, 953 S.W.2d 38 (Ark. 1997).

Evidence of the numerous blunt-force injuries to the victim's skull, as well as the autopsy evidence that she was strangled, demonstrated that defendant acted with the purpose to cause the victim's death. Mulkey v. State, 330 Ark. 113, 952 S.W.2d 149 (1997).

Evidence was sufficient to show that the defendant acted knowingly in causing the death of his girlfriend's seven-month-old son where (1) the medical testimony of the physicians who treated the child presented uncontroverted evidence of child maltreatment, particularly from descriptions of blunt force trauma causing a skull fracture and brain swelling and hemorrhage leading to the child's death; (2) the radiological studies indicated that the life-threatening injuries occurred during the time in which the defendant was the only caregiver of the child; and (3) the intensive care physician testified that he was “100 percent certain” that the brain injury occurred within an hour of the child's arrival at the hospital. Byrd v. State, 337 Ark. 413, 992 S.W.2d 759 (1999), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002).

The defendant was properly convicted of first degree murder, rather than manslaughter, notwithstanding his contention that he shot the victim under the influence of extreme emotional disturbance for which there was reasonable excuse, where (1) after having sex with the victim in his car and leaving the area, the defendant discovered that his wallet was missing, (2) the defendant went back to the area and found his wallet on the ground, with cash missing, (3) the defendant went home, got his gun and then found the victim and accused her of taking his money, (4) she stated that she did not have his money and taunted him, saying that she did not believe he would shoot her, and (5) the defendant then shot her three times. Franks v. State, 342 Ark. 167, 27 S.W.3d 377 (2000).

Where evidence showed that there was a history of domestic abuse and threats, that defendant had a knife, a pair of handcuffs, duct tape, a leatherman-type tool, and gloves when he was arrested, and that defendant told the unavailable officer that defendant intended to tie the victim up and kill her, the state had no direct evidence of defendant's intent to commit murder without the improperly admitted testimony of the unavailable officer. Proctor v. State, 349 Ark. 648, 79 S.W.3d 370 (2002).

Where the evidence presented showed that: (1) defendant had a stormy relationship with the victim; (2) they argued the night before a fatal shooting; (3) defendant had pointed a gun at the victim in the past; (4) defendant had retrieved a gun on the morning of the shooting; (5) and defendant admitted to shooting the victim, there was sufficient evidence to sustain a conviction for first-degree murder; the evidence was sufficient to show defendant acted purposely, rather than accidentally. Edmond v. State, 351 Ark. 495, 95 S.W.3d 789 (2003).

Based on the testimony of several eyewitnesses that defendant had shot a victim near a vehicle after an argument, there was sufficient evidence presented to infer that defendant acted with a conscious desire to kill the victim. Winbush v. State, 82 Ark. App. 365, 107 S.W.3d 882 (2003).

Sufficient evidence existed to affirm the jury's conclusion that the defendant killed his step-sister, who was residing with the defendant and his wife, based on the defendant's changing his story from the victim's leaving the defendant's home to go to unknown whereabouts to the victim being accidentally killed in a struggle over a rifle with the defendant in his home when she threatened him with the gun, the blood stains found in the home which contradicted the defendant's version of what happened, and the victim's arms being too short to have pulled the trigger and hit herself in the head with a bullet. Robinson v. State, 353 Ark. 372, 108 S.W.3d 622 (2003).

In a murder trial, the officer was not offered as an expert and his testimony on rebuttal, regarding the amount of blood loss in similar cases, was rationally based on the officer's years of experience as a homicide investigator and, therefore, the testimony was admissible as a lay opinion. Robinson v. State, 353 Ark. 372, 108 S.W.3d 622 (2003).

Because the decedent's character was not an essential element of a self-defense for first-degree murder, the trial court did not abuse its discretion in ruling that proffered testimony regarding the decedent's specific instances of violent conduct was not admissible under Ark. R. Evid. 405(b). Anderson v. State, 354 Ark. 102, 118 S.W.3d 574 (2003).

Where defendant, on cross-examination, had questioned the witness about the witness's felony record in order to imply that the witness had recently fabricated his denial that defendant shot the decedent in self-defense, the state was certainly entitled, under Ark. R. Evid. 801(d)(1)(ii), to rebut the allegation with evidence that the witness had made the same statement about the shooting being in “cold blood” immediately after the offense and before the motive for fabrication came into existence. Anderson v. State, 354 Ark. 102, 118 S.W.3d 574 (2003).

Defendant's conviction and sentence for capital murder were affirmed and the trial court properly denied defendant's motion pursuant to suppress statements made while in police custody, as the statements in question were voluntary and were not coerced. Pilcher v. State, 355 Ark. 369, 136 S.W.3d 766 (2003).

There was sufficient evidence to support the verdict finding the first defendant guilty of first-degree murder where (1) the first defendant gave two recorded statements in which she admitted to being at the crime scene, (2) in one of her statements, the first defendant told the police that she intended to kill the victim but was unable to muster the strength and that she handed the murder weapon to the second defendant after he stated that he would kill the victim, thus, confessing to either murdering or aiding in the murder of the victim, and (3) the victim died as a result of a homicide. Woolbright v. State, 357 Ark. 63, 160 S.W.3d 315 (2004).

Evidence was sufficient for conviction of first-degree murder where the victim was last seen in the company of defendant, defendant made statements to his fellow inmates that he had killed the victim with his hands in a fight after an argument, defendant told his brother that he would like to kill the victim, the victim's body was placed on wood burning stove, defendant kicked the pipe off of the stove, and the victim's body was found charred. Johnson v. State, 358 Ark. 460, 193 S.W.3d 260 (2004).

It was not error to admit autopsy photographs of the victim and the condition in which he was found because the medical examiner could not pinpoint a cause of death, and he testified that the photographs would be helpful to the jury in showing why the cause of death was difficult to determine and to more fully explain the damage from the fire to the victim; the trial court properly weighed the potential prejudice against the probative value of the photographs. Johnson v. State, 358 Ark. 460, 193 S.W.3d 260 (2004).

Even if defendant's sufficiency of the evidence argument been preserved, the appellate court would have found that the evidence supporting the verdict of guilty of attempted first-degree murder and filing a false report was substantial where defendant reported her child as missing but later told police where they could find him. Gilbert v. State, 88 Ark. App. 296, 198 S.W.3d 561 (2004).

Trial court did not err in denying defendant's motion to supress certain statements she made during questioning regarding her missing child; although defendant claimed that she had done the best she could to convey to the officer that she was concerned about continuing to talk to him without a lawyer present, when the officer asked defendant whether she was asking for a lawyer, she did not answer that question but continued answering other questions and did not mention a lawyer again during the interview. Gilbert v. State, 88 Ark. App. 296, 198 S.W.3d 561 (2004).

Where defendant fired four to five shots at the victim from his car, he was properly convicted of first-degree murder; the trial court's error in admitting an interspousal communication from defendant's wife in which defendant said he was going to “kill the other guy” was harmless in light of the overwhelming evidence of defendant's guilt. Walker v. State, 91 Ark. App. 300, 210 S.W.3d 157 (2005).

In defendant's murder trial, victim's prior statement to police officer, that defendant assaulted her, was admissible under the catch-all exception of Ark. R. Evid. 804(b)(5) with respect to her unavailability and state of mind; as to whether the statement was admissible as a prior bad act, defendant's confession alone overwhelmingly established the elements of murder in the first degree and, thus, any error as to admitting the hearsay statement was harmless. Wooten v. State, 93 Ark. App. 178, 217 S.W.3d 124 (2005).

Defendant's convictions for first-degree murder, a terroristic act, and possession of firearms by certain persons were proper where the jury believed the witnesses's testimony that defendant fired the only shots and fired toward the group where the victim was standing and toward the nightclub. Jackson v. State, 363 Ark. 311, 214 S.W.3d 232 (2005).

There was sufficient evidence to establish that defendant acted with the purpose of causing the death of the victim; there was eyewitness testimony and the fact that defendant confessed the murder, plus third-party testimony placed defendant at the crime scene. Price v. State, 365 Ark. 25, 223 S.W.3d 817 (2006).

Trial court did not err in admitting juvenile defendant's confession to police officer as the transcript of the interview revealed that no assurance had been given regarding defendant being tried under the juvenile code; to the contrary, the transcript showed that the confession was given of defendant's own free will. Holland v. State, 365 Ark. 55, 225 S.W.3d 353 (2006).

Evidence was sufficient to convict defendant of first degree murder and theft where, in addition to the testimony of defendant's wife, who was an accomplice, defendant's own statements to the police, his conduct before and after the crime, and statements of the victim's friends regarding her fear of defendant tended to connect him to the crimes; further, although there was no evidence that defendant ever drove victim's Cadillac or had the vehicle in his possession, the jury might have determined that defendant facilitated the theft by leaving the accomplice without a vehicle at the victim's house, and there was evidence that the theft of the Cadillac was part of the plan to murder the victim. MacKool v. State, 365 Ark. 416, 231 S.W.3d 676 (2006).

There was substantial evidence to support defendant's convictions where one victim had an order of protection against defendant, he owned a gun that was consistent with the murder weapon, and he was seen the night of crime carrying a bag where he kept the gun; further, after the victim filed for divorce, defendant became increasingly obsessed with her, and a witness saw a fight between defendant and the victim and testified that defendant stated that he would rather see the victim dead than with another man. Brunson v. State, 368 Ark. 313, 245 S.W.3d 132 (2006).

Evidence was sufficient to sustain defendant's first degree murder conviction because defendant had a key to the victim's apartment, he admitted that he was at the apartment on the evening of the murder, defendant purchased drugs that night and told the seller that he had “busted a some-bitch's head,” and defendant lied to the police during the investigation. Dunn v. State, 371 Ark. 140, 264 S.W.3d 504 (2007).

Evidence was sufficient to sustain a first degree murder conviction because defendant admitted to hitting, kicking, and stabbing the victim, a knife blade was found at the crime scene, and a matching handle was later found at defendant's house, and defendant's statement to the investigating officer indicated that his conscious object was to cause the death of the victim. Navarro v. State, 371 Ark. 179, 264 S.W.3d 530 (2007).

Sufficient evidence supported defendant's convictions for first-degree murder under subsection (a) of this section, and aggravated robbery under § 5-12-103(a), including the testimony of several witnesses who saw defendant with the victim's car, as well as the testimony of two witnesses who saw defendant drive the car under the bridge where the victim's body was found and return without the victim in the car. Defendant told one witness that he intended to kill the victim and steal his car, and after the murder he boasted about shooting the victim and showed two witnesses the bullet he found in the victim's car; the bullet he was carrying was consistent with the suspected murder weapon, and the victim's blood was found on his clothing. Boldin v. State, 373 Ark. 295, 283 S.W.3d 565 (2008).

Where defendant confessed and the state's witnesses testified that she shot two victims while they were sitting in her rental car, defendant fled the scene with blood on her hands; parts from a gun were found where she was hiding. The evidence was sufficient to support her conviction for two counts of first-degree murder in violation of subdivision (a)(2) of this section; defendant received consecutive sentences totaling sixty years in prison. Boyce-Reid v. State, 2009 Ark. App. 576 (2009).

Where the state's witness testified that she and defendant drove to the victim's RV in order to rob the victim, defendant entered the residence, grabbed the victim's wallet, handed it to the witness, and then she heard a pop sound; a second witness testified that he had seen defendant with a handgun that day, and defendant told him that he had shot the victim in the head. After the victim was found dead, defendant was convicted of first degree felony murder in violation of subdivision (a)(1) of this section with theft as the underlying felony under § 5-36-103; because defendant did not file a motion for a directed verdict challenging the sufficiency of the evidence supporting his conviction for first degree felony murder, the issue was not preserved for review. Lockhart v. State, 2009 Ark. App. 587 (2009).

Evidence was sufficient to support defendant's conviction of first-degree murder for the killing of a romantic rival and to establish the requisite intent of purposefulness because it showed that defendant, while possessing a knife, drove to the victim's residence, confronted her, and stabbed her with the knife in the ensuing altercation. Mooney v. State, 2009 Ark. App. 622, 331 S.W.3d 588 (2009), review denied, — Ark. —, — S.W.3d —, 2009 Ark. LEXIS 820 (Dec. 10, 2009).

Appellant's conviction for first-degree murder in the death of his three-year-old niece was affirmed where (1) a rape kit indicated pubic hair on the victim's genitalia, and that pubic hair was found by Y-chromosome profiling to match appellant and any of his paternally related male relatives and there was no testimony that appellant's father or his brothers had been around the victim; and (2) the medical examiner testified that the victim could not have sustained such blunt-force trauma injuries and continued to play like a normal child, that she would have become lethargic and passed out. Smith v. State, 2010 Ark. App. 135, 374 S.W.3d 124 (2010), rehearing denied, — Ark. App. —, — S.W.3d —, 2010 Ark. App. LEXIS 286 (Mar. 31, 2010).

While there was no testimony that anyone saw defendant at the scene or with a gun, evidence was sufficient to convict defendant of aggravated robbery, under § 5-12-103, and first-degree murder, under subdivision (a)(1) of this section, as it showed defendant had access to a gun, the car defendant was driving that night was at the scene, and the victim's condition suggested a robbery. Bates v. State, 2010 Ark. App. 417 (2010).

Trial court did not err by denying defendant's motions for a directed verdict because substantial evidence supported his conviction, as there was evidence that: (1) defendant had prior knowledge of his wife's affair with the victim and investigated the victim's background; (2) defendant waited in his truck after arriving at the store until the victim and his wife were standing by their vehicles; and (3) defendant fired multiple shots, chased the victim, and stood over him to deliver a final shot to the head. James v. State, 2010 Ark. 486, 372 S.W.3d 800 (2010), overruled in part, Kou Her v. State, 2015 Ark. 91, 457 S.W.3d 659 (2015).

Evidence was sufficient to convict defendant of first-degree murder under subdivision (a)(2) of this section, as a criminologist confirmed that gunshot residue was found on defendant's clothing, and the intent necessary for first-degree murder could be inferred from the type of weapon used and the nature and extent of the victim's wounds. Gill v. State, 2010 Ark. App. 524, 376 S.W.3d 529 (2010).

Trial court did not err in denying defendant's motion for a directed verdict during a trial for first-degree murder as an accomplice, in violation of subdivision (a)(2) of this section and § 5-2-403(a)(1), because a codefendant testified that defendant hired the codefendant to murder his wife; the state presented the testimony of five witnesses concerning the fear of defendant's wife that he would kill her. Camp v. State, 2011 Ark. 155, 381 S.W.3d 11 (2011).

Denial of appellant's, an inmate's, petition for postconviction relief pursuant to Ark. R. Crim. P. 37.1 was appropriate because the evidence demonstrated that he was not prejudiced by his trial counsel's failure to properly renew his motion for directed verdict at the close of all the evidence. While the inmate was unable to challenge the sufficiency of the evidence in his direct appeal, there was substantial evidence to support the verdicts, including the inmate himself admitting to hitting his wife's car from behind and then getting out of his truck and shooting her; the surviving victim testified that after falling in an attempt to run away from the scene, she looked up and saw the inmate over her smiling and holding a shotgun. Davis v. State, 2011 Ark. 493 (2011).

Defendant's convictions for first-degree murder and aggravated robbery, in violation of subsection (a) of this section and §§ 5-3-201 and 5-12-103(a), were supported by sufficient evidence, as the evidence showed that defendant was armed with a deadly weapon for the purpose of committing the theft of a cab driver, that defendant threatened the driver, and that the driver was shot in the struggle over the gun. Garr v. State, 2011 Ark. App. 509 (2011).

Evidence was sufficient to convict defendant of first-degree murder under subdivision (a)(2) of this section because the three gunshot wounds to the victim alone, at least two of which were fired 35-40 seconds apart, ran counter to defendant's accidental shooting theory; and the evidence supported an inference of purposeful intent under § 5-2-202(1). Smith v. State, 2012 Ark. App. 359 (2012), dismissed, Smith v. Kelley, — F. Supp. 2d —, 2015 U.S. Dist. LEXIS 119827 (E.D. Ark. Sept. 9, 2015).

Appellant's first-degree murder conviction was affirmed because there was evidence that appellant had previously discussed robbing the victim by bashing in his head, there was evidence that appellant owed the victim money and had been cut off from his supply of drugs, and there was evidence that it would be very difficult for the gun to go off accidentally. McClard v. State, 2012 Ark. App. 573 (2012).

Evidence was sufficient to sustain defendant's attempted first-degree murder conviction because defendant knocked on a door and fired a gun at the victim when he opened the door. The jury could reasonably have inferred that defendant purposely engaged in conduct that constituted a substantial step in a course of conduct known to cause death to another person, regardless of that person's identity. Wells v. State, 2012 Ark. App. 596, 424 S.W.3d 378 (2012).

Evidence was sufficient to sustain a first-degree murder conviction because defendant admitted that he stabbed the victim, blood was seen on his shirt, he kept a knife in his room, he was seen going into the room, and a knife box and lid were found on the floor, implying that defendant went into the bedroom and got his knife. Stevenson v. State, 2013 Ark. 100, 426 S.W.3d 416 (2013).

During an inmate's trial for murder in the first degree, in violation of subdivision (a)(2) of this section, the court did not err in denying his motion for a directed verdict because there was ample evidence to support the conclusion that he purposely caused the victim's death under § 5-2-202(1); he admitted to the crime and that it was his intent to kill the victim and that he had to think about how to do it. Kaufman v. State, 2013 Ark. 126 (2013).

Ample evidence existed to support defendant's conviction for the first-degree murder of her husband because she told her daughter that she shot and killed him, the daughter saw her with the pistol, and it was determined that the two empty shell casings from in the kitchen were fired from the only pistol recovered from the scene. Livingston v. State, 2013 Ark. 264, 428 S.W.3d 474 (2013).

Guilty verdict on a first-degree murder charge under subdivision (a)(2) of this section was based on substantial evidence because defendant was alone in his apartment with the victim, his girlfriend, the same night the two had argued and she was shot; defendant admitted at trial that he was holding a loaded .45, with his finger on the trigger, when the gun fired. Shatwell v. State, 2013 Ark. App. 568, 430 S.W.3d 142 (2013).

There was substantial evidence to support defendant's conviction for first-degree murder, including defendant's statements to police, testimony that the victim feared defendant, and testimony from defendant's father that he saw defendant shoot the victim, and the jury was free not to believe defendant's justification defense, Airsman v. State, 2014 Ark. 500, 451 S.W.3d 565 (2014).

One eyewitness unequivocally identified defendant in a photo lineup and at trial as the person who shot the victim and the eyewitness, and his testimony was not so inherently improbable, and thus substantial evidence supported defendant's first-degree murder and attempted first-degree murder convictions. Thomas v. State, 2014 Ark. App. 492, 441 S.W.3d 918 (2014).

Evidence presented was substantial enough that the jury did not have to resort to conjecture to convict defendant of first-degree murder, given in part that witnesses testified that defendant and the victim had been fighting, and although defendant claimed self-defense, the victim was shot in the head, which supported the idea that the victim was shot intentionally, not during a struggle for defendant's life. Toombs v. State, 2015 Ark. App. 71, appeal dismissed, 2015 Ark. 471 (2015).

Defendant was properly convicted of first-degree murder because defendant acted with the purpose to cause the victim's death in that defendant, instead of leaving when defendant's paramour became angry and intoxicated, retrieved a handgun, hid it under a sofa cushion beside defendant, and shot defendant's paramour, after the paramour threw a cup of wine at defendant, when the paramour was in a vulnerable position reclined in the paramour's chair. Scott-Paxson v. State, 2015 Ark. App. 149, 457 S.W.3d 311 (2015).

It was defendant's brother who fired the shot that killed the victim, and although defendant claimed the State failed to prove it was his conscious object to assist his brother, the law in Arkansas made no distinction between the criminal liability of a principal and an accomplice; defendant drove around with the stated purpose to assist in hunting down and killing the victim, and thus the evidence supported his convictions of first-degree murder and committing a terroristic act, and the circuit court properly denied his motions for directed verdict. Starling v. State, 2015 Ark. App. 429, 468 S.W.3d 294 (2015).

Evidence was sufficient to support a conviction for first-degree murder because the victim felt threatened by defendant, defendant fired shots towards the victim while he was sitting in a car, and the victim retaliated by firing shots towards defendant. Fowler v. State, 2015 Ark. App. 579, 474 S.W.3d 120 (2015).

Circuit court did not err in denying defendant's motions for directed verdict because, through the testimony and evidence presented at trial, the jury was apprised of the involvement of the witnesses in the shooting of the victim, and the jury was presented with evidence that defendant chased the victim, blocked the victim's vehicle with defendant's vehicle, and ran up to the victim's car, shooting once into the hood of the car and a second time through the windshield of the car, killing the victim. Starling v. State, 2016 Ark. 20, 480 S.W.3d 158 (2016).

Substantial evidence supported a first-degree felony murder conviction and three terroristic-act convictions under § 5-13-310 where the State was only required to prove that defendant in fact shot at the conveyance the victims were occupying regardless of whether he intended to do so, and three eyewitnesses testified that the surviving victim was in the vehicle when defendant shot at it. Shelton v. State, 2017 Ark. App. 195, 517 S.W.3d 461 (2017).

Substantial evidence supported defendant's conviction for first-degree murder under the felony murder rule because defendant shot and killed a responding auxiliary sheriff's deputy while defendant was hiding two hours after fleeing from a residential burglary with items taken in the burglary. Furthermore, the jury reasonably found that defendant was not justified in defendant's use of deadly force. Kauffeld v. State, 2017 Ark. App. 440, 528 S.W.3d 302 (2017).

Evidence was sufficient to convict defendant of first-degree murder because, after stabbing the victim, defendant immediately started trying to cover up evidence when she hid the knife and returned asking another individual what happened; defendant lied to the police during her first interview about her involvement; lying about a crime could indicate a consciousness of guilt, and a jury could properly consider an attempt to cover up one's connection to a crime as proof of a purposeful mental state; and, contrary to defendant's statement to police that she barely swung the knife, the medical examiner testified that the blade had gone halfway through the victim's body. Stearns v. State, 2017 Ark. App. 472, 529 S.W.3d 654 (2017).

Although the circuit court erred in allowing the State to introduce defendant's text message, the error was harmless because the evidence of defendant's guilt was overwhelming, and any prejudice caused by the introduction of the text message was slight; there was substantial evidence that defendant killed the victim by intentionally running over her with his truck multiple times. Cutsinger v. State, 2017 Ark. App. 647, 536 S.W.3d 134 (2017).

Circuit court did not err in denying defendant's motion for directed verdict as the evidence was sufficient to convict him of first-degree murder; defendant's mother testified at trial that her son told her that he had picked up the victim and helped her into the living room, and the DNA supervisor of the DNA section of the State Crime Laboratory testified that DNA found on the victim's left and right hands was consistent with the DNA profile obtained from defendant. Arnold v. State, 2018 Ark. 343, 561 S.W.3d 727 (2018).

Substantial evidence supported the murder convictions where according to defendant's own confession, he was alone with the two victims and shot them, and the fact that he asked the men to return to his house and had a gun hidden within reach was evidence that he planned the murders. Mosby v. State, 2018 Ark. App. 139, 544 S.W.3d 78 (2018).

Sufficient, direct evidence supported defendant's first-degree murder conviction because (1) a witness who stated she knew defendant and the victim said she saw defendant shoot the victim, (2) other witnesses confirmed the witness was near where the shooting occurred, (3) another witness said defendant shot the victim, (4) a medical examiner said the victim died from a gunshot wound, (5) police found a nine-millimeter shell casing near the victim's body, and witnesses said defendant's father showed the witnesses what looked like a nine-millimeter gun and said the gun was the murder weapon, and (6) any inconsistency in testimony went to weight rather than admissibility. Green v. State, 2018 Ark. App. 145, 544 S.W.3d 574 (2018).

Substantial evidence supported defendant's first-degree felony murder conviction where the jury heard eyewitness testimony that he facilitated, encouraged, and participated in the victim's murder during the course of the aggravated robbery that evening at a gambling house. Price v. State, 2019 Ark. 323, 588 S.W.3d 1 (2019).

Even though another person initially confessed to the murder, substantial evidence supported a first-degree murder conviction against defendant where the other person testified, inter alia, that she heard a shot and that defendant had dragged the victim's body, positioned the victim's truck over the body, and lit the truck on fire, and another witness testified that defendant had asked for help acquiring a gun earlier that day and that he saw defendant at the crime scene the afternoon of the murder. Terrell v. State, 2019 Ark. App. 433, 587 S.W.3d 594 (2019).

Evidence was sufficient to support defendant's first-degree murder conviction because the jury could have found that he acted with the purpose of causing the victim's death, despite defendant's contentions concerning PTSD; two bullet fragments recovered from the victim's brain were fired from defendant's gun, and defendant admitted that he shot his gun due to a disagreement with the victim, then defendant fled the scene. Jimmerson v. State, 2019 Ark. App. 578, 590 S.W.3d 764 (2019).

Evidence that defendant's fingerprints were found on the victim's truck, the victim's blood was found on the jacket defendant was wearing on the evening of the murder, defendant told another that he had been in a fight with the victim and confessed to killing the victim with a knife, and that the victim was stabbed to death seven times was sufficient to support defendant's conviction for first-degree murder. Halliburton v. State, 2020 Ark. 101, 594 S.W.3d 856 (2020).

Sufficient evidence supported defendant's conviction by a jury for the first-degree murder of her 19-month-old child under subdivision (a)(3) of this section; the child was determined to have died from blunt-force injuries and suffocation and the mother's only explanation for the child's internal injuries was discounted by the forensic pathologist who performed the autopsy. Jenkins v. State, 2020 Ark. App. 45, 593 S.W.3d 51 (2020).

Furtherance or Perpetration of Felony.

Murder committed in the perpetration of or attempt to perpetrate certain felonies, including robbery, was deemed murder in the first degree. Washington v. State, 181 Ark. 1011, 28 S.W.2d 1055 (1930) (decision under prior law).

There is no requirement that the underlying felony be a violent one. Hall v. State, 299 Ark. 209, 772 S.W.2d 317 (1989).

Where an assault was only in the furtherance of a murder, not of some other felony, the defendant would not be guilty of felony-murder even if he were so charged because, for the phrase “in the course of and in furtherance of the felony” to have any meaning, the crime must have an independent objective which the murder facilitates. Allen v. State, 310 Ark. 384, 838 S.W.2d 346 (1992).

The trial court committed prejudicial error by denying the defendant's motion to dismiss a first-degree felony-murder charge where the proof at trial showed that he assaulted, beat, and kicked he victim in furtherance of the homicide, rather than in furtherance of committing an independent felony. Craig v. State, 70 Ark. App. 71, 14 S.W.3d 893 (2000).

Where defendant and his accomplices fired gunshots seven or eight minutes after robbing two men, they fled in the murder victim's car to avoid being arrested. The jury was free to find that the murder occurred in the course of the aggravated robbery; therefore, the evidence was sufficient to support defendant's conviction for first-degree felony murder under this section. Rhodes v. State, 2009 Ark. App. 665 (2009).

Circuit court did not err in denying defendant's directed-verdict motion in regard to the terroristic acts where the witnesses testified that he had pointed a gun and shot at the vehicle several times, and the officers testified as to the damage done to the vehicle. The evidence was sufficient to support the jury's inference that defendant shot the vehicle with the intent to cause property damage. Noble v. State, 2017 Ark. 142, 516 S.W.3d 727 (2017).

Looking at the plain language of this section, a person commits murder in the first degree if, in the course of and in furtherance of the felony terroristic act, the person causes the death of any person. Noble v. State, 2017 Ark. 142, 516 S.W.3d 727 (2017).

Circuit court properly denied defendant's motions for directed verdict on the charge of first-degree murder because there was substantial evidence that defendant “in the course of and in furtherance of” committing the terroristic acts of shooting at an occupied vehicle with the intent to cause property damage, caused the death of one of the occupants of the vehicle, defendant had an independent objective to commit terroristic acts, and his intent related to the acts of terrorism, not to the murder. Noble v. State, 2017 Ark. 142, 516 S.W.3d 727 (2017).

Evidence was sufficient to support defendant's conviction of first-degree felony murder, as there was substantial evidence that defendant, in the course of and in furtherance of committing the terroristic act of shooting at an occupied vehicle with the intent to cause property damage, caused the victim's death. Holmes v. State, 2019 Ark. App. 508, 588 S.W.3d 835 (2019).

Indictment or Information.

Indictment held sufficient. Turnage v. State, 182 Ark. 74, 30 S.W.2d 865 (1930) (decision under prior law).

Indictment in first degree murder prosecution, charging killing in perpetration of robbery, need not have alleged an intentional and willful killing. White v. State, 192 Ark. 1102, 96 S.W.2d 771 (1936) (decision under prior law).

Information charging that murder was committed while attempting to commit robbery and that the crime was premeditated and it was committed with malice aforethought was not inconsistent, premeditation being not an essential element that had to be alleged and proved when the indictment charged that the crime was perpetrated while the accused was attempting robbery. Noble v. State, 195 Ark. 453, 112 S.W.2d 631 (1938) (decision under prior law).

Amendment to the information that the offense of murder was committed by defendant while in the attempt to perpetrate the crime of rape was permissible since it changed neither the nature nor the degree of the crime charged. Lee v. State, 229 Ark. 354, 315 S.W.2d 916 (1958), cert. denied, Lee v. Arkansas, 359 U.S. 930, 79 S. Ct. 616 (1959) (decision under prior law).

Amended information did not substantially affect the degree of the alleged crime since the original information specifically designated first-degree murder as a capital felony and the amended information charging capital felony murder were virtually identical but for the statutory designation of the offense; the nature of the crime charged was not affected by the amendment. Pickens v. Lockhart, 714 F.2d 1455 (8th Cir. 1983).

One may be charged with conspiracy to commit capital murder and with capital murder also. One could also be charged as an accomplice in the same case. Shrader v. State, 13 Ark. App. 17, 678 S.W.2d 777 (1984).

Trial court did not err in refusing to reduce charge to second-degree murder on double jeopardy grounds. Lamb v. State, 23 Ark. App. 115, 743 S.W.2d 399 (1988).

In a murder case, the trial court did not err in allowing the state to amend the information on the morning of trial to include a felony-firearm enhancement. Because the charge defendant was tried for was contained in the original information, the reviewing court failed to see how defendant was unfairly surprised or otherwise prejudiced by the amended information. Plessy v. State, 2012 Ark. App. 74, 388 S.W.3d 509 (2012).

Instructions.

Refusal to instruct the jury as to the degree of homicide lower than murder in the first degree held not error. Alexander v. State, 103 Ark. 505, 147 S.W. 477 (1912); Dewein v. State, 114 Ark. 472, 170 S.W. 582 (1914) (preceding decisions under prior law).

Instruction in prosecution for first degree murder requiring finding that defendant willfully, unlawfully and feloniously and with malice aforethought, and after premeditation and deliberation, or while in the perpetration of or attempt to perpetrate robbery, killed the deceased, was proper though indictment did not allege that the killing was in perpetration of a robbery but alleged the malicious, deliberate and premeditated killing. House v. State, 192 Ark. 476, 92 S.W.2d 868 (1936) (decision under prior law).

In a prosecution for murder in the first degree where appellant allegedly poisoned her husband, it was not error for the court to instruct the jury on second degree murder and on this charge appellant was properly convicted. Smith v. State, 222 Ark. 650, 262 S.W.2d 272 (1953) (decision under prior law).

Refusal to instruct the jury on lesser degrees of homicide held error. Montague v. State, 240 Ark. 162, 398 S.W.2d 524 (1966); Bosnick v. State, 248 Ark. 846, 454 S.W.2d 311 (1970); Moore v. State, 280 Ark. 222, 656 S.W.2d 698 (1983) (preceding decisions under prior law).

Court did not err in instructing jury on first degree murder where evidence would have supported conviction on that charge. Ricketts v. State, 254 Ark. 409, 494 S.W.2d 462 (1973) (decision under prior law).

Where two persons are murdered, there can be no evidence to support an instruction on first degree murder because this section involves the premeditated and deliberate death of one person; accordingly, it was proper for the trial judge in a double murder prosecution to give instructions on capital murder, murder in the second degree and manslaughter, but to refuse to give a requested instruction on murder in the first degree. Couch v. State, 274 Ark. 29, 621 S.W.2d 694 (1981).

Failure to instruct the jury on the elements of aggravated robbery and robbery in conjunction with its instructions on first-degree murder where the court had already instructed the jury on the elements of those crimes when it gave the charge of capital murder held not error. Simpson v. State, 274 Ark. 188, 623 S.W.2d 200 (1981).

The trial court improperly inserted the words “a felony” in its instructions on first-degree murder instead of inserting the specific underlying felonies of either aggravated robbery or simple robbery. Simpson v. State, 274 Ark. 188, 623 S.W.2d 200 (1981).

Instruction on second-degree murder which provided alternate theories by which the defendant could be convicted held proper. McLemore v. State, 274 Ark. 527, 626 S.W.2d 364 (1982).

Defendant held not prejudiced by the trial court's refusal to give his proffered instruction on self-defense. Johnson v. State, 6 Ark. App. 342, 642 S.W.2d 324 (1982).

In a prosecution for first degree murder, the trial court did not err in refusing to instruct the jury on the lesser offense of negligent homicide where the trial court did instruct the jury on the lesser offenses of second degree murder and manslaughter. Sherron v. State, 285 Ark. 8, 684 S.W.2d 247 (1985).

Where the defense failed to remind the trial court to give the instruction, and the jury had already heard evidence that the defendant had admitted the killing, the defendant was not prejudiced by the trial court's failure to give a cautionary instruction which would have told the jury that the statement was to be considered only for impeachment purposes and not as substantive evidence of the defendant's guilt. Futch v. State, 288 Ark. 323, 705 S.W.2d 11 (1986).

When capital felony murder is charged under subdivision (a)(1) of § 5-10-101, first degree felony murder is “a lesser included offense” because the same evidence used to prove the former of necessity proves the latter; therefore, an instruction on first degree murder is required. Rhodes v. State, 290 Ark. 60, 716 S.W.2d 758 (1986).

Where the defendant was charged with homicide in the course of a burglary, the failure to instruct on first degree murder was not reversible error because the objection of counsel was that the court should have given the instruction because of evidence, which counsel could not recite, that the defendant entered the victim's residence for a purpose other than to commit a burglary. Rhodes v. State, 290 Ark. 60, 716 S.W.2d 758 (1986).

The trial judge did not err in refusing to give the defendant's requested instruction on accident where the defendant's argument that the shooting was accidental was addressed to each charge of first degree murder, second degree murder, and manslaughter, and its appropriately defined mental state, and all requisite mental states were before the jury in proper instructions. Sims v. State, 19 Ark. App. 45, 716 S.W.2d 774 (1986).

Where jury convicted defendant on the greater offense of first degree murder even though instructions regarding the lesser included offense of second degree murder had been given any error resulting from the failure to give instructions regarding lesser included offenses of manslaughter and negligent homicide was cured. Taylor v. State, 303 Ark. 586, 799 S.W.2d 519 (1990).

In cases where the statutes overlap and both instructions are required, the jury may refuse consideration of both the death penalty and life without parole by returning a guilty verdict as to the charge of murder in the first degree; where the trial court refused to give instructions on option of first degree murder, it took this option away from the jury and the defendant was prejudiced by the omission of the proper instruction. Sanders v. State, 305 Ark. 112, 805 S.W.2d 953 (1991).

Instruction that jury could find the defendant guilty of first-degree murder if they found he acted with the purpose of causing the death of one of the victims is consistent with the language of this section. Misskelley v. State, 323 Ark. 449, 915 S.W.2d 702 (1996).

Court of appeals held that, where a state jury could have convicted petitioner of first-degree murder under former § 5-10-102(a)(3) based on an erroneous jury instruction, trial counsel's failure to object to the instruction was prejudicial and habeas relief was warranted. Reagan v. Norris, 365 F.3d 616 (8th Cir. 2004).

Because the jury found defendant guilty of capital murder, it could not consider the charge of murder in the first degree nor its affirmative defense; accordingly, any error the trial court might have committed in instructing the jury on the affirmative defense murder in the first degree was harmless. Jackson v. State, 359 Ark. 87, 194 S.W.3d 757 (2004).

In addition to instructions on the elements of capital murder, the jury was instructed on lesser included offenses of first-degree murder, second-degree murder, and manslaughter, and defendant not assert that the model jury instructions inaccurately reflected the law; thus, despite his contention that his proffered instructions were more inclusive and a more clear statement of the law on the various issues, the trial court did not err in refusing to submit them to the jury in his capital murder case. Adams v. State, 2009 Ark. 375, 326 S.W.3d 764 (2009), cert. denied, 559 U.S. 1021, 130 S. Ct. 1922, 176 L. Ed. 2d 392 (2010).

Petitioner was properly denied postconviction relief because the jury was instructed as to the mental state required for each of the degrees of homicide, the jury considered the evidence presented at trial, and the jury found that petitioner had the requisite mental state for a first-degree-murder conviction; petitioner's conviction meant that the jury had found that petitioner had the requisite mental state for first-degree murder. Strain v. State, 2012 Ark. 184, 423 S.W.3d 1 (2012).

In a first-degree murder case, the trial court did not abuse its discretion in instructing the jury on the lesser-included offense of second-degree murder because the evidence provided a rational basis for an acquittal on the first-degree-murder charge and a conviction on the second-degree-murder charge as defendant did not shoot and kill the victim, but handed his gun to codefendant; defendant could not have known with absolute certainty what codefendant would do; and the jury could have concluded that defendant knowingly caused the death of another person under circumstances manifesting extreme indifference to the value of human life in that he was practically certain that his conduct would cause the death of the victim. Northern v. State, 2015 Ark. App. 426, 467 S.W.3d 755 (2015).

Defendant, charged with first-degree murder, was not entitled to a second-degree murder instruction because the evidence consistently showed defendant shot the victim in the head at close range in the absence of any provocation. Dixon v. State, 2019 Ark. 245, 581 S.W.3d 505 (2019).

Defendant, charged with first-degree murder, was not entitled to a manslaughter instruction because defendant's interactions with a third person after defendant committed a murder did not show what defendant's mental state was when he shot the victim. Dixon v. State, 2019 Ark. 245, 581 S.W.3d 505 (2019).

Intent.

Defendant convicted of first degree murder under subsection (a) of this section failed to preserve his complaint that the evidence of intent was insufficient by failing to make a motion for directed verdict at the close of the state's case and at the close of all the evidence, as required by Ark. R. Crim. P. 33.1. Brown v. State, 374 Ark. 324, 287 S.W.3d 587 (2008).

As defendant hit the victim (his ex-wife's mother) in the head with the baseball bat and cut the victim's throat, threatened his ex-wife, and forced her to go with him from the scene of the crime, the evidence was sufficient to convict defendant of first-degree murder, kidnapping, and terroristic threatening under subdivision (a)(2) of this section and §§ 5-11-102(a) and 5-13-301(a)(1)(A). Alvard v. State, 2011 Ark. App. 160 (2011).

Evidence was sufficient to support a finding of intent for the purpose of first-degree murder, in violation of subdivision (a)(2) of this section, because the victim was shot at least seven times and suffered several gunshot wounds to the back and front of the body; evidence of defendant's flight immediately after the murder further supported the verdict. Wells v. State, 2012 Ark. App. 276, 411 S.W.3d 211 (2012).

There was substantial evidence from which the jury could have inferred that it was defendant's conscious object to cause the victim's death, because defendant placed the gun less than one inch away from her head and pulled the trigger, killing her. Williamson v. State, 2013 Ark. 347, 429 S.W.3d 250 (2013).

Evidence was sufficient to support defendant's first-degree murder conviction because it supported the jury's determination that he purposely fired the fatal shot into his wife's right cheek at close range inside their vehicle. Two witnesses testified that defendant and his wife were fighting in the highway just before the shooting, the children's testimony made it abundantly clear that defendant raised the gun and shot his wife, and the children and another witness testified that before running into the woods defendant fired a shot at the witness. Drennan v. State, 2018 Ark. 328, 559 S.W.3d 262 (2018).

—In General.

One who commits homicide was not guilty of murder in the first degree unless there existed in his mind, before the act of killing, a specific intent to take the life of the person slain; but it was not necessary that such intent be formed for any particular length of time before the killing. Green v. State, 51 Ark. 189, 10 S.W. 266 (1889) (decision under prior law).

The intent need not be conceived for any particular length of time beforehand. Rosemond v. State, 86 Ark. 160, 110 S.W. 229 (1908); Ferguson v. State, 92 Ark. 120, 122 S.W. 236 (1909); Gilchrist v. State, 100 Ark. 330, 140 S.W. 260 (1911) (preceding decisions under prior law).

Striking one on the head with a bottle could not, as a matter of law, raise a presumption of intent to kill. Tolliver v. State, 113 Ark. 142, 167 S.W. 703 (1914) (decision under prior law).

Malice was a necessary element of murder either in the first or second degree. Ballentine v. State, 198 Ark. 1037, 132 S.W.2d 384 (1939) (decision under prior law).

—Evidence.

Where defendant intended to commit felony, defendant could be found guilty even if he did not intend to kill deceased. Hankins v. State, 206 Ark. 881, 178 S.W.2d 56 (1944); Black v. State, 215 Ark. 618, 222 S.W.2d 816 (1949), cert. denied, Black v. Arkansas, 338 U.S. 956, 70 S. Ct. 490 (1950) (decisions under prior law).

Evidence held sufficient to support a finding of malice. McClendon v. State, 197 Ark. 1135, 126 S.W.2d 928 (1939); Gulley v. State, 201 Ark. 744, 146 S.W.2d 706 (1941); Long v. State, 223 Ark. 387, 266 S.W.2d 66 (1954); Seward v. State, 228 Ark. 712, 310 S.W.2d 239 (1958); Young v. State, 230 Ark. 737, 324 S.W.2d 524 (1959) (preceding decisions under prior law).

It was not essential to prove any intention to kill, but it sufficed, and a case was made, if the killing occurred in the perpetration of or in the attempt to perpetrate any of the crimes named, although a killing was not intended. Rayburn v. State, 200 Ark. 914, 141 S.W.2d 532 (1940) (decision under prior law).

Evidence held sufficient to find a willful killing. Seward v. State, 228 Ark. 712, 310 S.W.2d 239 (1958) (decision under prior law).

Where prior intent to kill “someone” was shown, no ill-will need have been shown for deceased, selected at random for wanton execution, as such evidence implied the requisite degree of malice. Robertson v. State, 256 Ark. 366, 507 S.W.2d 513 (1974) (decision under prior law).

Premeditation, deliberation, and intent may all be inferred from the circumstances, such as the weapon used, the manner in which it was used, the wounds inflicted, and the conduct of the accused. Williams v. State, 289 Ark. 69, 709 S.W.2d 80 (1986); Thomerson v. Lockhart, 835 F.2d 1257 (8th Cir. 1987).

Intent to commit murder may, and often must, be inferred from circumstantial evidence. Parker v. State, 290 Ark. 158, 717 S.W.2d 800 (1986).

The necessary intent may be inferred from the type of weapon used, the manner of its use, and the nature, extent, and location of the wounds. Garza v. State, 293 Ark. 175, 735 S.W.2d 702 (1987); Williams v. State, 304 Ark. 509, 804 S.W.2d 346 (1991).

The jury could reasonably have inferred the defendant purposely killed his victim based on the type weapon used, the manner of its use, and the location of the wounds. Easter v. State, 306 Ark. 615, 816 S.W.2d 602 (1991).

It was reasonable to conclude that defendant acted purposefully as an accomplice in causing the death of the victim, where the defendant fired a shotgun at the unarmed victim from an approximate distance of 15 feet and the pathologist who conducted the autopsy testified there was a series of shotgun injuries in the victim's neck and limbs. Purifoy v. State, 307 Ark. 482, 822 S.W.2d 374 (1991).

There was substantial evidence from which jury could have concluded that defendant possessed a purposeful intent to kill. Williams v. State, 304 Ark. 509, 804 S.W.2d 346 (1991); Crawford v. State, 309 Ark. 54, 827 S.W.2d 134 (1992).

Evidence held sufficient to demonstrate that defendant acted with the “purpose of causing the death of another person,” under subdivision (a)(2) of this section. Coleman v. State, 314 Ark. 143, 860 S.W.2d 747 (1993).

From expert's testimony that the gun used in the shooting was fired at close, or point blank range, the inference could easily be drawn that it was the purpose of the person firing to kill the victim. One is presumed to intend the natural and probable consequences of one's act. Furr v. State, 308 Ark. 41, 822 S.W.2d 380 (1992), appeal dismissed, — Ark. —, — S.W.3d —, 2003 Ark. LEXIS 666 (Dec. 11, 2003).

Intent is seldom capable of proof by direct evidence. Akbar v. State, 315 Ark. 627, 869 S.W.2d 706 (1994).

Psychiatric testimony concerning whether a defendant has the ability to conform his conduct to the requirements of law at the time of the killing as part of an insanity defense may seem in some cases to approximate testimony on whether the defendant had or did not have the required specific intent to commit murder at a precise time; however, a general inability to conform one's conduct to the requirements of the law due to mental defect or illness is the gauge for insanity, and is different from whether the defendant had the specific intent to kill another individual at a particular time. Stewart v. State, 316 Ark. 153, 870 S.W.2d 752 (1994).

Evidence held sufficient to prove defendant acted intentionally. Williams v. State, 321 Ark. 635, 906 S.W.2d 677 (1995).

Intent or state of mind, for the purposes of this section, is seldom capable of proof by direct evidence and must usually be inferred from the circumstances surrounding the killing. Russey v. State, 322 Ark. 786, 912 S.W.2d 420 (1995).

Where defendant claimed he shot his wife accidentally, detective's testimony concerning domestic violence call some days prior to the shooting was relevant to show lack of mistake or accident on defendant's part; at the very least, detective's testimony showed, by fair inference, that defendant and his loaded shotgun necessitated a call and an investigation by the police. Russey v. State, 322 Ark. 786, 912 S.W.2d 420 (1995).

Proof of purpose and lack of justification in violation of subdivision (a)(2) shown where defendant used a handgun to shoot the victim while the victim was pleading for his life and dodging and ducking bullets. Williams v. State, 325 Ark. 432, 930 S.W.2d 297 (1996).

Evidence was sufficient to establish intent where the defendant repeatedly confessed to shooting the victim, he had previously stated that he would “get” the victim, he obtained .22 shells for his gun, and he shot the victim in the back of his head and back six times. Copeland v. State, 343 Ark. 327, 37 S.W.3d 567 (2001).

There was sufficient evidence for the jury to determine that defendant had the requisite mens rea for first-degree murder at the time he shot and killed his wife as an expert for the state testified that defendant did not have a mental disease or defect at the time of the shooting; the jury was entitled to believe the State's expert over defendant's expert. Davis v. State, 368 Ark. 401, 246 S.W.3d 862 (2007).

Circuit court did not err by admitting into evidence photographs of the murder victim because her wounds were relevant to show defendant's intent to kill her; they also assisted the jury in understanding the crime-scene investigator's description of the scene, and the circuit court performed a proper evaluation of the photographs before allowing them to be presented to the jury. Davis v. State, 368 Ark. 401, 246 S.W.3d 862 (2007).

Circuit court did not err in denying defendant's motion for directed verdict on a first-degree murder charge where defendant lied about seeing the victim, had buried her body, and had disposed of a necktie and bag, and thus, the jury could have concluded from the testimony and circumstantial evidence that he had placed a bag over the victim's head with the purpose of causing her death. Williams v. State, 2015 Ark. 316, 468 S.W.3d 776 (2015).

State produced sufficient evidence that defendant purposely killed the victim; it was defendant's conscious object to end the victim's life, given that even after defendant had beaten the victim with a bat for several minutes, and the victim begged her to stop, she did not stop, she made efforts to conceal the crime, including burying the victim's body, and she fled when investigators found the body. Rollf v. State, 2015 Ark. App. 520, 472 S.W.3d 490 (2015).

In a first-degree murder case, defendant's motions for directed verdict were properly denied as there was sufficient evidence that defendant acted with the purpose of causing the death of the victim because there was testimony that defendant drew a gun and immediately shot the victim in the neck without warning; and the jury was shown the video footage of the altercation at the club. Jaquize v. State, 2019 Ark. 259, 584 S.W.3d 236 (2019).

—Expert Testimony.

Expert testimony on the ability of a defendant to form specific intent to murder is not admissible. Stewart v. State, 316 Ark. 153, 870 S.W.2d 752 (1994).

Where defendant was found guilty of first-degree murder and attempted first-degree murder, the trial court did not abuse its discretion in excluding certain expert testimony regarding defendant's capacity to form intent. The expert's report did not state that defendant lacked the capacity to form intent, only that it was impacted or impaired, and the expert also opined that defendant's psychotic disorder did not render him unable to appreciate the criminality of his conduct or to conform his conduct to the requirements of the law. Furthermore, there was ample evidence of purposeful conduct where defendant left a bar and returned with a shotgun that he used against the victims. Edwards v. State, 2015 Ark. 377, 472 S.W.3d 479 (2015).

Where the trial court excluded expert testimony in a first-degree murder trial regarding defendant's capacity to form intent, defendant's assertion that he was denied due process by the deprivation of his only defense was not preserved for appellate review because defendant did not raise the argument to the circuit court. Edwards v. State, 2015 Ark. 377, 472 S.W.3d 479 (2015).

Appellant's trial counsel was not ineffective for failing to elicit testimony from appellant's expert regarding appellant's general capacity to form intent. There was ample evidence of purposeful conduct as there was testimony that appellant came into the bar with a shotgun after a fight, indicated he was looking for the man who had fought with him, and then shot that man twice. Thus, appellant would have been unable to present a successful case on the affirmative defense regardless of any testimony from the expert regarding appellant's general capacity to form intent. Edwards v. State, 2017 Ark. 207 (2017).

—Knowingly.

Evidence was sufficient to support defendant's conviction of murder in the first degree under subdivision (a)(3) of this section where the victim was the youngest of defendant's children, a forensic examiner and experts testified that he had died of starvation, evidence showed that defendant had withheld formula from him, and defendant had previously cared for the victim's five other premature siblings, all of whom survived infancy; there was substantial evidence presented to support a conclusion that defendant, who had an IQ of 75, was aware of the risk caused by the infant's obvious malnourishment and that she was aware that it was practically certain her conduct would cause the infant's death. Bowman v. State, 2019 Ark. App. 469, 588 S.W.3d 129 (2019).

—Motive.

The state is not bound to prove a motive for the killing. Jones v. State, 11 Ark. App. 129, 668 S.W.2d 30 (1984), review denied, 282 Ark. 507, 669 S.W.2d 456 (1984); Horne v. State, 12 Ark. App. 301, 677 S.W.2d 856 (1984).

Absence of motive is only a circumstance to be considered with other facts and circumstances in determining guilt or innocence. Jones v. State, 11 Ark. App. 129, 668 S.W.2d 30 (1984), review denied, 282 Ark. 507, 669 S.W.2d 456 (1984).

Where the evidence was substantial that the defendant deliberately and with premeditation killed the victim, the defendant's motive for killing the victim was not something the state had to prove. Parker v. State, 290 Ark. 158, 717 S.W.2d 800 (1986); Ford v. State, 297 Ark. 77, 759 S.W.2d 556 (1988).

Although the state is not required to prove motive, it may introduce evidence showing all of the circumstances that explain the act, illustrate the accused's state of mind, or show a motive for the crime. Dixon v. State, 311 Ark. 613, 846 S.W.2d 170 (1993).

—Premeditation and Deliberation.

While the law presumed that an unlawful killing was malicious, it did not presume it premeditated. Simpson v. State, 56 Ark. 8, 19 S.W. 99 (1892) (decision under prior law).

When the intent to kill the person slain was the result of deliberation and premeditation, and reason was not dethroned, it might have been conceived in a moment. Green v. State, 51 Ark. 189, 10 S.W. 266 (1889) (decision under prior law).

In the absence of premeditation and deliberation, a killing could not be murder in the first degree. King v. State, 68 Ark. 572, 60 S.W. 951 (1901); Howard v. State, 82 Ark. 97, 100 S.W. 756 (1907); Gilchrist v. State, 100 Ark. 330, 140 S.W. 260 (1911); King v. State, 117 Ark. 82, 173 S.W. 852 (1915); Harris v. State, 119 Ark. 408, 177 S.W. 1144 (1915); Stanley v. State, 183 Ark. 1093, 40 S.W.2d 415 (1931) (preceding decisions under prior law).

Evidence held sufficient to find premeditation and/or deliberation. King v. State, 68 Ark. 572, 60 S.W. 951 (1901); Long v. State, 223 Ark. 387, 266 S.W.2d 66 (1954); Seward v. State, 228 Ark. 712, 310 S.W.2d 239 (1958); Young v. State, 230 Ark. 737, 324 S.W.2d 524 (1959) (preceding decisions under prior law); McLemore v. State, 274 Ark. 527, 626 S.W.2d 364 (1982); Long v. State, 280 Ark. 327, 657 S.W.2d 551 (1983); Jones v. State, 11 Ark. App. 129, 668 S.W.2d 30 (1984), review denied, 282 Ark. 507, 669 S.W.2d 456 (1984); Thomerson v. Lockhart, 835 F.2d 1257 (8th Cir. 1987); Garza v. State, 293 Ark. 175, 735 S.W.2d 702 (1987); Williams v. State, 294 Ark. 345, 742 S.W.2d 932 (1988).

In order to constitute murder in the first degree, there must have been in the mind of the accused a willful, deliberate, and premeditated specific intention to take life. McClendon v. State, 197 Ark. 1135, 126 S.W.2d 928 (1939); Gulley v. State, 201 Ark. 744, 146 S.W.2d 706 (1941) (preceding decisions under prior law).

Deliberation had to be proven beyond a reasonable doubt. Simmons v. State, 227 Ark. 1109, 305 S.W.2d 119 (1957) (decision under prior law).

Deliberation and premeditation could have been inferred from the circumstances of the case. House v. State, 230 Ark. 622, 324 S.W.2d 112 (1959) (decision under prior law); Garza v. State, 293 Ark. 175, 735 S.W.2d 702 (1987).

The necessary elements of deliberation and premeditation in the offense of murder in the first degree may be inferred from the factual circumstances as shown by the evidence, where those circumstances clearly warrant the jury in such an inference or conclusion. In this case, the circumstances as reflected by the evidence were inconsistent with any other hypothesis than that of murder in the first degree. Walker v. State, 241 Ark. 300, 241 Ark. 663, 408 S.W.2d 905 (1966), appeal dismissed, 386 U.S. 682, 87 S. Ct. 1325, 18 L. Ed. 2d 403 (1967) (decision under prior law); Ford v. State, 297 Ark. 77, 759 S.W.2d 556 (1988).

The rule that the requisite state of mind of premeditation and deliberation need not exist for any particular length of time is still law. Fields v. State, 280 Ark. 153, 655 S.W.2d 419 (1983); Thomerson v. Lockhart, 835 F.2d 1257 (8th Cir. 1987).

The jury may infer premeditation and deliberation from the circumstances of the case, such as the character of the weapon used, the manner in which it was used, the nature, extent and location of the wounds inflicted and the like. Jones v. State, 11 Ark. App. 129, 668 S.W.2d 30 (1984), review denied, 282 Ark. 507, 669 S.W.2d 456 (1984); Parker v. State, 290 Ark. 158, 717 S.W.2d 800 (1986).

The trier of fact must determine beyond a reasonable doubt that the accused premeditated and deliberated the killing in order to find the accused guilty of first-degree murder. Thomerson v. Lockhart, 835 F.2d 1257 (8th Cir. 1987).

Premeditation and deliberation need not be proven by direct evidence. Thomerson v. Lockhart, 835 F.2d 1257 (8th Cir. 1987).

Premeditation and deliberation need not exist for any particular length of time and may in fact be formed almost on the spur of the moment. Harris v. State, 291 Ark. 504, 726 S.W.2d 267 (1987); Garza v. State, 293 Ark. 175, 735 S.W.2d 702 (1987).

Where jury's acquittal of defendant on robbery charge removed the underlying felony from the capital murder charge set forth in the information, which contained no language addressing a question of premeditation and deliberation, the defendant could be convicted of no crime greater than second-degree murder, and conviction for first-degree murder violated defendant's right to due process. Hill v. State, 303 Ark. 462, 798 S.W.2d 65 (1990).

The mens rea for first degree murder is no longer premeditation and deliberation, therefore, the state is not required to prove that defendant acted with such a mental state. Smith v. State, 310 Ark. 247, 837 S.W.2d 279 (1992).

Intoxication.

Testimony by medical doctor about blackout alcoholism in murder trial was simply another means of using voluntary intoxication as a defense and the trial court was correct in its ruling excluding the witness' testimony since voluntary intoxication was no longer a defense to criminal prosecutions. Spohn v. State, 310 Ark. 500, 837 S.W.2d 873 (1992).

Voluntary intoxication is not a defense to the charge of murder in the first degree or to the charge of battery in the second degree; voluntary intoxication is not available as a defense for purposes of negating specific intent. Gilkey v. State, 41 Ark. App. 100, 848 S.W.2d 439 (1993).

Lesser-Included Offenses.

Where the prosecution of defendant for first-degree murder and aggravated robbery arose from the same incident, his convictions for both aggravated robbery and first-degree murder violated the prohibition against double jeopardy since the aggravated robbery was a lesser included offense of first-degree murder; therefore, his conviction and sentence for aggravated robbery would be set aside. Brewer v. State, 277 Ark. 40, 639 S.W.2d 54 (1982).

Where the defendant was convicted and sentenced for both aggravated robbery and attempt to commit first-degree murder, but the evidence showed that the aggravated robbery was the underlying felony to the charge of attempted murder, the trial court did not have the authority to impose sentences for both offenses; therefore, the conviction and sentence for the less serious offense, the attempted first-degree murder, would be set aside. Wilson v. State, 277 Ark. 219, 640 S.W.2d 440 (1982).

In prosecution for attempted capital felony murder, the jury should have been instructed that attempted murder in the first degree and aggravated assault were lesser included offenses in the charge of criminal attempt to commit capital murder. Moore v. State, 280 Ark. 222, 656 S.W.2d 698 (1983).

It was permissible for the jury to reject the more serious charge of attempted first degree murder, which would require a finding of a higher degree of culpability than was required of the lesser included offense, and to find defendant guilty of the lesser offense of aggravated assault. Maples v. State, 16 Ark. App. 175, 698 S.W.2d 807 (1985).

In a felony murder conviction, the underlying felony is a lesser included offense of the greater offense of felony murder, and the defendant cannot be convicted of, and sentenced for, both offenses. Wiman v. Lockhart, 797 F.2d 666 (8th Cir.), cert. denied, 479 U.S. 1021, 107 S. Ct. 678, 93 L. Ed. 2d 728 (1986).

When capital felony murder is charged under § 5-10-101, first-degree murder is a “lesser included offense” because the same evidence used to prove the former of necessity proves the latter. Therefore, an instruction on first-degree murder is required. Hill v. State, 303 Ark. 462, 798 S.W.2d 65 (1990).

Where the circuit court acquired jurisdiction over a juvenile, criminal defendant, upon the filing of a first degree murder charge, it retained jurisdiction to convict and sentence for the lesser included offense of manslaughter. Walker v. State, 309 Ark. 23, 827 S.W.2d 637 (1992).

In a prosecution for first-degree murder for knowingly causing the death of a person aged 14 years or younger, there was no rational basis to justify charging the jury with the lesser offense of second-degree murder because the additional language of knowingly causing the death under circumstances manifesting extreme indifference to human life was not charged in the information and was not required to be proven. Byrd v. State, 337 Ark. 413, 992 S.W.2d 759 (1999), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002).

Felony manslaughter is not a lesser included offense of capital felony murder or first-degree felony murder. Hill v. State, 344 Ark. 216, 40 S.W.3d 751 (2001), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002), but see McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002), restating the test for determining when an offense is included in another offense.

Evidence that supports a finding that a defendant has acted knowingly under circumstances manifesting an extreme indifference to the value of human life rather than purposely entitles a defendant to a jury instruction on attempted second-degree murder pursuant to Ark. Code Ann. § 5-10-103(a)(1); that circumstance, attempted second-degree murder is a lesser-included offense of attempted first degree murder as defined by subsection (a)(2). McCoy v. State, 74 Ark. App. 414, 49 S.W.3d 154 (2001), aff'd, 347 Ark. 913, 69 S.W.3d 430 (2002).

In defendant's first-degree murder case, the court erred by refusing a requested second-degree murder instruction where (1) there was evidence that defendant got into an argument with his wife that escalated into physical violence, (2) when she began hitting him and threatening to kill him, defendant reacted by putting her in a headlock, or possibly choking her, or putting his arms around her neck, and (3) he did not let go until she died; based on the evidence, the jury could have found that defendant assaulted his wife, knowing his conduct was practically certain to cause her death, while being extremely indifferent to the value of human life. Wyles v. State, 357 Ark. 530, 182 S.W.3d 142 (2004).

Where the jury was only given instructions on first and second-degree murder and they convicted defendant of first-degree murder, per the “skip rule”, any error in the trial court's failing to give an instruction on manslaughter was cure since defendant was convicted of the greater offense. Wooten v. State, 93 Ark. App. 178, 217 S.W.3d 124 (2005).

Denial of postconviction relief was proper, because the petitioner failed to show the second-degree-murder instruction added an extra element not present in the greater offense of first-degree murder and that counsel should have objected; Second-degree murder was a lesser-included offense of first-degree murder, as it differed from the greater offense only to the extent that it required a lesser kind of culpable mental state. Holloway v. State, 2013 Ark. 140, 426 S.W.3d 462 (2013).

Circuit court, which instructed the jury on first-degree murder and the lesser-included offense of second-degree murder, did not err in refusing to instruct the jury on reckless manslaughter because the jury was presented with evidence that defendant chased the victim, blocked the victim's vehicle with defendant's vehicle, and ran up to the victim's car, shooting once into the hood of the car and a second time through the windshield of the car, killing the victim. Starling v. State, 2016 Ark. 20, 480 S.W.3d 158 (2016).

Preservation for Review.

Difference between the elements of capital murder and first-degree murder under the particular subsections of the statutes at issue is in terms of specificity; the capital-murder statute contains a list of specific felonies the defendant must have committed—here, aggravated robbery, whereas the first-degree murder statute simply requires a death to have occurred during the commission of “a felony”. Jackson v. State, 2018 Ark. App. 330, 552 S.W.3d 55 (2018).

Defendant's challenge to the sufficiency of the evidence supporting his conviction as an accomplice to first-degree murder was preserved; although defense counsel did not mention “first-degree murder” in his directed-verdict motion, considering the subsections of the statutes on which the jury was instructed, the elements of capital murder and first-degree murder were the same. Jackson v. State, 2018 Ark. App. 330, 552 S.W.3d 55 (2018).

Sentence.

Where evidence was insufficient to establish murder in the first degree, but did establish the crime of murder in the second degree, the sentence of murder in the first degree should be set aside and the cause remanded to the circuit court with directions to sentence the prisoner for murder in the second degree. Simpson v. State, 56 Ark. 8, 19 S.W. 99 (1892) (decision under prior law).

Where the defendant was convicted of murder in the first degree and error was committed in excluding evidence which might have reduced the punishment to that of murder in the second degree, the Supreme Court could, in its discretion, have remanded the cause with directions to the trial court to sentence the defendant for murder in the second degree. Vance v. State, 70 Ark. 272, 68 S.W. 37 (1902) (decision under prior law).

Where, in a murder case, it was shown that the accused and the decedent both used guns but was uncertain which began the shooting, on account of the absence of evidence of deliberation and premeditation, a conviction of murder in the first degree would have been reduced to murder in the second degree. Phillips v. State, 190 Ark. 1004, 82 S.W.2d 836 (1935) (decision under prior law).

Sentence properly reduced to range prescribed for second-degree murder. Wilkins v. State, 292 Ark. 596, 731 S.W.2d 775 (1987).

Because defendant was unable to show that he was prejudiced by his 40 year sentence for first-degree murder, as it was less than the maximum possible sentence for his conviction, the court did not consider his claim that his due process rights were violated by the admission of a photographic history of the victim's life during sentencing. Tate v. State, 367 Ark. 576, 242 S.W.3d 254 (2006).

Habeas relief was not warranted because an applicant was charged under a former first-degree murder statute where a murder was committed in the course of a robbery, and he was properly sentenced to life imprisonment without parole on his plea of guilty to capital-felony murder. An argument that murder in the first degree and capital murder were separate offenses with a separate penalty was rejected. Gooch v. Hobbs, 2014 Ark. 73 (2014) (Decided under former § 41-2205).

Circuit court properly denied defendant's petition for writ of habeas corpus because the sentence of life imprisonment that was imposed after he entered a negotiated plea of guilty to first-degree murder when he was 15 years old did not violate the Eighth Amendment, as a 2017 statutory amendment created a possibility of parole. Lohbauer v. Kelley, 2018 Ark. 26 (2018).

Trial court's erroneous instruction during the sentencing phase that defendant would be eligible for parole after serving 70% of his sentence for first-degree murder did not provide any relief to defendant, because he failed to object to the error when it occurred and the error did not fit within the third Wicks exception concerning certain flagrant and highly prejudicial errors. Muhammad v. State, 2019 Ark. App. 87, 572 S.W.3d 21 (2019).

Serious Physical Injury.

Sufficient evidence supported the conclusion that a defendant intended to cause serious physical harm to a victim: a witness testified that the witness gave defendant a gun, other witnesses testified that defendant shot the victim with that gun, the victim was shot in the arm and hip, which required surgery, and the victim continued to suffer with pain and impairment as a result of the injuries. Hawkins v. State, 2009 Ark. App. 675 (2009).

Venue.

The trial court did not abuse its discretion in denying a motion for a change of venue in first-degree murder case where the motion came only 2 weeks before trial, after the case had been pending for 9 months, and the affiants could cite little or nothing beyond their own convictions that a fair trial was not possible in the action. Snell v. State, 290 Ark. 503, 721 S.W.2d 628 (1986), cert. denied, 484 U.S. 872, 108 S. Ct. 202 (1987).

View of Crime Scene.

A request to view a place pertinent to a material fact is a matter within the trial court's discretion, and denial of the request is not a ground for reversal absent an abuse of that discretion. Williams v. State, 289 Ark. 69, 709 S.W.2d 80 (1986).

Cited: Hammers v. State, 261 Ark. 585, 550 S.W.2d 432 (1977); Clark v. State, 264 Ark. 630, 573 S.W.2d 622 (1978); Westbrook v. State, 265 Ark. 736, 580 S.W.2d 702 (1979); Davis v. State, 267 Ark. 507, 592 S.W.2d 118 (1980); Finnie v. State, 267 Ark. 638, 593 S.W.2d 32 (1980); Brewer v. State, 271 Ark. 254, 608 S.W.2d 363 (1980); Ward v. State, 272 Ark. 99, 612 S.W.2d 118 (1981); Spillers v. State, 272 Ark. 212, 613 S.W.2d 387 (1981); Curry v. State, 272 Ark. 291, 613 S.W.2d 829 (1981); Graham v. State, 2 Ark. App. 266, 621 S.W.2d 4 (1981); Ford v. State, 276 Ark. 98, 633 S.W.2d 3 (1982); Daniels v. State, 277 Ark. 23, 638 S.W.2d 676 (1982); Montgomery v. State, 277 Ark. 95, 640 S.W.2d 108 (1982); Branam v. State, 277 Ark. 204, 640 S.W.2d 445 (1982); Henderson v. State, 279 Ark. 435, 652 S.W.2d 16 (1983); Maxwell v. State, 279 Ark. 423, 652 S.W.2d 31 (1983); Rhodes v. State, 280 Ark. 156, 655 S.W.2d 421 (1983); Clines v. State, 280 Ark. 77, 656 S.W.2d 684 (1983); Johnson v. Lockhart, 746 F.2d 1367 (8th Cir. 1984); Pruett v. State, 282 Ark. 304, 669 S.W.2d 186; Owens v. State, 283 Ark. 327, 675 S.W.2d 834 (1984); Hill v. Lockhart, 474 U.S. 52, 106 S. Ct. 366, 88 L. Ed. 2d 203 (1985); Reichert v. State, 15 Ark. App. 388, 695 S.W.2d 845 (1985); Madison v. State, 287 Ark. 179, 697 S.W.2d 106 (1985); Barnes v. State, 287 Ark. 297, 698 S.W.2d 504 (1985); Turner v. State, 287 Ark. 348, 698 S.W.2d 798 (1985); Wood v. Lockhart, 809 F.2d 457 (8th Cir. 1987); Simmons v. Lockhart, 814 F.2d 504 (8th Cir. 1987); Rode v. Lockhart, 675 F. Supp. 491 (E.D. Ark. 1987); Henderson v. State, 291 Ark. 138, 722 S.W.2d 842 (1987); Muck v. State, 292 Ark. 310, 730 S.W.2d 214 (1987); Hedrick v. State, 292 Ark. 411, 730 S.W.2d 488 (1987); Shipley v. State, 25 Ark. App. 262, 757 S.W.2d 178 (1988); Irvin v. State, 28 Ark. App. 6, 771 S.W.2d 26 (1989); Findley v. State, 300 Ark. 265, 778 S.W.2d 624 (1989); Pharo v. State, 30 Ark. App. 94, 783 S.W.2d 64 (1990); Ritchie v. State, 31 Ark. App. 177, 790 S.W.2d 919 (1990); Findley v. State, 307 Ark. 53, 818 S.W.2d 242 (1991); Sanders v. State, 317 Ark. 328, 878 S.W.2d 391 (1994); Sutton v. State, 317 Ark. 447, 878 S.W.2d 748 (1994); Reagan v. State, 318 Ark. 380, 885 S.W.2d 849 (1994); Dansby v. State, 319 Ark. 506, 893 S.W.2d 331 (1995); O'Neal v. State, 321 Ark. 626, 907 S.W.2d 116 (1995); Jordan v. State, 323 Ark. 628, 917 S.W.2d 164 (1996); Smith v. State, 324 Ark. 74, 918 S.W.2d 714 (1996); Webb v. State, 328 Ark. 12, 941 S.W.2d 417 (1997); Rankin v. State, 329 Ark. 379, 948 S.W.2d 397 (1997); Cates v. State, 329 Ark. 585, 952 S.W.2d 135 (1997); Cox v. Norris, 133 F.3d 565 (8th Cir. 1997); Landreth v. State, 331 Ark. 12, 960 S.W.2d 434 (1998); Noel v. Norris, 194 F. Supp. 2d 893 (E.D. Ark. 2002); Smith v. State, 351 Ark. 468, 95 S.W.3d 801 (2003); Isom v. State, 356 Ark. 156, 148 S.W.3d 257 (2004); Smith v. State, 2010 Ark. App. 216 (2010); Holian v. State, 2013 Ark. 7 (2013); Bramlett v. Hobbs, 2015 Ark. 146, 463 S.W.3d 283 (2015).

5-10-103. Murder in the second degree.

  1. A person commits murder in the second degree if:
    1. The person knowingly causes the death of another person under circumstances manifesting extreme indifference to the value of human life; or
    2. With the purpose of causing serious physical injury to another person, the person causes the death of any person.
  2. Murder in the second degree is a Class A felony.

History. Acts 1975, No. 280, § 1503; A.S.A. 1947, § 41-1503; Acts 1989, No. 856, § 3; 2005, No. 1532, § 1.

Research References

ALR.

Propriety of lesser included offense charge of voluntary manslaughter to jury in state murder prosecution — Twenty-first century cases. 3 A.L.R.6th 543.

Sufficiency of Evidence to Support Homicide Conviction Where No Body Was Produced. 65 A.L.R.6th 359.

Ark. L. Rev.

Case Note, Criminal Liability for Attempting to Inflict the AIDS Virus: Possibilities in Arkansas' Future, 45 Ark. L. Rev. 505.

Article, Ethical and Effective Representation in Arkansas Capital Trials, 60 Ark. L. Rev. 1.

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Law, 5 U. Ark. Little Rock L.J. 115.

Notes, Criminal Law — Child Abuse Resulting in Death — Arkansas Amends its First Degree Murder Statute, 10 U. Ark. Little Rock L.J. 785.

Case Notes

Defenses and Justification.

It was proper to refuse to instruct that, although the defendant provoked a fight with the deceased, if deceased defended himself with a potentially deadly weapon, the defendant should have been acquitted of murder in the second degree. Blair v. State, 69 Ark. 558, 64 S.W. 948 (1901) (decision under prior law).

Where one too drunk to know what he was about assaulted another without provocation and beat him to death, he was guilty of murder in the second degree. Byrd v. State, 76 Ark. 286, 88 S.W. 974 (1905) (decision under prior law).

If a person killed in self-defense or defense of his house, where there were no reasonable grounds of danger, it was manslaughter, but where the deceased was unlawfully attempting to enter the defendant's dwelling house and the killing was with malice and not for protection, it was murder. Hall v. State, 113 Ark. 454, 168 S.W. 1122 (1914) (decision under prior law).

If one voluntarily became too drunk to know what he was about and then without provocation assaulted and beat another to death, he committed murder as if he were sober. Ballentine v. State, 198 Ark. 1037, 132 S.W.2d 384 (1939) (decision under prior law).

In murder prosecution of defendant who, while intoxicated, beat victim to death, evidence being sufficient to sustain verdict and judgment for murder in first degree, submitting instruction on murder in second degree was not error. Ballentine v. State, 198 Ark. 1037, 132 S.W.2d 384 (1939) (decision under prior law).

Conviction of defendant for second degree murder was justified even though defendant was drunk at the time of the shooting, as voluntary intoxication was no defense to a charge of murder, for the drinking supplied the malice. Newsome v. State, 214 Ark. 48, 214 S.W.2d 778 (1948) (decision under prior law).

Even if the jury believed that the victim was the original aggressor, it was not established, as a matter of law, that the use of deadly physical force by the defendant was justified. Thomas v. State, 266 Ark. 162, 583 S.W.2d 32 (1979).

Refusal to give instruction on a person's right to use reasonable force to protect himself and on a person's right to not retreat when in his own home where testimony indicated that the victim was in defendant's home, that the victim threatened to kill defendant, that defendant was scared of the victim and that defendant repeatedly asked the victim to leave him alone but that the victim refused to do so held error. Doles v. State, 275 Ark. 448, 631 S.W.2d 281 (1982).

Refusal to give his proffered instruction on self-defense was not prejudicial to defendant. Johnson v. State, 6 Ark. App. 342, 642 S.W.2d 324 (1982).

Accident was an instruction often given by trial courts in the past, but it is neither a defense nor an affirmative defense under the criminal code, rather, it is a position which a defendant may assert to create a reasonable doubt of guilt; accordingly, court in second-degree murder prosecution properly refused to give proposed in instruction on accident. Blaney v. State, 280 Ark. 253, 657 S.W.2d 531 (1983).

Defendant held not entitled to instruction on justification for use of physical force. Blaney v. State, 280 Ark. 253, 657 S.W.2d 531 (1983).

Substantial evidence existed to support a second-degree murder conviction because defendant's justification defense could have been reasonably rejected; the jury could have credited testimony indicating that defendant walked towards the victim holding a gun after being told that the girls present did not want to fight. Moody v. State, 2014 Ark. App. 538, 444 S.W.3d 389 (2014).

In a second-degree murder case, defendant's motion for a directed verdict was properly denied as a jury could find that the defense of justification was without merit because defendant's conduct of intentionally firing eight warning shots at the victim established extreme indifference to human life; the simple act of pointing a loaded gun at the victim was enough to satisfy the intent standard of second-degree murder; and defendant was not justified in using deadly force against the victim as he initiated the situation that brought about his use of deadly force, evidence at the crime scene did not support defendant's assertion that he was backing up when firing shots, and an eyewitness testified that the victim never charged at defendant. Sullivan v. State, 2015 Ark. App. 514, 470 S.W.3d 312 (2015).

Evidence was sufficient to convict defendant of second-degree murder where the State's evidence rebutted defendant's claim of justification; defendant stabbed the victim, threw his knife in a creek, fled the scene, failed to alert law enforcement, and threw away his clothes in a dumpster at a hotel. Moreover, a jailhouse witness testified that defendant had stated that the crime was not committed in self-defense; rather, defendant stated he killed the victim during an attempted theft. Bailey v. State, 2016 Ark. App. 209, 489 S.W.3d 203 (2016).

Evidence was sufficient to support a conviction for second-degree murder because defendant was not justified in using deadly force against the victim based on a belief that the victim was reaching for a gun; defendant was the first and only person to draw a weapon, and surveillance video showed that defendant was the initial aggressor and failed to retreat. Wade v. State, 2017 Ark. App. 157, 516 S.W.3d 772 (2017).

Evidence.

Evidence held insufficient to support a conviction. Tanks v. State, 71 Ark. 459, 75 S.W. 851 (1903) (decision under prior law); Graham v. State, 6 Ark. App. 376, 642 S.W.2d 342 (1982).

Evidence held sufficient to sustain conviction. Ballentine v. State, 198 Ark. 1037, 132 S.W.2d 384 (1939); Bowman v. State, 213 Ark. 407, 210 S.W.2d 798 (1948); Powell v. State, 213 Ark. 442, 210 S.W.2d 909 (1948); Everett v. State, 213 Ark. 470, 210 S.W.2d 918 (1948); Higdon v. State, 213 Ark. 881, 213 S.W.2d 621 (1948); Stovall v. State, 233 Ark. 597, 346 S.W.2d 212 (1961); Decker v. State, 234 Ark. 518, 353 S.W.2d 168, 98 A.L.R.2d 1 (1962); Lillard v. State, 236 Ark. 74, 365 S.W.2d 144 (1963); Erby v. State, 253 Ark. 603, 487 S.W.2d 266 (1972); Ricketts v. State, 254 Ark. 409, 494 S.W.2d 462 (1973) (preceding decisions under prior law); Spillers v. State, 272 Ark. 212, 613 S.W.2d 387 (1981); Blaney v. State, 280 Ark. 253, 657 S.W.2d 531 (1983); Doles v. State, 280 Ark. 299, 657 S.W.2d 538 (1983); Boone v. State, 282 Ark. 274, 668 S.W.2d 17 (1984); Heard v. State, 284 Ark. 457, 683 S.W.2d 232 (1985); Midgett v. State, 292 Ark. 278, 729 S.W.2d 410 (1987), rehearing denied, 292 Ark. 278, 731 S.W.2d 774 (1987), superseded by statute as stated in, Davis v. State, 325 Ark. 96, 925 S.W.2d 768 (1996); Barker v. State, 21 Ark. App. 56, 728 S.W.2d 204 (1987); Shipley v. State, 25 Ark. App. 262, 757 S.W.2d 178 (1988); Irvin v. State, 28 Ark. App. 6, 771 S.W.2d 26 (1989); Smith v. State, 30 Ark. App. 111, 783 S.W.2d 72 (1990); Flowers v. State, 30 Ark. App. 204, 785 S.W.2d 242 (1990); Banks v. State, 315 Ark. 666, 869 S.W.2d 700 (1994); Paige v. State, 45 Ark. App. 13, 870 S.W.2d 771 (1994).

Circumstantial evidence held sufficient to sustain verdict of murder in the second degree. Thomas v. State, 250 Ark. 504, 465 S.W.2d 704 (1971) (decision under prior law); Limber v. State, 264 Ark. 479, 572 S.W.2d 402 (1978); Tucker v. State, 3 Ark. App. 89, 622 S.W.2d 202 (1981); Ward v. State, 6 Ark. App. 349, 642 S.W.2d 328 (1982).

Evidence held sufficient to support a finding that there was extreme indifference to the value of human life. Harris v. State, 262 Ark. 680, 561 S.W.2d 69 (1978); Spillers v. State, 272 Ark. 212, 613 S.W.2d 387 (1981).

Evidence which tended to prove that defendant acted knowingly rather than accidentally was held to be relevant, and was not rendered inadmissible because it could also be taken to imply that defendant intended to kill his wife. Harris v. State, 265 Ark. 517, 580 S.W.2d 453 (1979).

Admission of photographic evidence held proper. Spillers v. State, 272 Ark. 212, 613 S.W.2d 387 (1981); Hallman v. State, 288 Ark. 448, 706 S.W.2d 381 (1986).

For circumstantial evidence to be sufficient to support a murder conviction, it must exclude every other reasonable hypothesis consistent with innocence, and the question of whether it does exclude every other reasonable hypothesis is usually for the fact finder to determine. Ward v. State, 6 Ark. App. 349, 642 S.W.2d 328 (1982).

Evidence is substantial if the jury could have reached its conclusion without having to resort to speculation or conjecture. Heard v. State, 284 Ark. 457, 683 S.W.2d 232 (1985).

Trial court's determination that defendant's incriminating statements were voluntarily made held not clearly erroneous. Hallman v. State, 288 Ark. 448, 706 S.W.2d 381 (1986).

Testimony of accomplice held sufficiently corroborated to sustain defendant's murder conviction. Hallman v. State, 288 Ark. 448, 706 S.W.2d 381 (1986).

Where, in prosecution of a homicide, the defendant did not know at the time of the shooting of the victim that a police officer had discovered a gun in the victim's car two years earlier, the trial court acted properly in refusing to admit the officer's testimony. Sims v. State, 19 Ark. App. 45, 716 S.W.2d 774 (1986).

Summarization of defendant's confession held harmless. White v. State, 290 Ark. 130, 717 S.W.2d 784 (1986).

In prosecution for murder, the presence of blood on clothing and bed linens was relevant and admissible even though the blood could not be typed, because it corroborated the medical examiner's report of the victim's injuries and the defendant's confession. White v. State, 290 Ark. 130, 717 S.W.2d 784 (1986).

There was substantial evidence to support a conviction for second-degree murder under this section where the defendant stated that the gun fired because it had a hair trigger, but a firearms examiner testified that the gun did not have a hair trigger, and testimony adduced at trial indicated that the defendant had tried to run over the victim with a truck before and that he had threatened to hit her in the head with a bottle. Bovee v. State, 19 Ark. App. 268, 720 S.W.2d 322 (1986).

Inflammatory photographs are admissible if they tend to shed light on an issue, enable a witness to better describe the objects portrayed, or enable the jury to better understand the testimony. Hickson v. State, 312 Ark. 171, 847 S.W.2d 691 (1993).

Where the trial court considered the questioned photographs, each individually, on two separate occasions at a pre-trial conference and again at trial, it did not admit the photographs with “carte blanche” approval or with a manifest abuse of its discretion. Hickson v. State, 312 Ark. 171, 847 S.W.2d 691 (1993).

Where the trial court twice considered the admissiblity of a videotape of the crime scene showing the house and the body, and placed limitations on the portions that could be published to the jury, it did not abuse its discretion in admitting the tape into evidence. Hickson v. State, 312 Ark. 171, 847 S.W.2d 691 (1993).

The act of pointing a loaded weapon at another person is sufficient to constitute the requisite manifestation of extreme indifference to the value of human life, necessary for a second degree murder conviction under subdivision (a)(1) of this section, regardless of whether there was an actual intent to shoot. Price v. State, 347 Ark. 708, 66 S.W.3d 653 (2002).

Trial court erred in refusing to admit the opinion testimony of an eyewitness that a shooting had been accidental, because the testimony would have been helpful to the determination of a fact in issue, namely, whether defendant had committed first-degree murder or a lesser included offense. Simpson v. State, 82 Ark. App. 76, 110 S.W.3d 287 (2003), opinion substituted for withdrawn opinion reported at, 119 S.W.3d 83 (Ark. Ct. App. 2003).

Defendant's accomplice's testimony was corroborated and admissible, as other evidence independently established the accomplice's description of the double murder; the medical examiner's testimony, an officer's testimony, and testimony that defendant's van contained substantial blood from the victims, all were in accordance with the accomplice's testimony of the homicide. Baughman v. State, 353 Ark. 1, 110 S.W.3d 740 (2003).

In defendant's murder trial, the key witness who was at the scene of the shooting allegedly battered a woman in retaliation against the her for not relaying the information the key witness wanted the woman to impart to the police, but that key witness was not charged with any offense; those matters were relevant, reflecting upon the key witness's interest, motives in testifying, and bias, and the trial court committed reversible error in restricting cross-examination on the subject. Ghoston v. State, 84 Ark. App. 387, 141 S.W.3d 907 (2004).

In a “knock and talk” procedure whereby police officers went to defendants' residence without sufficient probable cause to obtain a search warrant and ask the first defendant to allow them entry and, after gaining entry, informed the her that they were investigating potential criminal activity and requested permission to search, none of the officers informed the second defendant that he had the right to refuse consent to the entry and subsequent search of his home; thus, the trial court should have granted the second defendant's motion to suppress all of the evidence that flowed from that unconstitutional search. Woolbright v. State, 357 Ark. 63, 160 S.W.3d 315 (2004).

Trial court committed reversible error by admitting co-defendant's statement; it was a violation of defendant's Sixth Amendment right to confront witnesses where, even changing defendant's name to a pronoun, it was obvious that the references were indirect or veiled references to him and substantiated his existence and identity relative to the crime. Jefferson v. State, 86 Ark. App. 325, 185 S.W.3d 114 (2004)def359 Ark. 454, 198 S.W.3d 527 (2004).

There was substantial evidence to support defendant's conviction for the second degree murder of his wife. Given the extent of the wife's injuries and the location of those injuries, the jury could reasonably infer that defendant acted either under circumstances manifesting extreme indifference to the value of human life or with the purpose of causing serious physical injury to his wife. Wyles v. State, 368 Ark. 646, 249 S.W.3d 782 (2007).

In a second-degree murder case under this section, defendant's rights under the federal and state Confrontation Clauses were violated by the admission of an incriminating testimonial statement made by defendant's sister relating to his motive and statement of mind; although the sister was unavailable, defendant did not have an opportunity for cross-examination. Moreover, the statement was not offered for a non-hearsay purpose, and the admission of such was not harmless. Seaton v. State, 101 Ark. App. 201, 272 S.W.3d 854 (2008).

Where defendant took a loaded gun from his vehicle after seeing the victim's group outside a department store and deliberately shot the victim three times at close range, the jury could infer that he knowingly caused the victim's death; the trial court did not abuse its discretion by admitting defendant's statement that he shot the victim, because he wanted to give him an early Christmas present. The statement was probative of defendant's state of mind as well as his lack of remorse; because the evidence was sufficient to support defendant's conviction for second degree murder in violation of subdivision (a)(1) of this section, the trial court did not err by denying his motion for a directed verdict. Vorachith v. State, 2009 Ark. App. 656 (2009).

There was sufficient evidence that defendant killed a victim in the course and furtherance of a robbery and there was a nexus between the murder and the robbery where after striking both victims, defendant grabbed the robbery victim and demanded money. Norris v. State, 2010 Ark. 174, 368 S.W.3d 52 (2010), rehearing denied, — Ark. —, — S.W.3d —, 2010 Ark. LEXIS 292 (May 20, 2010).

Defendant's conviction for murder in the second degree in violation of subdivision (a)(1) of this section, with a firearm enhancement, was proper because defendant acted knowingly to cause the victim's death under circumstances manifesting extreme indifference to the value of human life. The issues involved credibility and it was presumed that a person intended the natural and probable consequences of his or her acts; defendant shot her husband in the wrist with a handgun, he bled to death as a result of the wound, and additional evidence indicated that the fatal wound was defensive in nature. Johnson v. State, 2010 Ark. App. 153, 375 S.W.3d 12 (2010).

Defendant's conviction for the second-degree murder of his wife, in violation of subsection (a) of this section, was supported by the evidence because an accident-reconstruction expert testified that the wife's car sustained body damage consistent with it being pushed into the water by defendant's all-terrain vehicle; a medical examiner concluded that she did not drown because she was already deceased before her body entered the water. Holloway v. State, 2010 Ark. App. 767, 379 S.W.3d 696 (2010), review denied, — Ark. —, — S.W.3d —, 2011 Ark. LEXIS 381 (Ark. Jan. 6, 2011).

Appellant's conviction for second-degree murder was affirmed because the pattern of the gunshots, which were aimed at the victim's chest and upper-arm area, as well as the trajectory of the bullets showed that appellant acted deliberately in a manner that would naturally and probably culminate in the victim's death. Phillips v. State, 2011 Ark. App. 575, 386 S.W.3d 99 (2011).

In reviewing the evidence to support appellant's second-degree murder conviction, the court would not consider a 911 call because the record did not contain a verbatim record of the call as the jury heard it and because the call was not properly abstracted. Rainer v. State, 2012 Ark. App. 588 (2012).

Evidence was sufficient to affirm the finding that appellant caused the victim's death with the purpose of causing her serious physical injury, and thus appellant's second-degree murder conviction was affirmed; there were many signs of a fight, including blood spatters and a trail of blood, appellant's thumbprint was on the murder weapon, the location of the victim's wound was not consistent with a fall, and the victim called for help, not appellant. Rainer v. State, 2012 Ark. App. 588 (2012).

Evidence was sufficient to convict defendant of second-degree murder as the jury could have reasonably inferred that she intended to seriously injure the victim because she used scissors, an instrument that could be a deadly weapon; the cumulative number of injuries, which was 68, gave rise to the inference that she intended serious harm; most of the injuries were inflicted to the victim's face and head; and an officer testified that defendant told him that she had wanted to kill the victim. Hooks v. State, 2013 Ark. App. 728, 431 S.W.3d 333 (2013).

Defendant waived his sufficiency argument for his second-degree-murder conviction as his directed-verdict motion was based on first-degree murder, and the evidence supported a conviction for second-degree murder. Burnell v. State, 2016 Ark. App. 10 (2016).

Evidence was adequate to support the jury's finding that defendant knowingly caused the victim's death where it showed that he took a loaded rifle from his truck and shot it at the victim from a distance of approximately 65 feet, he admitted that he pulled the trigger at least 13 times, and he did not dispute that five shots hit the victim and caused his death. Draft v. State, 2016 Ark. App. 216, 489 S.W.3d 712 (2016).

Substantial evidence supported the jury's verdict convicting defendant of the second-degree murder of a six-month-old child. The child's death was due to violent shaking, and the jury could reasonably infer that defendant was the person responsible. Dulle v. State, 2019 Ark. App. 378, 582 S.W.3d 28 (2019).

Circumstantial evidence was sufficient to support defendant's second-degree murder conviction; he was the last person to be with the victim before her death, after the victim's family lost contact with her, defendant had her car keys and the cell phone her mother had loaned her, and defendant told the victim's family and friends three different stories about where she was. Gonzales v. State, 2019 Ark. App. 600, 589 S.W.3d 505 (2019).

Defendant's choking of another person for 15 seconds years prior was not independently relevant to show knowledge, intent, or absence of mistake; it was clear that the State used the prior act evidence to argue that because defendant had choked a previous girlfriend, he was acting in conformity with his prior bad acts and strangled the victim, which was strictly prohibited under Ark. R. Evid. 404(b). Gonzales v. State, 2019 Ark. App. 600, 589 S.W.3d 505 (2019).

State's attempt to convince the jury that defendant had to be guilty of strangulation based on the evidence that he previously choked his former girlfriend in an unrelated domestic dispute was the embodiment of the danger of unfair prejudice contemplated by Ark. R. Evid. 403, and the admission was not harmless. While the circumstantial evidence was sufficient to support a conviction, it was hardly overwhelming. Gonzales v. State, 2019 Ark. App. 600, 589 S.W.3d 505 (2019).

Evidence was sufficient to sustain defendant's convictions for second-degree murder under the corpus delicti rule, § 16-89-111(d), because defendant's confession was sufficiently corroborated; defendant confessed to killing the victims with a hammer and then disposing of the murder weapon, the victims' bodies were recovered, and both of the victims died from blunt-force trauma to the head, which was not an accident according to a medical examiner who performed autopsies of the victims. Watts v. State, 2020 Ark. App. 218 (2020).

—Causation.

Sufficient evidence supported defendant's conviction for second-degree murder; while the concurrent causes—the surgical complications, ensuing epidural hematoma, and pneumonia—might have contributed to the victim's death, defendant's conduct in beating and kicking the victim in the head, thereby causing the initial subdural hematoma, was the cause of his death. Claggett v. State, 2019 Ark. App. 208, 575 S.W.3d 169 (2019).

Felony Murder.

Where defendant and his accomplices fired gunshots seven or eight minutes after robbing two men, they fled in the murder victim's car to avoid being arrested. The jury was free to find that the murder occurred in the course of the aggravated robbery committed in violation of this section; therefore, the evidence was sufficient to support defendant's conviction for first-degree felony murder under § 5-10-102. Rhodes v. State, 2009 Ark. App. 665 (2009).

Indictment or Information.

Indictment or information held sufficient. Beard v. State, 269 Ark. 16, 598 S.W.2d 72 (1980).

Instructions.

Refusal to instruct the jury on lesser degree of homicide held proper. Gilchrist v. State, 241 Ark. 561, 409 S.W.2d 329 (1967) (decision under prior law).

Instruction on second-degree murder which provided alternate theories by which the defendant could be convicted held to be proper. McLemore v. State, 274 Ark. 527, 626 S.W.2d 364 (1982).

In a capital felony murder instruction on the lesser included offense of second-degree murder held not to have prejudiced the defendant. Henderson v. State, 279 Ark. 414, 652 S.W.2d 26, cert. denied, Henderson v. Arkansas, 464 U.S. 1012, 104 S. Ct. 536 (1983).

Failure to give proffered instruction on manslaughter where there was evidence presented on which the jury might have found that defendant recklessly caused the death of his brother was prejudicial error. Williams v. State, 17 Ark. App. 53, 702 S.W.2d 825 (1986).

The trial judge did not err in refusing to give the defendant's requested instruction on accident where the defendant's argument that the shooting was accidental could have been, and was, addressed to each charge of first degree murder, second degree murder, and manslaughter, and its appropriately defined mental state, and all requisite mental states were before the jury in proper instructions. Sims v. State, 19 Ark. App. 45, 716 S.W.2d 774 (1986).

Where the defendant was found guilty of second degree murder, the trial court did not err in refusing to give an instruction on negligent homicide; it is not error to refuse to give an instruction on one lesser included offense if other lesser offenses were covered by the instructions given and the jury returned a verdict for the greater offense. Sims v. State, 19 Ark. App. 45, 716 S.W.2d 774 (1986).

In a prosecution for second degree murder, the trial court committed reversible error when it refused to give a proffered manslaughter instruction where (1) the defendant intervened in an argument between the victim and the mother of his child, (2) during the ensuing conversation, the victim stated, “If I got a problem, I just boom-boom-boom, like that,” and all of the witnesses who were present took the victim's remarks to mean that he would shoot a gun to end any problem, (3) the defendant and the victim thereafter walked to their respective cars, (4) the defendant retrieved a shotgun from the trunk of his car, and the victim stood by the driver's side door of his car and reached down into the car through the open window, (5) as the victim came back up from reaching into the car, the defendant shot him in the chest, and (6) the defendant testified that he was afraid of the victim because he was acting and talking crazy and that he thought the victim was about to shoot him. Harshaw v. State, 71 Ark. App. 42, 25 S.W.3d 440 (2000), aff'd, 344 Ark. 129, 39 S.W.3d 753 (Ark. 2001).

The defendant in a prosecution for second degree murder was entitled to have the jury instructed with regard to the lesser included offense of manslaughter, since there was some evidence suggesting that the victim posed a real or deadly threat to the defendant, where witnesses testified that the victim made threatening remarks and reached for something in his car immediately prior to the homicide. Harshaw v. State, 344 Ark. 129, 39 S.W.3d 753 (Ark. 2001).

In addition to instructions on the elements of capital murder, the jury was instructed on lesser included offenses of first-degree murder, second-degree murder, and manslaughter, and defendant not assert that the model jury instructions inaccurately reflected the law; thus, despite his contention that his proffered instructions were more inclusive and a more clear statement of the law on the various issues, the trial court did not err in refusing to submit them to the jury in his capital murder case. Adams v. State, 2009 Ark. 375, 326 S.W.3d 764 (2009), cert. denied, 559 U.S. 1021, 130 S. Ct. 1922, 176 L. Ed. 2d 392 (2010).

In a first-degree murder case, the trial court did not abuse its discretion in instructing the jury on the lesser-included offense of second-degree murder because the evidence provided a rational basis for an acquittal on the first-degree-murder charge and a conviction on the second-degree-murder charge as defendant did not shoot and kill the victim, but handed his gun to codefendant; defendant could not have known with absolute certainty what codefendant would do; and the jury could have concluded that defendant knowingly caused the death of another person under circumstances manifesting extreme indifference to the value of human life in that he was practically certain that his conduct would cause the death of the victim. Northern v. State, 2015 Ark. App. 426, 467 S.W.3d 755 (2015).

Defendant, charged with first-degree murder, was not entitled to a second-degree murder instruction because the evidence consistently showed defendant shot the victim in the head at close range in the absence of any provocation. Dixon v. State, 2019 Ark. 245, 581 S.W.3d 505 (2019).

Intent.

Actual intent to take life was not a necessary element in the crime of murder in the second degree. Brassfield v. State, 55 Ark. 556, 18 S.W. 1040 (1892); Byrd v. State, 76 Ark. 286, 88 S.W. 974 (1905); Petty v. State, 76 Ark. 515, 89 S.W. 465 (1905); Tolliver v. State, 113 Ark. 142, 167 S.W. 703 (1914); Price v. State, 114 Ark. 398, 170 S.W. 235 (1914); Ballentine v. State, 198 Ark. 1037, 132 S.W.2d 384 (1939); McGaha v. State, 216 Ark. 165, 224 S.W.2d 534 (1949); Rand v. State, 232 Ark. 909, 341 S.W.2d 9 (1960); Seabourn v. State, 236 Ark. 175, 365 S.W.2d 133 (1963) (preceding decisions under prior law).

Malice was a necessary element of murder. Ballentine v. State, 198 Ark. 1037, 132 S.W.2d 384 (1939) (decision under prior law).

It was a question for the jury to decide in a case charging defendant with murder, whether repeated violent attacks by defendant on a much older man culminating in death amounted to malice on the part of the defendant. McGaha v. State, 216 Ark. 165, 224 S.W.2d 534 (1949) (decision under prior law).

The presence or absence of malice distinguished between murder in the second degree and manslaughter, and malice was implied whenever there was a killing with a deadly weapon and no circumstances of mitigation, justification or excuse appeared at the time of the killing. Erby v. State, 253 Ark. 603, 487 S.W.2d 266 (1972) (decision under prior law).

Evidence held sufficient to show sufficient malice to support conviction. Ricketts v. State, 254 Ark. 409, 494 S.W.2d 462 (1973) (decision under prior law).

State must show that the defendant acted with an awareness of his conduct and the relevant attendant circumstances and that his conduct was practically certain to cause the death of the victim. Harris v. State, 262 Ark. 680, 561 S.W.2d 69 (1978); Heard v. State, 284 Ark. 457, 683 S.W.2d 232 (1985).

Evidence held sufficient to support a verdict that defendant “knowingly” caused another's death. Harris v. State, 262 Ark. 680, 561 S.W.2d 69 (1978).

Failure of proof of premeditation and deliberation may still result in a conviction of second-degree murder which only requires a purposeful homicide or a homicide which was knowingly caused under circumstances manifesting extreme indifference to the value of human life. Robinson v. State, 269 Ark. 90, 598 S.W.2d 421 (1980).

A person acts “knowingly” when he is aware of the nature of his conduct, the attendant circumstances and that his conduct is practically certain to cause the result. Johnson v. State, 270 Ark. 992, 606 S.W.2d 752 (1980).

Evidence held insufficient to justify conclusion that defendant was aware that his conduct was practically certain to cause the death of another person. Johnson v. State, 270 Ark. 992, 606 S.W.2d 752 (1980).

Where information contained no language addressing a question of premeditation and deliberation, the defendant could be convicted of no crime greater than second-degree murder. Hill v. State, 303 Ark. 462, 798 S.W.2d 65 (1990).

Repeated blows to the head by kicking or “stomping” when the victim was down exhibited purposeful action to inflict serious physical injury, whether it be risk of death or protracted disfigurement or impairment. Anderson v. State, 312 Ark. 606, 852 S.W.2d 309 (1993).

Where defendant shot the victim at point-blank range with a shotgun, there was sufficient evidence for the jury to conclude that he “knowingly” caused death under circumstances manifesting extreme indifference to the value of human life as required for a conviction for second-degree murder under subdivision (a)(1) of this section. Harshaw v. State, 348 Ark. 62, 71 S.W.3d 548 (2002).

In a case in which defendant was convicted of the second degree murder of his wife, the jury could infer defendant's guilt from his efforts to conceal the crime from the authorities and his family and friends. Defendant concealed the killing of his wife by burying her, covering her grave with a barrel and sod, and storing her personal belongings in his storage unit. Wyles v. State, 368 Ark. 646, 249 S.W.3d 782 (2007).

Judicial Review.

On appeal the evidence will be viewed in the light most favorable to the defendant, and the verdict will be affirmed if there is substantial evidence to support it. Heard v. State, 284 Ark. 457, 683 S.W.2d 232 (1985).

Lesser Included Offenses.

Second-degree murder is not a lesser included offense of capital felony murder. Brown v. State, 325 Ark. 504, 929 S.W.2d 146 (1996), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002), but see McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002), restating the test for determining when an offense is included in another offense.

Second-degree murder is a lesser included offense of capital murder only if the accused's mental state is an element of the offense. Brown v. State, 325 Ark. 504, 929 S.W.2d 146 (1996), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002), but see McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002), restating the test for determining when an offense is included in another offense.

Evidence that supports a finding that a defendant has acted knowingly under circumstances manifesting an extreme indifference to the value of human life rather than purposely entitles a defendant to a jury instruction on attempted second-degree murder pursuant to subsection (a)(1); under that circumstance attempted second-degree murder is a lesser included offense of attempted first degree murder as defined by § 5-10-102(a)(2). McCoy v. State, 74 Ark. App. 414, 49 S.W.3d 154 (2001), aff'd, 347 Ark. 913, 69 S.W.3d 430 (2002).

In defendant's first-degree murder case, the court erred by refusing a requested second-degree murder instruction where (1) there was evidence that defendant got into an argument with his wife that escalated into physical violence, (2) when she began hitting him and threatening to kill him, defendant reacted by putting her in a headlock, or possibly choking her, or putting his arms around her neck, and (3) he did not let go until she died; based on the evidence, the jury could have found that defendant assaulted his wife, knowing his conduct was practically certain to cause her death, while being extremely indifferent to the value of human life. Wyles v. State, 357 Ark. 530, 182 S.W.3d 142 (2004).

Aggravated robbery is not a lesser included offense of attempted capital murder because, while an aggravated-robbery charge shares the intent to rob with attempted capital murder, aggravated robbery also requires one of three other elements. Two of those elements, being armed with a deadly weapon, or representing as such, are unique to aggravated robbery, and the third possible element of aggravated robbery is having inflicted or attempted to inflict death or serious physical injury upon another, which is not equivalent to the element in attempted capital murder that a defendant, in the course of or in flight from such robbery, caused the death of a person under circumstances manifesting extreme indifference to the value of human life. Clark v. State, 373 Ark. 161, 282 S.W.3d 801 (2008).

Prohibition against double jeopardy was not violated when defendant was convicted of aggravated robbery and attempted capital murder because the robbery was the underlying felony, and aggravated robbery was not the lesser included offense of attempted capital murder. Clark v. State, 373 Ark. 161, 282 S.W.3d 801 (2008).

Denial of postconviction relief was proper, because the petitioner failed to show the second-degree-murder instruction added an extra element not present in the greater offense of first-degree murder and that counsel should have objected; Second-degree murder was a lesser-included offense of first-degree murder, as it differed from the greater offense only to the extent that it required a lesser kind of culpable mental state. Holloway v. State, 2013 Ark. 140, 426 S.W.3d 462 (2013).

Cited: Bevills v. State, 264 Ark. 846, 575 S.W.2d 443 (1979); Westbrook v. State, 265 Ark. 736, 580 S.W.2d 702 (1979); Dixon v. State, 268 Ark. 471, 597 S.W.2d 77 (1980); Avery v. State, 271 Ark. 584, 609 S.W.2d 52 (1980); Ford v. State, 276 Ark. 98, 633 S.W.2d 3 (1982); Montgomery v. State, 277 Ark. 95, 640 S.W.2d 108 (1982); Vowell v. State, 4 Ark. App. 175, 628 S.W.2d 599 (1982); Washington v. State, 6 Ark. App. 85, 638 S.W.2d 690 (1982); Deviney v. State, 14 Ark. App. 70, 685 S.W.2d 179 (1985); Spillers v. Lockhart, 802 F.2d 1007 (8th Cir. 1986); Rode v. Lockhart, 675 F. Supp. 491 (E.D. Ark. 1987); O'Rourke v. State, 298 Ark. 144, 765 S.W.2d 916 (1989); Huls v. State, 27 Ark. App. 242, 770 S.W.2d 160 (1989); Edwards v. State, 40 Ark. App. 114, 842 S.W.2d 459 (1992); Bradley v. State, 320 Ark. 100, 896 S.W.2d 425 (1995); Jordan v. State, 323 Ark. 628, 917 S.W.2d 164 (1996).

5-10-104. Manslaughter.

  1. A person commits manslaughter if:
      1. The person causes the death of another person under circumstances that would be murder, except that he or she causes the death under the influence of extreme emotional disturbance for which there is reasonable excuse.
      2. The reasonableness of the excuse is determined from the viewpoint of a person in the actor's situation under the circumstances as the actor believed them to be;
    1. The person purposely causes or aids another person to commit suicide;
    2. The person recklessly causes the death of another person; or
    3. Acting alone or with one (1) or more persons:
      1. The person commits or attempts to commit a felony; and
      2. In the course of and in furtherance of the felony or in immediate flight from the felony:
        1. The person or an accomplice negligently causes the death of any person; or
        2. Another person who is resisting the felony or flight causes the death of any person.
  2. It is an affirmative defense to any prosecution under subdivision (a)(4) of this section for an offense in which the defendant was not the only participant that the defendant:
    1. Did not commit the homicidal act or in any way solicit, command, induce, procure, counsel, or aid the homicidal act's commission;
    2. Was not armed with a deadly weapon;
    3. Reasonably believed that no other participant was armed with a deadly weapon; and
    4. Reasonably believed that no other participant intended to engage in conduct which could result in death or serious physical injury.
  3. Manslaughter is a Class C felony.

History. Acts 1975, No. 280, § 1504; A.S.A. 1947, § 41-1504; Acts 2007, No. 827, § 21.

Research References

ALR.

Propriety of lesser included offense charge of voluntary manslaughter to jury in state murder prosecution — Twenty-first century cases. 3 A.L.R.6th 543.

Admissibility of Suicide Note in Criminal Proceedings. 13 A.L.R.7th Art. 6 (2015).

Ark. L. Rev.

Allowing Fetal Wrongful Death Actions in Arkansas: A Death Whose Time Has Come?, 44 Ark. L. Rev. 465.

Case Note, Criminal Liability for Attempting to Inflict the AIDS Virus: Possibilities in Arkansas' Future, 45 Ark. L. Rev. 505.

Recent Development: Arkansas Criminal Law — Felony Manslaughter as a Lesser-Included Offense, 60 Ark. L. Rev. 1017.

U. Ark. Little Rock L.J.

Survey — Criminal Law, 10 U. Ark. Little Rock L.J. 137.

Note, Fetus Not a “Person” as Term is Used in Manslaughter Statute, 10 U. Ark. Little Rock L.J. 403.

Survey — Criminal Procedure, 11 U. Ark. Little Rock L.J. 187.

Survey — Criminal Law, 14 U. Ark. Little Rock L.J. 753.

U. Ark. Little Rock L. Rev.

Annual Survey of Case Law: Criminal Law, 29 U. Ark. Little Rock L. Rev. 849.

Case Notes

Construction.

An unborn viable fetus is not a “person” as that term is used in subdivision (a)(3) of this section. Meadows v. State, 291 Ark. 105, 722 S.W.2d 584 (1987).

Accomplices.

No accomplice criminal responsibility results from supplying an intoxicant to one allegedly responsible as a principal for violations of subdivision (a)(1) of this section, § 5-13-204(a), or § 27-53-101(a)(1). Fight v. State, 314 Ark. 438, 863 S.W.2d 800 (1993).

Employer held civilly liable where an employee killed his employer's neighbor when the neighbor pointed a gun at the employer; the employee was liable for manslaughter and his employer was an accomplice to that manslaughter. Costner v. Adams, 82 Ark. App. 148, 121 S.W.3d 164 (2003).

Course of Conduct.

Conduct upon which the state based charges of manslaughter and second degree battery, a car wreck, was not a single, continuous and uninterrupted act out of which the defendant could only be prosecuted for one offense; neither manslaughter nor second degree battery is specifically defined as a continuing course of conduct. Lawrence v. State, 39 Ark. App. 39, 839 S.W.2d 10 (1992).

Double Jeopardy.

Where one victim was not dead at the time of manslaughter conviction based on death of another victim of the same incident, subsequent prosecution for manslaughter of second victim was not barred. This “not yet consummated” exception to a defendant's right not to be tried twice for the same offense does not violate the principle of former jeopardy. Tackett v. State, 294 Ark. 609, 745 S.W.2d 625 (1988).

Evidence.

Evidence held sufficient to sustain conviction. Pixley v. State, 203 Ark. 42, 155 S.W.2d 710 (1941); Ramick v. State, 212 Ark. 700, 208 S.W.2d 3 (1948); Cooley v. State, 213 Ark. 503, 211 S.W.2d 114 (1948); Connelly v. State, 233 Ark. 826, 350 S.W.2d 298 (1961); Griffin v. State, 239 Ark. 431, 389 S.W.2d 900 (1965); Cook v. State, 248 Ark. 332, 451 S.W.2d 473 (1970); Hathcock v. State, 256 Ark. 707, 510 S.W.2d 276 (1974) (preceding decisions under prior law); Limber v. State, 264 Ark. 479, 572 S.W.2d 402 (1978); Bevills v. State, 264 Ark. 846, 575 S.W.2d 443 (1979); Kirkendall v. State, 265 Ark. 853, 581 S.W.2d 341 (1979); Dixon v. State, 268 Ark. 471, 597 S.W.2d 77 (1980); Darville v. State, 271 Ark. 580, 609 S.W.2d 50 (1980); Smith v. State, 3 Ark. App. 224, 623 S.W.2d 862 (1981); Worring v. State, 2 Ark. App. 27, 616 S.W.2d 23 (1981); Wood v. State, 20 Ark. App. 61, 724 S.W.2d 183 (1987); Booth v. State, 26 Ark. App. 115, 761 S.W.2d 607 (1988), cert. denied, Booth v. Arkansas, 490 U.S. 1047, 109 S. Ct. 1956, 104 L. Ed. 2d 425 (1989); Bargery v. State, 37 Ark. App. 118, 825 S.W.2d 831 (1992).

In a trial for murder, it was not error for the court to have submitted the issue of manslaughter to the jury if the proof would have supported a finding that defendant was guilty of a higher degree of homicide than that for which he was convicted. Patrick v. State, 245 Ark. 923, 436 S.W.2d 275 (1969) (decision under prior law).

In a murder prosecution where defendant attempted to show that he should only be convicted of manslaughter because he caused a death under circumstances that would have been murder but for the influence of extreme emotional disturbance for which there is a reasonable excuse, the trial court did not abuse its discretion in refusing to allow a counselor, who was concededly an expert in the field of social work, to give an opinion as to the defendant's mental condition. Wilburn v. State, 289 Ark. 224, 711 S.W.2d 760 (1986).

The defendant was properly convicted of first degree murder, rather than manslaughter, notwithstanding his contention that he shot the victim under the influence of extreme emotional disturbance for which there was reasonable excuse, where (1) after having sex with the victim in his car and leaving the area, the defendant discovered that his wallet was missing, (2) the defendant went back to the area and found his wallet on the ground, with cash missing, (3) the defendant went home, got his gun and then found the victim and accused her of taking his money, (4) she stated that she did not have his money and taunted him, saying that she did not believe he would shoot her, and (5) the defendant then shot her three times. Franks v. State, 342 Ark. 167, 27 S.W.3d 377 (2000).

Evidence was sufficient to sustain defendant's convictions for manslaughter because two people in a motor home were killed when defendant drove a fully loaded commercial vehicle weighing over 82,000 pounds, while under the influence of methamphetamine, into the oncoming-traffic lane, striking the motor home, and ultimately driving through it. Defendant never attempted to brake prior to the accident or to return to the proper lane of traffic. Hoyle v. State, 371 Ark. 495, 268 S.W.3d 313 (2007), rehearing denied, — Ark. —, — S.W.3d —, 2008 Ark. LEXIS 12 (Jan. 10, 2008).

Trial court did not err in convicting defendant of manslaughter in violation of subdivision (a)(3) of this section because the state presented sufficient evidence to corroborate defendant's confession since the corpus delicti rule, § 16-89-111(d), required a showing that the crime occurred, and the state made the requisite showing; the evidence showed that the victim died hours after defendant admittedly went to his apartment, that the victim's apartment was in a state of disarray, which could have been interpreted as circumstantial evidence of a struggle, that blood was found in an area not in the immediate vicinity of where the victim ultimately passed away, and that the medical examiner would have ruled the victim's death a homicide had he known that he had been punched in the head five times. Freeman v. State, 2010 Ark. App. 90 (2010).

Appellant's conviction for manslaughter was affirmed because while a no-knock, nighttime search warrant was executed at appellant's apartment, shots were fired as soon as the SWAT team hit the door, the police returned fire, two police officers were shot, and two persons inside the residence were shot. Porter v. State, 2012 Ark. App. 139 (2012).

Extreme Emotional Disturbance.

Instruction on manslaughter properly refused where there was proof of intense anger on the part of defendant, but there was no proof of provocation in the form of physical fighting, a threat, or a brandished weapon, as anger alone does not constitute extreme emotional disturbance. Spann v. State, 328 Ark. 509, 944 S.W.2d 537 (1997).

Elements of emotional disturbance include external events, but not mental diseases or defects; therefore, expert testimony was not admissible in a murder trial to show that defendant was mildly mentally retarded and had a schizo-affective disorder in order to support a voluntary manslaughter instruction. Bankston v. State, 361 Ark. 123, 205 S.W.3d 138 (2005).

In order for a jury to be instructed on extreme-emotional-disturbance manslaughter, there must be evidence that the defendant killed the victim in the moment following some kind of provocation, such as physical fighting, a threat, or a brandished weapon; passion alone will not reduce a homicide from murder to manslaughter. Boyle v. State, 363 Ark. 356, 214 S.W.3d 250 (2005).

Where the evidence at defendant's murder trial showed defendant drove up to the victim's house, the victim approached the car and the two spoke briefly, defendant pulled out a gun, the victim began backing away, and defendant shot and killed the victim, the trial court did not err in refusing to instruct the jury on the lesser-included offense of manslaughter because the facts failed to demonstrate an extreme emotional disturbance for which there was a reasonable excuse; although defendant testified that statements made by the victim on a prior occasion and the victim's failure to run when defendant pulled out his gun led him to believe that the victim was armed, the evidence showed that defendant was the one who approached the victim and that their initial contact was a mere exchange of words in normal voices. Defendant's perceived threat in this situation did not provide a reasonable excuse for him to shoot the victim under a claim of extreme emotional disturbance because it was clear that defendant was free to drive away at any time; further, the victim was backing away from the car when defendant began to shoot, and he was unarmed. Taylor v. State, 2009 Ark. App. 627, 331 S.W.3d 597 (2009).

There was no evidence that the victim provoked defendant physically or otherwise to have caused the requisite extreme emotional disturbance as referenced in the statute. Bowden v. State, 2014 Ark. 168 (2014).

In a case where defendant was convicted of reckless conduct manslaughter, the circuit court did not abuse its discretion by refusing to give an instruction on extreme-emotional-disturbance-manslaughter because the evidence failed to show that defendant was provoked by the victim or that the victim was threatening defendant or attempting to commit violence on defendant at the time of the murder, as defendant testified that he did not know the victim and that he had not intended to shoot anyone; and, although defendant did respond to a physical fight prior to the shooting, the victim was not a party to that fight and thus was not the source of any provocation that might have spurred or incited defendant to fire his gun. Williams v. State, 2015 Ark. App. 262 (2015).

Trial counsel was not ineffective in failing to present a proper jury instruction on extreme emotional disturbance manslaughter; although the victim may have been the initial aggressor, petitioner had initiated a second encounter with a firearm in tow and thus he had invited the provocation that led to the victim's death and was not entitled to a jury instruction on extreme emotional disturbance. Further, even assuming trial counsel was deficient, petitioner failed to demonstrate prejudice. Douglas v. State, 2019 Ark. 57, 567 S.W.3d 483 (2019).

First-Degree Battery.

The mere fact that the jury convicted the defendant of manslaughter, which required proof of reckless conduct, did not require a conclusion that the jury could not also have found him guilty of first-degree battery, an offense that requires a more culpable mental state, with respect to the survivor of the automobile accident that the defendant caused. Nolen v. State, 278 Ark. 17, 643 S.W.2d 257 (1982).

Indictment or Information.

Indictment held to sufficiently charge the defendant knew that the poison which he procured and delivered to the deceased was to be used by her for the purpose of suicide and it was given to her for that purpose. Farrell v. State, 111 Ark. 180, 163 S.W. 768 (1914) (decision under prior law).

A prosecution for manslaughter on an information did not violate the state or federal constitutions. Washington v. State, 213 Ark. 218, 210 S.W.2d 307, cert. denied, 335 U.S. 884, 69 S. Ct. 232, 93 L. Ed. 423 (1948) (decision under prior law).

Information held to adequately state the crime with which the defendant was charged. Smith v. State, 231 Ark. 235, 330 S.W.2d 58 (1959) (decision under prior law).

Section 20-17-101, defining when one is legally dead and requiring that a determination of death shall be made in accordance with accepted medical standard, does not require that proof of death for the purposes of criminal prosecution be made only by autopsy evidence or by specific medical opinion. Wood v. State, 20 Ark. App. 61, 724 S.W.2d 183 (1987).

Instructions.

Instruction on requisite state of mind — held to constitute a correct statement of the law. Nagel v. State, 179 Ark. 625, 17 S.W.2d 317 (1929) (decision under prior law).

Where evidence was such that it would have supported a conviction of a more severe degree of homicide, defendant was not entitled to reversal because court instructed on first degree murder and refused to instruct on manslaughter. Bingley v. State, 235 Ark. 982, 363 S.W.2d 530, cert. denied, 375 U.S. 909, 84 S. Ct. 202, 11 L. Ed. 2d 148 (1963) (decision under prior law).

Instruction defining murder in the second degree held proper, as it was necessary that murder be defined in order that the jury could determine whether defendant was guilty of manslaughter. Tiner v. State, 239 Ark. 819, 394 S.W.2d 608 (1965) (decision under prior law).

Refusal or failure to instruct on manslaughter held proper. Freeman v. State, 240 Ark. 915, 403 S.W.2d 61 (1966); Williams v. State, 250 Ark. 859, 467 S.W.2d 740 (1971) (preceding decisions under prior law); Sargent v. State, 272 Ark. 336, 614 S.W.2d 503 (1981).

The trial court did not err in refusing to instruct the jury upon § 5-2-620, where the jury was instructed pursuant to AMCI 4105, which required the State to overcome defendant's reliance on self-defense of his person by a standard of beyond a reasonable doubt. Clark v. State, 15 Ark. App. 393, 695 S.W.2d 396 (1985).

Failure to give proffered instruction on manslaughter held error. Williams v. State, 17 Ark. App. 53, 702 S.W.2d 825 (1986).

The trial judge did not err in refusing to give the defendant's requested instruction on accident where the defendant's argument that the shooting was accidental could have been, and was, addressed to each charge of first degree murder, second degree murder, and manslaughter, and its appropriately defined mental state, and all requisite mental states were before the jury in proper instruction. Sims v. State, 19 Ark. App. 45, 716 S.W.2d 774 (1986).

Where evidence was sufficient that the jury could find an extreme emotional disturbance for which there was a reasonable excuse, and thus it could have found defendant guilty of manslaughter rather than murder in the first degree, a manslaughter instruction was warranted and failure to give the manslaughter instruction was prejudicial. Rainey v. State, 310 Ark. 419, 837 S.W.2d 453 (1992).

Where defendant admitted to shooting the unarmed victim once in the back causing paralysis and shooting the victim a second time while he was incapable of moving or causing harm to defendant, it is clear that a justification defense is inconsistent with the “recklessly causing” element found in the offense of manslaughter, and there was no rational basis for giving the manslaughter instruction. Cobb v. State, 340 Ark. 240, 12 S.W.3d 195 (2000).

Defendant's conviction for first-degree murder was improper where the evidence warranted a manslaughter instruction that should have been presented to the jury; defendant requested the manslaughter instruction based upon the premise that he caused the victim's death under the influence of extreme emotional disturbance for which there was a reasonable excuse, and the evidence entitled defendant to the manslaughter instruction. Whittier v. State, 84 Ark. App. 362, 141 S.W.3d 924 (2004).

In defendant's first-degree murder case, the court erred by refusing a requested manslaughter instruction under subdivision (a)(1) where (1) there was evidence that defendant got into an argument with his wife that escalated into physical violence, (2) when she began hitting him and threatening to kill him, defendant reacted by putting her in a headlock, or possibly choking her, or putting his arms around her neck, and (3) he did not let go until she died; based on the evidence, the jury could have found that defendant assaulted his wife under the influence of extreme emotional disturbance for which there was a reasonable excuse. Wyles v. State, 357 Ark. 530, 182 S.W.3d 142 (2004).

Defendant's capital-murder conviction was appropriate and there was no basis for giving the jury defendant's requested manslaughter instruction, per subdivision (a)(1) of this section. Although defendant argued that there was evidence that he was provoked to shoot the victim, defendant pointed to no evidence that the victim's actions in fighting defendant's brother were calculated to provoke defendant to take action. Jackson v. State, 375 Ark. 321, 290 S.W.3d 574 (2009).

In addition to instructions on the elements of capital murder, the jury was instructed on lesser included offenses of first-degree murder, second-degree murder, and manslaughter, and defendant not assert that the model jury instructions inaccurately reflected the law; thus, despite his contention that his proffered instructions were more inclusive and a more clear statement of the law on the various issues, the trial court did not err in refusing to submit them to the jury in his capital murder case. Adams v. State, 2009 Ark. 375, 326 S.W.3d 764 (2009), cert. denied, 559 U.S. 1021, 130 S. Ct. 1922, 176 L. Ed. 2d 392 (2010).

Trial court did not err in refusing to instruct the jury on manslaughter as a lesser included offense of first-degree murder because there was no evidence that the victim actually threatened defendant with a gun at the time of the murder and because the only testimony of threats made by the victim against defendant came from defendant's own testimony; even if the court were to accept defendant's self-serving testimony as evidence to support a manslaughter instruction, the threats as testified to by defendant did not provide a basis for the manslaughter instruction because mere threats, where the person making the threats was unarmed and was neither committing nor attempting to commit violence on defendant the time of the killing, were insufficient to lessen defendant's culpability for murder. Where there was no evidence that the victim was armed and no evidence that he was violently assaulting defendant when defendant shot him, defendant failed to establish provocation sufficient to justify his actions; defendant was thus not entitled to a jury instruction on the lesser-included offense of manslaughter. Pollard v. State, 2009 Ark. 434, 336 S.W.3d 866 (2009).

Defendants were not entitled to a manslaughter instruction unless there was a showing that defendants killed the victim in the moment following provocation, and here, defendant did not kill his mother at that time, but instead had to drive to another county, get a shovel out of his mother's shed, then beat down the back door to her home before beating her to death. Bowden v. State, 2014 Ark. 168 (2014).

Trial court did not err in instructing the jury on extreme-emotional-disturbance manslaughter because the court did not delegate its duty to instruct the jury to counsel, as defendant alleged on appeal, as it was the court, not counsel, that gave the jury the agreed upon instructions. Sims v. State, 2014 Ark. App. 312 (2014).

Facts of this case did not give rise to the provocation necessary to warrant the giving of an extreme emotional disturbance manslaughter instruction, as there was no evidence that the victim was armed, and even assuming that the victim's crude and taunting words about defendant's child constituted a threat, case law held that mere threats were insufficiently provocative when the person killed was not armed and committing a violent act against the defendant, and thus the circuit court did not abuse its discretion in refusing to give this instruction. Cody v. State, 2014 Ark. App. 686, 449 S.W.3d 712 (2014).

Circuit court did not err in denying appellant's petition for postconviction relief because appellant could not establish that prejudice resulted from counsel's failure to request an instruction on the lesser-included offense of manslaughter since the jury returned a guilty verdict on the greater offense of first-degree murder. Sims v. State, 2015 Ark. 363, 472 S.W.3d 107 (2015).

Circuit court did not err in denying appellant's petition for postconviction relief because appellant did not receive ineffective assistance of counsel; the instruction on extreme emotional disturbance manslaughter complied with the Supreme Court's ruling in a case that took place one month before appellant's trial, and counsel was not ineffective for failing to have the foresight to predict all revisions to the instructions that were not directly mandated by that decision. Sims v. State, 2015 Ark. 363, 472 S.W.3d 107 (2015).

Trial court did not err by failing to instruct on attempted reckless manslaughter as a lesser-included offense of attempted second-degree murder because the crime of attempted reckless manslaughter is inherently contradictory. The attempted offense involved an intentional act, and it would have been illogical to ask the jury to find that defendant intended to act recklessly or that he purposely engaged in conduct that was a substantial step in a course of conduct intended to culminate in acting recklessly. Even if the instruction was based on sound law, there was no rational basis for giving it in this case where defendant's actions in running over people were intentional, regardless of whether he intended to bring about the particular result of death. Allen v. State, 2015 Ark. App. 360, 465 S.W.3d 9 (2015).

Defendant, charged with first-degree murder, was not entitled to a manslaughter instruction because defendant's interactions with a third person after defendant committed a murder did not show what defendant's mental state was when he shot the victim. Dixon v. State, 2019 Ark. 245, 581 S.W.3d 505 (2019).

Intent.

Where one struck another with intent merely to inflict chastisement and death resulted from some peculiarity in the deceased's constitution or other unexpected incident, the result was manslaughter merely; but where death naturally ensued from the force or manner of instrumentality of the chastisement and the chastisement was made regardless of its probable result in death, the jury was authorized to find deliberation and specific intent to take life and consequently to convict of murder in the first degree. Rosemond v. State, 86 Ark. 160, 110 S.W. 229 (1908) (decision under prior law).

A homicide could be reduced from murder to manslaughter unless the assault was made with an intent to kill. Young v. State, 99 Ark. 407, 138 S.W. 475 (1911) (decision under prior law).

The intent to kill was unnecessary to constitute manslaughter. Seabourn v. State, 236 Ark. 175, 365 S.W.2d 133 (1963) (decision under prior law).

Lesser-Included Offenses.

Negligent homicide, which requires a lesser culpable mental state than manslaughter, is a lesser included offense of manslaughter. Lowe v. State, 264 Ark. 205, 570 S.W.2d 253 (1978).

Battery in the second degree and battery in the third degree require proof that a deadly weapon was used; in contrast, use of a deadly weapon is not necessary for the commission of manslaughter. Since battery in the second degree and third degree require proof of an element not an element of proof of manslaughter, they are not lesser included offenses of manslaughter. Tackett v. State, 298 Ark. 20, 766 S.W.2d 410 (1989), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002).

Where the circuit court acquired jurisdiction over a juvenile, criminal defendant, upon the filing of a first degree murder charge, it retained jurisdiction to convict and sentence for the lesser included offense of manslaughter. Walker v. State, 309 Ark. 23, 827 S.W.2d 637 (1992).

Felony manslaughter added an additional element to felony murder relating to the perpetration of the murder itself and, therefore, was not a lesser-included offense of capital murder or first-degree murder. Cook v. State, 77 Ark. App. 20, 73 S.W.3d 1 (2002).

For defendant to be entitled to an instruction on manslaughter under subdivision (a)(1) of this section, the evidence had to reveal that the murder was the result of a provocation leading to an extreme emotional disturbance; the instruction was not appropriate in the absence of any proof of provocation from the victim herself. MacKool v. State, 363 Ark. 295, 213 S.W.3d 618 (2005).

Circuit court erred in instructing the jury on felony manslaughter as a lesser included offense of capital felony murder, because the “extreme indifference” element was not a culpable mental state relating to a specific homicide victim but merely described the dangerous circumstances generally set in motion by defendant, and since the “extreme indifference” standard was not a mens rea related to a specific victim, it could not support a lesser included offense based on a less culpable mental state; the sole mens rea element in capital felony murder and first degree felony murder related to the underlying felony and not to the homicide itself. Perry v. State, 371 Ark. 170, 264 S.W.3d 498 (2007).

Defendant's convictions for manslaughter, in violation of subdivision (a)(3) of this section, were modified to the lesser-included offense of negligent homicide under § 5-10-105(b)(1) because defendant's acts of crossing the center line, tailgating, and averting defendant's eyes from the road constituted negligence, not recklessness under § 5-2-202(3). Rollins v. State, 2009 Ark. App. 110, 302 S.W.3d 617 (2009), rev'd, 2009 Ark. 484, 347 S.W.3d 20 (2009).

In a case in which a jury convicted defendant of capital murder in the shooting death of his ex-wife, the trial court properly refused to instruct the jury on reckless manslaughter and negligent homicide. Defendant, who fired once into a residence, mortally striking his ex-wife in the back, offered no rational basis to support giving either instruction on the basis that his actions were reckless or negligent. Jones v. State, 2012 Ark. 38, 388 S.W.3d 411 (2012).

In a prosecution of defendant on two counts of first-degree murder, the circuit court did not abuse its discretion in refusing to instruct the jury on the charge of manslaughter as a lesser-included offense of first-degree murder. The record did not reveal any provocation, such as physical fighting, a threat, or a brandished weapon, by either victim. Davis v. State, 2015 Ark. 284 (2015).

Circuit court did not err in denying a jury instruction on the extreme-emotional-disturbance formulation of manslaughter pursuant to subdivision (a)(1) of this section where there was no factual basis to show that defendant killed a corrections officer in a moment following provocation, and his argument that prison was stressful and that a reasonable person would have done the same thing was not convincing. Johnson v. State, 2016 Ark. 156, 489 S.W.3d 668 (2016).

Provocation, Justification, Etc.

Homicide committed in a sudden heat of passion could constitute manslaughter. Perrymore v. State, 73 Ark. 278, 83 S.W. 909 (1904); Allison v. State, 74 Ark. 444, 86 S.W. 409 (1905) (preceding decisions under prior law).

Invited provocation would not reduce the crime to manslaughter, when defendant has not attempted to retire from the encounter, although it was otherwise where the assault was returned by violence beyond what was proportionate to the aggression. Noble v. State, 75 Ark. 246, 87 S.W. 120 (1905) (decision under prior law).

Provocation on the part of one person does not justify his killing another. Dow v. State, 77 Ark. 464, 92 S.W. 28 (1906) (decision under prior law).

Mere words, however abusive, would not reduce the degree of homicide to manslaughter. Dow v. State, 77 Ark. 464, 92 S.W. 28 (1906); Wheatley v. State, 93 Ark. 409, 125 S.W. 414 (1910) (preceding decisions under prior law).

Threats or menaces would not reduce a homicide to manslaughter, where the person killed was unarmed and not attempting to commit violence. Clardy v. State, 96 Ark. 52, 131 S.W. 46 (1910) (decision under prior law).

The passion must have been caused by provocation apparently sufficient to cause such passion, in order to have reduced the homicide to manslaughter. Clardy v. State, 96 Ark. 52, 131 S.W. 46 (1910); Downey v. Duff, 106 Ark. 4, 152 S.W. 1010 (1912) (preceding decisions under prior law).

Killing in heat of passion could reduce homicide from murder to manslaughter; and defendant was entitled to show the existence of passion, fear or terror. Collins v. State, 102 Ark. 180, 143 S.W. 1075 (1912) (decision under prior law).

Where defendant shot and killed under the belief that he was about to be assaulted, but acted too hastily and without due care, he was guilty of manslaughter. Bruder v. State, 110 Ark. 402, 161 S.W. 1067 (1913) (decision under prior law).

A defendant could show the existence of passion unless he sought the difficulty with malice toward deceased. Price v. State, 114 Ark. 398, 170 S.W. 235 (1914) (decision under prior law).

Where one friend teases another, there is no reasonable excuse for a state of emotional disturbance so great as to excuse killing. Testimony that defendant became irritated or annoyed because the victim teased him did not constitute evidence of extreme emotional disturbance, and, even if defendant's irritation from being teased could somehow constitute extreme emotional disturbance, there was no proof that it was reasonable. Frazier v. State, 309 Ark. 228, 828 Ark. 838, 828 S.W.2d 838 (1992).

The defense of justification is conditioned on a reasonable belief on the part of the actor that unlawful physical force is about to be inflicted on him. Bargery v. State, 37 Ark. App. 118, 825 S.W.2d 831 (1992).

During defendant's trial for attempted murder, the court did not err in refusing to instruct the jury on the lesser-included offense of attempted extreme-emotional-disturbance manslaughter, in violation of subdivision (a)(1)(A) of this section and § 5-3-201(b), because defendant's self-serving testimony was the only evidence of provocation presented; the evidence corroborated the victim's testimony that defendant stabbed the victim with a knife. Townsell v. State, 2010 Ark. App. 754 (2010).

To the extent defendant argued that a doctor's testimony was relevant to prove that defendant believed his mother was poisoning him and his stepfather, and that such belief was provocation, his argument was not well taken, as even the doctor opined that defendant was able to appreciate the wrongfulness of his behavior and had the ability to conform his behavior to the requirements of the law if he chose to do so. Bowden v. State, 2014 Ark. 168 (2014).

In a trial for manslaughter under this section, the circuit court erred when it did not instruct the jury on justification because, under § 5-2-614, if defendant was reckless or negligent in forming the belief that force was necessary, then, and only then, was the defense unavailable; however, if defendant was not reckless or negligent in forming his belief, the defense was available, and that was a decision for the jury. Schnarr v. State, 2018 Ark. 333, 561 S.W.3d 308 (2018).

Reckless Conduct.

Evidence held sufficient that the defendant's conduct was reckless. Smith v. State, 3 Ark. App. 224, 623 S.W.2d 862 (1981).

Where defendant's conduct evidenced an overall state of mind which far exceeded “gross deviation from the standard of care,” there was no rational basis for a manslaughter instruction on the chance that the jury might consider his conduct reckless as opposed to purposeful or knowing. Misskelley v. State, 323 Ark. 449, 915 S.W.2d 702 (1996).

Defendant recklessly caused the death of her baby by consciously disregarding a substantial and unjustifiable risk that death might occur if she did not feed the baby more often. Miles v. State, 59 Ark. App. 97, 954 S.W.2d 286 (1997).

Second-degree murder conviction was affirmed because defendant was not entitled to an instruction on the lesser-included offense of involuntary manslaughter; defendant's act of shooting into an ex-spouse's occupied vehicle did not constitute recklessness. Bankston v. State, 361 Ark. 123, 205 S.W.3d 138 (2005).

Even if a circuit court erred in admitting the hearsay testimony of witnesses under Ark. R. Evid. 803(3), the error was harmless as to the offense of manslaughter; the evidence showed that defendant, while intoxicated, pressed a loaded shotgun firmly against the back of the victim's neck when the shotgun discharged and that the shotgun discharges when the hammer has been pulled back and the trigger is pulled, and the jury acquitted defendant of causing the victim's death either with the purpose to do so or knowingly under circumstances manifesting extreme indifference to the value of human life. Davis v. State, 2018 Ark. App. 383, 555 S.W.3d 892 (2018).

Reckless Driving.

Evidence was sufficient to support defendant's convictions of two counts manslaughter stemming from a head-on collision in which two people were killed because it showed that defendant had been driving erratically prior to the crash, had tailgated another driver for 15 miles, drove fast on a curving highway, and crossed over the center line while looking over his shoulder. There was further testimony establishing that defendant did not attempt to stop or swerve as he drove headfirst into the victims' vehicle, and additional proof was presented from which the jury could infer that, at some point within the eight hours proceeding the drawing of defendant's blood four hours after the accident, defendant had ingested cocaine. Rollins v. State, 2009 Ark. 484, 347 S.W.3d 20 (2009).

Substantial evidence supported defendant's manslaughter convictions under subdivision (a)(3) of this section and § 5-2-202(3) given defendant's ingestion of 11 controlled substances prior to driving her SUV across the center line, running two vehicles off the road before striking the victims' car, which had pulled onto the shoulder. Dail v. State, 2013 Ark. App. 184 (2013).

Sentence.

Where the defendant was jointly tried for the death of an adult and a viable fetus, and the state erroneously introduced evidence concerning the viability of the fetus at various stages of gestation, and then presented detailed evidence about the death of the fetus as a result of “slow asphyxiation” caused by a “shearing” of the umbilical cord, the erroneous evidence would not have influenced the jury on the question of guilt or innocence, but could have improperly influenced the jury in fixing the sentence; therefore, the sentence was reduced to the minimum the jury could have set for the offense of which the defendant was convicted. Meadows v. State, 291 Ark. 105, 722 S.W.2d 584 (1987).

Trial court lacked authority to impose a 10-year enhanced sentence on defendant for committing manslaughter in the presence of a child because the sentence was illegal where manslaughter was not referenced in the enhancement statute. Hart v. State, 2014 Ark. 250 (2014).

Defendant's sentence for manslaughter was illegal on its face, as the judgment reflected a sentence of zero years' imprisonment for the manslaughter conviction, a Class C felony, which required a three-year minimum; however, as the State did not file a notice of appeal or of cross-appeal, the legality of the manslaughter sentence could not be considered. Blackwell v. State, 2015 Ark. App. 96, 455 S.W.3d 848 (2015).

Speedy Trial.

The crime of manslaughter is not consummated until the death of the victim, and so defendant was not denied his right to a speedy trial on manslaughter charges where charges were brought within 2 months of victim's death, which occurred more than 4 years after the incident which caused her to go into a vegetative coma. Takeya v. Didion, 294 Ark. 611, 745 S.W.2d 614 (1988).

Underlying Felonies.

In a fleeing and manslaughter case where an officer died during a high speed pursuit of defendant, who fled from a store after stealing candy, the trial court did not err by submitting a manslaughter instruction as fleeing under § 5-54-125 was an appropriate underlying felony to support a conviction under this section. Fondren v. State, 364 Ark. 498, 221 S.W.3d 333 (2006).

During defendant's trial, the court properly gave an instruction to the jury regarding manslaughter, in violation of subdivision (4)(A) of this section, after an officer was killed in a high-speed chase because while the manslaughter charge might have arisen from the same events as felony fleeing, in violation of § 5-54-125, the legislature clearly intended that fleeing be punishable as a separate offense. Fondren v. State, 364 Ark. 498, 221 S.W.3d 333 (2006).

Any felony will support a conviction for manslaughter. Fondren v. State, 364 Ark. 498, 221 S.W.3d 333 (2006).

Cited: Hammers v. State, 261 Ark. 585, 550 S.W.2d 432 (1977); West v. State, 265 Ark. 52, 576 S.W.2d 718 (1979); Westbrook v. State, 265 Ark. 736, 580 S.W.2d 702 (1979); Jones v. State, 1 Ark. App. 318, 615 S.W.2d 388 (1981); Harmon v. State, 277 Ark. 265, 641 S.W.2d 21 (1982); Knappenberger v. State, 278 Ark. 382, 647 S.W.2d 417 (1983); Ethridge v. State, 9 Ark. App. 111, 654 S.W.2d 595 (1983); Biniores v. State, 16 Ark. App. 275, 701 S.W.2d 385 (1985); Rode v. Lockhart, 675 F. Supp. 491 (E.D. Ark. 1987); Sparks v. State, 25 Ark. App. 190, 756 S.W.2d 911 (1988); Starling v. State, 301 Ark. 603, 786 S.W.2d 114 (1990); Smith v. State, 30 Ark. App. 111, 783 S.W.2d 72 (1990); McDonald v. State, 42 Ark. App. 37, 852 S.W.2d 833 (1993); Trimble v. State, 316 Ark. 161, 871 S.W.2d 562 (1994); Bradley v. State, 320 Ark. 100, 896 S.W.2d 425 (1995); Green v. State, 323 Ark. 635, 916 S.W.2d 756 (1996); Cooper v. State, 324 Ark. 135, 919 S.W.2d 205 (1996); Holian v. State, 2013 Ark. 7 (2013); Starling v. State, 2016 Ark. 20, 480 S.W.3d 158 (2016).

5-10-105. Negligent homicide.

    1. A person commits negligent homicide if he or she negligently causes the death of another person, not constituting murder or manslaughter, as a result of operating a vehicle, an aircraft, or a watercraft:
      1. While intoxicated;
        1. If at that time there is an alcohol concentration of eight hundredths (0.08) or more in the person's breath or blood based upon the definition of alcohol concentration in § 5-65-204, as determined by a chemical test of the person's blood, urine, breath, saliva, or other bodily substance.
        2. The method of the chemical test of the person's blood, urine, saliva, breath, or other bodily substance shall be made in accordance with §§ 5-65-204 and 5-65-206;
      2. While passing a stopped school bus in violation of § 27-51-1004; or
      3. While fatigued.
    2. A person who violates subdivision (a)(1) of this section upon conviction is guilty of a Class B felony.
    1. A person commits negligent homicide if he or she negligently causes the death of another person.
    2. A person who violates subdivision (b)(1) of this section upon conviction is guilty of a Class A misdemeanor.
  1. As used in this section:
    1. “Fatigued” means:
      1. Having been without sleep for a period of twenty-four (24) consecutive hours; or
      2. Having been without sleep for a period of twenty-four (24) consecutive hours and in the state of being asleep; and
    2. “Intoxicated” means influenced or affected by the ingestion of alcohol, a controlled substance, any intoxicant, or any combination of alcohol, a controlled substance, or an intoxicant to such a degree that the operator's reactions, motor skills, and judgment are substantially altered and the operator therefore constitutes a clear and substantial danger of physical injury or death to himself or herself or to another person.

History. Acts 1975, No. 280, § 1505; A.S.A. 1947, § 41-1505; Acts 1987, No. 538, § 1; 1999, No. 1112, § 1; 2001, No. 561, § 1; 2005, No. 1004, § 1; 2005, No. 2128, § 2; 2009, No. 650, § 1; 2013, No. 361, § 1; 2013, No. 1296, § 1.

Publisher's Notes. Acts 2005, No. 2128, § 1, provided:

“This act shall be known and may be cited as ‘Isaac's Law’.”

Amendments. The 2009 amendment inserted “or” at the end of (a)(1)(A), and substituted “Class B” for “Class C” in (a)(2).

The 2013 amendment by No. 361, in (a)(1)(B)(i), substituted “alcohol” for “breath, blood, and urine” and inserted “saliva”; and, in (a)(1)(B)(ii), substituted “the chemical test” for “chemical analysis” and “saliva, breath, or other bodily substance” for “breath.”

The 2013 amendment by No. 1296 inserted (a)(1)(D); inserted “upon conviction” in (a)(2) and (b)(2); inserted (c)(1); and, in (c)(2), substituted “operator” for “driver” twice and substituted “or to another person” for “and other motorists or pedestrians.”

Research References

ALR.

Alcohol-related homicides. 64 A.L.R.4th 166.

Propriety of lesser included offense charge of voluntary manslaughter to jury in state murder prosecution — Twenty-first century cases. 3 A.L.R.6th 543.

Establishment of Negligence Within Meaning of Statute Penalizing Negligent Homicide by Operation of Motor Vehicle — Speeding or Driving at Unsafe Speed. 84 A.L.R.6th 427.

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Law, 1 U. Ark. Little Rock L.J. 153.

Survey — Criminal Law, 10 U. Ark. Little Rock L.J. 559.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

Construction.

Where the statute defined what blood alcohol content (BAC) could not be presumed as intoxication as well as the range of BAC that could be used as a factor in proving intoxication, it was reasonable to assume that a BAC above the referenced amounts may alone have been determined to be proof of intoxication. Fowler v. State, 2014 Ark. App. 460, 441 S.W.3d 41 (2014).

Accomplice or Accessory.

Defendant could be convicted as an accessory, when knowing intoxicated condition of employee, he instructed him to drive a truck. Stacy v. State, 228 Ark. 260, 306 S.W.2d 852 (1957) (decision under prior law).

Burden of Proof.

It being incumbent for the state to prove the corpus delicti, failure to prove the cause of death could be fatal to the state's case and although the state might have had the right to rely on the defendant's admission in open court that the deaths were the result of a collision between a large truck which he had left stalled on the road on a dark night and the car in which the decedents were riding, the state was not required to rely on such admission to establish the corpus delicti. Williams v. State, 229 Ark. 1022, 322 S.W.2d 86 (1959) (decision under prior law).

In a prosecution for negligent homicide the state was not required to prove that the defendant was the sole cause of the victim's death, only that he was a contributing cause. Courtney v. State, 14 Ark. App. 76, 684 S.W.2d 835 (1985).

Contributory Negligence.

Doctrine of contributory negligence held inapplicable. Benson v. State, 212 Ark. 905, 208 S.W.2d 767 (1948) (decision under prior law).

In a prosecution for negligent homicide contributory negligence by the victim would not lessen the defendant's culpability. Courtney v. State, 14 Ark. App. 76, 684 S.W.2d 835 (1985).

Double Jeopardy.

If defendant pleaded guilty to information for drunken driving in justice of peace court, and was later charged with felony of involuntary manslaughter, plea of former jeopardy was not good, as drunken driving and homicide growing out of the same act were two separate offenses, related not by definition, but only by concurrence in time and space. Campbell v. State, 215 Ark. 785, 223 S.W.2d 505 (1949) (decision under prior law).

Driving while intoxicated is an essential component of the crime of negligent homicide, since it is necessary to prove that defendant was driving while intoxicated in order to prove that he had committed negligent homicide; consequently, a defendant cannot be convicted of both offenses. Tallant v. State, 42 Ark. App. 150, 856 S.W.2d 24 (1993).

Evidence.

Evidence held sufficient to support conviction. Edwards v. State, 110 Ark. 590, 163 S.W. 155 (1914); Phillips v. State, 204 Ark. 205, 161 S.W.2d 747 (1942); Munn v. State, 257 Ark. 1057, 521 S.W.2d 535 (1975); Flippo v. State, 258 Ark. 233, 523 S.W.2d 390 (1975) (preceding decisions under prior law); Lowe v. State, 264 Ark. 205, 570 S.W.2d 253 (1978).

Evidence was sufficient to prove intoxication of the defendant where the investigating officers reported a strong smell of alcohol, the defendant struck the victim's horse trailer although it was parked well off the road, the defendant had bloodshot eyes, and the defendant refused to take a blood test. Hatley v. State, 68 Ark. App. 209, 5 S.W.3d 86 (1999).

Evidence held sufficient to establish negligent homicide arising from a head-on collision which occurred when a 15 year old defendant passed a logging truck and collided with on oncoming vehicle where the defendant testified (1) that he had previously operated a vehicle on the same highway and was fairly familiar with the roads, as well as the double-yellow, no-passing lines, (2) that it was raining as he was following behind the logging truck for a couple of miles and that he had his mind set on passing the truck, (3) that although he was unable to see because of the mist and spray coming from the back of the logging truck, he still attempted to pass it as he crossed double yellow lines going up a hill, and (4) that when he began to pass, the mist and spray only cleared when he was about “one-third of the way up the truck,” and that was when he first saw the vehicle coming from the opposite direction over the crest of the hill. Hunter v. State, 341 Ark. 665, 19 S.W.3d 607 (2000).

Evidence was sufficient to support defendant's conviction of negligent homicide where the jury could conclude that defendant's failure to perceive the risk under the facts constituted a gross deviation from the standard of care that a reasonable person would observe in defendant's position. Utley v. State, 366 Ark. 514, 237 S.W.3d 27 (2006).

Defendant's convictions for manslaughter, in violation of § 5-10-104(a)(3), were modified to the lesser-included offense of negligent homicide under subdivision (b)(1) of this section because defendant's acts of crossing the center line, tailgating, and averting defendant's eyes from the road constituted negligence, not recklessness under § 5-2-202(3). Rollins v. State, 2009 Ark. App. 110, 302 S.W.3d 617 (2009), rev'd, 2009 Ark. 484, 347 S.W.3d 20 (2009).

Appellants' convictions for negligent homicide in the death of their daughter were affirmed; given the record—which included appellants allowing three hours to pass without checking on or knowing the whereabouts of their twenty-two-month-old child—the instant court could not say that the verdicts were not supported by substantial evidence. Marin v. State, 2009 Ark. App. 802 (2009).

Substantial evidence supported defendant's conviction under subdivision (a)(1)(B)(i) of this section where his blood had been drawn within the timeframe permitted by § 5-65-206(a) and his BAC was 0.16, which was twice the legal limit. Fowler v. State, 2014 Ark. App. 460, 441 S.W.3d 41 (2014).

Evidence was sufficient to sustain defendant's negligent homicide conviction where the eyewitness and investigating officer testimony as to the road conditions and lack of water puddles at the scene of the accident allowed the jury to infer that defendant's car had not hydroplaned, and there was no evidence that defendant had braked, swerved, or otherwise done anything to avoid hitting the victim. Sizemore v. State, 2015 Ark. App. 295, 462 S.W.3d 364 (2015).

Substantial evidence supported defendant's conviction of misdemeanor negligent homicide; the weather conditions were clear on the night in question, defendant was observed crossing five lanes of traffic at high speed and rolling his vehicle, the vehicle's black box indicated that the brakes were never engaged, plus three cans of air duster had been purchased minutes before the accident and a blood sample had detected the presence of difluoroethane, a gas found in air-duster canisters, in defendant's blood. Sizemore v. State, 2015 Ark. App. 728, 478 S.W.3d 281 (2015).

Circuit court did not err in denying defendant's motion for a directed verdict on the negligent homicide charges given the testimony that defendant and his car smelled of alcohol when a witness arrived on the scene, defendant smelled of alcohol and appeared to be impaired when officers arrived at his stepsister's house hours later, and the argument that the driver of the other car could have been the cause of the accident had not been preserved for review. Rabion v. State, 2017 Ark. App. 538, 532 S.W.3d 598 (2017).

Substantial evidence did not support the verdict of guilty of four counts of negligent homicide where there was no evidence that defendant was speeding, driving erratically, under the influence of alcohol, or using a phone when the accident occurred, he did not receive a traffic citation for his conduct, and the State failed to present any evidence that defendant's purpose for bending over, given the situation, amounted to a gross deviation from the standard of care. Ledwell v. State, 2019 Ark. 334, 587 S.W.3d 536 (2019).

Expungement.

Circuit court erred by sealing the applicant's conviction for negligent-homicide pursuant to this section, because given the plain meaning of this section, the statute lacked any provision for expungement. State v. Martin, 2012 Ark. 191 (2012).

Instructions.

Instruction regarding defendant's intoxication at the time of the killing was properly refused where it required a finding that the defendant acted willfully. Nichols v. State, 187 Ark. 999, 63 S.W.2d 655 (1933) (decision under prior law).

Refusal to give offered instruction on negligent homicide held error. Langley v. State, 261 Ark. 539, 549 S.W.2d 799 (1977); Worring v. State, 2 Ark. App. 27, 616 S.W.2d 23 (1981).

Where the defendant was found guilty of second degree murder, the trial court did not err in refusing to give an instruction of negligent homicide; it is not error to refuse to give an instruction on one lesser included offense if other lesser offenses were covered by the instructions given and the jury returned a verdict for the greater offense. Sims v. State, 19 Ark. App. 45, 716 S.W.2d 774 (1986).

Where the defendant admitted to purposely shooting the victim, there was no rational basis for a negligent homicide instruction. McDonald v. State, 42 Ark. App. 37, 852 S.W.2d 833 (1993).

There was no abuse of discretion in a trial court's refusal of defendant's proffered negligent homicide jury instruction because there was no rational basis for the instruction where defendant swung a two-by-four hard at the victim's head and there was no evidence that defendant was unaware that such conduct, or the risk of such conduct, would result in the victim's death. Norris v. State, 2010 Ark. 174, 368 S.W.3d 52 (2010), rehearing denied, — Ark. —, — S.W.3d —, 2010 Ark. LEXIS 292 (May 20, 2010).

In a case in which a jury convicted defendant of capital murder in the shooting death of his ex-wife, the trial court properly refused to instruct the jury on reckless manslaughter and negligent homicide. Defendant, who fired once into a residence, mortally striking his ex-wife in the back, offered no rational basis to support giving either instruction on the basis that his actions were reckless or negligent. Jones v. State, 2012 Ark. 38, 388 S.W.3d 411 (2012).

Because there was no negligent behavior on the part of defendant pursuant to § 5-2-202(4), his actions were purposeful, and a firearm and toolmark examiner for the Arkansas State Crime Lab testified that for the gun to be fired, the trigger had to be pulled, which usually required five to five and a half pounds of pressure, the trial court did not err in refusing to give the jury an instruction on negligent homicide under subdivision (b)(1) of this section. Ratterree v. State, 2012 Ark. App. 701 (2012).

Defendant's argument that the trial court erred in refusing to give a jury instruction on the lesser-included offense of negligent homicide was not preserved for review because defendant failed to proffer a written copy of his proposed instruction. Campbell v. State, 2017 Ark. App. 340, 525 S.W.3d 465 (2017).

Intoxication.

If the state proceeded against defendant first on driving while intoxicated charges and he were acquitted, the state would be collaterally estopped from proceeding against him in a second trial for negligent homicide; however, the same result does not apply when the two offenses are tried simultaneously. McVay v. State, 312 Ark. 73, 847 S.W.2d 28 (1993).

Although the circuit court erred in allowing the results of defendant's blood-alcohol test into evidence since the state failed to provide evidence that the blood was drawn by a physician or a person acting under the direction and supervision of a physician as required by § 5-65-204, defendant was properly convicted of negligent homicide in violation of this section and aggravated assault in violation of § 5-13-204 because there was overwhelming evidence of defendant's intoxication; while the only evidence regarding the concentration of alcohol in defendant's blood came from the blood test, there was sufficient evidence at trial to support defendant's conviction on the alternative theory that defendant negligently caused the victim's death as a result of operation of a motor vehicle while intoxicated. Bates v. State, 2011 Ark. App. 446, 384 S.W.3d 654 (2011).

In a case in which defendant was convicted of negligent homicide under subdivision (a)(1)(a) of this section, there was substantial evidence that defendant was intoxicated at the time of the accident where: (1) defendant admitted at trial that he had smoked marijuana earlier in the day of the accident and that he had ingested a pill and a half of Xanax shortly before the accident occurred; (2) the driver of a tractor-trailer rig testified that defendant's vehicle veered into his lane and narrowly missed his vehicle and that he saw defendant continue on the wrong side of the road for approximately three-fourths of a mile, without correcting, before striking the victims' vehicles; and (3) another driver testified that he drove off the shoulder of the road to avoid defendant's vehicle and that, when defendant passed him, defendant was leaning against the driver-side door of his vehicle and appeared to be asleep. Ross v. State, 2012 Ark. App. 243 (2012).

Lesser-Included Offenses.

Negligent homicide, which requires a lesser culpable mental state than manslaughter, is a lesser included offense of manslaughter. Lowe v. State, 264 Ark. 205, 570 S.W.2d 253 (1978).

Negligent homicide instruction was not warranted because there was no rational basis to conclude that defendant's actions were merely negligent where defendant reached under his car seat, chambered a round, and intentionally fired the weapon directly at the victim's chest. Bennett v. State, 2014 Ark. App. 624, 447 S.W.3d 602 (2014).

Circuit court did not err in refusing to give instructions on negligent homicide where defendant intentionally fired three shots at the victim at fairly close range, and thus, there was no evidence to justify a finding that he was unaware that his conduct would have resulted in the victim's death. Schnarr v. State, 2017 Ark. 10 (2017).

Trial court did not err in failing to instruct the jury on negligent homicide because it was not a lesser-included offense of unlawful discharge of a firearm from a vehicle, and defendant's proffered instruction did not meet any of the three alternative tests set out in § 5-1-110 where the culpable mental state for negligent homicide was directed at the act of causing the death of another person and the culpable mental state for first-degree unlawful discharge of a firearm from a vehicle was directed at the act of discharging the firearm. Webb v. State, 2019 Ark. App. 436, 587 S.W.3d 252 (2019).

Method of Analysis.

—Time.

Substantial evidence supported defendant's conviction under subdivision (a)(1)(B)(i) of this section where his blood had been drawn within the timeframe permitted by § 5-65-206(a) and his BAC was 0.16, which was twice the legal limit. Fowler v. State, 2014 Ark. App. 460, 441 S.W.3d 41 (2014).

Multiple Offenses.

Where three persons were killed as the result of being struck by a car driven by the defendant, the defendant was charged in three separate informations and was tried and convicted for killing of one of the persons. Holder v. Fraser, 215 Ark. 67, 219 S.W.2d 625 (1949) (decision under prior law).

Murder or Manslaughter.

Subsection (a)(1) does not reflect a legislative intent that a person responsible for the death of another in an alcohol-related, vehicular accident must exclusively be charged with negligent homicide; by its plain wording, subsection (a)(1) expressly allows for murder or manslaughter charges to arise from a homicide involving the operation of an automobile. Simmerson v. State, 71 Ark. App. 16, 25 S.W.3d 439 (2000).

In defendant's trial for criminally negligent homicide, the trial court erred in failing to grant defendant's motion for directed verdict where the state's evidence that defendant's truck merely crossed the center line of a road was insufficient to support a finding of criminal negligence; this was a different standard from the evidence needed to support a finding of civil negligence. Utley v. State, 93 Ark. App. 381, 219 S.W.3d 709 (2005), rev'd, 366 Ark. 514, 237 S.W.3d 27 (2006).

Preservation for Review.

Defendant's conviction for negligent homicide was appropriate because she failed to preserve for appellate review her contention that the judge erred in finding that she engaged in criminally negligent conduct and that the conduct caused the death of the pedestrian victim because the evidence was insufficient to support the conviction. Even though defendant's counsel made a specific argument to the judge, he never asked for dismissal but argued instead that the state had not met its burden of proving negligence, causation, beyond a reasonable doubt; the reasonable-doubt language was associated with a closing argument and not a motion to dismiss under Ark. R. Crim. P. 33.1, where substantial evidence was the test. Grube v. State, 2010 Ark. 171, 368 S.W.3d 58 (2010).

Reckless Driving.

For cases discussing negligent homicide by reckless driving, see Bowen v. State, 100 Ark. 232, 140 S.W. 28 (1911); Madding v. State, 118 Ark. 506, 177 S.W. 410 (1915); Campbell v. State, 215 Ark. 785, 223 S.W.2d 505 (1949); Montaque v. State, 219 Ark. 385, 242 S.W.2d 697 (1951); Lewis v. State, 220 Ark. 914, 251 S.W.2d 490 (1952), superseded by statute as stated in, Fight v. State, 314 Ark. 438, 863 S.W.2d 800 (1993); Roller v. State, 225 Ark. 359, 283 S.W.2d 150 (1955); Bentley v. State, 252 Ark. 642, 480 S.W.2d 346 (1972) (preceding decisions under prior law).

That state might have prosecuted motorist for negligent homicide under § 27-50-307 did not preclude prosecution under former statute defining involuntary manslaughter. Phillips v. State, 204 Ark. 205, 161 S.W.2d 747 (1942) (decision under prior law).

State could have based its prosecution for negligent death by automobile under either former section defining involuntary manslaughter or under § 27-50-307. Campbell v. State, 215 Ark. 785, 223 S.W.2d 505 (1949) (decision under prior law).

Scrivener's Error.

Although defendant was found guilty of committing misdemeanor negligent homicide, the sentencing order incorrectly recited that he was convicted of the offense of negligent homicide, a Class B felony, and this scrivener's error was to be corrected. Sizemore v. State, 2015 Ark. App. 728, 478 S.W.3d 281 (2015).

Self-Defense.

One who slayed another under the honest belief that his life or limb was in imminent peril and acted to prevent the apprehended danger was in the exercise of a lawful act; but unless he acted with due caution and circumspection he was guilty of manslaughter. Deatherage v. State, 194 Ark. 513, 108 S.W.2d 904 (1937) (decision under prior law).

Standard of Care.

In a prosecution for homicide the state was required to prove a higher degree of negligence than was ordinarily contemplated to establish liability in civil actions. Benson v. State, 212 Ark. 905, 208 S.W.2d 767 (1948) (decision under prior law).

An instruction containing the language of § 5-2-202 correctly and adequately defines the negligence required of this section. Lowe v. State, 264 Ark. 205, 570 S.W.2d 253 (1978).

Evidence held sufficient that jury could and did find that defendant should have been aware of the substantial and unjustifiable risk of harm under the circumstances and that the circumstances were such that his failure to perceive it involved a gross deviation from the standard of care that a reasonable person would observe in the same situation. Phillips v. State, 6 Ark. App. 380, 644 S.W.2d 288 (1982).

Circuit court erred in denying defendant's motion to dismiss a negligent homicide charge under subdivision (b)(1) of this section; although there was no question that defendant's failure to see the decedent's vehicle resulted in the fatal accident, there was no evidence that defendant was speeding, driving erratically, under the influence of alcohol, using a phone, or engaged in some similar conduct, and thus, the evidence fell short of establishing criminal negligence. Gill v. State, 2015 Ark. 421, 474 S.W.3d 77 (2015).

Cited: Smith v. State, 15 Ark. App. 266, 692 S.W.2d 622 (1985); Bramlett v. Hobbs, 2015 Ark. 146, 463 S.W.3d 283 (2015).

Beulah v. State, 352 Ark. 472, 101 S.W.3d 802 (2003).

5-10-106. Physician-assisted suicide.

    1. As used in this section, “physician-assisted suicide” means a physician or healthcare provider participating in a medical procedure or knowingly prescribing any drug, compound, or substance for the express purpose of assisting a patient to intentionally end the patient's life.
    2. However, “physician-assisted suicide” does not apply to a person participating in the execution of a person sentenced by a court to death by lethal injection.
  1. It is unlawful for a physician or healthcare provider to commit the offense of physician-assisted suicide by:
    1. Prescribing any drug, compound, or substance to a patient with the express purpose of assisting the patient to intentionally end the patient's life; or
    2. Assisting in any medical procedure for the express purpose of assisting a patient to intentionally end the patient's life.
  2. Physician-assisted suicide is a Class B felony.
  3. This section does not prohibit a:
    1. Physician or healthcare provider from carrying out an advanced directive or living will; or
    2. Physician from prescribing any drug, compound, or substance for the specific purpose of pain relief.

History. Acts 1999, No. 394, § 1; 2007, No. 827, §§ 22, 23; 2019, No. 930, § 1.

Amendments. The 2019 amendment, in (c), substituted “Physician-assisted suicide is” for “Upon conviction, any physician or health care provider violating subsection (b) of this section is guilty of” and substituted “Class B” for “Class C”; substituted “This section does not prohibit” for “Nothing in this section prohibits” in the introductory language of (d); and made stylistic changes.

Research References

ALR.

Admissibility of Suicide Note in Criminal Proceedings. 13 A.L.R.7th Art. 6 (2015).

Ark. L. Rev.

Browne Lewis, A Deliberate Departure: Making Physician-Assisted Suicide Comfortable for Vulnerable Patients, 70 Ark. L. Rev. 1 (2017).

5-10-107. Encouraging the suicide of another person.

  1. As used in this section, “encourage” means to persuade, incite, or urge.
  2. A person commits the offense of encouraging the suicide of another person if:
    1. The person uses persistent language, either spoken or written, to purposely encourage another person to commit suicide; and
    2. As a proximate result of the person's encouraging the suicide of the other person, the other person commits suicide or attempts to commit suicide and the attempt results in serious physical injury.
  3. Encouraging the suicide of another person is a Class D felony.
  4. A person may not be convicted of encouraging the suicide of another person if the person has been charged with, tried for, or convicted of a homicide offense under the theory of accomplice liability that arises out of the same set of facts.

History. Acts 2019, No. 962, § 1.

Chapter 11 Kidnapping and Related Offenses

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Cross References. Fines, § 5-4-201.

Term of imprisonment, § 5-4-401.

Effective Dates. Acts 1995, No. 805, § 8: Mar. 28, 1995. Emergency clause provided: “It is hereby found and determined by the General Assembly of the State of Arkansas that the safety of thousands of children who ride school buses to and from school and school-related activities is largely dependent upon motorists being alerted to the presence of the school bus and that recent research indicates the use of flashing white strobe lights on school buses will contribute significantly to warning motorists of a need for caution; that electric crossing gates will provide greater visibility to a bus driver who can better see students crossing in front of the school bus; that recent incidents where armed individuals have stopped and boarded school buses for the purpose of robbing and terrorizing children on the bus are reflective of a rise in juvenile crime throughout Arkansas and that the immediate implementation of this act is necessary to better address the safety of all school children. Therefore, an emergency is hereby declared to exist and this act being necessary for the immediate preservation of the public peace, health, and safety, shall be in full force and effect from and after its passage and approval.”

Research References

ALR.

Kidnapping or related offense by taking or removing of child by or under authority of parent or one in loco parentis. 20 A.L.R.4th 823.

Abduction of own child. 49 A.L.R.4th 7.

Am. Jur. 1 Am. Jur. 2d, Abduct., § 1 et seq.

C.J.S. 1 C.J.S., Abduct., § 1 et seq.

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

5-11-101. Definitions.

As used in this chapter:

  1. “Deviate sexual activity” means any act of sexual gratification involving:
    1. The penetration, however slight, of the anus or mouth of a person by the penis of another person; or
    2. The penetration, however slight, of the labia majora or anus of a person by any body member or foreign instrument manipulated by another person;
    1. “Incompetent” means that a person is unable to care for himself or herself because of physical or mental disease or defect.
    2. The status embraced by “incompetent” may or may not exist regardless of any adjudication concerning incompetency;
  2. “Restraint without consent” includes:
    1. Restraint by physical force, threat, or deception; or
    2. In the case of a person who is under fourteen (14) years of age or incompetent, restraint without the consent of a parent, guardian, or other person responsible for general supervision of his or her welfare;
  3. “Sexual contact” means any act of sexual gratification involving the touching, directly or through clothing, of the sex organs, buttocks, or anus of a person or the breast of a female;
  4. “Sexual intercourse” means penetration, however slight, of the labia majora by a penis; and
  5. “Vehicle” means any craft or device designed for the transportation of a person or property across land or water or through the air.

History. Acts 1975, No. 280, § 1701; 1977, No. 360, § 5; A.S.A. 1947, § 41-1701; Acts 2007, No. 827, §§ 24, 25.

Case Notes

Jurisdiction.

Defendant's contention that the evidence was insufficient to prove that the murder took place in Arkansas was rejected as, although evidence showed that the victim's body was found in Oklahoma, and there was no positive evidence presented that the crime actually occurred outside of Arkansas; the record provided ample substantial evidence that, at the very least, the premeditation and deliberation element of capital murder and kidnapping by deception occurred in Arkansas. Smith v. State, 367 Ark. 274, 239 S.W.3d 494 (2006).

Restraint Without Consent.

Where the defendant restrained the prosecutrix for the purpose of committing rape, and her children were restrained of their liberty by being kept in the car throughout the episode and the restraint was for the purpose of facilitating the commission of the principal offense, the proof was sufficient to support the three convictions of kidnapping. Dyer v. State, 290 Ark. 405, 720 S.W.2d 297 (1986).

There was sufficient evidence of restraint to sustain conviction for kidnapping where the victim was deceived into returning to the defendant's house. Fairchild v. State, 305 Ark. 406, 808 S.W.2d 743 (1991).

Evidence was sufficient to show restraint without consent where the defendant restrained the victim by threat of force with a firearm and the victim's hands were bound behind her back. Williams v. State, 338 Ark. 97, 991 S.W.2d 565 (1999).

Pursuant to subdivision (2) of this section and § 5-11-102(a)(1) and (4), the restraint employed by defendant exceeded that which was necessary to effectuate the rapes of the two victims and, thus, supported defendant's separate convictions for kidnapping because (1) defendant continued to hold his victims hostage after the rapes were completed; (2) during the ordeal, defendant threatened, poked, slapped, and hit the victims both with his fist and with a vase; and (3) defendant not only raped the victims, but he demanded money from them as well. Moore v. State, 355 Ark. 657, 144 S.W.3d 260 (2004).

Where defendant car jacked a mother and her children, substantial evidence supported the Class Y kidnapping convictions where the victims were not released into safety the of a home but on an unfamiliar dark country road, the mother had been beaten, raped, and threatened with death, and she feared defendant might try to run over her when she was left alone on the road and, clearly, defendant had not known that a house was nearby. Ratliff v. State, 359 Ark. 479, 199 S.W.3d 79 (2004).

Evidence was sufficient to sustain defendant's kidnapping conviction as the 13 year old victim's mother relied upon the representation that defendant was taking the victim to the movies with his daughter when she gave permission for the victim to leave her home with defendant; the victim's mother did not consent to defendant escorting her daughter to a motel room under the guise of meeting someone briefly before meeting her daughter at the movies. Mitchem v. State, 96 Ark. App. 78, 238 S.W.3d 623 (2006).

Record disclosed that defendant disabled the rape victim's vehicle, hoisted her out of the vehicle, and dragged her into the house; when the victim attempted to escape by running outside, defendant forcibly pulled her back inside the house. While being dragged to the bedroom the victim tried to hang onto door frames, but defendant overcame those efforts as well; therefore, the Court of Appeals of Arkansas held that substantial evidence supported defendant's conviction for kidnapping under § 5-11-102(a)(5) because he restrained the victim for purposes of subdivision (3) of this section. Henson v. State, 2009 Ark. App. 464, 320 S.W.3d 19 (2009).

There was sufficient evidence to support appellant's conviction for kidnapping; appellant substantially interfered with the victim's liberty interest by physically threatening her and impeding her egress from the home. The victim voiced her decision that she was leaving, thus expressing her intention and revoking her consent to remain at appellant's home; appellant then stood up, slammed the door telling the victim that she was not going anywhere and told her to go to his bedroom and when the victim refused, appellant slapped her and told her that he had a .380 pistol and would kill her if she said anything. Hickey v. State, 2010 Ark. 109 (2010).

Counsel was not ineffective for failing to move for a directed verdict on the issue of the amount of restraint used to commit a kidnapping because the state presented substantial evidence that defendant used deception to restrain the victim under subdivision (3)(A) of this section; defendant told the victim he was a police officer and showed her a badge, which constituted deception. Prater v. State, 2012 Ark. 164, 402 S.W.3d 68 (2012).

Sufficient evidence supported defendant's kidnapping conviction as there was overwhelming evidence that defendant restrained the victim, and he threatened to kill her and her son; the victim testified how defendant restrained her with cables and locks for hours while he severely beat her, and defendant repeatedly told her that he was going to kill her and behead her son. The fact that the victim did not attempt to escape immediately after the restraints had been removed did not negate defendant's criminal conduct, nor did the fact that he later helped her bathe. Reynolds v. State, 2016 Ark. 214, 492 S.W.3d 491 (2016).

There was substantial evidence of restraint of the victim's liberty as the victim was tackled to the ground by defendant when jogging on a trail at a lake, and defendant straddled the victim's body, beat her with his fists, and choked her with his hands. Defendant also dragged the victim into the woods until she could no longer see the running trail. Turner v. State, 2018 Ark. App. 5, 538 S.W.3d 227 (2018).

Cited: Wallace v. Lockhart, 701 F.2d 719 (8th Cir. 1983); Cozzaglio v. State, 289 Ark. 33, 709 S.W.2d 70 (1986).

5-11-102. Kidnapping.

  1. A person commits the offense of kidnapping if, without consent, the person restrains another person so as to interfere substantially with the other person's liberty with the purpose of:
    1. Holding the other person for:
      1. Ransom or reward; or
      2. Any other act to be performed or not performed for the other person's return or release;
    2. Using the other person as a shield or hostage;
    3. Facilitating the commission of any felony or flight after the felony;
    4. Inflicting physical injury upon the other person;
    5. Engaging in sexual intercourse, deviate sexual activity, or sexual contact with the other person;
    6. Terrorizing the other person or another person; or
    7. Interfering with the performance of any governmental or political function.
    1. Kidnapping is a Class Y felony.
    2. However, kidnapping is a Class B felony if the defendant shows by a preponderance of the evidence that he or she or an accomplice voluntarily released the person restrained alive and in a safe place prior to trial.

History. Acts 1975, No. 280, § 1702; 1977, No. 474, § 15; 1981, No. 620, § 11; A.S.A. 1947, § 41-1702.

Research References

U. Ark. Little Rock L.J.

Legislative Survey, Criminal Law, 4 U. Ark. Little Rock L.J. 583.

Case Notes

In General.

This section, in defining kidnapping, speaks in terms of restraint rather than removal. Summerlin v. State, 296 Ark. 347, 756 S.W.2d 908 (1988).

Construction.

This section speaks in terms of restraint rather than removal; consequently, it reaches a greater variety of conduct, since restraint can be accomplished without any removal whatever. Wofford v. State, 44 Ark. App. 94, 867 S.W.2d 181 (1993).

It is the quality and nature of the restraint, rather than the duration, that determines whether a kidnapping charge can be sustained; where the action of the accused substantially confines his victim in such a way that escape is made difficult or impossible, the fact that the restraint is of relatively brief duration does not necessarily remove it from the scope of this section. Wofford v. State, 44 Ark. App. 94, 867 S.W.2d 181 (1993).

Accomplice.

There was sufficient proof defendant assisted in the commission of murder, kidnapping and attempted murder, where there was testimony he drove car in which victims were confined, assisted in confining them, and encouraged shootings of the victims. Williams v. State, 329 Ark. 8, 946 S.W.2d 678 (1997).

Evidence of kidnapping and rape held sufficient, even though a co-defendant actually committed the rape, where defendant entered victim's house first while brandishing a gun, tackled her, permitted her to be restrained with duct tape, and threatened to kill her if she looked at them. Harrell v. State, 331 Ark. 232, 962 S.W.2d 325 (1998).

Trial court properly found defendant guilty as an accomplice to the crime of kidnapping because defendant not only accompanied her son to the victim's apartment, she also assisted him in beating her, encouraged him to “get” her, he forcibly exposed the victim to defendant, choked her, and then forced her down the hallway into a bedroom where he raped her orally and vaginally. Singleton-Harris v. State, 2014 Ark. App. 436, 439 S.W.3d 720 (2014).

Attempt.

The crime of attempted kidnapping is encompassed in this section and § 5-3-201. Green v. State, 313 Ark. 87, 852 S.W.2d 110 (1993).

Although defendant had a knife, a pair of handcuffs, duct tape, a leatherman-type tool, and gloves when he was arrested, the circumstantial evidence of defendant's intent to restrain the victim's liberty for the purpose of terrorizing or harming the victim was not overwhelming and defendant's conviction for attempted kidnapping, pursuant to subsection (a) of this section and § 5-3-201(a)(2), was reversed. Proctor v. State, 349 Ark. 648, 79 S.W.3d 370 (2002).

Class of Felony.

Defendant committed a Class Y kidnapping, rather than a Class B kidnapping, where the defendant took a 5-year-old girl from the inside of a store to his house, sexually abused her, and then left her on the sidewalk outside, but around the corner from, the store. Jameson v. State, 333 Ark. 128, 970 S.W.2d 785 (1998).

Defendant's proffered jury instruction on Class B felony kidnapping under subdivision (b)(2) of this section was properly rejected where the victim was left blindfolded, bleeding, and alone in a debilitating physical condition in her home in a rural area. Rickman v. State, 2020 Ark. 138, 597 S.W.3d 622 (2020).

Commission of Felony.

Where defendant was accused of kidnapping and another offense and was acquitted on the other charge did not make it impossible for him to be guilty of kidnapping, since to convict him of kidnapping it was only necessary to show that the victim was forceably taken for the purpose of committing a felony. Black v. State, 250 Ark. 604, 466 S.W.2d 463 (1971) (decision under prior law).

Where the state charged a kidnapping occurred either for the purpose of terrorizing the victim or for facilitating the commission of a felony, the jury did not have to find the kidnapping occurred in connection with a felony in order to convict the defendant for kidnapping. Walters v. State, 283 Ark. 243, 675 S.W.2d 364 (1984).

Conspiracy.

Defendant committed an overt act in furtherance of a conspiracy to commit kidnapping, aggravated robbery, theft of property, and aggravated residential burglary because he took another person to his residence and showed the person the inside of the premises, discussed how to break in the residence and how to subdue his wife, and identified the property to be taken from the residence. Winkler v. State, 2012 Ark. App. 704, 425 S.W.3d 808 (2012).

Double Jeopardy.

Being convicted of rape and kidnapping does not violate a defendant's right to be free from double jeopardy. White v. State, 301 Ark. 74, 781 S.W.2d 478 (1989).

Elements of Offense.

Among the factors from an act of rape that may be considered in determining whether a separate kidnapping conviction is supportable include whether the movement or confinement: (1) prevented the victim from summoning assistance; (2) lessened the defendant's risk of detection; or (3) created a significant danger or increased the victim's risk of harm. Lee v. State, 326 Ark. 529, 932 S.W.2d 756 (1996).

Argument that there was insufficient evidence to support a kidnapping conviction based on a lack of evidence on the element of restraint without consent was not preserved for appellate review because a motion for the directed verdict before the trial court did not raise this issue. Davis v. State, 365 Ark. 634, 232 S.W.3d 476 (2006).

Evidence was sufficient to sustain defendant's conviction for kidnapping where the evidence showed that defendant picked the victim up by her waist and carried her away; defendant's purpose was clearly to cause physical injury or to terrorize. Davis v. State, 368 Ark. 351, 246 S.W.3d 433 (2007).

In the death-row inmate's capital murder trial, the pecuniary gain statutory aggravating factor did not unconstitutionally fail to narrow the class of death-eligible offenders on the ground that it merely duplicated an element of the underlying crime of felony murder during the course of a robbery, because the jury in the inmate's case was not instructed that the felony underlying the charge of capital murder was robbery; rather, the jury was instructed that the underlying felony was kidnapping, pursuant to § 5-10-101(a)(1)(iii), and that, consistent with the statutory definition of kidnapping under subdivisions (a)(3)-(5) of this section, it had to find that the inmate had restrained the victim with the purpose of inflicting physical injury upon her or engaging in sexual intercourse or sexual contact, or of committing aggravated robbery or any flight thereafter. After convicting the inmate of capital murder, the jury found in the penalty phase that he committed the murder for pecuniary gain, consistent with § 5-4-604(6); thus, there was no duplication of constitutional dimension or otherwise. Williams v. Norris, 576 F.3d 850 (8th Cir. 2009).

Evidence.

Evidence held sufficient to sustain conviction. Black v. State, 250 Ark. 604, 466 S.W.2d 463 (1971); Guffey v. State, 253 Ark. 720, 488 S.W.2d 28 (1972); Martin v. State, 258 Ark. 529, 527 S.W.2d 903 (1975); McCraw v. State, 262 Ark. 707, 561 S.W.2d 71 (1978) (preceding decisions under prior law); Jackson v. State, 290 Ark. 160, 717 S.W.2d 801 (1986); Lewis v. State, 295 Ark. 499, 749 S.W.2d 672 (1988); Phills v. State, 301 Ark. 265, 783 S.W.2d 348 (1990); Vick v. State, 301 Ark. 296, 783 S.W.2d 365 (1990); Woods v. State, 302 Ark. 512, 790 S.W.2d 892 (1990); Fairchild v. State, 305 Ark. 406, 808 S.W.2d 743 (1991); Thomas v. State, 311 Ark. 609, 846 S.W.2d 168 (1993); McClure v. State, 314 Ark. 35, 858 S.W.2d 103 (1993); Chenowith v. State, 321 Ark. 522, 905 S.W.2d 838 (1995); Mills v. State, 322 Ark. 647, 910 S.W.2d 682 (1995); Britt v. State, 344 Ark. 13, 38 S.W.3d 363 (2001).

No corroborating testimony was necessary to prove crime of kidnapping. Black v. State, 250 Ark. 604, 466 S.W.2d 463 (1971) (decision under prior law).

To prove kidnapping, the state must only prove that the accused restrained the victim so as to interfere substantially with the victim's liberty, without the victim's consent, for a specific purpose outlined by this section. Jackson v. State, 290 Ark. 160, 717 S.W.2d 801 (1986).

Evidence held sufficient to support court's refusal to find defendant unfit for trial. Dyer v. State, 290 Ark. 405, 720 S.W.2d 297 (1986).

Evidence of marginal relevance admitted. Dumond v. State, 290 Ark. 595, 721 S.W.2d 663 (1986).

Proof of one's purpose or motive for an abduction is an essential element of the offense of kidnapping, and proof of the identity of the assailant is essential to conviction. Crutchfield v. State, 25 Ark. App. 227, 763 S.W.2d 94 (1988).

Voice identification was sufficient. White v. State, 303 Ark. 30, 792 S.W.2d 867 (1990).

There was substantial evidence to support the defendant's conviction of a Class Y kidnapping offense inasmuch as he did not voluntarily release his victim. Wells v. State, 303 Ark. 471, 798 S.W.2d 61 (1990).

Evidence held insufficient to sustain conviction. Shaw v. State, 304 Ark. 381, 802 S.W.2d 468 (1991).

The instrumentality used to inflict fear is patently relevant to crimes of rape, kidnapping and aggravated robbery, all of which include an element of force for perpetration. Brooks v. State, 308 Ark. 660, 827 S.W.2d 119 (1992).

Knife found at crime site was relevant to corroborate the testimony of the victim concerning stabbings and no prejudice resulted to the defendant from its admission into evidence. Brooks v. State, 308 Ark. 660, 827 S.W.2d 119 (1992).

Evidence held sufficient where defendant's use of physical force against the victim led to an inference that he intended to cause her physical harm and the questions defendant asked the victim regarding her marital status and her state of loneliness led to the inference that he was considering sexual contact with the victim. Green v. State, 313 Ark. 87, 852 S.W.2d 110 (1993).

It was sufficient to support the charge that the victim was kidnapped when she was forced to the rear of the store and bound to a chair. Neely v. State, 317 Ark. 312, 877 S.W.2d 589 (1994).

Although defendant was obliged to abort his robbery of a small store, the evidence of kidnapping, aggravated robbery, and attempted murder held sufficient. Durham v. State, 320 Ark. 689, 899 S.W.2d 470 (1995).

Where defendant dragged the victim for approximately one city block from a lighted city street to a dark and secluded area, defendant allowed the rape to be carried out more easily and decreased his risk of being caught, and where defendant strangled the victim to keep her from summoning assistance, the restraint employed exceeded that which was necessary to effectuate the crime of rape, and thus supported a separate conviction for kidnapping. Lee v. State, 326 Ark. 529, 932 S.W.2d 756 (1996).

Defendant's kidnapping conviction was proper pursuant to subdivision (a)(3) of this section where defendant duct-taped the victim's hands behind her back while he was robbing and fleeing from the liquor store. Lowe v. State, 357 Ark. 501, 182 S.W.3d 132 (2004).

Evidence showing that appellant formed a plan to lure the victim into his vehicle with the purpose of injuring or killing him, and that the victim died under circumstances manifesting extreme indifference to the value of human life, was sufficient to support appellant's conviction of capital felony murder, with the underlying charge of kidnapping. Ridling v. State, 360 Ark. 424, 203 S.W.3d 63 (2005).

In a capital murder and kidnapping case, evidence was sufficient to corroborate an accomplice’s testimony, such as testimony of other witnesses that one of the victims had stolen marijuana plants from defendant, that defendant instructed others to say he was at home at the time of the murders, and that defendant approached his nephew and told him that if he ever said anything about the victims he would get hurt; however, the case was reversed because the trial court improperly allowed evidence concerning other bad acts and reputation. Green v. State, 365 Ark. 478, 231 S.W.3d 638 (2006).

Evidence was sufficient to sustain defendant's kidnapping conviction as the 13 year old victim's mother relied upon the representation that defendant was taking the victim to the movies with his daughter when she gave permission for the victim to leave her home with defendant; the victim's mother did not consent to defendant escorting her daughter to a motel room under the guise of meeting someone briefly before meeting her daughter at the movies. Mitchem v. State, 96 Ark. App. 78, 238 S.W.3d 623 (2006).

Trial court did not err in sustaining state's objection that the terms of the civil dispute regarding a loan and the collateral for the loan were irrelevant and in refusing to permit defendant to question the victim concerning the property that had been collateral for the loan because, even if the victim had lied regarding the terms of the loan, that would be no defense to the crimes for which he was convicted, which included kidnapping, terroristic threatening, and aggravated assault. Tarpley v. State, 97 Ark. App. 122, 245 S.W.3d 192 (2006).

Offense of terroristic threatening required no more than the communication of a threat, by word or deed, with the purpose of terrorizing the victim, and the offense of aggravated assault was accomplished when defendant displayed the gun and pointed it at the victim; given the testimony that defendant kept the doorway blocked for several minutes after performing those acts and that the victim was prevented from summoning assistance during that time, the evidence was sufficient to sustain the kidnapping conviction. Tarpley v. State, 97 Ark. App. 122, 245 S.W.3d 192 (2006).

Evidence was sufficient to sustain defendant's kidnapping conviction where defendant's accomplice testified that defendant killed the victim, and an officer testified that defendant stated that the accomplice attacked the victim, knocked him down, taped him in a chair, and that the victim was “moaning” and “in a bad way” before he died; although there was a discrepancy as to which individual attacked the victim, both statements pointed to defendant's involvement in the victim's murder. Holsombach v. State, 368 Ark. 415, 246 S.W.3d 871 (2007).

Circuit court did not err by admitting into evidence a recording of the kidnapping victim's 911 call as the evidence contained in the recording was relevant to prove the restraint element of the kidnapping offense and to counter defendant's argument that he released the victim; in the call, the victim told the operator the circumstances of the crimes and that she was bound and could not escape, and defendant did not produce any authority to support his position that the 911 recording was unduly prejudicial because the victim's voice was hysterical. Davis v. State, 368 Ark. 401, 246 S.W.3d 862 (2007).

Defendant's convictions for two counts of capital murder in violation of § 5-10-101(a)(4) and two counts of kidnapping in violation of subsection (a) of this section were appropriate, in part because evidence that defendant possessed a gun similar to that used in the murder was independently relevant proof on the issue of defendant's identity. Moreover, its probative value was not substantially outweighed by the danger of unfair prejudice. Gilcrease v. State, 2009 Ark. 298, 318 S.W.3d 70 (2009).

Record disclosed that defendant disabled the rape victim's vehicle, hoisted her out of the vehicle, dragged her into the house, forcibly pulled her back inside the house when the victim attempted to escape, dragged to into the bedroom while the victim tried to hang onto the door frames and forced her to have sexual relations with him; the victim escaped on her own, and defendant did not release her. The Court of Appeals of Arkansas held that substantial evidence supported defendant's conviction for kidnapping under subdivision (a)(5) of this section. Henson v. State, 2009 Ark. App. 464, 320 S.W.3d 19 (2009).

There was sufficient evidence to support appellant's conviction for kidnapping; appellant substantially interfered with the victim's liberty interest by physically threatening her and impeding her egress from the home. The victim voiced her decision that she was leaving, thus expressing her intention and revoking her consent to remain at appellant's home; appellant then stood up, slammed the door telling the victim that she was not going anywhere and told her to go to his bedroom and when the victim refused, appellant slapped her and told her that he had a .380 pistol and would kill her if she said anything. Hickey v. State, 2010 Ark. 109 (2010).

As defendant hit the victim (his ex-wife's mother) in the head with the baseball bat and cut the victim's throat, threatened his ex-wife, and forced her to go with him from the scene of the crime, the evidence was sufficient to convict defendant of first-degree murder, kidnapping, and terroristic threatening under subsection (a) of this section and §§ 5-10-102(a)(2) and 5-13-301(a)(1)(A). Alvard v. State, 2011 Ark. App. 160 (2011).

Court did not err in denying defendant's motions for a directed verdict on kidnapping charges, in violation of subdivision (a)(4) of this section, because evidence was offered to establish his relationship with the victims, evidence was offered that he always carried a knife and pistol, and evidence was offered of his attempt to conceal the crimes and to manufacture an alibi. Green v. State, 2013 Ark. 497, 430 S.W.3d 729 (2013).

Evidence was sufficient to support a conviction for kidnapping because the purpose of the restraint could have been inferred from circumstantial evidence where defendant had previously coerced the victim into having sex with him. Moreover, defendant was armed with a pistol and a screwdriver, and he threatened the victim that she would never see her son again. Van Winkle v. State, 2014 Ark. App. 591, 445 S.W.3d 542 (2014).

Evidence was sufficient to support defendant's kidnapping conviction; there was evidence that he restrained his mother, given defendant's concession that the charge of false imprisonment was proven, plus there was substantial testimony from his mother regarding his threats to kill her and his physical harm to her, and although defendant claimed that he did not threaten his mother, two witnesses testified otherwise, and witness credibility was for the jury to determine. Ronk v. State, 2016 Ark. App. 126 (2016).

Evidence supported defendant's conviction for kidnapping because the victim identified defendant as the person who grabbed her as she ran along a paved trail at a lake, dragged her into the woods, threatened her, straddled her body, and beat and choked her. Furthermore, defendant's DNA was found on sunglasses located near the victim's headband and earbuds, defendant had a ring described by the victim, and eyewitnesses testified as to seeing defendant at the lake on the same day and the day before. Turner v. State, 2018 Ark. App. 5, 538 S.W.3d 227 (2018).

Federal Law.

Defendant had to be resentenced for violating 18 U.S.C. § 922(g)(1) because his 2006 Arkansas conviction for kidnapping did not qualify as a predicate offense for purposes of a sentencing enhancement under 18 U.S.C. § 924(e) as it was not a violent felony; this section was overbroad, and it was not divisible as the nefarious purposes listed in this section were means, not elements. United States v. Coleman, 918 F.3d 592 (8th Cir. 2019).

Indictment or Information.

Where the information originally charged that the defendant unlawfully restrained the victim so as to interfere substantially with her liberty for the purpose of engaging in sexual intercourse or deviate sexual activity, and the trial court allowed the state at the close of its case to amend the information to include the allegation that the defendant proposed to engage in sexual contact with the victim, the amendment was proper. Jones v. State, 275 Ark. 12, 627 S.W.2d 6 (1982).

State was not erroneously allowed to amend the information charging appellant with three counts of kidnapping based on subdivision (a)(4) of this section after his trial was underway because the additional allegations under subdivisions (a)(3) and (6) of this section in the amended information did not change the nature of the original kidnapping charge, but amended the manner in which the kidnapping took place. Furthermore, appellant was not unfairly surprised by the amendment since a review of the testimony made it clear that he inquired into whether his victims felt terrorized by his actions. Hill v. State, 370 Ark. 102, 257 S.W.3d 534 (2007), appeal dismissed, — Ark. —, — S.W.3d —, 2008 Ark. LEXIS 54 (Jan. 24, 2008).

Instructions.

Instruction that kidnapping included the taking of a person into another state or territory and transporting a person for the purpose of thwarting arrest or detention held not inherently erroneous. Hale v. State, 246 Ark. 989, 440 S.W.2d 550 (1969) (decision under prior law).

Jurisdiction.

State court held to have jurisdiction to hear evidence relating to the defendant's activity in another state where the evidence of such activity was necessary to prove a requisite element of the kidnapping charge which had been filed against him in Arkansas. Smith v. Housewright, 667 F.2d 689 (8th Cir. 1981), cert. denied, 456 U.S. 978, 102 S. Ct. 2245 (1982).

Defendant's contention that the evidence was insufficient to prove that the murder took place in Arkansas was rejected as, although evidence showed that the victim's body was found in Oklahoma, and there was no positive evidence presented that the crime actually occurred outside of Arkansas; the record provided ample substantial evidence that, at the very least, the premeditation and deliberation element of capital murder and kidnapping by deception occurred in Arkansas. Smith v. State, 367 Ark. 274, 239 S.W.3d 494 (2006).

Lesser Included Offenses.

None of the crimes of rape, burglary or kidnapping is necessarily a lesser included offense of the other, since all involve separate elements, and it is not necessary to prove one offense in order to prove another. Hickerson v. State, 282 Ark. 217, 667 S.W.2d 654 (1984); Handy v. State, 24 Ark. App. 122, 749 S.W.2d 683 (1988).

Refusal to instruct the jury on lesser included offense held proper. Walters v. State, 283 Ark. 243, 675 S.W.2d 364 (1984).

Kidnapping and rape are not lesser included offenses of one another because each crime requires a different element of proof. While kidnapping does require the restraint to be substantial for one of several purposes, one of which is the purpose of engaging in sexual intercourse, kindapping does not require the act of sexual intercourse itself. Rape requires a sexual act by forcible compulsion; that force is not necessarily the same as that required to sustain a conviction for kidnapping. Cozzaglio v. State, 289 Ark. 33, 709 S.W.2d 70 (1986).

Where the victim was forced to drive to the county where she was repeatedly raped, her life was threatened several times although she was not seriously injured physically, and after the rape the victim was tied to a tree, the crime of rape and kidnapping were separate. Jones v. State, 290 Ark. 113, 717 S.W.2d 200 (1986).

A kidnapping which qualifies as a Class B felony is not a lesser included offense of a kidnapping which constitutes a Class Y felony. Rather, the offense is still kidnapping, even when there is a voluntary, safe release of the victim. Woods v. State, 302 Ark. 512, 790 S.W.2d 892 (1990).

Second-degree false imprisonment is not a lesser included offense of kidnapping; thus, instruction on second-degree or first-degree false imprisonment was not required in a kidnapping case. Davis v. State, 365 Ark. 634, 232 S.W.3d 476 (2006).

In a kidnapping case, there was no error in the trial judge's failure to instruct the jury on false imprisonment because it was not considered a lesser-included offense to kidnapping. Sweet v. State, 2011 Ark. 20, 370 S.W.3d 510 (2011).

Restraint.

When the restraint exceeds that normally incident to the crime of rape or robbery, the perpetrator should also be subject to prosecution for kidnapping. Beed v. State, 271 Ark. 526, 609 S.W.2d 898 (1980); Frensley v. State, 291 Ark. 268, 724 S.W.2d 165 (1987); Smith v. State, 318 Ark. 142, 883 S.W.2d 837 (1994).

There was held to be clearly evidence of more than the minimal restraint which necessarily accompanies the crime of rape, and the evidence clearly formed the basis for the two separate crimes of rape and kidnapping. Beed v. State, 271 Ark. 526, 609 S.W.2d 898 (1980).

It is not necessary that a victim be captured or held at gunpoint for the offense of kidnapping to be established under this section; to prove kidnapping the state must only prove that the accused restrained the victim so as to interfere substantially with the victim's liberty, without the victim's consent, for a specific purpose outlined by the statute. Ellis v. State, 279 Ark. 430, 652 S.W.2d 35 (1983).

It is the quality and nature of the restraint, rather than the duration, that determines whether a kidnapping charge can be sustained. Cook v. State, 284 Ark. 333, 681 S.W.2d 378 (1984).

Whether or not the actor was able to complete the objective of the kidnapping is immaterial; once the kidnapper has undertaken the activity and the victim has been exposed to the attendant dangers, the act of kidnapping is complete. Cook v. State, 284 Ark. 333, 681 S.W.2d 378 (1984).

Evidence held sufficient so that a finding of substantial interference with the victim's liberty could be supported despite its relatively brief duration. Cook v. State, 284 Ark. 333, 681 S.W.2d 378 (1984).

Evidence of the use of a gun was relevant, although not essential, to a charge of kidnapping, which contains the element of restraint without consent. Hickerson v. State, 286 Ark. 450, 693 S.W.2d 58 (1985).

Evidence held sufficient to sustain a jury's finding that defendant substantially interfered with victim's liberty. Hickey v. State, 14 Ark. App. 50, 684 S.W.2d 830 (1985).

Substantial interference with the liberty of another person does not necessarily require that the interference be for a substantial period of time. Jackson v. State, 290 Ark. 160, 717 S.W.2d 801 (1986); Green v. State, 313 Ark. 87, 852 S.W.2d 110 (1993).

Where the defendant restrained the prosecutrix for the purpose of committing rape, and her children were restrained of their liberty by being kept in the car throughout the episode and the restraint was for the purpose of facilitating the commission of the principal offense, the proof was sufficient to support the three convictions of kidnapping. Dyer v. State, 290 Ark. 405, 720 S.W.2d 297 (1986).

The exclusion of de minimis restraints from the definition of kidnapping is desirable since offenses such as rape or robbery necessarily contemplate restrictions on the victim's liberty while the crime is actually committed. Thus, it is only when the restraint exceeds that normally incidental to the crime that the rapist (or robber) should also be subject to prosecution for kidnapping. Summerlin v. State, 296 Ark. 347, 756 S.W.2d 908 (1988).

Chasing and dragging the victim from room to room or building to building and forcefully engaging in acts of rape between victim's attempts at freedom involved restraint more than that normally incidental to the crime of rape, and warranted the finding that the defendant kidnapped his victim before and between the acts of rape. Harris v. State, 299 Ark. 433, 774 S.W.2d 121 (1989).

Where evidence showed the restraint on rape victim's liberty to have exceeded that which was incidental to the rape, conviction of kidnapping was also proper. Thomas v. State, 311 Ark. 609, 846 S.W.2d 168 (1993).

Evidence of restraint shown exceeded the restraint necessary to prove the crime of rape; thus, the defendant was also subject to prosecution for kidnapping. Aaron v. State, 312 Ark. 19, 846 S.W.2d 655 (1993).

Where there was no evidence that defendant interfered with the victim's liberty to an extent beyond that which was incidental to the underlying crimes of battery and theft, there was insufficient evidence to support a judgment of conviction for kidnapping. Chism v. State, 312 Ark. 559, 853 S.W.2d 255 (1993).

An offense such as rape necessarily contemplates restrictions on the victim's liberty while the crime is being committed; therefore, only when the restraint imposed exceeds that normally incidental to the underlying crime should the rapist also be subject to prosecution for kidnapping. Wofford v. State, 44 Ark. App. 94, 867 S.W.2d 181 (1993).

This section speaks in terms of restraint rather than removal; consequently, it reaches a greater variety of conduct, since restraint can be accomplished without any removal whatsoever. Smith v. State, 318 Ark. 142, 883 S.W.2d 837 (1994).

Evidence was sufficient to show restraint where the victim was forced to stay in a house during a beating, was removed to another location with his hands tied, and was prevented from leaving a house in the new location. McFarland v. State, 337 Ark. 386, 989 S.W.2d 899 (1999), cert. denied, McFarland v. Arkansas, 528 U.S. 933, 120 S. Ct. 334 (1999).

Defendant's restraint of the victim was not incident to the rape and was sufficient to satisfy the restraint without consent element of the offense of kidnapping; although the victim willingly entered defendant's car, defendant restrained her liberty without her consent prior to the rape by forcing her at gunpoint to go with him to his home rather than letting her get out of his car at her friend's house. Marbley v. State, 81 Ark. App. 165, 100 S.W.3d 48 (2003).

Pursuant to § 5-11-101(2) and subdivisions (a)(1) and (4) of this section, the restraint employed by defendant exceeded that which was necessary to effectuate the rapes of the two victims and, thus, supported defendant's separate convictions for kidnapping because (1) defendant continued to hold his victims hostage after the rapes were completed; (2) during the ordeal, defendant threatened, poked, slapped, and hit the victims both with his fist and with a vase; and (3) defendant not only raped the victims, but he demanded money from them as well. Moore v. State, 355 Ark. 657, 144 S.W.3d 260 (2004).

In a case alleging rape, kidnapping, and third-degree domestic battery, a sufficiency of the evidence argument was not preserved for review because defendant argued on the first time on appeal that the amount of restraint or force used did not warrant a kidnapping conviction and a third-degree battery conviction in addition to the rape. This was not the same argument raised during a directed verdict motion. Rounsaville v. State, 372 Ark. 252, 273 S.W.3d 486 (2008).

Counsel was not ineffective for failing to move for a directed verdict on the issue of the amount of restraint used to commit a kidnapping, in violation of subdivision (a)(5) of this section, because the state presented substantial evidence that defendant used deception to restrain the victim; defendant told the victim he was a police officer and showed her a badge, which constituted deception. Prater v. State, 2012 Ark. 164, 402 S.W.3d 68 (2012).

Sufficient evidence supported defendant's kidnapping conviction as there was overwhelming evidence that defendant restrained the victim, and he threatened to kill her and her son; the victim testified how defendant restrained her with cables and locks for hours while he severely beat her, and defendant repeatedly told her that he was going to kill her and behead her son. The fact that the victim did not attempt to escape immediately after the restraints had been removed did not negate defendant's criminal conduct, nor did the fact that he later helped her bathe. Reynolds v. State, 2016 Ark. 214, 492 S.W.3d 491 (2016).

Sentencing.

Where appellant entered negotiated pleas of guilty to kidnapping under this section and additional charges, he was sentenced to 120 months' in prison with an additional 120-month suspended sentence; appellant was not entitled to postconviction relief under Ark. R. Crim. P. 37.1, because he could not prove that counsel failed to advise him of a possible life sentence under § 5-4-401. On the record, counsel indicated that he had advised appellant that he could be subject to a life sentence if he violated the terms of the suspended sentence. French v. State, 2009 Ark. 443 (2009).

Defendant never argued to the trial court that the state's evidence proved a Class B felony kidnapping pursuant to this section, but not Class Y. Accordingly, defendant failed to comply with the requirements of Ark. R. Crim. P. 33.1(a), (c), and the issue was not preserved for appellate review. Sweet v. State, 2011 Ark. 20, 370 S.W.3d 510 (2011).

In a case where probation was revoked, a 20-year sentence for Class B felony kidnapping was not improper since it was authorized under § 5-4-401(a)(3); the appellate court was unable to reduce a sentence within the range of punishment contemplated by the Arkansas Legislature. Moreover, since appellant failed to object to the sentence imposed, he was unable to argue on appeal that the trial court erred by failing to consider alternatives to the 20-year sentence. Pfeifer v. State, 2012 Ark. App. 556 (2012).

Voluntary Release of Victim.

Defendant held not entitled to have the penalty ranges of the kidnapping offense reduced from a Class Y felony to a Class B felony under subsection (b), where the defendant did not voluntarily release the victim, nor was the victim left in what could reasonably be characterized as a safe place. Whitt v. State, 281 Ark. 466, 664 S.W.2d 876 (1984).

Victims who were left handcuffed to immovable structures, and thus dependent on being discovered and freed before their release was complete, were not released, and sentencing as a Class Y rather than a Class B felony was proper. Clark v. State, 292 Ark. 69, 727 S.W.2d 853 (1987).

Victim was not released in a safe place given the physical condition in which she was left; the only safe place that the victim could have been released was the hospital. Black v. State, 50 Ark. App. 42, 901 S.W.2d 849 (1995).

Evidence was sufficient to support defendant's conviction for kidnapping, and whether defendant released the victim at a place of safety was a fact question properly submitted to the jury; however, defendant failed to prove that he released the victim in a safe place where he took the victim to the hospital after he ran over her leg and remained with her constantly. Morgan v. State, 359 Ark. 168, 195 S.W.3d 889 (2004).

Where defendant car jacked a mother and her children, substantial evidence supported the Class Y kidnapping convictions where the victims were not released into safety the of a home but on an unfamiliar dark country road, the mother had been beaten, raped, and threatened with death, and she feared defendant might try to run over her when she was left alone on the road and, clearly, defendant had not known that a house was nearby. Ratliff v. State, 359 Ark. 479, 199 S.W.3d 79 (2004).

Circuit court did not err by refusing to lower the kidnapping charge from a Class Y to a Class B felony as defendant did not release his stepdaughter where the stepdaughter was left with a mask over her face, a gag in her mouth, her feet bound together, her hands bound behind her back, and was left in a house that was in a rural area with no one expected to be home for several hours; although the stepdaughter found a cellular phone and scissors defendant left for her, she was unable to physically release herself from her restraints. Davis v. State, 368 Ark. 401, 246 S.W.3d 862 (2007).

Trial court did not err in denying defendant's motion for a directed verdict to reduce the kidnapping charge from a Class Y felony to a Class B felony under subdivisions (b)(1) and (2) of this section because defendant released the victim based on her resistance, and because he did not leave her in a safe place when he left her in the path of his vehicle. Huff v. State, 2012 Ark. 388, 423 S.W.3d 608 (2012).

Cited: Griffin v. State, 276 Ark. 266, 633 S.W.2d 708 (1982); Harmon v. State, 277 Ark. 265, 641 S.W.2d 21 (1982); Wallace v. Lockhart, 701 F.2d 719 (8th Cir. 1983); Glick v. State, 286 Ark. 133, 689 S.W.2d 559 (1985); Garmon v. State, 290 Ark. 371, 719 S.W.2d 699 (1986); Mask v. State, 314 Ark. 25, 869 S.W.2d 1 (1993); Hardaway v. State, 321 Ark. 576, 906 S.W.2d 288 (1995); Morris v. State, 53 Ark. App. 183, 920 S.W.2d 508 (1996); Avery v. State, 93 Ark. App. 112, 217 S.W.3d 162 (2005).

5-11-103. False imprisonment in the first degree.

  1. A person commits the offense of false imprisonment in the first degree if, without consent and without lawful authority, the person knowingly restrains another person so as to interfere substantially with the other person's liberty in a manner that exposes the other person to a substantial risk of serious physical injury.
  2. False imprisonment in the first degree is a Class C felony.

History. Acts 1975, No. 280, § 1703; A.S.A. 1947, § 41-1703.

Case Notes

Lesser Included Offenses.

Second-degree false imprisonment is not a lesser included offense of kidnapping; thus, instruction on second-degree or first-degree false imprisonment was not required in a kidnapping case. Davis v. State, 365 Ark. 634, 232 S.W.3d 476 (2006).

Restraint.

While the restraint used in a kidnapping and rape must exceed that which is “normally incidental” to the commission of rape only, the kind of restraint that is considered incident to a rape is that which is necessary to consummate the act; any additional restraint will support a conviction for kidnapping. Wofford v. State, 44 Ark. App. 94, 867 S.W.2d 181 (1993).

There was substantial evidence to support the jury's finding that defendant committed the crime of false imprisonment of her daughter by exercising excessive and unreasonable restraint that created a substantial risk of serious physical injury; there was no merit to defendant's argument that, as a parent, she could not be held liable for criminal conduct committed against her daughter because she had the lawful authority to consent to restraint of her child. Dick v. State, 364 Ark. 133, 217 S.W.3d 778 (2005).

Evidence was sufficient to support defendant's kidnapping conviction; there was evidence that he restrained his mother, given defendant's concession that the charge of false imprisonment was proven, plus there was substantial testimony from his mother regarding his threats to kill her and his physical harm to her, and although defendant claimed that he did not threaten his mother, two witnesses testified otherwise, and witness credibility was for the jury to determine. Ronk v. State, 2016 Ark. App. 126 (2016).

Violent Felony.

During the penalty phase of petitioner's capital murder trial, his prior conviction for false imprisonment, in violation of subsections (a) and (b) of this section, plainly qualified as a violent felony; the State presented a record of the prior conviction and thereby proved that he was convicted of the qualifying offense. Dansby v. Hobbs, 766 F.3d 809 (8th Cir. 2014), cert. denied, — U.S. —, 136 S. Ct. 297, 193 L. Ed. 2d 46 (2015).

Cited: Spillers v. State, 268 Ark. 217, 595 S.W.2d 650 (1980).

5-11-104. False imprisonment in the second degree.

  1. A person commits the offense of false imprisonment in the second degree if, without consent and without lawful authority, the person knowingly restrains another person so as to interfere substantially with the other person's liberty.
  2. False imprisonment in the second degree is a Class A misdemeanor.

History. Acts 1975, No. 280, § 1704; A.S.A. 1947, § 41-1704.

Cross References. Detention of shoplifting suspects, § 5-36-116.

Case Notes

Burden of Proof.

Where imprisonment was proved or admitted under an arrest without a warrant, the burden of justification was on the defendant. St. Louis, Iron Mountain & S. Ry. v. Waters, 105 Ark. 619, 152 S.W. 137 (1912). See also Haglin v. Apple, 65 Ark. 274, 45 S.W. 989 (1898); Douglass v. Stahl, 71 Ark. 236, 72 S.W. 568 (1903) (preceding decisions under prior law).

Evidence.

Evidence insufficient to support conviction. H.K. Faulkinbury v. United States Fire Ins. Co., 247 Ark. 70, 444 S.W.2d 254 (1969) (decision under prior law).

Instructions.

Instruction that, though the conductor who made the arrest was the judge as to whether the plaintiff was intoxicated when arrested, yet if he was mistaken the company would be liable, was erroneous, as it ignored the question whether the conductor acted in good faith. St. Louis, Iron Mountain & S. Ry. v. Hudson, 95 Ark. 506, 130 S.W. 534 (1910) (decision under prior law).

Lawful Authority.

Imprisonment by virtue of a legal writ in due form issued by a court of competent jurisdiction and served in a lawful manner did not constitute false imprisonment even though it was improvidently or wrongfully issued. Campbell v. Hyde, 92 Ark. 128, 122 S.W. 99 (1909) (decision under prior law).

An action for false imprisonment under a wrongful arrest did not lie where the arrest complained of was under lawful authority. McIntosh v. Bullard, Earnhart & Magness, 95 Ark. 227, 129 S.W. 85 (1910) (decision under prior law).

Lesser Included Offenses.

Second-degree false imprisonment is not a lesser included offense of kidnapping; thus, instruction on second-degree or first-degree false imprisonment was not required in a kidnapping case. Davis v. State, 365 Ark. 634, 232 S.W.3d 476 (2006).

Restraint.

By the unlawful imprisonment of one's person, even though for only a moment, there was an actionable wrong. Saint Louis, I.M. & S. Ry. v. Wilson, 70 Ark. 136, 66 S.W. 661 (1902) (decision under prior law).

A prisoner who had been pardoned by the governor was immediately entitled to his freedom and when it was denied the prisoner, the prisoner could maintain an action for false imprisonment against the one denying him his liberty. Weigel v. McCloskey, 113 Ark. 1, 166 S.W. 944 (1914) (decision under prior law).

Where a deputy, under color of authority helped parent remove children from the other parent's custody against their will, officer's coercive acts constituted false imprisonment. Pettijohn v. Smith, 255 Ark. 780, 502 S.W.2d 618 (1973) (decision under prior law).

Cited: Mosley v. State, 2016 Ark. App. 353, 499 S.W.3d 226 (2016).

5-11-105. Vehicular piracy.

  1. A person commits vehicular piracy if, without lawful authority, the person seizes or exercises control, by force or threat of violence, over any:
    1. Aircraft occupied by an unconsenting person; or
    2. Other vehicle:
      1. Having a seating capacity of more than eight (8) passengers;
      2. Operated by a common carrier or contract carrier of passengers for hire; and
      3. Occupied by an unconsenting person.
    1. Vehicular piracy of an aircraft is a Class B felony.
    2. Otherwise, vehicular piracy is a Class C felony.

History. Acts 1975, No. 280, § 1705; A.S.A. 1947, § 41-1705.

Case Notes

Evidence.

Vehicular piracy under subdivision (a)(1) of this section shown where defendant threatened to kill everyone at an airport office if the pilot refused to return to the airport and land the plane; defendant exercised control over the aircraft through a threat of violence to the pilot's wife and others, making the pilot a non-consenting occupant of the plane. Smith v. State, 352 Ark. 92, 98 S.W.3d 433 (2003).

5-11-106. Permanent detention or restraint.

  1. A person commits the offense of permanent detention or restraint if, without consent and without lawful authority, the person restrains a person with the purpose of holding or concealing the other person:
    1. Without ever releasing the other person; or
    2. Without ever returning the other person to the person or institution from whose lawful custody the other person was taken.
    1. Permanent detention or restraint is a Class B felony.
    2. However, permanent detention or restraint is a Class D felony if the person detained or restrained is the child of the defendant.

History. Acts 1975, No. 280, § 1706, as added by Acts 1977, No. 360, § 6; A.S.A. 1947, § 41-1706.

Case Notes

Return to Person or Institution with Custody.

Evidence was sufficient to find that the defendant took an incompetent person with the purpose of not returning that person to the legal guardian. Brown v. State, 54 Ark. App. 44, 924 S.W.2d 251 (1996).

5-11-107. [Repealed.]

Publisher's Notes. This section, concerning school bus piracy, was repealed by Acts 2005, No. 1994, § 511. The section was derived from Acts 1995, No. 805, §§ 1, 4.

5-11-108. [Repealed.]

Publisher's Notes. This section, concerning trafficking of persons, was repealed by Acts 2013, Nos. 132 and 133, § 2. The section was derived from Acts 2005, No. 2267, § 1. For present law, see the Human Trafficking Act of 2013, § 5-18-101 et seq.

Chapter 12 Robbery

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Cross References. Fines, § 5-4-201.

Term of imprisonment, § 5-4-401.

Theft, § 5-36-101 et seq.

Effective Dates. Acts 1979, No. 1118, § 4: became law without Governor's signature, May 11, 1979. Emergency clause provided: “It is hereby found and determined by the General Assembly that the present penalties for aggravated robbery committed with a deadly weapon do not adequately deter persons from committing this crime and that this crime is rapidly increasing in frequency, and that this Act is immediately necessary to attempt to decrease the incidence of this crime. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Research References

ALR.

Coercion, compulsion, or duress as defense to charge of robber, larceny, or related crime. 1 A.L.R.4th 481.

Dog as deadly or dangerous weapon for purposes of statutes aggravating offenses such as assault and robbery. 7 A.L.R.4th 607.

Cane as deadly or dangerous weapon for purpose of statutes aggravating offenses such as assault and robbery. 8 A.L.R.4th 842.

Human body parts other than feet as deadly or dangerous weapons for purposes of statutes aggravating offenses such as assault and robbery. 8 A.L.R.4th 1268.

Am. Jur. 67 Am. Jur. 2d, Robbery, § 1 et seq.

Ark. L. Rev.

1976 Criminal Code — General Principles, 30 Ark. L. Rev. 111.

Robbery Statute Revised: An Analysis of the Code Approach, 30 Ark L. Rev. 209.

C.J.S. 77 C.J.S., Robbery, § 1 et seq.

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

5-12-101. Definition.

As used in this chapter, “physical force” means any:

  1. Bodily impact, restraint, or confinement; or
  2. Threat of any bodily impact, restraint, or confinement.

History. Acts 1975, No. 280, § 2101; A.S.A. 1947, § 41-2101.

Case Notes

Physical Force.

Evidence held sufficient to show that defendant employed physical force against the victim, inasmuch as there was sufficient restraint and bodily impact to constitute physical force. Fairchild v. State, 269 Ark. 273, 600 S.W.2d 16 (1980).

Evidence sufficient to find that the force exerted was sufficient to accomplish its purpose. Turner v. State, 270 Ark. 969, 606 S.W.2d 762 (1980).

Testimony by store employees that they ran after and tackled defendant after seeing him take an item from the store without paying for it implied that some type of physical force was used against them, even if one of the employees was the person who used physical force first, and was sufficient to prove the use of physical force element. Payne v. State, 86 Ark. App. 59, 159 S.W.3d 804 (2004).

For purposes of this section, it was immaterial whether defendant ever intended to use physical force against the victim to further his escape; physical force meant any bodily impact, and the testimony from the victim was that defendant struck him in the nose, which was corroborated by a police officer and believed by the jury. McElyea v. State, 87 Ark. App. 103, 189 S.W.3d 67 (2004), aff'd, 360 Ark. 229, 200 S.W.3d 881 (2005).

Defendant used physical force to get away from a store employee who had caught him shoplifting and told him that a report needed to be filed where defendant struck the employee when the employee grabbed his sleeve. McElyea v. State, 360 Ark. 229, 200 S.W.3d 881 (2005).

Court rejected defendant's argument that the evidence was insufficient to support his conviction of felony robbery under § 5-12-102(a) because the state failed to prove that he used physical force to take the victim's purse where the state presented no evidence of a struggle or fight, of more force than necessary to pull the purse from the victim's arm, or of his touching any part of the victim's body. Because the victim testified that defendant snatched her purse from her, causing pain and bruises to her hand and right arm, the jury could have inferred from this evidence that injury was done, that force was used in taking the purse, and that bodily impact occurred sufficient to meet the statutory requirement of physical force. Banks v. State, 2009 Ark. App. 633 (2009).

Evidence was sufficient to support defendant's robbery conviction, given that he pulled up to the victim in a car and asked if he could use the victim's phone, and when the victim refused, defendant punched him in the face, took the phone, and drove away; the victim positively identified defendant, who handed the phone over to the officers, and the circuit court was free to believe the testimony of the victim and not that of defendant, who claimed he was just borrowing the phone. Muhammad v. State, 2016 Ark. App. 285, 494 S.W.3d 440 (2016).

Evidence was sufficient to sustain defendant's robbery conviction where an undercover security guard testified that defendant placed a bottle of laundry detergent inside her flat purse, the purse bulged, defendant did not pay for the detergent before walking out of the store, she shoved the guard when he confronted her in the parking lot, and she fled the scene abruptly when confronted by loss-prevention officers. Horton v. State, 2017 Ark. App. 481, 530 S.W.3d 880 (2017).

Cited: Tippitt v. Lockhart, 859 F.2d 595 (8th Cir. 1988); Baldwin v. State, 48 Ark. App. 181, 892 S.W.2d 534 (1995); Boyd v. State, 54 Ark. App. 17, 922 S.W.2d 357 (1996); Cartwright v. State, 2016 Ark. App. 425, 501 S.W.3d 849 (2016).

5-12-102. Robbery.

  1. A person commits robbery if, with the purpose of committing a felony or misdemeanor theft or resisting apprehension immediately after committing a felony or misdemeanor theft, the person employs or threatens to immediately employ physical force upon another person.
  2. Robbery is a Class B felony.

History. Acts 1975, No. 280, § 2103; A.S.A. 1947, § 41-2103; Acts 1987, No. 934, § 1.

Research References

Ark. L. Rev.

Bank Not Liable for Attack on ATM Patron: Boren v. Worthen National Bank of Arkansas, 50 Ark. L. Rev. 521.

ALR.

Robbery: Identification of victim as person named in indictment or information. 4 A.L.R.6th 577.

U. Ark. Little Rock L.J.

Davis, Survey of Arkansas Law: Criminal Law, 2 U. Ark. Little Rock L.J. 193.

Survey — Criminal Law, 10 U. Ark. Little Rock L.J. 559.

Case Notes

Constitutionality.

This section is not unconstitutionally vague as it clearly states that a defendant is responsible for the use of force on anyone either before, during, or after the theft. Becker v. State, 298 Ark. 438, 768 S.W.2d 527 (1989).

In General.

Under prior law, definition of robbery put the primary emphasis upon the taking of property, but the code redefines robbery to shift the focus of the offense from the taking of property to the threat of physical harm to the victim. Jarrett v. State, 265 Ark. 662, 580 S.W.2d 460 (1979).

Section has redefined robbery so that focus of robbery has shifted from the taking of property to threat of physical harm to victim; one consequence of definition is that offense is complete when physical force is threatened and no transfer of property need take place. Birchett v. State, 294 Ark. 176, 741 S.W.2d 267 (1987); McKinzy v. State, 313 Ark. 334, 853 S.W.2d 888 (1993).

The crime of robbery is serious, and violence is generally involved. Myers v. State, 317 Ark. 70, 876 S.W.2d 246 (1994).

Purpose.

The clear legislative intent was to define robbery so as to cover situations where persons who have committed a theft choose to employ force to avoid arrest. Williams v. State, 11 Ark. App. 11, 665 S.W.2d 299 (1984).

Accomplice.

If the evidence showed that defendant aided or advised another in planning or committing a robbery but that the other person committed the greater inclusive offense of aggravated robbery, defendant's liability would be limited to the lesser included offense of robbery. Savannah v. State, 7 Ark. App. 161, 645 S.W.2d 694 (1983).

Substantial evidence supported defendant's convictions for aggravated robbery, kidnapping, aggravated assault, theft of property, unlawful discharge of a firearm from a vehicle, and fleeing because while the state did not prove that defendant actually entered a bank, it did provide substantial evidence that he was the driver of the getaway car and thus was an accomplice of the two men who committed the aggravated robbery, kidnapping, and theft of property; while defendant did not personally shoot at an officer's vehicle, his conduct of driving the fleeing vehicle while another person in the car fired the shots sufficiently implicated him as an accomplice to unlawfully discharging a firearm from a vehicle. Barber v. State, 2010 Ark. App. 210, 374 S.W.3d 709 (2010).

There was sufficient evidence tending to connect defendant to an aggravated robbery and thus to corroborate accomplice testimony because surveillance video established the commission of the crime and an officer testified that defendant matched the description of a robber in the video based on his height and that the officer confirmed the truth of identifying information from a non-accomplice. Smith v. State, 2012 Ark. App. 534, 423 S.W.3d 624 (2012).

Assistance of Counsel.

Where the state's proof of guilt was overwhelming, despite the defense testimony that the defendant was simply standing quietly in the store when the two employees seized her, the defense counsel's failure to object to the bailiff's testimony that a codefendant had fled four years earlier when placed under arrest did not substantially prejudice the defendant and did not amount to ineffective assistance of counsel. Williams v. State, 289 Ark. 567, 712 S.W.2d 924 (1986).

Double Jeopardy.

A former acquittal on a bank robbery charge was no bar to prosecution for burglarizing a bank building where the offenses were separate and distinct and not dependent upon the same evidence to support the conviction. Whitted v. State, 187 Ark. 285, 59 S.W.2d 597 (1933) (decision under prior law).

The aggravating circumstance providing that the murder was committed for the purpose of avoiding or preventing an arrest, under § 5-4-604(5), does not unconstitutionally duplicate an element of the underlying felony of robbery under this section; since avoiding arrest is not necessarily an invariable motivation for killing, the aggravating circumstance of avoiding arrest does not as a matter of logic necessarily duplicate an element of the underlying capital crime of robbery. Whitmore v. Lockhart, 834 F. Supp. 1105 (E.D. Ark. 1992), aff'd, 8 F.3d 614 (8th Cir. Ark. 1993).

Elements.

To constitute robbery the taking had to be either directly from the person or in the presence of the party robbed, and had to be by force or a previous putting in fear. Clary v. State, 33 Ark. 561 (1878) (decision under prior law).

The elements of the crime of robbery are (1) intent to commit theft and (2) the employment of or threat to employ physical force. Thomas v. State, 262 Ark. 79, 553 S.W.2d 32 (1977).

Stealing hubcaps from a parked car is not robbery. Wesley v. State, 265 Ark. 406, 578 S.W.2d 895 (1979).

A person commits robbery if he employes physical force in attempting to commit a theft or if he employs physical force in resisting apprehension immediately after committing a theft. Thompson v. State, 284 Ark. 403, 682 S.W.2d 742 (1985), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002).

Where the defendant held the victim at gunpoint while he inspected her jewelry, the jury way justified in concluding that the defendant intended to commit theft. Kinsey v. State, 290 Ark. 4, 716 S.W.2d 188 (1986).

The motive of pecuniary gain is an element of robbery even though it does not appear in the literal language of this section. Perry v. Lockhart, 871 F.2d 1384 (8th Cir. Ark. 1989).

A transfer of property is essential for the completion of the crime of theft; on the other hand no transfer of property is required for the completion of the crime of robbery, only physical force or the threat of physical force is necessary. Robinson v. State, 303 Ark. 351, 797 S.W.2d 425 (1990), appeal dismissed, Robinson v. Norris, — Ark. —, — S.W.3d —, 2008 Ark. LEXIS 21 (Jan. 10, 2008).

The robbery and murder did not have to occur within a brief interval of time to support a capital murder conviction. Findley v. State, 307 Ark. 53, 818 S.W.2d 242 (1991).

Nothing in this section or § 5-12-103 requires that the representation that the offender is armed must be made to the victim of the theft. Lowe v. State, 36 Ark. App. 85, 819 S.W.2d 23 (1991).

Robbery does not require that each victim, or even one victim, be deprived of property, but has been redefined by shifting the emphasis from the taking of property to the threat, express or implied, of physical harm to the victim. Harris v. State, 308 Ark. 150, 823 S.W.2d 860 (1992).

In defendant's attempted capital murder case, the state presented substantial evidence of defendant's intent to commit theft because there was the victim's testimony, in which she stated that defendant told her that he was going to rob her, there was the fact that two twenty-dollar bills and some quarters were missing from the store after the attack, and there was also defendant's own videotaped statement in which he admitted to taking money from the cash register. Goodwin v. State, 373 Ark. 53, 281 S.W.3d 258 (2008).

Evidence.

Evidence held sufficient to establish that the defendant was guilty of larceny (now theft) and not robbery. Bowlin v. State, 72 Ark. 530, 81 S.W. 838 (1904) (decision under prior law).

Evidence held sufficient to support a conviction. Shell v. State, 84 Ark. 344, 105 S.W. 575 (1907); Jenkins v. State, 191 Ark. 507, 87 S.W.2d 60 (1935); Trotter v. State, 215 Ark. 121, 219 S.W.2d 636 (1949); Taylor v. State, 230 Ark. 809, 327 S.W.2d 6 (1959); Norman v. State, 236 Ark. 476, 366 S.W.2d 891 (1963), cert. denied, Norman v. Arkansas, 375 U.S. 933, 84 S. Ct. 337, 11 L. Ed. 2d 265 (1963); Hurst v. State, 251 Ark. 40, 470 S.W.2d 815 (1971); Guffey v. State, 253 Ark. 720, 488 S.W.2d 28 (1972); Lloyd v. State, 253 Ark. 839, 489 S.W.2d 240 (1973); Graves v. State, 256 Ark. 117, 505 S.W.2d 748 (1974), overruled in part, Gardner v. State, 296 Ark. 41, 754 S.W.2d 518 (1988); Ferguson v. State, 257 Ark. 1036, 521 S.W.2d 546 (1975) (preceding decisions under prior law); Wilson v. State, 262 Ark. 339, 556 S.W.2d 657 (1977); Phillips v. State, 271 Ark. 96, 607 S.W.2d 664 (1980); Lane v. State, 288 Ark. 175, 702 S.W.2d 806 (1986); Phillips v. State, 17 Ark. App. 86, 703 S.W.2d 471 (1986); Birchett v. State, 289 Ark. 16, 708 S.W.2d 625 (1986); Dees v. State, 30 Ark. App. 124, 783 S.W.2d 372 (1990); Beard v. State, 306 Ark. 546, 816 S.W.2d 860 (1991); Nooner v. State, 322 Ark. 87, 907 S.W.2d 677 (1995), cert. denied, Nooner v. Arkansas, 517 U.S. 1143, 116 S. Ct. 1436, 134 L. Ed. 2d 558 (1996); Whitfield v. State, 70 Ark. App. 451, 20 S.W.3d 422 (2000).

Defendant's conduct did not indicate that defendant was renouncing an intent to commit theft. White v. State, 271 Ark. 692, 610 S.W.2d 266 (1981).

Evidence held sufficient to find that the only purpose defendants could have had was to rob the victim. Johnson v. State, 276 Ark. 56, 632 S.W.2d 416 (1982); Becker v. Lockhart, 971 F.2d 172 (8th Cir. 1992), rehearing denied, — F.2d —, 1992 U.S. App. LEXIS 27816 (8th Cir. Oct. 23, 1992), cert. denied, 510 U.S. 830, 114 S. Ct. 98 (1993).

Evidence held sufficient to establish a theft and the use of force immediately after the theft to resist arrest. Becker v. State, 298 Ark. 438, 768 S.W.2d 527 (1989); Becker v. Lockhart, 971 F.2d 172 (8th Cir. 1992), rehearing denied, — F.2d —, 1992 U.S. App. LEXIS 27816 (8th Cir. Oct. 23, 1992), cert. denied, 510 U.S. 830, 114 S. Ct. 98 (1993).

The only reasonable inference to be drawn was that defendant intended to take property from the victim where he approached the victim and said, “This is a robbery,” appeared to have a pistol in his pocket and had it pointed at her, and when she screamed for help, he ran away. Fletcher v. State, 306 Ark. 541, 816 S.W.2d 592 (1991).

The evidence was sufficient to establish that the threat of a deadly weapon was made immediately after the theft to resist apprehension or arrest, where the theft, flight, struggle, and apprehension were accomplished in a matter of minutes without any significant intervening event. Lowe v. State, 36 Ark. App. 85, 819 S.W.2d 23 (1991).

Victim's pretrial and in-court identifications of the defendant were unequivocal and clearly constituted sufficient evidence for the jury to conclude without having to speculate that defendant was the perpetrator. Stipes v. State, 315 Ark. 719, 870 S.W.2d 388 (1994).

Identification testimony and the physical evidence accidentally dropped at the scene by the defendant were admissible, and evidence was sufficient to sustain the conviction of rape, burglary, and robbery. Monk v. State, 320 Ark. 189, 895 S.W.2d 904 (1995).

Substantial evidence supported a conviction for aggravated robbery, notwithstanding that the defendant never produced a weapon in the victim's view, where (1) he represented that he had a knife and would cut the victim's throat unless she complied with his demands, (2) he admitted to having a butcher knife while committing the robbery, and (3) a butcher knife was recovered from the defendant. Skiver v. State, 336 Ark. 86, 983 S.W.2d 931 (1999).

Evidence was sufficient to show that the defendant used force for the purpose of committing a theft where he had stolen property from the victim only hours earlier, voiced his intent to return to her home to get more money, and then followed through by going to her home during the early hours of morning where he physically attacked the victim when she stepped outside, and stopped the attack only when her daughter made her presence known by screaming. Pond v. State, 69 Ark. App. 346, 14 S.W.3d 525 (2000).

Evidence was sufficient to convict defendant of aggravated robbery and theft where the record showed that after the victim was shot, the defendant removed money from the dead man's body, helped to hide the body, hid the dead man's truck, and threw the dead man's wallet and keys away. Grillot v. State, 353 Ark. 294, 107 S.W.3d 136 (2003).

Victim's testimony was sufficient in and of itself to sustain defendant's convictions for aggravated robbery and battery in the first degree because the victim was cross-examined at length by defense counsel regarding the inconsistencies in his testimony but remained adamant that defendant was the person who had come into his house and told him to “break yourself”; in addition, the victim also identified defendant in a photo lineup and identified him again at trial. Mosley v. State, 87 Ark. App. 127, 189 S.W.3d 456 (2004).

Jury could infer that defendant shot the victim in order to steal drugs and money from the victim, based on defendant's own account of what occurred; thus, there was substantial evidence that defendant shot and killed the victim during the course of, and in furtherance of, an aggravated robbery. Harper v. State, 359 Ark. 142, 194 S.W.3d 730 (2004).

Evidence was sufficient to sustain defendant's aggravated robbery conviction where defendant admitted to being in the vehicle when the crimes occurred, the evidence showed that he was the driver, defendant waited while an accomplice fired shots at the van's driver, and defendant retrieved the bank bag. Jefferson v. State, 359 Ark. 454, 198 S.W.3d 527 (2004).

Sufficient evidence existed to convict defendant of robbery where defendant struck a store employee after the employee caught him shoplifting and told defendant a report had to be filed; defendant used physical force to avoid apprehension. McElyea v. State, 360 Ark. 229, 200 S.W.3d 881 (2005).

Trial court did not err by denying defendant's motion for a directed verdict on his capital murder conviction because the evidence was sufficient to support defendant's conviction of the underlying felony, aggravated robbery, even after eliminating the testimony of one of defendant's accomplices. Evidence showed that: (1) defendant had the purpose of committing a theft with the use of physical force, as he and three other individuals went to a witness's house to acquire ammunition for their firearm; (2) the fourth individual testified that defendant and three men arrived at his trailer where defendant displayed a gun, and that he provided ammunition for the gun; (3) a second witness, one of the three men who accompanied defendant, testified that he heard two gunshots fired after the two other men left the victim's apartment after the struggle between defendant and the victim ensued; and (4) the chief medical examiner testified that the victim died from a gunshot wound. Gardner v. State, 362 Ark. 413, 208 S.W.3d 774 (2006).

There was sufficient evidence to support convictions for aggravated robbery and capital murder based on defendant's admission that she held the victim's hands down while he was beaten inside an apartment during an alleged robbery and the testimony of an accomplice waiting outside; the accomplice testimony was sufficiently corroborated. Johnson v. State, 366 Ark. 8, 233 S.W.3d 123 (2006).

There was sufficient evidence to support a conviction where evidence showed that two murders were committed during a robbery, defendant made inculpatory statements regarding the robbery, the victims had a large amount of cash, and defendant made calls to their phone on the day of the shooting. Harris v. State, 366 Ark. 190, 234 S.W.3d 273 (2006).

Evidence was sufficient to sustain defendant's convictions for aggravated robbery, residential burglary, and felony theft of property because an accomplice testified that he and defendant had a purpose of committing theft when they went to the victim's apartment, defendant used physical force upon the victim, defendant was armed with a deadly weapon, and a witness testified that she observed defendant carry out a television and load it into the car. Navarro v. State, 371 Ark. 179, 264 S.W.3d 530 (2007).

Substantial evidence indicated that defendant was armed with a deadly weapon for the purpose of committing theft, and defendant was part of a plan to take the victim's money; there did not have to be an actual transfer of property to take place for the offense of aggravated robbery to be complete, and defendant and another clearly followed through with the plan, whether or not they verbally acknowledged their agreement at the time the plan was conceived. Moore v. State, 372 Ark. 579, 279 S.W.3d 69 (2008).

Denial of defendant's motion for directed verdict on capital murder and aggravated murder charges under this section and §§ 5-10-101 and 5-12-103 was proper as the evidence showed that defendant held a pistol, a deadly weapon, and that he committed theft while armed with the pistol; the evidence also showed that he caused the death of the victim in immediate flight from the aggravated robbery under circumstances manifesting extreme indifference to the value of human life. Flowers v. State, 373 Ark. 119, 282 S.W.3d 790 (2008).

Defendant's convictions for two counts of aggravated robbery were proper under subsection (a) of this section and § 5-12-103(a) because a neighbor verified that one of the intruders had a gun; the victim told officers that the intruders hid their guns in the closet, where two guns were found; and both intruders were charged in the same instrument, implicating accomplice liability. That provided substantial evidence to support the finding that the intruders at minimum represented by word or conduct that they were armed as a threat in order to commit the theft. Hinton v. State, 2010 Ark. App. 341 (2010).

Evidence was sufficient to sustain defendant's convictions for capital murder and aggravated robbery because defendant drove his accomplice to the victim's house, defendant admitted to hitting the victim over the head, and the evidence illustrated he wanted to harm the victim because he did it again after he stated that the victim was not fazed. Additionally, the victim's wallet was taken from the house. Laswell v. State, 2012 Ark. 201, 404 S.W.3d 818 (2012).

Force or Intimidation.

Snatching money from another's hand without force was not robbery. Routt v. State, 61 Ark. 594, 34 S.W. 262 (1896); Coon v. State, 109 Ark. 346, 160 S.W. 226 (1913) (preceding decisions under prior law).

It was not essential that both force and intimidation be employed to constitute robbery. Jenkins v. State, 191 Ark. 507, 87 S.W.2d 60 (1935) (decision under prior law).

Where the statutes made intimidation or putting in fear the person robbed an element of the offense of robbery, it was proper that the state of mind of the person robbed be proved in order to show that all the elements of the offense were present. Miller v. State, 230 Ark. 352, 322 S.W.2d 685 (1959) (decision under prior law).

If either force or intimidation was employed to obtain money from an elderly couple the requisites of the former robbery statute were met and taking into consideration the age of the couple, the intimidation necessary to complete the offense was not nearly so great as would be necessary to complete the offense if the victims were younger people. Miller v. State, 230 Ark. 352, 322 S.W.2d 685 (1959) (decision under prior law).

Testimony held sufficient to show intimidation. Ferguson v. State, 257 Ark. 1036, 521 S.W.2d 546 (1975) (decision under prior law).

While mere snatching of money or goods from the hand of another was not robbery, where there was a struggle for the possession before the taking was accomplished and the owner of the property was struck in the face there was evidence of robbery. Parker v. State, 258 Ark. 880, 529 S.W.2d 860 (1975) (decision under prior law).

Evidence held sufficient to show that defendant employed physical force against the victim. Fairchild v. State, 269 Ark. 273, 600 S.W.2d 16 (1980).

Evidence held sufficient to find that the force exerted was sufficient to accomplish its purpose and amounted to robbery. Turner v. State, 270 Ark. 969, 606 S.W.2d 762 (1980).

Evidence held sufficient to present a factual question for the jury concerning whether the resistance to apprehension was close enough to the taking to establish robbery. Williams v. State, 11 Ark. App. 11, 665 S.W.2d 299 (1984).

As to intent, this section requires that the purpose of employing force must be to commit a theft or to resist apprehension immediately thereafter. Robinson v. State, 317 Ark. 17, 875 S.W.2d 837 (1994).

Indictment or Information.

For cases discussing the sufficiency of indictments or informations, see Clary v. State, 33 Ark. 561 (1878); Young v. State, 50 Ark. 501, 8 S.W. 828 (1888); Boles v. State, 58 Ark. 35, 22 S.W. 887 (1893); Keeton v. State, 70 Ark. 163, 66 S.W. 645 (1902); Traver v. State, 72 Ark. 524, 81 S.W. 615 (1904); Green v. State, 185 Ark. 1098, 51 S.W.2d 511 (1932); Nobles v. State, 189 Ark. 472, 74 S.W.2d 247 (1934); Haynie v. State, 257 Ark. 542, 518 S.W.2d 492 (1975); Ferguson v. State, 257 Ark. 1036, 521 S.W.2d 546 (1975) (preceding decisions under prior law).

On remand of appellant's conviction for committing a hotel robbery, the state was permitted to file an amended information adding the allegation of habitual-offender status; while appellant was awaiting a new trial he was convicted of separate charges in a related case, thus, based on his habitual-offender status, appellant received a sentence of life imprisonment for the aggravated-robbery conviction. Townsend v. State, 355 Ark. 248, 134 S.W.3d 545 (2003).

Jurisdiction.

Where force was initiated in this state, extension of criminal activity into another state did not deprive courts in this state of jurisdiction to try robbery charge. Thomas v. State, 262 Ark. 79, 553 S.W.2d 32 (1977).

Lesser Included Offenses.

Where the testimony was in conflict as to whether a defendant was armed at the time of the robbery, the court in a prosecution for aggravated robbery should have instructed the jury on the lesser included offense of robbery. Hamilton v. State, 262 Ark. 366, 556 S.W.2d 884 (1977).

Robbery is a lesser included offense of aggravated robbery. Lovelace v. State, 276 Ark. 463, 637 S.W.2d 548 (1982).

In an aggravated robbery prosecution, refusal to instruct on the lesser included offense of robbery held proper. Lovelace v. State, 276 Ark. 463, 637 S.W.2d 548 (1982).

Conspiracy to commit robbery is not a lesser included offense within the definition of aggravated robbery. Savannah v. State, 7 Ark. App. 161, 645 S.W.2d 694 (1983).

Even though robbery is a lesser included offense of aggravated robbery, the trial judge was obligated to give the lesser instruction only if there was a rational basis for acquitting defendant of aggravated robbery and convicting him of the lesser offense of robbery. Savannah v. State, 7 Ark. App. 161, 645 S.W.2d 694 (1983).

Where defendant was charged as accomplice in aggravated robbery, trial court erred in failure to give instruction on lesser included offense of robbery held error. Savannah v. State, 7 Ark. App. 161, 645 S.W.2d 694 (1983).

Disorderly conduct, assault, and battery are not lesser included offenses of robbery but are simply offenses of a different class. Williams v. State, 11 Ark. App. 11, 665 S.W.2d 299 (1984).

Assault is not a lesser included offense of robbery; therefore, the trial court in robbery prosecution correctly refused requested instruction on assault in the first degree. Williams v. State, 11 Ark. App. 11, 665 S.W.2d 299 (1984).

Theft is not a lesser offense included within robbery. Thompson v. State, 284 Ark. 403, 682 S.W.2d 742 (1985), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002).

Battery is not a lesser included offense of robbery. Robinson v. State, 14 Ark. App. 38, 684 S.W.2d 824 (1985).

Where the prosecution charged attempted robbery rather than aggravated robbery as the underlying offense to a capital murder charge and defendant was convicted of aggravated robbery, the defendant's conviction must be reduced to simple robbery—the crime which the state used to support the capital murder charge. Mullins v. State, 303 Ark. 695, 799 S.W.2d 550 (1990).

Where there was no proof presented that defendant did not have a weapon during the aggravated robbery, it was not error for the trial court to refuse to instruct on the lesser included offenses of robbery and aggravated assault. Tarkington v. State, 313 Ark. 399, 855 S.W.2d 306 (1993).

Where jury was entitled to believe defendant's assertion that she did not know her boyfriend was carrying a gun, while disbelieving her claim that she did not assist in the commission of the robbery, the trial court erred in refusing to give an instruction on robbery in defendant's trial for aggravated robbery. Waggle v. State, 50 Ark. App. 198, 901 S.W.2d 862 (1995).

In defendant's capital murder and aggravated robbery case, a court did not err by failing to instruct the jury on the lesser included offense of robbery where there was no rational basis for such instruction; defendant pushed into the home, demanded money, and pulled out a pair of broken scissors to enforce his demand, and he later murdered the victim and inflicted serious physical harm on another victim. Isom v. State, 356 Ark. 156, 148 S.W.3d 257 (2004), cert. denied, Isom v. Arkansas, 543 U.S. 865, 125 S. Ct. 204 (2004).

Trial court did not err in failing to give a jury an instruction on simple robbery, which was a lesser-included offense of aggravated robbery, because defendant essentially argued that defendant did not commit any offense at all; hence, there was no rational basis for the giving of a lesser-included offense instruction. Nickelson v. State, 2012 Ark. App. 363, 417 S.W.3d 214 (2012), appeal dismissed, 2013 Ark. 252 (2013).

Counsel complied with Ark. Sup. Ct. & Ct. App. R. 4-3(k), and appellant's appeal from his aggravated robbery conviction and sentence lacked merit because (1) the sufficiency of the evidence was not preserved for appellate review as counsel's motion for directed verdict failed to state with specificity the deficiency in the state's evidence, in contravention of Ark. R. Crim. P. 33.1; (2) there was no merit to appellant's chain-of-custody argument to the items found in his car pursuant to a search warrant as there was no evidence of tampering presented, and there was testimony that the items were logged into evidence and remained in the evidence room until the trial; (3) it was undisputed that an armed robbery took place under § 5-12-103(a)(1), so it was not an error to refuse to give an instruction on the lesser-included offense of robbery under subsection (a) of this section; and (4) appellant could not raise an ineffective assistance of counsel claim or challenge the qualifications of jurors for the first time on appeal. Mace v. State, 2012 Ark. App. 420, 421 S.W.3d 335 (2012).

Jury instruction on the lesser-included offense of attempted aggravated robbery was not warranted because there was no evidence of the offense of attempt under § 5-3-201(a)(2); when appellant stormed out of a retail store's stockroom brandishing a gun and pointing it employees, he actually completed the offense of aggravated robbery. Thomas v. State, 2012 Ark. App. 466, 422 S.W.3d 217 (2012).

Theft is not a lesser-included offense of robbery pursuant to § 5-1-110(b). The wrongful appropriation of the victim's property is an essential element of theft, while robbery can be committed without actually taking the property of another, since robbery is defined as employing or threatening to employ physical force upon another with the purpose of committing a felony or misdemeanor theft or resisting apprehension immediately thereafter. Cartwright v. State, 2016 Ark. App. 425, 501 S.W.3d 849 (2016).

Ownership.

A violent taking of property in the presence of others, under claim of title, did not constitute the crime of robbery. Brown v. State, 28 Ark. 126 (1873) (decision under prior law).

Ownership of the property taken could be alleged in the information or subsequent bill of particulars either in the real owner or in the person in whose possession the property was at the time taken. Powell v. State, 251 Ark. 46, 471 S.W.2d 333 (1971), cert. denied, Powell v. Arkansas, 406 U.S. 917, 92 S. Ct. 1763 (1972) (decision under prior law).

Evidence was sufficient to support defendant's conviction of aggravated robbery under this section where defendant pointed a pistol at the victim and demanded that the victim repay a two dollar debt because the intent to collect a debt at gunpoint did not negate the necessary intent to steal under § 5-36-103(a)(1). Because defendant could not trace his ownership to the specific bills in the victim's possession, the victim, and not defendant, was the owner of the money in his possession, and it was theft to take it from him. Heard v. State, 2009 Ark. 546, 354 S.W.3d 49 (2009).

Physical Force.

Striking a security officer with enough force to knock him to the ground constitutes physical force as defined in this section. Scott v. State, 27 Ark. App. 1, 764 S.W.2d 625 (1989).

Testimony by store employees that they ran after and tackled defendant after seeing him take an item from the store without paying for it implied that some type of physical force was used against them, even if one of the employees was the person who used physical force first, and was sufficient to prove the use of physical force element. Payne v. State, 86 Ark. App. 59, 159 S.W.3d 804 (2004).

Evidence was sufficient to prove the theft element of aggravated robbery; evidence showed that defendant used physical force to at least temporarily deprive victim of her car, which was sufficient proof. Winston v. State, 368 Ark. 105, 243 S.W.3d 304 (2006).

Directed verdict was properly denied in a case involving robbery and capital murder because defendant shot the victim while he slept with the intent of taking some of his belongings. Therefore, evidence presented to the jury showed that defendant employed or threatened to immediately employ physical force upon the victim with the purpose of committing a felony or misdemeanor theft. Terry v. State, 371 Ark. 50, 263 S.W.3d 528 (2007).

Sentence.

Where there was sufficient evidence to support a conviction of robbery, but insufficient evidence to sustain a conviction of aggravated robbery, the court modified the judgment below by reducing it to the lesser included offense of robbery and imposing the minimum prison sentence prescribed by law for a conviction of robbery. Fairchild v. State, 269 Ark. 273, 600 S.W.2d 16 (1980).

Sentence of imprisonment and fine held within the range of sentences for a defendant convicted of a Class B felony who had previous felony convictions. Davis v. State, 275 Ark. 264, 630 S.W.2d 1 (1982).

Robbery in Arkansas qualifies as a crime of violence under U.S. Sentencing Guidelines Manual § 4B1.2(a)(1), and attempted robbery qualifies under application note 1 to § 4B1.2. United States v. Sawyer, 588 F.3d 548 (8th Cir. 2009).

Where defendant pled guilty to armed bank robbery and had a prior state conviction for attempted robbery, the career offender provision of U.S. Sentencing Guidelines Manual § 4B1.1 was properly applied in calculating defendant's advisory Guidelines sentencing range because robbery in Arkansas qualified as a crime of violence under U.S. Sentencing Guidelines Manual § 4B1.2(a)(1), and attempted robbery qualified under § 4B1.2, application n. 1. United States v. Sawyer, 588 F.3d 548 (8th Cir. 2009).

Sufficiency of Evidence.

Court rejected defendant's argument that the evidence was insufficient to support his conviction of felony robbery under subsection (a) of this section because the state failed to prove that he used physical force to take the victim's purse where the state presented no evidence of a struggle or fight, of more force than necessary to pull the purse from the victim's arm, or of his touching any part of the victim's body. Because the victim testified that defendant snatched her purse from her, causing pain and bruises to her hand and right arm, the jury could have inferred from this evidence that injury was done, that force was used in taking the purse, and that bodily impact occurred sufficient to meet the statutory requirement of physical force. Banks v. State, 2009 Ark. App. 633 (2009).

As the victim exited her truck, a man grabbed her by her neck, put a gun to her head, and asked for her keys; she was forced into her residence and heard a shotgun fire as the man drove away. The police spotted the truck traveling at a high rate of speed apparently in flight from the scene of the crime and defendant's fingerprint was recovered from the doors; the evidence was not sufficient to sustain defendant's conviction for aggravated robbery, theft of property, and criminal mischief because there was no way to determine when defendant touched the truck. Turner v. State, 103 Ark. App. 248, 288 S.W.3d 669 (2008), review denied, — Ark. —, — S.W.3d —, 2009 Ark. LEXIS 514 (Jan. 22, 2009).

Evidence was sufficient to support defendant's conviction for robbery in violation of this section because he beat and kicked the victim, took his cell phone and wallet, asked for additional money, threatened to shoot him, and ran away; the probable consequence of those actions was that the victim would be deprived of his property, and even though defendant asserted that his motive was only “belittlement” and physical injury, the jury could have inferred from the events in the case that the statutory intent to commit a theft was satisfied. Sims v. State, 2010 Ark. App. 133 (2010).

Appellant's convictions for aggravated robbery, aggravated residential burglary, and misdemeanor fleeing were affirmed where a witness testified that appellant pointed a sawed-off shotgun at his head, which would necessarily constitute proof that appellant was “armed with a deadly weapon”; the testimony of one eyewitness was sufficient to sustain a conviction. Riley v. State, 2011 Ark. App. 511, 385 S.W.3d 355 (2011).

There was sufficient evidence to sustain an aggravated robbery conviction under this section because there was a verbal representation in a note; there was no requirement that the threat of physical harm be made directly or indirectly, only that physical force be immediately threatened, however the threat was communicated. Walden v. State, 2012 Ark. App. 307, 419 S.W.3d 739 (2012).

There was substantial evidence to support convictions for two aggravated-robbery counts based on accomplice liability where defendant was in a car moving away from the robbery scene, he was found with roughly the same amount of money that was stolen in the robbery, and he used a false name. Moreover, one of the vehicle's passengers was wearing clothing that matched the description of the perpetrator. Davis v. State, 2013 Ark. App. 658, 430 S.W.3d 190 (2013).

Evidence was sufficient to support defendant's robbery conviction, given that he pulled up to the victim in a car and asked if he could use the victim's phone, and when the victim refused, defendant punched him in the face, took the phone, and drove away; the victim positively identified defendant, who handed the phone over to the officers, and the circuit court was free to believe the testimony of the victim and not that of defendant, who claimed he was just borrowing the phone. Muhammad v. State, 2016 Ark. App. 285, 494 S.W.3d 440 (2016).

There was sufficient evidence to support the allegations that defendant committed robbery. In addition to the fact that defendant was wearing a black long-sleeved shirt, which was what the victim testified the robber wore, the exact denominations of bills taken from a bank bag were in defendant's pocket, and the exact denominations of wrapped coins, which were identified by the victim as being wrapped in the manner she wrapped coins, were in a backpack defendant was carrying. Smith v. State, 2016 Ark. App. 421, 501 S.W.3d 836 (2016).

There was more than substantial evidence to support defendant's conviction for robbery, where several witnesses testified that defendant shoved a store employee out of the way and swung at another store employee while trying to flee with a money bag. Cartwright v. State, 2016 Ark. App. 425, 501 S.W.3d 849 (2016).

Substantial evidence supported defendant's capital murder conviction under § 5-10-101, as there was sufficient evidence that defendant committed the underlying felony of attempted robbery under § 5-3-201(a)(2) and this section; defendant approached the victim with a weapon, demanded his phone, and pointed the weapon at the victim at point-blank range. Hicks v. State, 2017 Ark. 262, 526 S.W.3d 831 (2017).

Evidence was sufficient to sustain defendant's robbery conviction where an undercover security guard testified that defendant placed a bottle of laundry detergent inside her flat purse, the purse bulged, defendant did not pay for the detergent before walking out of the store, she shoved the guard when he confronted her in the parking lot, and she fled the scene abruptly when confronted by loss-prevention officers. Horton v. State, 2017 Ark. App. 481, 530 S.W.3d 880 (2017).

Evidence was sufficient to support defendant's robbery conviction because the hotel employee positively identified defendant as the person who robbed the hotel, defendant's cell phone was placed in a triangular area near the robbery around the time of the robbery, and he was stopped by officers not far from the robbery just minutes after it had taken place. Lacefield v. State, 2018 Ark. App. 481, 559 S.W.3d 311 (2018).

Evidence was sufficient to support defendant's robbery conviction because the store employee positively identified defendant's photo as the person who robbed the store, defendant's cell phone was near the store around the time of the robbery, as well as around the time of other sightings of the “bearded bandit”. Lacefield v. State, 2018 Ark. App. 481, 559 S.W.3d 311 (2018).

Based on the circumstantial evidence introduced in a bench trial, including evidence defendant lured the victim to a park and shot him while he was keeping an eye on a man in the park and defendant was arrested a few days after the shooting next to a car with items stolen from the victim's truck, the trial court could have reasonably inferred that defendant shot the victim with the intent to take his truck and thus was guilty of aggravated robbery. Campbell v. State, 2019 Ark. App. 297, 577 S.W.3d 729 (2019).

Theft Distinguished.

Robbery was a compound or aggravated larceny (now theft); it was the stealing from a person with the element of assault, or putting in fear, superadded. Haley v. State, 49 Ark. 147, 4 S.W. 746 (1887) (decision under prior law).

Threat of Force.

There is no requirement in this section that the threat of physical harm to an individual be made directly or individually, only that physical force be immediately threatened, however that threat may be communicated. Robinson v. State, 317 Ark. 17, 875 S.W.2d 837 (1994).

Although defendant shot the victim three times as the result of an inadvertent collision with the victim as the victim attempted to run, actual physical force was not required to convict defendant of aggravated robbery. His possession of a gun and his threat to employ the gun were sufficient to support his conviction under this section and § 5-12-103. Ali v. State, 2011 Ark. App. 758 (2011).

Value.

Defendants were properly convicted of robbery even though they abandoned their attempt to rob the store and the only thing of value they obtained was of minimal value. White v. State, 226 Ark. 368, 289 S.W.2d 900 (1956) (decision under prior law).

Robbery may occur irrespective of the value of the property obtained or, indeed, whether any transfer of property takes place. Novak v. State, 287 Ark. 271, 698 S.W.2d 499 (1985).

Cited: McDonald v. State, 266 Ark. 56, 582 S.W.2d 272 (1979); Ellis v. State, 270 Ark. 243, 603 S.W.2d 891 (1980); Beed v. State, 271 Ark. 526, 609 S.W.2d 898 (1980); Brewer v. State, 271 Ark. 810, 611 S.W.2d 179 (1981); Swaite v. State, 272 Ark. 128, 612 S.W.2d 307 (1981); Sutton v. State, 1 Ark. App. 58, 613 S.W.2d 399 (1981); Harshaw v. State, 275 Ark. 481, 631 S.W.2d 300 (1982); Hill v. State, 276 Ark. 300, 634 S.W.2d 120 (1982); Knight v. State, 277 Ark. 213, 640 S.W.2d 442 (1982); Harmon v. State, 277 Ark. 265, 641 S.W.2d 21 (1982); Mitchell v. State, 281 Ark. 112, 661 S.W.2d 390 (1983); Jones v. State, 282 Ark. 56, 665 S.W.2d 876 (1984); Walters v. State, 283 Ark. 243, 675 S.W.2d 364 (1984); Hickey v. State, 14 Ark. App. 50, 684 S.W.2d 830 (1985); Collins v. Lockhart, 771 F.2d 1580 (8th Cir. 1985); Davis v. State, 284 Ark. 557, 683 S.W.2d 926 (1985); Richard v. State, 286 Ark. 410, 691 S.W.2d 872 (1985); Glisson v. State, 286 Ark. 329, 692 S.W.2d 227 (1985); Ruiz v. Lockhart, 806 F.2d 158 (8th Cir. 1986); Graham v. State, 290 Ark. 107, 717 S.W.2d 203 (1986); Robinson v. Lockhart, 823 F.2d 210 (8th Cir. 1987); Bishop v. State, 294 Ark. 303, 742 S.W.2d 911 (1988); Wilson v. State, 25 Ark. App. 126, 753 S.W.2d 287 (1988); United States v. Brittman, 687 F. Supp. 1329 (E.D. Ark. 1988); Lilly v. State, 300 Ark. 53, 776 S.W.2d 347 (1989); Remeta v. State, 300 Ark. 92, 777 S.W.2d 833 (1989); Bussard v. State, 300 Ark. 174, 778 S.W.2d 213 (1989); Wilford v. State, 300 Ark. 185, 777 S.W.2d 855 (1989); Findley v. State, 300 Ark. 265, 778 S.W.2d 624 (1989); Wainwright v. State, 302 Ark. 371, 790 S.W.2d 420 (1990); United States v. Brittman, 750 F. Supp. 388 (E.D. Ark. 1990); Pomerleau v. State, 303 Ark. 275, 795 S.W.2d 929 (1990); Hill v. State, 303 Ark. 462, 798 S.W.2d 65 (1990); Coley v. State, 304 Ark. 304, 801 S.W.2d 647 (1991); Sanders v. State, 305 Ark. 112, 805 S.W.2d 953 (1991); Bishop v. State, 310 Ark. 479, 839 S.W.2d 6 (1992); Houston v. State, 319 Ark. 498, 892 S.W.2d 274 (1995); Baldwin v. State, 48 Ark. App. 181, 892 S.W.2d 534 (1995); Boyd v. State, 54 Ark. App. 17, 922 S.W.2d 357 (1996); Releford v. State, 59 Ark. App. 136, 954 S.W.2d 295 (1997); Moore v. State, 330 Ark. 514, 954 S.W.2d 932 (1997); Isom v. State, 356 Ark. 156, 148 S.W.3d 257 (2004); McElyea v. State, 87 Ark. App. 103, 189 S.W.3d 67 (2004); Whitt v. State, 365 Ark. 580, 232 S.W.3d 459 (2006); Boldin v. State, 373 Ark. 295, 283 S.W.3d 565 (2008); Lacy v. State, 2010 Ark. 388, 377 S.W.3d 227 (2010); Ramsey v. State, 2010 Ark. App. 836, 378 S.W.3d 797 (2010); Means v. State, 2015 Ark. App. 643, 476 S.W.3d 168 (2015).

5-12-103. Aggravated robbery.

  1. A person commits aggravated robbery if he or she commits robbery as defined in § 5-12-102, and the person:
    1. Is armed with a deadly weapon;
    2. Represents by word or conduct that he or she is armed with a deadly weapon; or
    3. Inflicts or attempts to inflict death or serious physical injury upon another person.
  2. Aggravated robbery is a Class Y felony.

History. Acts 1975, No. 280, § 2102; 1979, No. 1118, § 1; 1981, No. 620, § 13; A.S.A. 1947, § 41-2102; Acts 1995, No. 1296, § 2.

Publisher's Notes. Former subsection (c) of this section was held to have been repealed by the amendment to subsection (b) by Acts 1981, No. 620 in Mayfield v. State, 293 Ark. 216, 736 S.W.2d 12 (1987), cert. denied, 485 U.S. 905, 108 S. Ct. 1076, 99 L. Ed. 2d 235 (1988).

Research References

ALR.

Dog as deadly or dangerous weapon for purposes of statutes aggravating offenses such as assault and robbery. 124 A.L.R.5th 657.

Robbery: Identification of victim as person named in indictment or information. 4 A.L.R.6th 577.

Parts of Human Body, other than Feet, as Deadly or Dangerous Weapons or Instrumentalities for Purposes of Statutes Aggravating Offenses such as Assault and Robbery. 67 A.L.R.6th 103.

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Law, 1 U. Ark. Little Rock L.J. 153.

Legislative Survey, Criminal Law, 4 U. Ark. Little Rock L.J. 583.

Case Notes

Constitutionality.

Although this section contains a mandatory minimum sentence with a provision prohibiting the suspension of execution of sentence, it is not an unconstitutional usurpation of judicial powers; the imposition of sentence is mandatory and the judge is bound to execute the sentence even where the jury recommends partial suspension. Hill v. State, 276 Ark. 300, 634 S.W.2d 120 (1982).

In General.

Section has redefined robbery so that focus of aggravated robbery has shifted from the taking of property to threat of physical harm to victim; one consequence of definition is that offense is complete when physical force is threatened and no transfer of property need take place. Birchett v. State, 294 Ark. 176, 741 S.W.2d 267 (1987).

Accomplice.

The trial court properly submitted the issue of the accomplice status of a witness to the jury where the witness' status as an accomplice was clearly disputed. Jones v. State, 15 Ark. App. 283, 695 S.W.2d 386 (1985).

Although defendant never actually possessed the gun, he was liable as an accomplice because he assisted and actively participated in the crime. Crutchfield v. State, 306 Ark. 97, 812 S.W.2d 459 (1991).

Trial court did not err in denying defendant's motion for directed verdict as there was sufficient evidence to support defendant's conviction of the underlying felony, aggravated robbery, and capital-murder, after eliminating the accomplice testimony; other corroborating evidence demonstrated that defendant had the purpose of committing theft with the use of physical force, was armed with a deadly weapon, and caused the death of the victim and, further, a doctor testified that the victim died from a gunshot wound. Gardner v. State, 364 Ark. 506, 221 S.W.3d 339 (2006).

Sufficient evidence supported defendant's convictions as an accomplice to theft of property and aggravated robbery, pursuant to this section, because defendant was present during the crime, the state established a substantial association between defendant and codefendant, and, based on those linking facts, it was reasonable for the jury to conclude that defendant assisted her codefendant by finding the victim, setting up a meeting, leading the victim to a remote location, assuring the victim would have a substantial amount of cash, moving to the backseat of the car during the robbery, and by encouraging the victim to give codefendant the cash. Ramsey v. State, 2010 Ark. App. 836, 378 S.W.3d 797 (2010).

There was sufficient evidence tending to connect defendant to an aggravated robbery and thus to corroborate accomplice testimony because surveillance video established the commission of the crime and an officer testified that defendant matched the description of a robber in the video based on his height and that the officer confirmed the truth of identifying information from a non-accomplice. Smith v. State, 2012 Ark. App. 534, 423 S.W.3d 624 (2012).

Evidence was sufficient to support convictions for aggravated robbery and capital murder because defendant's intent was inferred from the actions of his accomplice; defendant's statement to police provided direct evidence of the accomplice's intent to commit an aggravated robbery, and his account of how the accomplice murdered the victim by shooting her in the forehead was substantial evidence of causing the death of a person under circumstances manifesting extreme indifference to the value of human life. There was ample proof of defendant's participation as he accompanied others to the victim's residence, persuaded her to open the door, helped search the residence, and collected and kept his own share of the property that was stolen. Conway v. State, 2016 Ark. 7, 479 S.W.3d 1 (2016).

There was sufficient evidence that defendant was an accomplice to the crimes of aggravated robbery and capital murder as defendant admitted that he and the codefendants sat in a car planning the theft of beer from a gas station and convenience store and surveillance videos showed that defendant and a codefendant rushed into the store together, that codefendant shot the store clerk, and that defendant attempted to open the cash register, appeared to look around for something to steal, and searched the victim's pockets before fleeing. Williams v. State, 2017 Ark. 287, 528 S.W.3d 839 (2017).

In a case where defendant was convicted of two counts of aggravated robbery, there was sufficient evidence presented to corroborate the accomplice's testimony because defendant told a detective he was at the store on the date of the robbery; surveillance tapes showed defendant, co-defendant, and the accomplice in the store at the same time as the victim, leaving the store immediately after the victim, and leaving the parking lot right behind the victim; defendant's mother testified that the vehicle police were searching for in connection with the aggravated robberies belonged to defendant; and, at trial, the victim's sister identified defendant as the person who committed the aggravated robberies with co-defendant. Foster v. State, 2017 Ark. App. 63, 510 S.W.3d 782 (2017).

Because the status of the driver of the car and the juvenile who gave directions to the victim's house as accomplices was a mixed question of law and fact, the trial court properly did not instruct the jury that they were accomplices as a matter of law as agreeing to drive defendant and the accomplice to the victim's house with no questions asked did not conclusively show that the driver knew about or participated in the robbery or battery; it was the role of the jury to determine whether the juvenile had to have known that the robbery and battery were about to occur; and no testimony showed beyond dispute that either the driver or the juvenile knew of defendant's plan to rob the victim or that they encouraged him to shoot the victim. West v. State, 2017 Ark. App. 416, 530 S.W.3d 355 (2017).

Substantial evidence supported defendant's convictions as an accomplice to first-degree murder and aggravated robbery. Defendant was in the proximity of the crime; a video put defendant inside the victim's home shortly before the video tended to establish the victim had been killed; and he had the opportunity to aid in the commission of the crime in that he returned quicky to the residence after the other party entered, using his shirt to open the door, and subsequently ran from the house carrying the victim's bag. Jackson v. State, 2018 Ark. App. 330, 552 S.W.3d 55 (2018).

Evidence was sufficient to convict defendant of aggravated robbery either as a principal or as an accomplice because defendant's boyfriend told her they were going to pick up the victim and that he intended to beat him up and take anything that the victim had on him; despite knowing the boyfriend's purpose, defendant still agreed to drive him; substantial corroborating evidence connecting defendant to the crime included two interviews she gave to the police and her written statement, which were admitted at trial; and the victim's death made the offense an aggravated robbery regardless of her knowledge of whether a gun might be used. Vaughan v. State, 2018 Ark. App. 439, 555 S.W.3d 922 (2018).

Denying defendant's motion for directed verdict on the capital felony murder and aggravated robbery charges was not error where the State presented evidence that two people were involved in the crime, the vehicle used in the crime belonged to defendant's girlfriend, and a handgun that forensically matched the bullets and shell casings found at the crime scene as well as a nearly empty bottle of numerically related whiskey were found in defendant's apartment. The jury was free to conclude that defendant was the shooter or the shooter's accomplice.. Finley v. State, 2019 Ark. 336, 587 S.W.3d 223 (2019).

Evidence was insufficient to support defendant's convictions for aggravated robbery and first-degree felony murder because there was no evidence that the victim was the victim of an intended theft apart from the accomplice's testimony. The State showed only that defendant was with the accomplice and another alleged participant an hour before the victim died and that defendant was with another person in a crowd of gawkers at the location where the victim died. Clark v. State, 2019 Ark. App. 455, 588 S.W.3d 64 (2019).

Conspiracy.

Defendant committed an overt act in furtherance of a conspiracy to commit kidnapping, aggravated robbery, theft of property, and aggravated residential burglary because he took another person to his residence and showed the person the inside of the premises, discussed how to break in the residence and how to subdue his wife, and identified the property to be taken from the residence. Winkler v. State, 2012 Ark. App. 704, 425 S.W.3d 808 (2012).

Double Jeopardy.

The acquittal of a defendant on a charge of willful murder in the course of an armed robbery held to prevent a subsequent trial of the defendant on a charge of armed robbery arising from the same set of facts under the constitutional guarantees against double jeopardy. Turner v. Arkansas, 407 U.S. 366, 92 S. Ct. 2096, 32 L. Ed. 2d 798 (1972) (decision under prior law).

Neither robbery nor battery in the first degree is a continuing course of conduct so that defendant, who entered beauty shop, robbed two people and shot one of them, could be convicted of two counts of aggravated robbery and one count of battery in the first degree. Britt v. State, 261 Ark. 488, 549 S.W.2d 84 (1977).

The offenses of aggravated robbery and theft of property are separate and distinct and not dependent upon the same evidence to support the convictions; accordingly, defendant's conviction on both charges did not subject him to double jeopardy. Higgins v. State, 270 Ark. 19, 603 S.W.2d 401 (1980).

Where the first impulse setting off a course of conduct, the aggravated robbery, occurred when defendant, armed with a deadly weapon, approached victim with hand outstretched and, when victim refused to willingly turn over her purse, the second impulse, the impulse to use the weapon to overcome her resistance, was instituted, two separate offenses were committed, each commencing at a distinct point in time as the result of a separate impulse, and defendant could be convicted and sentenced for both offenses. Rowe v. State, 271 Ark. 20, 607 S.W.2d 657 (1980), cert. denied, Rowe v. Arkansas, 450 U.S. 1043, 101 S. Ct. 1764 (1981).

Where a defendant is convicted of both aggravated robbery and first degree battery, the convictions on both counts do not violate the prohibition against double jeopardy since one can commit aggravated robbery merely by committing robbery and being armed with a deadly weapon or representing that one is so armed, while to commit first-degree battery one must actually inflict serious injury. Foster v. State, 275 Ark. 427, 631 S.W.2d 7 (1982).

The elements of the statutory definitions of first-degree battery and aggravated robbery are different; therefore, convictions for both crimes are valid when obtained under those subsections. Thomas v. State, 280 Ark. 593, 660 S.W.2d 169 (1983).

Where the same proof was required for each of two counts of aggravated robbery involving the same victim, the entry of conviction on both counts was prohibited. Mitchell v. State, 281 Ark. 112, 661 S.W.2d 390 (1983).

The double jeopardy clause and subsection (a) and subdivision (b)(1) of § 5-1-110 did not preclude the defendant's convictions of both attempted first degree murder and aggravated robbery where the defendant held the first victim at gunpoint and examined her jewelry with the purpose of committing a theft, and then he shot the second victim. Kinsey v. State, 290 Ark. 4, 716 S.W.2d 188 (1986).

Aggravated robbery is not already an “enhancement provision” applied to robbery and imposed for the use of a deadly weapon, so “enhancement” under § 16-90-121 for the same use of the same deadly weapon does not subject a defendant to “double jeopardy”. Crespo v. State, 30 Ark. App. 12, 780 S.W.2d 592 (1989).

Trial court did not err in determining that consecutive sentencing for aggravated robbery, under subdivision (a)(1) of this section, first-degree terroristic threatening, § 5-13-301(a)(1)(A), and second-degree battery, § 5-13-202(a)(2), did not violate the prohibition against double jeopardy in Ark. Const. Art. 2, § 8 and the Fifth Amendment because neither first-degree terroristic threatening nor second-degree battery was a lesser-included offense of aggravated robbery since both crimes required proof of additional facts not required by aggravated robbery; the offense of first-degree terroristic threatening requires the elements of threatening to cause the death of the victim and the purpose of terrorizing the victim, and a conviction for second-degree battery requires proof of purposely causing physical injury to the victim. Walker v. State, 2012 Ark. App. 61, 389 S.W.3d 10 (2012).

Elements.

Ownership is not a necessary element of proof for aggravated robbery; the aggravated robbery is complete with the threat of physical harm and the intent to commit theft. Mitchell v. State, 281 Ark. 112, 661 S.W.2d 390 (1983); McKinzy v. State, 313 Ark. 334, 853 S.W.2d 888 (1993); Lilly v. State, 300 Ark. 53, 776 S.W.2d 347 (1989); Wilford v. State, 300 Ark. 185, 777 S.W.2d 855 (1989).

Defendant's conduct fitted statutory definition of aggravated robbery in that he was in store for the purpose of committing theft and he held a gun on the employees, thereby threatening to employ physical force; the fact that the crime was not successful is of no consequence since nothing need be taken from the victim to sustain an aggravated robbery conviction. Andrews v. State, 283 Ark. 297, 675 S.W.2d 636 (1984).

Where the defendant held the victim at gunpoint while he inspected her jewelry, the jury was justified in concluding that the defendant intended to commit theft. Kinsey v. State, 290 Ark. 4, 716 S.W.2d 188 (1986).

Whether the defendant took or exercised unauthorized control over the officer's pistol with the purpose of depriving the owner thereof was a question of fact. Graham v. State, 290 Ark. 107, 717 S.W.2d 203 (1986).

Battery in the first degree is distinguishable from aggravated robbery in that (1) the battery offense requires serious physical injury to another, while aggravated robbery does not, and (2) aggravated robbery requires the purpose of committing robbery while being armed with a deadly weapon, or the representation that one is so armed, while first-degree battery, by statutory definition, requires neither of these two elements. Consequently, defendant can be prosecuted for both offenses. Robinson v. Lockhart, 823 F.2d 210 (8th Cir. 1987).

Where the restraint exceeds that which necessarily accompanies the crime of aggravated robbery, the robber is also subject to prosecution for kidnapping. Frensley v. State, 291 Ark. 268, 724 S.W.2d 165 (1987).

Aggravated robbery is not a continuing offense. Rhodes v. State, 293 Ark. 211, 736 S.W.2d 284 (1987).

Defendant committed aggravated robbery offense when he entered trailer and announced his intent to rob victims; subsequent actions constituted a separate offense, viz., aggravated assault. Birchett v. State, 294 Ark. 176, 741 S.W.2d 267 (1987).

Aggravated robbery and aggravated assault, arising from the same incident, overlap. Bishop v. State, 294 Ark. 303, 742 S.W.2d 911 (1988), overruled in part, Matthews v. State, 2009 Ark. 321, 319 S.W.3d 266 (2009).

One can commit aggravated robbery by committing robbery and being armed with a deadly weapon, or by representing that one is armed with a deadly weapon. Lewis v. State, 299 Ark. 310, 771 S.W.2d 773 (1989).

The only reasonable inference to be drawn was that defendant intended to take property from the victim where he approached the victim and said, “This is a robbery,” appeared to have a pistol in his pocket and had it pointed at her, and when she screamed for help, he ran away. Fletcher v. State, 306 Ark. 541, 816 S.W.2d 592 (1991).

Nothing in § 5-12-102 or this section requires that the representation that the offender is armed must be made to the victim of the theft. Lowe v. State, 36 Ark. App. 85, 819 S.W.2d 23 (1991).

Robbery does not require that each victim, or even one victim, be deprived of property, but has been redefined by shifting the emphasis from the taking of property to the threat, express or implied, of physical harm to the victim. Harris v. State, 308 Ark. 150, 823 S.W.2d 860 (1992).

A person commits aggravated robbery if, with the purpose of committing a theft, he employs or threatens to immediately employ physical force upon another, and he is armed with a deadly weapon. Bishop v. State, 310 Ark. 479, 839 S.W.2d 6 (1992).

One commits aggravated robbery by threatening or using force to take property from others, even if the property did not belong to the victims, and even if the robbery attempt was unsuccessful. McDaniel v. Norris, 38 F.3d 385 (8th Cir. 1994), cert. denied, 516 U.S. 826, 116 S. Ct. 92 (1995).

Trial court did not err in admitting testimony about the victim's subsequent death a month after the robbery because the evidence of the victim's death was clearly relevant to prove death or serious physical injury as an element of the offense of aggravated robbery, subdivision (2) of this section. Medlock v. State, 79 Ark. App. 447, 89 S.W.3d 357 (2002).

Trial court's application of Smith to an aggravated robbery charge and reduction of the conviction to robbery was erroneous because the state did not have to show that the firearm had been used as a firearm, and evidence that clearly showed that defendant employed or threatened to employ physical force while he was armed with a deadly weapon was sufficient for a conviction. Carter v. State, 360 Ark. 266, 200 S.W.3d 906 (2005), vacated, Carter v. Arkansas, 126 S. Ct. 65, 163 L. Ed. 2d 32 (U.S. 2005).

Evidence was sufficient to prove the theft element of aggravated robbery; evidence showed that defendant used physical force to at least temporarily deprive victim of her car, which was sufficient proof. Winston v. State, 368 Ark. 105, 243 S.W.3d 304 (2006).

In defendant's attempted capital murder case, the state presented substantial evidence of defendant's intent to commit theft because there was the victim's testimony, in which she stated that defendant told her that he was going to rob her, there was the fact that two twenty-dollar bills and some quarters were missing from the store after the attack, and there was also defendant's own videotaped statement in which he admitted to taking money from the cash register. Goodwin v. State, 373 Ark. 53, 281 S.W.3d 258 (2008).

Defendant was not required to point a gun at each of the several victims to a home invasion robbery in order to have committed aggravated robbery against each of them in violation of subdivisions (a)(1)-(3) of this section. His holding a gun to the heads of two of the victims was sufficient to instill fear in the remaining victims. Morris v. State, 2011 Ark. App. 12 (2011).

Although defendant shot the victim three times as the result of an inadvertent collision with the victim as the victim attempted to run, actual physical force was not required to convict defendant of aggravated robbery. His possession of a gun and his threat to employ the gun were sufficient to support his conviction under § 5-12-102 and this section. Ali v. State, 2011 Ark. App. 758 (2011).

Evidence.

Evidence held sufficient to support conviction. Arnold v. State, 233 Ark. 3, 342 S.W.2d 291 (1961); Radcliff v. State, 249 Ark. 1, 457 S.W.2d 847 (1970) (preceding decisions under prior law); Warren v. State, 261 Ark. 173, 547 S.W.2d 392 (1977); Lunon v. State, 264 Ark. 188, 569 S.W.2d 663 (1978); McDonald v. State, 266 Ark. 56, 582 S.W.2d 272 (1979); Duncan v. State, 267 Ark. 41, 588 S.W.2d 432 (1979); Ellis v. State, 267 Ark. 690, 590 S.W.2d 309 (Ct. App. 1979); Jones v. State, 269 Ark. 119, 598 S.W.2d 748 (1980); Beed v. State, 271 Ark. 526, 609 S.W.2d 898 (1980); Sanders v. State, 274 Ark. 525, 626 S.W.2d 366 (1982); Treats v. State, 280 Ark. 319, 657 S.W.2d 556 (1983); Davis v. State, 284 Ark. 557, 683 S.W.2d 926 (1985); Alfay v. State, 15 Ark. App. 32, 688 S.W.2d 951 (1985); Walker v. State, 287 Ark. 76, 696 S.W.2d 500 (1985); Johnson v. State, 287 Ark. 98, 696 S.W.2d 742 (1985); Treadway v. State, 287 Ark. 441, 700 S.W.2d 364 (1985); Robinson v. State, 291 Ark. 212, 723 S.W.2d 818 (1987); Jones v. State, 292 Ark. 183, 729 S.W.2d 10 (1987); Wilkins v. State, 292 Ark. 596, 731 S.W.2d 775 (1987); Robinson v. State, 293 Ark. 243, 737 S.W.2d 153 (1987); Allen v. State, 294 Ark. 209, 742 S.W.2d 886 (1988); Long v. State, 294 Ark. 362, 742 S.W.2d 942 (1988); Williams v. State, 295 Ark. 18, 746 S.W.2d 44 (1988); Lewis v. State, 295 Ark. 499, 749 S.W.2d 672 (1988); Wilson v. State, 25 Ark. App. 126, 753 S.W.2d 287 (1988); Lilly v. State, 300 Ark. 53, 776 S.W.2d 347 (1989); Wilford v. State, 300 Ark. 185, 777 S.W.2d 855 (1989); Beebe v. State, 301 Ark. 430, 784 S.W.2d 765 (1990); Hamm v. State, 304 Ark. 214, 800 S.W.2d 711 (1990); Crutchfield v. State, 306 Ark. 97, 812 S.W.2d 459 (1991); Beard v. State, 306 Ark. 546, 816 S.W.2d 860 (1991); Harris v. State, 308 Ark. 150, 823 S.W.2d 860 (1992); Brown v. State, 309 Ark. 503, 832 S.W.2d 477 (1992); Hardrick v. State, 47 Ark. App. 105, 885 S.W.2d 910 (1994); Boyd v. State, 54 Ark. App. 17, 922 S.W.2d 357 (1996); Jones v. State, 336 Ark. 191, 984 S.W.2d 432 (1999), appeal dismissed, — Ark. —, — S.W.3d —, 2000 Ark. LEXIS 148 (Mar. 16, 2000); Box v. State, 74 Ark. App. 82, 45 S.W.3d 415 (2001), aff'd in part, reversed in part, 348 Ark. 116, 71 S.W.3d 552 (2002).

Evidence held insufficient to prove him guilty of robbery beyond a reasonable doubt. Green v. State, 265 Ark. 179, 577 S.W.2d 586 (1979).

Evidence held sufficient to find that there was an immediate threat of death or serious physical injury to the prosecuting witness. Beed v. State, 271 Ark. 526, 609 S.W.2d 898 (1980).

Evidence held sufficient to establish intent to commit a theft. Johnson v. State, 276 Ark. 56, 632 S.W.2d 416 (1982).

On appeal from convictions for two counts of aggravated robbery, pursuant to subdivision (a)(1) of this section, one count of battery, and a firearm enhancement, defendant's challenge to the sufficiency of the evidence was unsuccessful because the state presented sufficient proof of defendant's identity as one of two armed men who stole cough medicine from a pharmacy, and the state also presented sufficient evidence to establish his liability as an accomplice for all criminal acts in furtherance of that goal. Brown v. State, 2009 Ark. App. 826 (2009).

Evidence held insufficient to support conviction. Pridgett v. State, 276 Ark. 52, 631 S.W.2d 833 (1982); Nichols v. State, 280 Ark. 173, 655 S.W.2d 450 (1983); Bishop v. State, 294 Ark. 303, 742 S.W.2d 911 (1988), overruled in part, Matthews v. State, 2009 Ark. 321, 319 S.W.3d 266 (2009).

Evidence of an implied threat of physical force held sufficient to support conviction. Knight v. State, 277 Ark. 213, 640 S.W.2d 442 (1982).

In prosecution for aggravated robbery, it was prejudicial error to refuse to allow the defendant's mother and grandmother to testify during the guilt-innocence phase of the trial to the effect that under pressure the defendant “goes to pieces,” as purposeful intent is an essential element of aggravated robbery. Graham v. State, 290 Ark. 107, 717 S.W.2d 203 (1986).

Defendant's confession was not sufficiently corroborated to prove the crime of aggravated robbery. Trotter v. State, 290 Ark. 269, 719 S.W.2d 268 (1986), overruled, Smith v. State, 292 Ark. 162, 729 S.W.2d 5 (1987).

Evidence sufficient to support conviction as an accomplice. Campbell v. State, 294 Ark. 639, 746 S.W.2d 37 (1988).

The evidence was sufficient to establish that the threat of a deadly weapon was made immediately after the theft to resist apprehension or arrest, where the theft, flight, struggle, and apprehension were accomplished in a matter of minutes without any significant intervening event. Lowe v. State, 36 Ark. App. 85, 819 S.W.2d 23 (1991).

The instrumentality used to inflict fear is patently relevant to crimes of rape, kidnapping and aggravated robbery, all of which include an element of force for perpetration. Brooks v. State, 308 Ark. 660, 827 S.W.2d 119 (1992).

Knife found at crime site was relevant to corroborate the testimony of the victim concerning stabbings and no prejudice resulted to the defendant from its admission into evidence. Brooks v. State, 308 Ark. 660, 827 S.W.2d 119 (1992).

Display of a gun was sufficient threat to sustain a conviction for aggravated robbery. Robinson v. State, 317 Ark. 17, 875 S.W.2d 837 (1994).

Photo identification, followed by an eye-witness identification at trial, held sufficient. Davis v. State, 318 Ark. 212, 885 S.W.2d 292 (1994).

Even if the trial court had erred in admitting items seized in a motel room, the other evidence of defendant's guilt overwhelming supported the convictions for aggravated robbery and capital murder. Rockett v. State, 318 Ark. 831, 890 S.W.2d 235 (1994), overruled, MacKintrush v. State, 334 Ark. 390, 978 S.W.2d 293 (1998).

Although defendant was obliged to abort his robbery of a small store, the evidence of kidnapping, aggravated robbery, and attempted murder held sufficient. Durham v. State, 320 Ark. 689, 899 S.W.2d 470 (1995).

In a capital felony murder case, evidence, though circumstantial, was sufficient to support the jury's conclusion that the victim wore rings and that they were taken by the person who killed her. Martin v. State, 328 Ark. 420, 944 S.W.2d 512 (1997), overruled, State v. Bell, 329 Ark. 422, 948 S.W.2d 557 (1997).

Although codefendant gave varying statements about defendant's participation and the victim was unable to identify the defendant, the identification evidence held sufficient in view of the scientific evidence and the testimony of the codefendant. Wilson v. State, 332 Ark. 7, 962 S.W.2d 805 (1998).

Evidence was sufficient to show forcible compulsion where the defendant and his companions abducted the victim at gunpoint and subsequently coerced her to accompany him to various ATMs, to withdraw money, and to give such money to him. Williams v. State, 338 Ark. 97, 991 S.W.2d 565 (1999).

Evidence was sufficient to support a conviction for aggravated robbery where the defendant knew that his associates contemplated a robbery he admitted that he arrived at the rest stop at which the crime occurred armed and loitered for about 30 minutes, he acknowledged that he was in the bathroom in which the crime occurred at the time the victim was shot, and he covered his head, fled with the group, and was later seen with a weapon. Stewart v. State, 338 Ark. 608, 999 S.W.2d 684 (1999).

Evidence, although circumstantial, was sufficient to convict defendant of aggravated robbery because (1) defendant's fingerprint was in the home; (2) defendant matched the victim's description of being a young, light-skinned, black male without facial hair; (3) a neighbor testified that the day before the robbery there was a strange burgundy car, which defendant was driving when he was arrested, parked outside the victim's home; and (4) on the night of the robbery, another neighbor saw defendant cut through the victim's yard and disappear. Medlock v. State, 79 Ark. App. 447, 89 S.W.3d 357 (2002).

Evidence was sufficient to convict defendant of aggravated robbery and theft where the record showed that after the victim was shot, the defendant removed money from the dead man's body, helped to hide the body, hid the dead man's truck, and threw the dead man's wallet and keys away. Grillot v. State, 353 Ark. 294, 107 S.W.3d 136 (2003).

In an armed robbery and theft prosecution, testimony of the driver of the getaway car that directly linked defendant to the robbery, the corroborating testimony of a store employee that defendant took money from, and that of an officer that defendant fled from after the getaway car crashed, was sufficient to convict defendant under § 16-89-111. Parker v. State, 355 Ark. 639, 144 S.W.3d 270 (2004).

Evidence was sufficient to establish that defendant caused the victim's death under circumstances manifesting extreme indifference to the value of human life where defendant (1) admitted pointing a loaded gun at one victim in the course of a robbery, (2) fired a gun at another unarmed victim from less than three feet away, (3) repeatedly threatened to shoot all three victims throughout the ordeal, (4) used a gun to shoot the victim at close range and admitted the shooting was intentional, and (5) not only cursed the victim as he died, but threatened the other victims and locked them in a room so he could get away. Porter v. State, 358 Ark. 403, 191 S.W.3d 531 (2004).

Jury could infer that defendant shot the victim in order to steal drugs and money from the victim, based on defendant's own account of what occurred; thus, there was substantial evidence that defendant shot and killed the victim during the course of, and in furtherance of, an aggravated robbery. Harper v. State, 359 Ark. 142, 194 S.W.3d 730 (2004).

Evidence was sufficient to sustain defendant's aggravated robbery conviction where defendant admitted to being in the vehicle when the crimes occurred, the evidence showed that he was the driver, defendant waited while an accomplice fired shots at the van's driver, and defendant retrieved the bank bag. Jefferson v. State, 359 Ark. 454, 198 S.W.3d 527 (2004).

State presented sufficient evidence to prove either robbery or aggravated robbery where the victim testified that defendant and his friends came to the victim's residence and, after duct-taping his mouth and arms, forced him at gunpoint to accompany them to defendant's home where defendant then took $ 2,040 cash that the victim had on his person; further, the victim maintained at trial that defendant and his friends continually beat him from the time they kidnapped him until they returned him to his home. Carter v. State, 360 Ark. 266, 200 S.W.3d 906 (2005), vacated, Carter v. Arkansas, 126 S. Ct. 65, 163 L. Ed. 2d 32 (U.S. 2005).

Victim's eyewitness identification testimony and the officers' identification testimony based on the surveillance tape and a still photograph was sufficient to sustain convictions of aggravated robbery and theft of property; moreover, the victim's testimony that she was fearful and believed defendant was armed, based on his pointing his jacket at her and insinuating that he had a gun, supported the weapon requirement under this section. Edwards v. State, 360 Ark. 413, 201 S.W.3d 909 (2005).

Evidence was sufficient to sustain a conviction for aggravated robbery and to corroborate the accomplice's testimony where witnesses testified as to the role defendant played in the robbery and described his clothing and weapon, which were collected at the scene; further, defendant's jacket had blood stains on it and a hole corresponding to the location of a gunshot wound he received, and defendant was found hiding inside a dumpster near the site where his car became stuck in the mud. Flowers v. State, 92 Ark. App. 29, 210 S.W.3d 907 (2005).

In an aggravated robbery case, denial of a defendant's motion for directed verdict was proper where, although the victim was unsure about the identity of defendant as the second man involved in the robbery, there was substantial evidence that defendant participated in the robbery; the victim described two defendants' clothing, the differences between their ages, their being African-American, and the vehicle they fled in, which led the police to taking them into custody. Wingfield v. State, 363 Ark. 380, 214 S.W.3d 843 (2005).

Trial court did not err by denying defendant's motion for a directed verdict on his capital murder conviction because the evidence was sufficient to support defendant's conviction of the underlying felony, aggravated robbery, even after eliminating the testimony of one of defendant's accomplices. Evidence showed that: (1) defendant had the purpose of committing a theft with the use of physical force, as he and three other individuals went to a witness's house to acquire ammunition for their firearm; (2) the fourth individual testified that defendant and three men arrived at his trailer where defendant displayed a gun, and that he provided ammunition for the gun; (3) a second witness, one of the three men who accompanied defendant, testified that he heard two gunshots fired after the two other men left the victim's apartment after the struggle between defendant and the victim ensued; and (4) the chief medical examiner testified that the victim died from a gunshot wound. Gardner v. State, 362 Ark. 413, 208 S.W.3d 774 (2006).

Where defendant was convicted of aggravated robbery and capital murder for killing a grocery store owner, the trial court did not err in denying defendant's motion for a directed verdict because the jury did not have to resort to speculation and conjecture as it apparently believed testimony from defendant's four friends concerning his actions and admissions on the night the crimes were committed and the next day when he fled. Whitt v. State, 365 Ark. 580, 232 S.W.3d 459 (2006).

There was sufficient evidence to support a conviction where evidence showed that two murders were committed during a robbery, defendant made inculpatory statements regarding the robbery, the victims had a large amount of cash, and defendant made calls to their phone on the day of the shooting. Harris v. State, 366 Ark. 190, 234 S.W.3d 273 (2006).

Evidence was sufficient to sustain defendant's convictions for aggravated robbery, residential burglary, and felony theft of property because an accomplice testified that he and defendant had a purpose of committing theft when they went to the victim's apartment, defendant used physical force upon the victim, defendant was armed with a deadly weapon, and a witness testified that she observed defendant carry out a television and load it into the car. Navarro v. State, 371 Ark. 179, 264 S.W.3d 530 (2007).

Defendant's convictions for aggravated robbery and theft were proper because defendant employed physical force upon the victim, admitted to stabbing the victim, and was armed with a deadly weapon. Further, the fact that defendant pawned the victim's tools and tried to sell other stolen items established a purpose to commit theft. Young v. State, 371 Ark. 393, 266 S.W.3d 744 (2007).

Substantial evidence indicated that defendant was armed with a deadly weapon for the purpose of committing theft, and defendant was part of a plan to take the victim's money; there did not have to be an actual transfer of property to take place for the offense of aggravated robbery to be complete, and defendant and another clearly followed through with the plan, whether or not they verbally acknowledged their agreement at the time the plan was conceived. Moore v. State, 372 Ark. 579, 279 S.W.3d 69 (2008).

Denial of defendant's motion for directed verdict on capital murder and aggravated murder charges under this section and §§ 5-10-101 and 5-12-102, was proper as the evidence showed that defendant held a pistol, a deadly weapon, and that he committed theft while armed with the pistol; the evidence also showed that he caused the death of the victim in immediate flight from the aggravated robbery under circumstances manifesting extreme indifference to the value of human life. Flowers v. State, 373 Ark. 119, 282 S.W.3d 790 (2008).

Sufficient evidence supported defendant's convictions for first-degree murder under § 5-10-102(a), and aggravated robbery under subsection (a) of this section, including the testimony of several witnesses who saw defendant with the victim's car, as well as the testimony of two witnesses who saw defendant drive the car under the bridge where the victim's body was found and return without the victim in the car. Defendant told one witness that he intended to kill the victim and steal his car, and after the murder he boasted about shooting the victim and showed two witnesses the bullet he found in the victim's car; the bullet he was carrying was consistent with the suspected murder weapon, and the victim's blood was found on his clothing. Boldin v. State, 373 Ark. 295, 283 S.W.3d 565 (2008).

Substantial evidence supported the jury's verdict that defendant committed aggravated robbery in that he robbed the victim of the contents of the cigar box and inflicted serious injury; the cigar box was nearly empty when found and the slip of paper the victim kept in the box was found in defendant's property taken when he was booked. Sales v. State, 374 Ark. 222, 289 S.W.3d 423 (2008), cert. denied, Sales v. Arkansas, — U.S. —, 129 S. Ct. 2000, 173 L. Ed. 2d 1098 (2009).

Defendant's convictions for two counts of aggravated robbery were proper under § 5-12-102(a) and subsection (a) of this section because a neighbor verified that one of the intruders had a gun; the victim told officers that the intruders hid their guns in the closet, where two guns were found; and both intruders were charged in the same instrument, implicating accomplice liability. That provided substantial evidence to support the finding that the intruders at minimum represented by word or conduct that they were armed as a threat in order to commit the theft. Hinton v. State, 2010 Ark. App. 341 (2010).

While there was no testimony that anyone saw defendant at the scene or with a gun, evidence was sufficient to convict defendant of aggravated robbery, under this section, and first-degree murder, under § 5-10-102(a)(1), as it showed defendant had access to a gun, the car defendant was driving that night was at the scene, and the victim's condition suggested a robbery. Bates v. State, 2010 Ark. App. 417 (2010).

Defendant's aggravated robbery conviction pursuant to this section was proper because a car theft victim's testimony that the victim got out of the victim's car when defendant indicated that defendant had a gun was sufficient to substantiate the conviction. Sartin v. State, 2010 Ark. App. 494 (2010).

Evidence was sufficient to support the jury's finding that defendant committed aggravated robbery where defendant was armed with a knife, used it to threaten to kill the victim, and then stole money from her and a medical clinic. Sweet v. State, 2011 Ark. 20, 370 S.W.3d 510 (2011).

Defendant's convictions for aggravated residential burglary in violation of § 5-39-204(a) and aggravated robbery in violation of subsection (a) of this section were appropriate because the state provided sufficient evidence to corroborate his accomplices' testimony; even eliminating the accomplice testimony, the remaining evidence presented independently established the crimes and tended to connect defendant with their commission. In part, witnesses testified about defendant being with the accomplices on the day of the crimes and the state also presented a witness's testimony that defendant had sold him the three shotguns that were identified as being the ones stolen from the victim. Tucker v. State, 2011 Ark. 144, 381 S.W.3d 1 (2011).

Evidence that defendant demanded money from a store employee while brandishing a firearm supported his conviction for aggravated robbery. Lambert v. State, 2011 Ark. App. 258 (2011).

Defendant's conviction for capital-felony murder under § 5-10-101(a)(1) and subdivision (a)(3) of this section was appropriate because the evidence was sufficient. The last number dialed on the victim's cellular phone was to a phone registered to defendant and a fellow prisoner testified that defendant confessed to selling drugs to the victim, robbing and shooting him, and then leaving him on the road. Dixon v. State, 2011 Ark. 450, 385 S.W.3d 164 (2011).

Defendant's convictions for first-degree murder and aggravated robbery, in violation of §§ 5-10-102(a) and 5-3-201 and subsection (a) of this section, were supported by sufficient evidence, as the evidence showed that defendant was armed with a deadly weapon for the purpose of committing the theft of a cab driver, that defendant threatened the driver, and that the driver was shot in the struggle over the gun. Garr v. State, 2011 Ark. App. 509 (2011).

Appellant's convictions for aggravated robbery, aggravated residential burglary, and misdemeanor fleeing were affirmed where a witness testified that appellant pointed a sawed-off shotgun at his head, which would necessarily constitute proof that appellant was “armed with a deadly weapon”; the testimony of one eyewitness was sufficient to sustain a conviction. Riley v. State, 2011 Ark. App. 511, 385 S.W.3d 355 (2011).

Evidence was sufficient to sustain defendant's aggravated robbery conviction because he brandished a weapon, which was a communicated threat, and it was done while defendant was essentially asking if the victim had anything of value. The fact that defendant did not actually take anything else from the victim while in possession of the firearm was not fatal to his conviction. Butler v. State, 2011 Ark. App. 708 (2011).

Evidence was sufficient to sustain defendant's convictions for capital murder and aggravated robbery because defendant drove his accomplice to the victim's house, defendant admitted to hitting the victim over the head, and the evidence illustrated he wanted to harm the victim because he did it again after he stated that the victim was not fazed. Additionally, the victim's wallet was taken from the house. Laswell v. State, 2012 Ark. 201, 404 S.W.3d 818 (2012).

There was sufficient evidence to sustain an aggravated robbery conviction under this section because there was a verbal representation in a note; there was no requirement that the threat of physical harm be made directly or indirectly, only that physical force be immediately threatened, however the threat was communicated. Walden v. State, 2012 Ark. App. 307, 419 S.W.3d 739 (2012).

Trial court did not err in denying defendant's motion for a directed verdict on an aggravated robbery charge, in violation of subdivisions (a)(1) and (2) of this section, because substantial evidence supported the conviction; according to defendant's own statement to the police, defendant participated in the planning of the robbery by driving accomplices around town in order to case possible bank targets. Nickelson v. State, 2012 Ark. App. 363, 417 S.W.3d 214 (2012), appeal dismissed, 2013 Ark. 252 (2013).

Evidence was sufficient to sustain convictions for capital murder and aggravated robbery because a witness's testimony corroborated that defendant was an accomplice to the aggravated robbery, defendant knew there was a large amount of marijuana at the home, a gun was used during the robbery, and the victim's death occurred during the robbery under circumstances manifesting extreme indifference to the value of human life. Bradley v. State, 2013 Ark. 58, 426 S.W.3d 363 (2013).

Evidence was sufficient to sustain convictions for aggravated robbery and aggravated residential burglary because the victim testified that when defendant came into her house, he told her to give him her money and that he was going to kill her. Defendant had a paper bag over his right hand and his right hand was pointing directly at her stomach; she believed that there was a gun in the paper bag. Dobbins v. State, 2013 Ark. App. 269 (2013).

There was substantial evidence to support convictions for two aggravated-robbery counts based on accomplice liability where defendant was in a car moving away from the robbery scene, he was found with roughly the same amount of money that was stolen in the robbery, and he used a false name. Moreover, one of the vehicle's passengers was wearing clothing that matched the description of the perpetrator. Davis v. State, 2013 Ark. App. 658, 430 S.W.3d 190 (2013).

Evidence was sufficient to find defendant guilty of aggravated robbery and theft of property because, while the store's employees identified another person in the first photographic spread, they both identified him in a second spread and in court, the jury had before it witness testimony, a videotape, and photographs showing that defendant brought a backpack into the store, left it there, he possessed and used a gun, and his DNA was on a mouthwash bottle found in the backpack. Turner v. State, 2014 Ark. 415, 443 S.W.3d 535 (2014).

Evidence was sufficient to support defendant's aggravated-robbery conviction under subdivision (a)(3) of this section where although it was illegal for the victim to possess the marijuana, it clearly had value, was subject to possession, and thus, fell within the definition of property and property of another person as set forth in § 5-36-101. Gould v. State, 2014 Ark. App. 543, 444 S.W.3d 408 (2014).

Evidence was sufficient to support defendant's convictions for aggravated robbery and theft of property because the State introduced crucial evidence through a witness that defendant confessed to committing the robbery and to using a .40-caliber pistol to do so; in addition to that direct evidence, the State introduced ample circumstantial evidence that tied defendant to the crime. Chatmon v. State, 2015 Ark. 28, 467 S.W.3d 731 (2015).

Trial court did not err in denying defendant's motion for a directed verdict on the aggravated-robbery offense as the State presented evidence that the victim suffered serious physical injury; as a result of the attack, the victim had little control over his right side, suffered partial memory loss, was confined to a wheelchair, and would require constant care for the rest of his life. Britt v. State, 2015 Ark. App. 456, 468 S.W.3d 285 (2015).

Evidence was sufficient for aggravated robbery, first-degree battery, and theft of property under $1,000 convictions since defendant's arguments all presented questions of fact and involved the credibility and weight of the evidence, which were matters for the jury to decide; the jury heard all of the evidence, and defense counsel was permitted to cross-examine the witnesses to point out the very weaknesses that defendant complained of on appeal. As to Facebook conversations, the appellate court was able to consider both properly and improperly admitted evidence on a sufficiency of the evidence review. Means v. State, 2015 Ark. App. 643, 476 S.W.3d 168 (2015).

Evidence was sufficient in relation to a carjacking to convict defendant of aggravated robbery and theft, and to enhance the sentence due to the use of a firearm during the robbery, because the victim testified that defendant approached the victim as she was about to get in her car and told her to move out of the way; when she did not immediately move away, defendant lifted his shirt, displaying the handle of a gun protruding from his pants; the victim thought defendant was going to pull out the gun, so she stepped back, and he entered her car and drove it away; the victim picked out defendant almost immediately from a photographic lineup; and the victim's unequivocal testimony identified defendant as the culprit. Davis v. State, 2016 Ark. App. 274, 493 S.W.3d 339 (2016).

Substantial evidence supported a guilty verdict for aggravated robbery and theft of property where a bank teller positively identified defendant as the robber, and he stated to the police that he had visited three banks, wore a mask, had a fake gun, and a teller at one bank threw money at him. Boyd v. State, 2016 Ark. App. 407, 500 S.W.3d 772 (2016).

Evidence was sufficient to convict defendant of aggravated robbery and first-degree battery because defendant, armed with a deadly weapon, along with the accomplice, forced his way into the victim's home and demanded marijuana, shot the victim when he did not produce marijuana, and stole a pair of the victim's shoes and a box of shotgun shells; the jury could conclude that a backpack and a cell phone belonged to defendant, or at least were used by him, and connected him with the shooting; and substantial evidence supported a determination that the juvenile was not an accomplice, that his testimony tended to connect defendant to the robbery and battery, and that his testimony independently established the commission of those crimes. West v. State, 2017 Ark. App. 416, 530 S.W.3d 355 (2017).

Substantial evidence supported the jury's finding that, while armed with a deadly weapon, defendant committed a robbery and committed aggravated robbery because according to defendant's detailed confession, he entered a bank with a handgun and demanded money; a teller testified that defendant pointed the gun at her and that she gave him a bag of money, and although she could not identify the masked robber, defendant identified himself as the perpetrator in his statement to the police. Hamilton v. State, 2017 Ark. App. 447, 526 S.W.3d 859 (2017).

Evidence was sufficient to convict defendant of aggravated robbery because the victim testified that she saw a gun in defendant's waistband and that defendant's hand was on the gun when he told her it was a robbery; the victim testified that she was scared, threw her hands in the air, and then gave money to defendant; and her fear was further manifested by her terrified demeanor on the phone with the 911 dispatcher and her trembling and tearful reaction when shown defendant's photo in a photo lineup of suspects; by telling the victim it was a robbery and holding his hand on a gun, defendant communicated a threat of imminent harm to the victim, and whether defendant verbally conveyed that he was going to harm the victim was irrelevant. Rockins v. State, 2018 Ark. App. 19, 541 S.W.3d 457 (2018).

Evidence was sufficient to support defendant's aggravated robbery conviction because the restaurant employee positively identified defendant, by his eyes, as the person that robbed the restaurant while wearing a mask and pointing a handgun at her, the next day a locksmith found a ski mask and gloves inside his dumpster that had not been there before, and DNA on the gloves matched defendant. Lacefield v. State, 2018 Ark. App. 481, 559 S.W.3d 311 (2018).

Evidence was sufficient to support defendant's aggravated-robbery conviction; the victim testified that defendant pointed a gun at him and threatened to kill him, and while defendant claimed that he did not have a gun, only a flashlight, and that he did not threaten to kill anyone, the jury chose to believe the victim. Davidson v. State, 2018 Ark. App. 632, 566 S.W.3d 151 (2018).

While the State's case against defendant for capital felony murder/aggravated robbery was premised on circumstantial evidence, testimony clearly corroborated an accomplice's testimony against defendant and the evidence was sufficient to support the jury's verdict even without the accomplice testimony; testimony from multiple witnesses demonstrated that three masked men entered a gas station convenience store, the man in red demanded money from the owner, shot him in the neck, and then turned his gun on an employee, shooting him in the face. Lawshea v. State, 2019 Ark. 68, 567 S.W.3d 853 (2019).

Where cross-examination of the victim at trial revealed that the State's exhibit of text messages between the defendant and victim was incomplete and that the victim had deleted some of the messages, the appellate court did not have to decide whether the circuit court erred in failing to strike the exhibit because any error that existed was harmless given the overwhelming evidence of defendant's guilt that remained. Farmer v. State, 2019 Ark. App. 148, 571 S.W.3d 78 (2019).

Substantial evidence supported an aggravated robbery conviction under an accomplice liability theory where a victim's testimony showed that defendant and an accomplice stole money from the victim, were armed with a deadly weapon, and inflicted death upon another victim. Price v. State, 2019 Ark. 323, 588 S.W.3d 1 (2019).

Harmless Errror.

Although the search warrant was invalid with respect to the cigarettes, failure to suppress the cigarettes constituted harmless error. Excluding the cigarettes, the jury nevertheless had overwhelming evidence of defendant's commercial burglary and aggravated robbery offenses; in part, defendant was identified from surveillance video and a search of his vehicle revealed ammunition of the type used by the gun in the robberies, as well as a bandana that contained his DNA. Jemison v. State, 2019 Ark. App. 475, 588 S.W.3d 359 (2019).

Indictment or Information.

Court did not err in refusing to grant the defendant's motion for a directed verdict on the original allegation of aggravated robbery with a deadly weapon, and then permitting the state to amend the information to include the additional words of the statute that the defendant represented by word or conduct that he was so armed, in order to conform to the proof that the weapon used was in fact a BB pistol. Jones v. State, 275 Ark. 12, 627 S.W.2d 6 (1982).

Instructions.

Requested instruction that conviction in this state would not prevent defendant from being tried in another state for criminal acts performed within that state was properly refused. Thomas v. State, 262 Ark. 79, 553 S.W.2d 32 (1977).

Instruction that the minimum sentence for aggravated robbery was 10 years imprisonment and not 6 years was correct. Mayfield v. State, 293 Ark. 216, 736 S.W.2d 12 (Ark. 1987).

Where jury was entitled to believe defendant's assertion that she did not know her boyfriend was carrying a gun, while disbelieving her claim that she did not assist in the commission of the robbery, the trial court erred in refusing to give an instruction on robbery in defendant's trial for aggravated robbery. Waggle v. State, 50 Ark. App. 198, 901 S.W.2d 862 (1995).

In defendant's trial for aggravated robbery, once the trial court had admonished the jury during the state's closing argument, since defendant made no further objections, did not seek a further admonition, or request a mistrial, his failure to apprise the trial court of his belief that the admonition was inadequate precluded him from raising such an argument on appeal. McClain v. State, 361 Ark. 133, 205 S.W.3d 123 (2005).

Intent.

In determining whether the defendant committed aggravated robbery, it is of no consequence that the defendant was teaching the victim a lesson or that he did not keep the victim's property for himself. Smith v. State, 65 Ark. App. 216, 986 S.W.2d 738 (1999).

Judicial Review.

In determining the sufficiency of the evidence to show aggravated robbery, the Supreme Court only looks to see if, viewed in the light most favorable to the state, there was substantial evidence to support the charge. Beed v. State, 271 Ark. 526, 609 S.W.2d 898 (1980).

Where defendant was convicted of both attempted capital murder, ostensibly the more serious crime, which was a Class A felony, and aggravated robbery, a Class Y felony, the trial court properly set aside the attempted capital murder conviction based on the classification of the crime, rather than whether it was a lesser included offense. Beard v. State, 306 Ark. 546, 816 S.W.2d 860 (1991).

Jurisdiction.

Where force was initiated in this state, extension of criminal activity into another state did not deprive courts in this state of jurisdiction to try armed robbery charge. Thomas v. State, 262 Ark. 79, 553 S.W.2d 32 (1977).

Lesser Included Offense.

Court erred in failing to give instruction on lesser included offense of robbery. Hamilton v. State, 262 Ark. 366, 556 S.W.2d 884 (1977); Savannah v. State, 7 Ark. App. 161, 645 S.W.2d 694 (1983).

In a prosecution for capital murder, in proving the specified felony of aggravated robbery, there must be proof of the same or less than all the elements required to establish the commission of the capital offense and the specified felony is thus an included offense which falls within the double conviction prohibition of § 5-1-110, and the double jeopardy prohibition of the fifth amendment of the United States Constitution. Swaite v. State, 272 Ark. 128, 612 S.W.2d 307 (1981).

Aggravated robbery is a lesser included offense of attempted capital murder. Rowe v. State, 275 Ark. 37, 627 S.W.2d 16 (1982), superseded by statute as stated in, Van Jenkins v. State, 2017 Ark. 288, 529 S.W.3d 236 (2017).

Robbery is a lesser included offense of aggravated robbery. Hill v. State, 276 Ark. 300, 634 S.W.2d 120 (1982); Lovelace v. State, 276 Ark. 463, 637 S.W.2d 548 (1982).

Theft is not a lesser offense included within the definition of aggravated robbery. Hill v. State, 276 Ark. 300, 634 S.W.2d 120 (1982).

Court did not err in refusing to instruct on the lesser included offense of robbery. Hill v. State, 276 Ark. 300, 634 S.W.2d 120 (1982); Lovelace v. State, 276 Ark. 463, 637 S.W.2d 548 (1982); Smith v. State, 277 Ark. 403, 642 S.W.2d 299 (1982); Walters v. State, 283 Ark. 243, 675 S.W.2d 364 (1984); Young v. State, 283 Ark. 435, 678 S.W.2d 329 (1984).

Where the prosecution of defendant for first-degree murder and aggravated robbery arose from the same incident, his convictions for both aggravated robbery and first-degree murder violated the prohibition against double jeopardy and sentence for aggravated robbery would be set aside. Brewer v. State, 277 Ark. 40, 639 S.W.2d 54 (1982).

Where the defendant was convicted and sentenced for both aggravated robbery and attempt to commit first-degree murder, but the evidence showed that the aggravated robbery was the underlying felony to the charge of attempted murder, the trial court did not have the authority to impose sentences for both offenses; therefore, the conviction and sentence for the less serious offense, the attempted first-degree murder, would be set aside. Wilson v. State, 277 Ark. 219, 640 S.W.2d 440 (1982).

Where the facts of the case required proof of the aggravated robbery, the underlying felony, in the course of proving battery in the first degree which was alleged to have been committed during the course of a felony, the greater offense was actually included in the lesser offense and, where defendant was convicted for both offenses, the conviction and sentence for the lesser offense of battery must be set aside. Akins v. State, 278 Ark. 180, 644 S.W.2d 273 (1983).

Where it was necessary to prove the elements of aggravated robbery and kidnapping to prove the elements of attempted capital murder, the conviction and sentence imposed for aggravated robbery and kidnapping were set aside and the conviction and sentence for attempted capital murder were not disturbed. Hill v. State, 278 Ark. 194, 644 S.W.2d 282 (1983).

Where the defendant committed a first-degree battery during the course of an aggravated robbery, the battery was a lesser included offense of the robbery; thus, where the defendant had been convicted and sentenced for both offenses, the conviction and sentence for first-degree battery would be set aside. Robinson v. State, 279 Ark. 61, 648 S.W.2d 446 (1983).

Where the defendant's convictions for aggravated robbery and first-degree battery grew out of a single act, and the proof required to prove the aggravated robbery necessarily included proof of the first-degree battery, the defendant's conviction and sentence for the lesser offense, the battery, had to be set aside. Sanders v. State, 279 Ark. 32, 648 S.W.2d 451 (1983).

Since the offense of possession of a firearm requires proof that the person possessing the firearm has been convicted of a felony and that fact is not an element in the proof of aggravated robbery, the lesser offense is not included in aggravated robbery. Allen v. State, 281 Ark. 1, 660 S.W.2d 922 (1983), cert. denied, 472 U.S. 1019, 105 S. Ct. 3482, 87 L. Ed. 2d 617 (1985).

Theft, conspiracy to commit theft, conspiracy to commit aggravated robbery, and conspiracy to commit robbery are not lesser included offenses within the definition of aggravated robbery. Savannah v. State, 7 Ark. App. 161, 645 S.W.2d 694 (1983).

If the evidence showed that defendant aided or advised another in planning or committing a robbery but that the other person committed the greater inclusive offense of aggravated robbery, defendant's liability would be limited to the lesser included offense of robbery. Savannah v. State, 7 Ark. App. 161, 645 S.W.2d 694 (1983).

Even though robbery is a lesser included offense of aggravated robbery, the trial judge was obligated to give the lesser instruction only if there was a rational basis for acquitting defendant of aggravated robbery and convicting him of the lesser offense of robbery. Savannah v. State, 7 Ark. App. 161, 645 S.W.2d 694 (1983).

Where the defendant was illegally sentenced by the trial court for both attempted capital murder and the lesser included offense of aggravated robbery, the Arkansas Supreme Court did not err in setting aside his conviction and 10-year sentence for aggravated robbery, but leaving intact his conviction and 30-year sentence for attempted capital murder, since the court was not precluded from imposing sentence under the more stringent provision. Rowe v. Lockhart, 736 F.2d 457 (8th Cir. 1984).

The crime of theft is not a lesser included offense of aggravated robbery; thus, the defendant can be sentenced for both of these offenses without violating § 5-1-110, regarding multiple punishments, or the double jeopardy clause of the Fifth Amendment to the U.S. Constitution. Collins v. Lockhart, 771 F.2d 1580 (8th Cir. 1985).

Aggravated robbery is not a lesser included offense of burglary, as aggravated robbery requires some type of serious force or threat of force used with the purpose of committing a theft, none of which is required to commit burglary, and burglary requires only that the defendant enters or remains unlawfully in an occupiable structure with the purpose of committing any offense punishable by imprisonment. Kinsey v. State, 290 Ark. 4, 716 S.W.2d 188 (1986).

First degree battery is a lesser included offense of aggravated robbery. Carter v. Flintrol, Inc., 19 Ark. App. 317, 720 S.W.2d 337 (1986), superseded by statute as stated in, Service Chevrolet v. Atwood, 61 Ark. App. 190, 966 S.W.2d 909 (1998).

Aggravated robbery is not a lesser included offense of attempted capital murder under § 5-10-101(a)(2) (now subdivision (a)(3)). Where aggravated robbery was not the underlying felony of the defendant's attempted capital murder charge, conviction should not be set aside since the attempted capital murder charge was pursuant to § 5-10-101(a)(2) (now subdivision (a)(3)) and not § 5-10-101(a)(1). Rhodes v. State, 293 Ark. 211, 736 S.W.2d 284 (1987).

Theft and aggravated robbery are separate offenses for which a defendant may be convicted even though they arise out of one incident. Rolark v. State, 299 Ark. 299, 772 S.W.2d 588 (1989).

Where the prosecution charged attempted robbery rather than aggravated robbery as the underlying offense to a capital murder charge and defendant was convicted of aggravated robbery, the defendant's conviction must be reduced to simple robbery — the crime which the state used to support the capital murder charge. Mullins v. State, 303 Ark. 695, 799 S.W.2d 550 (1990).

Where there was no proof presented that defendant did not have a weapon during the aggravated robbery, it was not error for the trial court to refuse to instruct on the lesser included offenses of robbery and aggravated assault. Tarkington v. State, 313 Ark. 399, 855 S.W.2d 306 (1993).

In defendant's capital murder and aggravated robbery case, the court did not err by failing to instruct the jury on the lesser included offense of robbery where there was no rational basis for such instruction; defendant pushed into the home, demanded money, and pulled out a pair of broken scissors to enforce his demand, and he later murdered the victim and inflicted serious physical harm on another victim. Isom v. State, 356 Ark. 156, 148 S.W.3d 257 (2004), cert. denied, Isom v. Arkansas, 543 U.S. 865, 125 S. Ct. 204 (2004).

Prohibition against double jeopardy was not violated when defendant was convicted of first-degree battery and aggravated robbery because the elements of the offenses were not the same, and aggravated battery was not a lesser included offense of aggravated robbery. Clark v. State, 373 Ark. 161, 282 S.W.3d 801 (2008).

First-degree battery is not a lesser included offense of aggravated robbery as it is not established by proof of the same or less than all of the elements required to prove aggravated robbery. First-degree battery requires proof of the use of a firearm, whereas aggravated robbery does not; aggravated robbery requires proof of a robbery, whereas first-degree battery does not. Clark v. State, 373 Ark. 161, 282 S.W.3d 801 (2008).

Trial court did not err in refusing to instruct the jury on aggravated assault during defendant's trial for aggravated robbery because aggravated assault, in violation of § 5-13-204(a)(1) and (2), was not a lesser-included offense of aggravated robbery pursuant to § 5-1-110(b)(1) as the two offenses required different elements of proof; aggravated assault required proof of circumstances manifesting extreme indifference to the value of human life, whereas aggravated robbery did not require such proof. Matthews v. State, 2009 Ark. 321, 319 S.W.3d 266 (2009).

In an aggravated robbery case, where there was no rational basis for a trial judge to instruct the jury on ordinary robbery, there was no error in the trial judge's failure to do so. Sweet v. State, 2011 Ark. 20, 370 S.W.3d 510 (2011).

Trial court did not err in failing to give a jury an instruction on simple robbery, which was a lesser-included offense of aggravated robbery, in violation of subdivisions (a)(1) and (2) of this section, because defendant essentially argued that defendant did not commit any offense at all; hence, there was no rational basis for the giving of a lesser-included offense instruction. Nickelson v. State, 2012 Ark. App. 363, 417 S.W.3d 214 (2012), appeal dismissed, 2013 Ark. 252 (2013).

Counsel complied with Ark. Sup. Ct. & Ct. App. R. 4-3(k), and appellant's appeal from his aggravated robbery conviction and sentence lacked merit because (1) the sufficiency of the evidence was not preserved for appellate review as counsel's motion for directed verdict failed to state with specificity the deficiency in the state's evidence, in contravention of Ark. R. Crim. P. 33.1; (2) there was no merit to appellant's chain-of-custody argument to the items found in his car pursuant to a search warrant as there was no evidence of tampering presented, and there was testimony that the items were logged into evidence and remained in the evidence room until the trial; (3) it was undisputed that an armed robbery took place under subdivision (a)(1) of this section , so it was not an error to refuse to give an instruction on the lesser-included offense of robbery under § 5-12-102(a); and (4) appellant could not raise an ineffective assistance of counsel claim or challenge the qualifications of jurors for the first time on appeal. Mace v. State, 2012 Ark. App. 420, 421 S.W.3d 335 (2012).

Jury instruction on the lesser-included offense of attempted aggravated robbery was not warranted because there was no evidence of the offense of attempt under § 5-3-201(a)(2); when appellant stormed out of a retail store's stockroom brandishing a gun and pointing it employees, he actually completed the offense of aggravated robbery. Thomas v. State, 2012 Ark. App. 466, 422 S.W.3d 217 (2012).

Ownership.

Evidence was sufficient to support defendant's conviction of aggravated robbery under § 5-36-102 where defendant pointed a pistol at the victim and demanded that the victim repay a two dollar debt because the intent to collect a debt at gunpoint did not negate the necessary intent to steal under subdivision (a)(1) of this section. Because defendant could not trace his ownership to the specific bills in the victim's possession, the victim, and not defendant, was the owner of the money in his possession, and it was theft to take it from him. Heard v. State, 2009 Ark. 546, 354 S.W.3d 49 (2009).

Representation of Deadly Weapon.

Defendant's hand under his shirt, even with the admitted intention of conveying to the victim that he was armed, was not sufficient representation to satisfy the requirements of aggravated robbery in the absence of the victim's awareness that defendant was armed. Fairchild v. State, 269 Ark. 273, 600 S.W.2d 16 (1980).

Although the defendant was charged in the information with aggravated robbery by the actual use of a deadly weapon, it was not error for the trial court to submit to the jury an instruction which allowed them to convict the defendant upon proof that he merely represented that he was so armed. Richard v. State, 286 Ark. 410, 691 S.W.2d 872 (1985).

Where a defendant verbally represents that he is armed with a deadly weapon this is sufficient to convict for aggravated robbery regardless of whether in fact he did have such a weapon. Where no verbal representation is made and only conduct is in evidence, the focus is on what the victim perceived concerning a deadly weapon. Clemmons v. State, 303 Ark. 354, 796 S.W.2d 583 (1990).

Although defendant did not say he had a gun, his statement that he would “shoot” store clerk if she did not give him the money was a verbal representation that he was armed with a deadly weapon and satisfied the requirements of this section. Coley v. State, 304 Ark. 304, 801 S.W.2d 647 (1991).

Defendant's use of a pair of scissors and his representation to victim that he had a gun were sufficient to sustain his conviction for aggravated robbery. Johnson v. State, 326 Ark. 3, 929 S.W.2d 707 (1996).

Testimony from a victim and a witness in a mall parking lot purse snatching that defendant verbally represented that he had a gun and would shoot was sufficient to convict defendant for aggravated robbery under subsection (a) of this section regardless of whether he did in fact have a weapon. Nelson v. State, 2010 Ark. App. 69 (2010).

Defendant's conviction for aggravated robbery, in violation of subdivision (a)(2) of this section, was supported by the evidence because, based on the victim's testimony, the jury could have inferred that the victim believed defendant was showing a second victim some sort of weapon during the bank robbery. Feuget v. State, 2012 Ark. App. 182, 394 S.W.3d 310 (2012).

Sentence.

Where the jury convicted both defendants of aggravated robbery and recommended that each be sentenced to three years, the trial judge did not violate the defendants' rights against double jeopardy by sentencing each defendant to five years' imprisonment with two years suspended. Caldwell v. State, 268 Ark. 713, 595 S.W.2d 253 (Ct. App. 1980).

Where there was sufficient evidence to support a conviction of robbery, but insufficient evidence to sustain a conviction of aggravated robbery, the court modified the judgment below by reducing it to the lesser included offense of robbery and imposing the minimum prison sentence prescribed by law for a conviction of robbery. Fairchild v. State, 269 Ark. 273, 600 S.W.2d 16 (1980).

The relative difference in the severity of sentences given to codefendants in an aggravated robbery trial did not entitle the defendant who received the most severe sentence to a new trial. Sanders v. State, 274 Ark. 525, 626 S.W.2d 366 (1982).

Where the defendant's sentence was within the lawful maximum for that offense and was unaffected by any demonstrated error in the trial, the Supreme Court had no authority to modify the sentence. Lear v. State, 278 Ark. 70, 643 S.W.2d 550 (1982).

Sentence held to be within the legal maximum set by the legislature. Andrews v. State, 283 Ark. 297, 675 S.W.2d 636 (1984).

Sentence properly reduced to range prescribed for second-degree murder. Wilkins v. State, 292 Ark. 596, 731 S.W.2d 775 (1987).

Due to the amendment of subsection (b) of this section by Acts 1981, No. 620 and the repealing language contained in § 18 of that act, subsection (c) has been repealed. Mayfield v. State, 293 Ark. 216, 736 S.W.2d 12 (Ark. 1987).

Sentence was correctly enhanced. Allen v. State, 294 Ark. 209, 742 S.W.2d 886 (1988).

Defendant who was convicted of aggravated robbery and as an habitual offender was properly sentenced to 40 years imprisonment under § 5-4-501(b)(1) since aggravated robbery is a Class Y felony and former subsection (c) of this section, which contained enhancement provisions, was repealed by Acts 1981, No. 620. Tippitt v. State, 294 Ark. 342, 742 S.W.2d 931 (1988).

Where merger of two aggravated robberies was not required under § 5-1-110(d)(1), and where defendant waived a sentencing hearing, thereby giving the trial court sole sentencing authority under § 5-4-103(b)(4), the trial court had the authority to order defendant's sentences to run consecutively under § 5-4-403(a). Walker v. State, 353 Ark. 12, 110 S.W.3d 752 (2003).

Upon conviction for aggravated robbery and misdemeanor theft of property, defendant's enhanced sentence as a habitual offender with two prior felony convictions was affirmed as there was no conflict between § 5-4-104(a) and § 16-90-120(a) and (b); § 5-4-104(a) refers only to the initial sentence and § 16-90-120(a) and (b) refer only to a sentence enhancement that could be added to the initial sentence. Williams v. State, 364 Ark. 203, 217 S.W.3d 817 (2005).

Denial of writ of habeas corpus was proper, because life imprisonment for aggravated robbery was within the statutory range, irrespective of any enhancement as a habitual offender, and a sentence that was within the prescribed range was not illegal. Goins v. Norris, 2012 Ark. 192 (2012).

In an aggravated robbery case, a trial court did not abuse its discretion by admitting evidence at sentencing of appellant's participation in a prior robbery; it was of no consequence that appellant had not yet been convicted in the robbery at issue. As to relevance, the fact that appellant was an active participant in two robberies, just days apart and committed in nearly the same fashion, was relevant character evidence and was evidence of aggravated circumstances showing his propensity to engage in similar criminal conduct. Thomas v. State, 2012 Ark. App. 466, 422 S.W.3d 217 (2012).

Trial court did not err in denying defendant's petition for writ of habeas corpus because the face of the order simply gave no indication that defendant was in any way sentenced for attempted capital murder, defendant's life sentence for aggravated robbery was a permitted sentence at the time of the offense and was neither cruel nor unusual, and defendant cited to no authority for his proposition that an information must contain the relevant sentencing range to be sought or that the failure to include such a range resulted in the State's waiver of that sentence. Philyaw v. Kelley, 2015 Ark. 465, 477 S.W.3d 503 (2015) (decision under prior law).

Statements.

Although defendant unequivocally invoked his right to remain silent, a detective never ceased questioning him, and defendant could not have waived the earlier invocation of his right. Due to the trial court's prejudicial error in admitting defendant's statement, his convictions for aggravated robbery and firearm enhancement were reversed. Coleman v. State, 2017 Ark. 218 (2017).

Trial Proceedings.

The defense motion for a mistrial because the trial judge, in identifying the lawyers for the jury panel, mentioned that the defense attorney was from the Public Defender's Office was properly denied, and the failure to admonish the jury to disregard the reference was not improper where counsel did not request such an admonition. Vaughn v. State, 289 Ark. 31, 709 S.W.2d 73 (1986).

Where the fact that the defendant had been in the penitentiary was relevant, because the plan for the robbery was conceived by inmates who were in the penitentiary and a key witness for the state identified the defendant as the man called “Chief” whom he had known in the penitentiary, the prosecutor was entitled to refer to it in his opening statement. Ricarte v. State, 290 Ark. 100, 717 S.W.2d 488 (1986).

A request for a reduction from aggravated robbery to simple robbery does not imply a request for a directed verdict for aggravated robbery. Robinson v. State, 317 Ark. 17, 875 S.W.2d 837 (1994).

In defendant's trial for aggravated robbery, his argument, that the trial court erred in allowing a sergeant to testify that cigarettes found in defendant's vehicle during his arrest were those stolen from the liquor store, was not preserved for review because it was only after the last question that defendant's counsel objected, arguing that the sergeant was not qualified to tell the jury what the numbers on the cigarette pack signified; defendant should have objected at the first opportunity to that line of questioning. McClain v. State, 361 Ark. 133, 205 S.W.3d 123 (2005).

Circuit court properly convicted defendant of aggravated robbery where defendant's directed-verdict motions were not specific regarding which elements were not met by the State's evidence nor did they specify the elements of aggravated robbery; defendant simply argued that none of the elements were met. Avery v. State, 2019 Ark. App. 405, 585 S.W.3d 742 (2019).

Cited: McGee v. State, 262 Ark. 473, 557 S.W.2d 885 (1977); Halfacre v. State, 265 Ark. 378, 578 S.W.2d 237 (1979); Jarrett v. State, 265 Ark. 662, 580 S.W.2d 460 (1979); McCroskey v. State, 266 Ark. 806, 586 S.W.2d 1 (Ct. App. 1979); Wright v. State, 267 Ark. 264, 590 S.W.2d 15 (1979); State v. Bocksnick, 268 Ark. 74, 593 S.W.2d 176 (1980); Barnum v. State, 268 Ark. 141, 594 S.W.2d 229 (1980); Scroggins v. State, 268 Ark. 261, 595 S.W.2d 219 (1980); Smith v. State, 268 Ark. 282, 595 S.W.2d 671 (1980); Cromwell v. State, 269 Ark. 104, 598 S.W.2d 733 (1980); Plummer v. State, 270 Ark. 11, 603 S.W.2d 402 (1980); Brewer v. State, 271 Ark. 254, 608 S.W.2d 363 (1980); Brewer v. State, 271 Ark. 810, 611 S.W.2d 179 (1981); Wilson v. State, 272 Ark. 361, 614 S.W.2d 663 (1981); Thorne v. State, 274 Ark. 102, 622 S.W.2d 178 (1981); Lockett v. State, 275 Ark. 338, 629 S.W.2d 302 (1982); Brown v. State, 276 Ark. 20, 631 S.W.2d 829 (1982); Freeman v. State, 6 Ark. App. 240, 640 S.W.2d 456 (1982); Brown v. State, 278 Ark. 604, 648 S.W.2d 67 (1983); Pickens v. State, 279 Ark. 457, 652 S.W.2d 626 (Ark. 1983); Moore v. State, 280 Ark. 222, 656 S.W.2d 698 (1983); Whitfield v. State, 8 Ark. App. 329, 652 S.W.2d 42 (1983); Bell v. Lockhart, 741 F.2d 1105 (8th Cir. 1984); Smith v. State, 286 Ark. 247, 691 S.W.2d 154 (1985); Jones v. State, 15 Ark. App. 283, 692 S.W.2d 775 (1985); Forgy v. State, 16 Ark. App. 76, 697 S.W.2d 126 (1985); Leggins v. Lockhart, 649 F. Supp. 894 (E.D. Ark. 1986); Stickley v. State, 294 Ark. 44, 740 S.W.2d 616 (Ark. 1987); Robinson v. State, 295 Ark. 693, 751 S.W.2d 335 (1988); Noel v. State, 28 Ark. App. 158, 771 S.W.2d 325 (1989); Jones v. State, 301 Ark. 530, 785 S.W.2d 218 (1990); Johnson v. State, 307 Ark. 525, 823 S.W.2d 440 (1992); Mask v. State, 314 Ark. 25, 869 S.W.2d 1 (1993); Goins v. State, 319 Ark. 689, 890 S.W.2d 602 (1995); Garrison v. State, 319 Ark. 617, 893 S.W.2d 763 (1995); Reams v. State, 322 Ark. 336, 909 S.W.2d 324 (1995); Booker v. State, 324 Ark. 468, 922 S.W.2d 337 (1996); Butler v. State, 324 Ark. 476, 922 S.W.2d 685 (1996); Carroll v. State, 326 Ark. 602, 932 S.W.2d 339 (1996); Mays v. State, 57 Ark. App. 282, 944 S.W.2d 562 (1997); Releford v. State, 59 Ark. App. 136, 954 S.W.2d 295 (1997); Moore v. State, 330 Ark. 514, 954 S.W.2d 932 (1997); Marshall v. State, 68 Ark. App. 223, 5 S.W.3d 496 (1999); Smith v. State, 351 Ark. 468, 95 S.W.3d 801 (2003); Hoover v. State, 353 Ark. 424, 108 S.W.3d 618 (2003); Isom v. State, 356 Ark. 156, 148 S.W.3d 257 (2004).

Chapter 13 Assault and Battery

Research References

ALR.

Constitutionality of assault and battery laws limited to protection of females only or which provide greater penalties for males than for females. 5 A.L.R.4th 708.

Dog as deadly or dangerous weapon for purposes of statutes aggravating offenses such as assault and robbery. 7 A.L.R.4th 607.

Cane as deadly or dangerous weapon for purpose of statutes aggravating offenses such as assault and robbery. 8 A.L.R.4th 842.

Single act affecting multiple victims as constituting multiple assaults or homicides. 8 A.L.R.4th 960.

Human body parts other than feet as deadly or dangerous weapons for purposes of statutes aggravating offenses such as assault and robbery. 8 A.L.R.4th 1268.

Kicking as assault or assault with a deadly weapon. 19 A.L.R.5th 823.

Am. Jur. 6 Am. Jur. 2d, Asslt. & B., § 1 et seq.

C.J.S. 6A C.J.S., Asslt. & B., § 1 et seq.

Subchapter 1 — General Provisions

[Reserved]

Subchapter 2 — Offenses Generally

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Cross References. Enhanced penalties for offenses committed in the presence of a child, § 5-4-701 et seq.

Fines, § 5-4-201.

Hazing, § 6-5-201 et seq.

Term of imprisonment, § 5-4-401.

Testing defendants for human immunodeficiency virus, § 16-82-102.

Unlawful to install or maintain booby traps, § 5-73-126.

Effective Dates. Acts 2019, No. 582, § 2: Mar. 29, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that employees employed by, or who are working under a professional services contract with, the Department of Correction, the Department of Community Correction, or the Division of Youth Services of the Department of Human Services are some of the most vulnerable of all state employees given their close proximity to persons already convicted of a felony offense; that violence against these employees should not be tolerated; and that this act is immediately necessary because protecting correctional employees from violence in the workplace is a priority of the state. Therefore, an emergency is declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto”.

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

Research References

ALR.

Criminal liability for injury or death caused by operation of pleasure boat. 8 A.L.R.4th 886.

Criminal responsibility, generally. 9 A.L.R.4th 526.

Admissibility of expert or opinion testimony on battered wife or battered woman syndrome. 18 A.L.R.4th 1153.

Ark. L. Rev.

The Constitutionality of Affirmative Defenses to Criminal Charges, 29 Ark. L. Rev. 430.

1976 Criminal Code — General Principals, 30 Ark. L. Rev. 111.

The Impact of the 1976 Criminal Code on the Law of Accessorial Liability in Arkansas, 31 Ark. L. Rev. 100.

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Law, 1 U. Ark. Little Rock L.J. 153.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

Survey of Arkansas Law: Evidence, 6 U. Ark. Little Rock L.J. 149.

Notes, Constitutional Law — The Domestic Abuse Act of 1989 — An Impermissible Expansion of Chancery Jurisdiction. Bates v. Bates, 303 Ark. 89, 793 S.W.2d 788 (1990), 13 U. Ark. Little Rock L.J. 537.

5-13-201. Battery in the first degree.

  1. A person commits battery in the first degree if:
    1. With the purpose of causing serious physical injury to another person, the person causes serious physical injury to any person by means of a deadly weapon;
    2. With the purpose of seriously and permanently disfiguring another person or of destroying, amputating, or permanently disabling a member or organ of that other person's body, the person causes such an injury to any person;
    3. The person causes serious physical injury to another person under circumstances manifesting extreme indifference to the value of human life;
    4. Acting alone or with one (1) or more other persons:
      1. The person commits or attempts to commit a felony; and
      2. In the course of and in furtherance of the felony or in immediate flight from the felony:
        1. The person or an accomplice causes serious physical injury to any person under circumstances manifesting extreme indifference to the value of human life; or
        2. Another person who is resisting the felony or flight causes serious physical injury to any person;
    5. With the purpose of causing serious physical injury to an unborn child or to a woman who is pregnant with an unborn child, the person causes serious physical injury to the unborn child;
    6. The person knowingly causes physical injury to a pregnant woman in the commission of a felony or a Class A misdemeanor, and in so doing, causes serious physical injury to the pregnant woman's unborn child, and the unborn child is subsequently born alive;
    7. The person knowingly, without legal justification, causes serious physical injury to a person he or she knows to be sixty (60) years of age or older or twelve (12) years of age or younger;
    8. With the purpose of causing physical injury to another person, the person causes physical injury to any person by means of a firearm; or
    9. The person knowingly causes serious physical injury to any person four (4) years of age or younger under circumstances manifesting extreme indifference to the value of human life.
  2. It is an affirmative defense in any prosecution under subdivision (a)(4) of this section in which the defendant was not the only participant that the defendant:
    1. Did not commit the battery or in any way solicit, command, induce, procure, counsel, or aid the battery's commission;
    2. Was not armed with a deadly weapon;
    3. Reasonably believed that no other participant was armed with a deadly weapon; and
    4. Reasonably believed that no other participant intended to engage in conduct that could result in serious physical injury.
    1. Except as provided in subdivisions (c)(2) and (3) of this section, battery in the first degree is a Class B felony.
    2. Battery in the first degree is a Class Y felony under the circumstances described in subdivision (a)(2) or subdivision (a)(9) of this section.
    3. Battery in the first degree is a Class Y felony if the injured person is a law enforcement officer or an employee of a correctional facility, and is acting in the line of duty.
  3. As used in this section, “employee of a correctional facility” means a person who is employed by or working under a professional services contract with the Division of Correction or the Division of Community Correction.

History. Acts 1975, No. 280, § 1601; A.S.A. 1947, § 41-1601; Acts 1987, No. 482, § 1; 1995, No. 360, § 1; 1995, No. 1305, § 1; 2005, No. 1994, § 474; 2007, No. 622, § 1; 2007, No. 709, § 2; 2007, No. 827, § 26; 2019, No. 498, § 1; 2019, No. 582, § 1.

A.C.R.C. Notes. Acts 2007, No. 709, § 1, provided: “This act shall be known and may be cited as ‘Corporal Scott Baxter's Law’.”

Amendments. The 2019 amendment by No. 498 inserted “sixty (60) years of age or older or” in (a)(7); and inserted “(a)(2) or subdivision” in (c)(2).

The 2019 amendment by No. 582 inserted “or an employee of a correctional facility and is” in (c)(3); and added (d).

Research References

ALR.

Dog as deadly or dangerous weapon for purposes of statutes aggravating offenses such as assault and robbery. 124 A.L.R.5th 657.

Parts of Human Body, other than Feet, as Deadly or Dangerous Weapons or Instrumentalities for Purposes of Statutes Aggravating Offenses such as Assault and Robbery. 67 A.L.R.6th 103.

Ark. L. Rev.

Case Note, Criminal Liability for Attempting to Inflict the AIDS Virus: Possibilities in Arkansas' Future, 45 Ark. L. Rev. 505.

U. Ark. Little Rock L.J.

Survey — Criminal Law, 10 U. Ark. Little Rock L.J. 559.

Case Notes

Constitutionality.

This section is not unconstitutionally vague or defective. Martin v. State, 261 Ark. 80, 547 S.W.2d 81 (1977).

In General.

To sustain a conviction for first degree battery, there must be a severe injury in connection with a wanton or purposeful culpable mental state. Henderson v. State, 291 Ark. 138, 722 S.W.2d 842 (1987), cert. denied, Henderson v. Clinton, 493 U.S. 896, 110 S. Ct. 247 (1989).

Accomplice.

Because the status of the driver of the car and the juvenile who gave directions to the victim's house as accomplices was a mixed question of law and fact, the trial court properly did not instruct the jury that they were accomplices as a matter of law as agreeing to drive defendant and the accomplice to the victim's house with no questions asked did not conclusively show that the driver knew about or participated in the robbery or battery; it was the role of the jury to determine whether the juvenile had to have known that the robbery and battery were about to occur; and no testimony showed beyond dispute that either the driver or the juvenile knew of defendant's plan to rob the victim or that they encouraged him to shoot the victim. West v. State, 2017 Ark. App. 416, 530 S.W.3d 355 (2017).

Burden of Proof.

By the statutory definition of the offense of battery in the first degree under subdivision (a)(4), the State must prove the defendant committed a felony and, in the course of committing that felony, caused serious injury to another person; consequently, proof of the first-degree battery, by statutory definition, must include proof of the underlying felony when the charge is for violating that particular subsection. Thomas v. State, 280 Ark. 593, 660 S.W.2d 169 (1983).

Civil Actions.

Where the defendant's attorney asked the prosecuting witness about a $1,000,000 civil suit which the prosecuting witness had filed against the defendant arising from the alleged battery, and the attorney implied by one of his questions that, had the defendant paid the prosecuting witness $18,000, the criminal charges would have been dismissed, the trial court was in error in granting a mistrial. If the cross-examination had been allowed, the jury would have been informed that the prosecuting witness may have been biased due to a financial interest; on the other hand, the jury may have thought that the civil complaint and damages sought were well-founded and that the evidence supported the prosecuting witness's testimony. Wilson v. State, 289 Ark. 141, 712 S.W.2d 654 (1986).

Culpable Mental State.

The phrase “under circumstances manifesting extreme indifference to the value of human life” indicates that attendant circumstances must be such as to demonstrate the culpable mental state of the accused and such language provides sufficient notice of the type of conduct proscribed. Martin v. State, 261 Ark. 80, 547 S.W.2d 81 (1977).

An element of first degree battery is the intent to inflict serious physical injury. Golden v. State, 265 Ark. 99, 576 S.W.2d 955 (1979).

To sustain a conviction of first-degree battery, life endangering conduct must generally be involved; there must be a severe injury in conjunction with a wanton or purposeful culpable mental state; and each subsection of this section describes conduct that would produce murder liability if death resulted. Bolden v. State, 267 Ark. 504, 593 S.W.2d 156 (1980).

The words “under circumstances manifesting extreme indifference to the value of human life” are defined in the nature of a culpable mental state and therefore are akin to “intent” for the proof of which evidence of other offenses is admissible under § 16-41-101, Rule 404(b). State v. Vowell, 276 Ark. 258, 634 S.W.2d 118 (1982).

While subdivision (a)(3) of this section does not contain or specify the culpable mental state required for its violation, § 5-2-203(b) provides that if the statute defining an offense does not prescribe a culpable mental state, culpability is nonetheless required, and is established only if a person acts purposely, knowingly, or recklessly; thus, the Criminal Code recognizes three distinct culpable mental states under this section to sustain a conviction for first-degree battery. Coleman v. State, 12 Ark. App. 214, 671 S.W.2d 221 (1984).

Where defendant was convicted of battery in the first degree for hitting sleeping victim in the head three times with a baseball bat it made little difference that defendant did not take the bat with him to victim's house as he could have formed the requisite intent after he arrived at the house, and purpose to commit a crime can be formed in an instant. Tarentino v. State, 302 Ark. 55, 786 S.W.2d 584 (1990).

First-degree battery involves actions which create at least some risk of death and which, therefore, evidence a mental state on the part of the accused to engage in some life-threatening activity against the victim. Tigue v. State, 319 Ark. 147, 889 S.W.2d 760 (1994).

There was substantial evidence that defendant acted with the purpose to cause serious physical injury to the victim under circumstances manifesting extreme indifference to the value of human life where he kicked the victim in the head repeatedly after the victim was down. Harmon v. State, 340 Ark. 18, 8 S.W.3d 472 (2000).

Evidence was sufficient to establish that the defendant acted with the requisite mental state for battery in the first degree where there was testimony that the defendant came at the victim's head like a field-goal kicker approaches a football, and that he was the last one to leave the scene and did so only after delivering several more kicks at the victim's head. Harmon v. State, 340 Ark. 18, 8 S.W.3d 472 (2000).

Evidence was sufficient to establish that the defendant acted under circumstances manifesting extreme indifference to the value of human life where the defendant, along with five or six other assailants, kicked the victim in the face and head multiple times while the victim was on the ground. Harmon v. State, 340 Ark. 18, 8 S.W.3d 472 (2000).

Defendant was not career offender because his conviction for first-degree battery was not crime of violence under force clause of career offender guideline as crime could be violated by reckless driving, and his conviction was also not crime of violence under residual clause of guideline as statute of conviction was not similar in kind or degree of risk to enumerated crimes. United States v. Boose, 739 F.3d 1185 (8th Cir. 2014).

Evidence was sufficient to sustain the jury's finding that defendant acted knowingly and with extreme indifference to the value of human life where defendant was alone with the baby for approximately two hours, the baby developed a deformed head by the time the mother arrived home, defendant packed a bag and insisted on driving his own vehicle to the hospital, and defendant initially claimed that nothing had happened and then offered two improbable explanations for how the baby's skull had been fractured. Suchey v. State, 2016 Ark. App. 225, 490 S.W.3d 320 (2016).

Defendant's motion for directed verdict on the charge of first-degree battery against a law enforcement officer was properly denied as the evidence was sufficient to support the jury's finding that defendant caused serious physical injury to the police chief under circumstances manifesting extreme indifference to the value of human life. Defendant told law enforcement that he was armed with two firearms, that he wanted to go out in a battle, and that he would come to law enforcement if law enforcement did not come to his apartment; he intentionally fired a round as he came out of his apartment to encounter law enforcement personnel; and the police chief was subsequently struck with a bullet from one of defendant's firearms. Rongey v. State, 2018 Ark. App. 617, 566 S.W.3d 161 (2018).

Substantial evidence supported defendant's first-degree battery conviction under subdivision (a)(3) of this section arising out of a motor vehicle collision where he had pled guilty to DWI, thereby admitting that he possessed the requisite intent; further, the presence of three different drugs in defendant's system (although there was no quantitative analysis) and the testimony showing that he drove at a high rate of speed, swerved in and out of traffic, crossed the center line, and struck the victim's vehicle head on without any indication of an attempt to apply his brakes demonstrated an extreme indifference to the value of human life at the time of the wreck. Turner v. State, 2019 Ark. App. 476, 588 S.W.3d 375 (2019).

Deadly Weapon.

A gun is a deadly weapon, even if it has faulty ammunition that could not inflict serious injury. Mitchell v. State, 290 Ark. 87, 717 S.W.2d 195 (1986).

Because the definition of first degree battery contains the use of a “deadly weapon” as an element of the offense, a court would err in allowing enhancement for such a conviction. Johnson v. State, 26 Ark. App. 286, 764 S.W.2d 621 (1989).

Defense or Justification.

Where a conductor, assaulted by a passenger, used force to repel such assault, the burden was on the railroad company to show that the conductor used no more force than appeared to him, as a reasonable man, necessary to repel the assault. Saint Louis S.W. Ry. v. Berger, 64 Ark. 613, 44 S.W. 809 (1898) (decision under prior law).

The defendant had to be free from all carelessness in reaching the conclusion that his own safety demanded the action he took against the plaintiff. Downey v. Duff, 106 Ark. 4, 152 S.W. 1010 (1912) (decision under prior law).

Court did not err in instructing jury that no one was allowed to exercise right of self defense, if he willingly entered into a fight, where defendant did not request clarification, and made no specific objection to the instruction. Hadaway v. State, 215 Ark. 658, 222 S.W.2d 799 (1949) (decision under prior law).

Substantial evidence negated defendant's claim of self-defense under § 5-2-607(a)(2) in his trial for first degree battery under this section because there was no evidence that the victim was armed when defendant shot him and, although defendant testified that the victim attacked him earlier in the day, there was no evidence of an injury to defendant and defendant testified that he was not afraid of the victim; although defendant testified at trial that he was afraid that the victim was going to attack him at the time that he shot him, defendant never made a similar claim in his statement to the police after the incident. Metcalf v. State, 2011 Ark. App. 55 (2011).

Elements.

There was no violation of defendant's rights under § 5-1-110(a)(4) because when comparing the elements of the two offenses it was evident that the conduct of committing a terroristic act under § 5-13-310 was not a specific instance of conduct constituting first-degree battery under this section. Warren v. State, 103 Ark. App. 124, 286 S.W.3d 768 (2008).

Plain language of this section does not require the State to additionally prove that an offender knew or should have known that his or her victim was a law enforcement officer acting in the line of duty. Because the jury found beyond a reasonable doubt that defendant, with the purpose of causing physical injury to another person, caused physical injury to the victim by means of a firearm and that the victim was a law enforcement officer acting in the line of duty, defendant was guilty of a Class Y felony. Boose v. State, 2017 Ark. App. 302 (2017).

Circuit court did not err in allowing the amendment of the battery charge from subdivision (a)(8) of this section to subdivision (a)(4) of this section as the amendment did not change the nature of the charge, just the manner in which the battery took place, and defendant offered no argument of prejudice. Davis v. State, 2017 Ark. App. 496, 532 S.W.3d 589 (2017).

Evidence.

Evidence held sufficient to support conviction. Henry v. State, 125 Ark. 237, 188 S.W. 539 (1916); Hadaway v. State, 215 Ark. 658, 222 S.W.2d 799 (1949); Dickson v. State, 230 Ark. 491, 323 S.W.2d 432 (1959); Williams v. State, 257 Ark. 8, 513 S.W.2d 793 (1974) (preceding decisions under prior law); Henderson v. State, 291 Ark. 138, 722 S.W.2d 842 (1987), cert. denied, Henderson v. Clinton, 493 U.S. 896, 110 S. Ct. 247 (1989); Henderson v. State, 291 Ark. 138, 722 S.W.2d 842 (1987), cert. denied, Henderson v. Clinton, 493 U.S. 896, 110 S. Ct. 247 (1989); Parkman v. State, 294 Ark. 339, 742 S.W.2d 927 (1988); Pharo v. State, 30 Ark. App. 94, 783 S.W.2d 64 (1990); Bangs v. State, 338 Ark. 515, 998 S.W.2d 738 (1999).

Evidence held insufficient to support conviction. Bolden v. State, 267 Ark. 504, 593 S.W.2d 156 (1980).

Evidence held sufficient to establish the elements of “purpose” and “serious physical injury” under subdivision (a)(1). Cook v. State, 2 Ark. App. 278, 621 S.W.2d 224 (1981).

Evidence held sufficient to support the jury's finding that the defendant caused serious physical injury to another person under circumstances manifesting extreme indifference to the value of human life. Nolen v. State, 278 Ark. 17, 643 S.W.2d 257 (1982).

Evidence held sufficient to convict mother of battery in the first degree under subdivision (a)(3) of this section for her abuse of a newborn infant, and for permitting abuse of a child under § 5-27-221. Reams v. State, 45 Ark. App. 7, 870 S.W.2d 404 (1994).

Where the victim, a child, was bathed by defendant and received second-degree burns, the physicians at the hospital determined that the child had sustained an intentionally-inflicted immersion injury in which she was forcibly held in position while immersed in scalding water, and the child still bore scars from the incident two years later, there was substantial evidence to show that the victim sustained a serious physical injury as required by § 5-1-102(19), and defendant's conviction for first degree battery under subdivision (a)(6) was proper. Britt v. State, 83 Ark. App. 117, 118 S.W.3d 140 (2003).

Victim's testimony was sufficient in and of itself to sustain defendant's convictions for aggravated robbery and battery in the first degree because the victim was cross-examined at length by defense counsel regarding the inconsistencies in his testimony but remained adamant that defendant was the person who had come into his house and told him to “break yourself”; in addition, the victim also identified defendant in a photo lineup and identified him again at trial. Mosley v. State, 87 Ark. App. 127, 189 S.W.3d 456 (2004).

In an assault case arising from shaking a baby under subdivision (a)(4)(A) of this section, testimony of defendant's actions toward the same infant two weeks earlier was admissible under Ark. R. Evid. 404(b) and 403 because it was offered to show state of mind and to negate the claim of accident. Smith v. State, 90 Ark. App. 261, 205 S.W.3d 173 (2005).

Defendant's convictions were supported by substantial evidence where it was shown that (1) shortly after the incident, defendant had a blood-alcohol level of .23 percent, (2) defendant was driving the car that hit two women and narrowly missed a third, (3) just before the impact, defendant was witnessed to speed up and actually swerve the vehicle toward the women's path, and (4) defendant drove away after the impact. Estacuy v. State, 94 Ark. App. 183, 228 S.W.3d 567 (2006).

Evidence was sufficient to sustain a conviction for first degree battery because defendant drove a fully loaded commercial vehicle weighing over 82,000 pounds while under the influence of methamphetamine, and the entire vehicle, with the exception of the right rear axle, crossed into the oncoming-traffic lane, striking a motor home, and ultimately driving through it. Defendant never attempted to brake prior to the accident or to return to the proper lane of traffic. Hoyle v. State, 371 Ark. 495, 268 S.W.3d 313 (2007), rehearing denied, — Ark. —, — S.W.3d —, 2008 Ark. LEXIS 12 (Jan. 10, 2008).

Evidence was sufficient to support a conviction for first-degree battery under subdivision (a)(8) of this section where defendant purposely fired three times at an occupied truck on a highway; a passenger was struck and seriously injured. There was a presumption that defendant intended the natural and probable consequences of his actions. Spight v. State, 101 Ark. App. 400, 278 S.W.3d 599 (2008).

Evidence that included defendant's firing a shot in the direction of a victim's truck, testimony of two individuals that on separate occasions defendant told them he had shot a man, and defendant's evading the responding police was sufficient to convict defendant of first-degree battery in violation of subdivision (a)(3) of this section. Warren v. State, 103 Ark. App. 124, 286 S.W.3d 768 (2008).

When defendant's infant son was taken to the emergency room, the treating physician found that his broken femur was indicative of child abuse; the infant had fourteen broken rib bones in various stages of healing, and defendant admitted that he would squeeze his son when he got mad. Defendant was convicted of three counts of battery in the second degree in violation of § 5-26-304 and one count of battery in the first degree under subdivision (a)(7) of this section; whether defendant committed serious physical injury under circumstances manifesting extreme indifference to the value of human life was not an issue in the case, because he was not charged under subdivision (a)(3) of this section. Davis v. State, 2009 Ark. App. 573 (2009).

Sufficient evidence supported the conclusion that a defendant intended to cause serious physical harm to a victim: a witness testified that the witness gave defendant a gun, other witnesses testified that defendant shot the victim with that gun, the victim was shot in the arm and hip, which required surgery, and the victim continued to suffer with pain and impairment as a result of the injuries. Hawkins v. State, 2009 Ark. App. 675 (2009).

Where the state's three witnesses testified that defendant threatened to kill the victim during an argument over money, the state proved by a preponderance of the evidence that defendant committed second-degree terroristic threatening under this section. The trial court was free to reject defendant's testimony that he never threatened the victim and was not a violent person; the trial court did not err by revoking his suspended sentence. Whitney v. State, 2009 Ark. App. 726 (2009).

Defendant's conviction of first-degree battery based upon defendant's participation as an accomplice was proper because there was sufficient evidence, including certain statements made by defendant, in addition to accomplice testimony, to support the conviction; defendant's own statement showed that when defendant left a store where a codefendant bought camouflage ski masks defendant knew, at a minimum, that the codefendant was carrying a gun and planning to harm an individual. Porter v. State, 2010 Ark. App. 657, 379 S.W.3d 528 (2010).

Substantial evidence supported defendant's conviction for first-degree battery pursuant to subdivision (a)(3) of this section because the evidence supported the jury's finding that defendant caused serious physical injury to the victim, who was the boyfriend of defendant's daughter, under circumstances manifesting extreme indifference to the value of human life; defendant shot a gun through a door when he knew the victim was directly on the other side of it, and both the victim and the daughter told an investigator that they thought defendant intended to kill the victim and would have done so if the daughter had not called 911. Reed v. State, 2011 Ark. App. 352, 383 S.W.3d 881 (2011).

Defendant, while in a drunken rage, intentionally shot an unarmed person who was 15 feet away and trying to help calm him; the evidence was sufficient for the jury to conclude that defendant intended to shoot the victim and cause her harm, rather than to defend himself. Stocker v. State, 2012 Ark. App. 624 (2012).

Evidence was sufficient for aggravated robbery, first-degree battery, and theft of property under $1,000 convictions since defendant's arguments all presented questions of fact and involved the credibility and weight of the evidence, which were matters for the jury to decide; the jury heard all of the evidence, and defense counsel was permitted to cross-examine the witnesses to point out the very weaknesses that defendant complained of on appeal. As to Facebook conversations, the appellate court was able to consider both properly and improperly admitted evidence on a sufficiency of the evidence review. Means v. State, 2015 Ark. App. 643, 476 S.W.3d 168 (2015).

Evidence was sufficient to convict defendant of unlawful discharge of a firearm from a motor vehicle and battery as the victim suffered a serious physical injury. The victim testified that he received three gunshot wounds, was hospitalized, lost a kidney, and suffered further infections as a result of the wound; and the victim's injury caused protracted impairment of his health as the victim testified about the complications that resulted in infection and required him to return to the hospital, receive antibiotics, and have drainage tubes placed in his body. Johnson v. State, 2017 Ark. App. 71, 510 S.W.3d 298 (2017).

Evidence was sufficient to convict defendant of aggravated robbery and first-degree battery because defendant, armed with a deadly weapon, along with the accomplice, forced his way into the victim's home and demanded marijuana, shot the victim when he did not produce marijuana, and stole a pair of the victim's shoes and a box of shotgun shells; the jury could conclude that a backpack and a cell phone belonged to defendant, or at least were used by him, and connected him with the shooting; and substantial evidence supported a determination that the juvenile was not an accomplice, that his testimony tended to connect defendant to the robbery and battery, and that his testimony independently established the commission of those crimes. West v. State, 2017 Ark. App. 416, 530 S.W.3d 355 (2017).

Evidence was sufficient to convict defendant of first-degree battery as the finding that defendant fired the shots with the purpose of causing physical injury to someone was supported by substantial evidence; the testimony established that defendant entered the office, verbally threatened to kill the victims, fired his weapon repeatedly, shot his employer in the head, chased at least one of the victims out of the office while shooting at him, and was standing in the parking lot still armed with the gun when the officers arrived. Martinez v. State, 2018 Ark. App. 187, 545 S.W.3d 264 (2018).

In a circumstantial evidence case, defendant's conviction for first-degree battery related to an infant's injuries had to be reversed because the State failed to exclude every other reasonable hypothesis; on the evidence, it was just as reasonable to conclude that the infant's mother was the perpetrator since defendant and the mother both had access to the infant. Snow v. State, 2018 Ark. App. 612, 568 S.W.3d 290 (2018).

Evidence was sufficient to convict defendant of first-degree battery under subdivision (a)(3) of this section because he kicked the first officer twice in the face; the first officer sustained serious physical injuries as defendant broke his sinus bone and orbital bone, requiring surgery and a titanium plate to be permanently placed in his face; and the first officer continued to have double vision and numbness in his upper lip as a result. Benton v. State, 2020 Ark. App. 223 (2020).

Federal Law.

Defendant's prior conviction of first-degree battery under subdivision (a)(8) of this section was a violent felony under the force clause of the Armed Career Criminal Act, 18 U.S.C. § 924(e)(2)(B)(i); defendant was charged with purposefully causing physical injury to a person with a firearm. United States v. Eason, 907 F.3d 554 (8th Cir. 2018).

Firearm.

The clear intent of § 5-13-201(a)(7) is to criminalize and treat as battery in the first-degree any physical injury caused by use of a firearm as a firearm because of the inherent potentially deadly character of the discharge of a firearm, and the subdivision is not intended to include an injury such as clubbing; the plain and ordinary meaning of “by means of a firearm” is that the firearm be used as a firearm. Smith v. State, 352 Ark. 92, 98 S.W.3d 433 (2003).

Information.

State's amendment of an information did not violate § 16-85-407 because the amendment did not constitute a severance of offenses under Ark. R. Crim. P. 22.1(c), and the evidence would have been introduced in any case as part of the events leading up to the shooting whether it was included in the charging instrument or not; the only offense charged in the case was first-degree battery under subdivision (a)(3) of this rule, and the amendment did not change the nature or degree of the crime but merely clarified the manner in which the offense was committed. Reed v. State, 2011 Ark. App. 352, 383 S.W.3d 881 (2011).

Instructions.

The offense of first-degree battery was properly submitted to the jury on instruction since the jury could reasonably find that shooting a person in the mouth creates a substantial risk of death; court's refusal to submit the lesser included offense of third-degree battery, even if error, was cured by the jury's choice of first-degree rather than second-degree battery, which was also submitted. Jones v. State, 282 Ark. 56, 665 S.W.2d 876 (1984).

Where the medical examiner presented a detailed analysis of the injuries sustained by the victims and asserted that they constituted “serious physical injury,” one of the elements of battery in first degree, but doctors called by the defense disputed the examiner's findings, insisting that neither victim suffered serious physical injury within the statutory definitions, it would have been reversible error had the trial court refused to give the instruction on the lesser included offenses of second and third-degree battery because evidence was presented tending to disapprove one of the elements of the larger offense. Hinson v. State, 18 Ark. App. 14, 709 S.W.2d 106 (1986).

State's impeachment of defendant with remarks made by defendant's attorney during opening statement held not an abuse of discretion. Fisher v. State, 290 Ark. 490, 720 S.W.2d 900 (1986).

Circuit court did not abuse its discretion in denying defendant's second-degree battery instruction because the offense charged was first-degree battery pursuant to subdivision (a)(3) of this section, and the jury was not required to find that defendant employed a firearm in order to convict him of that offense, nor was the jury required to apply the firearm enhancement if it convicted defendant of first-degree battery; the firearm enhancement was not an element of the first-degree-battery offense but was an additional sentence authorized by statute if defendant was convicted of first-degree battery, and the jury determined that defendant employed a firearm during commission of that offense. Reed v. State, 2011 Ark. App. 352, 383 S.W.3d 881 (2011).

Where a defendant appealed his conviction for first-degree battery, a trial court abused its discretion in failing to instruct the jury on third-degree battery since there was some evidence to support such an instruction. The defendant testified that he did not mean to drop the infant on her head and that it was an accident, and an expert offered his opinion that a baby's skull could be fractured by a fall such as the one described by the defendant. Washington v. State, 2014 Ark. App. 122 (2014).

Defendant, convicted of first-degree battery (law enforcement officer), failed to show that the jury instruction violated the principle established in Apprendi because the jury was specifically instructed that it was required to make a finding about the circumstances of the offense as directed on the verdict form if it found defendant guilty of battery in the first degree; the trial court then read the verdict form verbatim to the jury, specifically instructing that the jury was required to indicate whether it found beyond a reasonable doubt that the victim was a law enforcement officer. Boose v. State, 2017 Ark. App. 302 (2017).

Trial court did not abuse its discretion in refusing to give a proffered jury instruction that defendant knew or reasonably should have known he was shooting at a law enforcement officer because the plain language of this section does not require the State to prove that an offender knew or should have known that his or her victim was a law enforcement officer. Boose v. State, 2017 Ark. App. 302 (2017).

Defendant's contention that the trial court's refusal to include his proffered jury instruction was a violation of his due-process rights was unsupported by any citation to authority applicable to the facts. Boose v. State, 2017 Ark. App. 302 (2017).

Judicial Review.

On appeal from conviction of first-degree battery, the appellate court reviews the evidence in the light most favorable to the state in determining whether there is substantial evidence to support the verdict of guilty. Bolden v. State, 267 Ark. 504, 593 S.W.2d 156 (1980).

Lesser Included Offenses.

For cases discussing battery as a lesser included offense of robbery, see Britt v. State, 261 Ark. 488, 549 S.W.2d 84 (1977); Foster v. State, 275 Ark. 427, 631 S.W.2d 7 (1982); Akins v. State, 278 Ark. 180, 644 S.W.2d 273 (1983); Sanders v. State, 279 Ark. 32, 648 S.W.2d 451 (1983); Robinson v. State, 279 Ark. 61, 648 S.W.2d 446 (1983); Thomas v. State, 280 Ark. 593, 660 S.W.2d 169 (1983); Williams v. State, 11 Ark. App. 11, 665 S.W.2d 299 (1984).

One defendant was properly charged only with first-degree battery, since there was no basis for a conviction of the lesser degrees of battery, but the second defendant should have been also allowed a jury instruction on second-degree battery, since it could reasonably be found that he had acted recklessly but not purposely. Sbabo v. State, 264 Ark. 497, 572 S.W.2d 585 (1978).

The mere fact that the jury convicted the defendant of manslaughter, which required proof of reckless conduct, did not require a conclusion that the jury could not also have found him guilty of first-degree battery, an offense that requires a more culpable mental state, with respect to the survivor of the automobile accident that the defendant caused. Nolen v. State, 278 Ark. 17, 643 S.W.2d 257 (1982).

Because battery in the second degree is a lesser included offense of battery in the first degree, there was no inconsistency in holding one codefendant guilty of being an accomplice to the former offense while holding the other codefendant guilty of the latter offense. Blann v. State, 15 Ark. App. 364, 695 S.W.2d 382 (1985).

Where the defendant was armed with a gun and inflicted serious injury on the victim, first degree battery was a lesser included offense of aggravated robbery. Trotter v. State, 290 Ark. 269, 719 S.W.2d 268 (1986), overruled, Smith v. State, 292 Ark. 162, 729 S.W.2d 5 (1987).

The Supreme Court fixed the punishment at the maximum for the crime of first degree battery, where there was insufficient evidence for the crime of aggravated robbery, but sufficient for the lesser offense of first degree battery. Trotter v. State, 290 Ark. 269, 719 S.W.2d 268 (1986), overruled, Smith v. State, 292 Ark. 162, 729 S.W.2d 5 (1987).

First degree battery is a lesser included offense of aggravated robbery. Carter v. Flintrol, Inc., 19 Ark. App. 317, 720 S.W.2d 337 (1986), superseded by statute as stated in, Service Chevrolet v. Atwood, 61 Ark. App. 190, 966 S.W.2d 909 (1998).

Battery in the first degree is distinguishable from aggravated robbery in that (1) the battery offense requires serious physical injury to another, while aggravated robbery does not, and (2) aggravated robbery requires the purpose of committing robbery while being armed with a deadly weapon, or the representation that one is so armed, while first-degree battery, by statutory definition, requires neither of these two elements. Consequently, defendant can be prosecuted for both offenses. Robinson v. Lockhart, 823 F.2d 210 (8th Cir. 1987).

First-degree battery and aggravated assault are not lesser included offenses of reckless driving and are not the same offenses for double jeopardy purposes. Sherman v. State, 326 Ark. 153, 931 S.W.2d 417 (1996).

In a first-degree battery case, a trial court did not err by refusing to give an instruction on second-degree battery because it was not a lesser included offense; both alternatives given in the proffered instruction required an additional element, serious physical injury, that was not required in the first-degree battery instruction that was given, which only required physical injury when the injury was caused by a firearm. Further, the proffered instruction was not a lesser included offense because the offense was not an attempt offense, and the proffered instruction did not differ from the offense charged only in the respect that a less serious injury to the same person sufficed to establish the offense's commission. Spight v. State, 101 Ark. App. 400, 278 S.W.3d 599 (2008).

During parents' trial for first-degree battery against their infant, in violation of subdivision (a)(9) of this section, the court did not err in refusing to instruct the jury on the lesser-included offense of third-degree battery because the physical injury the infant sustained could only be described as serious; the infant was severely malnourished to the point of starvation and death would have occurred within days without medical attention. Bruner v. State, 2013 Ark. 68, 426 S.W.3d 386 (2013).

Maiming.

Under former section defining the offense of maiming, it was implied that the act being unlawful in itself was evidence of a malicious intent and it was immaterial by what means or with what instrument the injury was effected or whether the party was deprived of the use of a limb or member or rendered permanently lame or whether his bodily vigor was merely affected by his strength, activity or the like being decreased. Baker v. State, 4 Ark. 56 (1841) (decision under prior law).

Multiple Convictions.

There was no violation of defendant's rights under § 5-1-110(a)(4) because when comparing the elements of the two offenses it was evident that the conduct of committing a terroristic act under § 5-13-310 was not a specific instance of conduct constituting first-degree battery under this section. Warren v. State, 103 Ark. App. 124, 286 S.W.3d 768 (2008).

Trial court properly denied appellant postconviction relief because he failed to show a double-jeopardy violation arising out of the charges for commission of a terroristic act, criminal attempt to commit first-degree battery, and aggravated assault; there were six separate criminal violations resulting from six separate impulses in the firing of six separate shots. Lee v. State, 2017 Ark. 337, 532 S.W.3d 43 (2017).

Physical Injury.

The evidence failed to show that defendant caused a victim serious physical injury as required by § 5-13-201(a)(1) or § 5-1-102(19) or physical injury by means of a firearm as required by § 5-13-201(a)(7), even though defendant hit the victim with the butt of a pistol, where the injury did not require stitches, and striking a person in such a manner did not constitute injury to another person by means of a firearm under § 5-13-201(a)(7); this injury was covered by § 5-13-202(a)(1). Smith v. State, 352 Ark. 92, 98 S.W.3d 433 (2003).

Evidence that defendant participated in kicking a 14-year-old victim while he was lying on the ground after having his two front teeth knocked out by one of defendant's fellow assailants, was sufficient to support defendant's conviction for first-degree battery in violation of subdivision (a)(3) of this section. Williamson v. State, 2011 Ark. App. 73, 381 S.W.3d 134 (2011).

Evidence was sufficient to show that a baby sustained a serious physical injury for purposes of subdivision (a)(9) of this section where the medical testimony described the skull fracture, the pain potentially caused by the subdural bleeding, and the greater risk of developing further complications. Suchey v. State, 2016 Ark. App. 225, 490 S.W.3d 320 (2016).

Poison.

There was substantial evidence to support conviction upon finding that poisoning of victim resulted in serious injury, posing a substantial risk of death. Weaver v. State, 324 Ark. 290, 920 S.W.2d 491 (1996).

Second-degree Battery.

The phrase “under circumstances manifesting extreme indifference to the value of human life” contained in subdivision (a)(3) of this section is what distinguishes conduct constituting first-degree battery from that of second-degree battery; giving the phrase its plain meaning, the circumstances of first-degree battery must by necessity be more dire and formidable in terms of affecting human life. Tigue v. State, 319 Ark. 147, 889 S.W.2d 760 (1994).

Where defendant held child-victim's hands under hot water for long enough to cause second- and third-degree burns, victim suffered a “serious physical injury,” as defined in § 5-1-102(19), but because defendant lacked the mental state required for first-degree battery, defendant was guilty of second-degree battery. Tigue v. State, 319 Ark. 147, 889 S.W.2d 760 (1994).

Trial court did not abuse its discretion in ruling that defendant, charged with first-degree battery, was not entitled to a second-degree battery instruction under § 5-13-202(a)(1) because defendant provided no rational basis for a second-degree battery instruction, as (1) the victim's bullet wounds creating a substantial risk of death were a serious injury, (2) defendant's claim that the victim's injury was not serious was no basis for the instruction, as first- and second-degree battery both required a serious physical injury, and (3) evidence that defendant shot the victim in the neck and in the back as the victim fled showed intent to inflict serious physical injury. Dixon v. State, 2019 Ark. 245, 581 S.W.3d 505 (2019).

Violation of Probation.

Circuit court properly revoked defendant's probation and sentenced him to four years because he committed the new offense of first-degree battery; although the victim testified that he was high on drugs on the night he was attacked, that he believed his dog speaks to him, and that he believed he had been diagnosed with some form of mental illness, the victim's unrefuted testimony was that when he refused to shake defendant's hand, defendant stabbed him in the chest, which resulted in a punctured lung and a five-day hospital stay. Turner v. State, 2017 Ark. App. 682, 537 S.W.3d 299 (2017).

Violation of Suspension.

State clearly showed that defendant was significantly delinquent in paying his court-ordered restitution, and he offered no reasonable excuse, plus, although only one violation was necessary to revoke the suspension, the State further showed that defendant violated his conditions by committing first-degree battery, and thus the decision to revoke defendant's suspended sentence was not clearly against the preponderance of the evidence. Sherril v. State, 2014 Ark. App. 411, 439 S.W.3d 76 (2014).

Cited: Austin v. State, 264 Ark. 318, 571 S.W.2d 584 (1978); Thomas v. State, 266 Ark. 162, 583 S.W.2d 32 (1979); Spratt v. State, 267 Ark. 687, 590 S.W.2d 65 (Ct. App. 1979); Mize v. State, 267 Ark. 743, 590 S.W.2d 75 (Ct. App. 1979); Williams v. State, 267 Ark. 527, 593 S.W.2d 8 (1980); Spillers v. State, 268 Ark. 217, 595 S.W.2d 650 (1980); Brown v. State, 278 Ark. 604, 648 S.W.2d 67 (1983); Lum v. State, 281 Ark. 495, 665 S.W.2d 265 (1984); Dudley v. State, 285 Ark. 160, 685 S.W.2d 170 (1985); Collins v. Lockhart, 771 F.2d 1580 (8th Cir. 1985); Wilson v. State, 289 Ark. 141, 712 S.W.2d 654 (1986); Ward v. State, 20 Ark. App. 172, 726 S.W.2d 289 (1987); Duhon v. State, 299 Ark. 503, 774 S.W.2d 830 (1989); Bates v. Bates, 303 Ark. 89, 793 S.W.2d 788 (1990); Hutcherson v. State, 34 Ark. App. 113, 806 S.W.2d 29 (1991); Smith v. Lockhart, 923 F.2d 1314 (8th Cir. 1991); Nelson v. State, 324 Ark. 404, 921 S.W.2d 593 (1996); Meeks v. State, 55 Ark. App. 220, 936 S.W.2d 555 (1996); Steggall v. State, 340 Ark. 184, 8 S.W.3d 538 (2000); Harmon v. State, 340 Ark. 18, 8 S.W.3d 472 (2000); Misenheimer v. State, 100 Ark. App. 189, 265 S.W.3d 764 (2007).

5-13-202. Battery in the second degree.

  1. A person commits battery in the second degree if:
    1. With the purpose of causing physical injury to another person, the person causes serious physical injury to another person;
    2. With the purpose of causing physical injury to another person, the person causes physical injury to another person by means of a deadly weapon other than a firearm;
    3. The person recklessly causes serious physical injury to another person:
      1. By means of a deadly weapon; or
      2. While operating or in actual physical control of a motor vehicle or motorboat if at the time:
        1. The person is intoxicated; or
        2. The alcohol concentration in the person's breath or blood is eight-hundredths (0.08) or more based upon the definition of alcohol concentration in § 5-65-204; or
    4. The person knowingly, without legal justification, causes physical injury to or incapacitates a person he or she knows to be:
        1. A law enforcement officer, firefighter, code enforcement officer, or employee of a correctional facility while the law enforcement officer, firefighter, code enforcement officer, or employee of a correctional facility is acting in the line of duty.
        2. As used in this subdivision (a)(4)(A):
            1. “Code enforcement officer” means an individual charged with the duty of enforcing a municipal code, municipal ordinance, or municipal regulation as defined by a municipal code, municipal ordinance, or municipal regulation.
            2. “Code enforcement officer” includes a municipal animal control officer; and
          1. “Employee of a correctional facility” includes a person working under a professional services contract with the Division of Correction, the Division of Community Correction, or the Division of Youth Services;
      1. A teacher or other school employee while acting in the course of employment;
      2. An individual sixty (60) years of age or older or twelve (12) years of age or younger;
      3. An officer or employee of the state while the officer or employee of the state is acting in the performance of his or her lawful duty;
      4. While performing medical treatment or emergency medical services or while in the course of other employment relating to his or her medical training:
        1. A physician;
        2. A person licensed as emergency medical services personnel, as defined in § 20-13-202;
        3. A licensed or certified healthcare professional; or
        4. Any other healthcare provider; or
      5. An individual who is incompetent, as defined in § 5-25-101.
    1. Battery in the second degree under subdivision (a)(3)(B) of this section is a Class C felony.
    2. Otherwise, battery in the second degree is a Class D felony.
  2. As used in this section, “motorboat” means the same as defined in § 5-65-102.

History. Acts 1975, No. 280, § 1602; 1981, No. 877, § 1; 1983, No. 12, § 1; A.S.A. 1947, § 41-1602; Acts 1995, No. 1173, § 1; 1995, No. 1305, § 2; 1995, No. 1338, § 1; 1997, No. 207, § 1; 1997, No. 878, § 1; 1999, No. 389, § 1; 2003, No. 66, § 1; 2007, No. 827, § 27; 2009, No. 344, § 1; 2009, No. 689, § 1; 2011, No. 1120, § 6; 2011, No. 1168, § 1; 2013, No. 429, § 1; 2015, No. 104, §§ 1, 2; 2017, No. 333, § 1; 2019, No. 783, § 1; 2019, No. 910, § 667.

Amendments. The 2009 amendment by No. 344, in (a)(4)(A), inserted “code enforcement officer” in (a)(4)(A)(i), inserted (a)(4)(A)(ii)( b ) and redesignated the remaining text of (a)(4)(A)(ii) accordingly, and made related changes.

The 2009 amendment by No. 689 rewrote (a)(4)(E)(ii).

The 2011 amendment by No. 1120 inserted the first instance of “code enforcement officer” in (a)(4)(A)(i).

The 2011 amendment by No. 1168 inserted “or incapacitates” in (a)(4).

The 2013 amendment substituted “another” for “any” in (a)(1) and (a)(2); inserted the (a)(3)(A) designation; and added (a)(3)(B).

The 2015 amendment inserted “or motorboat” in (a)(3)(B); and added (c).

The 2017 amendment substituted “§ 5-65-102” for “§ 5-76-101 [repealed]” in (c).

The 2019 amendment by No. 783 added (b)(1) and redesignated former (b) as (b)(2); added “Otherwise” in (b)(2).

The 2019 amendment by No. 910 substituted “Division of Correction” for “Department of Correction” and “Division of Community Correction” for “Department of Community Correction” in (a)(4)(A)(ii) (b)

Research References

ALR.

Dog as deadly or dangerous weapon for purposes of statutes aggravating offenses such as assault and robbery. 124 A.L.R.5th 657.

Parts of Human Body, other than Feet, as Deadly or Dangerous Weapons or Instrumentalities for Purposes of Statutes Aggravating Offenses such as Assault and Robbery. 67 A.L.R.6th 103.

Ark. L. Rev.

Case Note, Criminal Liability for Attempting to Inflict the AIDS Virus: Possibilities in Arkansas' Future, 45 Ark. L. Rev. 505.

U. Ark. Little Rock L.J.

Legislation of the 1983 General Assembly, Juvenile Law, 6 U. Ark. Little Rock L.J. 631.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Battery, 26 U. Ark. Little Rock L. Rev. 365.

Case Notes

Constitutionality.

The provisions of subdivision (a)(4) are of common understanding and practice and thus are not unconstitutionally vague or overbroad. Harmon v. State, 260 Ark. 665, 543 S.W.2d 43 (1976).

In General.

The phrase “under circumstances manifesting extreme indifference to the value of human life” contained in § 5-13-201(a)(3) is what distinguishes conduct constituting first-degree battery from that of second-degree battery; giving the phrase its plain meaning, the circumstances of first-degree battery must by necessity be more dire and formidable in terms of affecting human life. Tigue v. State, 319 Ark. 147, 889 S.W.2d 760 (1994).

Collateral estoppel did not preclude the trial court from making a determination under 11 U.S.C.S. § 523(a)(6) on the issues of willfulness and maliciousness. It was not necessary to a criminal conviction for second-degree battery under this section that the debtor's actions be willful and malicious; furthermore, the fact that defendant stipulated to liability in a civil suit did not satisfy the “actually litigated” requirement. Hidy v. Bullard (In re Bullard), 451 B.R. 473 (Bankr. E.D. Ark. 2011), aff'd, — B.R. —, 2011 Bankr. LEXIS 2151 (B.A.P. 8th Cir. June 14, 2011).

Age.

The phrase “twelve years of age or younger,” as used in this section, designates persons whose age is less than or under twelve years, as well as persons who have reached and passed their twelfth birthday, but have not reached their thirteenth birthday. State v. Joshua, 307 Ark. 79, 818 S.W.2d 249 (1991), overruled, Kelly v. Kelly, 310 Ark. 244, 835 S.W.2d 869 (1992), overruled in part, Kelly v. Kelly, 310 Ark. 244, 835 S.W.2d 869 (1992).

This section, requires the State to prove that a defendant have actual knowledge of the victim's age. Sansevero v. State, 345 Ark. 307, 45 S.W.3d 840 (2001).

Cause.

Where defendant choked victim and said he would kill her, causing victim to jump through the window rather than be shot and killed, the defendant caused the injuries the victim sustained in the fall and was guilty of second-degree battery. Jenkins v. State, 60 Ark. App. 122, 959 S.W.2d 427 (1998).

Course of Conduct.

Conduct upon which the state based charges of manslaughter and second degree battery, a car wreck, was not a single, continuous and uninterrupted act out of which the defendant could only be prosecuted for one offense; neither manslaughter nor second degree battery is specifically defined as a continuing course of conduct. Lawrence v. State, 39 Ark. App. 39, 839 S.W.2d 10 (1992).

Crime of Violence.

Defendant's sentence as a career-offender under U.S. Sentencing Guidelines Manual § 4B1.1 was vacated because a district court erred by failing to apply the modified categorical approach to determine whether defendant's prior conviction for second-degree battery in violation of subsection (a) of this section was for a crime of violence. United States v. Dawn, 685 F.3d 790 (8th Cir. 2012).

Where a defendant appealed his 110-month sentence for violating 18 U.S.C. § 922(g)(1), his battery conviction under subdivision (a)(4) of this section was for a crime of violence and the district court correctly calculated his base offense level under U.S. Sentencing Guidelines Manual § 2K2.1. United States v. Rice, 813 F.3d 704 (8th Cir.), cert. denied, — U.S. —, 137 S. Ct. 59, 196 L. Ed. 2d 59 (2016).

Where a defendant appealed his 15-year sentence for violating 18 U.S.C. § 922(g)(1), he qualified as an armed career criminal under 18 U.S.C. § 924(e)(1); he acknowledged two qualifying prior convictions, and the lower court did not err in concluding that defendant's conviction for second-degree battery under subdivision (a)(2) of this section was a violent felony and thus a third qualifying offense. United States v. Winston, 845 F.3d 876 (8th Cir.), cert. denied, — U.S. —, 137 S. Ct. 2201, 198 L. Ed. 2d 265, 2017 U.S. LEXIS 3513 (U.S. May 30, 2017).

District court did not err in considering defendant's previous conviction for aiding and abetting distribution of methamphetamine as a controlled substance offense for purposes of career offender sentencing enhancement under federal law because aiding and abetting offenses are included in enhancement. In addition, the record of conviction demonstrated that defendant was convicted for accomplice to second-degree battery under subdivision (a)(1) of this section, which includes as an element the use of physical force. United States v. Garcia, 946 F.3d 413 (8th Cir. 2019).

Deadly Weapon.

Evidence was sufficient to find that the object used in a stabbing was a deadly weapon in the manner of its use, even though it was not identifiable, because it was sharp, pointy, and when stabbed at the victim was capable of penetrating his torso and puncturing his lung. Medlock v. State, 2013 Ark. App. 609 (2013).

Defense or Justification.

Where a conductor, assaulted by a passenger, used force to repel such assault, the burden was on the railroad company to show that the conductor used no more force than appeared to him, as a reasonable man, necessary to repel the assault. Saint Louis S.W. Ry. v. Berger, 64 Ark. 613, 44 S.W. 809 (1898) (decision under prior law).

The defendant had to be free from all carelessness in reaching the conclusion that his own safety demanded the action he took against the plaintiff. Downey v. Duff, 106 Ark. 4, 152 S.W. 1010 (1912) (decision under prior law).

Court did not err in instructing jury that no one was allowed to exercise right of self defense, if he willingly entered into a fight, where defendant did not request clarification, and made no specific objection to the instruction. Hadaway v. State, 215 Ark. 658, 222 S.W.2d 799 (1949) (decision under prior law).

Voluntary intoxication is not a defense to a charge of murder in the first degree or to a charge of battery in the second degree; voluntary intoxication is not available as a defense for purposes of negating specific intent. Gilkey v. State, 41 Ark. App. 100, 848 S.W.2d 439 (1993).

Because second-degree battery has as one of its elements the infliction of serious physical injury, it is a “felony involving force or violence”; thus, in a second-degree murder case, the trial court erred by failing to give a jury instruction for justification that had both second-degree battery and unlawful deadly physical force alternatives since both were warranted by evidence that defendant was confronted by three men in an attack before he stabbed one of them in the heart with a pocket knife. Hamilton v. State, 97 Ark. App. 172, 245 S.W.3d 710 (2006).

Defendant's conviction for battery in the second degree was proper because he did not have a justification defense under § 5-2-608(a) since defendant's version of the events was unbelievable; any reasonable person would have realized that the victim was acting on behalf of a repossession agency and therefore, defendant could not have been acting on a reasonable belief that he was preventing a criminal trespass. Further, there was no evidence to indicate that the victim used force against defendant or threatened him with force. Washington v. State, 2010 Ark. App. 339, 374 S.W.3d 822 (2010), review denied, — Ark. —, — S.W.3d —, 2010 Ark. LEXIS 379 (June 24, 2010).

Evidence.

Evidence held sufficient to support conviction. Henry v. State, 125 Ark. 237, 188 S.W. 539 (1916); Hadaway v. State, 215 Ark. 658, 222 S.W.2d 799 (1949); Dickson v. State, 230 Ark. 491, 323 S.W.2d 432 (1959); Williams v. State, 257 Ark. 8, 513 S.W.2d 793 (1974) (preceding decisions under prior law); Lum v. State, 281 Ark. 495, 665 S.W.2d 265 (1984); Middleton v. State, 14 Ark. App. 92, 685 S.W.2d 182 (1985); Lair v. State, 19 Ark. App. 172, 718 S.W.2d 467 (1986); Mann v. State, 291 Ark. 4, 722 S.W.2d 266 (1987); Shells v. State, 22 Ark. App. 62, 733 S.W.2d 743 (1987); Williams v. State, 298 Ark. 317, 766 S.W.2d 931 (1989); Cole v. State, 33 Ark. App. 98, 802 S.W.2d 472 (1991).

Evidence relating to defendant's activities in moving his car and leaving the scene of an accident held admissible as being relevant to the issue of recklessness of defendant's conduct. Harmon v. State, 260 Ark. 665, 543 S.W.2d 43 (1976).

Evidence held sufficient to sustain the jury's finding of recklessness. Harmon v. State, 260 Ark. 665, 543 S.W.2d 43 (1976).

The jury's finding that an automobile driven by defendant was a deadly weapon was supported by evidence showing how defendant's vehicle left the road and struck a boy in a roadside ditch. Harmon v. State, 260 Ark. 665, 543 S.W.2d 43 (1976).

Testimony held not to support the defendant's conviction for first degree battery; evidence only justified, at most, a conviction of second-degree battery. Bolden v. State, 267 Ark. 504, 593 S.W.2d 156 (1980).

There was substantial evidence from which the fact finder could find that the injuries to the law enforcement officers caused them substantial pain. Armstrong v. State, 35 Ark. App. 188, 816 S.W.2d 620 (1991).

Evidence held insufficient to support a finding that the physical force used by the defendant in disciplining her grandchild rose to the degree of second-degree battery. Sykes v. State, 57 Ark. App. 5, 940 S.W.2d 888 (1997).

Evidence was sufficient to support the conviction of the defendant inmate for second degree battery on a corrections officer where (1) the defendant armed himself with a table leg as he went down a hall in the prison, (2) when he approached a doorway, two officers entered and confronted him, (3) the defendant swung the table leg at one officer and struck him in the face, (4) the officer testified that the blow was very painful, and it was so strong that he almost blacked out, and (5) another officer testified that the defendant swung the table leg like he was trying to smash a watermelon or pumpkin. Jones v. State, 72 Ark. App. 271, 35 S.W.3d 345 (2000).

Defendant's conviction for battery in the second degree was appropriate under §§ 5-13-202(a)(4)(C) and 5-2-202(2) because the evidence was clear that defendant intended to restrain the victim. The victim, defendant's mother-in-law, testified that defendant grabbed her, threw her into a chair, and pushed her down anytime the victim had tried to stand up. LaFort v. State, 98 Ark. App. 202, 254 S.W.3d 27 (2007).

Teacher's testimony alone was sufficient evidence of physical injury to support defendant juvenile's adjudication for second degree in violation of this section for striking the teacher in the arm because the teacher testified that after appellant hit her, the pain she suffered in her arm was of a sufficient nature to cause her to seek medical treatment, and she also testified that her arm was “very sore” for at least a week; while medical treatment is not required in order to establish a physical injury, the fact the pain was of a sufficient nature to cause the victim to seek medical care constitutes evidence that she experienced “substantial pain.” M.T. v. State, 2009 Ark. App. 761, 350 S.W.3d 792 (2009).

Substantial evidence supported defendant's conviction for second-degree battery against a police officer in violation of subdivision (a)(4)(A)(i) of this section because a police officer testified that she injured her hand when defendant tackled her, and although the officer surmised that the injury could have occurred during her pursuit of defendant, it was for the fact-finder to weigh the evidence and to determine when the injury occurred; the trier of fact could find that the officer injured her hand during the altercations with defendant and not during the foot chase. Lee v. State, 2010 Ark. App. 15 (2010).

Defendant's conviction for battery in the second degree in violation of subdivision (a)(2) of this section was appropriate because there was substantial evidence presented to support the determination that, with the purpose of causing physical injury to the victim, defendant caused physical injury to the victim by means of a deadly weapon other than a firearm, specifically, a metal steering wheel theft-protection device. Washington v. State, 2010 Ark. App. 339, 374 S.W.3d 822 (2010), review denied, — Ark. —, — S.W.3d —, 2010 Ark. LEXIS 379 (June 24, 2010).

Evidence that defendant struck the victim in head with a chain-saw blade with the purpose of causing physical injury, supported a finding of second-degree battery. Dooly v. State, 2010 Ark. App. 591, 377 S.W.3d 471 (2010).

Once jury concluded that defendant's account of events was not truthful and that a hot instrument, not hot water, was what caused the burns to defendant's daughter, the evidence was consisted with defendant's conviction for second-degree battery. McKnight v. State, 2010 Ark. App. 598, 378 S.W.3d 173 (2010).

Defendant convicted of the lesser-included offense of second-degree battery waived a challenge to the sufficiency of the evidence supporting his conviction where he did not argue in his motions for directed verdict that an element of second-degree battery was not proven. Chestang v. State, 2012 Ark. App. 222 (2012).

Defendant's conviction for second-degree battery, in violation of subdivison (a)(4)(C) of this section, was supported by the evidence because the number of bruises on his girlfriend's 23-month-old son and the unusual force necessary to cause them, as testified to by an emergency room pediatrician, provided proof that he knowingly caused physical injury under § 5-2-202(2)(B). Hahn v. State, 2012 Ark. App. 297 (2012).

Substantial evidence supported a juvenile's second-degree battery disposition, in violation of § subdivisions (a)(1)-(3) of this section, based on accomplice liability because a codefendant testified that the juvenile solicited and encouraged the plan to beat her boyfriend, who she suspected of cheating; the juvenile could be found guilty of the conduct of her accomplices who threw the punches. L.C. v. State, 2012 Ark. App. 666, 424 S.W.3d 887 (2012).

Defendant's actions in following the victims, driving toward the victims in his car at full speed, and running from the scene after hitting one of the victims constituted substantial evidence supporting his second-degree battery conviction. Guana-Lopez v. State, 2014 Ark. App. 204 (2014).

Evidence was sufficient to convict defendant of second-degree battery under subdivision (a)(4) of this section because defendant placed his hands around the second officer's throat; he attempted to strangle the second officer with a leash; he used his fingers to dig at the second officer's eyes in a deliberate attempt to gouge his eye out; and the second officer sustained a painful corneal abrasion on his eye. Benton v. State, 2020 Ark. App. 223 (2020).

Healthcare Provider.

In a bench trial, the State sufficiently proved each necessary element of second-degree battery under subdivision (a)(4)(E)(iv) of this section and thus the circuit court did not err in denying defendant's motion to dismiss; the victim, a hospice nursing assistant, returned to the decedent's house to provide postmortem care, and her supervisor testified that the victim's employment duties were to take care of the decedent and provide comfort to the family, and thus she was in the course of “other employment relating to her medical training” when defendant struck her. Warren v. State, 2019 Ark. App. 33, 567 S.W.3d 105 (2019).

Instructions.

Where the instruction given properly set forth three sets of acts and circumstances any one of which constituted battery in the second degree and only one of which involved the word recklessly and where there was no showing that the jury necessarily found the appellant guilty under the section of the statute requiring the action to be done recklessly, the failure to instruct on the meaning of the word “recklessly” was not error. Viar v. State, 269 Ark. 772, 601 S.W.2d 579 (Ct. App. 1980).

Court held to have properly instructed the jury as to the burden of proof and elements required before the jury could convict for battery in the second degree, and lesser included charges, and refusal of the court to give requested instruction which concerned the state's burden to prove that defendant knowingly used physical force against a law enforcement officer held proper. Breeden v. State, 270 Ark. 90, 603 S.W.2d 459 (1980).

Where, in prosecution for second-degree battery, there was testimony from which the jury could find that there had been previous problems between the defendant and the officer, that the defendant had in the past been harrassed by the officer, that the officer had provoked the altercation by using abusive language to describe the defendant and the defendant's family, and that the defendant struck the officer in self-defense only after the officer had himself pushed and struck the defendant, the evidence was sufficient to raise a question of fact regarding the defense of justification; therefore, the trial court erred in not allowing the defendant's proferred jury instruction on justification. Lair v. State, 19 Ark. App. 172, 718 S.W.2d 467 (1986).

In second degree battery prosecution, court erred in refusing to give instruction on lesser included offense of third degree battery where the jury could rationally have found that the defendant “recklessly” caused the injury. Johnson v. State, 28 Ark. App. 256, 773 S.W.2d 450 (1989).

Trial court did not abuse its discretion in ruling that defendant, charged with first-degree battery, was not entitled to a second-degree battery instruction under subdivision (a)(1) of this section because defendant provided no rational basis for a second-degree battery instruction, as (1) the victim's bullet wounds creating a substantial risk of death were a serious injury, (2) defendant's claim that the victim's injury was not serious was no basis for the instruction, as first- and second-degree battery both required a serious physical injury, and (3) evidence that defendant shot the victim in the neck and in the back as the victim fled showed intent to inflict serious physical injury. Dixon v. State, 2019 Ark. 245, 581 S.W.3d 505 (2019).

Intent.

The only specific intent required by this section is the intent to cause physical injury. Holmes v. State, 288 Ark. 72, 702 S.W.2d 18 (1986).

Evidence held sufficient to indicate defendant's intent to commit physical injury. Holmes v. State, 288 Ark. 72, 702 S.W.2d 18 (1986); Hundley v. State, 22 Ark. App. 239, 738 S.W.2d 107 (1987).

The plain wording of subdivision (a)(4)(C) imparts that knowledge on the part of the defendant must be personal to him. The test is whether, from the circumstances in the case at bar, defendant, not some other person or persons, knew that his victim was 60 years of age or older. Hubbard v. State, 20 Ark. App. 146, 725 S.W.2d 579 (1987).

Evidence was sufficient to support a conviction under this section where the victim, after he was stabbed by the defendant reported chest pains, difficulty breathing, and faintness. Hundley v. State, 22 Ark. App. 239, 738 S.W.2d 107 (1987).

The state presented evidence that the defendant fired a shotgun directly at the crowd of which the injured victim was a member, and based on this evidence, a jury could certainly conclude that defendant possessed the necessary intent to cause injury as required by the second degree battery statute. Purifoy v. State, 307 Ark. 482, 822 S.W.2d 374 (1991).

Where defendant held child-victim's hands under hot water for long enough to cause second- and third-degree burns, victim suffered a “serious physical injury,” as defined in § 5-1-102(19), but because defendant lacked the mental state required for first-degree battery, defendant was guilty of second-degree battery. Tigue v. State, 319 Ark. 147, 889 S.W.2d 760 (1994).

Evidence sufficient to find that defendant purposely engaged in conduct that created a substantial danger of death or serious physical injury to victim. Carter v. State, 324 Ark. 249, 921 S.W.2d 583 (1996).

Evidence was sufficient to show intent where a physician testified that the defendant was able to control his physical actions and could understand options when presented to him. K.M. v. State, 335 Ark. 85, 983 S.W.2d 93 (1998).

Law Enforcement Officer.

The appropriate test is whether or not, from the circumstances defendant — and not some other person or persons — knew that his victim was a law enforcement officer. Gibson v. State, 316 Ark. 705, 875 S.W.2d 58 (1994).

Trial court did not err by refusing to instruct a jury on third-degree battery as a lesser included offense of second-degree battery where there was no evidence tending to disprove that the victim was an employee of a correctional facility; there was testimony that referred to the victim as a “detention officer” and “jailer.” Davis v. State, 97 Ark. App. 6, 242 S.W.3d 630 (2006).

Lesser Included Offenses.

Court held not obligated to instruct the jury on the lesser included offense of assault. Harmon v. State, 260 Ark. 665, 543 S.W.2d 43 (1976).

Courts failure to instruct jury on lesser included offenses held error as to one defendant, but proper as to the other. Sbabo v. State, 264 Ark. 497, 572 S.W.2d 585 (1978).

Because battery in the second degree is a lesser included offense of battery in the first degree, there was no inconsistency in holding one codefendant guilty of being an accomplice to the former offense while holding the other codefendant guilty of the latter offense. Blann v. State, 15 Ark. App. 364, 695 S.W.2d 382 (1985).

Battery in the second degree and battery in the third degree require proof that a deadly weapon was used; in contrast, use of a deadly weapon is not necessary for the commission of manslaughter. Since battery in the second degree and third degree require proof of an element not an element of proof of manslaughter, they are not lesser included offenses of manslaughter. Tackett v. State, 298 Ark. 20, 766 S.W.2d 410 (1989), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002).

In a first-degree battery case, a trial court did not err by refusing to give an instruction on second-degree battery because it was not a lesser included offense; both alternatives given in the proffered instruction required an additional element, serious physical injury, that was not required in the first-degree battery instruction that was given, which only required physical injury when the injury was caused by a firearm. Further, the proffered instruction was not a lesser included offense because the offense was not an attempt offense, and the proffered instruction did not differ from the offense charged only in the respect that a less serious injury to the same person sufficed to establish the offense's commission. Spight v. State, 101 Ark. App. 400, 278 S.W.3d 599 (2008).

To the extent that defendant convicted of second-degree battery attempted to argue that the jury should have been instructed on third-degree battery as a lesser-included offense because the jury could have rationally found him to have recklessly caused the injuries to the victim, his argument was not preserved, because although he proffered an instruction on third-degree battery based on the first definition of third-degree battery in § 5-13-203(a), which involved purposely causing physical injury, there was no indication that he requested an instruction based on the second definition in the statute, which involved recklessness. Defendant was thus procedurally barred from raising an argument based on an element of recklessness. Lytle v. State, 2012 Ark. App. 246 (2012).

Revocation of defendant's suspended sentence was appropriate; even though the evidence did not establish any physical injury to the victim to support the allegation of second-degree battery on a law enforcement officer, the Court of Appeals without invitation held that the evidence was sufficient to support the lesser-included offense of second-degree assault under § 5-13-206. Caldwell v. State, 2018 Ark. App. 588, 565 S.W.3d 539 (2018).

Physical Injury.

Where victim was hit with a pistol, the trial court did not err when it submitted a charge on second degree battery to the jury since subdivision (a)(2) only requires that a person cause another physical injury by means of a deadly weapon. Foster v. State, 275 Ark. 427, 631 S.W.2d 7 (1982).

Evidence of injuries to victim held sufficient to support a finding of serious physical injury. Lum v. State, 281 Ark. 495, 665 S.W.2d 265 (1984).

The difference between the crime of second-degree battery and the crime of third-degree battery is that third-degree battery concerns “physical injury” rather than “serious physical injury.” Hall v. State, 11 Ark. App. 53, 666 S.W.2d 408 (1984).

Injuries which involved serious bruising of child would support only the lesser included offense of battery in the third degree and not conviction of second-degree battery. Hall v. State, 11 Ark. App. 53, 666 S.W.2d 408 (1984).

Where the jury reasonably could have found that defendant acted purposely, and injury to a person was occasioned by use of a deadly weapon, only “physical injury” need have been shown, and it was not necessary for the state to show “serious physical injury” to obtain a conviction under (a)(2). Cole v. State, 33 Ark. App. 98, 802 S.W.2d 472 (1991).

This section requires “physical injury” if the victim is a law enforcement officer acting in the line of duty. Armstrong v. State, 35 Ark. App. 188, 816 S.W.2d 620 (1991).

Where the jury could have reasonably found defendant acted purposely, and where the injury was occasioned by the use of a deadly weapon, only physical injury, not serious physical injury, need have been shown. Gilkey v. State, 41 Ark. App. 100, 848 S.W.2d 439 (1993).

Evidence that victim was hit repeatedly in the head and face with defendant's fist, was kicked repeatedly, has a permanent scar on her forehead, and remained in the hospital for thirty-six to forty-eight hours, held sufficient to support defendant's conviction for second degree battery. Black v. State, 50 Ark. App. 42, 901 S.W.2d 849 (1995).

The physical injury sustained by a police officer while attempting to arrest the defendant was insufficient to support a conviction where the officer testified that he did not even notice his injury until after the defendant had been subdued and other officers called his attention to it. Allen v. State, 64 Ark. App. 49, 977 S.W.2d 230 (1998).

Evidence was sufficient to establish that the victim sustained physical injury where he experienced pain from bruises and scrapes on his hands, face, elbows, and knees, and testified that he had a painful bruise on the side of his face from a blow received from the defendant. Pettigrew v. State, 64 Ark. App. 339, 984 S.W.2d 72 (1998).

Evidence was sufficient to show that the victim sustained a physical injury, even though he was not hospitalized, where she testified that she was stabbed in the shoulder, back, and arm and that the knife penetrated the muscle in her shoulder area, that she felt faint and “felt this warmness run down my body,” that she was scarred as a result of the attack, and that she continued to receive treatment for those scars. Farrelly v. State, 70 Ark. App. 158, 15 S.W.3d 699 (2000).

The evidence failed to show that defendant caused a victim serious physical injury as required by § 5-13-201(a)(1) or § 5-1-102(19) or physical injury by means of a firearm as required by § 5-13-201(a)(7), even though defendant hit the victim with the butt of a pistol, where the injury did not require stitches, and striking a person in such a manner did not constitute injury to another person by means of a firearm under § 5-13-201(a)(7); this injury was covered by § 5-13-202(a)(1). Smith v. State, 352 Ark. 92, 98 S.W.3d 433 (2003).

In determining whether a “physical injury” occurred, the trier of fact may consider the sensitivity of the area of the body to which the injury is inflicted and the severity of the attack; thus, where victim testified that defendant beat him repeatedly with a steel pipe, resulting in his face and nose being “busted up” as well as considerable facial bleeding, the trial court did not err in finding that defendant's purpose was to inflict substantial pain with the pipe. Stultz v. State, 92 Ark. App. 204, 212 S.W.3d 42 (2005).

Trial court did not err in refusing to direct the verdicts where defendant took actions to conceal the harm to the child, and failed to take action to secure appropriate care for the child; the jury could conclude that defendant rubbing a substance known to cause skin irritation on the face of a toddler where Superglue had already adhered would cause, at the very least, the impairment of physical condition or a visible mark associated with the physical trauma. Price v. State, 2009 Ark. App. 664, 344 S.W.3d 678 (2009).

Circuit court did not err in denying defendant's motion for directed verdict on the charge of battery in the second degree because the victim, a jailer, testified he suffered an abrasion on his forehead during the altercation with defendant; scratches and abrasions are sufficient to meet the definition of physical injury, and the jury was entitled to give credit to the victim's testimony. Chambers v. State, 2020 Ark. App. 54, 595 S.W.3d 371 (2020).

Separate Offenses.

Where the evidence displayed defendant's impulse to kidnap the victim and additional impulses to batter and threaten to kill her when she resisted the kidnapping, convictions for the separate offenses of first-degree terroristic threatening (§ 5-13-301), second-degree battery, and attempted kidnapping (§ 5-3-201) were upheld because defendant's criminal acts were not all part of the attempted kidnapping and were not a continuing course of conduct. Hagen v. State, 318 Ark. 139, 883 S.W.2d 832 (1994).

Trial court did not err in determining that consecutive sentencing for aggravated robbery, § 5-12-103(a)(1), first-degree terroristic threatening, § 5-13-301(a)(1)(A), and second-degree battery, under subdivision (a)(2) of this section, did not violate the prohibition against double jeopardy in Ark. Const. Art. 2, § 8 and the Fifth Amendment because neither first-degree terroristic threatening nor second-degree battery was a lesser-included offense of aggravated robbery since both crimes required proof of additional facts not required by aggravated robbery; the offense of first-degree terroristic threatening requires the elements of threatening to cause the death of the victim and the purpose of terrorizing the victim, and a conviction for second-degree battery requires proof of purposely causing physical injury to the victim. Walker v. State, 2012 Ark. App. 61, 389 S.W.3d 10 (2012).

Cited: Crenshaw v. State, 271 Ark. 484, 609 S.W.2d 120 (Ct. App. 1980); Barnes v. State, 4 Ark. App. 84, 628 S.W.2d 334 (1982); Van Sickle v. State, 16 Ark. App. 143, 698 S.W.2d 308 (1985); Jernigan v. State, 38 Ark. App. 102, 828 S.W.2d 864 (1992); Kelley v. State, 75 Ark. App. 144, 55 S.W.3d 309 (2001); Hayes v. State, 2009 Ark. App. 663 (2009); Ross v. State, 2012 Ark. App. 243 (2012); Washington v. State, 2014 Ark. App. 122 (2014).

5-13-203. Battery in the third degree.

  1. A person commits battery in the third degree if:
    1. With the purpose of causing physical injury to another person, the person causes physical injury to any person;
    2. The person recklessly causes physical injury to another person;
    3. The person negligently causes physical injury to another person by means of a deadly weapon; or
    4. The person purposely causes stupor, unconsciousness, or physical or mental impairment or injury to another person by administering to the other person, without the other person's consent, any drug or other substance.
  2. Battery in the third degree is a Class A misdemeanor.

History. Acts 1975, No. 280, § 1603; A.S.A. 1947, § 41-1603.

Research References

ALR.

Dog as deadly or dangerous weapon for purposes of statutes aggravating offenses such as assault and robbery. 124 A.L.R.5th 657.

Parts of Human Body, other than Feet, as Deadly or Dangerous Weapons or Instrumentalities for Purposes of Statutes Aggravating Offenses such as Assault and Robbery. 67 A.L.R.6th 103.

Ark. L. Rev.

Case Note, Criminal Liability for Attempting to Inflict the AIDS Virus: Possibilities in Arkansas' Future, 45 Ark. L. Rev. 505.

Case Notes

Defense or Justification.

An officer could not justify an assault on a prisoner on ground that it was committed to suppress disorderly conduct. Stone v. State, 56 Ark. 345, 19 S.W. 968 (1892).

Where a conductor, assaulted by a passenger, used force to repel such assault, the burden was on the railroad company to show that the conductor used no more force than appeared to him, as a reasonable man, necessary to repel the assault. Saint Louis S.W. Ry. v. Berger, 64 Ark. 613, 44 S.W. 809 (1898) (decision under prior law).

The defendant had to be free from all carelessness in reaching the conclusion that his own safety demanded the action he took against the plaintiff. Downey v. Duff, 106 Ark. 4, 152 S.W. 1010 (1912) (decision under prior law).

Court did not err in instructing jury that no one was allowed to exercise right of self defense, if he willingly entered into a fight, where defendant did not request clarification, and made no specific objection to the instruction. Hadaway v. State, 215 Ark. 658, 222 S.W.2d 799 (1949) (decision under prior law).

Evidence.

Circumstantial evidence held sufficient to support the defendants' conviction of third-degree battery. Vail v. State, 267 Ark. 1078, 593 S.W.2d 491 (Ct. App. 1980).

Evidence held insufficient to support conviction. Kelley v. State, 7 Ark. App. 130, 644 S.W.2d 638 (1983), superseded by statute as stated in, Conner v. State, 75 Ark. App. 418, 58 S.W.3d 865 (2001); Baumer v. State, 300 Ark. 160, 777 S.W.2d 847 (1989).

Evidence held sufficient to support conviction. B.J. v. State, 56 Ark. App. 35, 937 S.W.2d 675 (1997).

Where the victim, a witness, and an officer testified concerning the incident in which defendant knocked the victim to the floor and then kicked her, the evidence was overwhelming proof that defendant, with the purpose of causing injury to the victim, physically injured the victim; thus, the improper admission of the unavailable officer's testimony was harmless error as to the offense of third-degree battery, subdivisions (a)(1)-(2) of this section. Proctor v. State, 349 Ark. 648, 79 S.W.3d 370 (2002).

Evidence was sufficient to convict defendant of battery in the third degree under subdivision (a)(1) of this section because defendant admitted to purposely hitting the victim, the victim and two witnesses testified that the victim had an injury to the forehead following the incident, and an officer testified as to the victim's injury. Beare v. State, 2010 Ark. App. 544 (2010).

Trial court's finding that defendant violated the conditions of his suspended sentence by committing third-degree battery under subdivision (a)(l) of this section was not clearly against the preponderance of the evidence, because two witnesses testified that defendant struck the victim multiple times in the face, causing cuts to his mouth and significant bleeding. Knotts v. State, 2012 Ark. App. 121 (2012).

Suspension of an earlier sentence was properly revoked because defendant committed domestic battery in the third degree where an infant child suffered an arm fracture in defendant's care, and a medical examination revealed healing fractures other places; moreover, there was evidence that other injury incidents had occurred while the child was in defendant's care, and there was testimony that defendant was too rough with the child. The standard for reckless was what a reasonable person in the circumstances would have observed. Singletary v. State, 2013 Ark. App. 699 (2013).

Instructions.

Where defendant was charged with second-degree battery in connection with assault on police officer and the court properly instructed the jury as to the burden of proof and elements required before the jury could convict under § 5-13-202, battery in the second degree, and lesser included charges, and where the jury found the defendant guilty only of battery in the third degree which does not require as an element any offense against a law enforcement officer, there was no error in the refusal of the court to give requested instruction which concerned the state's burden to prove that defendant knowingly used physical force against a law enforcement officer. Breeden v. State, 270 Ark. 90, 603 S.W.2d 459 (1980).

In second degree battery prosecution, court erred in refusing to give instruction on lesser included offense of third degree battery where the jury could rationally have found that the defendant “recklessly” caused the injury. Johnson v. State, 28 Ark. App. 256, 773 S.W.2d 450 (1989).

Following a vehicle collision, defendant was charged with driving while intoxicated as a second offense, negligent homicide, first-degree battery, and aggravated assault. Defendant invited any error committed by the trial court in giving his requested instruction on third-degree battery that also included the element of physical injury caused by means of a deadly weapon under subdivision (a)(3) of this section. Hayes v. State, 2009 Ark. App. 663 (2009).

Court of appeals refused to consider defendant's argument that the trial court abused its discretion in denying his proffered third-degree battery instruction because defendant did not make the argument to the trial court; defendant made no argument regarding the firearm or the mental state required for the proffer of his third-degree-battery instruction, and the trial court did not consider the third-degree instruction as it related to evidence other than the evidence surrounding a pool cue. Reed v. State, 2011 Ark. App. 352, 383 S.W.3d 881 (2011).

Where a defendant appealed his conviction for first-degree battery, a trial court abused its discretion in failing to instruct the jury on third-degree battery since there was some evidence to support such an instruction. The defendant testified that he did not mean to drop the infant on her head and that it was an accident, and an expert offered his opinion that a baby's skull could be fractured by a fall such as the one described by the defendant. Washington v. State, 2014 Ark. App. 122 (2014).

Lesser Included Offenses.

Battery is not a lesser included offense of robbery; third degree battery requires proof of physical injury while robbery calls for the employment of physical force with no physical injury necessary. Robinson v. State, 14 Ark. App. 38, 684 S.W.2d 824 (1985).

Battery in the second degree and battery in the third degree require proof that a deadly weapon was used; in contrast, use of a deadly weapon is not necessary for the commission of manslaughter. Since battery in the second degree and third degree require proof of an element not an element of proof of manslaughter, they are not lesser included offenses of manslaughter. Tackett v. State, 298 Ark. 20, 766 S.W.2d 410 (1989), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002).

Trial court did not err by refusing to instruct a jury on third-degree battery as a lesser included offense of second-degree battery, in violation of § 5-13-202(a)(4)(A)(i), where there was no evidence tending to disprove that the victim was an employee of a correctional facility; there was testimony that referred to the victim as a “detention officer” and “jailer.” Davis v. State, 97 Ark. App. 6, 242 S.W.3d 630 (2006).

To the extent that defendant convicted of second-degree battery attempted to argue that the jury should have been instructed on third-degree battery as a lesser-included offense because the jury could have rationally found him to have recklessly caused the injuries to the victim, his argument was not preserved, because although he proffered an instruction on third-degree battery based on the first definition of third-degree battery in subsection (a) of this section, which involved purposely causing physical injury, there was no indication that he requested an instruction based on the second definition in the statute, which involved recklessness. Defendant was thus procedurally barred from raising an argument based on an element of recklessness. Lytle v. State, 2012 Ark. App. 246 (2012).

During parents' trial for first-degree battery against their infant, the court did not err in refusing to instruct the jury on the lesser-included offense of third-degree battery, in violation of subdivision (a)(2) of this section, because the physical injury the infant sustained could only be described as serious; the infant was severely malnourished to the point of starvation and death would have occurred within days without medical attention. Bruner v. State, 2013 Ark. 68, 426 S.W.3d 386 (2013).

Physical Injury.

Evidence held insufficient to establish that victim's physical condition was impaired or that he was inflicted with substantial pain. Kelley v. State, 7 Ark. App. 130, 644 S.W.2d 638 (1983), superseded by statute as stated in, Conner v. State, 75 Ark. App. 418, 58 S.W.3d 865 (2001).

The difference between the crime of second-degree battery and the crime of third-degree battery is that third-degree battery concerns “physical injury” rather than “serious physical injury.” Hall v. State, 11 Ark. App. 53, 666 S.W.2d 408 (1984).

Injuries which involved serious bruising of child would support only the lesser included offense of battery in the third degree and not conviction of second-degree battery. Hall v. State, 11 Ark. App. 53, 666 S.W.2d 408 (1984).

Where the two-year old victim had bite marks on her buttocks, and pinch marks and apparent fingerprints on her face, and there was testimony by the babysitter that the child appeared to be terrified of the defendant, the jury could reasonably find that the infliction of the bruises was accompanied by the infliction of substantial pain and the victim suffered “physical injury.” Spencer v. State, 17 Ark. App. 149, 705 S.W.2d 454 (1986).

The fact that the victim was injured but not seriously did not preclude a charge of attempted first degree battery, even though the defendant's conduct also fit the definition of battery in the third degree. Mitchell v. State, 290 Ark. 87, 717 S.W.2d 195 (1986).

Trial court did not abuse its discretion by failing to give a proffered jury instruction on third degree battery because the only rational conclusion was that the victim of a shooting suffered a serious physical injury, as opposed to a physical injury; an officer described the gunshot as a fairly severe wound, stated that there was a substantial amount of bleeding, and said that he was concerned that the victim would die before the ambulance arrived. Bennett v. State, 2014 Ark. App. 624, 447 S.W.3d 602 (2014).

Cited: Harmon v. State, 260 Ark. 665, 543 S.W.2d 43 (1976); Martin v. State, 261 Ark. 80, 547 S.W.2d 81 (1977); Sbabo v. State, 264 Ark. 497, 572 S.W.2d 585 (1978); Bolden v. State, 267 Ark. 504, 593 S.W.2d 156 (1980); Viar v. State, 269 Ark. 772, 601 S.W.2d 579 (Ct. App. 1980); Breeden v. State, 270 Ark. 90, 603 S.W.2d 459 (1980); Vowell v. State, 4 Ark. App. 175, 628 S.W.2d 599 (1982); Holmes v. State, 15 Ark. App. 163, 690 S.W.2d 738 (1985); Armstrong v. State, 35 Ark. App. 188, 816 S.W.2d 620 (1991); Hagen v. State, 315 Ark. 20, 864 S.W.2d 856 (1993); Marshall v. State, 68 Ark. App. 223, 5 S.W.3d 496 (1999); Mosley v. State, 2016 Ark. App. 353, 499 S.W.3d 226 (2016).

5-13-204. Aggravated assault.

  1. A person commits aggravated assault if, under circumstances manifesting extreme indifference to the value of human life, he or she purposely:
    1. Engages in conduct that creates a substantial danger of death or serious physical injury to another person;
    2. Displays a firearm in such a manner that creates a substantial danger of death or serious physical injury to another person; or
    3. Impedes or prevents the respiration of another person or the circulation of another person's blood by applying pressure on the chest, throat, or neck or by blocking the nose or mouth of the other person.
  2. Aggravated assault is a Class D felony.
  3. The provisions of this section do not apply to:
    1. A law enforcement officer acting within the scope of his or her duty; or
    2. A person acting in self-defense or the defense of a third party.

History. Acts 1975, No. 280, § 1604; A.S.A. 1947, § 41-1604; Acts 2003, No. 1113, § 1; 2009, No. 332, § 1; 2019, No. 243, § 1.

Amendments. The 2009 amendment inserted (a)(3) and made related and minor stylistic changes.

The 2019 amendment inserted “chest” in (a)(3).

Research References

Ark. L. Rev.

Case Note, Criminal Liability for Attempting to Inflict the AIDS Virus: Possibilities in Arkansas' Future, 45 Ark. L. Rev. 505.

U. Ark. Little Rock L.J.

Davis, Survey of Arkansas Law: Criminal Law, 2 U. Ark. Little Rock L.J. 193.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Assault, 26 U. Ark. Little Rock L. Rev. 365.

Case Notes

Accomplices.

No accomplice criminal responsibility results from supplying an intoxicant to one allegedly responsible as a principal for violations of subsection (a) of this section, § 5-10-104(a)(1), or § 27-53-101(a)(1). Fight v. State, 314 Ark. 438, 863 S.W.2d 800 (1993).

Acts Constituting Assault.

Shooting into a crowd was an assault upon each member of the crowd. Scott v. State, 49 Ark. 156, 4 S.W. 750 (1887) (decision under prior law).

Drawing a knife and advancing toward the prosecuting witness constituted an assault, although the prosecuting witness fled and the defendant did not follow. Wells v. State, 108 Ark. 312, 157 S.W. 389 (1913) (decision under prior law).

Where defendant drew a cocked shotgun on complainant, there was a presumption that shotgun was loaded. Ball v. State, 192 Ark. 858, 95 S.W.2d 632 (1936) (decision under prior law).

If the jury believed, as it could from the evidence, the victim did not engage in conduct that created a substantial danger of death or serious physical injury to the defendant, or that the circumstances did not demonstrate that the victim acted with extreme indifference to the value of human life, then it could not have concluded that he had committed an aggravated assault. Thomas v. State, 266 Ark. 162, 583 S.W.2d 32 (1979).

Evidence held sufficient where defendant made a threatening statement, pointed a pistol at the victims and then cocked the hammer; based on this evidence, the trier of fact could infer from the circumstances that the gun was loaded. Schwede v. State, 49 Ark. App. 87, 896 S.W.2d 454 (1995).

Defendant's conviction for aggravated assault was proper because there was evidence that defendant's conduct created a substantial risk of serious physical injury, as defined in § 5-1-102(21); defendant hit the victim with the butt of a pistol with sufficient force to knock the victim down, breaking facial bones and causing the victim's eye to swell shut. Pitts v. State, 2012 Ark. App. 228 (2012).

Defendant's actions in following the victims, driving toward the victims in his car at full speed, and running from the scene after hitting one of the victims constituted substantial evidence supporting his aggravated assault conviction. Guana-Lopez v. State, 2014 Ark. App. 204 (2014).

Codefendants.

One defendant was not liable for an unexpected assault by his codefendant. Le Laurin v. Murray, 75 Ark. 232, 87 S.W. 131 (1905) (decision under prior law).

Construction With Other Law.

Defendant's Arkansas aggravated assault conviction was not a violent felony under the federal Armed Career Criminal Act's force clause, 18 U.S.C. § 924(e), because subdivision (a)(1) of this section only required the government to prove conduct that created a substantial danger of death or serious physical injury. United States v. Jordan, 812 F.3d 1183 (8th Cir. 2016).

Defense or Justification.

The person assaulted went to the defendant's house and threatened to kill him and followed him with a gun making violent threats was admissible only in mitigation of the punishment and not as a justification where, at the time the assault was committed, the person assaulted had laid down his gun and was going away. Stricklin v. State, 67 Ark. 349, 56 S.W. 270 (1900) (decision under prior law).

A parent could defend a child against an unlawful assault by the other parent. Cox v. State, 99 Ark. 90, 136 S.W. 989 (1911) (decision under prior law).

The burden was upon the one who committed the assault to show that he was justified. Robertson v. Sisk, 115 Ark. 461, 171 S.W. 880 (1914) (decision under prior law).

Because defendant presented evidence arguably supporting self defense or a justification defense to a charge of aggravated assault under Arkansas law, the government had to negate that defense by a preponderance of the evidence for an enhancement for using the firearm in connection with another felony offense under U.S. Sentencing Guidelines Manual § 2K2.1(b)(5) [now (b)(6)] (2005), to apply because whether circumstances negated defendant's excuse or justification was an element of the offense under § 5-1-102(5)(C), which had to be proved by the state under § 5-1-111(a)(1), and the definition of aggravated assault expressly excluded any person acting in self-defense or the defense of a third party under subdivision (c)(2) of this section. United States v. Raglin, 500 F.3d 675 (8th Cir. 2007).

Preponderance of the evidence supported the district court's finding that defendant's use of deadly physical force under § 5-2-601(2) and (6)(B), which occurred when he pointed a loaded pistol at an undercover officer, was not justified or in self defense, and thus, he was guilty of the felony of aggravated assault under Arkansas law, and the four-level enhancement under U.S. Sentencing Guidelines Manual § 2K2.1(b)(5) [now (b)(6)] was properly imposed because (1) defendant did not act in self-defense within the meaning of subdivision (c)(2) of this section as he used deadly force against men who had obeyed his command to leave his property and who were loitering on the public sidewalk in front of his house as there was no evidence they were imminently endangering defendant's life under § 5-2-607(a); (2) under § 5-2-607(b)(1), defendant could not use deadly force after he had retreated safely to his house and returned later, unprovoked, to threaten the men; (3) defendant's conduct was not justified as permissible defense of his property within the purview of § 5-2-608 because use of deadly physical force was not authorized by § 5-2-607, and he had no reason to believe that the men who had quietly obeyed a command to leave his property would come back to commit arson or burglary; and (4) defendant's conduct was not justified to defend his home under § 5-2-620 because the men defendant assaulted were not attempting to enter his home, so the statute did not apply. United States v. Raglin, 500 F.3d 675 (8th Cir. 2007).

Denial of defendant's motion for a brain injury examination did not deprive defendant of a basic tool for his defense as defendant was examined by a psychologist and he failed to object to the admission of the psychologist's report into evidence; defendant could not assert that failure to appoint a head-injury expert rose to the level of protection afforded by the third Wicks exception as (1) defendant was given an opportunity by the trial court to renew the motion for an appointment of the expert but he failed to do so, (2) it was not the trial court's duty to adequately prepare and present defendant's defense, and (3) defendant's argument could not be reviewed as an issue that fell within the purview of Ark. R. App. P. Crim. 10(b)(iv) because it was not a serious error requiring the trial court to intervene and issue an admonition or declare a mistrial. Springs v. State, 368 Ark. 256, 244 S.W.3d 683 (2006), cert. denied, 550 U.S. 939, 127 S. Ct. 2257, 167 L. Ed. 2d 1100 (2007).

Trial court did not err in sustaining state's objection that the terms of the civil dispute regarding a loan and the collateral for the loan were irrelevant and in refusing to permit defendant to question the victim concerning the property that had been collateral for the loan because, even if the victim had lied regarding the terms of the loan, that would be no defense to the crimes for which he was convicted, which included kidnapping, terroristic threatening, and aggravated assault. Tarpley v. State, 97 Ark. App. 122, 245 S.W.3d 192 (2006).

In a bench trial resulting in defendant's convictions for aggravated assault on a family member and aggravated assault, the circuit court erred as a matter of law in refusing to consider the defense of justification by ruling that defendant could not present the inconsistent defenses of a general denial and justification; where there is evidence that would support a finding of self-defense, case law has held that a jury instruction is appropriate notwithstanding defendant's testimony that he did not commit the crime. Thus, the circuit court committed an error of law in ruling that defendant was required to choose between the defenses of general denial and justification. Gray v. State, 2019 Ark. App. 543, 590 S.W.3d 177 (2019).

Double Jeopardy.

Where the prosecutor's reference to the fact that defendant had been drinking was indirect and brief, the state did not use defendant's conduct of operating a motor vehicle in an intoxicated condition to prove the assault charge; therefore, the state did not establish an essential element of the assault offense by proving conduct constituting an offense for which defendant had already been prosecuted and, therefore, defendant was not placed in double jeopardy. Kaspar v. State, 41 Ark. App. 158, 852 S.W.2d 141 (1993).

Defendant's convictions for aggravated assault in and use of a firearm in commission of a felony in violation of § 16-90-120 did not subject defendant to double jeopardy as the § 16-90-120 conviction was used to enhance defendant's sentence. Davis v. State, 93 Ark. App. 443, 220 S.W.3d 248 (2005).

Trial court properly denied appellant postconviction relief because he failed to show a double-jeopardy violation arising out of the charges for commission of a terroristic act, criminal attempt to commit first-degree battery, and aggravated assault; there were six separate criminal violations resulting from six separate impulses in the firing of six separate shots. Lee v. State, 2017 Ark. 337, 532 S.W.3d 43 (2017).

Evidence.

Evidence held sufficient to sustain conviction. Hogan v. State, 224 Ark. 191, 272 S.W.2d 312 (1954) (decision under prior law).

Where there was evidence sufficient to demonstrate that the defendant manifested extreme indifference to the value of human life and that he purposely engaged in a course of conduct that created a substantial danger of death or serious physical injury to the victim there was sufficient evidence to support a conviction for aggravated assault. Vann v. State, 14 Ark. App. 1, 684 S.W.2d 265 (1985).

In proving that a defendant acted purposely to support a conviction for aggravated assault, it is only necessary to show that the defendant manifested extreme indifference to the value of human life and that he purposely engaged in conduct that created a substantial danger of death or serious injury. It is the conduct that must be undertaken purposefully, not the intended result; so long as the defendant purposely engaged in the required conduct, his intent in doing so does not matter. Neely v. State, 18 Ark. App. 122, 711 S.W.2d 482 (1986).

Where there was abundant evidence of the defendant's guilt of aggravated assault, other testimony was held harmless error. Jarreau v. State, 291 Ark. 60, 722 S.W.2d 565 (1987).

Evidence not sufficient to support conviction where defendant, after police officer ordered him to halt, backed up until he was behind a car and pulled a pistol out of his pocket, but where defendant did not point the pistol in the officer's direction or expressly threaten the officer. Wooten v. State, 32 Ark. App. 198, 799 S.W.2d 560 (1990).

Victim's pretrial and in-court identifications of the defendant were unequivocal and clearly constituted sufficient evidence for the jury to conclude without having to speculate that defendant was the perpetrator. Stipes v. State, 315 Ark. 719, 870 S.W.2d 388 (1994).

Evidence held sufficient to support the conviction for criminal use of a prohibited weapon and aggravated assault. Robinson v. State, 49 Ark. App. 58, 896 S.W.2d 442 (1995).

Evidence was sufficient to sustain defendant's conviction for aggravated assault and aggravated assault on a family member when, among other things, evidence showed that defendant drove a car in an attempt to run over the victim, the father of her child, and his girlfriend. Williams v. State, 96 Ark. App. 277, 241 S.W.3d 290 (2006).

Defendant's convictions were supported by substantial evidence where it was shown that (1) shortly after the incident, defendant had a blood-alcohol level of .23 percent, (2) defendant was driving the car that hit two women and narrowly missed a third, (3) just before the impact, defendant was witnessed to speed up and actually swerve the vehicle toward the women's path, and (4) defendant drove away after the impact. Estacuy v. State, 94 Ark. App. 183, 228 S.W.3d 567 (2006).

Offense of terroristic threatening required no more than the communication of a threat, by word or deed, with the purpose of terrorizing the victim, and the offense of aggravated assault was accomplished when defendant displayed the gun and pointed it at the victim; given the testimony that defendant kept the doorway blocked for several minutes after performing those acts and that the victim was prevented from summoning assistance during that time, the evidence was sufficient to sustain the kidnapping conviction. Tarpley v. State, 97 Ark. App. 122, 245 S.W.3d 192 (2006).

Substantial evidence supported defendant's convictions for aggravated robbery, kidnapping, aggravated assault, theft of property, unlawful discharge of a firearm from a vehicle, and fleeing because while the state did not prove that defendant actually entered a bank, it did provide substantial evidence that he was the driver of the getaway car and thus was an accomplice of the two men who committed the aggravated robbery, kidnapping, and theft of property; after an officer turned on his blue lights, defendant accelerated to a speed of 100 miles per hour and struck an SUV, causing it to flip and resulting in injuries to the driver, and that conduct sufficiently satisfied the elements of aggravated assault and fleeing. Barber v. State, 2010 Ark. App. 210, 374 S.W.3d 709 (2010).

Although there was not substantial evidence to support defendant's convictions for aggravated assault pursuant to subsection (a) of this section with respect to defendant sideswiping a victim's vehicle on an interstate, under § 5-1-110(b), the evidence would clearly sustain convictions for the lesser-included offense of first degree assault under § 5-13-205(a); the testimony established defendant acted recklessly when he approached the victim's vehicle from the rear, going very fast, and in passing the victim's vehicle on the left, defendant sideswiped the vehicle. Mance v. State, 2010 Ark. App. 472 (2010).

Evidence was sufficient to sustain an aggravated assault conviction under this section because defendant had complete control of his pit bull, and he directed the dog to attack an officer; by instructing his dog to “get” the officer, defendant intentionally engaged in conduct that put the officer at risk of being bitten by the dog. Banks v. State, 2011 Ark. App. 249 (2011).

Although the circuit court erred in allowing the results of defendant's blood-alcohol test into evidence since the state failed to provide evidence that the blood was drawn by a physician or a person acting under the direction and supervision of a physician as required by this section, defendant was properly convicted of negligent homicide in violation of § 5-10-105 and aggravated assault in violation of this section because there was overwhelming evidence of defendant's intoxication; while the only evidence regarding the concentration of alcohol in defendant's blood came from the blood test, there was sufficient evidence at trial to support defendant's conviction on the alternative theory that defendant negligently caused the victim's death as a result of operation of a motor vehicle while intoxicated. Bates v. State, 2011 Ark. App. 446, 384 S.W.3d 654 (2011).

There was sufficient evidence to support the revocation of defendant's suspended sentences based on his commission of aggravated because he purposely engaged in conduct that created a substantial danger of serious physical injury to the victim and there was no requirement that he verbally convey his intentions to the victim or that the knife be produced where the victim identified the use of a knife as a weapon, and his credibility with regard to it was properly determined by the fact finder. Flurry v. State, 2014 Ark. App. 128 (2014).

Defendant admitted to shooting his gun multiple times in the vicinity of his wife and his friend, and that only his friend was injured did not negate the danger of death or injury that his wife was exposed to in this situation; substantial evidence supported defendant's conviction of aggravated assault. Frazier v. State, 2014 Ark. App. 191 (2014).

Trial court did not err in denying appellant's motion for a directed verdict on an aggravated assault charge where, after realizing that he would be unable to escape from two police officers pursuing him, he turned towards one officer and held a knife in a threatening manner, the officer was able to strike appellant with his baton and take away the knife, and thus, appellant was close enough to the officer to cause serious physical injury. Freeman v. State, 2016 Ark. App. 36, 480 S.W.3d 886 (2016).

Sufficient evidence supported defendant's aggravated assault conviction, given that defendant had beaten the victim repeatedly while she was bound in such a position that she had to hold her head up in order not to choke, photographs depicted serious injuries to her face, head, and neck, and defendant threatened to kill her and talked about disposing of her body. Reynolds v. State, 2016 Ark. 214, 492 S.W.3d 491 (2016).

Substantial evidence supported defendant's aggravated-assault convictions because defendant pointed a gun at a customer inside a bank and fired a shot at close range before exiting the bank and firing a shot toward a second victim; that conduct created a substantial danger of death or serious physical injury to the victims. Hamilton v. State, 2017 Ark. App. 447, 526 S.W.3d 859 (2017).

There was sufficient evidence that the juvenile committed aggravated assault where the juvenile's flight led the officers to a wet, slippery concrete drainage canal that was poorly lit, the juvenile had his hand on a gun in his pocket as he was continuing to resist arrest and physically tussling with the officer trying to subdue him, the juvenile continued to struggle against an officer who was already suffering from a significant arm injury due to a slip and fall, the officer did not draw his weapon, and his injury made him vulnerable to the potential of being shot while trying to wrest the gun from the juvenile. J.N.A. v. State, 2017 Ark. App. 502, 532 S.W.3d 582 (2017).

Evidence was sufficient to convict defendant of aggravated assault because the State introduced sufficient proof that defendant acted under circumstances manifesting extreme indifference to the value of human life where he repeatedly delivered blows to the victim's face and choked her into unconsciousness. Even if the appellate court credited defendant's argument that the State failed to prove that he engaged in conduct that created a substantial danger of death or serious physical injury, the State did not fail to prove that he impeded or prevented the respiration of another person or circulation of another person's blood as the victim testified that defendant choked her until she was unconscious. Harris v. State, 2018 Ark. App. 219, 547 S.W.3d 709 (2018).

Sufficient evidence supported defendant's aggravated assault conviction given testimony that defendant pulled out a gun and waved it at the victim's father when trying to take the victim's child and threatened to shoot the father (no-merit brief). Kelley v. State, 2019 Ark. App. 71, 568 S.W.3d 801 (2019).

There was sufficient evidence from which the jury could have found that defendant's conduct created “a substantial danger of death or serious physical injury” to a police officer to support the conviction for aggravated assault because the evidence established that defendant was physically fighting and resisting an armed police officer who was unprepared to defend himself; the officer's gun could have discharged; and the officer was unable to complete defendant's arrest until another officer arrived to assist. Stuart v. State, 2020 Ark. App. 131 (2020).

—Pointing a Gun.

Assault committed where defendant, after a previous argument with one victim, pointed a gun at that victim and another; although the defendant did not verbally threaten the victims, the fact that a gun is pointed at someone is enough to create a substantial danger of death or serious physical injury to another person. Harris v. State, 72 Ark. App. 227, 35 S.W.3d 819 (2000).

Evidence was sufficient to support a conviction for aggravated assault where the defendant pointed a gun at another person and a search of her vehicle, shortly thereafter, found a loaded gun with one round chambered and the safety off. Dillehay v. State, 74 Ark. App. 100, 46 S.W.3d 545 (2001).

Because defendant did not point the gun at the officer or expressly threaten the officer, defendant was not guilty of aggravated assault. Swaim v. State, 78 Ark. App. 176, 79 S.W.3d 853 (2002).

Evidence was sufficient to convict defendant of three counts of aggravated assault as pointing a loaded handgun at someone was enough to create a substantial danger of death or serious physical injury. Martinez v. State, 2018 Ark. App. 187, 545 S.W.3d 264 (2018).

Instructions.

Where it was sought to convict a peace officer of an aggravated assault by proof that he used more violence in making an arrest than was necessary and the court charged the jury that if defendant used greater force or violence in making the arrest than was apparently necessary, he would not be justified, it was error to refuse a further instruction asked by the defendant to the effect that the defendant had a right to protect himself from serious bodily injury even though it subsequently appeared that he used more force than was actually necessary. Gillespie v. State, 69 Ark. 573, 64 S.W. 947 (1901) (decision under prior law).

Where trial court forcefully told jury that it could not convict defendant of assault with intent to kill unless the offense would have been murder had the victim died, contention by defendant that court's instruction placed excessive and unfair emphasis on the crime of murder was without merit. Doyle v. State, 253 Ark. 844, 489 S.W.2d 793 (1973) (decision under prior law).

In a prosecution for assault with intent to rape, where the defendant was guilty of an aggravated assault or assault with a deadly weapon, the trial court did not err in refusing instruction on a simple assault. Frederick v. State, 258 Ark. 553, 528 S.W.2d 362 (1975) (decision under prior law).

Evidence and the defense offered by defendant required trial court to give lesser included instructions requested by defendant. Fladung v. State, 292 Ark. 510, 730 S.W.2d 901 (1987).

Intent.

The principal difference between aggravated assault and assault in the first degree is that one who commits an aggravated assault must act purposely, but one who commits an assault in the first degree need only act recklessly. Rust v. State, 263 Ark. 350, 565 S.W.2d 19 (1978); Neely v. State, 18 Ark. App. 122, 711 S.W.2d 482 (1986).

Substantial evidence supported conclusion that defendant acted with necessary indifference to value of human life and purpose to prove aggravated assault. Kendrick v. State, 37 Ark. App. 95, 823 S.W.2d 931 (1992).

Sufficient evidence established defendant had the necessary purposeful intent, as defined in § 5-2-202(1), to commit aggravated assault in violation of subsection (a) of this section with respect to a vehicular incident on a local road because the victim testified defendant stopped his car, put it in reverse, and rammed into the victim's vehicle enough times and with enough force to cause her vehicle to spin; the victim's testimony constituted substantial evidence that it was defendant's conscious object to engage in conduct that created a substantial danger of death or serious physical injury to the victim and her infant son, who was also in the car. Mance v. State, 2010 Ark. App. 472 (2010).

Substantial evidence supported a finding that defendant had the required purpose for aggravated assault when he discharged a gun in the direction of a step that was three steps down from where the victim was standing. Defendant's explanation of the gun accidentally firing did not match the physical evidence of bullet fragments found near a pock mark on the first step to the front porch and both the victim (an officer who had not identified himself) and defendant being wounded. Montalvo v. State, 2012 Ark. App. 119 (2012).

Trial counsel was not ineffective for failing to make an appropriate motion for directed verdict because appellant failed to show that the motion, even if properly preserved for appeal, would have been meritorious; it was not necessary for the State to demonstrate he aimed the gun at the individual occupants of the house or intended to shoot them because firing the gun in the direction of the victim and the home placed the victim and the occupants' lives in danger and demonstrated the requisite indifference. Lee v. State, 2017 Ark. 337, 532 S.W.3d 43 (2017).

Lesser Included Offenses.

An assault was included in the charge of robbery. Fox v. State, 50 Ark. 528, 8 S.W. 836 (1888) (decision under prior law).

One could not violate former section dealing with the drawing of deadly weapons without also violating former section defining assault, as the element of assault entered into the higher crime. Sullivan v. State, 131 Ark. 107, 198 S.W. 518 (1917) (decision under prior law).

Aggravated assault held to be a lesser included offense to the charge of criminal attempt to commit capital murder. Moore v. State, 280 Ark. 222, 656 S.W.2d 698 (1983); James v. State, 280 Ark. 359, 658 S.W.2d 382 (1983).

It was permissible for the jury to reject the more serious charge of attempted first degree murder, which would require a finding of a higher degree of culpability than was required of the lesser included offense, and to find the defendant guilty of the lesser offense of aggravated assault. Maples v. State, 16 Ark. App. 175, 698 S.W.2d 807 (1985).

Defendant committed aggravated robbery offense when he entered trailer and announced his intent to rob victims; subsequent actions constituted a separate offense, viz., aggravated assault. Birchett v. State, 294 Ark. 176, 741 S.W.2d 267 (1987).

Aggravated robbery and aggravated assault, arising from the same incident, overlap. Bishop v. State, 294 Ark. 303, 742 S.W.2d 911 (1988), overruled in part, Matthews v. State, 2009 Ark. 321, 319 S.W.3d 266 (2009).

Aggravated and first degree assault are not lesser included offenses of resisting arrest. Enoch v. State, 37 Ark. App. 103, 826 S.W.2d 291 (1992).

Where there was no proof presented that defendant did not have a weapon during the aggravated robbery, it was not error for the trial court to refuse to instruct on the lesser included offenses of robbery and aggravated assault. Tarkington v. State, 313 Ark. 399, 855 S.W.2d 306 (1993).

First-degree battery and aggravated assault are not lesser-included offenses of reckless driving and are not the same offenses for double jeopardy purposes. Sherman v. State, 326 Ark. 153, 931 S.W.2d 417 (1996).

Trial court did not err in refusing to instruct the jury on aggravated assault during defendant's trial for aggravated robbery because aggravated assault, in violation of subdivisions (a)(1) and (2) of this section, was not a lesser-included offense of aggravated robbery pursuant to § 5-1-110(b)(1) as the two offenses required different elements of proof; aggravated assault required proof of circumstances manifesting extreme indifference to the value of human life, whereas aggravated robbery did not require such proof. Matthews v. State, 2009 Ark. 321, 319 S.W.3d 266 (2009).

Preservation for Review.

Because defendant, who was convicted under subdivsion (a)(2) of this section, failed to raise the arguments he made on appeal to the circuit court, his arguments that the evidence was insufficient to support his convictions were not preserved for review; neither of the arguments defendant made on appeal was the argument he made to the circuit court in his directed-verdict motions. Sampson v. State, 2018 Ark. App. 160, 544 S.W.3d 580 (2018).

Cited: Warren v. State, 272 Ark. 231, 613 S.W.2d 97 (1981); Bell v. Lockhart, 741 F.2d 1105 (8th Cir. 1984); Toland v. State, 285 Ark. 415, 688 S.W.2d 718 (1985); Jones v. State, 27 Ark. App. 24, 765 S.W.2d 15 (1989); Parker v. State, 300 Ark. 360, 779 S.W.2d 156 (1989); Bates v. Bates, 303 Ark. 89, 793 S.W.2d 788 (1990); Johnson v. State, 307 Ark. 525, 823 S.W.2d 440 (1992); Cooper v. State, 324 Ark. 135, 919 S.W.2d 205 (1996); Guy v. State, 323 Ark. 649, 916 S.W.2d 760 (1996); Sanders v. State, 326 Ark. 415, 932 S.W.2d 315 (1996).

5-13-205. Assault in the first degree.

  1. A person commits assault in the first degree if he or she:
    1. Recklessly engages in conduct that creates a substantial risk of death or serious physical injury to another person; or
    2. Purposely impedes or prevents the respiration of another person or the circulation of another person's blood by applying pressure on the throat or neck or by blocking the nose or mouth of the other person.
  2. Assault in the first degree is a Class A misdemeanor.
  3. It is a defense to prosecution under subdivision (a)(2) of this section if the other person consented to the impeding or prevention of his or her respiration or circulation of blood.

History. Acts 1975, No. 280, § 1605; A.S.A. 1947, § 41-1605; Acts 2009, No. 332, § 2.

Amendments. The 2009 amendment, in (a), inserted (a)(2), redesignated the remaining text accordingly, and made related changes; and added (c).

Research References

Ark. L. Rev.

Case Note, Criminal Liability for Attempting to Inflict the AIDS Virus: Possibilities in Arkansas' Future, 45 Ark. L. Rev. 505.

Case Notes

Acts Constituting Assault.

Shooting into a crowd was an assault upon each member of the crowd. Scott v. State, 49 Ark. 156, 4 S.W. 750 (1887) (decision under prior law).

Drawing a knife and advancing toward the prosecuting witness constituted an assault, although the prosecuting witness fled and the defendant did not follow. Wells v. State, 108 Ark. 312, 157 S.W. 389 (1913) (decision under prior law).

Where defendant drew a cocked shotgun on complainant, there was a presumption that shotgun was loaded. Ball v. State, 192 Ark. 858, 95 S.W.2d 632 (1936) (decision under prior law).

Codefendants.

One defendant was not liable for an unexpected assault by his codefendant. Le Laurin v. Murray, 75 Ark. 232, 87 S.W. 131 (1905) (decision under prior law).

Defense or Justification.

A parent could defend a child against an unlawful assault by the other parent. Cox v. State, 99 Ark. 90, 136 S.W. 989 (1911) (decision under prior law).

The burden was upon the one who committed the assault to show that he was justified. Robertson v. Sisk, 115 Ark. 461, 171 S.W. 880 (1914) (decision under prior law).

While §§ 5-2-606 and 5-2-607 stated that the defendant was justified in using force or deadly force only if he reasonably believed that the situation necessitated the defensive force employed, both first-degree and second-degree assault were committed if defendant acted recklessly, under this section and § 5-13-206, and § 5-2-614 provided that justification was not available as a defense to an offense for which recklessness suffices to establish culpability; therefore, defendant was not entitled to self-defense or justification instructions with regard to his charges for first and second-degree assault. Merritt v. State, 82 Ark. App. 351, 107 S.W.3d 894 (2003).

Evidence Sufficient.

Evidence was sufficient to convict defendant of first-degree assault because, after defendant pursued the victim into his home and cornered him, the victim pulled his gun, and defendant pulled his gun and pointed it at the victim as he was leaving the victim's home. Defendant was not entitled to the defense of justification, even if his argument had been preserved for review, as he created the situation with the victim because he sat in wait for the victim to return home; upon his return, defendant confronted him, attacked him, and continued to pursue him into his home; and the victim pulled a gun on defendant when he was backed into a corner and scared. Petty v. State, 2017 Ark. App. 347 (2017).

Intent.

The principal difference between aggravated assault and assault in the first degree is that one who commits an aggravated assault must act purposely, but one who commits an assault in the first degree need only act recklessly. Rust v. State, 263 Ark. 350, 565 S.W.2d 19 (1978); Neely v. State, 18 Ark. App. 122, 711 S.W.2d 482 (1986).

By loading a shotgun and pointing it at the victims, defendant purposely created a substantial danger of death or physical injury under circumstances manifesting an extreme indifference to the value of human life; therefore, the evidence supported her conviction for aggravated assault under this section. It was not required that she intend harm to the victims. Warden v. State, 2011 Ark. App. 75, 381 S.W.3d 140 (2011).

Lesser Included Offenses.

An assault was included in the charge of robbery. Fox v. State, 50 Ark. 528, 8 S.W. 836 (1888) (decision under prior law).

One could not violate former section dealing with the drawing of deadly weapons without also violating former section defining assault, as the element of assault entered into the higher crime. Sullivan v. State, 131 Ark. 107, 198 S.W. 518 (1917) (decision under prior law).

Court held not obligated to instruct the jury on the lesser included offense of assault in defendant's prosecution for second-degree battery. Harmon v. State, 260 Ark. 665, 543 S.W.2d 43 (1976).

Disorderly conduct, assault and battery, are not lesser included offenses of robbery but are simply offenses of a different class. Williams v. State, 11 Ark. App. 11, 665 S.W.2d 299 (1984).

Evidence and the defense offered by defendant required trial court to give lesser included instructions requested by defendant. Fladung v. State, 292 Ark. 510, 730 S.W.2d 901 (1987).

Although there was not substantial evidence to support defendant's convictions for aggravated assault pursuant to § 5-13-204(a) with respect to defendant sideswiping a victim's vehicle on an interstate, under § 5-1-110(b), the evidence would clearly sustain convictions for the lesser-included offense of first degree assault under subsection (a) of this section; the testimony established defendant acted recklessly when he approached the victim's vehicle from the rear, going very fast, and in passing the victim's vehicle on the left, defendant sideswiped the vehicle. Mance v. State, 2010 Ark. App. 472 (2010).

Separate Offenses.

Prosecution in the justice of the peace court for assault and disturbing the public peace could not constitute former jeopardy in prosecution for sodomy, as there was no relation between the misdemeanors of assault and disturbing the peace and the felony of sodomy. Verser v. State, 256 Ark. 609, 509 S.W.2d 299 (1974) (decision under prior law).

Cited: United States v. Harvey, 588 F.2d 1201 (8th Cir. 1978); Warren v. State, 272 Ark. 231, 613 S.W.2d 97 (1981); Holloway v. State, 18 Ark. App. 136, 711 S.W.2d 484 (1986); Enoch v. State, 37 Ark. App. 103, 826 S.W.2d 291 (1992); Mullins v. State, 2009 Ark. App. 570 (2009).

5-13-206. Assault in the second degree.

  1. A person commits assault in the second degree if he or she recklessly engages in conduct that creates a substantial risk of physical injury to another person.
  2. Assault in the second degree is a Class B misdemeanor.

History. Acts 1975, No. 280, § 1606; A.S.A. 1947, § 41-1606.

Research References

Ark. L. Rev.

Killenbeck, And Then They Did ? Abusing Equity in the Name of Justice, 44 Ark. L. Rev. 235.

Case Note, Criminal Liability for Attempting to Inflict the AIDS Virus: Possibilities in Arkansas' Future, 45 Ark. L. Rev. 505.

Case Notes

Acts Constituting Assault.

Shooting into a crowd was an assault upon each member of the crowd. Scott v. State, 49 Ark. 156, 4 S.W. 750 (1887) (decision under prior law).

Drawing a knife and advancing toward the prosecuting witness constituted an assault, although the prosecuting witness fled and the defendant did not follow. Wells v. State, 108 Ark. 312, 157 S.W. 389 (1913) (decision under prior law).

Where defendant drew a cocked shotgun on complainant, there was a presumption that shotgun was loaded. Ball v. State, 192 Ark. 858, 95 S.W.2d 632 (1936) (decision under prior law).

There was sufficient evidence to support the conviction for second-degree assault where defendant pushed victim from behind as she went through a door; defendant's actions created a substantial risk that the victim would be physically injured by falling on a concrete sidewalk, and it was of no consequence that victim was able to regain her balance before falling. Walker v. State, 330 Ark. 652, 955 S.W.2d 905 (1997).

Codefendants.

One defendant was not liable for an unexpected assault by his codefendant. Le Laurin v. Murray, 75 Ark. 232, 87 S.W. 131 (1905) (decision under prior law).

Defense or Justification.

A parent could defend a child against an unlawful assault by the other parent. Cox v. State, 99 Ark. 90, 136 S.W. 989 (1911) (decision under prior law).

The burden was upon the one who committed the assault to show that he was justified. Robertson v. Sisk, 115 Ark. 461, 171 S.W. 880 (1914) (decision under prior law).

While §§ 5-2-606 and 5-2-607 stated that the defendant was justified in using force or deadly force only if he reasonably believed that the situation necessitated the defensive force employed, both first-degree and second-degree assault were committed if defendant acted recklessly, under § 5-13-205 and this section, and § 5-2-614 provided that justification was not available as a defense to an offense for which recklessness suffices to establish culpability; therefore, defendant was not entitled to self-defense or justification instructions with regard to his charges for first and second-degree assault. Merritt v. State, 82 Ark. App. 351, 107 S.W.3d 894 (2003).

Evidence.

Evidence held sufficient to support conviction. Allen v. State, 64 Ark. App. 49, 977 S.W.2d 230 (1998).

Where defendant, a police officer, was charged with second-degree assault for choking an arrestee during the booking process, assuming that a special agent of the state police was qualified as an expert to testify as to the appropriate charging decision, the proffered testimony was properly excluded as it would have invaded the role of the jury as to the determination of the ultimate issue. Clark v. State, 2012 Ark. App. 496, 423 S.W.3d 122 (2012).

Lesser Included Offenses.

An assault was included in the charge of robbery. Fox v. State, 50 Ark. 528, 8 S.W. 836 (1888) (decision under prior law).

One could not violate former section dealing with the drawing of deadly weapons without also violating former section defining assault, as the element of assault entered into the higher crime. Sullivan v. State, 131 Ark. 107, 198 S.W. 518 (1917) (decision under prior law).

Court held not obligated to instruct the jury on the lesser included offense of assault in defendant's prosecution for second-degree battery. Harmon v. State, 260 Ark. 665, 543 S.W.2d 43 (1976).

While the juvenile was charged with second-degree terroristic threatening and the circuit court in effect sua sponte amended the charge when it found the juvenile guilty of second-degree assault, and second-degree assault is not a lesser-included offense of second-degree terroristic threatening, the juvenile failed to raise the due process issue at the circuit court level and therefore failed to preserve the issue for appellate review. I.K. v. State, 2018 Ark. App. 584, 564 S.W.3d 579 (2018).

Revocation of defendant's suspended sentence was appropriate; even though the evidence did not establish any physical injury to the victim to support the allegation of second-degree battery on a law enforcement officer under § 5-13-202, the Court of Appeals without invitation held that the evidence was sufficient to support the lesser-included offense of second-degree assault. Caldwell v. State, 2018 Ark. App. 588, 565 S.W.3d 539 (2018).

Separate Offenses.

Prosecution in the justice of the peace court for assault and disturbing the public peace could not constitute former jeopardy in prosecution for sodomy, as there was no relation between the misdemeanors of assault and disturbing the peace and the felony of sodomy. Verser v. State, 256 Ark. 609, 509 S.W.2d 299 (1974) (decision under prior law).

Cited: Warren v. State, 272 Ark. 231, 613 S.W.2d 97 (1981); Holloway v. State, 18 Ark. App. 136, 711 S.W.2d 484 (1986).

5-13-207. Assault in the third degree.

  1. A person commits assault in the third degree if he or she purposely creates apprehension of imminent physical injury in another person.
  2. Assault in the third degree is a Class C misdemeanor.

History. Acts 1975, No. 280, § 1607; A.S.A. 1947, § 41-1607.

Research References

Ark. L. Rev.

Killenbeck, And Then They Did ? Abusing Equity in the Name of Justice, 44 Ark. L. Rev. 235.

Case Notes

Acts Constituting Assault.

Shooting into a crowd was an assault upon each member of the crowd. Scott v. State, 49 Ark. 156, 4 S.W. 750 (1887) (decision under prior law).

Drawing a knife and advancing toward the prosecuting witness constituted an assault, although the prosecuting witness fled and the defendant did not follow. Wells v. State, 108 Ark. 312, 157 S.W. 389 (1913) (decision under prior law).

Where defendant drew a cocked shotgun on complainant, there was a presumption that shotgun was loaded. Ball v. State, 192 Ark. 858, 95 S.W.2d 632 (1936) (decision under prior law).

Where defendant admitted that he committed third-degree assault against victim by kicking and banging at the victim's door in an attempt to gain entry, the circuit court did not err in denying defendant's motion for directed verdict on the attempted burglary charge as defendant completed a substantial step towards entry by severely damaging victim's door and left only when the police were in the area. Davis v. State, 368 Ark. 351, 246 S.W.3d 433 (2007).

Codefendants.

One defendant was not liable for an unexpected assault by his codefendant. Le Laurin v. Murray, 75 Ark. 232, 87 S.W. 131 (1905) (decision under prior law).

Defense or Justification.

A parent could defend a child against an unlawful assault by the other parent. Cox v. State, 99 Ark. 90, 136 S.W. 989 (1911) (decision under prior law).

The burden was upon the one who committed the assault to show that he was justified. Robertson v. Sisk, 115 Ark. 461, 171 S.W. 880 (1914) (decision under prior law).

Evidence.

There was sufficient evidence to support a conviction where defendant, after police officer ordered him to halt, backed up until he was behind a car, pulled a pistol out of his pocket, and peered over the top of the car as if to locate the officer's position. Wooten v. State, 32 Ark. App. 198, 799 S.W.2d 560 (1990).

Defendant could not be convicted of assault in the third degree because there was no evidence that defendant created an apprehension of imminent physical injury in the officer. Swaim v. State, 78 Ark. App. 176, 79 S.W.3d 853 (2002).

Defendant's motion for directed verdict was properly denied where there was sufficient evidence to convict defendant of residential burglary, § 5-39-201(a)(1), and third degree assault; defendant took steps to hinder the victim's ability to summon help by turning off the power and pulling out the phone lines, and the fact that defendant had a potentially deadly weapon on his person could at least raise an inference that he intended to, at the very least, place victim in fear for her physical well-being. Diggs v. State, 93 Ark. App. 332, 219 S.W.3d 654 (2005).

Juvenile's adjudications for two counts of third-degree assault were supported by the evidence, as one victim testified that the juvenile threatened to hit her on her buttocks so hard that it would hurt, and then he did hit her so hard that it made her scream and left a hand-shaped bruise, and the other victim testified that the juvenile grabbed her hoodie, pulled it away from her chest, and reached his hand into her bra, and this victim jerked away, pushed her hoodie back to her chest, and went home. P.J. v. State, 2019 Ark. App. 315, 578 S.W.3d 307 (2019).

Lesser Included Offenses.

An assault was included in the charge of robbery. Fox v. State, 50 Ark. 528, 8 S.W. 836 (1888) (decision under prior law).

One could not violate former section dealing with the drawing of deadly weapons without also violating former section defining assault, as the element of assault entered into the higher crime. Sullivan v. State, 131 Ark. 107, 198 S.W. 518 (1917) (decision under prior law).

Assault in the third degree is a lesser included offense of aggravated assault. Wooten v. State, 32 Ark. App. 198, 799 S.W.2d 560 (1990).

Separate Offenses.

Prosecution in the justice of the peace court for assault and disturbing the public peace could not constitute former jeopardy in prosecution for sodomy, as there was no relation between the misdemeanors of assault and disturbing the peace and the felony of sodomy. Verser v. State, 256 Ark. 609, 509 S.W.2d 299 (1974) (decision under prior law).

Time Period Involved.

Where defendant pointed rifle at two men grading road on what defendant believed to be his land, then threatened to shoot them when they started to grade again, defendant was properly convicted of terroristic threatening rather than a misdemeanor assault under this section since there is no language in § 5-13-301 to indicate that the terrorizing must occur over a prolonged period of time. Warren v. State, 272 Ark. 231, 613 S.W.2d 97 (1981).

Cited: Davis v. State, 12 Ark. App. 79, 670 S.W.2d 472 (1984); Mosley v. State, 2016 Ark. App. 353, 499 S.W.3d 226 (2016).

5-13-208. Coercion.

  1. A person commits coercion if he or she compels or induces another person to engage in conduct from which the other person has a legal right to abstain, or to abstain from engaging in conduct in which the other person has a legal right to engage, by purposeful conduct designed to instill in the other person a fear that, if a demand is not complied with, the actor or another person will:
    1. Cause physical injury to any person;
    2. Cause damage to property;
    3. Subject any person to physical confinement;
    4. Accuse any person of an offense or cause criminal proceedings to be instituted against any person; or
    5. Expose a secret or publicize an asserted fact, whether true or false, tending to subject any person to hatred, contempt, or ridicule.
  2. Coercion is a Class A misdemeanor.

History. Acts 1975, No. 280, § 1609; A.S.A. 1947, § 41-1609.

5-13-209. Abuse of athletic contest officials.

  1. A person commits abuse of an athletic official if, with the purpose of causing physical injury to another person, the person strikes or otherwise physically abuses an athletic contest official immediately prior to, during, or immediately following an interscholastic, intercollegiate, or any other organized amateur or professional athletic contest in which the athletic contest official is participating.
  2. Abuse of an athletic official is a Class A misdemeanor.

History. Acts 1987, No. 355, § 1; 2007, No. 827, § 28.

5-13-210. Introduction of controlled substance into body of another person.

  1. It is unlawful for any person to inject any controlled substance as defined by the Uniform Controlled Substances Act, § 5-64-101 et seq., into the human body of another person, unless the controlled substance has been ordered for the person receiving the controlled substance by a licensed practitioner, licensed by the state to prescribe controlled substances in the schedule involved and this being for a legitimate medical purpose.
  2. It is unlawful for any person to administer or cause to be ingested, inhaled, or otherwise introduced into the human body of another person a controlled substance as defined by the Uniform Controlled Substances Act, § 5-64-101 et seq., unless the controlled substance has been ordered for the person receiving the controlled substance by a licensed practitioner, licensed by the state to prescribe controlled substances in the schedule involved and this being for a legitimate medical purpose.
  3. Any person who violates this section with respect to:
    1. A controlled substance in Schedule I or Schedule II, which is a narcotic drug, is guilty of a Class Y felony;
    2. Any other controlled substance in Schedule I, Schedule II, or Schedule III is guilty of a Class B felony; or
    3. Any other controlled substance in Schedule IV, Schedule V, or Schedule VI is guilty of a Class C felony.
  4. The provisions of this section and any criminal penalty provided for in this section are in addition to any other criminal penalty a person may be subjected to under a provision of the Arkansas Criminal Code or the Uniform Controlled Substances Act, § 5-64-101 et seq.
  5. It is not a defense under a provision of this section that a person:
    1. Consented to being injected with the controlled substance; or
    2. Ingested, inhaled, or otherwise introduced the controlled substance into his or her human body knowingly and voluntarily.
  6. Notwithstanding a provision of subsection (c) of this section, any person is guilty of a Class Y felony who violates this section by introducing a controlled substance into the body of another person without that other person's knowledge or consent with the purpose of:
    1. Committing any felony sexual offense, as defined in Arkansas law;
    2. Engaging in any unlawful sexual act, as defined in § 5-14-101 et seq.;
    3. Engaging in any unlawful sexual contact, as defined in § 5-14-101; or
    4. Engaging in any act involving a child engaging in sexually explicit conduct, as defined in § 5-27-302.

History. Acts 1987, No. 848, §§ 1-3; 1999, No. 516, § 1.

Publisher's Notes. Schedules I through VI referred to in this section are partly codified and partly governed by administrative regulation. The Director of the Department of Health or his or her authorized agent revises and republishes the schedules annually. For a copy of the most recent rescheduling of controlled substances, contact the Department of Health.

Meaning of “Arkansas Criminal Code”. See note to § 5-1-101.

Research References

Ark. L. Rev.

Kyle Kennedy, Comment: How to Combat Prenatal Substance Abuse While Also Protecting Pregnant Women: A Legislative Proposal to Create an Appropriate Balance, 70 Ark. L. Rev. 167 (2017).

Case Notes

Active Process.

This section does not expressly criminalize the passive bodily processes that result in a mother's use of a drug entering her unborn, or newborn child's system; “otherwise introduced” must be interpreted to refer to an active process. Therefore, defendant's conviction for introduction of a controlled substance into the body of another person could not stand where it was based on the passing of drugs from the mother to the child via the umbilical cord; the record was completely devoid of any evidence that defendant directly introduced methamphetamine into her baby's system by causing the child to ingest or inhale it. Arms v. State, 2015 Ark. 364, 471 S.W.3d 637 (2015).

Unborn Child.

Arkansas Criminal Code expressly limits criminalizing conduct with respect to an unborn child to homicide offenses, and even then, does not allow a mother to be charged or convicted of any homicide offense while her child is in utero. Therefore, a conviction under this section for introduction of a controlled substance into the body of another person based on defendant's ingestion of drugs while pregnant could not stand. Arms v. State, 2015 Ark. 364, 471 S.W.3d 637 (2015).

5-13-211. Aggravated assault upon a law enforcement officer or an employee of a correctional facility.

  1. A person commits aggravated assault upon a law enforcement officer or an employee of a correctional facility if:
    1. Under circumstances manifesting extreme indifference to the personal hygiene of the law enforcement officer or employee of the correctional facility, the person purposely engages in conduct that creates a potential danger of infection to the law enforcement officer or an employee of any state or local correctional facility while the law enforcement officer or employee of the state or local correctional facility is engaged in the course of his or her employment by causing a person whom the actor knows to be a law enforcement officer or employee of the state or local correctional facility to come into contact with saliva, blood, urine, feces, seminal fluid, or other bodily fluid by purposely throwing, tossing, expelling, or otherwise transferring the fluid or material; or
    2. He or she knowingly discharges a firearm with a purpose to cause serious physical injury or death to a law enforcement officer or an employee of a correctional facility while the law enforcement officer or employee of a correctional facility is acting within the scope of his or her official duties and the person:
      1. Is in custody as a result of a felony conviction;
      2. Is unlawfully at liberty after being sentenced to imprisonment as a result of a felony conviction;
      3. Has a felony conviction for a felony offense which contained as an element the use or threat of violence against another person or the creation of a substantial risk of death or serious physical injury to another person;
      4. Knowingly creates a substantial risk of serious physical injury or death to a person other than the law enforcement officer or the employee of a correctional facility;
      5. Causes the death of more than one (1) person;
      6. Is acting with a purpose to avoid or prevent an arrest or to escape from custody;
      7. Is acting with a purpose to obtain a pecuniary gain; or
      8. Is acting with a purpose to disrupt or hinder the lawful exercise of any government or political function.
  2. Aggravated assault upon a law enforcement officer or an employee of a correctional facility is:
    1. A Class D felony under subdivision (a)(1) of this section; or
    2. A Class Y felony under subdivision (a)(2) of this section.

History. Acts 1997, No. 1235, § 1; 2003, No. 1271, § 1; 2011, No. 277, § 1; 2017, No. 367, § 5.

Amendments. The 2011 amendment inserted “a certified law enforcement officer” with minor variations throughout the section; and, in (a) inserted “a person whom the actor knows to be a certified law enforcement officer or,” “purposely,” and “or otherwise transferring.”

The 2017 amendment deleted “certified” preceding “law enforcement officer” in the section heading and throughout the section; redesignated former (a) as the introductory language of (a) and (a)(1); added (a)(2); redesignated former (b) as the present introductory language of (b) and (b)(1); added “under subdivision (a)(1) of this section” in (b)(1); and added (b)(2).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Assault, 26 U. Ark. Little Rock L. Rev. 365.

Case Notes

Defense.

Motion to dismiss was properly denied with respect to aggravated assault on a correctional facility employee under subsection (a) of this section and first-degree terroristic threatening because voluntary intoxication was not a defense. Also, a jury could have reasonably concluded that appellant purposely caused his saliva to come into contact with an officer; the trial court found that the act of purposefully expelling bodily fluid onto the officer's person satisfied the “potential danger” requirement of the assault offense. Green v. State, 2012 Ark. App. 315, 416 S.W.3d 765 (2012).

Evidence Sufficient.

Deputy's testimony that defendant was infected with AIDS, was angry and violent, threatened to infect him with AIDS, repeatedly spit at him, and at one point successfully spit on him, while he had an open wound on his nose, was sufficient evidence to support defendant's conviction for aggravated assault upon a law enforcement officer. Wright v. State, 2016 Ark. App. 404, 499 S.W.3d 683 (2016).

Evidence Sufficient to Revoke Suspended Sentence.

Defendant's suspended sentence was properly revoked based on committing an aggravated assault upon an employee of a correctional facility in violation of this section because there was ample evidence that he purposely spat on a deputy, resulting in his saliva coming in contact with the deputy under circumstances manifesting an extreme indifference to the deputy's personal hygiene. Foster v. State, 104 Ark. App. 108, 289 S.W.3d 476 (2008).

Information.

Defendant's claim that the state was required to prove the more onerous version of this statute was without merit as he failed to object to the sufficiency of the information before trial; further, defendant's claim could not prevail as he failed to show he was convicted under a statute that was no longer in effect. Barnes v. State, 94 Ark. App. 321, 230 S.W.3d 311 (2006).

Subchapter 3 — Terroristic Threats and Acts

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Cross References. Fines, § 5-4-201.

Term of imprisonment, § 5-4-401.

Terrorism, § 5-54-201 et seq.

Effective Dates. Acts 1979, No. 428, § 3: Mar. 20, 1979. Emergency clause provided: “It is hereby found and determined by the General Assembly that there has been an outbreak of sniping incidents along highways in central Arkansas in recent weeks; that such sniping is a serious danger to persons using the highways; that the criminal penalties for such acts should be increased immediately to discourage further sniping incidents. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1993, Nos. 379 and 388, § 10: Mar. 8, 1993. Emergency clause provided: “It is hereby found and determined by the General Assembly that the Attorney General and the Prosecuting Attorneys are in need of specific legislation by which to eliminate stalking and that immediate passage of this act is necessary to protect the public peace, health and safety of the State of Arkansas. Therefore, an emergency is hereby declared to exist and this act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1993, No. 544, § 5: Mar. 16, 1993. Emergency clause provided: “It is hereby found and determined by the General Assembly of the State of Arkansas that the definition of “terroristic act” does not include shootings into occupiable structures which have become prevalent in addition to shootings into automobiles which is covered in the definition. Therefore, an emergency is hereby declared to exist and this act being necessary for the immediate preservation of the public peace, health, and safety, shall be in full force and effect from and after its passage and approval.”

Acts 1995, No. 1302, § 8: Apr. 14, 1995. Emergency clause provided: “It is hereby found and determined by the General Assembly of the State of Arkansas that the Attorney General and the Prosecuting Attorneys are in need of specific legislation by which to eliminate stalking and that immediate passage of this act is necessary to protect the public peace, health and safety of the State of Arkansas. Therefore, an emergency is hereby declared to exist and this act being necessary for the immediate preservation of the public peace, health, and safety, shall be in full force and effect from and after its passage and approval.”

Research References

ALR.

Validity and construction of terroristic threat statutes. 45 A.L.R.4th 949.

5-13-301. Terroristic threatening.

    1. A person commits the offense of terroristic threatening in the first degree if:
      1. With the purpose of terrorizing another person, the person threatens to cause death or serious physical injury or substantial property damage to another person; or
      2. With the purpose of terrorizing another person, the person threatens to cause physical injury or property damage to a teacher or other school employee acting in the line of duty.
    2. Terroristic threatening in the first degree is a Class D felony.
    1. A person commits the offense of terroristic threatening in the second degree if, with the purpose of terrorizing another person, the person threatens to cause physical injury or property damage to another person.
    2. Terroristic threatening in the second degree is a Class A misdemeanor.
      1. Upon pretrial release of the defendant, a judicial officer shall:
        1. Enter a no contact order in writing consistent with Rules 9.3 and 9.4 of the Arkansas Rules of Criminal Procedure; and
        2. Give notice to the defendant of penalties contained in Rule 9.5 of the Arkansas Rules of Criminal Procedure.
      2. The no contact order under subdivision (c)(1)(A) of this section remains in effect during the pendency of any appeal of a conviction under this section.
      3. The judicial officer or prosecuting attorney shall provide a copy of the no contact order under subdivision (c)(1)(A) of this section to the victim and arresting agency without unnecessary delay.
    1. If the judicial officer has reason to believe that mental disease or defect of the defendant will or has become an issue in the cause, the judicial officer shall enter orders consistent with § 5-2-327 or § 5-2-328, or both.

History. Acts 1975, No. 280, § 1608; 1979, No. 753, § 1; A.S.A. 1947, § 41-1608; Acts 1993, No. 379, § 4; 1993, No. 388, § 4; 1993, No. 1189, § 3; 1995, No. 1302, § 2; 2017, No. 472, § 18.

Publisher's Notes. Acts 1993, No. 1189, § 1, provided:

“(a) The General Assembly of the State of Arkansas finds that the State of Arkansas is experiencing an increase in violent crime committed by school age juveniles and the growth of street gangs made up largely of school age juveniles. The General Assembly of the State of Arkansas further finds that the number of school related crimes is increasing.

“(b) It is the intent of the General Assembly of the State of Arkansas to insure the safest possible learning environment for our students, teachers and other school employees.”

Amendments. The 2017 amendment substituted “orders consistent with § 5-2-327 or § 5-2-328, or both” for “such orders as are consistent with § 5-2-305” in (c)(2).

Cross References. Unlawful computerized communications, § 5-41-108.

Harassment, § 5-71-208.

Harassing communications, § 5-71-209.

Cyberbullying, § 5-71-217.

Stalking, § 5-71-229.

Research References

Ark. L. Rev.

Killenbeck, And Then They Did ? Abusing Equity in the Name of Justice, 44 Ark. L. Rev. 235.

U. Ark. Little Rock L.J.

Notes, Constitutional Law — The Domestic Abuse Act of 1989 — An Impermissible Expansion of Chancery Jurisdiction. Bates v. Bates, 303 Ark. 89, 793 S.W.2d 788 (1990), 13 U. Ark. Little Rock L.J. 537.

Case Notes

Constitutionality.

The mere overlapping of the provisions of this section and the assault statutes does not render this section unconstitutional. Warren v. State, 272 Ark. 231, 613 S.W.2d 97 (1981).

Communication of Threat.

There is no language in the statute indicating the threat must be communicated by the accused directly to the person threatened to constitute a violation. Richards v. State, 266 Ark. 733, 585 S.W.2d 375 (Ct. App. 1979).

The conduct prohibited by this section is the communication of threat with the purpose of terrorizing another. It is not necessary that the recipient of the threat actually be terrorized. Smith v. State, 296 Ark. 451, 757 S.W.2d 554 (1988).

It would defy common sense to maintain that threatening to punch a woman hard enough to kill her unborn child does not carry with it a threat to cause serious physical injury to the woman personally. Hagen v. State, 47 Ark. App. 137, 886 S.W.2d 889 (1994).

Defendant's conviction for first-degree terroristic threatening pursuant to subdivision (a)(1)(A) of this section could not stand because there was no evidence, either direct or circumstantial, that it was defendant's conscious object that his threatening statements, made to his girlfriend, be communicated to the victim, his former wife. Turner v. State, 2010 Ark. App. 214 (2010).

Defenses.

The fact that a threat is conditioned in such a way as is calculated to coerce another person to abstain from a course of action he has a legal right to pursue is not a valid defense. Richards v. State, 266 Ark. 733, 585 S.W.2d 375 (Ct. App. 1979).

Because terroristic threatening requires a purposeful mental state, the defense of voluntary intoxication is available to a defendant charged with such crime. Davis v. State, 12 Ark. App. 79, 670 S.W.2d 472 (1984).

The defendant in a prosecution for terroristic threatening was required to show that he was incapacitated by drinking alcohol — not merely that he drank alcohol — to obtain an instruction on voluntary intoxication as a defense. Davis v. State, 12 Ark. App. 79, 670 S.W.2d 472 (1984).

Trial court did not err in sustaining state's objection that the terms of the civil dispute regarding a loan and the collateral for the loan were irrelevant and in refusing to permit defendant to question the victim concerning the property that had been collateral for the loan because, even if the victim had lied regarding the terms of the loan, that would be no defense to the crimes for which he was convicted, which included kidnapping, terroristic threatening, and aggravated assault. Tarpley v. State, 97 Ark. App. 122, 245 S.W.3d 192 (2006).

Evidence.

Evidence held sufficient to support the conviction. Davis v. State, 12 Ark. App. 79, 670 S.W.2d 472 (1984); Jones v. State, 72 Ark. App. 271, 35 S.W.3d 345 (2000).

Evidence was sufficient to support a conviction where the victim, who was the defendant's stepdaughter, testified that the defendant raped her and told her not to tell anyone or he would beat her. Johnson v. State, 71 Ark. App. 58, 25 S.W.3d 445 (2000).

Where the victim testified that defendant threatened to kill her, a witness corroborated the victim's testimony, and defendant's threats had been reported to officers, the erroneous admission of the unavailable officer's testimony was harmless as to the offense of first-degree terroristic threatening, subdivision (a)(1)(A) of this section. Proctor v. State, 349 Ark. 648, 79 S.W.3d 370 (2002).

Evidence presented supported a conviction of first-degree terroristic threatening where defendant threatened to kill both the kidnapping victim and his girlfriend and to blow up their house if the victim did not later return to defendant's home with more money. Carter v. State, 360 Ark. 266, 200 S.W.3d 906 (2005), vacated, Carter v. Arkansas, 126 S. Ct. 65, 163 L. Ed. 2d 32 (U.S. 2005).

Evidence that the victim was in a fight, was being forced out of the house, was threatened with death, and pleaded for her life constituted substantial evidence in support of defendant's conviction for first-degree terroristic threatening because there was substantial evidence that the necessary threat was made, as well as an intent that the victim be terrorized by the threat. Mason v. State, 361 Ark. 357, 206 S.W.3d 869 (2005).

Offense of terroristic threatening required no more than the communication of a threat - by word or deed - with the purpose of terrorizing the victim, and the offense of aggravated assault was accomplished when defendant displayed the gun and pointed it at the victim; given the testimony that defendant kept the doorway blocked for several minutes after performing those acts and that the victim was prevented from summoning assistance during that time, the evidence was sufficient to sustain the kidnapping conviction. Tarpley v. State, 97 Ark. App. 122, 245 S.W.3d 192 (2006).

While defendant was staying with his girlfriend's family, he engaged in a verbal and physical altercation with the homeowner and his brother; during the melee, defendant pointed a gun at the victims, threatened to kill them, broke the kitchen window, and repeatedly struck the sliding-glass door. The Court of Appeals of Arkansas held that sufficient evidence supported defendant's conviction for first-degree terroristic threatening in violation of subdivision (a)(1)(A) of this section; the evidence presented to the jury was sufficient to show that defendant's purpose in wielding the gun was to terrorize both victims. Mullins v. State, 2009 Ark. App. 570 (2009).

State produced evidence that defendant pointed a gun at the victim and indicated more than one time that he would kill her, and the natural and probable result of such acts was that the person toward whom they were directed would be filled with intense fright; the state produced substantial evidence to support a finding that defendant acted with the intent of terrorizing the victim. Lasker v. State, 2009 Ark. App. 591 (2009).

Evidence was sufficient to support defendant's conviction for second-degree terroristic threatening in violation of subdivision (b)(1) of this section because the victim's testimony that defendant said, “Give me the gun, I'll shoot him,” constituted sufficient evidence to support the conviction. Sims v. State, 2010 Ark. App. 133 (2010).

Pregnant wife's testimony that appellant pushed and threatened her — causing red marks on her neck and arm — was sufficient to prove by a preponderance that appellant violated the conditions of his suspended sentence by committing the criminal offenses of domestic battery in third degree, pursuant to § 5-26-305(b)(2)(A), and terroristic threatening in the second degree, under subdivision (b)(1) of this section. Autrand v. State, 2010 Ark. App. 245 (2010).

Evidence was sufficient to revoke defendant's suspended sentences due to his violation of conditions by second-degree terroristic threatening because the victim testified that defendant threatened to “get” her, which she interpreted as a threat to kill her. Brown v. State, 2010 Ark. App. 336 (2010).

As defendant hit the victim (his ex-wife's mother) in the head with the baseball bat and cut the victim's throat, threatened his ex-wife, and forced her to go with him from the scene of the crime, the evidence was sufficient to convict defendant of first-degree murder, kidnapping, and terroristic threatening under §§ 5-10-102(a)(2), 5-11-102(a), and subdivision (a)(1)(A) of this section. Alvard v. State, 2011 Ark. App. 160 (2011).

Evidence was sufficient to convict defendant of terroristic threatening because a dispatcher testified that the dispatcher received a 911 call from defendant's wife regarding a domestic disturbance; the wife said that defendant choked her and threatened to kill her and “take her out.” Mathis v. State, 2012 Ark. App. 285, 423 S.W.3d 91 (2012).

Notwithstanding testimony that the alleged victim of terroristic threatening was a heavy drinker whose personality and memory changed when she was under the influence, the jury was entitled to believe the victim's testimony that defendant threatened to kill her if she reported that he had raped her and that she was scared to report the crime due to defendant's threat, particularly where there was testimony by another that defendant had admitted to having threatened the victim that he would kill her if she told anyone about the rape. The believability of the victim was a function for the jury as the fact-finder, not the reviewing court. Harris v. State, 2012 Ark. App. 651 (2012).

Evidence was sufficient to revoke defendant's probation on the basis of terroristic threatening because the victim testified that he heard a noise outside his bedroom window, he received a phone call from defendant threatening to cut his throat with the same knife he used to cut his window screen, and while the screen had not been cut, it had been tampered with and was loose in its frame. Coupey v. State, 2013 Ark. App. 446 (2013).

Record contained substantial evidence that defendant had the intent to commit the crime of terroristic threatening, as he made statements that he would destroy anyone who got in his way, and he tried to call his father to talk him out of “it,” and this particular statement was made after defendant loaded or cocked a rifle while pacing; taken in context, the statements were not innocuous, but given the parties' volatile relationship, gave rise to the level sufficient to support a conviction of terroristic threatening. Cauffiel v. State, 2013 Ark. App. 642 (2013).

Defendant was properly convicted of terroristic threatening because it could not be said on the record that the jury could not reasonably find defendant's threat to kill a judge was in fact intended to terrorize a law firm's secretary or that the trial court abused its discretion in permitting the secretary to testify concerning her state of mind after hearing defendant's threat. Foshee v. State, 2014 Ark. App. 315 (2014).

—Admission.

Where cross-examination of the victim at trial revealed that the State's exhibit of text messages between the defendant and victim was incomplete and that the victim had deleted some of the messages, the appellate court did not have to decide whether the circuit court erred in failing to strike the exhibit because any error that existed was harmless given the overwhelming evidence of defendant's guilt that remained. Farmer v. State, 2019 Ark. App. 148, 571 S.W.3d 78 (2019).

—Insufficent.

Evidence was insufficient to sustain defendant's juvenile adjudication for terroristic threatening in the first degree; the appellate court found that a hit list found by a teacher in defendant's school notebook was not sufficient to find that he had the “purpose of terrorizing another.” Roberts v. State, 78 Ark. App. 103, 78 S.W.3d 743 (2002).

—Sufficient.

Evidence that two independent witnesses stated that they heard defendant threaten the victims, telling the victims defendant would find out where the victims lived and kill them, and that defendant's objective was to frighten the victims with death or serious injury by threatening them, was sufficient to support a conviction for terroristic threatening in the first degree under subdivision (a)(1)(A) of this section. Tatum v. State, 2011 Ark. App. 80, 381 S.W.3d 124 (2011).

Defendant's convictions for residential burglary and terroristic threatening, in violation of § 5-39-201(a) and subdivision (b)(1) of this section were supported by sufficient evidence, as he entered his ex-wife residence with the intent or purpose of assaulting her or of threatening either her or her boyfriend. Cash v. State, 2011 Ark. App. 493 (2011).

Evidence supported defendant's conviction for having made terroristic threats because defendant broke into the victim's home, broke into the bathroom where the victim retreated, physically assaulted the victim, took the victim's cell phone away and broke it, and threatened that, if the victim had called the police, defendant would kill the victim. Adams v. State, 2014 Ark. App. 308, 435 S.W.3d 520 (2014).

There was substantial evidence to support defendant's first-degree-terroristic-threatening conviction, given that the text message defendant sent the victim contained statements that he would “do a 187” on her, which stood for homicide, and he would chop up her parents' house with bullets, and he would knock her teeth out. Rodriguez v. State, 2014 Ark. App. 660, 449 S.W.3d 306 (2014).

Defendant argued that a text also contained derogatory comments directed toward the victim's friend, and thus it constituted evidence of other bad acts that were not relevant and were prejudicial, but this argument was rejected because the comments directed toward the friend also supported the charge of terroristic threatening. Rodriguez v. State, 2014 Ark. App. 660, 449 S.W.3d 306 (2014).

Deputy's testimony that defendant threatened to kill him and his family, assault him, and infect him with AIDS, all while defendant was behaving violently and erratically, even kicking the plexiglass barrier in the patrol vehicle so hard it caused the shotgun mount to break and the shotgun to fall on the deputy and injure him, was sufficient to support defendant's conviction for terroristic threatening. Wright v. State, 2016 Ark. App. 404, 499 S.W.3d 683 (2016).

Defendant's conviction for terroristic threatening was supported by evidence that defendant threatened to “do” the victim and specifically threatened to kill her. Armour v. State, 2016 Ark. App. 612, 509 S.W.3d 668 (2016).

Evidence was sufficient to sustain defendant's conviction for first-degree terroristic threatening under subdivision (a)(1)(A) of this section, where the evidence showed that she chased the victim around their home with a knife and stabbed him multiples times. Stockstill v. State, 2017 Ark. App. 29, 511 S.W.3d 889 (2017).

Based on the record before the appellate court, which included the victim's testimony in the bench trial about what transpired, and the standard of review, the State sufficiently established that defendant committed the crime of first-degree terroristic threatening. Holmes v. State, 2019 Ark. App. 384, 586 S.W.3d 183 (2019).

In defendant's trial for first-degree terroristic threatening arising from a workplace incident, it was reasonable for the jury to conclude that defendant threatened the victim in order to terrorize him, in violation of subdivision (a)(1)(A) of this section, where multiple witnesses testified that defendant had pointed a pistol at the victim, the victim testified that as defendant aimed, he told him that he was “fixing to shoot”, and the jurors were entitled to rely on their common knowledge and life experiences to infer that, given the circumstances, defendant acted with the conscious objective to cause the victim terror. Hughes v. State, 2020 Ark. App. 114 (2020).

Failure to Preserve for Appeal.

In a case in which a jury convicted defendant on two counts of threatening a judicial officer and one count of terroristic threatening, defendant's challenges to the sufficiency of the evidence against him were not preserved for review. Radford v. State, 2018 Ark. App. 89, 538 S.W.3d 894 (2018).

While the juvenile was charged with second-degree terroristic threatening and the circuit court in effect sua sponte amended the charge when it found the juvenile guilty of second-degree assault, and second-degree assault is not a lesser-included offense of second-degree terroristic threatening, the juvenile failed to raise the due process issue at the circuit court level and therefore failed to preserve the issue for appellate review. I.K. v. State, 2018 Ark. App. 584, 564 S.W.3d 579 (2018).

Fright.

Under this section, it is an element of the offense that the defendant act with the purpose of terrorizing another person, i.e., it must be his “conscious object” to cause fright. Knight v. State, 25 Ark. App. 353, 758 S.W.2d 12 (1988).

To be found guilty of threatening, the defendant must intend to fill the victim with intense fright. Knight v. State, 25 Ark. App. 353, 758 S.W.2d 12 (1988).

Jury Instructions.

In defendant's trial for rape and terroristic threatening in the first degree in violation of subdivision (a)(1)(A) of this section, in which the victim testified that after defendant raped her for the first time, he told her if she said anything about the rape he would kill her, the evidence did not authorize a jury instruction on the offense of terroristic threatening in the second degree. Green v. State, 2012 Ark. 19, 386 S.W.3d 413 (2012).

Defendant's words and actions clearly showed both that he had a purpose of terrorizing and that he threatened to cause death or serious physical injury; because there was no rational basis for acquitting him of first-degree terroristic threatening, the trial court did not abuse its discretion in refusing to instruct the jury on the lesser offense of second-degree terroristic threatening. Campbell v. State, 2014 Ark. App. 171, 432 S.W.3d 673 (2014).

Length of Threat.

There is no language in this section which requires terrorizing over a prolonged period of time. Warren v. State, 272 Ark. 231, 613 S.W.2d 97 (1981); Davis v. State, 12 Ark. App. 79, 670 S.W.2d 472 (1984).

Sentence.

Because defendant received 15 years for first-degree terroristic threatening, as enhanced under § 5-4-501, his sentence was above the statutory range and therefore illegal. Radford v. State, 2018 Ark. App. 89, 538 S.W.3d 894 (2018).

Separate Offenses.

Where the evidence displayed defendant's impulse to kidnap the victim and additional impulses to batter and threaten to kill her when she resisted the kidnapping, convictions for the separate offenses of first-degree terroristic threatening, second-degree battery (§ 5-13-202), and attempted kidnapping (§ 5-3-201) were upheld because defendant's criminal acts were not all part of the attempted kidnapping and were not a continuing course of conduct. Hagen v. State, 318 Ark. 139, 883 S.W.2d 832 (1994).

Trial court did not err in determining that consecutive sentencing for aggravated robbery, § 5-12-103(a)(1), first-degree terroristic threatening, under subdivision (a)(1)(A) of this section, and second-degree battery, § 5-13-202(a)(2), did not violate the prohibition against double jeopardy in Ark. Const. Art. 2, § 8 and the Fifth Amendment because neither first-degree terroristic threatening nor second-degree battery was a lesser-included offense of aggravated robbery since both crimes required proof of additional facts not required by aggravated robbery; the offense of first-degree terroristic threatening requires the elements of threatening to cause the death of the victim and the purpose of terrorizing the victim, and a conviction for second-degree battery requires proof of purposely causing physical injury to the victim. Walker v. State, 2012 Ark. App. 61, 389 S.W.3d 10 (2012).

Sufficient Threats.

The threat to shoot another is a threat to cause such serious physical injury to another person as to constitute terroristic threatening. Richards v. State, 266 Ark. 733, 585 S.W.2d 375 (Ct. App. 1979).

This section criminalizes not only present threats, but future threats as well. Walker v. State, 13 Ark. App. 124, 680 S.W.2d 915 (1984).

Testimony of witnesses to defendant's statements that “he'd kill everyone in the building” was sufficient to sustain his conviction of terroristic threatening. A jury could easily conclude that he meant anyone or all. Smith v. State, 296 Ark. 451, 757 S.W.2d 554 (1988).

This section does not require that it be shown that the accused has the immediate ability to carry out the threats. Knight v. State, 25 Ark. App. 353, 758 S.W.2d 12 (1988).

Evidence was sufficient to sustain defendant's stalking conviction where there was evidence of terroristic threats to “burn” the victim, along with numerous incidents of harassment, vandalism, and other hostile acts directed toward the victim and her family. Lowry v. State, 90 Ark. App. 333, 205 S.W.3d 830 (2005), rev'd, 364 Ark. 6, 216 S.W.3d 101 (2005).

Sufficient evidence supported defendant's conviction for making terroristic threats based on defendant's Facebook posts threatening the lives of employees of the Veterans Administration because it was reasonable to take defendant's posts as a true threat, given defendant's military training. Lilly v. State, 2020 Ark. App. 88, 596 S.W.3d 509 (2020).

Cited: Wade v. Tomlinson, 284 Ark. 432, 682 S.W.2d 751 (1985); United States v. Rapert, 813 F.2d 182 (8th Cir. 1987); Parker v. State, 300 Ark. 360, 779 S.W.2d 156 (1989); Bates v. Bates, 303 Ark. 89, 793 S.W.2d 788 (1990); Thomas v. State, 315 Ark. 79, 864 S.W.2d 835 (1993); Wesson v. State, 320 Ark. 380, 896 S.W.2d 874 (1995); Sanders v. State, 326 Ark. 415, 932 S.W.2d 315 (1996); Jones v. State, 347 Ark. 409, 64 S.W.3d 728 (2002); Lowry v. State, 364 Ark. 6, 216 S.W.3d 101 (2005); Ta v. State, 2015 Ark. App. 220, 459 S.W.3d 325 (2015).

5-13-302. Threatening to commit act of mass violence on school property.

  1. As used in this section:
    1. “Mass violence” means physical injury that a reasonable person would conclude could lead to permanent injury, including without limitation permanent physical injury, permanent mental injury, or permanent emotional injury, or death to two (2) or more people; and
    2. “School” means a:
      1. Public or private daycare or preschool facility;
      2. Public or private school for students in grades kindergarten through twelve (K-12);
      3. Technical institute or postsecondary vocational-technical school; or
      4. Two-year or four-year college or university.
  2. A person commits the offense of threatening to commit an act of mass violence on school property if:
    1. The person knowingly threatens to commit an act of mass violence on school property or at a curricular or extracurricular activity sponsored by a school by any means of communication; and
    2. Places a person or group of persons in a position to reasonably fear for their safety.
  3. Threatening to commit an act of mass violence on school property is a Class C felony.

History. Acts 2019, No. 969, § 1.

5-13-303 — 5-13-309. [Reserved.]

  1. A person commits a terroristic act if, while not in the commission of a lawful act, the person:
    1. Shoots at or in any manner projects an object at a conveyance which is being operated or which is occupied by another person with the purpose to cause injury to another person or damage to property; or
    2. Shoots at an occupiable structure with the purpose to cause injury to a person or damage to property.
    1. Upon conviction, any person who commits a terroristic act is guilty of a Class B felony.
    2. Upon conviction, any person who commits a terroristic act is guilty of a Class Y felony if the person with the purpose of causing physical injury to another person causes serious physical injury or death to any person.
  2. This section does not repeal any law or part of a law in conflict with this section, but is supplemental to the law or part of a law in conflict.

History. Acts 1975, No. 312, §§ 1-3; 1979, No. 428, § 1; A.S.A. 1947, §§ 41-1651, 41-1652, 41-1652n; Acts 1993, No. 544, § 1; 2005, No. 197, § 1; 2007, No. 827, § 29.

Case Notes

Construction.

The phrase “while not in the commission of a lawful act” in subsection (a) was clearly intended to provide a defense to those persons who may have been legally justified in committing the proscribed acts, with the most obvious examples being a person acting in self-defense and a police officer returning the gunfire of a criminal suspect. Jackson v. State, 336 Ark. 530, 986 S.W.2d 405 (1999).

Trial court did not err in sentencing defendant, who was convicted of two counts of committing a terroristic act, to 30 years' imprisonment pursuant to the “three strikes” provision of § 5-4-501 (d)(1) based on the fact that he had been convicted the previous month of three counts of aggravated robbery in an unrelated case. Benson v. State, 86 Ark. App. 154, 164 S.W.3d 495 (2004).

Elements.

There was no violation of defendant's rights under § 5-1-110(a)(4) because when comparing the elements of the two offenses it was evident that the conduct of committing a terroristic act under this section was not a specific instance of conduct constituting first-degree battery under § 5-13-201. Warren v. State, 103 Ark. App. 124, 286 S.W.3d 768 (2008).

Where defendant was convicted of committing a terroristic act but the jury found that defendant did not employ a firearm for purposes of the firearm enhancement, defendant's inconsistent-verdict argument was not preserved for review; defendant failed to raise the argument below and no Wicks exception applied. McDaniel v. State, 2015 Ark. App. 714 (2015).

Trial counsel was not ineffective for failing to make an appropriate motion for directed verdict because appellant failed to show that the motion, even if properly preserved for appeal, would have been meritorious; there is no requirement in this section that defendant had to aim with an intention to hit the house rather than the victim, who was outside in front of the house. Lee v. State, 2017 Ark. 337, 532 S.W.3d 43 (2017).

Multiple Offenses.

The crime defined by the statute is not a continuous course of conduct crime; thus where the defendant fired three quick, successive shots into his girlfriend's apartment, he was properly convicted of three separate terroristic acts. McLennan v. State, 337 Ark. 83, 987 S.W.2d 668 (1999).

Since committing a terroristic act was not a continuous-course-of-conduct crime, in that each shot fired was punishable as a separate act, where defendant fired multiple shots at the victim, his conviction of both committing a terroristic act and of battery was not barred by double jeopardy. Brown v. State, 74 Ark. App. 281, 47 S.W.3d 314 (2001), aff'd, 347 Ark. 308, 65 S.W.3d 394 (2001).

In a case involving terroristic acts, where three shots were fired into an automobile, because each terroristic act was a separate offense that could have been committed with or without a firearm, each crime was subject to a firearm enhancement under § 16-90-120. McKeever v. State, 367 Ark. 374, 240 S.W.2d 583 (2006).

After defendant was convicted of three counts of committing a terroristic act, in violation of subdivision (a)(1) of this section, the trial court did not err in imposing multiple firearm enhancements because defendant committed three separate criminal offenses, and each offense was committed with a firearm. McKeever v. State, 367 Ark. 374, 240 S.W.3d 583 (2006).

Trial court properly denied appellant postconviction relief because he failed to show a double-jeopardy violation arising out of the charges for commission of a terroristic act, criminal attempt to commit first-degree battery, and aggravated assault; appellant could have been tried and convicted under the statute for the commission of a terroristic act for each shot that he fired. There were six separate criminal violations resulting from six separate impulses in the firing of six separate shots. Lee v. State, 2017 Ark. 337, 532 S.W.3d 43 (2017).

Sentencing.

Where defendant was convicted of multiple offenses and sentenced to 240 months for committing a terroristic act under this section and 192 months for domestic battery under § 5-26-303(a)(3), the enhancement of his sentence on both charges by 144 months pursuant to § 16-90-120 did not result in his sentence being enhanced twice for using a deadly weapon because the use of a firearm was not an element the prosecution had to prove to obtain his convictions. King v. State, 2012 Ark. App. 94 (2012).

Sufficiency of Evidence.

Defendant's convictions for first-degree murder, a terroristic act, and possession of firearms by certain persons were proper where the jury believed the witnesses's testimony that defendant fired the only shots and fired toward the group where the victim was standing and toward the nightclub. Jackson v. State, 363 Ark. 311, 214 S.W.3d 232 (2005).

In a case involving terroristic acts, the exclusion of a computer-generated threat to bolster a self-defense claim under § 5-2-606 was error since the evidence was relevant under Ark. R. Evid. 401; however, the error was harmless since evidence of other threats could have been elicited. McKeever v. State, 367 Ark. 374, 240 S.W.2d 583 (2006).

Evidence was sufficient to convict defendant of capital murder and a terroristic act when a witness, a retired deputy sheriff, described the perpetrator of a shooting, and defendant matched the description; moreover, a witness testified as to a possible motive, and defendant's relative testified that defendant had asked the relative to lie for defendant. Stephenson v. State, 373 Ark. 134, 282 S.W.3d 772 (2008).

Evidence that included defendant's firing a shot in the direction of a victim's truck, testimony of two individuals that on separate occasions defendant told them he had shot a man, and defendant's evading the responding police was sufficient to convict defendant of commission of a terroristic act in violation of this section. Warren v. State, 103 Ark. App. 124, 286 S.W.3d 768 (2008).

Where defendant stepped out of his motel room and fired a .45 caliber semiautomatic pistol through the windshield of a nearby car, striking all three occupants and killing two of them, the evidence was sufficient to support defendant's conviction of committing a terroristic act under subdivisions (a)(1)(A) and (B) of this section as to the third victim because the evidence established that the third victim was shot in the foot, and the court rejected defendant's argument that the evidence was insufficient for failing to establish that the victim suffered a “serious physical injury” as that term is defined in § 5-1-102(21). The evidence was sufficient to establish that the victim suffered a serious physical injury because the victim suffered a gunshot wound from a .45 caliber semiautomatic pistol that was serious enough to warrant emergency medical care, the victim continued to experience pain and tenderness while walking and was often unable to wear shoes due to the lasting effects of the wound, and the victim was unable to participate in activities that he enjoyed before sustaining the injury, such as playing basketball, and had visible scarring from the entry and exit of the bullet; this evidence was sufficient to support the jury's factual finding that the victim suffered a serious physical injury as a result of defendant's actions. Butler v. State, 2009 Ark. App. 695, 371 S.W.3d 699 (2009).

Evidence that defendant shot his wife four times as she sat in her vehicle was sufficient to support his conviction for terroristic acts under this section, which only required proof that defendant shot at a “conveyance” occupied by the wife with the purpose of injuring her. Frost v. State, 2010 Ark. App. 163 (2010).

In a case in which defendant was found guilty on three counts of attempted first-degree murder, of being a felon in possession of a firearm, and three counts of committing a terroristic act, he unsuccessfully argued that substantial evidence did not support his convictions; while the evidence was circumstantial, substantial evidence supported the conclusion that defendant committed the crimes in question. Moments after the shooting, a dark-colored car was observed speeding away from the area without its lights on even though it was dark outside, that car crashed into another vehicle five blocks from the shooting, a witness positively identified defendant as the person who emerged from the driver's side of the car carrying a long rifle, shell casings from a rifle were recovered from the scene of the shooting, defendant's DNA was found on the driver's side airbag of the car, and the car contained a letter addressed to defendant. Smith v. State, 2010 Ark. App. 216 (2010).

Shot fired at the victims' house, the intruders' clear intent to rob the victims, the earlier threat to kill the victims, and the testimony that one of the intruders turned around and started shooting while he was being chased out of the house was sufficient to convict defendant of committing terroristic acts under subdivision (a)(2) of this section. Davis v. State, 2012 Ark. App. 362 (2012).

Evidence was sufficient to sustain defendant's conviction for committing a terroristic act because, after initially shooting at the victim, defendant fired his weapon two more times as the victim was in the process of shutting his door. The natural and probable consequences of defendant's action in continuing to shoot as the door was closing resulted in the bullets striking the trailer, even though defendant aimed with the purpose of causing personal injury. Wells v. State, 2012 Ark. App. 596, 424 S.W.3d 378 (2012).

It was defendant's brother who fired the shot that killed the victim, and although defendant claimed the State failed to prove it was his conscious object to assist his brother, the law in Arkansas made no distinction between the criminal liability of a principal and an accomplice; defendant drove around with the stated purpose to assist in hunting down and killing the victim, and thus the evidence supported his convictions of first-degree murder and committing a terroristic act, and the circuit court properly denied his motions for directed verdict. Starling v. State, 2015 Ark. App. 429, 468 S.W.3d 294 (2015).

Circuit court did not err in denying defendant's motions for directed verdict because, through the testimony and evidence presented at trial, the jury was apprised of the involvement of the witnesses in the shooting of the victim, and the jury was presented with evidence that defendant chased the victim, blocked the victim's vehicle with defendant's vehicle, and ran up to the victim's car, shooting once into the hood of the car and a second time through the windshield of the car, killing the victim. Starling v. State, 2016 Ark. 20, 480 S.W.3d 158 (2016).

Substantial evidence supported a first-degree felony murder conviction and three terroristic-act convictions where the State was only required to prove that defendant in fact shot at the conveyance the victims were occupying regardless of whether he intended to do so, and three eyewitnesses testified that the surviving victim was in the vehicle when defendant shot at it. Shelton v. State, 2017 Ark. App. 195, 517 S.W.3d 461 (2017).

Although defendant claimed that the only evidence of his intent was the statement he gave to police that the gun accidentally went off, the evidence was sufficient to support his conviction of a terroristic act because there was evidence that defendant honked his horn at the car in front of him at a stop sign, that the other driver honked back, and then defendant exited his vehicle and shot at the other vehicle, killing one of its occupants; in addition, defendant's attorney conceded during argument at trial that the evidence was sufficient to withstand a motion for directed verdict as to the terroristic act. Holmes v. State, 2019 Ark. App. 508, 588 S.W.3d 835 (2019).

Circuit court properly sentenced defendant for capital murder, unlawful discharge of a firearm from a vehicle, terroristic act, and employing a firearm in the commission of a felony because nothing in the capital-murder statute required the State to prove anything regarding the weapon alleged to have been used, the evidence was sufficient for the jury to conclude that defendant shot at an occupiable structure (the victim's home) in an attempt to cause injury to the people standing in front of it, defendant was not prejudiced by the hearsay testimony of a detective regarding a witness's statements to him and the court's failure to give the limiting instruction, and the findings of guilt sufficiently triggered the sentence enhancement. Martinez v. State, 2019 Ark. 85, 569 S.W.3d 333 (2019).

Cited: Webb v. State, 48 Ark. App. 216, 893 S.W.2d 357 (1995); Guy v. State, 323 Ark. 649, 916 S.W.2d 760 (1996); Watson v. State, 329 Ark. 511, 951 S.W.2d 304 (1997); Palmer v. State, 60 Ark. App. 97, 959 S.W.2d 420 (1998); Jones v. State, 332 Ark. 617, 967 S.W.2d 559 (1998).

5-13-310. Terroristic act.

Chapter 14 Sexual Offenses

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Cross References. Emergency medical/legal examinations for sexual assault victims, § 12-12-401 et seq.

Katie's Law, § 16-88-115.

Fines, § 5-4-201.

Minor sexual assault victims, presence of parent or custodian at all proceedings, § 16-42-102.

Obscenity, § 5-68-201 et seq.

Prostitution, § 5-70-101 et seq.

Term of imprisonment, § 5-4-401.

Testing for human immunodeficiency virus for persons arrested and charged with certain sexual offenses, § 16-82-101.

Use of children in sexual performances, § 5-27-401 et seq.

Sexual offenses screened in criminal background checks, § 25-1-112.

Effective Dates. Acts 1985, No. 281, § 6: Mar. 17, 1985. Emergency clause provided: “It is hereby found and determined by the General Assembly that certain individuals who are in a position of power or authority over minors have avoided prosecution under current law for certain sexual activities with such minors and that such activities by individuals should be punished. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1985, No. 326, § 3: Mar. 12, 1985. Emergency clause provided: “It is hereby found and determined by the General Assembly that certain individuals who are in a position of power or authority over minors have avoided prosecution under current law for certain sexual activities with such minors and that such activities by individuals should be punished. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1985, No. 327, § 3: Mar. 12, 1985. Emergency clause provided: “It is hereby found and determined by the General Assembly that certain individuals who are in a position of power or authority over minors have avoided prosecution under current law for certain sexual activities with such minors and that such activities by individuals should be punished. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1985, No. 563, § 2: Mar. 25, 1985. Emergency clause provided: “Because the Arkansas Supreme Court, in the case of Kramer v. State, 283 Ark. 36 (1984), has declared that the touching of the buttocks is not prohibited conduct as defined in Arkansas Statute 41-1801(8), there presently exists a loophole that allows a person to fondle another and escape prosecution under Chapter 18 of the Arkansas Criminal Code; that this is contrary to legislative intent and needs immediate rectification. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1985, No. 870, § 6: Apr. 15, 1985. Emergency clause provided: “It is hereby found and determined by the General Assembly that sexual crimes against children have risen in alarming numbers in recent years and the current laws in this State inadequately protect potential child victims of sex crimes and are not harsh enough to serve as a deterrent to potential child abusers. Therefore, this Act is necessary to immediately correct a currently severe problem in this State. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1985, No. 919, § 6: Apr. 15, 1985. Emergency clause provided: “It is hereby found and determined by the General Assembly that certain individuals who are in a position of power or authority over minors have avoided prosecution under current law for certain sexual activities with such minors and that such activities by individuals should be punished. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1989, No. 614, § 8: Mar. 16, 1989. Emergency clause provided: “It is hereby found and determined by the General Assembly that a person with Acquired Immunodeficiency Syndrome (AIDS) or Human Immunodeficiency Virus (HIV) antigen or antibodies who acts irresponsibly with respect to sexual contact or with respect to transfer of blood or blood products constitutes a deadly threat to the public and health and welfare of the people of the state of Arkansas; that the incidence of Acquired Immunodeficiency Syndrome (AIDS) is increasing at an alarming rate and that Acquired Immunodeficiency Syndrome (AIDS) results in enormous social, health and economic costs, ultimately causing premature death of all those infected with Human Immunodeficiency Virus (HIV). Therefore, an emergency is hereby declared to exist and this Act being necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1997, No. 831, § 6: Mar. 26, 1997. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that those persons who are institutionalized in hospitals and human development centers and who are incapable of consent are not adequately protected by current rape and sexual abuse statutes. Therefore an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health and safety shall become effective on the date of its approval by the Governor. If the bill is neither approved nor vetoed by the Governor, it shall become effective on the expiration of the period of time during which the Governor may veto the bill. If the bill is vetoed by the Governor and the veto is overridden, it shall become effective on the date the last house overrides the veto.”

Research References

ALR.

“Rape shield” statute restricting use of evidence of victim's sexual experiences. 1 A.L.R.4th 283.

Admissibility of evidence that accused raped or attempted to rape person other than prosecutrix. 2 A.L.R.4th 330.

Defining crime of rape to include activity traditionally punishable as sodomy or the like. 3 A.L.R.4th 1009.

Entrapment defense in sex offense prosecutions. 12 A.L.R.4th 413.

Sodomy generally. 20 A.L.R.4th 1009.

Validity of statute making sodomy a criminal offense. 20 A.L.R.4th 1009.

Criminal responsibility of husband for rape, or assault to commit rape, on wife. 24 A.L.R.4th 105.

Sufficiency of allegations or evidence of serious bodily injury to support charge of aggravated degree of rape, sodomy, or other sexual abuse. 25 A.L.R.4th 1213.

Necessity for corroboration of victim's testimony in prosecution for sexual offense. 31 A.L.R.4th 120.

Admissibility of expert testimony on rape trauma syndrome. 42 A.L.R.4th 879.

Admissibility of expert testimony as to criminal defendant's propensity toward sexual deviation. 42 A.L.R.4th 937.

Mental examinations to determine competency or credibility of complainant in sexual offense prosecution. 45 A.L.R.4th 310.

Am. Jur. 50 Am. Jur. 2d, Lewdness, §§ 17, 18.

65 Am. Jur. 2d, Rape, § 1 et seq.

70C Am. Jur. 2d, Sodomy, § 1 et seq.

Ark. L. Notes.

Sheppard, Arkansas 1, Texas 0: Sodomy Law Reform and the Arkansas Law, 2003 Arkansas L. Notes 87.

Ark. L. Rev.

The Constitutionality of Affirmative Defenses to Criminal Charges, 29 Ark. L. Rev. 430.

1976 Criminal Code — General Principles, 30 Ark. L. Rev. 111.

Killenbeck, And Then They Did …? Abusing Equity in the Name of Justice, 44 Ark. L. Rev. 235.

Note, Arkansas Rules of Evidence in Child Sexual Abuse: Vann v. State, 47 Ark. L. Rev. 239.

C.J.S. 53 C.J.S., Lewdness, § 1 et seq.

75 C.J.S., Rape, § 1 et seq.

81A C.J.S., Sodomy, § 1 et seq.

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Law, 1 U. Ark. Little Rock L.J. 153.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

Legislative Survey, Criminal Law, 8 U. Ark. Little Rock L.J. 559.

Case Notes

Sentencing.

Sentencing shall not be other than in accordance with the statute in effect at the time of the commission of the crime. Meadows v. State, 320 Ark. 686, 899 S.W.2d 72 (1995).

Subchapter 1 — General Provisions

Effective Dates. Acts 2007, No. 38, § 3: Jan. 30, 2007. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the current penalty classification for the offense of indecent exposure is not adequate to protect the children in this state from repeat offenders; that the Internet is being used as a tool by people that are attempting to sexually victimize children in the State of Arkansas; that the current penalty classification for the offense of Internet stalking of a child in certain situations is not adequate to protect the children in this state; and that this act is immediately necessary because of the public risk posed by sexual predators. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2007, No. 392, § 2: Mar. 20, 2007. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the need to maintain correct information regarding the location of the residences of sex offenders is necessary to ensure the safety of the citizens of the State of Arkansas; that the provisions of this act will require sex offenders to maintain correct information on identification cards and driver's licenses; and that this act is necessary because of the public risk posed by sex offenders. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2007, No. 394, § 11: Mar. 21, 2007. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the need to register and verify registration of sex offenders and sexually violent predators is necessary to ensure the safety of the citizens of the State of Arkansas; that the provisions of this act will improve the process of registering and verifying the registration of sex offenders and sexually violent predators; and that this act is necessary because of the public risk posed by sex offenders and sexually violent predators. Therefore, an emergency is declared to exist and this act being necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2011, No. 816, § 2: Mar. 30, 2011. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that high-level sex offenders oftentimes target young children as victims; that during the summer months, water parks are popular destinations for young children; and that this act is immediately necessary in order to have it effective before the late spring and summer of this year, when children will begin to go to water parks. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2013, No. 39, § 2: Feb. 6, 2013. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that high-level sex offenders often target young children as victims; that during the summer months, state parks are popular destinations for families with young children, especially those with a swimming area or a playground; and that this act is immediately necessary in order for it to be effective before the late spring and summer of this year when children will begin to go to state parks. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2013, No. 210, § 3: Mar. 1, 2013. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that pregnancy from rape against women occurs; that women who get pregnant as a result of rape and decide to carry their pregnancy to term should not have a lifetime tethered to their rapists due to custody issues; and that this act is immediately necessary to eliminate the possibility that a rapist convicted in a court of law can have custody rights to any child conceived and born from such a rape. Therefore, an emergency is declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Identical Acts 2016 (3rd Ex. Sess.), Nos. 18 and 19, § 2: May 23, 2016. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that protection of our children from sexual predators is of paramount importance; that on March 17, 2016, the Supreme Court held in State v. Coble that the language in the current criminal statute of sexual indecency with a child, § 5-14-110, technically did not prescribe criminal liability for at least one (1) act of sexual predation; and that this act is immediately necessary to prohibit acts of sexual predation. Therefore, an emergency is declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2019, No. 556, § 7: Mar. 26, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the Centers for Disease Control and Prevention currently estimates that five hundred fifty-one (551) girls or women in Arkansas are at the risk of, or have undergone, female genital mutilation; that female genital mutilation is recognized globally as a human rights violation; and that this legislation is immediately needed to help the women of Arkansas as soon as possible. Therefore, an emergency is declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto”.

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

5-14-101. Definitions.

As used in this chapter:

  1. “Deviate sexual activity” means any act of sexual gratification involving:
    1. The penetration, however slight, of the anus or mouth of a person by the penis of another person; or
    2. The penetration, however slight, of the labia majora or anus of a person by any body member or foreign instrument manipulated by another person;
  2. “Forcible compulsion” means physical force or a threat, express or implied, of death or physical injury to or kidnapping of any person;
  3. “Guardian” means a parent, stepparent, legal guardian, legal custodian, foster parent, or any person who by virtue of a living arrangement is placed in an apparent position of power or authority over a minor;
    1. “Mentally defective” means that a person suffers from a mental disease or defect that renders the person:
      1. Incapable of understanding the nature and consequences of a sexual act; or
      2. Unaware a sexual act is occurring.
    2. A determination that a person is mentally defective shall not be based solely on the person's intelligence quotient;
  4. “Mentally incapacitated” means that a person is temporarily incapable of appreciating or controlling the person's conduct as a result of the influence of a controlled or intoxicating substance:
    1. Administered to the person without the person's consent; or
    2. That renders the person unaware a sexual act is occurring;
  5. “Minor” means a person who is less than eighteen (18) years of age;
  6. “Physically helpless” means that a person is:
    1. Unconscious;
    2. Physically unable to communicate a lack of consent; or
    3. Rendered unaware a sexual act is occurring;
  7. “Public place” means a publicly or privately owned place to which the public or a substantial number of people have access;
  8. “Public view” means observable or likely to be observed by a person in a public place;
  9. “Recording” includes without limitation an image or video;
  10. “Sexual contact” means any act of sexual gratification involving the touching, directly or through clothing, of the sex organs, buttocks, or anus of a person or the breast of a female;
  11. “Sexual intercourse” means penetration, however slight, of the labia majora by a penis;
  12. “Sexually explicit conduct” means the same as defined in § 5-27-302; and
  13. “State of nudity” means the same as defined in § 5-26-302.

History. Acts 1975, No. 280, § 1801; 1985, No. 327, § 1; 1985, No. 563, § 1; A.S.A. 1947, § 41-1801; Acts 1995, No. 525, § 1; 2001, No. 1724, § 1; 2009, No. 748, § 7; 2017, No. 664, § 1.

Amendments. The 2009 amendment added present (6) and redesignated remaining subdivisions accordingly.

The 2017 amendment added the definitions for “Recording”, “Sexually explicit conduct”, and “State of nudity”.

Research References

ALR.

What constitutes “public place” within meaning of state statute or local ordinance prohibiting indecency or commission of sexual act in public place. 95 A.L.R.5th 229.

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

Deviate Sexual Activity.

Where the defendant put the child's penis in his mouth, the defendant could properly be tried and convicted for deviate sexual activity, despite the defendant's contention that the criminal statutes as written did not include his actions, in that only the body of the accused was penetrated, and not the body of the victim. Hoggard v. State, 277 Ark. 117, 640 S.W.2d 102 (1982), cert. denied, Hoggard v. Arkansas, 460 U.S. 1022, 103 S. Ct. 1273 (1983).

Evidence held insufficient to sustain the charge of rape by deviate sexual activity. Peebles v. State, 305 Ark. 338, 808 S.W.2d 331 (1991).

Evidence of sexual contact was sufficient to show the commission of rape by deviate sexual activity. Harris v. State, 15 Ark. App. 58, 689 S.W.2d 353 (1985).

It is not necessary for the state to provide direct proof that an act is done for sexual gratification if it can be assumed that the desire for sexual gratification is a plausible reason for the act, or when persons, other than physicians or other persons for legitimate medical reasons, insert something in another person's vagina or anus. Warren v. State, 314 Ark. 192, 862 S.W.2d 222 (1993).

An 11-year-old boy's testimony that defendant touched his penis inside his underwear and hugged him, asked him to perform oral sex, and the boy's description in graphic detail how defendant performed oral sex on him on at least two separate occasions was sufficient to prove rape by deviate sexual behavior. Laughlin v. State, 316 Ark. 489, 872 S.W.2d 848 (1994).

Evidence sufficient to support giving “deviate sexual activity” portion of the jury instruction. Clark v. State, 323 Ark. 211, 913 S.W.2d 297 (1996).

Evidence held sufficient to establish that defendant had engaged in deviant sexual activity. Johnson v. State, 328 Ark. 526, 944 S.W.2d 115 (1997).

Substantial evidence proved defendant raped his 14-year old stepdaughter where (1) according to trial testimony defendant digitally penetrated the victim numerous times before she was 14 years old, (2) the DNA extracted from the victim's mattress, where the abuse occurred, tested positive for defendant's DNA, (3) an expert testified that the victim did not have a hymen, which indicated chronic or long-term sexual contact, and (4) the victim testified that she had been raped by her stepfather and she did not report the abuse because she was scared and was afraid that defendant would not love her anymore. Pinder v. State, 357 Ark. 275, 166 S.W.3d 49 (2004).

Sufficient evidence supported a rape conviction under § 5-14-103(a)(1)(A) where the victim testified that defendant sexually assaulted her with his fingers and there was ample DNA evidence linking defendant to the crime; the victim's testimony established that defendant engaged in deviate sexual activity with the victim, as defined in subdivision (9) of this section, by forcible compulsion, as defined in subdivision (2). Walters v. State, 358 Ark. 439, 193 S.W.3d 257 (2004).

Evidence was sufficient to prove defendant engaged in deviate sexual behavior where the victim testified that he performed oral sex on defendant after being threatened and that defendant performed oral sex on him. Williams v. State, 363 Ark. 395, 214 S.W.3d 829 (2005).

Where the victim testified that defendant touched her “in a bad way” on ten occasions beginning when she was six and stated that on four occasions he made her touch his “weeny” and “go up and down on it”, the testimony was sufficient to find that defendant engaged in “deviate sexual activity”. Cox v. State, 93 Ark. App. 419, 220 S.W.3d 231 (2005).

Defendant's conviction for rape was upheld where the 16-year-old victim's testimony about her physical symptoms, when coupled with the testimony of the other witnesses, provided circumstantial evidence of penetration, which was an element of both rape by sexual intercourse and rape by deviate sexual activity. Marshall v. State, 94 Ark. App. 34, 223 S.W.3d 74 (2006).

Defendant's conviction for rape of his infant daughter was affirmed as the child showed signs of sexual abuse, including tears to the labia majora and minora that were consistent with trauma, immediately after being left with defendant, and defendant's semen was found on the child's diaper; thus, evidence was sufficient to find defendant engaged in deviate sexual activity. Terry v. State, 366 Ark. 441, 236 S.W.3d 495 (2006).

Evidence was sufficient to sustain defendant's rape conviction because defendant admitted that the six-year-old victim put her mouth on his penis and gave him oral sex, and a hair found on defendant's underwear was found to be microscopically similar to the sample provided by the victim. Bell v. State, 371 Ark. 375, 266 S.W.3d 696 (2007).

Evidence was sufficient to convict defendant under 18 U.S.C.S. § 2422(b) of attempting to persuade a minor to engage in sexual activity for which defendant could have been charged with a criminal offense, which under § 5-14-127(a)(1) and subdivision (1)(A) of this section included oral sex (which constituted “deviate sexual activity”) with a person under age 16; evidence was offered that defendant discussed sexual activity with a 15-year-old victim, and there was sufficient evidence to establish that defendant knew that the victim was under 16 given defendant's behavior indicating a consciousness of guilt, the victim's testimony, and the transcript of an online chat between defendant and a detective posing as the victim. United States v. Langley, 549 F.3d 726 (8th Cir. 2008).

Victim's testimony alone supported appellant's conviction for rape and sexual assault; moreover, the victim's testimony illustrated that there were several different actions of sexual assault and rape—acts that could each be separated in time as involving distinct impulses. Bryant v. State, 2010 Ark. 7, 377 S.W.3d 152 (2010).

Although appellant offered testimony that conflicted with the victim's testimony and the evidence presented at trial, the supreme court only needed to limit its review to those facts supporting the verdict to conclude that there was sufficient evidence to support the conviction of rape; the victim testified that she was forced to engage in deviate sexual activity with appellant and, after the attack, she ran from the house where she was eventually found by police. Although a semen sample collected during an examination did not match the DNA of appellant, but, rather that of the victim's fiance, the victim's testimony need not be corroborated; furthermore, it was for the jury to decide whether the testimony was credible. Hickey v. State, 2010 Ark. 109 (2010).

Defendant's conviction for attempted rape of his 13-year-old stepdaughter was supported by the evidence because the victim testified that defendant, who wanted oral sex from her, a deviate sexual activity under subdivision (1) of this section, thrust himself upon her while she was in the shower until her grandmother, who lived next door, appeared at the front door. Forrest v. State, 2010 Ark. App. 686 (2010).

Defendant's conviction for raping his seven-year-old daughter was proper because the victim's testimony that he “put his private part in her butt” was sufficient to sustain the conviction under § 5-14-103(a)(3)(A) and subdivision (1)(A) of this section; a nurse corroborated the victim's testimony in that the nurse found that the injuries to the victim's anus and hymen were consistent with penetration. Harlmo v. State, 2011 Ark. App. 314, 383 S.W.3d 447 (2011).

In a rape case, an appellate court did not reach the merits of defendant's sufficiency of the evidence argument because defendant's argument made before the trial court relating to sexual gratification was significantly different from the argument made on appeal. Even if the argument was considered on appeal, the evidence was sufficient to prove the crime of rape since the five-year-old victim testified that defendant put his hand in her panties and tickled her private part. Matar v. State, 2016 Ark. App. 243, 492 S.W.3d 106 (2016).

Victim's testimony that, when she was seven years old, defendant put his penis in her butt and that he forced her to suck on his penis while they were in the bathtub was sufficient to meet the definition of “deviate sexual activity”. King v. State, 2018 Ark. App. 572, 564 S.W.3d 563 (2018).

Endangerment Offense.

The offense of endangering the welfare of a minor does not encompass allegations of sexual misconduct, and should not be used as an alternative to sexual offense charges. Leheny v. State, 307 Ark. 29, 818 S.W.2d 236 (1991).

Evidence.

Evidence was sufficient to sustain defendant's rape conviction because the child testified that defendant put his finger inside her body on what she described as her “private part,” and to prove rape, the state was required to show that there was penetration, however slight, of the labia majora of the victim. McLish v. State, 2012 Ark. App. 275 (2012).

Substantial evidence supported defendant's conviction for rape in violation of § 5-14-103(a)(3)(A), because the child victim testified that when she was seven years old, defendant forced her onto the bed, touched her chest, and sexually penetrated her vagina under subdivision (1)(B) of this section. Therefore, the circuit court properly denied his motion for directed verdict. Fields v. State, 2012 Ark. 353 (2012).

Victim's testimony relating to her grade level and place of residency at the time of assaults was sufficient proof for a jury to determine when certain assaults occurred under subdivision (1)(B) of this section and § 5-14-103(a)(3)(A). Mashburn v. State, 2012 Ark. App. 621 (2012).

Defendant's rape convictions were appropriate because the trial court did not err by denying his motions for a directed verdict. The victim's testimony alone was substantial evidence of rape and the evidence specifically established that defendant raped his daughter at least four times while they were living in the county. Richey v. State, 2013 Ark. App. 382 (2013).

Evidence was sufficient to convict defendant of rape and sexual assault where both victims testified that defendant penetrated their vaginas with his penis; the credibility of the witnesses was for the jury to decide. Moreover, an officer's testimony established that defendant was between 17 and 20 years old over the course of time that he sexually abused one of the victims, so the jury could have reasonably concluded that at least two of the sexual assaults occurred after defendant turned 18. Thompson v. State, 2015 Ark. App. 275, 461 S.W.3d 368 (2015).

Forcible Compulsion.

Evidence held insufficient to show forcible compulsion. Nelson v. State, 262 Ark. 391, 557 S.W.2d 191 (1977).

Evidence held sufficient to show forcible compulsion. Fink v. State, 265 Ark. 865, 582 S.W.2d 3 (1979); Jennings v. State, 268 Ark. 216, 594 S.W.2d 855 (1980); Beed v. State, 271 Ark. 526, 609 S.W.2d 898 (1980); Banks v. State, 277 Ark. 28, 639 S.W.2d 509 (1982); Canard v. State, 278 Ark. 372, 646 S.W.2d 3 (1983); Puckett v. State, 324 Ark. 81, 918 S.W.2d 707 (1996).

Where both victims were children and they were alone every day after school with the defendant, who was their mother's brother and the only adult male living in the house, the jury was justified in finding that their submission was induced through the forcible coercion of the defendant, who stood in loco parentis to the girls. Griswold v. State, 290 Ark. 79, 716 S.W.2d 767 (1986).

Where the 13-year-old victim testified that she asked the defendant not to have intercourse with her and that it upset her when he did and the 10-year-old victim testified the defendant told her to “do it or else,” there was sufficient proof for the jury to find the acts were consummated against the will of the girls. Griswold v. State, 290 Ark. 79, 716 S.W.2d 767 (1986).

The quantum of force need not be considered as long as the act is committed against the will of the victim. West v. State, 27 Ark. App. 49, 766 S.W.2d 22 (1989).

“Forcible compulsion” under the rape statute is defined as “physical force,” which is further defined as any bodily impact, restraint or confinement, or the threat thereof. Strawhacker v. State, 304 Ark. 726, 804 S.W.2d 720 (1991); Skiver v. State, 37 Ark. App. 146, 826 S.W.2d 309 (1992).

“Physical force,” as used in subdivision (2) of this section, means any bodily impact, restraint or confinement, or the threat thereof. Dillon v. State, 317 Ark. 384, 877 S.W.2d 915 (1994).

The test for determining whether there was force is whether the act was against the will of the party upon whom the act was committed. Mosley v. State, 323 Ark. 244, 914 S.W.2d 731 (1996).

Evidence was sufficient to establish forcible compulsion where the defendant abducted the victim at gunpoint, robbed her, took her to a storage facility, and sexually assaulted her, and where there was no evidence of any consensual conduct by the victim. Williams v. State, 338 Ark. 97, 991 S.W.2d 565 (1999).

Evidence was sufficient to convict defendant of rape where the victim, who had physical limitations, testified that defendant forced her to have sexual intercourse and to perform sexual acts on him after he entered her home under the pretext of using the telephone. Ellis v. State, 364 Ark. 538, 222 S.W.3d 192 (2006).

Rape victim's testimony was more than sufficient to show that the sex acts were against her will, and, thus, substantial evidence existed to support the element of forcible compulsion under subdivision (a)(1) of this section. Rounsaville v. State, 2009 Ark. 479, 346 S.W.3d 289 (2009).

Where the victim testified that defendant drove her to an unfamiliar area, poured each of them a shot glass of liquor, and forced her to have sexual intercourse with him against her will, the victim's testimony was sufficient to support defendant's conviction for rape in violation of subdivision (a)(1) of this section. The element of “forcible compulsion,” as set forth in subdivision (2), was established by the victim's testimony that she told defendant that she “didn't want to do it;” she pushed him off her; and she fought him as he removed her clothes, but defendant's strength was such that she was unable to keep him from removing her clothes. Goodman v. State, 2009 Ark. App. 262, 306 S.W.3d 443 (2009).

After their relationship had ended, the victim testified that defendant forced her into the bedroom, removed their clothing, and forced her to have sexual relations while she either attempted to leave or kicked and pushed him; defendant told a detective that he knew the victim did not want to have sex with him. The Court of Appeals of Arkansas held that the evidence was sufficient to support defendant's convictions for two counts of rape under § 5-14-103(a)(1); the state did prove the element of forcible compulsion for purposes of subdivision (2) of this section. Henson v. State, 2009 Ark. App. 464, 320 S.W.3d 19 (2009).

At the hearing to revoke defendant's suspended imposition of sentence (SIS), the victim testified that defendant expressed his desire to touch and caress her, pinned her down despite her protests, and inserted his finger in her vagina. Because the victim's testimony reached all of the elements of rape described in this section, the trial court did not err by revoking defendant's SIS. Ray v. State, 2009 Ark. App. 679 (2009).

Circuit court's decision to revoke probation on the ground that defendant had committed rape under § 5-14-103(a)(1) was not clearly against the preponderance of the evidence because defendant's pointing of a firearm at the victim was evidence of an implied threat of death or physical injury, and thus was forcible compulsion, as defined in subdivision (2) of this section. Craig v. State, 2010 Ark. App. 309 (2010).

Because the only rulings adverse to defendant were the denials of defendant's motions for a directed verdict, and because the victim's testimony that defendant hit, choked, and raped the victim was supported by physical evidence, there was substantial evidence under subdivision (2) of this section and § 5-14-103 to support defendant's conviction. Russell v. State, 2011 Ark. App. 479 (2011).

Challenge to the sufficiency of the evidence in a rape case would have been without merit because of the overwhelming evidence of guilt; the victim testified that defendant inserted his penis into her vagina against her will, and the DNA evidence identified defendant as the perpetrator. Burris v. State, 2015 Ark. App. 126 (2015).

Evidence was sufficient to convict under § 5-14-103 where the victim testified that the juvenile and codefendant had forced her into a fieldhouse and that codefendant had touched her on the inside with his finger while the juvenile restrained her by the waist and grabbed her hands, and there was nothing inherently improbable or physically impossible about the testimony. K.B. v. State, 2017 Ark. App. 478, 531 S.W.3d 420 (2017).

In a rape case, the circuit court did not err in denying appellant's motion for a directed verdict on the issue of forcible compulsion given that it found the victim's testimony about the incident credible, and her testimony was not so inherently improbable, physically impossible, or so clearly unbelievable that reasonable minds could not have differed about it. Hillman v. State, 2019 Ark. App. 89, 569 S.W.3d 372 (2019).

Guardian.

Where it was shown that defendant acted as a stepfather toward the 15-year-old daughter of his girlfriend, he stood in the position of a guardian since he spoke of the victim as his daughter and attended school functions as a parent. Therefore, there was sufficient evidence to support a conviction for rape under § 5-14-103(a)(4)(A)(i) based on his sexual intercourse with the child. White v. State, 370 Ark. 284, 259 S.W.3d 410 (2007).

Where the evidence showed that defendant assumed the role of a father figure by paying bills, taking children on outings, and taking the victim to the emergency room, the evidence was sufficient to show that he was a guardian under subdivision (3) of this section for purposes of a rape conviction under § 5-14-103(4)(a)(A)(i). Thompson v. State, 99 Ark. App. 422, 262 S.W.3d 193 (2007).

Evidence produced by the state at trial was sufficient for the jury to reasonably conclude that, by virtue of the living arrangement, appellant was placed in an apparent position of power or authority over the minor victim and that appellant was thus the victim's guardian for the purposes of subdivision (3) of this section and §§ 5-14-103(a)(4)(A)(i) and 5-14-125(a)(4)(A)(iii), thus the jury verdict was supported by substantial evidence. Pack v. State, 2010 Ark. App. 82 (2010).

Trial court did not clearly err by rejecting without a hearing defendant’s claim that his trial counsel was ineffective for failing to object to charging language and jury instructions on the ground that the definition of “guardian” found in this section did not specifically include a step-grandparent, because there was sufficient evidence that defendant was both the victim’s guardian and step-grandparent where defendant did not contest the fact that he was the victim’s step-grandfather and the victim had spent a great deal of time at defendant’s home. McDaniels v. State, 2014 Ark. 181, 432 S.W.3d 644 (2014).

For purposes of defendant's conviction for rape under § 5-14-103(a)(4), the testimony from the victim and his mother provided substantial evidence that defendant, who was the mother's boyfriend, disciplined her children and supported the family financially, and was a person “who by virtue of a living arrangement was placed in an apparent position of power or authority over a minor”. Mabry v. State, 2020 Ark. 72, 594 S.W.3d 39 (2020).

Penetration.

Penetration can be shown by circumstantial evidence, and if that evidence gives rise to more than a mere suspicion, and the inference that might reasonably have been deduced from it would leave little room for doubt, that is sufficient. Jackson v. State, 290 Ark. 375, 720 S.W.2d 282 (1986).

Evidence of penetration held sufficient, even though the attacker did not have an erection, where victim testified that he “smushed it in.” Stewart v. State, 331 Ark. 359, 961 S.W.2d 750 (1998).

Evidence was sufficient to sustain a second-degree sexual assault conviction where defendant digitally penetrated the 15 year old victim while the victim was entrusted to defendant's care. Bowker v. State, 363 Ark. 345, 214 S.W.3d 243 (2005).

Evidence was sufficient to sustain defendant's rape conviction because the child victim testified that defendant put his “bad spot” in her mouth and “peed” in her mouth. She described his “bad spot” as looking like an elephant trunk and his “pee” as looking like “chicken noodle soup without the noodles or the chicken.” Lamb v. State, 372 Ark. 277, 275 S.W.3d 144 (2008).

Defendant's conviction for rape was supported by the evidence because the 84-year-old victim testified that she awoke to find a young, nude, black man standing over her and that the man raped her; although the victim did not testify specifically about the penetration that occurred, the circumstantial evidence, specifically the testimony from an emergency room physician, established the element of penetration, as defined in subdivision (10) of this section. Young v. State, 374 Ark. 350, 288 S.W.3d 221 (2008).

In a case in which defendant appealed his conviction for rape of a 20-year old woman with a mental defect or mental incapacity, he unsuccessfully argued that there was insufficient evidence that penetration occurred. In addition to the testimony, there was also circumstantial medical evidence admitted that constituted substantial evidence to support the conviction; testimony from a nurse describing the procedure for taking the medical samples from inside the anus and vagina, together with evidence from the forensic experts concerning the presence of defendant's Y-chromosomal DNA on the victim's rectal swab, clearly gave rise to more than a mere suspicion and left little room for doubt that penetration occurred. Fernandez v. State, 2010 Ark. 148, 362 S.W.3d 905 (2010).

Victim's testimony was sufficient to convince the jury that there was penetration under subdivision (1)(B) of this section, as there was testimony from the victim's parent and a social worker that the victim told them that defendant touched the victim's “privates” under the victim's panties, and the victim testified that defendant touched the victim with defendant's fingers and knuckles and described the act of using them to separate the victim's labia majora. Montgomery v. State, 2010 Ark. App. 501 (2010).

Because a 12-year old child victim's uncorroborated testimony of penetration and vaginal and anal intercourse was sufficient to satisfy the statutory elements for rape, and because any inconsistencies were for the jury to resolve, defendant was properly convicted of violating subdivision (1) of this section and § 5-14-103(a)(3)(A). Hawkins v. State, 2011 Ark. App. 164 (2011).

Defendant's conviction for raping his daughter under § 5-14-103(a)(4)(A)(i) was appropriate because the evidence was sufficient. The minor victim's testimony constituted substantial evidence that defendant had raped her and a doctor had testified that the daughter's examination revealed findings consistent with penetration under subdivision (11) of this section. Vance v. State, 2011 Ark. 392, 384 S.W.3d 515 (2011).

Defendant's confession that he had his penis out and touched his five-year-old niece's mouth with it, and that she might have opened her mouth, coupled with the child's statement to her mother within seconds or minutes of the incident that defendant had put his pee-pee in her mouth, was sufficient to convict defendant of rape. Davis v. State, 2011 Ark. App. 686, 386 S.W.3d 647 (2011).

Motion for a directed verdict as to one rape charge against appellant relating to penetration by a penis was insufficient to challenge the sufficiency of a conviction for rape by digital penetration under Ark. R. Crim. P. 33.1(c); even if the issue was preserved, a victim's testimony was sufficient and substantial evidence to support a conviction. Clayton v. State, 2012 Ark. App. 199 (2012), appeal dismissed, 2013 Ark. 453 (2013).

Victim's oral cavity does not have to be fully entered in order for penetration to occur under subdivision (1)(A) of this section; rather, slight penetration, such as that of the lips, can be sufficient to constitute rape. Therefore, a directed verdict was properly denied because there was sufficient evidence of penetration under subdivision (1)(A) where the victim testified that appellant pushed her head down on his penis, which touched her lips; appellant was unable to push it further in the victim's mouth because she had her teeth clenched. Henderson v. State, 2012 Ark. App. 485 (2012).

Suspended sentence was properly revoked because the evidence showed that appellant committed rape under § 5-14-103(a)(1); penetration was shown by the circumstantial evidence where the victim sustained wounds to her body, appellant admitted to having intercourse, and debris was found inside of the victim's vagina. Moreover, appellant's semen was found on the victim's inner thigh. Edwards v. State, 2012 Ark. App. 551 (2012).

In a rape case, the State should not have been allowed to add the charge of second-degree sexual assault to an information at trial; defendant was unfairly surprised because he did not learn that the State intended to amend the information until after he made a motion to dismiss for failure to prove penetration.Defendant was prepared to defend against the essential element of penetration, and the amendment came after the State's witnesses were able to testify about acts that did not go to the elements of the rape charge. Martinez v. State, 2014 Ark. App. 182, 432 S.W.3d 689 (2014).

Defendant's claim that there was insufficient evidence of penetration lacked merit; the semen protein found inside the victim's mouth and vaginal canal was matched to either defendant or someone who shared his parental lineage, plus there was also proof that a sperm cell found on the victim matched defendant's personal DNA profile within all scientific certainty. Sharp v. State, 2015 Ark. App. 718, 479 S.W.3d 568 (2015).

In a rape case, an appellate court declined to address a challenge to the sufficiency of the evidence due to the lack of specificity in defendant's directed verdict motions; even if the issue had been addressed, a rape victim's testimony alone could have been sufficient to sustain the conviction. The victim gave specific testimony relating to penetration, and defendant was permitted to cross-examine the victim about previous lies. Tatum v. State, 2016 Ark. App. 80 (2016).

Evidence was sufficient to support defendant's rape conviction, given that the minor child alleged penetration when defendant placed a black pole-like object inside her vaginal area, which was red and consistent with sexual abuse as per the nurse practitioner who examined the child, and defendant's polygraph responses in this regard were found to be deceptive. Thomas v. State, 2016 Ark. App. 195, 487 S.W.3d 415 (2016).

Physically Helpless.

A fifty-three-year-old nursing home patient who was blind, mentally impaired, partially handicapped, and unable to speak was “physically helpless” as defined by subdivision (5) of this section. Dabney v. State, 326 Ark. 382, 930 S.W.2d 360 (1996).

Where the victim's physical condition made it impossible for her to be “aware” of defendant's intentions before he actually commenced the rape, it is likely that the victim was unaware of what was about to occur and of her need to indicate her lack of consent; under these circumstances, the victim was unable to consent due to her physical helplessness. Dabney v. State, 326 Ark. 382, 930 S.W.2d 360 (1996).

Defendant's conviction for rape was upheld where there was ample testimony that the 16-year-old victim was at times unconscious, inebriated, “out of it,” unable to stand, unable to walk, and unable to sit on a couch without falling off; there was also testimony that she had consumed approximately 12 shots of alcohol in a 20-minute period and, hence, was “physically helpless,” as defined by subdivision (6) of this section. Marshall v. State, 94 Ark. App. 34, 223 S.W.3d 74 (2006).

Substantial evidence existed to revoke defendant's suspended sentence for sale of cocaine based on a finding that he committed a new criminal offense because his sister-in-law testified defendant sexually assaulted her after she consumed alcohol and fell asleep; therefore, she was physically helpless for purposes of subdivision (7)(A) of this section. Wilson v. State, 2012 Ark. App. 566 (2012).

Public Place.

Drunk tank of the city jail was a “public place” as defined by this section. State v. Black, 260 Ark. 864, 545 S.W.2d 617 (1977).

The definition of a “public place” does not exclude establishments that limit their fare only to consenting adults and forewarned viewers. Young v. State, 286 Ark. 413, 692 S.W.2d 752 (1985), cert. denied, Young v. Arkansas, 474 U.S. 1070, 106 S. Ct. 830 (1986).

Sexual Contact.

Testimony held sufficient to show that defendant engaged in sexual contact with victim. Green v. State, 7 Ark. App. 175, 646 S.W.2d 20 (1983); Magar v. State, 308 Ark. 380, 826 S.W.2d 221 (1992).

A rational juror could reasonably conclude that putting the mouth on the penis constitutes penetration. Chambers v. Lockhart, 872 F.2d 274 (8th Cir. 1989), rehearing denied, — F.2d —, 1989 U.S. App. LEXIS 7394 (8th Cir. May 19, 1989), cert. denied, 493 U.S. 938, 110 S. Ct. 335 (1989).

When persons, other than physicians or other persons for legitimate medical reasons, insert something in another person's vagina or anus, it is not necessary that the state provide direct proof that the act was done for sexual gratification. Williams v. State, 298 Ark. 317, 766 S.W.2d 931 (1989).

When construed in accordance with their reasonable and commonly accepted meaning, and in context with the specific acts described in subsection (8), the words “sexual gratification” leave no doubt as to what behavior is prohibited under the statute. McGalliard v. State, 306 Ark. 181, 813 S.W.2d 768 (1991).

Court may assume that the appellant had sexual contact with the victim for sexual gratification, and it is not necessary for the state to prove that he was so motivated. Holbert v. State, 308 Ark. 672, 826 S.W.2d 284 (1992).

The touching of the side of girls' breasts constituted sexual contact under this section, and the court could assume that defendant's purpose in touching the girls was for sexual gratification without specific proof that he was so motivated. Holloway v. State, 312 Ark. 306, 849 S.W.2d 473 (1993).

Trial court properly denied defendant's motion for a directed verdict during his trial for sexual assault of his daughter because the testimony of the victim that defendant “would rub my behind,” and that he put his private part “in my behind,” was substantial evidence of sexual contact under subdivision (9) of this section to support the guilty verdict. Brown v. State, 374 Ark. 341, 288 S.W.3d 226 (2008).

Where defendant advertised “erotic services” on the Internet, she met an undercover officer at a hotel, and stroked his penis during the course of performing a massage; the officer's testimony was sufficient to show sexual activity through sexual contact as defined by this section. Defendant was properly convicted of prostitution under § 5-70-102, and sentenced to non-reporting probation for six months. Arrigo v. State, 2009 Ark. App. 568, 337 S.W.3d 560 (2009).

Defendant's convictions for rape as a habitual offender were appropriate pursuant to § 5-14-103(a)(3)(A) and subdivision (10) of this section because the uncorroborated testimony of a rape victim alone was sufficient to sustain a conviction and the victim's testimony was substantial evidence supporting defendant's convictions. The victim testified consistently and with sufficient detail that defendant raped her and therefore, substantial evidence supported the convictions. Price v. State, 2010 Ark. App. 111, 377 S.W.3d 324 (2010).

To support a second-degree sexual assault conviction, pursuant to § 5-14-125(a)(3), the state did not have to provide direct proof that the act was done for sexual gratification because it could be assumed that the desire for sexual gratification was a plausible reason for sexual contact, as defined by subdivision (10) of this section. Ross v. State, 2010 Ark. App. 129 (2010).

In a case in which defendant appealed his conviction for sexual assault in the second degree, in violation of § 5-14-125(a)(4)(A)(iii), he argued unsuccessfully that the trial court erred in denying his motion for a directed verdict. The victim's testimony alone was sufficient to support defendant's conviction, and the jury was not required to believe defendant's testimony that he had not touched the victim's breast. Chavez v. State, 2010 Ark. App. 161 (2010).

Evidence was sufficient to convict defendant of second-degree sexual assault under § 5-14-125(a)(3) because the child victim told a detective about a magic thumb game she played with defendant, pointed to the genitalia area of an anatomically correct doll when describing the magic thumb, and said that when it got big, she made it little again. King v. State, 2012 Ark. App. 253 (2012).

Revocation of probation was proper, because the appellate court was bound to defer to the trial court on issues of credibility, and the victim's testimony established each of the elements for committing second-degree sexual assault under subdivision (a)(1) of this section, when she indicated that the petitioner had her up against the wall and touched her buttocks and vagina. Boykins v. State, 2012 Ark. App. 263 (2012).

Trial court's delinquency adjudications finding that a juvenile committed three acts of sexual assault in the second degree, in violation of § 5-14-125(a)(1), were appropriate because the trial court found that the testimony of each of the three victims as to the juvenile's making sexual contact with them, as defined by subsection (10) of this section, by inappropriately touching the victims in separate incidents was credible, and because the uncorroborated testimony of each of the victims of a sexual offense constituted sufficient evidence to support a finding of guilt. D.D. v. State, 2012 Ark. App. 637 (2012).

Evidence was sufficient to convict defendant of second-degree sexual assault because a victim’s testimony was substantial evidence to sustain the conviction; even if defendant was checking on the victim’s welfare, this did not explain why he touched her breast or put his hands in her pants when she fell asleep in his truck. Harris v. State, 2014 Ark. App. 264 (2014).

Evidence was sufficient to convict defendant of second-degree sexual assault as it could be assumed that defendant's sexual contact with the victim was for sexual gratification because he entered the victim's home and touched her breast and vagina while she was in the bathtub. Holland v. State, 2017 Ark. App. 49, 510 S.W.3d 311 (2017).

Sexual Gratification.

Sexual gratification is not defined in this section, but the words have been construed in accordance with their reasonable and commonly accepted meanings. Warren v. State, 314 Ark. 192, 862 S.W.2d 222 (1993).

There was sufficient evidence to support defendant's conviction of rape for performing an act of oral sex upon a nine-year-old boy, in violation of § 5-14-103(a)(1)(C)(i) and subdivision (1) of this section, as “sexual gratification” did not have to be proved by the state and could be inferred from the circumstances; accordingly, defendant's claim that she performed the act in order to obtain drugs and that there was no showing by the state of any sexual gratification in her actions lacked merit. Eaton v. State, 85 Ark. App. 320, 151 S.W.3d 15 (2004).

Defendant's conviction for the rape of a seven-year-old boy, in violation of § 5-14-103(a)(3)(A), was proper because there was substantial evidence upon which the jury could have inferred that defendant's actions were motivated by a desire for sexual gratification, as defined in subdivision (1)(B) of this section; the jury could have found sexual gratification even if the only evidence presented was that defendant put his finger in the victim's anus. Rounsaville v. State, 374 Ark. 356, 288 S.W.3d 213 (2008).

Where defendant admitted that he inappropriately touched an eleven-year-old girl while she was sleeping, the jury could infer that his actions were motivated by a desire for sexual gratification within the meaning of subdivision (9) of this section. The evidence was sufficient to support his conviction for sexual assault in the second degree in violation of § 5-14-125(a)(3); the trial court did not err by denying his motion for a directed verdict. Davis v. State, 2009 Ark. App. 753, 386 S.W.3d 647 (2009).

Conviction for sexual assault in the second degree for violating § 5-14-125(a)(3) was supported by sufficient evidence because it was at least plausible that defendant's act of touching the victim's vaginal area with his foot, after which he ordered her not to tell anyone and later wrote a letter of apology, was done for the purpose of sexual gratification, pursuant to subdivision (10) of this section. Elliott v. State, 2010 Ark. App. 185 (2010).

Credibility arguments relating to a conviction for second-degree sexual assault were not preserved for appellate review because appellant presented different arguments at the trial court level; appellant argued that the charge was a lesser-included offense of rape and that the element of sexual gratification was not proven. Arguments not raised at trial were not addressed for the first time on appeal, and appellant was not able to change the grounds for his directed verdict motion on appeal. Clayton v. State, 2012 Ark. App. 199 (2012), appeal dismissed, 2013 Ark. 453 (2013).

Sexual Intercourse.

By defining sexual intercourse as penetration, however slight, of a vagina by a penis, the draftsmen of the 1975 Criminal Code did not intend to change the crime of rape by requiring a deeper penetration into the body than penetration of the labia, as was formerly necessary; therefore, penetration within the labia up to as far as the hymen held sufficient penetration of the vagina to sustain the defendant's conviction of rape. Hice v. State, 268 Ark. 57, 593 S.W.2d 169 (1980).

Nine-year-old victim's testimony that defendant put his penis inside her body, along with her description of defendant's acts, was sufficient evidence of penetration. United S. Assurance Co. v. Beard, 320 Ark. 115, 894 S.W.2d 948 (1995).

There was sufficient evidence to sustain a rape conviction under § 5-14-103(a)(1)(C)(i) where the evidence showed that a child had a life threatening injury to her vaginal wall that was consistent with an intentional injury due to penetration, and the scenarios proffered by defendant did not explain the injuries. Turbyfill v. State, 92 Ark. App. 145, 211 S.W.3d 557 (2005).

Evidence was sufficient to sustain a rape conviction because the victim gave unequivocal testimony that defendant engaged in acts of sexual intercourse, cunnilingus, or fellatio with her several times a week beginning when she was thirteen or fourteen years old. Keck v. State, 2009 Ark. App. 559 (2009).

Sufficient evidence supported defendant's conviction for rape, because the thirteen-year-old victim's testimony that defendant had sexual intercourse with her under subdivision (11) of this section while they were living in various houses satisfied the statutory elements of rape. Christian v. State, 2013 Ark. 86 (2013).

Defendant was convicted for one count of rape because he admitted to engaging in sexual relations with his biological daughter when she was 10-years-old and a sexual-assault nurse examiner discovered injuries to the victim that were indicative of sexual assault or trauma. Defendant's statement to police provided sufficient evidence that he engaged in “sexual intercourse” with a person less than fourteen years of age within the meaning of subdivision (11) of this section. Breeden v. State, 2013 Ark. 145, 427 S.W.3d 5 (2013).

Cited: Whitmore v. State, 263 Ark. 419, 565 S.W.2d 133 (1978); Mills v. State, 270 Ark. 141, 603 S.W.2d 416 (1980); Harper v. State, 1 Ark. App. 190, 614 S.W.2d 237 (1981); United States v. Lemons, 697 F.2d 832 (8th Cir. 1983); Kramer v. State, 283 Ark. 36, 670 S.W.2d 445 (1984); Harris v. State, 15 Ark. App. 58, 689 S.W.2d 353 (1985); Mallett v. State, 17 Ark. App. 29, 702 S.W.2d 814 (1986); Speer v. State, 18 Ark. App. 1, 708 S.W.2d 94 (1986); Chappell v. State, 18 Ark. App. 26, 710 S.W.2d 214 (1986); Flurry v. State, 18 Ark. App. 64, 711 S.W.2d 163 (1986); Perkins v. State, 298 Ark. 322, 767 S.W.2d 514 (1989); Davis v. State, 308 Ark. 481, 825 S.W.2d 584 (1992); Vann v. State, 309 Ark. 303, 831 S.W.2d 126 (1992); Parrish v. Luckie, 963 F.2d 201 (8th Cir. 1992); D.D. v. State, 40 Ark. App. 75, 842 S.W.2d 62 (1992); Logan v. Lockhart, 994 F.2d 1324 (8th Cir. 1993); Clark v. State, 315 Ark. 602, 870 S.W.2d 372 (1994); Gadberry v. State, 46 Ark. App. 121, 877 S.W.2d 941 (1994); Mills v. State, 322 Ark. 647, 910 S.W.2d 682 (1995); Weber v. State, 326 Ark. 564, 933 S.W.2d 370 (1996); Ricks v. State, 327 Ark. 513, 940 S.W.2d 422 (1997); Sherrill v. State, 329 Ark. 593, 952 S.W.2d 134 (1997); Jones v. Clinton, 990 F. Supp. 657 (W.D. Ark. 1997); Freeman v. State, 331 Ark. 130, 959 S.W.2d 400 (1998); Jameson v. State, 333 Ark. 128, 970 S.W.2d 785 (1998); Clem v. State, 351 Ark. 112, 90 S.W.3d 428 (2002); Benson v. State, 357 Ark. 43, 160 S.W.3d 341 (2004); Dep't of Human Servs. v. Parker, 88 Ark. App. 222, 197 S.W.3d 33, 2004 Ark. App. LEXIS 769 (2004); Davis v. State, 362 Ark. 34, 207 S.W.3d 474 (2005); Ward v. State, 370 Ark. 398, 260 S.W.3d 292 (2007); Rouzer v. State, 2009 Ark. App. 658 (2009); Stidam v. State, 2010 Ark. App. 278, 374 S.W.3d 246 (2010); Estrada v. State, 2011 Ark. 3, 376 S.W.3d 395 (2011); Bean v. State, 2014 Ark. App. 107, 432 S.W.3d 87 (2014); Europe v. State, 2015 Ark. App. 460, 468 S.W.3d 792 (2015); Lowe v. State, 2016 Ark. App. 389, 500 S.W.3d 176 (2016); Allen v. State, 2016 Ark. App. 537, 506 S.W.3d 278 (2016); Duck v. State, 2016 Ark. App. 596, 509 S.W.3d 5 (2016); Bynum v. State, 2017 Ark. App. 41, 511 S.W.3d 860 (2017); Wiseman v. State, 2017 Ark. App. 371 (2017).

5-14-102. In general.

  1. The definition of an offense that excludes conduct with a spouse shall not be construed to preclude accomplice liability of a spouse.
  2. When the criminality of conduct depends on a child's being below fourteen (14) years of age and the actor is twenty (20) years of age or older, it is no defense that the actor:
    1. Did not know the age of the child; or
    2. Reasonably believed the child to be fourteen (14) years of age or older.
    1. When criminality of conduct depends on a child's being below fourteen (14) years of age and the actor is under twenty (20) years of age, it is an affirmative defense that the actor reasonably believed the child to be of the critical age or above.
    2. However, the actor may be guilty of the lesser offense defined by the age that the actor reasonably believed the child to be.
    1. When criminality of conduct depends on a child's being below a critical age older than fourteen (14) years, it is an affirmative defense that the actor reasonably believed the child to be of the critical age or above.
    2. However, the actor may be guilty of the lesser offense defined by the age that the actor reasonably believed the child to be.
  3. When criminality of conduct depends on a victim's being incapable of consent because he or she is mentally defective or mentally incapacitated, it is an affirmative defense that the actor reasonably believed that the victim was capable of consent.

History. Acts 1975, No. 280, § 1802; 1985, No. 281, § 1; 1985, No. 870, § 4; 1985, No. 919, § 1; A.S.A. 1947, § 41-1802; Acts 2003, No. 1323, § 2.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Sexual Offenses, 26 U. Ark. Little Rock L. Rev. 372.

Case Notes

Affirmative Defenses.

Defendant's due process rights were not violated by trial court's refusal to allow the introduction of a mistake-of-age defense in a rape trial because the legislature had the authority to define crimes and defenses; moreover, there were exceptions to the rule that every crime was required to contain a mens rea element. Gaines v. State, 354 Ark. 89, 118 S.W.3d 102 (2003).

In a proceeding regarding placement on a child maltreatment registry, evidence that there was a mistake of age did not negate the finding of child maltreatment. C.C.B. v. Ark. Dep't of Health & Human Servs., 368 Ark. 540, 247 S.W.3d 870 (2007).

Appellant's sexual assault conviction under § 5-14-127(a)(3) was affirmed where his argument that he reasonably believed that the victim was older than 16 was an affirmative defense under § 5-14-102(d)(1) and thus, the trial court properly concluded that he, rather than the State, bore the burden of proof under § 5-1-111(d)(1). Wright v. State, 98 Ark. App. 271, 254 S.W.3d 755 (2007).

Court rejected petitioner's contention that the reasonable mistake of age defense in subsection (d) of this section violated the Due Process Clause by shifting the burden of proof on an essential element to the defendant; if the Arkansas statute employed a strict-liability standard concerning the victim's age, then the state retained the burden of proving all elements of the offense, and no further facts are either presumed or inferred in order to constitute the crime (the defendant's reasonable ignorance of the victim's age would therefore mitigate the offense, not rebut a presumed element). Neely v. McDaniel, 677 F.3d 346 (8th Cir. 2012), rehearing denied, — F.3d —, 2012 U.S. App. LEXIS 12159 (8th Cir. Ark. June 14, 2012).

Petitioner was properly placed on the Arkansas Child Maltreatment Central Registry; the administrative hearing was not untimely because the petitioner requested a continuance and the ensuing delay was attributable to him; moreover, the ALJ did not err by failing to consider evidence of an affirmative defense because the petitioner, at the age of eighteen, engaged in sexual intercourse with a girl who was fourteen, which was sexual abuse, and even though the child testified that she told the petitioner that she was sixteen years old, it was not sufficient to negate the finding of child maltreatment. Marrufo v. Ark. Dep't of Human Servs., 2013 Ark. 323, 429 S.W.3d 210 (2013).

Intent.

Sexual molestation is an intentional act as a matter of law. Silverball Amusement, Inc. v. Utah Home Fire Ins. Co., 842 F. Supp. 1151 (W.D. Ark.), aff'd, 33 F.3d 1476 (8th Cir. Ark. 1994).

Cited: Summerlin v. State, 7 Ark. App. 10, 643 S.W.2d 582 (1982); Sansevero v. State, 345 Ark. 307, 45 S.W.3d 840 (2001); Trotter v. State, 2018 Ark. App. 326, 551 S.W.3d 421 (2018).

5-14-103. Rape.

  1. A person commits rape if he or she engages in sexual intercourse or deviate sexual activity with another person:
    1. By forcible compulsion;
    2. Who is incapable of consent because he or she is:
      1. Physically helpless;
      2. Mentally defective; or
      3. Mentally incapacitated;
      1. Who is less than fourteen (14) years of age.
      2. It is an affirmative defense to a prosecution under subdivision (a)(3)(A) of this section that the actor was not more than three (3) years older than the victim; or
      1. Who is a minor and the actor is the victim's:
        1. Guardian;
        2. Uncle, aunt, grandparent, step-grandparent, or grandparent by adoption;
        3. Brother or sister of the whole or half blood or by adoption; or
        4. Nephew, niece, or first cousin.
      2. It is an affirmative defense to a prosecution under subdivision (a)(4)(A) of this section that the actor was not more than three (3) years older than the victim.
  2. It is no defense to a prosecution under subdivision (a)(3) or subdivision (a)(4) of this section that the victim consented to the conduct.
    1. Rape is a Class Y felony.
    2. Any person who pleads guilty or nolo contendere to or is found guilty of rape involving a victim who is less than fourteen (14) years of age shall be sentenced to a minimum term of imprisonment of twenty-five (25) years.
    1. A court may issue a permanent no contact order when:
      1. A defendant pleads guilty or nolo contendere; or
      2. All of the defendant's appeals have been exhausted and the defendant remains convicted.
    2. If a judicial officer has reason to believe that mental disease or defect of the defendant will or has become an issue in the case, the judicial officer shall enter orders consistent with § 5-2-327 or § 5-2-328, or both.
  3. A person convicted of rape is subject to § 9-10-121.

History. Acts 1975, No. 280, § 1803; 1981, No. 620, § 12; 1985, No. 281, § 2; 1985, No. 919, § 2; A.S.A. 1947, § 41-1803; Acts 1993, No. 935, § 1; 1997, No. 831, § 1; 2001, No. 299, § 1; 2001, No. 1738, § 1; 2003, No. 1469, § 3; 2006 (1st Ex. Sess.), No. 5, § 2; 2009, No. 748, § 8; 2013, No. 210, § 2; 2017, No. 472, § 19.

Amendments. The 2009 amendment substituted “a minor” for “less than eighteen (18) years of age” in the introductory language of (a)(4)(A).

The 2013 amendment added (e).

The 2017 amendment substituted “orders consistent with § 5-2-327 or § 5-2-328, or both” for “such orders as are consistent with § 5-2-305” in (d)(2).

Cross References. Orders regarding psychiatric examinations of defendant, §§ 5-2-327, 5-2-328.

Research References

ALR.

Defense of mistake of fact as to victim's consent in rape prosecution. 102 A.L.R.5th 447.

Offense of Rape After Withdrawal of Consent. 33 A.L.R.6th 353.

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Evidence, 1 U. Ark. Little Rock L.J. 191.

Legislative Survey, Criminal Law, 4 U. Ark. Little Rock L.J. 583.

Note, Constitutional Law — Equal Protection — California's Gender Based Statutory Rape Law Upheld. Michael M. v. Superior Court, 450 U.S. 464. 5 U. Ark. Little Rock L.J. 315.

Note, Charge of Rape by Sexual Intercourse Sufficient to Convict of Rape by Deviate Sexual Activity, etc., 9 U. Ark. Little Rock L.J. 397.

“Constitutional Law — Child Hearsay Exception in Sexual Abuse Cases — New Arkansas Supreme Court Rule Conflicts with New General Assembly Rule: Which Controls? Vann v. State, 309 Ark. 303, 831 S.W.2d 126 (1992),” 15 U. Ark. Little Rock L.J. 143.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Annual Survey of Caselaw, Criminal Law, 25 U. Ark. Little Rock L. Rev. 927.

Annual Survey of Caselaw, Criminal Procedure, 25 U. Ark. Little Rock L. Rev. 946.

U. Ark. Little Rock L. Rev.

Annual Survey of Case Law: Criminal Law, 29 U. Ark. Little Rock L. Rev. 849.

Case Notes

Constitutionality.

Former statute providing penalty for sodomy was not too vague and too broad in scope, nor did it establish a religion because it regulated acts regarded as sinful by some religious groups. Connor v. State, 253 Ark. 854, 490 S.W.2d 114, appeal dismissed, 414 U.S. 991, 94 S. Ct. 342, 38 L. Ed. 2d 230 (1973) (decision under prior law).

Enforcement as to defendant of former statute providing penalty for sodomy did not violate any constitutional right of privacy where act was not committed in privacy but in an automobile on a public road adjacent to an interstate highway. Connor v. State, 253 Ark. 854, 490 S.W.2d 114, appeal dismissed, 414 U.S. 991, 94 S. Ct. 342, 38 L. Ed. 2d 230 (1973) (decision under prior law).

Former section which provided penalty for sodomy when applied to convict two consenting adults of sodomy did not constitute a violation of defendants' rights to privacy or rights under either federal or state constitutions. Carter v. State, 255 Ark. 225, 500 S.W.2d 368 (1973), cert. denied, Carter v. Arkansas, 416 U.S. 905, 94 S. Ct. 1610 (1974) (decision under prior law).

Former statute which clearly prohibited sodomy and buggery was not subject to constitutional attack on the grounds of vagueness, even though the statute did not specifically name fellatio, since the conduct for which defendant was convicted had long been held to be prohibited and defendant was placed on notice that his behavior was illegal. Connor v. Hutto, 516 F.2d 853 (8th Cir. 1975), cert. denied, 423 U.S. 929, 96 S. Ct. 278 (1975) (decision under prior law).

Pursuant to a constitutionality challenge under former § 5-14-120, defendant's convictions for 20 counts of violation of a minor in the first degree were all upheld where the statute, in singling out school district employees, did not violate defendant's equal protection rights as the State had an interest in punishing school district employees who abused their positions to facilitate inappropriate relationships with school children. Smith v. State, 354 Ark. 226, 118 S.W.3d 542 (2003).

In General.

Rape is not defined as a continuing offense; it is a single crime that may be committed in either of two ways, by engaging in sexual intercourse or in deviate sexual activity. Tarry v. State, 289 Ark. 193, 710 S.W.2d 202 (1986).

This section controls all prosecutions for the crime of rape involving forcible compulsion, including those instances of forcible rape between spouses. Jones v. State, 348 Ark. 619, 74 S.W.3d 663 (2002).

Where eight days before trial the State amended the information against defendants reducing the charge from rape to sexual assault in the first degree, notwithstanding that the proof under the two charges was not the same, defendants were not prejudiced as to their defense based on the totality of the circumstances test, and the fact they waited until the day before trial to file their motion for continuance was further grounds for denying same. Murphy v. State, 83 Ark. App. 72, 117 S.W.3d 627 (2003).

In the context of a sexual assault against a child charge, an “intimate relationship” is one that is close in friendship or acquaintance, familiar, near, or confidential. Parish v. State, 357 Ark. 260, 163 S.W.3d 843 (2004).

Defendant's conviction for the crime of rape for engaging in sexual intercourse or deviate sexual activity with a person who was less than fourteen years old was reversed because the trial court repeatedly allowed an investigator to vouch for the credibility of the nine-year-old victim. Cox v. State, 93 Ark. App. 419, 220 S.W.3d 231 (2005).

Age of Defendant.

The plain wording of subdivision (a)(3) uses the limiting language of “not more than” so that any months or days beyond twenty-four months takes the defendant out of the affirmative-defense period. W.D. v. State, 55 Ark. App. 88, 931 S.W.2d 790 (1996).

Trial court erred in granting a defense motion to transfer a rape case to the juvenile division where (1) defendant was 17 when he committed the rape, (2) he caused a tear in the 14 year-old victim's vaginal area requiring surgery and hospitalization, and (3) he had previously been adjudicated a juvenile offender for first-degree criminal mischief, which involved destruction or causing damage to property: there had been an increase in the seriousness of the alleged offenses, indicating a lack of rehabilitation. State v. Graydon, 86 Ark. App. 319, 184 S.W.3d 476 (2004).

Age of Victim.

It is clear from §§ 5-14-104, 5-14-106 and this section that the legislature intended the age of the victim to control the severity of the penalty and, in the enactment of two of the degrees of carnal abuse, the taking into account of the relative ages of the participants as well as the absolute age of the victim evidences an intent to exclude from their ambit such conduct between contemporaries or near contemporaries. James v. State, 11 Ark. App. 1, 665 S.W.2d 883 (1984).

It is not necessary, where a child under the age of 14 is involved, that any degree of force be employed. Daffron v. State, 318 Ark. 182, 885 S.W.2d 3 (1994).

Our public policy, as fixed by the General Assembly, is manifest that victims younger than age 14 are beneath the age of consent and cannot be willing accomplices to sexual intercourse. Miller v. State, 318 Ark. 673, 887 S.W.2d 280 (1994).

Where child victim testified that defendant had sexual intercourse with her on at least five occasions, that testimony, standing alone, constituted substantial evidence to support the conviction for a violation of subdivision (a)(3) of this section. Miller v. State, 318 Ark. 673, 887 S.W.2d 280 (1994).

Evidence of violation of subdivision (a)(3) of this section held sufficient. Caldwell v. State, 319 Ark. 243, 891 S.W.2d 42 (1995).

The statutory rape provisions, subdivision (a)(4) of this section (superseded) and § 5-14-108(a)(4) (repealed) (now § 5-14-125(a)(3)), are subject to a specific statute, § 5-14-102(b), that eliminates knowledge, or even a reasonable belief, of the victim's age as a defense. Short v. State, 349 Ark. 492, 79 S.W.3d 313 (2002).

Section 5-1-109(h) extended the statute of limitations for offenses involving minors and applied retroactively to allow prosecution of violations of this section and former § 41-104; charges may not be barred by the six-year statute of limitations. Dye v. State, 82 Ark. App. 189, 119 S.W.3d 513 (2003).

Defendant's due process rights were not violated by trial court's decision to refuse to allow the introduction of a mistake-of-age defense in a rape trial because the legislature had the authority to define crimes and defenses; moreover, there were exceptions to the rule that every crime was required to contain a mens rea element. Gaines v. State, 354 Ark. 89, 118 S.W.3d 102 (2003).

Defendant's convictions as an accomplice to two counts of rape were proper as there was no doubt that defendant was aware that two men who had resided with her raped her daughter at various times when the girl was between eight or nine and 15 years of age, yet defendant concealed her knowledge of the rapes and failed to protect her daughter. Hutcheson v. State, 92 Ark. App. 307, 213 S.W.3d 25 (2005).

Assistance of Counsel.

Defendant's conviction was reversed because of ineffective assistance of counsel. Lasiter v. State, 290 Ark. 96, 717 S.W.2d 198 (1986).

Appellee was convicted of the rape of a minor under subdivision (a)(4) of this section based on the victim's statements that appellee engaged in sexual intercourse with the victim when she was between four and seven years old; in the victim's recorded police statements, she asserted that her grandparents were asleep downstairs during the incident, despite the fact that her grandmother had died. In postconviction proceedings, the circuit court did not err in granting appellee a new trial because trial counsel was ineffective in failing to use the victim's recorded statements to impeach her credibility. State v. Estrada, 2013 Ark. 89, 426 S.W.3d 405 (2013).

Trial court did not abuse its discretion in denying postconviction relief because trial counsel was not ineffective for failing to move for dismissal of the charge of second-degree sexual assault on double jeopardy grounds, as the State presented evidence of separate impulses comprising separate acts conforming with the definitions of rape and second-degree sexual assault. Sorum v. State, 2019 Ark. App. 354, 582 S.W.3d 18 (2019).

Trial court did not abuse its discretion in denying postconviction relief because trial counsel was not ineffective for failing to inform the jury that rape included the element of sexual gratification; there was testimony that counsel did not do away with the element of sexual gratification but instead chose to focus the jury's attention on the element of penetration as a matter of trial strategy. Sorum v. State, 2019 Ark. App. 354, 582 S.W.3d 18 (2019).

Attempt.

When the proof of the commission of rape was complete, its grade could not be reduced to assault with intent to commit rape. Holmes v. State, 210 Ark. 574, 196 S.W.2d 922 (1946) (decision under prior law).

Where defendant had taken sexual liberties with his twelve-year-old daughter, even though he had not forced intercourse or prevented her from leaving the bedroom, the evidence of criminal attempt to rape was sufficient. Daffron v. State, 318 Ark. 182, 885 S.W.2d 3 (1994).

District court properly denied habeas petition alleging violation of due process where substantial evidence supported attempted rape as the underlying felony for capital felony murder; review of the historical facts showed that the inmate unbuckled the victim's belt, unzipped her jeans, and removed her shirt and socks, and the inmate was seen by other witnesses in a state of partial undress. Nance v. Norris, 392 F.3d 284 (8th Cir. 2004), rehearing denied, — F.3d —, 2005 U.S. App. LEXIS 3898 (8th Cir. Mar. 8, 2005), cert. denied, 126 S. Ct. 133, 163 L. Ed. 2d 136 (U.S. 2005).

Deviate Sexual Activity.

Information charging defendant with unnatural sexual relations with nine-year-old boy charged an offense of sodomy. Mangrum v. State, 227 Ark. 381, 299 S.W.2d 80 (1957) (decision under prior law).

Allegation that former statute providing penalty for sodomy did not cover the act of fellatio was without merit. Connor v. State, 253 Ark. 854, 490 S.W.2d 114, appeal dismissed, 414 U.S. 991, 94 S. Ct. 342, 38 L. Ed. 2d 230 (1973) (decision under prior law).

Where the defendant fondled victim and put the victim's penis in his mouth, the defendant could properly be tried and convicted for deviate sexual activity, despite the defendant's contention that the criminal statutes as written did not include his actions, in that only the body of the accused was penetrated, and not the body of the victim. Hoggard v. State, 277 Ark. 117, 640 S.W.2d 102 (1982), cert. denied, Hoggard v. Arkansas, 460 U.S. 1022, 103 S. Ct. 1273 (1983).

Evidence sufficient to establish that defendant had engaged in deviant sexual activity. Johnson v. State, 328 Ark. 526, 944 S.W.2d 115 (1997).

The testimony of the three children was more than sufficient to sustain the four counts of rape involving deviate sexual activity. Rains v. State, 329 Ark. 607, 953 S.W.2d 48 (1997).

Evidence was sufficient to support defendant's conviction for rape by engaging in “deviate sexual activity” with a child less than 14 where the testimony of the rape victim alone was sufficient to sustain a rape conviction; in addition, the evidence was sufficient for the jury to conclude without resorting to suspicion or conjecture that oral and anal sex was deviate sexual activity and that the victim was 13 years old when he and defendant engaged in this activity. McDuffy v. State, 359 Ark. 180, 196 S.W.3d 12 (2004).

Directed Verdict.

Sufficient evidence supported the denial of a directed verdict motion on defendant's rape charge, even though: (1) the victim had a prior felony conviction and had consumed multiple beers and cocaine on the night of the incident; (2) the victim willingly went to defendant's house and did not contact police because of outstanding warrants for her arrest; (3) there was no bruising on the victim; and that no hair from defendant was found by the forensic serologist; (4) a third person could not be excluded from the vaginal swab; and (5) intercourse could not be conclusively shown between the victim and defendant from the swab. Williams v. State, 2011 Ark. App. 675, 386 S.W.3d 609 (2011).

—Lesser Included Offenses.

Defendant did not preserve a sufficiency of the evidence challenge because defendant's trial court argument was based on whether an element of rape was proved, but defendant was convicted of the lesser-included offense of second-degree sexual assault; and defendant failed to move for a directed verdict on second-degree sexual assault either by name or by a specific element of the offense. King v. State, 2018 Ark. App. 309 (2018).

Evidence.

Where defendant was charged with the anal rape of a nine-year-old, the trial court erred, at a rape-shield hearing, in granting defendant's request to introduce evidence of the victim's allegations of sexual abuse against three others in order to show that the victim obtained sexual knowledge from a source other than defendant where the victim's descriptions of the prior abuse and the charged act were very dissimilar. State v. Blandin, 370 Ark. 23, 257 S.W.3d 68 (2007).

Where it was shown that defendant acted as a stepfather toward the 15-year-old daughter of his girlfriend, he stood in the position of a guardian since he spoke of the victim as his daughter and attended school functions as a parent. Therefore, there was sufficient evidence to support a conviction for rape under subdivision (a)(4)(A)(i) of this section based on his sexual intercourse with the child. White v. State, 370 Ark. 284, 259 S.W.3d 410 (2007).

Where a victim testified that defendant put something inside of her body after he touched her private area, and she saw him covering up his private area when she turned around, a motion for a directed verdict was properly denied since there was sufficient evidence to support a rape conviction under subdivision (a)(1)(C)(i) of this section. Other evidence supporting the conviction included a videotape of the victim's minor sister entering and exiting a shower, along with evidence of defendant's flight after being named a suspect. Ward v. State, 370 Ark. 398, 260 S.W.3d 292 (2007).

Evidence was sufficient to sustain defendant's rape conviction because defendant admitted that the six-year-old victim put her mouth on his penis and gave him oral sex, and a hair found on defendant's underwear was found to be microscopically similar to the sample provided by the victim. Bell v. State, 371 Ark. 375, 266 S.W.3d 696 (2007).

Where the evidence showed that defendant assumed the role of a father figure by paying bills, taking children on outings, and taking the victim to the emergency room, the evidence was sufficient to show that he was a guardian under § 5-14-101(3) for purposes of a rape conviction under subdivision (4)(a)(A)(i) of this section. Thompson v. State, 99 Ark. App. 422, 262 S.W.3d 193 (2007).

Evidence was sufficient to sustain defendant's rape conviction because the child victim testified that defendant put his “bad spot” in her mouth and “peed” in her mouth. She described his “bad spot” as looking like an elephant trunk and his “pee” as looking like “chicken noodle soup without the noodles or the chicken.” Lamb v. State, 372 Ark. 277, 275 S.W.3d 144 (2008).

Evidence was sufficient to sustain rape convictions because the victim's testimony that she was fifteen years of age at the time of the two charged rapes, that she grew up in defendant's home and considered him her father, and that defendant engaged in sexual intercourse with her was sufficient. Moreover, the victim's testimony was corroborated by other reliable evidence including a forensic DNA analyst's testimony that the semen found on the sock and the underwear matched the DNA sample provided by defendant, along with the nurse practitioner's testimony that the victim's injuries were consistent with sexual abuse. Strong v. State, 372 Ark. 404, 277 S.W.3d 159 (2008).

Where defendant was charged with raping his three-year-old daughter in violation of this section, the victim was incompetent to testify; the trial court did not violate defendant's Sixth Amendment confrontation rights by allowing the child's mother and social worker were permitted to testify as to the child's hearsay statements of abuse. The child's statements were nontestimonial. Seely v. State, 373 Ark. 141, 282 S.W.3d 778 (2008), cert. denied, Seely v. State, — U.S. —, 129 S. Ct. 218, 172 L. Ed. 2d 169 (2008).

In a child rape case, defendant's half-brother's testimony regarding possibly consensual oral sex that occurred 17 years previously should have been excluded under Ark. R. Evid. 404(b) as too dissimilar in character and temporally removed from the crimes charged, which involved repeated anal sex with a girl from ages four to eight. The pedophile exception did not apply. Efird v. State, 102 Ark. App. 110, 282 S.W.3d 282 (2008), review denied, — Ark. —, — S.W.3d —, 2008 Ark. LEXIS 571 (Sept. 4, 2008).

Trial court did not err in permitting the state to introduce videotapes depicting defendant engaged in sexual acts with his minor victims and with each other because the video footage was relevant to proving the elements of both the charges of rape and the charges of engaging children in the production of child pornography and because it could not be said that the video served no valid purpose other than to inflame the passions of the jury. Williams v. State, 374 Ark. 282, 287 S.W.3d 559 (2008), rehearing denied, — Ark. —, — S.W.3d —, 2008 Ark. LEXIS 589 (Oct. 30, 2008).

Where defendant was charged with numerous counts of rape and engaging children in the production of child pornography, the probative value of a DVD depicting defendant engaged in sexual contact with the young boys was not substantially outweighed by the danger of unfair prejudice because the state had the burden of proving the elements of all of the charges against defendant and because the state was entitled to prove the elements of the charges with its best evidence and the videos were certainly the state's best evidence. Williams v. State, 374 Ark. 282, 287 S.W.3d 559 (2008), rehearing denied, — Ark. —, — S.W.3d —, 2008 Ark. LEXIS 589 (Oct. 30, 2008).

Defendant's conviction for the rape of a seven-year-old boy, in violation of subdivision (a)(3)(A) of this section, was proper because there was substantial evidence upon which the jury could have inferred that defendant's actions were motivated by a desire for sexual gratification, as defined in § 5-14-101(1)(B); the jury could have found sexual gratification even if the only evidence presented was that defendant put his finger in the victim's anus. Rounsaville v. State, 374 Ark. 356, 288 S.W.3d 213 (2008).

Defendant's conviction for rape, in violation of subdivision (a)(1) of this section, was supported by the evidence because the 84-year-old victim testified that she awoke to find a young, nude, black man standing over her and that the man raped her; a forensic DNA analyst testified that a semen sample found on the victim's nightgown contained DNA that matched the DNA of defendant. Young v. State, 374 Ark. 350, 288 S.W.3d 221 (2008).

Trial court did not err in denying defendant's motion for a directed verdict as there was sufficient evidence to support his conviction for the rape of a nine-year-old, in violation of subdivision (a)(3)(A) of this section; the victim's testimony constituted substantial evidence that defendant penetrated her vagina with his penis. Kelley v. State, 375 Ark. 483, 292 S.W.3d 297 (2009).

Rape victim's testimony was more than sufficient to show that the sex acts were against her will, and, thus, substantial evidence existed to support the element of forcible compulsion under subdivision (a)(1) of this section. Rounsaville v. State, 2009 Ark. 479, 346 S.W.3d 289 (2009).

Where the victim testified that defendant drove her to an unfamiliar area, poured each of them a shot glass of liquor, and forced her to have sexual intercourse with him against her will, the victim's testimony was sufficient to support defendant's conviction for rape in violation of subdivision (a)(1) of this section. Goodman v. State, 2009 Ark. App. 262, 306 S.W.3d 443 (2009).

Trial court did not err in denying defendant's motion for a directed verdict during his trial for the rape of his niece through marriage, in violation of subdivision (a)(4)(A)(ii) of this section, because the familial relationship extended to a relationship by affinity as well as a blood relationship; DNA testing confirmed that defendant was the biological father of the 15-year-old niece's child. Wade v. State, 2009 Ark. App. 346, 308 S.W.3d 178 (2009), rehearing denied, — Ark. App. —, — S.W.3d —, 2009 Ark. App. LEXIS 674 (June 3, 2009), review denied, — Ark. —, — S.W.3d —, 2009 Ark. LEXIS 576 (Sept. 10, 2009).

On two separate occasions after their relationship had ended, the victim testified that defendant forced her into the bedroom, removed their clothing, and forced her to have sexual relations while she either attempted to leave or kicked and pushed him; defendant told a detective that he knew the victim did not want to have sex with him. The Court of Appeals of Arkansas held that the evidence was sufficient to support defendant's convictions for two counts of rape under subdivision (a)(1) of this section. Henson v. State, 2009 Ark. App. 464, 320 S.W.3d 19 (2009).

Evidence was sufficient to sustain a rape conviction because the victim gave unequivocal testimony that defendant engaged in acts of sexual intercourse, cunnilingus, or fellatio with her several times a week beginning when she was thirteen or fourteen years old. Keck v. State, 2009 Ark. App. 559 (2009).

Defendant's eight-year-old daughter testified that he put cherry oil on her private parts and licked it off; she also testified that he put his private parts into her mouth. This testimony alone was sufficient to sustain defendant's conviction for rape in violation of subdivision (a)(3)(A) of this section. Rouzer v. State, 2009 Ark. App. 658 (2009).

At the hearing to revoke defendant's suspended imposition of sentence (SIS), the victim testified that defendant expressed his desire to touch and caress her, pinned her down despite her protests, and inserted his finger in her vagina. Because the victim's testimony reached all of the elements of rape under subsection (a) of this section, the trial court did not err by revoking defendant's SIS. Ray v. State, 2009 Ark. App. 679 (2009).

Evidence was sufficient to sustain defendant's conviction for rape where the victim's testimony, although uncorroborated, stated that defendant inserted his finger into her vagina, which clearly satisfied the statutory elements of rape under subdivision (a)(4)(A)(i) of this section. Gilliland v. State, 2010 Ark. 135, 361 S.W.3d 279 (2010).

Victim's testimony that defendant raped the victim, the testimony of the victim's mother positively identifying defendant as the perpetrator, and DNA evidence that conclusively linked defendant to the victim constituted sufficient evidence to support defendant's rape conviction under subdivision (a)(1) of this section. Witcher v. State, 2010 Ark. 197, 362 S.W.3d 321 (2010).

Defendant's convictions for rape as a habitual offender were appropriate pursuant to subdivision (a)(3)(A) of this section and § 5-14-101(10) because the uncorroborated testimony of a rape victim alone was sufficient to sustain a conviction and the victim's testimony was substantial evidence supporting defendant's convictions. The victim testified consistently and with sufficient detail that defendant raped her and therefore, substantial evidence supported the convictions. Price v. State, 2010 Ark. App. 111, 377 S.W.3d 324 (2010).

Defendant's convictions for rape in violation of subdivision (a)(3)(A) of this section and sexual assault were appropriate because his sufficiency challenge was not preserved for review. In order to preserve a challenge to the sufficiency of the evidence, defendant was required to make a specific motion for a directed verdict that advised the trial court of the exact element of the crime that the state failed to prove; for that reason, his sufficiency challenge was not preserved. Stidam v. State, 2010 Ark. App. 278, 374 S.W.3d 246 (2010).

Sufficient evidence supported defendant's conviction for the rape of a person who was under the age of fourteen, a violation of subdivision (a)(3)(A) of this section, because the victim testified to at least two specific times when defendant had sex with her prior to her fourteenth birthday. The rape victim's testimony did not have to be corroborated, and scientific evidence was not required to support a rape conviction. Moss v. State, 2010 Ark. App. 395 (2010).

Defendant's conviction for rape of a minor grandchild in violation of this section was proper because the victim's testimony was sufficient to convince the jury that there was penetration to substantiate the charge of rape; the victim testified that the defendant touched the victim with defendant's fingers and knuckles and described the act of using them to separate the victim's labia majora. Montgomery v. State, 2010 Ark. App. 501 (2010).

Sufficient evidence supported defendant's rape conviction, under subdivision (a)(3)(A) of this section, because (1) the victim, who was less than 14 years old at the time, explicitly testified about two instances of sexual intercourse and at least three instances of deviate sexual activity with defendant, and (2) this testimony alone was sufficient to sustain a conviction. Coleman v. State, 2010 Ark. App. 597 (2010).

Defendant's conviction for attempted rape of his 13-year-old stepdaughter, in violation of subdivision (a)(3)(A) of this section and § 5-3-201(b), was supported by the evidence because the victim testified that defendant, who wanted oral sex from her, thrust himself upon her while she was in the shower until her grandmother, who lived next door, appeared at the front door. Forrest v. State, 2010 Ark. App. 686 (2010).

Where a victim testified that the man who had intercourse with her on the night in question, who was identified by the forensic evidence as defendant, did so by forcible compulsion, the testimony of the victim was, by itself, substantial evidence to support a conviction on a charge of rape. Walker v. State, 2010 Ark. App. 688 (2010).

There was sufficient evidence for a jury to convict defendant of rape. The victim testified that defendant had sexual intercourse with her several times from the time she was four years old until she was seven years old, and the victim's testimony alone was sufficient evidence to prove rape without corroboration or forensic findings. Estrada v. State, 2011 Ark. 3, 376 S.W.3d 395 (2011).

Because a 12-year old child victim's uncorroborated testimony of penetration and vaginal and anal intercourse was sufficient to satisfy the statutory elements for rape, and because any inconsistencies were for the jury to resolve, defendant was properly convicted of violating § 5-14-101(1) and subdivision (a)(3)(A) of this section. Hawkins v. State, 2011 Ark. App. 164 (2011).

Defendant's conviction for raping his seven-year-old daughter was proper because the victim's testimony that he “put his private part in her butt” was sufficient to sustain the conviction under subdivision (a)(3)(A) of this section and § 5-14-101(1)(A); a nurse corroborated the victim's testimony in that the nurse found that the injuries to the victim's anus and hymen were consistent with penetration. Harlmo v. State, 2011 Ark. App. 314, 383 S.W.3d 447 (2011).

Defendant's conviction for raping his daughter under subdivision (a)(4)(A)(i) of this section was appropriate because the evidence was sufficient. The minor victim's testimony constituted substantial evidence that defendant had raped her and a doctor had testified that the daughter's examination revealed findings consistent with penetration under § 5-14-101(11). Vance v. State, 2011 Ark. 392, 384 S.W.3d 515 (2011).

Thirteen-year old victim's uncorroborated testimony that the victim and defendant had sex was sufficient to sustain defendant's conviction for rape under subdivision (a)(3)(A) of this section. Vance v. State, 2011 Ark. App. 413 (2011).

Because the only rulings adverse to defendant were the denials of defendant's motions for a directed verdict, and because the victim's testimony that defendant hit, choked, and raped the victim was supported by physical evidence, there was substantial evidence under § 5-14-101(2) and this section to support defendant's conviction. Russell v. State, 2011 Ark. App. 479 (2011).

Motion for a directed verdict as to one rape charge against appellant relating to penetration by a penis was insufficient to challenge the sufficiency of a conviction for rape by digital penetration under Ark. R. Crim. P. 33.1(c); even if the issue was preserved, a victim's testimony was sufficient and substantial evidence to support a conviction. Clayton v. State, 2012 Ark. App. 199 (2012), appeal dismissed, 2013 Ark. 453 (2013).

Evidence was sufficient to sustain defendant's rape conviction because the child testified that defendant put his finger inside her body on what she described as her “private part,” and to prove rape, the state was required to show that there was penetration, however slight, of the labia majora of the victim. McLish v. State, 2012 Ark. App. 275 (2012).

At defendant's trial for rape under this section, the circuit court did not abuse its discretion in determining that evidence of his prior convictions for carnal abuse of a child, arson, terroristic threatening, and failure to register as a sex offender were admissible under Ark. R. Evid. 609 to impeach defendant. The prior convictions were highly probative of his credibility, which was at issue because he chose to testify at trial and claimed in defense that the victim offered to pay him to have sex with her. Jordan v. State, 2012 Ark. 277, 412 S.W.3d 150 (2012).

Substantial evidence supported defendant's conviction for rape under subdivision (a)(3)(A) of this section, because the child victim testified that when she was seven years old, defendant forced her onto the bed, touched her chest, and sexually penetrated her. Therefore, the circuit court properly denied his motion for directed verdict. Fields v. State, 2012 Ark. 353 (2012).

At defendant's trial for rape under subdivision (a)(3)(A) of this section, the circuit court did not abuse its discretion in admitting testimony from three witnesses who had prior sexual contact with defendant pursuant to the pedophile exception to Ark. R. Evid. 404(b). Like the victim, the witnesses were young children at the time they had an intimate relationship with defendant. Fields v. State, 2012 Ark. 353 (2012).

In defendant's prosecution for rape of a physically helpless victim who was unable to consent, defendant's prior conviction of lewd molestation of a child was admissible under the pedophile exception to Ark. R. Evid. 404(b) as probative of defendant's motive, intent, and plan to assault the victim because, in each case, defendant placed himself in a position of authority, isolated the victim from parents or other adults while engaging the victim in a favored activity, removed the victim's pants, performed oral sex on the victim, and then told the victim not to tell and, in both cases, defendant cultivated a relationship close in acquaintance based on common interests and enjoyed a position of authority over the victims. The differences in age and gender between the two victims did not render the pedophile exception inapplicable; nor did the passage of 17 years between the events render the earlier event too remote to be admissible under Rule 404(b) because defendant's prior conviction, despite its age, tended to prove defendant's depraved sexual instinct. Craigg v. State, 2012 Ark. 387, 424 S.W.3d 264 (2012).

Notwithstanding testimony that the alleged rape victim was a heavy drinker whose personality and memory changed when she was under the influence, the jury was entitled to believe the victim's testimony describing an assault and act of sexual intercourse by defendant that continued after she told him to quit, particularly where there was testimony by others that defendant admitted he had sexual intercourse with the victim and admitted he had raped her. The believability of the victim was a function for the jury as the fact-finder, not the reviewing court. Harris v. State, 2012 Ark. App. 651 (2012).

Victim's testimony relating to her grade level and place of residency at the time of assaults was sufficient proof for a jury to determine when certain assaults occurredunder subdivision (a)(3)(A) of this section and § 5-14-101(1)(B). Mashburn v. State, 2012 Ark. App. 621 (2012).

Sufficient evidence supported defendant's conviction for rape under subdivision (a)(3)(A) of this section, because the thirteen-year-old victim's testimony that defendant had sexual intercourse with her while they were living in various houses satisfied the statutory elements of rape. Christian v. State, 2013 Ark. 86 (2013).

Sufficient evidence supported defendant's conviction for one count of rape in violation of this section, because he admitted to engaging in sexual relations with his biological daughter when she was 10-years-old and a sexual-assault nurse examiner discovered injuries to the victim that were indicative of sexual assault or trauma. Breeden v. State, 2013 Ark. 145, 427 S.W.3d 5 (2013).

Defendant's rape convictions were appropriate because the trial court did not err by denying his motions for a directed verdict. The victim's testimony alone was substantial evidence of rape and the evidence specifically established that defendant raped his daughter at least four times while they were living in the county. Richey v. State, 2013 Ark. App. 382 (2013).

Evidence was sufficient to convict defendant of rape of his minor stepdaughter because the victim testified that on 15 occasions between August 2011 and March 2012, when the victim was 12 years old, defendant put his fingers in her privates; a child rape victim's uncorroborated testimony describing penetration could constitute substantial evidence to sustain a conviction of rape; and the rape victim's testimony need not be corroborated, and scientific evidence was not required. Woods v. State, 2013 Ark. App. 739, 431 S.W.3d 343 (2013).

Trial court did not err in finding that the prejudicial value of defendant's prior child molestation convict was outweighed by its probative value based on the similarities of the current rape charge and the prior child molestation conviction. Woods v. State, 2013 Ark. App. 739, 431 S.W.3d 343 (2013).

There were sufficient similarities between the current rape offense and defendant's 1998 Missouri conviction for first-degree child molestation to satisfy the pedophile exception and to admit evidence of the prior molestation conviction because both victims were his minor stepdaughters at the time of rapes with whom he had lived; he touched the breasts and privates of both victims with his hands; he created opportunities for the abuse by waiting until the victims' mothers were away and by intentionally isolating them from their siblings; and he threatened both victims not to report the abuse. Woods v. State, 2013 Ark. App. 739, 431 S.W.3d 343 (2013).

In a second-degree sexual assault and attempted rape case, a trial court did not abuse its discretion by excluding evidence from the victim's former classmates because the classmates' testimony about what the victim did in public would not have been similar to the testimony that the victim gave detailing what defendant did to her. The allegations against defendant did not occur in public places; moreover, the evidence that the victim was the aggressor was not relevant since the victim could not have consented. Bean v. State, 2014 Ark. App. 107, 432 S.W.3d 87 (2014).

Substantial evidence supported the finding that defendant raped the victim sometime during 1999, which supported defendant's rape conviction; it was the jury's duty to determine the victim's credibility, and the victim gave great detail about what happened when she was four years old, and as her testimony alone constituted substantial evidence, the circuit court properly denied his motion for a directed verdict. T.N. v. State, 2014 Ark. App. 186 (2014).

Evidence was sufficient to convict defendant of rape and sexual assault where both victims testified that defendant penetrated their vaginas with his penis; the credibility of the witnesses was for the jury to decide. Moreover, an officer's testimony established that defendant was between 17 and 20 years old over the course of time that he sexually abused one of the victims, so the jury could have reasonably concluded that at least two of the sexual assaults occurred after defendant turned 18. Thompson v. State, 2015 Ark. App. 275, 461 S.W.3d 368 (2015).

—In General.

Where a state information charged the defendant with rape by engaging in sexual intercourse by forcible compulsion, evidence by the prosecution need not be restricted to that allegation without mentioning any allegation regarding deviate sexual activity, since this section includes deviate activity in its definition of rape. Browning v. State, 274 Ark. 13, 621 S.W.2d 688 (1981).

Where the defendant was being prosecuted for the rape and incest of his children, a mistrial was not required on the ground that the prosecutor said the relevancy of the discussion of the child support payments had to do with the love and concern of the defendant for his children; the admonition to the jury was sufficient. Poyner v. State, 288 Ark. 402, 705 S.W.2d 882 (1986).

The court should not have permitted the victim to testify about the effect the rape had upon her marriage; however, the state's proof was so strong that the cause of justice would not be served by the granting of a new trial. Thomas v. State, 289 Ark. 72, 709 S.W.2d 83 (1986).

Lay jurors were fully competent to determine whether the history given by the victim was consistent with sexual abuse. Russell v. State, 289 Ark. 533, 712 S.W.2d 916 (1986).

In prosecution for rape, the trial court's denial of the defendant's motion in limine to prevent his being asked on cross-examination, should he have elected to take the stand, whether he had been previously convicted of the crime of rape was not subject to review where the defendant did not assert he would take the stand and made no record of what his testimony would be, even though the trial court took the motion under advisement until the state had rested. Johnson v. State, 290 Ark. 166, 717 S.W.2d 805 (1986).

Intent to rape might be proved by circumstances surrounding the assault from which the intent may be inferred. Summerlin v. State, 296 Ark. 347, 756 S.W.2d 908 (1988).

Proof of an assailant's intention to have sexual intercourse with the victim is not sufficient, unless an intention to accomplish that purpose by force may be ascertained from acts or words connected with the assault and there is some overt act toward the accomplishment of that purpose. Summerlin v. State, 296 Ark. 347, 756 S.W.2d 908 (1988).

Victim's inability to fix definite date of rape does not defeat the charge, and any discrepancies in the testimony concerning the date of the offense were for the jury to resolve. Yates v. State, 301 Ark. 424, 785 S.W.2d 199 (1990).

The trial court did not abuse its discretion in denying a continuance so a DNA expert could be appointed where results from the state's test samples were available to defendant four months prior to the trial date and defendant waited until one week before trial to request a DNA expert. Munoz v. State, 340 Ark. 218, 9 S.W.3d 497 (2000).

There was sufficient evidence to sustain a rape conviction under subdivision (a)(1)(C)(i) of this section where the evidence showed that a child had a life threatening injury to her vaginal wall that was consistent with an intentional injury due to penetration, and the scenarios proffered by defendant did not explain the injuries. Turbyfill v. State, 92 Ark. App. 145, 211 S.W.3d 557 (2005).

—Admissibility.

Evidence as to victim's prior sexual conduct held inadmissible. Houston v. State, 266 Ark. 257, 582 S.W.2d 958 (1979); Pruitt v. State, 8 Ark. App. 350, 652 S.W.2d 51 (1983).

The offense of rape is committed if the person engages in sexual intercourse or deviate sexual activity with another person by forcible compulsion and, therefore, prior sexual conduct of the victim has no relevancy to the issue. Brewer v. State, 269 Ark. 185, 599 S.W.2d 141 (1980).

Where prosecutor in rape case elicited from the victim testimony that she had been a virgin prior to the rape, the question and answer were not so prejudicial as to require mistrial and trial court acted properly in continuing the trial after admonishing the jury to disregard the improper question and answer. Brewer v. State, 269 Ark. 185, 599 S.W.2d 141 (1980).

The rape shield statute only excludes evidence of prior sexual conduct of the victim, and the defendant may testify at trial as to the actions of the prosecuting witness on the night of the alleged rape. Kemp v. State, 270 Ark. 835, 606 S.W.2d 573 (1980).

For cases discussing admissibility of photographic or video taped evidence, see French v. State, 271 Ark. 445, 609 S.W.2d 42 (1980); Bliss v. State, 282 Ark. 315, 668 S.W.2d 936 (1984).

While generally a rape victim's report to a third party that a rape occurred is admissible to prove that she did not remain silent, or sometimes as an excited utterance, the details of her report are not normally admissible, except when admitted to rehabilitate a witness whose testimony is seriously questioned or impeached. Urquhart v. State, 273 Ark. 486, 621 S.W.2d 218 (1981).

For cases discussing the introduction into evidence of defendant's prior convictions, see Williams v. State, 6 Ark. App. 410, 644 S.W.2d 608 (1982); Bryan v. State, 288 Ark. 125, 702 S.W.2d 785 (1986).

Where the defendant's counsel had elicited the initial testimony from the emergency room doctor about the mental processes of the children who were allegedly victims of rape and incest, it was not error to allow the admission of the testimony. Poyner v. State, 288 Ark. 402, 705 S.W.2d 882 (1986).

Evidence of prior sexual contact between the defendant stepfather and the stepdaughter rape victim was admissible as probative of both the victim's fear of the defendant and the fact that a rape could have occurred in the bathroom of a house which might have been full of people, after the accused merely shoved the victim to the floor. Sullivan v. State, 289 Ark. 323, 711 S.W.2d 469 (1986).

While the psychologist should not have been allowed to testify that the history given by the victim was consistent with sexual abuse, the testimony merely provided the jurors with a hint of the testimony which they would receive from the victim; therefore, the error was harmless and did not affect the judgment. Russell v. State, 289 Ark. 533, 712 S.W.2d 916 (1986).

The trial court did not err in admitting a physician's testimony that the alleged victim told the physician that her father, the defendant, had intercourse with her, because statements by a child abuse victim to a physician during an examination that the abuser is a member of the victim's immediate household are reasonably pertinent to treatment. Stallnacker v. State, 19 Ark. App. 9, 715 S.W.2d 883 (1986).

Where, in prosecution for rape, the victim was unemployed and unmarried, but an in-chambers proffer showed that the victim was supported by her fiance, the victim's manner of support of herself and a daughter was of no consequence. Johnson v. State, 290 Ark. 166, 717 S.W.2d 805 (1986).

Where the defendant was charged with rape of his stepdaughter, and on direct examination he testified he had not raped her or any of the other children who had been living with him and their now deceased mother, it was not error to permit the prosecution to present rebuttal testimony from another, younger stepdaughter that she too had been raped by the defendant. McFadden v. State, 290 Ark. 177, 717 S.W.2d 812 (1986).

Evidence of marginal relevance admitted. Dumond v. State, 290 Ark. 595, 721 S.W.2d 663 (1986); Barrett v. State, 23 Ark. App. 144, 744 S.W.2d 741 (1988).

Where there was abundant evidence of the defendant's guilt of rape, other testimony was held harmless error. Jarreau v. State, 291 Ark. 60, 722 S.W.2d 565 (1987).

Testimony of girls concerning defendant's sexual acts with them was admissible, in rape case involving other victims, under Evid. Rule 404(b) to show motive, intent, or plan; the evidence was especially probative since defendant denied having any sexual contact with the victims, blamed another person, and stated that it was physically impossible for him to have sexual intercourse. Morgan v. State, 308 Ark. 627, 826 S.W.2d 271 (1992).

Sexually explicit photograph was relevant to show that the photographed female was indeed the victim and to corroborate the victim's testimony that defendant raped her. Watson v. State, 308 Ark. 643, 826 S.W.2d 281 (1992).

The instrumentality used to inflict fear is patently relevant to crimes of rape, kidnapping and aggravated robbery, all of which include an element of force for perpetration. Brooks v. State, 308 Ark. 660, 827 S.W.2d 119 (1992).

Knife found at crime site was relevant to corroborate the testimony of the victim concerning stabbings and no prejudice resulted to the defendant from its admission into evidence. Brooks v. State, 308 Ark. 660, 827 S.W.2d 119 (1992).

Evidence of rape victim's fear and repulsion was relevant to the issue of compulsion and was properly admitted. Skiver v. State, 37 Ark. App. 146, 826 S.W.2d 309 (1992).

Several photographs depicting the act of sexual intercourse were admissible over objection to their duplicative effect since photographic evidence is not inadmissible on grounds that it is cumulative or unnecessary due to admitted or proven facts. Watson v. State, 308 Ark. 643, 826 S.W.2d 281 (1992).

Modus operandi evidence is admissible in rape cases to prove a common plan. Dillon v. State, 311 Ark. 529, 844 S.W.2d 944 (1993).

The trial court did not abuse its discretion by ruling that the proffered testimony regarding child victim's prior inconsistent statements was inadmissible, as the statements that victim had been sexually abused by her stepfather were properly excluded under the rape-shield statute. Butler v. State, 349 Ark. 252, 82 S.W.3d 152 (2002).

In a juvenile proceeding, where the juvenile sought to introduce evidence of the victim's sexual history, and the victim was under the age of 14, the child's sexual past was completely irrelevant to the question of whether or not the juvenile engaged in sexual activity with the victim. M. M. v. State, 350 Ark. 328, 88 S.W.3d 406 (2002).

Defendant was convicted of rape based on the victim's testimony, along with the testimony of a doctor that the victim's hymen had an injury consistent with sexual abuse; however, his conviction was reversed on appeal because the circuit judge erred by admitting hearsay statements that defendant was accused of rape in another state without any direct proof of the prior offense. Hanlin v. State, 356 Ark. 516, 157 S.W.3d 181 (2004).

In defendant's trial for raping his step-granddaughter when she was six years old, the circuit court abused its discretion by granting defendant's motion to introduce evidence that his step-granddaughter was sexually assaulted by someone else when she was four years old; defendant's step-granddaughter's descriptions of the two incidents were substantially dissimilar and, because there was little evidence that the prior incident resembled the acts defendant allegedly committed, information about the prior incident was not relevant to the allegations against defendant. State v. Townsend, 366 Ark. 152, 233 S.W.3d 680 (2006).

Trial court did not err in refusing to admit the alleged testimony of the victim under Ark. R. Evid. 804(b)(5); the statement that another man put his finger in a hole in her jeans, which bothered her, was found not to carry substantial guarantees of trustworthiness, and there appeared to be little if any probative value to the evidence, as whether the man made the advance was not material to the question of whether the victim was raped and if defendant was the perpetrator, and DNA evidence completely excluded the man as a source of the semen found on the victim's body. Sharp v. State, 2015 Ark. App. 718, 479 S.W.3d 568 (2015).

Rape-shield statute, § 16-42-101, was intended to protect victims from the humiliation of having their personal conduct, unrelated to the charges pending, paraded before the jury; in this case, evidence that the victim was asking defendant for sex, offering him oral sex, attempting to undo his shorts, and touching his penis through his shorts, all within approximately 10 minutes of penetration, was conduct related to the charges pending and therefore relevant to the issue of consent, such that excluding the evidence was prejudicial. Herren v. State, 2018 Ark. App. 528, 563 S.W.3d 606 (2018).

Even though the trial court violated defendant's right to confrontation under the Sixth Amendment by allowing a substitute analyst to testify regarding the results of a DNA test performed by another analyst, the error was harmless beyond a reasonable doubt; the victim's vivid description of being raped repeatedly and painfully by defendant constituted sufficient evidence to sustain his convictions of rape and second-degree sexual assault. Alejandro-Alvarez v. State, 2019 Ark. App. 450, 587 S.W.3d 269 (2019).

—Codefendants.

Evidence of kidnapping and rape held sufficient, even though a co-defendant actually committed the rape, where defendant entered victim's house first while brandishing a gun, tackled her, permitted her to be restrained with duct tape, and threatened to kill her if she looked at them. Harrell v. State, 331 Ark. 232, 962 S.W.2d 325 (1998).

—Confessions.

Where the officers testified that the defendant had not wanted to make a statement when he was arrested, but after three or four days he said he wanted to see the sheriff and make a statement, at the hearing the defendant admitted the truth of parts of the statement, relating to his childhood and his first job, and his description of the criminal incident was the same as that given by the child in her testimony at the trial, the defendant's signed confession was voluntary. Huffman v. State, 288 Ark. 321, 704 S.W.2d 627 (1986).

The trial court was correct in not deleting portions of the defendant's confession which implied that he had previously engaged in similar sexual conduct with the victim, since direct proof of the defendant's earlier sexual relations with the victim would have been admissible in evidence. Wall v. State, 289 Ark. 570, 715 S.W.2d 208 (1986).

Where the defendant was warned of his Miranda rights, both the deputy prosecutor and the police officer who were present when the statement was taken testified that the defendant cried at times and appeared to be upset, but he freely admitted his guilt and said he was ready to take his punishment, and the verbatim transcription of the statement confirmed the other proof of voluntariness, the Supreme Court found no basis for disagreeing with the trial judge's conclusion that the defendant's confession was voluntary. Wall v. State, 289 Ark. 570, 715 S.W.2d 208 (1986).

Where defendant confessed to police that he raped victim on two occasions and at trial there was no substantive proof of a second rape, it was error not to grant defendant's motion for acquittal as to one count of rape. Yates v. State, 301 Ark. 424, 785 S.W.2d 199 (1990).

The fact that defendant was twenty years old, had an I.Q. of 77, and was reading on a third-grade level were factors to be considered, but they alone did not suffice to warrant the suppression of defendant's confession. Diemer v. State, 340 Ark. 223, 9 S.W.3d 490 (2000).

—Corroboration.

It was competent for the state to prove the fact that the prosecuting witness made complaint of her injury but not the details as to what she said, unless the defense undertook to impeach her testimony on that point, in which case the particular facts stated by her could be proved in corroboration of her testimony. Skaggs v. State, 88 Ark. 62, 113 S.W. 346 (1908); Sexton v. State, 91 Ark. 589, 121 S.W. 1075 (1909) (preceding decisions under prior law).

The testimony of prosecuting witness who did not consent, need not be corroborated. Hummel v. State, 210 Ark. 471, 196 S.W.2d 594 (1946); Havens v. State, 217 Ark. 153, 228 S.W.2d 1003 (1950) (preceding decisions under prior law).

Testimony of victim standing alone was legally sufficient under indictment. McDonald v. State, 225 Ark. 38, 279 S.W.2d 44 (1955); Sales v. State, 291 Ark. 338, 724 S.W.2d 469 (1987); McCoy v. State, 293 Ark. 49, 732 S.W.2d 156 (1987).

Corroboration of victim's testimony was not necessary to a conviction of rape. McDonald v. State, 225 Ark. 38, 279 S.W.2d 44 (1955); Bailey v. State, 227 Ark. 889, 302 S.W.2d 796 (preceding decisions under prior law); Smith v. State, 277 Ark. 64, 639 S.W.2d 348 (1982); Lackey v. State, 283 Ark. 150, 671 S.W.2d 757 (1984); Jackson v. State, 290 Ark. 375, 720 S.W.2d 282 (1986); Cope v. State, 292 Ark. 391, 730 S.W.2d 242 (1987); Stewart v. State, 297 Ark. 429, 762 S.W.2d 794 (1989); Skiver v. State, 37 Ark. App. 146, 826 S.W.2d 309 (1992).

Trial court properly allowed articles of the defendant's clothing to be introduced into evidence together with testimony that there were human bloodstains on the clothing, where this evidence tended to corroborate the testimony of the rape victim, the police officers, and the medical examiner. Brewer v. State, 269 Ark. 185, 599 S.W.2d 141 (1980).

In a prosecution for rape, the testimony of the rape victim does not have to be corroborated by other testimony, since it is the jury's function to decide whether to believe the alleged victim or the defendant. Urquhart v. State, 273 Ark. 486, 621 S.W.2d 218 (1981).

Uncorroborated testimony of victim held sufficient to support the defendant's conviction for rape. Sanders v. State, 277 Ark. 159, 639 S.W.2d 733 (1982); Cope v. State, 292 Ark. 391, 730 S.W.2d 242 (1987); Golston v. State, 26 Ark. App. 176, 762 S.W.2d 398 (1988).

The testimony of the prosecutrix alone provided substantial evidence to support the conviction. Gunter v. State, 313 Ark. 504, 857 S.W.2d 156 (1993), cert. denied, Gunter v. Arkansas, 510 U.S. 948, 114 S. Ct. 391 (1993).

Testimony of the rape victim alone suffices and need not be corroborated to sustain a conviction. Puckett v. State, 324 Ark. 81, 918 S.W.2d 707 (1996).

The testimony of a rape victim does not have to be corroborated by other testimony. Sherrill v. State, 329 Ark. 593, 952 S.W.2d 134 (1997).

The evidence was sufficient to convict defendant of rape of his estranged wife where defendant's admissions corroborated the victim's testimony. Jones v. State, 348 Ark. 619, 74 S.W.3d 663 (2002).

—DNA.

The denial of a continuance which would deprive an accused of the chance to have an independent review of DNA analysis must be closely examined. Citing Swanson v. State, 308 Ark. 28, 823 S.W.2d 812 (1992). Munoz v. State, 340 Ark. 218, 9 S.W.3d 497 (2000).

In a rape case, although defendant argued that a blood sample had been illegally taken from him when he was incarcerated in 1997 for non-payment of child support, which was not a qualifying offense named in the State Convicted Offenders DNA Database Act, § 12-12-1101 et seq., and it was based on that sample that the State obtained a “hit,” because defendant had submitted to another blood sample in 2000 when incarcerated for burglary, pursuant to § 12-12-1109(a), the appellate court found that the State met its burden of proof in establishing that the DNA evidence was admissible, pursuant to the inevitable discovery doctrine. Haynes v. State, 354 Ark. 514, 127 S.W.3d 456 (2003), cert. denied, 541 U.S. 1047, 124 S. Ct. 2168, 158 L. Ed. 2d 740 (2004).

—Identification.

Identification testimony and the physical evidence accidentally dropped at the scene by the defendant were admissible, and evidence was sufficient to sustain the conviction of rape, burglary, and robbery. Monk v. State, 320 Ark. 189, 895 S.W.2d 904 (1995).

Photographic array identification evidence held sufficient. Phillips v. State, 327 Ark. 1, 936 S.W.2d 745 (1996).

Identification evidence, based on victim's testimony, DNA matching, and a palm print, held sufficient. Stewart v. State, 331 Ark. 359, 961 S.W.2d 750 (1998).

Although codefendant gave varying statements about defendant's participation and the victim was unable to identify the defendant, the identification evidence held sufficient in view of the scientific evidence and the testimony of the codefendant. Wilson v. State, 332 Ark. 7, 962 S.W.2d 805 (1998).

Where victim testified that she was working at the hospital during the night shift when defendant, her supervisor, pushed her to the ground and raped her, the evidence of rape was sufficient to support revocation of defendant's probation; although the victim had difficulty identifying defendant at the rape trial because he changed his hairstyle, added facial hair, and gaining weight since the time of the rape, during the revocation proceeding the victim positively identified defendant as the rapist and the medical director for the hospital also recognized defendant in the courtroom. Stewart v. State, 88 Ark. App. 110, 195 S.W.3d 385 (2004).

—Impeachment.

Because theft crimes involve dishonesty and are automatically admissible for impeachment purposes, it was unnecessary for defendant to proffer the factual circumstances underlying one victim's conviction, and the circuit court abused its discretion by refusing to admit this evidence; the error was not harmless because the case against defendant rested solely on the victims' credibility, and his three rape convictions were reversed and remanded for a new trial (sub. op. on reh'g). Rogers v. State, 2018 Ark. 309, 558 S.W.3d 833 (2018).

—Other Crimes, Wrongs, or Acts.

Permitting an eight-year-old child to develop a severe case of trench foot is a form of neglect by the parent and such neglect of a child's physical needs is necessarily a form of abuse; hence, a father's perpetration of child abuse by neglect is relevant to a case of sexual abuse against that same child, when both forms of abuse are occurring at the same time. Such evidence is pertinent in that it establishes an intentional pattern of abusive behavior on the part of the parent toward the child — the first by neglecting her basic hygienic needs and the second by soliciting her to engage in sexual activity. A contemptible lack of caring for a child's essential healthcare needs easily intertwines with sexual abuse of the child; both forms of abuse are intentional, and evidence of the lack of care, concern, and respect for a child's well-being is admissible under Evid. Rules 403 and 404(b). Lindsey v. State, 319 Ark. 132, 890 S.W.2d 584 (1994).

In trials for incest or carnal abuse, the State may show other acts of intercourse between the same parties. Mosley v. State, 325 Ark. 469, 929 S.W.2d 693 (1996).

Evidence of prior conviction of a sexual offense involving his stepdaughter held admissible in defendant's trial for rape of his daughter, given the similarity of the prior conviction to the current charges and the parental relationship of the defendant with the two victims. Mosley v. State, 325 Ark. 469, 929 S.W.2d 693 (1996).

Prisoner's argument, that the State Supreme Court improperly relied upon evidence of the prisoner's transgressions on another occasion with the date-rape victim as evidence of guilt in violation of Ark. R. Evidence 404(b) was without basis as the evidence showed plan and modus operandi by demonstrating that the prisoner had gone through a similar sequence with the date-rape victim — taking the victim on a drive to another town, drugging the victim with Rohypnol such that the victim was unconcious, taking the victim to a bed and breakfast, and removing the victim's clothes. Sera v. Norris, 400 F.3d 538 (8th Cir. 2005), rehearing denied, — F.3d —, 2005 U.S. App. LEXIS 7401 (8th Cir. Apr. 28, 2005), cert. denied, 126 S. Ct. 283, 163 L. Ed. 2d 250 (U.S. 2005).

In a rape case, the trial court did not abuse its discretion in permitting testimony under Ark. R. Evid. 404(b) regarding two prior alleged rapes of two other victims. The trial court found enough similarities between the incidents to make the testimony relevant as evidence of defendant's intent, motive, or plan; and while the evidence might have been prejudicial, its probative value was not outweighed by the danger of unfair prejudice under Ark. R. Evid. 403. Carter v. State, 2019 Ark. App. 57, 568 S.W.3d 788 (2019).

—Pedophile Exception.

Evidence of previous sexual contact with juvenile victim held admissible under the “pedophile exception” to Evid. Rule 404. Dougan v. State, 330 Ark. 827, 957 S.W.2d 182 (1997).

Where the charges against defendant had been severed because the rape counts that were the subject of the appeal involved one victim and the violation-of-a-minor charges involved two other girls, the trial court properly allowed the testimony of the two other girls in defendant's trial for rape under the so-called “pedophile exception” to Ark. R. Evid. 404(b) to show motive, intent, or plan and to help prove the depraved sexual instinct of the accused. Butler v. State, 349 Ark. 252, 82 S.W.3d 152 (2002).

Circuit court did not abuse its discretion when it admitted a witness's testimony under the pedophile exception because the testimony established a sufficient degree of similarity with the accusations made in the case that defendant raped his daughter; the admission of the evidence helped to show that defendant's impulses and behavior were far outside the expected range of a normal father. Duvall v. State, 2018 Ark. App. 155, 544 S.W.3d 106 (2018).

No abuse of discretion occurred by admitting a witness's testimony under the pedophile exception because the testimony was independently relevant to the unique signature and methods defendant used to plan his assaults; the victim's testimony and the witness's testimony showed similarities in that defendant had the proclivity to lure and sexually violate young girls, he made efforts to be alone with them, he showed sexually explicit videos, and he had a planned method for obtaining oral sex. Duvall v. State, 2018 Ark. App. 155, 544 S.W.3d 106 (2018).

Circuit court did not abuse its discretion by admitting a witness's testimony under the pedophile exception because the similarities in defendant's conduct towards the victim and the witness, who were of very similar ages, demonstrated a depraved sexual instinct. Duvall v. State, 2018 Ark. App. 155, 544 S.W.3d 106 (2018).

In a rape case under subdivision (a)(4) of this section, although the witness was a female and the victim in the present case was a male, and the defendant's actions were not identical in each instance, they were sufficiently similar to allow the witness's testimony pursuant to the pedophile exception; additionally, although the alleged sexual activity involving the witness occurred about 13 years before the trial, it was not so remote in time as to be improper. Mabry v. State, 2020 Ark. 72, 594 S.W.3d 39 (2020).

—Sexual Gratification.

Evidence was sufficient to establish that the defendant's assault upon his wife was for purposes of sexual gratification, notwithstanding his wife's testimony that she did not think that the attack was sexual in nature or that it was the defendant's intent to be sexually gratified by it, where the wife testified (1) that he put his hand inside her vagina and squeezed her, (2) that while he was doing this, he was lying on top of her, ripping at her panties and pantyhose, and (3) that he told her more than one time that if she did not want to be with him, he would fix it so that she could not be with another man. Farmer v. State, 341 Ark. 220, 15 S.W.3d 674 (2000).

There was sufficient evidence to support defendant's conviction of rape for performing an act of oral sex upon a nine-year-old boy, in violation of subdivision (a)(1)(C)(i) and § 5-14-101(1), as “sexual gratification” did not have to be proved by the state and could be inferred from the circumstances; accordingly, defendant's claim that she performed the act in order to obtain drugs and that there was no showing by the state of any sexual gratification in her actions lacked merit. Eaton v. State, 85 Ark. App. 320, 151 S.W.3d 15 (2004).

—Sufficiency.

Evidence held sufficient to support conviction of rape by deviate sexual activity. Woolford v. State, 202 Ark. 1010, 155 S.W.2d 339 (1941); Mangrum v. State, 227 Ark. 381, 299 S.W.2d 80 (1957) (preceding decisions under prior law); Harris v. State, 15 Ark. App. 58, 689 S.W.2d 353 (1985); Conley v. State, 20 Ark. App. 56, 723 S.W.2d 841 (1987); Peebles v. State, 305 Ark. 338, 808 S.W.2d 331 (1991).

Evidence held sufficient to support conviction of rape. Stevens v. State, 231 Ark. 734, 332 S.W.2d 482 (1960); Maxwell v. State, 236 Ark. 694, 370 S.W.2d 113 (1963) (preceding decisions under prior law); McCraw v. State, 262 Ark. 707, 561 S.W.2d 71 (1978); Jeffers v. State, 268 Ark. 329, 595 S.W.2d 687 (1980); Canard v. State, 278 Ark. 372, 646 S.W.2d 3 (1983); Cope v. State, 292 Ark. 391, 730 S.W.2d 242 (1987); McCoy v. State, 293 Ark. 49, 732 S.W.2d 156 (1987); Houston v. State, 293 Ark. 492, 739 S.W.2d 154 (1987); Lewis v. State, 295 Ark. 499, 749 S.W.2d 672 (1988); Jones v. State, 297 Ark. 499, 763 S.W.2d 655 (1989); Lilly v. State, 300 Ark. 53, 776 S.W.2d 347 (1989); Curtis v. State, 301 Ark. 208, 783 S.W.2d 47 (1990); Phills v. State, 301 Ark. 265, 783 S.W.2d 348 (1990); Vick v. State, 301 Ark. 296, 783 S.W.2d 365 (1990); Cash v. State, 301 Ark. 370, 784 S.W.2d 166 (1990); Wilson v. State, 307 Ark. 21, 817 S.W.2d 203 (1991); Franklin v. State, 308 Ark. 539, 825 S.W.2d 263 (1992); Lukach v. State, 310 Ark. 38, 834 S.W.2d 642 (1992); Bishop v. State, 310 Ark. 479, 839 S.W.2d 6 (1992); Skiver v. State, 37 Ark. App. 146, 826 S.W.2d 309 (1992); Dillard v. State, 313 Ark. 439, 855 S.W.2d 909 (1993); Chenowith v. State, 321 Ark. 522, 905 S.W.2d 838 (1995); Russey v. State, 336 Ark. 401, 985 S.W.2d 316 (1999); Johnson v. State, 71 Ark. App. 58, 25 S.W.3d 445 (2000).

Evidence held sufficient to establish that defendant was guilty, at least, of an attempt to commit rape of a female under 14 years of age. Treat v. State, 253 Ark. 367, 486 S.W.2d 16 (1972) (decision under prior law).

Evidence held sufficient to support the jury's finding that the prosecutrix was sexually assaulted. Rogers v. State, 257 Ark. 144, 515 S.W.2d 79 (1974), cert. denied, 421 U.S. 930, 95 S. Ct. 1656, 44 L. Ed. 2d 87 (1975) (decision under prior law).

Circumstantial evidence was sufficient to sustain verdict on rape charge where it gave rise to more than a mere suspicion and the inference which might reasonably have been deduced from it would leave little room for doubt. Whitmore v. State, 263 Ark. 419, 565 S.W.2d 133 (1978).

Evidence held sufficient to support the defendant's conviction even though the victim was unable to personally identify the defendant as the person who raped her. Smith v. State, 277 Ark. 64, 639 S.W.2d 348 (1982).

Evidence held sufficient to support conviction of attempted rape. Berry v. State, 278 Ark. 578, 647 S.W.2d 453 (1983).

In a rape prosecution, the positive identification of a defendant by a prosecutrix alone is sufficient evidence to sustain a conviction. Clay v. State, 290 Ark. 54, 716 S.W.2d 751 (1986).

The age of the victim and the relationship of the victim to the assailant are key factors in weighing the sufficiency of evidence of force to prove rape. Griswold v. State, 290 Ark. 79, 716 S.W.2d 767 (1986); Kiefer v. State, 297 Ark. 464, 762 S.W.2d 800 (1989).

The testimony of the alleged victim which shows penetration is enough for conviction. Jackson v. State, 290 Ark. 375, 720 S.W.2d 282 (1986); Davis v. State, 308 Ark. 481, 825 S.W.2d 584 (1992).

Evidence held sufficient to support court's refusal to find defendant unfit for trial. Dyer v. State, 290 Ark. 405, 720 S.W.2d 297 (1986).

Evidence was sufficient to support rape conviction, given the corroborating testimony of the victim's husband and the police officers who investigated the incident. McCoy v. State, 293 Ark. 49, 732 S.W.2d 156 (1987).

Victim's testimony satisfies the requirement that there be substantial evidence that the defendant committed the rape. Houston v. State, 293 Ark. 492, 739 S.W.2d 154 (1987); Golston v. State, 26 Ark. App. 176, 762 S.W.2d 398 (1988); Jones v. State, 297 Ark. 499, 763 S.W.2d 655 (1989); West v. State, 27 Ark. App. 49, 766 S.W.2d 22 (1989); Franklin v. State, 308 Ark. 539, 825 S.W.2d 263 (1992).

When persons, other than physicians or other persons for legitimate medical reasons, insert something in another person's vagina or anus, it is not necessary that the state provide direct proof that the act was done for sexual gratification. Williams v. State, 298 Ark. 317, 766 S.W.2d 931 (1989).

Voice identification held sufficient. White v. State, 303 Ark. 30, 792 S.W.2d 867 (1990).

The requirement of substantial evidence was satisifed by the rape victim's testimony. Bishop v. State, 310 Ark. 479, 839 S.W.2d 6 (1992).

Where a prosecutrix positively identifies a defendant or there exists other evidence sufficient to support a rape conviction, a trial court cannot grant a directed verdict or acquittal. Foster v. Lockhart, 811 F. Supp. 1363 (E.D. Ark. 1992), aff'd, 9 F.3d 722 (8th Cir. Ark. 1993).

Evidence of restraint shown exceeded the restraint necessary to prove the crime of rape. Aaron v. State, 312 Ark. 19, 846 S.W.2d 655 (1993).

Evidence of sexual gratification held sufficient. Warren v. State, 314 Ark. 192, 862 S.W.2d 222 (1993).

Defendant was properly convicted on three counts of rape for having sexual intercourse with three girls, whose ages were nine, eight, and six, and properly sentenced to three consecutive life sentences. Langley v. State, 315 Ark. 472, 868 S.W.2d 81 (1994).

Evidence of rape of five- and four-year-old females and sexual misconduct with one-year-old female held sufficient. Clark v. State, 315 Ark. 602, 870 S.W.2d 372 (1994).

An 11-year-old boy's testimony that defendant touched his penis inside his underwear and hugged him, asked him to perform oral sex, and the boy's description in graphic detail how defendant performed oral sex on him on at least two separate occasions, was sufficient to prove rape by deviate sexual behavior. Laughlin v. State, 316 Ark. 489, 872 S.W.2d 848 (1994).

Evidence that defendant raped his twelve-year-old daughter held sufficient. Wilson v. State, 320 Ark. 707, 898 S.W.2d 469 (1995).

Blood and DNA evidence tested two years after the offense held sufficient to support rape conviction. Lee v. State, 326 Ark. 229, 931 S.W.2d 433 (1996); McGehee v. State, 328 Ark. 404, 943 S.W.2d 585 (1997).

Evidence of rape held sufficient even though victim could not remember whether the incident had occurred in the spring or the fall. Williams v. State, 331 Ark. 263, 962 S.W.2d 329 (1998).

Evidence that victim was alive when she was raped held sufficient. Sanford v. State, 331 Ark. 334, 962 S.W.2d 335 (1998).

Evidence held sufficient to support the defendant's conviction for rape of a 5-year-old girl where the defendant admitted that he kidnapped, handcuffed, and stripped the girl, the girl stated that he had placed his penis in her mouth, and there was medical evidence that the girl's vaginal area showed redness on the night of the incident. Jameson v. State, 333 Ark. 128, 970 S.W.2d 785 (1998).

Evidence was sufficient to show forcible compulsion in the prosecution of the defendant for the rape of his daughters where one daughter testified (1) that the defendant had intercourse with her on a regular basis from the time that she was 12 until she was 18 years old; (2) that when she was 12 years old, he forced her to have sex with him, and that it was not something that she wanted to do, but that she did it because she was afraid of him; (3) that the defendant had hurt her and other members of her family; and (4) that, in that regard, there was an incident when the defendant gathered the six family members in a room, lined up six bullets, and shot himself to prove a point to the family. Sublett v. State, 337 Ark. 374, 989 S.W.2d 910 (1999).

Evidence in the form of testimony of a mother and her daughter and son, both of whom were under the age of 14, that defendant, who was husband and father to the victims, sexually assaulted the daughter by inserting his finger into the daughter's vagina and forcing the daughter to perform oral sex on defendant, forcing the son and daughter to have sexual intercourse, and forcing the son to have intercourse with the mother, along with medical evidence of injuries to the daughter consistent with sexual assault, supported defendant's conviction for rape and three counts of accomplice to rape. Clem v. State, 351 Ark. 112, 90 S.W.3d 428 (2002).

There was sufficient evidence to convict defendant of attempted rape against an 11-year old fictional girl, who was a product of an internet email sting operation by police, because there was no defense of impossibility to attempt crimes, pursuant to § 5-3-201(a)(2), and the fact that defendant drove from his home state to the alleged home state of the girl with sexual accessories and photographic equipment represented a substantial step towards completing the commission of the crime, pursuant to subdivision (a)(1)(C)(i) of this section. Kirwan v. State, 351 Ark. 603, 96 S.W.3d 724 (2003).

Where the only evidence of sexual intercourse or deviate sexual activity was the videotape of a prior encounter between petitioner and the victim which the jury had found to establish sexual abuse, the evidence was constitutionally insufficient to find that the act of sexual intercourse or deviate sexual activity occurred again on the night that petitioner and the victim went to the Macaroni Grill, and no rational fact-finder could reasonably have inferred the necessary elements of rape beyond a reasonable doubt under these circumstances. Sera v. Norris, 312 F. Supp. 2d 1100 (E.D. Ark. 2004), rev'd, 400 F.3d 538 (8th Cir. 2005).

Evidence was sufficient to convict defendant of rape where the victim testified that defendant forcibly held her down and penetrated her with his penis, and the arresting officer noticed that the victim had blood on her lip and defendant's shirt had blood on it; the jury was certainly within its right to believe the officer's testimony that indicated that force was used. Benson v. State, 357 Ark. 43, 160 S.W.3d 341 (2004).

Evidence was sufficient to sustain defendant's rape conviction where the child victim testified that defendant told her to put her mouth on his penis, and that he licked her “private parts.” Standridge v. State, 357 Ark. 105, 161 S.W.3d 815 (2004).

Substantial evidence proved defendant raped his 14-year old stepdaughter where (1) according to trial testimony defendant digitally penetrated the victim numerous times before she was 14 years old, (2) the DNA extracted from the victim's mattress, where the abuse occurred, tested positive for defendant's DNA, (3) an expert testified that the victim did not have a hymen, which indicated chronic or long-term sexual contact, and (4) the victim testified that she had been raped by her stepfather and she did not report the abuse because she was scared and was afraid that defendant would not love her anymore. Pinder v. State, 357 Ark. 275, 166 S.W.3d 49 (2004).

Sufficient evidence supported a rape conviction where the victim testified that defendant sexually assaulted her with his fingers and there was ample DNA evidence linking defendant to the crime; the victim's testimony established that defendant engaged in deviate sexual activity with the victim, as defined in § 5-14-101(9), by forcible compulsion, as defined in § 5-14-101(2). Walters v. State, 358 Ark. 439, 193 S.W.3d 257 (2004).

Defendant was properly convicted of four counts of rape in light of the testimony regarding the rape of two victims, the incident involving another, the vehicle and license-plate information, the presence of duct tape in the victim's garbage can, and the unequivocal identification by the victims and witnesses of defendant as the perpetrator. Moore v. State, 87 Ark. App. 385, 192 S.W.3d 271 (2004).

Defendant's conviction for rape was affirmed as the victim's testimony, that he performed oral sex on defendant after being threatened and that defendant performed oral sex on him, was sufficient to convict defendant under subdivision (a)(1)(C)(i) of this section. Williams v. State, 363 Ark. 395, 214 S.W.3d 829 (2005).

Evidence was sufficient to support defendant's conviction on three counts of rape of a 10-year old of a person who was less than 14 years of age where the victim testified that she was 10 years old at the time of the offenses and that defendant put his penis inside her vagina, anus, and mouth, and she gave a full accounting of his actions on the evening in question; this testimony alone was substantial evidence to support defendant's convictions. Parker v. State, 93 Ark. App. 472, 220 S.W.3d 238 (2005).

There was sufficient evidence to convict defendant of rape where the victim gave detailed testimony regarding the sexual assaults; the jury was free to find the victim a more credible witness despite certain inaccuracies in her testimony. Gillard v. State, 366 Ark. 217, 234 S.W.3d 310 (2006).

Defendant's conviction for rape of his infant daughter was affirmed as the child showed signs of sexual abuse immediately after being left with defendant, and defendant's semen was found on the child's diaper. Terry v. State, 366 Ark. 441, 236 S.W.3d 495 (2006).

Evidence was sufficient to sustain an attempted rape conviction where defendant initiated a call to the 13 year old victim, picked her up under false pretenses, isolated her in a motel room, told her that he and his girlfriend intended to engage in sexual intercourse with her, and he returned to the motel room with his girlfriend; those steps went beyond mere planning and preparation. Mitchem v. State, 96 Ark. App. 78, 238 S.W.3d 623 (2006).

Evidence was sufficient to support defendant's rape convictions where both victims stated in their interviews that defendant had sexual intercourse with them, both victims were under the age of 14, and medical evidence substantiated the victims' testimony. White v. State, 367 Ark. 595, 242 S.W.3d 240 (2006), cert. denied, 550 U.S. 904, 127 S. Ct. 2114, 167 L. Ed. 2d 815 (2007).

Although appellant offered testimony that conflicted with the victim's testimony and the evidence presented at trial, the supreme court only needed to limit its review to those facts supporting the verdict to conclude that there was sufficient evidence to support the conviction of rape; the victim testified that she was forced to engage in deviate sexual activity with appellant and, after the attack, she ran from the house where she was eventually found by police. Although a semen sample collected during an examination did not match the DNA of appellant, but, rather that of the victim's fiance, the victim's testimony need not be corroborated; furthermore, it was for the jury to decide whether the testimony was credible. Hickey v. State, 2010 Ark. 109 (2010).

Evidence produced by the state at trial was sufficient for the jury to reasonably conclude that, by virtue of the living arrangement, appellant was placed in an apparent position of power or authority over the minor victim and that appellant was thus the victim's guardian for the purposes of subdivision (a)(4)(A)(i) of this section and §§ 5-14-125(a)(4)(A)(iii) and 5-14-101(3), thus the jury verdict was supported by substantial evidence. Pack v. State, 2010 Ark. App. 82 (2010).

Trial court properly denied defendant's motion for directed verdict on the charges of rape, as substantial evidence, including the victim's testimony that defendant forced him to submit to oral sex on several occasions and penetrated him anally, was presented to the jury. Jeffries v. State, 2014 Ark. 239, 434 S.W.3d 889 (2014).

Evidence, including the victim's testimony that the inmate engaged in sexual intercourse with the victim, the inmate's daughter, when she was less than 18, was sufficient to support defendant's rape conviction. Chunestudy v. State, 2014 Ark. 345, 438 S.W.3d 923 (2014).

Sufficient evidence supported defendant's rape conviction because (1) the facts established at trial supported the conviction, and (2) defendant's explanation of how defendant's semen was found on a victim was improbable. Ward v. State, 2014 Ark. App. 408, 439 S.W.3d 56 (2014).

Defendant was properly found to be the 17-year-old victim's guardian and convicted of rape because, while he did not live with her custodial parent, he was in a position of apparent power or authority over her where her contact with him was as a result of his living arrangement with her mother, defendant was responsible for the victim's care while her mother was away at work, and the victim testified that when defendant asked her to remove her clothes, she did what she was told to do. Malone v. State, 2014 Ark. App. 585, 446 S.W.3d 197 (2014).

Challenge to the sufficiency of the evidence in a rape case would have been without merit because of the overwhelming evidence of guilt; the victim testified that defendant inserted his penis into her vagina against her will, and the DNA evidence identified defendant as the perpetrator. Burris v. State, 2015 Ark. App. 126 (2015).

Evidence was sufficient to support defendant's conviction on the first count of rape because the victim testified that the first occasion in which she had sexual intercourse with defendant happened after he drove her home from a party, that it happened in the back seat of his vehicle, and that he inserted his sexual organ into her sexual organs; the victim's testimony alone was substantial evidence supporting the conviction; defendant admitted that he knew the victim was 12 years old and that they engaged in sexual intercourse for about five minutes in his vehicle after attending a party; the jury did not believe defendant's version of events; and consent was no defense to the rape of a person who was less than 14 years old. Hernandez v. State, 2015 Ark. App. 150 (2015).

Trial court properly convicted defendant of rape and sentenced him as a habitual offender to life imprisonment because there was sufficient evidence of both alternate theories of the case—forcible compulsion and physical helplessness; there was sufficient evidence that the victim was unconscious (and thus physically helpless) when defendant forcibly engaged in sexual intercourse with her against her will. Ortega v. State, 2016 Ark. 372, 501 S.W.3d 824 (2016).

In a rape case, an appellate court declined to address a challenge to the sufficiency of the evidence due to the lack of specificity in defendant's directed verdict motions; even if the issue had been addressed, a rape victim's testimony alone could have been sufficient to sustain the conviction. The victim gave specific testimony relating to penetration, and defendant was permitted to cross-examine the victim about previous lies. Tatum v. State, 2016 Ark. App. 80 (2016).

Evidence was sufficient to support defendant's rape conviction, given that the minor child alleged penetration when defendant placed a black pole-like object inside her vaginal area, which was red and consistent with sexual abuse as per the nurse practitioner who examined the child, and defendant's polygraph responses in this regard were found to be deceptive. Thomas v. State, 2016 Ark. App. 195, 487 S.W.3d 415 (2016).

Victim's testimony that, when he was 10 or 11 years old, he had been raped by defendant more than 20 times over the course of about a year and the victim's testimony about several specific instances of penetration, which if believed by the jury, established the necessary elements of rape, was sufficient to support defendant's conviction for rape. Perez v. State, 2016 Ark. App. 291, 494 S.W.3d 431 (2016).

Substantial evidence supported appellant's conviction for rape under subdivision (a)(3)(A) of this section where the juvenile testified that he placed his mouth on appellant's penis and that appellant put his mouth on the juvenile's penis, which supported the trial court's conclusion that some portion of each person's penis entered the other person's mouth to at least some minimal degree. Lowe v. State, 2016 Ark. App. 389, 500 S.W.3d 176 (2016).

Evidence was sufficient to convict defendant of rape under subdivision (a)(2)(B) of this section because the victim's doctor testified that she had a medical history of some retardation; there was sufficient evidence to support the jury's finding that penetration occurred as a sexual-assault examiner testified that although the victim did not disclose any kind of sexual assault, she found a notch at six o'clock in the victim's hymen, which was abnormal and indicative of sexual assault; and a forensic examiner testified that the blood stains in both defendant's underwear and the victim's underwear contained a mixture of blood from defendant and the victim. Duck v. State, 2016 Ark. App. 596, 509 S.W.3d 5 (2016).

Testimony by the minor victims, defendant's cousins, and defendant's admission during a police interrogation to the sexual assault and rape of one victim, constituted sufficient evidence to support defendant's convictions for rape and second-degree sexual assault. The victims both described the sexual acts using their own body-parts terminology, such as “middle spot” and “private part,” and explained to which body parts they were referring in terms of “penis” and “anus”. Garcia v. State, 2017 Ark. App. 457, 530 S.W.3d 862 (2017).

Evidence was sufficient to convict under this section where the victim testified that the juvenile and codefendant had forced her into a fieldhouse and that codefendant had touched her on the inside with his finger while the juvenile restrained her by the waist and grabbed her hands, and there was nothing inherently improbable or physically impossible about the testimony. K.B. v. State, 2017 Ark. App. 478, 531 S.W.3d 420 (2017).

Victim's testimony that she was five years old when defendant began raping her and the other victim's testimony that she was nine years old when defendant raped her was sufficient to sustain defendant's convictions for rape under subdivision (a)(3) of this section; there was no requirement that the victims' birthdates must be established at trial. Friday v. State, 2018 Ark. 339, 561 S.W.3d 318 (2018).

Evidence was sufficient to convict defendant, age 28, of two counts of rape and two counts of second-degree sexual assault committed against the 13-year-old victim because the victim testified that she was 13 years old, and she described in detail two episodes where defendant engaged in both sexual intercourse and sexual contact with her; the State was not required to prove forcible compulsion; and mistake of age was not a defense. Trotter v. State, 2018 Ark. App. 326, 551 S.W.3d 421 (2018).

Substantial evidence supported defendant's conviction for conspiracy to commit rape because there was evidence that he made a plan with an undercover officer posing as a father to rape his 13-year-old daughter, and defendant took overt steps in furtherance of the plan; the sexually graphic language used by defendant left no doubt that he wanted to have sex with the father's daughter, plus defendant showed up at the meeting place at the appointed time in the vehicle he said he would be driving, and he had two gifts in his vehicle for the daughter. Frederic v. State, 2018 Ark. App. 449, 560 S.W.3d 494 (2018).

Victim's testimony that, when she was seven years old, defendant put his penis in her butt and that he forced her to suck on his penis while they were in the bathtub was sufficient to meet the definition of “deviate sexual activity” in § 5-14-101 and the crime of rape. King v. State, 2018 Ark. App. 572, 564 S.W.3d 563 (2018).

In a case under subdivision (a)(3) of this section, defendant's challenge to the sufficiency of the evidence was not preserved because he made only a general directed verdict motion without specifying the respect in which the evidence was deficient; and, in any event, the victim's testimony was substantial evidence to support defendant's convictions and credibility determinations are within the jury's province. Peoples v. State, 2019 Ark. App. 559, 590 S.W.3d 783 (2019).

Substantial evidence supported defendant's rape conviction because the victim testified about sexual encounters with defendant that satisfied the definition of either sexual intercourse or deviate sexual activity and gave graphic descriptions of those encounters and she testified that at least one, if not more, of the encounters happened before her fourteenth birthday. Goins v. State, 2019 Ark. App. 11, 568 S.W.3d 300 (2019).

Substantial evidence supported defendant's conviction of rape, given that the victim, a 31-year-old female with learning disabilities, testified that defendant had bitten her, pinned her over the couch, and penetrated her vagina with his fingers and penis, then threatened to kill her if she told anyone, and while her testimony did not require corroboration, a neighbor testified to seeing defendant's car at the victim's home and other witnesses observed the bite mark. Carter v. State, 2019 Ark. App. 57, 568 S.W.3d 788 (2019).

Trial court did not err when it denied defendant's motion for a directed verdict on the rape charges because the testimony from the victim and his mother provided substantial evidence that defendant, who was the mother's boyfriend, disciplined her children and supported the family financially, and was a person “who by virtue of a living arrangement was placed in an apparent position of power or authority over a minor” for purposes of subdivision (a)(4) of this section. Mabry v. State, 2020 Ark. 72, 594 S.W.3d 39 (2020).

—Suppression.

Defendant was in custody when the police interviewed him in his hotel room, given that when he exited his room, he encountered a police officer with his gun drawn, defendant was immediately searched by another officer, and a third officer positioned himself in front of the door, and the circuit court's ruling that defendant's statements were admissible because he was not in police custody was in error; defendant stated that he had sex with the victim, which eliminated the State's burden of proving that defendant committed the first element of rape, and it could not be said that the error in allowing the statement was harmless. Morris v. State, 2016 Ark. App. 546, 506 S.W.3d 299 (2016).

—Testimony of Minor Victims.

The trial court did not err in allowing the minor rape victim's testimony to be admitted where the trial court was apparently convinced of the victim's ability to understand the consequences of not telling the truth. Chambers v. State, 275 Ark. 177, 628 S.W.2d 306 (1982).

The trial court did not abuse its discretion in finding the nine-year-old victim competent to testify where her testimony was consistent with that of her sister concerning events in question, the inconsistencies in her testimony did not so exceed the bounds to be expected with a juvenile witness as to make the decision to allow her testimony an abuse of discretion, and her use of words she had heard when discussing the case with adults was not proof that the trial court was wrong in assessing her competency. Clifton v. State, 289 Ark. 63, 709 S.W.2d 63 (1986).

While the psychologist should not have been allowed to testify that the history given by the victim was consistent with sexual abuse, the testimony merely provided the jurors with a hint of the testimony which they would receive from the victim; therefore, the error was harmless and did not affect the judgment. Russell v. State, 289 Ark. 533, 712 S.W.2d 916 (1986).

In a child rape case, the matter of the competency of the child is primarily for the trial judge to decide, as he is better able than the appeals court to judge the child's intelligence and understanding of the necessity for telling the truth. Jackson v. State, 290 Ark. 375, 720 S.W.2d 282 (1986).

Even though the child victim may not use the correct terms for the body part, but instead uses his or her own terms, or demonstrates a knowledge of what and where those body parts referred to are, that will be sufficient to allow the jury to believe that the act occurred. Jackson v. State, 290 Ark. 375, 720 S.W.2d 282 (1986); Stewart v. State, 297 Ark. 429, 762 S.W.2d 794 (1989).

Uncorroborated testimony of minor victims is sufficient evidence to support convictions of rape and attempted rape. Winfrey v. State, 293 Ark. 342, 738 S.W.2d 391 (1987).

Testimony of child victim that in addition to forcing him to perform oral sex, the defendant also subjected him to anal sex, was properly admitted where such testimony helped to prove the depraved sexual instinct of the accused. Free v. State, 293 Ark. 65, 732 S.W.2d 452 (Ark. 1987).

Eight-year-old victim was competent to testify. Conley v. State, 20 Ark. App. 56, 723 S.W.2d 841 (1987).

The trial court has broad discretion in determining the competency of young witnesses and exercise of that discretion will not be disturbed on appeal absent clear abuse or manifest error. A witness is competent if able to understand the obligation to tell the truth and the consequences of false swearing and is capable of receiving and retaining accurate impressions and communicating a reasonable statement of what has been seen, felt, or heard. Barrett v. State, 23 Ark. App. 144, 744 S.W.2d 741 (1988).

When minor victim identifies defendant and testifies that he raped her, such testimony, standing alone, is sufficient to sustain a conviction if the witness is competent. Jones v. State, 300 Ark. 565, 780 S.W.2d 556 (1989).

The uncorroborated testimony of a child rape victim is sufficient evidence to sustain a conviction. Caldwell v. State, 319 Ark. 243, 891 S.W.2d 42 (1995).

Testimony by a witness to the effect that the seven-year-old rape victim told the witness that defendant had told the victim he would kill the victim if she told about the sexual acts held admissible under Evid. Rule 803(3). Bradley v. State, 327 Ark. 6, 937 S.W.2d 628 (1997).

There was no constitutional violation when the trial court allowed the child witnesses in a sexual molestation case to testify while sitting in a witness chair that faced outside of defendant's line of sight, and while they did not have to look at the defendant while they testified, they were not precluded from doing so. Smith v. State, 340 Ark. 116, 8 S.W.3d 534 (2000).

Confrontation of a witness does not mean in whatever way and to whatever extent a defendant might wish. Smith v. State, 340 Ark. 116, 8 S.W.3d 534 (2000).

There was sufficient evidence to convict the defendant of rape where the victim who was under the age of 14 testified that she was “pretty sure” she was the sleeping victim shown in a video tape of the rape and that the defendant had touched her inappropriately on other occasions. Chrobak v. State, 75 Ark. App. 281, 58 S.W.3d 387 (2001).

Victim's testimony alone supported appellant's conviction for rape and sexual assault; moreover, the victim's testimony illustrated that there were several different actions of sexual assault and rape—acts that could each be separated in time as involving distinct impulses. Bryant v. State, 2010 Ark. 7, 377 S.W.3d 152 (2010).

In a rape case, an appellate court did not reach the merits of defendant's sufficiency of the evidence argument because defendant's argument made before the trial court relating to sexual gratification was significantly different from the argument made on appeal. Even if the argument was considered on appeal, the evidence was sufficient to prove the crime of rape since the five-year-old victim testified that defendant put his hand in her panties and tickled her private part. Matar v. State, 2016 Ark. App. 243, 492 S.W.3d 106 (2016).

Trial court did not err in denying defendant's motions for a directed verdict on both counts of rape because the victim testified at trial that defendant put his middle in her middle; when asked by the State to clarify what middle part she was talking about, the victim stated that defendant put his middle part where he peed from into her middle part where she peed from; the victim testified that defendant molested her when she was 10 years old, which satisfied the statutory element requiring that the victim be less than 14 years old; semen was found on the victim's panties; and a forensic DNA analyst gave expert testimony that established, within all scientific certainty, that the DNA on the victim's panties belonged to defendant. Allen v. State, 2016 Ark. App. 537, 506 S.W.3d 278 (2016).

Evidence was sufficient to support defendant's conviction for rape because the victim testified that, when the victim was nine years old, defendant placed defendant's mouth on the victim's penis and that defendant would “go up and down” and that defendant placed defendant's hand on the victim's penis and that defendant's hand would “slightly go up and down slowly”. Ralston v. State, 2019 Ark. App. 175, 573 S.W.3d 607 (2019).

—Violence.

The fact that victim was caused to bleed when defendant inserted his finger into her vagina was sufficient evidence of violence in connection with committing a violation of subdivision (a)(3). Brooks v. State, 326 Ark. 201, 929 S.W.2d 160 (1996).

—Witnesses.

Where the testimony of the witness at the first trial was extensive and significant, the reading of it to the jury at the second trial, where the state's showing of the unavailability of the witness was insufficient, was prejudicial. Lackey v. State, 288 Ark. 225, 703 S.W.2d 858 (1986).

Where doctor's testimony at the first trial described at length what the victim had said about the details of the alleged rape on the night she was examined by him, his testimony was so significant as to require that the jury at the second trial see his demeanor. Lackey v. State, 288 Ark. 225, 703 S.W.2d 858 (1986).

In prosecution for rape, the trial court did not abuse its discretion in allowing the state's expert, a serologist, to testify that the proportion of the male population with “A” blood type, who were also secreters and were vasectomized would equal 60 in 10,000, where a report of the defendant's vasectomy had been read to the jury, the serology expert was then qualified, and the defense had the opportunity to expose the limited applicability of the expert's statement and used that opportunity with fair success. Dumond v. State, 290 Ark. 595, 721 S.W.2d 663 (1986).

Force or Restraint.

In a case alleging rape, kidnapping, and third-degree domestic battery, a sufficiency of the evidence argument was not preserved for review because defendant argued on the first time on appeal that the amount of restraint or force used did not warrant a kidnapping conviction and a third-degree battery conviction in addition to the rape. This was not the same argument raised during a directed verdict motion. Rounsaville v. State, 372 Ark. 252, 273 S.W.3d 486 (2008).

Forcible Compulsion or Consent.

It was not the persistence with which the party accused intended to prosecute his illegal design, but the force actually used, that was an element in the crime of rape. Dawson v. State, 29 Ark. 116 (1874) (decision under prior law).

Rape could be committed on a female under the age of puberty, or one so young as not to be capable of giving her consent. Dawson v. State, 29 Ark. 116 (1874) (decision under prior law).

Force was an essential element in the crime of rape; it had to be committed forcibly and against the will of the female. Bradley v. State, 32 Ark. 704 (1878) (decision under prior law).

If carnal connection was had against the will of the female or she was incapable, from tender years, or want of mental and physical development, of exercising a will, with reference to the act, it was rape. Coates v. State, 50 Ark. 330, 7 S.W. 304 (1888) (decision under prior law).

If a man had, or attempted to have, connection with a woman while she was asleep, it was no defense that she did not resist, as she was then incapable of resisting. Harvey v. State, 53 Ark. 425, 14 S.W. 645 (1890) (decision under prior law).

It was not error in a rape case to refuse to instruct the jury that it was the duty of the prosecutrix when she thought a rape was about to be committed on her to make an outcry though, if requested, the court should have told the jury that her failure to make an outcry might be considered in connection with the other facts and circumstances adduced in evidence as tending to show want of resistance. Jackson v. State, 92 Ark. 71, 122 S.W. 101 (1909) (decision under prior law).

The words “forcibly and against her will” mean the same thing as “without her consent.” State v. Peyton, 93 Ark. 406, 125 S.W. 416 (1910) (decision under prior law).

Failure to make outcry because of fear did not prevent the crime from being rape. Threet v. State, 110 Ark. 152, 161 S.W. 139 (1913) (decision under prior law).

Age and lack of capacity to commit the sexual act was no defense. Hunt v. State, 114 Ark. 239, 169 S.W. 773 (1914) (decision under prior law).

In a prosecution for rape, the question for the jury to determine was whether the assault was with force and not merely whether an outcry was made or whether there was reasonable cause for failure to make an outcry. Crawford v. State, 132 Ark. 518, 201 S.W. 784 (1918) (decision under prior law).

Evidence held sufficient to show forcible compulsion. Allison v. State, 204 Ark. 609, 164 S.W.2d 442 (1942); Fink v. State, 265 Ark. 865, 582 S.W.2d 3 (1979); Jennings v. State, 268 Ark. 216, 594 S.W.2d 855 (1980); Banks v. State, 277 Ark. 28, 639 S.W.2d 509 (1982); Mills v. State, 322 Ark. 647, 910 S.W.2d 682 (1995); Mosley v. State, 323 Ark. 244, 914 S.W.2d 731 (1996).

The words “forcibly ravish a female” meant that the act was “done against the will” of the female, or without her consent, which had the same meaning. McDonald v. State, 225 Ark. 38, 279 S.W.2d 44 (1955) (decision under prior law).

Testimony by victim held admissible on issue of whether defendant forced the victim to submit. Fields v. State, 235 Ark. 986, 363 S.W.2d 905 (1963) (decision under prior law).

Failure of victim to cry out, when attacked at gunpoint, held not to indicate consent. Barton v. State, 256 Ark. 486, 508 S.W.2d 554 (1974) (decision under prior law).

Evidence of forcible compulsion held insufficient to support defendant's conviction of rape. Nelson v. State, 262 Ark. 391, 557 S.W.2d 191 (1977).

Where victim was unconscious, giving instruction on rape where the victim was “incapable of consent because he is physically helpless” held not abuse of court's discretion. Hair v. State, 266 Ark. 583, 587 S.W.2d 34 (1979).

Victim's fear of being killed or beaten up if he resisted, is not sufficient to show forcible compulsion in the absence of evidence that defendant ever threatened him before he committed a sex act with him, since subjective feelings of fear of physical injury by the victim must be based on some act of the accused that can be reasonably interpreted to warrant such fear. Mills v. State, 270 Ark. 141, 603 S.W.2d 416 (1980).

Where, after defendant performed an act of sex with the victim, defendant threatened to “kick his butt” if he told anyone, such conduct would not support conviction of rape, as it followed rather than preceded the deviate sexual activity. Mills v. State, 270 Ark. 141, 603 S.W.2d 416 (1980).

Evidence held sufficient to find consensual sexual activity and not an act carried out by forcible compulsion. Mills v. State, 270 Ark. 141, 603 S.W.2d 416 (1980).

Where the record indicated that defendant neither threatened nor employed physical force against victim, and allowed him to leave the motel room after rejecting defendant's advances, there was insufficient evidence to support the conviction for attempted rape. Mills v. State, 270 Ark. 141, 603 S.W.2d 416 (1980).

The state proved the required element of force, where the victim blacked out and did not regain consciousness until the act of intercourse was in progress; the victim had resisted to the extent of her ability and lapse into unconsciousness could not be said to have amounted to consent. Thomas v. State, 289 Ark. 72, 709 S.W.2d 83 (1986).

Where both victims were children and they were alone every day after school with the defendant, who was their mother's brother and the only adult male living in the house, the jury was justified in finding that their submission was induced through the forcible coercion of the defendant, who stood in loco parentis to the girls. Griswold v. State, 290 Ark. 79, 716 S.W.2d 767 (1986).

Where the 13-year-old victim testified that she asked the defendant not to have intercourse with her and that it upset her when he did and the 10-year-old victim testified the defendant told her to “do it or else,” there was sufficient proof for the jury to find the acts were consummated against the will of the girls. Griswold v. State, 290 Ark. 79, 716 S.W.2d 767 (1986).

“Forcible compulsion” under the rape statute is defined as “physical force,” which is further defined as any bodily impact, restraint or confinement, or the threat thereof. Strawhacker v. State, 304 Ark. 726, 804 S.W.2d 720 (1991); Skiver v. State, 37 Ark. App. 146, 826 S.W.2d 309 (1992).

The requirements of forcible compulsion, that the victim experience “bodily impact, restraint or confinement, or the threat thereof,” were sufficiently shown to prove that element of rape under subdivision (a)(1) of this section. Dillon v. State, 317 Ark. 384, 877 S.W.2d 915 (1994).

The test for determining whether there was force is whether the act was against the will of the party upon whom the act was committed. Mosley v. State, 323 Ark. 244, 914 S.W.2d 731 (1996).

Evidence of forcible compulsion held sufficient where victim testified that defendant inflicted two bruises on her upper arms and the examining physician's testimony supported this testimony. Freeman v. State, 331 Ark. 130, 959 S.W.2d 400 (1998).

Evidence was sufficient to convict defendant of rape where the victim, who had physical limitations, testified that defendant forced her to have sexual intercourse and to perform sexual acts on him after he entered her home under the pretext of using the telephone. Ellis v. State, 364 Ark. 538, 222 S.W.3d 192 (2006).

Circuit court's decision to revoke probation on the ground that defendant had committed rape under subdivision (a)(1) of this section was not clearly against the preponderance of the evidence because defendant's pointing of a firearm at the victim was evidence of an implied threat of death or physical injury, and thus was forcible compulsion, pursuant to § 5-14-101(2). Craig v. State, 2010 Ark. App. 309 (2010).

Indictment or Information.

No averment of sex was necessary in an indictment for rape. Warner v. State, 54 Ark. 660, 17 S.W. 6 (1891) (decision under prior law).

Indictment held sufficient. Downs v. State, 60 Ark. 521, 31 S.W. 149 (1895); Beard v. State, 79 Ark. 293, 95 S.W. 995 (1906) (preceding decisions under prior law).

An indictment for rape was not required to allege that the act complained of was unlawful. Cabe v. State, 182 Ark. 49, 30 S.W.2d 855 (1930) (decision under prior law).

There is only one crime of rape under the statutory law of the State of Arkansas, which can be committed either by sexual intercourse or by deviate sexual activity; therefore, an alternative or disjunctive charging of the crime of rape by either sexual intercourse or deviate sexual activity is adequate, proper, and sufficient notice to the defendant so charged. Bliss v. State, 288 Ark. 546, 708 S.W.2d 74 (Ark. 1986).

Information charging defendant alternatively with counts of rape by deviate sexual activity by either forcible compulsion, or upon one who is incapable of consent because he is physically helpless, was proper. Logan v. State, 299 Ark. 266, 773 S.W.2d 413 (1989).

The decision of what charge is to be filed rests with the prosecutor, and the fact that the prosecutor chose to file a Class Y felony against defendant for the rape of his daughter, which carries with it a higher penalty than incest, did not, by itself, give rise to a constitutional infringement. Simpson v. State, 310 Ark. 493, 837 S.W.2d 475 (1992).

The trial court was correct in allowing the state to amend the information from rape by deviate sexual activity to rape by sexual intercourse, since the amendment did not change the nature or degree of the crime. Midgett v. State, 316 Ark. 553, 873 S.W.2d 165 (1994).

Information held sufficient notwithstanding that it omitted culpable mental state from the statutory elements of the crime. Sawyer v. State, 327 Ark. 421, 938 S.W.2d 843 (1997).

Defendant was not entitled to a bill of particulars, pursuant to § 16-85-301(a); a bill of particulars as to the precise time offenses were committed was not necessary because time was not material to allegations of rape, under this section, and sexual assault in the second degree, under § 5-14-125. Wallis v. State, 2010 Ark. App. 238, 374 S.W.3d 737 (2010).

In a rape prosecution under subdivision (a)(3)(A) of this section, defendant's claim that the state did not prove sexual contact occurred on the date in the information failed because (1) the claim was unpreserved, as defendant did not contest the information before trial, and (2) a failure to specify the exact date and time of a crime was not fatal unless time was an essential element, and time was not an essential element of rape. Coleman v. State, 2010 Ark. App. 597 (2010).

Denial of a continuance to a defendant did not violate due process; although the information was amended the day before trial from a charge of rape of someone less than 14 years old by forcible compulsion to rape by forcible compulsion in violation of subdivision (a)(1) of this section, the nature of the crime charged did not change, pursuant to § 16-85-407(b). Green v. State, 2012 Ark. 19, 386 S.W.3d 413 (2012).

In a rape case, the State should not have been allowed to add the charge of second-degree sexual assault to an information at trial; defendant was unfairly surprised because he did not learn that the State intended to amend the information until after he made a motion to dismiss for failure to prove penetration. Defendant was prepared to defend against the essential element of penetration, and the amendment came after the State's witnesses were able to testify about acts that did not go to the elements of the rape charge. Martinez v. State, 2014 Ark. App. 182, 432 S.W.3d 689 (2014).

Instructions.

Instruction given held proper. Whittaker v. Kirchman, 171 Ark. 1029, 287 S.W. 168, 49 A.L.R. 316 (1926) (decision under prior law).

Giving a cautionary instruction held proper, however, the giving of such an instruction rested in the sound discretion of the trial court. Bradshaw v. State, 211 Ark. 189, 199 S.W.2d 747 (1947) (decision under prior law).

The refusal of the trial court to give a cautionary instruction held not to call for reversal. Williams v. State, 254 Ark. 940, 497 S.W.2d 11 (1973) (decision under prior law).

Since there is only one crime of rape with two possible means of commission, either by sexual intercourse or deviate sexual activity, the defendant was not prejudiced by the jury being instructed as to the two sexual acts that could be committed to constitute rape where there was substantial evidence of both acts. Cokeley v. State, 288 Ark. 349, 705 S.W.2d 425 (Ark. 1986).

Where, in prosecution for rape of his daughter, the defendant's defense was one of complete innocence and that nothing improper occurred between him and his daughter, he was not entitled to jury instructions on the lesser included offenses of carnal abuse in the third degree and sexual misconduct. Flurry v. State, 290 Ark. 417, 720 S.W.2d 699 (1986).

There is no rational basis for a lesser included instruction when a defendant charged with rape under this section denies entirely any sexual encounter with the purported victim. Fry v. State, 309 Ark. 316, 829 S.W.2d 415 (Ark. 1992).

Since “serious physical injury” is not an element of the crime of rape, the circuit court correctly refused the defendant's proffered modified version of AMCI 1803. Dillon v. State, 311 Ark. 529, 844 S.W.2d 944 (1993).

Defendant, who was convicted of rape, offered no authority or convincing argument in support of his argument that use of the model verdict form was improper or that the circuit court should have submitted a proffered non-model-verdict form to the jury; defendant contended that interrogatories should have been submitted to the jury in light of the alternate theories of the prosecution's case. Ortega v. State, 2016 Ark. 372, 501 S.W.3d 824 (2016).

Jurisdiction.

It is not essential to a prosecution in this state that all the elements of the crime charged take place in Arkansas; rather if the requisite elements of the crime are committed in different jurisdictions, any state in which an essential part of the crime is committed may take jurisdiction, and since carnal knowledge of the victim is an essential element of the crime of rape by sexual intercourse if it occurs in Arkansas, this state has jurisdiction. Gardner v. State, 263 Ark. 739, 569 S.W.2d 74 (1978), cert. denied, Gardner v. Arkansas, 440 U.S. 911, 99 S. Ct. 1224, 59 L. Ed. 2d 460 (1979).

Evidence held sufficient to support the jury's finding that the rape had occurred in Arkansas. Gardner v. State, 263 Ark. 739, 569 S.W.2d 74 (1978), cert. denied, Gardner v. Arkansas, 440 U.S. 911, 99 S. Ct. 1224, 59 L. Ed. 2d 460 (1979).

Rape is a violent offense, and such a charge is sufficient to meet the requirements set out in § 9-27-318(e)(1) for denial of transfer to juvenile court. Slay v. State, 309 Ark. 507, 832 S.W.2d 217 (1992).

Inmate's appeal from the denial of his petition for a writ of habeas corpus was dismissed as the inmate could not state grounds on which to maintain his petition; appellate court rejected inmate's claim that the trial court did not have jurisdiction to charge him for the underlying conviction of rape of a person less than fourteen years old because inmate was charged within five years of the victim's 18th birthday and, therefore, was within the statute of limitations set forth in § 5-1-109(b)(1) and (h). Young v. Norris, 365 Ark. 219, 226 S.W.3d 797 (2006).

Lesser-Included Offenses.

An indictment for rape would support a conviction for carnal abuse. Henson v. State, 76 Ark. 267, 88 S.W. 965 (1905); Willis v. State, 221 Ark. 162, 252 S.W.2d 618 (1952) (preceding decisions under prior law).

An indictment for rape would support a conviction for assault with intent to rape. Green v. State, 91 Ark. 562, 121 S.W. 949 (1909); Crawford v. State, 132 Ark. 518, 201 S.W. 784 (1918); Lindsey v. State, 213 Ark. 136, 209 S.W.2d 462 (1948) (preceding decisions under prior law).

The court could correctly instruct the jury as to the lesser offense of assault with intent to rape, in view of the rule that a defendant indicted for rape could be convicted of assault with intent to rape. Bradshaw v. State, 211 Ark. 189, 199 S.W.2d 747 (1947) (decision under prior law).

Where on a charge of rape there was evidence tending to show both rape and attempted rape and that physical force used was for the purpose of satisfying sexual desires, the court was not required to instruct that crime of assault and battery could not be established unless intent to inflict an injury was shown, as statutory definition of assault and battery did not contain the word intent. Bailey v. State, 215 Ark. 53, 219 S.W.2d 424 (1949) (decision under prior law).

Refusal to instruct on the lesser charge held proper. Bailey v. State, 227 Ark. 889, 302 S.W.2d 796 (decision under prior law); Hair v. State, 266 Ark. 583, 587 S.W.2d 34 (1979); Wood v. State, 287 Ark. 203, 697 S.W.2d 884 (1985).

Where the proof of two rape charges was deficient in regard to forcible compulsion, both rape convictions were reduced to convictions of carnal abuse in the third degree and the sentences reduced accordingly. Mills v. State, 270 Ark. 141, 603 S.W.2d 416 (1980).

None of the crimes of rape, burglary or kidnapping is necessarily a lesser included offense of the other. Hickerson v. State, 282 Ark. 217, 667 S.W.2d 654 (1984); Handy v. State, 24 Ark. App. 122, 749 S.W.2d 683 (1988).

Public sexual indecency is not a lesser included offense of rape because the two offenses each contain an element that the other does not. Henderson v. State, 286 Ark. 4, 688 S.W.2d 734 (1985), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002), but see McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002), restating the test for determining when an offense is included in another offense.

Sexual abuse in the first degree is a lesser included offense of attempted rape. Speer v. State, 18 Ark. App. 1, 708 S.W.2d 94 (1986).

Rape and first degree battery are separate and distinct crimes with different elements of proof. And neither is a crime which can be subsumed under the other. Strawhacker v. State, 304 Ark. 726, 804 S.W.2d 720 (1991).

Carnal abuse is not a lesser included offense of rape; the lesser included offense is sexual abuse. Langley v. State, 315 Ark. 472, 868 S.W.2d 81 (1994).

First-degree sexual abuse as defined in § 5-14-108(a)(3) is not a lesser included offense of rape pursuant to subdivision (a)(3) of this section, because it contains an element (age of the perpetrator) not found in the rape provision. Weber v. State, 326 Ark. 564, 933 S.W.2d 370 (1996).

Trial court was not required to instruct a jury on the offense of carnal abuse in the third degree (former § 5-14-106) because it was not a lesser-included offense of rape; carnal abuse in the third degree contained elements not found in subdivision (a)(4) of this section and carnal abuse in the third degree differed from rape in more ways that just the seriousness of harm inflicted upon a victim. Gaines v. State, 354 Ark. 89, 118 S.W.3d 102 (2003).

Court did not err in refusing to instruct the jury on sexual indecency with a child where it was not a lesser included offense of rape because committing the crime of sexual indecency with a child was not an attempt to commit rape, and the injury or risk of injury was the same for both offenses; specifically, subjecting the victim to deviate sexual activity was the injury or risk of injury for both offenses. Pratt v. State, 359 Ark. 16, 194 S.W.3d 183 (2004).

Trial court did not err during defendant's trial in refusing to instruct a jury on the lesser offense of sexual assault in the second degree, in violation of § 5-14-125(a)(3)(A)-(B), on one count of rape, in violation of subdivision (a)(3)(A) of this section, because sexual assault was not established by proof of the same or less than all of the elements required to establish rape, as required by § 5-1-110(b) to be a lesser-included offense. Joyner v. State, 2009 Ark. 168, 303 S.W.3d 54, cert. denied, 558 U.S. 1047, 130 S. Ct. 736, 175 L. Ed. 2d 514 (2009).

In a criminal trial, the circuit court did not abuse its discretion in denying defendant's request to instruct the jury that second-degree sexual assault under § 5-14-125(a)(3) was a lesser offense included in rape of a person less than fourteen years of age, as defined in subdivision (a)(3)(A) of this section, because the offense contained two elements not included in rape: defendant's age and marital status. Therefore, second-degree sexual assault was not a lesser offense included in rape. Webb v. State, 2012 Ark. 64 (2012).

Juvenile was properly adjudicated delinquent for committing second-degree assault and his due-process rights were not violated because the juvenile confirmed that he engaged in deviate sexual activity by penetrating the victim's anus without touching her, forcible compulsion was an element of both rape and second-degree sexual assault, and the juvenile could not claim surprise by the trial court's true finding as to the lesser-included offense where he was on notice of the greater offense. X.O.P. v. State, 2014 Ark. App. 424, 439 S.W.3d 711 (2014).

Circuit court did not abuse its discretion when it declined defendant's request to include a lesser-included-offense jury instruction for second-degree sexual assault; second-degree sexual assault is not a lesser-included offense of rape because it requires proof of two elements that rape does not: defendant's age (18 or over) and defendant's marital status (not married to the victim). Hartman v. State, 2015 Ark. 30, 454 S.W.3d 721 (2015).

Circuit court's mistake in failing to give a lesser-included instruction on second-degree sexual assault in a rape case did not constitute reversible error because there was no rational basis for instructing the jury on the lesser-included offense where a victim testified that defendant inserted his penis into her vagina against her will, and the DNA evidence established that defendant was the perpetrator. Burris v. State, 2015 Ark. App. 126 (2015).

Trial court did not abuse its discretion in refusing defendant's proffered jury instruction because first-degree sexual assault under § 5-14-124(a)(1)(C) is not a lesser-included offense of guardian rape under subdivision (a)(4)(A)(i) of this section, as first-degree sexual assault contains an additional element that guardian rape does not—proof that the minor is not the actor's spouse; and even if first-degree sexual assault were a lesser-included offense, there would be no rational basis on which to allow the jury instruction because defendant claimed that he was innocent of the allegations. Matlock v. State, 2019 Ark. App. 470, 588 S.W.3d 152 (2019).

Penetration.

The carnal knowlege that was required to constitute rape was res in re but to no particular depth and the hymen need not be ruptured nor the body torn. Poe v. State, 95 Ark. 172, 129 S.W. 292 (1910); Cabe v. State, 182 Ark. 49, 30 S.W.2d 855 (1930); McDonald v. State, 225 Ark. 38, 279 S.W.2d 44 (1955) (preceding decisions under prior law).

Proof of penetration was necessary to sustain a conviction but penetration could be proved by circumstantial evidence, provided the inferences to be deduced from circumstances proved left no reasonable doubt. Hudspeth v. State, 194 Ark. 576, 108 S.W.2d 1085 (1937).

Where a qualified doctor obtained a smear from the mouth of the victim's womb and found living spermatozoa of the male sperm cells in the secretion, the requirements for conviction for the offense of rape were met by the evidence. Maxwell v. State, 236 Ark. 694, 370 S.W.2d 113 (1963) (decision under prior law).

Evidence regarding penetration held sufficient to support conviction. Scott v. State, 254 Ark. 271, 492 S.W.2d 902 (1973); Hice v. State, 268 Ark. 57, 593 S.W.2d 169 (1980); Harris v. State, 9 Ark. App. 253, 657 S.W.2d 566 (1983); D.D. v. State, 40 Ark. App. 75, 842 S.W.2d 62 (1992).

Penetration in a rape or sodomy case can be shown by circumstantial evidence. Whitmore v. State, 263 Ark. 419, 565 S.W.2d 133 (1978).

By defining “sexual intercourse,” which is included within the definition of rape, as “penetration, however slight, of a vagina by a penis,” the draftsmen of the 1975 Criminal Code did not intend to change the crime of rape by requiring a deeper penetration into the body than penetration of the labia, as was formerly necessary; therefore, penetration within the labia up to as far as the hymen, was sufficient to sustain the defendant's conviction. Hice v. State, 268 Ark. 57, 593 S.W.2d 169 (1980).

Penetration can be shown by circumstantial evidence, and if that evidence gives rise to more than a mere suspicion, and the inference that might reasonably have been deduced from it would leave little room for doubt, that is sufficient. Jackson v. State, 290 Ark. 375, 720 S.W.2d 282 (1986).

A rational juror could reasonably conclude that putting the mouth on the penis constitutes penetration. Chambers v. Lockhart, 872 F.2d 274 (8th Cir. 1989), rehearing denied, — F.2d —, 1989 U.S. App. LEXIS 7394 (8th Cir. May 19, 1989), cert. denied, 493 U.S. 938, 110 S. Ct. 335 (1989).

Both deviate sexual activity and sexual intercourse require penetration “however slight.” D.D. v. State, 40 Ark. App. 75, 842 S.W.2d 62 (1992).

Nine-year-old victim's testimony that defendant put his penis inside her body, along with her description of defendant's acts, was substantial evidence of penetration, and was sufficient, standing alone, absent any corroboration, to sustain defendant's conviction for rape. United S. Assurance Co. v. Beard, 320 Ark. 115, 894 S.W.2d 948 (1995).

Evidence of penetration held sufficient, even though the attacker did not have an erection, where victim testified that he “smushed it in.” Stewart v. State, 331 Ark. 359, 961 S.W.2d 750 (1998).

Defendant's conviction for rape was upheld where the 16-year-old victim's testimony about her physical symptoms, when coupled with the testimony of the other witnesses, provided circumstantial evidence of penetration, which was an element of both rape by sexual intercourse and rape by deviate sexual activity. Marshall v. State, 94 Ark. App. 34, 223 S.W.3d 74 (2006).

In a case in which defendant appealed his conviction for rape of a 20-year old woman with a mental defect or mental incapacity, he unsuccessfully argued that there was insufficient evidence that penetration occurred. In addition to the testimony, there was also circumstantial medical evidence admitted that constituted substantial evidence to support the conviction; testimony from a nurse describing the procedure for taking the medical samples from inside the anus and vagina, together with evidence from the forensic experts concerning the presence of defendant's Y-chromosomal DNA on the victim's rectal swab, clearly gave rise to more than a mere suspicion and left little room for doubt that penetration occurred. Fernandez v. State, 2010 Ark. 148, 362 S.W.3d 905 (2010).

In defendant's prosecution under subdivision (a)(3)(A) of this section, evidence of penetration was sufficient because testimony of the victim's brother, the victim, a forensic examiner, and an expert sexual-assault nurse-examiner supported the jury's finding of penetration. Elliott v. State, 2010 Ark. App. 810, 379 S.W.3d 101 (2010).

Defendant's confession that he had his penis out and touched his five-year-old niece's mouth with it, and that she might have opened her mouth, coupled with the child's statement to her mother within seconds or minutes of the incident that defendant had put his pee-pee in her mouth, was sufficient to convict defendant of rape. Davis v. State, 2011 Ark. App. 686, 386 S.W.3d 647 (2011).

Victim's oral cavity does not have to be fully entered in order for penetration to occur under § 5-14-101(1)(A); rather, slight penetration, such as that of the lips, can be sufficient to constitute rape. Therefore, a directed verdict was properly denied because there was sufficient evidence of penetration under § 5-14-101(1)(A) where the victim testified that appellant pushed her head down on his penis, which touched her lips; appellant was unable to push it further in the victim's mouth because she had her teeth clenched. Henderson v. State, 2012 Ark. App. 485 (2012).

Suspended sentence was properly revoked because the evidence showed that appellant committed rape under subdivision (a)(1) of this section; penetration was shown by the circumstantial evidence where the victim sustained wounds to her body, appellant admitted to having intercourse, and debris was found inside of the victim's vagina. Moreover, appellant's semen was found on the victim's inner thigh. Edwards v. State, 2012 Ark. App. 551 (2012).

Defendant's claim that there was insufficient evidence of penetration lacked merit; the semen protein found inside the victim's mouth and vaginal canal was matched to either defendant or someone who shared his parental lineage, plus there was also proof that a sperm cell found on the victim matched defendant's personal DNA profile within all scientific certainty. Sharp v. State, 2015 Ark. App. 718, 479 S.W.3d 568 (2015).

In a case in which defendant was convicted of raping the victim, his cousin, when she was 14 years old, the trial court did not err in denying defendant’s motion for directed verdict that challenged the sufficiency of the State's proof of penetration. Although defendant argued that the victim had lied and was not credible, any inconsistencies in the victim's testimony were for the jury to resolve, and it was not an issue for the appellate court; the uncorroborated testimony of the victim that showed penetration was sufficient evidence for a rape conviction; semen was found inside the victim's vagina; and the forensic DNA analyst gave expert testimony that established, within all scientific certainty, that the DNA originated from defendant. Wiseman v. State, 2017 Ark. App. 371 (2017).

Substantial evidence supported a rape conviction where an accomplice testified that defendant had penetrated the victim's vagina with a broomstick, and other witnesses testified that defendant had said so while showing a video of the incident. Sorum v. State, 2017 Ark. App. 384, 526 S.W.3d 50 (2017).

Physically Helpless.

Subdivision (a)(2) only requires physical helplessness, not total incapacity. Dabney v. State, 326 Ark. 382, 930 S.W.2d 360 (1996).

Where the victim's physical condition made it impossible for her to be “aware” of defendant's intentions before he actually commenced the rape, it is likely that the victim was unaware of what was about to occur and of her need to indicate her lack of consent; under these circumstances, the victim was unable to consent due to her physical helplessness. Dabney v. State, 326 Ark. 382, 930 S.W.2d 360 (1996).

Allowing an alleged rape victim's prior sexual conduct into evidence was improper because defendant was charged with raping the victim while she was physically helpless and pursuant to subdivision (a)(2)(A) of this section, a person who was physically helpless at the time of the rape was incapable of consent. Therefore, any prior sexual encounters between defendant and the victim, which might have been relevant if consent was a defense, were irrelevant where the victim could not have consented due to being physically helpless. State v. Parker, 2010 Ark. 173 (2010).

Sentencing.

The reclassification of rape to a Class Y felony from a Class A felony was a substantive change in the law and that those charged with rape after the effective date of the amendment should be tried under the substantive law in effect when the crime was committed. Smith v. State, 277 Ark. 64, 639 S.W.2d 348 (1982); Young v. State, 14 Ark. App. 122, 685 S.W.2d 823 (1985).

Since § 5-4-104(c) provides that defendant convicted of a Class Y felony must be sentenced to imprisonment, a defendant convicted of deviate sexual activity could not be given a suspended sentence or probation even where the prosecutor agreed that some form of probation would be proper. Harris v. State, 15 Ark. App. 58, 689 S.W.2d 353 (1985).

Where the judge imposed a net sentence of 35 years when he could well have imposed a life sentence and he spoke at some length about the crime and the fact that it exceeded anything he had seen while serving on the bench, his words, (that if it had been his child, there would be no sentencing hearing), were intended in a figurative sense and there was no prejudice. Campbell v. State, 288 Ark. 213, 703 S.W.2d 855 (1986).

Where the defendant was originally sentenced to 50 years with 15 years suspended for a Class Y felony, the trial judge was right to modify the sentence to 35 years, but the defendant was not entitled to the 15 years suspended under the original sentence. Campbell v. State, 288 Ark. 213, 703 S.W.2d 855 (1986).

There was no error in court's imposition of life sentence where defendant was convicted of rape, a Class Y felony, and with a record of four prior felonies, the range of his punishment was 40 years to life imprisonment. Henderson v. State, 310 Ark. 287, 835 S.W.2d 865 (1992).

The penalty for rape is the same whether it is by deviate sexual activity or by sexual intercourse. Midgett v. State, 316 Ark. 553, 873 S.W.2d 165 (1994).

Trial court did not abuse its discretion in denying defendant's motion to reduce his life sentence for the rape of his minor daughter as numerous witnesses testified to the alleged abuse of the victim, including the victim herself, and a nurse examiner testified to signs of extensive and ongoing sexual abuse; based on this evidence, the jury's verdict did not appear to be the result of passion or prejudice. McDonald v. State, 364 Ark. 491, 221 S.W.3d 349 (2006).

Where defendant pled guilty to rape and elected to be sentenced by a jury in a bifurcated proceeding, the trial court erred in admitting a videotaped statement of the child rape victim during the sentencing proceeding, because this violated defendant's right of confrontation under U.S. Const. Amend. VI and Ark. Const. Art. II, § 10. Vankirk v. State, 2011 Ark. 428, 385 S.W.3d 144 (2011).

Separate Offenses.

Prosecution in the justice of the peace court for assault and disturbing the public peace could not constitute former jeopardy in prosecution for sodomy, as there was no relation between the misdemeanors of assault and disturbing the peace and the felony of sodomy. Verser v. State, 256 Ark. 609, 509 S.W.2d 299 (1974) (decision under prior law).

Where there was ample testimony by which the jury could have found that the defendant father committed rape by deviate sexual activity on one occasion and, on other occasions, was guilty of incest by having sexual intercourse with his 14-year-old daughter, each act constituted a separate offense, and the defendant was properly convicted on separate counts of rape and incest. Massey v. State, 278 Ark. 625, 648 S.W.2d 52 (1983).

A forcible act of intercourse with one's child under the age of 11 would support a conviction for rape or incest, but not both, and neither is a lesser included offense of the other, though several elements are the same. Williams v. State, 11 Ark. App. 11, 665 S.W.2d 299 (1984).

Since defendant was convicted of rape and attempted first degree murder, and rape and attempted first murder are separate and distinct offenses and each requires proof of a fact which the other does not, the convictions for rape and attempted first degree murder did not violate the double jeopardy clause. Wiman v. Lockhart, 797 F.2d 666 (8th Cir.), cert. denied, 479 U.S. 1021, 107 S. Ct. 678, 93 L. Ed. 2d 728 (1986).

Kidnapping and rape are not lesser included offenses of one another because each crime requires a different element of proof. While kidnapping does require the restraint to be substantial for one of several purposes, one of which is the purpose of engaging in sexual intercourse, kidnapping does not require the act of sexual intercourse itself. Rape requires a sexual act by forcible compulsion; that force is not necessarily the same as that required to sustain a conviction for kidnapping. Cozzaglio v. State, 289 Ark. 33, 709 S.W.2d 70 (1986).

Where the defendant raped the victim with his finger, and then, after leaving the bedroom and returning, got an erection and penetrated her, the two acts of rape were of a different nature and were separate in point of time, and the defendant was properly convicted of two counts of rape. Tarry v. State, 289 Ark. 193, 710 S.W.2d 202 (1986).

Where the victim was forced to drive to the country where she was repeatedly raped, her life was threatened several times although she was not seriously injured physically, and after the rape the victim was tied to a tree, the crime of rape and kidnapping were separate. Jones v. State, 290 Ark. 113, 717 S.W.2d 200 (1986).

Being convicted of rape and kidnapping does not violate a defendant's right to be free from double jeopardy. White v. State, 301 Ark. 74, 781 S.W.2d 478 (1989).

There are different elements of proof between the offenses of third degree carnal abuse (§ 5-14-106) which requires that the accused be 20 years of age or above, and the crime of rape (this section) which has no such element. Fry v. State, 309 Ark. 316, 829 S.W.2d 415 (Ark. 1992).

Rape is not a continuing offense; rather, each act of rape is a separate offense. Wofford v. State, 44 Ark. App. 94, 867 S.W.2d 181 (1993).

An offense such as rape necessarily contemplates restrictions on the victim's liberty while the crime is being committed; therefore, only when the restraint imposed exceeds that normally incidental to the underlying crime should the rapist also be subject to prosecution for kidnapping. Wofford v. State, 44 Ark. App. 94, 867 S.W.2d 181 (1993).

Where defendant was accused of committing five unconnected sexual assaults against five different girls, the alleged offenses occurred over a twelve-month period, involved different charges, and were committed in different manners, against different victims, and at different locations, the charges should not have been consolidated for trial; since these five crimes were of a similar character, but were not part of a single scheme or plan, the defendant had a right to a severance of the offenses. Clay v. State, 318 Ark. 550, 886 S.W.2d 608 (1994).

Defendant was properly charged with multiple counts of rape rather than one count where there were separate penetrations occurring as a result of separate impulses, notwithstanding that the acts were not separated in time. Ricks v. State, 327 Ark. 513, 940 S.W.2d 422 (1997).

Because the carnal abuse statute requires proof of facts that the rape statute does not, the fact that a defendant is charged with both offenses does not violate double jeopardy. Standridge v. State, 357 Ark. 105, 161 S.W.3d 815 (2004).

Defendant's acquittal of charges under 18 U.S.C.S. § 2423(a) in federal court did not operate as a bar to his statutory rape prosecution in state court as the underlying conduct upon which the federal conviction and Arkansas charge were based was not the same; a state jury's verdict that an act of statutory rape occurred in Arkansas would not necessarily be consistent with a federal jury's finding that, at the point in time when defendant transported the minor across state lines, he did not intend for the minor to engage in sexual activity. Winkle v. State, 366 Ark. 318, 235 S.W.3d 482 (2006).

Circuit court did not err in denying defendant's motion to dismiss because the second trial did not violate her Fifth Amendment right against double jeopardy; although the victim was the same, each rape charge was the result of a separate impulse separated in point of time and thus the charges were not for the same continuing offense. Schoolfield v. State, 2018 Ark. App. 575, 564 S.W.3d 558 (2018).

Because the rape offenses charged in the second prosecution did not occur within the same jurisdiction and venue of the initial prosecution, the offenses were not “related offenses” under Ark. R. Crim. P. 21.3 and dismissal was not required; the requisite inquiry for purposes of Rule 21.3 was not whether the offenses were committed in Craighead County but whether the offenses were committed in the same separate judicial district of Craighead County. Schoolfield v. State, 2018 Ark. App. 575, 564 S.W.3d 558 (2018).

“Victim”.

Trial court did not err when it referred to the victim as a “victim” during the bench trial; the word “victim” was primarily used by the court during discussions about elements under this section that the State charged defendant with violating. Graham v. State, 2019 Ark. App. 88, 572 S.W.3d 29 (2019).

Voir Dire.

In a rape prosecution under subdivision (a)(3)(A) of this section, it was not an abuse of discretion to overrule defendant's objection to the state's voir dire questions asking if jurors would require DNA evidence to convict a person of rape because (1) the prosecutor posed the question to discern if any jurors would require scientific evidence for a rape conviction, which was a legitimate purpose of voir dire, and (2) defendant could not show prejudice, as defendant did not seek a mistrial or admonition at trial. Coleman v. State, 2010 Ark. App. 597 (2010).

Voluntary Intoxication.

Voluntary intoxication is not a defense to having sexual relations with minor children. Drymon v. State, 316 Ark. 799, 875 S.W.2d 73 (1994).

Cited: Kitchen v. State, 264 Ark. 579, 572 S.W.2d 839 (1978); White v. State, 266 Ark. 499, 585 S.W.2d 952 (1979); Marion v. State, 267 Ark. 345, 590 S.W.2d 288 (1979); Conley v. State, 267 Ark. 713, 590 S.W.2d 66 (Ct. App. 1979); Rogers v. Britton, 466 F. Supp. 397 (E.D. Ark. 1979); Rogers v. Britton, 466 F. Supp. 397 (E.D. Ark. 1979); Rogers v. Britton, 476 F. Supp. 1036 (E.D. Ark. 1979); Washington v. State, 267 Ark. 1040, 594 S.W.2d 29 (Ct. App. 1980); Holcomb v. State, 268 Ark. 138, 594 S.W.2d 22 (1980); Harris v. State, 268 Ark. 425, 597 S.W.2d 75 (1980); Bailey v. State, 269 Ark. 397, 601 S.W.2d 843 (1980); Shepherd v. State, 270 Ark. 457, 605 S.W.2d 414 (1980); Beed v. State, 271 Ark. 526, 609 S.W.2d 898 (1980); Conley v. State, 272 Ark. 33, 612 S.W.2d 722 (1981); Harper v. State, 1 Ark. App. 190, 614 S.W.2d 237 (1981); Robinson v. State, 275 Ark. 473, 631 S.W.2d 294 (1982); Urquhart v. State, 275 Ark. 486, 631 S.W.2d 304 (1982); Veasey v. State, 276 Ark. 457, 637 S.W.2d 545 (1982); Stephens v. State, 277 Ark. 113, 640 S.W.2d 94 (1982); Clayborn v. State, 278 Ark. 533, 647 S.W.2d 433 (1983); Massey v. State, 278 Ark. 625, 648 S.W.2d 52 (1983); Keck v. American Emp. Agency, Inc., 279 Ark. 294, 652 S.W.2d 2, 41 A.L.R.4th 523 (1983); McGee v. State, 280 Ark. 347, 658 S.W.2d 376 (1983); Scott v. State, 284 Ark. 388, 681 S.W.2d 915 (1985); Timmons v. State, 286 Ark. 42, 688 S.W.2d 944 (1985); McKinnon v. State, 287 Ark. 1, 695 S.W.2d 826 (1985); Hickey v. State, 14 Ark. App. 50, 684 S.W.2d 830 (1985); Avery v. State, 15 Ark. App. 134, 690 S.W.2d 732 (1985); Young v. State, 287 Ark. 361, 699 S.W.2d 398 (1985); McGuire v. State, 288 Ark. 388, 706 S.W.2d 360 (1986); Chappell v. State, 18 Ark. App. 26, 710 S.W.2d 214 (1986); Hughes v. State, 292 Ark. 619, 732 S.W.2d 829 (1987); Foster v. State, 294 Ark. 146, 741 S.W.2d 251 (1987); Yates v. State, 301 Ark. 424, 785 S.W.2d 199 (1990); Cozad v. State, 303 Ark. 137, 792 S.W.2d 606 (1990); Leshe v. State, 304 Ark. 442, 803 S.W.2d 522 (1991); Dewitt v. State, 306 Ark. 559, 815 S.W.2d 942 (1991); Cole v. State, 307 Ark. 41, 818 S.W.2d 573 (1991); Swanson v. State, 308 Ark. 28, 823 S.W.2d 812 (1992); Terry v. State, 309 Ark. 64, 826 S.W.2d 817 (1992); Bonds v. State, 310 Ark. 541, 837 S.W.2d 881 (1992); Richardson v. State, 314 Ark. 512, 863 S.W.2d 572 (1993); Tolbert v. State, 316 Ark. 671, 874 S.W.2d 371 (1994); Evans v. State, 317 Ark. 449, 879 S.W.2d 409 (1994); Hagen v. State, 47 Ark. App. 137, 886 S.W.2d 889 (1994); Helton v. State, 320 Ark. 352, 896 S.W.2d 887 (1995); Parnell v. State, 323 Ark. 34, 912 S.W.2d 422 (1996); Hansen v. State, 323 Ark. 407, 914 S.W.2d 737 (1996); Hinzman v. State, 53 Ark. App. 256, 922 S.W.2d 725 (1996); Donihoo v. State, 325 Ark. 483, 931 S.W.2d 69 (1996); Chavis v. State, 328 Ark. 251, 942 S.W.2d 853 (1997); Sansevero v. State, 345 Ark. 307, 45 S.W.3d 840 (2001); Isom v. State, 356 Ark. 156, 148 S.W.3d 257 (2004); Rye v. State, 2009 Ark. App. 839, 373 S.W.3d 354 (2009); Ratchford v. State, 2015 Ark. 309, 468 S.W.3d 274 (2015); B.J. v. State, 2015 Ark. App. 310, 462 S.W.3d 709 (2015).

5-14-104. [Repealed.]

Publisher's Notes. This section, concerning carnal abuse in the first degree, was repealed by Acts 2001, No. 1738, § 6. The section was derived from Acts 1975, No. 280, § 1804; 1985, No. 281, § 3; 1985, No. 870, § 2; 1985, No. 919, § 3; A.S.A. 1947, § 41-1804; Acts 1993, No. 935, § 2; 1995, No. 578, § 1.

For present law, see §§ 5-14-1245-14-127.

5-14-105. [Repealed.]

Publisher's Notes. This section, concerning carnal abuse in the second degree, was repealed by Acts 2001, No. 1738, § 7. The section was derived from Acts 1975, No. 280, § 1805; A.S.A. 1947, § 41-1805; Acts 1995, No. 1313, § 1.

For present law, see §§ 5-14-1245-14-127.

5-14-106. [Repealed.]

Publisher's Notes. This section, concerning carnal abuse in the third degree, was repealed by Acts 2001, No. 1738, § 8. The section was derived from Acts 1975, No. 280, § 1806; A.S.A. 1947, § 41-1806; Acts 1995, No. 1313, § 2.

For present law, see §§ 5-14-1245-14-127.

5-14-107. [Repealed.]

Publisher's Notes. This section, concerning sexual misconduct, was repealed by Acts 2001, No. 1738, § 9. The section was derived from Acts 1975, No. 280, § 1807; A.S.A. 1947, § 41-1807; Acts 1997, No. 1037, § 1.

For present law, see §§ 5-14-1245-14-127.

5-14-108. [Repealed.]

Publisher's Notes. This section, concerning sexual abuse in the first degree, was repealed by Acts 2001, No. 1738, § 10. The section was derived from Acts 1975, No. 280, § 1808; 1985, No. 281, § 4; 1985, No. 870, § 3; 1985, No. 919, § 4; A.S.A. 1947, § 41-1808; Acts 1993, No. 935, § 3; 1997, No. 831, § 2; 2001, No. 545, § 1.

For present law, see §§ 5-14-1245-14-127.

5-14-109. [Repealed.]

Publisher's Notes. This section, concerning sexual abuse in the second degree, was repealed by Acts 2001, No. 1738, § 11. The section was derived from Acts 1975, No. 280, § 1809; A.S.A. 1947, § 41-1809; Acts 1993, No. 935, § 4; 1995, No. 208, § 1; 1995, No. 294, § 1; 1997, No. 514, § 1; 2001, No. 545, § 2.

For present law, see §§ 5-14-1245-14-127.

5-14-110. Sexual indecency with a child.

  1. A person commits sexual indecency with a child if:
    1. Being eighteen (18) years of age or older, the person solicits another person who is less than fifteen (15) years of age or who is represented to be less than fifteen (15) years of age to engage in:
      1. Sexual intercourse;
      2. Deviate sexual activity; or
      3. Sexual contact;
      1. With the purpose to arouse or gratify a sexual desire of himself or herself or a sexual desire of another person, the person purposely exposes his or her sex organs to another person who is less than fifteen (15) years of age.
      2. It is an affirmative defense to a prosecution under subdivision (a)(2)(A) of this section if the person is within three (3) years of age of the victim;
    2. With the purpose to arouse or gratify a sexual desire of himself or herself or a sexual desire of another person, the person purposely exposes his or her sex organs to a minor, and the actor is:
      1. Employed with the Division of Correction, Division of Community Correction, any city or county jail, or any juvenile detention facility, and the minor is in custody at a facility operated by the agency or contractor employing the actor;
      2. A mandated reporter under § 12-18-402(b) and is in a position of trust or authority over the minor; or
      3. The minor's parent or guardian, an employee in the minor's school or school district, a temporary caretaker, or a person in a position of trust and authority over the minor;
    3. With the purpose to arouse or gratify his or her sexual desire or a sexual desire of another person, the person, being eighteen (18) years of age or older, causes or coerces a minor to expose his or her sex organs to the actor or another person, and the actor is:
      1. Employed with the Division of Correction, the Division of Community Correction, any city or county jail, or any juvenile detention facility, and the minor is in custody at a facility operated by the agency or contractor employing the actor;
      2. Employed by or contracted with the Division of Community Correction, a local law enforcement agency, a court, or a local government and the actor is supervising the minor while the minor is on probation or parole or for any other court-ordered reason;
      3. A mandated reporter under § 12-18-402(b) and is in a position of trust or authority over the minor; or
      4. The minor's parent or guardian, an employee in the minor's school or school district, a temporary caretaker, or a person in a position of trust or authority over the minor; or
    4. Being eighteen (18) years of age or older, the person causes or coerces another person who is less than fourteen (14) years of age to expose his or her sex organs or the breast of a female with the purpose to arouse or gratify a sexual desire of the actor or another person.
  2. Sexual indecency with a child is a Class D felony.

History. Acts 1975, No. 280, § 1810; A.S.A. 1947, § 41-1810; Acts 1995, No. 550, § 1; 2001, No. 1821, § 1; 2005, No. 1993, § 1; 2007, No. 531, § 1; 2009, No. 748, § 9; 2009, No. 758, § 1; 2016 (3rd Ex. Sess.), No. 18, § 1; 2016 (3rd Ex. Sess.), No. 19, § 1; 2017, No. 418, § 1; 2019, No. 910, §§ 668, 669.

A.C.R.C. Notes. Acts 2009, No. 758, § 29, provided: “Contingent Effectiveness. This act shall not become effective unless an act of the Eighty-Seventh General Assembly repealing the Arkansas Child Maltreatment Act, § 12-12-501 et seq., and enacting a new Child Maltreatment Act, § 12-18-101 et seq., becomes effective.” The contingency in Acts 2009, No. 758, § 29, was met by Acts 2009, No. 749.

Amendments. The 2009 amendment by No. 748 substituted “a minor” for “another person who is less than eighteen (18) years of age” in (a)(3) and the present introductory language of (a)(4), redesignated (a)(4), and made related and minor stylistic changes.

The 2009 amendment by No. 758 substituted “mandated reporter under § 12-18-402(b)” for “professional under § 12-12-507(b)” in (a)(3)(B) and present (a)(4)(B).

The 2016 (3rd Ex. Sess.) amendment by identical acts Nos. 18 and 19 substituted “of another person” for “of any other person” in (a)(2)(A) and the introductory language of (a)(3); inserted “parent or” in (a)(3)(C) and (a)(4)(C) [now (a)(4)(D)]; in the introductory language of (a)(4), substituted “the person, being” for “a person who is” and inserted “the actor or”; substituted “the actor” for “himself, herself” in (a)(5); and made stylistic changes.

The 2017 amendment inserted (a)(4)(B) and redesignated the remaining subdivisions accordingly.

The 2019 amendment substituted “Division of Correction” for “Department of Correction” and “Division of Community Correction” for “Department of Community Correction” in (a)(3)(A) and (a)(4)(A), and substituted “Division of Community Correction” for “Department of Community Correction” in (a)(4)(B).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

Constitutionality.

Appellate court applied strict scrutiny to defendant's claim that subdivision (a)(1) of this section violated his right to free speech where the texts and social media posts between defendant when he was age 18 and a 14-year-old were not in the record, and there was no recent case law finding that written descriptions of sexual acts constitute unprotected obscenity. Worsham v. State, 2019 Ark. App. 65, 572 S.W.3d 1 (2019).

Application of subdivision (a)(1) of this section to defendant under the stipulated facts was unconstitutionally overbroad in suppressing his fundamental right to engage in expression protected by the First Amendment and Ark. Const., Art. 2, § 6, by punishing speech about lawful activity. The State could have achieved its goal of protecting minors in a more narrowly tailored way by prohibiting sex between an 18-year-old and a 14-year-old, especially given that a prior version of the statute criminalized only solicitations of sexual conduct that otherwise would have been illegal. Worsham v. State, 2019 Ark. App. 65, 572 S.W.3d 1 (2019).

Construction.

Gravamen of the offense set out in subsection (a) of this section is the inducement of a child to engage in a sexual act; subsection (a) should not be read so narrowly as to require that inducement be expressed verbally where there is evidence of unambiguous nonverbal inducement. Renderos v. State, 92 Ark. App. 293, 213 S.W.3d 37 (2005).

“Solicits” has an ordinary and usually accepted meaning in common language that can be drawn from dictionaries, and men may conduct themselves so as to avoid that which is forbidden; the statute is not impermissibly vague in all of its applications. Neely v. McDaniel, 677 F.3d 346 (8th Cir. 2012), rehearing denied, — F.3d —, 2012 U.S. App. LEXIS 12159 (8th Cir. Ark. June 14, 2012).

By criminalizing the solicitation of minors to engage in sexual activity, this section targets primarily, if not exclusively, illicit activity within the state's power to regulate; the court rejected petitioner's overbreadth challenge and concluded that whatever overbreadth may exist should be cured through case-by-case analysis of the fact situations to which its sanctions, assertedly, may not be applied. Neely v. McDaniel, 677 F.3d 346 (8th Cir. 2012), rehearing denied, — F.3d —, 2012 U.S. App. LEXIS 12159 (8th Cir. Ark. June 14, 2012).

Court rejected petitioner's contention that the reasonable mistake of age defense in § 5-14-102(d) violated the Due Process Clause by shifting the burden of proof on an essential element to the defendant; if the Arkansas statute employed a strict-liability standard concerning the victim's age, then the state retained the burden of proving all elements of the offense, and no further facts are either presumed or inferred in order to constitute the crime (the defendant's reasonable ignorance of the victim's age would therefore mitigate the offense, not rebut a presumed element). Neely v. McDaniel, 677 F.3d 346 (8th Cir. 2012), rehearing denied, — F.3d —, 2012 U.S. App. LEXIS 12159 (8th Cir. Ark. June 14, 2012).

This section prohibits the solicitation of conduct that is already criminal under Arkansas law, and offers to engage in illegal transactions enjoy no First Amendment protection. Neely v. McDaniel, 677 F.3d 346 (8th Cir. 2012), rehearing denied, — F.3d —, 2012 U.S. App. LEXIS 12159 (8th Cir. Ark. June 14, 2012).

Trial court properly directed a verdict in defendant's favor in the State's action for engaging in sexual indecency with a child under subdivision (a)(4)(C) (now (a)(4)(D)) of this section, because exposure must be to “another person” other than the defendant. A plain reading of this section indicates that the section clearly differentiated among the person (actor), the victim, and “another person” and that same distinction must be carried forward throughout the section. State v. Coble, 2016 Ark. 114, 487 S.W.3d 370 (2016) (decided before 2016 amendment).

Evidence.

Evidence was sufficient for a conviction of committing sexual indecency with a child where defendant offered a 14 year old girl money in exchange for sex, she understood that he had meant sexual intercourse and that he was serious, and his request amounted to solicitation. Heape v. State, 87 Ark. App. 370, 192 S.W.3d 281 (2004).

Defendant's conviction for sexual indecency with a child, in violation of subdivision (a)(1) of this section, was upheld as a finder of fact could reasonably have concluded that the act of forcibly and persistently pulling a girl's pants down against her wishes while alone with her in a garage attic was unmistakably importuning her to commit sexual indecency. Renderos v. State, 92 Ark. App. 293, 213 S.W.3d 37 (2005).

Evidence defendant initiated the first episode of sexual intercourse and provided transportation to his home and other locations so intercourse could take place supported a finding defendant solicited the victim and supported defendant's conviction for sexual indecency with a child. Halliday v. State, 2011 Ark. App. 544, 386 S.W.3d 51 (2011).

Because an eight-year-old child victim's testimony was enough to support a conviction, there was sufficient evidence to support defendant's convictions for sexual indecency with a child and second-degree sexual assault under subdivision (a)(2)(A) of this section and § 5-14-125(a)(3), respectively. Newton v. State, 2012 Ark. App. 91 (2012).

Sufficient evidence supported defendant's sexual-indecency conviction because ample evidence allowed a jury to infer defendant exposed himself to children to gratify defendant's sexual desire. Ward v. State, 2014 Ark. App. 408, 439 S.W.3d 56 (2014).

Evidence was sufficient to convict defendant of sexual indecency with a child because while a photograph was simply the manner he selected for the minor victim to view his exposed penis, he intentionally laid his penis open to view by a member of his church congregation for the purpose of arousing or gratifying his sexual desire, and what she saw when she viewed the photograph was no different than what she would have seen had defendant pulled down his pants while standing in front of her. Malvin v. State, 2014 Ark. App. 584, 446 S.W.3d 208 (2014).

Because defendant's arguments on appeal were not part of his directed-verdict motion in the circuit court, his arguments were not preserved for appellate review; however, even had defendant preserved his arguments, his motion for a directed verdict on the sexual indecency with a child charge was properly denied. The victim's testimony that defendant said he was going to perform fellatio on the victim for some money was sufficient evidence to support defendant's conviction, and any forensic evidence on the condom wrapper found at the scene was irrelevant to the offense of sexual indecency because sexual indecency only required solicitation of sexual intercourse or contact. Langford v. State, 2015 Ark. App. 289, 461 S.W.3d 712 (2015).

In a motion for a directed verdict at the close of the State's case, in which no specific element of the offense of sexual indecency with a child was challenged, and, at the close of all the evidence, in which defendant renewed his motion for directed verdict but added that the State had failed to prove solicitation where the explicit story sent to the victim, defendant's younger stepdaughter, did not request or ask the victim to do anything sexual, defendant's failure to make a specific motion for directed verdict at the close of the State's case rendered the lack of sufficient proof of the solicitation issue not preserved for appellate review. Campbell v. State, 2017 Ark. App. 59, 512 S.W.3d 663 (2017).

In a case where defendant was convicted of one count of sexual indecency with a child, the trial court did not abuse its discretion in permitting the State to ask the victim, defendant's younger stepdaughter, about the contents of emails or messages she received in relation to the explicit stories sent to her by defendant because there was no evidence, nor had it been alleged, that the police or the State lost or destroyed the electronic communications or that any loss or destruction was in bad faith, and as such, other evidence of the contents was admissible under Ark. R. Evid. 1004. Campbell v. State, 2017 Ark. App. 59, 512 S.W.3d 663 (2017).

In a case where defendant was convicted of one count of sexual indecency with a child, the trial court did not err in permitting the victim, defendant's younger stepdaughter, to testify to the general content of messages and the stories that defendant sent to the victim about a sexual relationship between a stepfather and stepdaughter, as that was not to prove the truth of the messages or the truth of the fictional stories, but, instead, it gave context to how the victim came to be in possession of the stories and provided the basis for her having suspicions that the sender was her stepfather. Campbell v. State, 2017 Ark. App. 59, 512 S.W.3d 663 (2017).

In a case where defendant was convicted of one count of sexual indecency with a child, defendant admitted having sent one story to the victim, and thus that story constituted an admission of a party opponent, which was not hearsay under Ark. R. Evid. 801. Campbell v. State, 2017 Ark. App. 59, 512 S.W.3d 663 (2017).

Evidence was sufficient to convict defendant of three counts of sexual indecency with a child, a Class D felony, because the plain language of subdivision (a)(2) of this section does not contain a requirement that the child consciously observed the indecent exposure; and, in any event, the trial court simply restated the language of the elements as written in the statute without defining whether the word “to” required proof that the child saw defendant's exposed genitals, and concluded that the State had made a prima facia case that presented a question of fact for the jury to decide. In addition, it was not improper to charge defendant with three offenses rather than two; while defendant only lifted his shirt twice, he laid his sex organs open to view to three children. Krol v. State, 2018 Ark. App. 512, 563 S.W.3d 586 (2018).

Lesser Included Offenses.

Court did not err in refusing to instruct the jury on sexual indecency with a child where it was not a lesser included offense of rape because committing the crime of sexual indecency with a child was not an attempt to commit rape, and the injury or risk of injury was the same for both offenses; specifically, subjecting the victim to deviate sexual activity was the injury or risk of injury for both offenses. Pratt v. State, 359 Ark. 16, 194 S.W.3d 183 (2004).

Mental State.

Appellate court found no merit in defendant's argument that he was merely rhetorically questioning a 14-year-old girl about sex, rather than soliciting her, and that he had no intent to make such a statement where there was testimony that he offered to pay money in exchange for sex, that he offered her more money after she refused him, and that he kissed her on the neck after encouraging the young boys in her charge to kiss her. Heape v. State, 87 Ark. App. 370, 192 S.W.3d 281 (2004).

Cited: Laughlin v. State, 316 Ark. 489, 872 S.W.2d 848 (1994); Wilson v. State, 2017 Ark. App. 385 (2017).

5-14-111. Public sexual indecency.

  1. A person commits public sexual indecency if he or she engages in any of the following acts in a public place or public view:
    1. An act of sexual intercourse;
    2. An act of deviate sexual activity; or
    3. An act of sexual contact.
  2. Public sexual indecency is a Class A misdemeanor.

History. Acts 1975, No. 280, § 1811; A.S.A. 1947, § 41-1811.

Research References

ALR.

What constitutes “public place” within meaning of state statute or local ordinance prohibiting indecency or commission of sexual act in public place. 95 A.L.R.5th 229.

U. Ark. Little Rock L.J.

Arkansas Law Survey, Jeffrey, Nelson, Nunnally and Robertson, Constitutional Law, 7 U. Ark. Little Rock L.J. 179.

Case Notes

Burden of Proof.

Appellant's sexual assault conviction under § 5-14-127(a)(3) was affirmed where his argument that he reasonably believed that the victim was older than 16 was an affirmative defense under § 5-14-102(d)(1) and thus, the trial court properly concluded that he, rather than the State, bore the burden of proof under § 5-1-111(d)(1). Wright v. State, 98 Ark. App. 271, 254 S.W.3d 755 (2007).

Construction With Other Law.

Sentencing court had authority to order the registration of a defendant as a sexual offender because the defendant's crime of public sexual indecency was classified as a sexual offense, under this section, and because § 12-12-903(12)(B)(ii) did not restrict the sentencing court's authority to order registration for a person's conviction as a sex offender for a sexual offense neither enumerated in § 12-12-903(12)(A)(i) nor included under the provisions of § 12-12-903(12)(B)(ii). Fountain v. State, 103 Ark. App. 15, 285 S.W.3d 706 (2008).

5-14-112. Indecent exposure.

  1. A person commits indecent exposure if, with the purpose to arouse or gratify a sexual desire of himself or herself or of any other person, the person exposes his or her sex organs:
    1. In a public place or in public view; or
    2. Under circumstances in which the person knows the conduct is likely to cause affront or alarm.
    1. Except as provided in subdivisions (b)(2) and (b)(3) of this section, indecent exposure is a Class A misdemeanor.
    2. For a fourth or fifth conviction within ten (10) years of a previous conviction, indecent exposure is a Class D felony.
    3. For a sixth conviction and each successive conviction within ten (10) years of a previous conviction, indecent exposure is a Class C felony.
  2. A woman is not in violation of this section for breastfeeding a child in a public place or any place where other individuals are present.

History. Acts 1975, No. 280, § 1812; A.S.A. 1947, § 41-1812; Acts 1997, No. 817, § 1; 2001, No. 1553, § 7; 2001, No. 1665, § 1; 2001, No. 1821, § 2; 2003, No. 862, § 1; 2005, No. 1815, § 1; 2005, No. 1962, § 5; 2007, No. 38, § 1; 2007, No. 680, § 1.

A.C.R.C. Notes. This section was also amended by Acts 2005, No. 1962, § 5. However, pursuant to Acts 2005, No. 1962, § 119, this section is set out as amended by Acts 2005, No. 1815, § 1.

Cross References. Exposing private parts as disorderly conduct, § 5-71-207.

Nudism, § 5-68-204.

Research References

ALR.

What constitutes “public place” within meaning of state statute or local ordinance prohibiting indecency or commission of sexual act in public place. 95 A.L.R.5th 229.

Validity of State and Municipal Indecent Exposure Statutes and Ordinances. 71 A.L.R.6th 283.

Ark. L. Rev.

Disorderly Conduct and Loitering — A Modern Approach to Traditional Legislation, 30 Ark. L. Rev. 186.

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Indecent Exposure, 26 U. Ark. Little Rock L. Rev. 363.

Case Notes

Constitutionality.

Former section concerning indecent exposure did not unconstitutionally discriminate against female dancers arrested for appearing nude from the waist up on nightclub stage because of their sex, in that males who appear in public bare from the waist up have never been prosecuted for such conduct, there being nothing to indicate that under proper facts and circumstances a male person would be immune to prosecution for indecent exposure. Robinson v. State, 253 Ark. 882, 489 S.W.2d 503 (1973) (decision under prior law).

Former section concerning indecent exposure was not unconstitutional, as applied to female appellants arrested for dancing naked from the waist up on stage of nightclub, on ground that it contained no provision for judicially superintended adversary proceedings with due notice and trial by jury to determine what was and what was not obscene. Robinson v. State, 253 Ark. 882, 489 S.W.2d 503 (1973) (decision under prior law).

Where a male defendant was convicted of sodomy under § 5-14-122 for engaging in oral sex with another male in a restroom in a public park, the conviction did not violate the defendant's constitutional right to privacy since the defendant had no privacy right to perform such acts in public, and the application of § 5-14-122 to public sexual activity between two members of the same sex did not violate the equal protection rights of homosexuals, because a heterosexual couple engaging in the same act would be guilty of public sexual indecency under this section, and would be subject to the exact same penalty. United States v. Lemons, 697 F.2d 832 (8th Cir. 1983).

Applicability.

This section applies not only to flashers but also to nude dancing in a public tavern. Young v. State, 286 Ark. 413, 692 S.W.2d 752 (1985), cert. denied, Young v. Arkansas, 474 U.S. 1070, 106 S. Ct. 830 (1986).

Arousal or Gratification of Sexual Desire.

Evidence held sufficient to find that the trial court was warranted in finding that lascivious intent was established. Burton v. State, 253 Ark. 312, 485 S.W.2d 750 (1972) (decision under prior law).

Evidence held sufficient to find that defendant was dancing to arouse or gratify the sexual desires of herself or others. Young v. State, 286 Ark. 413, 692 S.W.2d 752 (1985), cert. denied, Young v. Arkansas, 474 U.S. 1070, 106 S. Ct. 830 (1986).

Evidence.

Evidence held sufficient to sustain conviction. Anderson v. City of El Dorado, 243 Ark. 137, 418 S.W.2d 801 (1967) (decision under prior law).

Where intent was an integral part of former section concerning indecent exposure, it was proper to admit testimony of similar or related unnatural sex acts to establish habit or practice related to intent. Fields v. State, 255 Ark. 540, 502 S.W.2d 480 (1973) (decision under prior law).

Court properly denied the motion to introduce evidence of the victim's prior sexual conduct. Farrell v. State, 269 Ark. 361, 601 S.W.2d 835 (1980).

Lesser Included Offenses.

Public sexual indecency is not a lesser included offense of rape because the two offenses each contain an element that the other does not; rape requires proof of forcible compulsion, while public sexual indecency requires proof that the activity occurred in a public place or in the public view. Henderson v. State, 286 Ark. 4, 688 S.W.2d 734 (1985), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002), but see McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002), restating the test for determining when an offense is included in another offense.

Sexual abuse requires proof of a touching, and indecent exposure requires proof of exposure; therefore, the two crimes do not meet the statutory definition of a lesser included offense. Hall v. State, 15 Ark. App. 309, 692 S.W.2d 769 (1985).

Public Place.

Drunk tank of the city jail was a public place. State v. Black, 260 Ark. 864, 545 S.W.2d 617 (1977).

The definition of a “public place” does not exclude establishments that limit their fare only to consenting adults and forewarned viewers. Young v. State, 286 Ark. 413, 692 S.W.2d 752 (1985), cert. denied, Young v. Arkansas, 474 U.S. 1070, 106 S. Ct. 830 (1986).

Cited: Heslip v. Lobbs, 554 F. Supp. 694 (E.D. Ark. 1982); Virden v. State, 297 Ark. 507, 764 S.W.2d 43 (1989).

5-14-113. Sexual extortion.

  1. A person commits the offense of sexual extortion if:
    1. With the purpose to coerce another person to engage in sexual contact or sexually explicit conduct, the person communicates a threat to:
      1. Damage the property or harm the reputation of the other person; or
      2. Produce or distribute a recording of the other person engaged in sexually explicit conduct or depicted in a state of nudity;
    2. With the purpose to produce or distribute a recording of a person in a state of nudity or engaged in sexually explicit conduct, the person communicates a threat to:
      1. Damage the property or harm the reputation of the other person; or
      2. Produce or distribute a recording of the other person engaged in sexually explicit conduct or depicted in a state of nudity; or
    3. The person knowingly causes another person to engage in sexual contact or sexually explicit conduct or to produce or distribute a recording of a person in a state of nudity or engaged in sexually explicit conduct by communicating a threat to:
      1. Damage the property or harm the reputation of the other person; or
      2. Produce or distribute a recording of the other person engaged in sexually explicit conduct or depicted in a state of nudity.
  2. Sexual extortion is a Class B felony.

History. Acts 2017, No. 664, § 2.

5-14-114 — 5-14-119. [Reserved.]

Publisher's Notes. This section, concerning violation of a minor in the first degree, was repealed by Acts 2001, No. 1738, § 12. The section was derived from Acts 1985, No. 326, § 1; A.S.A. 1947, § 41-1826; Acts 1993, No. 265, § 1; 2001, No. 1374, § 2.

5-14-121. [Repealed.]

Publisher's Notes. This section, concerning violation of a minor in the second degree, was repealed by Acts 2001, No. 1738, § 13. The section was derived from Acts 1985, No. 326, § 2; A.S.A. 1947, § 41-1827; Acts 1993, No. 265, § 2.

5-14-122. Bestiality.

  1. As used in this section, “animal” means any dead or alive nonhuman vertebrate.
  2. A person commits bestiality if he or she performs or submits to any act of sexual gratification with an animal involving his or her or the animal's sex organs and the mouth, anus, penis, or vagina of the other.
  3. Bestiality is a Class A misdemeanor.

History. Acts 1977, No. 828, § 1; A.S.A. 1947, § 41-1813; Acts 2005, No. 1994, § 496; 2007, No. 827, § 30.

Publisher's Notes. These cases were decided under a prior version of this section.

Research References

Ark. L. Notes.

Sheppard, Arkansas 1, Texas 0: Sodomy Law Reform and the Arkansas Law, 2003 Arkansas L. Notes 87.

U. Ark. Little Rock L.J.

Barrier, Render Unto Caesar: An Essay on Private Morals and Public Law, 4 U. Ark. Little Rock L.J. 511.

Arkansas Law Survey, Jeffrey, Nelson, Nunnally and Robertson, Constitutional Law, 7 U. Ark. Little Rock L.J. 179.

Note: Constitutional Law-Privacy and Equal Protection-Arkansas Joins Other States in a Revival of State Constitutions as Guardians of Individual Rights, Establishing New Protections for Arkansas Gays and Lesbians,Jegley v. Picado, 349 Ark. 600, 80 S.W.3d 332 (2002), 25 U. Ark. Little Rock L. Rev. 681.

Comment, Arkansas's Entry into the Not-So-New Judicial Federalism, 25 U. Ark. Little Rock L. Rev. 835.

Annual Survey of Caselaw, Constitutional Law, 25 U. Ark. Little Rock L. Rev. 905.

Case Notes

Constitutionality.

Former statute providing penalty for sodomy was not too vague and too broad in scope, nor did it establish a religion because it regulated acts regarded as sinful by some religious groups. Connor v. State, 253 Ark. 854, 490 S.W.2d 114, appeal dismissed, 414 U.S. 991, 94 S. Ct. 342, 38 L. Ed. 2d 230 (1973) (decision under prior law).

Enforcement as to defendant of former statute providing penalty for sodomy did not violate any constitutional right of privacy where act was not committed in privacy but in an automobile on a public road adjacent to an interstate highway. Connor v. State, 253 Ark. 854, 490 S.W.2d 114, appeal dismissed, 414 U.S. 991, 94 S. Ct. 342, 38 L. Ed. 2d 230 (1973) (decision under prior law).

Former section which provided penalty for sodomy when applied to convict two consenting adults of sodomy did not constitute a violation of defendants' rights to privacy or rights under either federal or state constitutions. Carter v. State, 255 Ark. 225, 500 S.W.2d 368 (1973), cert. denied, Carter v. Arkansas, 416 U.S. 905, 94 S. Ct. 1610 (1974) (decision under prior law).

Statute which clearly prohibited “sodomy” and “buggery” was not subject to constitutional attack on the grounds of vagueness, even though the statute did not specifically name fellatio, since the conduct for which defendant was convicted had long been held to be prohibited and defendant was placed on notice that his behavior was illegal. Connor v. Hutto, 516 F.2d 853 (8th Cir. 1975), cert. denied, 423 U.S. 929, 96 S. Ct. 278 (1975) (decision under prior law).

Where a male defendant was convicted of sodomy under this section for engaging in oral sex with another male in a restroom in a public park, the conviction did not violate the defendant's constitutional right to privacy since the defendant had no privacy right to perform such acts in public. United States v. Lemons, 697 F.2d 832 (8th Cir. 1983).

Application of this section to public sexual activity between two members of the same sex did not violate the equal protection rights of homosexuals, because a heterosexual couple engaging in the same act would be guilty of public sexual indecency under § 5-14-111, and would be subject to the exact same penalty. United States v. Lemons, 697 F.2d 832 (8th Cir. 1983).

As circuit courts have exclusive jurisdiction over criminal prosecutions, an action seeking a declaration that the criminal sodomy statute is unconstitutional could only be heard in the circuit court. Bryant v. Picado, 338 Ark. 227, 996 S.W.2d 17 (1999) (decision under prior law).

This section is unconstitutional as applied to private, consensual, noncommercial, same-sex sodomy in that it infringes upon the fundamental right to privacy implicit in the Arkansas Constitution. Jegley v. Picado, 349 Ark. 600, 80 S.W.3d 332 (2002) (decision under prior law).

This section is unconstitutional as applied to private, consensual, noncommercial, same sex sodomy in that it impermissibly criminalized conduct solely on the basis of the sex of the participants in violation of Arkansas's Equal Rights Amendment, Ark. Const., Art. 2, § 8. Jegley v. Picado, 349 Ark. 600, 80 S.W.3d 332 (2002) (decision under prior law).

Evidence.

Where statute in a prosecution for sodomy required proof of actual penetration to sustain the charge, proof of the boy's injured condition was admissible to establish penetration. Havens v. State, 217 Ark. 153, 228 S.W.2d 1003 (1950) (decision under prior law).

Since the crime of sodomy could be proven by circumstantial evidence, no higher degree of evidence was required in corroborating the testimony of an accomplice than was required for conviction. Burford v. State, 242 Ark. 377, 413 S.W.2d 670 (1967) (decision under prior law).

Force.

Where defendant argued that since the jury found the codefendant guilty of sodomy, a crime which does not require force, and since the codefendant was the one who committed the sexual acts, a finding that defendant used force to commit a sexual act was an inconsistent verdict, the jury could have found that defendant was the more culpable of the two defendants where he was the one who actually used a knife to force the victim to submit to the sexual acts. Young v. State, 296 Ark. 394, 757 S.W.2d 544 (1988).

Separate Offenses.

Prosecution in the justice of the peace court for assault and disturbing the public peace could not constitute former jeopardy in prosecution for sodomy, as there was no relation between the misdemeanors of assault and disturbing the peace and the felony of sodomy. Verser v. State, 256 Ark. 609, 509 S.W.2d 299 (1974) (decision under prior law).

5-14-123. Exposing another person to human immunodeficiency virus.

  1. A person with acquired immunodeficiency syndrome or who tests positive for the presence of human immunodeficiency virus antigen or antibodies is infectious to another person through the exchange of a body fluid during sexual intercourse and through the parenteral transfer of blood or a blood product and under these circumstances is a danger to the public.
  2. A person commits the offense of exposing another person to human immunodeficiency virus if the person knows he or she has tested positive for human immunodeficiency virus and exposes another person to human immunodeficiency virus infection through the parenteral transfer of blood or a blood product or engages in sexual penetration with another person without first having informed the other person of the presence of human immunodeficiency virus.
    1. As used in this section, “sexual penetration” means sexual intercourse, cunnilingus, fellatio, anal intercourse, or any other intrusion, however slight, of any part of a person's body or of any object into a genital or anal opening of another person's body.
    2. However, emission of semen is not required.
  3. Exposing another person to human immunodeficiency virus is a Class A felony.

History. Acts 1989, No. 614, §§ 1, 2.

Publisher's Notes. Acts 1989, No. 614, § 1, is also codified as §§ 20-15-904(a) and 16-82-101(a).

Research References

Ark. L. Notes.

Closen, The Arkansas Criminal HIV Exposure Law: Statutory Issues, Public Policy Concerns, and Constitutional Objections, 1993 Ark. L. Notes 47.

Ark. L. Rev.

Case Note, Criminal Liability for Attempting to Inflict the AIDS Virus: Possibilities in Arkansas' Future, 45 Ark. L. Rev. 505.

Criminalization of an Epidemic: HIV-AIDS and Criminal Exposure Laws, 46 Ark. L. Rev. 921.

U. Ark. Little Rock L.J.

Survey, Criminal Law, 12 U. Ark. Little Rock L.J. 617.

Case Notes

Evidence.

The trial court properly refused to allow the defendant to ask questions concerning the victim's past sexual encounters where the defendant did not proffer evidence that the suspected sexual partners had the virus or that the victim contracted the virus by anything other than the relationship she had with the defendant. Weaver v. State, 56 Ark. App. 104, 939 S.W.2d 316 (1997).

Where the evidence showed that defendant had vaginal sexual intercourse with a child, and he had been diagnosed with the Human Immuno-Deficiency Virus, there was sufficient evidence to support his conviction under this section. White v. State, 370 Ark. 284, 259 S.W.3d 410 (2007).

Severance.

Trial court was not required to sever a charge for exposure to the Human Immuno-Deficiency Virus (HIV) under Ark. R. Crim. P. 22.2 because the exposure to HIV was committed as part of a single scheme with a sexual assault in the fourth degree. It was discretionary whether or not to sever under Rule 22.2(b)(i). White v. State, 370 Ark. 284, 259 S.W.3d 410 (2007).

Subpoena.

Health Insurance Portability and Accountability Act of 1996 does not limit a state's authority to investigate crimes; therefore, there was no error committed by the prosecution's decision to subpoena a nurse practitioner to testify that defendant had tested positive for the Human Immuno-Deficiency Virus. White v. State, 370 Ark. 284, 259 S.W.3d 410 (2007).

5-14-124. Sexual assault in the first degree.

  1. A person commits sexual assault in the first degree if:
    1. The person engages in sexual intercourse or deviate sexual activity with a minor who is not the actor's spouse and the actor is:
      1. Employed with the Division of Correction, the Division of Community Correction, the Department of Human Services, or any city or county jail or a juvenile detention facility, and the victim is in the custody of the Division of Correction, the Division of Community Correction, the Department of Human Services, any city or county jail or juvenile detention facility, or their contractors or agents;
      2. Employed by or contracted with the Division of Community Correction, a local law enforcement agency, a court, or a local government and the actor is supervising the minor while the minor is on probation or parole or for any other court-ordered reason;
      3. A mandated reporter under § 12-18-402(b) and is in a position of trust or authority over the victim and uses the position of trust or authority to engage in sexual intercourse or deviate sexual activity; or
      4. An employee in the victim's school or school district, a temporary caretaker, or a person in a position of trust or authority over the victim; or
    2. The person is a teacher, principal, athletic coach, or counselor in a public or private school in kindergarten through grade twelve (K-12) and the actor:
      1. Engages in sexual intercourse or deviate sexual activity with a person who is not the actor's spouse and the victim is:
        1. Less than twenty-one (21) years of age; and
        2. A student enrolled in the public or private school employing the actor; and
      2. Is in a position of trust or authority over the victim and uses his or her position of trust or authority over the victim to engage in sexual intercourse or deviate sexual activity.
  2. It is no defense to a prosecution under this section that the victim consented to the conduct.
  3. It is an affirmative defense to a prosecution under subdivision (a)(1)(D) of this section that the actor was not more than three (3) years older than the victim.
  4. Sexual assault in the first degree is a Class A felony.

History. Acts 2001, No. 1738, § 2; 2003, No. 1391, § 1; 2003, No. 1469, § 2; 2009, No. 748, § 10; 2009, No. 758, § 2; 2013, No. 1044, § 1; 2017, No. 418, § 2; 2019, No. 910, § 670.

A.C.R.C. Notes. Acts 2009, No. 758, § 29, provided: “Contingent Effectiveness. This act shall not become effective unless an act of the Eighty-Seventh General Assembly repealing the Arkansas Child Maltreatment Act, § 12-12-501 et seq., and enacting a new Child Maltreatment Act, § 12-18-101 et seq., becomes effective.” The contingency in Acts 2009, No. 758, § 29, was met by Acts 2009, No. 749.

Amendments. The 2009 amendment by No. 748 substituted “a minor” for “another person who is less than eighteen (18) years of age” in (a).

The 2009 amendment by No. 758 deleted “Health and” following “Department of” in two places in (a)(1), and substituted “mandated reporter under § 12-18-402(b)” for “professional under § 12-12-507(b)” in (a)(2).

The 2013 amendment added (a)(2) and redesignated (a)(1) accordingly.

The 2017 amendment inserted (a)(1)(B) and redesignated the remaining subdivisions accordingly.

The 2019 amendment substituted “Division of Correction” for “Department of Correction” and “Division of Community Correction” for “Department of Community Correction” throughout (a)(1)(A) and (a)(1)(B).

Research References

ALR.

Sufficiency of Allegations or Evidence of Serious Bodily Injury to Support Charge of Aggravated Degree of Rape, Sodomy, or Other Sexual Abuse. 103 A.L.R.6th 507 (2015).

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

Constitutionality.

Conviction for first-degree sexual assault did not violate the constitutional right to privacy because such protection was not extended to an adult's sexual relationship with a minor. Defendant and the victim began having sex when she was 15 years old; moreover, the State had an interest in protecting students from sexual advances from their teachers and school employees who had unique access to minors and were inherently viewed as authority figures. Akers v. State, 2015 Ark. App. 352, 464 S.W.3d 483 (2015).

Construction With Other Law.

Compared to subsection (a)(3) of this section, there is no language in the rape statute, § 5-14-103, regarding the terms, “temporary caretaker” or “person in a position of trust or authority,” and the State's proof is not the same. Murphy v. State, 83 Ark. App. 72, 117 S.W.3d 627 (2003).

Enhancement of Sentence.

Defendant's prior conviction for first-degree sexual abuse related to child exploitation and, thus, triggered the enhanced statutory minimum sentence of 15 years pursuant to the version of 18 U.S.C.S. § 2251(d) in effect at the time of defendant's conviction in 2003 because, even though the term “sexual exploitation of children” was not defined in § 2251, the term unambiguously referred to any criminal sexual conduct with a child; the conduct did not have to be photographed to qualify for enhancement. United States v. Smith, 367 F.3d 748 (8th Cir. 2004).

Evidence.

Evidence that a victim, who was a 14-year-old student of defendant, touched defendant on her breast was admissible in defendant's trial for first-degree sexual assault under this section because it was independently relevant and fell within the pedophile exception to Ark. R. Evid. 404(b); the incidents corroborated the victim's testimony and established that defendant had a proclivity to engage in sexual acts with minors with whom she had an intimate relationship. Bobo v. State, 102 Ark. App. 329, 285 S.W.3d 270 (2008), rehearing denied, — Ark. App. —, — S.W.3d —, 2008 Ark. App. LEXIS 533 (June 25, 2008), review denied, — Ark. —, — S.W.3d —, 2008 Ark. LEXIS 595 (Oct. 30, 2008).

Defendant was a close friend of the victim's family and the victim was frequently allowed to spend the night in defendant's home while visiting defendant's son; the evidence of defendant's close friendship with the victim's parents, and of their frequent entrustment of the victim to defendant's care and supervision, was sufficient to support the finding that defendant was a temporary caretaker or in a position of trust over the victim. Rasmussen v. State, 2009 Ark. App. 586 (2009).

Finding that defendant held a position of trust or authority over the victim was supported by evidence that defendant picked the victim up and took the victim home from horse training and by testimony of the victim's father that defendant was helping the victim with riding and learning about rodeo and that the father trusted defendant as the adult watching his daughter. Halliday v. State, 2011 Ark. App. 544, 386 S.W.3d 51 (2011).

Evidence was sufficient to support a conviction for first-degree sexual assault because additional evidence that defendant utilized a position of trust and authority to engage in sex with a student was not required; this section was written in the disjunctive, so proof of any of the items listed was sufficient. Akers v. State, 2015 Ark. App. 352, 464 S.W.3d 483 (2015).

Sufficient evidence supported defendant's first-degree sexual assault conviction under subdivision (a)(1)(D) of this section because a jury could use common sense to find that defendant, as the sole adult present, was in a position of authority over a 15-year-old victim visiting defendant's home, and the jury was free to reject the victim's testimony that defendant was not his babysitter. Scaggs v. State, 2020 Ark. App. 142, 596 S.W.3d 562 (2020).

Illustrative Cases.

Homosexual defendants asserted they were simply social friends of the victim and could not be convicted under the “catch-all” language of former subsection (c) because they were not “temporary caretakers” or “in a position of trust or authority,” however, where defendants gave victim's parents assurances they would look after the victim and not engage in any homosexual activity with him, the jury properly determined defendants were in a position of trust or authority. Murphy v. State, 83 Ark. App. 72, 117 S.W.3d 627 (2003).

Defendant's conviction for first-degree sexual assault against a minor female was supported by sufficient evidence where defendant had a longstanding relationship with the minor as her instructor and with her parents, who trusted him to oversee her tae kwon do instruction and competitions, and her transportation home; a family friend to whom a minor is entrusted is in a position of authority or trust over that minor during the time of entrustment, and defendant's relationship could be characterized, at a minimum, to be that of a chaperone, which met the statutory threshold. May v. State, 94 Ark. App. 202, 228 S.W.3d 517 (2006).

In a case in which defendant was convicted of four counts of sexual assault of a minor, defendant fulfilled the role of temporary caretaker or person in a position of trust or authority under both this section and § 5-14-125, as defendant was in a position to care for the victim while the victim was staying overnight in defendant's home. Nelson v. State, 2011 Ark. 429, 384 S.W.3d 534 (2011).

Jury Instructions.

In a first-degree sexual assault case, there was no error in failing to give a jury instruction that required the jury to find that defendant held a position of trust and authority over the victim and utilized that position of trust and authority to influence her to have sex with him since proof of additional elements was not required. Akers v. State, 2015 Ark. App. 352, 464 S.W.3d 483 (2015).

Lesser-Included Offense.

Trial court did not abuse its discretion in refusing defendant's proffered jury instruction because first-degree sexual assault under subdivision (a)(1)(C) of this section is not a lesser-included offense of guardian rape under § 5-14-103(a)(4)(A)(i), as first-degree sexual assault contains an additional element that guardian rape does not—proof that the minor is not the actor's spouse; and even if first-degree sexual assault were a lesser-included offense, there would be no rational basis on which to allow the jury instruction because defendant claimed that he was innocent of the allegations. Matlock v. State, 2019 Ark. App. 470, 588 S.W.3d 152 (2019).

Cited: State v. Hayes, 366 Ark. 199, 234 S.W.3d 307 (2006).

5-14-125. Sexual assault in the second degree.

  1. A person commits sexual assault in the second degree if the person:
    1. Engages in sexual contact with another person by forcible compulsion;
    2. Engages in sexual contact with another person who is incapable of consent because he or she is:
      1. Physically helpless;
      2. Mentally defective; or
      3. Mentally incapacitated;
    3. Being eighteen (18) years of age or older, engages in sexual contact with another person who is:
      1. Less than fourteen (14) years of age; and
      2. Not the person's spouse;
      1. Engages in sexual contact with a minor and the actor is:
        1. Employed with the Division of Correction, the Division of Community Correction, any city or county jail, or any juvenile detention facility, and the minor is in custody at a facility operated by the agency or contractor employing the actor;
        2. Employed by or contracted with the Division of Community Correction, a local law enforcement agency, a court, or a local government and the actor is supervising the minor while the minor is on probation or parole or for any other court-ordered reason;
        3. A mandated reporter under § 12-18-402(b) and is in a position of trust or authority over the minor; or
        4. The minor's guardian, an employee in the minor's school or school district, a temporary caretaker, or a person in a position of trust or authority over the minor.
      2. For purposes of subdivision (a)(4)(A) of this section, consent of the minor is not a defense to a prosecution;
      1. Being a minor, engages in sexual contact with another person who is:
        1. Less than fourteen (14) years of age; and
        2. Not the person's spouse.
      2. It is an affirmative defense to a prosecution under this subdivision (a)(5) that the actor was not more than:
        1. Three (3) years older than the victim if the victim is less than twelve (12) years of age; or
        2. Four (4) years older than the victim if the victim is twelve (12) years of age or older; or
    4. Is a teacher, principal, athletic coach, or counselor in a public or private school in a grade kindergarten through twelve (K-12), in a position of trust or authority, and uses his or her position of trust or authority over the victim to engage in sexual contact with a victim who is:
      1. A student enrolled in the public or private school; and
      2. Less than twenty-one (21) years of age.
    1. Sexual assault in the second degree is a Class B felony.
    2. Sexual assault in the second degree is a Class D felony if committed by a minor with another person who is:
      1. Less than fourteen (14) years of age; and
      2. Not the person's spouse.

History. Acts 2001, No. 1738, § 3; 2003, No. 1323, § 1; 2003, No. 1720, § 2; 2009, No. 748, §§ 11-13; 2009, No. 758, § 3; 2011, No. 1129, § 1; 2013, No. 1086, § 2; 2017, No. 418, § 3; 2019, No. 910, § 671.

A.C.R.C. Notes. Pursuant to § 1-2-303, the internal reference in subdivision (a)(5)(B) has been corrected to read “this subdivision (a)(5)”. An apparent engrossment error in House Bill 1935 of 2003, subsequently enacted as Acts 2003, No. 1323, changed the internal reference from “this subdivision (a)(5)” to “this section”.

Acts 2009, No. 758, § 29, provided: “Contingent Effectiveness. This act shall not become effective unless an act of the Eighty-Seventh General Assembly repealing the Arkansas Child Maltreatment Act, § 12-12-501 et seq., and enacting a new Child Maltreatment Act, § 12-18-101 et seq., becomes effective.” The contingency in Acts 2009, No. 758, § 29, was met by Acts 2009, No. 749.

Amendments. The 2009 amendment by No. 748 substituted “a minor” for “another person who is less than eighteen (18) years of age” in (a)(4)(A), (a)(5)(A), and (b)(2).

The 2009 amendment by No. 758 substituted “mandated reporter under § 12-18-402(b)” for “professional under § 12-12-507(b)” in (a)(4)(A)(ii).

The 2011 amendment inserted “principal, athletic coach, or counselor” in (a)(6).

The 2013 amendment rewrote the introductory language in (6), and inserted “or private” following “public” in (6)(A).

The 2017 amendment inserted “the” preceding “Department of Community Correction” in (a)(4)(A)(i); inserted (a)(4)(A)(ii); and redesignated the remaining subdivisions accordingly.

The 2019 amendment substituted “Division of Correction” for “Department of Correction” and “Division of Community Correction” for “Department of Community Correction” in (a)(4)(A)(i) and substituted “Division of Community Correction” for “Department of Community Correction” in (a)(4)(A)(ii).

Research References

ALR.

Sufficiency of Allegations or Evidence of Serious Bodily Injury to Support Charge of Aggravated Degree of Rape, Sodomy, or Other Sexual Abuse. 103 A.L.R.6th 507 (2015).

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Sexual Offenses, 26 U. Ark. Little Rock L. Rev. 372.

Case Notes

Constitutionality.

Defendant did not meet his burden of proving that this section was void for vagueness because he admitted to molesting the victim, his actions toward the victim fell within the conduct proscribed by this section and, under the plain meaning of the term, “temporary caretaker,” defendant was given sufficient warning under the language of the statute of the prohibited conduct, particularly because he was an adult in charge of the victim's care when he sexually assaulted her. Bowker v. State, 363 Ark. 345, 214 S.W.3d 243 (2005).

Subdivision (a)(6) of this section, as applied to a high school teacher who engaged in a consensual sexual relationship with an 18-year-old student, who was an adult under § 9-25-101(a), infringed on the teacher's fundamental right to privacy and was not the least restrictive method available for the promotion of the state's interest; therefore, it was unconstitutional. Paschal v. State, 2012 Ark. 127, 388 S.W.3d 429 (2012).

Applicability.

Trial court did not err during defendant's trial in refusing to instruct a jury on the lesser offense of sexual assault in the second degree, in violation of subdivisions (a)(3)(A)-(B) of this section, on one count of rape, in violation of § 5-14-103(a)(3)(A), because sexual assault was not established by proof of the same or less than all of the elements required to establish rape, as required by § 5-1-110(b) to be a lesser-included offense. Joyner v. State, 2009 Ark. 168, 303 S.W.3d 54, cert. denied, 558 U.S. 1047, 130 S. Ct. 736, 175 L. Ed. 2d 514 (2009).

Defendant was not entitled to a bill of particulars, pursuant to § 16-85-301(a); a bill of particulars as to the precise time offenses were committed was not necessary because time was not material to allegations of rape, under § 5-14-103, and sexual assault in the second degree, under this section. Wallis v. State, 2010 Ark. App. 238, 374 S.W.3d 737 (2010).

In a family doctor's trial on two counts of second-degree sexual abuse, violations of this section, there was sufficient evidence that defendant used forcible compulsion to perpetrate the crimes where in each victim's sexual assault, there was forcible compulsion in the form of physical force or the threat of physical injury separate from the touching required for sexual contact. Arendall v. State, 2010 Ark. App. 358, 377 S.W.3d 404 (2010), review denied, — Ark. —, — S.W.3d —, 2010 Ark. LEXIS 367 (June 24, 2010).

Trial court did not abuse its discretion in denying defendant's post-trial request for a sentence reduction pursuant to § 16-90-107(e) because defendant's 20-year sentence for second degree sexual assault, in violation of this section, fell within the statutory range. Brown v. State, 2010 Ark. 420, 378 S.W.3d 66 (2010).

In a case in which defendant was convicted of four counts of sexual assault of a minor, defendant fulfilled the role of temporary caretaker or person in a position of trust or authority under both § 5-14-124 and this section, as defendant was in a position to care for the victim while the victim was staying overnight in defendant's home. Nelson v. State, 2011 Ark. 429, 384 S.W.3d 534 (2011).

Age of Victim.

—Appellate Review.

Defendant preserved a sufficiency of the evidence argument for the lesser-included offense of sexual assault in the second degree when an argument was raised to challenge the state's case based on a failure to show forcible compulsion; the original charge was attempted rape. Davis v. State, 362 Ark. 34, 207 S.W.3d 474 (2005).

Where defendant was convicted of first-degree sexual abuse under § 5-14-108(a)(4) (repealed) for sexually assaulting a child under the age of 14, knowledge, or even a reasonable belief of the victim's age, was eliminated as a defense by § 5-14-102(b); accordingly, the state was not required to prove defendant's knowledge of the victim's age. Short v. State, 349 Ark. 492, 79 S.W.3d 313 (2002).

Defendant's conviction as an accomplice to one count of second-degree sexual assault was proper as there was no doubt that defendant was aware that two men who had resided with her raped and assaulted her daughter at various times when the girl was between eight or nine and 15 years of age, yet defendant concealed her knowledge of the acts and failed to protect her daughter. Hutcheson v. State, 92 Ark. App. 307, 213 S.W.3d 25 (2005).

Applicability.

Defendant was convicted under § 5-14-125 for second-degree sexual assault, which was not in effect at the time his crime was committed, after he was found guilty under a repealed statute for first-degree sexual assault, former § 5-14-108, which the appellate court found was prejudicial to him and a violation of due process because the statutes did not proscribe the same conduct. Cousins v. State, 82 Ark. App. 84, 112 S.W.3d 373 (2003).

Appellate Review.

Defendant's second-degree sexual assault conviction, pursuant to subdivision (a)(3) of this section, was proper because defendant's argument that the state failed to offer proof that defendant touched the victim for the purpose of obtaining sexual gratification was not raised below. Ross v. State, 2010 Ark. App. 129 (2010).

Credibility arguments relating to a conviction for second-degree sexual assault were not preserved for appellate review because appellant presented different arguments at the trial court level; appellant argued that the charge was a lesser-included offense of rape and that the element of sexual gratification was not proven. Arguments not raised at trial were not addressed for the first time on appeal, and appellant was not able to change the grounds for his directed verdict motion on appeal. Clayton v. State, 2012 Ark. App. 199 (2012), appeal dismissed, 2013 Ark. 453 (2013).

Defendant did not preserve a sufficiency of the evidence challenge because defendant's trial court argument was based on whether an element of rape was proved, but defendant was convicted of the lesser-included offense of second-degree sexual assault; and defendant failed to move for a directed verdict on second-degree sexual assault either by name or by a specific element of the offense. King v. State, 2018 Ark. App. 309 (2018).

Juvenile's challenge to the sufficiency of the evidence supporting the finding that he committed second-degree sexual assault was not preserved because in making his motion for dismissal, he did not advise the trial court of the element of the offense that the State failed to prove; in any event, the State sufficiently proved forcible compulsion where the victim testified that the juvenile shoved her against the wall and put one hand on her shoulder and one hand down her pants while she kept telling him to stop. P.J. v. State, 2019 Ark. App. 315, 578 S.W.3d 307 (2019).

Cross-Examination.

Because the circuit court erred by not conducting an in camera review of the alleged sexual assault victim's Department of Human Services file to determine if it contained information material to the defense concerning the victim's accusations against her biological father, which were later recanted, remand for further proceedings was necessary for the court to conduct an in camera review of the file. If the file contained information that probably would have changed the outcome of the trial, defendant was to receive a new trial unless the nondisclosure was harmless beyond a reasonable doubt. Taffner v. State, 2018 Ark. 99, 541 S.W.3d 430 (2018).

Directed Verdict.

Defendant was charged with second-degree sexual assault but convicted of the lesser-included offense of attempted second-degree sexual assault and his sufficiency argument was not preserved for review; defendant's directed-verdict motion, which the trial court denied, pertained to the completed offense of second-degree sexual assault, and not its attempt, and to the extent the “mens rea” argument was even preserved, the jury could assume that defendant's purposeful acts of touching the 16-year-old victim's vagina and attempting to lift her shirt, combined with the questions he was asking her, were attempts to have sexual contact with her for his sexual gratification. Perea v. State, 2019 Ark. App. 426, 586 S.W.3d 690 (2019).

Evidence.

Where victim testified that defendant stopped her as she was leaving church, persuaded her to return to the church to retrieve an item, and tried to rape her, there was sufficient evidence to support a conviction under this section; moreover, there was testimony from other church members that defendant was acting strangely prior to the attack. Davis v. State, 362 Ark. 34, 207 S.W.3d 474 (2005).

Trial court correctly denied defendant's motion for a directed verdict on the charges of rape and first-degree violation of a minor where the evidence clearly demonstrated that defendant occupied a position of trust or authority over the victim during the time that he lived with her and her mother; defendant had repeatedly disciplined the victim and she considered him to be her father. Martin v. State, 354 Ark. 289, 119 S.W.3d 504 (2003).

Evidence was sufficient to sustain a second-degree sexual assault conviction where defendant digitally penetrated the 15 year old victim while the victim was entrusted to defendant's care. Bowker v. State, 363 Ark. 345, 214 S.W.3d 243 (2005).

Evidence was sufficient to support defendant's conviction for second-degree sexual assault where the victim and a witness both testified that defendant pulled down the victim's pants and was touching her, despite defendant's contention that he was merely examining a bug bite when he removed the clothes. Hull v. State, 96 Ark. App. 280, 241 S.W.3d 302 (2006).

Trial court properly denied defendant's motion for a directed verdict during his trial for sexual assault of his daughter, in violation of subdivision (a)(3) of this section, because the testimony of the victim that defendant “would rub my behind,” and that he put his private part “in my behind,” was substantial evidence to support the guilty verdict. Brown v. State, 374 Ark. 341, 288 S.W.3d 226 (2008).

Where the child victim testified that defendant inappropriately touched her and sexually penetrated her, the evidence was sufficient to support his conviction for second-degree sexual assault under this section. Swaim v. State, 2009 Ark. App. 557 (2009).

Where defendant admitted that he inappropriately touched an eleven-year-old girl while she was sleeping, the jury could infer that his actions were motivated by a desire for sexual gratification. The evidence was sufficient to support his conviction for sexual assault in the second degree in violation of subdivision (a)(3) of this section; the trial court did not err by denying his motion for a directed verdict. Davis v. State, 2009 Ark. App. 753, 386 S.W.3d 647 (2009).

Victim's testimony alone supported appellant's conviction for rape and sexual assault; moreover, the victim's testimony illustrated that there were several different actions of sexual assault and rape—acts that could each be separated in time as involving distinct impulses. Bryant v. State, 2010 Ark. 7, 377 S.W.3d 152 (2010).

Evidence produced by the state at trial was sufficient for the jury to reasonably conclude that, by virtue of the living arrangement, appellant was placed in an apparent position of power or authority over the minor victim and that appellant was thus the victim's guardian for the purposes of subdivision (a)(4)(A)(iii) of this section and §§ 5-14-103(a)(4)(A)(i) and 5-14-101(3), thus the jury verdict was supported by substantial evidence. Pack v. State, 2010 Ark. App. 82 (2010).

To support a second-degree sexual assault conviction, pursuant to subdivision (a)(3) of this section, the state did not have to provide direct proof that the act was done for sexual gratification because it could be assumed that the desire for sexual gratification was a plausible reason for sexual contact, as defined by § 5-14-101(10). Ross v. State, 2010 Ark. App. 129 (2010).

In a case in which defendant appealed his conviction for sexual assault in the second degree, in violation of subdivision (a)(4)(A)(iii) of this section, he argued unsuccessfully that the trial court erred in denying his motion for a directed verdict. The victim's testimony alone was sufficient to support defendant's conviction, and the jury was not required to believe defendant's testimony that he had not touched the victim's breast. Chavez v. State, 2010 Ark. App. 161 (2010).

In a case in which defendant appealed his conviction for sexual assault in the second degree, in violation of subdivision (a)(4)(A)(iii) of this section, he complained that a transcript of his interview at the police department was obtained with the assistance of a translator who was not certified by the Administrative Office of the Courts and was admitted into evidence in violation of Ark. R. Evid. 1009. While it was true that the translation was not made by a qualified translator as set forth in Rule 1009, and defendant objected on that basis, he did not object to the admission of the transcript at trial; in fact, his attorney stipulated at trial that the transcript reflected the interview; furthermore, the victim's testimony alone is sufficient to support defendant's conviction. Chavez v. State, 2010 Ark. App. 161 (2010).

Conviction for sexual assault in the second degree for violating subdivision (a)(3) of this section was supported by sufficient evidence because it was at least plausible that defendant's act of touching the victim's vaginal area with his foot, after which he ordered her not to tell anyone and later wrote a letter of apology, was done for the purpose of sexual gratification. Elliott v. State, 2010 Ark. App. 185 (2010).

Despite the large amount of time between the events giving rise to a witness's testimony and defendant's trial for second degree sexual assault, in violation of this section, evidence about an alleged sexual assault occurring 34 years prior was relevant to defendant's character and as an aggravating circumstance under § 16-97-103. Brown v. State, 2010 Ark. 420, 378 S.W.3d 66 (2010).

Eight-year-old victim's testimony alone was sufficient evidence to support defendant's conviction for second degree sexual assault in violation of this section. The victim's parents and a police detective also told the jury that the victim had recounted the same information to them. To the extent there were inconsistencies in the victim's testimony, or that of other state witnesses, it was a matter of credibility and was for the jury to decide. Brown v. State, 2010 Ark. 420, 378 S.W.3d 66 (2010).

There was sufficient evidence for a jury to convict defendant of first-degree sexual abuse. The state proved sexual contact through the victim's testimony that defendant rubbed his penis on her vagina. Estrada v. State, 2011 Ark. 3, 376 S.W.3d 395 (2011).

Because an eight-year-old child victim's testimony was enough to support a conviction, there was sufficient evidence to support defendant's convictions for sexual indecency with a child and second-degree sexual assault under § 5-14-110(a)(2)(A) and subdivision (a)(3) of this section, respectively. Newton v. State, 2012 Ark. App. 91 (2012).

Evidence was sufficient to convict defendant of second-degree sexual assault under subdivision (a)(3) of this section because the child victim told a detective about a magic thumb game she played with defendant, pointed to the genitalia area of an anatomically correct doll when describing the magic thumb, and said that when it got big, she made it little again. King v. State, 2012 Ark. App. 253 (2012).

Revocation of probation was proper, because the appellate court was bound to defer to the trial court on issues of credibility, and the victim's testimony established each of the elements for committing second-degree sexual assault under subdivision (a)(1) of this section, when she indicated that the petitioner had her up against the wall and touched her buttocks and vagina. Boykins v. State, 2012 Ark. App. 263 (2012).

Substantial evidence existed to revoke defendant's suspended sentence for sale of cocaine based on a finding that he committed a new criminal offense under subdivision (a)(2)(A) of this section, because his sister-in-law testified defendant sexually assaulted her while she was asleep and a police officer testified his DNA matched the sample taken from the victim. Wilson v. State, 2012 Ark. App. 566 (2012).

Trial court's delinquency adjudications finding that a juvenile committed three acts of sexual assault in the second degree, in violation of subdivision (a)(1) of this section, were appropriate because the trial court found that the testimony of each of the three victims as to the juvenile's making sexual contact with them, as defined by § 5-14-101(10), by inappropriately touching the victims in separate incidents was credible, and because the uncorroborated testimony of each of the victims of a sexual offense constituted sufficient evidence to support a finding of guilt. D.D. v. State, 2012 Ark. App. 637 (2012).

Defendant's conviction for second-degree sexual assault was appropriate because the victim testified that defendant assaulted her and the jury chose to believe her testimony, which, standing alone, was substantial evidence to sustain the conviction. Castrellon v. State, 2013 Ark. App. 408, 428 S.W.3d 607 (2013).

In a second-degree sexual assault and attempted rape case, a trial court did not abuse its discretion by excluding evidence from the victim's former classmates because the classmates' testimony about what the victim did in public would not have been similar to the testimony that the victim gave detailing what defendant did to her. The allegations against defendant did not occur in public places; moreover, the evidence that the victim was the aggressor was not relevant since the victim could not have consented. Bean v. State, 2014 Ark. App. 107, 432 S.W.3d 87 (2014).

Evidence was sufficient to convict defendant of second-degree sexual assault because a victim’s testimony was substantial evidence to sustain the conviction; even if defendant was checking on the victim’s welfare, this did not explain why he touched her breast or put his hands in her pants when she fell asleep in his truck. Harris v. State, 2014 Ark. App. 264 (2014).

Evidence was sufficient to convict defendant of rape and sexual assault where both victims testified that defendant penetrated their vaginas with his penis; the credibility of the witnesses was for the jury to decide. Moreover, an officer's testimony established that defendant was between 17 and 20 years old over the course of time that he sexually abused one of the victims, so the jury could have reasonably concluded that at least two of the sexual assaults occurred after defendant turned 18. Thompson v. State, 2015 Ark. App. 275, 461 S.W.3d 368 (2015).

Evidence was sufficient to convict defendant of second-degree sexual assault because the victim testified that defendant jumped on top of her, used his body to pin her down on a couch, used his leg to try to pry her legs open, and pulled down her shirt and sucked on her breast; she testified that he grabbed her hand and pulled it to his sexual organ, which he had exposed; she said that she told defendant no and tried to fight him off but that she could not move; defendant admitted in his statement to the police that he was trying to have sex with the victim, that they kissed, and that he grabbed her breasts; and, when approached by police officers at his place of employment on the day of the incident, defendant fled. Europe v. State, 2015 Ark. App. 460, 468 S.W.3d 792 (2015).

Evidence was sufficient to sustain defendant's second-degree sexual assault conviction, where the victim's testimony established forcible compulsion by defendant and that she was asleep and could not have consented when the act began, thereby establishing physical helplessness. Robinson v. State, 2016 Ark. App. 550, 506 S.W.3d 881 (2016).

Evidence showing that defendant crept into the bedroom at night, put his hand underneath the covers, touched the sleeping victim's vagina, told her not to tell anyone when she awoke, and said, in his interview with police, that he had touched the victim's vagina, was sufficient to support defendant's conviction for second-degree sexual assault. Chawangkul v. State, 2016 Ark. App. 599, 509 S.W.3d 10 (2016).

Although defendant argued that it was unclear from the alleged victim's testimony as to where defendant had touched the victim, this argument lacked merit because the victim testified that the victim woke up in the middle of the night at defendant's home to defendant touching the victim in the victim's shorts and putting defendant's hand on the victim's “privates.” Upon further questioning, the victim stated that defendant's hands were on the victim's “genitals.” Bynum v. State, 2017 Ark. App. 41, 511 S.W.3d 860 (2017).

Although defendant argued that there was no testimony to show that defendant had been 18 years old or older at the time of the alleged offenses or that either of the alleged victims were not defendant's spouse, these arguments were without merit. The victims testified that they were friends with defendant's children, who were similar in age to their respective ages, and defendant's spouse testified that defendant had been married for over 20 years and that defendant was then 54 years of age. Bynum v. State, 2017 Ark. App. 41, 511 S.W.3d 860 (2017).

Evidence was sufficient to convict defendant of second-degree sexual assault as it could be assumed that defendant's sexual contact with the victim was for sexual gratification because he entered the victim's home and touched her breast and vagina while she was in the bathtub. Holland v. State, 2017 Ark. App. 49, 510 S.W.3d 311 (2017).

Substantial evidence supported a second-degree sexual assault conviction where defendant's statements on the video and testimony about his excitement when replaying the video while bragging about it led to the reasonable conclusion that his actions were taken in an effort to achieve sexual gratification. Sorum v. State, 2017 Ark. App. 384, 526 S.W.3d 50 (2017).

Trial court's refusal to order disclosure of the mental health records of an alleged second-degree sexual assault victim did not entitle defendant to relief, even though the prosecutor possessed the records and defendant plausibly showed the records contained impeachment or exculpatory evidence, because defendant did not show the records were material, as the records shed no light on whether defendant's admitted touching of the victim's vagina was done for sexual gratification. Vaughn v. State, 2020 Ark. App. 185, 598 S.W.3d 549 (2020).

—Admissibility.

Trial court did not err in admitting evidence under Ark. R. Evid. 404(b) that defendant had made sexual remarks to the victim where the remarks showed his sexual attraction to the victim, thereby illustrating his state of mind. Robinson v. State, 2016 Ark. App. 550, 506 S.W.3d 881 (2016).

Even though the trial court violated defendant's right to confrontation under the Sixth Amendment by allowing a substitute analyst to testify regarding the results of a DNA test performed by another analyst, the error was harmless beyond a reasonable doubt; the victim's vivid description of being raped repeatedly and painfully by defendant constituted sufficient evidence to sustain his convictions of rape and second-degree sexual assault. Alejandro-Alvarez v. State, 2019 Ark. App. 450, 587 S.W.3d 269 (2019).

Circuit court did not err in admitting a counselor's testimony about the six-year-old child's outburst at school that defendant had touched her inappropriately and the counselor's subsequent conversation with the child that prompted a call to the child-abuse hotline, as the testimony was offered as a basis for the counselor's actions; the circuit court gave a limiting instruction that the testimony not be taken for the truth of the matter asserted, and understanding the basis for the counselor's actions was important given defendant's claim of fabrication. Mondy v. State, 2019 Ark. App. 290, 577 S.W.3d 460 (2019).

While defendant's prior crime was temporally removed from the current charges by more than 17 years, the prior crime and current charges were very similar in character, as defendant was accused of sexually abusing girls who were approximately six years old by committing very similar sexual acts, and both times, he had a close family or domestic relationship with the girls and committed the acts at home; the circuit court did not abuse its discretion in finding the prior conviction admissible under Ark. R. Evid. 404(b). Mondy v. State, 2019 Ark. App. 290, 577 S.W.3d 460 (2019).

Propriety of the State's calling a witness for impeachment purposes after the witness told the prosecutor she did not remember the events, if error, was harmless as prejudice was not shown; defendant opened the door to questions about his prior conviction and testified at length about the issue, the State's questions to the witness were significantly less prejudicial than defendant's own testimony about the prior events, and the child victim testified at length about defendant's abuse, such that the evidence of his guilt was overwhelming. Mondy v. State, 2019 Ark. App. 290, 577 S.W.3d 460 (2019).

—Sufficiency.

Testimony by the minor victims, defendant's cousins, and defendant's admission during a police interrogation to the sexual assault and rape of one victim, constituted sufficient evidence to support defendant's convictions for rape and second-degree sexual assault. The victims both described the sexual acts using their own body-parts terminology, such as “middle spot” and “private part,” and explained to which body parts they were referring in terms of “penis” and “anus.” Garcia v. State, 2017 Ark. App. 457, 530 S.W.3d 862 (2017).

Evidence was sufficient to convict defendant, age 28, of two counts of rape and two counts of second-degree sexual assault committed against the 13-year-old victim because the victim testified that she was 13 years old, and she described in detail two episodes where defendant engaged in both sexual intercourse and sexual contact with her; the State was not required to prove forcible compulsion; and mistake of age was not a defense. Trotter v. State, 2018 Ark. App. 326, 551 S.W.3d 421 (2018).

Trial court did not err by denying defendant's directed-verdict motions because the victim's testimony, without more, was sufficient to sustain a conviction for second-degree sexual assault; the victim testified to several different ways the sexual contact had occurred, but they all involved sexual contact, and any discrepancies were to be resolved by the finder of fact. Wilson v. State, 2018 Ark. App. 371, 554 S.W.3d 279 (2018).

Circuit court properly denied defendant's motion for a directed verdict on the sexual assault charges where the child victim testified that defendant had inappropriately touched her while she was under his care, the court found her credible, an investigator's testimony explained why the victim's interview and testimony about the assault may not have aligned in every respect, and the court found the mother's former boyfriend credible in testifying about prior assaults. Gilton v. State, 2018 Ark. App. 486, 562 S.W.3d 257 (2018).

Substantial evidence supported defendant's conviction for second-degree sexual assault under subdivision (a)(3) of this section, where he acknowledged that he touched the 12-year-old victim's breast, the jury was not required to believe his stated intent, but was free to look at all the evidence, which included testimony that he continued to touch the victim's breast after she told him to stop, that he told her not to tell anyone what had happened, and that he initially minimized the act but confessed when confronted by the victim's mother. Barfield v. State, 2019 Ark. App. 501, 588 S.W.3d 412 (2019).

Defendant's motion for directed verdict was properly denied as the evidence was sufficient to convict defendant of, inter alia, five counts of second-degree sexual assault under subdivision (a)(4)(A)(iv) of this section because the child victim testified that defendant touched her breasts and between her legs, with his hands and his mouth, on multiple occasions over the course of six years; further, the circuit court did not abuse its discretion in allowing leading questions. Wingfield v. State, 2019 Ark. App. 111, 572 S.W.3d 434 (2019).

Evidence was sufficient to support defendant's conviction for sexual assault in the second degree because testimony revealed that the victim was in kindergarten at the time of the occurrences and the victim testified that defendant touched the victim through the victim's clothes on multiple occasions—sometimes in the presence of others—by placing the victim on defendant's lap and using a magazine to shield defendant's hand touching the victim's penis through the victim's clothes. Furthermore, an adult relative testified as to having seen the victim sitting on defendant's lap. Ralston v. State, 2019 Ark. App. 175, 573 S.W.3d 607 (2019).

Ineffective Assistance.

In postconviction proceedings, the circuit court did not err in granting appellee a new trial on the charge of first degree sexual abuse under former § 5-14-108 [now this section] because trial counsel had been ineffective in failing to inquire as to whether any witnesses could testify regarding appellee's whereabouts during the month in which the victim testified that the offense occurred. This, coupled with counsel's failure to object to the testimony that placed the incident outside the range in the information, prejudiced appellee. State v. Estrada, 2013 Ark. 89, 426 S.W.3d 405 (2013).

Trial court did not abuse its discretion in denying postconviction relief because trial counsel was not ineffective for failing to move for dismissal of the charge of second-degree sexual assault on double jeopardy grounds, as the State presented evidence of separate impulses comprising separate acts conforming with the definitions of rape and second-degree sexual assault. Sorum v. State, 2019 Ark. App. 354, 582 S.W.3d 18 (2019).

Information.

In a rape case, the State should not have been allowed to add the charge of second-degree sexual assault to an information at trial; defendant was unfairly surprised because he did not learn that the State intended to amend the information until after he made a motion to dismiss for failure to prove penetration. Defendant was prepared to defend against the essential element of penetration, and the amendment came after the State's witnesses were able to testify about acts that did not go to the elements of the rape charge. Martinez v. State, 2014 Ark. App. 182, 432 S.W.3d 689 (2014).

Jury Instructions.

Because (1) the term “temporary caretaker” in this section is not defined by statute, (2) the model criminal instruction did not include a definition of the term, and (3) the definition in the non-model instruction was a correct statement of law regarding the definition of the term, the circuit court did not err in giving the non-model instruction defining “temporary caretaker”. Rowland v. State, 2017 Ark. App. 415, 528 S.W.3d 283 (2017).

Circuit court did not err in denying defendant's request for an alternative sentencing instruction; the circuit court considered that defendant had now been convicted of three counts of sexual assault against very young children, and prejudice could not be shown, as the jury imposed a sentence more severe than the minimum sentencing option, indicating the jury would not have imposed an alternative sentence if provided that option. Mondy v. State, 2019 Ark. App. 290, 577 S.W.3d 460 (2019).

Lesser Included Offense.

In a criminal trial, the circuit court did not abuse its discretion in denying defendant's request to instruct the jury that second-degree sexual assault under subdivision (a)(3) of this section was a lesser offense included in rape of a person less than fourteen years of age, as defined in § 5-14-103(a)(3)(A), because the offense contained two elements not included in rape: defendant's age and marital status. Therefore, second-degree sexual assault was not a lesser offense included in rape. Webb v. State, 2012 Ark. 64 (2012).

Juvenile was properly adjudicated delinquent for committing second-degree assault and his due-process rights were not violated because the juvenile confirmed that he engaged in deviate sexual activity by penetrating the victim's anus without touching her, forcible compulsion was an element of both rape and second-degree sexual assault, and the juvenile could not claim surprise by the trial court's true finding as to the lesser-included offense where he was on notice of the greater offense. X.O.P. v. State, 2014 Ark. App. 424, 439 S.W.3d 711 (2014).

Circuit court did not abuse its discretion when it declined defendant's request to include a lesser-included-offense jury instruction for second-degree sexual assault; second-degree sexual assault is not a lesser-included offense of rape because it requires proof of two elements that rape does not: defendant's age (18 or over) and defendant's marital status (not married to the victim). Hartman v. State, 2015 Ark. 30, 454 S.W.3d 721 (2015).

Circuit court's mistake in failing to give a lesser-included instruction on second-degree sexual assault in a rape case did not constitute reversible error because there was no rational basis for instructing the jury on the lesser-included offense where a victim testified that defendant inserted his penis into her vagina against her will, and the DNA evidence established that defendant was the perpetrator. Burris v. State, 2015 Ark. App. 126 (2015).

Cited: Small v. State, 371 Ark. 244, 264 S.W.3d 512 (2007).

5-14-126. Sexual assault in the third degree.

  1. A person commits sexual assault in the third degree if the person:
    1. Engages in sexual intercourse or deviate sexual activity with another person who is not the actor's spouse, and the actor is:
      1. Employed with the Division of Correction, Division of Community Correction, Department of Human Services, or any city or county jail, the victim is in the custody of the Division of Correction, Division of Community Correction, Department of Human Services, or any city or county jail, and the actor is in a position of trust or authority over the victim and uses the position of trust or authority to engage in sexual intercourse or deviate sexual activity;
      2. Employed by or contracted with the Division of Community Correction, a local law enforcement agency, a court, or a local government and the actor is supervising the person while the person is on probation or parole or for any other court-ordered reason;
      3. Employed or contracted with or otherwise providing services, supplies, or supervision to an agency maintaining custody of inmates, detainees, or juveniles, the victim is in the custody of the Division of Correction, Division of Community Correction, Department of Human Services, or any city or county jail, and the actor is in a position of trust or authority over the victim and uses the position of trust or authority to engage in sexual intercourse or deviate sexual activity; or
      4. A mandated reporter under § 12-18-402(b) or a member of the clergy and is in a position of trust or authority over the victim and uses the position of trust or authority to engage in sexual intercourse or deviate sexual activity; or
      1. Being a minor, engages in sexual intercourse or deviate sexual activity with another person who is:
        1. Less than fourteen (14) years of age; and
        2. Not the person's spouse.
      2. It is an affirmative defense under this subdivision (a)(2) that the actor was not more than three (3) years older than the victim.
  2. It is no defense to a prosecution under this section that the victim consented to the conduct.
  3. Sexual assault in the third degree is a Class C felony.

History. Acts 2001, No. 1738, § 4; 2003, No. 1324, § 1; 2007, No. 363, § 1; 2009, No. 748, § 14; 2009, No. 758, § 4; 2017, No. 418, § 4; 2017, No. 660, § 1; 2019, No. 910, § 672.

A.C.R.C. Notes. Acts 2009, No. 758, § 29, provided: “Contingent Effectiveness. This act shall not become effective unless an act of the Eighty-Seventh General Assembly repealing the Arkansas Child Maltreatment Act, § 12-12-501 et seq., and enacting a new Child Maltreatment Act, § 12-18-101 et seq., becomes effective.” The contingency in Acts 2009, No. 758, § 29, was met by Acts 2009, No. 749.

Amendments. The 2009 amendment by No. 748 substituted “a minor” for “under eighteen (18) years of age” in the introductory language of (a)(2)(A).

The 2009 amendment by No. 758 substituted “mandated reporter under § 12-18-402(b)” for “professional under § 12-12-507(b)” in (a)(1)(C).

The 2017 amendment by No. 418 inserted present (a)(1)(B); redesignated the remaining subdivisions accordingly; and made stylistic changes.

The 2017 amendment by No. 660, in (a)(1)(A) and (a)(1)(B) [now (a)(1)(C)], deleted “and” preceding the first occurrence of “victim” and added “and the actor is in a position of trust or authority over the victim and uses the position of trust or authority to engage in sexual intercourse or deviate sexual activity”.

The 2019 amendment substituted “Division of Correction” for “Department of Correction” and “Division of Community Correction” for “Department of Community Correction” in (a)(1)(A) through (a)(1)(C).

Research References

ALR.

Sufficiency of Allegations or Evidence of Serious Bodily Injury to Support Charge of Aggravated Degree of Rape, Sodomy, or Other Sexual Abuse. 103 A.L.R.6th 507 (2015).

Case Notes

Constitutionality.

Defendant's due process and equal protection rights were not violated when he was convicted of violating subdivision (a)(1)(B) of this section as he was not prosecuted for consensual sexual acts with the two victims, rather, he was prosecuted for using his position of trust and authority over the victims to engage in those acts; because the clergy was held in such a high regard, there was a legitimate reason for the state to criminalize a clergyman's abuse of his trust and authority to procure sex. Talbert v. State, 367 Ark. 262, 239 S.W.3d 504 (2006).

Subdivision (a)(1)(B) of this section is not unconstitutionally vague as, after reading the statute's language, a person of ordinary intelligence would not believe that it was a crime, per se, for a member of the clergy to have a consensual relationship with someone; the statute makes clear that a clergyman must have misused his position of trust and authority to engage in a sexual relationship for a violation to occur. Talbert v. State, 367 Ark. 262, 239 S.W.3d 504 (2006).

Evidence.

Evidence was sufficient to support defendant's conviction for sexual assault in the third degree where testimony of the victims did not indicate a consensual relationship: (1) both victims testified that they looked up to defendant as a minister and trusted him; (2) one victim testified that she was afraid of what might happen to her if she did not comply with his sexual requests; (3) that victim also testified that she was not attracted to defendant; (4) and the second victim testified that she told defendant that, because he was a minister, sex was not right. Talbert v. State, 367 Ark. 262, 239 S.W.3d 504 (2006).

Lesser included offenses.

Trial court was not required to instruct a jury on the offense of carnal abuse in the third degree (former § 5-14-106) because it was not a lesser-included offense of rape; carnal abuse in the third degree contained elements not found in § 5-14-103(a), and carnal abuse in the third degree differed from rape in more ways that just the seriousness of harm inflicted upon a victim. Gaines v. State, 354 Ark. 89, 118 S.W.3d 102 (2003).

Statute of Limitations.

There was sufficient evidence that the sexual assault against one victim occurred in 2002 and, therefore, was within the three-year statute of limitations of § 5-1-109(b)(2) where the victim testified that defendant, a minister, assaulted her while she was working for the church during the summer of 2002. Talbert v. State, 367 Ark. 262, 239 S.W.3d 504 (2006).

5-14-127. Sexual assault in the fourth degree.

  1. A person commits sexual assault in the fourth degree if the person:
    1. Being twenty (20) years of age or older:
      1. Engages in sexual intercourse or deviate sexual activity with another person who is:
        1. Less than sixteen (16) years of age; and
        2. Not the person's spouse; or
      2. Engages in sexual contact with another person who is:
        1. Less than sixteen (16) years of age; and
        2. Not the person's spouse; or
    2. Engages in sexual contact with another person who is not the actor's spouse, and the actor is employed with the Division of Correction, Division of Community Correction, Department of Human Services, or any city or county jail, and the victim is in the custody of the Division of Correction, Division of Community Correction, Department of Human Services, or a city or county jail.
    1. Sexual assault in the fourth degree under subdivisions (a)(1)(A) and (a)(2) of this section is a Class D felony.
    2. Sexual assault in the fourth degree under subdivision (a)(1)(B) of this section is a Class A misdemeanor if the person engages only in sexual contact with another person as described in subdivision (a)(1)(B) of this section.

History. Acts 2001, No. 1738, § 5; 2003, No. 1325, § 1; 2009, No. 630, § 1; 2019, No. 910, § 673.

Amendments. The 2009 amendment, in (a), inserted (a)(2) and redesignated the remaining subdivisions; in (b), substituted “subdivisions (a)(1)(A) and (a)(2)” for “subdivision (a)(1)” in (b)(1), and substituted “(a)(1)(B)” for “(a)(2)” twice in (b)(2); and made related changes.

The 2019 amendment substituted “Division of Correction” for “Department of Correction” and “Division of Community Correction” for “Department of Community Correction” throughout (a)(2).

Research References

ALR.

Sufficiency of Allegations or Evidence of Serious Bodily Injury to Support Charge of Aggravated Degree of Rape, Sodomy, or Other Sexual Abuse. 103 A.L.R.6th 507 (2015).

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Sexual Offenses, 26 U. Ark. Little Rock L. Rev. 372.

Case Notes

Applicability.

Defendant convicted on a plea of nolo contendere to sexual misconduct was not entitled to an arrest of judgment even though § 5-14-107, the statute defining sexual misconduct as a criminal offense, had been repealed before he entered his plea of nolo contendere; the court could simply substitute the new offense of sexual assault in the fourth degree for the offense of sexual misconduct because the elements of the two were “basically the same.” Holt v. State, 85 Ark. App. 151, 147 S.W.3d 699 (2004).

Burden of Proof.

Appellant's sexual assault conviction under § 5-14-127(a)(3) was affirmed where his argument that he reasonably believed that the victim was older than 16 was an affirmative defense under § 5-14102(d)(1) and thus, the trial court properly concluded that he, rather than the State bore the burden of proof under§ 5-1-111(d)(1). Wright v. State, 98 Ark. App. 271, 254 S.W.3d 755 (2007).

Evidence.

There was sufficient evidence to support a conviction for sexual assault in the fourth degree arising out of sexual intercourse with child because she was under the age of sixteen, and defendant was at least 20 years old. White v. State, 370 Ark. 284, 259 S.W.3d 410 (2007).

Evidence was sufficient to convict defendant under 18 U.S.C.S. § 2422(b) of attempting to persuade a minor to engage in sexual activity for which defendant could have been charged with a criminal offense, which under subdivision (a)(1) of this section and § 5-14-101(1)(A) included oral sex with a person under age 16; evidence was offered that defendant discussed sexual activity with a 15-year-old victim, and there was sufficient evidence to establish that defendant knew that the victim was under 16 given defendant's behavior indicating a consciousness of guilt, the victim's testimony, and the transcript of an online chat between defendant and a detective posing as the victim. United States v. Langley, 549 F.3d 726 (8th Cir. 2008).

Substantial evidence supported defendant's fourth-degree sexual assault conviction where the evidence was that the victim's sixteenth birthday was in October 2010, and the victim testified that she had a consensual-sexual relationship consisting of ten or more sexual encounters with defendant that started when she was a high school freshman and continued through her sophomore year, which would have been from the fall of 2009 until the fall of 2010 and into the spring of 2011. Moreover, defendant admitted that the relationship started slightly before the victim's sixteenth birthday. Sellers v. State, 2013 Ark. App. 210 (2013).

Defendant's appeal of the revocation of his probation was wholly without merit because he still owed restitution, the victim's testimony established the elements for fourth-degree sexual assault, the trial court rulings provided no possible grounds for reversal, and counsel fully complied with the Supreme Court's Rules for withdrawal. Stockton v. State, 2014 Ark. App. 300 (2014).

In a fourth-degree sexual assault case, defendant abandoned the issue of the sufficiency of the victim's testimony because he did not raise the issue in the circuit court; however, even if the argument had been preserved for review, the appellate court would have affirmed defendant's conviction because defendant was 20 years of age or older, the victim was 14 years old, and the two were not married; the victim testified that defendant pushed her against the pantry door, touched her buttocks, and kissed her on the mouth; the victim's testimony could constitute substantial evidence to sustain a conviction for sexual assault; and defendant's assertion on appeal that the victim was lying was not a ground for reversal. Echoles v. State, 2017 Ark. App. 352 (2017).

Relationship with Other Laws.

Section 5-14-110 prohibits the solicitation of conduct that is already criminal under Arkansas law, and offers to engage in illegal transactions enjoy no First Amendment protection. Neely v. McDaniel, 677 F.3d 346 (8th Cir. 2012), rehearing denied, — F.3d —, 2012 U.S. App. LEXIS 12159 (8th Cir. Ark. June 14, 2012).

Severance.

Trial court was not required to sever a charge for exposure to the Human Immuno-Deficiency Virus (HIV) under Ark. R. Crim. P. 22.2 because the exposure to HIV was committed as part of a single scheme with a sexual assault in the fourth degree. It was discretionary whether or not to sever under Rule 22.2(b)(i). White v. State, 370 Ark. 284, 259 S.W.3d 410 (2007).

Cited: Pratt v. State, 359 Ark. 16, 194 S.W.3d 183 (2004).

5-14-128. Registered offender living near school, public park, youth center, daycare, or church or other place of worship prohibited.

  1. A sex offender who is required to register under the Sex Offender Registration Act of 1997, § 12-12-901 et seq., and who has been assessed as a:
    1. Level 3 or Level 4 offender may not knowingly reside within two thousand feet (2,000') of the property on which a public or private elementary or secondary school, public park, youth center, or daycare facility is located; or
    2. Level 4 offender may not knowingly reside within two thousand feet (2,000') of a church or other place of worship.
    1. It is not a violation of this section if the property on which the sex offender resides is owned and occupied by the sex offender and was purchased prior to the date on which the public or private elementary or secondary school, public park, youth center, daycare facility, or church or other place of worship was established.
    2. The exclusion in subdivision (b)(1) of this section does not apply to a sex offender who pleads guilty or nolo contendere to or is found guilty of another sex offense after the public or private elementary or secondary school, public park, youth center, daycare facility, or church or other place of worship is established.
      1. With respect to a public or private elementary or secondary school or a daycare facility, it is not a violation of this section if the sex offender resides on property he or she owns prior to July 16, 2003.
      2. With respect to a public park or youth center, it is not a violation of this section if the sex offender resides on property he or she owns prior to July 31, 2007.
      1. The exclusion in subdivision (c)(1)(A) of this section does not apply to a sex offender who pleads guilty or nolo contendere to or is found guilty of another sex offense after July 16, 2003.
      2. The exclusion in subdivision (c)(1)(B) of this section does not apply to a sex offender who pleads guilty or nolo contendere to or is found guilty of another sex offense on or after July 31, 2007.
    1. With respect to a church or other place of worship, it is not a violation of this section if the sex offender resides on property he or she owns prior to July 22, 2015.
  2. A violation of this section is a Class D felony.
    1. A person who is charged with violating this section shall be ordered as a condition of his or her release from custody not to return to the location where he or she was residing that was located within two thousand feet (2,000') of a public or private elementary or secondary school, public park, youth center, daycare facility, or church or other place of worship until the charge is adjudicated.
    2. The court having jurisdiction over the charge may order that the defendant be allowed to return to his or her residence before the adjudication of the charge if good cause is shown.
  3. As used in this section:
    1. “Church or other place of worship” means a physical location that has a primary purpose of facilitating the meeting of persons in order to practice a religion;
    2. “Public park” means any property owned or maintained by this state or a county, city, or town in this state for the recreational use of the public; and
    3. “Youth center” means any building, structure, or facility owned or operated by a not-for-profit organization or by this state or a county, city, or town in this state for use by minors to promote the health, safety, or general welfare of the minors.

History. Acts 2003, No. 330, § 3; 2007, No. 818, § 1; 2009, No. 1406, § 1; 2015, No. 376, § 1.

Amendments. The 2009 amendment inserted present (e) and redesignated (e) as (f).

The 2015 amendment added “or church or other place of worship” throughout; rewrote (a); added (c)(3); substituted “A violation of this section is” for “A sex offender who is required to register under the Sex Offender Registration Act of 1997, § 12-12-901 et seq., and who knowingly violates a provision of this section is guilty of” in (d); and inserted (f)(1) and redesignated the remaining subdivisions accordingly.

Research References

ALR.

Validity, Construction, and Application of Statutory and Municipal Enactments and Conditions of Release Prohibiting Sex Offenders from Parks. 40 A.L.R.6th 419.

Case Notes

Constitutionality.

Because this statutory plan calls for a particularized risk assessment of sex offenders, which increases the likelihood that the residency restriction is not excessive in relation to the rational purpose of minimizing the risk of sex crimes against minors, and the “rational connection” of the residency restriction is even closer to a nonpunitive purpose, this statute is not an unconstitutional ex post facto law. Weems v. Little Rock Police Dep't, 453 F.3d 1010 (8th Cir. 2006), cert. denied, 550 U.S. 917, 127 S. Ct. 2128, 167 L. Ed. 2d 862 (2007).

Employing the normal rule that terms are given their ordinary and usually accepted meaning and construing “reside” to mean to dwell permanently or continuously, this section does not infringe on a constitutional right to intrastate travel. Weems v. Little Rock Police Dep't, 453 F.3d 1010 (8th Cir. 2006), cert. denied, 550 U.S. 917, 127 S. Ct. 2128, 167 L. Ed. 2d 862 (2007).

Under the flexible Mathews factors, the procedural avenues afforded by the residency requirement in this section are constitutionally adequate and provide notice to offenders of the risk assessment process and a meaningful opportunity to be heard. Weems v. Little Rock Police Dep't, 453 F.3d 1010 (8th Cir. 2006), cert. denied, 550 U.S. 917, 127 S. Ct. 2128, 167 L. Ed. 2d 862 (2007).

This section, which prohibits registered high risk sex offenders from living within 2,000 feet of a school or daycare center, was rationally related to the state's legitimate interest in protecting children from the most dangerous sex offenders and did not contravene the doctrine of substantive due process or equal protection of the laws. Weems v. Little Rock Police Dep't, 453 F.3d 1010 (8th Cir. 2006), cert. denied, 550 U.S. 917, 127 S. Ct. 2128, 167 L. Ed. 2d 862 (2007).

Sex Offender Screening and Risk Assessment Committee's use of statements the sex offender made during the assessment process, under a grant of immunity, to assess him as a level four offender, did not violate his privilege against self-incrimination under Ark. Const., Art. 2, § 8. Despite subsection (a) of this section, the Supreme Court of Arkansas held that the assessment and ultimate classification of a sex offender pursuant to the Sex Offender Registration Act are not criminal in nature; and one's privilege against self-incrimination may only be violated where one's own statements are used against one in a proceeding criminal in nature. Parkman v. Sex Offender Screening & Risk Assessment Comm., 2009 Ark. 205, 307 S.W.3d 6 (2009).

Construction With Other Law.

Definition of “residency” for purposes of registration in § 12-12-903(10)(B) appears in a different chapter of the Arkansas Code than the residency restriction in subsection (a) of this section, and the definition does not by its terms apply to the criminal statute that makes it unlawful for a sex offender “to reside” within 2000 feet of a school or daycare facility. Weems v. Little Rock Police Dep't, 453 F.3d 1010 (8th Cir. 2006), cert. denied, 550 U.S. 917, 127 S. Ct. 2128, 167 L. Ed. 2d 862 (2007).

Sufficiency of Evidence.

Defendant's convictions for failure to comply with registration and reporting requirements applicable to sex offenders and for residing within 2000 feet of a daycare facility as a level 4 sex offender were proper where the evidence supported a finding that he resided in a particular trailer that was shown to be within 2000 feet of a daycare facility because: (1) there was evidence that the trailer's previous resident had moved out approximately two months earlier and that the utilities for the trailer had been reestablished in defendant's name; (2) men's clothing and toiletries were found in the trailer, as were prescription-medication bottles bearing defendant's name; (3) the owner of the trailer admitted that defendant had approached him three times about renting the trailer; (4) defendant's father admitted that defendant had intended to move to the trailer; and (5) defendant had a key to the trailer when arrested. Although defendant argued he was only in the trailer to do repair work, no evidence of repair work was observed in the trailer. Green v. State, 2013 Ark. App. 63 (2013).

5-14-129. Registered offender working with children prohibited.

  1. It is unlawful for a sex offender who is required to register under the Sex Offender Registration Act of 1997, § 12-12-901 et seq., and who has been assessed as a Level 3 or Level 4 offender to knowingly:
    1. Engage in an occupation or participate in a volunteer position that requires the sex offender to work or interact primarily and directly with a child under sixteen (16) years of age; or
    2. Accept work as a self-employed person, an independent contractor, or an employee or agent of a self-employed person or independent contractor that is to be performed at a privately owned daycare facility when the privately owned daycare facility has in its care a child.
  2. A violation of this section is a Class D felony.

History. Acts 2005, No. 1779, § 1; 2011, No. 1023, § 1; 2013, No. 1125, § 5.

Amendments. The 2011 amendment added (a)(2); and added “knowingly” at the end of the introductory language of (a).

The 2013 amendment substituted “privately owned” for “private” in (a)(2); and substituted “A violation of this section is a” for “A sex offender who is required to register under the Sex Offender Registration Act of 1997, § 12-12-901 et seq., and who knowingly violates this section if guilty of” in (b).

Case Notes

Interpretation.

Sex Offender Screening and Risk Assessment Committee's use of statements the sex offender made during the assessment process, under a grant of immunity, to assess him as a level four offender, did not violate his privilege against self-incrimination under Ark. Const., Art. 2, § 8. Despite subsection (a) of this section, the Supreme Court of Arkansas held that the assessment and ultimate classification of a sex offender pursuant to the Sex Offender Registration Act are not criminal in nature; and one's privilege against self-incrimination may only be violated where one's own statements are used against one in a proceeding criminal in nature. Parkman v. Sex Offender Screening & Risk Assessment Comm., 2009 Ark. 205, 307 S.W.3d 6 (2009).

Circuit court's finding that defendant failed to comply as a sex offender under subsection (a) of this section because defendant worked at a daycare was against the preponderance of the evidence, as evidence demonstrated that defendant's work at the daycare was carpentry work that was in no way work or interaction with children under 16. Newman v. State, 2011 Ark. 112, 380 S.W.3d 395 (2011) (decision under prior law).

5-14-130. Registered offender — Incorrect permanent physical address on identification cards or driver's license prohibited.

  1. It is unlawful for a person who is required to register under the Sex Offender Registration Act of 1997, § 12-12-901 et seq., or required to register as a sex offender in any other state to knowingly:
    1. Provide false information to obtain an identification card or a driver's license under Title 27 of this Arkansas Code that indicates an incorrect permanent physical address for his or her residence; or
    2. Possess an identification card or a driver's license issued under Title 27 of this Arkansas Code that indicates an incorrect permanent physical address for his or her residence.
  2. It is an affirmative defense to a violation of subdivision (a)(2) of this section if the sex offender has provided notice of a change of address as required by § 27-16-506.
    1. A violation of subdivision (a)(1) of this section is a Class D felony.
    2. A violation of subdivision (a)(2) of this section is a Class A misdemeanor.

History. Acts 2007, No. 392, § 1.

5-14-131. Registered offender living near victim or having contact with victim prohibited.

  1. As used in this section, “victim” means a victim of a sex offense for which a person is required to register as a sex offender under the Sex Offender Registration Act of 1997, § 12-12-901 et seq.
  2. It is unlawful for a person who is required to register under the Sex Offender Registration Act of 1997, § 12-12-901 et seq., and who has been assessed as a Level 3 or Level 4 offender to knowingly:
    1. Reside within two thousand feet (2,000') of the residence of his or her victim; or
    2. Have direct or indirect contact with his or her victim for the purpose of harassment under § 5-71-208.
    1. It is an affirmative defense to a prosecution for a violation of subdivision (b)(1) of this section if the property where the sex offender resides is owned and occupied by the sex offender and was purchased prior to the date on which his or her victim began residing within two thousand feet (2,000') of the residence of the sex offender.
    2. The affirmative defense in subdivision (c)(1) of this section is not available to a sex offender who pleads guilty or nolo contendere to or is found guilty of another sex offense involving his or her victim after his or her victim began residing within two thousand feet (2,000') of the residence of the sex offender.
    1. It is an affirmative defense to a prosecution for a violation of subdivision (b)(1) of this section if the sex offender resides on property he or she owned prior to March 21, 2007.
    2. The affirmative defense in subdivision (d)(1) of this section is not available to a sex offender who pleads guilty or nolo contendere to or is found guilty of another sex offense involving his or her victim after March 21, 2007.
  3. Upon conviction, a person who violates this section is guilty of a Class D felony.

History. Acts 2007, No. 394, § 1.

Case Notes

Interpretation.

Sex Offender Screening and Risk Assessment Committee's use of statements the sex offender made during the assessment process, under a grant of immunity, to assess him as a level four offender, did not violate his privilege against self-incrimination under Ark. Const., Art. 2, § 8. Despite subdivision (b)(1) of this section, the Supreme Court of Arkansas held that the assessment and ultimate classification of a sex offender pursuant to the Sex Offender Registration Act are not criminal in nature; and one's privilege against self-incrimination may only be violated where one's own statements are used against one in a proceeding criminal in nature. Parkman v. Sex Offender Screening & Risk Assessment Comm., 2009 Ark. 205, 307 S.W.3d 6 (2009).

5-14-132. Registered offender prohibited from entering upon school campus — Exception.

  1. As used in this section:
    1. “Campus” means the real property, a building, or any other improvement in this state owned, leased, rented, or controlled by or for the operation of a public school;
    2. “Private school” means a school offering instruction for a grade in kindergarten through grade twelve (K-12) in this state that is not a public school; and
    3. “Public school” means any school in this state that is:
      1. A public school operated by a public school district;
      2. A charter school established under the Public School Funding Act of 2003, § 6-20-2301 et seq.;
      3. A state-funded prekindergarten program operated by a public school or an education service cooperative;
      4. The Arkansas School for the Blind;
      5. The Arkansas School for the Deaf;
      6. The Arkansas School for Mathematics, Sciences, and the Arts;
      7. An educational facility of the Division of Youth Services or contracting with the Division of Youth Services; or
      8. An educational facility of the Division of Developmental Disabilities Services.
  2. It is unlawful for a sex offender who is required to register under the Sex Offender Registration Act of 1997, § 12-12-901 et seq., and who has been assessed as a Level 3 or Level 4 offender to knowingly enter upon the campus of a public school.
  3. It is not a violation of this section if the sex offender:
    1. Is under twenty-two (22) years of age and is a student enrolled in a kindergarten through grade twelve (K-12) program;
    2. Enters upon the campus for the purpose of attending a graduation ceremony or a baccalaureate ceremony;
    3. Enters upon the campus on a day that is not designated a student contact day by the public school's calendar or on a day in which no school-sponsored event is taking place upon the campus;
    4. Is the parent or guardian of a student enrolled in a public school and enters upon the campus where the student is enrolled for the purpose of:
      1. Delivering to the student medicine, food, or personal items if the medicine, food, or personal items are delivered directly to the public school's office; or
      2. Attending a scheduled parent-teacher conference if the sex offender is escorted to and from the scheduled parent-teacher conference by a designated public school official or employee;
    5. Has been assessed as a Level 3 offender and enters upon the campus for the purpose of attending a school-sponsored event for which an admission fee is charged or tickets are sold or distributed if the sex offender:
        1. Is the parent or guardian of, is related by blood or marriage within the second degree of consanguinity to, or is a great-grandparent of a student enrolled in the public school.
        2. The degree of consanguinity is computed under § 28-9-212; and
      1. Notifies the administration of the school in writing at least twenty-four (24) hours before the start of the school-sponsored event for which an admission fee is charged or tickets are sold or distributed that he or she will be attending the school-sponsored event for which an admission fee is charged or tickets are sold or distributed; or
    6. Has been committed to the Division of Youth Services and attends a school operated by the Division of Youth Services.
    1. A sex offender who is the parent or guardian of a student enrolled in a public school and wishes to enter upon the campus where the student is enrolled for any other purpose shall give reasonable notice to the public school principal or his or her designee.
      1. The public school principal or his or her designee may allow the parent or guardian sex offender to enter upon the campus so long as there is a designated public school official or employee available to escort and supervise the parent or guardian sex offender while he or she remains on campus.
      2. If a designated public school official or employee is not available at the time the parent or guardian sex offender wishes to enter upon the campus, the parent or guardian sex offender shall not enter upon the campus until he or she is notified that a designated public school official or employee is available.
  4. Upon conviction, any sex offender who violates this section is guilty of a Class D felony.
  5. It is unlawful for a sex offender who is required to register under the Sex Offender Registration Act of 1997, § 12-12-901 et seq., and who has been assessed as a Level 3 or Level 4 offender to knowingly enter upon the campus of a private school without:
    1. Notifying the private school; and
    2. Subsequently complying with any terms or conditions the private school requires before the sex offender is permitted to enter onto the campus.

History. Acts 2007, No. 992, § 1; 2009, No. 748, § 15; 2017, No. 267, § 1; 2017, No. 909, §§ 1, 2; 2019, No. 187, § 1.

Publisher's Notes. Acts 2017, No. 909, §§ 1, 2 specifically amended this section as amended by Acts 2017, No. 267.

Amendments. The 2009 amendment, in (c)(1), substituted “Less than twenty-two (22) years of age” for “a minor” and inserted “enrolled in a grade kindergarten through twelve (K-12) program”; and made changes throughout (c) and (d).

The 2017 amendment by No. 267 deleted “a school-sponsored event for which an admission fee is charged or tickets are sold distributed” preceding “a graduation” in (c)(2); and added (c)(5).

The 2017 amendment by No. 909 added the definition for “Private school” in (a); and added (f).

The 2019 amendment substituted “under” for “less than” and “kindergarten through grade” for “grade kindergarten through” in (c)(1); in (c)(5)(A)(i), substituted “second degree” for “fourth degree”, and inserted “or is a great-grandparent of”; and added (c)(6).

Case Notes

Interpretation.

Sex Offender Screening and Risk Assessment Committee's use of statements the sex offender made during the assessment process, under a grant of immunity, to assess him as a level four offender, did not violate his privilege against self-incrimination under Ark. Const., Art. 2, § 8. Despite subsection (b) of this section, the Supreme Court of Arkansas held that the assessment and ultimate classification of a sex offender pursuant to the Sex Offender Registration Act are not criminal in nature; and one's privilege against self-incrimination may only be violated where one's own statements are used against one in a proceeding criminal in nature. Parkman v. Sex Offender Screening & Risk Assessment Comm., 2009 Ark. 205, 307 S.W.3d 6 (2009).

5-14-133. Registered offender prohibited from entering a water park owned or operated by a local government.

  1. As used in this section, “water park” means a recreational facility that has among its features a swimming pool and is open to the general public.
  2. It is unlawful for a person who is required to register under the Sex Offender Registration Act of 1997, § 12-12-901 et seq., and who has been assessed as a Level 3 or Level 4 offender to knowingly enter a water park owned or operated by a local government.
  3. A violation of this section is a Class D felony.

History. Acts 2011, No. 816, § 1.

5-14-134. Registered offender prohibited from entering a swimming area or children's playground contained within an Arkansas State Park.

  1. As used in this section:
    1. “Arkansas State Park” means a state park classified or reclassified as an official state park under § 22-4-201(1) or § 22-4-202;
    2. “Children's playground” means a place with a specific design for children to be able to play there, whether indoor or outdoor; and
    3. “Swimming area” means a place with a specific design for people to swim, including without limitation a beach, a swimming pool, and a water park.
  2. It is unlawful for a person who is required to register under the Sex Offender Registration Act of 1997, § 12-12-901 et seq., and who has been assessed as a Level 3 or Level 4 offender to knowingly enter a swimming area or children's playground contained within an Arkansas State Park.
  3. A violation of this section is a Class D felony.

History. Acts 2013, No. 39, § 1.

5-14-135. Registered offender prohibited from participating in certain Halloween-related activities.

  1. As used in this section:
    1. “Costume” means an outfit worn to create the appearance or characteristic of a particular period, person, place, or thing; and
    2. “Halloween-related event” means an event involving children organized around and concerning the celebration of Halloween that occurs any time during the two (2) weeks before or after October 31 of each year, including without limitation:
      1. Trick-or-treating;
      2. A costume party; and
      3. An event involving the wearing of a costume or the handing out of candy to children.
  2. It is unlawful for a person who is required to register under the Sex Offender Registration Act of 1997, § 12-12-901 et seq., and who has been assessed as a Level 3 or Level 4 offender to knowingly:
    1. Distribute candy or any item to a minor as part of a Halloween-related event; or
    2. Wear a mask or other costume as part of a Halloween-related event if a minor is present at the Halloween-related event.
  3. It is not an offense under:
    1. Subdivision (b)(1) of this section if the person is a parent or guardian of a minor to whom the candy or item is distributed; or
    2. Subdivision (b)(2) of this section if the person is a parent or guardian of all minors present at the Halloween-related event.
  4. A violation of this section is a Class D felony.
  5. It is a defense to prosecution under this section that the person was:
    1. Wearing a costume for a legitimate work-related event or purpose during normal business hours; or
    2. Engaged in the commercial or retail sale of candy or other Halloween-related merchandise.

History. Acts 2019, No. 463, § 1.

5-14-136. Unlawful female genital mutilation of a minor.

  1. As used in this section, “female genital mutilation” means a procedure that involves the partial or total removal of the external female genitalia or any procedure harmful to the female genitalia, including without limitation:
    1. A clitoridectomy;
    2. The partial or total removal of the clitoris or the prepuce;
    3. The excision or the partial or total removal of the clitoris and the labia minora, with or without excision of the labia majora;
    4. The infibulation or the narrowing of the vaginal orifice with the creation of a covering seal by cutting and appositioning the labia minora or the labia majora, with or without excision of the clitoris;
    5. Pricking, piercing, incising, scraping, or cauterizing the genital area; or
    6. Any other action to purposely alter the structure or function of the female genitalia for a nonmedical reason.
  2. A person commits the offense of unlawful female genital mutilation of a minor if he or she:
    1. Knowingly performs female genital mutilation on a minor;
    2. Is a parent or guardian or has immediate custody or control of a minor and knowingly consents to, permits, or facilitates female genital mutilation of the minor; or
    3. Knowingly removes or causes, permits, or facilitates the removal of a minor from this state for the purpose of facilitating the female genital mutilation of the minor.
  3. Unlawful female genital mutilation of a minor is a Class C felony.
  4. It is not a defense under this section that:
    1. The unlawful conduct is required as a matter of religion, custom, ritual, or standard practice; or
    2. The minor's parent or guardian consented to the female genital mutilation.
  5. It is not a violation of this section if the acts or conduct that otherwise would be considered female genital mutilation occurred in the furtherance of a surgical or other lawful medical procedure, performed by a licensed medical professional, and:
    1. Was necessary to preserve or protect the physical health of the minor upon whom the surgical or other lawful medical procedure was performed; or
    2. Was part of a sex reassignment procedure as requested by the minor who was the patient in the sex reassignment procedure.
  6. The statute of limitation for an offense under this section does not begin to run until the victim of the offense reaches eighteen (18) years of age or when the violation of this section is first reported to a law enforcement agency, whichever occurs first.

History. Acts 2019, No. 556, § 1.

5-14-137. Registered offender prohibited from recording person under 14 years of age — Unlawful use of recording online.

  1. As used in this section, “record” means to photograph, make, capture, generate, or save a print, negative, slide, motion picture, computer data file, videotape, or other mechanically, electronically, or chemically reproduced visual image or material.
  2. It is unlawful for a person who is required to register under the Sex Offender Registration Act of 1997, § 12-12-901 et seq., and who has been assessed as a Level 3 or Level 4 offender to knowingly:
    1. Record a person under fourteen (14) years of age and post the recording of the person on an online social media platform or other internet website that allows the using or posting of a recording in any form after the person has previously been warned of his or her possible criminal exposure by a judge at the person's sentencing for the offense for which the person is required to register as a sex offender, or by his or her parole or probation officer that recording a person under fourteen (14) years of age is a violation of his or her terms and conditions of his or her probation or parole; or
    2. Record a person under fourteen (14) years of age and post the recording of the person on an online social media platform or other internet website that allows the using or posting of a recording in any form in a manner that would suggest to a reasonable person that the person recording and posting the recording was doing so to unlawfully incite the prurient interest of himself, herself, or another person.
  3. A violation of this section is a Class D felony.
  4. It is a defense to prosecution under this section that:
    1. The person received permission from the parent or guardian of the person under fourteen (14) years of age to record the person under fourteen (14) years of age or to use or post a recording of the person under fourteen (14) years of age on an online social media platform or other internet website that allows the using or posting of a recording;
    2. The person who recorded or whose recording was used or posted on an online social media platform or other internet website that allows the using or posting of a recording was the parent or guardian of the person under fourteen (14) years of age;
    3. The person under fourteen (14) years of age who was recorded was not the subject of the recording or was in the background of the recording;
    4. A reasonable person would believe the appearance of the person under fourteen (14) years of age was ancillary to the main subject of the recording; or
    5. The recording of the person under fourteen (14) years of age was used or posted by a news organization.

History. Acts 2019, No. 621, § 2.

Subchapter 2 — Medical Records of Persons Charged with Sex Crimes

5-14-201. Definitions.

As used in this subchapter:

  1. “Relevant medical record” means a medical record of a person charged with having committed a sex crime that contains information that may reveal a health risk to the victim; and
  2. “Sex crime” means any offense described in § 5-14-101 et seq. or § 5-70-101 et seq.

History. Acts 2001, No. 1709, § 1.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Practice, Procedure, and Courts, 24 U. Ark. Little Rock L. Rev. 523.

5-14-202. Access by prosecutors to medical records of persons charged with sex crimes — Victim notification of health risk.

    1. Through a warrant issued by a judicial officer under Rule 13 of the Arkansas Rules of Criminal Procedure, a prosecuting attorney of this state is entitled access to a relevant medical record of a person charged with having committed a sex crime against another person, which act could have exposed the victim to a disease carried by the alleged offender.
      1. An application by a prosecuting attorney for a relevant medical record shall describe with particularity the person whose relevant medical record is to be obtained and shall be supported by one (1) or more affidavits or recorded testimony before a judicial officer particularly setting forth the facts and circumstances tending to show that the person may present a danger to the health of a victim of a sex crime.
      2. If the judicial officer finds that the application meets the requirements of subdivision (a)(2)(A) of this section and that, on the basis of the proceeding before the judicial officer, there is reasonable cause to believe that the relevant medical record should be disclosed, the judicial officer shall issue a warrant directing disclosure of the medical record to the prosecuting attorney.
  1. Upon service of a warrant, a person having custody of a relevant medical record shall grant access to the prosecuting attorney and is not subject to any liability for granting the access.
    1. If a prosecuting attorney after reviewing a medical record determines that a victim is subject to a health risk as a result of a sex crime, the prosecuting attorney may convey that health risk information to the victim, and the prosecuting attorney is not subject to any liability for disclosing that health risk information to the victim.
      1. The prosecuting attorney may disclose the health risk information to the victim only.
      2. However, if the victim is a minor or is mentally incompetent, then the prosecuting attorney may disclose the health risk information to the victim's parent or legal guardian only.
  2. The prosecuting attorney is not subject to any liability to the victim for failing to obtain a medical record or failing to disclose health risk information to the victim.
  3. This subchapter does not repeal or supersede any rule of evidence or rule of criminal procedure that would allow the admissibility of a medical record as evidence in a criminal proceeding.

History. Acts 2001, No. 1709, § 2; 2011, No. 1186, § 1; 2013, No. 1125, § 6.

Amendments. The 2011 amendment inserted former (d) and redesignated the remaining subsections accordingly.

The 2013 amendment deleted former (d).

5-14-120. [Repealed.]

Chapter 15 Slander

5-15-101 — 5-15-109. [Repealed.]

Publisher's Notes. This chapter was repealed by Acts 2005, No. 1994, § 512. The chapter was derived from the following sources:

5-15-101. Acts 1869 (Adj. Sess.), No. 37, § 4, p. 88; C. & M. Dig., § 2401; Pope's Dig., § 3026; Acts 1975, No. 928, § 12; A.S.A. 1947, § 41-3455.

5-15-102. Acts 1869 (Adj. Sess.), No. 37, § 1, p. 88; C. & M. Dig., § 2394; Pope's Dig., § 3019; A.S.A. 1947, § 41-3457.

5-15-103. Acts 1869 (Adj. Sess.), No. 37, § 2, p. 88; C. & M. Dig., § 2395; Pope's Dig., § 3020; A.S.A. 1947, § 41-3458.

5-15-104. Rev. Stat., ch. 44, div. 8, art. 2, §§ 4-7; Acts 1868, No. 59, § 11; p. 214; C. & M. Dig., § 2393; Pope's Dig., § 3018; Acts 1975, No. 928, § 11; A.S.A. 1947, § 41-3454.

5-15-105. Acts 1869 (Adj. Sess.), No. 37, § 3, p. 88; C. & M. Dig., § 2396; Pope's Dig., § 3021; A.S.A. 1947, § 41-3459.

5-15-106. Acts 1869 (Adj. Sess.), No. 37, § 6, p. 88; C. & M. Dig., § 2399; Pope's Dig., § 3024; A.S.A. 1947, § 41-3461.

5-15-107. Acts 1869 (Adj. Sess.), No. 37, § 5, p. 88; C. & M. Dig., § 2397; Pope's Dig., § 3022; A.S.A. 1947, § 41-3460.

5-15-108. Acts 1869 (Adj. Sess.), No. 37, § 7, p. 88; C. & M. Dig., § 2400; Pope's Dig., § 3025; A.S.A. 1947, § 41-3462.

5-15-109. Acts 1869 (Adj. Sess.), No. 37, § 4, p. 88; C. & M. Dig., § 2398; Pope's Dig., § 3023; A.S.A. 1947, § 41-3456.

Chapter 16 Voyeurism Offenses

5-16-101. Crime of video voyeurism.

  1. It is unlawful for a person to use a camera, videotape, photo-optical, photoelectric, or other image recording device for the purpose of secretly observing, viewing, photographing, filming, or videotaping another person who is present in a residence, place of business, school, or other structure, or a room or particular location within that structure, if the other person:
    1. Is in a private area out of public view;
    2. Has a reasonable expectation of privacy; and
    3. Has not consented to the observation.
  2. It is unlawful for a person to knowingly use an unmanned vehicle or aircraft, a camcorder, a motion picture camera, a photographic camera of any type, or other equipment that is concealed, operated in a manner to escape detection, or disguised to secretly or surreptitiously videotape, film, photograph, record, or view by electronic means another person:
    1. For the purpose of viewing any portion of the other person's body and for which the other person has a reasonable expectation of privacy;
    2. Without the knowledge or consent of the other person; and
    3. Under circumstances in which the other person has a reasonable expectation of privacy.
      1. A person who violates subsection (a) of this section for a first or second offense upon conviction is guilty of a Class D felony.
      2. A person who violates subsection (a) of this section for a third or subsequent offense upon conviction is guilty of a Class C felony.
      1. A person who violates subsection (b) of this section upon conviction is guilty of a Class B misdemeanor.
      2. However, a person who violates subsection (b) of this section upon conviction is guilty of a Class A misdemeanor if the person:
        1. Distributed or transmitted the video recording, film, or photo to another person;
        2. Posted the video recording, film, or photo in a format accessible by another person via the internet; or
        3. Has previously been convicted of a violation of this section or § 5-16-102.
  3. This section does not apply to:
    1. Video recording or monitoring conducted under a court order from a court of competent jurisdiction;
    2. Security monitoring operated by or at the direction of an occupant of a residence;
    3. Security monitoring operated by or at the direction of the owner or administrator of a place of business, school, or other structure;
    4. Security monitoring operated in a motor vehicle used for public transit;
    5. Security monitoring and observation associated with a correctional facility, regardless of the location of the monitoring equipment;
    6. Video recording or monitoring conducted by a law enforcement officer within the official scope of his or her duty; or
    7. Videotaping under § 12-18-615(b).

History. Acts 1999, No. 757, § 1; 2001, No. 532, § 1; 2007, No. 187, § 1; 2009, No. 330, § 1; 2009, No. 758, § 5; 2015, No. 293, § 1; 2019, No. 461, § 1.

A.C.R.C. Notes. Acts 2009, No. 758, § 29, provided: “Contingent Effectiveness. This act shall not become effective unless an act of the Eighty-Seventh General Assembly repealing the Arkansas Child Maltreatment Act, § 12-12-501 et seq., and enacting a new Child Maltreatment Act, § 12-18-101 et seq., becomes effective.” The contingency in Acts 2009, No. 758, § 29, was met by Acts 2009, No. 749.

Amendments. The 2009 amendment by No. 330, in (c)(2), inserted (c)(2)(B) and redesignated the remaining text accordingly.

The 2009 amendment by No. 758 made a minor stylistic change in (d)(1), and substituted “under § 12-18-615(b)” for “pursuant to § 12-12-508(b)” in (d)(7).

The 2015 amendment inserted “an unmanned vehicle or aircraft” and “flown in a manner to escape detection” in (b).

The 2019 amendment rewrote the introductory language of (a); in the introductory language of (b), inserted “for a person”, substituted “operated” for “flown”, and substituted “another person” for “a person” at the end; rewrote (b)(1) through (b)(3); rewrote (c); and substituted “This section does not apply to” for “The provisions of this section do not apply to any of the following” in the introductory language of (d).

Research References

ALR.

Criminal prosecution of video or photographic voyeurism. 120 A.L.R.5th 337.

U. Ark. Little Rock L. Rev.

Lindsey P. Gustafson, Arkansas Airspace Ownership and the Challenge of Drones, 39 U. Ark. Little Rock L. Rev. 245 (2017).

Case Notes

Evidence Sufficient.

Evidence was sufficient to support the video voyeurism conviction where the victims, defendant's adopted teenage daughters, had not consented to defendant's actions and clearly had a reasonable expectation that defendant would not view, film, or photograph them behind their closed bedroom and bathroom doors in the manner he did. Devries v. State, 2019 Ark. App. 478, 588 S.W.3d 139 (2019).

5-16-102. Voyeurism.

  1. As used in this section:
    1. “Nude or partially nude” means a person who has less than a fully opaque covering over the genitals, pubic area, buttocks, or breast of a female;
    2. “Private place” means a place where a person may reasonably expect to be safe from being observed without his or her knowledge and consent; and
    3. “Public accommodation” means a business, accommodation, refreshment, entertainment, recreation, or transportation facility where a good, service, facility, privilege, advantage, or accommodation is offered, sold, or otherwise made available to the public.
  2. A person commits the offense of voyeurism if for the purpose of sexual arousal or gratification, he or she knowingly:
    1. Without the consent of each person who is present in the private place, personally or through the use of an unmanned vehicle or aircraft, looks into a private place that is, or is part of, a public accommodation and in which a person may reasonably be expected to be nude or partially nude; or
    2. Enters personally or through the use of an unmanned vehicle or aircraft another person's private property without the other person's consent and looks into any person's dwelling unit if:
      1. The person looks into the dwelling with the purpose to intrude upon or interfere with a person's privacy;
      2. The person looks into a part of the dwelling in which a person is present;
      3. The person present has a reasonable expectation of privacy in that part of the dwelling; and
      4. The person present does not consent to the person's looking into that part of the dwelling.
  3. A person who violates this section upon conviction is guilty of a:
    1. Class D felony if:
      1. A victim is under seventeen (17) years of age and the person who commits the offense holds a position of trust or authority over the victim; or
      2. The person has previously been convicted of an offense under this section or § 5-16-101; or
    2. Class A misdemeanor if otherwise committed.

History. Acts 2005, No. 1642, § 1; 2007, No. 187, § 2; 2015, No. 293, § 2; 2019, No. 461, § 2.

Amendments. The 2015 amendment inserted “personally or through the use of an unmanned vehicle or aircraft” in (b)(1) and (2); and substituted “purpose” for “intent” in (b)(2)(A).

The 2019 amendment deleted “all of the following apply” following “if” at the end of the introductory language of (b)(2); substituted “a person” for “an individual” in (b)(2)(B); substituted “person” for “individual” in (b)(2)(C) and (D); rewrote (c); and made a stylistic change.

RESEARCH REFERENCES

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2005 Arkansas General Assembly, Criminal Law, 28 U. Ark. Little Rock L. Rev. 335.

Lindsey P. Gustafson, Arkansas Airspace Ownership and the Challenge of Drones, 39 U. Ark. Little Rock L. Rev. 245 (2017).

Chapter 17 Death Threats

5-17-101. Communicating a death threat concerning a school employee or student.

  1. A person commits the offense of communicating a death threat concerning a school employee or student if:
    1. The person communicates to any other person a threat to cause the death of a school employee or student;
    2. The threat involves the use of a firearm or other deadly weapon;
    3. A reasonable person would believe the person making the threat intends to carry out the threat;
    4. The person making the threat purposely engaged in conduct that constitutes a substantial step in a course of conduct intended to culminate in the commission of the threatened act; and
    5. There is a close temporal relationship between the threatened act and the substantial step.
  2. Conduct is not a substantial step under this section unless the conduct is strongly corroborative of the person's criminal purpose.
  3. Communicating a death threat concerning a school employee or student is a Class D felony.
  4. As used in this section, “school” means any:
    1. Elementary school, junior high school, or high school;
    2. Technical institute or post-secondary vocational-technical school; or
    3. Two-year or four-year college or university.

History. Acts 2001, No. 1046, §§ 1, 2.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Chapter 18 Human Trafficking Act of 2013

A.C.R.C. Notes. Acts 2013, Nos. 132 and 133, § 1, provided: “Title. This act shall be cited as the ‘Arkansas Human Trafficking Act of 2013’.”

Research References

U. Ark. Little Rock L. Rev.

Mary Ward, Note: Arkansas’s Human Trafficking Laws: Steps in the Right Direction or a False Sense of Accomplishment?, 37 U. Ark. Little Rock L. Rev. 133 (2014).

5-18-101. Title.

This chapter shall be known as and may be cited as the “Human Trafficking Act of 2013”.

History. Acts 2013, No. 132, § 3; 2013, No. 133, § 3.

Research References

ALR.

Validity, Construction, and Application of State Statutes Proscribing Human Trafficking. 101 A.L.R.6th 417 (2015).

5-18-102. Definitions.

As used in this chapter:

  1. “Commercial sexual activity” means a sexual act or sexually explicit performance for which anything of value is given, promised, or received, directly or indirectly, by a person;
  2. “Debt bondage” means the status or condition of a debtor arising from a pledge by the debtor of his or her personal services or of the personal services of a person under his or her control as a security for debt, if:
    1. The value of the debtor's personal services or of the personal services of a person under his or her control as reasonably assessed is not applied toward the liquidation of the debt;
    2. The length and nature of the debtor's personal services or of the personal services of a person under his or her control are not respectively limited and defined; or
    3. The principal amount of the debt does not reasonably reflect the value of the items or services for which the debt was incurred;
  3. “Extortion” means the obtaining of property, labor, a service, credit, a commercial sexual activity, or a sexually explicit performance from another person or of an official act of a public officer through a wrongful use of force or fear or under color of official right;
  4. “Financial harm” means extortion of credit, criminal violation of the usury laws, or employment contracts that violate the statutes of frauds, § 4-59-101;
  5. “Involuntary servitude” means the inducement or compulsion of a person to engage in labor, services, or commercial sexual activity by means of:
    1. A scheme, plan, or pattern of behavior with a purpose to cause a person to believe that if he or she does not engage in labor, services, or commercial sexual activity, he or she or another person will suffer serious physical injury or physical restraint;
    2. Abuse or threatened abuse of the legal process;
    3. The causing of or the threat to cause serious harm to a person;
    4. Physically restraining or threatening to physically restrain another person;
    5. The kidnapping of or threat to kidnap a person;
    6. The taking of another person's personal property or real property;
    7. The knowing destruction, concealment, removal, confiscation, or possession of an actual or purported passport, other immigration document, or other actual or purported government identification document of another person;
    8. Extortion or blackmail;
    9. Deception or fraud;
    10. Coercion, duress, or menace;
    11. Debt bondage;
    12. Peonage; or
    13. The facilitation or control of a victim's access to an addictive controlled substance;
  6. “Labor” means work of economic or financial value;
  7. “Menace” means a possible danger or threat;
  8. “Minor” means a person less than eighteen (18) years of age;
  9. “Organization” means the same as defined in § 5-2-501;
  10. “Peonage” means holding a person against his or her will to pay off a debt;
  11. “Serious harm” means any harm, whether physical or nonphysical, including without limitation psychological, financial, or reputational harm, that is sufficiently serious, under all the surrounding circumstances, to compel a reasonable person of the same background and in the same circumstances as the victim to perform or to continue performing labor or service, a commercial sex act, or a sexually explicit performance in order to avoid incurring that harm;
  12. “Service” means an act committed at the behest of, under the supervision of, or for the benefit of another person;
    1. “Sex act” means any touching of the sexual or other intimate parts of another person for the purpose of gratifying the sexual desire of a person.
    2. “Sex act” includes without limitation the touching of the person as well as touching by the person, whether directly or through clothing;
    1. “Sexually explicit performance” means an act or show, whether public or private, live, photographed, recorded, or videotaped with a purpose to:
      1. Either:
        1. Appeal to the prurient interest; or
        2. Depict, in a patently offensive way, a sex act; and
      2. Do so in a way that lacks literary, artistic, political, or scientific value.
    2. “Sexually explicit performance” includes without limitation any performance that depicts a sex act by a minor or that would create criminal liability under § 5-27-303 or § 5-27-304; and
  13. “Victim of human trafficking” means a person who has been subjected to trafficking of persons, § 5-18-103.

History. Acts 2013, No. 132, § 3; 2013, No. 133, § 3.

Research References

ALR.

Validity, Construction, and Application of State Statutes Proscribing Human Trafficking. 101 A.L.R.6th 417 (2015).

Case Notes

Commercial Sexual Activity.

Substantial evidence supported the jury's verdict that defendant was guilty of human trafficking of a minor for commercial sexual activity under § 5-18-103(a)(4) where the victim and her friend testified that defendant knowingly provided the victim to a man in exchange for methamphetamine, and that testimony was not so inherently improbable, physically impossible, or so clearly unbelievable that reasonable minds could not have differed about it. Lee v. State, 2019 Ark. App. 184, 574 S.W.3d 211 (2019).

5-18-103. Trafficking of persons.

  1. A person commits the offense of trafficking of persons if he or she knowingly:
    1. Recruits, harbors, transports, obtains, entices, solicits, isolates, provides, or maintains a person knowing that the person will be subjected to involuntary servitude;
    2. Benefits financially or benefits by receiving anything of value from participation in a venture under subdivision (a)(1) of this section;
    3. Subjects a person to involuntary servitude;
    4. Recruits, entices, solicits, isolates, harbors, transports, provides, maintains, or obtains a minor for commercial sexual activity;
    5. Sells or offers to sell travel services that he or she knows include an activity prohibited under subdivisions (a)(1)-(4) of this section;
    6. Recruits, entices, solicits, isolates, harbors, transports, provides, maintains, or obtains a pregnant woman for the purpose of causing the pregnant woman by the use of or threatened use of physical force to place the baby who is not yet born for adoption; or
    7. Benefits financially or benefits by receiving anything of value from participating in an act described under subdivision (a)(6) of this section.
  2. It is not a defense to prosecution under subdivision (a)(4) of this section that the actor:
    1. Did not have knowledge of a victim's age; or
    2. Mistakenly believed a victim was not a minor.
    1. Trafficking of persons is a Class A felony.
    2. Trafficking of persons is a Class Y felony if a victim was a minor at the time of the offense.
  3. In addition to any other sentence authorized by this section, a person who violates this section by offering to pay, agreeing to pay, or paying a fee to engage in sexual activity upon conviction shall be ordered to pay a fine of two hundred fifty dollars ($250) to be deposited into the Safe Harbor Fund for Sexually Exploited Children.

History. Acts 2013, No. 132, § 3; 2013, No. 133, § 3; 2013, No. 1257, § 4; 2015, No. 1080, § 1; 2019, No. 1022, § 1.

A.C.R.C. Notes. Acts 2013, No. 1257, § 1, provided: Legislative findings.

“The General Assembly finds that:

“(1) The criminal justice system is not the appropriate place for sexually exploited children because it serves to retraumatize them and to increase their feelings of low self-esteem;

“(2) Both federal and international law recognize that sexually exploited children are the victims of crime and should be treated as such;

“(3) Sexually exploited children should, when possible, be diverted into services that address the needs of these children outside of the justice system; and

“(4) Sexually exploited children deserve the protection of child welfare services, including diversion, crisis intervention, counseling, and emergency housing services.”

Acts 2013, No. 1257, § 2, provided: Legislative intent.

“(1) The intent of this act is to protect a child from further victimization after the child is discovered to be a sexually exploited child by ensuring that a child protective response is in place in the state.

“(2) This is to be accomplished by presuming that any child engaged in prostitution or solicitation is a victim of sex trafficking and providing these children with the appropriate care and services when possible.

“(3) In determining the need for and capacity of services that may be provided, the Department of Human Services shall recognize that sexually exploited children have separate and distinct service needs according to gender, and every effort should be made to ensure that these children are not prosecuted or treated as juvenile delinquents, but instead are given the appropriate social services.”

Amendments. The 2015 amendment added (a)(5).

The 2019 amendment substituted “include” for “includes” in (a)(5); and added (a)(6) and (a)(7).

Research References

ALR.

Validity, Construction, and Application of State Statutes Proscribing Human Trafficking. 101 A.L.R.6th 417 (2015).

Case Notes

Evidence Sufficient.

Substantial evidence supported the jury's verdict that defendant was guilty of human trafficking of a minor for commercial sexual activity under subdivision (a)(4) of this section where the victim and her friend testified that defendant knowingly provided the victim to a man in exchange for methamphetamine, and that testimony was not so inherently improbable, physically impossible, or so clearly unbelievable that reasonable minds could not have differed about it. Lee v. State, 2019 Ark. App. 184, 574 S.W.3d 211 (2019).

5-18-104. Patronizing a victim of human trafficking.

  1. A person commits the offense of patronizing a victim of human trafficking if he or she knowingly engages in commercial sexual activity with another person knowing that the other person is a victim of human trafficking.
    1. Patronizing a victim of human trafficking is a Class B felony.
    2. Patronizing a victim of human trafficking is a Class A felony if the victim was a minor at the time of the offense.

History. Acts 2013, No. 132, § 3; 2013, No. 133, § 3.

Research References

ALR.

Validity, Construction, and Application of State Statutes Proscribing Human Trafficking. 101 A.L.R.6th 417 (2015).

5-18-105. Enhanced liability of an organization.

In addition to any other statutorily authorized sentence or fine, an organization convicted of an offense under this chapter is subject to any combination of the following:

  1. A suspension or revocation of a license, permit, or prior approval granted to the organization by a state or local government agency;
  2. A court order to dissolve or reorganize; and
  3. Other relief as is equitable.

History. Acts 2013, No. 132, § 3; 2013, No. 133, § 3.

Research References

ALR.

Validity, Construction, and Application of State Statutes Proscribing Human Trafficking. 101 A.L.R.6th 417 (2015).

Chapters 19-24 [Reserved.]

[Reserved]

Subtitle 3. Offenses Involving Families, Dependents, Etc.

Chapter 25 General Provisions

Research References

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

Barrier, Render Unto Caesar: An Essay on Private Morals and Public Law, 4 U. Ark. Little Rock L.J. 511.

5-25-101. Definitions.

As used in this subtitle:

  1. “Adult” means any person eighteen (18) years of age or older;
  2. “Deviate sexual activity” means any act of sexual gratification involving:
    1. The penetration, however slight, of the anus or mouth of a person by the penis of another person; or
    2. The penetration, however slight, of the labia majora or anus of a person by any body member of or foreign instrument manipulated by another person;
    1. “Incompetent” means any person unable to care for himself or herself because of physical or mental disease or defect.
    2. The status embraced by “incompetent” may or may not exist regardless of any adjudication concerning incompetency;
  3. “Minor” means any person under eighteen (18) years of age; and
  4. “Sexual intercourse” means penetration, however slight, of the labia majora by a penis.

History. Acts 1975, No. 280, § 2401; 1977, No. 360, § 11; A.S.A. 1947, § 41-2401; Acts 2005, No. 1994, § 291.

Case Notes

Cited: Ritter v. United States Fid. & Guar. Co., 573 F.2d 539 (8th Cir. 1978).

Chapter 26 Offenses Involving the Family

Cross References. Abuse of adults, § 5-28-101 et seq.

Fines, § 5-4-201.

Term of imprisonment, § 5-4-401.

Research References

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

Barrier, Render Unto Caesar: An Essay on Private Morals and Public Law, 4 U. Ark. Little Rock L.J. 511.

Subchapter 1 — General Provisions

[Reserved]

Subchapter 2 — Offenses Generally

A.C.R.C. Notes. For codification of Acts 2011, No. 697, § 1, see § 5-37-216.

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Effective Dates. Acts 1985, No. 506, § 2: Mar. 25, 1985. Emergency clause provided: “It is hereby found and determined by the General Assembly that certain individuals who are in a position of power or authority over minors have avoided prosecution under current law for certain sexual activities with such minors and that such activities by individuals should be punished. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1985, No. 916, § 2: Apr. 15, 1985. Emergency clause provided: “It is hereby found and determined by the General Assembly that certain individuals who are in a position of power or authority over minors have avoided prosecution under current law for certain sexual activities with such minors and that such activities by individuals should be punished. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Research References

Ark. L. Rev.

The Constitutionality of Affirmative Defenses to Criminal Charges, 29 Ark. L. Rev. 430.

5-26-201. Bigamy.

  1. A person commits bigamy if, being married, he or she purports to marry another person.
  2. It is an affirmative defense to a prosecution under this section that at the time of the alleged offense the actor:
    1. Reasonably believed that the prior spouse was dead;
    2. Had lived apart from the prior spouse for five (5) consecutive years throughout which time the prior spouse was not known to the actor to be alive;
    3. Reasonably believed that a court had ordered a valid termination or annulment of the prior marriage; or
    4. Otherwise reasonably believed that the actor was legally eligible to marry.
  3. Bigamy is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2402; A.S.A. 1947, § 41-2402.

Research References

Am. Jur. 11 Am. Jur. 2d, Bigamy, § 1 et seq.

C.J.S. 10 C.J.S., Bigamy, § 1 et seq.

Case Notes

Completion of Offense.

It was the marrying by a person who had a husband or wife living that constituted the offense of bigamy, and the offense was complete upon the second marriage. Scoggins v. State, 32 Ark. 205 (1877) (decision under prior law).

Defenses.

Evidence that the first marriage was within the age of legal consent was no defense, unless it could also be shown that it was annulled by a court of competent jurisdiction. Walls v. State, 32 Ark. 565 (1877) (decision under prior law).

Evidence.

A decree divorcing the accused rendered after the alleged bigamous marriage was prima facie evidence that his wife was living at the time of such marriage. State v. Ashley, 37 Ark. 403 (1881) (decision under prior law).

Testimony of the minister who performed the second marriage that he was duly authorized to perform the same and that he did so was competent although he did not sign the certificate of marriage. Tanner v. State, 116 Ark. 452, 173 S.W. 200 (1915) (decision under prior law).

Evidence of existence of legal marriage at time of second marriage held sufficient. Filtingberger v. State, 216 Ark. 754, 227 S.W.2d 443 (1950) (decision under prior law).

Indictment.

Indictment held sufficient. Johnson v. State, 60 Ark. 308, 30 S.W. 31 (1895) (decision under prior law).

Proof.

The second marriage constituted the corpus delicti, and had to be proved. McNeill v. State, 117 Ark. 8, 173 S.W. 826 (1915) (decision under prior law).

Statute of Limitations.

The offense of bigamy was barred by the lapse of statutory period from the date of the bigamous marriage. Scoggins v. State, 32 Ark. 205 (1877) (decision under prior law).

Venue.

An indictment for bigamy had to be found in the county in which the bigamous marriage occurred. Walls v. State, 32 Ark. 565 (1877) (decision under prior law).

Void Marriage.

If a person married another, and afterward, while the first spouse was alive, married a third person, and afterward, when the first spouse was dead or divorced, married a fourth person, while the third was living, this last marriage was not bigamous, the second being absolutely void. Halbrook v. State, 34 Ark. 511 (1879) (decision under prior law).

5-26-202. Incest.

  1. A person commits incest if the person, being sixteen (16) years of age or older, purports to marry, has sexual intercourse with, or engages in deviate sexual activity with another person sixteen (16) years of age or older whom the actor knows to be:
    1. An ancestor or a descendant;
    2. A stepchild or adopted child;
    3. A brother or sister of the whole or half blood;
    4. An uncle, aunt, nephew, or niece; or
    5. A stepgrandchild or adopted grandchild.
  2. A relationship referred to in this section includes a blood relationship without regard to legitimacy.
  3. Incest is a Class C felony.

History. Acts 1975, No. 280, § 2403; 1977, No. 360, § 12; 1985, No. 506, § 1; 1985, No. 916, § 1; A.S.A. 1947, § 41-2403; Acts 1997, No. 1321, § 1; 2003, No. 1469, § 1.

Publisher's Notes. This section may partially supersede § 9-11-106.

Research References

Am. Jur. 41 Am. Jur. 2d, Incest, § 1 et seq.

C.J.S. 42 C.J.S., Incest, § 1 et seq.

U. Ark. Little Rock L.J.

Legislative Survey, Criminal Law, 8 U. Ark. Little Rock L.J. 559.

Annual Survey of Caselaw, Criminal Procedure, 26 U. Ark. Little Rock L. Rev. 887.

Case Notes

Constitutionality.

The classifications under this section regarding stepparents and stepchildren is not unconstitutional. Douthitt v. State, 326 Ark. 794, 935 S.W.2d 241 (1996).

Consent.

The male may be convicted though he accomplished the act against the will of the female. Gaston v. State, 95 Ark. 233, 128 S.W. 1033 (1910) (decision under prior law).

Corroboration.

Evidence of a voluntary confession of the crime of incest made by the defendant to the officers who arrested him was admissible to corroborate the testimony of the accomplice so as to support a verdict of guilty. Knowles v. State, 113 Ark. 257, 168 S.W. 148 (1914) (decision under prior law).

Instruction was held proper which told the jury that if the prosecuting witness was more than sixteen years of age and consented to the sexual intercourse, that she was an accomplice and that her testimony would require corroboration. Teel v. State, 129 Ark. 180, 195 S.W. 32 (1917) (decision under prior law).

Testimony of daughter as to acts of intercourse did not have to be corroborated, since she could not be an accomplice. Hicks v. State, 219 Ark. 528, 243 S.W.2d 372 (1951) (decision under prior law).

That the legislature chose 16 years as the age of accountability for purposes of incest does not mean that it also intended that when an unwilling victim of incest is 16 then corroboration is required. Camp v. State, 288 Ark. 269, 704 S.W.2d 617 (1986).

Where the 16-year-old stepdaughter ran away following the incident and upon her return refused to stay at home, the intercourse was not with her consent and, accordingly, her testimony did not require corroboration under § 16-89-111. Camp v. State, 288 Ark. 269, 704 S.W.2d 617 (1986).

Defenses.

Even if the jury believed that defendant had no memory of incident of sexual intercourse with his daughter, that alone would not establish his innocence. Johnson v. State, 288 Ark. 101, 702 S.W.2d 2 (1986).

Double Jeopardy.

Defendant's prosecution for incest was not barred by dependent-neglect civil proceeding brought by the Department of Human Services inasmuch as the defendant simply was not threatened with multiple punishments and the double jeopardy clause was not offended. Fariss v. State, 303 Ark. 541, 798 S.W.2d 103 (1990).

Evidence.

Evidence held sufficient to support conviction. Hicks v. State, 219 Ark. 528, 243 S.W.2d 372 (1951) (decision under prior law).

Proffered proof of the prosecutrix's alleged or suspected sexual activity in other instances held not admissible under the rape-shield statute since proof of earlier sexual activity was not relevant to the charges of carnal abuse and incest. Fields v. State, 281 Ark. 43, 661 S.W.2d 359 (1983).

The trial judge did not abuse his discretion in admitting testimony of victim concerning counseling she had had after prior incidents of sexual intercourse with her father, as it tended to show that the prior incidents of incest had actually taken place. Johnson v. State, 288 Ark. 101, 702 S.W.2d 2 (1986).

Incest victim's testimony that defendant repeatedly engaged in sexual intercourse over a long period of time was, in and of itself, substantial evidence to support defendant's conviction; in addition, the jury could have viewed defendant's initial spontaneous statement to the officer as an admission of guilt. Arnett v. State, 353 Ark. 165, 122 S.W.3d 484 (2003).

Evidence of victim's allegations of sexual abuse the victim purportedly made against the victim's natural father and grandfather held inadmissible without a proffer of the substance of the victim's purportedly inconsistent statements; the victim's prior allegations against others could not fairly be said to be relevant to impeaching the victim's credibility. Arnett v. State, 353 Ark. 165, 122 S.W.3d 484 (2003).

Evidence was sufficient to sustain defendant's incest conviction where the child victim testified that defendant, her stepfather, told her to put her mouth on his penis, and that he licked her “private parts.” Standridge v. State, 357 Ark. 105, 161 S.W.3d 815 (2004).

Gravamen of Offense.

The gravamen of the offense was the unlawful carnal knowledge because of consanguinity. Gaston v. State, 95 Ark. 233, 128 S.W. 1033 (1910) (decision under prior law).

Defendant's conviction of two counts of incest was affirmed even though he was not related to his two nieces by blood; the incest statute, § 5-26-202, prohibited sexual intercourse or deviate sexual activity regardless of whether defendant and his nieces were related by affinity or consanguinity. Heikkila v. State, 352 Ark. 87, 98 S.W.3d 805 (2003).

Indictment or Information.

Allegation of indictment of information held sufficient. State v. Ratcliffe, 61 Ark. 62, 31 S.W. 978 (1895); Williford v. State, 252 Ark. 397, 479 S.W.2d 244 (1972) (preceding decisions under prior law).

Instructions.

Instructions held sufficient. Hicks v. State, 219 Ark. 528, 243 S.W.2d 372 (1951) (decision under prior law).

Knowledge.

The only specific knowledge required for the crime of incest is that defendant knew that the prosecutrix was his daughter. Johnson v. State, 288 Ark. 101, 702 S.W.2d 2 (1986).

Separate Offenses.

Where there was ample testimony by which the jury could have found that the defendant father committed rape by deviate sexual activity on one occasion and, on other occasions, was guilty of incest by having sexual intercourse with his daughter, each act constituted a separate offense, and the defendant was properly convicted on separate counts of rape and incest. Massey v. State, 278 Ark. 625, 648 S.W.2d 52 (1983).

A forcible act of intercourse with one's child would support a conviction for rape or incest, but not both, and neither is a lesser included offense of the other, though several elements are the same. Williams v. State, 11 Ark. App. 11, 665 S.W.2d 299 (1984).

Where defendant had committed incest with the same victim, but in different counties, defendant could be charged in both counties for offenses occurring in the same time period without violating double jeopardy principles. Fletcher v. State, 318 Ark. 298, 884 S.W.2d 623 (1994).

Incest is not an ongoing crime for which the defendant could only be prosecuted once; this section indicates that a defendant commits the crime of incest each time he engaged in sexual intercourse with his adopted daughter. Fletcher v. State, 53 Ark. App. 135, 920 S.W.2d 42 (1996).

Defendant's convictions for incest in one county did not prevent his prosecution for incest in another county where the second prosecution was not for the same offense committed in the first county and where the offenses in the second county were not based on the same conduct for which he was convicted in the first county. Fletcher v. State, 53 Ark. App. 135, 920 S.W.2d 42 (1996).

Subdivision (a)(2) of this section encompasses elements found neither in the rape statute nor in the carnal abuse statute; to be found guilty of incest, the state must prove that a defendant engaged in sexual intercourse or deviate sexual activity with a person he knows to be his stepchild, and this additional element precludes the invocation of double jeopardy concerns because the offenses are not the same. Standridge v. State, 357 Ark. 105, 161 S.W.3d 815 (2004).

Proof of Age.

Although there was no direct proof of defendant's age, circumstantial evidence was sufficient for the jury to conclude, without speculation or conjecture that defendant was over sixteen years old. Hadley v. State, 322 Ark. 472, 910 S.W.2d 675 (1995).

Cited: Bateman v. State, 2 Ark. App. 339, 621 S.W.2d 232 (1981); Hall v. State, 11 Ark. App. 53, 666 S.W.2d 408 (1984); Yates v. State, 301 Ark. 424, 785 S.W.2d 199 (1990); Mobbs v. State, 307 Ark. 505, 821 S.W.2d 769 (1991).

5-26-203. Concealing birth.

  1. A person commits the offense of concealing birth if he or she hides the corpse of a newborn child with purpose to conceal the fact of the child's birth or to prevent a determination of whether the child was born alive.
  2. Concealing birth is a Class D felony.

History. Acts 1975, No. 280, § 2404; A.S.A. 1947, § 41-2404; Acts 2001, No. 205, § 1.

Cross References. Abortion, § 5-61-101 et seq.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

Constitutionality.

Defendant's argument that finding this section, the concealing-birth statute, to be constitutional was an impermissible judicial expansion of the law and made the statute too vague to give any pregnant woman and newly delivered mother clear notice of what constituted concealment of birth was rejected; the jury was tasked to decide why defendant had placed the stillborn fetus in her vehicle, the jury determined it was to conceal the fact of the birth, the statute did not provide for any exceptions, including a grace period for concealment, nor did the statute require that the concealment be permanent, and a jury could have determined that the offense was committed when defendant hid the fetus in her vehicle. Bynum v. State, 2018 Ark. App. 201, 546 S.W.3d 533 (2018).

Accomplices.

One who aided and abetted a mother to conceal the death of her bastard child would have been guilty as an accessory (now accomplice). Massey v. State, 207 Ark. 675, 182 S.W.2d 671 (1944) (decision under prior law).

Where jury was justified in drawing inference that mother was guilty of concealing death of child, one who aided and abetted her could not complain upon ground there was no proof of mother's guilt. Massey v. State, 207 Ark. 675, 182 S.W.2d 671 (1944) (decision under prior law).

Elements of Offense.

It was immaterial whether the death occurred before or after its birth, or the means of concealing it. State v. Ellis, 43 Ark. 93 (1884) (decision under prior law).

The gist of the offense was the concealment of the death and not the causing of it. Washington v. State, 171 Ark. 357, 284 S.W. 42 (1926) (decision under prior law).

Evidence.

Evidence held insufficient to sustain a conviction. Washington v. State, 171 Ark. 357, 284 S.W. 42 (1926) (decision under prior law).

Evidence was sufficient to convict under this section where defendant wrapped a stillborn child in plastic sacks, placed the child in the front seat of her car, and locked the car in an attempt to hide the child from her mother. Bynum v. State, 2018 Ark. App. 201, 546 S.W.3d 533 (2018).

In defendant's trial for concealing birth under this section, the circuit court abused its discretion in allowing discussion of abortion, defendant's abortion history, and evidence that she had ingested medication prior to giving birth where it was undisputed that the child was not born alive, the evidence was irrelevant as to whether she had concealed the birth, and even if relevant, the probative value was substantially outweighed by the danger of unfair prejudice given the four-minute verdict. Bynum v. State, 2018 Ark. App. 201, 546 S.W.3d 533 (2018).

Cited: Smith v. State, 15 Ark. App. 266, 692 S.W.2d 622 (1985).

5-26-204. Unlawful solicitation for the relinquishment of parental rights.

    1. A person commits the offense of unlawful solicitation for the relinquishment of parental rights in the first degree if in exchange for consenting to the person's or another person's placing a baby who is not yet born for adoption the person offers anything of value prohibited or not permitted under § 9-9-206 to the:
      1. Biological mother of the baby who is not yet born;
      2. Biological or putative father of the baby who is not yet born;
      3. Spouse, partner, or other relative of the biological mother of the baby who is not yet born; or
      4. Spouse, partner, or other relative of the biological or putative father of the baby who is not yet born.
    2. Unlawful solicitation for the relinquishment of parental rights in the first degree is a:
      1. Class A felony if the person uses duress, coercion, undue influence, intimidation, a threat, fraud, or physical force to influence an individual listed in subdivisions (a)(1)(A)-(D) of this section to allow the person or another person to place the baby who is not yet born for adoption; or
      2. Class C felony if otherwise committed.
    1. A person commits the offense of unlawful solicitation for the relinquishment of parental rights in the second degree if in exchange for consenting to the person's adopting a baby who is not yet born the person offers anything of value prohibited or not permitted under § 9-9-206 to the:
      1. Biological mother of the baby who is not yet born;
      2. Biological or putative father of the baby who is not yet born;
      3. Spouse, partner, or other relative of the biological mother of the baby who is not yet born; or
      4. Spouse, partner, or other relative of the biological or putative father of the baby who is not yet born.
    2. Unlawful solicitation for the relinquishment of parental rights in the second degree is a:
      1. Class D felony if the person uses duress, coercion, undue influence, intimidation, a threat, fraud, or physical force to influence an individual listed in subdivisions (b)(1)(A)-(D) of this section to consent to the person's or another person's adopting the baby who is not yet born; or
      2. Class A misdemeanor if otherwise committed.

History. Acts 2019, No. 1022, § 2.

Subchapter 3 — Domestic Battering and Assault

Publisher's Notes. Acts 1979, No. 396, § 9, provided that the act would not affect rights or duties matured, liabilities or penalties that were incurred, or proceedings begun before its effective date.

For Comments regarding the Criminal Code, see Commentaries Volume B.

Cross References. Assault and battery, § 5-13-201 et seq.

Enhanced penalties for offenses committed in the presence of a child, § 5-4-701 et seq.

Research References

ALR.

Battered woman syndrome: admissibility of expert or opinion testimony. 18 A.L.R.4th 1153.

Kicking as assault or assault with a deadly weapon. 19 A.L.R.5th 823.

U. Ark. Little Rock L.J.

DeSimone, Survey of Criminal Law, 3 U. Ark. Little Rock L.J. 191.

Notes, Constitutional Law — The Domestic Abuse Act of 1989 — An Impermissible Expansion of Chancery Jurisdiction. Bates v. Bates, 303 Ark. 89, 793 S.W.2d 788 (1990), 13 U. Ark. Little Rock L.J. 537.

5-26-301. Legislative intent.

To the extent that any protected class of persons defined under this subchapter is afforded protection by any other existing or future statute of this state, this subchapter does not prevent a prosecution under any such existing or future statute.

History. Acts 1995, No. 1291, § 8.

A.C.R.C. Notes. Former § 5-26-301 has been renumbered as § 5-26-303.

5-26-302. Definitions.

As used in this subchapter:

    1. “Dating relationship” means a romantic or intimate social relationship between two (2) individuals that is determined by examining the following factors:
      1. The length of the relationship;
      2. The type of the relationship; and
      3. The frequency of interaction between the two (2) individuals involved in the relationship.
    2. “Dating relationship” does not include a casual relationship or ordinary fraternization between two (2) individuals in a business or social context;
  1. “Family or household member” means:
    1. A spouse;
    2. A former spouse;
    3. A parent;
    4. A child, including any minor residing in the household;
      1. Persons related by blood within the fourth degree of consanguinity.
      2. The degree of consanguinity is computed pursuant to § 28-9-212;
    5. Persons who presently or in the past have resided or cohabited together;
    6. Persons who have or have had a child in common; or
    7. Persons who are presently or in the past have been in a dating relationship together;
  2. “Harass” means an act of harassment as prohibited by § 5-71-208;
  3. “Intimidate” means to force into or deter from an action by inducing fear;
  4. “Sexual nature” means that an image, picture, video, or voice or audio recording depicts actual or simulated:
    1. Sexual intercourse;
    2. Deviate sexual activity;
    3. Bestiality;
    4. Masturbation;
    5. Sadomasochistic abuse for the purpose of sexual stimulation; or
    6. Lewd exhibition of the:
      1. Genitals or pubic area of any person; or
      2. Breast of a female; and
  5. “State of nudity” means:
    1. The appearance of a human anus, human genitals, or a female breast below a point immediately above the top of the areola; or
    2. A state of dress that fails to opaquely cover a human anus, human genitals, or a female breast below a point immediately above the top of the areola.

History. Acts 1995, No. 1291, § 8; 1999, No. 1317, § 1; 2001, No. 1678, § 2; 2005, No. 1875, § 2; 2015, No. 304, § 1.

A.C.R.C. Notes. Former § 5-26-302 has been renumbered as § 5-26-304.

Amendments. The 2015 amendment added (3) through (6).

Cross References. Domestic abuse definitions, § 9-15-103.

Petition form for protection orders, § 9-15-203.

Warrantless arrest for domestic abuse, § 16-81-113.

Case Notes

Applicability.

Defendant was not a household or family member where he and the victim had not cohabited and defendant's relationship with the victim had ended; thus, defendant's conviction for domestic battery had to be dismissed. Wrenn v. State, 92 Ark. App. 167, 211 S.W.3d 582 (2005).

Defendant cited neither argument nor convincing authority to show why an adulterous relationship did not come under the purview of a statute intended to curb domestic violence, where the legislature expressly included in subdivision (1)(A) of this section of a broad definition of “family or household member” to include “dating relationships” based on three factors, including “type;” defendant's relationship with the victim was a romantic one that lasted several months, and it could be a romantic or intimate social relationship under subdivision (1)(A) of this section; the testimony was sufficient to show that defendant and the victim had numerous romantic and intimate interactions of various types for a sufficient length of time to support a finding that there was a “dating relationship” under the statute. Fuller v. State, 99 Ark. App. 264, 259 S.W.3d 486 (2007).

Defendant's conviction for second-degree domestic battery by stabbing a family or household member, in violation of § 5-26-304(a)(2), was upheld where there was substantial evidence that the victim was a household member, as defined in subdivision (2)(F) of this section; defendant stated that defendant recognized the knife with which the victim was stabbed because defendant “lived there” and “used it, cooked with it, every day.” Delamar v. State, 101 Ark. App. 313, 276 S.W.3d 746 (2008).

Dating Relationship.

When defendant stabbed the victim after she arrived home to her apartment, the evidence was sufficient to support his conviction for domestic battery in the first degree in violation of § 5-26-303(a)(1); the trial court did not err by denying his motion for a directed verdict. The state did prove that he and the victim were involved in a “dating relationship” pursuant to subdivision (1)(A) of this section; they had been talking for several months, having sexual relations, and defendant constantly accused the victim of being with other men. Webster v. State, 2009 Ark. App. 579 (2009).

Family or Household Member.

In a first-degree domestic battering case, the circuit court did not err in denying defendant's motions for directed verdict because the evidence at trial showed that defendant was 22 years old when he shot the victim, who had been married to defendant's mother when he was about seven or eight; defendant was between 13 and 15 years old when he stopped living with the victim based on the divorce between the victim and defendant's mother; the victim continued to treat defendant like a son; defendant and the victim were persons who in the past had resided together; and the statute contained no express time limitation. Williams v. State, 2017 Ark. App. 287 (2017).

Cited: Nelson v. State, 84 Ark. App. 373, 141 S.W.3d 900 (2004).

5-26-303. Domestic battering in the first degree.

  1. A person commits domestic battering in the first degree if:
    1. With the purpose of causing serious physical injury to a family or household member, the person causes serious physical injury to a family or household member by means of a deadly weapon;
    2. With the purpose of seriously and permanently disfiguring a family or household member or of destroying, amputating, or permanently disabling a member or organ of a family or household member's body, the person causes such an injury to a family or household member;
    3. The person causes serious physical injury to a family or household member under circumstances manifesting extreme indifference to the value of human life;
    4. The person knowingly causes serious physical injury to a family or household member he or she knows to be sixty (60) years of age or older or twelve (12) years of age or younger;
    5. The person:
      1. Commits any act of domestic battering as defined in § 5-26-304 or § 5-26-305; and
      2. For conduct that occurred within the ten (10) years preceding the commission of the current offense, the person has on two (2) previous occasions been convicted of any act of battery against a family or household member as defined by the laws of this state or by the equivalent laws of any other state or foreign jurisdiction;
    6. With the purpose of causing physical injury to a family or household member, the person causes physical injury to a family or household member by means of a firearm; or
    7. The person knowingly causes serious physical injury to a family or household member who is four (4) years of age or younger under circumstances manifesting extreme indifference to the value of human life.
    1. Domestic battering in the first degree is a Class B felony.
    2. However, domestic battering in the first degree is a:
      1. Class Y felony under subdivision (a)(2) or subdivision (a)(7) of this section; or
      2. Class A felony under subsection (a) of this section if:
        1. Committed against a woman the person knew or should have known was pregnant; or
        2. The person committed one (1) or more of the following offenses within five (5) years of the offense of domestic battering in the first degree:
          1. Domestic battering in the first degree; (b) Domestic battering in the second degree, § 5-26-304; (c) Domestic battering in the third degree, § 5-26-305; or (d) A violation of an equivalent penal law of this state or of another state or foreign jurisdiction.

History. Acts 1979, No. 396, § 1; A.S.A. 1947, § 41-1653; Acts 1995, No. 1291, § 1; 1999, No. 1317, § 2; 1999, No. 1365, § 1; 2001, No. 1553, § 8; 2003, No. 944, § 1; 2003, No. 1079, § 1; 2005, No. 1994, § 481; 2007, No. 671, § 1; 2009, No. 194, § 1; 2009, No. 748, § 16; 2011, No. 1120, § 7; 2013, No. 417, § 1; 2017, No. 301, § 1; 2019, No. 498, § 2.

A.C.R.C. Notes. This section was formerly codified as § 5-26-301. Former § 5-26-303 has been renumbered as § 5-26-305.

Pursuant to § 1-2-207, this section is set out above as amended by Acts 1999, No. 1365. This section was also amended by Acts 1999, No. 1317, to read as follows:

“(a) A person commits domestic battering in the first degree if:

“(1) With the purpose of causing serious physical injury to a family or household member, he causes serious physical injury to a family or household member by means of a deadly weapon; or

“(2) With the purpose of seriously and permanently disfiguring a family or household member or of destroying, amputating, or permanently disabling a member or organ of a family or household member's body, he causes such an injury to a family or household member;

“(3) He causes serious physical injury to a family or household member under circumstances manifesting extreme indifference to the value of human life; or

“(4) He commits any act of domestic battering, as defined in §§ 5-26-303, 5-26-304, or 5-26-305, and within the past ten years, he has on two previous occasions been convicted of any act of battery, as defined by the laws of this state or by the equivalent laws of any other state or foreign jurisdiction, against a family or household member.

“(b) Domestic battering in the first degree is a Class B felony.”

The amendment to present subdivision (a)(5) of this section by Acts 2009, No. 748, § 16, is partially superseded by Acts 2009, No. 194, § 1, pursuant to Acts 2009, No. 748, § 45.

Amendments. The 2009 amendment by No. 194 inserted (a)(4), redesignated the following subdivision accordingly, and substituted “(a)(1)-(4)” for “(a)(1) – (a)(3)” in present (a)(5)(A).

The 2009 amendment by No. 748 subdivided present (a)(5), and made related and minor stylistic changes.

The 2011 amendment deleted “subdivisions (a)(1)–(4) of this section” following “as defined in” in (a)(5)(A).

The 2013 amendment rewrote the introductory language of (b)(2)(B); and added “A violation of” at the beginning of (b)(2)(B)(iv).

The 2017 amendment added (a)(6).

The 2019 amendment added (a)(7); inserted (b)(2)(A); redesignated part of (b)(2) as (b)(2)(B) and redesignated the remaining subdivisions accordingly; and deleted “upon a conviction” following “Class A felony” in the introductory language of (b)(2)(B).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Domestic Violence, 26 U. Ark. Little Rock L. Rev. 363.

Case Notes

Evidence of Prior Convictions.

In a case in which a jury convicted defendant of first-degree domestic battering, the circuit court did not err by admitting evidence of defendant's prior domestic-battering convictions during the guilt phase of the trial. The previous offenses were elements of first-degree domestic battering, not a sentence enhancement, and were properly proved during the guilt phase of the trial. Crayton v. State, 2018 Ark. App. 110, 543 S.W.3d 544 (2018).

Evidence Sufficient.

Evidence was sufficient to show that defendant acted “under circumstances manifesting extreme indifference to the value of human life” and to sustain his conviction for first degree battery because defendant admittedly placed a child in a tub of water so hot that it severed the skin from his feet, and defendant's own statements, although inconsistent, supported the conclusion that he knew that it was his responsibility to properly supervise the child during a bath and to ensure a safe water temperature and that he consciously disregarded the risks involved. Bell v. State, 99 Ark. App. 300, 259 S.W.3d 472 (2007).

When defendant stabbed the victim after she arrived home to her apartment, the evidence was sufficient to support his conviction for domestic battery in the first degree in violation of subdivision (a)(1) of this section; the trial court did not err by denying his motion for a directed verdict. The state did prove that he and the victim were involved in a “dating relationship” pursuant to § 5-26-302(1)(A); they had been talking for several months, having sexual relations, and defendant constantly accused the victim of being with other men. Webster v. State, 2009 Ark. App. 579 (2009).

Family or Household Member.

In a first-degree domestic battering case, the circuit court did not err in denying defendant's motions for directed verdict because the evidence at trial showed that defendant was 22 years old when he shot the victim, who had been married to defendant's mother when he was about seven or eight; defendant was between 13 and 15 years old when he stopped living with the victim based on the divorce between the victim and defendant's mother; the victim stated that he continued to treat defendant like a son; defendant and the victim were persons who in the past had resided together; and the statute contained no express time limitation. Williams v. State, 2017 Ark. App. 287 (2017).

Sentencing.

Where defendant was convicted of multiple offenses and sentenced to 240 months for committing a terroristic act under § 5-13-310 and 192 months for domestic battery under subdivision (a)(3) of this section, the enhancement of his sentence on both charges by 144 months pursuant to § 16-90-120 did not result in his sentence being enhanced twice for using a deadly weapon because the use of a firearm was not an element the prosecution had to prove to obtain his convictions. King v. State, 2012 Ark. App. 94 (2012).

Cited: Bates v. Bates, 303 Ark. 89, 793 S.W.2d 788 (1990).

5-26-304. Domestic battering in the second degree.

  1. A person commits domestic battering in the second degree if:
    1. With the purpose of causing physical injury to a family or household member, the person causes serious physical injury to a family or household member;
    2. With the purpose of causing physical injury to a family or household member, the person causes physical injury to a family or household member by means of a deadly weapon;
    3. The person recklessly causes serious physical injury to a family or household member by means of a deadly weapon; or
    4. The person knowingly causes physical injury to a family or household member he or she knows to be sixty (60) years of age or older or twelve (12) years of age or younger.
    1. Domestic battering in the second degree is a Class C felony.
    2. However, domestic battering in the second degree is a Class B felony if:
      1. Committed against a woman the person knew or should have known was pregnant;
      2. The person committed one (1) or more of the following offenses within five (5) years of the offense of domestic battering in the second degree:
        1. Domestic battering in the first degree, § 5-26-303;
        2. Domestic battering in the second degree;
        3. Domestic battering in the third degree, § 5-26-305; or
        4. A violation of an equivalent penal law of this state or of another state or foreign jurisdiction; or
      3. The person committed two (2) or more offenses of battery against a family or household member as defined by a law of this state or by an equivalent law of any other state or foreign jurisdiction within ten (10) years of the offense of domestic battering in the second degree.

History. Acts 1979, No. 396, § 2; A.S.A. 1947, § 41-1654; Acts 1995, No. 1291, § 2; 1999, No. 1365, § 2; 2001, No. 1553, § 9; 2003, No. 944, § 2; 2003, No. 1079, § 1; 2005, No. 1994, § 481; 2009, No. 194, § 2; 2013, No. 417, § 2.

A.C.R.C. Notes. This section was formerly codified as § 5-26-302. Former § 5-26-304 has been renumbered as § 5-26-306.

Amendments. The 2009 amendment added (a)(4) and made related changes.

The 2013 amendment rewrote the introductory language of (b)(2)(B); added “A violation of” at the beginning of (b)(2)(B)(iv); and rewrote (b)(2)(C).

Case Notes

Evidence.

Sufficient evidence supported defendant's convictions for second degree domestic battery, and third degree domestic battery where a “family or household member” who could be a victim of these offenses included someone with whom defendant had cohabitated in the past, it was proved that defendant and the victim had previously cohabitated, and it was irrelevant that the victim was married to someone else at the time of the crimes. Brock v. State, 90 Ark. App. 164, 204 S.W.3d 562 (2005).

Defendant's conviction for second-degree domestic battery by stabbing a family or household member, in violation of subdivision (a)(2) of this section, was upheld where there was substantial evidence that the victim was a household member, as defined in § 5-26-302(2)(F); defendant stated that defendant recognized the knife with which the victim was stabbed because defendant “lived there” and “used it, cooked with it, every day.” Delamar v. State, 101 Ark. App. 313, 276 S.W.3d 746 (2008).

When defendant's infant son was taken to the emergency room, the treating physician found that his broken femur was indicative of child abuse; the infant had fourteen broken rib bones in various stages of healing. Defendant admitted that he would sometimes get mad and squeeze his son; defendant was convicted of three counts of battery in the second degree in violation of this section and one count of battery in the first degree under § 5-13-201(a)(7). Davis v. State, 2009 Ark. App. 573 (2009).

Defendant's conviction for domestic battering under subdivision (a)(2) of this section was supported by sufficient evidence because the state showed that, with the purpose of causing physical injury, defendant caused injury to the victim, his brother, by means of a deadly weapon. While defendant contended that he was acting in self-defense when he struck the victim with a sickle, the testimony of the victim and the victim's brother established that the victim did not have the gun that he had when police arrived until after defendant had battered both the victim and the victim's brother. Brown v. State, 2011 Ark. App. 150, 381 S.W.3d 175 (2011).

Trial court did not err in revoking defendant's probation for two counts of possession of a controlled substance because the evidence was sufficient to show that he committed domestic battering, in violation of subdivision (a)(1) of this section; an officer testified that the victim's ear “was basically cut in half” and that the officer “could see the ligaments inside.” Mahomes v. State, 2013 Ark. App. 215, 427 S.W.3d 123 (2013).

There was sufficient evidence to support a conviction for domestic battery in the second degree under this section; although defendant contended that he was not in Arkansas on the night of the assault, his alibi was not found to be credible. There was enough streetlight and external apartment lighting for the victim to visually identify defendant as the assailant, and she also recognized defendant's voice. Harris v. State, 2016 Ark. App. 23, 480 S.W.3d 229 (2016).

Trial court properly denied defendant's motion for a directed verdict where the jury was free to believe the victim's testimony that defendant was a household member living with her, knew that she was 65 years old, and struck her with a gun and seashell, thereby committing domestic battering in the second degree under this section. Neal v. State, 2016 Ark. App. 384, 499 S.W.3d 254 (2016).

Evidence supported the second-degree domestic battering conviction where neighbors heard sounds of loud banging and yelling, and defendant beat the child with a leather belt repeatedly for at least five minutes, causing welts and lashings. Jefferson v. State, 2017 Ark. App. 492, 532 S.W.3d 75 (2017).

Evidence was sufficient to convict defendant of second-degree domestic battery because the victim testified that defendant said he was going to kill them both before intentionally yanking the steering wheel to the right and driving the car off the road; the victim's testimony was bolstered by the eyewitnesses' accounts that immediately after the couple changed seats in the car, the car sped off and darted abruptly off the road; the officers observed no indications that defendant had attempted to brake or avoid the accident; and the jury heard testimony about the victim's previous conviction for filing a false credit-card application and was free to consider it when determining how much weight to give the victim's account of the accident. Vines v. State, 2018 Ark. App. 496, 562 S.W.3d 246 (2018).

Even though the victim testified at trial that she initiated the fight with defendant, who was her husband, the evidence showed that she did not initially report her aggressive conduct to the officer, she was nervous and scared when she reported the incident, defendant apologized to her for his actions, and she suffered serious injuries to her face; thus, the evidence was sufficient to support defendant's conviction for second-degree domestic battery. Allen v. State, 2018 Ark. App. 603, 567 S.W.3d 93 (2018).

Evidence was sufficient to convict defendant of domestic battery in the second degree as he knowingly caused his 64-year-old mother's physical injuries because the mother suffered a contusion on her foot and an abrasion or cut on her left arm; she told a doctor that defendant slammed a door on her foot; the officers were at the mother's home in response to her domestic-disturbance complaint; when the officers arrived and found the mother sitting on the front porch, she appeared disheveled, her left leg was swollen, and blood was running down her left arm; and she told an officer that she and defendant had been fighting, and that she thought she injured her elbow during the fight with defendant. Benton v. State, 2020 Ark. App. 223 (2020).

Sentence.

Trial court did not err in sentencing defendant after revoking his probation because defendant pleaded guilty to second-degree domestic battery, under this section, and third-degree domestic battery, under § 5-26-305, and his sentences of ten and six years, respectively, were sentences that could have been originally imposed for the offenses of which he was found guilty. Jones v. State, 2012 Ark. App. 69, 388 S.W.3d 503 (2012).

Cited: Green v. State, 79 Ark. App. 297, 87 S.W.3d 814 (2002).

5-26-305. Domestic battering in the third degree.

  1. A person commits domestic battering in the third degree if:
    1. With the purpose of causing physical injury to a family or household member, the person causes physical injury to a family or household member;
    2. The person recklessly causes physical injury to a family or household member;
    3. The person negligently causes physical injury to a family or household member by means of a deadly weapon; or
    4. The person purposely causes stupor, unconsciousness, or physical or mental impairment or injury to a family or household member by administering to the family or household member, without the family or household member's consent, any drug or other substance.
    1. Domestic battering in the third degree is a Class A misdemeanor.
    2. However, domestic battering in the third degree is a Class D felony if:
      1. Committed against a woman the person knew or should have known was pregnant;
      2. The person committed one (1) or more of the following offenses within five (5) years of the offense of domestic battering in the third degree:
        1. Domestic battering in the first degree, § 5-26-303;
        2. Domestic battering in the second degree, § 5-26-304;
        3. Domestic battering in the third degree;
        4. Aggravated assault on a family or household member, § 5-26-306; or
        5. A violation of an equivalent penal law of this state or of another state or foreign jurisdiction; or
      3. The person committed two (2) or more offenses of battery against a family or household member as defined by a law of this state or by an equivalent law of any other state or foreign jurisdiction within ten (10) years of the offense of domestic battering in the third degree.

History. Acts 1979, No. 396, § 3; A.S.A. 1947, § 41-1655; Acts 1995, No. 1291, § 3; 1999, No. 1365, § 3; 2001, No. 1553, § 10; 2003, No. 944, § 3; 2003, No. 1079, § 1; 2005, No. 1994, § 481; 2009, No. 333, § 1; 2013, No. 417, § 3; 2015, No. 1155, § 5.

A.C.R.C. Notes. This section was formerly codified as § 5-26-303. Former § 5-26-305 has been renumbered as § 5-26-307.

Amendments. The 2009 amendment, in (b)(2)(B), inserted (b)(2)(B)(iv), redesignated the subsequent subdivision accordingly, and made related changes.

The 2013 amendment rewrote the introductory language of (b)(2)(B); added “A violation of” at the beginning of (b)(2)(B)(iv); and rewrote (b)(2)(C).

The 2015 amendment substituted “third degree” for “second degree” in (b)(2)(C).

Case Notes

Construction.

In the context of domestic battering in the third degree, and enhancement in sentencing based on prior offenses, § 5-26-305 is, at the very least, ambiguous because it is subject to more than one interpretation. Colburn v. State, 352 Ark. 127, 98 S.W.3d 808 (2003).

Evidence.

Where the officer testified that defendant admitted to him that she had cut the victim, evidence was sufficient to establish that defendant committed third-degree domestic battering; moreover, because the trial court did not specify the subsection the statute upon which it relied to find guilt, and because the trial court could have relied upon subdivisions (a)(2) or (a)(3), neither of which required purposeful action, it was unnecessary to address whether there was sufficient evidence to establish that defendant acted purposely in cutting the victim. Green v. State, 79 Ark. App. 297, 87 S.W.3d 814 (2002).

Sufficient evidence supported defendant's convictions for second degree domestic battery, and third degree domestic battery where a “family or household member” who could be a victim of these offenses included someone with whom defendant had cohabitated in the past, it was proved that defendant and the victim had previously cohabitated, and it was irrelevant that the victim was married to someone else at the time of the crimes. Brock v. State, 90 Ark. App. 164, 204 S.W.3d 562 (2005).

State produced evidence in the form of a witness that defendant pushed the victim from a moving vehicle and that he struck her afterwards as she lay on the ground; by pushing the victim from a moving vehicle and then kicking her, defendant consciously disregarded the risk that his actions would cause injury to the victim, and there was substantial evidence to support a finding that defendant recklessly caused physical injury to the victim. Lasker v. State, 2009 Ark. App. 591 (2009).

Defendant's suspended sentence was properly revoked under § 5-4-309(d) where the state proved that defendant committed third-degree domestic battery under subsection (a) of this section by showing that defendant inflicted physical injury under § 5-1-102(14), by pulling his wife's hair and throwing her against a vehicle. Andrews v. State, 2009 Ark. App. 624 (2009).

During a hearing on the state's petition to revoke a defendant's suspended sentence, defendant admitted that he slapped his pregnant wife and a responding officer testified to a personal observation of the wife's injuries; this evidence was sufficient to find that defendant inexcusably violated a condition of that suspension and that defendant had committed the offense of domestic battery in the third degree. May v. State, 2009 Ark. App. 703 (2009).

Pregnant wife's testimony that appellant pushed and threatened her — causing red marks on her neck and arm — was sufficient to prove by a preponderance that appellant violated the conditions of his suspended sentence by committing the criminal offenses of domestic battery in third degree, pursuant to subdivision (b)(2)(A) of this section, and terroristic threatening in the second degree, under § 5-13-301(b)(1). Autrand v. State, 2010 Ark. App. 245 (2010).

Because a juvenile's father had not resorted to use of a deadly weapon during an argument, because there had been an interlude of approximately five minutes since their last confrontation, because the father, at the time he was struck, had turned away from the juvenile, and because the juvenile did not testify as to whether the juvenile's beliefs were reasonable, the juvenile lacked justification under §§ 5-1-102(18), 5-2-606(a)(1), 5-2-607(a)(1), (2), and was properly adjudicated as a delinquent for second-degree domestic battering. D.W. v. State, 2011 Ark. App. 187 (2011).

Suspension of an earlier sentence was properly revoked because defendant committed domestic battery in the third degree where an infant child suffered an arm fracture in defendant's care, and a medical examination revealed healing fractures other places; moreover, there was evidence that other injury incidents had occurred while the child was in defendant's care, and there was testimony that defendant was too rough with the child. The standard for reckless was what a reasonable person in the circumstances would have observed. Singletary v. State, 2013 Ark. App. 699 (2013).

Evidence was sufficient to support the revocation of a probationary sentence based on defendant's commission of domestic battering in the third degree. Defendant's boyfriend reported the incident to police, and photographs of his injuries were admitted into evidence without objection; defendant did not contest that her boyfriend was a household member or that his injuries met the statutory definition, and the boyfriend's testimony was sufficient to show that defendant caused the injuries recklessly or purposefully. Glennon v. State, 2016 Ark. App. 25, 480 S.W.3d 894 (2016).

Testimony from the victim's coworkers identifying the photographs of the marks they saw on the victim's face just after her husband hit her, and evidence defendant fled when police arrived supported defendant's conviction for third-degree domestic battery. Donaldson v. State, 2016 Ark. App. 391, 500 S.W.3d 768 (2016).

Evidence was sufficient to sustain a third-degree domestic battering conviction where the victim and defendant had lived together for about 11 years, her injuries required hospitalization, and the victim's daughter's testimony identified defendant as the person who caused the victim's injuries. Bates v. State, 2017 Ark. App. 123, 516 S.W.3d 275 (2017).

Sufficient evidence supported defendant's conviction for domestic battery in the third degree because, regardless of the victim's testimony, the evidence allowed the trial court to find defendant was a family or household member for purposes of this section. Wheeler v. State, 2017 Ark. App. 540, 532 S.W.3d 602 (2017).

In defendant's prosecution for domestic battery in the third degree, proof that defendant purposely caused injury was sufficient because (1) the only contrary evidence was defendant's testimony, which the trier of fact was permitted to disregard, and (2) the evidence allowed the trier of fact to find defendant did not act in self-defense. Wheeler v. State, 2017 Ark. App. 540, 532 S.W.3d 602 (2017).

Evidence was sufficient to convict defendant of third-degree domestic battering based on the testimony of the responding officer and the emergency room physician; the victim, defendant's girlfriend, told the sergeant that the injuries to her leg were caused by the broad side of a machete wielded by defendant; and, while the doctor was taking her history concerning how she had been injured, she told him she had gotten into a verbal altercation with her boyfriend and tried to drive away; he attempted to open her car door with a machete; he then choked her and struck her multiple times with the flat side of the machete on her upper right leg; and then he struck her with a dumbbell. Raheem v. State, 2018 Ark. App. 620, 566 S.W.3d 148 (2018).

Where cross-examination of the victim at trial revealed that the State's exhibit of text messages between the defendant and victim was incomplete and that the victim had deleted some of the messages, the appellate court did not have to decide whether the circuit court erred in failing to strike the exhibit because any error that existed was harmless given the overwhelming evidence of defendant's guilt that remained. Farmer v. State, 2019 Ark. App. 148, 571 S.W.3d 78 (2019).

Federal Law.

Defendant's prior conviction of third-degree domestic battery under subdivision (a)(1) of this section was a violent felony for purposes of the Armed Career Criminal Act (ACCA), 18 U.S.C. § 924(e)(2)(B)(i); controlling precedent had determined that third-degree domestic battery was a violent felony under the ACCA's force clause. United States v. Eason, 907 F.3d 554 (8th Cir. 2018).

Force.

In a case alleging rape, kidnapping, and third-degree domestic battery, a sufficiency of the evidence argument was not preserved for review because defendant argued on the first time on appeal that the amount of restraint or force used did not warrant a kidnapping conviction and a third-degree battery conviction in addition to the rape. This was not the same argument raised during a directed verdict motion. Rounsaville v. State, 372 Ark. 252, 273 S.W.3d 486 (2008).

Sentence.

Where defendant battered the victim on August 14th and 15th, but pled guilty to the August 15th offense in municipal court first, the State could not enhance defendant's later conviction for the August 14th offense to a Class D felony based on the “prior” offense; the offense occurring on August 15th was not a “prior” offense since it occurred after the August 14th battering charge. Colburn v. State, 352 Ark. 127, 98 S.W.3d 808 (2003).

Sentencing defendant under the specific provisions of subsection (b) of this section, which enhanced the offense to a Class D felony, and to also sentence him under the general habitual offender statute, § 5-4-501, was impermissible and resulted in an illegal sentence of twelve years' imprisonment that had to be corrected. Banks v. State, 354 Ark. 404, 125 S.W.3d 147 (2003).

Revocation of defendant's suspended imposition of sentence for two felony convictions was appropriate because the circuit court's finding that she committed third-degree domestic battering and thus violated the condition that she break no laws, was not clearly against the preponderance of the evidence. The testimony was sufficient to prove that, either purposefully or recklessly, she struck her nephew and caused him physical injury in the form of substantial pain under subsection (a) of this section and § 5-1-102(14). Westbrook v. State, 2011 Ark. App. 615 (2011).

Trial court did not err in sentencing defendant after revoking his probation because defendant pleaded guilty to second-degree domestic battery, § 5-26-304, and third-degree domestic battery, under this section, and his sentences of ten and six years, respectively, were sentences that could have been originally imposed for the offenses of which he was found guilty. Jones v. State, 2012 Ark. App. 69, 388 S.W.3d 503 (2012).

5-26-306. Aggravated assault on a family or household member.

  1. A person commits aggravated assault on a family or household member if, under circumstances manifesting extreme indifference to the value of human life, the person purposely:
    1. Engages in conduct that creates a substantial danger of death or serious physical injury to a family or household member;
    2. Displays a firearm in a manner that creates a substantial danger of death or serious physical injury to a family or household member; or
    3. Impedes or prevents the respiration of a family or household member or the circulation of a family or household member's blood by applying pressure on the chest, throat, or neck or by blocking the nose or mouth of the family or household member.
  2. Aggravated assault on a family or household member is a Class D felony.

History. Acts 1979, No. 396, § 4; A.S.A. 1947, § 41-1656; Acts 1995, No. 1291, § 4; 2013, No. 418, § 1; 2019, No. 243, § 2.

A.C.R.C. Notes. This section was formerly codified as § 5-26-304. Former § 5-26-306 has been renumbered as § 5-26-308.

Amendments. The 2013 amendment rewrote (a).

The 2019 amendment inserted “chest” in (a)(3), and made a stylistic change.

Case Notes

Defense or Justification.

In a bench trial resulting in defendant's convictions for aggravated assault on a family member and aggravated assault, the circuit court erred as a matter of law in refusing to consider the defense of justification by ruling that defendant could not present the inconsistent defenses of a general denial and justification; where there is evidence that would support a finding of self-defense, case law has held that a jury instruction is appropriate notwithstanding defendant's testimony that he did not commit the crime. Thus, the circuit court committed an error of law in ruling that defendant was required to choose between the defenses of general denial and justification. Gray v. State, 2019 Ark. App. 543, 590 S.W.3d 177 (2019).

Evidence.

Where defendant's parents, in a very distraught state, gave police written statements that defendant, while intoxicated, threatened them with a shotgun, but then recanted those statements at trial, the evidence nevertheless supported a conviction and it was for the fact-finder to conclude that the parents' testimony was not credible. Nelson v. State, 84 Ark. App. 373, 141 S.W.3d 900 (2004).

Evidence was sufficient to sustain defendant's conviction for aggravated assault and aggravated assault on a family member when, among other things, evidence showed that defendant drove a car in an attempt to run over the victim, the father of her child, and his girlfriend. Williams v. State, 96 Ark. App. 277, 241 S.W.3d 290 (2006).

Evidence was sufficient to convict defendant of aggravated assault on a family or household member because a dispatcher testified that the dispatcher received a 911 call from defendant's wife reporting a domestic disturbance; a deputy testified that the deputy noticed bruising on the wife's body and saw broken dishes and cabinets knocked off the walls. Mathis v. State, 2012 Ark. App. 285, 423 S.W.3d 91 (2012).

Defendant got angry, either loaded or cocked a rifle, put it in a place of easy access, and tried to have his father talk him out of “it,” and given defendant's past history of violence, and his statements and demeanor, the act of preparing a gun to be used and the threat to use it were sufficient to satisfy the statute concerning aggravated assault on a family or household member. Cauffiel v. State, 2013 Ark. App. 642 (2013).

Substantial evidence supported defendant's conviction in a bench trial of aggravated assault on a family or household member because defendant repeatedly punched the victim, his girlfriend, in the head and face while brandishing an open pocketknife, which could certainly create a substantial danger of death or serious physical injury; and the victim sustained a cut on her ear as defendant had the knife in his hand while he was punching her. Williams v. State, 2019 Ark. App. 518, 588 S.W.3d 833 (2019).

Federal Law.

Defendant's Arkansas conviction for aggravated assault on a family member under subdivision (a)(3) of this section was a violent felony under the Armed Career Criminal Act's force clause, 18 U.S.C. § 924(e)(2)(B)(i); the Arkansas statute's element of impeding respiration or blood circulation by applying pressure on the throat or neck or by blocking the nose or mouth necessarily required the use of violent force, and the statute required that defendant act purposely. United States v. Pyles, 888 F.3d 1320 (8th Cir.), cert. denied, 139 S. Ct. 270, 202 L. Ed. 2d 180 (2018).

Cited: Ta v. State, 2015 Ark. App. 220, 459 S.W.3d 325 (2015).

5-26-307. First degree assault on family or household member.

  1. A person commits first degree assault on a family or household member if the person recklessly engages in conduct that creates a substantial risk of death or serious physical injury to a family or household member.
  2. First degree assault on a family or household member is a Class A misdemeanor.

History. Acts 1979, No. 396, § 5; A.S.A. 1947, § 41-1657; Acts 1995, No. 1291, § 5.

A.C.R.C. Notes. This section was formerly codified as § 5-26-305. Former § 5-26-307 has been renumbered as § 5-26-309.

Case Notes

Cited: Bates v. Bates, 303 Ark. 89, 793 S.W.2d 788 (1990).

5-26-308. Second degree assault on family or household member.

  1. A person commits second degree assault on a family or household member if the person recklessly engages in conduct that creates a substantial risk of physical injury to a family or household member.
  2. Second degree assault on a family or household member is a Class B misdemeanor.

History. Acts 1979, No. 396, § 6; A.S.A. 1947, § 41-1658; Acts 1995, No. 1291, § 6.

A.C.R.C. Notes. This section was formerly codified as § 5-26-306.

Case Notes

Sentence.

Defendant's sentence for second-degree assault against a family member was modified to 90 days, to be served concurrently with his 15-year sentence for the burglary, because the trial court erred in sentencing him to one year of imprisonment since the sentence could not exceed 90 days. Davis v. State, 2015 Ark. App. 234, 459 S.W.3d 821 (2015).

Sufficient Evidence.

Even though defendant was not convicted of second-degree assault, there was sufficient evidence that he entered the owner's home to commit that offense, as the owner saw defendant swinging at his wife inside the home after he chased her there with a knife, and thus there was a substantial risk of injury to the wife, which showed defendant's intent; defendant's residential burglary conviction was supported by substantial evidence. Whitfield v. State, 2014 Ark. App. 380, 438 S.W.3d 289 (2014).

Defendant was properly convicted of second-degree assault against a family member because there was substantial evidence that he entered the victim's home with the purpose of assaulting her. Davis v. State, 2015 Ark. App. 234, 459 S.W.3d 821 (2015).

5-26-309. Third degree assault on a family or household member.

  1. A person commits third degree assault on a family or household member if the person purposely creates apprehension of imminent physical injury to a family or household member.
  2. Third degree assault on a family or household member is a Class C misdemeanor.

History. Acts 1979, No. 396, § 7; A.S.A. 1947, § 41-1659; Acts 1995, No. 1291, § 7.

A.C.R.C. Notes. This section was formerly codified as § 5-26-307.

5-26-310. Costs.

  1. The abused in any misdemeanor or felony domestic violence offense shall not bear the costs associated with the filing of a criminal charge against the domestic violence offender or the costs associated with the issuance or service of a warrant and witness subpoena, except as provided in subsection (b) of this section.
  2. Nothing in this section shall be construed to prohibit a judge from assessing costs if an allegation of abuse is determined to be false.
    1. Upon entering a plea of guilty or nolo contendere or being found guilty, a defendant violating §§ 5-26-303 — 5-26-305 or §§ 5-26-307 — 5-26-309 may be required to reimburse any abuse shelter or other entity providing a service to the victim under a provision of the Arkansas Crime Victims Reparations Act, § 16-90-701 et seq., if some proof of expense is provided in conjunction with the Arkansas Crime Victims Reparations Act, § 16-90-701 et seq.
      1. If the defendant maintains the home in which the abuse occurred and the victim will continue to incur lodging costs, the defendant may be ordered to continue to provide remuneration for the victim's lodging under a provision of the Arkansas Crime Victims Reparations Act, § 16-90-701 et seq., until an action is commenced in a court of competent jurisdiction.
      2. Nothing in this section conflicts with or preempts any order of a judge in a divorce, custody, separate maintenance, or other related action to dissolve a marriage.
  3. Nothing in this section conflicts with or preempts a provision of § 16-90-703.

History. Acts 1995, No. 401, § 1; 2003, No. 1770, § 1.

Publisher's Notes. Acts 1995, No. 401, § 1, is also codified in part as § 9-15-202(c)(2).

Cross References. Violation of a protection order, § 5-53-134.

Filing fees for petitions for orders of protection, § 9-15-202.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Offenses Involving the Family, 26 U. Ark. Little Rock L. Rev. 375.

5-26-311. Residential confinement in home of victim prohibited.

In a case involving domestic or family violence, a court shall not order residential confinement as a condition of bond or probation for a defendant in any household shared by the defendant and the alleged victim.

History. Acts 1999, No. 1317, § 3.

5-26-312. Determination of pregnancy.

For purposes of §§ 5-26-303(b)(2), 5-26-304(b)(2), and 5-26-305(b)(2), a woman is considered pregnant four (4) weeks after conception.

History. Acts 2003, No. 944, § 4.

5-26-313. Notice.

A person who is convicted of any misdemeanor of domestic violence shall be notified by the court that it is unlawful for the person to ship, transport, or possess a firearm or ammunition pursuant to 18 U.S.C. § 922(g)(8) and (9), as they existed on January 1, 2007.

History. Acts 2007, No. 676, § 1.

5-26-314. Unlawful distribution of sexual images or recordings.

  1. A person commits the offense of unlawful distribution of sexual images or recordings if, being eighteen (18) years of age or older, with the purpose to harass, frighten, intimidate, threaten, or abuse another person, the actor distributes an image, picture, video, or voice or audio recording of the other person to a third person by any means if the image, picture, video, or voice or audio recording:
    1. Is of a sexual nature or depicts the other person in a state of nudity; and
    2. The other person is a family or household member of the actor or another person with whom the actor is in a current or former dating relationship.
  2. The fact that an image, picture, video, or voice or audio recording was created with the knowledge or consent of the other person or that the image, picture, video, or voice or audio recording is the property of a person charged under this section is not a defense to prosecution under this section.
  3. Unlawful distribution of sexual images or recordings is a Class A misdemeanor.
    1. Upon the pretrial release of a person charged under this section, the court shall enter an order consistent with Rules 9.3 and 9.4 of the Arkansas Rules of Criminal Procedure and shall give notice to the person charged under this section of the penalties contained in Rule 9.5 of the Arkansas Rules of Criminal Procedure.
    2. An order under subdivision (d)(1) of this section remains in effect during the pendency of any appeal of a conviction under this section.

History. Acts 2015, No. 304, § 2.

Subchapter 4 — Nonsupport

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Cross References. Child support, § 9-14-101 et seq.

Fines, § 5-4-201.

Term of imprisonment, § 5-4-401.

Effective Dates. Acts 1951, No. 67, § 13: approved Feb. 9, 1951. Emergency clause provided: “The existing laws pertaining to wife and child abandonment cases make no provision for the welfare, support, and maintenance of such neglected persons. This Act is necessary to provide an adequate and effective means in handling wife and child abandonment cases, and for the promotion of justice, the immediate preservation of public welfare, health, and safety, an emergency is therefore declared and this Act shall take effect and be in full force after its passage.”

Acts 1953, No. 242, § 13: Mar. 6, 1953. Emergency clause provided: “It has been found and is declared by the General Assembly of Arkansas that the existing laws pertaining to wife and child abandonment are wholly inadequate, resulting in great hardship to many wives and children, great expenditures of welfare funds for the support of children of able-bodied fathers and a feeling of futility on the part of many conscientious public officials. This situation requires prompt and drastic action. Therefore, an emergency is declared to exist, and this Act being necessary for the preservation of the public peace, health, and safety, shall take effect and be in force from the date of its approval.”

Acts 1983, No. 174, § 2: Feb. 15, 1983. Emergency clause provided: “It is hereby found and determined by the Seventy-Fourth General Assembly that the present Arkansas criminal law on the offense of nonsupport is constitutionally suspect on equal protection grounds; that there is an immediate need to remedy this law by legislative action. Therefore, an emergency is hereby declared to exist and this Act being necessary for the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Research References

ALR.

Constitutionality of gender-based classifications in criminal laws proscribing nonsupport of spouse or child. 14 A.L.R.4th 717.

Statute limiting physician-patient privilege in judicial proceedings relating to child abuse or neglect. 44 A.L.R.4th 649.

Am. Jur. 23 Am. Jur. 2d, Desert. & N., § 1 et seq.

Ark. L. Rev.

Fuqua, Comments: Bastardy Law in Arkansas — The Need for Revision, 33 Ark. L. Rev. 178.

C.J.S. 41 C.J.S., Husb. & W., § 242 et seq.

67A C.J.S., Parent & C., § 359 et seq.

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Family Law, 1 U. Ark. Little Rock L.J. 200.

5-26-401. Nonsupport.

  1. A person commits the offense of nonsupport if he or she fails to provide support to the person's:
    1. Spouse who is physically or mentally infirm or financially dependent;
    2. Legitimate child who is less than eighteen (18) years of age;
    3. Illegitimate child who is less than eighteen (18) years of age and whose parentage has been determined in a previous judicial proceeding; or
    4. Dependent child who is physically or mentally infirm.
    1. Nonsupport is a Class A misdemeanor.
    2. However, nonsupport is a:
      1. Class D felony if the person:
        1. Leaves or remains outside the State of Arkansas for more than thirty (30) days while a current duty of support is unpaid. However, it is an affirmative defense to a charge under this subdivision (b)(2)(A)(i) that the defendant did not leave or remain outside the state with the purpose of avoiding the payment of support;
        2. Has previously been convicted of nonsupport; or
        3. Owes more than two thousand five hundred dollars ($2,500) in past-due child support, pursuant to a court order or by operation of law, and the amount represents at least four (4) months of past-due child support;
      2. Class C felony if the person owes more than ten thousand dollars ($10,000) but less than twenty-five thousand dollars ($25,000) in past-due child support, pursuant to a court order or by operation of law; or
      3. Class B felony if the person owes more than twenty-five thousand dollars ($25,000) in past-due child support, pursuant to a court order or by operation of law.
  2. The court may direct that a fine imposed upon conviction of nonsupport or a bond forfeited in connection with a prosecution for nonsupport be paid for the support and maintenance of the person entitled to support.
  3. A district court located in a county having a population in excess of two hundred thousand (200,000) inhabitants shall cause a warrant of arrest to be issued upon affidavit of a spouse or any person who is responsible for maintenance of a dependent child who states that nonsupport has taken place.
  4. Any person found guilty of nonsupport is also responsible for the court costs and administrative costs incurred by the court.
  5. The state may take judgment against any defendant convicted of nonsupport for any money expended by any state agency for the support and maintenance of the person with respect to whom the defendant had a duty to support.
  6. It is an affirmative defense to a prosecution under this section that the defendant had just cause to fail to provide the support.

History. Acts 1975, No. 280, § 2405; 1983, No. 174, § 1; A.S.A. 1947, § 41-2405; Acts 1997, No. 1282, § 1; 1999, No. 1484, § 1; 2007, No. 827, § 31.

Cross References. Office of Child Support Enforcement, Employment of attorneys, § 9-14-210.

Research References

U. Ark. Little Rock L.J.

Legislation of the 1983 General Assembly, Family Law, 6 U. Ark. Little Rock L.J. 624.

Survey — Criminal Law, 12 U. Ark. Little Rock L.J. 183.

Case Notes

Continuing Crime.

Where defendant was convicted for failing to pay child support for six years, § 5-1-109(b)(2) did not bar the prosecution for the failure to pay support more than three years before defendant was charged because nonsupport was a continuing crime. Hampton v. State, 357 Ark. 473, 183 S.W.3d 148 (2004).

Trial court erred in denying a father's motion to dismiss a charge of failure to pay child support, a continuing offense, on the ground that the statute of limitations had expired because the date of the crime of nonsupport had to be determined based upon subdivision (b)(3) of this section, prior to its amendment in 1997; the one-year statute of limitations expired several weeks prior to the effective date of the amended version of the statute. Reeves v. State, 374 Ark. 415, 288 S.W.3d 577 (2008).

Divorce.

Procurement of a divorce did not relieve one of the legal responsibility for the support of his minor child. Guyot v. State, 222 Ark. 275, 258 S.W.2d 569 (1953) (decision under prior law).

Double Jeopardy.

Defendant's prior contempt proceedings did not present a double-jeopardy bar to the state's prosecution for criminal nonsupport under this section because each time defendant failed to pay his child support, he offended his ongoing duty to provide support; the state was not seeking to punish defendant for the acts of nonpayment for which he had already been punished, but rather, the state was attempting to penalize defendant for a violation of the statute for which he had not yet been punished. Halpaine v. State, 2011 Ark. 517, 385 S.W.3d 838 (2011).

Evidence.

Evidence held sufficient to show a violation of former section. Castle v. State, 229 Ark. 478, 316 S.W.2d 701 (1958) (decision under prior law).

Evidence held sufficient to support conviction. Nelke v. State, 19 Ark. App. 292, 720 S.W.2d 719 (1986).

While the state must prove every element of its criminal nonsupport case beyond a reasonable doubt, it may do so by circumstantial, as well as direct, evidence. Nelke v. State, 19 Ark. App. 292, 720 S.W.2d 719 (1986).

Evidence held insufficient to support conviction of failing to support dependent spouse. Woodberry v. State, 35 Ark. App. 129, 811 S.W.2d 339 (1991).

Trial court properly revoked defendant's suspended sentence for nonsupport, in violation of subdivision (a)(3) of this section, because defendant's purported lack of knowledge and understanding of the obligation was inconsistent with what defendant was told and what defendant admitted during the process of pleading guilty; substantial evidence supported the revocation order. Rhoades v. State, 2010 Ark. App. 730, 379 S.W.3d 659 (2010).

Failure to Provide.

In order to convict a husband it had to be shown that the husband willfully or negligently failed to provide adequately for his wife and children, but a mere failure on account of inability was insufficient. Dempsey v. State, 108 Ark. 76, 157 S.W. 734 (1913) (decision under prior law); Nelke v. State, 19 Ark. App. 292, 720 S.W.2d 719 (1986).

Where a husband had abandoned his wife and minor children, total provision made to them for three months held to be failure to provide for the wife and children. Dempsey v. State, 108 Ark. 76, 157 S.W. 734 (1913) (decision under prior law).

Uncontradicted testimony by a child support enforcement office employee that he believed defendant's child turned 17 did not meet the definition of hearsay because it was merely an opinion, and it was sufficient to establish the child's age for purposes of supporting defendant's conviction for nonsupport. Hampton v. State, 357 Ark. 473, 183 S.W.3d 148 (2004).

Indictment or Information.

Information held to sufficiently charge the offense. Castle v. State, 229 Ark. 478, 316 S.W.2d 701 (1958) (decision under prior law).

Instructions.

An instruction held properly refused where it was abstract, argumentative and misleading. Stephens v. State, 172 Ark. 398, 288 S.W. 926 (1926) (decision under prior law).

Jurisdiction.

Former similar section did not give the chancery court jurisdiction to compel support for illegitimate child. Higgs v. Higgs, 227 Ark. 572, 299 S.W.2d 837 (1957) (decision under prior law).

The fact that the divorce court had retained jurisdiction did not nullify a penal statute covering the same subject matter. Guyot v. State, 222 Ark. 275, 258 S.W.2d 569 (1953) (decision under prior law).

Although Ark. Const., Art. 7, § 28 vested jurisdiction in the county courts over all matters relating to paternity, such jurisdiction was civil in nature and did not bar criminal prosecution in the circuit court. Platt v. Ponder, 233 Ark. 682, 346 S.W.2d 687 (1961) (decision under prior law).

Just Cause.

The words “without good cause” meant such cause as was a sufficient ground for divorce and the severance of the marital relation under the law. Miller v. State, 123 Ark. 480, 185 S.W. 789 (1916) (decision under prior law).

Neglect, refusal or abandonment had to be without good cause. Dumbroski v. State, 192 Ark. 263, 90 S.W.2d 973 (1936) (decision under prior law).

Leaving the State.

It was necessary on the felony charge to prove that the husband had left the state as a part of his act of desertion. Dunham v. State, 169 Ark. 257, 275 S.W. 325 (1925); Green v. State, 230 Ark. 1007, 328 S.W.2d 89 (1959) (preceding decisions under prior law).

Instruction regarding defendant's leaving state held erroneous since it would permit jury to find defendant guilty whether or not his act of leaving the state was connected with his act of desertion. Green v. State, 230 Ark. 1007, 328 S.W.2d 89 (1959) (decision under prior law).

Preservation for Review.

For the first time on appeal, defendant specifically argued that the State failed to prove in his trial for nonsupport that he was $25,000 or more behind on his child support obligations. This challenge to the sufficiency of the evidence was not preserved for appeal because the directed verdict motion made below did not specifically allege that the State's proof was insufficient as to the amount of unpaid child support. Turley v. State, 2020 Ark. App. 118 (2020).

Proof.

A marriage between the defendant and his alleged wife could be proved by a preponderance of the testimony, but whether he abandoned and refused to support his wife and child had to be proved beyond a reasonable doubt. Linville v. State, 129 Ark. 36, 195 S.W. 382 (1917) (decision under prior law).

Trial court did not err in denying defendant's motion dismiss or motion for a directed verdict as felony nonsupport was a continuing offense and defendant was charged within three years of committing the offense. Morris v. State, 88 Ark. App. 251, 197 S.W.3d 41 (2004).

Trial court erred in revoking defendant's probation for failure to pay a child support arrearage following a conviction for felony nonsupport in violation of subsection (a) and subdivision (b)(2)(B) of this section where defendant asserted an inability to pay and offered a disability as a reasonable excuse for his nonpayment and where the state offered no evidence of defendant's other sources of income, his assets, or his expenses. The trial court should have applied § 5-4-309(d)'s general inexcusably failed to comply standard as refined by § 5-4-205(f)'s restitution-specific factors. Hanna v. Arkansas, 2009 Ark. App. 809, 372 S.W.3d 375 (2009).

Cited: Britt v. State, 261 Ark. 488, 549 S.W.2d 84 (1977); Pickens-Bond Constr. Co. v. Case, 266 Ark. 323, 584 S.W.2d 21 (1979); Madewell v. State, 290 Ark. 580, 720 S.W.2d 913 (1986); Smith v. State, 296 Ark. 451, 757 S.W.2d 554 (1988); Duhon v. State, 299 Ark. 503, 774 S.W.2d 830 (1989); Hagen v. State, 318 Ark. 139, 883 S.W.2d 832 (1994).

5-26-402 — 5-26-409. [Reserved.]

  1. When any person is liable to be prosecuted under § 5-26-401, he or she may be indicted, tried, and convicted in:
    1. The county where the violation of § 5-26-401 originally occurred;
    2. Any county where he or she might be apprehended; or
    3. The county where the injured spouse or child resided at the time of the filing of the indictment or information.
  2. Subdivisions (a)(2) and (3) of this section apply because each successive day the offense continues is declared to be a violation of § 5-26-401 not only in the county where the offense originally occurred but in any county where the offender or the injured spouse or child resides while the course of conduct condemned in § 5-26-401 continues.

History. Acts 1951, No. 67, § 3; 1953, No. 242, § 3; 1975, No. 928, § 8; A.S.A. 1947, § 41-2451.

5-26-411. Evidence of marriage and parentage — Spouse as witness.

  1. No other evidence is required to prove marriage of a husband and wife or that the defendant is the lawful parent of a legitimate child or has acknowledged paternity of an illegitimate child than is required to prove this fact in a civil action.
  2. The spouse and parent is a competent witness to testify in any case brought under this chapter and to a matter relevant to this chapter, including the fact of the marriage and the parentage of the child.
  3. A legally adopted child and a child whose parentage was determined in a paternity proceeding is within the provisions of this chapter and no proof other than an order of a proper court is required to prove parentage.

History. Acts 1951, No. 67, § 10, as amended and renumbered by Acts 1953, No. 242, § 11; 1981, No. 633, § 4; A.S.A. 1947, § 41-2458; Acts 1995, No. 1296, § 3.

Cross References. Paternity proceedings, § 9-10-102 et seq.

5-26-412. Payment of fine to spouse or guardian.

When a fine is imposed a court may direct that it be paid in whole or in part to a spouse or to a guardian or custodian of a child.

History. Acts 1951, No. 67, § 6; 1953, No. 242, § 6; A.S.A. 1947, § 41-2453.

5-26-413. Temporary support order.

At any time before a trial or pending appeal, upon motion of a complainant and upon notice to the defendant, the court may:

  1. Enter a temporary support order as it deems just, providing for the support of a neglected spouse or child, pendente lite; and
  2. Punish for violation of the temporary support order as for contempt.

History. Acts 1951, No. 67, § 5; 1953, No. 242, § 5; 1981, No. 633, § 1; A.S.A. 1947, § 41-2452.

5-26-414. Order for periodic payments — Release of defendant on own recognizance.

  1. In its discretion, the original trial court may:
    1. Order a defendant who violates § 5-26-401 to pay a certain sum periodically, for a time not to exceed one (1) year, to the spouse or to the guardian or custodian of a child; and
    2. Release the defendant from custody upon the defendant's entering a recognizance, with or without sureties, in such sum as the original trial court may direct.
  2. The conditions of the recognizance shall be that the defendant:
    1. Will comply with the terms of the order; and
    2. Appear in court on a day certain.
  3. Failure to appear is punishable by imprisonment for not less than ten (10) days nor more than ninety (90) days and shall not be suspended.

History. Acts 1951, No. 67, § 7; 1953, No. 242, § 7; 1981, No. 633, § 2; A.S.A. 1947, § 41-2454.

Case Notes

Cited: Allen v. State, 260 Ark. 466, 541 S.W.2d 675 (1976).

5-26-415. Times when periodic payments may be authorized.

The original trial court may issue the order provided in § 5-26-414:

  1. Before the trial, with the consent of the defendant;
  2. At the trial, on entry of plea of guilty; or
  3. After conviction, in lieu of a penalty provided in § 5-26-401 or in addition to a penalty provided in § 5-26-401.

History. Acts 1951, No. 67, § 8; 1953, No. 242, § 8; A.S.A. 1947, § 41-2455; Acts 2007, No. 827, § 32.

5-26-416. Violation of order — Forfeiture of recognizance.

  1. When the original trial court is satisfied by information and proof under oath that any time during the year the defendant has violated a term of its order, the original trial court shall proceed with the trial of the defendant under the original conviction, or enforce the original sentence, as the case may be.
  2. In case of forfeiture of recognizance and the enforcement of forfeiture of recognizance by execution, in the discretion of the original trial court the sum recovered may be paid in whole or in part to a spouse or to a guardian or custodian of a minor child.

History. Acts 1951, No. 67, § 9; 1953, No. 242, § 9; 1981, No. 633, § 3; A.S.A. 1947, § 41-2456.

Subchapter 5 — Custody and Visitation

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Research References

ALR.

Taking child by or under authority of parent or one in loco parentis. 20 A.L.R.4th 823.

Abduction of own child. 49 A.L.R.4th 7.

5-26-501. Interference with visitation.

    1. A person commits the offense of interference with visitation if, knowing that he or she has no lawful right to do so, he or she takes, entices, or keeps any minor from any person entitled by a court decree or order to the right of visitation with the minor.
    2. A person claiming interference with visitation shall provide a copy of the signed court order or decree regarding custody or visitation rights to a law enforcement officer as proof of the interference with visitation.
    1. Interference with visitation is a Class C misdemeanor.
    2. However, interference with visitation is a:
      1. Class D felony for any offense if the minor is taken, enticed, or kept outside of the State of Arkansas; or
      2. Class A misdemeanor for a third or subsequent offense.
  1. It is an affirmative defense to a prosecution that:
    1. A person or lawful guardian committed the act to protect the minor from imminent physical harm if the defendant's:
      1. Belief that physical harm was imminent is reasonable; and
      2. Conduct in withholding visitation rights was a reasonable response to the harm believed to be imminent;
    2. A person or lawful guardian committed the act based on a reasonable belief that the person entitled to visitation would remove the minor from the jurisdiction of the court;
    3. The act was committed with the mutual consent of all parties having a right to custody and visitation of the minor; or
    4. The act was otherwise authorized by law.

History. Acts 1985, No. 540, § 1; A.S.A. 1947, § 41-2415; Acts 1999, No. 1129, § 1; 2007, No. 827, § 33.

Case Notes

Contempt.

Permanent restraining order, which authorized law-enforcement officers to arrest and incarcerate a mother for actions far beyond the statutory offense of interference with visitation, under this section, was an impermissible delegation of the circuit court's judicial power, under Ark. Const., Art. 7, § 26, to enforce its orders by finding the mother in contempt, under§ 16-10-108. Brock v. Eubanks, 102 Ark. App. 165, 288 S.W.3d 272 (2008).

5-26-502. Interference with court-ordered custody.

  1. A person commits the offense of interference with court-ordered custody if the person:
    1. Knowing that he or she has no lawful right to do so, takes, entices, or keeps any minor from any person entitled by a court decree or order to the right of custody of the minor;
    2. Without lawful authority, knowingly or recklessly takes or entices, or aids, abets, hires, or otherwise procures another person to take or entice, any minor or any incompetent person from the custody of:
      1. The parent of the minor or incompetent person;
      2. The guardian of the minor or incompetent person;
      3. A public agency having lawful charge of the minor or incompetent person;
      4. Any other lawful custodian; or
      5. A person described in subdivisions (a)(2)(A), (B), or (D) of this section while the custodian and minor are being housed at a shelter as defined in § 9-4-102;
      1. Has been awarded custody or granted an adoption or guardianship of a juvenile pursuant to or arising out of a dependency-neglect action pursuant to the Arkansas Juvenile Code of 1989, § 9-27-301 et seq., and subsequently places the juvenile in the care or supervision of any person:
        1. From whom the juvenile was removed; or
        2. The court has specifically ordered not to have care, supervision, or custody of the juvenile.
      2. Subdivision (a)(3)(A) of this section shall not be construed to prohibit a placement described in subdivision (a)(3)(A) of this section if the person who has been granted custody, adoption, or guardianship obtains a court order to that effect from the juvenile division of circuit court that made the award of custody, adoption, or guardianship; or
    3. Accepts or acquiesces in taking physical custody for any length of time of a juvenile who was removed from the person or if the court has specifically ordered that the person not have care, supervision, or custody of the juvenile pursuant to or arising out of a dependency-neglect action pursuant to the Arkansas Juvenile Code of 1989, § 9-27-301 et seq.
      1. Interference with court-ordered custody under subdivision (a)(1) of this section is a Class A misdemeanor.
      2. However, interference with court-ordered custody under subdivision (a)(1) of this section is a Class D felony if the minor is:
        1. Taken, enticed, or kept outside the State of Arkansas; or
        2. Taken from any person entitled by a court decree or order to the right of custody of the minor while the custodian and minor are being housed at a shelter as defined in § 9-4-102, even if the minor is not taken outside the State of Arkansas.
    1. Interference with court-ordered custody under subdivision (a)(2) of this section is a Class C felony.
      1. Interference with court-ordered custody under subdivision (a)(3) of this section is a Class A misdemeanor.
      2. However, any subsequent offense of interference with court-ordered custody under subdivision (a)(3) of this section shall constitute a Class C felony.
      1. Interference with court-ordered custody under subdivision (a)(4) of this section is a Class A misdemeanor.
      2. However, any subsequent offense of interference with court-ordered custody under subdivision (a)(4) of this section shall constitute a Class C felony.
    1. In every case prior to serving a warrant for arrest on a person charged with the offense of interference with court-ordered custody, the police officer or other law enforcement officer shall inform the Department of Human Services of the circumstances of any minor named in the information or indictment as having been taken, enticed, or kept from the custodian in a manner constituting interference with court-ordered custody or placed with a person prohibited under subdivision (a)(3) of this section.
    2. A representative of the department shall be present with the arresting police officer or law enforcement officer to take the minor into temporary custody of the department pending further proceedings by a court of competent jurisdiction.
    1. A court of competent jurisdiction shall determine the immediate custodial placement of any minor pursuant to a petition brought by the department or an agency of the department to determine if there is probable cause to believe the minor may be:
      1. Removed from the jurisdiction of the court;
      2. Abandoned; or
      3. Outside the immediate care or supervision of a person lawfully entitled to custody.
    2. Except in a situation arising under subdivisions (a)(3) or (4) of this section, the court shall immediately give custody to the lawful custodian if it finds that the lawful custodian is present before the court.
    1. A petitioner shall comply with the requirements of § 9-27-312 with regard to the giving of a notice and the setting of a hearing.
    2. The petitioner is immune from liability with respect to any conduct undertaken pursuant to this section unless it is determined that the petitioner acted with actual malice.

History. Acts 1985, No. 540, § 2; A.S.A. 1947, § 41-2416; Acts 1987, No. 483, § 1; 1987, No. 898, § 1; 1995, No. 1343, § 1; 2001, No. 1503, § 16; 2001, No. 1553, § 11; 2005, No. 1870, § 1.

Cross References. Child custody and visitation, § 9-13-101 et seq.

Duties and responsibilities of custodian, § 9-27-353.

Research References

U. Ark. Little Rock L.J.

Survey — Family Law, 10 U. Ark. Little Rock L.J. 577.

Case Notes

Double Jeopardy.

Defendant father found guilty of contempt for failure to timely return child to mother's custody could not also be convicted of a violation of this section for the same offense. Hobbs v. State, 43 Ark. App. 149, 862 S.W.2d 285 (1993).

Intent.

Conviction for taking child from legal custody and out of state was upheld where there was no evidence that the court had any knowledge of defendant's intent to remove child from its jurisdiction, and intent of defendant to return child did not take her out of operation of former section which provided penalty for taking children from person having legal custody. Estes v. State, 246 Ark. 1145, 442 S.W.2d 221 (1969) (decision under prior law).

Out-of-State Custody Order.

Defendant was properly convicted of interference with custody under this section for not returning his children to his ex-wife pursuant to a Pennsylvania custody order; the fact that the order had not yet been registered in Arkansas for 10 days under § 9-19-305 did not bar a criminal prosecution, as that requirement only applied in a civil enforcement action. Sections 9-19-303(b) and 9-19-315 further support this result. Longeway v. State, 2018 Ark. App. 356, 553 S.W.3d 180 (2018).

5-26-503. Interference with custody.

  1. A person commits the offense of interference with custody if without lawful authority he or she knowingly takes, entices, or keeps, or aids, abets, hires, or otherwise procures another person to take, entice, or keep any minor from the custody of:
    1. The parent of the minor including an unmarried woman having legal custody of an illegitimate child under § 9-10-113;
    2. The guardian of the minor;
    3. A public agency having lawful charge of the minor; or
    4. Any other lawful custodian.
  2. Interference with custody is a Class C felony.
    1. In every case prior to serving a warrant for arrest on a person charged with the offense of interference with custody, the police officer or other law enforcement officer shall inform the Department of Human Services of the circumstances of any minor named in the information or indictment as having been taken, enticed, or kept from the parent, guardian, or custodian in a manner constituting interference with custody.
    2. A representative of the department shall be present with the arresting police officer or law enforcement officer to take the minor into temporary custody of the department pending further proceedings by a court of competent jurisdiction.
    1. A court of competent jurisdiction shall determine the immediate custodial placement of any minor taken into custody by the department under subsection (c) of this section pursuant to a petition brought by the department to determine if there is probable cause to believe the minor may be:
      1. Removed from the jurisdiction of the court;
      2. Abandoned; or
      3. Outside the immediate care or supervision of a person lawfully entitled to custody.
    2. The court shall immediately give custody to the lawful custodian if it finds that the lawful custodian is present before the court.
    1. The department shall comply with the requirements of § 9-27-312 with regard to the giving of a notice and the setting of a hearing on a petition filed under subsection (d) of this section.
    2. The department is immune from liability with respect to any conduct undertaken pursuant to this section unless it is determined that the department acted with actual malice.

History. Acts 2007, No. 669, § 1; 2011, No. 1177, § 1.

Amendments. The 2011 amendment inserted “or keeps” and “or keep” in the introductory language of (a).

Case Notes

Sufficient Evidence.

Sufficient evidence supported defendant's residential burglary and interference with custody convictions given the trial testimony that he forced open the victim's apartment door and took her child against her will (no-merit brief). Kelley v. State, 2019 Ark. App. 71, 568 S.W.3d 801 (2019).

5-26-410. Jurisdiction.

Chapter 27 Offenses Against Children or Incompetents

Cross References. Abuse of adults, § 5-28-101 et seq.

Fines, § 5-4-201.

Term of imprisonment, § 5-4-401.

Research References

ALR.

Child molestation: penal statute. 1 A.L.R.4th 38.

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

Barrier, Render Unto Caesar: An Essay on Private Morals and Public Law, 4 U. Ark. Little Rock L.J. 511.

Subchapter 1 — General Provisions

[Reserved]

Subchapter 2 — Offenses Generally

Cross References. Furnishing intoxicating liquor to minors, §§ 3-3-2013-3-204.

Effective Dates. Acts 1887, No. 17, § 3: effective on passage.

Acts 1911, No. 98, § 3: effective on passage.

Acts 1929, No. 152, § 32: approved Mar. 20, 1929. Emergency clause provided: “It is hereby ascertained and declared that both the State Equalizing Fund and the Common School Fund are inadequate to provide equal educational opportunities for the children of this State, so that there is great danger of their not getting an education; that there are hundreds of school districts in this state where the equipment is insufficient, the teaching is incompetent and the terms of school are not more than three months per year; that the local maximum levy of eighteen (18) mills for school purposes is inadequate to provide better facilities; that the funds to be raised by this Act will be used to equalize the educational opportunities to all of the school children of this State by increasing the amount to be spent by the Common Schools and by proving an adequate fund to help the weaker schools of the rural sections. It is therefore necessary for the preservation of the public peace, health and safety that this Act go into immediate operation, and accordingly it is provided that this Act shall take effect and be in full force from and after its passage.”

Acts 1967, No. 422, § 3: emergency failed to pass.

Acts 1967, No. 476, § 2: Apr. 4, 1967. Emergency clause provided: “It is hereby found and determined by the General Assembly that under existing law a minor under the age of eighteen (18) must be accompanied by a parent or guardian if he wishes to play pool or billiards; that today the game of pool and billiards is a wholesome form of entertainment that furnishes many hours of pleasure and relaxation for thousands of persons of all ages in this State; that family recreation centers are today operated as recreational facilities; that the presence of minors in such establishments does not corrupt the morals of a minor or in any way contribute to the delinquency of such minors; and that in order to remove the unfounded stigma that is attached to minors playing pool or billiards, it is necessary that this act become effective immediately. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety, shall be in full force and effect from and after its passage and approval.”

Acts 1975, No. 451, § 51: July 1, 1975.

Acts 1981, No. 526, § 3: Mar. 16, 1981. Emergency clause provided: “It is hereby found and determined that clarification of the laws relative to the use of coin-operated amusement machines or other amusement devices in family recreation centers in this State is needed; that the presence of such machines in such centers would provide much-needed amusement to the young citizens of this State; and, that such machines would generate additional revenues. Therefore, an emergency is hereby declared to exist and this Act, being necessary for the immediate preservation of the public peace, health and safety, shall be in full force and effect from and after its passage and approval.”

Acts 1985, No. 990, § 4: Apr. 16, 1985. Emergency clause provided: “It is hereby found and determined by the General Assembly that law enforcement agencies and prosecuting attorneys need notification of child abuse in order to make timely responses and investigations. Therefore, this Act is immediately necessary to enable law enforcement agencies and prosecuting attorneys to quickly respond to acts of child abuse. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1993, No. 1126, § 13: September 1, 1993.

Acts 1997, No. 1337, § 30: July 1, 1997. Emergency clause provided: “It is hereby found and determined by the General Assembly that the regulation of the manufacture, distribution, and sale of tobacco products in this state should be transferred from the Department of Finance and Administration to an independent agency; that this act establishes the Arkansas Tobacco Control Board as such independent agency; that the transfer of duties should occur at the beginning of the next fiscal year; and that unless this emergency clause is adopted, the transfer will most likely not occur until after the beginning of the next fiscal year. Therefore, an emergency is hereby declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall be in full force and effect from and after July 1, 1997.”

Acts 2015, No. 1235, § 34: Emergency clause failed to pass. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the state must be able to plan and give effective notice for the new comprehensive permits created by this act; that it is essential to the operation of Arkansas Tobacco Control and the tobacco, vapor product, and alternative nicotine product industry that this act be effective on the renewal date for permits issued by Arkansas Tobacco Control to ensure proper funding for the enforcement of the new regulations and requirements of this act; that a delay in the effectiveness of this act after the renewal date of permits and regulations issued by Arkansas Tobacco Control may cause irreparable harm upon the proper administration and provision of essential governmental programs; and that this act is necessary to ensure that the industry and the citizens of Arkansas are provided guidance regarding permits for vapor products and alternative nicotine products. Therefore, an emergency is declared to exist, and this act being necessary for the preservation of the public peace, health, and safety shall become effective on May 1, 2015.”

Acts 2019, No. 580, § 18: Sept. 1, 2019. Effective date clause provided: “Sections 2-17 of this act are effective on the first day of the second calendar month following the effective date of this act”.

Research References

ALR.

Validity and application of statute allowing endangered child to be temporarily removed from parental custody. 38 A.L.R.4th 756.

Statute limiting physician-patient privilege in judicial proceedings relating to child abuse or neglect. 44 A.L.R.4th 649.

Am. Jur. 47 Am. Jur. 2d, Juv. Cts., § 63 et seq.

5-27-201. Endangering the welfare of an incompetent person in the first degree.

  1. A person commits the offense of endangering the welfare of an incompetent person in the first degree if, being a parent, guardian, person legally charged with care or custody of an incompetent person, or a person charged with supervision of an incompetent person, he or she purposely:
    1. Engages in conduct creating a substantial risk of death or serious physical injury to an incompetent person; or
    2. Deserts the incompetent person under circumstances creating a substantial risk of death or serious physical injury.
  2. Endangering the welfare of an incompetent person in the first degree is a Class D felony.

History. Acts 1975, No. 280, § 2409; A.S.A. 1947, § 41-2409; Acts 2005, No. 2216, § 1.

5-27-202. Endangering the welfare of an incompetent person in the second degree.

    1. A person commits the offense of endangering the welfare of an incompetent person in the second degree if he or she knowingly engages in conduct creating a substantial risk of serious harm to the physical or mental welfare of a person known by the actor to be an incompetent person.
    2. As used in this section, “serious harm to the physical or mental welfare of a person” means physical or mental injury that causes:
      1. Protracted disfigurement;
      2. Protracted impairment of physical or mental health; or
      3. Loss or protracted impairment of the function of any bodily member or organ.
  1. Endangering the welfare of an incompetent person in the second degree is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2410; A.S.A. 1947, § 41-2410; Acts 2005, No. 2216, § 2.

5-27-203. Endangering the welfare of an incompetent person in the third degree.

    1. A person commits the offense of endangering the welfare of an incompetent person in the third degree if the person recklessly engages in conduct creating a substantial risk of serious harm to the physical or mental welfare of a person known by the actor to be an incompetent person.
    2. As used in this section, “serious harm to the physical or mental welfare of a person” means physical or mental injury that causes:
      1. Protracted disfigurement;
      2. Protracted impairment of physical or mental health; or
      3. Loss or protracted impairment of the function of any bodily member or organ.
  1. Endangering the welfare of an incompetent person in the third degree is a Class B misdemeanor.

History. Acts 2005, No. 2216, § 3.

Publisher's Notes. This section was formerly codified as § 5-27-232.

5-27-204. [Transferred.]

Publisher's Notes. Former § 5-27-204 was renumbered as § 5-27-206.

5-27-205. Endangering the welfare of a minor in the first degree.

  1. A person commits the offense of endangering the welfare of a minor in the first degree if, being a parent, guardian, person legally charged with care or custody of a minor, or a person charged with supervision of a minor, he or she purposely:
    1. Engages in conduct creating a substantial risk of death or serious physical injury to a minor; or
    2. Deserts a minor less than ten (10) years old under circumstances creating a substantial risk of death or serious physical injury.
  2. Endangering the welfare of a minor in the first degree is a Class D felony.
    1. It is an affirmative defense to a prosecution under this section that a parent voluntarily delivered a child to and left the child with, or voluntarily arranged for another person to deliver a child to and leave the child with, a medical provider, law enforcement agency, or fire department as provided in § 9-34-201 et seq.
      1. Subdivision (c)(1) of this section does not create a defense to any prosecution arising from any conduct other than the act of delivering a child as described in subdivision (c)(1) of this section.
      2. Subdivision (c)(1) of this section specifically does not constitute a defense to any prosecution arising from an act of abuse or neglect committed before the delivery of a child to a medical provider, law enforcement agency, or fire department as provided in § 9-34-201 et seq.

History. Acts 1975, No. 280, § 2407; A.S.A. 1947, § 41-2407; Acts 2001, No. 236, § 2; 2005, No. 2207, § 1; 2019, No. 185, § 1.

Publisher's Notes. This section was formerly codified as § 5-27-203.

Amendments. The 2019 amendment inserted “or fire department” in (c)(1) and (c)(2)(B); substituted “Subdivision (c)(1) of this section does not” for “Nothing in subdivision (c)(1) of this section shall be construed to” in (c)(2)(A); and made stylistic changes.

Cross References. Safe haven babies and voluntary delivery of a child, § 9-34-201 et seq.

Research References

ALR.

Parents' criminal liability for failure to provide medical attention to their children. 118 A.L.R.5th 253.

Criminal Prosecutions and Civil Actions for Leaving Child in Unattended Hot or Cold Vehicle, 26 A.L.R.7th Art. 5 (2018).

Case Notes

Construction.

The term “desert,” as used in subsection (a), is ambiguous and requires the State to show that defendant has no intent to return for the child in order to establish a violation. Burnette v. State, 354 Ark. 584, 127 S.W.3d 479 (2003).

Illustrative Cases.

Defendant's conviction for endangering the welfare of a child in the first degree, where the four-year-old child wandered onto the street when defendant left home briefly to aid a girlfriend whose car had broken down, was reversed because the term “desert” was ambiguous and the State failed to show that defendant intended to leave the child permanently. Burnette v. State, 354 Ark. 584, 127 S.W.3d 479 (2003).

Judgment convicting defendant of manufacturing methamphetamine under § 5-64-401(a)(1), possession of drug paraphernalia with the intent to manufacture methamphetamine under § 5-64-403, first-degree endangering the welfare of a minor under subdivision (a)(1) of this section, manufacturing methamphetamine in the presence of a minor, and manufacturing methamphetamine near certain facilities was affirmed because contraband was found in the kitchen and bedroom of defendant's residence, strewn about his yard, and in an outbuilding behind his residence; the materials found in the search were the components of a methamphetamine lab; at least two of defendant's minor children were present in the residence at the time of the search; and the drug paraphernalia and chemicals found could easily be accessed by the children. Morgan v. State, 2009 Ark. 257, 308 S.W.3d 147 (2009).

Evidence that the burns to defendant's daughter were caused by a hot instrument, not hot water, which produced the risk of protracted disfigurement was sufficient to satisfy this section, the child endangerment statute. McKnight v. State, 2010 Ark. App. 598, 378 S.W.3d 173 (2010).

Defendant's conviction for endangering the welfare of a minor under this section was appropriate because the evidence was sufficient. Defendant fired a shotgun at the child's grandmother as the mother of defendant's child and the child stood approximately one foot away from the victim behind a screen door on the front porch; according to the mother's testimony, defendant dragged her by the hair to the car while she held the infant, and once at the case, defendant then beat the mother. Williams v. State, 2011 Ark. 432, 385 S.W.3d 157 (2011).

Evidence that defendant saw the infant seizing and appearing lifeless, as evidenced by the videos he recorded on his phone, but that it was two days before the infant was taken to the doctor was sufficient to support defendant's conviction for first-degree endangering the welfare of a minor. Snow v. State, 2018 Ark. App. 612, 568 S.W.3d 290 (2018).

Because the juvenile was not “charged with supervision of a minor” as set forth in this section, she was not in the class of persons who could commit the offense of first-degree endangering the welfare of a minor, and thus she could not be principally culpable for committing the offense. The juvenile's sister, and not the juvenile, was identified as the babysitter of the one-year-old child. And because the juvenile, and not her sister, was the person who sparked the stun gun at the child, she could not be charged as an accomplice and therefore her adjudication was reversed. K.F. v. State, 2019 Ark. App. 312, 578 S.W.3d 324 (2019).

Jury Instructions.

Trial court did not err in instructing the jury because, even assuming endangering the welfare of a minor in the third degree was a lesser-included offense of endangering the welfare of a minor in the first degree, there was not a rational basis for giving the instruction. By defendant's own testimony, defendant's actions were not reckless—they were actions that defendant purposely undertook after defendant became upset and frustrated when an infant child would not stop crying, which resulted in serious injury to the child. Myers v. State, 2016 Ark. App. 501, 505 S.W.3d 694 (2016).

5-27-206. Endangering the welfare of a minor in the second degree.

    1. A person commits the offense of endangering the welfare of a minor in the second degree if he or she knowingly engages in conduct creating a substantial risk of serious harm to the physical or mental welfare of another person known by the person to be a minor.
    2. As used in this section, “serious harm to the physical or mental welfare” means physical or mental injury that causes:
      1. Protracted disfigurement;
      2. Protracted impairment of physical or mental health; or
      3. Loss or protracted impairment of the function of any bodily member or organ.
  1. Endangering the welfare of a minor in the second degree is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2408; A.S.A. 1947, § 41-2408; Acts 2005, No. 2207, § 2.

Publisher's Notes. This section was formerly codified as § 5-27-204.

Cross References. Employment in certain places and occupations prohibited, § 11-6-101 et seq.

Research References

ALR.

Parents' criminal liability for failure to provide medical attention to their children. 118 A.L.R.5th 253.

Criminal Liability of Nonparent for Failure to Obtain Medical Treatment for Minor Based on Duty of One Acting in Loco Parentis. 97 A.L.R.6th 539 (2014).

Criminal Prosecutions and Civil Actions for Leaving Child in Unattended Hot or Cold Vehicle, 26 A.L.R.7th Art. 5 (2018).

Case Notes

In General.

The offense of endangering the welfare of a minor does not encompass allegations of sexual misconduct, and should not be used as an alternative to sexual offense charges. Leheny v. State, 307 Ark. 29, 818 S.W.2d 236 (1991).

Evidence of Abuse.

Permitting an eight-year-old child to develop a severe case of trench foot is a form of neglect by the parent and such neglect of a child's physical needs is necessarily a form of abuse; hence, a father's perpetration of child abuse by neglect is relevant to a case of sexual abuse against that same child, when both forms of abuse are occurring at the same time. Such evidence is pertinent in that it establishes an intentional pattern of abusive behavior on the part of the parent toward the child — the first by neglecting her basic hygienic needs and the second by soliciting her to engage in sexual activity. A contemptible lack of caring for a child's essential healthcare needs easily intertwines with sexual abuse of the child; both forms of abuse are intentional and evidence of the lack of care, concern, and respect for the child's well-being is admissible under Evid. Rules 403 and 404(b). Lindsey v. State, 319 Ark. 132, 890 S.W.2d 584 (1994).

Evidence Sufficient.

Evidence was sufficient to sustain convictions for endangering the welfare of a minor because defendant admitted that he forced one child to perform oral sex on him while the other child sat in the back seat, and in his statement to police officers, defendant indicated that he was aware of what he was doing and that the child was in the back seat. Bell v. State, 371 Ark. 375, 266 S.W.3d 696 (2007).

Trial court did not err in refusing to direct the verdicts where defendant took actions to conceal the harm to the child, and failed to take action to secure appropriate care for the child; the jury could conclude that defendant rubbing a substance known to cause skin irritation on the face of a toddler where Superglue had already adhered would cause, at the very least, the impairment of physical condition or a visible mark associated with the physical trauma. Price v. State, 2009 Ark. App. 664, 344 S.W.3d 678 (2009).

Instructions.

Refusal to give the defendant's requested instructions that a parent was not guilty of violation of the law where he merely used bad judgment in the discipline of his children, or that the punishment inflicted upon the child was merely excessive or immoderate held not error. Wood v. State, 248 Ark. 109, 450 S.W.2d 537 (1970) (decision under prior law).

5-27-207. Endangering the welfare of a minor in the third degree.

    1. A person commits the offense of endangering the welfare of a minor in the third degree if the person recklessly engages in conduct creating a substantial risk of serious harm to the physical or mental welfare of a person known by the actor to be a minor.
    2. As used in this section, “serious harm to the physical or mental welfare” means physical or mental injury that causes:
      1. Protracted disfigurement;
      2. Protracted impairment of physical or mental health; or
      3. Loss or protracted impairment of the function of any bodily member or organ.
  1. Endangering the welfare of a minor in the third degree is a Class B misdemeanor.

History. Acts 2005, No. 2207, § 3.

Publisher's Notes. This section was formerly codified as § 5-27-231.

Research References

ALR.

Criminal Liability of Nonparent for Failure to Obtain Medical Treatment for Minor Based on Duty of One Acting in Loco Parentis. 97 A.L.R.6th 539 (2014).

Case Notes

Recklessness.

Trial court did not err in instructing the jury because, even assuming endangering the welfare of a minor in the third degree was a lesser-included offense of endangering the welfare of a minor in the first degree, there was not a rational basis for giving the instruction. By defendant's own testimony, defendant's actions were not reckless--they were actions that defendant purposely undertook after defendant became upset and frustrated when an infant child would not stop crying, which resulted in serious injury to the child. Myers v. State, 2016 Ark. App. 501, 505 S.W.3d 694 (2016).

5-27-208. [Reserved.]

  1. A person commits the offense of contributing to the delinquency of a minor if, being an adult, the person knowingly aids, causes, or encourages a minor to:
    1. Do any act prohibited by law;
    2. Do any act that if done by an adult would render the adult subject to a prosecution for an offense punishable by imprisonment;
    3. Habitually absent himself or herself, without good or sufficient cause, from the minor's home without the consent of the minor's parent, stepparent, foster parent, guardian, or other lawful custodian;
    4. Habitually absent himself or herself from school when required by law to attend school; or
    5. Habitually disobey a reasonable and lawful command of the minor's parent, stepparent, foster parent, guardian, or other lawful custodian.
  2. Contributing to the delinquency of a minor is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2406; A.S.A. 1947, § 41-2406.

Publisher's Notes. This section may be affected by § 5-27-220, which was enacted in the same year.

This section was formerly codified as § 5-27-205.

Cross References. Furnishing deadly weapon to a minor, § 5-73-109.

Selling or giving liquor to minors, §§ 3-3-2013-3-204.

Case Notes

Acts Prohibited by Law.

For cases discussing the sale or delivery of liquor to a minor, see Waller v. State, 38 Ark. 656 (1882); State v. Emerick, 35 Ark. 324 (1880); Redmond v. State, 36 Ark. 58 (1880); Cloud v. State, 36 Ark. 151 (1880); Crampton v. State, 37 Ark. 108 (1881); Edgar v. State, 37 Ark. 219 (1881); Hill v. State, 37 Ark. 395 (1881); Pounders v. State, 37 Ark. 399 (1881); Robinson v. State, 38 Ark. 641 (1882); Waller v. State, 38 Ark. 656 (1882); Gillam v. State, 47 Ark. 555, 2 S.W. 185 (1886); O'Bryan v. State, 48 Ark. 42, 2 S.W. 339 (1886); Mogler v. State, 47 Ark. 109, 14 S.W. 473 (1886); Ruble v. State, 51 Ark. 170, 10 S.W. 262 (1889); Siceluff v. State, 52 Ark. 56, 11 S.W. 964 (1889); Wallace v. State, 54 Ark. 542, 16 S.W. 571 (1891); Blahut v. State, 54 Ark. 538, 16 S.W. 582 (1891); Miller v. State, 55 Ark. 188, 17 S.W. 719 (1891); Anderson v. State, 82 Ark. 405, 101 S.W. 1152 (1907); Harper v. State, 91 Ark. 422, 121 S.W. 737 (1909); Bryant v. State, 246 Ark. 872, 440 S.W.2d 534 (1969) (preceding decisions under prior law).

Cited: Palmer v. State, 31 Ark. App. 97, 788 S.W.2d 248 (1990).

5-27-210. Parental responsibility for student's firearm possession.

  1. As used in this section:
    1. “Firearm” means:
      1. Any device designed, made, or adapted to expel a projectile by the action of an explosive or any device readily convertible to that use, including such a device that is not loaded or lacks a clip or other component to render it immediately operable; or
      2. Components that can readily be assembled into a device described in subdivision (a)(1)(A) of this section; and
    2. “Parent” means a parent, stepparent, legal guardian, or person in loco parentis or who has legal custody of a student pursuant to a court order and with whom the student resides.
  2. A parent of a minor is guilty of a Class B misdemeanor if:
    1. The parent knows that the minor is in illegal possession of a firearm in or upon:
      1. The premises of a public or private school;
      2. A public or private school's athletic stadium or other facility or building in which school-sponsored events are conducted; or
      3. A public park, playground, or civic center; and
    2. The parent fails to:
      1. Prevent the illegal possession; or
      2. Report the illegal possession to an appropriate school or law enforcement official.

History. Acts 1999, No. 1149, §§ 1, 2.

Publisher's Notes. This section was formerly codified as § 5-27-206.

Research References

ALR.

Validity of Parental Responsibility Statutes and Ordinances Holding Parents Liable for Criminal Acts of Their Children. 74 A.L.R.6th 181.

5-27-211. Re-homing of an adopted minor.

  1. As used in this section:
    1. “Adopted minor” means a person who is:
      1. Less than eighteen (18) years of age; and
      2. The subject of an adoption decree that is valid under the law of this state or another state, or foreign or international law; and
    2. “Relative” means a person within the fifth degree of consanguinity by virtue of blood or adoption.
  2. A person commits the offense of re-homing of a minor if he or she knowingly engages in:
      1. A transaction or an action taken to facilitate a transaction through electronic means or otherwise by an adoptive parent, an individual, or an entity having custody of an adopted minor that is taken:
        1. Without court approval; and
        2. Except as provided under subsection (c) of this section, to avoid permanent parental responsibility by placing the minor in the physical custody of another person or entity.
      2. As used in subdivision (b)(1)(A) of this section, “transaction” includes without limitation transferring, advertising, recruiting, harboring, transporting, providing, soliciting, or obtaining a minor;
    1. The selling, transferring, or arranging for the sale or transfer of a minor to another person or entity for money or anything of value or to receive a minor for money or anything of value; or
    2. Assisting, aiding, abetting, or conspiring in the commission of an act described in subdivision (b)(1) or subdivision (b)(2) of this section by a person or an entity, regardless of whether money or anything of value has been promised to or received by the person or entity.
  3. This section does not apply to:
    1. A person who places a minor with a relative, stepparent, an agency licensed under the Child Welfare Agency Licensing Act, § 9-28-401 et seq., a licensed attorney, or the Department of Human Services;
    2. Placement of a minor by a licensed attorney, an agency licensed under the Child Welfare Agency Licensing Act, § 9-28-401 et seq., or the Department of Human Services;
    3. Temporary placement of a minor by a parent or custodian for a designated short-term period with a specified intent and time period for return of the minor if the temporary placement is due to a vacation or a school-sponsored function or activity, or the incarceration, military service, medical treatment, or incapacity of a parent or guardian;
    4. Placement of a minor in accordance with the requirements of the Interstate Compact on the Placement of Children, § 9-29-201 et seq.; or
    5. Relinquishment of a minor under the voluntary delivery of a child law, under § 9-34-201 et seq.
  4. Re-homing of a minor is an unclassified felony with a term of imprisonment of not more than five (5) years and a fine of not more than five thousand dollars ($5,000).
  5. It is not a defense to prosecution for a violation of this section that the adoptive parent solicited, advertised, or recruited through electronic means or otherwise and recruited a person that is:
    1. A law enforcement officer acting within the official scope of his or her duties; and
    2. Posing as a person willing to accept placement of an adopted minor.

History. Acts 2015, No. 1092, § 1.

5-27-212 — 5-27-219. [Reserved.]

  1. A person is guilty of a Class A misdemeanor if the person willfully causes, aids, or encourages any minor to do or perform any act which, if done or performed, would make the minor a delinquent juvenile or juvenile in need of supervision within the meaning of this section and the Arkansas Juvenile Code of 1989, § 9-27-301 et seq.
  2. A judge may issue a bench warrant for the arrest of an adult in which there is probable cause to believe the adult is committing an offense under this section, returnable to either the district court or the circuit court of the county where the offense was committed.
  3. Any indictment or information under this section shall state the specific act the defendant is alleged to have committed.
    1. Any person convicted of a violation of this section may be punished as provided for a Class A misdemeanor.
    2. However, the court may suspend or postpone enforcement of any part of the sentence or fine levied under this section if in the judgment of the court the suspension or postponement is in the best interest of the minor that was caused, aided, or encouraged.

History. Acts 1975, No. 451, § 45; A.S.A. 1947, § 45-445; Acts 2005, No. 1994, § 344.

Publisher's Notes. This section may be affected by § 5-27-209 which was enacted in the same year.

Cross References. Arkansas Juvenile Code of 1989, § 9-27-301 et seq.

5-27-221. Permitting abuse of a minor.

  1. A person commits the offense of permitting abuse of a minor if, being a parent, guardian, or person legally charged with the care or custody of a minor, he or she recklessly fails to take action to prevent the abuse of a minor.
  2. It is a defense to a prosecution for the offense of permitting abuse of a minor if the parent, guardian, or person legally charged with the care or custody of the minor takes immediate steps to end the abuse of the minor, including prompt notification of a medical or law enforcement authority, upon first knowing or having good reason to know that abuse has occurred.
  3. Permitting abuse of a minor is a:
    1. Class B felony if the abuse of the minor:
      1. Consisted of sexual intercourse;
      2. Consisted of deviate sexual activity; or
      3. Caused serious physical injury or death to the minor; or
    2. Class D felony if the abuse of the minor:
      1. Consisted of sexual contact; or
      2. Caused physical injury to the minor.
  4. As used in this section:
    1. “Abuse” means only sexual intercourse, deviate sexual activity, sexual contact, or causing physical injury, serious physical injury, or death, which could be prosecuted as a delinquent or criminal act; and
    2. “Minor” means a person under eighteen (18) years of age.

History. Acts 1985, No. 990, §§ 1-3; A.S.A. 1947, §§ 41-2472 — 41-2474; Acts 1993, No. 1126, § 9; 2001, No. 1374, § 1; 2003, No. 1318, § 1.

Research References

U. Ark. Little Rock L.J.

Legislative Survey, Juvenile Law, 8 U. Ark. Little Rock L.J. 591.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Crimes Against Children, 26 U. Ark. Little Rock L. Rev. 374.

Case Notes

Evidence.

Evidence held sufficient to convict mother of battery in the first degree under § 5-13-201(a)(3) for her abuse of a newborn infant and for permitting abuse of a child under this section. Reams v. State, 45 Ark. App. 7, 870 S.W.2d 404 (1994).

Appellate court affirmed defendant's conviction under this section as there was evidence that defendant knew her son was being abused by her husband and she did nothing to prevent it. Graham v. State, 365 Ark. 274, 229 S.W.3d 30 (2006).

Defendant's conviction for permitting the abuse of her 23-month-old child by her boyfriend, in violation of subsection (a) of this section, was supported by the evidence because the medical evidence established that the child was covered with visible scars and older injuries that would have been apparent to a care giver; an older child testified to telling defendant of earlier instances of abuse, and defendant's only response was to deny the abuse. Sullivan v. State, 2012 Ark. 74, 386 S.W.3d 507 (2012).

Sex Offender.

Circuit court did not err in finding that it lacked discretion to order defendant to register as a sex offender because she pleaded guilty to permitting abuse of a minor, which was listed as a sex offense in the sex offender statute, and defendant failed to obtain a ruling from the circuit court on her overbreadth arguments. Pedraza v. State, 2015 Ark. App. 205, 465 S.W.3d 426 (2015).

Cited: State v. Watson, 307 Ark. 333, 820 S.W.2d 59 (1991).

5-27-222. Neglect of minor resulting in delinquency.

  1. It is unlawful for a parent or person standing in loco parentis to a minor to grossly neglect a parental duty to the minor if the gross neglect:
    1. Proximately results in the delinquency of the minor; or
    2. Fails to correct the delinquency of the minor.
  2. Upon conviction, a person who violates this section is guilty of a violation and shall be punished by a fine not to exceed two hundred fifty dollars ($250).

History. Acts 1963, No. 109, § 1; A.S.A. 1947, § 41-2471; Acts 2005, No. 1994, § 44; 2007, No. 827, § 34.

Research References

Ark. L. Rev.

Legislative Notes — No. 109 — Juvenile Delinquency — Gross Neglect of Parental Duty, 18 Ark. L. Rev. 123.

5-27-223. [Repealed.]

A.C.R.C. Notes. Acts 2005, No. 1994, § 536 specifically repealed this section. This section was also amended by Acts 2005, No. 1994, § 44 to change “misdemeanor” to “violation” in former subsection (b).

Publisher's Notes. This section, concerning permitting minors to play in saloons, was repealed by Acts 2005, No. 1994, § 536. The section was derived from Acts 1887, No. 17, §§ 1, 2, p. 18; C. & M. Dig., §§ 2680, 2681; Pope's Dig., §§ 3368, 3369; A.S.A. 1947, §§ 41-2459, 41-2460.

5-27-224. [Repealed.]

A.C.R.C. Notes. Acts 2005, No. 1994, § 537 specifically repealed this section. This section was also amended by Acts 2005, No. 1994, § 44 to change “misdemeanor” to “violation” in former subsection (b).

Publisher's Notes. This section, concerning permitting minors to frequent and play in poolrooms, was repealed by Acts 2005, No. 1994, § 537. The section was derived from Acts 1911, No. 98, §§ 1, 2; C. & M. Dig., § 2682; Pope's Dig., § 3370; A.S.A. 1947, §§ 41-2461, 41-2463.

5-27-225. [Repealed.]

Publisher's Notes. This section, concerning permission for certain minors to participate where both bowling and pool are played, was repealed by Acts 2005, No. 1994, § 538. The section was derived from Acts 1967, No. 422, § 1; A.S.A. 1947, § 41-2462.

5-27-226. [Repealed.]

Publisher's Notes. This section, concerning distinguishing family recreation centers from poolrooms, was repealed by Acts 2005, No. 1994, § 539. The section was derived from Acts 1967, No. 476, § 1; 1981, No. 526, § 1; A.S.A. 1947, § 41-2464.

5-27-227. Providing minors with tobacco products, vapor products, alternative nicotine products, e-liquid products, and cigarette papers — Purchase, use, or possession prohibited — Self-service displays prohibited — Placement of tobacco vending machines.

    1. It is unlawful for any person to give, barter, or sell to a minor:
      1. Tobacco in any form;
      2. Cigarette paper; or
      3. A vapor product, alternative nicotine product, e-liquid product, or any component of a vapor product, alternative nicotine product, or e-liquid product.
    2. Except as provided in subdivision (a)(3) of this section, a person who pleads guilty or nolo contendere to or is found guilty of violating subdivision (a)(1) of this section is guilty of a Class A misdemeanor.
    3. An employee or owner of a retail location permitted under § 26-57-215 who violates subdivision (a)(1) of this section while inside the retail location upon conviction is subject to a fine not to exceed one hundred dollars ($100) per violation.
    1. It is unlawful for a minor to:
      1. Use or possess or to purchase, or attempt to purchase:
        1. Tobacco in any form;
        2. Cigarette papers; or
        3. A vapor product, alternative nicotine product, e-liquid product, or any component of a vapor product, alternative nicotine product, or e-liquid product; or
      2. For the purpose of obtaining or attempting to obtain tobacco in any form, a vapor product, alternative nicotine product, e-liquid product, any component of a vapor product, alternative nicotine product, or e-liquid product, or cigarette papers, falsely represent himself or herself not to be a minor by displaying proof of age that is false, fraudulent, or not actually proof of the minor's age.
    2. Any cigarettes, tobacco products, or cigarette papers found in the possession of a minor may be confiscated and destroyed by a law enforcement officer.
    1. It is not an offense under subsection (b) of this section if:
      1. The minor was acting at the direction of an authorized agent of Arkansas Tobacco Control to enforce or ensure compliance with laws relating to the prohibition of the sale of tobacco in any form, a vapor product, alternative nicotine product, e-liquid product, any component of a vapor product, alternative nicotine product, or e-liquid product, or cigarette papers to minors;
      2. The minor was acting at the direction of an authorized agent of the Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services to compile statistical data relating to the sale of tobacco in any form, a vapor product, alternative nicotine product, e-liquid product, any component of a vapor product, alternative nicotine product, or e-liquid product, or cigarette papers to minors;
      3. The minor was acting at the request of an Arkansas Retail Cigarette, Tobacco, Vapor Product, and Alternative Nicotine Product permit holder or a retail exclusive vapor product and alternative nicotine product store permit holder to assist the permit holder by performing a check on the permit holder's own retail business to see if the permit holder's employees would sell tobacco, a vapor product, alternative nicotine product, e-liquid product, any component of a vapor product, alternative nicotine product, or e-liquid product, or cigarette papers to the minor; or
      4. The minor was acting as an agent of a retail permit holder within the scope of employment.
    2. A minor performing activities under subdivision (c)(1) of this section shall:
      1. Display the appearance of a minor;
      2. Have the written consent of the minor's parent or guardian to perform the activity on file with the agency utilizing the minor; and
        1. Present a true and correct identification if asked.
        2. Any failure on the part of a minor to provide true and correct identification upon request is a defense to any action under this section or a civil action under § 26-57-256.
  1. Any person who sells tobacco in any form, a vapor product, alternative nicotine product, e-liquid product, any component thereof, or a cigarette paper has the right to deny the sale of any tobacco in any form, a vapor product, alternative nicotine product, e-liquid product, any component of a vapor product, alternative nicotine product, or e-liquid product, or a cigarette paper to any person.
  2. It is unlawful for any person who has been issued a permit or a license under the Arkansas Tobacco Products Tax Act of 1977, § 26-57-201 et seq., to fail to display in a conspicuous place or on each vending machine a sign indicating that the sale of tobacco products, vapor products, alternative nicotine products, e-liquid products, or any component of a vapor product, alternative nicotine product, or e-liquid product to or purchase or possession of tobacco products by a minor is prohibited by law.
  3. It is unlawful for any manufacturer whose tobacco product, vapor product, alternative nicotine product, e-liquid product, or any component of a vapor product, alternative nicotine product, or e-liquid product is distributed in this state and any person who has been issued a permit or license under the Arkansas Tobacco Products Tax Act of 1977, § 26-57-201 et seq., to distribute a free sample of any tobacco product, vapor product, alternative nicotine product, e-liquid product, or any component of a vapor product, alternative nicotine product, or e-liquid product or coupon that entitles the holder of the coupon to any free sample of any tobacco product, vapor product, alternative nicotine product, e-liquid product, or any component of a vapor product, alternative nicotine product, or e-liquid product:
    1. In or on any public street or sidewalk within five hundred feet (500') of any playground, public school, or other facility when the playground, public school, or other facility is being used primarily by minors for recreational, educational, or other purposes; or
    2. To any minor.
      1. It is unlawful for any person that has been issued a permit or license under the Arkansas Tobacco Products Tax Act of 1977, § 26-57-201 et seq., to sell or distribute a cigarette product, vapor product, alternative nicotine product, e-liquid product, or any component of a vapor product, alternative nicotine product, or e-liquid product through a self-service display.
      2. Subdivision (g)(1)(A) of this section does not apply to a:
        1. Vending machine that complies with subdivision (h)(1)(A) of this section;
        2. Retail tobacco store; or
        3. Retail exclusive vapor product or alternative nicotine product store.
    1. As used in subdivision (g)(1) of this section:
      1. “Retail exclusive vapor product or alternative nicotine product store” means the same as defined in § 26-57-203;
      2. “Retail tobacco store” means a retail store utilized primarily for the sale of tobacco products, other than vapor products, alternative nicotine products, e-liquid products, and accessories, and in which the sale of other products is merely incidental; and
      3. “Self-service display” means a display:
        1. That contains a cigarette product, vapor product, alternative nicotine product, e-liquid product, or any component of a vapor product, alternative nicotine product, or e-liquid product;
        2. That is located in an area where customers are permitted; and
        3. In which the cigarette product, vapor product, alternative nicotine product, e-liquid product, or any component of a vapor product, alternative nicotine product, or e-liquid product is readily accessible to a customer without the assistance of a salesperson.
      1. Except as provided in subdivision (h)(2) of this section, it is unlawful for any person who owns or leases a tobacco, vapor product, alternative nicotine product, or e-liquid product vending machine to place a tobacco, vapor product, alternative nicotine product, or e-liquid product vending machine in a public place.
      2. As used in subdivision (h)(1)(A) of this section, “public place” means a publicly or privately owned place to which the public or a substantial number of people have access.
    1. A tobacco, vapor product, alternative nicotine product, or e-liquid product vending machine may be placed in a:
      1. Restricted area within a factory, business, office, or other structure to which a member of the general public is not given access;
      2. Permitted premises that has a permit for the sale or dispensing of an alcoholic beverage for on-premises consumption that restricts entry to a person twenty-one (21) years of age or older; or
      3. Place where the tobacco, vapor product, alternative nicotine product, or e-liquid product vending machine is under the supervision of the owner or an employee of the owner.
  4. Any retail permit holder or license holder who violates any provision in this section is deemed guilty of a violation and subject to penalties under § 26-57-256.
    1. A notice of alleged violation of this section shall be given to the holder of a retail permit or license or an agent of the holder within ten (10) days of the alleged violation.
      1. The notice shall contain the date and time of the alleged violation.
        1. The notice shall also include either the name of the person making the alleged sale or information reasonably necessary to determine the location in the store that allegedly made the sale.
        2. When appropriate, information under subdivision (j)(2)(B)(i) of this section should include, but not be limited to, the:
          1. Cash register number;
          2. Physical location of the sale in the store; and
          3. If possible, the lane or aisle number.
  5. Notwithstanding the provisions of subsection (i) of this section, the court shall consider the following factors when reviewing a possible violation:
    1. The business has adopted and enforced a written policy against selling cigarettes, tobacco products, vapor products, alternative nicotine products, or e-liquid products to minors;
    2. The business has informed its employees of the applicable laws regarding the sale of cigarettes, tobacco products, vapor products, alternative nicotine products, and e-liquid products to minors;
    3. The business has required employees to verify the age of a cigarette, tobacco product, vapor product, alternative nicotine product, or e-liquid product customer by way of photographic identification;
    4. The business has established and imposed disciplinary sanctions for noncompliance; and
    5. That the appearance of the purchaser of the tobacco in any form, vapor product, alternative nicotine product, e-liquid product, or cigarette papers was such that an ordinary prudent person would believe him or her to be of legal age to make the purchase.
  6. A person convicted of violating any provision of this section whose permit or license to distribute or sell a tobacco product, vapor product, alternative nicotine product, or e-liquid product is suspended or revoked upon conviction shall surrender to the court any permit or license to distribute or sell a tobacco product, and the court shall transmit the permit or license to distribute or sell a tobacco product, vapor product, alternative nicotine product, or e-liquid product to the Director of Arkansas Tobacco Control:
    1. To suspend or revoke the person's permit or license to distribute or sell a tobacco product, vapor product, alternative nicotine product, or e-liquid product and to not renew the permit or license; and
    2. Not to issue any new permit or license to that person for the period of time determined by the court in accordance with this section.
    1. As used in this section, “minor” means a person who is under twenty-one (21) years of age.
    2. “Minor” does not include a person who:
      1. Is under twenty-one (21) years of age if the person presents a military identification card establishing that he or she is a member of the United States Armed Forces; or
      2. Has attained nineteen (19) years of age as of December 31, 2019.

History. Acts 1929, No. 152, § 26; Pope's Dig., § 13557; A.S.A. 1947, § 41-2465; Acts 1991, No. 543, § 1; 1997, No. 1337, § 24; 1999, No. 1591, §§ 1, 3; 2003, No. 846, § 1; 2007, No. 165, § 1; 2009, No. 748, § 17; 2009, No. 785, § 6; 2013, No. 1107, § 1; 2015, No. 1235, § 30; 2017, No. 913, § 16; 2019, No. 580, §§ 2, 3.

A.C.R.C. Notes. The repeal of this section and the creation of a new subchapter § 5-27-701 et seq. by Acts 2009, No. 748, §§ 17 and 19, is superseded by the amendment to § 5-27-227 by Acts 2009, No. 785, § 6, pursuant to Acts 2009, No. 748, § 45, and § 1-2-207(b).

Publisher's Notes. The definition of “Retail exclusive vapor product and alternative nicotine product store”, referred to in subdivision (g)(2)(A) of this section, was deleted from § 26-57-203 by Acts 2019, No. 1071, § 6.

Amendments. The 2009 amendment by No. 785 rewrote the section.

The 2013 amendment substituted “Division of Behavioral Health Services” for “Office of Alcohol and Drug Abuse Prevention” in (c)(1)(B).

The 2015 amendment inserted “vapor products, alternative nicotine products, e-liquid products” in the section heading; and rewrote the section.

The 2017 amendment substituted “Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services” for “Division of Behavioral Health Services” in (c)(1)(B).

The 2019 amendment substituted “not to be a minor” for “to be eighteen (18) years of age or older” in (b)(1)(B); and added (m).

Effective Dates. Acts 2019, No. 580, § 18: Sept. 1, 2019. Effective date clause provided: “Sections 2-17 of this act are effective on the first day of the second calendar month following the effective date of this act”.

Research References

ALR.

Validity, Construction, and Application of State and Local Laws Providing for Civil Liability for Tobacco Sales or Distribution to Minors. 66 A.L.R.6th 315.

Case Notes

Cited: Wometco Servs., Inc. v. Gaddy, 272 Ark. 452, 616 S.W.2d 466 (1981); Ark. Tobacco Control Bd. v. Santa Fe Natural Tobacco Co., 360 Ark. 32, 199 S.W.3d 656 (2004).

5-27-228. [Repealed.]

Publisher's Notes. This section, concerning tattooing a minor without parental consent, was repealed by Acts 2001, No. 414, § 2. The section was derived from Acts 1957, No. 277, §§ 1-3; A.S.A. 1947, §§ 41-2468 — 41-2470.

For present law, see § 20-27-1502.

5-27-229. Soliciting money or property from incompetents.

  1. It is unlawful for any person to:
    1. Solicit money or property from another person the person knows or should have reason to know is an incompetent person or is a person with diminished mental capacity; and
    2. Cause that incompetent person or person with diminished mental capacity to voluntarily surrender money or property in order to profit or secure gain by taking unfair advantage of the person's incompetency or diminished mental capacity.
  2. Any person violating this section is guilty of a Class D felony.

History. Acts 1987, No. 337, § 1.

5-27-230. Exposing a child to a chemical substance or methamphetamine.

  1. As used in this section:
      1. “Chemical substance” means a substance intended to be used as a precursor in the manufacture of methamphetamine, or any other chemical intended to be used in the manufacture of methamphetamine.
      2. Intent may be demonstrated by the substance's:
        1. Use;
        2. Quantity;
        3. Manner of storage; or
        4. Proximity to another precursor or equipment used to manufacture methamphetamine;
    1. “Child” means any person under eighteen (18) years of age; and
    2. “Methamphetamine” has the same meaning as provided in the Uniform Controlled Substances Act, § 5-64-101 et seq.
    1. Any adult who, with the intent to manufacture methamphetamine, knowingly causes or permits a child to be exposed to, ingest, inhale, or have any contact with a chemical substance or methamphetamine is guilty of a Class C felony.
    2. Any adult who violates subdivision (b)(1) of this section is guilty of a Class B felony if a child suffers physical injury or serious physical injury because of the violation.

History. Acts 2003, No. 930, § 1.

Cross References. Enhanced penalties for manufacture of methamphetamine in the presence of certain persons, § 5-64-407.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Controlled Substances, 26 U. Ark. Little Rock L. Rev. 366.

Case Notes

Evidence.

Substantial evidence demonstrated that defendant's children had been exposed to the chemicals used in the manufacture of methamphetamine, and there was sufficient evidence to support defendant's conviction of manufacturing methamphetamine; thus, defendant intended to manufacture methamphetamine and knowingly permitted her children to be exposed to methamphetamine. Holt v. State, 2009 Ark. 482, 348 S.W.3d 562 (2009).

5-27-231, 5-27-232. [Transferred.]

Publisher's Notes. Former § 5-27-231 has been renumbered as § 5-27-207.

Former § 5-27-232 has been renumbered as § 5-27-203.

5-27-233. [Repealed.]

A.C.R.C. Notes. This section was amended by Acts 2015, No. 1155, § 6. However, it was specifically repealed by Acts 2015, No. 1235, § 33. Acts 2015, No. 1235, § 33, also controls pursuant to § 1-2-207(b) and Acts 2015, No. 1155, § 17.

Publisher's Notes. This section, which prohibited the providing of e-cigarettes and e-cigarette products to minors, was repealed by Acts 2015, No. 1235, § 33. This section was derived from Acts 2013, No. 1451, § [1]; 2015, No. 1155, § 6.

For current law, see § 5-27-227.

Subchapter 3 — Arkansas Protection of Children Against Exploitation Act of 1979

Cross References. Sexual indecency with a child, § 5-14-110.

Effective Dates. Acts 2007, No. 38, § 3: Jan. 30, 2007. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the current penalty classification for the offense of indecent exposure is not adequate to protect the children in this state from repeat offenders; that the Internet is being used as a tool by people that are attempting to sexually victimize children in the State of Arkansas; that the current penalty classification for the offense of Internet stalking of a child in certain situations is not adequate to protect the children in this state; and that this act is immediately necessary because of the public risk posed by sexual predators. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Research References

ALR.

Statutes or ordinances regulating sexual performance by child. 21 A.L.R.4th 239.

5-27-301. Title.

This subchapter may be cited as the “Arkansas Protection of Children Against Exploitation Act of 1979”.

History. Acts 1979, No. 499, § 1; A.S.A. 1947, § 41-4201.

5-27-302. Definitions.

As used in this subchapter:

  1. “Child” means any person under eighteen (18) years of age;
  2. “Commercial exploitation” means having monetary or other material gain as a direct or indirect goal;
  3. “Producing” means producing, directing, manufacturing, issuing, publishing, or advertising;
  4. “Sexually explicit conduct” means actual or simulated:
    1. Sexual intercourse, including genital-genital, oral-genital, anal-genital, or oral-anal, whether between persons of the same or opposite sex;
    2. Bestiality;
    3. Masturbation;
    4. Sadomasochistic abuse for the purpose of sexual stimulation; or
    5. Lewd exhibition of:
      1. The genitals or pubic area of any person; or
      2. The breast of a female; and
  5. “Visual or print medium” means any film, photograph, negative, slide, book, magazine, magnetic image, electronic image, or other visual or print medium other than material specifically used by a licensed medical professional or mental health professional, or both, for the purpose of assessment, evaluation, and treatment of a sex offender.

History. Acts 1979, No. 499, § 2; A.S.A. 1947, § 41-4202; Acts 1995, No. 1209, § 1; 2007, No. 827, § 35; 2011, No. 1190, § 1; 2013, No. 1114, § 1.

Amendments. The 2011 amendment substituted “eighteen (18)” for “seventeen (17)” in (1).

The 2013 amendment inserted “magnetic image, electronic image” in (5).

Case Notes

Construction.

Because a comma was placed after “advertising” in subdivision (3) of this section, the legislature clearly intended “pecuniary profit” to modify not just advertising, but also producing, directing, manufacturing, issuing, and publishing. Richardson v. State, 314 Ark. 512, 863 S.W.2d 572 (1993) (decision under prior law).

Minors.

It did not violate equal protection to prosecute the defendants under the federal Child Protection Act, even though the act defines “minor” as one under 18 years of age, whereas this section defines “child” (“minor”) as one under 16 years of age. United States v. Freeman, 808 F.2d 1290 (8th Cir. 1987), cert. denied, 480 U.S. 922, 107 S. Ct. 1384 (1987) (decision under prior law).

Producing.

The comma after the word “advertising” in subdivision (3) of this section means that “for pecuniary profit” is a required element of proof of “producing” as that term is used in § 5-27-303. Richardson v. State, 314 Ark. 512, 863 S.W.2d 572 (1993) (decision under prior law).

Cited: Cummings v. State, 353 Ark. 618, 110 S.W.3d 272 (2003).

5-27-303. Engaging children in sexually explicit conduct for use in visual or print medium.

  1. Any person eighteen (18) years of age or older who employs, uses, persuades, induces, entices, or coerces any child to engage in or who has a child assist any other person to engage in any sexually explicit conduct for the purpose of producing any visual or print medium depicting the sexually explicit conduct is guilty of a:
    1. Class B felony for the first offense; and
    2. Class A felony for a subsequent offense.
  2. Any parent, legal guardian, or person having custody or control of a child who knowingly permits the child to engage in or to assist any other person to engage in sexually explicit conduct for the purpose of producing any visual or print medium depicting the sexually explicit conduct is guilty of a:
    1. Class B felony for the first offense; and
    2. Class A felony for a subsequent offense.

History. Acts 1979, No. 499, § 3; A.S.A. 1947, § 41-4203; Acts 2003, No. 1087, § 1; 2013, No. 1086, § 3.

Amendments. The 2013 amendment inserted “eighteen (18) years of age or older” in (a).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Computer Crimes, 26 U. Ark. Little Rock L. Rev. 361.

Case Notes

Evidence.

Substantial evidence existed from which the jury could conclude that defendants, husband and wife, permitted their child to engage in sexually explicit conduct for the use in visual or print medium and that defendant husband produced, directed, or promoted a sexual performance; the videotapes showed full frontal nudity of the child, who was no more than 13 years old, and the scenes depicted were lewd. Cummings v. State, 353 Ark. 618, 110 S.W.3d 272 (2003).

Trial court did not err in permitting the state to introduce videotapes depicting defendant engaged in sexual acts with his victims and with each other because the video footage was relevant to proving the elements of both the charges of rape and the charges of engaging children in the production of child pornography and because it could not be said that the video served no valid purpose other than to inflame the passions of the jury. Williams v. State, 374 Ark. 282, 287 S.W.3d 559 (2008), rehearing denied, — Ark. —, — S.W.3d —, 2008 Ark. LEXIS 589 (Oct. 30, 2008).

Where defendant was charged with numerous counts of rape and engaging children in the production of child pornography, the probative value of a DVD depicting defendant engaged in sexual contact with the young boys was not substantially outweighed by the danger of unfair prejudice because the state had the burden of proving the elements of all of the charges against defendant and because the state was entitled to prove the elements of the charges with its best evidence and the videos were certainly the state's best evidence. Williams v. State, 374 Ark. 282, 287 S.W.3d 559 (2008), rehearing denied, — Ark. —, — S.W.3d —, 2008 Ark. LEXIS 589 (Oct. 30, 2008).

Producing.

The comma after the word “advertising” in § 5-27-302(3) means that “for pecuniary profit” (deleted from the end of (3) in 1995) is a required element of proof of “producing” as that term is used in this section. Richardson v. State, 314 Ark. 512, 863 S.W.2d 572 (1993) (decision under prior law).

Where defendant was convicted of engaging children in sexually explicit conduct for use in visual or print medium, counsel was not ineffective for failing to make an argument that defendant was not producing materials for “pecuniary profit” as that was no longer a required element of the charge against defendant. Smith v. State, 367 Ark. 611, 242 S.W.3d 253 (2006).

Cited: Watson v. State, 313 Ark. 304, 854 S.W.2d 332 (1993).

5-27-304. Pandering or possessing visual or print medium depicting sexually explicit conduct involving a child.

  1. With knowledge of the character of the visual or print medium involved, no person shall do any of the following:
    1. Knowingly advertise for sale or distribution, sell, distribute, transport, ship, exhibit, display, or receive for the purpose of sale or distribution any visual or print medium depicting a child participating or engaging in sexually explicit conduct; or
    2. Knowingly solicit, receive, purchase, exchange, possess, view, distribute, or control any visual or print medium depicting a child participating or engaging in sexually explicit conduct.
  2. Any person who violates subdivisions (a)(1) or (2) of this section is guilty of a:
    1. Class C felony for the first offense; and
    2. Class B felony for a subsequent offense.

History. Acts 1979, No. 499, § 4; A.S.A. 1947, § 41-4204; Acts 1991, No. 607, § 1.

Publisher's Notes. Acts 1991, No. 607, § 2, provided:

“It is the express intent of this act to eradicate the use of children as subjects of pornographic materials. This act seeks to protect victims of child pornography and to destroy a market for the exploitative use of children. The use of children as subjects of pornographic material is harmful to the physical and psychological health of children. Thus, this state has a compelling interest in penalizing those who solicit, receive, purchase, exchange, possess, view, distribute or control such material.

“Additionally, advertising, selling and distributing child pornography provides an economic motive for the production of such material. In penalizing the possession and marketing of child pornography, it is the intent of this act to significantly decrease production of, and demand for, the material.

“Similar legislation has been approved in several states and has been upheld by the United States Supreme Court. Osborne v. Ohio, 58 U.S.L.W. 4467 (U.S. April 18, 1990) (No. 88-5968); New York v. Ferber, 458 U.S. 747 (1982). See also Ala. Code 13A-12-192 (1988); Ariz. Rev. Stat. Ann. 13-2552 (1989); Colo. Rev. Stat. 18-6-403 (Supp. 1989); Fla. Stat. 827.071 (1989); Ga. Code Ann. 16-12-100 (1989); Idaho Code 18-1507 (1987); Ill. Rev. Stat., ch. 38, P. 11-20-.1 (1987); Kans. Stat. Ann. 21-3516 (Supp. 1989); Minn. Stat. 617.247 (1988); Mo. Rev. Stat. 573.037 (Supp. 1989); Neb. Rev. Stat. 28-809 (1989); Nev. Rev. Stat. 200.730 (1987); Ohio Rev. Code Ann. 2907.322 and 2907.323 (Supp. 1989); Okla. Stat., Tit. 21, 1021.2 (Supp. 1989); S.D. Comp. Laws Ann. 22-22-23-1, 22-22-23.1 (1988); Tex. Penal Code Ann. 43.26 (1989 & Supp. 1989-1990); Utah Code Ann. 76-5a-3(1)(a) (Supp. 1989); Wash. Rev. Code 9.68A.070 (1989); W. Va. Code 61-8C-3 (1989).”

Research References

U. Ark. Little Rock L.J.

Survey — Criminal Law, 14 U. Ark. Little Rock L.J. 753.

Case Notes

Evidence.

In a prosecution arising from the defendant's possession of videotapes of two 14 year old girls that included full frontal nudity, the evidence was sufficient to support a conviction, notwithstanding the defendant's assertion that the videotapes did not include sexually explicit conduct, since the scenes depicted on the videotapes were at the very least indecent and, therefore, “lewd” as contemplated by § 5-27-401(3). Gabrion v. State, 73 Ark. App. 170, 42 S.W.3d 572 (2001).

Where defendant possessed CD-ROMs showing a 14- and a 15-year-old girl dancing and posing provocatively in the nude, and the pictures were accompanied by labels characterizing the pictures in obscene terms, the evidence was sufficient to convict defendant of the knowing possession of a visual medium depicting a child engaging in sexually explicit conduct in violation of subdivision (a)(2). George v. State, 84 Ark. App. 275, 140 S.W.3d 492 (2003), rev'd, 358 Ark. 269, 189 S.W.3d 28 (2004).

Evidence was sufficient to sustain defendant's convictions of possession of visual or print medium depicting sexually explicit conduct where the images in defendant's possession constituted “sexually explicit conduct”; there were images containing the bare breasts of 14 year-old girls, and the girls were photographed in sexually suggestive positions. George v. State, 358 Ark. 269, 189 S.W.3d 28 (2004), cert. denied, George v. Arkansas, 543 U.S. 1163, 125 S. Ct. 1329 (2005).

Jurisdiction.

There was jurisdiction to try and convict defendant of pandering, pursuant to subsection (a) of this section, where he emailed photographs of himself, nude, and other minors engaging in sexual activities from his home in another state into an address in Arkansas; there was jurisdiction pursuant to § 5-1-104(a)(1) because defendant's conduct as well as the result of his conduct occurred within Arkansas, where the photos were received. Kirwan v. State, 351 Ark. 603, 96 S.W.3d 724 (2003).

5-27-305. Transportation of minors for prohibited sexual conduct.

  1. A person commits the offense of transportation of a minor for prohibited sexual conduct if the person transports, finances in whole or part the transportation of, or otherwise causes or facilitates the movement of any minor, and the actor:
    1. Knows or has reason to know that prostitution or sexually explicit conduct involving the minor will be commercially exploited by any person; and
    2. Acts with the purpose that the minor will engage in:
      1. Prostitution; or
      2. Sexually explicit conduct.
  2. Transportation of a minor for prohibited sexual conduct is a Class A felony.

History. Acts 1979, No. 499, § 5; A.S.A. 1947, § 41-4205; Acts 2007, No. 248, § 1; 2009, No. 748, § 18.

Amendments. The 2009 amendment redesignated the introductory language as (a) and substituted “A person commits the offense of transportation of a minor for prohibited sexual conduct if the person” for “Any person is guilty of a Class A felony who”; added (b); and made minor stylistic changes.

5-27-306. Internet stalking of a child.

  1. A person commits the offense of internet stalking of a child if the person being twenty-one (21) years of age or older knowingly uses a computer online service, internet service, local internet bulletin board service, or any means of electronic communication to:
    1. Seduce, solicit, lure, or entice a child fifteen (15) years of age or younger in an effort to arrange a meeting with the child for the purpose of engaging in:
      1. Sexual intercourse;
      2. Sexually explicit conduct; or
      3. Deviate sexual activity;
    2. Seduce, solicit, lure, or entice an individual that the person believes to be fifteen (15) years of age or younger in an effort to arrange a meeting with the individual for the purpose of engaging in:
      1. Sexual intercourse;
      2. Sexually explicit conduct; or
      3. Deviate sexual activity;
    3. Compile, transmit, publish, reproduce, buy, sell, receive, exchange, or disseminate the name, telephone number, email address, residence address, picture, physical description, characteristics, or any other identifying information on a child fifteen (15) years of age or younger in furtherance of an effort to arrange a meeting with the child for the purpose of engaging in:
      1. Sexual intercourse;
      2. Sexually explicit conduct; or
      3. Deviate sexual activity;
    4. Compile, transmit, publish, reproduce, buy, sell, receive, exchange, or disseminate the name, telephone number, email address, residence address, picture, physical description, characteristics, or any other identifying information on an individual that the person believes to be fifteen (15) years of age or younger in furtherance of an effort to arrange a meeting with the individual for the purpose of engaging in:
      1. Sexual intercourse;
      2. Sexually explicit conduct; or
      3. Deviate sexual activity; or
    5. Arrange a meeting with another person who holds himself or herself out as the parent, guardian, family member, or other person of authority over a child fifteen (15) years of age or younger or an individual that the person believes to be fifteen (15) years of age or younger in order to seduce, solicit, lure, or entice the child fifteen (15) years of age or younger or an individual that the person believes to be fifteen (15) years of age or younger for the purpose of engaging in:
      1. Sexual intercourse;
      2. Sexually explicit conduct; or
      3. Deviate sexual activity.
  2. Internet stalking of a child is a:
    1. Class B felony if the person attempts to arrange a meeting with:
      1. A child fifteen (15) years of age or younger, even if a meeting with the child never takes place;
      2. An individual that the person believes to be fifteen (15) years of age or younger, even if a meeting with the individual never takes place; or
      3. A person who holds himself or herself out as the parent, guardian, family member, or other person of authority over a child fifteen (15) years of age or younger or an individual that the person believes to be fifteen (15) years of age or younger, even if a meeting with the person never takes place; or
    2. Class Y felony if the person arranges a meeting with a child fifteen (15) years of age or younger or an individual that the person believes to be fifteen (15) years of age or younger and an actual meeting with the child or the individual takes place, even if the person fails to engage the child or individual in:
      1. Sexual intercourse;
      2. Sexually explicit conduct; or
      3. Deviate sexual activity.
  3. This section does not apply to a person or entity providing an electronic communications service to the public that is used by another person to violate this section, unless the person or entity providing an electronic communications service to the public:
    1. Conspires with another person to violate this section; or
    2. Knowingly aids and abets a violation of this section.

History. Acts 2005, No. 1776, § 1; 2007, No. 38, § 2; 2007, No. 827, §§ 36, 37; 2017, No. 371, § 1.

Amendments. The 2017 amendment inserted “or any means of electronic communication” in the introductory language of (a); substituted “email” for “electronic mail” in (a)(3) and (a)(4); added (a)(5); redesignated former (b)(1) as the introductory language of (b)(1) and (b)(1)(A); rewrote and redesignated former (b)(2) as (b)(1)(B); added (b)(1)(C); redesignated former (b)(3) as present (b)(2); in (b)(2), substituted “Class Y” for “Class A” and inserted “or an individual that the person believes to be fifteen (15) years of age or younger”, “or the individual” and “or individual”; and made stylistic changes.

RESEARCH REFERENCES

ALR.

Validity, Construction, and Application of State Statutes Prohibiting Child Luring as Applied to Cases Involving Luring of Child by Means of Electronic Communications. 33 A.L.R.6th 373.

Validity of State Stalking Statutes. 6 A.L.R.7th Art. 6 (2015).

Validity, Construction, and Application of State Cyberstalking Laws, 26 A.L.R.7th Art. 6 (2018).

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2005 Arkansas General Assembly, Criminal Law, 28 U. Ark. Little Rock L. Rev. 335.

Case Notes

Construction.

—Former Version of Section.

Although the 2016 text messages defendant sent to a police officer acting as a 14-year-old child were sent over phone lines, substantial evidence supported defendant's conviction for internet stalking of a child under the plain language of the 2016 version of this section because a police officer testified that the picture of a child that was sent to defendant was sent over the internet; defendant's text messages demonstrated that he believed “the child” was 14 years old and he arranged a meeting with “the child” for sex after receiving the picture and thus the State presented evidence that the picture was received in furtherance of an effort to arrange a meeting with the child under subdivision (a)(4) of this section. Duren v. State, 2018 Ark. App. 68, 544 S.W.3d 555 (2018) (decision under prior version of section).

While the 2017 amendment to this section broadened its reach beyond the use of the internet, the amendment lacked the significance claimed by defendant because substantial evidence supported the jury's conclusion that defendant used the internet when he exchanged photographs with “the child”. Duren v. State, 2018 Ark. App. 68, 544 S.W.3d 555 (2018) (decision under prior version of section).

Appellate Review.

Defendant claimed the State was remiss in not complaining at the time of his closing argument that the State's case should be reopened, but the rule states that it is the appellant's duty to strictly comply, offering the motion to dismiss in a time and manner so the State might have the opportunity to reopen its case if the circuit court deems it necessary; when defendant failed to comply with the rule by arguing his case with no specificity at the time of the dismissal motion, the circuit court was not given the chance to rule on that issue, and the claim that the State failed to prove an element of the crime of internet stalking of a child was not preserved. Hendrix v. State, 2014 Ark. App. 696, 450 S.W.3d 692 (2014).

Entrapment As Affirmative Defense.

Defendant, who was convicted for internet stalking, should have been permitted to plead entrapment under § 5-2-209 as an affirmative defense while at the same time denying one or two elements of the crime, and therefore defendant's conviction was reversed, because the doctrine requiring a defendant to admit to all the elements of a crime in order to plead entrapment could result in punishing a defendant who was merely entrapped; the doctrine could possibly punish a defendant for a serious crime for merely seeking to require the state to prove its case aside from offering an affirmative defense. Smoak v. State, 2011 Ark. 529, 385 S.W.3d 257 (2011), rehearing denied, — Ark. —, — S.W.3d —, 2012 Ark. LEXIS 26 (Ark. Jan. 19, 2012).

Trial court did not err in denying defendant's motions for a directed verdict on the ground of entrapment where there were factual issues to be decided by the jury as to whether the conduct of law enforcement would have caused a law-abiding citizen to commit internet stalking of a child. Squyres v. State, 2015 Ark. App. 665, 476 S.W.3d 839 (2015).

Evidence.

In defendant's trial for computer child pornography, § 5-27-603(a)(2), and internet stalking of a child, under subsection (a) of this section, the state did not fail to establish beyond a reasonable doubt that defendant believed the victim was only thirteen years old as the detective, who was the minor girl at the other end of the computer, told him that she was only thirteen years old in their correspondence and defendant noted the age difference as well as the fact that he would get into trouble if she told anyone about their chats. Kelley v. State, 103 Ark. App. 110, 286 S.W.3d 746 (2008).

Defendant's conviction for internet stalking of a child, in violation of subdivision (a)(2) of this section, was supported by the evidence where a “girl,” who was really a police officer, informed defendant very early on that she was only 13 years old, defendant indicated that three condoms would suffice, and defendant indicated that they would decide after they met if she could “handle what he had.” Gikonyo v. State, 102 Ark. App. 223, 283 S.W.3d 631 (2008).

Defendant's conviction for internet stalking of a child, in violation of subdivision (a)(2)(C) of this section, was supported by the evidence because the state presented evidence that defendant believed that he was talking to a 14-year-old girl; during one conversation, defendant asked the girl if she was still in high school, to which the girl replied that she was in the ninth grade. Jackson v. State, 2009 Ark. App. 466, 320 S.W.3d 13 (2009), rehearing denied, — Ark. App. —, — S.W.3d —, 2009 Ark. App. LEXIS 672 (July 29, 2009), review denied, — Ark. —, — S.W.3d —, 2009 Ark. LEXIS 568 (Sept. 17, 2009).

In a case in which defendant appealed his conviction for violating subdivision (a)(2)(C) of this section, he argued unsuccessfully that the state presented insufficient evidence showing that he believed that he was talking to someone fifteen years of age or under. While the jury could certainly infer from the context of the conversation that “Misty” might be in high school or college, the chat specifically stated at the outset that “Misty” was a fourteen-year-old female living in Conway, Arkansas; viewing the evidence in the light most favorable to the state, it could not be said that there was no substantial evidence on that point. Buffalo v. State, 2010 Ark. App. 127, 374 S.W.3d 82 (2010), review denied, — Ark. —, — S.W.3d —, 2010 Ark. LEXIS 226 (Apr. 22, 2010).

In a case in which defendant appealed his conviction for violating subdivision (a)(2)(C) of this section, he unsuccessfully argued that the evidence was insufficient to show that his purpose in meeting was to conduct inappropriate sexual acts. Even though defendant had stated that he did not have any condoms, the statute did not require a plan for sexual intercourse to be violated; given the discussion regarding oral sex, the sufficiency of the evidence was properly presented to the jury. Buffalo v. State, 2010 Ark. App. 127, 374 S.W.3d 82 (2010), review denied, — Ark. —, — S.W.3d —, 2010 Ark. LEXIS 226 (Apr. 22, 2010).

In a case in which defendant appealed his conviction for violating subdivision (a)(2)(C) of this section, he unsuccessfully argued the trial court abused its discretion in admitting into evidence a cut-and-paste word document from the police computer system because it was not properly authenticated or the best evidence. The trial court did not abuse its discretion by deeming the printout sufficiently authenticated by the officer who conducted the chat and who converted it to a printable Wordpad document, and the trial court did not abuse its discretion in admitting the printout into evidence because it was properly authenticated and was admissible as a duplicate or an original. Buffalo v. State, 2010 Ark. App. 127, 374 S.W.3d 82 (2010), review denied, — Ark. —, — S.W.3d —, 2010 Ark. LEXIS 226 (Apr. 22, 2010).

Substantial evidence supported defendant's conviction for internet stalking of a child under this section as it supported a reasonable inference that defendant believed that a victim was under 15 years old and defendant admitted that defendant brought condoms to a prearranged meeting due to the possibility of having sex with the victim. Tipton v. State, 2011 Ark. App. 166 (2011).

Sufficient evidence showed that defendant, who was convicted of internet stalking under subdivision (a)(2) of this section, seduced, enticed, solicited, and lured a person whom defendant chatted with online and believed to be a fifteen year-old girl, in an effort to arrange a meeting for sex because the transcript of the online chat and the testimony of the detective who posed as a fifteen year-old girl online showed that defendant made sex-related comments, asked for the person's address, and told the person that defendant had condoms, which were found in defendant's truck. Smoak v. State, 2011 Ark. 529, 385 S.W.3d 257 (2011), rehearing denied, — Ark. —, — S.W.3d —, 2012 Ark. LEXIS 26 (Ark. Jan. 19, 2012).

There was sufficient evidence to convict defendant of internet stalking of a child in violation of this section, because he had a series of online chats with a police lieutenant representing himself as a fifteen-year-old female; defendant initiated a sexually explicit conversation, made plans to meet in person, and offered to teach the fifteen-year-old female a variety of sexual skills. There was sufficient evidence to prove that (1) defendant believed the person chatting online was age fifteen or younger; and (2) his purpose in meeting in person was to engage in sexual activity. Todd v. State, 2012 Ark. App. 626, 425 S.W.3d 25 (2012).

Defendant and a person he believed to be a 15-year-old girl exchanged 846 messages, but the passages did not support that defendant made a determined attempt to arrange a meeting with the girl, and although his messages posed hypotheticals, he declined the girl's request to meet several times; the trial court erred in denying his motion for a directed verdict. Holcomb v. State, 2014 Ark. 141, 432 S.W.3d 600 (2014).

Evidence was sufficient to support a conviction under subdivision (a)(2) of this section where the chat log showed that defendant believed the undercover agent was only 15. Squyres v. State, 2015 Ark. App. 665, 476 S.W.3d 839 (2015).

Conversations defendant had with with a 14-year-old female on an adult social-networking website failed to support defendant's conviction for internet stalking of a child because during the conversations, defendant believed he was communicating with a 26-year-old female and no meeting was arranged. Duren v. State, 2018 Ark. App. 68, 544 S.W.3d 555 (2018).

There was substantial evidence to support the jury's finding that when defendant and a police officer posing as a child exchanged pictures, defendant used the internet because the officer, who was qualified as an expert witness in extracting data from computers and mobile devices, testified that the pictures that defendant and “the child” exchanged had been sent over the internet. Duren v. State, 2018 Ark. App. 68, 544 S.W.3d 555 (2018) (decision under prior version of section).

Circuit court erred in denying defendant's directed verdict motion on the charge of internet stalking of a child; while the text messages between defendant and the victim showed that they discussed meeting for sexual activity, they did not demonstrate that defendant made a determined attempt to plan to meet the victim. Taliaferro v. State, 2020 Ark. App. 68, 597 S.W.3d 58 (2020).

Requirements.

Applying the ordinary definitions of the terms effort, arrange, and meeting, defendant must have made a determined attempt to plan a coming together with a girl he believed was 15 years old, for purposes of his internet stalking of a child conviction. Holcomb v. State, 2014 Ark. 141, 432 S.W.3d 600 (2014).

5-27-307. Sexually grooming a child.

  1. As used in this section, “disseminates” means to allow to view, expose, furnish, present, sell, or otherwise distribute.
  2. A person commits sexually grooming a child if he or she knowingly disseminates to a child thirteen (13) years of age or younger with or without consideration a visual or print medium depicting sexually explicit conduct with the purpose to entice, induce, or groom the child thirteen (13) years of age or younger to engage in the following with a person:
    1. Sexual intercourse;
    2. Sexually explicit conduct; or
    3. Deviate sexual activity.
  3. Sexually grooming a child is a:
    1. Class D felony if the actor is twenty-one (21) years of age or older; or
    2. Class A misdemeanor if the actor is younger than twenty-one (21) years of age.
  4. It is an affirmative defense to prosecution under this section that the actor was not more than three (3) years older than the victim.
  5. It is not a defense to prosecution under this section that the actor does not know the age of the child or believes the child is fourteen (14) years of age or older.

History. Acts 2013, No. 1114, § 2.

Subchapter 4 — Use of Children in Sexual Performances

Cross References. Sexual indecency with a child, § 5-14-110.

Research References

ALR.

Statutes or ordinances regulating sexual performance by child. 21 A.L.R.4th 239.

Case Notes

Purpose.

The intent of the General Assembly was specifically to prohibit the exploitation of children in commercial pornographic stage productions. Graham v. State, 314 Ark. 152, 861 S.W.2d 299 (1993).

5-27-401. Definitions.

As used in this subchapter:

  1. “Performance” means any play, dance, act, drama, piece, interlude, pantomime, show, scene, or other three-dimensional presentation or a part of a play, dance, act, drama, piece, interlude, pantomime, show, scene, or other three-dimensional presentation, whether:
    1. Performed live or photographed;
    2. Filmed;
    3. Videotaped; or
    4. Visually depicted by any other photographic, cinematic, magnetic, or electronic means;
  2. “Promote” means to:
    1. Sell, give, provide, distribute, circulate, disseminate, present, exhibit, or advertise; or
    2. Offer or agree to sell, give, provide, distribute, circulate, disseminate, present, exhibit, or advertise;
  3. “Sadomasochistic abuse” means flagellation, mutilation, or torture by or upon a person who is nude or clad in an undergarment or in revealing or bizarre costume or the condition of being fettered, bound, or otherwise physically restrained on the part of one so clothed, in a sexual context;
  4. “Sexual conduct” means:
    1. Actual or simulated sexual intercourse;
    2. Deviate sexual activity;
    3. Sexual bestiality;
    4. Masturbation;
    5. Sadomasochistic abuse; or
    6. Lewd exhibition of the genitals or pubic area of any person or a breast of a female; and
  5. “Sexual performance” means any performance or part of a performance that includes sexual conduct by a child under eighteen (18) years of age.

History. Acts 1983, No. 451, § 1; A.S.A. 1947, § 41-4206; Acts 1995, No. 337, § 1; 1995, No. 1209, § 2; 2007, No. 827, § 38; 2011, No. 1190, § 2.

Amendments. The 2011 amendment substituted “eighteen (18)” for “seventeen (17)” in (5).

Case Notes

Performance.

The fact that the definition of “performance” in subdivision (1) of this section requires an exhibition of the work before an audience of at least two persons indicates that the legislators had in mind some form of public display rather than a private recording of sexual intimacies between participating parties. Graham v. State, 314 Ark. 152, 861 S.W.2d 299 (1993) (decision under prior law).

The definition of “performance” set forth in subdivision (1) of this section requires the state to prove that the sexual performance was exhibited to two or more viewers. Graham v. State, 314 Ark. 152, 861 S.W.2d 299 (1993) (decision under prior law).

Sufficiency of the Evidence.

Substantial evidence existed from which the jury could conclude that defendants, husband and wife, permitted their child to engage in sexually explicit conduct for the use in visual or print medium and that defendant husband produced, directed, or promoted a sexual performance; the videotapes showed full frontal nudity of the child, who was no more than 13 years old, and the scenes depicted were lewd. Cummings v. State, 353 Ark. 618, 110 S.W.3d 272 (2003).

Evidence was sufficient to sustain defendant's convictions of possession of visual or print medium depicting sexually explicit conduct where the images in defendant's possession constituted “sexually explicit conduct”; there were images containing the bare breasts of 14 year-old girls, and the girls were photographed in sexually suggestive positions. George v. State, 358 Ark. 269, 189 S.W.3d 28 (2004), cert. denied, George v. Arkansas, 543 U.S. 1163, 125 S. Ct. 1329 (2005).

5-27-402. Employing or consenting to the use of a child in a sexual performance.

  1. It is unlawful for a person, knowing the character and content of the performance, to employ, authorize, or induce a child under eighteen (18) years of age to engage in a sexual performance.
  2. It is also unlawful for a parent or legal guardian or custodian of a child under eighteen (18) years of age to consent to the participation by the child in a sexual performance.
  3. A person who violates this section upon conviction is guilty of a:
    1. Class C felony for the first offense; and
    2. Class B felony for a subsequent offense.

History. Acts 1983, No. 451, § 2; A.S.A. 1947, § 41-4207; Acts 2011, No. 1190, § 3.

Amendments. The 2011 amendment substituted “eighteen (18)” for “seventeen (17)” in (a) and (b); and inserted “upon conviction” in the introductory language of (c).

Case Notes

Evidence.

Where there was no proof that two or more persons were watching during the showing of a videotape containing sexual conduct by a child, the evidence was held insufficient to sustain a conviction under this section. Graham v. State, 314 Ark. 152, 861 S.W.2d 299 (1993).

5-27-403. Producing, directing, or promoting a sexual performance by a child.

  1. It is unlawful for a person, knowing the character and content of the material, to produce, direct, or promote a performance that includes sexual conduct by a child under eighteen (18) years of age.
  2. A person who violates this section upon conviction is guilty of a Class B felony.

History. Acts 1983, No. 451, § 3; A.S.A. 1947, § 41-4208; Acts 2011, No. 1190, § 4.

Amendments. The 2011 amendment substituted “eighteen (18)” for “seventeen (17)” in (a); and inserted “upon conviction” in (b).

Research References

ALR.

Construction and Application of U.S. Sentencing Guideline § 2G1.3(b)(3), Providing Two-Level Enhancement for Use of Computer to Persuade, Induce, Entice, Coerce, or Facilitate the Travel of, Minor to Engage in Prohibited Sexual Conduct. 58 A.L.R. Fed. 2d 1.

5-27-404. Good faith defense.

It is an affirmative defense to a prosecution under this subchapter that the defendant in good faith reasonably believed that the person who engaged in the sexual conduct was eighteen (18) years of age or older.

History. Acts 1983, No. 451, § 4; A.S.A. 1947, § 41-4209; Acts 2011, No. 1190, § 5.

Amendments. The 2011 amendment substituted “eighteen (18)” for “seventeen (17).”

Case Notes

Cited: Graham v. State, 314 Ark. 152, 861 S.W.2d 299 (1993).

5-27-405. Determination of age of person.

When it becomes necessary for purposes of this subchapter to determine whether a person who participated in sexual conduct was a child under eighteen (18) years of age, the court or jury may make this determination by any of the following methods:

  1. Personal inspection of the person;
  2. Inspection of the photograph, motion picture, or other material that shows the person engaging in the sexual performance;
  3. Oral testimony by a witness to the sexual performance as to the age of the person based on the person's appearance at the time;
  4. Expert medical testimony based on the appearance of the person engaged in the sexual performance; or
  5. Any other method authorized by law.

History. Acts 1983, No. 451, § 5; A.S.A. 1947, § 41-4210; Acts 2011, No. 1190, § 6.

Amendments. The 2011 amendment substituted “eighteen (18)” for “seventeen (17)” in the introductory language; and inserted “or other material” in (2).

Subchapter 5 — Fraudulent Identification Documents for Minors

5-27-501. Purposes.

  1. The primary purpose of this subchapter is to prohibit the production, sale, or distribution of a fraudulent or altered identification document to a person under twenty-one (21) years of age to prevent the use of the fraudulent or altered identification document to unlawfully purchase an alcoholic beverage or other substance or material restricted for adult purchase or possession in accordance with existing law.
  2. The secondary purpose of this subchapter is to assign criminal liability to a person under twenty-one (21) years of age utilizing a fraudulent identification document for the purpose of unlawfully purchasing an alcoholic beverage or other substance or material restricted for adult purchase or possession in accordance with existing law.

History. Acts 1991, No. 567, § 1.

5-27-502. Manufacturing or altering personal identification document unlawful.

  1. It is unlawful for a person to:
    1. Manufacture or produce a fraudulent personal identification document for the purpose of providing a person under twenty-one (21) years of age identification that can be used for the purpose of purchasing an alcoholic beverage or other substance or material restricted for adult purchase or possession in accordance with existing law;
    2. Alter a personal identification document for the purpose of providing a person under twenty-one (21) years of age false identification that can be used for the purpose of purchasing an alcoholic beverage or other substance or material restricted for adult purchase or possession in accordance with existing law; or
    3. Sell or otherwise distribute a fraudulent personal identification document described in this subsection to a person under twenty-one (21) years of age.
    1. A person who violates this section is deemed guilty of a Class C felony.
    2. A subsequent violation of this section is a Class B felony.

History. Acts 1991, No. 567, § 2.

5-27-503. Possession of fraudulent or altered personal identification document unlawful.

  1. It is unlawful for:
    1. A person to possess a fraudulent or altered personal identification document for the purpose of providing a person under twenty-one (21) years of age identification that can be used for the purpose of purchasing an alcoholic beverage or other substance or material restricted for adult purchase or possession in accordance with existing law;
    2. A person under twenty-one (21) years of age to possess a fraudulent or altered personal identification document that can be used for the purpose of purchasing an alcoholic beverage or other substance or material restricted for adult purchase or possession in accordance with existing law; or
    3. A person under twenty-one (21) years of age to attempt to purchase an alcoholic beverage or use a fraudulent or altered personal identification document for the purpose of purchasing an alcoholic beverage illegally or other material or substance restricted to adult purchase or possession under existing law.
      1. If a seller of alcoholic beverages or the seller's employee has reasonable cause to believe that a person has violated subdivision (a)(3) of this section, the person may be detained in a reasonable manner and for a reasonable length of time by the seller of alcoholic beverages or the seller's employee in order that the seller of alcoholic beverages or the seller's employee may call for a certified law enforcement officer to conduct an investigation.
      2. The detention authorized under subdivision (b)(1)(A) of this section does not include a physical detention.
    1. If the seller of alcoholic beverages or the seller's employee attempts to verify the age of the person attempting to purchase an alcoholic beverage by way of photographic identification and complies with subdivision (b)(1) of this section, the detention by a seller of alcoholic beverages or the seller's employee does not render the seller of alcoholic beverages or the seller's employee criminally or civilly liable for false arrest, false imprisonment, or unlawful detention.
    2. After conducting an investigation under subdivision (b)(1)(A) of this section and within twenty-four (24) hours of the call from a seller of alcoholic beverages or the seller's employee for the investigation, a certified law enforcement officer may arrest a person without a warrant upon probable cause for believing that the person has violated subdivision (a)(3) of this section.
    1. A person who violates this section is deemed guilty of a Class B misdemeanor.
    2. A subsequent violation of this section is a Class A misdemeanor.
    1. Except for a minor subject to the penalty authorized by § 5-27-504, in addition to any penalty authorized by subdivision (c)(1) or (2) of this section, at the time of arrest for a violation of subdivision (a)(3) of this section, the arrested person shall immediately surrender his or her license, permit, or other evidence of driving privilege to the arresting law enforcement officer as provided in § 5-65-402.
    2. The Office of Driver Services or its designated official shall suspend or revoke the driving privilege of the arrested person or shall suspend any nonresident driving privilege of the arrested person, as provided in § 5-65-402.
    3. The period of suspension or revocation of driving privilege of the arrested person shall be based on the number of previous offenses of the arrested person as follows:
      1. Suspension for sixty (60) days for a first offense under subdivision (a)(3) of this section;
      2. Suspension for one hundred twenty (120) days for a second offense under subdivision (a)(3) of this section; and
      3. Suspension for one (1) year for a third or subsequent offense under subdivision (a)(3) of this section.
    4. In order to determine the number of previous offenses under subdivision (d)(3) of this section to consider when suspending or revoking the arrested person's driving privileges, the office shall consider as a previous offense any conviction under subdivision (a)(3) of this section regardless of when the offense occurred.

History. Acts 1991, No. 567, § 3; 2005, No. 1976, § 1; 2007, No. 922, § 1.

5-27-504. Denial of driving privileges.

    1. If a minor pleads guilty, nolo contendere, or is found guilty of violation of § 5-27-503, or is found by a juvenile division of circuit court to have committed a violation of § 5-27-503, the court shall prepare and transmit to the Department of Finance and Administration within twenty-four (24) hours after the plea or finding an order of denial of driving privileges for the minor.
    2. In a case of extreme and unusual hardship, the order may provide for the issuance of a restricted driving permit to allow driving to and from a place of employment or driving to and from school.
  1. Upon receipt of an order of denial of driving privileges under this subchapter, the department shall suspend the motor vehicle operator's license of the minor for twelve (12) months or until the minor reaches eighteen (18) years of age, whichever period of time is shortest.
  2. A penalty prescribed in this section is in addition to a penalty prescribed by § 5-27-503.

History. Acts 1991, No. 567, § 4.

Subchapter 6 — Computer Crimes Against Minors

Cross References. Computer crimes, § 5-41-201 et seq.

5-27-601. Definitions.

As used in this subchapter:

  1. “Child” means any person under seventeen (17) years of age;
    1. “Computer” means an electronic, magnetic, electrochemical, or other high-speed data processing device performing a logical, arithmetic, or storage function and includes any data storage facility or communications facility directly related to or operating in conjunction with the device.
    2. “Computer” also includes any online service, Internet service, or local bulletin board, any electronic storage device, including a floppy disk or other magnetic storage device, or any compact disk that has read-only memory and the capacity to store audio, video, or written material;
  2. “Computer network” means an interconnection of a communications line with a computer through a remote terminal or a complex consisting of two (2) or more interconnected computers;
  3. “Computer program” means a set of instructions, statements, or related data that, in actual or modified form, is capable of causing a computer or a computer system to perform a specified function;
  4. “Computer software” means one (1) or more computer programs, existing in any form, or any associated operational procedure, manual, or other documentation;
  5. “Computer system” means a set of related, connected, or unconnected computers, other devices, and software;
  6. “Deviate sexual activity” means any act involving the penetration, however slight, of the:
    1. Anus or mouth of a person by the penis of another person; or
    2. Labia majora or anus of a person by any body member or foreign instrument manipulated by another person;
  7. “Electronic mail” means an electronic message, file, data, or other information that is transmitted:
    1. Between two (2) or more computers, computer networks, or electronic terminals; or
    2. Within or between computer networks;
  8. “Electronic mail service provider” means a person that:
    1. Is an intermediary in the transmission of electronic mail from the sender to the recipient; or
    2. Provides to an end user of electronic mail service the ability to send and receive electronic mail;
  9. “Interactive computer service” means an information service, system, or access software provider that provides or enables computer access by multiple users to a computer server, including specifically a service or system that provides access to the Internet and also a system operated or service offered by a library or educational institution;
  10. “Internet” means the international computer network of both federal and nonfederal interoperable packet switched data networks;
  11. “Performance” means any play, dance, act, drama, piece, interlude, pantomime, show, scene, or other three-dimensional presentation or a part, whether:
    1. Performed live or photographed;
    2. Filmed;
    3. Videotaped; or
    4. Visually depicted by any other photographic, cinematic, magnetic, or electronic means;
  12. “Reproduction” includes, but is not limited to, a computer-generated image;
  13. “Sexual intercourse” means penetration, however slight, of the labia majora by a penis; and
  14. “Sexually explicit conduct” means actual or simulated:
    1. Sexual intercourse;
    2. Deviate sexual activity;
    3. Bestiality;
    4. Masturbation;
    5. Sadomasochistic abuse for the purpose of sexual stimulation; or
    6. Lewd exhibition of the:
      1. Genitals or pubic area of any person; or
      2. Breast of a female.

History. Acts 2001, No. 1496, § 1; 2003, No. 1087, § 2.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Computer Crimes, 26 U. Ark. Little Rock L. Rev. 361.

Case Notes

Lewd Exhibition.

Images of nude children were lewd for purposes of subdivision (15)(F) of this section and § 5-27-602 because they were designed to elicit a sexual response in a pedophile viewer; in this case, defendant admitted that he masturbated while looking at the photographs and identified which of them was his favorite for that purpose. Hayes v. State, 2013 Ark. App. 725 (2013).

5-27-602. Distributing, possessing, or viewing of matter depicting sexually explicit conduct involving a child.

  1. A person commits distributing, possessing, or viewing of matter depicting sexually explicit conduct involving a child if the person knowingly:
    1. Receives for the purpose of selling or knowingly sells, procures, manufactures, gives, provides, lends, trades, mails, delivers, transfers, publishes, distributes, circulates, disseminates, presents, exhibits, advertises, offers, or agrees to offer through any means, including the Internet, any photograph, film, videotape, computer program or file, video game, or any other reproduction or reconstruction that depicts a child or incorporates the image of a child engaging in sexually explicit conduct; or
    2. Possesses or views through any means, including on the Internet, any photograph, film, videotape, computer program or file, computer-generated image, video game, or any other reproduction that depicts a child or incorporates the image of a child engaging in sexually explicit conduct.
  2. Distributing, possessing, or viewing of matter depicting sexually explicit conduct involving a child is a:
    1. Class C felony for the first offense; and
    2. Class B felony for any subsequent offense.
  3. It is an affirmative defense to a prosecution under this section that the defendant in good faith reasonably believed that the person depicted in the matter was seventeen (17) years of age or older.

History. Acts 2001, No. 1496, § 1; 2003, No. 1087, § 3; 2005, No. 1994, § 492.

Case Notes

Construction.

Plain language of this section demonstrates that the General Assembly unambiguously intends that each act of possession is a discrete and independent offense. Consequently, this section authorizes separate convictions for each prohibited photograph and videotape that is possessed. Rea v. State, 2015 Ark. 431, 474 S.W.3d 493 (2015).

Consecutive Sentences.

Trial court did not abuse its discretion by ordering defendant’s sentences for 20 counts of distributing, possessing, or viewing matter depicting sexually explicit conduct involving a child to run consecutively because there was no indication that the trial court failed to consider factors urged by the defense, each sentence was within the statutory range of punishment, and no exception applied. Steele v. State, 2014 Ark. App. 257, 434 S.W.3d 424 (2014).

Double Jeopardy.

This section does not impose multiple prosecutions for the same offense in violation of the double jeopardy clause. Instead, this section permits separate prosecutions for the knowing possession of “any” prohibited photograph or videotape. Rea v. State, 2015 Ark. 431, 474 S.W.3d 493 (2015).

Circuit court properly denied defendant's petition for writ of habeas corpus because a conviction for each photograph sent by defendant did not violate double jeopardy, even though he sent only one email with one attachment. The number of charges brought against defendant was authorized by the legislature, defendant did not dispute that the email he sent contained 30 separate photographs depicting children engaging in sexually explicit conduct, and, although “computer file” is included in the list of media in subdivision (a)(1) of this section, the fact that the 30 photographs were attached to the email in a single file was not relevant where it is the number of photographs distributed, not the manner of distribution, that gives rise to the number of permissible charges. Pelletier v. Kelley, 2018 Ark. 347, 561 S.W.3d 730 (2018).

For double jeopardy purposes, there is no distinction between possession under subdivision (a)(2) of this section and the prohibited activities listed in subdivision (a)(1) of this section. Each photograph that is distributed in violation of subdivision (a)(1) can support a separate charge. Pelletier v. Kelley, 2018 Ark. 347, 561 S.W.3d 730 (2018).

Evidence Sufficient.

Evidence was sufficient to support defendant’s convictions of 20 counts of distributing, possessing, or viewing matter depicting sexually explicit conduct involving a child because it showed that he exercised dominion and control over the computer, as it belonged to him, the IP address was registered to him, it was kept in his bedroom, it held personal pictures and private email accounts, and defendant said that he had recently updated the antivirus software on the computer. Steele v. State, 2014 Ark. App. 257, 434 S.W.3d 424 (2014).

Evidence supported defendant's convictions of distributing, possessing, or viewing matter depicting sexually explicit conduct involving a child; there was substantial evidence that defendant exercised dominion and control over the computers that were seized from his residence, and there was no claim that anyone else lived with defendant or had access to the computer, and there was substantial evidence that defendant knowingly possessed the images and videos of child pornography saved on his computer. Bishop v. State, 2015 Ark. App. 436, 467 S.W.3d 763 (2015).

Evidence was sufficient to sustain defendant's convictions for child pornography possession under this section where even assuming joint access to the computers on which the images were found, the evidence showed that defendant exercised dominion and control over the computers and hard drives, and his attempt to prevent officers from finding evidence on one hard drive by unplugging cables from the device, thereby encrypting the information contained on it, was properly regarded as evidence of consciousness of guilt. Allen v. State, 2016 Ark. App. 264, 492 S.W.3d 871 (2016).

There was sufficient evidence to support defendant's convictions for possession of child pornography because the two computers that contained images of child pornography were found in a computer file that contained defendant's name, a detective testified that each picture of the children appeared to depict a prepubescent female, and the jury was provided with the pictures. Whitney v. State, 2017 Ark. App. 341 (2017).

Considering the evidence in the light most favorable to the bench trial verdict, substantial evidence supported defendant's convictions for 10 counts of possessing, viewing, or distributing materials containing sexually explicit conduct involving a minor child; defendant did not object to the authenticity of the screenshots at trial, and no speculation or conjecture was necessary on the record presented. Manek v. State, 2019 Ark. App. 214, 575 S.W.3d 436 (2019).

Sufficient evidence supported defendant's child pornography convictions because substantial evidence supported the finding that defendant possessed prohibited material, as file creations and deletions were associated with defendant's user account, sexually explicit material involving children was found on defendant's computer, and files on defendant's computer were not created in a vacuum but instead were the result of his actions of viewing, playing, downloading, or searching for sexually explicit images involving children. Groomes v. State, 2019 Ark. App. 408, 586 S.W.3d 196 (2019).

Circuit court properly denied defendant's motion for a directed verdict on 104 counts of possession of child pornography, because the State presented sufficient evidence to show that defendant exercised dominion and control over the subject laptop, where his username was used to download the images, and he told a state trooper that he had exclusive access to the computer when the child-pornographic images were uploaded to a chatroom. Taliaferro v. State, 2020 Ark. App. 68, 597 S.W.3d 58 (2020).

Guilty Pleas.

Trial court, upon resentencing, properly ordered defendant to register as a sex offender because, by pleading guilty to distributing, possessing, or viewing matter depicting sexually explicit conduct involving a child, defendant was ineligible for any sentence under the First Offender Act and was required by law to comply with the statutory sex-offender-registration requirements. Wilson v. State, 2019 Ark. App. 116 (2019).

Mutiple Charges.

Neither at trial nor on direct appeal did petitioner challenge his multiple charges under subdivision (a)(2) of this section, and thus his claim that the trial court incorrectly concluded that he could be charged with multiple counts was not cognizable. Bishop v. State, 2017 Ark. App. 435 (2017).

Sexually Explicit Conduct.

Images of nude children were lewd for purposes of § 5-27-601(15)(F) and this section because they were designed to elicit a sexual response in a pedophile viewer; in this case, defendant admitted that he masturbated while looking at the photographs and identified which of them was his favorite for that purpose. Hayes v. State, 2013 Ark. App. 725 (2013).

In a child pornography case, sufficient evidence supported the jury's verdict that five images that defendant possessed of nude children depicted sexually explicit conduct. Groomes v. State, 2019 Ark. App. 408, 586 S.W.3d 196 (2019).

Writ of Error Coram Nobis.

Where petitioner contended in his request for a writ of error coram nobis that his guilty plea to thirty crimes under this section was illegal because he had sent only one computer file, the circuit court properly denied the petition. The acts described by petitioner as “misconception” on the part of his counsel, the prosecutor, and the trial judge did not constitute the type of coercion required for coram nobis relief; coram nobis proceedings are not a substitute for proceeding under Ark. R. Crim. P. 37.1; and double jeopardy claims do not fall within any of the four categories of recognized claims for a writ of error coram nobis. Pelletier v. State, 2015 Ark. 432, 474 S.W.3d 500 (2015).

Cited: Ross v. State, 2017 Ark. App. 234, 518 S.W.3d 758 (2017).

5-27-603. Computer child pornography.

  1. A person commits computer child pornography if the person knowingly:
    1. Compiles, enters into, or transmits by means of computer, makes, prints, publishes, or reproduces by other computerized means, knowingly causes or allows to be entered into or transmitted by means of computer or buys, sells, receives, exchanges, or disseminates any notice, statement, or advertisement or any child's name, telephone number, place of residence, physical characteristics, or other descriptive or identifying information for purposes of facilitating, encouraging, offering, or soliciting sexually explicit conduct of or with any child or another individual believed by the person to be a child, or the visual depiction of the conduct; or
    2. Utilizes a computer online service, Internet service, or local bulletin board service to seduce, solicit, lure, or entice or attempt to seduce, solicit, lure, or entice a child or another individual believed by the person to be a child, to engage in sexually explicit conduct.
  2. Computer child pornography is a Class B felony.

History. Acts 2001, No. 1496, § 1.

Research References

ALR.

Validity of state statutes and administrative regulations regulating internet communications under commerce clause and First Amendment of federal constitution. 98 A.L.R.5th 167.

Case Notes

Constitutionality.

Court did not agree with defendant's argument that this section was overbroad and unconstitutional on its face and as it applied to defendant and that it criminalized a substantial amount of lawful speech with no compelling state interest in doing so because the defendant's case involved actions rather than ideas. Defendant had conversations over the internet with an individual he thought was a thirteen year old girl, but was actually a police detective. Kelley v. State, 103 Ark. App. 110, 286 S.W.3d 746 (2008).

Age of Child.

In defendant's trial for computer child pornography, under subdivision (a)(2) of this section, and internet stalking of a child, § 5-27-306(a), the state did not fail to establish beyond a reasonable doubt that defendant believed the victim was only thirteen years old as the detective, who was the minor girl at the other end of the computer, told him that she was only thirteen years old in their correspondence and defendant noted the age difference as well as the fact that he would get into trouble if she told anyone about their chats. Kelley v. State, 103 Ark. App. 110, 286 S.W.3d 746 (2008).

Sufficient Evidence.

Substantial evidence supported defendant's conviction for computer child pornography, pursuant to subdivision (a)(2) of this section, because defendant's representations indicated that he believed the person he communicated with online to be a child, and defendant's sexually explicit comments provided sufficient evidence of the requisite state of mind under the statute. Trice v. State, 2010 Ark. App. 6 (2010).

Appellant's conviction for computer child pornography was affirmed where (1) both appellant and the screen name user were forty-six-year-old floor installers, with two sons; (2) the screen name user used appellant's personal computer, located in the bedroom appellant shared with his girlfriend, to communicate with an undercover persona of a thirteen year old girl between January and April 2009; (3) a webcam was found in appellant's bedroom behind some clutter in the computer desk; (4) appellant shared the home with his girlfriend and her minor daughter, and no other male lived with them; and (5) on April 6, 2009, two minutes after the screen name user and the undercover persona of a thirteen year old girl ended their first chat, appellant completed his taxes on the same computer. Fikes v. State, 2010 Ark. App. 803, 378 S.W.3d 302 (2010).

5-27-604. Failure to report computer child pornography.

  1. A person commits failure to report computer child pornography if the person:
    1. Is the owner, operator, or employee of a computer online service, Internet service, or bulletin board service; and
    2. Knowingly fails to notify a law enforcement official that a subscriber is using the computer online service, Internet service, or bulletin board service to commit a violation of § 5-27-603.
  2. Failure to report computer child pornography is a Class A misdemeanor.

History. Acts 2001, No. 1496, § 1.

5-27-605. Computer exploitation of a child.

    1. A person commits computer exploitation of a child in the first degree if the person:
      1. Causes or permits a child to engage in sexually explicit conduct; and
      2. Knows, has reason to know, or intends that the prohibited conduct may be:
        1. Photographed;
        2. Filmed;
        3. Reproduced;
        4. Reconstructed in any manner, including on the Internet; or
        5. Part of an exhibition or performance.
    2. Computer exploitation of a child in the first degree is a:
      1. Class B felony for the first offense; and
      2. Class A felony for a subsequent offense.
    1. A person commits computer exploitation of a child in the second degree if the person:
      1. Photographs or films a child engaged in sexually explicit conduct; or
      2. Uses any device, including a computer, to reproduce or reconstruct the image of a child engaged in sexually explicit conduct.
    2. Computer exploitation of a child in the second degree is a Class C felony.

History. Acts 2001, No. 1496, § 1; 2003, No. 1087, § 4.

Research References

ALR.

Construction and Application of U.S. Sentencing Guideline § 2G1.3(b)(3), Providing Two-Level Enhancement for Use of Computer to Persuade, Induce, Entice, Coerce, or Facilitate the Travel of, Minor to Engage in Prohibited Sexual Conduct. 58 A.L.R. Fed. 2d 1.

Case Notes

Double Jeopardy.

With respect to his convictions for computer exploitation of a child under this section, defendant did not explain how his multiple convictions under the statute resulted in a double-jeopardy violation. Defendant presented no specific argument that the Legislature did not intend multiple punishments for the same act. Rea v. State, 2015 Ark. 431, 474 S.W.3d 493 (2015).

Ineffective Assistance of Counsel.

Because the State presented sufficient evidence to support petitioner's conviction for computer exploitation of a child, trial counsel was not ineffective for failing to preserve the sufficiency-of-the-evidence issue for appeal; petitioner testified that he prodded the victim with the broomstick around her thigh area, and it was the duty of the jury to view the video and determine if actual or simulated penetration of the victim's vagina or anus occurred. Sorum v. State, 2019 Ark. App. 354, 582 S.W.3d 18 (2019).

Trial court did not abuse its discretion in denying postconviction relief because trial counsel was not ineffective for failing to move for a directed verdict on the offense of computer exploitation of a child on the correct grounds; the State presented evidence that petitioner had reason to know that a cell phone could have been recording video of his actions against the victim. Sorum v. State, 2019 Ark. App. 354, 582 S.W.3d 18 (2019).

5-27-606. Jurisdiction.

For the purpose of determining jurisdiction, a person is subject to prosecution in this state for any conduct proscribed by this subchapter if the transmission that constitutes the offense either originates in this state or is received in this state.

History. Acts 2001, No. 1496, § 1.

5-27-607. Determination of age of person.

  1. For purposes of this subchapter, the state must prove beyond a reasonable doubt that a person who is depicted as or presents the appearance of being under seventeen (17) years of age in any photograph, film, videotape, computer program or file, video game, or any other reproduction or reconstruction is under seventeen (17) years of age.
  2. If it becomes necessary for a purpose of this subchapter to determine whether a person depicted engaging in sexually explicit conduct was under seventeen (17) years of age, the court or jury may make this determination by any of the following methods:
    1. Personal inspection of the person;
    2. Inspection of the photograph, film, videotape, computer program or file, video game, or any other reproduction or reconstruction picture that depicts the person engaging in the sexually explicit conduct;
    3. Expert medical testimony based on the appearance of the person engaged in the sexually explicit conduct; or
    4. Any other method authorized by law.

History. Acts 2001, No. 1496, § 1; 2005, No. 1994, § 493.

5-27-608. Applicability of this subchapter to interactive computer service and electronic mail service providers.

An interactive computer service or electronic mail service provider does not violate this subchapter when the interactive computer service or electronic mail service provider is an intermediary between the sender and the recipient in the transmission of an electronic mail that violates this subchapter.

History. Acts 2003, No. 1087, § 5.

5-27-609. Possession of sexually explicit digital material.

  1. As used in this section:
    1. “Nudity” means a:
      1. Showing of the human male or female genitals, pubic area, or buttocks with less than a fully opaque covering;
      2. Showing of the female breast with less than fully opaque covering of any portion of the female breast below the top of the nipple; or
      3. Depiction of covered male genitals in a discernibly turgid state; and
      1. “Sexually explicit digital material” means any photograph, digitized impact, or visual depiction of a minor:
        1. In any condition of nudity; or
        2. Involved in any prohibited sexual act.
      2. The distribution of sexually explicit digital material by a minor may commonly be referred to as “sexting”.
  2. A minor commits the offense of possession of sexually explicit digital material if the minor purposely creates, produces, distributes, presents, transmits, posts, exchanges, disseminates, or possesses through a computer, wireless communication device, or digital media, any sexually explicit digital material.
  3. It is an affirmative defense to the offense of possession of sexually explicit digital material that:
    1. A minor:
      1. Has not solicited the sexually explicit digital material;
      2. Does not subsequently distribute, present, transmit, post, print, disseminate, or exchange the sexually explicit digital material; and
      3. Deletes or destroys the sexually explicit digital material upon receipt; or
    2. A minor:
      1. Creates a photograph, digitized impact, or visual depiction of himself or herself; and
      2. Does not subsequently distribute, present, transmit, post, print, disseminate, or exchange the photograph, digitized impact, or visual depiction of himself or herself.
    1. Possession of sexually explicit digital material is a Class A misdemeanor.
    2. A minor who pleads guilty or nolo contendere to or is found guilty of violating this section for a first offense may be ordered to eight (8) hours of community service.

History. Acts 2013, No. 1086, § 4; 2015, No. 1155, § 7.

Amendments. The 2015 amendment substituted “minor” for “juvenile” throughout the section; deleted former (a)(1) and redesignated the remaining subdivisions accordingly; substituted “sexually explicit digital material” for “visual depiction” throughout (c)(1); inserted “photograph, digitized impact, or” in (c)(2)(A); in (c)(2)(B), inserted “photograph, digitized impact, or” and added “of himself or herself”; and, in (d)(2), inserted “for a first offense” and deleted “if it is the first offense for the juvenile” following “community service.”

Research References

ALR.

Construction and Application of State Laws Relating or Applied to Sexting Involving Juveniles, 18 A.L.R.7th Art. 8 (2018).

5-27-209. Contributing to the delinquency of a minor.

5-27-220. Contributing to the delinquency of a juvenile.

Chapter 28 Abuse of Adults

Research References

ALR.

Penal statute prohibiting abuse of persons. 1 A.L.R.4th 38.

Battered parent syndrome: expert testimony. 43 A.L.R.4th 1203.

Ark. L. Rev.

Killenbeck, Nothing That We Can Do? Or, Much Ado About Nothing? Some Thoughts on Bates v. Bates, Equity, and Domestic Abuse in Arkansas, 43 Ark. L. Rev. 752.

Subchapter 1 — General Provisions

Cross References. Assault and battery, § 5-13-201 et seq.

Criminal History for Volunteers Act, § 12-12-1601 et seq.

Endangering welfare of incompetent person in the first degree, § 5-27-201.

Endangering welfare of incompetent person in second degree, § 5-27-202.

Endangering welfare of a minor in the first degree, § 5-27-203.

Effective Dates. Acts 1988 (4th Ex. Sess.), No. 5, § 6, and No. 15, § 6: July 15, 1988. Emergency clause provided: “It is hereby found and determined by the General Assembly that during recent months, certain inadequacies in the continuum of health care for the older citizens of this State have been brought to the attention of the General Assembly; that this Act is necessary to assure each citizen of this State in need of long-term care that a high quality of care at affordable cost will be provided; that the older citizenry of this State deserve the best possible care; that the immediate passage of this Act is essential to the health, welfare and safety of the citizens of the State of Arkansas and to avoid irreparable harm upon the proper administration of an essential government program. Therefore, an emergency is hereby declared to exist and this act being necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1993, No. 1292, § 11: Apr. 22, 1993. Emergency clause provided: “It is hereby found and determined by the General Assembly that the Attorney General and the prosecuting attorneys are in need of specific legislation by which to protect endangered adults in the State of Arkansas and that immediate passage of this act is necessary for that purpose. Therefore, an emergency is hereby declared to exist and this act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 2003, No. 1162, § 2: Apr. 8, 2003. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the Adult Abuse Statute is in immediate need of a revision to clarify an ambiguity in the law; and that the provisions of this act are essential to successful operations and activities of the Medicaid Fraud Control Unit and the Department of Human Services. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

5-28-101. Definitions.

As used in this chapter:

  1. “Abuse” means:
    1. Any purposeful and unnecessary physical act that inflicts pain on or causes injury to an endangered person or an impaired person;
    2. Any purposeful or demeaning act that a reasonable person would believe subjects an endangered person or an impaired person, regardless of age, ability to comprehend, or disability, to ridicule or psychological injury in a manner likely to provoke fear or alarm;
    3. Any purposeful threat that a reasonable person would find credible and nonfrivolous to inflict pain on or cause injury to an endangered person or an impaired person except in the course of medical treatment or for justifiable cause; or
    4. With regard to any adult long-term care facility resident by a caregiver, any purposeful infliction of injury, unreasonable confinement, intimidation, or punishment with resulting physical harm, pain, or mental anguish;
  2. “Adult maltreatment” means adult abuse, exploitation, neglect, physical abuse, or sexual abuse;
  3. “Caregiver” means a related or unrelated person, owner, agent, high managerial agent of a public or private organization, or a public or private organization that has the responsibility for the protection, care, or custody of an adult endangered person or an adult impaired person as a result of assuming the responsibility voluntarily, by contract, through employment, or by order of the court;
  4. “Endangered person” means:
    1. An adult who:
      1. Is found to be in a situation or condition that poses an imminent risk of death or serious bodily harm to the adult; and
      2. Demonstrates a lack of capacity to comprehend the nature and consequences of remaining in that situation or condition; or
    2. A long-term care facility resident who:
      1. Is found to be in a situation or condition which poses an imminent risk of death or serious bodily harm to the person; and
      2. Demonstrates a lack of capacity to comprehend the nature and consequences of remaining in that situation or condition;
  5. “Exploitation” means:
    1. The illegal or unauthorized use or management of an adult endangered person's or an adult impaired person's funds, assets, or property or the use of an adult endangered person's or an adult impaired person’s person, power of attorney, or guardianship for the profit or advantage of the actor or another person; or
    2. Misappropriation of property of an adult long-term care facility resident which means the deliberate misplacement, exploitation, or wrongful, temporary, or permanent use of an adult long-term care facility resident's belongings or money without the adult long-term care facility resident's consent;
  6. “Imminent danger to health or safety” means a situation in which death or severe bodily injury could reasonably be expected to occur without intervention;
    1. “Impaired person” means a person eighteen (18) years of age or older who as a result of mental or physical impairment is unable to protect himself or herself from abuse, sexual abuse, neglect, or exploitation, and as a consequence of this inability to protect himself or herself is endangered.
    2. For purposes of this chapter, a long-term care facility resident is presumed to be an “impaired person”;
  7. “Long-term care facility” means:
    1. A nursing home;
    2. A residential care facility;
    3. A post-acute head injury retraining and residential facility;
    4. Any facility that provides long-term medical or personal care;
    5. An intermediate care facility for individuals with intellectual disabilities; or
    6. An assisted-living facility;
  8. “Long-term care facility resident” means a person, regardless of age, living in a long-term care facility;
  9. “Long-term care facility resident maltreatment” means abuse, exploitation, neglect, physical abuse, or sexual abuse of a long-term care facility resident;
  10. “Neglect” means:
    1. An act or omission by an endangered person or an impaired person, for example, self-neglect; or
    2. A purposeful act or omission by a caregiver responsible for the care and supervision of an adult endangered person or an adult impaired person that constitutes negligently failing to:
      1. Provide necessary treatment, rehabilitation, care, food, clothing, shelter, supervision, or medical services to an adult endangered person or an adult impaired person;
      2. Report a health problem or a change in a health problem or a change in the health condition of an adult endangered person or an adult impaired person to the appropriate medical personnel;
      3. Carry out a prescribed treatment plan; or
      4. Provide a good or service necessary to avoid physical harm, mental anguish, or mental illness as defined in rules promulgated by the Office of Long-Term Care to an adult long-term care facility resident;
  11. “Physical injury” means the:
    1. Impairment of a physical condition; or
    2. Infliction of substantial pain;
  12. “Serious bodily harm” means:
    1. Physical abuse;
    2. Sexual abuse;
    3. Physical injury; or
    4. Serious physical injury as defined in this chapter;
  13. “Serious physical injury” means physical injury to an endangered person or an impaired person that:
    1. Creates a substantial risk of death; or
    2. Causes:
      1. Protracted disfigurement;
      2. Protracted impairment of health; or
      3. Loss or protracted impairment of the function of any bodily member or organ; and
  14. “Sexual abuse” means deviate sexual activity, sexual contact, or sexual intercourse, as those terms are defined in § 5-14-101, with another person who is incapable of consent because he or she is:
    1. Mentally defective, as defined in § 5-14-101;
    2. Mentally incapacitated, as defined in § 5-14-101; or
    3. Physically helpless, as defined in § 5-14-101.

History. Acts 1983, No. 452, § 1; A.S.A. 1947, § 59-1301; Acts 1988 (4th Ex. Sess.), No. 5, § 1; 1988 (4th Ex. Sess.), No. 15, § 1; 1993, No. 1292, § 1; 1995, No. 1338, § 2; 1997, No. 1034, § 1; 1999, No. 753, § 1; 2001, No. 1028, § 1; 2003, No. 1046, § 1; 2003, No. 1118, § 1; 2005, No. 255, § 1; 2005, No. 1810, § 1; 2019, No. 315, § 149.

A.C.R.C. Notes. Pursuant to § 1-2-207, this section is set out above as amended by Acts 1993, No. 1292. The definition of “exploitation” was also amended by Acts 1993, No. 401, to read as follows:

“‘Exploitation’ means any unjust or improper use of another person or his resources for one's own profit or advantage.”

This section is set out above as amended by Acts 2005, No. 1810, § 1. The definition of “neglect” was also amended by Acts 2005, No. 255, § 1, to make designation changes and to change the introductory language in (10) to read as follows:

“(10) ‘Neglect’ means:

“(A) An act or omission by an endangered or impaired adult, including self-neglect; or

“(B) An intentional act or omission by a caregiver responsible for the care and supervision of an endangered or impaired adult constituting:”.

Amendments. The 2019 amendment substituted “rules” for “regulations” in (11)(B)(iv).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Abused Adults, 26 U. Ark. Little Rock L. Rev. 357.

Survey of Legislation, 2005 Arkansas General Assembly, Education Law, 28 U. Ark. Little Rock L. Rev. 347.

Case Notes

Abuse.

The administrative law judge did not make the requisite findings of abusive conduct under § 5-28-101(1), when the judge failed to specify which of the two definitions of abuse in the provision she was applying. Arkansas Dep't of Human Servs. v. Haen, 81 Ark. App. 171, 100 S.W.3d 740, 2003 Ark. App. LEXIS 206 (2003).

Evidence was sufficient to convict defendant of abusing an adult, § 5-28-103, as the state proved the victim was an endangered or impaired adult, defendant was the caregiver responsible for her protection, care, or custody, defendant neglected her, as specified under subdivision (10) of this section, and the neglect caused serious physical injury or risk of death; defendant should have been aware of the risk to the victim, and his failure to perceive the risk posed to his mother was a gross deviation from the care a reasonable, prudent person would exercise under the circumstances. Law v. State, 375 Ark. 505, 292 S.W.3d 277 (2009).

Definition of abuse did not contain the requirement that the person committing the abuse be a caregiver, except if the victim was a resident in an adult long-term care facility. Thus, because appellant was convicted of abuse and not neglect, the state was not required to prove that appellant was a caregiver to the victim. Skomp v. State, 2010 Ark. App. 313, 374 S.W.3d 779 (2010).

There was sufficient evidence to support appellant's conviction for abuse of an endangered or impaired person where (1) the definition of abuse did not contain the requirement that the person committing the abuse be a caregiver, except under subdivision (1)(D) of this section, where the victim was a resident in an adult long-term care facility, which the victim in this case was not; (2) the state produced testimony that appellant would force the victim to stand for long periods of time and that he assisted in two other defendants' beatings of the victim, and produced evidence of the physical injuries with which she presented at the hospital; and (3) the state produced sufficient evidence to allow the jury to conclude that appellant's actions resulted in physical injury to the victim. Skomp v. State, 2010 Ark. App. 392, 375 S.W.3d 673 (2010).

Exploitation.

The evidence was sufficient to support defendant's conviction of abuse of an adult under § 5-28-103(a) because it showed both that the victim was vulnerable and that defendant exploited her. Exploitation was established where the evidence showed that defendant was hired to perform personal care, housekeeping duties, and errands for the infirm victim and her elderly mother, that defendant induced the victim to hire her directly rather than through a health care agency and to pay her more than $10,000 in advance when the victim's health deteriorated and her dependence increased, that defendant consistently made charges at retail stores with the victim's bank card that were greatly in excess of what had been normal for the victim prior to defendant's employment, that the retail charges increased as the victim's condition declined, and that, when the victim was hospitalized and died, defendant did not continue to care for the victim's mother or return the bank card but instead absconded with the victim's automobile. Jones v. State, 2009 Ark. App. 619 (2009).

Cited: Honor v. Yamuchi, 307 Ark. 324, 820 S.W.2d 267 (1991); Advocat, Inc. v. Sauer, 353 Ark. 29, 111 S.W.3d 346 (2003); Northport Health Servs. v. Owens, 356 Ark. 630, 158 S.W.3d 164 (2004); Wells v. State, 93 Ark. App. 106, 217 S.W.3d 1455 (2005).

5-28-102. Legislative intent.

The General Assembly recognizes that the state must provide for the detection, correction, and prosecution of the maltreatment of adults.

History. Acts 1983, No. 452, § 2; A.S.A. 1947, § 59-1302; Acts 1995, No. 1338, § 2; 2003, No. 1046, § 2.

Case Notes

In General.

Arkansas Department of Human Services' attempt to change the basis of the agency decision, to place an employee on the certified nursing abuse registry, by arguing that the legislative intent found in Ark. Code Ann. § 5-28-102 would necessarily bring the employee's act into the definition of abuse, was overruled when the specific section cited by the agency as found to be true was not supported by the findings that were made. Arkansas Dep't of Human Servs. v. Haen, 81 Ark. App. 171, 100 S.W.3d 740, 2003 Ark. App. LEXIS 206 (2003).

5-28-103. Criminal penalties for abuse of an endangered or impaired person.

  1. It is unlawful for any person or caregiver to abuse, neglect, or exploit any endangered person or impaired person subject to protection under a provision of this chapter.
    1. If the abuse causes serious physical injury or a substantial risk of death, any person or caregiver who purposely abuses an endangered person or an impaired person is guilty of a Class B felony.
    2. If the abuse causes physical injury, any person or caregiver who purposely abuses an adult endangered person or an adult impaired person in violation of a provision of this chapter is guilty of a Class D felony.
    3. Any person or caregiver who abuses an adult endangered person or an adult impaired person is guilty of a Class B misdemeanor.
    1. Any person or caregiver who neglects an adult endangered person or an adult impaired person in violation of a provision of this chapter, causing serious physical injury or substantial risk of death, is guilty of a Class D felony.
    2. Any person or caregiver who neglects an adult endangered person or an adult impaired person in violation of a provision of this chapter, causing physical injury, is guilty of a Class B misdemeanor.
    3. Any person or caregiver who purposely neglects an adult endangered person or an adult impaired person without causing physical injury is guilty of a Class C misdemeanor.
  2. Any person or caregiver who exploits a person in violation of a provision of this chapter when the value of the property, asset, or resource is:
    1. Two thousand five hundred dollars ($2,500) or more, is guilty of a Class B felony;
    2. Less than two thousand five hundred dollars ($2,500) but more than two hundred dollars ($200), is guilty of a Class C felony; and
    3. Two hundred dollars ($200) or less, is guilty of a Class A misdemeanor.

History. Acts 1983, No. 452, § 3; A.S.A. 1947, § 59-1303; Acts 1993, No. 1292, § 2; 1995, No. 1338, § 2; 2005, No. 1810, § 2; 2005, No. 1994, § 297; 2019, No. 916, § 1.

A.C.R.C. Notes. This section is set out above as amended by Acts 2005, No. 1994, § 297. This section was also amended by Acts 2005, No. 1810, § 2, to read as follows:

“Criminal penalties for adult abuse.

“(a) It shall be unlawful for any person or caregiver to abuse, neglect, or exploit any endangered or impaired person.

“(b)(1) Any person or caregiver who purposely abuses an endangered or impaired person, if the abuse causes serious physical injury or substantial risk of death, shall be guilty of a Class B felony.

“(2) Any person or caregiver who purposely abuses an endangered or impaired person, if the abuse causes physical injury, shall be guilty of a Class D felony.

“(c)(1) Any person or caregiver who neglects an endangered or impaired person, causing serious physical injury or substantial risk of death, shall be guilty of a Class D felony.

“(2) Any person or caregiver who neglects an endangered or impaired person, causing physical injury, shall be guilty of a Class B misdemeanor.

“(d) Any person or caregiver who abuses an endangered or impaired person shall be guilty of a Class B misdemeanor.

“(e)(1) Any person or caregiver who exploits a person in violation of the provisions of this chapter shall be guilty of a Class B felony and shall be punished as provided by law, where the value of the property, assets, or resources is two thousand five hundred dollars ($2,500) or more.

“(2) Any person or caregiver who exploits an endangered or impaired person, where the value of the property, assets, or resources is less than two thousand five hundred dollars ($2,500), but more than five hundred dollars ($500) shall be guilty of a Class B felony.

“(3) Any person or caregiver who exploits an endangered or impaired person, where the value of the property, assets, or resources is five hundred dollars ($500) or less shall be guilty of a Class A misdemeanor.”

Amendments. The 2019 amendment redesignated former (d) as (b)(3); added (c)(3); and redesignated former (e) as (d).

Cross References. Nonsupport, § 5-26-401.

Case Notes

Constitutionality.

This section was not unconstitutionally vague in its definition of “caregiver” where the facts demonstrated that defendant clearly met the definition where he voluntarily assumed the responsibility for the protection, care, or custody of an endangered or impaired adult, and he was responsible for the care and supervision of that person; he was not an “entrapped innocent” and thus could not complain that the statute was unconstitutionally vague. Law v. State, 375 Ark. 505, 292 S.W.3d 277 (2009).

Evidence.

Evidence was sufficient to convict defendant of abusing an adult under this section as the state proved the victim was an endangered or impaired adult, defendant was the caregiver responsible for her protection, care, or custody, defendant neglected her, § 5-28-101(10), and the neglect caused serious physical injury or risk of death; defendant should have been aware of the risk to the victim, and his failure to perceive the risk posed to his mother was a gross deviation from the care a reasonable, prudent person would exercise under the circumstances. Law v. State, 375 Ark. 505, 292 S.W.3d 277 (2009).

Appellant's conviction for abuse of an impaired person was affirmed where (1) the definition of abuse did not contain the requirement that the person committing the abuse be a caregiver, except if the victim was a resident in an adult long-term care facility and the victim in this case was not a resident in an adult long-term care facility; (2) the state produced sufficient evidence to allow the jury to conclude that appellant's actions resulted in physical injury to the victim; and (3) when two people assisted one another in the commission of a crime, each was an accomplice and criminally liable for the conduct of both. Skomp v. State, 2010 Ark. App. 313, 374 S.W.3d 779 (2010).

There was sufficient evidence to support appellant's conviction for abuse of an endangered or impaired person where (1) the definition of abuse did not contain the requirement that the person committing the abuse be a caregiver, except under subdivision (1)(D) of this section, where the victim was a resident in an adult long-term care facility, which the victim in this case was not; (2) the state produced testimony that appellant would force the victim to stand for long periods of time and that he assisted in two other defendants' beatings of the victim, and produced evidence of the physical injuries with which she presented at the hospital; and (3) the state produced sufficient evidence to allow the jury to conclude that appellant's actions resulted in physical injury to the victim. Skomp v. State, 2010 Ark. App. 392, 375 S.W.3d 673 (2010).

Exploitation.

The evidence was sufficient to support defendant's conviction of abuse of an adult because it showed both that the victim was vulnerable and that defendant exploited her where the evidence showed that defendant was hired to perform personal care, housekeeping duties, and errands for the infirm victim and her elderly mother, that defendant induced the victim to hire her directly rather than through a health care agency and to pay her more than $10,000 in advance when the victim's health deteriorated and her dependence increased, that defendant consistently made charges at retail stores with the victim's bank card that were greatly in excess of what had been normal for the victim prior to defendant's employment, that the retail charges increased as the victim's condition declined, and that, when the victim was hospitalized and died, defendant did not continue to care for the victim's mother or return the bank card but instead absconded with the victim's automobile. Jones v. State, 2009 Ark. App. 619 (2009).

Neglect Shown.

Caretakers' convictions for violating this section were affirmed where there was evidence of (1) victim's profound weight loss, debilitation, and inability to walk when rescued, (2) the unsanitary, unhealthy, and inhumane conditions of confinement, (3) and expert testimony that confinement was dangerous and inappropriate for Alzheimer's patients. Wells v. State, 93 Ark. App. 106, 217 S.W.3d 1455 (2005).

Neglect Not Shown.

Caregiver held free of any negligence or neglect of adult who died of a morphine overdose. Pickens v. Black, 318 Ark. 474, 885 S.W.2d 872 (1994).

Evidence.

The condition the 77-year-old victim was found to be in at the time of his hospitalization along with the description of his various injuries and the cause of his death did not prove defendant's guilt; however, there was sufficient evidence from which the jury could have found that the victim was an endangered or impaired adult, or both, that he suffered from a physical or mental defect, or both, and that as a consequence was unable to protect himself from the repeated abuse that he was subjected to or to remove himself from defendant's care and control. Thomas v. State, 92 Ark. App. 425, 214 S.W.3d 863 (2005).

Cited: Advocat, Inc. v. Sauer, 353 Ark. 29, 111 S.W.3d 346 (2003); Houston v. State, 82 Ark. App. 556, 120 S.W.3d 115 (2003); Klines v. State, 2010 Ark. App. 361 (2010).

5-28-104. Privilege not grounds for exclusion of evidence.

Any privilege between a husband and a wife or between any professional person, including, but not limited to, a physician, member of the clergy, counselor, hospital, clinic, rest home, or nursing home, and his or her or its client, except between a lawyer and a client, does not constitute a ground for excluding evidence at any proceeding regarding adult maltreatment of an endangered person or an impaired person, or the cause of the adult maltreatment.

History. Acts 1983, No. 452, § 12; A.S.A. 1947, § 59-1312; Acts 1995, No. 1338, § 2; 2005, No. 1810, § 3.

A.C.R.C. Notes. This section was formerly codified as § 5-28-105.

Publisher's Notes. Former § 5-28-104, concerning notice of prosecution, was repealed by implication by Acts 1995, No. 1338. The former section was derived from Acts 1983, No. 452, § 3; A.S.A. 1947, § 59-1303.

5-28-105. Spiritual treatment alone not abusive.

Nothing in this chapter shall be construed to imply that a reported adult endangered person or adult impaired person, who is being furnished with treatment by spiritual means alone through prayer in accordance with the tenets and practices of a recognized church or religious denomination by an accredited practitioner of the recognized church or religious denomination, is for that reason alone a person who is:

  1. Endangered;
  2. Abused;
  3. Neglected;
  4. Maltreated; or
  5. Exploited.

History. Acts 1983, No. 452, § 4; A.S.A. 1947, § 59-1304; Acts 1995, No. 1338, § 2.

A.C.R.C. Notes. This section was formerly codified as § 5-28-106. Former § 5-28-105 has been renumbered as § 5-28-104.

5-28-106. [Repealed.]

A.C.R.C. Notes. Former § 5-28-106 which was repealed and concerned civil penalties was formerly codified as § 5-28-107. Former § 5-28-106 concerning spiritual treatment has been renumbered as § 5-28-105.

Publisher's Notes. This section, concerning civil penalties, was repealed by Acts 2005, No. 1810, § 4. The section was derived from Acts 1993, No. 1292, § 3; 1995, No. 1338, § 2; 2001, No. 1621, §§ 1, 2; 2003, No. 1162, § 1.

5-28-107. Investigation by Attorney General and Department of Human Services.

  1. The office of the Attorney General has concurrent jurisdiction with the Department of Human Services to investigate cases of suspected adult maltreatment of an adult endangered person or an adult impaired person in a long-term care facility certified under Title XIX of the Social Security Act, 42 U.S.C. § 1396 et seq.
  2. If requested by the office of the Attorney General, a law enforcement agency shall assist in the investigation of any case of suspected adult maltreatment.
  3. The purposes of an investigation are to obtain and develop information that may be necessary to:
    1. Protect an abused, neglected, or exploited adult;
    2. Refer for criminal prosecution a person who abuses, neglects, or exploits any adult endangered person or adult impaired person; and
    3. Initiate a civil action, when appropriate, to protect an abused, neglected, or exploited adult.
  4. The Attorney General shall conduct a thorough investigation which may include a medical, psychological, social, vocational, financial, and educational evaluation and review.
    1. Upon request, the medical, mental health, or other record regarding the abused, neglected, or exploited adult maintained by any facility or maintained by any person required by this chapter to report suspected abuse, neglect, or exploitation shall be made available to the Attorney General for the purpose of conducting an investigation under this chapter.
    2. Upon request, a financial record maintained by a bank or a similar institution shall be made available to the Attorney General for the purpose of conducting an investigation under this chapter.
    1. A subpoena requiring the production of a document or the attendance of a witness at an interview, trial, or hearing conducted pursuant to the jurisdiction of the Medicaid Fraud Control Unit of the office of the Attorney General may be served by the Attorney General or any duly authorized law enforcement officer in the State of Arkansas personally, telephonically, or by registered or certified mail.
    2. In the case of service by registered or certified mail, the return post office receipt of delivery of the subpoena shall accompany the return.
    1. If a facility or person upon whom a subpoena is served objects or otherwise fails to comply with the Attorney General's request for records, the Attorney General may file an action in circuit court for an order to enforce the request.
    2. Venue for the action to enforce the request is in Pulaski County.
  5. Upon cause shown, the circuit court shall order the facility or person who maintains the medical, mental health, or other record regarding the abused, neglected, or exploited adult to tender the requested record to the Attorney General for the purpose of conducting an investigation under this chapter.
    1. A record obtained by the Attorney General pursuant to this chapter shall be classified as confidential information and is not subject to outside review or release by any individual except when a record is used or is potentially to be used by any governmental entity in any legal, administrative, or judicial proceeding.
    2. Notwithstanding any other law to the contrary, no person is subject to any civil or criminal liability for providing a record or providing access to a record to the Attorney General or to a prosecuting attorney.

History. Acts 1993, No. 1292, § 3; 1995, No. 1338, § 2; 2003, No. 1046, § 1; 2003, No. 1164, § 1; 2005, No. 1810, § 5.

A.C.R.C. Notes. This section was formerly codified as § 5-28-108. Former § 5-28-107 has been renumbered as § 5-28-106.

5-28-108. Special deputy prosecutor.

  1. An attorney employed in the office of the Attorney General may be designated by a prosecuting attorney having criminal jurisdiction in a matter as a special deputy prosecutor for the purpose of prosecuting in a court of competent jurisdiction an action brought under this chapter or another action for the physical or mental abuse or exploitation of a long-term care facility resident.
    1. As a special deputy prosecutor, an attorney designated under subsection (a) of this section may issue a subpoena and administer an oath as provided in § 25-16-705.
    2. The subpoena shall be substantially in the form set forth in § 25-16-705(b).
  2. A special deputy prosecutor appointed and functioning as authorized under this section is entitled to the same immunity granted by law to the prosecuting attorney.
    1. Appointment as a special deputy prosecutor does not enable an attorney designated under subsection (a) of this section to receive any additional fee or salary from the state for a service provided pursuant to the appointment.
    2. Any expense of the special deputy prosecutor and any fees and costs incurred by the special deputy prosecutor in the prosecution of a case as provided in this section is the responsibility of the Attorney General.
  3. The prosecuting attorney may revoke the appointment of a special deputy prosecutor at any time.

History. Acts 1995, No. 894, § 1.

A.C.R.C. Notes. Former § 5-28-108 has been renumbered as § 5-28-107.

5-28-109. [Repealed.]

Publisher's Notes. This section, concerning investigative powers of the Attorney General, was repealed by Acts 2005, No. 1810, § 6. The section was derived from Acts 2003, No. 1046, § 4.

This section was also repealed by Acts 2005, No. 1994, § 513.

5-28-110. Penalties for violation of § 12-12-1701 et seq.

  1. Any person or caregiver required by the Adult and Long-Term Care Facility Resident Maltreatment Act, § 12-12-1701 et seq., to report a case of suspected adult maltreatment or long-term care facility resident maltreatment who purposely fails to do so is:
    1. Guilty of a Class B misdemeanor; and
    2. Civilly liable for damages proximately caused by the failure.
  2. Any person, official, or institution willfully making a false notification by the Adult and Long-Term Care Facility Resident Maltreatment Act, § 12-12-1701 et seq., knowing the allegation to be false, is guilty of a:
    1. Class A misdemeanor; or
    2. Class D felony if the person, official, or institution has been previously convicted of making a false allegation.
  3. Any person who willfully permits and any other person who encourages the release of data or information contained in the adult and long-term care facility maltreatment central registry to a person to whom disclosure is not permitted under this section, § 5-28-201 [repealed], or §§ 5-28-203 — 5-28-221 [repealed] is guilty of a Class A misdemeanor.
  4. Any person required to report a death as the result of suspected adult maltreatment or long-term care facility resident maltreatment who knowingly fails to make a report immediately to the appropriate coroner is guilty of a Class C misdemeanor.
  5. Any person required to report suspected adult maltreatment or long-term care facility resident maltreatment who knowingly fails to make a report within twenty-four (24) hours or on the next business day, whichever is earlier, is guilty of a Class C misdemeanor.

History. Acts 1983, No. 452, § 13; A.S.A. 1947, § 59-1313; Acts 1993, No. 1292, § 5; 1995, No. 1338, § 2; 2003, No. 1046, § 13; 2005, No. 1810, § 8; 2005, No. 1994, § 298.

Publisher's Notes. This section was formerly codified as § 5-28-202.

Subchapter 2 — Reporting

5-28-201. [Repealed.]

Publisher's Notes. This section, concerning the adult maltreatment central registry, was repealed by Acts 2005, No. 1810, § 7. The section was derived from Acts 1983, No. 452, § 14; A.S.A. 1947, § 59-1314; Acts 1993, No. 1292, § 4; 1995, No. 1338, § 2; 2003, No. 1046, § 5.

5-28-202. [Transferred.]

Publisher's Notes. Former § 5-28-202 has been renumbered as § 5-28-110.

5-28-203 — 5-28-205. [Repealed.]

Publisher's Notes. These sections, concerning reporting adult maltreatment, were repealed by Acts 2005, No. 1812, § 2. The sections were derived from the following sources:

5-28-203. Acts 1983, No. 452, § 5; A.S.A. 1947, § 59-1305; Acts 1988 (4th Ex. Sess.), No. 5, § 2; 1988 (4th Ex. Sess.), No. 15, § 2; 1993, No. 1292, § 6; 1995, No. 1296, § 4; 1995, No. 1338, § 2; 1999, No. 753, § 2; 2001, No. 1028, § 2; 2003, No. 1046, § 6.

5-28-204. Acts 1983, No. 452, § 6; A.S.A. 1947, § 59-1306; Acts 1995, No. 1338, § 2; 1999, No. 499, § 1; 1999, No. 753, § 3; 2001, No. 499, § 1; 2003, No. 1046, § 7.

5-28-205. Acts 1983, No. 452, § 7; A.S.A. 1947, § 59-1307; Acts 1995, No. 1338, § 2.

Former § 5-28-203 was also amended by Acts 2005, No. 255, § 2 and Acts 2005, No. 912, § 2, which were subsequently subject to this repeal.

Former § 5-28-204 was also amended by Acts 2005, No. 255, § 3, which was subsequently subject to this repeal.

5-28-206 — 5-28-209. [Repealed.]

Publisher's Notes. These sections, concerning reporting procedures generally, contents of central registry, telephone reporting, determination of prior records, and the contents of the report, were repealed by Acts 2003, No. 1046, § 8. The sections were derived from the following sources:

5-28-206. Acts 1983, No. 452, § 9; A.S.A. 1947, § 59-1309; Acts 1995, No. 1338, § 2; 1999, No. 753, § 4; 2001, No. 1028, § 3.

5-28-207. Acts 1983, No. 452, § 14; A.S.A. 1947, § 59-1314; Acts 1995, No. 1338, § 2; 1999, No. 753, § 5.

5-28-208. Acts 1983, No. 452, § 14; A.S.A. 1947, § 59-1314; Acts 1995, No. 1338, § 2; 1999, No. 753, § 6.

5-28-209. Acts 1983, No. 452, § 9; A.S.A. 1947, § 59-1309; Acts 1995, No. 1338, § 2; 1999, No. 753, § 7.

5-28-210. [Repealed.]

Publisher's Notes. This section, concerning investigation by the Department of Human Services, was repealed by Acts 2005, No. 1812, § 10. The section was derived from Acts 1983, No. 452, § 10; A.S.A. 1947, § 59-1310; Acts 1988 (4th Ex. Sess.), No. 5, § 3; 1988 (4th Ex. Sess.), No. 15, § 3; 1993, No. 401, § 2; 1993, No. 1292, § 7; 1995, No. 1338, § 2; 1997, No. 1033, § 1; 1997, No. 1034, § 2; 1999, No. 753, § 8; 2001, No. 1028, § 4; 2003, No. 1046, § 9.

5-28-211, 5-28-212. [Repealed.]

Publisher's Notes. These sections, concerning rights of subject of report, notice of finding, and amend and appeal, and expungement of information, were repealed by Acts 2003, No. 1046, § 10 [3]. The sections were derived from the following sources:

5-28-211. Acts 1983, No. 452, § 14; A.S.A. 1947, § 59-1314; Acts 1995, No. 1338, § 2; 1999, No. 753, § 9; 2001, No. 1028, § 5.

5-28-212. Acts 1983, No. 452, § 14; A.S.A. 1947, § 59-1314; Acts 1995, No. 616, § 1; 1995, No. 1338, § 2; 1999, No. 753, § 14.

5-28-213 — 5-28-221. [Repealed.]

Publisher's Notes. These sections, concerning reporting of adult maltreatment, were repealed by Acts 2005, No. 1812, § 11[4]. The sections were derived from the following sources:

5-28-213. Acts 1983, No. 452, § 14; A.S.A. 1947, § 59-1314; Acts 1995, No. 1338, § 2; 1997, No. 1034, § 3; 1999, No. 753, § 10; 2001, No. 1028, § 6; 2003, No. 1046, § 11.

5-28-214. Acts 1983, No. 452, § 9; A.S.A. 1947, § 59-1309; Acts 1995, No. 1338, § 2; 1999, No. 753, § 11.

5-28-215. Acts 1983, No. 452, § 11; A.S.A. 1947, § 59-1311; Acts 1991, No. 542, § 1; 1995, No. 1338, § 2.

5-28-216. Acts 1999, No. 753, § 12.

5-28-217. Acts 2003, No. 1046, § 12.

5-28-218. Acts 2003, No. 1046, § 12.

5-28-219. Acts 2003, No. 1046, § 12.

5-28-220. Acts 2003, No. 1046, § 12.

5-28-221. Acts 2003, No. 1046, § 12.

Subchapter 3 — Protective Placement and Custody

5-28-301 — 5-28-310. [Repealed.]

Publisher's Notes. This subchapter was repealed by Acts 2005, No. 1811, § 2. The subchapter was derived from the following sources:

5-28-301. Acts 1983, No. 452, § 8; A.S.A. 1947, § 59-1308; Acts 1993, No. 401, § 3; 1995, No. 1338, § 2; 1997, No. 1034, § 4; 1999, No. 753, § 13; 2001, No. 1028, § 7; 2003, No. 1034, § 1.

5-28-302. Acts 1983, No. 452, § 8; A.S.A. 1947, § 59-1308; Acts 1995, No. 1338, § 2; 1999, No. 753, § 13.

5-28-303. Acts 1983, No. 452, § 8; A.S.A. 1947, § 59-1308; Acts 1995, No. 1338, § 2; 1999, No. 753, § 13; 2001, No. 1028, § 8; 2003, No. 1034, § 2.

5-28-304. Acts 1983, No. 452, § 8; A.S.A. 1947, § 59-1308; Acts 1995, No. 1338, § 2; 1997, No. 1034, § 5; 1999, No. 753, § 13; 2001, No. 1028, § 9; 2003, No. 1034, § 3.

5-28-305. Acts 1995, No. 1338, § 2; 1999, No. 753, § 13.

5-28-306. Acts 1983, No. 452, § 8; A.S.A. 1947, § 59-1308; Acts 1995, No. 1338, § 2; 1997, No. 1034, § 6; 1999, No. 753, § 13; 2001, No. 1028, § 10; 2003, No. 1034, § 4.

5-28-307. Acts 1999, No. 753, § 13; 2003, No. 1034, § 5.

5-28-308. Acts 1999, No. 753, § 13; 2003, No. 1034, § 6.

5-28-309. Acts 2003, No. 1034, § 7.

5-28-310. Acts 2003, No. 1034, § 7.

Former § 5-28-306 was also amended by Acts 2005, No. 2191, § 1, but was specifically repealed by Acts 2005, No. 1811, § 2.

Chapters 29-34 [Reserved.]

[Reserved]

Subtitle 4. Offenses Against Property

Chapter 35 General Provisions

[Reserved]

Chapter 36 Theft

Cross References. Burglary, § 5-39-201.

Credit card, fraudulent use to obtain property or services, § 5-37-207.

Disposition of stolen property, § 16-80-103.

Fines, § 5-4-201.

Robbery, § 5-12-101 et seq.

Term of imprisonment, § 5-4-401.

Venue of prosecutions, § 16-88-113.

Research References

ALR.

Coercion, compulsion, or duress as defense to charge of robbery, larceny, or related crime. 1 A.L.R.4th 481.

Retailer's failure to pay to government sales or use tax funds as constituting larceny or embezzlement. 8 A.L.R.4th 1068.

“Constructive” possession of stolen property establishing requisite element of possession supporting offense of receiving stolen property. 30 A.L.R.4th 488.

Am. Jur. 50 Am. Jur. 2d, Larceny, § 1 et seq.

Ark. L. Rev.

1976 Criminal Code-General Principles, 30 Ark. L. Rev. 111.

Official Misconduct Under the Arkansas Criminal Code, 30 Ark. L. Rev. 160.

C.J.S. 52B C.J.S., Larceny, § 1 et seq.

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

Note — Evidence — Incidents of Shoplifting Not Probative of Truthfulness Under Rule 608(b), 6 U. Ark. Little Rock L.J. 321.

Survey, Criminal Law, 13 U. Ark. Little Rock L.J. 341.

Subchapter 1 — General Provisions

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Effective Dates. Acts 1893, No. 159, § 9: effective on passage.

Acts 1893, No. 178, § 7: effective on passage.

Acts 1893, No. 188, § 8: Apr. 1, 1893.

Acts 1957, No. 50, § 7: approved Feb. 15, 1957. Emergency clause provided: “Whereas, this Act being necessary to the public peace, health and safety of the people of the State of Arkansas, an emergency is hereby declared to exist, and this Act shall be in full force and effect from and after its passage.”

Acts 1979, No. 592, § 3: Mar. 27, 1979. Emergency clause provided: “It is hereby found and determined by the General Assembly that under the present law relating to the theft of property, proof that the value of the property taken exceeds one hundred dollars ($100.00) is necessary for the offense to constitute a felony; that in the case of the theft of livestock, it is often difficult to prove value; that this Act is designed to improve the administration of justice by making the theft of any livestock up to the value of $2500.00 a class D felony and should be given effect as soon as possible. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1985, No. 883, § 3: Apr. 15, 1985. Emergency clause provided: “It is hereby found and determined by the General Assembly that confusion exists regarding the penalties for theft of leased personal property; that such confusion should not exist regarding the criminal laws of this State; that this Act will clarify the confusion and therefore should be given immediate effect. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1997, No. 303, § 5: Feb. 28, 1997. Emergency clause provided: “It is hereby found and determined by the General Assembly that in 1995 the General Assembly increased from $200 to $500 the felony theft of property threshold but inadvertently left the felony theft by receiving threshold at $200; that this act increases the felony theft by receiving threshold from $200 to $500 and thereby makes it compatible with the theft of property statute; that the $200 felony theft by receiving threshold is unreasonably low and should be increased as soon as possible to avoid unintended felony convictions. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health and safety shall become effective on the date of its approval by the Governor. If the bill is neither approved nor vetoed by the Governor, it shall become effective on the expiration of the period of time during which the Governor may veto the bill. If the bill is vetoed by the Governor and the veto is overridden, it shall become effective on the date the last house overrides the veto.”

Acts 1997, No. 518, § 6: Mar. 13, 1997. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the monetary threshold for a Class C felony theft of services and a Class B misdemeanor theft of property, lost, mislaid, or delivered by mistake is over twenty (20) years old and needs to be increased to reflect today's circumstances; that this act increases that threshold to a more reasonable amount; that until this act is passed the possible punishment for the crimes is unreasonable; and that this act should therefore be given effect as soon as possible. Therefore an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health and safety shall become effective on the date of its approval by the Governor. If the bill is neither approved nor vetoed by the Governor, it shall become effective on the expiration of the period of time during which the Governor may veto the bill. If the bill is vetoed by the Governor and the veto is overridden, it shall become effective on the date the last house overrides the veto.”

Acts 2001, No. 745, § 3: Mar. 13, 2001. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the present law relating to theft of property does not adequately punish persons who steal motor fuel from retail service stations. Furthermore, with the price of motor fuel rising and the increase in these instances, this is an issue ripe for legislation. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on the date of its approval by the Governor. If the bill is neither approved nor vetoed by the Governor, it shall become effective on the expiration of the period of time during which the Governor may veto the bill. If the bill is vetoed by the Governor and the veto is overridden, it shall become effective on the date the last house overrides the veto.”

5-36-101. Definitions.

As used in this chapter:

  1. “Antishoplifting or inventory control device” means a mechanism or other device designed and operated for the purpose of detecting the removal from a store or business establishment or from a protected area within a store or business establishment;
  2. “Article” means any object, material, device, or substance or copy of an object, material, device, or substance, including any writing, record, recording, drawing, sample, specimen, prototype, model, photograph, microorganism, blueprint, or map;
  3. “Building material” means lumber, a construction tool, a window, a door, copper tubing or wire, or any other material or good used in the construction or rebuilding of a building or a structure;
  4. “Copy” means any facsimile, replica, photograph, or other reproduction of an article, and any note, drawing, or sketch made of or from an article;
  5. “Cost of incidental damage” means the total amount of money damages suffered by an owner of oil and gas equipment as a direct result of the theft of the oil and gas equipment, including without limitation lost income, lost profits, and cost of repair or replacement of property damage;
    1. “Deception” means:
      1. Creating or reinforcing a false impression, including a false impression of fact, law, value, or intention or other state of mind that the actor does not believe to be true;
      2. Preventing another person from acquiring information that would affect his or her judgment of a transaction;
      3. Failing to correct a false impression that the actor knows to be false and that he or she created or reinforced or that he or she knows to be influencing another person to whom the actor stands in a fiduciary or confidential relationship;
      4. Failing to disclose a lien, adverse claim, or other legal impediment to the enjoyment of property that the actor transfers or encumbers in consideration for the property or service obtained, or in order to continue to deprive another person of that other person's property, whether the impediment is or is not valid or is or is not a matter of official record; or
      5. Employing any other scheme to defraud.
    2. As to a person's intention to perform a promise, “deception” shall not be inferred solely from the fact that the person did not subsequently perform the promise.
    3. “Deception” does not include:
      1. Falsity as to a matter having no pecuniary significance; or
      2. Puffing by a statement unlikely to deceive an ordinary person in the group addressed;
  6. “Deprive” means to:
    1. Withhold property or to cause it to be withheld either permanently or under circumstances such that a major portion of its economic value, use, or benefit is appropriated to the actor or lost to the owner;
    2. Withhold property or to cause it to be withheld with the purpose to restore it only upon the payment of a reward or other compensation; or
    3. Dispose of property or use it or transfer any interest in it under circumstances that make its restoration unlikely;
  7. “Incidental damage” means loss of income, loss of profit, or property damage;
  8. “Motor fuel” means:
    1. Gasoline, diesel fuel, or alcohol;
    2. Any mixture of gasoline, diesel fuel, or alcohol; or
    3. Any other fuel sold for use in an automobile or related vehicle;
  9. “Obtain” means:
    1. In relation to property, to bring about a transfer or purported transfer of property or of an interest in the property, whether to the actor or another person; or
    2. In relation to a service, to secure performance of the service;
  10. “Oil and gas equipment” means machinery, drilling mud, welding equipment, pipes, fittings, generators, pumps, batteries, or other equipment or tools used in connection with the drilling, production, operation, or maintenance of oil or gas wells, or in connection with the storage or transportation of oil or gas;
  11. “Permitted construction site” means the site of construction, alteration, painting, or repair of a building or a structure for which a building permit has been issued by a city of the first class, a city of the second class, an incorporated town, or a county;
  12. “Property” means severed real property or tangible or intangible personal property, including money or any paper or document that represents or embodies anything of value;
    1. “Property of another person” means any property in which any person or government other than the actor has a possessory or proprietary interest.
    2. However, “property of another person” does not include property in the possession of the actor in which another person has only a security interest, even though legal title is in the secured party pursuant to a conditional sales contract or other security agreement;
  13. “Service” includes:
    1. Labor;
    2. Professional service;
    3. Transportation;
    4. Telephone, mail, or other public service;
    5. Gas, electricity, or other public utility service;
    6. Accommodation in a hotel, restaurant, or other public accommodation;
    7. Admission to an exhibition; and
    8. Use of a vehicle or other property;
    1. “Threat” means a menace, however communicated, to:
      1. Cause physical injury to any person or to commit any other criminal offense;
      2. Cause damage to any property;
      3. Accuse any person of a crime;
      4. Expose a secret or publish a fact tending to subject any person, living or deceased, to hatred, contempt, shame, or ridicule;
      5. Impair any person's credit or business repute;
      6. Take or withhold action as a public servant or cause a public servant to take or withhold action;
      7. Testify or provide information or withhold testimony or information with respect to a legal claim or defense of another person;
      8. Bring about or continue a strike, boycott, or other collective action if a property or service is not demanded or received for the benefit of the group in whose interest the actor purports to act; or
      9. Do any other act which would not in itself substantially benefit the actor or a group he or she purports to represent but which is calculated to harm another person in a substantial manner with respect to his or her health, safety, business, employment, calling, career, financial condition, reputation, or a personal relationship.
    2. “Threat” does not include an expression of intent to accuse, expose, bring suit, or otherwise invoke official action under subdivisions (16)(A)(iii)-(vi) of this section if made to obtain property claimed as restitution or indemnification for harm done in the circumstances to which accusation, exposure, lawsuit, or other official action relates or as compensation for property or a lawful service;
  14. “Trade secret” means the whole or any portion of any valuable scientific or technical information, design, process, procedure, formula, or improvement that is not accessible to a person other than a person selected by the owner to have access for a limited purpose;
  15. “Utility” means a person or entity providing to the public gas, electricity, water, sewer, telephone, telegraph, radio, radio common carrier, railway, railroad, cable and broadcast television, video, or internet services;
  16. “Utility property” means any component that is reasonably necessary to provide utility services, including without limitation any wire, pole, facility, machinery, tool, equipment, cable, insulator, switch, signal, duct, fiber optic cable, conduit, plant, work, system, backup deep cycle battery or other power supply, substation, transmission or distribution structure, line, street lighting fixture, generating plant, equipment, pipe, main, transformer, underground line, gas compressor, meter, or any other building or structure or part of a building or structure that a utility uses in the production or use of its services;
    1. “Value” means:
      1. The market value of a property or service at the time and place of the offense, or if the market value of the property cannot be ascertained, the cost of replacing the property within a reasonable time after the offense;
      2. In the case of a written instrument, other than a written instrument having a readily ascertainable market value, the amount due and collectible at maturity less any part that has been satisfied if the written instrument constitutes evidence of a debt, or the greatest amount of economic loss that the owner might reasonably suffer by virtue of the loss of the written instrument if the written instrument is other than evidence of a debt; or
      3. Any inherent, subjective, or idiosyncratic worth the owner or possessor of property attaches to the property even if the property has no market value or replacement cost.
      1. If the actor gave consideration for or had a legal interest in the property or service, the amount of the consideration or the value of the interest shall be deducted from the value of the property or service to determine value.
      2. However, in a case of theft by receiving under § 5-36-106, the consideration the actor gave for the property shall not be deducted to determine value; and
  17. “Vehicle” means any craft or device designed for the transportation of a person or property across land or water or through the air.

History. Acts 1975, No. 280, § 2201; A.S.A. 1947, § 41-2201; Acts 1987, No. 934, § 2; 1997, No. 829, § 1; 2001, No. 745, § 1; 2015, No. 1263, § 1; 2019, No. 611, § 1.

Amendments. The 2015 amendment added the definition for “Antishoplifting or inventory control device.”

The 2019 amendment added the definitions for “Building material”, “Cost of incidental damage”, “Incidental damage”, “Oil and gas equipment”, “Permitted construction site”, “Utility”, and “Utility property”.

Research References

ALR.

What is “Property of Another” Within Statute Proscribing Larceny, Theft, or Embezzlement of Property of Another. 57 A.L.R.6th 445.

What Is “Intent to Deprive” Sufficient to Establish Liability for Civil, or Statutory, Theft, 35 A.L.R.7th Art. 1 (2018).

U. Ark. Little Rock L.J.

Survey — Criminal Law, 10 U. Ark. Little Rock L.J. 559.

Case Notes

Deception.

The crucial element of intent to deceive may be proven in many ways, such as by showing the nature of the false impressions or misrepresentations, by showing that the deceived party lacked the present or future ability to make good his representations, or by demonstrating an ongoing scheme or pattern of deception. Hixson v. Housewright, 642 F.2d 242 (8th Cir. 1981).

For attempted theft by deception, the only issues are the defendant's state of mind and his belief as to what the facts are, not whether an item taken has actual value or whether the defendant actually deceived the victim. Wilson v. State, 56 Ark. App. 47, 939 S.W.2d 313 (1997).

Evidence was sufficient to support a conviction for theft by deception because defendant entered into a scheme to defraud by inflating a tax refund amount and then diverting the difference to an account she owned; there was substantial evidence that defendant knowingly obtained the property of another by deception. The taxpayer did not agree to have any of her refund deposited into any other account, and defendant was not forthcoming with information about the separate account, despite the taxpayer's multiple inquiries. McClellan v. State, 2014 Ark. App. 725, 452 S.W.3d 116 (2014).

Substantial evidence supported appellant's theft of property convictions under § 5-36-103(a)(2) where the evidence allowed the jury to infer that he accepted boat deposits from victims, he was well aware of the lack of manpower at his boat manufacturing business and the increasing number of complaints against it, and he had taken on new business without regard for unfilled orders and had used the deposits to keep the business afloat. Flemister v. State, 2016 Ark. App. 180, 487 S.W.3d 386 (2016).

Evidence supported the jury's conclusion that defendant employed a scheme to defraud, for purposes of § 5-36-103, where patients testified that defendant had represented herself as a doctor, despite having no medical training or credentials from any United States institution, she charged patients for tests but did not show them the actual results, and she affirmatively and falsely represented that patient expenses would be reimbursed by insurance or Medicare. Gervais v. State, 2018 Ark. App. 161, 544 S.W.3d 590 (2018).

Deprivation.

Evidence held to establish clearly that defendant made use of the funds received for purposes other than for what was promised, consequently, those persons who had paid money to the defendant for the delivery of certain goods were deprived of the use and benefit of their property. Hixson v. State, 266 Ark. 778, 587 S.W.2d 70 (1979), cert. denied, Hixson v. Arkansas, 444 U.S. 1079, 100 S. Ct. 1030, 62 L. Ed. 2d 762 (1980).

Jurisdiction in Arkansas was proper for defendant's theft trial because sufficient circumstantial evidence existed to show that defendant took unauthorized control of a vehicle in West Memphis. King v. State, 361 Ark. 402, 206 S.W.3d 883 (2005), appeal dismissed, — Ark. —, — S.W.3d —, 2006 Ark. LEXIS 368 (June 15, 2006).

Evidence was sufficient to prove the theft element of aggravated robbery; evidence showed that defendant used physical force to at least temporarily deprive victim of her car, which was sufficient proof. Winston v. State, 368 Ark. 105, 243 S.W.3d 304 (2006).

Defendant's convictions for aggravated robbery and theft were proper because deprivation of property required only disposal under circumstances that made its restoration unlikely under subdivision (4)(C) of this section. Thus, defendant's actions in attempting to sell the victim's property following the homicide clearly showed a purpose to commit theft. Young v. State, 371 Ark. 393, 266 S.W.3d 744 (2007).

Deprive.

Evidence was sufficient to support defendant's convictions for theft of property; although defendant argued that he did not intend to deprive the owner of the property but only temporarily used the van for medical purposes, his argument was misplaced, as the theft statute made no exception for a temporary deprivation, and the jury could have concluded that he intended to permanently deprive the owner of the property, as the owner testified that tools were missing from the vehicle after it was recovered. Wolfe v. State, 2018 Ark. App. 338, 549 S.W.3d 926 (2018).

Instructions.

Where the evidence adduced established that the municipal clerk's office was deprived of property valued at $4,675.20 and there was no evidence tending to disprove one of the elements of Class B felony theft of property, the trial court properly refused to instruct the jury on misdemeanor theft of property. LeFlore v. State, 17 Ark. App. 117, 704 S.W.2d 641 (1986).

Obtain.

Directed verdict was properly denied as to the charge of Class B felony theft of property because substantial evidence supported that defendant brought about a transfer of a laptop by threat of serious physical injury when he pointed a firearm at the laptop owner's roommate and then grabbed the laptop. Hinton v. State, 2015 Ark. 479, 477 S.W.3d 517 (2015).

Word “obtain” as used in the theft-by-deception statute, § 5-36-103(a)(2), simply does not have the continuation component inherent in the word “retain”. “Obtain” connotes a singular, discrete taking of possession that occurs at a given time, and theft by deception is generally not a continuing offense. State v. Gray, 2016 Ark. 411, 505 S.W.3d 160 (2016).

Trial court did not err in denying defendant's motion for a directed verdict on the charge of committing theft of automobile by threat where the victim's testimony established that defendant took unauthorized control of her automobile by threatening to cause physical injury to her by hitting her in the face and displacing her from the driver's seat, he continued to exercise unauthorized control by not allowing the victim to drive and refusing to let her out, and after the victim escaped, defendant continued to drive the automobile until he was pursued by the police, abandoned the vehicle, and fled on foot. Brown v. State, 2017 Ark. App. 480, 531 S.W.3d 417 (2017).

Property of Another Person.

“Property of another person” includes property in which a person has a proprietary interest; thus money victim held for church in her capacity as church treasurer was “property of another”, and could be aggregated with victim's own money to determine grade of offense. Phillips v. State, 297 Ark. 368, 761 S.W.2d 933 (1988).

Evidence was sufficient to convict defendants of breaking or entering and theft of property where (1) a prosecution witness testified that she saw defendants break into an apartment and take a table; (2) a police officer observed that the security door had been pried open and the wooden door was kicked in; and (3) a defense witness testified that they took the table for their own use, that none of them owned it, and that there was an owner, but no one knew where the owner was. Bush v. State, 90 Ark. App. 373, 206 S.W.3d 268 (2005).

Evidence was sufficient to support defendant's aggravated-robbery conviction under § 5-12-103(a)(3) where although it was illegal for the victim to possess the marijuana, it clearly had value, was subject to possession, and thus, fell within the definition of property and property of another person as set forth in this section. Gould v. State, 2014 Ark. App. 543, 444 S.W.3d 408 (2014).

Service.

Defendant was charged with theft of services for his failure to pay the bail-bond company $7,570. The circuit court granted him a directed verdict because the definition of “services” under § 5-36-104 did not include the services provided by bail-bonding companies; additionally, the court found that the bail bond contract did not constitute “professional services” as that term was used in subdivision (9) of this section. State v. Williams, 2013 Ark. 164 (2013).

Value.

Evidence of value held sufficient to support conviction. Boone v. State, 264 Ark. 169, 568 S.W.2d 229 (1978) (decision under prior law).

Testimony regarding the value of the stolen property held not sufficient to prove that a lawnmower was worth more than $100. Riley v. State, 267 Ark. 916, 593 S.W.2d 45 (Ct. App. 1979).

An owner's testimony as to stolen property's original cost does not meet the test for proving value since it is the owner's present interest in the property that the law seeks to protect. Hughes v. State, 3 Ark. App. 275, 625 S.W.2d 547 (1981).

Evidence held insufficient to establish value under this section and not sufficient to support a conviction for theft of property. Hughes v. State, 3 Ark. App. 275, 625 S.W.2d 547 (1981).

Where a gold and silver dealer testified that the stolen gold rings which defendant attempted to sell him were worth far more than $100, his testimony was properly admitted as a positive statement of value by one qualified as an expert. Jones v. State, 6 Ark. App. 7, 636 S.W.2d 880 (1982).

Court properly allowed the owner of gold rings to testify as to the price he paid for them prior to the theft, since the purchase price was not too remote and it bore a reasonable relation to the present value of the gold rings. Jones v. State, 6 Ark. App. 7, 636 S.W.2d 880 (1982).

Although checks do not have a readily ascertainable market value, they can be valued for purposes of the theft of property statute under subdivision (11)(A)(iii) of this section. LeFlore v. State, 17 Ark. App. 117, 704 S.W.2d 641 (1986).

The term “actor”, as used under subdivision (12)(B), is intended to include all persons who have committed any form of theft set out in this chapter, including theft by receiving. Campbell v. State, 300 Ark. 606, 780 S.W.2d 567 (1989).

Under subdivision (12)(B) an accused or defendant is entitled to deduct the amount of consideration he or she paid for the misappropriated property. Campbell v. State, 300 Ark. 606, 780 S.W.2d 567 (1989).

“Value” is the market value of the property at the time and place of the offense, or, if the market value of the property cannot be ascertained, the cost of replacing the property within a reasonable time after the offense. Chase v. State, 46 Ark. App. 261, 879 S.W.2d 455 (1994).

Although witness did not testify specifically to the retail price of the merchandise at the time of the offense, she did testify to the value of the merchandise based on the wholesale cost, which was sufficient to establish the value of the property and therefore sufficient to support the defendant's theft conviction. Christian v. State, 54 Ark. App. 191, 925 S.W.2d 428 (1996).

Evidence was sufficient to convict defendant of criminal attempt to commit theft of property where the victim testified as to the purchase price of the boat motor, his use and maintenance of it, and its condition at the time of the crime. Wright v. State, 80 Ark. App. 114, 91 S.W.3d 553 (2002).

There was insufficient evidence to have convicted defendant of theft of property with a value greater than $500 but less than $2,500 where the only witness, a mechanic, stated car was not worth $50, there was no evidence of what the victim had paid for the car, and the State produced only photographs of the car at trial; however, there was there was sufficient evidence to support a conviction of misdemeanor theft, which carried a term of one year's imprisonment. Reed v. State, 353 Ark. 22, 109 S.W.3d 665 (2003).

Under § 5-36-103, the state failed to produce substantial evidence as to the value of the stolen property; however, the state produced substantial evidence to support a finding that defendant acted with the requisite intent to commit the offense of theft of property, a class A misdemeanor. Gines v. State, 2009 Ark. App. 628 (2009).

In a case in which defendant was convicted on theft of property, in violation of § 5-36-103, even if he had preserved his claim that the evidence was insufficient to show that the value of the property was $2,500 or more, his conviction would be affirmed. The victim's testimony that he purchased the big-screen television for $1800 only four months prior to it being stolen was a factor that the court, as fact-finder, was permitted to consider, and the victim also testified that other items were stolen, including thousands of dollars in jewelry. Walker v. State, 2010 Ark. App. 63 (2010).

Trial court did not err in convicting defendant of theft of property with a value less than $2,500 but more than $500 in violation of § 5-36-103(a)(1) and (b)(2)(A) for stealing merchandise from a department store because a manager's testimony, in conjunction with the testimony of another employee, who was also a manager, was sufficient to lay the foundation for the introduction of a register receipt under the business-records exception to the hearsay rule, Ark. R. Evid. 803(6), as proof of the value of the stolen merchandise; the employee's testimony indicated that he knew the recovered items were stolen because they did not bear certain labels or electronic receipts that the store regularly places on all merchandise, the manager testified that he knew the value of the stolen merchandise by following the store's standard practice of adding up the value by ringing it up on the store's register, and the receipt bore an electronic date and time stamp, as well as other numeric information about the merchandise, including the label information from each item. Pace v. State, 2010 Ark. App. 491, 375 S.W.3d 751 (2010).

Defendant's conviction for theft of property under § 5-36-103(a)(1) was appropriate because the state's proof that the items he stole had a value in excess of $500 was adequate, under subdivision (12)(A)(i) of this section. The items were mostly purchased less than a year before the burglary, the purchase price so greatly exceeded the $500 statutory value threshold, and thus, the victim's testimony constitutes substantial evidence of value. Vault v. State, 2012 Ark. App. 283 (2012).

Defendant's conviction for theft by receiving, a Class D felony, was proper because the State proved that the stolen trailer's value, as defined in subdivision (12)(A)(i) of this section, was in excess of $1,000; the owner of a trailer dealership testified that the owner sold the trailer at issue to the victim for $1,475 and even with the damage to the trailer, it would still be worth over $1,000. Johnson v. State, 2012 Ark. App. 615 (2012).

Defendant's conviction for theft of property as a Class B felony was supported by the evidence because there was evidence that the car was valued at $2,500 or more under subdivision (12)(A)(i) of this section; the car was four years old, and the victim stated that the victim paid $20,000 for it. Moore v. State, 2013 Ark. App. 107 (2013).

Circuit court did not err in finding that the State had met its burden of proving the vehicle had a fair market value of more than $1,000 when defendant stole it; the owner testified that she had paid $3,900 for the vehicle approximately one year before it was stolen and that she would have been willing to sell it at the time of the theft for $3,000, and her testimony in conjunction with an officer's testimony describing the high-speed chase and a video, which captured the attempted traffic stop and the ensuing pursuit, allowed the circuit court to observe the stolen vehicle and make a determination that it met the minimum statutory value under § 5-36-106. Beene v. State, 2019 Ark. App. 493, 588 S.W.3d 748 (2019).

Cited: Stanley v. Mabry, 596 F.2d 332 (8th Cir. 1979); Chaviers v. State, 267 Ark. 6, 588 S.W.2d 434 (1979); Gustafson v. State, 267 Ark. 278, 590 S.W.2d 853 (1979); Wiley v. State, 268 Ark. 552, 594 S.W.2d 57 (Ct. App. 1980); Beed v. State, 271 Ark. 526, 609 S.W.2d 898 (1980); State v. Jamison, 277 Ark. 349, 641 S.W.2d 719 (1982); Meadows v. State, 291 Ark. 105, 722 S.W.2d 584 (1987); Hardcastle v. State, 25 Ark. App. 157, 755 S.W.2d 228 (1988); Muhammed v. State, 27 Ark. App. 188, 769 S.W.2d 33 (1989); Coley v. State, 302 Ark. 526, 790 S.W.2d 899 (Ark. 1990); Sullivan v. State, 32 Ark. App. 124, 798 S.W.2d 110 (1990); Jackson v. State, 37 Ark. App. 160, 826 S.W.2d 307 (1992); Higgins v. State, 326 Ark. 1030, 936 S.W.2d 740 (1996); Cox-Hilstrom v. State, 58 Ark. App. 109, 948 S.W.2d 409 (1997); Greer v. State, 77 Ark. App. 180, 72 S.W.3d 893 (2002); Grillot v. State, 353 Ark. 294, 107 S.W.3d 136 (2003); McEntire v. State, 363 Ark. 473, 215 S.W.3d 658 (2005); Russell v. State, 367 Ark. 557, 242 S.W.3d 265 (2006); Gillean v. State, 2015 Ark. App. 698, 478 S.W.3d 255 (2015).

5-36-102. Consolidation of offenses — Theft by deception presumption at auction of livestock — Amount of theft.

  1. Conduct denominated theft in this chapter constitutes a single offense embracing the separate offenses known before January 1, 1976, as:
    1. Larceny;
    2. Embezzlement;
    3. False pretense;
    4. Extortion;
    5. Blackmail;
    6. Fraudulent conversion;
    7. Receiving stolen property; and
    8. Other similar offenses.
  2. Notwithstanding the specification of a different manner in the indictment or information, a criminal charge of theft may be supported by evidence that it was committed in any manner that would be theft under this chapter subject only to the power of the court to ensure a fair trial by granting a continuance or other appropriate relief if the conduct of the defense would be prejudiced by lack of fair notice or by surprise.
  3. A person who is subject to 7 U.S.C. § 181 et seq. that obtains livestock from a commission merchant by representing that the person will make prompt payment is presumed to have obtained the livestock by deception if the person fails to make payment in accordance with 7 U.S.C. § 228b.
    1. The amount involved in a theft is deemed to be the highest value, by any reasonable standard, of the property or service that the actor obtained or attempted to obtain.
    2. An amount involved in a theft committed pursuant to one (1) scheme or course of conduct, whether from one (1) or more persons, may be aggregated in determining the grade of the offense.

History. Acts 1975, No. 280, § 2202; A.S.A. 1947, § 41-2202; Acts 2009, No. 1401, § 1; 2015, No. 1263, § 2.

Amendments. The 2009 amendment inserted “Theft by deception at auction of livestock presumption —” in the section heading; inserted present (d); and redesignated (d) as (e).

The 2015 amendment deleted “— Shoplifting presumption” following “offenses” in the section heading; deleted former (c), and redesignated the remaining subsections accordingly.

Case Notes

Construction.

This section does not authorize a court to alter the elements of one type of theft offense, which has not been amended, by applying to it a statute that amends a different theft offense. Coleman v. State, 327 Ark. 381, 938 S.W.2d 845 (1997).

Purpose.

All stolen property crimes were consolidated into the crime of theft by the Criminal Code, the intention being to eliminate needless wrangling over the question whether particular conduct that is obviously criminal constitutes one offense rather than another. State v. Reeves, 264 Ark. 622, 574 S.W.2d 647 (1978), cert. denied, Reeves v. Arkansas, 441 U.S. 964, 99 S. Ct. 2412 (1979).

Aggregation of Amount Stolen.

Defendant was charged with one crime, theft by receiving under § 5-36-106, which is a continuing offense, and it was not erroneous to aggregate the amount stolen from her employer over a period of time under subdivision (d)(2) of this section and classify the crime as a Class B felony, even though each individual act of acquiring possession did not add up to over $25,000. The last time defendant stole money from her employer was in February 2014, which was well within the time limit for statute of limitations calculations for a Class B felony under § 5-1-109. Clements v. State, 2020 Ark. App. 175, 594 S.W.3d 922 (2020).

Conversion.

Conversion is any distinct act of dominion wrongfully exerted over property in denial of, or inconsistent with, the owner's right. The conversion need not be a manual taking or for the defendant's use; if the defendant exercises control over the goods in exclusion, or defiance, of the plaintiff's right, it is a conversion whether it is for his own use or another's use. Forehand v. First Bank, 315 Ark. 282, 867 S.W.2d 431 (1993).

Distinction Between Theft Types.

Distinction between types of theft has been abolished under Arkansas law; the statute explicitly states that theft of property embraces the separate offenses previously known as larceny, embezzlement, false pretense, extortion, blackmail, fraudulent conversion, receiving stolen property, and other similar offenses. Henson v. State, 2014 Ark. App. 703, 450 S.W.3d 677 (2014).

Evidence.

Meaningful distinction cannot be drawn, for purposes of Evid. Rule 608(b), relating to specific instances of conduct, between embezzlement and other forms of theft. Sitz v. State, 23 Ark. App. 126, 743 S.W.2d 18 (1988).

Where it was undisputed that a theft occurred, and defendant's receipt of the goods with knowledge or good reason to believe they had been stolen could be established by his confession, the state did not have to independently prove each specific element of the offense of theft by receiving to establish the corpus delicti. Hart v. State, 301 Ark. 200, 783 S.W.2d 40 (1990).

Appellants' convictions for theft of property were affirmed because substantial evidence supported the convictions where (1) while appellants maintained they were simply running a business and made some poor business decisions, the testimony of the victims established a pattern of taking and exercising unauthorized control over the victims' money with the purpose of depriving the victims of their money; (2) the pattern demonstrated that appellants sold items to the victims, accepted the victims' money, purposefully and knowingly delayed delivery of the merchandise, and offered multiple and most often untrue excuses for why the orders did not arrive; and (3) the evidence showed that appellants would tell customers that an item was in shipping, was shipped in the wrong color, back ordered, or damaged in shipping. Williams v. State, 2009 Ark. App. 848 (2009).

Indictment, Information or Charge.

Amending the charge to theft by deception changed neither the nature nor the degree of the crime charged, since both prior to and after the amendment, the defendant was charged with the theft of property having a value of $2,500 or more, a Class B felony; the only variation between the initial charge and the charge as amended was the alleged manner of the commission of the theft. Prokos v. State, 266 Ark. 50, 582 S.W.2d 36 (1979).

Provisions of this section allow a charge of theft to be proved notwithstanding specification of a different manner in the information or indictment. Martin v. State, 272 Ark. 376, 614 S.W.2d 512 (1981).

Instructions.

Where the challenged instruction merely set out the law applicable to the issue of false arrest, and where the instruction did not advise the jury that any presumption had been established by the evidence adduced at trial, but to the contrary, advised the jury that if they found the facts to meet the requisites for the statutory presumption, then their verdict should be for defendant, the instruction given was not erroneous. Dawson v. Pay Less Shoes #904 Co., 269 Ark. 23, 598 S.W.2d 83 (1980).

Separate Offenses.

The legislature did not intend to create a statute that would merge an instance of theft-by-receiving, under § 5-36-106, that is committed in one jurisdiction with an instance of theft-of-property, under § 5-36-103, committed in a second jurisdiction; clearly, the two crimes are separate and distinct, and an interpretation of this section that the two offenses merge is particularly untenable when applied to factual circumstances wherein the theft crimes are not committed in the same criminal episode. Nelson v. State, 350 Ark. 311, 86 S.W.3d 909 (2002).

Value.

Stolen property in which victim has either a proprietory or possessory interest may be aggregated to determine grade of offense. Phillips v. State, 297 Ark. 368, 761 S.W.2d 933 (1988).

Cited: Bailey v. State, 266 Ark. 260, 583 S.W.2d 62 (1979); White v. State, 271 Ark. 692, 610 S.W.2d 266 (1981); Addington v. State, 2 Ark. App. 7, 616 S.W.2d 742 (1981); Bongfeldt v. State, 6 Ark. App. 102, 639 S.W.2d 70 (1982); Roberts v. State, 281 Ark. 218, 663 S.W.2d 178 (1984); Culhane v. State, 282 Ark. 286, 668 S.W.2d 24 (1984); Kroger Co. v. Standard, 283 Ark. 44, 670 S.W.2d 803 (1984); Thompson v. State, 284 Ark. 403, 682 S.W.2d 742 (1985); Mendenhall v. Skaggs Cos., 285 Ark. 236, 685 S.W.2d 805 (1985); Garrison v. State, 13 Ark. App. 245, 682 S.W.2d 772 (1985); In re Hoffman, 70 B.R. 155 (Bankr. W.D. Ark. 1986); Tippitt v. Lockhart, 859 F.2d 595 (8th Cir. 1988); Campbell v. State, 300 Ark. 606, 780 S.W.2d 567 (1989); Murray v. Wal-Mart, Inc., 874 F.2d 555 (8th Cir. 1989); Jenkins v. State, 60 Ark. App. 1, 959 S.W.2d 57 (1997); Miller v. Kroger Co., 82 Ark. App. 281, 105 S.W.3d 789 (2003).

5-36-103. Theft of property.

  1. A person commits theft of property if he or she knowingly:
    1. Takes or exercises unauthorized control over or makes an unauthorized transfer of an interest in the property of another person with the purpose of depriving the owner of the property; or
    2. Obtains the property of another person by deception or by threat with the purpose of depriving the owner of the property.
  2. Theft of property is a:
    1. Class B felony if:
      1. The value of the property is twenty-five thousand dollars ($25,000) or more;
      2. The property is obtained by the threat of serious physical injury to any person or destruction of the occupiable structure of another person;
      3. The property is obtained by threat and the actor stands in a confidential or fiduciary relationship to the person threatened; or
      4. The property is:
        1. Anhydrous ammonia in any form;
        2. A product containing any percentage of anhydrous ammonia in any form;
        3. Utility property and the value of the property is five hundred dollars ($500) or more; or
        4. Oil and gas equipment, the value of the property is less than twenty-five thousand dollars ($25,000) but more than five thousand dollars ($5,000), and the person:
          1. Caused more than two hundred fifty dollars ($250) in incidental damage to the owner of the oil and gas equipment during the commission of the offense; or
          2. Transported the oil and gas equipment across state lines to sell or dispose of the oil and gas equipment;
    2. Class C felony if:
      1. The value of the property is less than twenty-five thousand dollars ($25,000) but more than five thousand dollars ($5,000);
      2. The property is obtained by threat;
      3. The property is a firearm valued at two thousand five hundred dollars ($2,500) or more;
      4. The property is building material obtained from a permitted construction site and the value of the building material is five hundred dollars ($500) or more;
      5. The value of the property is five hundred dollars ($500) or more and the theft occurred in an area declared to be under a state of emergency pursuant to proclamation by the President of the United States, the Governor, or the executive officer of a city or county; or
      6. The property is oil and gas equipment, the value of the property is five thousand dollars ($5,000) or less but more than one thousand dollars ($1,000), and the person:
        1. Caused more than two hundred fifty dollars ($250) in incidental damage to the owner of the oil and gas equipment during the commission of the offense; or
        2. Transported the oil and gas equipment across state lines to sell or dispose of the oil and gas equipment;
    3. Class D felony if:
      1. The value of the property is five thousand dollars ($5,000) or less but more than one thousand dollars ($1,000);
      2. The property is a firearm valued at less than two thousand five hundred dollars ($2,500);
      3. The property is a:
        1. Credit card or credit card account number; or
        2. Debit card or debit card account number;
      4. The value of the property is at least one hundred dollars ($100) or more but less than five hundred dollars ($500) and the theft occurred in an area declared to be under a state of emergency pursuant to proclamation by the President of the United States, the Governor, or the executive officer of a city or county;
      5. The property is livestock and the value of the livestock is in excess of two hundred dollars ($200);
      6. The property is an electric power line, gas line, water line, wire or fiber insulator, electric motor, or other similar apparatus connected to a farm shop, on-farm grain drying and storage complex, heating and cooling system, environmental control system, animal production facility, irrigation system, or dwelling;
      7. The property is a decorative or memorial item from a cemetery, graveyard, or a person's grave site and the offense is the actor's second or subsequent offense of theft of a decorative or memorial item from a cemetery, graveyard, or a person's grave site under this section; or
      8. The property is oil and gas equipment, the value of the property is one thousand dollars ($1,000) or less, and the person:
        1. Caused more than two hundred fifty dollars ($250) in incidental damage to the owner of the oil and gas equipment during the commission of the offense; or
        2. Transported the oil and gas equipment across state lines to sell or dispose of the oil and gas equipment; or
    4. Class A misdemeanor if:
      1. The value of the property is one thousand dollars ($1,000) or less;
      2. The property has inherent, subjective, or idiosyncratic value to its owner or possessor even if the property has no market value or replacement cost; or
      3. The property is a decorative or memorial item from a cemetery, graveyard, or a person's grave site.
    1. Upon the proclamation of a state of emergency by the President of the United States or the Governor or upon the declaration of a local emergency by the executive officer of any city or county and for a period of thirty (30) days following that declaration, the penalty for theft of property is enhanced if the property is:
      1. A generator intended for use by:
        1. A public facility;
        2. A nursing home or hospital;
        3. An airport;
        4. A public safety device;
        5. A communication tower or facility;
        6. A public utility;
        7. A water system or sewer system;
        8. A public safety agency; or
        9. Any other facility or use providing a vital service; or
      2. Any other equipment used in the transmission of electric power or telephone service.
    2. As used in this subsection:
      1. “Public safety agency” means an agency of the State of Arkansas or a functional division of a political subdivision that provides:
        1. Firefighting and rescue;
        2. Natural or human-caused disaster or major emergency response;
        3. Law enforcement; or
        4. Ambulance or emergency medical services; and
      2. “Public safety device” includes, but is not limited to, a traffic signaling device or a railroad crossing device.
    3. The penalty is enhanced as follows:
        1. The fine for the offense shall be at least five thousand dollars ($5,000) and not more than fifty thousand dollars ($50,000).
        2. The fine is mandatory; and
      1. The offense is a Class D felony if it would have been a Class A misdemeanor.

History. Acts 1975, No. 280, § 2203; 1977, No. 360, § 8; 1979, No. 592, § 1; 1983, No. 719, § 1; A.S.A. 1947, § 41-2203; Acts 1987, No. 934, § 3; 1991, No. 712, § 1; 1995, No. 277, § 1; 1997, No. 516, § 1; 2001, No. 157, § 1; 2001, No. 1195, § 1; 2003, No. 838, § 1; 2005, No. 1442, § 1; 2007, No. 693, § 1; 2007, No. 827, § 39; 2009, No. 1295, § 2; 2011, No. 570, § 23; 2011, No. 1120, § 8; 2011, No. 1227, § 1; 2013, No. 1125, § 7; 2019, No. 311, § 1; 2019, No. 503, § 1; 2019, No. 611, § 2.

A.C.R.C. Notes. Acts 2009, No. 1295, § 1, provided: “This act shall be known and may be cited as the ‘Private Property Protection Act’.”

Acts 2011, No. 570, § 1, provided: “Legislative intent. The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Pursuant to Acts 2011, No. 1120, § 16, the amendments to this section by Acts 2011, No. 1120, § 8 are partially superseded by the amendments to this section by Acts 2011, No. 570, § 23.

Publisher's Notes. Acts 2019, No. 611, § 2 specifically amended this section as amended by Acts 2019, No. 311, § 1.

Amendments. The 2009 amendment added (b)(1)(F) and (b)(2)(F); deleted “(c)” at the end of the introductory language of (c)(2); and made related changes.

The 2011 amendment by No. 570 rewrote the section.

The 2011 amendment by No. 1120 inserted present (b)(3)(F).

The 2011 amendment by No. 1227 inserted present (b)(1)(E).

The 2013 amendment substituted “The property is an” for “An” in (b)(3)(F).

The 2019 amendment by No. 311 inserted “backup deep cycle battery or other power supply” in former (b)(1)(E)(ii) (b) (now see definition of “Utility property” in § 5-36-101).

The 2019 amendment by No. 503 added (b)(3)(G) and (b)(4)(C).

The 2019 amendment by No. 611 redesignated (b)(1)(E)(i) as (b)(1)(D)(iii); substituted “Utility” for “The property is utility” in (b)(1)(D)(iii); added (b)(1)(D)(iv); deleted (b)(1)(E)(ii); deleted the (b)(2)(D)(i) designation; deleted (b)(2)(D)(ii); and added (b)(2)(F) and (b)(3)(G) [now (b)(3)(H)].

Cross References. Forfeiture of property, § 5-5-301 et seq.

Research References

ALR.

What Is “Intent to Deprive” Sufficient to Establish Liability for Civil, or Statutory, Theft, 35 A.L.R.7th Art. 1 (2018).

Ark. L. Rev.

Mason L. Boling, Legislative Note: That Was the Easy Part: The Development of Arkansas's Public Safety Improvement Act of 2011, and Why the Biggest Obstacle to Prison Reform Remains Intact, 66 Ark. L. Rev. 1109 (2013).

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Law, 1 U. Ark. Little Rock L.J. 153.

Survey of Arkansas Law, Evidence, 1 U. Ark. Little Rock L.J. 191.

Survey of Arkansas Law, Evidence, 5 U. Ark. Little Rock L.J. 139.

Survey — Criminal Law, 10 U. Ark. Little Rock L.J. 559.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Theft of Debit Card, 26 U. Ark. Little Rock L. Rev. 363.

Case Notes

Note. Many of the cases cited below were decided prior to the consolidation of offenses by § 5-36-102.

Constitutionality.

This section is not unconstitutionally vague since the general class of offenses (theft by deception or false pretenses) is within the terms of the statute which promotes a long standing state interest in prohibiting deceptive schemes and confidence games. Hixson v. Housewright, 642 F.2d 242 (8th Cir. 1981).

In General.

Asportation and caption are not requisites of wrongful appropriation. Lee v. State, 264 Ark. 384, 571 S.W.2d 603 (1978).

Construction.

The term “exercises unauthorized control” in subdivision (a)(1) is directed at the bailee who lawfully takes control of the property, but subsequently appropriates it to his own use, but the term must be read in conjunction with the clause “purpose of depriving the owner thereof,” since a deviation from the terms of bailment is theft only if done with the requisite purpose to deprive the bailor. Chaviers v. State, 267 Ark. 6, 588 S.W.2d 434 (1979).

Applicability.

The amendment of subdivision (b)(2)(A) of this section, which changed the dollar amount from $200 to $500, and which occurred after defendant committed his offense but before trial, did not apply to defendant; the governing statute was the one in effect at the time defendant committed the crime. Cody v. State, 326 Ark. 85, 929 S.W.2d 159 (1996).

Where the debtor was aware of the bank's security interest at the time he undertook to sell the bank's collateral, debtor's actions constituted both the tort of conversion and the state law statutory offenses of theft and defrauding secured creditors, and therefore he acted with malice in harming the bank's property when he misappropriated the sale proceeds in which he had no legal or equitable interest. Mercantile Bank of Ark.,N.A. v. Speers, 244 B.R. 142 (Bankr. E.D. Ark. 2000).

Accomplices.

For cases discussing accessories or accomplices, see Lester v. State, 32 Ark. 727 (1878); Friend v. State, 109 Ark. 498, 160 S.W. 384 (1913); Monk v. State, 130 Ark. 358, 197 S.W. 580 (1917); Davidson v. State, 132 Ark. 116, 200 S.W. 137 (1917); Webb v. State, 206 Ark. 640, 176 S.W.2d 915 (1944); Mortensen v. State, 214 Ark. 528, 217 S.W.2d 325 (Ark. 1949) (preceding decisions under prior law) Franklin v. State, 311 Ark. 601, 845 S.W.2d 525 (1993).

Evidence was sufficient to support a guilty finding on the theft of a firearm charge given the juvenile's possession of the hoverboard that was stolen at the same time, and he was riding the hoverboard alongside another juvenile who was carrying the stolen firearms. B.T. v. State, 2019 Ark. App. 471, 588 S.W.3d 387 (2019).

Appropriations.

Ark. Const., Art. 5, § 30 provides that appropriation acts can do nothing but appropriate funds for one specific subject; but that does not mean that someone cannot be charged with theft by deception for improperly taking money from an account created by an appropriation. Clark v. State, 308 Ark. 84, 308 Ark. 453, 824 S.W.2d 345 (1992).

Prosecuting a constitutional officer for theft by deception for violating an appropriation act does not violate due process of law because there is no criminal penalty in an appropriation act. Clark v. State, 308 Ark. 84, 308 Ark. 453, 824 S.W.2d 345 (1992).

Assistance of Counsel.

Defendant's constitutional right to counsel held violated when court refused request for continuance to obtain counsel. Murdock v. State, 291 Ark. 8, 722 S.W.2d 268 (Ark. 1987).

Attempted Theft.

For attempted theft by deception, the only issues are the defendant's state of mind and his belief as to what the facts are, not whether an item taken has actual value or whether the defendant actually deceived the victim. Wilson v. State, 56 Ark. App. 47, 939 S.W.2d 313 (1997).

Burden of Proof.

The burden was on the prosecution to prove the falsity of the representations in a prosecution for the offense of obtaining property by false pretense. Anderson v. State, 226 Ark. 498, 290 S.W.2d 846 (1956) (decision under prior law).

Charge.

Factual question not resolved whether probable cause to charge defendant with false swearing or theft by deception. First Commercial Bank v. Kremer, 292 Ark. 82, 728 S.W.2d 172 (1987).

Conspiracy.

Defendant committed an overt act in furtherance of a conspiracy to commit kidnapping, aggravated robbery, theft of property, and aggravated residential burglary because he took another person to his residence and showed the person the inside of the premises, discussed how to break in the residence and how to subdue his wife, and identified the property to be taken from the residence. Winkler v. State, 2012 Ark. App. 704, 425 S.W.3d 808 (2012).

Conversion by Bailee.

Former section concerning conversion of property embraced all bailees, and was not confined to bailees of the generic class. Wallis v. State, 54 Ark. 611, 16 S.W. 821 (1891) (preceding decisions under prior law); Compton v. State, 102 Ark. 213, 143 S.W. 897 (1912) (preceding decisions under prior law).

Defendant held not to violate former section concerning conversion of property by a bailee where he obtained check from government due him under contract and failed to pay subcontractors and laborers out of this check but departed thenceforth even though he had promised to pay subcontractors and laborers when he received the check. Lewis v. State, 220 Ark. 259, 247 S.W.2d 195 (1952) (decision under prior law).

Use of employer's truck by employee to go to and from work constituted a bailment; and use by employee of employer's truck on a personal errand instead of going home as he was authorized to do constituted larceny so as to enable employer to recover under theft policy for loss of truck in collision with tree while driven by employee. Sullivant v. Pennsylvania Fire Ins. Co., 223 Ark. 721, 268 S.W.2d 372 (1954) (decision under prior law).

The crux of former section concerning conversion of property by a bailee was not intent to convert the property to the use of the bailee but to use the property contrary to the agreement. Thrifty Rent-A-Car v. Jeffrey, 257 Ark. 904, 520 S.W.2d 304 (1975) (decision under prior law).

Deception.

State presented substantial evidence that defendant knowingly deceived a wholesale and retail distributor of petroleum products in an effort to get fuel for a convenience store and gas station owned by defendant's wife; there was substantial evidence that defendant deceived the distributor by falsely representing himself as owner of the store and property used as collateral, and the representations were made to induce the distributor to continue supplying fuel. Iqbal v. State, 2011 Ark. App. 221, 382 S.W.3d 755 (2011), review denied, — Ark. —, — S.W.3d —, 2011 Ark. LEXIS 394 (Ark. Apr. 21, 2011).

Substantial evidence supported appellant's theft of property convictions under subdivision (a)(2) of this section where the evidence allowed the jury to infer that he accepted boat deposits from victims, he was well aware of the lack of manpower at his boat manufacturing business and the increasing number of complaints against it, and he had taken on new business without regard for unfilled orders and had used the deposits to keep the business afloat. Flemister v. State, 2016 Ark. App. 180, 487 S.W.3d 386 (2016).

—In General.

Evidence held sufficient to show fraudulent scheme. Webb v. State, 206 Ark. 640, 176 S.W.2d 915 (1944) (decision under prior law).

Deliberate and consistent giving of checks with insufficient funds to pay them held to amount to knowingly making misrepresentations of material facts and was characterized as fraud instead of mismanagement. Hi-Pro Fish Prods., Inc. v. McClure, 346 F.2d 497 (8th Cir. 1965); Cox-Hilstrom v. State, 58 Ark. App. 109, 948 S.W.2d 409 (1997).

—Evidence.

Misrepresentations relating solely to the future did not constitute an offense. Kerby v. State, 233 Ark. 8, 342 S.W.2d 412 (1961) (decision under prior law).

Evidence held sufficient to establish a misrepresentation of fact. Dean v. State, 258 Ark. 32, 522 S.W.2d 421 (1975) (decision under prior law).

Evidence held insufficient to support conviction for theft by deception. Cates v. State, 267 Ark. 726, 589 S.W.2d 598 (Ct. App. 1979); Wiley v. State, 268 Ark. 552, 594 S.W.2d 57 (Ct. App. 1980).

Evidence held sufficient to support finding that defendant obtained the property by deception. Parker v. State, 270 Ark. 3, 603 S.W.2d 393 (1980).

Evidence held sufficient to sustain conviction of theft by deception. Hixson v. Housewright, 642 F.2d 242 (8th Cir. 1981); Wilson v. State, 277 Ark. 43, 639 S.W.2d 45 (1982); Wilson v. State, 56 Ark. App. 47, 939 S.W.2d 313 (1997).

—False Pretenses.

False pretense could not relate to something to happen in the future. Conner v. State, 137 Ark. 123, 206 S.W. 747 (1918) (decision under prior law).

Evidence held sufficient to support conviction of obtaining money or property by false pretenses or representations. Long v. State, 160 Ark. 607, 255 S.W. 300 (1923); Norris v. State, 170 Ark. 484, 280 S.W. 398 (1926); Hadley v. State, 196 Ark. 307, 117 S.W.2d 352 (1938); Mortensen v. State, 214 Ark. 528, 217 S.W.2d 325 (Ark. 1949); Kerby v. State, 233 Ark. 8, 342 S.W.2d 412 (1961) (preceding decisions under prior law).

The offense of obtaining property by false pretenses was complete when a thing of value had been obtained knowingly and designedly from another by false pretenses with an intent to defraud such person of such property and it was unnecessary to charge or prove an actual pecuniary loss or damage. Fisher v. State, 161 Ark. 586, 256 S.W. 858 (1923) (decision under prior law).

Evidence held insufficient to support conviction for obtaining medical services by false pretenses. McLain v. State, 181 Ark. 730, 27 S.W.2d 518 (1930) (decision under prior law).

Actions held to constitute obtaining money under false pretense. Lamb v. State, 202 Ark. 931, 155 S.W.2d 49 (1941) (decision under prior law).

One of the essential elements of the offense of obtaining property by false pretenses was that the representation had to be false. Anderson v. State, 226 Ark. 498, 290 S.W.2d 846 (1956) (decision under prior law).

The false pretense which constituted an offense was a false representation of an existing fact or past event by one who knew that it was not true and of such nature as to induce the party to whom made to part with something of value. Karr v. State, 227 Ark. 777, 301 S.W.2d 442 (1957) (decision under prior law).

Defendants who falsely represented themselves to be qualified termite exterminators and who collected more than the approximate worth of the work done, were properly convicted of the crime of obtaining property by false pretenses. Daley v. State, 236 Ark. 89, 364 S.W.2d 678 (1963) (decision under prior law).

Where the only false representation proved was that the victim would, in the future, have an exclusive distributorship for a certain area, no submissible issue was presented to the jury as to false representation of a past or existing fact. Bakri v. State, 261 Ark. 765, 551 S.W.2d 215 (1977) (decision under prior law).

—Identification.

Although codefendant gave varying statements about defendant's participation and the victim was unable to identify the defendant, the identification evidence held sufficient in view of the scientific evidence and the testimony of the codefendant. Wilson v. State, 332 Ark. 7, 962 S.W.2d 805 (1998).

—Sufficiency.

Evidence of theft held sufficient where defendant admitted that he took twenty-five dollars from the victim's purse, a witness identified the gun found in defendant's sister's apartment as belonging to the victim, and another witness saw the victim's gun in the defendant's pocket on the day of the offense. Sanford v. State, 331 Ark. 334, 962 S.W.2d 335 (1998).

Victim's eyewitness identification testimony and the officers' identification testimony based on the surveillance tape and a still photograph was sufficient to sustain convictions of aggravated robbery and theft of property; moreover, the victim's testimony that she was fearful and believed defendant was armed, based on his pointing his jacket at her and insinuating that he had a gun, supported the weapon requirement under § 5-12-103. Edwards v. State, 360 Ark. 413, 201 S.W.3d 909 (2005).

Dismissal Not Warranted.

Where charges against defendant for alleging defrauding insurers were dismissed, this did not mandate a later dismissal of subsequently filed charges alleging Medicaid fraud under res judicata, issue preclusion, or § 5-1-113 because the crimes were not the same. Dilday v. State, 369 Ark. 1, 250 S.W.3d 217 (2007).

Due Process.

District court's grant of writ of habeas corpus was on the ground that the trial court's refusal to allow defendant to inform the jury of his prior acquittal on possession charges rendered his trial fundamentally unfair. Prince v. Lockhart, 971 F.2d 118 (8th Cir. 1992), cert. denied, 507 U.S. 964, 113 S. Ct. 1394 (1993).

Particular actions held to be embezzlement. Palmer v. State, 109 Ark. 411, 160 S.W. 204 (1913); Miller v. State, 155 Ark. 13, 243 S.W. 958 (1922) (preceding decisions under prior law).

Evidence need sufficient to sustain a conviction of embezzlement. Bratton v. State, 213 Ark. 537, 211 S.W.2d 428 (1948); Edens v. State, 235 Ark. 996, 363 S.W.2d 923 (1963); Pharr v. State, 246 Ark. 424, 438 S.W.2d 461 (1969) (preceding decisions under prior law).

Elements.

State had to prove that appellant took or exercised unauthorized control over another's property with the purpose of depriving him of that property, which was a debit card. Blakely v. State, 2013 Ark. App. 37 (2013).

Probation was properly revoked because a trial court's finding that probationer stole and pawned a window-unit air conditioner, violating the terms of the probationer's suspended sentence, was not clearly against the preponderance of the evidence; the probationer admitted to stealing the air conditioner from the window of a homeowner who hired the probationer to mow the homeowner's yard. Collins v. State, 2015 Ark. App. 600, 474 S.W.3d 531 (2015).

Embezzlement.

Particular actions held not to be embezzlement. Johnson v. State, 102 Ark. 139, 143 S.W. 593 (1912) (decision under prior law).

Evidence.

Defendant's conviction for theft of property from a former employer, in violation of subdivision (a)(1) of this section, was not supported by the evidence because the factfinder had to speculate to choose whether defendant stole a crane and winches or whether the equipment was sold outside a cashier's presence and the cashier did not see customers outside the store; the state presented no evidence, documentary or oral, of merchandise actually missing from the store's inventory. King v. State, 100 Ark. App. 208, 266 S.W.3d 205 (2007).

Evidence was sufficient to sustain defendant's convictions for aggravated robbery, residential burglary, and felony theft of property because an accomplice testified that he and defendant had a purpose of committing theft when they went to the victim's apartment, defendant used physical force upon the victim, defendant was armed with a deadly weapon, and a witness testified that she observed defendant carry out a television and load it into the car. Navarro v. State, 371 Ark. 179, 264 S.W.3d 530 (2007).

Defendant's convictions for aggravated robbery and theft were proper because defendant employed physical force upon the victim, admitted to stabbing the victim, and was armed with a deadly weapon. Further, the fact that defendant pawned the victim's tools and tried to sell other stolen items established a purpose to commit theft. Young v. State, 371 Ark. 393, 266 S.W.3d 744 (2007).

The state was not entitled to a rehearing of a decision overturning defendant's conviction for theft under subdivision (a)(1) of this section because the evidence was insufficient as it left the fact-finder to speculation and conjecture; the state proved only that a co-worker saw defendant moving a store's hardware out the front door. Defendant's job at the store, however, was to move hardware; without more, the co-worker's testimony did not prove that defendant was guilty of exercising unauthorized control over any store item with the purpose of permanently depriving the store of it. King v. State, 100 Ark. App. 211, 266 S.W.3d 205 (2007).

Substantial evidence indicated that defendant was armed with a deadly weapon for the purpose of committing theft, and defendant was part of a plan to take the victim's money; there did not have to be an actual transfer of property to take place for the offense of aggravated robbery to be complete, and defendant and another clearly followed through with the plan, whether or not they verbally acknowledged their agreement at the time the plan was conceived. Moore v. State, 372 Ark. 579, 279 S.W.3d 69 (2008).

In defendant's attempted capital murder case, the state presented substantial evidence of defendant's intent to commit theft because there was the victim's testimony, in which she stated that defendant told her that he was going to rob her, there was the fact that two twenty-dollar bills and some quarters were missing from the store after the attack, and there was also defendant's own videotaped statement in which he admitted to taking money from the cash register. Goodwin v. State, 373 Ark. 53, 281 S.W.3d 258 (2008).

Where the victim testified that he discovered that two jars of coins were missing from his house after a visit from defendant and his cohort, an employee of a grocery store saw defendant's cohort cash in the coins and then throw away a jar; the theft victim identified the jar as his. In the second case, the victim testified that a five-gallon water jug filled with coins was stolen from his house shortly after he had spoken with defendant and his cohort at a club; based on the circumstantial evidence, along with defendant's admission that he had stolen coins from the second victim before, the evidence was sufficient to support defendant's conviction for two counts of theft under subsection (a) of this section. Mathis v. State, 2009 Ark. App. 181, 314 S.W.3d 280 (2009).

When a trailer was removed from the owner's property without her permission, defendant stated that he purchased the trailer from a third party and it was parked on his property. The evidence was sufficient to show that defendant possessed the trailer with the intent to deprive the owner of the property in violation of this section; defendant was properly convicted of the theft of property with a value between $500 and $2500 in violation of this section. Gray v. State, 2009 Ark. App. 572 (2009).

Where the state's witness testified that she and defendant drove to the victim's RV in order to rob the victim, defendant entered the residence, grabbed the victim's wallet, handed it to the witness, and then she heard a pop sound; a second witness testified that he had seen defendant with a handgun that day, and defendant told him that he had shot the victim in the head. After the victim was found dead, defendant was convicted of first degree felony murder in violation of § 5-10-102(a)(1) with theft as the underlying felony under this section; defendant's challenge to the sufficiency of the evidence supporting his conviction for theft was denied. Lockhart v. State, 2009 Ark. App. 587 (2009).

Evidence was sufficient to support defendant's convictions for residential burglary and theft of property where defendant pawned a gun and a pendant that were stolen from the victims' home and, according to a witness, defendant admitted that he participated in the burglary and theft. Stigger v. State, 2009 Ark. App. 596 (2009).

Under this section, the state failed to produce substantial evidence as to the value of the stolen property; however, the state produced substantial evidence to support a finding that defendant acted with the requisite intent to commit the offense of theft of property, a class A misdemeanor. Gines v. State, 2009 Ark. App. 628 (2009).

Appellants' convictions for theft of property were affirmed because substantial evidence supported the convictions where (1) while appellants maintained they were simply running a business and made some poor business decisions, the testimony of the victims established a pattern of taking and exercising unauthorized control over the victims' money with the purpose of depriving the victims of their money; (2) the pattern demonstrated that appellants sold items to the victims, accepted the victims' money, purposefully and knowingly delayed delivery of the merchandise, and offered multiple and most often untrue excuses for why the orders did not arrive; and (3) the evidence showed that appellants would tell customers that an item was in shipping, was shipped in the wrong color, back ordered, or damaged in shipping. Williams v. State, 2009 Ark. App. 848 (2009).

Evidence was sufficient to support defendant's conviction for misdemeanor theft of property in violation of subdivision (a)(1) of this section because he beat and kicked the victim, took his cell phone and wallet, asked for additional money, threatened to shoot him, and ran away; the evidence was sufficient to establish that defendant either took the items in question or participated in taking them and that afterward he fled from the scene of the crime, and it was of no consequence whether defendant was the principal or an accomplice. Sims v. State, 2010 Ark. App. 133 (2010).

Defendant's convictions for breaking or entering and theft of property in violation of subdivision (a)(1) of this section were proper because there was substantial evidence showing that defendant, for the purpose of committing a theft or felony, broke into the victim's vehicle. Substantial evidence also existed to support the finding that defendant knowingly took and exercised unauthorized control over the victim's tow-truck keys with the purpose of depriving the victim of them. Washington v. State, 2010 Ark. App. 339, 374 S.W.3d 822 (2010), review denied, — Ark. —, — S.W.3d —, 2010 Ark. LEXIS 379 (June 24, 2010).

Bank customer properly charged with theft where while the customer did not bear any criminal intent when she deposited the check and withdrew the funds, she later realized that it was probably a fake and decidedly refused to repay the original owner, the bank, when the check was discovered to indeed be counterfeit. Brooks v. First State Bank, N.A., 2010 Ark. App. 342, 374 S.W.3d 846 (2010), rehearing denied, — Ark. App. —, — S.W.3d —, 2010 Ark. App. LEXIS 518 (June 2, 2010), review denied, — Ark. —, — S.W.3d —, 2010 Ark. LEXIS 622 (Ark. Dec. 9, 2010).

Defendant admitted to taking credit cards without permission and unlawfully entering a home without permission, and that defendant drove a car and wrecked it; thus, the state offered sufficient proof that defendant committed theft of property under subdivision (a)(1) of this section. Cody v. State, 2010 Ark. App. 542 (2010).

Defendant's convictions for breaking or entering, in violation of § 5-39-202(1), and theft of property, in violation of subdivision (a)(1) of this section, were supported by the evidence because defendant's unlawful presence near a storage shed, flight from the victim, and association with persons involved in the crimes suggested that defendant jointly participated in the crimes under § 5-2-402(a)(2). Goforth v. State, 2010 Ark. App. 735 (2010).

Evidence that one of the victims of a home-invasion robbery gave defendant her cell phone after seeing him pull one of the other victims out from under a bed by her hair was sufficient to sustain defendant's conviction of theft of property. Morris v. State, 2011 Ark. App. 12 (2011).

Evidence that defendant took money from a store while openly brandishing a firearm was sufficient to support his conviction for theft of property. Lambert v. State, 2011 Ark. App. 258 (2011).

Evidence that defendant violated her employer's policy by rummaging in a stockroom where the purses she stole were kept was properly admitted under Ark. R. Evid. 404(b) to demonstrate her plan, motive, opportunity, and intent, as her prior conduct was relevant to show that she knew where the purses were, how to get to them, and which ones she wanted. Howard v. State, 2011 Ark. App. 573, 386 S.W.3d 106 (2011), rehearing denied, — Ark. App. —, — S.W.3d —, 2011 Ark. App. LEXIS 716 (Ark. Ct. App. Nov. 9, 2011), review denied, — Ark. —, — S.W.3d —, 2011 Ark. LEXIS 626 (Ark. Dec. 1, 2011).

Evidence that defendant coveted a certain brand of designer purse her employer sold; that she and a fellow employee were videotaped rummaging through a stockroom that contained such purses; that defendant bought a purse from her employer that was placed in an oversized shopping bag; that the bag proved to contained not only the purse that she had purchased, but three designer purses as well, was sufficient to establish under § 5-36-101 that she knew there were purses in the shopping bag that she had not paid for. Howard v. State, 2011 Ark. App. 573, 386 S.W.3d 106 (2011), rehearing denied, — Ark. App. —, — S.W.3d —, 2011 Ark. App. LEXIS 716 (Ark. Ct. App. Nov. 9, 2011), review denied, — Ark. —, — S.W.3d —, 2011 Ark. LEXIS 626 (Ark. Dec. 1, 2011).

Defendant's conviction for theft of property under subdivision (a)(1) of this section was appropriate because the state's proof that the items he stole had a value in excess of $500 was adequate, § 5-36-101(12)(A)(i). The items were mostly purchased less than a year before the burglary, the purchase price so greatly exceeded the $500 statutory value threshold, and thus, the victim's testimony constitutes substantial evidence of value. Vault v. State, 2012 Ark. App. 283 (2012).

Where defendant was convicted for residential burglary and theft under §§ 5-39-201(a)(1) and subdivision (a)(1) of this section, the trial court did not err by denying his motion for a directed verdict because the record showed that the victims returned from work to discover that their home had been burglarized; the back door of the residence had been kicked in and $3,000 worth of property was missing. As defendant's palm print was found on the entertainment table, the jury was not required to resort to speculation or conjecture in reaching its verdicts. Hicks v. State, 2012 Ark. App. 667 (2012).

Court agreed with the State's argument that the evidence presented by the victim that appellant put him in a headlock, demanded money, and took his credit card supported the verdict. Blakely v. State, 2013 Ark. App. 37 (2013).

Evidence was sufficient to sustain defendant's adjudication for theft because a witness saw the incident, identified the vehicle and the license-plate number, and provided a physical description of both the driver and the individual who pumped the gas. An officer testified that he took the witness's complaint and encountered defendant at the residence listed on the vehicle registration; defendant matched the physical description given by the witness of the individual who pumped the gas. K.A.S. v. State, 2013 Ark. App. 236 (2013).

Evidence was insufficient to compel a conclusion one way or another without speculation or conjecture, and thus the court reversed defendant juvenile's delinquency adjudication for the offense of accomplice to theft of property. F.C. v. State, 2014 Ark. App. 196 (2014).

Evidence supported the jury's conclusion that defendant employed a scheme to defraud, for purposes of this section, where patients testified that defendant had represented herself as a doctor, despite having no medical training or credentials from any United States institution, she charged patients for tests but did not show them the actual results, and she affirmatively and falsely represented that patient expenses would be reimbursed by insurance or Medicare. Gervais v. State, 2018 Ark. App. 161, 544 S.W.3d 590 (2018).

Substantial evidence supported defendant's theft of property conviction because the circuit court was not required to believe the self-serving evidence from defendant that he never possessed the undelivered boat since he was the person most interested in the outcome of the proceeding. Hamrick v. State, 2019 Ark. App. 298, 577 S.W.3d 734 (2019).

—In General.

A conviction for theft can be sustained upon evidence that property is missing, that the defendant had the opportunity to take it, and no one else had that opportunity. Green v. State, 269 Ark. 953, 601 S.W.2d 273 (Ct. App. 1980).

Admission of seized drugs in prosecution of burglary and theft was not barred by collateral estoppel because defendant's prior acquittal did not determine an ultimate fact in defendant's prosecution. Prince v. Lockhart, 971 F.2d 118 (8th Cir. 1992), cert. denied, 507 U.S. 964, 113 S. Ct. 1394 (1993).

—Admissibility.

When the accused had opportunity to steal several pieces of jewelry, evidence was admissible that she had possession of some of the jewelry to show that she stole a particular ring which was one of the pieces taken. Lynch v. State, 95 Ark. 168, 128 S.W. 1053 (1910) (decision under prior law).

Evidence as to misrepresentations relating solely to the future were admissible where relevant in assisting the jury in understanding all the circumstances surrounding the transaction. Davis v. State, 241 Ark. 646, 411 S.W.2d 531 (1967) (decision under prior law).

Testimony held admissible to show defendant's fraudulent scheme. Dean v. State, 258 Ark. 32, 522 S.W.2d 421 (1975) (decision under prior law).

Where the microfilm copies of bank records were adequately identified by the bank's officer as being copies of records kept in the normal course of business, they were competent evidence in a prosecution on two felony counts of theft of property and on one misdemeanor count of drawing and uttering an insufficient fund check with intent to defraud. Reed v. State, 267 Ark. 1017, 593 S.W.2d 472 (Ct. App. 1980).

Items which were seized pursuant to a search warrant and then identified by victim as those things which were in his automobile when it was stolen were relevant and admissible in prosecution for robbery and theft where there was testimony connecting defendant with items and vehicles. Phillips v. State, 271 Ark. 96, 607 S.W.2d 664 (1980).

Price tags of stolen clothes are hearsay and are not admissible. Williams v. State, 29 Ark. App. 61, 781 S.W.2d 37 (1989), review denied, — Ark. —, — S.W.2d —, 1990 Ark. LEXIS 66 (Ark. Feb. 12, 1990).

The evidence of defendant's prior shoplifting conviction was relevant and admissible under Evid. Rule 404(b) to show a unique method of operation as well as the defendant's intent, preparation, plan, and absence of mistake or accident in committing the theft. Christian v. State, 54 Ark. App. 191, 925 S.W.2d 428 (1996).

Although the evidence was sufficient to convict defendant of financial identity fraud and theft of property, because the search of defendant's purse, which contained the evidence necessary for those convictions, by the first victim came at the sheriff's request, the first victim was an agent of the police and the warrantless search of defendant's purse violated the Fourth Amendment. Whisenant v. State, 85 Ark. App. 111, 146 S.W.3d 359 (2004).

—Obtain by Threat.

Trial court did not err in denying defendant's motion for a directed verdict on the charge of committing theft of automobile by threat where the victim's testimony established that defendant took unauthorized control of her automobile by threatening to cause physical injury to her by hitting her in the face and displacing her from the driver's seat, he continued to exercise unauthorized control by not allowing the victim to drive and refusing to let her out, and after the victim escaped, defendant continued to drive the automobile until he was pursued by the police, abandoned the vehicle, and fled on foot. Brown v. State, 2017 Ark. App. 480, 531 S.W.3d 417 (2017).

Trial court did not err in denying defendant's directed-verdict motion as substantial evidence supported defendant's conviction for theft of property because the jury could have reasonably concluded that defendant threatened the victim when he pointed the shotgun at him; and this section does not require that the threat be verbalized or that the victim have any particular mental state. Fletcher v. State, 2018 Ark. App. 113, 543 S.W.3d 547 (2018).

—Sufficiency.

Evidence held sufficient to support conviction. Jefferson v. State, 89 Ark. 129, 115 S.W. 1140 (1909); Duty v. State, 212 Ark. 890, 208 S.W.2d 162 (1948); Lindsey v. State, 229 Ark. 450, 316 S.W.2d 349 (1958); French v. State, 231 Ark. 677, 331 S.W.2d 863 (1960); Williams v. State, 251 Ark. 878, 475 S.W.2d 530 (1972); Cox v. State, 254 Ark. 1, 491 S.W.2d 802, cert. denied, 414 U.S. 923, 94 S. Ct. 230, 38 L. Ed. 2d 157 (1973); Higginbotham v. State, 260 Ark. 433, 541 S.W.2d 303 (1976) (preceding decisions under prior law); Hill v. State, 261 Ark. 711, 551 S.W.2d 200 (1977); Walker v. State, 262 Ark. 331, 556 S.W.2d 655 (1977); Lunon v. State, 264 Ark. 188, 569 S.W.2d 663 (1978); Lee v. State, 264 Ark. 384, 571 S.W.2d 603 (1978); Chaviers v. State, 267 Ark. 6, 588 S.W.2d 434 (1979); Jeffers v. State, 268 Ark. 329, 595 S.W.2d 687 (1980); Reed v. State, 267 Ark. 1017, 593 S.W.2d 472 (Ct. App. 1980); Parker v. State, 270 Ark. 3, 603 S.W.2d 393 (1980); Boykin v. State, 270 Ark. 284, 603 S.W.2d 911 (1980); Williams v. State, 270 Ark. 513, 606 S.W.2d 75 (1980); Phillips v. State, 271 Ark. 96, 607 S.W.2d 664 (1980); Wilson v. State, 277 Ark. 43, 639 S.W.2d 45 (1982); Beard v. State, 277 Ark. 35, 639 S.W.2d 52 (1982); Elkins v. State, 7 Ark. App. 166, 646 S.W.2d 15 (1983); O'Riordan v. State, 281 Ark. 424, 665 S.W.2d 255 (1984); Davis v. State, 284 Ark. 557, 683 S.W.2d 926 (1985); Williams v. State, 295 Ark. 18, 746 S.W.2d 44 (1988); Smith v. State, 300 Ark. 330, 778 S.W.2d 947 (1989); Muhammed v. State, 27 Ark. App. 188, 769 S.W.2d 33 (1989), cert. denied, Muhammed v. Arkansas, 493 U.S. 847, 110 S. Ct. 142 (1989); Williams v. State, 29 Ark. App. 61, 781 S.W.2d 37 (1989), review denied, — Ark. —, — S.W.2d —, 1990 Ark. LEXIS 66 (Ark. Feb. 12, 1990); Traylor v. State, 304 Ark. 174, 801 S.W.2d 267 (1990); Sullivan v. State, 32 Ark. App. 124, 798 S.W.2d 110 (1990); Brown v. State, 309 Ark. 503, 832 S.W.2d 477 (1992); Franklin v. State, 311 Ark. 601, 845 S.W.2d 525 (1993); Long v. State, 294 Ark. 362, 742 S.W.2d 942 (1988); Robinson v. State, 317 Ark. 17, 875 S.W.2d 837 (1994); C.H. v. State, 51 Ark. App. 153, 912 S.W.2d 942 (1995); Turner v. State, 64 Ark. App. 216, 984 S.W.2d 52 (1998); Donovan v. State, 71 Ark. App. 226, 32 S.W.3d 1 (2000).

Trial judge could infer that defendant was exercising unauthorized control over the property with the intention of taking it out of the store. Jarrett v. State, 265 Ark. 662, 580 S.W.2d 460 (1979); Wilson v. State, 301 Ark. 342, 783 S.W.2d 852 (1990).

Evidence held sufficient to establish that defendant made use of the funds received for purposes other than for what was promised, consequently, the victims were deprived of the use and benefit of their property. Hixson v. State, 266 Ark. 778, 587 S.W.2d 70 (1979), cert. denied, Hixson v. Arkansas, 444 U.S. 1079, 100 S. Ct. 1030, 62 L. Ed. 2d 762 (1980).

Evidence held insufficient to support conviction for theft by taking unauthorized control over the property of another person. Wiley v. State, 268 Ark. 552, 594 S.W.2d 57 (Ct. App. 1980).

Evidence held insufficient to support conviction. Green v. State, 269 Ark. 953, 601 S.W.2d 273 (Ct. App. 1980); Rolax v. State, 270 Ark. 197, 603 S.W.2d 903 (Ct. App. 1980); Hughes v. State, 3 Ark. App. 275, 625 S.W.2d 547 (1981); Pridgett v. State, 276 Ark. 52, 631 S.W.2d 833 (1982).

Evidence held sufficient to find that the defendant knowingly exercised unauthorized control over another person's property. Parker v. State, 270 Ark. 3, 603 S.W.2d 393 (1980).

Sufficient evidence to support a charge of theft may exist even though the object stolen cannot be produced at trial. Wilson v. State, 277 Ark. 43, 639 S.W.2d 45 (1982).

Fingerprints can constitute evidence which is sufficient to sustain a conviction. Howard v. State, 286 Ark. 479, 695 S.W.2d 375 (1985).

Evidence held sufficient to support conviction. Hardcastle v. State, 25 Ark. App. 157, 755 S.W.2d 228 (1988); Doby v. State, 28 Ark. App. 23, 770 S.W.2d 666 (1989).

Insufficient evidence of burglary and theft of property was presented to corroborate the testimony of an admitted accomplice. Gibson v. State, 41 Ark. App. 154, 852 S.W.2d 326 (1993); Stipes v. State, 315 Ark. 719, 870 S.W.2d 388 (1994).

The testimony of witnesses, and the fact that defendant's truck was identified as the truck carrying the same brand and size of the tires that were stolen, was sufficient to support the convictions for burglary and theft of property. Winters v. State, 41 Ark. App. 104, 848 S.W.2d 441 (1993).

Victim's pretrial and in-court identifications of the defendant were unequivocal and clearly constituted sufficient evidence for the jury to conclude without having to speculate that defendant was the perpetrator. Stipes v. State, 315 Ark. 719, 870 S.W.2d 388 (1994).

A single fingerprint of the defendant's on a mirror found in the stolen car, along with the proximity of the car to defendant's residence and the fact that defendant's relatives lived near the lot where the car was stolen, constituted sufficient evidence of guilt. Ashe v. State, 57 Ark. App. 99, 942 S.W.2d 267.

Where several employees noticed defendant entering a rented hotel room without authorization, defendant confessed to stealing two guns, and police were able to recover one of the guns in the location offered by defendant in a confession, there was substantial evidence presented to support a theft conviction. Gamble v. State, 351 Ark. 541, 95 S.W.3d 755 (2003).

Witness who testified that she was a manager-level employee, that she handled the store when the manager was absent, and that as such she was familiar with the store's merchandise pricing, had independent actual knowledge of the value of stolen articles. Polk v. State, 82 Ark. App. 210, 105 S.W.3d 797 (2003).

In an armed robbery and theft prosecution, testimony of the driver of the getaway car that directly linked defendant to the robbery, the corroborating testimony of a store employee that defendant took money from, and that of an officer that defendant fled from after the getaway car crashed, was sufficient to convict defendant under § 16-89-111. Parker v. State, 355 Ark. 639, 144 S.W.3d 270 (2004).

Circumstances surrounding defendant's actions demonstrated his intent or purpose to deprive the owners of their property where defendant, working as a salesman, specifically defied the owner's instruction to return the truck and unsold cases of meat and then defendant deliberately chose to leave the truck in a motel parking lot without any word to the owners as to the whereabouts of the property; further, when defendant failed to return the truck, along with the cases of meat that defendant had not yet paid for, his use and control over the property was unauthorized. Watson v. State, 358 Ark. 212, 188 S.W.3d 921 (2004).

Defendant's conviction was not rendered infirm merely because fingerprint evidence was the only evidence presented against defendant; the fact-finder did not resort to speculation and conjecture in reaching its verdict as defendant's fingerprints were not found on an easily moveable object, but rather, were located at the apparent location of entry to the car, the location of the crime, on the interior of the car's window. Phillips v. State, 88 Ark. App. 17, 194 S.W.3d 222 (2004), aff'd, 361 Ark. 1, 203 S.W.3d 630 (2005).

Defendant's convictions for breaking or entering and theft of property were affirmed where defendant's fingerprints were found inside the passenger door along the top edge of the window of the car that was broken into. Phillips v. State, 88 Ark. App. 17, 194 S.W.3d 222 (2004), aff'd, 361 Ark. 1, 203 S.W.3d 630 (2005).

Evidence was sufficient to convict defendants of breaking or entering and theft of property where (1) a prosecution witness testified that she saw defendants break into an apartment and take a table; (2) a police officer observed that the security door had been pried open and the wooden door was kicked in; and (3) a defense witness testified that they took the table for their own use, that none of them owned it, and that there was an owner, but no one knew where the owner was. Bush v. State, 90 Ark. App. 373, 206 S.W.3d 268 (2005).

Jurisdiction in Arkansas was proper for defendant's theft trial because sufficient circumstantial evidence existed to show that defendant took unauthorized control of a vehicle in West Memphis. King v. State, 361 Ark. 402, 206 S.W.3d 883 (2005), appeal dismissed, — Ark. —, — S.W.3d —, 2006 Ark. LEXIS 368 (June 15, 2006).

Evidence was sufficient to sustain a conviction for theft of property and to corroborate the accomplice's testimony where witnesses testified as to the role defendant played in the robbery and described his clothing and weapon, which were collected at the scene; further, defendant's jacket had blood stains on it and a hole corresponding to the location of a gunshot wound he received, and defendant was found hiding inside a dumpster near the site where his car became stuck in the mud. Flowers v. State, 92 Ark. App. 29, 210 S.W.3d 907 (2005).

There was sufficient evidence to support defendant's conviction of theft by deception where defendant stole tens of thousands of dollars from his mother's elderly neighbor; defendant added the victim to his savings account, deposited tens of thousands of dollars of her savings bonds and checks into it, withdrew money from this account and transferred it into his other accounts, and used the funds for his own personal expenditures. McEntire v. State, 363 Ark. 473, 215 S.W.3d 658 (2005).

Evidence was sufficient to sustain defendant's forgery and theft convictions where she did not offer a reasonable explanation of how she acquired the forged check; therefore, an inference that she committed the forgery or was an accessory to its commission was warranted and the court did not err in inferring defendant's intent. DeShazer v. State, 94 Ark. App. 363, 230 S.W.3d 285 (2006).

Evidence was sufficient to convict defendant of first degree murder and theft where, in addition to the testimony of defendant's wife, who was an accomplice, defendant's own statements to the police, his conduct before and after the crime, and statements of the victim's friends regarding her fear of defendant tended to connect him to the crimes; further, although there was no evidence that defendant ever drove victim's Cadillac or had the vehicle in his possession, the jury might have determined that defendant facilitated the theft by leaving the accomplice without a vehicle at the victim's house, and there was evidence that the theft of the Cadillac was part of the plan to murder the victim. MacKool v. State, 365 Ark. 416, 231 S.W.3d 676 (2006).

Evidence was sufficient to prove the theft element of aggravated robbery; evidence showed that defendant used physical force to at least temporarily deprive victim of her car, which was sufficient proof. Winston v. State, 368 Ark. 105, 243 S.W.3d 304 (2006).

In a case in which defendant was convicted on theft of property, in violation of this section, and he argued on appeal that the evidence was insufficient to show that the value of the property exceeded $2,500 or more, he had not preserved that issue for appeal. His Ark. R. Crim. P. 33.1(b) motion for dismissal and renewal of that motion made no mention whatsoever of the value of the stolen property. Walker v. State, 2010 Ark. App. 63 (2010).

In a case in which defendant was convicted on theft of property, in violation of this section, even if he had preserved his claim that the evidence was insufficient to show that the value of the property was $2,500 or more, his conviction would be affirmed. The victim's testimony that he purchased the big-screen television for $1800 only four months prior to it being stolen was a factor that the court, as fact-finder, was permitted to consider, and the victim also testified that other items were stolen, including thousands of dollars in jewelry. Walker v. State, 2010 Ark. App. 63 (2010).

Evidence was sufficient to support defendant's conviction for theft of property valued in excess of $500 but less than $2,500, pursuant to subdivision (b)(2)(A) of this section, because a store owner based her calculation of the amount stolen on business records, under Ark. R. Evid. 803(6). Further, a police detective's testimony that over $670 was found on the persons of defendant and his accomplice following the theft, and that an additional $503, which defendant had hidden, was found the following day, was more than enough to prove that defendant stole over $500. Scott v. State, 2010 Ark. App. 114 (2010).

Evidence was sufficient to find defendant guilty of aggravated robbery and theft of property because, while the store's employees identified another person in the first photographic spread, they both identified him in a second spread and in court, the jury had before it witness testimony, a videotape, and photographs showing that defendant brought a backpack into the store, left it there, he possessed and used a gun, and his DNA was on a mouthwash bottle found in the backpack. Turner v. State, 2014 Ark. 415, 443 S.W.3d 535 (2014).

Evidence was sufficient to convict defendant of eight counts of theft for stealing horses, a horse trailer, and tack from a university and to deny her motion for directed verdict because several witnesses testified that defendant planned the thefts, gave a map of the stables to her boyfriend and his friend, provided the use of her truck for the thefts, assisted her boyfriend and his friend in hiding the trailer at her aunt and uncle's home, directed her boyfriend to kill one horse and hide the remaining four horses, and secured a place for her boyfriend and his friend to hide at her daughter's house. Cox v. State, 2014 Ark. App. 321 (2014).

Evidence was sufficient to convict defendant of theft as an accomplice because defendant asked the complainant to give the back-seat passenger a ride; the back-seat passenger took the complainant's wallet and the $3700 it contained while defendant struggled with the complainant to take her cell phone; it was up to the circuit court to decide whether defendant and the back-seat passenger acted in concert to divert the complainant's attention and steal her money; defendant's account of events differed so significantly from the testimony of other witnesses that the trial court, as the trier of fact, could readily discount her entire testimony; and her attempt to flee from the crime scene was relevant to the issue of guilt. Cosey v. State, 2014 Ark. App. 441, 439 S.W.3d 731 (2014).

Defendant juvenile attempted to aid her boyfriend by shielding his actions and then looking around, she knew he was going to steal, and her actions aided the commission of the theft; the court affirmed defendant's delinquency adjudication for being an accomplice to theft of property based on the sufficient evidence. H.V. v. State, 2014 Ark. App. 607, 447 S.W.3d 619 (2014).

Substantial evidence supported defendant's theft of property conviction, as she was the only employee who made bank deposits and who reported deposits in transit used to conceal the theft, plus there was no other explanation for how she was able to afford certain things on her income or for the significant cash deposits made to her accounts, which stopped after she was terminated; although the evidence was mostly circumstantial, it was more than sufficient to sustain defendant's conviction, as she had access to the cash, she concealed the missing money during audits, and she benefitted from the crime. Henson v. State, 2014 Ark. App. 703, 450 S.W.3d 677 (2014).

Evidence was sufficient to support a conviction for theft by deception because defendant entered into a scheme to defraud by inflating a tax refund amount and then diverting the difference to an account she owned; there was substantial evidence that defendant knowingly obtained the property of another by deception. The taxpayer did not agree to have any of her refund deposited into any other account, and defendant was not forthcoming with information about the separate account, despite the taxpayer's multiple inquiries. McClellan v. State, 2014 Ark. App. 725, 452 S.W.3d 116 (2014).

Fact-finder could reasonably conclude, without resorting to speculation or conjecture, that defendant exercised unauthorized control over oil pipes and committed the offense of theft of property in violation of this section. Jackson v. State, 2015 Ark. App. 164 (2015).

Evidence clearly pointed to defendant's unauthorized possession of the victim's property; defendant sold the recently stolen property in a pawn shop, and the unexplained, unsatisfactory, or improbable explanation for possession of recently stolen property may be considered as evidence of guilt of theft of property. Brickey v. State, 2015 Ark. App. 175 (2015).

Evidence was sufficient for aggravated robbery, first-degree battery, and theft of property under $1,000 convictions since defendant's arguments all presented questions of fact and involved the credibility and weight of the evidence, which were matters for the jury to decide; the jury heard all of the evidence, and defense counsel was permitted to cross-examine the witnesses to point out the very weaknesses that defendant complained of on appeal. As to Facebook conversations, the appellate court was able to consider both properly and improperly admitted evidence on a sufficiency of the evidence review. Means v. State, 2015 Ark. App. 643, 476 S.W.3d 168 (2015).

Evidence was sufficient to support defendant's convictions for aggravated robbery and theft of property because the State introduced crucial evidence through a witness that defendant confessed to committing the robbery and to using a .40-caliber pistol to do so; in addition to that direct evidence, the State introduced ample circumstantial evidence that tied defendant to the crime. Chatmon v. State, 2015 Ark. 28, 467 S.W.3d 731 (2015).

Evidence was sufficient in relation to a carjacking to convict defendant of aggravated robbery and theft, and to enhance the sentence due to the use of a firearm during the robbery, because the victim testified that defendant approached the victim as she was about to get in her car and told her to move out of the way; when she did not immediately move away, defendant lifted his shirt, displaying the handle of a gun protruding from his pants; the victim thought defendant was going to pull out the gun, so she stepped back, and he entered her car and drove it away; the victim picked out defendant almost immediately from a photographic lineup; and the victim's unequivocal testimony identified defendant as the culprit. Davis v. State, 2016 Ark. App. 274, 493 S.W.3d 339 (2016).

Evidence was sufficient to sustain defendant's robbery conviction where an undercover security guard testified that defendant placed a bottle of laundry detergent inside her flat purse, the purse bulged, defendant did not pay for the detergent before walking out of the store, she shoved the guard when he confronted her in the parking lot, and she fled the scene abruptly when confronted by loss-prevention officers. Horton v. State, 2017 Ark. App. 481, 530 S.W.3d 880 (2017).

Trial court properly denied defendant's motion for a directed verdict where a detective's testimony and cell-phone location data placed defendant's phone in the vicinity of the equipment company at the time of the theft, video surveillance showed that a white SUV was used in the theft of the lawn mower and that defendant owned a similar vehicle, and defendant had subsequently attempted to sell the mower. Mosley v. State, 2017 Ark. App. 487, 529 S.W.3d 657 (2017).

Evidence was sufficient to convict defendant of misdemeanor theft of property as defendant admitted taking a stereo system, a chess set, and a CD cleaner kit; and there was no minimum value requirement for misdemeanor theft of property. Jeffries v. State, 2017 Ark. App. 62, 510 S.W.3d 267 (2017).

Defendant's theft-of-property conviction was affirmed where the victim's testimony that her home had been broken into, jewelry was missing, and she was emotionally affected as a result made clear that defendant and his accomplices were not authorized to take or exercise control over the victim's property. Hubbard v. State, 2017 Ark. App. 93, 513 S.W.3d 289 (2017).

Evidence was sufficient to sustain defendant's conviction for theft of property, where the witness testimony established that the agricultural pivot was in the possession, control, and use of a farm when the copper wires were stolen. Savage v. State, 2017 Ark. App. 261 (2017).

Trial court did not err in denying defendant's directed verdict motions, as evidence that defendant was seen leaving the victim's residence and was found 30 minutes later in possession of recently stolen property taken from the residence was sufficient to support defendant's convictions for residential burglary and theft of property. Owens v. State, 2017 Ark. App. 353 (2017).

Evidence supported defendant's convictions for residential burglary and theft of property because the victim testified that defendant, whom the victim had never seen before, was walking down the driveway away from the victim's house when the victim returned after a short errand and that the victim discovered items were taken from the house. Defendant also gave a police detective an inconsistent explanation as to why defendant was in the victim's neighborhood and attempted to flee when officers arrived at the house where defendant was located (no-merit brief). Sanford v. State, 2019 Ark. App. 10, 567 S.W.3d 553 (2019).

Circuit court did not err in denying defendant's motions for directed verdict on two theft counts and five other counts even though all the evidence was circumstantial; given the entirety of the circumstantial evidence, the jury could conclude without resorting to speculation or conjecture that defendant committed the offenses. Defendant had bypassed a locked gate to enter the victim's property and fled when confronted by the police, his explanation as to why he was on the property was improbable, and he had a backpack and ratchet in his hand that looked like the victim's property. Cobb v. State, 2019 Ark. App. 434, 585 S.W.3d 196 (2019).

Evidence was sufficient to support a guilty finding on the theft-of-property charge given the juvenile's admission that he possessed the hoverboard (although he claimed he only borrowed it). B.T. v. State, 2019 Ark. App. 471, 588 S.W.3d 387 (2019).

—Threat of Serious Physical Injury.

Directed verdict was properly denied as to the charge of Class B felony theft of property because substantial evidence supported that defendant brought about a transfer of a laptop by threat of serious physical injury when he pointed a firearm at the laptop owner's roommate and then grabbed the laptop. Hinton v. State, 2015 Ark. 479, 477 S.W.3d 517 (2015).

Indictment or Information.

—In General.

No allegation of value was necessary in an indictment for stealing of animals. Sanders v. State, 55 Ark. 365, 18 S.W. 376 (1892); Thompson v. State, 60 Ark. 59, 28 S.W. 794 (1894); Houston v. State, 66 Ark. 607, 53 S.W. 44 (1899); Leach v. State, 67 Ark. 314, 55 S.W. 15 (1900) (preceding decisions under prior law).

For cases discussing the sufficiency of the wording of an indictment or information, see State v. Boyce, 65 Ark. 82, 44 S.W. 1043 (1898); Marshall v. State, 71 Ark. 415, 75 S.W. 584 (1903); Bennett v. State, 73 Ark. 386, 84 S.W. 483 (1904); Cook v. State, 80 Ark. 495, 97 S.W. 683 (1906); Storms v. State, 81 Ark. 25, 98 S.W. 678 (1906); State v. Scoggin, 85 Ark. 43, 106 S.W. 969 (1907); State v. Perry, 94 Ark. 215, 126 S.W. 717 (1910); Osborne v. State, 96 Ark. 400, 132 S.W. 210 (1910); Wells v. State, 102 Ark. 627, 145 S.W. 531 (1912); McCool v. State, 149 Ark. 653, 233 S.W. 769 (1921); State v. Bond, 151 Ark. 203, 235 S.W. 801 (1921); Holden v. State, 156 Ark. 521, 247 S.W. 768 (1923); Gurley v. State, 164 Ark. 397, 262 S.W. 636 (1924); Smallen v. State, 168 Ark. 1128, 272 S.W. 858 (1925); Gurley v. State, 179 Ark. 1149, 20 S.W.2d 886 (1929); Criglow v. State, 183 Ark. 407, 36 S.W.2d 400 (1931); Reid v. State, 194 Ark. 422, 108 S.W.2d 464 (1937); Matz v. State, 196 Ark. 97, 116 S.W.2d 604 (1938); Baker v. State, 200 Ark. 688, 140 S.W.2d 1008 (1940); Davis v. State, 241 Ark. 646, 411 S.W.2d 531 (1967); Owen v. State, 263 Ark. 493, 565 S.W.2d 607 (1978) (preceding decisions under prior law).

The indictment had to allege ownership of money embezzled. Silvie v. State, 117 Ark. 108, 173 S.W. 857 (1915) (preceding decisions under prior law).

Value of property held inferentially alleged. Underwood v. State, 205 Ark. 864, 171 S.W.2d 304 (1943) (decision under prior law).

Ownership of the property taken could be alleged in the information or subsequent bill of particulars either in the real owner or in the person in whose possession the property was at the time taken. Powell v. State, 251 Ark. 46, 471 S.W.2d 333 (1971), cert. denied, Powell v. Arkansas, 406 U.S. 917, 92 S. Ct. 1763 (1972) (decision under prior law).

Since the value of property went to the essence of the charge in the absence of allegations of value in the information, there was a duty to properly advise the defendant as to whether he was charged with the misdemeanor or a felony before requiring him to plead to the charge. Scoggins v. State, 258 Ark. 749, 528 S.W.2d 641 (1975) (decision under prior law).

Allegation of ownership in the indictment by one from whom money was obtained by false pretenses is sufficient and proof that it was actually owned by someone else is not a fatal variance. Hoover v. State, 262 Ark. 856, 562 S.W.2d 55 (1978) (decision under prior law).

Amending the charge to theft by deception changed neither the nature nor the degree of the crime charged, since both prior to and after the amendment, the defendant was charged with the theft of property having a value sufficient to charge a Class B felony; the only variation between the initial charge and the charge as amended was the alleged manner of the commission of the theft; however, the amendment was of great enough significance that the conduct of defendant's defense was prejudiced by lack of fair notice. Prokos v. State, 266 Ark. 50, 582 S.W.2d 36 (1979).

Where information alleged that defendant took unauthorized control of property of corporation by forging checks on company funds in bank, proof of ownership of property properly supported the allegation of the information so that defendant was not entitled to a directed verdict of acquittal, since the provisions of § 5-36-102 allow a charge of theft to be proved notwithstanding specification of a different manner in the information or indictment. Martin v. State, 272 Ark. 376, 614 S.W.2d 512 (1981).

Information held to have given defendant sufficient notice of the charges that he faced. Drew v. State, 8 Ark. App. 120, 648 S.W.2d 836 (1983).

—Variance.

The allegation of false personation in an indictment was descriptive of the offense, and had to be proved as alleged; and proof that two were acting in concert, and one personated the assumed party with the assent of the other, did not sustain the charge of false personation against the latter. Kirtley v. State, 38 Ark. 543 (1882) (decision under prior law).

Proof that defendant stole a mare sustained an allegation that he stole a horse. State v. Gooch, 60 Ark. 218, 29 S.W. 640 (1895) (decision under prior law).

Where an indictment for grand larceny alleged generally that the accused stole a certain quantity of goods, and alleged specifically the quantities of the stolen goods belonging to various persons, the general allegations as to the quantity was controlled by the special allegations. Reeder v. State, 86 Ark. 341, 111 S.W. 272 (1908) (decision under prior law).

It was not a variance from the allegations of an indictment alleging the stealing of property from a partnership to prove the names of the partners other than as alleged nor was the failure to prove the names at all as alleged a fatal variance. Ivey v. State, 109 Ark. 446, 160 S.W. 208 (1913) (decision under prior law).

An allegation that defendant stole “one cow (bull)” was sustained by proof that he stole a bull. State v. Haller, 119 Ark. 503, 177 S.W. 1138 (1915) (decision under prior law).

Proof of the stealing of paper and silver money supported a conviction under an indictment charging the stealing of gold, silver and paper money. Cook v. State, 130 Ark. 90, 196 S.W. 922 (1917) (decision under prior law).

Upon an information for burglary and grand larceny, one could not be convicted for receiving stolen property. Pickens v. State, 236 Ark. 404, 366 S.W.2d 283 (1963) (decision under prior law).

In prosecution for obtaining money by false pretenses neither the failure to name the true owner of the money involved in the information, nor the absence of the owner from the trial was a denial of defendant's constitutional right of confrontation of the witnesses or a variance from the allegations of the information. Hoover v. State, 262 Ark. 856, 562 S.W.2d 55 (1978) (decision under prior law).

Although defendant who made false representations to obtain money did not receive the money personally, this fact does not constitute a fatal variance where the money was obtained solely for defendant's benefit to carry out a contract made by him and on which he personally assumed all obligations. Hoover v. State, 262 Ark. 856, 562 S.W.2d 55 (1978) (decision under prior law).

Trial court did not err when it allowed the state to go forward with an accomplice theory even though the information failed to allege such where the information in fact named the offense and the party to be charged, it contained the elements of the offense intended to be charged, and it apprised appellant of what he had to be prepared to meet. Polk v. State, 82 Ark. App. 210, 105 S.W.3d 797 (2003).

Instructions.

An instruction which told the jury that if they found from the evidence beyond a reasonable doubt that the defendant did intentionally convert moneys to his own use, then it was an unlawful and felonious conversion of said funds was not objectionable as an expression of opinion upon the facts. Gurley v. State, 164 Ark. 397, 262 S.W. 636 (1924) (decision under prior law).

Refusal to instruct that the state failed to establish ownership and defendant should be acquitted held proper. Threadgill v. State, 207 Ark. 478, 181 S.W.2d 236 (1944) (decision under prior law).

Refusal to instruct that if defendant had not intended to steal car, but had intended only to steal a part therefrom, he would only have been guilty of a misdemeanor held proper. Hall v. State, 242 Ark. 201, 412 S.W.2d 603 (1967) (decision under prior law).

Refusal to instruct the jury on petit larceny held error. Pierce v. State, 248 Ark. 204, 451 S.W.2d 219 (1970) (decision under prior law).

Refusal to give a requested instruction that the misrepresentation could not relate to future actions even if it were accompanied by a present intention not to perform held to be error. Dean v. State, 258 Ark. 32, 522 S.W.2d 421 (1975) (decision under prior law).

Refusal to submit the issue of petit larceny to the jury held not error and requested instruction on petit larceny held properly refused. Higginbotham v. State, 260 Ark. 433, 541 S.W.2d 303 (1976) (decision under prior law).

Court's erroneous statement in instruction that theft of property was a felony if value of the property was less than $100 but more than $10,000 held not prejudicial. Wilson v. State, 261 Ark. 820, 552 S.W.2d 223 (1977).

Where information charged defendant with theft of property, it was reversible error for court to instruct jury that it would consider guilt of defendant for violation of § 5-36-105 dealing with theft of property by mistake. Tate v. State, 269 Ark. 687, 600 S.W.2d 915 (Ct. App. 1980).

The trial court did not err in giving the jury instruction that theft of the property was a Class C felony where the owner of the stolen car testified that her parents paid $1500.00 for the vehicle, and there was a reasonable relation between the purchase price and the value of the car at the time it was stolen. Jones v. State, 290 Ark. 113, 717 S.W.2d 200 (1986).

Where the evidence was not so conclusive as to demonstrate that only the greater offense could have been committed by defendant, the jury was entitled to consider testimony of witness who valued stolen property at less than $2,500; therefore, it was error to refuse an instruction on the lesser degree of theft. Turley v. State, 32 Ark. App. 89, 796 S.W.2d 851 (1990).

Intent.

A felonious intent had to exist at the time of the taking. Fulton v. State, 13 Ark. 168 (1852); Gooch v. State, 60 Ark. 5, 28 S.W. 510 (1894) (decisions under prior law).

A felonious intent was an essential constituent of larceny, and had to be shown by circumstances connected with the taking. Mason v. State, 32 Ark. 238 (1877) (decision under prior law).

When one took another's horse without any intention of converting it to his own use, but to ride for some miles, which he did, and then abandoned it, it was a trespass, but not larceny. Dove v. State, 37 Ark. 261 (1881) (decision under prior law).

Where a bailee wrongfully sold property and subsequently took it secretly from the possession of the purchaser, intending in good faith to restore it to its true owner, he was not guilty of larceny for there was not only no intention to deprive the true owner of his property, but an intention to restore it to him. Gooch v. State, 60 Ark. 5, 28 S.W. 510 (1894) (decision under prior law).

A conviction would not be sustained where the evidence showed that defendant tried to prevent the property from being taken from the owner's possession. Henderson v. State, 79 Ark. 333, 96 S.W. 359 (1906) (decision under prior law).

One taking a pistol from another for the sole purpose of disarming him was not guilty of larceny. Bailey v. State, 92 Ark. 216, 122 S.W. 497 (1909) (decision under prior law).

A person who, in good faith, took property believing it to be his was not guilty of larceny, even though after learning it was not his, he converted it to his own use. Wilson v. State, 96 Ark. 148, 131 S.W. 336 (1910) (decision under prior law).

Any use by defendant of money of another was a conversion, and the state need not prove a specific intent to deprive the true owner permanently thereof. Russell v. State, 112 Ark. 282, 166 S.W. 540 (1914) (decision under prior law).

Intent held to be a jury question. Lucius v. State, 116 Ark. 260, 170 S.W. 1016 (1914); Schultz v. State, 219 Ark. 217, 242 S.W.2d 131 (1951) (preceding decisions under prior law).

The intent to steal could be inferred by the jury from proof that the defendant killed and sold livestock belonging to another. Collins v. State, 184 Ark. 20, 41 S.W.2d 781 (1931) (decision under prior law).

Fraudulent intent to convert property to the own use of the defendant could be inferred from the acts of wrongful conversion. Smith v. State, 219 Ark. 829, 245 S.W.2d 226 (1952) (decision under prior law).

The intention and design of the party were best explained by a complete view of every part of his conduct at the time, and not merely from the proof of a single and isolated act or declaration. Kerby v. State, 233 Ark. 8, 342 S.W.2d 412 (1961) (decision under prior law).

Guilt under former section defining larceny did not require an intent of the accused to convert the stolen property to his own use. Barker v. State, 248 Ark. 649, 453 S.W.2d 413 (1970) (decision under prior law).

Evidence that defendant defrauded bank by “kiting” checks written by another showed that he obtained check with intent to defraud. Stewart v. State, 256 Ark. 619, 509 S.W.2d 298 (1974) (decision under prior law).

Evidence held sufficient that the jury's determination that defendant had the essential criminal intent, despite his contention that because of his intoxication he was incapable of forming the specific intent to steal, would not be set aside. Johnson v. State, 259 Ark. 773, 536 S.W.2d 704 (1976).

Intent to deprive the owner of his property was an element of the offense of shoplifting. Smith v. State, 264 Ark. 874, 575 S.W.2d 677 (1979).

Evidence held insufficient to meet the reasonable doubt test on the question of intent. Smith v. State, 264 Ark. 874, 575 S.W.2d 677 (1979).

The crucial element of intent to deceive may be proven in many ways, such as by showing the nature of the false impressions or misrepresentations, by showing that the deceived party lacked the present or future ability to make good his representations, and by demonstrating an ongoing scheme or pattern of deception. Hixson v. Housewright, 642 F.2d 242 (8th Cir. 1981).

Where defendant had been observed placing merchandise in a companion's purse, and, when confronted, defendant threw all the merchandise on a shelf as he attempted to flee, nothing in his conduct indicated that defendant was renouncing an intent to commit theft. White v. State, 271 Ark. 692, 610 S.W.2d 266 (1981).

Intent necessary to convict held established by substantial circumstantial evidence. Wrather v. State, 1 Ark. App. 155, 613 S.W.2d 601 (1981).

Where one takes the property of another without his permission but with the present intention of returning it or of paying the owner for it later, he is not guilty of theft. Of course this rule is restricted to the borrowing of such items as are readily replaceable by a person who has the power to restore or replace them. Bongfeldt v. State, 6 Ark. App. 102, 639 S.W.2d 70 (1982).

Evidence that defendant demanded a bank courier's cell phone, bags, and keys while armed with a gun was sufficient to support defendant's conviction for theft, despite his contention that he did not retain the items but took them only to facilitate his flight, and had no intent to permanently deprive the owner of them. Ali v. State, 2011 Ark. App. 758 (2011).

In his directed verdict motion, appellant did not argue that the State did not prove that he knew of the card's existence in the wallet when he stole it, and that he purposely deprived the owner of the card, and thus this argument was barred from appellate review; even if the court reached the argument, it lacked merit, because (1) the statute only required that one knowingly take unauthorized control over property, and it did not require that one know the value or character of the property that was taken, (2) appellant did not dispute that he knowingly took the owner's wallet with the intent of depriving him of it, (3) his knowledge of the contents of the wallet was not necessary for his conviction, and (4) his unauthorized taking of the wallet that had the debit card was one act and he was liable for all property taken, such that the evidence was sufficient to support his theft conviction. Blakely v. State, 2013 Ark. App. 37 (2013).

Evidence was sufficient to support defendant's convictions for theft of property; although defendant argued that he did not intend to deprive the owner of the property but only temporarily used the van for medical purposes, his argument was misplaced, as the theft statute made no exception for a temporary deprivation, and the jury could have concluded that he intended to permanently deprive the owner of the property, as the owner testified that tools were missing from the vehicle after it was recovered. Wolfe v. State, 2018 Ark. App. 338, 549 S.W.3d 926 (2018).

Jurisdiction.

There was no substantial evidence to support a finding of jurisdiction for the theft of personal property where no element of the crime was committed in Arkansas. Graham v. State, 34 Ark. App. 126, 806 S.W.2d 32 (1991).

Notwithstanding the fact that the affidavit referred to the stealing of an ATM card as opposed to a credit card, where the information charged the defendant with a crime under this section, a Class C felony, jurisdiction was appropriate in circuit court. Jensen v. State, 328 Ark. 349, 944 S.W.2d 820 (1997).

Arkansas trial court had jurisdiction over defendant, a Georgia resident, during his trial for theft of property and computer fraud where defendant caused the victim, an Arkansas resident, to access her computer by virtue of his email correspondence for the purpose of obtaining money with a false or fraudulent intent, representation, or promise. Powell v. State, 97 Ark. App. 239, 246 S.W.3d 891 (2007).

Jury.

Defendant's claim regarding the verdict form was rejected where he had not raised the issue below, the erroneous statement of theft by receiving was a clerical error, and the circumstances showed that defendant was convicted of, and sentenced for, the crime of theft of property. Savage v. State, 2017 Ark. App. 261 (2017).

Knowledge.

This section requires only that one knowingly take unauthorized control over the property of another; it does not require that he know either the value or the true character of the property taken. Chadwell v. State, 37 Ark. App. 9, 822 S.W.2d 402 (1992).

Larceny.

For cases discussing whether particular actions constitute larceny, see Coon v. State, 109 Ark. 346, 160 S.W. 226 (1913); Central Sur. Fire Corp. v. Williams, 213 Ark. 600, 211 S.W.2d 891 (1948); Massachusetts Fire & Marine Ins. Co. v. Cagle, 214 Ark. 189, 214 S.W.2d 909 (1948); Edwards v. State, 244 Ark. 1145, 429 S.W.2d 92 (1968); Bridges v. State, 257 Ark. 527, 519 S.W.2d 756 (1975) (preceding decisions under prior law).

Lesser Included Offenses.

Larceny was included in robbery; under an indictment for the latter a conviction of the former could be had. Haley v. State, 49 Ark. 147, 4 S.W. 746 (1887); Cook v. State, 130 Ark. 90, 196 S.W. 922 (1917) (preceding decisions under prior law).

The offense of knowingly receiving stolen property was not a lesser offense of either burglary or larceny and therefore an indictment or information charging only the greater offense did not support a conviction of knowingly receiving stolen property. Pickens v. State, 236 Ark. 404, 366 S.W.2d 283 (1963) (decision under prior law).

To prove robbery the state only has to show that there was an intent to commit a theft; consequently, the offense of theft of property is not a lesser included offense in a charge of the crime of burglary. McDonald v. State, 266 Ark. 56, 582 S.W.2d 272 (1979).

The gist of the crime of theft of property delivered by mistake is the failure to take reasonable measure to restore the property to the person entitled thereto, and this is distinct and separate from any element contained in the crime of theft of property by knowingly taking or exercising unauthorized control over the property of another, with the purpose of depriving the owner thereof; therefore, a violation of § 5-36-105 is not a lesser included offense under this section. Tate v. State, 269 Ark. 687, 600 S.W.2d 915 (Ct. App. 1980).

The offenses of aggravated robbery and theft of property are separate and distinct and not dependent upon the same evidence to support the convictions; accordingly, defendant's conviction on both charges did not subject him to double jeopardy. Higgins v. State, 270 Ark. 19, 603 S.W.2d 401 (1980).

Refusal to give the instruction requested on the lesser included offense held error. Bongfeldt v. State, 6 Ark. App. 102, 639 S.W.2d 70 (1982).

Theft and conspiracy to commit theft are not lesser included offenses within the definition of aggravated robbery. Savannah v. State, 7 Ark. App. 161, 645 S.W.2d 694 (1983).

Since kidnapping, theft, and escape involve proof of different elements and are punishable as separate crimes, the defendant was not subjected to double jeopardy due to the multiple sentences imposed by the trial court. Matthews v. Lockhart, 726 F.2d 394 (8th Cir. 1984).

The crime of theft is not a lesser included offense of aggravated robbery under § 5-12-103; thus, the defendant can be sentenced for both of these offenses without violating § 5-1-110, regarding multiple punishments, or the double jeopardy clause of the Fifth Amendment to the U.S. Constitution. Collins v. Lockhart, 771 F.2d 1580 (8th Cir. 1985).

Theft is the wrongful appropriation of the victim's property while robbery is the threat of physical harm to the victim; the offenses are of a different nature; they are not of the same generic class and, consequently, theft is not a lesser offense included within robbery. Thompson v. State, 284 Ark. 403, 682 S.W.2d 742 (1985), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002).

In a theft trial, it was not necessary to instruct the jury on the lesser-included offense of attempted theft because defendant clearly exercised unauthorized control over a store's property when he threw it over a fence into an area off the store's parking lot; it was not necessary that defendant also “take” the property to complete the crime. Cole v. State, 2013 Ark. App. 492 (2013).

Ownership.

One committed larceny by taking the property of another with the intent to deprive the owner thereof, whether known or not. Blackshare v. State, 94 Ark. 548, 128 S.W. 549 (1910) (decision under prior law).

An allegation of ownership was material and had to be proved beyond a reasonable doubt, but ownership could be proved by direct and positive testimony or by circumstantial evidence. Fletcher v. State, 97 Ark. 1, 132 S.W. 918 (1910); Rynes v. State, 99 Ark. 121, 137 S.W. 800 (1911); McLemore v. State, 111 Ark. 457, 164 S.W. 119 (1914) (preceding decisions under prior law).

Correctly naming the owners was essential to the identification of the stolen property. McIntosh v. State, 108 Ark. 418, 157 S.W. 1154 (1913) (decision under prior law).

Evidence held sufficient to prove an allegation of joint ownership. Johnson v. State, 119 Ark. 124, 177 S.W. 428 (1915) (decision under prior law).

A special ownership which entitled one to the exclusive possession and control of the property stolen was sufficient to support an allegation of ownership. State v. Esmond, 135 Ark. 168, 204 S.W. 210 (1918) (decision under prior law) Jackson v. State, 37 Ark. App. 160, 826 S.W.2d 307 (1992).

Where the individual from whom money in an escrow account was obtained by false pretenses was an agent of his mother and aunt, the actual owners of the money, having such constructive possession of the money was sufficient to support an allegation of ownership by him. Hoover v. State, 262 Ark. 856, 562 S.W.2d 55 (1978) (decision under prior law).

Bankruptcy trustees right of possession and control satisfied the “owner” requirement of subdivision (a)(2). Muhammed v. State, 300 Ark. 112, 776 S.W.2d 825 (1989).

It is wholly immaterial who owns the stolen property if, at the time it is taken, it is in the possession and under the control of another person who is alleged to be the owner; possession and control in such a case constitutes special ownership. Jackson v. State, 37 Ark. App. 160, 826 S.W.2d 307 (1992).

Employee had a possessory interest in employer's money taken in theft. Jackson v. State, 37 Ark. App. 160, 826 S.W.2d 307 (1992).

Removal of timber from property defendant was purchasing but did not own was theft and was not protected by the doctrine of equitable conversion. Higgins v. State, 326 Ark. 1030, 936 S.W.2d 740 (1996).

Property.

For cases discussing whether certain items constitute property, see State v. Parker, 34 Ark. 158 (1879); Haywood v. State, 41 Ark. 479 (1883); Hindman v. State, 72 Ark. 516, 81 S.W. 836 (1904); Wm. Fait Co. v. Anderson, 76 Ark. 237, 88 S.W. 905 (1905); Crossland v. State, 77 Ark. 544, 92 S.W. 776 (1906); Coon v. State, 109 Ark. 346, 160 S.W. 226 (1913) (preceding decisions under prior law).

A husband could be held guilty of stealing his wife's personal property. Hunt v. State, 72 Ark. 241, 79 S.W. 769 (1904) (decision under prior law).

Where defendant/debtor misappropriated the sale proceeds in which he had no legal or equitable interest, the debtor acted with malice in harming the creditor's property just as if he were a bank robber or an embezzler, and the fact that the debtor's conduct rose to the level of two separate criminal offenses under state law supported the conclusion that the debtor's act was malicious and the debt was not dischargeable in bankruptcy. Mercantile Bank of Ark.,N.A. v. Speers, 244 B.R. 142 (Bankr. E.D. Ark. 2000).

Reasonable Cause to Arrest.

Denial of motion to suppress was not clearly against the preponderance of the evidence, because the inventory search of defendant's vehicle was proper upon defendant's lawful arrest, and it was standard police policy to inventory the contents of any vehicle before having it towed; at the time of defendant's arrest theft of property was a Class C felony if the value of the property was less than $2,500 but more than $500, and criminal attempt was a Class D felony if the offense attempted was a Class C felony. Boykin v. State, 2012 Ark. App. 274, 409 S.W.3d 321 (2012).

Receiving.

Rings which were obtained by theft as defined by this section were stolen within the meaning of § 5-36-106. Parker v. State, 270 Ark. 3, 603 S.W.2d 393 (1980).

Selective Enforcement.

The Arkansas Employment Security Division's administrative policy of recommending criminal prosecution only when there has been a theft in excess of $500 of unemployment benefits is representative of a valid administrative decision-making function, does not create a new statute and is not improper since the conscious exercise of some selectivity in enforcement is not in itself a constitutional violation. Mitchell v. State, 12 Ark. App. 263, 675 S.W.2d 373 (1984).

Sentence.

Where after the defendant entered a guilty plea to class C felony theft of property, for which the maximum sentence is 10 years, a sentence of 6 years in prison, with 2 years suspended on condition that she pay the sum of $135,000 at the rate of $200 per month, beginning 60 days after her release from prison, and continuing for 12 years, at which time a civil judgment would be entered for the outstanding balance, was not authorized. Brimer v. State, 295 Ark. 20, 746 S.W.2d 370 (1988).

The dollar amount required for a conviction under subdivision (b)(2)(A) does not put a ceiling on the amount of restitution. Nix v. State, 54 Ark. App. 302, 925 S.W.2d 802 (1996).

Because the sentence of 20 years' imprisonment with a 10-year suspended imposition of sentence, while falling within the statutory-sentencing range for Class A arson under §§ 5-38-301(b)(5), 5-4-401(a)(2), exceeded the range for Class B residential burglary and Class C theft of property, under § 5-39-201(a)(2), subdivision (b)(2) of this section, and § 5-4-401(a)(3), (4), the residential-burglary and theft-of-property sentences were illegal, and the case was remanded for resentencing. Wakeley v. State, 2013 Ark. App. 231 (2013).

Separate Offenses.

The legislature did not intend to create a statute that would merge an instance of theft-by-receiving, under § 5-36-106, that is committed in one jurisdiction with an instance of theft-of-property, under this section, committed in a second jurisdiction; clearly, the two crimes are separate and distinct, and an interpretation of § 5-36-102 that the two offenses merge is particularly untenable when applied to factual circumstances wherein the theft crimes are not committed in the same criminal episode. Nelson v. State, 350 Ark. 311, 86 S.W.3d 909 (2002).

Speedy Trial.

Where defendant stole a car in Pulaski County, then drove to Faulkner County and robbed a video store, the theft-by-receiving charge for which defendant was arrested in Faulkner County did not link to the distinct crimes, including the theft-of-property charge, for which defendant was subsequently arrested in Pulaski County, for purposes of the running of the speedy trial period in Pulaski County. Nelson v. State, 350 Ark. 311, 86 S.W.3d 909 (2002).

Statute of Limitations.

Theft by deception is generally not a continuing offense. State v. Gray, 2016 Ark. 411, 505 S.W.3d 160 (2016).

“Obtains” in subdivision (a)(2) of this section connotes a singular, discrete taking of possession that occurs at a given time. State v. Gray, 2016 Ark. 411, 505 S.W.3d 160 (2016).

Circuit court did not err in dismissing the charge of theft of property by deception under subdivision (a)(2) of this section as barred by the statute of limitations because, contrary to the State's contention, the offense did not constitute a continuing offense. Defendant knowingly obtained the victim's property by deception, with the purpose of depriving the victim of the property, when the victim made wire transfers into an account controlled by defendant. Therefore, the statute of limitations began to run with the transfers and the limitations period expired before the prosecution commenced. State v. Gray, 2016 Ark. 411, 505 S.W.3d 160 (2016).

Where the State contended that even if theft by deception is not a continuing offense, the statute of limitations was extended due to fraud, that theory of the State's appeal was not properly before the appellate court under Ark. R. App. P. Crim. 3 because the State's argument on that point turned on facts unique to the case. State v. Gray, 2016 Ark. 411, 505 S.W.3d 160 (2016).

Transfer of Property.

A transfer of property is essential for the completion of the crime of theft; on the other hand no transfer of property is required for the completion of the crime of robbery, only physical force or the threat of physical force is necessary. Robinson v. State, 303 Ark. 351, 797 S.W.2d 425 (1990), appeal dismissed, Robinson v. Norris, — Ark. —, — S.W.3d —, 2008 Ark. LEXIS 21 (Jan. 10, 2008).

Unauthorized Taking.

Subdivision (a)(1) makes no exceptions for temporary deprivation. Moore v. State, 299 Ark. 532, 773 S.W.2d 834 (1989); Hickson v. State, 50 Ark. App. 185, 901 S.W.2d 868 (1995).

Defendant who admitted at trial that she took money out of her cash drawer and replaced it with a check and testified that she eventually replaced the money, admitted in open court to the unauthorized taking of the money from her cash drawer which amounted to a confession. Hickson v. State, 50 Ark. App. 185, 901 S.W.2d 868 (1995).

Plaintiff may recover under § 16-118-107 where (1) defendants made misrepresentations to plaintiffs with the intent of collecting the commitment fees; and (2) accepting the allegations in the Complaint as true, defendants received the commitment fees with the purpose of depriving plaintiff of its money. Terra Renewal, LLC v. McCarthy, No. 4:11CV00653-BRW, 2012 U.S. Dist. LEXIS 94935 (E.D. Ark. July 10, 2012).

There was sufficient evidence to support malicious prosecution claims brought by two employees who were accused of theft, prosecuted, and fired from their jobs, because substantial evidence existed that the employer did not make a full, fair, and truthful disclosure to the prosecuting attorney concerning evidence that the employees had permission from their supervisor to sell trailers. If the employees had permission to make the sales, they were not guilty of making unauthorized transfers of the employer's property under this section. Family Dollar Trucking, Inc. v. Huff, 2015 Ark. App. 574, 474 S.W.3d 100 (2015).

Value.

Under former section providing penalty for stealing animals, the value of the animal was immaterial. Sanders v. State, 55 Ark. 365, 18 S.W. 376 (1892) (preceding decisions under prior law).

It was not necessary to prove the value of cattle when stolen in order for one to be guilty of a felony stealing same. Woodall v. State, 200 Ark. 665, 140 S.W.2d 424 (1940); Davis v. State, 202 Ark. 948, 154 S.W.2d 812 (1941) (preceding decisions under prior law).

Evidence held sufficient to prove value of stolen property. Davis v. State, 202 Ark. 948, 154 S.W.2d 812 (1941) (decision under prior law) Ross v. State, 300 Ark. 369, 779 S.W.2d 161 (1989).

Where value of stolen goods was above the statutory minimum for a felony, defendants were guilty of grand larceny even though there was some evidence that goods had been stolen from various places. Richardson v. State, 221 Ark. 567, 254 S.W.2d 448 (1953) (decision under prior law).

It was necessary to show that the market value of the property stolen was more than the statutory minimum for a felony conviction, otherwise, a conviction for a felony could not be sustained. Hammond v. State, 232 Ark. 692, 340 S.W.2d 280 (1960) (decision under prior law).

Despite failure to prove the value of vehicle when appellant was charged with grand larceny, conviction for misdemeanor based on proof of taking with intent to steal was proper. Rogers v. State, 250 Ark. 68, 464 S.W.2d 56 (1971) (decision under prior law).

In a prosecution for possession of stolen credit cards, where defendant's theory was that there was no evidence that the value of the credit cards exceeded minimum value for a felony conviction or that he acquired any property in excess of minimum value for a felony conviction by using credit cards, a violation which constituted only a misdemeanor, he was entitled to present this theory of lesser offense to jury. King v. State, 250 Ark. 523, 465 S.W.2d 712 (1971) (decision under prior law).

Evidence as to value of stolen goods held to have failed to support a verdict of guilty of grand larceny. Courtney v. State, 252 Ark. 620, 480 S.W.2d 351 (1972) (decision under prior law).

Evidence held sufficient to show that value of stolen goods was in excess of statutory minimum for felony conviction. Polk v. State, 252 Ark. 320, 478 S.W.2d 738 (1972) (decision under prior law); Bailey v. State, 266 Ark. 260, 583 S.W.2d 62 (1979); Watson v. State, 271 Ark. 661, 609 S.W.2d 673 (1980); Terry v. State, 271 Ark. 715, 610 S.W.2d 272 (1981).

Defendant was entitled to question the owner about the maintenance of a stolen tractor since a jury might have concluded that the tractor had little value. Sharron v. State, 262 Ark. 320, 556 S.W.2d 438 (1977) (decision under prior law).

Testimony by the owner of stolen property held sufficient to establish a value of more than minimum value for a felony conviction for the coins taken, and it was not necessary that the owner should have bought and sold coins up to the day of trial in order to be competent to testify. Ply v. State, 270 Ark. 554, 606 S.W.2d 556 (1980).

Testimony of the victim as to her opinion of the cumulative value of the property taken from her was admissible. Watson v. State, 271 Ark. 661, 609 S.W.2d 673 (1980).

Evidence of purchase price of property could be evidence of market value when admitted without objection, and the date of purchase of the articles in question was not too remote. Terry v. State, 271 Ark. 715, 610 S.W.2d 272 (1981).

Evidence held sufficient to sustain conviction under subdivision (b)(2). Morrow v. State, 271 Ark. 806, 610 S.W.2d 878, cert. denied, 454 U.S. 819, 102 S. Ct. 99, 70 L. Ed. 2d 89 (1981).

Evidence held insufficient to establish value. Hughes v. State, 3 Ark. App. 275, 625 S.W.2d 547 (1981).

No minimum value is required for the jury's finding of theft as a misdemeanor. O'Riordan v. State, 281 Ark. 424, 665 S.W.2d 255 (1984).

Where deputy municipal clerk testified that $4,675 was missing, she was unable to state from the daily journal sheets how much of the total amount was made up of cash or checks, and she testified that the money had not been recovered or returned to her office, there was substantial evidence of value in excess of $2,500. LeFlore v. State, 17 Ark. App. 117, 704 S.W.2d 641 (1986).

Stolen property in which victim has either a proprietory or possessory interest may be aggregated to determine grade of offense. Phillips v. State, 297 Ark. 368, 761 S.W.2d 933 (1988).

In trial for theft of car, owner's testimony with respect to the purchase price, her knowledge of what she owed on her car, the fact that it was three years old, and a photograph introduced showing the car to be in apparently excellent condition, were substantial evidence of the value of the car. Stewart v. State, 302 Ark. 35, 786 S.W.2d 827 (1990).

To prove the value of stolen merchandise it is necessary to have someone testify who has actual knowledge of the property's fair market value. Brooks v. State, 303 Ark. 188, 792 S.W.2d 617 (1990).

A security guard's testimony as to value, based on a price tag, is hearsay and is inadmissible to prove the value of stolen property. Brooks v. State, 303 Ark. 188, 792 S.W.2d 617 (1990).

Evidence held sufficient to support the court's finding that the value of the stolen property exceeded the amount required by subdivision (b)(2)(A) of this section. Hardrick v. State, 47 Ark. App. 105, 885 S.W.2d 910 (1994) (decision under prior law).

Although witness did not testify specifically to the retail price of the merchandise at the time of the offense, she did testify to the value of the merchandise based on the wholesale cost, which was sufficient to establish the value of the property and therefore, sufficient to support the defendant's theft conviction. Christian v. State, 54 Ark. App. 191, 925 S.W.2d 428 (1996).

Evidence that the value of an automobile was over $2,500.00 held sufficient where an invoice showed that the automobile was purchased for over $19,000.00, the automobile was stolen just over one year after it was purchased, and photographs showed the automobile in good condition and without any obvious defects or damage. Ayers v. State, 334 Ark. 258, 975 S.W.2d 88 (1998), opinion substituted for withdrawn opinion reported at, 334 Ark. 258, 975 S.W.2d 88 (Ark. 1998).

Although the preferred method of establishing value is through expert testimony, the price paid by an owner can be used to determine market value of property when the purchase is not too remote in time and bears a reasonable relation to present value. Williams v. State, 65 Ark. App. 176, 986 S.W.2d 123 (1999).

Evidence was sufficient to convict defendant of criminal attempt to commit theft of property where the victim testified as to the purchase price of the boat motor, his use and maintenance of it, and its condition at the time of the crime. Wright v. State, 80 Ark. App. 114, 91 S.W.3d 553 (2002).

One witness's testimony regarding minor improvements to a 1978 vehicle, coupled with 11 photographs, did not constitute substantial evidence of a value greater than $ 500. Reed v. State, — Ark. —, — S.W.3d —, 2003 Ark. LEXIS 217 (May 1), substituted opinion, 353 Ark. 22, 109 S.W.3d 665 (2003).

There was insufficient evidence to have convicted defendant of theft of property with a value greater than $ 500 but less than $ 2,500 where the only witness, a mechanic, stated car was not worth $ 50, there was no evidence of what the victim had paid for the car, and the state's produced only photographs of the car at trial; however, there was there was sufficient evidence to support a conviction of misdemeanor theft, which carried a term of one year's imprisonment. Reed v. State, 353 Ark. 22, 109 S.W.3d 665 (2003).

Trial court did not err in denying defendant's motion to dismiss two charges for theft of property in excess of $2,500, in violation of subdivision (b)(1)(A) of this section, on the ground that the charges were barred by the three-year statute of limitations for Class B felonies in § 5-1-109(b)(2) because the amended information was filed within three years of the earliest unauthorized withdrawal from a client's account that was made by defendant, an attorney. Cameron v. State, 94 Ark. App. 58, 224 S.W.3d 559 (2006), appeal dismissed, — Ark. —, — S.W.3d —, 2007 Ark. LEXIS 496 (Sept. 27, 2007).

Trial court did not err in convicting defendant of theft of property with a value less than $2,500 but more than $500 in violation of subdivisions (a)(1) and (b)(2)(A) of this section for stealing merchandise from a department store because a manager's testimony, in conjunction with the testimony of another employee, who was also a manager, was sufficient to lay the foundation for the introduction of a register receipt under the business-records exception to the hearsay rule, Ark. R. Evid. 803(6), as proof of the value of the stolen merchandise; the employee's testimony indicated that he knew the recovered items were stolen because they did not bear certain labels or electronic receipts that the store regularly places on all merchandise, the manager testified that he knew the value of the stolen merchandise by following the store's standard practice of adding up the value by ringing it up on the store's register, and the receipt bore an electronic date and time stamp, as well as other numeric information about the merchandise, including the label information from each item. Pace v. State, 2010 Ark. App. 491, 375 S.W.3d 751 (2010).

State only had to prove that appellant knowingly took another's property to deprive him of the property; simply put, the value of the property stolen is not an element of a theft offense involving a credit or debit card. Blakely v. State, 2013 Ark. App. 37 (2013).

Defendant's conviction for theft of property as a Class B felony, in violation of subdivision (b)(1)(A) of this section, was supported by the evidence because there was evidence that the car was valued at $2,500 or more; the car was four years old, and the victim stated that the victim paid $20,000 for it. Moore v. State, 2013 Ark. App. 107 (2013).

In a case involving stolen university exams, the trial court did not err in finding that the requirements of the commercial burglary statute, § 5-39-201(b), were met because misdemeanor theft is punishable by one year imprisonment; no minimum value was required to be shown, and the testimony supported the State's assertion that the exams had inherent value to the students, to the professors themselves, and to the university as an academic institution. Gillean v. State, 2015 Ark. App. 698, 478 S.W.3d 255 (2015).

Defendant's appeal of a conviction for theft of property was frivolous as, inter alia, defendant acknowledged that there had been some evidence of the value of stolen items. Guthrie v. State, 2017 Ark. App. 681 (2017).

Evidence supported defendant's Class B felony conviction under subdivision (b)(1)(A) of this section where credit card statements from a patient's father established the amounts paid for alleged “treatments” for his daughter at defendant's purported naturopathic medical clinic. Gervais v. State, 2018 Ark. App. 161, 544 S.W.3d 590 (2018).

Evidence supported defendant's Class C felony conviction under subdivision (b)(2)(A) of this section where the victim testified that she wrote defendant a check for $9,100, defendant gave her a check in return for $9,100 purportedly until the victim's insurance money came, and the victim was never able to cash defendant's check and was thus clearly deprived of $9,100. Gervais v. State, 2018 Ark. App. 161, 544 S.W.3d 590 (2018).

Evidence supported defendant's Class A misdemeanor conviction under subdivision (b)(4)(A) of this section where the victim specifically testified at least three times that he knew he paid defendant upward of $1,500, an amount that included the alleged DNA report from Germany, which cost $600. Gervais v. State, 2018 Ark. App. 161, 544 S.W.3d 590 (2018).

Venue.

A defendant guilty of larceny was guilty in every county into which he carried the goods. State v. Alexander, 118 Ark. 357, 176 S.W. 315 (1915) (decision under prior law).

Cited: McIntosh v. State, 262 Ark. 7, 552 S.W.2d 649 (1977); International Trading, Ltd. v. Bell, 262 Ark. 244, 556 S.W.2d 420 (1977); Wilson v. State, 263 Ark. 764, 569 S.W.2d 87 (1978); Chandler v. State, 264 Ark. 175, 569 S.W.2d 660 (1978); Kozal v. State, 264 Ark. 587, 573 S.W.2d 323 (1978); Sutton v. State, 265 Ark. 645, 580 S.W.2d 195 (1979); Noland v. State, 265 Ark. 764, 580 S.W.2d 953 (1979); Gustafson v. State, 267 Ark. 278, 590 S.W.2d 853 (1979); Elmore v. State, 267 Ark. 952, 592 S.W.2d 124 (Ct. App. 1980); Gustafson v. State, 267 Ark. 830, 593 S.W.2d 187 (Ct. App. 1979); Klimas v. Mabry, 599 F.2d 842 (8th Cir. 1979); Miller v. State, 269 Ark. 409, 601 S.W.2d 845 (1980); Schwindling v. State, 269 Ark. 388, 602 S.W.2d 639 (1980); Thrasher v. State, 270 Ark. 322, 604 S.W.2d 931 (1980); Hammon v. State, 270 Ark. 307, 605 S.W.2d 6 (1980); Jones v. State, 270 Ark. 328, 605 S.W.2d 7 (1980); Parker v. State, 270 Ark. 897, 606 S.W.2d 746 (1980); Beed v. State, 271 Ark. 526, 609 S.W.2d 898 (1980); Terry v. Housewright, 659 F.2d 879 (8th Cir. 1981); Lingo v. State, 271 Ark. 776, 610 S.W.2d 580 (1981); Tolley v. State, 1 Ark. App. 1, 611 S.W.2d 798 (1981); Sutton v. State, 1 Ark. App. 58, 613 S.W.2d 399 (1981); Shelton v. State, 275 Ark. 40, 627 S.W.2d 18 (1982); State v. Jamison, 277 Ark. 349, 641 S.W.2d 719 (1982); Christian v. State, 6 Ark. App. 138, 639 S.W.2d 78 (1982); Wright v. Burton, 279 Ark. 1, 648 S.W.2d 794 (1983); Golden v. State, 10 Ark. App. 362, 664 S.W.2d 496 (1984); Armstrong v. State, 12 Ark. App. 143, 671 S.W.2d 772 (1984); Daniels v. State, 12 Ark. App. 251, 674 S.W.2d 949 (1984); Mendenhall v. Skaggs Cos., 285 Ark. 236, 685 S.W.2d 805 (1985); Wing v. State, 286 Ark. 494, 696 S.W.2d 311 (1985); Tiggs v. State, 16 Ark. App. 241, 700 S.W.2d 65 (1985); Johnson v. State, 289 Ark. 589, 715 S.W.2d 441 (1986); Graham v. State, 290 Ark. 107, 717 S.W.2d 203 (1986); In re Hoffman, 70 B.R. 155 (Bankr. W.D. Ark. 1986); Burris v. State, 291 Ark. 157, 722 S.W.2d 858 (1987); Hester v. Langston, 297 Ark. 87, 759 S.W.2d 797 (1988); Duhon v. State, 299 Ark. 503, 774 S.W.2d 830 (1989); Noel v. State, 28 Ark. App. 158, 771 S.W.2d 325 (1989); Hill v. State, 303 Ark. 462, 798 S.W.2d 65 (1990); Sanders v. State, 305 Ark. 112, 805 S.W.2d 953 (1991); Crutchfield v. State, 306 Ark. 97, 812 S.W.2d 459 (1991); State v. Hill, 306 Ark. 375, 811 S.W.2d 323 (1991); Shibley v. State, 324 Ark. 212, 920 S.W.2d 10 (1996); Butler v. State, 324 Ark. 476, 922 S.W.2d 685 (1996); Bayless v. State, 326 Ark. 869, 935 S.W.2d 534 (1996); Coleman v. State, 327 Ark. 381, 938 S.W.2d 845 (1997) (decision under prior law); Jenkins v. State, 60 Ark. App. 1, 959 S.W.2d 57 (1997); Greer v. State, 77 Ark. App. 180, 72 S.W.3d 893 (2002); McEntire v. State, 363 Ark. 473, 215 S.W.3d 658 (2005); Hendricks v. State, 2013 Ark. App. 109 (2013); Cartwright v. State, 2016 Ark. App. 425, 501 S.W.3d 849 (2016); Whitworth v. State, 2017 Ark. App. 462, 531 S.W.3d 407 (2017).

5-36-104. Theft of services.

  1. A person commits theft of services if, with purpose to defraud:
    1. The person purposely obtains a service that he or she knows to be available only for compensation, by deception, threat, or other means to avoid payment for the service; or
    2. Having control over the disposition of a service to which he or she is not entitled, the person purposely diverts the service to his or her own benefit or to the benefit of another person not entitled to the service.
  2. In a circumstance in which payment is ordinarily made immediately upon the rendering of a service, absconding without payment or offer to pay gives rise to a presumption that the actor obtained the service with the purpose of avoiding payment.
  3. Theft of services is a:
    1. Class B felony if:
      1. The value of the service is twenty-five thousand dollars ($25,000) or more;
      2. The service is obtained by the threat of serious physical injury to any person or destruction of the occupiable structure of another person;
      3. The service is obtained by threat, and the actor stands in a confidential or fiduciary relationship to the person threatened; or
      4. The theft of services involves a theft of a utility service that results in:
        1. Any contamination of a line, pipe, waterline, meter, or other utility property; or
        2. A spill, dumping, or release of any hazardous material into the environment;
    2. Class C felony if:
      1. The value of the service is less than twenty-five thousand dollars ($25,000) but more than five thousand dollars ($5,000); or
      2. The service is obtained by threat;
    3. Class D felony if the value of the service is five thousand dollars ($5,000) or less but more than one thousand dollars ($1,000); or
    4. Class A misdemeanor if the theft of services:
      1. Involves a theft of a utility service that results in the destruction or damage to a line, pipe, waterline, meter, or any other property of the utility; or
      2. Is otherwise committed.
    1. In addition to any other fine that may be levied under § 5-4-201, any person found guilty of theft of services under this section is required to make full restitution to the utility from which the service was obtained if the theft of services involves the theft of a utility service such as a gas, electricity, water, telephone, or cable television service.
    2. For a prosecution brought under this subsection to enable the court to properly fix the amount of restitution, after appropriate investigation the prosecuting attorney shall recommend an amount that would make the utility whole with respect to:
      1. The value of the service received;
      2. The cost of repair of any damage to any:
        1. Line;
        2. Pipe;
        3. Waterline;
        4. Meter; or
        5. Other utility property; and
      3. Any other measurable monetary damage directly related to the offense, including the expense of investigation.
    3. If the defendant disagrees with the recommendation of the prosecuting attorney, he or she is entitled to introduce evidence in mitigation of the amount recommended.
    4. The monetary judgment for restitution, as provided in this section, becomes a judgment against the offender and has the same force and effect as any other civil judgment recorded in this state.

History. Acts 1975, No. 280, § 2204; 1977, No. 360, § 9; 1983, No. 719, § 2; A.S.A. 1947, § 41-2204; Acts 1997, No. 518, § 1; 1999, No. 986, § 1; 2011, No. 570, § 24; 2011, No. 1120, § 15.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided:

“Legislative intent. The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2011 amendment by No. 570 substituted “twenty-five thousand dollars ($25,000)” for “two thousand five hundred dollars ($2,500)” in (c)(1)(A) and (c)(2)(A); substituted “five thousand dollars ($5,000)” for “five hundred dollars ($500)” in (c)(2)(A); inserted present (c)(3) and redesignated former (c)(3) as (c)(4); and rewrote (c)(4).

The 2011 amendment by No. 1120 inserted the (c)(4)(A) designation and (c)(4)(B).

Research References

ALR.

What Is “Intent to Deprive” Sufficient to Establish Liability for Civil, or Statutory, Theft, 35 A.L.R.7th Art. 1 (2018).

Case Notes

Applicability.

Former section providing penalty for obtaining food or lodging with intent to defraud was intended to apply only to persons who obtained food or lodging for themselves and not to persons who agreed to pay for the accommodation of other persons. Garrett v. State, 169 Ark. 527, 275 S.W. 902 (1925) (decision under prior law).

Directed Verdict.

Defendant was charged with theft of services for his failure to pay the bail-bond company $7,570. The circuit court granted him a directed verdict because the definition of “services” under this section did not include the services provided by bail-bonding companies; and a future promise to pay for services could not establish the requisite fraudulent intent. State v. Williams, 2013 Ark. 164 (2013).

Instructions.

Instruction that if the jury found that the defendant had absconded without offering to pay, it was not conclusive as to the defendant's intent to defraud but could be considered along with all the other facts and circumstances in the case, did not constitute an improper inference of an intent to defraud. Barnes v. State, 261 Ark. 360, 548 S.W.2d 141 (1977) (decision under prior law).

Refusal to give requested instruction on the lesser included offense held error. Bongfeldt v. State, 6 Ark. App. 102, 639 S.W.2d 70 (1982).

Cited: Powell v. State, 33 Ark. App. 1, 799 S.W.2d 566 (1990).

5-36-105. Theft of property lost, mislaid, or delivered by mistake.

  1. A person commits theft of property lost, mislaid, or delivered by mistake if the person:
    1. Comes into control of property of another person;
    2. Retains or disposes of the property when the person knows the property to have been lost, mislaid, or delivered under a mistake as to the identity of the recipient or as to the nature or amount of the property; and
    3. With the purpose of depriving any person having an interest in the property, the person fails to take a reasonable measure to restore the property to a person entitled to it.
  2. Theft of property lost, mislaid, or delivered by mistake is a:
    1. Class D felony if the value of the property is one thousand dollars ($1,000) or more;
    2. Class B misdemeanor if:
      1. The value of the property is less than one thousand dollars ($1,000) but more than five hundred dollars ($500); or
      2. The property is a:
        1. Credit card or credit card account number; or
        2. Debit card or debit card account number; or
    3. Class C misdemeanor if otherwise committed.

History. Acts 1975, No. 280, § 2205; A.S.A. 1947, § 41-2205; Acts 1997, No. 516, § 2; 1997, No. 518, § 2; 2003, No. 838, § 2.

Research References

Ark. L. Notes.

John Norwood, The Splendid Mystery of the Lost Lottery Ticket, 2013 Ark. L. Notes 1217.

Case Notes

Note. Some of the cases cited below were decided prior to the consolidation of offenses by § 5-36-102.

Elements.

The gist of the crime of theft of property delivered by mistake is the failure to take reasonable measures to restore the property to the person entitled thereto; this is distinct and separate from any element contained in the crime of theft of property by knowingly taking or exercising unauthorized control over the property of another, with the purpose of depriving the owner thereof. Tate v. State, 269 Ark. 687, 600 S.W.2d 915 (Ct. App. 1980).

Instructions.

Where information charged defendant with theft of property under § 5-36-103, it was reversible error for court to instruct jury that it could consider guilt of defendant for violation of this section. Tate v. State, 269 Ark. 687, 600 S.W.2d 915 (Ct. App. 1980).

Lesser Included Offenses.

A violation of this section is not a lesser included offense under § 5-36-103. Tate v. State, 269 Ark. 687, 600 S.W.2d 915 (Ct. App. 1980).

Restoration to Owner.

The finder of a lost article was not guilty of larceny if he neither knew nor had the means of ascertaining the owner. Brewer v. State, 93 Ark. 479, 125 S.W. 127 (1910) (decision under prior law).

The finder of a lost article was guilty if he had the immediate means of knowing to whom it belonged, and appropriated it to his own use. Penny v. State, 109 Ark. 343, 159 S.W. 1127 (1913) (decision under prior law).

Sufficiency of Evidence.

As the victim exited her truck, a man grabbed her by her neck, put a gun to her head, and asked for her keys; she was forced into her residence and heard a shotgun fire as the man drove away. The police spotted the truck traveling at a high rate of speed apparently in flight from the scene of the crime and defendant's fingerprint was recovered from the doors; the evidence was not sufficient to sustain defendant's conviction for aggravated robbery, theft of property, and criminal mischief because there was no way to determine when defendant touched the truck. Turner v. State, 103 Ark. App. 248, 288 S.W.3d 669 (2008), review denied, — Ark. —, — S.W.3d —, 2009 Ark. LEXIS 514 (Jan. 22, 2009).

Defendant's conviction for theft of property lost, mislaid, or mistakenly delivered was supported by the evidence because defendant failed to take reasonable measures to return a double payment made to defendant's business on behalf of a customer, and acted with purposeful intent under § 5-2-202(1) of depriving the victims. Cora v. State, 2009 Ark. App. 431, 319 S.W.3d 281 (2009).

5-36-106. Theft by receiving.

  1. A person commits the offense of theft by receiving if he or she receives, retains, or disposes of stolen property of another person:
    1. Knowing that the property was stolen; or
    2. Having good reason to believe the property was stolen.
  2. As used in this section, “receiving” means acquiring possession, control, or title or lending on the security of the property.
  3. The following give rise to a presumption that a person knows or believes that property was stolen:
    1. The unexplained possession or control by the person of recently stolen property; or
    2. The acquisition by the person of property for a consideration known to be far below the property's reasonable value.
  4. It is a defense to a prosecution for the offense of theft by receiving that the property is received, retained, or disposed of with the purpose of restoring the property to the owner or another person entitled to the property.
  5. Theft by receiving is a:
    1. Class B felony if the value of the property is twenty-five thousand dollars ($25,000) or more;
    2. Class C felony if:
      1. The value of the property is less than twenty-five thousand dollars ($25,000) but more than five thousand dollars ($5,000); or
      2. The property is a firearm valued at two thousand five hundred dollars ($2,500) or more;
    3. Class D felony if:
      1. The value of the property is five thousand dollars ($5,000) or less but more than one thousand dollars ($1,000);
      2. The property is a:
        1. Credit card or credit card account number;
        2. Debit card or debit card account number; or
        3. Firearm valued at less than two thousand five hundred dollars ($2,500); or
    4. Class A misdemeanor if otherwise committed.
  6. A person convicted of a felony offense under this section is subject to an enhanced sentence of an additional term of imprisonment of five (5) years at the discretion of the court if the finder of fact finds that the stolen property was nonferrous metal, as it is defined in § 17-44-101.

History. Acts 1975, No. 280, § 2206; 1977, No. 360, § 10; 1983, No. 719, § 3; A.S.A. 1947, § 41-2206; Acts 1997, No. 303, § 1; 1997, No. 516, § 3; 2003, No. 838, § 3; 2011, No. 570, § 25; 2013, No. 548, § 1; 2013, No. 1354, § 1.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided:

“Legislative intent. The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2011 amendment substituted “twenty-five thousand dollars ($25,000)” for “two thousand five hundred dollars ($2,500)” in (e)(1); inserted (e)(2) and redesignated the remaining subdivisions accordingly; substituted “Class D” for “Class C” in the introductory paragraph of (e)(3); in (e)(3)(A), substituted “five thousand dollars ($5,000) or less” for “less than two thousand five hundred dollars ($2,500)” and “one thousand dollars ($1,000)” for “five hundred dollars ($500)”; and deleted (e)(3)(C).

The 2013 amendment by No. 548 added (e)(2)(B); and added (e)(3)(B)(iii).

The 2013 amendment by No. 1354 added (f).

Research References

U. Ark. Little Rock L.J.

DeSimone, Survey of Criminal Law, 3 U. Ark. Little Rock L.J. 191.

Case Notes

Note. Many of the cases cited below were decided prior to the consolidation of offenses by § 5-36-102.

Constitutionality.

The language of this section is not unconstitutionally vague. Newton v. State, 271 Ark. 427, 609 S.W.2d 328 (1980), appeal dismissed, 454 U.S. 805, 102 S. Ct. 77, 70 L. Ed. 2d 74 (1981).

Subsection (c) is constitutional. Grooms v. State, 283 Ark. 224, 675 S.W.2d 353 (1984).

Aggregation of Amount Stolen.

Defendant was charged with one crime, theft by receiving, which is a continuing offense, and it was not erroneous to aggregate the amount stolen from her employer over a period of time and classify the crime as a Class B felony under § 5-36-102(d)(2), even though each individual act of acquiring possession did not add up to over $25,000. The last time defendant stole money from her employer was in February 2014, which was well within the time limit for statute of limitations calculations for a Class B felony under § 5-1-109. Clements v. State, 2020 Ark. App. 175, 594 S.W.3d 922 (2020).

Assistance of Counsel.

Defendant's constitutional right to counsel held violated when court refused request for a continuance to obtain counsel. Murdock v. State, 291 Ark. 8, 722 S.W.2d 268 (Ark. 1987).

Construction.

The legislature's 1995 amendment to the theft statute, § 5-36-103, which makes theft a Class C felony if the value of property taken exceeds $500 rather than $200, did not alter the requirements of this section. Coleman v. State, 327 Ark. 381, 938 S.W.2d 845 (1997).

Conviction.

Where defendant received the stolen property only once, not on several occasions, only one conviction for theft by receiving should lie. Watson v. State, 295 Ark. 616, 752 S.W.2d 240 (1988).

Double Jeopardy.

Where, on appeal, case was reversed for new trial there was no double jeopardy and sentence to longer term at second trial than at first trial was not unconstitutional where the nature of the punishment was the same and the degree of the crime was not greater in the second than in the first verdict. Fuller v. State, 246 Ark. 704, 439 S.W.2d 801 (1969), cert. denied, Fuller v. Arkansas, 396 U.S. 930, 90 S. Ct. 260, 24 L. Ed. 2d 228 (1969) (decision under prior law).

The fact that defendant had been acquitted by a federal court of the charge of transporting stolen property across a state line did not prevent his trial in Arkansas on a charge of possessing stolen property although it was the same property involved in the federal action. Journey v. State, 257 Ark. 1007, 521 S.W.2d 210 (1975), cert. denied, Journey v. Arkansas, 423 U.S. 866, 96 S. Ct. 127 (1975) (decision under prior law).

Evidence.

Evidence held sufficient to show that defendant had possession and to show value of the property. Scott v. State, 205 Ark. 158, 167 S.W.2d 883 (1943) (decision under prior law).

Evidence held insufficient to support conviction. Thompson v. State, 207 Ark. 680, 182 S.W.2d 386 (1944) (decision under prior law); Lee v. State, 270 Ark. 892, 609 S.W.2d 3 (1980).

Evidence held sufficient to sustain conviction. Carnal v. State, 234 Ark. 1050, 356 S.W.2d 651 (1962), cert. denied, Carnal v. Arkansas, 371 U.S. 876, 83 S. Ct. 146 (1962); Paschal v. State, 243 Ark. 329, 420 S.W.2d 73 (1967); Evans v. State, 252 Ark. 335, 478 S.W.2d 874 (1972) (preceding decisions under prior law); Handy v. State, 264 Ark. 909, 575 S.W.2d 693 (1979); Parker v. State, 270 Ark. 3, 603 S.W.2d 393 (1980); Arras v. State, 3 Ark. App. 134, 623 S.W.2d 537 (1981); Jones v. State, 276 Ark. 116, 632 S.W.2d 414 (1982); Bradley v. State, 8 Ark. App. 300, 651 S.W.2d 113 (1983); Wilson v. State, 10 Ark. App. 176, 662 S.W.2d 204 (1983); Tubbs v. State, 19 Ark. App. 306, 720 S.W.2d 331 (1986); Austin v. State, 26 Ark. App. 70, 760 S.W.2d 76 (1988); Duncan v. State, 38 Ark. App. 47, 828 S.W.2d 847 (1992).

There is no requirement that stolen property be introduced into evidence before a conviction for possession of it may be obtained. Sims v. State, 266 Ark. 922, 587 S.W.2d 604 (Ct. App. 1979) (decision under prior law).

Testimony by two witnesses that they were given drugs as well as cash by defendant in exchange for stolen property held admissible since the evidence tends to establish the entire criminal transaction, even though it had already been established that a purchase price in excess of minimum required for a felony conviction had been paid. Vernon v. State, 2 Ark. App. 305, 621 S.W.2d 17 (1981).

Evidence that on prior occasions the defendant had purchased property which he knew was stolen held properly admitted since under § 16-41-101, Rule 404(b), evidence of other acts under similar circumstances is admissible as tending to show a system, design or guilty knowledge in the case at hand where there is a question whether the crime was committed with guilty knowledge, and since the court gave cautionary instructions in which the jury was informed of the limited purpose for which the evidence might be considered. Vernon v. State, 2 Ark. App. 305, 621 S.W.2d 17 (1981).

Evidence was sufficient to establish that Cadillac automobile had a value of over $2,500. Coley v. State, 302 Ark. 526, 790 S.W.2d 899 (Ark. 1990).

Defendant's presence in the stolen vehicle, along with the incriminating fact of his flight from the police and his violent attempt to avoid capture, was sufficient evidence from which the jury could have found that the defendant had constructive possession of the car and knew or had reason to know it was stolen. Riddle v. State, 303 Ark. 42, 791 S.W.2d 708 (1990).

Evidence was insufficient to support a finding that defendant had actual or constructive possession of the vehicle. Smith v. State, 34 Ark. App. 150, 806 S.W.2d 391 (1991).

There was substantial evidence from which the trial court, as finder of fact, was able to determine that the defendant was guilty of theft by receiving. Ricks v. State, 316 Ark. 601, 873 S.W.2d 808 (1994).

The defendant's brief presence in a stolen van and his violent outbursts upon being taken into custody could not support a conviction under this section. Avett v. State, 325 Ark. 320, 928 S.W.2d 326 (1996).

A conviction for theft by receiving a stolen white utility van was reversed on the basis that there was insufficient evidence to show that the defendant was in actual possession of the stolen van as utility vans are not unique; therefore, the fact the defendant was seen in a white utility van that was similar to the stolen utility van discovered nearby some hours later, was insufficient to establish that he was seen in the stolen utility van. Lindsey v. State, 68 Ark. App. 70, 3 S.W.3d 346 (1999).

Where police found four-wheelers in defendant's driveway with VIN numbers that were reported stolen, defendant was properly convicted of three counts of theft by receiving. McDonald v. State, 354 Ark. 216, 119 S.W.3d 41 (2003).

There was sufficient evidence to support a conviction for theft by receiving where, although defendant's brother claimed he purchased a trailer in its present condition, no bill of sale was received, defendant failed to produce a registration at trial, defendant had possession of the trailer, and the trailer had marks identified by the owner; however, the state was not entitled to a presumption in subsection (c) because the trailer had not been recently stolen and there was no showing of the value of the trailer at the time it was discovered. Doubleday v. State, 84 Ark. App. 194, 138 S.W.3d 112, 138 S.W.2d 112 (2003).

At the time the offense was committed, this section provided that theft by receiving of a credit card was designated as a Class C felony, but theft by receiving of a debit card was not; thus, where the state failed to show that the card was a credit card, there was insufficient evidence to support the conviction for theft by receiving as a Class C felony and defendant's conviction was reduced to a misdemeanor in accordance with subdivision (e)(3) of this section. Withers v. State, 93 Ark. App. 276, 218 S.W.3d 386 (2005).

Defendant's conviction for theft by receiving was proper as the evidence established that his companion was in the store where the victim worked around the time that her credit card was stolen, defendant presented that credit card at a gas station a short time later, and defendant and his companion tried to purchase over $100 in merchandise. Henson v. State, 94 Ark. App. 163, 227 S.W.3d 450 (2006).

Evidence was sufficient to sustain defendant's conviction for theft by receiving because defendant stated that the seller wanted $275 for several items, including an air compressor, a welder, a crate with several hand tools, and a saw. Defendant also admitted that he knew that the property “either had to be stolen or traded for drugs.” Tryon v. State, 371 Ark. 25, 263 S.W.3d 475 (2007).

Evidence was sufficient to convict defendant of theft by receiving, because the state presented evidence showing that the VIN numbers of the owner's truck and the truck recovered from the scene were the same, the owner testified that the recovered truck was similar to his own truck, defendant's fingerprint was on an item found near the truck and he was in photographs found inside the truck, and defendant was observed driving a truck similar to the stolen truck to his storage unit. Tomboli v. State, 100 Ark. App. 355, 268 S.W.3d 918 (2007).

Evidence was sufficient to show that defendant committed theft by receiving of the car keys, because defendant conceded the keys belonged to the victim, and the unrebutted evidence showed the stolen keys were found in the car that defendant and his accomplices used for the burglary of the victim's residence. Lewis v. State, 2009 Ark. App. 504, 323 S.W.3d 640 (2009).

In a case in which a minor was adjudicated delinquent pursuant to a juvenile court's finding that he committed the criminal offense of misdemeanor theft by receiving, in violation of subsection (a) of this section, the minor unsuccessfully argued that a witness's testimony had to be corroborated. Since the minor had been charged with a misdemeanor, § 16-89-111(e)(1) did not apply. R.W. v. State, 2010 Ark. App. 220 (2010).

Evidence that defendant had the victim's credit card and driver's license and that he attempted to cash a forged check was sufficient to support his convictions for theft by receiving under this section and forgery under § 5-37-201. Suggs v. State, 2010 Ark. App. 571, 377 S.W.3d 461 (2010).

Evidence was sufficient to revoke defendant's suspended imposition of sentence for the underlying crime of theft by receiving where defendant sold a bus for scrap but there was no evidence that indicated how or why defendant came to be in possession of a bus that the owner had reported stolen that same day. Caldwell v. State, 2011 Ark. App. 358 (2011).

Evidence was sufficient to convict defendant of theft by receiving under subsection (a) of this section because he was found underneath a stolen truck, with a gas tank sitting nearby; and the victim testified that he witnessed defendant working on the vehicle before the police arrived and that the truck had been stripped with the battery and gas tank removed. Scales v. State, 2011 Ark. App. 712 (2011).

Defendant's conviction for theft by receiving under subdivision (e)(2) of this section was appropriate because his possession of recently stolen property gave rise to the presumption that he knew that the ring was stolen. The jury was not required to believe his explanation that he had found the ring on the ground. Benton v. State, 2012 Ark. App. 71, 388 S.W.3d 488 (2012).

Defendant's conviction for theft by receiving, in violation of subsection (a) of this section, was supported by the evidence because a gas station employee identified defendant as the driver of a vehicle only hours after it was stolen. Turner v. State, 2012 Ark. App. 150, 391 S.W.3d 358 (2012).

Trial court did not err in revoking defendant's suspended sentences in cases where he pled guilty to forgery and theft by receiving, because the state proved by a preponderance of the evidence that he committed a new offense of theft by receiving under subsection (a) of this section. The complainant testified defendant took his car for a test drive and did not return it; the officer dispatched to the vehicle-theft report testified that defendant handed him the key to the car; and defendant's testimony that he took the car to a mechanic to have the transmission repaired made no sense. Wallace v. State, 2012 Ark. App. 571 (2012).

Adjudication of delinquency on charges of theft by receiving was improper because the evidence was insufficient without resorting to prohibited suspicion and conjecture; after excluding an accomplice's testimony, being a passenger in a stolen vehicle was not enough to establish constructive possession. The only evidence corroborating the accomplice testimony was that of his sister, who testified that she knew appellant and the other passengers in the stolen car and that all of them, appellant included, had seen her vehicle before. D.F. v. State, 2015 Ark. App. 656, 476 S.W.3d 189 (2015).

Substantial evidence supported defendant's conviction under this section where the State offered testimony that the truck was hidden in defendant's shed and was missing parts, the license plate was not on it, a piece of plastic concealed the VIN number, and defendant did not know how his friend acquired the vehicle, and thus, defendant knew or had good reason to believe that the truck was stolen. Crozier v. State, 2016 Ark. App. 307, 496 S.W.3d 401 (2016).

There was sufficient evidence to support the jury's decision that defendant committed theft by receiving; the owner identified the firearm as belonging to him, and while the serial-number evidence was off by one number, this discrepancy was an issue to be weighed by the jury. Furthermore, while defendant claimed he had obtained the firearm from his friend as a gift and did not know it was stolen, the jury was not required to believe his testimony. Blair v. State, 2018 Ark. App. 509, 562 S.W.3d 261 (2018).

Sufficient evidence supported defendant's conviction for theft by receiving given testimony that a stolen firearm was discovered under the passenger-side dashboard of a car in which defendant was riding in the passenger seat and defendant's admission that he purchased the firearm from an acquaintance (no-merit brief). Kelley v. State, 2019 Ark. App. 71, 568 S.W.3d 801 (2019).

Indictment or Information.

Upon an indictment for receiving a stolen hog, a defendant could not be convicted of receiving the pork. Britton v. State, 61 Ark. 15, 31 S.W. 569 (1895) (decision under prior law).

An indictment had to allege that the property was received with the “intent to deprive the true owner thereof.” State v. Bills, 118 Ark. 44, 176 S.W. 114 (1915) (decision under prior law).

Indictment held sufficient. Slinkard v. State, 193 Ark. 765, 103 S.W.2d 50 (1937) (decision under prior law).

Amendment of the information by striking out the charge of “disposal” of stolen goods and thereby eliminating and reducing the charge to the one charge of “possession” of stolen goods held proper. Silas v. State, 232 Ark. 248, 337 S.W.2d 644 (1960), cert. denied, Silas v. Arkansas, 365 U.S. 821, 81 S. Ct. 705 (1961) (decision under prior law).

Upon an information for burglary and grand larceny, one could not be convicted for receiving stolen property. Pickens v. State, 236 Ark. 404, 366 S.W.2d 283 (1963) (decision under prior law).

Instructions.

Failure to instruct the jury that it could find the defendant guilty of misdemeanor possession of stolen property held to be error. Richie v. State, 261 Ark. 7, 545 S.W.2d 638 (1977) (decision under prior law).

Court's use of an instruction taken from the Arkansas Model Criminal Instructions did not result in a comment upon the weight of evidence, where the instruction did not say that there was evidence the defendants were in unexplained possession of recently stolen property but only that evidence of such possession could be considered by the jury. Newton v. State, 271 Ark. 427, 609 S.W.2d 328 (1980), appeal dismissed, 454 U.S. 805, 102 S. Ct. 77, 70 L. Ed. 2d 74 (1981).

Knowledge and Intent.

A person in possession of stolen property could not be convicted of larceny upon a mere suspicion that he had knowledge that the person from whom he received the property was without authority to dispose of it. Jones v. State, 85 Ark. 360, 108 S.W. 223 (1908) (decision under prior law).

Possession of stolen property in itself was not sufficient to raise a presumption of guilty intent, but when the accused made a distinct claim of title thereto, it was evidence that he intended to convert it to his own use. Douglass v. State, 91 Ark. 492, 121 S.W. 923 (1909); Cravens v. State, 95 Ark. 321, 128 S.W. 1037 (1910) (preceding decisions under prior law).

The mere receipt and possession of stolen goods did not constitute the offense; it was essential that they were received with the knowledge that they had been stolen and with intent to deprive the owner thereof of his property. Williams v. State, 202 Ark. 951, 154 S.W.2d 809 (1941) (decision under prior law).

In order to constitute possession of stolen goods it was necessary that the person possessing the stolen goods knew the property was stolen. Patterson v. State, 253 Ark. 393, 486 S.W.2d 19 (1972) (decision under prior law).

Evidence that numerous items were discovered on the defendants' property tended to show the motive, design, intent and scheme of the defendants to engage in illegal transactions and was admissible in a prosecution for possession of stolen property. Wilkens v. State, 261 Ark. 243, 547 S.W.2d 116 (1977).

Evidence held admissible as tending to show defendant's knowledge that the property in question had been stolen. Reeves v. State, 263 Ark. 227, 564 S.W.2d 503 (1978), cert. denied, Reeves v. Arkansas, 439 U.S. 964, 99 S. Ct. 450, 58 L. Ed. 2d 422 (1978); Reeves v. Mabry, 480 F. Supp. 529 (W.D. Ark. 1979), aff'd, 615 F.2d 489 (8th Cir. 1980).

It is clear that one may be in possession of stolen property or may actively participate in transporting it without being guilty of an offense, as long as there is no knowledge of the theft or good reason to believe the goods were stolen. Utley v. State, 266 Ark. 794, 586 S.W.2d 242 (Ct. App. 1979).

Evidence held sufficient to show that the defendant knew that he was not involved in a regular business transaction and that the defendant knew that the property was stolen. Riley v. State, 267 Ark. 916, 593 S.W.2d 45 (Ct. App. 1979).

Evidence held sufficient to find that the jury had a substantial basis for thinking defendant had many good reasons to believe the property had been stolen. Fioranelli v. State, 270 Ark. 470, 605 S.W.2d 13 (1980).

Evidence of the defendant's and his accomplice's plans to sell stolen property in the future was properly admitted to show a system, design, or guilty knowledge. Walker v. State, 13 Ark. App. 124, 680 S.W.2d 915 (1984).

The unexplained possession or control by a person of recently stolen property, or the acquisition by a person of property for a consideration known to be far below its reasonable value, gives rise to a presumption that he or she knows or believes that the property was stolen. Jones v. State, 20 Ark. App. 1, 722 S.W.2d 871 (1987).

Where a gun in defendant's possession matched the serial number of a revolver that had been reported missing approximately four months before defendant was found with the gun, a jury was entitled to find, as a matter of fact, that the gun had been “recently stolen,” thus giving rise to the statutory presumption that defendant had knowledge of the gun's status as stolen property. Williams v. State, 93 Ark. App. 353, 219 S.W.3d 676 (2005).

Evidence was sufficient to sustain a conviction for theft by receiving because defendant was in possession of the stolen property, riding and selling one four-wheeler to her ex-husband prior to it becoming public knowledge that the four-wheelers were stolen, and defendant made statements in her alleged attempt to help the deprived owners locate their property that she wanted revenge on her husband whom she accused of committing the theft. Eaton v. State, 98 Ark. App. 39, 249 S.W.3d 812 (2007).

Because there was no evidence regarding how a gun that was stolen seven or eight months earlier came to be in defendant's possession, the theft was not recent enough to give rise to a presumption that defendant knew it was stolen; therefore, the evidence was insufficient to convict defendant of violating subsection (a) of this section. Thomas v. Ark., 2011 Ark. App. 637, 386 S.W.3d 536 (2011).

Trial court did not err in denying defendant's motion for directed verdict where the testimony showed that he was found with a gun that had been stolen three months before his arrest, he concealed it in an armrest in the back of a pickup truck, and attempts had been made to alter the gun's appearance; as a result, the presumption in subdivision (c)(1) of this section applied. Miller v. State, 2018 Ark. App. 478, 561 S.W.3d 345 (2018).

Lesser Included Offense.

The offense of knowingly receiving stolen property was not a lesser offense of either burglary or larceny and therefore an indictment or information charging only the greater offense did not support a conviction of knowingly receiving stolen property. Pickens v. State, 236 Ark. 404, 366 S.W.2d 283 (1963) (decision under prior law).

Possession of stolen property was not necessarily a lesser included offense in burglary or grand larceny, and acquittal on charges of burglary or grand larceny did not necessarily bar defendant's subsequent conviction for possession of the stolen goods. Davis v. State, 256 Ark. 538, 509 S.W.2d 547 (1974) (decision under prior law).

Ownership.

Where there was no competent evidence establishing the ownership of the property, it being a material element in the definition of crime of possession of stolen property, the conviction of stolen property was not proper. King v. State, 250 Ark. 523, 465 S.W.2d 712 (1971) (decision under prior law).

Evidence held sufficient to support a felony conviction where prior ownership of the alleged stolen guns was sufficiently established. Kennedy v. State, 49 Ark. App. 20, 894 S.W.2d 952 (1995).

Possession.

Possession of property recently stolen, unexplained, was evidence of guilt to go to a jury for their consideration, but was not such evidence as to compel the jury to convict, unless it was not rebutted. Boykin v. State, 34 Ark. 443 (1879); Shepherd v. State, 44 Ark. 39 (1884); Reed v. State, 54 Ark. 621, 16 S.W. 819 (1891); Blankenship v. State, 55 Ark. 244, 18 S.W. 54 (1891); Gunter v. State, 79 Ark. 432, 96 S.W. 181 (1906); Threadgill v. State, 207 Ark. 478, 181 S.W.2d 236 (1944) (preceding decisions under prior law).

The possession by a party of stolen goods was a fact from which his complicity in the larceny could be inferred, but this fact standing alone was not sufficient to sustain a conviction; it had to appear that the property was recently stolen, the possession had to be unexplained, and in some form involve an assertion of property in the possessor. Shepherd v. State, 44 Ark. 39 (1884) (decision under prior law).

The acceptability of the accused's explanation of the possession of stolen property was a matter for the jury to decide. Jackson v. State, 101 Ark. 473, 142 S.W. 1153 (1912) (decision under prior law).

Where possession of the stolen property was traced to defendant a short time after her disappearance, instruction that such possession, if unexplained, should be considered as a circumstance in determining guilt, was proper. Stard v. State, 204 Ark. 247, 161 S.W.2d 756 (1942) (decision under prior law).

The possession of recently stolen property, if not satisfactorily explained to the jury, is sufficient to sustain a conviction. Holcomb v. State, 217 Ark. 407, 230 S.W.2d 487 (1950); Fields v. State, 219 Ark. 373, 242 S.W.2d 639 (1951) (preceding decisions under prior law); Patterson v. State, 253 Ark. 393, 486 S.W.2d 19 (1972); Riley v. State, 267 Ark. 916, 593 S.W.2d 45 (Ct. App. 1979); Wilson v. State, 10 Ark. App. 176, 662 S.W.2d 204 (1983).

Where the missing property was found in defendant's possession and no satisfactory explanation, consistent with innocence, was given by him, the evidence against the defendant amounted to more than a suspicion of guilt. Hammond v. State, 232 Ark. 692, 340 S.W.2d 280 (1960) (decision under prior law).

Unexplained possession or control is not eliminated simply whenever the possessor gives a plausible explanation for his possession. Core v. State, 265 Ark. 409, 578 S.W.2d 581 (1979).

Constructive possession occurs when the accused maintains control or the right to control property and when stolen property is found at a location which is under the joint control of the accused and other persons, it is sufficient to prove possession if there are additional factors which would link the accused to the possession. Parker v. State, 270 Ark. 3, 603 S.W.2d 393 (1980).

It is not necessary that the state prove the accused had actual possession of stolen property; it is enough to prove he had constructive possession or the right to control. Jones v. State, 276 Ark. 116, 632 S.W.2d 414 (1982).

Possession of recently stolen property is prima facie evidence of the guilt of the party in whose possession the property is found in cases of burglary, larceny and possession of stolen property, unless satisfactorily accounted for by the evidence. Ward v. State, 280 Ark. 353, 658 S.W.2d 379 (1983).

An accused's unexplained possession or control of recently stolen property is prima facie evidence of his guilt of theft by receiving. Hall v. State, 299 Ark. 209, 772 S.W.2d 317 (1989).

Being a passenger in a stolen vehicle is not, standing alone, enough to establish constructive possession of the vehicle. Avett v. State, 325 Ark. 320, 928 S.W.2d 326 (1996).

Defendant's recurring possession of jewelry later discovered to be stolen held sufficient to sustain conviction. Jenkins v. State, 60 Ark. App. 1, 959 S.W.2d 57 (1997).

Because defendant was unable to explain defendant's possession of property that had been stolen from a neighbor's home the previous day, defendant was properly convicted of violating subsection (a) of this section; consequently, defendant's prior suspensions were properly revoked. Johnson v. State, 2011 Ark. App. 718 (2011).

Evidence was sufficient to support defendant's convictions of felony theft by receiving, possession of methamphetamine, and possession of drug paraphernalia, as defendant was in constructive possession of the contraband found at the residence; although another individual also was in the residence at the time of the search, defendant had listed the residence as his address, the contraband was found in plain view in common areas in and around the house, and the fact that defendant was in a bedroom hiding under a bed when the search commenced did not negate the additional factors linking him to the contraband. Mudd v. State, 2018 Ark. App. 628, 565 S.W.3d 154 (2018).

Restoration of Property.

Keeping stolen property in sight for purpose of returning to owner if he should demand same was not a defense, but only a point to stress before the jury. Fields v. State, 219 Ark. 373, 242 S.W.2d 639 (1951) (decision under prior law).

The defense of receiving property with the purpose of restoring it to the owner is not applicable when property is returned when the defendant was confronted; the purpose must exist at the time of the purchase and it cannot be based upon a general policy of the buyer to relinquish property purchased by him to a claimant who can identify it as his to the satisfaction of the buyer. Core v. State, 265 Ark. 409, 578 S.W.2d 581 (1979).

Retention.

Retaining stolen property is clearly a continuing offense. State v. Reeves, 264 Ark. 622, 574 S.W.2d 647 (1978), cert. denied, Reeves v. Arkansas, 441 U.S. 964, 99 S. Ct. 2412 (1979).

Sentence.

Although defendant's Class C felony conviction for theft by receiving in excess of $500.00 could not stand, defendant did not challenge the sufficiency of the evidence showing that he was generally guilty of theft by receiving and, as the value of the stolen generator was at most $499.99, defendant still stood convicted of a Class A misdemeanor; accordingly, his conviction was modified to reflect the maximum sentence for a Class A misdemeanor of one year, with credit for any time defendant had already served. Russell v. State, 367 Ark. 557, 242 S.W.3d 265 (2006).

In a case in which a minor was adjudicated delinquent pursuant to the juvenile court's finding that he committed the criminal offense of misdemeanor theft by receiving, in violation of subsection (a) of this section, the trial court did not err by revoking the minor's probation from a previous adjudication. He was required to obey all state, federal, and municipal laws as a condition of his probation, and substantial evidence supported the trial court's decision to adjudicate him delinquent. R.W. v. State, 2010 Ark. App. 220 (2010).

Separate Offenses.

Since burglary is a separate offense from theft by receiving, a defendant who had been convicted of burglary was not twice placed in jeopardy by being convicted of theft by receiving property stolen at the time of the burglary. King v. State, 262 Ark. 342, 557 S.W.2d 386 (1977), overruled in part, State v. Brown, 356 Ark. 460, 156 S.W.3d 722 (2004).

Theft and aggravated robbery are separate offenses for which a defendant may be convicted even though they arise out of one incident. Rolark v. State, 299 Ark. 299, 772 S.W.2d 588 (1989).

The legislature did not intend to create a statute that would merge an instance of theft-by-receiving under this section that is committed in one jurisdiction with an instance of theft-of-property under § 5-36-103 committed in a second jurisdiction; clearly, the two crimes are separate and distinct, and an interpretation of § 5-36-102 that the two offenses merge is particularly untenable when applied to factual circumstances wherein the theft crimes are not committed in the same criminal episode. Nelson v. State, 350 Ark. 311, 86 S.W.3d 909 (2002).

Value.

Evidence of the value of the car was necessary to sustain a felony conviction of the possession of a stolen automobile, there being no presumption that the value of such a car was a matter of common knowledge, within the experience of any person, from which the jury could infer that it was worth more than thirty-five dollars. Rogers v. State, 248 Ark. 696, 453 S.W.2d 393 (1970), superseded by statute as stated in, Walker v. State, 318 Ark. 107, 883 S.W.2d 831 (1994) (decision under prior law).

Value as used in this section means the market value of the property at the time and place of the offense, but if the market value cannot be ascertained, value is the cost of replacing the property within a reasonable time. Cannon v. State, 265 Ark. 270, 578 S.W.2d 20 (1979).

The cost of the owner a number of years prior to the offense cannot be substantial evidence that the property had a market value of more than the minimum value for a felony conviction. Cannon v. State, 265 Ark. 270, 578 S.W.2d 20 (1979).

Evidence held insufficient to prove that the property was worth more than minimum value for a felony conviction. Riley v. State, 267 Ark. 916, 593 S.W.2d 45 (Ct. App. 1979).

The purchase price paid by the owner is admissible as a factor for the jury to consider in determining market value, when it is not too remote in time and bears a reasonable relation to present value. Tillman v. State, 271 Ark. 552, 609 S.W.2d 340 (1980); Jones v. State, 276 Ark. 116, 632 S.W.2d 414 (1982).

Evidence of a market value exceeding minimum value for a felony conviction held sufficient. Tillman v. State, 271 Ark. 552, 609 S.W.2d 340 (1980); Jones v. State, 276 Ark. 116, 632 S.W.2d 414 (1982).

Court property allowed the owner of the goods that were stolen to testify as to the price he paid for them a number of years prior to the theft, since the purchase price was not too remote and it bore a reasonable relation to the present value of the goods. Jones v. State, 6 Ark. App. 7, 636 S.W.2d 880 (1982).

Where a gold and silver dealer testified that the stolen gold rings which defendant attempted to sell him were worth far more than minimum value for a felony conviction, his testimony was properly admitted as a positive statement of value by one qualified as an expert, and the fact that he had not accurately weighed the rings nor refreshed his memory as to the market value of gold on the date of the crime affected only the weight to be given his testimony and not its admissibility. Jones v. State, 6 Ark. App. 7, 636 S.W.2d 880 (1982).

Under subdivision (e)(2)(c) of this section, the State is not required to establish the value of the weapon in order to obtain a conviction. Gregory v. State, 9 Ark. App. 242, 657 S.W.2d 570 (1983).

Because the sales tax should not have been included in computing the value of the generator, and the state failed to prove that the warranty was stolen along with the generator, defendant's Class C felony conviction could not stand; however, defendant did not challenge the sufficiency of the evidence showing that he was generally guilty of theft by receiving and, as the value of the generator was at most $499.99, defendant still stood convicted of a Class A misdemeanor. Russell v. State, 367 Ark. 557, 242 S.W.3d 265 (2006).

Defendant's conviction for theft by receiving, in violation of subdivision (e)(3) of this section, was proper because the State proved that the stolen trailer's value was in excess of $ 1,000; the owner of a trailer dealership testified that the owner sold the trailer at issue to the victim for $ 1,475 and even with the damage to the trailer, it would still be worth over $ 1,000. Johnson v. State, 2012 Ark. App. 615 (2012).

Defendant argued that the State was required to put on affirmative proof of the value of the allegedly stolen property, but theft by receiving of a firearm is at least a Class D felony regardless of the weapon's value, and the State is not required to establish the value of the firearm in order to obtain a conviction. Blair v. State, 2018 Ark. App. 509, 562 S.W.3d 261 (2018).

Circuit court did not err in finding that the State had met its burden of proving the vehicle had a fair market value of more than $1,000 when defendant stole it; the owner testified that she had paid $3,900 for the vehicle approximately one year before it was stolen and that she would have been willing to sell it at the time of the theft for $3,000, and her testimony in conjunction with an officer's testimony describing the high-speed chase and a video, which captured the attempted traffic stop and the ensuing pursuit, allowed the circuit court to observe the stolen vehicle and make a determination that it met the minimum statutory value. Beene v. State, 2019 Ark. App. 493, 588 S.W.3d 748 (2019).

Venue.

The crime of receiving stolen property was committed where the property was received, though it was stolen in another state, and it was immaterial whether the property was taken in a state which made the taking larceny. Thompson v. State, 207 Ark. 680, 182 S.W.2d 386 (1944) (decision under prior law).

Cited: Wilkens v. State, 261 Ark. 243, 547 S.W.2d 116 (1977); Brewer v. State, 261 Ark. 732, 551 S.W.2d 218 (1977); Wilson v. State, 261 Ark. 820, 552 S.W.2d 223 (1977); Lipovich v. State, 265 Ark. 55, 576 S.W.2d 720 (1979); Patrick v. State, 265 Ark. 334, 576 S.W.2d 191 (1979); Bateman v. State, 265 Ark. 307, 578 S.W.2d 216 (1979); Reeves v. Mabry, 615 F.2d 489 (8th Cir. 1980); Tolley v. State, 1 Ark. App. 1, 611 S.W.2d 798 (1981); Clinkscale v. State, 13 Ark. App. 149, 680 S.W.2d 728 (1984); Howard v. State, 289 Ark. 587, 715 S.W.2d 440 (1986); Fallon v. State, 24 Ark. App. 119, 749 S.W.2d 686 (1988); Adams v. State, 25 Ark. App. 212, 755 S.W.2d 579 (1988); Williams v. State, 26 Ark. App. 62, 760 S.W.2d 71 (1988); Campbell v. State, 300 Ark. 606, 780 S.W.2d 567 (1989); Johnson v. State, 313 Ark. 308, 854 S.W.2d 336 (1993); Dunham v. State, 315 Ark. 580, 868 S.W.2d 496 (1994); Misenheimer v. State, 100 Ark. App. 189, 265 S.W.3d 764 (2007).

5-36-107. Theft of a trade secret.

  1. A person commits theft of a trade secret if, with a purpose to deprive the owner of the control of a trade secret, the person:
    1. Obtains or discloses to an unauthorized person a trade secret; or
    2. Without authority, makes or causes to be made a copy or an article representing a trade secret.
  2. Theft of a trade secret is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2207; A.S.A. 1947, § 41-2207.

Research References

U. Ark. Little Rock L.J.

Legislative Survey, Civil Procedure, 4 U. Ark. Little Rock L.J. 581.

Case Notes

Cited: State v. Hill, 306 Ark. 375, 811 S.W.2d 323 (1991).

5-36-108. Unauthorized use of a vehicle.

  1. A person commits unauthorized use of a vehicle if the person knowingly takes, operates, or exercises control over another person's vehicle without consent of the owner.
  2. Unauthorized use of a vehicle is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2208; A.S.A. 1947, § 41-2208.

Case Notes

Cited: Branham v. State, 274 Ark. 109, 623 S.W.2d 1 (1981); Greer v. State, 77 Ark. App. 180, 72 S.W.3d 893 (2002).

5-36-109 — 5-36-114. [Reserved.]

  1. A person is guilty of theft of leased, rented, or entrusted property if the person:
    1. Purposely, with a purpose to defraud, or by false pretense takes, carries, leads, drives away, destroys, sells, secretes, converts, or appropriates in any wrongful manner any personal property of another person that is leased, rented, or entrusted to the actor; or
    2. Falsely reports of his or her wealth or mercantile credit and by the false report fraudulently obtains possession of personal property or the labor or service of another person.
  2. The amount involved in the theft of leased, rented, or entrusted property is deemed to be the highest value by any reasonable standard of the personal property, service, or labor.
  3. It is prima facie evidence of purpose to commit theft of leased or rented property if a person who has leased or rented the personal property of another person:
    1. Fails to return or make an arrangement acceptable with the lessor to return the personal property to the owner within five (5) days, excluding Saturday, Sunday, or a state or federal holiday, after proper notice following the expiration of the lease or rental agreement; or
    2. Presents identification to the lessor or renter of the personal property that is false, fictitious, or not current with respect to name, address, place of employment, or other appropriate item.
  4. Proper notice by the lessor or renter of the personal property shall consist of a written demand addressed and mailed by certified or registered mail to the lessee or rentee at the address given at the time of making the lease or rental agreement.
  5. The following factors constitute an affirmative defense to prosecution for theft of leased or rented property:
    1. That the lessee or rentee accurately stated his or her name and address at the time of lease or rental;
    2. That the lessee's or rentee's failure to return the personal property at the expiration date of the lease or rental agreement was lawful;
    3. That the lessee or rentee failed to receive the lessor's or renter's notice personally unless notice was waived; and
    4. That the lessee or rentee returned the personal property to the lessor, renter, or owner within forty-eight (48) hours of the commencement of prosecution, together with any charges for the overdue period and the value of damages to the personal property, if any.
    1. For any lease or rental contract of twenty-five dollars ($25.00) or more, the lessee may waive the notice required in subsection (c) of this section by signing a statement contained in the lease agreement or rental agreement. The waiver shall require a separate signature of the lessee.
    2. The form of the waiver shall be substantially as follows:
  6. A violation of this section is a:
    1. Class B felony if:
      1. The value of the property, service, or labor is twenty-five thousand dollars ($25,000) or more;
      2. The property, service, or labor is obtained by the threat of serious physical injury to any person or destruction of the occupiable structure of another person; or
      3. The property, service, or labor is obtained by threat and the actor stands in a confidential or fiduciary relationship to the person threatened;
    2. Class C felony if:
      1. The value of the property, service, or labor is less than twenty-five thousand dollars ($25,000) but more than five thousand dollars ($5,000);
      2. The property, service, or labor is obtained by threat;
      3. The property is a firearm valued at two thousand five hundred dollars ($2,500) or more; or
      4. The value of the property, service, or labor is five hundred dollars ($500) or more and the theft occurred in an area declared to be under a state of emergency pursuant to proclamation by the President of the United States, the Governor, or the executive officer of a city or county;
    3. Class D felony if:
      1. The value of the property, service, or labor is five thousand dollars ($5,000) or less but more than one thousand dollars ($1,000);
      2. The property is a firearm valued at less than two thousand five hundred dollars ($2,500);
      3. The value of the property, service, or labor is at least one hundred dollars ($100) or more but less than five hundred dollars ($500) and the theft occurred in an area declared to be under a state of emergency pursuant to proclamation by the President of the United States, the Governor, or the executive officer of a city or county;
      4. The property is livestock and the value of the livestock is in excess of two hundred dollars ($200); or
      5. The property is an electric power line, gas line, water line, wire or fiber insulator, electric motor, or other similar apparatus connected to a farm shop, on-farm grain drying and storage complex, heating and cooling system, environmental control system, animal production facility, irrigation system, or dwelling; or
    4. Class A misdemeanor if:
      1. The value of the property, service, or labor is one thousand dollars ($1,000) or less; or
      2. The property has inherent, subjective, or idiosyncratic value to its owner or possessor even if the property has no market value or replacement cost.

“WAIVER OF NOTICE I acknowledge that I shall be subject to criminal penalties for theft under § 5-36-115 for: (a) failure to return or make arrangements acceptable to the lessor to return the property covered by this contract within five (5) days, excluding Saturday, Sunday, or state or federal holidays; or (b) presenting identification to the lessor or renter which is false, fictitious, or not current with respect to name, address, place of employment, or other appropriate items. I hereby waive my right to notice by certified or registered mail before such actions constitute prima facie evidence of an intent to commit theft. Signature Date”

Click to view form.

History. Acts 1977, No. 387, § 1; 1985, No. 883, § 1; A.S.A. 1947, § 41-2209; Acts 1989, No. 720, § 1; 2015, No. 1263, §§ 4, 5.

Amendments. The 2015 amendment substituted “theft of leased, rented, or entrusted property” for “theft and subject to a punishment prescribed by § 5-36-103” in the introductory language of (a); substituted “Purposely, with a purpose to defraud” for “Intentionally, fraudulently” in (a)(1); in (b), substituted “theft of leased, rented, or entrusted property” for “theft” and substituted “personal property, service, or labor” for “property or service that the person stole or attempted to steal”; substituted “purpose to commit theft of leased or rented property” for “intent to commit theft” in the introductory language of (c); in (d), inserted “or renter of the personal property” and “or rentee”; substituted “theft of leased or rented property” for “theft” in the introductory language of (e), inserted references to “rentee” and “renter” throughout (e); inserted “lease or” in (e)(1); in (e)(2), substituted “personal property” for “item” and “lease or rental agreement” for “rental contract”; and added (g).

Case Notes

Affirmative Defense.

This section clearly contemplates that all of the listed factors must be present in order to establish an affirmative defense. Parks v. State, 24 Ark. App. 139, 750 S.W.2d 65 (1988); Cox-Hilstrom v. State, 58 Ark. App. 109, 948 S.W.2d 409 (1997).

Evidence Sufficient.

Evidence was sufficient to sustain defendant's conviction for theft of leased, rented, or entrusted personal property, where he failed to return a vehicle to a rental car company on the date it was due, the vehicle was discovered in Arkansas parked at his residence, he provided a driver's license that did not reflect his current address, and the company had unsuccessfully attempted to contact him. Price v. State, 2016 Ark. App. 102, 483 S.W.3d 312 (2016).

Intent.

Subsection (c) merely provides a method by which the State may prove a prima facie case of intent to commit theft and does not restrict the method the State may use to prove commission of the offense. Cox-Hilstrom v. State, 58 Ark. App. 109, 948 S.W.2d 409 (1997).

Notice.

The owner's notice is not an element of the offense of theft of leased personal property. Cox-Hilstrom v. State, 58 Ark. App. 109, 948 S.W.2d 409 (1997).

Cited: Wrather v. State, 1 Ark. App. 155, 613 S.W.2d 601 (1981); Meadows v. State, 291 Ark. 105, 722 S.W.2d 584 (1987).

5-36-116. Shoplifting presumption — Detention and arrest of person under shoplifting presumption.

    1. The knowing concealment by a person on his or her own person or on the person of another of an unpurchased tangible personal property offered for sale by a store or business establishment gives rise to a presumption that the person took the tangible personal property with the purpose of depriving the owner of the store or business establishment or another person having an interest in the tangible personal property.
      1. A person engaging in conduct giving rise to the presumption under subdivision (a)(1) of this section may be detained in a reasonable manner and for a reasonable length of time by a law enforcement officer, owner of the store or business establishment, or employee or agent of the store or business establishment in order to ensure the recovery of the tangible personal property.
      2. The detention by a law enforcement officer, owner of the store or business establishment, or employee or agent of the store or business establishment does not render the law enforcement officer, owner of the store or business establishment, or employee or agent of the store or business establishment criminally or civilly liable for false arrest, false imprisonment, or unlawful detention.
    1. If sufficient notice has been posted to advise patrons that an antishoplifting or inventory control device is being utilized, the activation of an antishoplifting or inventory control device as a result of a person's exiting a store or business establishment or a protected area within the store or business establishment constitutes reasonable cause for the detention of the person so exiting by a law enforcement officer, the owner of the store or business establishment, or by an agent or employee of the owner.
    2. Any detention under subdivision (b)(1) of this section shall be made only in a reasonable manner and only for a reasonable period of time sufficient for any inquiry into the circumstances surrounding the activation of the antishoplifting or inventory control device or for the recovery of the tangible personal property offered for sale.
    3. A detention under subdivision (b)(1) of this section by a law enforcement officer, owner of the store or business establishment, or employee or agent of the store or business establishment does not render the law enforcement officer, owner of the store or business establishment, or employee or agent of the store or business establishment criminally or civilly liable for false arrest, false imprisonment, or unlawful detention.
  1. A law enforcement officer, owner of the store or business establishment, or employee or agent of the store or business establishment who observed the person engaging in conduct giving rise to the presumption under subdivision (a)(1) of this section shall provide a written statement that serves as probable cause to justify an arrest if a law enforcement officer arrests the person for theft of property, § 5-36-103.

History. Acts 1957, No. 50, § 4; 1971, No. 164, § 1; 1975, No. 458, § 1; 1975, No. 928, § 15; 1983, No. 551, § 1; 1985, No. 404, § 1; A.S.A. 1947, § 41-2251; Acts 2005, No. 1994, § 246; 2015, No. 1263, § 3.

Amendments. The 2015 amendment rewrote the section heading and the section.

Case Notes

Purpose.

Purpose of this section is to create a presumption that concealment on the person is prima facie evidence of willful concealment. Safeway Stores, Inc. v. Gross, 240 Ark. 206, 398 S.W.2d 669 (1966).

Detention.

Although plaintiff was detained pursuant to subsection (a) of this section, there was insufficient evidence to show the detention or imprisonment requirement of the tort of false arrest. Limited Stores, Inc. v. Wilson-Robinson, 317 Ark. 80, 876 S.W.2d 248 (1994).

Defendant was observed by a store manager stuffing merchandise down his pants, then leaving the store, and this gave rise to a reasonable suspicion on which the officer could detain defendant under Ark. R. Crim. P. 3.1, and also gave rise to the statutory shoplifting presumption; the officer testified that he detained defendant until after the store manager completed an affidavit and did not search him until afterwards, and the detention was proper under the statute. Wells v. State, 2017 Ark. App. 174, 518 S.W.3d 106 (2017) (decided under former version of statute).

Instructions.

Instruction that the finding of unpurchased goods or merchandise willfully concealed upon the person or among the belongings of such person shall be prima facie evidence of concealment held reversible error. Safeway Stores, Inc. v. Gross, 240 Ark. 206, 398 S.W.2d 669 (1966).

Where the challenged instruction merely set out the law applicable to the issue of false arrest, and where the instruction did not advise the jury that any presumption had been established by the evidence adduced at trial, but to the contrary, advised the jury that if they found the facts to meet the requisites for the statutory presumption, then their verdict should be for defendant, the instruction given was not erroneous. Dawson v. Pay Less Shoes #904 Co., 269 Ark. 23, 598 S.W.2d 83 (1980).

Presumption.

The statutory presumption is not essential to a conviction on a charge of shoplifting, if the evidence is otherwise sufficient, i.e., if intent to deprive the owner of the property involved is shown by evidence from which that intent may be inferred. Smith v. State, 264 Ark. 874, 575 S.W.2d 677 (1979) (decided under former statute).

The statutory presumption would justify the submission of the question of intent only if a reasonable juror on the evidence as a whole, including the evidence of basic facts, could find the requisite intent beyond a reasonable doubt. Smith v. State, 264 Ark. 874, 575 S.W.2d 677 (1979) (decided under former statute).

Where the evidence showed that unpurchased goods were in sight at all times, the plaintiff did not have to overcome the statutory presumption that larcenous intent can be presumed where unpurchased goods are concealed on the person. Wal-Mart Stores, Inc. v. Yarbrough, 284 Ark. 345, 681 S.W.2d 359 (1984) (decided under former statute).

Evidence held sufficient to give rise to the necessary statutory presumption. Phillips v. State, 17 Ark. App. 86, 703 S.W.2d 471 (1986) (decided under former statute).

The statutory presumption does not establish probable cause as a matter of law in a malicious prosecution proceeding. Wal-Mart Stores, Inc. v. Williams, 71 Ark. App. 211, 29 S.W.3d 754 (2000) (decided under former statute).

Cited: Kroger Co. v. Standard, 283 Ark. 44, 670 S.W.2d 803 (1984); Mendenhall v. Skaggs Cos., 285 Ark. 236, 685 S.W.2d 805 (1985); Phillips v. State, 17 Ark. App. 86, 703 S.W.2d 471 (1986); Murray v. Wal-Mart, Inc., 874 F.2d 555 (8th Cir. 1989).

5-36-117. [Repealed.]

Publisher's Notes. This section, concerning possession of more than 10 pounds of mercury without evidence of title, was repealed by Acts 2005, No. 1994, § 540. The section was derived from Acts 1969, No. 84, §§ 1, 2; A.S.A. 1947, §§ 41-2252, 41-2253.

5-36-118. [Repealed.]

Publisher's Notes. This section, concerning embezzlement by an officer or employee of certain institutions, was repealed by Acts 2005, No. 1994, § 514. The section was derived from Acts 1893, No. 159, § 3, p. 273; 1893, No. 178, § 3, p. 314; 1893, No. 188, § 3, p. 340; C. & M. Dig., § 9330; Pope's Dig., § 12518; A.S.A. 1947, § 7-108.

5-36-119. [Repealed.]

Publisher's Notes. This section, concerning construction of Acts 1997, No. 516, was repealed by Acts 2005, No. 1994, § 529. The section was derived from Acts 1997, No. 516, § 5.

5-36-120. Theft of motor fuel.

  1. A person commits the offense of theft of motor fuel if the person knowingly operates an automobile or other related vehicle after placing motor fuel in the automobile or other related vehicle at a:
    1. Service station, filling station, garage, or other business where motor fuel is offered for sale at retail, so as to cause the automobile or other related vehicle to leave the premises of the service station, filling station, gasoline station, garage, or any other business where motor fuel is offered for sale at retail, with the intent of depriving the owner of the motor fuel and not making payment for the motor fuel; or
    2. Location owned by a political subdivision or nonprofit entity whether or not the motor fuel is offered for sale at retail, so as to cause the automobile or other related vehicle to leave the premises of the political subdivision or nonprofit entity, with the intent of depriving the owner of the motor fuel and not making payment for the motor fuel.
  2. Theft of motor fuel is a Class A misdemeanor.
      1. In addition to a penalty in subsection (b) of this section, a person who pleads guilty or nolo contendere to or is found guilty of theft of motor fuel shall have his or her driver's license suspended by the court for a period of not more than six (6) months.
      2. However, if the person's driver's license has previously been suspended for theft of motor fuel, the court shall suspend the person's driver's license for not less than one (1) year.
      1. The court shall immediately take possession of any suspended driver's license and forward it to the Office of Driver Services.
      2. The office shall notify the licensee of the suspension and of an opportunity to request a hearing to determine if a restricted permit should be issued during the time of suspension.
  3. Any service station, filling station, garage, or other location where motor fuel is offered for sale at retail shall prominently display on each face of a retail product dispenser a sign that contains the following: “THEFT OF MOTOR FUEL IS A CLASS A MISDEMEANOR AND CARRIES A MAXIMUM PENALTY OF ONE (1) YEAR IN JAIL, $1000 FINE, AND A ONE (1) YEAR SUSPENSION OF YOUR DRIVER'S LICENSE.”
  4. As used in this section:
    1. “Nonprofit entity” means an organization that is exempt from income tax under 26 U.S.C. § 501(a); and
    2. “Political subdivision” means an agency, department, or other governing body of the state.

History. Acts 2001, No. 745, § 2; 2005, No. 900, § 1; 2011, No. 194, § 9.

A.C.R.C. Notes. Regarding the language in subsection (d) of this section, the maximum fine for a Class A misdemeanor was changed from $1000 to $2500 in 2009 by Acts 2009, No. 209, § 1. See § 5-4-201.

Amendments. The 2011 amendment deleted “under § 27-16-907(a)” following “the court” in (c)(1)(A).

5-36-121. Theft of recyclable materials.

    1. No person shall divert to personal use any recyclable material valued at fifty dollars ($50.00) or more and placed in a container as a part of a recycling program without the consent of the generator or the collector of the recyclable material or the person owning or operating the container as a part of the recycling program.
      1. For a first offense under subdivision (a)(1) of this section, a person shall be issued a citation that is a warning citation and no court appearance is required and no penalty shall be imposed by the court.
      2. A record of each warning citation issued shall be maintained and for any subsequent offense, the offender is subject to a penalty prescribed.
    2. Any person who pleads guilty or nolo contendere to or is found guilty of violating subdivision (a)(1) of this section for a subsequent offense is guilty of a Class C misdemeanor.
    1. No person shall divert to commercial use any recyclable material placed in a container as a part of a recycling program without the consent of the generator or the collector of the recyclable material or the person owning or operating the container as a part of the recycling program.
    2. Any person who pleads guilty or nolo contendere to or is found guilty of violating a provision of subdivision (b)(1) of this section is guilty of a Class A misdemeanor.

History. Acts 2001, No. 1720, § 1.

Cross References. Disposal of solid waste, § 8-6-201 et seq.

Recyclable materials collection centers, § 8-6-720.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

5-36-122. Motion picture piracy.

  1. As used in this section:
    1. “Audiovisual recording function” means the capability of a device to record or transmit an image, a sound, or any part of an image or sound;
    2. “Motion picture” means any series of images projected on a film screen or displayed in or on any other matter in successive and slightly changed positions so as to produce the optical effect of a continuous picture in which the images move; and
    3. “Motion picture theater” means any movie theater, screening room, or other venue utilized primarily for the exhibition of a motion picture that has been produced for commercial distribution.
  2. A person commits motion picture piracy if, without the consent of the motion picture theater owner or lessee, the person operates the audiovisual recording function of any device in a motion picture theater while a motion picture is being exhibited with the purpose of recording an image or sound of the motion picture.
      1. An owner, a lessee, or an employee of a motion picture theater who reasonably suspects a person of committing motion picture piracy in the motion picture theater may detain the person in a reasonable manner and for a reasonable length of time in order to identify the person and to transfer custody of the person to a law enforcement officer.
      2. A detention conducted in a reasonable manner and for a reasonable length of time by an owner, a lessee, or an employee of the motion picture theater does not render the owner, lessee, or employee criminally or civilly liable for false arrest, false imprisonment, or unlawful detention.
      1. Upon detention of a person under this section, an owner, a lessee, or an employee of the motion picture theater shall promptly and without delay contact a law enforcement agency, and the owner, lessee, or employee of the motion picture theater shall release the person to the custody of the responding law enforcement officer.
      2. The owner, lessee, or employee of a motion picture theater who observed the person reasonably suspected of committing the offense of motion picture piracy shall provide a written statement to the responding law enforcement officer and the written statement serves as probable cause to justify an arrest.
      1. A law enforcement officer may arrest a person without a warrant upon probable cause for believing the person has committed the offense of motion picture piracy.
      2. Upon arrest by a law enforcement officer, the arrested person shall be afforded the opportunity to make a bond or recognizance as in other criminal cases.
  3. This section does not prevent any investigative officer, law enforcement officer, protective officer, intelligence officer, employee, or agent of a local municipal, county, state, or federal government from operating any audiovisual recording device in a motion picture theater as part of a lawfully authorized investigative, law enforcement, protective, or intelligence gathering activity.
  4. Motion picture piracy is a Class A misdemeanor.

History. Acts 2005, No. 1932, § 1.

5-36-123. Theft of scrap metal.

  1. As used in this section:
    1. “Building material” means scrap metal used in the construction or rebuilding of a building or a structure;
    2. “Costs of incidental damage” means the total amount of money damages suffered by an owner of scrap metal as a direct result of the theft of the scrap metal, including lost income, lost profits, and costs of repair or replacement of property damage;
    3. “Incidental damage” means loss of income, loss of profit, or property damage;
    4. “Permitted construction site” means the site of construction, alteration, painting, or repair of a building or a structure for which a building permit has been issued by a city of the first class, a city of the second class, an incorporated town, or a county;
    5. “Public safety agency” means an agency of the State of Arkansas or a functional division of a political subdivision that provides:
      1. Firefighting and rescue;
      2. Response to natural or human-caused disaster or a major emergency;
      3. Law enforcement; or
      4. Ambulance or emergency medical services;
    6. “Public safety device” includes, but is not limited to, a traffic-signaling device or a railroad-crossing device;
    7. “Scrap metal” means copper, copper alloy, copper utility wire, any bronze, or any aluminum as described in § 17-44-101 et seq.;
    8. “Utility” means any person or entity providing to the public gas, electricity, water, sewer, telephone, telegraph, radio, radio common carrier, railway, railroad, cable and broadcast television, video, or internet services; and
    9. “Utility property” means any component that is reasonably necessary to provide utility services, including without limitation any wire, pole, facility, machinery, tool, equipment, cable, insulator, switch, signal, duct, fiber optic cable, conduit, plant, work, system, substation, transmission or distribution structure, line, street lighting fixture, generating plant, equipment, pipe, main, transformer, underground line, gas compressor, meter, or any other building or structure or part of a building or structure that a utility uses in the production or use of its services.
  2. A person commits theft of scrap metal if he or she commits, aids, or is an accomplice to a commission of theft of property under § 5-36-103(a) and the property is scrap metal.
  3. Theft of scrap metal is a:
    1. Class B felony if:
      1. The value of the property is twenty-five thousand dollars ($25,000) or more;
      2. The property is obtained by the threat of serious physical injury to any person or destruction of the occupiable structure of another person;
      3. The property is obtained by threat and the actor stands in a confidential or fiduciary relationship to the person threatened; or
      4. The property is utility property and the value of the property is five hundred dollars ($500) or more;
    2. Class C felony if:
      1. The value of the property is less than twenty-five thousand dollars ($25,000) but more than five thousand dollars ($5,000);
      2. The property is obtained by threat;
      3. The property is building material obtained from a permitted construction site and the value of the building material is five hundred dollars ($500) or more; or
      4. The value of the property is five hundred dollars ($500) or more and the theft occurred in an area declared to be under a state of emergency pursuant to proclamation by the President of the United States, the Governor, or the executive officer of a city or county;
    3. Class D felony if:
      1. The value of the property is five thousand dollars ($5,000) or less but more than one thousand dollars ($1,000);
      2. The value of the property is at least one hundred dollars ($100) but less than five hundred dollars ($500) and the theft occurred in an area declared to be under a state of emergency pursuant to proclamation by the President of the United States, the Governor, or the executive officer of a city or county; or
      3. The property is an apparatus connected to a farm shop, on-farm grain drying and storage complex, heating and cooling system, environmental control system, animal production facility, irrigation system, or dwelling; or
    4. Class A misdemeanor if:
      1. The value of the property is one thousand dollars ($1,000) or less; or
      2. The property has inherent, subjective, or idiosyncratic value to its owner or possessor even if the property has no market value or replacement cost.
    1. The penalty for theft of scrap metal is enhanced if, upon the proclamation of a state of emergency by the President of the United States or the Governor or upon the declaration of a local emergency by the executive officer of any city or county and for a period of thirty (30) days following that declaration, the property is:
      1. A generator intended for use by:
        1. A public facility;
        2. A nursing home or hospital;
        3. An airport;
        4. A public safety device;
        5. A communication tower or facility;
        6. A public utility;
        7. A water system or sewer system;
        8. A public safety agency; or
        9. Any other facility or entity providing a vital service; or
      2. Any other equipment used in the transmission of electric power or telephone service.
    2. The penalty is enhanced as follows:
        1. The fine for the offense shall be at least five thousand dollars ($5,000) and not more than fifty thousand dollars ($50,000).
        2. The fine is mandatory; and
      1. The offense is a Class D felony if it otherwise would have been a Class A misdemeanor.
  4. Upon conviction of a person for theft of scrap metal, the classification and penalty range shall be increased by one (1) classification if:
    1. The person caused incidental damage to the owner of the scrap metal or the property of the owner of the scrap metal while committing the theft of scrap metal and the costs of incidental damage were more than two hundred fifty dollars ($250); or
    2. The person transported the scrap metal across state lines to sell or dispose of the scrap metal.

History. Acts 2007, No. 630, § 1; 2013, No. 1354, § 2; 2015, No. 1263, § 6.

Amendments. The 2013 amendment inserted “aids, or is an accomplice to a commission of” in (a).

The 2015 amendment rewrote the section.

Case Notes

Sufficiency of Evidence.

Trial court properly convicted defendant of theft of scrap metal and first-degree criminal mischief because defendant's girlfriend admitted that she and defendant were depicted in photos taken by a motion-activated camera, and while her testimony did not have to be corroborated as to the misdemeanors pursuant to § 16-89-111(e), circumstantial evidence independently established the crimes and tended to connect defendant to the commission of those crimes. The photos indicated that defendant and his girlfriend were near the wire prior to its being stolen, a signal maintainer testified that he did not leave unused wire on the ground when replacing the stolen wire, and there was testimony that the theft of the wire stopped after defendant was caught. Procella v. State, 2016 Ark. App. 515, 504 S.W.3d 686 (2016).

5-36-124. Theft by receiving of scrap metal.

  1. As used in this section:
    1. “Receiving” means acquiring possession, control, or title or lending on the security of the scrap metal; and
    2. “Scrap metal” means copper, copper alloy, copper utility wire, any bronze, or any aluminum as described in § 17-44-101 et seq.
  2. A person commits the offense of theft by receiving of scrap metal if he or she receives, retains, purchases, or disposes of scrap metal of another person and he or she knows or should have known that the scrap metal was stolen.
  3. Theft by receiving of scrap metal is a:
    1. Class A misdemeanor; or
    2. Class D felony if it is a second or subsequent offense of theft by receiving of scrap metal or the value of the scrap metal is more than one thousand dollars ($1,000).
  4. A person convicted of a felony offense under this section is subject to an enhanced sentence of an additional term of imprisonment of five (5) years at the discretion of the court if the finder of fact finds that the scrap metal was nonferrous metal, as it is defined in § 17-44-101.

History. Acts 2011, No. 1193, § 1; 2013, No. 1125, § 8; 2013, No. 1354, §§ 3, 4.

Amendments. The 2013 amendment by No. 1125 redesignated former (c)(1) as present (c); deleted former (c)(1)(A), (c)(1)(B), and (c)(2); and inserted present (c)(1) and (c)(2).

The 2013 amendment by No. 1354, in (b), inserted “purchases” and substituted “and he or she knows or should have known” for “knowing”; and added (d).

5-36-125. Unlawful transfer of stolen property to a pawn shop or pawnbroker.

  1. A person commits the offense of unlawful transfer of stolen property to a pawn shop or pawnbroker if he or she sells, pawns, or otherwise transfers an ownership interest in stolen property of another person to a pawn shop or pawnbroker:
    1. Knowing that the property was stolen; or
    2. Having good reason to believe that the property was stolen.
  2. Unlawful transfer of stolen property to a pawn shop or pawnbroker is a:
    1. Class A misdemeanor; or
    2. Class D felony for a second or subsequent offense within five (5) years of a prior offense.

History. Acts 2013, No. 1290, § 1.

Subchapter 2 — Theft of Public Benefits

Cross References. Claims for benefits, § 5-55-301.

Illegal food coupons, § 5-55-201 et seq.

Medicaid Fraud Act, § 5-55-101 et seq.

Effective Dates. Acts 1997, No. 1058, § 33: July 1, 1997. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the United States Congress has amended the laws pertaining to certain federally funded public assistance programs; that these programs are crucial to the life and health of many needy citizens of the State of Arkansas who otherwise will be unable to obtain food, clothing, shelter, or medical care; that federal law mandates participating states to implement new public assistance programs on or before July 1, 1997, or forfeit federal funding necessary for such programs; that this act so provides. Therefore, an emergency is declared to exist and this act being necessary for the preservation of the public peace, health, and safety, shall be in full force and effect on July 1, 1997.”

Acts 1999, No. 1567, § 28: July 1, 1999. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the United States Congress has amended the laws pertaining to certain federally funded public assistance programs; that these programs are crucial to the life and health of many needy citizens of the State of Arkansas who otherwise will be unable to obtain food, clothing, shelter, or medical care; that federal funds have already been appropriated for this program and any delays could work irreparable harm upon the proper administration of essential governmental programs and the State of Arkansas may risk forfeiture of the federal funding; that this act so provides. Therefore, an emergency is declared to exist and this act being necessary for the preservation of the public peace, health, and safety, shall be in full force and effect on July 1, 1999.”

5-36-201. Definitions.

As used in this subchapter:

  1. “Misrepresentation” means any manifestation by a word or other conduct by a person to another person that, under the circumstances, amounts to an assertion not in accordance with fact; and
  2. “Public benefit” means any federal or state funds, or any combination of federal or state funds, in cash or in kind, whose distribution to the public is administered by an agency of the State of Arkansas.

History. Acts 1993, No. 320, § 1.

5-36-202. Theft of public benefits.

  1. A person commits theft of public benefits if the person:
    1. Obtains or retains a public benefit from the Department of Human Services or any other state agency administering the distribution of a public benefit:
      1. By means of any false statement, misrepresentation, or impersonation; or
      2. Through failure to disclose a material fact used in making a determination as to the person's qualification to receive a public benefit; or
    2. Receives, retains, or disposes of a public benefit knowing or having reason to know that the public benefit was obtained in violation of this subchapter.
  2. Presentation of false or fictitious information or failure to disclose a material fact in the process of obtaining or retaining public benefits is prima facie evidence of purpose to commit theft of public benefits.
  3. Theft of public benefits is a:
    1. Class B felony if the value of the public benefit is two thousand five hundred dollars ($2,500) or more;
    2. Class C felony if the value of the public benefit is less than two thousand five hundred dollars ($2,500) but more than five hundred dollars ($500); or
    3. Class A misdemeanor if the value of the public benefit is five hundred dollars ($500) or less.
  4. In addition to an extended term of imprisonment provided by § 5-4-501 for a habitual offender, any person who pleads guilty or nolo contendere to or is found guilty of violating this section shall be imprisoned:
    1. For no less than seven (7) days for a second offense occurring within five (5) years of a prior offense;
    2. For no less than ninety (90) days for a third offense occurring within five (5) years of a prior offense; and
    3. For at least one (1) year for a fourth or subsequent offense occurring within five (5) years of a prior offense.
  5. In addition to restitution, any person who pleads guilty or nolo contendere to or is found guilty of violating this section shall be fined no less than:
    1. One hundred fifty dollars ($150) for the first offense;
    2. Four hundred dollars ($400) for a second offense occurring within five (5) years of a prior offense; and
    3. Nine hundred dollars ($900) for a third or subsequent offense occurring within five (5) years of a prior offense.

History. Acts 1993, No. 320, §§ 2, 3; 2015, No. 1263, § 7.

Amendments. The 2015 amendment substituted “purpose to commit” for intent to commit” in (b); and added (c) through (e).

5-36-203. [Repealed.]

Publisher's Notes. This section, concerning penalties for theft of public benefits, was repealed by Acts 2015, No. 1263, § 8. The section was derived from Acts 1993, No. 320, § 4; 2005, No. 1994, § 463.

5-36-204. [Repealed.]

Publisher's Notes. This section, concerning imprisonment and fines for theft of public benefits, was repealed by Acts 2015, No. 1263, § 9. The section was derived from Acts 1993, No. 320, §§ 5, 6.

5-36-205. Ineligibility for programs.

In addition to a penalty set forth in this subchapter:

  1. Except as set forth in subdivision (4) of this section, any recipient of a food stamp who pleads guilty or nolo contendere to or is found guilty of a violation set forth in this subchapter is ineligible for further participation in the food stamp program, as follows:
    1. For a period of one (1) year upon the first occasion of an offense pertaining to the receipt of a food stamp;
    2. For a period of two (2) years upon the second occasion of an offense pertaining to the receipt of a food stamp; and
    3. Permanently upon the third occasion of an offense pertaining to the receipt of a food stamp;
  2. Any recipient of transitional employment assistance who pleads guilty or nolo contendere to or is found guilty of a violation set forth in this subchapter is ineligible for further participation in the Transitional Employment Assistance Program, as follows:
    1. For a period of one (1) year upon the first occasion of an offense pertaining to the receipt of transitional employment assistance;
    2. For a period of two (2) years upon the second occasion of an offense pertaining to the receipt of transitional employment assistance; and
    3. Permanently upon the third occasion of an offense pertaining to the receipt of transitional employment assistance;
  3. Any recipient of supplemental security income who pleads guilty or nolo contendere to or is found guilty of a violation set forth in this subchapter is ineligible for further participation in the Supplemental Security Income Program, as follows:
    1. For a period of one (1) year upon the first occasion of an offense pertaining to the receipt of supplemental security income;
    2. For a period of two (2) years upon the second occasion of an offense pertaining to the receipt of supplemental security income; and
    3. Permanently upon the third occasion of an offense pertaining to the receipt of supplemental security income; and
  4. An individual is ineligible to participate in the food stamp program as a member of any household for a ten-year period if the individual is found by the Department of Human Services to have made or is found guilty of or pleads guilty or nolo contendere to having made a fraudulent statement or representation with respect to the identity or place of residence of the individual in order to receive multiple benefits simultaneously.

History. Acts 1993, No. 320, § 7; 1995, No. 1174, § 1; 1997, No. 1058, § 28; 1999, No. 1567, § 2.

Cross References. Purpose behind 1999 amendment of Arkansas Personal Responsibility and Public Assistance Reform Act, § 20-76-438.

5-36-206. Deputizing attorneys to prosecute offenses.

The prosecuting attorney may deputize an attorney of the Office of Chief Counsel of the Department of Human Services or the appropriate state agency to prosecute an offense under this subchapter.

History. Acts 1993, No. 320, § 8.

Subchapter 3 — Wireless Services Theft Prevention Law

Cross References. Interception and recording, § 5-60-120.

5-36-301. Title.

This subchapter may be cited as the “Wireless Services Theft Prevention Law”.

History. Acts 1997, No. 1310, § 1.

5-36-302. Definitions.

As used in this subchapter:

  1. “Manufacture of a wireless device” means to produce, activate, or assemble a wireless device or to modify, alter, program, or reprogram a device to be capable of acquiring or facilitating the acquisition of a wireless service without the consent of the wireless service provider;
    1. “Wireless device” means any type of instrument, device, machine, or equipment that is capable of transmitting or receiving telephonic, electronic, or radio communications and that is capable, or has been altered, modified, programmed, or reprogrammed alone or in conjunction with another access device or other equipment so as to be capable of acquiring or facilitating the acquisition of a wireless service without the consent of the wireless service provider.
    2. “Wireless device” includes, but is not limited to, a phone altered to obtain service without the consent of the wireless service provider, a tumbler phone, counterfeit or clone phone, tumbler microchip, counterfeit or clone microchip, or other instrument capable of disguising its identity or location or of gaining access to a communications system operated by a wireless service provider;
  2. “Wireless service” includes, but is not limited to, any service provided for a charge or compensation to facilitate the origination, transmission, emission, or reception of a sign, signals, data, writing, image or sound, or intelligence of any nature by telephone, including a cellular, personal communication service, wireless, radio, electromagnetic, photoelectronic, or photo-optical system; and
  3. “Wireless service provider” means a person or entity providing a commercial mobile service as defined in § 23-17-403.

History. Acts 1997, No. 1310, § 2.

5-36-303. Theft of wireless service.

  1. A person commits the offense of theft of wireless service if he or she purposely obtains wireless service by the use of an unlawful wireless device or without the consent of the wireless service provider.
  2. Theft of wireless service is a:
    1. Class A misdemeanor if the aggregate value of wireless service obtained is one thousand dollars ($1,000) or less;
    2. Class D felony if the:
      1. Aggregate value of wireless service obtained is five thousand dollars ($5,000) or less but more than one thousand dollars ($1,000); or
      2. Stolen wireless service is used to communicate a threat of damage or injury by bombing, fire, or other means, in a manner likely to:
        1. Place another person in reasonable apprehension of physical injury to himself or herself or another person or of damage to his or her property or to the property of another person; or
        2. Create a public alarm;
    3. Class C felony if the:
      1. Aggregate value of wireless service is more than five thousand dollars ($5,000) but less than twenty-five thousand dollars ($25,000);
      2. Conviction is for a second or subsequent offense; or
      3. Person convicted of the offense has been previously convicted of any similar crime in this or any other state or federal jurisdiction; or
    4. Class B felony if the aggregate value of the wireless service is twenty-five thousand dollars ($25,000) or more.

History. Acts 1997, No. 1310, § 3; 2003, No. 1087, § 25; 2011, No. 570, § 26.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided:

“Legislative intent. The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2011 amendment inserted “wireless” in (a), (b)(2)(A), (b)(2)(B) and (a)(3)(A); substituted “purposely” for “intentionally” in (a); substituted “one thousand dollars ($1,000)” for “five hundred dollars ($500)” in (b)(1); substituted “Class D” for “Class C” in the introductory paragraph of (b)(2); rewrote (b)(2)(A); substituted “Class C” for “Class B” in the introductory paragraph of (b)(3); rewrote (b)(3)(A); and added (b)(4).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Theft of Wireless Service, 26 U. Ark. Little Rock L. Rev. 364.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Computer Crimes, 26 U. Ark. Little Rock L. Rev. 361.

5-36-304. Facilitating theft of wireless service by manufacture, distribution, or possession of devices for theft of wireless services.

  1. A person commits the offense of facilitating theft of wireless service if he or she:
    1. Makes, distributes, possesses, uses, assembles, modifies, alters, programs, or reprograms a wireless device for the purpose of:
      1. Commission of a theft of wireless service or to acquire or facilitate the acquisition of wireless service without the consent of the wireless service provider; or
      2. Concealing or assisting another person to conceal from any wireless service provider or from any lawful authority the existence or place of origin or of destination of any wireless communication; or
    2. Sells, possesses, distributes, gives, or otherwise transfers to another or offers, promotes, or advertises for sale any wireless device or any plans or instructions for making or assembling a wireless device, under circumstances evidencing an intent to use or employ the wireless device, or to allow it to be used or employed, for a purpose described in subdivision (a)(1) of this section or knowing or having reason to believe that the wireless device is intended to be so used, or that the plans or instructions are intended to be used for making or assembling a wireless device intended to be used in violation of this subchapter.
  2. Facilitating theft of wireless service is a:
    1. Class A misdemeanor if the aggregate value of service obtained is five hundred dollars ($500) or less;
    2. Class C felony if the aggregate value of service obtained is more than five hundred dollars ($500) but less than twenty-five hundred dollars ($2500); or
    3. Class B felony if the:
      1. Aggregate value of service is twenty-five hundred dollars ($2500) or more;
      2. Conviction is for a second or subsequent offense; or
      3. Person convicted of the offense has been previously convicted of any similar crime in this or any other state or federal jurisdiction.

History. Acts 1997, No. 1310, § 4.

5-36-305. Restitution.

In addition to any other sentence authorized by law, the court may sentence a person convicted of violating this subchapter to make restitution in the manner prescribed in § 5-4-205.

History. Acts 1997, No. 1310, § 5.

5-36-306. Civil remedy.

In a civil action in any court of competent jurisdiction, a wireless service provider aggrieved by a violation of this subchapter may obtain appropriate relief, including:

  1. Preliminary and other equitable or declaratory relief;
  2. Compensatory and punitive damages;
  3. Reasonable investigation expenses;
  4. Costs of suit; and
  5. Attorney fees.

History. Acts 1997, No. 1310, § 6.

5-36-307. Scanners not prohibited.

The provisions of this subchapter shall not be construed to prohibit the possession or use of a police scanner or an emergency scanner available to the general public.

History. Acts 1997, No. 1310, § 7.

Subchapter 4 — Offenses Involving Theft Detection Devices

Cross References. Consolidation of offenses — Shoplifting presumption — Amount of theft, § 5-36-102

Detention of shoplifting suspects, § 5-36-116.

5-36-401. Unlawful use of a theft detection shielding device.

  1. A person commits the offense of unlawful use of a theft detection shielding device if the person knowingly manufactures, sells, offers for sale, or distributes in any way a laminated or coated bag or device peculiar to and marketed for shielding and intended to shield merchandise from detection by an electronic or magnetic theft alarm sensor.
    1. The unlawful use of a theft detection shielding device is a Class A misdemeanor.
    2. A subsequent violation of this section is a Class D felony.

History. Acts 2001, No. 1194, § 1.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

5-36-402. Unlawful possession of a theft detection shielding device.

  1. A person commits the offense of unlawful possession of a theft detection shielding device if the person knowingly possesses any laminated or coated bag or device peculiar to and designed for shielding and intended to shield merchandise from detection by an electronic or magnetic theft alarm sensor with the intent to commit theft or retail theft.
    1. The unlawful possession of a theft detection shielding device is a Class A misdemeanor.
    2. A subsequent violation of this section is a Class D felony.

History. Acts 2001, No. 1194, § 2.

5-36-403. Unlawful possession of a theft detection device remover.

  1. A person commits the offense of unlawful possession of a theft detection device remover if the person knowingly possesses any tool or device designed to allow the removal of any theft detection device from any merchandise with the intent to use the tool to remove any theft detection device from any merchandise without the permission of the merchant or person owning or holding the merchandise.
    1. The unlawful possession of a theft detection device remover is a Class A misdemeanor.
    2. A subsequent violation of this section is a Class D felony.

History. Acts 2001, No. 1194, § 3.

5-36-404. Unlawful removal of a theft detection device.

  1. A person commits the offense of unlawful removal of a theft detection device if the person knowingly removes a theft detection device from merchandise prior to purchase with the intent to commit theft or retail theft.
    1. The unlawful removal of a theft detection device is a Class A misdemeanor.
    2. A subsequent violation of this section is a Class D felony.

History. Acts 2001, No. 1194, § 4.

5-36-405. Detention upon activation of antishoplifting or inventory control device.

  1. If sufficient notice has been posted to advise patrons that an antishoplifting or inventory control device is being utilized, the activation of an antishoplifting or inventory control device as a result of a person's exiting an establishment or a protected area within the establishment is a reasonable cause for the detention of the person exiting by the owner or operator of the establishment or by an agent or employee of the owner or operator.
  2. Any detention shall be made only in a reasonable manner and only for a reasonable period of time sufficient for any inquiry into the circumstances surrounding the activation of the antishoplifting or inventory control device or for the recovery of a good.
  3. The taking of a person into custody and detention by a law enforcement officer, merchant, or merchant's employee, in compliance with this section, does not render the law enforcement officer, merchant, or merchant's employee criminally or civilly liable for false arrest, false imprisonment, or unlawful detention.

History. Acts 2001, No. 1194, § 5.

Cross References. Detention of shoplifting suspects, § 5-36-116.

5-36-115. Theft of leased, rented, or entrusted personal property — False report of wealth or credit.

Chapter 37 Forgery and Fraudulent Practices

Cross References. False report of wealth or credit, § 5-36-115.

Research References

Am. Jur. 36 Am. Jur. 2d, Forgery, § 1 et seq.

37 Am. Jur. 2d, Fraud, § 1 et seq.

C.J.S. 37 C.J.S., Forgery, § 1 et seq.

37 C.J.S., Fraud, § 1 et seq.

U. Ark. Little Rock L.J.

DeSimone, Survey of Criminal Law, 3 U. Ark. Little Rock L.J. 191.

Case Notes

Cited: Hunter v. State, 278 Ark. 428, 645 S.W.2d 954 (1983).

Subchapter 1 — General Provisions

5-37-101. Definitions.

As used in this chapter:

  1. “Coin machine” means a coin box, turnstile, vending machine, receptacle, or other mechanical or electronic device designed to receive a coin or bill of a certain denomination or token made for that purpose, and in return for the insertion or deposit of the coin, bill, or token, to offer, to provide, to assist in providing, or to permit the acquisition of property or public or private service;
  2. “Credit card” means any instrument or device issued with or without fee by an issuer for use in obtaining money, goods, services, or anything else of value on credit;
    1. “Deception” means:
      1. Creating or reinforcing a false impression, including a false impression of fact, law, value, or intention or other state of mind that the actor does not believe to be true;
      2. Preventing another person from acquiring information that would affect his or her judgment of a transaction;
      3. Failing to correct a false impression that the actor knows to be false and that the actor created or reinforced or that the actor knows to be influencing another person to whom the actor stands in a fiduciary or confidential relationship;
      4. Failing to disclose a lien, adverse claim, or other legal impediment to the enjoyment of property that the actor transfers or encumbers in consideration for the property or service obtained or in order to continue to deprive another person of that other person's property, whether the impediment is or is not valid or is or is not a matter of official record; or
      5. Employing any other scheme to defraud.
    2. As to a person's intention to perform a promise, “deception” shall not be inferred solely from the fact that the person did not subsequently perform the promise.
    3. “Deception” does not include:
      1. Falsity as to a matter having no pecuniary significance; or
      2. Puffing by a statement unlikely to deceive an ordinary person in the group addressed;
  3. “Electronic cash register” means a device that keeps a register or supporting document by means of an electronic device or computer system designed to record transaction data for the purpose of computing, compiling, or processing retail sales transaction data or a transaction report;
  4. “Enterprise” means any entity of one (1) or more persons, corporate or otherwise, public or private, engaged in business, commercial, professional, industrial, charitable, social, political, or governmental activity;
  5. “Financial institution” means any organization or enterprise held out to the public as a place of deposit of funds or medium of savings;
    1. “Slug” means an object that by virtue of its size, shape, or any other quality is capable of being inserted, deposited, or otherwise used in a coin machine as a substitute for a genuine coin, bill, or token.
    2. The value of a slug is deemed to be the value of the coin, bill, or token for which it is capable of being substituted;
  6. “Transaction data” means information concerning one (1) or more sales transactions, including without limitation the following:
    1. The items purchased by each customer;
    2. The price for each item purchased;
    3. A taxability determination for each item purchased;
    4. A segregated tax amount for each taxed item purchased;
    5. The amount of cash or credit tendered for each purchase;
    6. The net amount returned to the customer in change;
    7. The date and time of the purchase;
    8. The name, address, and identification number of the vendor; and
    9. The receipt or invoice number of the transaction;
  7. “Transaction report” means a report that includes without limitation:
    1. The sales, taxes collected, media totals, and discount voids at an electronic cash register that is printed on cash register tape at the end of the day or shift; and
    2. Each action at an electronic cash register that is stored electronically;
  8. “Utter” means to transfer, pass, or deliver or cause to be transferred, passed, or delivered to another person any written instrument, or to attempt to do so;
    1. “Value” means:
      1. The market value of the property or service at the time and place of the offense;
      2. If the market value of the property cannot be ascertained, the cost of replacing the property within a reasonable time after the offense; or
      3. In the case of a written instrument, other than a written instrument having a readily ascertainable market value:
        1. The amount due and collectible at maturity less any part that has been satisfied if the written instrument constitutes evidence of a debt; or
        2. The greatest amount of economic loss that the owner might reasonably suffer by virtue of the loss of the written instrument if the written instrument is other than evidence of a debt.
    2. If the actor gave consideration for or had a legal interest in the property or service, the amount of the consideration or the value of the interest shall be deducted from the value of the property or service to determine value; and
    1. “Written instrument” means any paper, document, or other material containing written or printed matter or its equivalent.
    2. “Written instrument” includes any money, token, stamp, seal, badge, trademark, retail sales receipt, universal product code label or other evidence or symbol of value, right, privilege, or identification that is capable of being used to the advantage or disadvantage of any person.

History. Acts 1975, No. 280, § 2301; A.S.A. 1947, § 41-2301; Acts 1999, No. 1479, § 1; 2013, No. 1076, § 1.

Amendments. The 2013 amendment inserted present (4), (8) and (9).

Case Notes

Utter.

In a first-degree forgery conviction, there was substantial evidence establishing that defendant acted with intent where he repeatedly tried to pass counterfeit bills at local businesses and offered an individual one of his bills in exchange for twenty dollars. Taylor v. State, 94 Ark. App. 21, 223 S.W.3d 80 (2006).

Written Instrument.

The language, “and shall include any money, token, stamp, seal, badge, trademark or other evidence or symbol of value, right, privilege or identification, which is capable of being used to the advantage or disadvantage of any person” does not purport to be an exclusive enumeration of written instruments or to limit the definition of “written instrument” as “any paper, document or other material containing written or printed matter or its equivalent.” Mayes v. State, 264 Ark. 283, 571 S.W.2d 420 (1978).

Cited: McGirt v. State, 289 Ark. 7, 708 S.W.2d 620 (1986).

5-37-102. Access to information not infringed.

Nothing in § 5-37-227 or § 5-37-510 shall be construed to conflict with the Freedom of Information Act of 1967, § 25-19-101 et seq.

History. Acts 1999, No. 1578, § 3.

Subchapter 2 — Offenses Generally

Effective Dates. Acts 2011, No. 172, § 2: Mar. 4, 2011. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the filing of false liens by persons for vengeful reasons has become a large problem in these United States; that currently Arkansas has inadequate statutes to address this growing problem; and that this act is immediately necessary because citizens as well as persons engaged in law enforcement and the judiciary need immediate protection. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2013, No. 1499, § 5: July 1, 2013. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the oversight and audit of the state's Medicaid program is essential to its continued operation; that the creation of the Office of the Medicaid Inspector General will ensure that fraud, waste, and abuse are found in a timely manner; and that this act is necessary to ensure that state and federal monies are not misspent. Therefore, an emergency is declared to exist, and this act being necessary for the preservation of the public peace, health, and safety shall become effective on July, 1, 2013.”

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

Cross References. Fines, § 5-4-201.

False evidences of title or registration, § 27-14-307.

Term of imprisonment, § 5-4-401.

Research References

ALR.

Rule that crime of false pretenses cannot be predicated upon present intention not to comply with promise or statement as to future act. 19 A.L.R.4th 959.

5-37-201. Forgery.

  1. A person forges a written instrument if, with purpose to defraud, the person makes, completes, alters, counterfeits, possesses, or utters any written instrument that purports to be or is calculated to become or to represent if completed the act of:
    1. A person who did not authorize that act;
    2. A fictitious person; or
    3. A person who authorized an act that was not authorized by law.
  2. A person commits forgery in the first degree if he or she forges a written instrument that is:
    1. Money, a security, a postage or revenue stamp, or other instrument issued by a government; or
    2. A stock, bond, or similar instrument representing an interest in property or a claim against a corporation or its property.
  3. A person commits forgery in the second degree if he or she forges a written instrument that is:
    1. A deed, will, codicil, contract, assignment, check, commercial instrument, credit card, or other written instrument that does or may evidence, create, transfer, terminate, or otherwise affect a legal right, interest, obligation, or status;
    2. A public record, or an instrument filed or required by law to be filed, or an instrument legally entitled to be filed in a public office or with a public servant; or
    3. A written instrument officially issued or created by a public office, public servant, or government agent.
  4. Forgery in the first degree is a Class B felony.
  5. Forgery in the second degree is a Class C felony.

History. Acts 1975, No. 280, § 2302; A.S.A. 1947, § 41-2302; Acts 2013, No. 1515, § 1.

Amendments. The 2013 amendment rewrote (a).

Research References

ALR.

Evidence of intent to defraud in state forgery prosecution. 108 A.L.R.5th 593.

Case Notes

Purpose.

It was the intention of the drafters to broaden the scope of the crime of forgery. Mayes v. State, 264 Ark. 283, 571 S.W.2d 420 (1978).

Applicability.

A check need not be negotiable in order to come within the purview of this section. Mayes v. State, 264 Ark. 283, 571 S.W.2d 420 (1978).

Plaintiffs pleaded a facially plausible claim under § 16-118-107 where they alleged that the January patient notification letter defendants sent out could reasonably be construed as representing that plaintiffs were abandoning their patients or that defendants were terminating the physician-patient relationship between plaintiffs and the office's patients, the letter arguably constituted a written instrument that did or may have evidenced, created, transferred, terminated, or otherwise affected a legal right, interest, obligation, or status under this section. Murphy v. LCA-Vision, Inc., 776 F. Supp. 2d 886 (E.D. Ark. 2011).

Acts Constituting Forgery.

The term forgery had a fixed legal meaning; it was the fraudulent making or alteration of any writing to the prejudice of another man's rights. Van Horne v. State, 5 Ark. 349 (1843); Lemay v. Williams, 32 Ark. 166 (1877) (preceding decisions under prior law).

Particular actions held to be forgery. Claiborne v. State, 51 Ark. 88, 9 S.W. 851 (1888); White v. State, 83 Ark. 36, 102 S.W. 715 (1907); Holloway v. State, 90 Ark. 123, 118 S.W. 256 (1909); Maloney v. State, 91 Ark. 485, 121 S.W. 728 (1909); Quertermous v. State, 114 Ark. 452, 170 S.W. 225 (1914); Brashears v. State, 203 Ark. 1014, 160 S.W.2d 505 (1942) (preceding decisions under prior law).

Particular actions held not to be forgery. Binganan v. State, 180 Ark. 266, 21 S.W.2d 156 (1929) (decision under prior law).

Where defendant presented to a motel a check issued by a state government payable to his stepfather, an appellate court rejected his claim that he did not commit forgery because he had not “forged” anything, even though defendant conceded that he stole the check with the purpose to defraud; by purporting that he had the authority to cash the check, defendant “uttered” the check and was thus properly convicted of first-degree forgery. Ruffin v. State, 83 Ark. App. 44, 115 S.W.3d 814 (2003).

Defendant's attempt to pass a victim's stolen check at a store completed defendant's commission of second-degree forgery, in violation of subdivision (c)(1) of this section; indeed, defendant testified that defendant “tried giving the check” to the cashier. Turner v. State, 2012 Ark. App. 150, 391 S.W.3d 358 (2012).

Consolidation of Offenses.

When the state charged defendant with forgery, the charge was broad enough to cover the crimes previously known as forgery, uttering and possession of a forged instrument. Mayes v. State, 264 Ark. 283, 571 S.W.2d 420 (1978).

Any of the acts set forth in subsection (a) constitutes the single crime of forgery. Robinson v. State, 10 Ark. App. 441, 664 S.W.2d 905 (1984).

Defense.

It was no defense for a creditor to show that when he executed a forgery on his debtor, he intended to apply the money thus obtained to the payment of his debt. Claiborne v. State, 51 Ark. 88, 9 S.W. 851 (1888) (decision under prior law).

A belief that one whose name was forged to a check would pay it in order to protect defendant was no defense. Rose v. State, 80 Ark. 222, 96 S.W. 996 (1906) (decision under prior law).

In establishing his defense of intoxication to a charge of forgery, a crime which requires a “purposeful” mental state, the defendant was required to prove by a preponderance of the evidence that he could not have entertained or formed the necessary intent or purposeful mental state to commit forgery; he simply failed to sustain that burden, and the trial judge so found. Gonce v. State, 11 Ark. App. 278, 669 S.W.2d 490 (1984).

While the trial judge's reference in a forgery prosecution to the defendant's intoxication as a “mitigating” circumstance was erroneous, it was insufficient to reverse the defendant's conviction in view of the clear factual findings made by the judge. Gonce v. State, 11 Ark. App. 278, 669 S.W.2d 490 (1984).

Evidence.

Evidence held insufficient to support conviction. Holloway v. State, 90 Ark. 123, 118 S.W. 256 (1909) (decision under prior law).

Evidence held sufficient to support conviction. Tongs v. State, 130 Ark. 344, 197 S.W. 573 (1917); Keese v. State, 223 Ark. 261, 265 S.W.2d 542 (1954); Edens v. State, 235 Ark. 178, 359 S.W.2d 432 (1962), cert. denied, Edens v. Arkansas, 371 U.S. 968, 83 S. Ct. 551 (1963) (preceding decisions under prior law) Muhammed v. State, 300 Ark. 112, 776 S.W.2d 825 (1989); Coley v. State, 304 Ark. 304, 801 S.W.2d 647 (1991); Washington v. State, 31 Ark. App. 62, 787 S.W.2d 254 (1990).

Appellant juvenile was properly adjudicated a delinquent for check forgery where evidence showed she took a checkbook out her classmate's purse and forged checks at a department store; at trial, a store employee testified that he took one of the forged check's from appellant and recognized her from her yearbook picture. Taylor v. State, 88 Ark. App. 269, 197 S.W.3d 31 (2004).

Evidence was sufficient to sustain a forgery conviction where defendant made a statement to the police admitting that he had been engaged in a forgery scheme and that his price for forged checks varied according to the amount of the check. Dendy v. State, 93 Ark. App. 281, 218 S.W.3d 322 (2005).

In a first-degree forgery conviction, there was substantial evidence establishing that defendant acted with intent where he (1) repeatedly tried to pass counterfeit bills at local businesses and (2) offered an individual one of his bills in exchange for twenty dollars. Taylor v. State, 94 Ark. App. 21, 223 S.W.3d 80 (2006).

Evidence was sufficient to sustain defendant's forgery and theft convictions where she did not offer a reasonable explanation of how she acquired the forged check; therefore, an inference that she committed the forgery or was an accessory to its commission was warranted and the court did not err in inferring defendant's intent. DeShazer v. State, 94 Ark. App. 363, 230 S.W.3d 285 (2006).

Where the state failed to prove that the check was issued or presented for payment prior to the closure of the bank account upon which it was drawn, the trial court could not reasonably infer that the check was forged; therefore, the trial court erred in finding that defendant violated the terms of her probation by passing a forged instrument. Bedford v. State, 96 Ark. App. 38, 237 S.W.3d 516 (2006).

There was sufficient evidence to support appellants' convictions for second-degree forgery where appellants possessed not only checks bearing the names of the victims, but also a credit card and driver's license in one victim's name, the license bearing one of appellant's picture. Anderson v. State, 2009 Ark. App. 804, 372 S.W.3d 385 (2009).

Evidence that defendant had the victim's credit card and driver's license and that he attempted to cash a forged check was sufficient to support his convictions for theft by receiving under § 5-36-106 and forgery under this section. Suggs v. State, 2010 Ark. App. 571, 377 S.W.3d 461 (2010).

Defendant's conviction for second-degree forgery under subsection (e) of this section was proper considering accomplice testimony along with the other evidence. Although the evidence was circumstantial given that it was the accomplice, rather than defendant, who cashed the forged check, circumstantial evidence could provide the basis to support the conviction. Benton v. State, 2012 Ark. App. 71, 388 S.W.3d 488 (2012).

Evidence was sufficient to convict appellant of first-degree-forgery under this section because she applied for a job using another woman's name and documents, she signed the other woman's name on the federal forms required for her application, and she intended to defraud and was not authorized to use the other woman's name and personal information. Barron-Gonzalez v. State, 2013 Ark. App. 120, 426 S.W.3d 508 (2013).

Defendant's conviction for forgery was supported by evidence that he was not authorized by the owner to use his checks, yet he put one into circulation electronically through the retailer's auto-check payment system. Todd v. State, 2016 Ark. App. 280, 494 S.W.3d 444 (2016).

Indictment or Information.

For cases discussing the sufficiency of an indictment or information, see Gabe v. State, 6 Ark. (1 English) 519 (1845); Bell v. State, 10 Ark. (5 English) 536 (1850); Quertermous v. State, 95 Ark. 48, 127 S.W. 951 (1910); Zachary v. State, 97 Ark. 176, 133 S.W. 811 (1911); Godard v. State, 100 Ark. 149, 139 S.W. 1131 (1911); Ary v. State, 104 Ark. 212, 148 S.W. 1032 (1912); Williams v. State, 131 Ark. 264, 198 S.W. 699 (1917) (preceding decisions under prior law).

In indictment, it was necessary to aver that the defendant had the fictitious note in his possession with intent to utter or pass it as and for a genuine bill, for the intent to impose the instrument on the community as good money constituted the essence of the offense. Gabe v. State, 6 Ark. (1 English) 519 (1845) (decision under prior law).

An indictment for forging a school district warrant need not allege that the school district was a corporation. Ball v. State, 48 Ark. 94, 2 S.W. 462 (1886) (decision under prior law).

Where indictment described forged instrument as having certain figures on its face, it was necessary that such figures were on the instrument when it left the hands of defendant although it would have been unnecessary to describe the instrument by such figures in the indictment. McDonnell v. State, 58 Ark. 242, 24 S.W. 105 (1893) (decision under prior law).

An indictment for forging a deed of land with an intent to defraud the owner of the land need not show upon its face in what manner the owner was to be defrauded, that being a matter of proof upon the trial. Snow v. State, 85 Ark. 203, 107 S.W. 980 (1908) (decision under prior law).

Use of one word in setting out instrument in indictment, while bond introduced in evidence used another similar word held to be a clerical error and not a material variance. Holloway v. State, 90 Ark. 123, 118 S.W. 256 (1909) (decision under prior law).

An indictment for forgery of a certain writing which alleged that the writing was of the tenor and effect as followed, and set out the writing in detail was held to set out the writing according to its tenor. Evans v. State, 94 Ark. 400, 127 S.W. 743 (1910); Bennett v. State, 96 Ark. 101, 131 S.W. 213 (1910) (preceding decisions under prior law).

Where an indictment charged the appellant with uttering a forged check drawn on one bank while the instrument set out in the indictment as shown by the proof was drawn on another bank; it was held that there was no variance as the instrument as set out in the indictment controlled and the inconsistent statement in the indictment was treated as surplusage. Rawlings v. State, 117 Ark. 539, 174 S.W. 150 (1915) (decision under prior law).

Where the defendant was indicted for the forgery of a check but not for the forgery of an indorsement thereon, the indorsement on the check did not constitute in law a part of it and need not be set out in an indictment for forgery of the check. Finn v. State, 127 Ark. 204, 191 S.W. 899 (1917); McCoy v. State, 161 Ark. 658, 257 S.W. 386 (1924) (preceding decisions under prior law).

When an indictment for forgery alleged that the check was forged and counterfeited, it in effect alleged that it was made without the authority of the person whose name was signed thereto. Finn v. State, 127 Ark. 204, 191 S.W. 899 (1917) (decision under prior law).

Injured Party.

The forgery of a stay bond had the effect of injuring the judgment-creditor in his estate and in the enforcement of his lawful rights. Holloway v. State, 90 Ark. 123, 118 S.W. 256 (1909) (decision under prior law).

Where the defendant was charged with forgery of a check signed by the depositor with intent to defraud the depositor, proof that the depositor had previously overdrawn his account at the bank did not establish that the bank and not the depositor was the person intended to be defrauded. Pennell v. State, 170 Ark. 1119, 282 S.W. 992 (1926) (decision under prior law).

Instructions.

In a prosecution for forgery, the trial court did not err by refusing to instruct the jury on the lesser included offense of criminal attempt to commit forgery; the crime of forgery was complete upon the defendant's being in possession of the forged instrument, or upon his attempt to pass the check, or upon his passing of the check, and the defendant was either guilty of forgery or nothing. McGirt v. State, 289 Ark. 7, 708 S.W.2d 620 (1986).

Knowledge and Intent.

To constitute the offense of uttering and publishing a forged writing, there had to be an intent to defraud and a knowledge of its falsity. Elsey v. State, 47 Ark. 572, 2 S.W. 337 (1886) (decision under prior law).

In order to constitute the offense of uttering and publishing a forged writing it was necessary that there was an intent to defraud and that there was a knowledge of the falsity of the instrument on the part of the defendant. Ferrell v. State, 165 Ark. 541, 265 S.W. 62 (1924) (decision under prior law).

An allegation which in effect alleged that the defendant unlawfully and feloniously uttered a note, knowing it to be forged with the intent feloniously to obtain possession of another's property necessarily imported that the note was uttered with a fraudulent intent. Teague v. State, 86 Ark. 126, 110 S.W. 224 (1908) (decision under prior law).

One who, with intent to defraud, passed a check known to him to have been forged was guilty of forgery. Moulton v. State, 105 Ark. 502, 152 S.W. 132 (1912) (decision under prior law).

Fraudulent intent was an essential ingredient in the crime of uttering a forged instrument. Rickman v. State, 135 Ark. 298, 205 S.W. 711 (1918) (decision under prior law).

It was not error to admit other checks of similar nature to those charged in indictment since they were admissible to prove criminal intent, design, or part of a common plan on the part of the defendants to defraud. Keese v. State, 223 Ark. 261, 265 S.W.2d 542 (1954) (decision under prior law).

Lesser Included Offense.

Court held to have properly refused to give instruction on the lesser offense of criminal simulation. Lewis v. State, 267 Ark. 933, 591 S.W.2d 687 (Ct. App. 1979).

Trial court erred in finding defendant guilty of second-degree forgery as it was not a lesser-included offense of first-degree forgery, set forth in the charging instrument and under which the trial proceeded; as provided in subsections (b) and (c) of this section, second-degree forgery requires proof of documents different from those for first-degree forgery and does not meet the requirements of the tests set out in § 5-1-110(b) for a lesser-included offense, therefore, they are two separate crimes. Eagle v. State, 92 Ark. App. 328, 213 S.W.3d 661 (2005).

Possession.

Simultaneous possession of several forged checks was a single offense and a defendant could not be prosecuted separately for each check. Yarbrough v. State, 257 Ark. 732, 520 S.W.2d 227 (1975) (decision under prior law).

Possession of a forged instrument by one who offers or seeks to utter it without any reasonable explanation of the manner in which he acquired it warrants an inference that the possessor committed the forgery or was a guilty accessory to its commission. Mayes v. State, 264 Ark. 283, 571 S.W.2d 420 (1978).

Evidence held sufficient to support the finding of the jury that the defendant was in possession of the contraband. Lee v. State, 270 Ark. 892, 609 S.W.2d 3 (1980).

Sentence.

Sentence for forgery in the second degree, a class C felony, did not constitute cruel and unusual punishment, since the sentence was within the limits imposed by statute. Conti v. State, 10 Ark. App. 352, 664 S.W.2d 502 (1984).

Revocation of a defendant's probation on an underlying charge of forgery in the second degree was supported by a preponderance of the evidence: defendant admitted to more than one violation of defendant's probation and a judge was not required to believe defendant's explanations or excuse defendant's failure to comply with the conditions of defendant's probation. Ingram v. State, 2009 Ark. App. 729, 363 S.W.3d 6 (2009).

Signature or Endorsement.

An instrument may be forged by signing the name of a fictitious person. Maloney v. State, 91 Ark. 485, 121 S.W. 728 (1909) (decision under prior law); Mayes v. State, 264 Ark. 283, 571 S.W.2d 420 (1978).

Proof that the defendant indorsed another's name to a check payable to the latter representing himself to be the payee would not justify an inference that he did not have authority to sign the payee's name as indorser of the check. Ferrell v. State, 165 Ark. 541, 265 S.W. 62 (1924) (decision under prior law).

Convictions for forgery and theft of property must be overturned where State failed to prove that checks, which were passed by defendant in exchange for merchandise, were signed by defendant or that signatures which appeared thereon were unauthorized. Askew v. State, 280 Ark. 304, 657 S.W.2d 540 (1983).

Uttering.

Particular actions held to be uttering of a forged instrument. Crain v. State, 45 Ark. 450 (1885); Claiborne v. State, 51 Ark. 88, 9 S.W. 851 (1888); Arnold v. State, 71 Ark. 367, 74 S.W. 513 (1903) (preceding decisions under prior law).

The delivery, or attempted delivery, of a paper, document or other material containing written or printed matter or its equivalent that purports to be or is calculated to become, or to represent if completed, the act of a person who did not authorize the act and that may evidence, create, transfer or otherwise affect a legal right, interest or status constitutes uttering under this section. Mayes v. State, 264 Ark. 283, 571 S.W.2d 420 (1978).

“Utter,” as used in subsection (a) of this section, includes the delivery or attempted delivery of a written instrument. Faulkner v. State, 16 Ark. App. 128, 697 S.W.2d 537 (1985).

Cited: David v. State, 286 Ark. 205, 691 S.W.2d 133 (1985); Walker v. Lockhart, 807 F.2d 136 (8th Cir. 1986); Williams v. State, 2015 Ark. 466 (2015).

5-37-202. Falsifying a business record.

  1. A person commits the offense of falsifying a business record if, with purpose to defraud or injure, the person:
    1. Makes or causes a false entry to be made in a business record of an enterprise;
    2. Alters, erases, obliterates, deletes, removes, or destroys a true entry in a business record of an enterprise;
    3. Omits to make a true entry in a business record of an enterprise in violation of a duty to do so that the person knows to be imposed upon him or her by law or by the nature of his or her position; or
    4. Prevents the making of a true entry or causes the omission of a true entry in a business record of an enterprise.
  2. Falsifying a business record is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2303; A.S.A. 1947, § 41-2303.

Case Notes

Evidence.

Defendant's conviction was reversed where in order to convict, state was required to present proof that false entries were made in the business records of the company and were made with the intent to defraud or injure, and state failed to introduce any business records that defendant was accused of falsifying. Williams v. State, 302 Ark. 234, 788 S.W.2d 241 (1990).

Information.

The language of the information, charging defendant under subdivision (a)(1), limited the state to proof of those specific elements set forth in the information. To attempt to prove any of the three other elements of the section would constitute a fatal variance between the information and the proof. Williams v. State, 302 Ark. 234, 788 S.W.2d 241 (1990).

Intent.

An instruction which omitted the element of intent to defraud on a charge of making false entries in the books of a bank was erroneous. Mears v. State, 84 Ark. 136, 104 S.W. 1095 (1907) (decision under prior law).

5-37-203. Defrauding a secured creditor.

    1. A person commits the offense of defrauding a secured creditor in the first degree if he or she destroys, removes, cancels, encumbers, transfers, or otherwise disposes of property subject to a security interest with the purpose to hinder enforcement of the security interest.
    2. Defrauding a secured creditor in the first degree is a Class D felony.
    1. A person commits the offense of defrauding a secured creditor in the second degree if he or she uses motor vehicle insurance policy proceeds in excess of one thousand dollars ($1,000) obtained from a settlement of a property damage claim on a motor vehicle subject to a security interest in contravention of the security agreement that creates or provides for the security interest in the motor vehicle.
    2. Defrauding a secured creditor in the second degree is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2304; A.S.A. 1947, § 41-2304; Acts 2009, No. 485, § 1.

Amendments. The 2009 amendment inserted (b), redesignated former (a) and (b) as (a)(1) and (a)(2), and inserted “in the first degree” in (a)(1) and (a)(2).

Research References

Ark. L. Rev.

Creditors' Provisional Remedies and Debtors' Due Process Rights: Attachment and Garnishment in Arkansas, 31 Ark. L. Rev. 607.

Nickles, A Localized Treatise on Secured Transactions — Part II: Creating Security Interests, 34 Ark. L. Rev. 559.

Case Notes

Applicability.

Defendant who sold property mortgaged to federal government agency could be prosecuted under former section prohibiting the removal of property subject to lien, since state and federal courts had concurrent jurisdiction. State v. Duncan, 221 Ark. 681, 255 S.W.2d 430 (1953) (decision under prior law).

Bankruptcy Proceedings.

Where defendant/debtor misappropriated the sale proceeds in which he had no legal or equitable interest, the debtor acted with malice in harming the creditor's property just as if he were a bank robber or an embezzler, and the fact that the debtor's conduct rose to the level of two separate criminal offenses under state law supported the conclusion that the debtor's act was malicious and the debt was not dischargeable in bankruptcy. Mercantile Bank of Ark.,N.A. v. Speers, 244 B.R. 142 (Bankr. E.D. Ark. 2000).

Consent of Lienholder.

Instruction that if the defendant removed the secured property from the state without the legal authority or consent of the prosecuting witness the jury should convict him was erroneous in using the word “legal,” being calculated to mislead the jury. Murry v. State, 150 Ark. 461, 234 S.W. 485 (1921) (decision under prior law).

Defendant was entitled to instruction that if evidence indicated that the secured party consented to the sale of the secured property, defendant would be acquitted, and that consent could have been expressed or implied from the conduct of the parties. Hill v. State, 253 Ark. 512, 487 S.W.2d 624 (1972) (decision under prior law).

Requested instruction to the effect that if the secured party later acquiesced in the sale of the secured property defendant should be acquitted, was properly refused, since consent, if set up as a defense in a criminal case, had to precede the act constituting the gist of the offense and did not relate to what occurred thereafter, although the secured party's conduct subsequent to the sale was considered as evidence of prior consent. Hill v. State, 253 Ark. 512, 487 S.W.2d 624 (1972) (decision under prior law).

Debt.

Existence of debt secured by lien had to be shown. McCaskill v. State, 68 Ark. 490, 60 S.W. 234 (1900) (decision under prior law).

Defenses of Debtor in Bankruptcy.

The debtor failed to establish that the prosecution was pursued in bad faith or for the primary purpose of collecting a dischargeable debt from the debtor individually, where the allegations against the debtor for which criminal sanctions were sought was the debtor's alleged fraud of selling mortgaged property without permission, not his failure to pay the debt owed to the bank. Evans v. Bank of Eureka Springs, 245 B.R. 852 (Bankr. W.D. Ark. 2000).

Demand.

Where a defendant was charged with disposing of mortgaged chattels, it was not necessary as a condition for conviction that a demand be made on the mortgagor for the debt or the mortgaged property nor that the defendant refuse, upon demand, to pay the debt. Stewart v. State, 139 Ark. 403, 214 S.W. 48 (1919); McClaskey v. State, 168 Ark. 339, 270 S.W. 498 (1925) (preceding decisions under prior law).

Disposal.

Concealment of secured goods so that it could not be found for the purpose of foreclosing the mortgage constituted a disposition of secured goods. McClaskey v. State, 168 Ark. 339, 270 S.W. 498 (1925) (decision under prior law).

Evidence.

Evidence held insufficient to support conviction. Houston v. State, 66 Ark. 120, 49 S.W. 351 (1899) (decision under prior law).

Evidence held sufficient to support conviction. Early v. State, 226 Ark. 376, 290 S.W.2d 13 (1956) (decision under prior law).

False Pretenses.

The offense of obtaining personal property under false pretenses was distinguished from the offense of fraudulently conveying property in that the former offense consisted of obtaining money or property by false representations of an existing or past fact whether relating to land or anything else by one who knew the representation to be false while the latter offense could exist under a conveyance to defraud whether there were false representations or not. Shelton v. State, 96 Ark. 237, 131 S.W. 871 (1910) (decision under prior law).

Indictment.

The indictment for removing property subject to lien did not have to allege the manner of disposal; nor the vendee's name. State v. Crawford, 64 Ark. 194, 41 S.W. 425 (1897) (decision under prior law).

The indictment did not have to allege that the mortgage was of record. Bennett v. State, 65 Ark. 80, 44 S.W. 1037 (1898) (decision under prior law).

An indictment for removing mortgaged property from the county wherein the mortgage was recorded was not demurrable as failing to allege an offense within the local jurisdiction of the court. Hampton v. State, 67 Ark. 266, 54 S.W. 746 (1899) (decision under prior law).

Indictment was required to allege the value of the property. Kightlinger v. State, 105 Ark. 172, 150 S.W. 690 (1912) (decision under prior law).

An indictment for disposing of mortgaged property was not required to allege the name of the person to whom the property was sold or that the purchaser was unknown. McClaskey v. State, 168 Ark. 339, 270 S.W. 498 (1925) (decision under prior law).

Intent.

A criminal intent was essential to sustain a conviction for removing property subject to lien. Lawhorn v. State, 108 Ark. 474, 158 S.W. 113 (1913) (decision under prior law).

In prosecution for removing mortgaged property from the state with intent to cheat and defraud mortgage holder, admission of evidence of extradition proceedings for such offense was not prejudicial as such evidence bore on the good faith and intention of defendant. Early v. State, 226 Ark. 376, 290 S.W.2d 13 (1956) (decision under prior law).

Where defendant could not be located and he allowed the insurance to lapse on his car, these circumstances alone do not establish defendant's intent to hinder the enforcement of a security interest; the state failed to prove that he acted with the requisite culpable mental state, and therefore his conviction cannot stand. Eggleston v. State, 16 Ark. App. 72, 697 S.W.2d 121 (1985).

Purpose to Hinder.

The fact that the defendant “removed” a truck to a new location was insufficient to establish a purpose to hinder enforcement of the lien of a secured creditor since the very nature and purpose of a truck is to be moved about, and since the defendant did not dispose of or destroy the truck. Anderson v. State, 62 Ark. App. 1, 967 S.W.2d 569 (1998).

Security Interest.

Lien could exist although mortgage was not recorded. Hampton v. State, 67 Ark. 266, 54 S.W. 746 (1899) (decision under prior law).

Where bank had erroneously sent automobile title to defendant who had not satisfied the indebtedness under a financing agreement, and where defendant transferred the certificate of title before bank discovered the mistake, bank held no lien at the time defendant transferred title and thus defendant could not be convicted of disposing of mortgaged property with intent to defraud lienholder. Austin v. State, 259 Ark. 802, 536 S.W.2d 699 (1976) (decision under prior law).

Where the debtor was aware of the bank's security interest at the time he undertook to sell the bank's collateral, debtor's actions constituted both the tort of conversion and the state law statutory offenses of theft and defrauding secured creditors, and therefore he acted with malice in harming the bank's property when he misappropriated the sale proceeds in which he had no legal or equitable interest. Mercantile Bank of Ark.,N.A. v. Speers, 244 B.R. 142 (Bankr. E.D. Ark. 2000).

Subsequent Satisfaction.

After the offense of removing mortgaged property had been committed, it could not be condoned by satisfying the creditor with other property. Cooper v. State, 37 Ark. 412 (1881) (decision under prior law).

Cited: Crockett Motor Sales, Inc. v. London, 283 Ark. 106, 671 S.W.2d 187 (1984); Cheshire v. State, 16 Ark. App. 34, 696 S.W.2d 322 (1985).

5-37-204. Fraud in insolvency.

  1. A person commits fraud in insolvency if, with purpose to defraud, and with knowledge that a proceeding has been or is about to be instituted for the appointment of a receiver or other person entitled to administer property for the benefit of a creditor, or that any other composition or liquidation for the benefit of a creditor has been or is about to be made, the person:
    1. Destroys, removes, conceals, encumbers, transfers, acquires, or otherwise deals with any property with purpose to defeat or obstruct the claim of any creditor, or otherwise to obstruct the operation of any law relating to administration of property for the benefit of a creditor;
    2. Falsifies any writing or record relating to the property; or
    3. Misrepresents or refuses to disclose to a receiver or other person entitled to administer property for the benefit of a creditor, the existence, amount, or location of the property, or any other information that the actor could be legally required to furnish to the receiver or other person entitled to administer property for the benefit of a creditor.
  2. Fraud in insolvency is a Class D felony.

History. Acts 1975, No. 280, § 2305; A.S.A. 1947, § 41-2305.

Case Notes

Sentence.

A person convicted of a crime has a right to have his sentence read and its consequences made known to him at the time of pronouncement. Smith v. State, 18 Ark. App. 152, 713 S.W.2d 241 (1986).

5-37-205. Issuing a false financial statement.

  1. A person commits the offense of issuing a false financial statement if, with purpose to defraud or injure, the person:
    1. Makes or delivers a written instrument that describes his or her or another person's financial condition or ability to pay, knowing the written instrument is inaccurate in some material respect; or
    2. Represents in writing that a written instrument that describes a person's financial condition or ability to pay is accurate with respect to that person's financial condition or ability to pay, knowing the written instrument is inaccurate in some material respect.
  2. Issuing a false financial statement is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2306; A.S.A. 1947, § 41-2306.

5-37-206. Receiving a deposit in a failing financial institution.

  1. A person commits the offense of receiving a deposit in a failing financial institution if, as an officer, manager, or other person participating in the direction of a financial institution, the person knowingly receives or permits the receipt of a deposit or other investment, knowing that the financial institution is insolvent, without disclosing the true financial condition of the financial institution.
  2. Receiving a deposit in a failing financial institution is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2307; A.S.A. 1947, § 41-2307.

Case Notes

Cited: Robertson v. White, 633 F. Supp. 954 (W.D. Ark. 1986).

5-37-207. Fraudulent use of a credit card or debit card.

  1. A person commits the offense of fraudulent use of a credit card or debit card, if with purpose to defraud, he or she uses a credit card, credit card account number, debit card, or debit card account number to obtain property or a service with knowledge that:
    1. The credit card, credit card account number, debit card, or debit card account number is stolen;
    2. The credit card, credit card account number, debit card, or debit card account number has been revoked or cancelled;
    3. The credit card, credit card account number, debit card, or debit card account number is forged; or
    4. For any other reason his or her use of the credit card, credit card account number, debit card, or debit card account number is unauthorized by either the issuer or the person to whom the credit card or debit card is issued.
  2. Fraudulent use of a credit card or debit card is a:
    1. Class B felony if the value of all moneys, goods, or services obtained during any six-month period is twenty five thousand dollars ($25,000) or more;
    2. Class C felony if the value of all moneys, goods, or services obtained during any six-month period is less than twenty five thousand dollars ($25,000) but more than five thousand dollars ($5,000);
    3. Class D felony if the value of all moneys, goods, or services obtained during any six-month period is five thousand dollars ($5,000) or less but more than one thousand dollars ($1,000); or
    4. Class A misdemeanor if the value of all moneys, goods, or services obtained during any six-month period is one thousand dollars ($1,000) or less.

History. Acts 1975, No. 280, § 2308; A.S.A. 1947, § 41-2308; Acts 1997, No. 516, § 4; 2001, No. 1142, § 1; 2011, No. 570, § 27.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided:

“Legislative intent. The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2011 amendment rewrote (b)(1) and (b)(2); and added (b)(3) and (b)(4).

Research References

ALR.

Criminal Liability for Unauthorized Use of Credit Card under State Credit Card Statutes. 68 A.L.R.6th 527.

Case Notes

Elements of Offense.

In general, under this section, it is the use of a stolen, revoked or cancelled, forged, or unauthorized credit card that results in a criminal violation; specifically, it is the use of the account numbers. Patterson v. State, 326 Ark. 1004, 935 S.W.2d 266 (1996).

Evidence.

Evidence was sufficient to support a conviction for fraudulent use of a credit card under this section where company representatives stated that defendant was not authorized to use the card, and defendant made inconsistent statements as to why he was purchasing gasoline with the card. The fact that defendant paid for the gasoline himself did not erase his attempt to use the card. Lee v. State, 102 Ark. App. 23, 279 S.W.3d 496 (2008).

While defendant worked for the sheriff's department, she was authorized to use the department's credit card only for county purchases; her use of the card for personal purchases was sufficient to support her conviction for fraudulently using a credit card in violation of subdivision (a)(4) of this section. Baker v. State, 2009 Ark. App. 788 (2009).

Trial court properly denied defendant's motions for a directed verdict on the offense of fraudulent use of a credit card because the evidence was sufficient to find that defendant used her boss's credit card with the purpose to defraud and that such use was unauthorized; defendant admitted having financial difficulties at the time and confessed that she used the credit card. Stone v. State, 2015 Ark. App. 543, 473 S.W.3d 29 (2015).

There was substantial evidence to sustain conviction for fraudulent use of a credit card where defendant was identified from a video in a retail store; it was up to the jury to decide the weight and credibility of the evidence showing that defendant was the one making each transaction on the victims' credit cards. Williams v. State, 2015 Ark. App. 553, 472 S.W.3d 509 (2015).

Evidence was sufficient to support the conviction for fraudulent use of a credit card where a patient testified that he found a charge on his credit card bill dated more than a month after he had stopped seeing defendant. Gervais v. State, 2018 Ark. App. 161, 544 S.W.3d 590 (2018).

Obtaining Property.

Obtaining property is required in order for there to be a consummated offense. Davidson v. State, 305 Ark. 592, 810 S.W.2d 327 (1991).

What militates against an interpretation that obtaining the property is not required is the fact that the degree of the offense under the statute is based on the value of property obtained; it is a Class C felony if goods valuing more than $100 are obtained; otherwise, it is a Class A misdemeanor. Davidson v. State, 305 Ark. 592, 810 S.W.2d 327 (1991).

Where defendant was charged for fraudulent use of a credit card but he never obtained property as required by the section, the case was remanded for judgment of conviction to be entered for the lesser included offense of attempted fraudulent use of credit cards. Davidson v. State, 305 Ark. 592, 810 S.W.2d 327 (1991).

Cited: Brown v. State, 85 Ark. App. 382, 155 S.W.3d 22 (2004).

5-37-208. Criminal impersonation.

    1. A person commits criminal impersonation in the first degree if, with the purpose to induce a person to submit to pretended official authority for the purpose to injure or defraud the person, the person:
      1. Pretends to be a law enforcement officer by wearing or displaying, without authority, any uniform or badge by which a law enforcement officer is lawfully distinguished; or
      2. Uses a motor vehicle or motorcycle designed, equipped, or marked with an emblem, logo, marking, decal, insignia, or design so as to resemble a motor vehicle or motorcycle belonging to a federal, state, or local law enforcement agency or law enforcement officer.
    2. Criminal impersonation in the first degree is a Class D felony.
    1. A person commits criminal impersonation in the second degree if the person does an act in his or her pretended or assumed capacity or character with the purpose to injure, defraud, harass, or intimidate another person and the actor:
      1. Assumes a false identity;
      2. Pretends to be a representative of a person or organization;
      3. Pretends to be an officer or employee of the government other than a law enforcement officer described in subsection (a) of this section;
      4. Pretends that he or she is a law enforcement officer when the person is not a law enforcement officer;
      5. Pretends to have a handicap or disability; or
      6. Pretends that he or she is a member of the United States Armed Forces or National Guard.
    2. Criminal impersonation in the second degree is a:
      1. Class D felony if:
        1. The victim of the offense is an animal owner; and
        2. An animal of the owner is seized as a result of the offense; or
      2. Class A misdemeanor if otherwise committed.
  1. As used in this section:
    1. “Animal” means the same as defined in § 5-62-102; and
    2. “Owner” means the same as defined in § 5-62-102.(d) A circuit court or district court in which a charge is filed under subsection (a) of this section may immediately order the removal of any emblems, logos, markings, decals, insignia, or designs that are the subject of a criminal charge under this section.

History. Acts 1975, No. 280, § 2310; A.S.A. 1947, § 41-2310; Acts 1991, No. 786, § 3; 1997, No. 1014, § 1; 2013, No. 433, § 1; 2013, No. 1178, § 1; 2015, No. 234, § 1; 2017, No. 74, § 1.

Publisher's Notes. Acts 1991, No. 786, § 37, provided:

“The enactment and adoption of this Act shall not repeal, expressly or impliedly, the acts passed at the regular session of the 78th General Assembly. All such acts shall have full effect and, so far as those acts intentionally vary from or conflict with any provision contained in this Act, those acts shall have the effect of subsequent acts and as amending or repealing the appropriate parts of the Arkansas Code of 1987.”

Amendments. The 2013 amendment by No. 433 substituted “defraud, harass, or intimidate” for “or defraud” in (b)(1); inserted present (b)(1)(D); and redesignated former (b)(1)(D) as (b)(1)(E).

The 2013 amendment by No. 1178 inserted (b)(2)(A); added “if otherwise committed” to the end of (b)(2)(B); and added (c).

The 2015 amendment, in (a)(1)(B), inserted “with an emblem, logo, marking, decal, insignia, or design” and added “or law enforcement officer” to the end; and added (d).

The 2017 amendment added (b)(1)(F).

Cross References. Blue light or blue lens cap sales, § 5-77-201.

Case Notes

Evidence.

Evidence was sufficient to withstand a motion for a directed verdict where the evidence showed that the co-defendant represented himself and the defendant to be FBI agents and that the defendant not only did not correct this misrepresentation but responded when addressed by his alias and, further, that two special officer police-type badges were recovered from their vehicle. Barr v. State, 336 Ark. 220, 984 S.W.2d 792 (1999).

5-37-209. Criminal possession of a forgery device.

  1. A person commits criminal possession of a forgery device if he or she makes or possesses any device, apparatus, equipment, or article capable of or adaptable to a use in forging a written instrument with the purpose to use it himself or herself, or to aid or permit another person to use it, to commit forgery.
  2. Criminal possession of a forgery device is a Class C felony.

History. Acts 1975, No. 280, § 2312; A.S.A. 1947, § 41-2312.

Case Notes

Evidence.

Evidence held sufficient to support the finding of the jury that the defendant was in possession of a forgery device. Lee v. State, 270 Ark. 892, 609 S.W.2d 3 (1980).

5-37-210. Obtaining a signature by deception.

  1. A person commits the offense of obtaining a signature by deception if, with purpose to defraud, he or she obtains by deception the signing or execution of a written instrument affecting the pecuniary interest of any person.
  2. Obtaining a signature by deception is a Class D felony.

History. Acts 1975, No. 280, § 2313; A.S.A. 1947, § 41-2313.

5-37-211. Defrauding a judgment creditor.

  1. A person commits the offense of defrauding a judgment creditor if, with purpose to defraud and with knowledge that a civil proceeding has been or is about to be instituted, the person:
    1. Moves property to prevent its being levied upon by an execution; or
    2. Conceals, assigns, conveys, or otherwise disposes of property to prevent that property from being made liable for the payment of a judgment.
  2. Defrauding a judgment creditor is a Class D felony.

History. Acts 1975, No. 280, § 2314; A.S.A. 1947, § 41-2314.

Case Notes

Cited: Cotnam v. State, 36 Ark. App. 109, 819 S.W.2d 291 (1991).

5-37-212. Unlawfully using a slug.

  1. A person commits the offense of unlawfully using a slug if:
    1. With purpose to defraud, the person obtains property or a service sold or offered by means of a coin machine by inserting, depositing, or using a slug in that machine; or
    2. The person makes, possesses, or disposes of a slug with purpose to enable a person to use the slug fraudulently in a coin machine.
  2. Unlawfully using a slug is a:
    1. Class C felony if the value of the property or slug exceeds five hundred dollars ($500); or
    2. Class A misdemeanor if otherwise committed.

History. Acts 1975, No. 280, § 2309; A.S.A. 1947, § 41-2309; Acts 2005, No. 1994, § 464.

5-37-213. Criminal simulation.

  1. A person commits criminal simulation if, with purpose to defraud or injure, the person:
    1. Makes, alters, or represents any object in such fashion that it appears to have an antiquity, rarity, source or authorship, ingredient, or composition that it does not in fact have; or
    2. Possesses or transfers an object simulated as described in subdivision (a)(1) of this section with knowledge of its true character.
  2. Criminal simulation is a:
    1. Class D felony if the value of the object simulated exceeds one hundred dollars ($100); or
    2. Class A misdemeanor if otherwise committed.

History. Acts 1975, No. 280, § 2311; A.S.A. 1947, § 41-2311.

Case Notes

Evidence.

Statements of filling station operator that she was purchasing white gasoline from defendant charged with aiding in the adulteration of liquid fuels and coloring it red to simulate higher grades was admissible. Glover v. State, 194 Ark. 66, 105 S.W.2d 82 (1937) (decision under prior law).

Instructions.

Instruction that if defendant participated in, or authorized, the delivery of his products into tanks branded with another distributor's name, he would be guilty and if he did not knowingly participate in it, he would be not guilty, was proper and not a comment on the testimony, nor confusing or misleading. Glover v. State, 194 Ark. 66, 105 S.W.2d 82 (1937) (decision under prior law).

Lesser Included Offense.

Where the defendant was charged with forgery for uttering a check which was purported to have been drawn by another, who had not authorized the defendant's act, the court properly refused to give a jury instruction on the lesser offense of criminal simulation, because the defendant was either guilty of the greater charge of forgery or nothing at all. Lewis v. State, 267 Ark. 933, 591 S.W.2d 687 (Ct. App. 1979).

5-37-214. Fraud — Aggregation of amounts.

In a prosecution under § 5-37-212 or § 5-37-213, an amount involved in a fraud committed pursuant to one (1) scheme or course of conduct, whether committed against one (1) or more persons, may be aggregated in determining the grade of the offense.

History. Acts 1975, No. 280, § 2315; A.S.A. 1947, § 41-2315.

5-37-215. Fraudulently filing a Uniform Commercial Code financing statement.

  1. As used in this section:
    1. “Financing statement” means the same as defined in § 4-9-102(a)(39); and
    2. “Security agreement” means the same as defined in § 4-9-102(a)(75).
  2. A person commits the offense of fraudulently filing a Uniform Commercial Code financing statement if, with the purpose to defraud or harass an alleged debtor or any other person, the person knowingly presents or conspires with another person to present a financing statement under the Uniform Commercial Code, § 4-1-101 et seq., for filing that the person knows:
    1. Is not based on a bona fide security agreement; or
    2. Was not authorized or authenticated by the alleged debtor identified in the financing statement or an authorized representative of the alleged debtor.
    1. Fraudulently filing a Uniform Commercial Code financing statement is a Class A misdemeanor.
      1. A subsequent offense of fraudulently filing a Uniform Commercial Code financing statement is a Class D felony.
        1. Subdivision (c)(2)(A) of this section includes a subsequent offense by a defendant who has previously pleaded guilty or nolo contendere to or been found guilty of an equivalent penal law of another state or foreign jurisdiction or an equivalent penal federal law.
        2. The trial judge shall determine whether the defendant has previously pleaded guilty or nolo contendere to or been found guilty of an equivalent penal law in another state or foreign jurisdiction or an equivalent penal federal law based on certified records of the previous offense.
  3. In addition to the criminal penalties provided under subsection (c) of this section and in addition to any other laws under which a person may obtain relief, a person aggrieved or damaged by the filing of a Uniform Commercial Code financing statement in violation of subsection (b) of this section has a civil cause of action against the defendant for injunctive and other curative relief and may also recover:
    1. The greater of ten thousand dollars ($10,000) or the actual damages caused by the violation;
    2. Court costs;
    3. Reasonable attorney's fees;
    4. Costs and expenses reasonably related to the expenses of investigating and bringing the civil action; and
    5. Exemplary or punitive damages in an amount determined by the fact finder.

History. Acts 2009, No. 336, § 1.

5-37-216. Defrauding a prospective adoptive parent.

  1. As used in this section:
    1. “Aggregate financial benefit” means the total financial benefit received by a person preceding, during, and after the pregnancy of the person;
    2. “Financial benefit” means any cost for prenatal, delivery, or postnatal care, including without limitation reasonable costs for:
      1. Housing;
      2. Food;
      3. Clothing;
      4. Medical expenses; or
      5. General maintenance; and
    3. “Prospective adoptive parent” means a person who through his or her actions has a stated or unstated intention to begin the process of adopting a minor, whether or not the minor is known to him or her.
  2. A person commits the offense of defrauding a prospective adoptive parent if he or she:
    1. Knowingly obtains a financial benefit from a prospective adoptive parent or from an agent of a prospective adoptive parent with a purpose to defraud the prospective adoptive parent or the agent of the prospective adoptive parent of the financial benefit; and
    2. Does not:
      1. Consent to the adoption; or
      2. Complete the adoption process.
  3. Defrauding a prospective adoptive parent is a:
    1. Class B felony if:
      1. The aggregate financial benefit is two thousand five hundred dollars ($2,500) or more; or
      2. The person has previously been convicted under this section;
    2. Class C felony if the aggregate financial benefit is five hundred dollars ($500) or more but less than two thousand five hundred dollars ($2,500); or
    3. Class A misdemeanor if the aggregate financial benefit is less than five hundred dollars ($500).

History. Acts 2011, No. 697, § 1.

A.C.R.C. Notes. Acts 2011, No. 697, § 1, created a new offense at § 5-26-204. However, pursuant to § 1-2-303, the section was redesignated as § 5-37-216.

5-37-217. Healthcare fraud.

  1. As used in this section, “healthcare plan” means a publicly or privately funded program or organization that is formed to provide or pay for healthcare goods or services, including without limitation:
    1. Health insurance plans;
    2. Managed care organization plans;
    3. Risk-based provider plans;
    4. The Arkansas Medicaid Program;
    5. The Social Security Disability Insurance program; and
    6. The Medicare program.
  2. A person commits healthcare fraud if, with a purpose to defraud a healthcare plan, the person provides materially false information or omits material information in support of:
    1. An application for membership or eligibility for a healthcare plan;
    2. A claim for payment or reimbursement as a member or provider in a healthcare plan; or
    3. A prior claim for payment or to justify payments previously received from a healthcare plan for healthcare goods or services during the course of an audit or investigation conducted by the Office of Medicaid Inspector General or a healthcare oversight agency with jurisdiction to audit, investigate, or prosecute any form of healthcare fraud.
  3. Healthcare fraud is a:
    1. Class A misdemeanor if the aggregate amount of the healthcare fraud in any period of twelve (12) months is less than two thousand five hundred dollars ($2,500);
    2. Class C felony if the aggregate amount of the healthcare fraud in any period of twelve (12) months is two thousand five hundred dollars ($2,500) or more but less than five thousand dollars ($5,000);
    3. Class B felony if the aggregate amount of the healthcare fraud in any period of twelve (12) months is five thousand dollars ($5,000) or more but less than twenty-five thousand dollars ($25,000); and
    4. Class A felony if the aggregate amount of the healthcare fraud in any period of twelve (12) months is twenty-five thousand dollars ($25,000) or more.

History. Acts 2013, No. 1499, § 1; 2017, No. 978, § 1.

Amendments. The 2017 amendment rewrote the section.

5-37-218. Stolen valor.

  1. As used in this section, “United States Armed Forces” means:
    1. Any branch or reserve component of the United States Armed Forces; and
    2. The National Guard of any state.
  2. A person commits the offense of stolen valor if, with the purpose to obtain property, a service, or a benefit, he or she knowingly misrepresents himself or herself:
    1. By the use of false military identification, including without limitation a:
      1. United States Department of Defense identification card;
      2. Military veteran's Certificate of Release or Discharge from Active Duty, generally referred to as a “DD Form 214”; or
      3. United States Department of Veterans Affairs identification card;
    2. To be an active member or veteran of the United States Armed Forces;
    3. To be a recipient of a military decoration, medal, or badge;
    4. To be a holder of an awarded qualification or military occupational specialty, including without limitation the following designations:
      1. Aircraft pilot, navigator, or crew member;
      2. United States Navy SEAL or diver;
      3. United States Army Ranger;
      4. United States Special Forces member;
      5. Parachutist Badge; or
      6. Explosive Ordnance Disposal Technician;
    5. To be a recipient of the:
      1. Medal of Honor;
      2. Distinguished Service Cross;
      3. Navy Cross;
      4. Air Force Cross;
      5. Silver Star Medal;
      6. Purple Heart;
      7. Combat Infantryman Badge;
      8. Combat Action Badge;
      9. Combat Medical Badge;
      10. Combat Action Ribbon; or
      11. Air Force Combat Action Medal; or
    6. To have been a prisoner of war.
  3. Stolen valor is a:
    1. Class B misdemeanor for a second or subsequent violation or for a violation under subdivision (b)(5) of this section; or
    2. Class C misdemeanor if otherwise committed.
  4. The fines collected under this section by the municipality or county where the offense occurred shall be distributed to the Department of Veterans Affairs to be used to maintain and operate the veterans' homes established under § 20-81-105.

History. Acts 2017, No. 907, § 1.

5-37-219. Unlawful possession of a skimmer.

  1. As used in this section, “skimmer” means an electronic, photographic, visual imaging, recording, or other device capable of accessing, reading, recording, capturing, copying, imaging, scanning, reproducing, or storing in any manner financial sight order or payment card information.
  2. A person commits the offense of unlawful possession of a skimmer if he or she knowingly possesses a skimmer with the purpose to commit an offense under this subchapter.
  3. Unlawful possession of a skimmer is a Class C felony.

History. Acts 2017, No. 932, § 1.

5-37-220 — 5-37-224. [Reserved.]

  1. No person may falsely make, forge, or counterfeit, or cause or procure to be falsely made, forged, or counterfeited, or knowingly aid or assist in falsely making, forging, or counterfeiting a transcript, diploma, or grade report of a postsecondary educational institution.
  2. No person may use, offer, or present as genuine a false, forged, counterfeited, or altered transcript, diploma, or grade report of a postsecondary educational institution.
  3. No person may use, offer, or present a transcript, diploma, or grade report of a postsecondary educational institution in a fraudulent manner.
  4. A person who violates any provision of this section is guilty of a Class A misdemeanor.

History. Acts 1991, No. 351, §§ 1, 2; 2005, No. 1994, § 345; 2007, No. 827, § 40.

5-37-226. Filing instruments affecting title or interest in real property.

  1. It is unlawful for a person with the knowledge of the instrument's lack of authenticity or genuineness to have placed of record in the office of the county recorder or the office of the Secretary of State any instrument:
    1. Clouding or adversely affecting:
      1. The title or interest of the true owner, lessee, or assignee in real property; or
      2. Any bona fide interest in real property; and
    2. With the purpose of:
      1. Clouding, adversely affecting, impairing, or discrediting the title or other interest in the real property which may prevent the true owner, lessee, or assignee from disposing of the real property or transferring or granting any interest in the real property; or
      2. Procuring money or value from the true owner, lessee, or assignee to clear the instrument from the records of the office of the county recorder or the office of the Secretary of State.
      1. A person who violates subsection (a) of this section is guilty of a Class A misdemeanor.
      2. Except as provided under subdivision (b)(2) of this section, a person who has a previous conviction under this section upon conviction is guilty of a Class D felony for a subsequent violation of subsection (a) of this section.
    1. However, a person who violates subsection (a) of this section is guilty of a Class C felony if the person violates subsection (a) of this section because of the performance of official duties by the victim and the victim is:
      1. A judge or other court personnel;
      2. A prosecuting attorney or deputy prosecuting attorney;
      3. A state, county, or municipal law enforcement officer or jailer;
      4. An employee of the Division of Correction;
      5. An employee of the Division of Community Correction;
      6. A judge, prosecuting attorney, deputy prosecuting attorney, law enforcement officer, or jailer from another state, the District of Columbia, the Commonwealth of Puerto Rico, or a territory of the United States;
      7. A person elected to a federal, state, or local position; or
      8. A person employed by the Attorney General.
  2. An owner, lessee, or assignee of real property located in the State of Arkansas who suffers loss or damages as a result of conduct that is prohibited under subsection (a) of this section and who must bring civil action to remove any cloud from his or her title or interest in the real property or to clear his or her title or interest in the real property is entitled to three (3) times actual damages, punitive damages, and costs, including any reasonable attorney's fees or other costs of litigation reasonably incurred.
  3. This section does not apply to a bona fide filing of lis pendens, materialmen's lien, laborer's lien, or other legitimate notice or protective filing as provided by law.

History. Acts 1995, No. 1086, §§ 1-3; 2011, No. 172, § 1; 2013, No. 1125, § 9; 2019, No. 910, § 674.

Amendments. The 2011 amendment substituted “county recorder or the office of the Secretary of State” for “recorder of any county” in the introductory language of (a); substituted “purpose” for “intent” in the introductory language of (a)(2); in (a)(2)(B), inserted “county” and “or the office of the Secretary of State”; inserted (b)(1)(B) and (b)(2).

The 2013 amendment, in (b)(1)(B), substituted “Except as provided under subdivision (b)(2) of this section, a” for “A” and deleted “subdivision (b)(1)(A) of” following “conviction under.”

The 2019 amendment substituted “Division of Correction” for “Department of Correction” in (b)(2)(D) and substituted “Division of Community Correction” for “Department of Community Correction” in (b)(2)(E).

Case Notes

In General.

Property owners who failed to make mortgage payments in apparent confusion over unmade withdrawals from their checking account failed to state a claim for relief against the loan servicing agent, which had not violated this section in filing a bona fide foreclosure action. Quinn v. Ocwen Fed. Bank FSB, 470 F.3d 1240 (8th Cir. 2006).

Equitable Relief.

As lessors suit the lessee, alleging it violated this section and § 15-73-204, and attacking the validity of the lease, they could not thereafter complain that the lessee failed to fulfill its lease obligations. Therefore, the lessee's was entitled to equitable relief by being allowed to suspend its drilling obligations while the suit was pending. Snowden v. JRE Invs., 2010 Ark. 276, 370 S.W.3d 215 (2010).

Evidence.

Where the owner of a construction company testified that the company had performed work on the project on June 23, 2003, and on unspecified dates in August 2003, and the lien was filed on October 20, 2003, substantial evidence existed to find that the company did not filed its lien with knowledge that it had not worked on the project within 120 days before the lien was filed. Swink v. Lasiter Constr., Inc., 94 Ark. App. 262, 229 S.W.3d 553 (2006).

Trial court did not err in awarding an individual punitive damages and attorney fees under subsection (c) of this section, and although the trial court did not make a finding that the instrument was filed with knowledge that it was not genuine or authentic, such a finding was implicit when the court awarded punitive damages under the statute, and the findings were supported by the evidence that the company prepared quitclaim deeds to the entire 40 acres, despite one acre having been carved out, the company was a shell company, and there were no revenue stamps on the deeds under § 26-60-110(b), and the letter attached to the individual's complaint implied that the company was seeking money from the individual in order to clear his title; because the award was based on a statutory remedy, the trial court could have awarded punitive damages without first having awarded compensatory damages. J. Michael Enters. v. Oliver, 101 Ark. App. 48, 270 S.W.3d 388 (2007).

5-37-227. Financial identity fraud — Nonfinancial identity fraud — Restitution — Venue.

  1. A person commits financial identity fraud if the person:
    1. For his or her benefit or the benefit of a third party, accesses, obtains, records, or submits to a financial institution another person's identifying information with a purpose to create, obtain, or open a credit account, debit account, or financial resource without the authorization of the other person;
    2. Uses a scanning device, re-encoder, or a skimmer for the purpose of appropriating a financial resource, financial sight order information, or payment card information of another person to his or her own use or to the use of a third party without the authorization of the other person; or
    3. Transfers to another person a financial resource, a financial sight order, or payment card information knowing that the other person is not entitled to obtain or possess the financial resource, financial sight order, or payment card information.
  2. A person commits nonfinancial identity fraud if he or she knowingly obtains another person's identifying information without the other person's authorization and uses the identifying information for any unlawful purpose, including without limitation:
    1. To avoid apprehension or criminal prosecution;
    2. To harass another person; or
    3. To obtain or to attempt to obtain a good, service, real property, or medical information of another person.
  3. As used in this section:
    1. “Check” means the same as defined in § 4-60-101;
    2. “Debit card” means the same as defined in § 4-88-702;
    3. “Disabled person” means the same as defined in § 4-88-201;
    4. “Elder person” means the same as defined in § 4-88-201;
    5. “Financial institution” includes without limitation a credit card company, bank, or any other type of lending or credit company or institution;
    6. “Financial resource” includes without limitation a credit card, debit card, or any other type of line of credit or loan;
    7. “Financial sight order or payment card information” means financial information that is:
      1. Contained on either side of a check or similar sight order or payment card; or
      2. Encoded on the magnetic strip or stripe of a payment card;
    8. “Identifying information” includes without limitation a:
      1. Social Security number;
      2. Driver's license number;
      3. Checking account number;
      4. Savings account number;
      5. Credit card number;
      6. Debit card number;
      7. Personal identification number;
      8. Electronic identification number;
      9. Digital signature; or
      10. Any other number or information that can be used to access a person's financial resources;
    9. “Payment card” means a debit card or credit card;
    10. “Re-encoder” means an electronic device that places encoded information from the computer chip or magnetic strip or stripe of a payment card onto the computer chip or magnetic strip or stripe of a different payment card, or any electronic medium that allows an authorized transaction to occur;
    11. “Scanning device” means a scanner, reader, or any other electronic device that is used to access, read, scan, obtain, memorize, or store, temporarily or permanently, information encoded on the magnetic strip or stripe of a payment card; and
    12. “Skimmer” means an electronic, photographic, visual imaging, recording, or other device capable of accessing, reading, recording, capturing, copying, imaging, scanning, reproducing, or storing in any manner financial sight order or payment card information.
  4. The provisions of this section do not apply to any person who obtains another person's driver's license or other form of identification for the sole purpose of misrepresenting the actor's age.
    1. Except as provided in subdivision (e)(2) of this section, financial identity fraud is a Class C felony.
    2. Financial identity fraud is a Class B felony if the victim is an elder person or a disabled person.
    1. Except as provided in subdivision (f)(2) of this section, nonfinancial identity fraud is a Class D felony.
    2. Nonfinancial identity fraud is a Class C felony if the victim is an elder person or a disabled person.
    1. In addition to any penalty imposed under this section, a violation of this section constitutes an unfair or deceptive act or practice as defined by the Deceptive Trade Practices Act, § 4-88-101 et seq.
    2. Any remedy, penalty, or authority granted to the Attorney General or another person under the Deceptive Trade Practices Act, § 4-88-101 et seq., is available to the Attorney General or that other person for the enforcement of this section.
      1. In addition to any penalty imposed under this section, upon conviction for financial identity fraud or nonfinancial identity fraud, a court may order the defendant to make restitution to any victim whose identifying information was appropriated or to the estate of the victim under § 5-4-205.
      2. In addition to any other authorized restitution, the restitution order described in subdivision (h)(1)(A) of this section may include without limitation restitution for the following financial losses:
        1. Any costs incurred by the victim in correcting the credit history or credit rating of the victim; and
        2. Any costs incurred in connection with any civil or administrative proceeding to satisfy any debt, lien, or other obligation resulting from the theft of the victim's identifying information, including lost wages and attorney's fees.
      3. The court also may order restitution for financial loss to any other person or entity that suffers a financial loss from a violation of subsection (a) or subsection (b) of this section.
    1. A judgment entered under this section and § 5-4-205 does not bar a remedy available in a civil action to recover damages relating to financial identity fraud or nonfinancial identity fraud.
  5. Venue for any criminal prosecution under this section or any civil action to recover damages relating to financial identity fraud or nonfinancial identity fraud is proper in any of the following venues:
    1. In the county where the violation occurred;
    2. If the violation was committed in more than one (1) county, or if the elements of the offense were committed in more than one (1) county, then in any county where any violation occurred or where an element of the offense occurred;
    3. In the county where the victim resides; or
    4. In the county where property that was fraudulently used or attempted to be used was located at the time of the violation.

History. Acts 1999, No. 568, § 1; 1999, No. 1578, § 1; 2005, No. 280, § 1; 2005, No. 1018, § 1; 2007, No. 85, § 1; 2009, No. 748, § 20; 2017, No. 932, § 2.

A.C.R.C. Notes. Acts 1999, No. 1578, § 3, provided that: “Nothing in this Act shall be construed to conflict with the Freedom of Information Act.”

The definition of “disabled person” referred to in subdivision (c)(3) of this section has been changed to “person with a disability” in § 4-88-201.

Amendments. The 2009 amendment substituted “purpose” for “intent” in the introductory language of (a).

The 2017 amendment rewrote (a); added (c)(1), (c)(2), (c)(7), (c)(9), and (c)(12) and redesignated the remaining subdivisions of (c) accordingly; substituted “without limitation” for “but is not limited to” in (c)(5), (c)(6) and (c)(8); in (c)(10), inserted “computer chip or” twice and substituted “different payment card, or any electronic medium that allows an authorized transaction to occur” for “different card”; substituted “identity” for “identify” in (e)(2); and made stylistic changes.

Research References

ALR.

Successful negotiation of commercial transaction as element of state offense of credit card fraud or false pretense in use of credit card. 106 A.L.R.5th 701.

Validity, construction, and application of state statutes relating to offense of identity theft. 125 A.L.R.5th 537.

Case Notes

Evidence.

Although the evidence was sufficient to convict defendant of financial identity fraud and theft of property because the search of defendant's purse, which contained the evidence necessary for those convictions, by the first victim came at the sheriff's request, the first victim was an agent of the police and the warrantless search of defendant's purse violated the Fourth Amendment. Whisenant v. State, 85 Ark. App. 111, 146 S.W.3d 359 (2004).

5-37-228. Identity theft passport.

  1. The Attorney General in cooperation with any law enforcement agency may issue an identity theft passport to a person who:
    1. Is a resident of this state;
    2. Learns or reasonably suspects that he or she is a victim of financial identity fraud; and
    3. Has filed a police report citing that he or she is a victim of financial identity fraud as prohibited by § 5-37-227.
    1. A person who learns or reasonably suspects that he or she is the victim of financial identity fraud may contact the local law enforcement agency that has jurisdiction over the city or county where the person resides.
    2. The local law enforcement agency:
      1. Shall make a police report of the matter whether or not the local law enforcement agency has jurisdiction to investigate and prosecute a crime of financial identity fraud against the victim;
      2. Shall provide the victim with a copy of the police report; and
      3. May refer the police report to a law enforcement agency with jurisdiction to investigate and prosecute a crime of financial identity fraud.
    3. Nothing in this section interferes with the discretion of a local law enforcement agency to allocate resources for an investigation of a crime.
    4. A police report filed by a victim of financial identity fraud under this section is not required to be counted as an open case for purposes such as compiling open case statistics.
    1. After the victim has filed a police report with any local law enforcement agency, the victim may apply for an identity theft passport by sending to the office of the Attorney General:
      1. A copy of the police report;
      2. An application for an identity theft passport; and
      3. Any other supporting documentation requested by the Attorney General.
    2. The Attorney General shall process the application and supporting police report and may issue the victim of financial identity fraud an identity theft passport in the form of a card or certificate.
    1. A victim of financial identity fraud may present the victim's identity theft passport issued under this section to:
      1. A law enforcement agency to help prevent the victim's arrest or detention for an offense committed by a person other than the victim, who is using the victim's identity;
      2. Any creditor of the victim to aid in the creditor's investigation and establishment of whether a fraudulent charge was made against an account in the victim's name or whether an account was opened using the victim's identity; or
      3. Any other entity to aid in the entity's investigation of whether the victim's identity was fraudulently obtained or used without the victim's consent.
      1. Acceptance of the identity theft passport presented by the victim to a law enforcement agency, creditor, or other entity under subdivision (d)(1) of this section is at the discretion of the law enforcement agency, creditor, or other entity.
      2. A law enforcement agency, creditor, or other entity may consider the identity theft passport as well as surrounding circumstances and available information concerning the offense of financial identity fraud against the victim in determining whether to accept the identity theft passport.
    1. An application for an identity theft passport under subsection (c) of this section and any supporting documentation are not public records.
    2. The Attorney General may provide access to an application under subsection (a) of this section and supporting documentation to another criminal justice or law enforcement agency in this state or another state.

History. Acts 2005, No. 744, § 1.

RESEARCH REFERENCES

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2005 Arkansas General Assembly, Criminal Law, 28 U. Ark. Little Rock L. Rev. 335.

Subchapter 3 — Arkansas Hot Check Law

Effective Dates. Acts 1977, No. 155, § 2: Feb. 14, 1977. Emergency clause provided: “It is hereby found and determined by the General Assembly that it is not clear whether the present law relating to the writing and passing of a ‘hot’ check for the payment of taxes, licenses and fees is unlawful; that it is essential to the well-being of the State of Arkansas and the citizens of the State that the law be clarified immediately to render such act unlawful, and that this Act is designed to accomplish this purpose. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1981, No. 899, § 6: Mar. 28, 1981. Emergency clause provided: “It is hereby found and determined by the General Assembly that the present hot check laws are vague and ambiguous and in need of immediate change and that this Act is immediately necessary to accomplish such change. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1983, No. 473, § 4: Mar. 15, 1983. Emergency clause provided: “It is hereby determined by the General Assembly that the present hot check laws are vague and ambiguous and in need of immediate change and that this Act is necessary to correct present deficiencies. Therefore, an emergency is hereby declared to exist and this Act being necessary for the preservation of the public peace, health and safety shall be in full force and apply prospectively from the date of its passage and approval.”

Acts 1985, No. 1012, § 3: Apr. 17, 1985. Emergency clause provided: “It has been found and is hereby determined that a problem with bad checks and other bad paper given in payment of fines levied and court costs assessed in the courts of Arkansas has become acute, has resulted in a frustration of justice in numerous instances, and caused a serious and unnecessary burden on the judges and administrative personnel of the Courts. Therefore, an emergency is declared to exist, and this Act shall take effect and be in force from the date of its passage and approval.”

Acts 1992 (1st Ex. Sess.), No. 44, § 6: Mar. 17, 1992. Emergency clause provided: “It has been found and it is hereby declared by the General Assembly of the State of Arkansas that some people have misinterpreted the law to the effect that merchants could not aggregate worthless-check notices in one letter and prosecutors could not collect service charges. This has created a burden, especially during recession times. This act is immediately necessary to avoid further misinterpretations. An emergency, therefore, is hereby declared to exist, and this act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 2001, No. 996, § 5: Mar. 21, 2001. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the incidents of people writing ‘hot checks’ continue to increase; that the costs associated with the processing of and collecting on ‘hot checks’ have continued to increase; that the holders of those ‘hot checks’ are entitled to recover those increasing costs; that current law does not allow adequate recovery of the costs associated with ‘hot checks’ by their holders. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health and safety shall become effective on the date of its approval by the Governor. If the bill is neither approved nor vetoed by the Governor, it shall become effective on the expiration of the period of time during which the Governor may veto the bill. If the bill is vetoed by the Governor and the veto is overridden, it shall become effective on the date the last house overrides the veto.”

Case Notes

Applicability.

Debtor's motion for damages against a county, a city, and a prosecutor for willful violation of the automatic bankruptcy stay was denied because, under 11 U.S.C.S. § 362(b)(1), the stay did not apply to criminal proceedings, including the enforcement of orders to pay fines and restitution, and the debtor had admitted that she had been convicted under the Arkansas Hot Check Law, §§ 5-37-3015-37-306. In re Bibbs, 282 B.R. 876 (Bankr. E.D. Ark. 2002).

Cited: Tolbert v. State, 244 Ark. 1067, 428 S.W.2d 264 (1968); State v. Manees, 264 Ark. 190, 569 S.W.2d 665 (1978); Cecil v. State, 283 Ark. 348, 676 S.W.2d 730 (1984).

5-37-301. Title.

This subchapter shall be known and may be cited as the “Arkansas Hot Check Law”.

History. Acts 1959, No. 241, § 1; A.S.A. 1947, § 67-719; Acts 2009, No. 748, § 21.

Amendments. The 2009 amendment rewrote the section.

Case Notes

Sentencing.

Upon the revocation of defendant's probation for eight violations of the Arkansas Hot Check Law under this section, the trial court was authorized under subdivision (d)(2) of this section and § 5-4-309(f)(1)(A) to modify the original order and impose multiple sentences of imprisonment to be served consecutively in accordance with § 5-4-403(a). The trial court did not err by sentencing defendant to twenty years in prison each on four hot-check counts to run consecutively and ten years in prison each on the other felony hot-check counts to run concurrently. Maldonado v. State, 2009 Ark. 432 (2009).

5-37-302. Unlawful acts.

  1. It is unlawful for any person:
    1. To procure any article or thing of value or to secure possession of any personal property to which a lien has attached or to make payment of rent or to make payment of a child support payment or to make payment of any taxes, licenses, or fees, or any fine or court costs, or for any other purpose to make or draw or utter or deliver, with the intent to defraud, any check, draft, order, or any other form of presentment involving the transmission of account information for the payment of money upon any in-state or out-of-state bank, person, firm, or corporation, knowing at the time of such making, drawing, uttering, or delivering that the maker or drawer has not sufficient funds in, or on deposit with, such bank, person, firm, or corporation for the payment of such check, draft, order, or other form of presentment involving the transmission of account information in full, and any other check, draft, order, or other form of presentment involving the transmission of account information upon such funds then outstanding;
    2. To make, draw, utter, or deliver or to cause or direct the making, drawing, uttering, or delivering of any check, draft, order, or any other form of presentment involving the transmission of account information for the payment of money on any in-state or out-of-state bank, person, firm, or corporation in payment of wages or salaries for personal services rendered, knowing that the maker, drawer, or payor does not have sufficient funds in or on deposit with such bank, person, firm, or corporation for the payment in full of such check, draft, order, or other form of presentment involving the transmission of account information as well as any other then-outstanding check, draft, order, or other form of presentment involving the transmission of account information upon such funds, and with no good reason to believe the check, draft, order, or other form of presentment involving the transmission of account information would be paid upon presentation to the person or bank upon which same was drawn; or
    3. After he or she has made, drawn, uttered, or delivered a check, draft, order, or any other form of presentment involving the transmission of account information for the payment of money upon any in-state or out-of-state bank, to withdraw or cause to be withdrawn, with intent to defraud, the funds or any part of the funds that have been deposited in the bank before presentment of the check, draft, order, or any other form of presentment involving the transmission of account information for payment, without leaving sufficient funds in the bank for payment in full of the check, draft, order, or other form of presentment involving the transmission of account information and any other check, draft, or order upon the funds then outstanding.
    1. Upon a determination of guilt of a person under this section, in the event that the order, draft, check, or other form of presentment involving the transmission of account information is one thousand dollars ($1,000) or less, the penalties shall be as follows:
      1. For a first offense, the person is guilty of an unclassified misdemeanor and shall receive a fine of not less than fifty dollars ($50.00) nor more than five hundred dollars ($500) or imprisonment in the county jail or regional detention facility not to exceed thirty (30) days, or both;
      2. For a second offense, the person is guilty of an unclassified misdemeanor and shall receive a fine of not less than one hundred dollars ($100) nor more than one thousand dollars ($1,000) or imprisonment in the county jail or regional detention facility not to exceed ninety (90) days, or both; and
      3. For a third or subsequent offense, the person is guilty of an unclassified misdemeanor and shall receive a fine of not less than two hundred dollars ($200) nor more than two thousand dollars ($2,000) or imprisonment in the county jail or regional detention facility not to exceed one (1) year, or both.
    2. Making, uttering, or delivering one (1) or more instruments or transactions drawn on insufficient funds or drawn on a nonexistent account is a Class B felony if:
      1. The amount of any one (1) instrument or transaction is twenty-five thousand dollars ($25,000) or more; or
      2. More than one (1) instrument or transaction has been drawn within a ninety-day period, each instrument or transaction is in an amount less than twenty-five thousand dollars ($25,000), and the total amount of all such instruments or transactions is twenty-five thousand dollars ($25,000) or more.
    3. Making, uttering, or delivering one (1) or more instruments or transactions drawn on insufficient funds or drawn on nonexistent accounts is a Class C felony if:
      1. The amount of any one (1) instrument or transaction is less than twenty-five thousand dollars ($25,000) but more than five thousand dollars ($5,000); or
      2. More than one (1) instrument or transaction has been drawn within a ninety-day period, each instrument or transaction is in an amount of five thousand dollars ($5,000) or less, and the total amount of all such instruments or transactions is more than five thousand dollars ($5,000).
    4. Making, uttering, or delivering one (1) or more instruments or transactions drawn on insufficient funds or drawn on nonexistent accounts is a Class D felony if:
      1. The amount of any one (1) instrument or transaction is five thousand dollars ($5,000) or less but more than one thousand dollars ($1,000); or
      2. More than one (1) instrument or transaction has been drawn within a ninety-day period, each instrument or transaction is in an amount of one thousand dollars ($1,000) or less, and the total amount of all such instruments or transactions is more than one thousand dollars ($1,000).
    5. Under subdivisions (b)(2)(B), (b)(3)(B), and (b)(4)(B) of this section, each instrument or transaction may be added together in a single prosecution.

History. Acts 1959, No. 241, §§ 2-4; 1977, No. 155, § 1; 1981, No. 899, §§ 1, 2, 4; 1985, No. 1012, § 1; A.S.A. 1947, §§ 67-720, 67-721, 67-725; Acts 1987, No. 69, § 1; 1991, No. 1051, § 1; 2001, No. 1466, § 1; 2015, No. 1263, § 10.

Amendments. The 2015 amendment inserted designation (a); and added (b).

Research References

Ark. L. Rev.

State v. Havens, 337 Ark. 161, 987 S.W.2d 686 (Ark. 1999), 52 Ark. L. Rev. 530.

U. Ark. Little Rock L.J.

Legislative Survey, Criminal Law, 4 U. Ark. Little Rock L.J. 583.

Murphey, Acceptance and Dishonor: “Payable Through” Drafts and Personal Money Orders, 5 U. Ark. Little Rock L.J. 519.

Case Notes

Construction.

Former similar section was highly penal and must be strictly construed. Cousins v. State, 202 Ark. 500, 151 S.W.2d 658 (1941) (decision under prior law).

Applicability.

Checks drawn outside this state upon a bank in this state were within the purview of former similar statute. Cousins v. State, 202 Ark. 500, 151 S.W.2d 658 (1941) (decision under prior law).

Former similar section was not applicable to the case of a postdated check as there is nothing in the act which made it unlawful to promise and fail to pay at a future date. Smith v. State, 147 Ark. 49, 226 S.W. 531 (1921) (decision under prior law).

Payment of a preexisting debt by a worthless check is not a violation of this section. Ridenhour v. State, 279 Ark. 240, 650 S.W.2d 575 (1983).

Burden of Proof.

Proof by the state that the defendant gave a check on a bank which was not paid because he had no money there made a prima facie case of guilt under former section and imposed the burden on the defendant to show that he was not notified so that he might immediately make a deposit to cover the check. Collier v. State, 183 Ark. 1057, 40 S.W.2d 455 (1931) (decision under prior law).

In a prosecution for violation of the overdraft statute, the defendant, having failed to make good the check within the statutory period after notice of its dishonor, had the burden of overcoming the prima facie case made against him. Brewer v. State, 195 Ark. 477, 112 S.W.2d 976 (1938) (decision under prior law).

Defenses.

It was no defense that a third person guaranteed payment of the check to the payee and did pay it when it was returned by the bank stamped “No Acct.” Tolbert v. State, 244 Ark. 1067, 428 S.W.2d 264 (1968).

Elements of Offense.

Elements of the offense are: Intent to defraud and making, drawing or delivering a check for the payment of money on a bank, knowing at the time that there were insufficient funds in the account to pay the check. Smith v. State, 206 Ark. 154, 174 S.W.2d 555 (1943) (decision under prior law).

It is not essential that defendant received money at the time the check involved was given, if he had received the money before and the check was for payment of the money previously obtained. Smith v. State, 206 Ark. 154, 174 S.W.2d 555 (1943) (decision under prior law).

Evidence.

Where defendant failed to abstract evidence, conviction could not be reversed on mere showing that check was postdated. Patterson v. State, 194 Ark. 488, 107 S.W.2d 545 (1937), overruled in part, Bukowczyk v. State, 42 S.W.3d 590 (2001) (decision under prior law).

Testimony held sufficient to establish that funds in the account were insufficient to pay the check. Smith v. State, 206 Ark. 154, 174 S.W.2d 555 (1943) (decision under prior law).

Evidence held sufficient to carry the case to the jury on question of presentment, in the absence of specific objection. Smith v. State, 206 Ark. 154, 174 S.W.2d 555 (1943) (decision under prior law).

Evidence held insufficient to support conviction. Edens v. State, 235 Ark. 284, 357 S.W.2d 641 (1962).

Evidence held sufficient to sustain the defendant's conviction. Reed v. State, 267 Ark. 1017, 593 S.W.2d 472 (Ct. App. 1980); Walker v. State, 10 Ark. App. 189, 662 S.W.2d 196 (1983); .

The giving of a postdated check, bearing the notation, “hold in lieu of loan check,” did not constitute a violation of this section as the postdated nature of the check coupled with the memorandum contained therein should have put the payee on notice that the check was not eligible for presentment of payment until a future date and, therefore, intent to defraud was not established. Bukowczyk v. State, 42 S.W.3d 590 (2001).

Fraud.

While in some circumstances one could be guilty of perpetrating a fraud by giving a bad check in payment of a debt, the evidence showed that party was not defrauded by other person giving him a check and all that would be lost would be the time to present a worthless check. Edens v. State, 235 Ark. 284, 357 S.W.2d 641 (1962).

Indictment or Information.

It is unnecessary to negative exception by alleging that defendant was notified that check had not been paid. Collier v. State, 183 Ark. 1057, 40 S.W.2d 455 (1931) (decision under prior law).

Information charging the giving of a check without sufficient funds and without arrangements to pay the check, and failure to make good within statutory period after notice, was amendable by inserting “and with the intent to defraud.” Brewer v. State, 195 Ark. 477, 112 S.W.2d 976 (1938) (decision under prior law).

Knowledge and Intent.

Intent to defraud and knowledge of insufficient funds may be shown by refusal of payment by the drawee and failure of drawer to make the check good within statutory period after notice. Smith v. State, 206 Ark. 154, 174 S.W.2d 555 (1943) (decision under prior law).

In a prosecution under this section, the fact that defendant had made complete restitution before he was arrested does not disprove the intent to defraud, if the original transaction was criminal, the fact that restitution was made is not in itself a defense as the question for the trial court is whether the accused had the requisite dishonest intent in the first instance. Garroute v. State, 241 Ark. 285, 408 S.W.2d 485 (1966).

The admission in evidence of other bad checks purportedly issued by the defendant for the purpose of showing “the mode, or method, or scheme of operation of the defendant, the motive and his guilty knowledge and intent” was not error where the court limited the jury's consideration of them to such purpose by its instructions. Tolbert v. State, 244 Ark. 1067, 428 S.W.2d 264 (1968).

Other checks previously issued by the defendant upon insufficient funds were admissible as tending to show criminal intent. Swan v. State, 245 Ark. 154, 431 S.W.2d 475 (1968).

Presumption.

Failure to pay check within statutory period after notice of its dishonor raised the presumption that it was given with the intent to defraud. Brewer v. State, 195 Ark. 477, 112 S.W.2d 976 (1938) (decision under prior law).

Thing of Value.

Where purchaser gave one large check to the seller in exchange for three smaller checks he had previously written to the seller which had been returned for insufficient funds, the purchaser did not obtain anything of value by his exchange of the checks and therefore, the purchaser could not be found guilty under this section when the large check was also returned for insufficient funds since nothing of value was either given or received by the exchange of checks. Ridenhour v. State, 279 Ark. 240, 650 S.W.2d 575 (1983).

Cited: State v. Jacks, 243 Ark. 77, 418 S.W.2d 622 (1967); Stone v. State, 254 Ark. 1011, 498 S.W.2d 634 (1973); In re Porter, 462 F. Supp. 370 (E.D. Ark. 1978); Baird v. State, 266 Ark. 250, 583 S.W.2d 60 (1979); Knapp v. State, 283 Ark. 346, 676 S.W.2d 729 (1984); Machen Ford-Lincoln-Mercury, Inc. v. Michaelis, 284 Ark. 255, 681 S.W.2d 326 (1984); In re Brown, 51 B.R. 51 (Bankr. E.D. Ark. 1985); Gill v. State, 290 Ark. 1, 716 S.W.2d 746 (1986); Culpepper v. Biggers, 742 F. Supp. 528 (E.D. Ark. 1990).

5-37-303. Notice.

  1. For purposes of this section and § 5-37-304, notice that payment was refused by the drawee for lack of funds shall be sent by certified mail, registered mail evidenced by return receipt, or by regular mail supported by an affidavit of mailing, to the address printed on the instrument or given at the time of issuance or to the current residence.
    1. The form of the notice under subsection (a) of this section shall be substantially as follows:
    2. If notice is sent by an affidavit of mailing, the affidavit of mailing shall contain a copy of the notice and shall substantially state:
  2. Any party holding a dishonored check or instrument and giving notice in substantially similar form to that provided in subsection (b) of this section and in the manner provided in subsection (a) of this section is immune from civil liability and criminal liability if sent in good faith for the giving of the notice and for proceeding under the forms of the notice.

“You are hereby notified that the check(s) or instrument(s) listed below (has) (have) been dishonored. Pursuant to Arkansas law, you have ten (10) days from receipt of this notice to tender payment of the total amount of the check(s) or instrument(s), plus the applicable service charge(s) of $ (not to exceed $30.00 per check), plus the amount of any fees charged by any financial institution as a result of the check's not being honored, the total amount due being $ . Unless this amount is paid in full within the time specified above, the dishonored check(s) or instrument(s) and all other available information relating to this incident may be turned over to the prosecuting attorney for criminal prosecution.

CHECK NO. CHECK DATE CHECK AMOUNT NAME OF BANK ”.

Click to view form.

“Affidavit of Mailing I am over the age of eighteen (18) years and on (date), I mailed notice of insufficient funds under Arkansas Code § 5-37-303 to the addressee set forth below in an official depository under the exclusive care and custody of the United States Postal Service in (city, county, state), addressed as follows: (name and address of addressee). (Signature) (Date) (Notary)

Click to view form.

History. Acts 1959, No. 241, § 4; 1981, No. 899, § 3; 1983, No. 473, § 1; A.S.A. 1947, § 67-722; Acts 1987, No. 678, § 1; 1992 (1st Ex. Sess.), No. 44, § 1; 1995, No. 335, § 2; 2001, No. 996, § 2; 2003, No. 1732, § 1; 2011, No. 1012, § 2.

A.C.R.C. Notes. The introductory language of (b) was added by the Arkansas Code Revision Commission for clarity.

Amendments. The 2011 amendment, in (b)(1), inserted “under subsection (a) of this section” and substituted “$30.00” for “$25.00.”

Research References

Ark. L. Rev.

State v. Havens, 337 Ark. 161, 987 S.W.2d 686 (Ark. 1999), 52 Ark. L. Rev. 530.

Case Notes

In General.

While notice from the merchant or holder is required for the state to make a prima facie case for violation of the Arkansas Hot Check Law based upon failure to pay a returned check, notice to the drawer of the check is not a prerequisite to the bringing of criminal charges by the state. State v. Havens, 337 Ark. 161, 987 S.W.2d 686 (1999).

Burden of Proof.

Proof by the state that the defendant gave a check on a bank which was not paid because he had no money there made a prima facie case of guilt under former section similar to § 5-37-302 and imposed the burden on the defendant to show that he was not notified so that he might immediately make a deposit to cover the check. Collier v. State, 183 Ark. 1057, 40 S.W.2d 455 (1931) (decision under prior law).

In a prosecution for violation of the overdraft statute, the defendant, having failed to make good the check within the statutory period after notice of its dishonor, had the burden of overcoming the prima facie case made against him. Brewer v. State, 195 Ark. 477, 112 S.W.2d 976 (1938) (decision under prior law).

Duty of Public Official.

Sheriff did not have a duty to inform defendant that the check he tendered in payment of his fine had been dishonored or demand payment of the fine at some subsequent date. Banning v. State, 22 Ark. App. 144, 737 S.W.2d 167 (1987).

Notice of Arrest.

Former law that provided that the giving of a check, payment of which was refused, was prima facie evidence of intent to defraud provided payment wasn't made within statutory period did not require that offender shall have that amount of notice prior to his arrest. Brewer v. State, 195 Ark. 477, 112 S.W.2d 976 (1938) (decision under prior law).

Presumption.

Failure to pay check within statutory period after notice of its dishonor raised the presumption that it was given with the intent to defraud. Brewer v. State, 195 Ark. 477, 112 S.W.2d 976 (1938) (decision under prior law).

Service Charge.

Although §§ 5-37-304, 5-37-307 and this section specifically provide for a $15.00 (now $20.00) maximum service charge on checks returned for insufficient funds, that does not mean they impose no limit on checks returned for any other reason; the General Assembly intended to prohibit the party holding any kind of dishonored check from assessing a collection fee in excess of $15.00 (now $20.00) per check. Cheqnet Sys. v. State Bd. of Collection Agencies, 319 Ark. 252, 890 S.W.2d 595 (1995).

Cited: State v. Jacks, 243 Ark. 77, 418 S.W.2d 622 (1967); Stone v. State, 254 Ark. 1011, 498 S.W.2d 634 (1973); Culpepper v. Biggers, 742 F. Supp. 528 (E.D. Ark. 1990).

5-37-304. Evidence against maker or drawer.

  1. For purposes of this section, it is prima facie evidence that the maker or drawer intended to defraud and knew at the time of the making, drawing, uttering, or delivering that the check, draft, order, or other form of presentment involving transmission of account information would not be honored if:
    1. The maker or drawer had no account with the drawee at the time the check, draft, order, or other form of presentment involving transmission of account information was made, drawn, uttered, or delivered;
    2. The check, draft, order, or other form of presentment involving transmission of account information bears the endorsement or stamp of a collecting bank indicating that the instrument or transmission was returned or otherwise dishonored because of insufficient funds to cover the value; or
    3. Payment was refused by the drawee for lack of funds, upon presentation within thirty (30) days after delivery, and the maker or drawer has not paid the holder the amount due, together with a service charge not to exceed thirty dollars ($30.00), plus the amount of any fees charged to the holder of the check, draft, order, or other form of presentment involving transmission of account information by a financial institution as a result of the check, draft, order, or other form of presentment involving transmission of account information not being honored, within ten (10) days after receiving written notice that payment was refused upon the check, draft, order, or other form of presentment involving transmission of account information.
    1. A prosecuting attorney may file charges immediately after the check, draft, order, or other form of presentment involving the transmission of account information has been returned.
    2. The prosecuting attorney may collect restitution, including a service charge, not exceeding thirty dollars ($30.00) per check, draft, order, or other form of presentment involving the transmission of account information plus the amount of any fees charged to the holder of the check, draft, order, or other form of presentment involving the transmission of account information by a financial institution as a result of the check's, draft's, order's, or other forms of presentment involving the transmission of account information's not being honored, for the payees of the check, draft, order, or other form of presentment involving the transmission of account information.
  2. The check, draft, order, or other form of presentment involving the transmission of account information bearing an “insufficient” stamp or “no account” stamp from the collecting bank or any other report or stamp from the collecting bank indicating that the check, draft, order, or other form of presentment involving the transmission of account information was dishonored or unable to be paid due to insufficient funds on deposit to cover the value of the check, draft, order, or other form of presentment involving the transmission of account information shall be received as evidence that there were insufficient funds or no account at trial in any court in this state.
  3. Nothing in this section is deemed to abrogate a defendant's right of cross-examination of a banking official if notice of intention to cross-examine is given ten (10) days prior to the date of hearing or trial.

History. Acts 1959, No. 241, § 4; 1981, No. 899, § 3; 1983, No. 473, § 1; A.S.A. 1947, § 67-722; Acts 1987, No. 678, § 1; 1992 (1st Ex. Sess.), No. 44, § 2; 1995, No. 335, § 3; 2001, No. 996, § 3; 2001, No. 1466, § 2; 2011, No. 1012, §§ 3, 4; 2013, No. 1125, § 10.

Publisher's Notes. This section was amended by Acts 2001, Nos. 996 and 1466. The amendment by Acts 2001, No. 1466, was deemed to supersede the amendment by Acts 2001, No. 996.

As amended by Acts 2001, No. 996, subdivision (a)(2) read as follows:

“(a)(2)(A)(i) The check, draft, or order bears the endorsement or stamp of a collecting bank indicating that the instrument was returned because of insufficient funds to cover the value; or

“(ii) Payment was refused by the drawee for lack of funds, upon presentation within thirty (30) days after delivery, and the maker or drawer shall not have paid the holder the amount due, together with a service charge not to exceed twenty-five dollars ($25.00), plus the amount of any fees charged to the holder of the check by any financial institution as a result of the check's not being honored, within ten (10) days after receiving written notice that payment was refused upon the check, draft, or order.

“(B) Nothing shall impair the prosecuting attorney's power to immediately file charges after the check has been returned. The prosecuting attorney may collect restitution including a service charge, not exceeding twenty-five dollars ($25.00) per check, plus the amount of any fees charged to the holder of the check by any financial institution as a result of the check's not being honored, for the payees of the check.”

Amendments. The 2011 amendment rewrote (a)(3); and substituted “thirty dollars ($30.00)” for “twenty-five dollars ($25.00)” in (b)(2).

The 2013 amendment rewrote (b)(1) and (b)(2); and, in (c), deleted “or” following “check, draft” and inserted “or other form of presentment involving the transmission of account information.”

Research References

Ark. L. Rev.

Henry, Recent Developments, State v. Havens, 337 Ark. 161, 987 S.W.2d 686 (Ark. 1999), 52 Ark. L. Rev. 530.

Case Notes

Burden of Proof.

Proof which made a prima facie case of guilt under former section imposed the burden on the defendant to show that he was not notified so that he might immediately make a deposit to cover the check. Collier v. State, 183 Ark. 1057, 40 S.W.2d 455 (1931) (decision under prior law).

In a prosecution for violation of the overdraft statute, the defendant, having failed to make good the check within the statutory period after notice of its dishonor, had the burden of overcoming the prima facie case made against him. Brewer v. State, 195 Ark. 477, 112 S.W.2d 976 (1938) (decision under prior law).

The effect of this section is to cast upon the defendant the burden of going forward with the case. Edens v. State, 235 Ark. 284, 357 S.W.2d 641 (1962).

In order to rebut the inference raised by a prima facie case of intent to defraud, the accused must put on evidence which demonstrates the lack of intent to defraud. Walker v. State, 10 Ark. App. 189, 662 S.W.2d 196 (1983).

Evidence.

Where appellant failed to abstract evidence, conviction cannot be reversed on mere showing that check was postdated. Patterson v. State, 194 Ark. 488, 107 S.W.2d 545 (1937), overruled in part, Bukowczyk v. State, 42 S.W.3d 590 (2001) (decision under prior law).

Testimony held sufficient to establish that funds in the account were insufficient to pay the check. Smith v. State, 206 Ark. 154, 174 S.W.2d 555 (1943) (decision under prior law).

Evidence held sufficient to carry the case to the jury on question of presentment, in the absence of specific objection. Smith v. State, 206 Ark. 154, 174 S.W.2d 555 (1943) (decision under prior law).

Evidence held insufficient to support conviction. Edens v. State, 235 Ark. 284, 357 S.W.2d 641 (1962).

Evidence held sufficient to support conviction. Walker v. State, 10 Ark. App. 189, 662 S.W.2d 196 (1983).

Jury Questions.

Whether testimony was sufficient to overcome the state's prima facie case was for the jury. Walker v. State, 10 Ark. App. 189, 662 S.W.2d 196 (1983).

Knowledge and Intent.

Intent to defraud and knowledge of insufficient funds may be shown by refusal of payment by the drawee and failure of drawer to make the check good within statutory period after notice. Smith v. State, 206 Ark. 154, 174 S.W.2d 555 (1943) (decision under prior law).

Check alleged to have been issued by defendant, bearing his purported signature and the bank's stamp of “No Acct.”, was sufficient evidence of fraudulent intent. Tolbert v. State, 244 Ark. 1067, 428 S.W.2d 264 (1968).

In a prosecution for writing bad checks it was error for the trial court to exclude previous banking statements which showed that defendant had had an overdraft arrangement with the bank; the previous statements were relevant to rebut the inference of an intent to defraud. Brimm v. State, 14 Ark. App. 6, 683 S.W.2d 940 (1985).

Presumption.

Failure to pay check within statutory period after notice of its dishonor raised the presumption that it was given with the intent to defraud. Brewer v. State, 195 Ark. 477, 112 S.W.2d 976 (1938) (decision under prior law).

Prima Facie Case.

When the original check is introduced with an endorsement from the bank upon which it was drawn that it was returned unpaid because of insufficient funds, the state has made a prima facie case. Rice v. State, 240 Ark. 674, 401 S.W.2d 562 (1966); Collier v. State, 183 Ark. 1057, 40 S.W.2d 455 (1931); Walker v. State, 10 Ark. App. 189, 662 S.W.2d 196 (1983).

Probable Cause.

There was ample probable cause to justify check-writer's arrest. Culpepper v. Biggers, 742 F. Supp. 528 (E.D. Ark. 1990).

Service Charge.

Although §§ 5-37-303, 5-37-307, and this section specifically provide for a $15.00 (now $20.00) maximum service charge on checks returned for insufficient funds, that does not mean they impose no limit on checks returned for any other reason; the General Assembly intended to prohibit the party holding any kind of dishonored check from assessing a collection fee in excess of $15.00 (now $20.00) per check. Cheqnet Sys. v. State Bd. of Collection Agencies, 319 Ark. 252, 890 S.W.2d 595 (1995).

Cited: State v. Jacks, 243 Ark. 77, 418 S.W.2d 622 (1967); Stone v. State, 254 Ark. 1011, 498 S.W.2d 634 (1973); Culpepper v. Biggers, 742 F. Supp. 528 (E.D. Ark. 1990).

5-37-305. Restitution and court costs.

  1. Any court passing sentence upon a person convicted of any offense under this subchapter may also order the person to make full restitution to the plaintiff or complaining party.
  2. All court costs may be taxed to the convicted defendant.

History. Acts 1959, No. 241, § 5; 1961, No. 500, § 1; 1977, No. 766, § 1; 1981, No. 899, § 5; 1983, No. 473, § 2; 1983, No. 719, § 4; 1985, No. 254, § 1; A.S.A. 1947, § 67-723; Acts 2001, No. 1466, § 3; 2007, No. 632, § 1; 2009, No. 748, § 22; 2011, No. 570, § 28; 2013, No. 425, § 1; 2013, No. 1125, § 11; 2015, No. 1263, § 11.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided:

“Legislative intent. The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2009 amendment substituted “five hundred dollars ($500)” for “two hundred dollars ($200)” in (b)(2)(B).

The 2011 amendment rewrote the section.

The 2013 amendment by No. 425, in (b)(2)(B), substituted “of” for “less than twenty-five thousand dollars ($25,000) but more than,” inserted “or less,” and deleted “less than twenty-five thousand dollars ($25,000) but” preceding “more than five”; in (b)(3)(B), deleted “five thousand dollars ($5,000) or less but more than” preceding “one thousand,” inserted “or less,” and deleted “five thousand dollars ($5,000) or less but” preceding “more than one”; removed the (b)(4)(A) designation; and deleted (b)(4)(B).

The 2013 amendment by No. 1125 deleted former (b)(4) and redesignated former (b)(5) as present (b)(4); and inserted “and (b)(3)(B)” in (b)(4).

The 2015 amendment rewrote the section heading; deleted former (a) and (b); redesignated former (c)(1) as (a); substituted “this subchapter” for “§§ 5-37-3015-37-306” in present (a); and redesignated former (c)(2) as (b).

Research References

Ark. L. Rev.

The Impecunious Economics of Criminal Justice, 26 Ark. L. Rev. 478.

Case Notes

Cited: Tolbert v. State, 244 Ark. 1067, 428 S.W.2d 264 (1968); Hawkins v. State, 251 Ark. 955, 475 S.W.2d 887 (1972).

5-37-306. Prosecutions.

    1. A prosecution for a violation of this subchapter may be in the county of residence of the drawer or of the payee of the check, draft, or order, or in the county where the drawee bank is located.
    2. However, in any case involving a child support payment processed by the Office of Child Support Enforcement of the Revenue Division of the Department of Finance and Administration, the prosecution for the violation may be in Pulaski County.
  1. It is expressly intended in this section for the drawee, or for a third party holder in due course of a check, draft, or order, payment of which is refused by the drawee, to have the right to initiate and maintain the prosecution of a criminal charge against the maker of the check, draft, or order, whether or not the original payee consents to the action.
    1. In any prosecution under this subchapter, process shall be issued and served in the county or out of the county where the prosecution is pending and have the same binding force and effect as though the offense being prosecuted were a felony.
    2. Any officer issuing and serving process in or out of the county where the prosecution is pending and any witness from within or without the county where the prosecution is pending shall be compensated in like manner as though the offense were a felony in grade.

History. Acts 1959, No. 241, § 6; 1961, No. 500, § 2; 1981, No. 849, § 1; 1985, No. 254, § 2; A.S.A. 1947, § 67-724; Acts 1995, No. 1184, § 40.

Cross References. Prosecutors' fees, § 21-6-411.

Case Notes

Venue.

Violation of the former Overdraft Act was consummated when the check was executed and delivered and the venue was not transitory. Edwards v. State, 232 Ark. 403, 337 S.W.2d 865 (1960) (decision under prior law).

5-37-307. Knowingly issuing worthless check.

  1. A person commits an offense if he or she issues or passes a check, order, draft, or any other form of presentment involving the transmission of account information for the payment of money knowing that the issuer does not have sufficient funds in or on deposit with the bank or other drawee for the payment in full of the check, order, draft, or any other form of presentment involving the transmission of account information, as well as any other check, order, draft, or any other form of presentment involving the transmission of account information outstanding at the time of issuance.
    1. This section and § 21-6-411 do not apply to a preexisting debt or a situation in which nothing of value was acquired.
    2. However, this section and § 21-6-411 do apply to a payment of rent, child support, consignment, tax, license, fee, fine, and court costs.
    1. This section does not prevent the prosecuting attorney from establishing the required knowledge by direct evidence.
    2. However, for purposes of this section, the issuer's knowledge of insufficient funds is presumed, except in the case of a postdated check, order, draft, or any other form of presentment involving the transmission of account information if:
      1. The issuer had no account with the bank or other drawee at the time he or she issued the check, order, draft, or any other form of presentment involving the transmission of account information; or
      2. Payment was refused by the bank or other drawee for lack of funds or insufficient funds on presentation within thirty (30) days after issue and the issuer failed to pay the holder in full, plus a service charge not to exceed thirty dollars ($30.00), plus the amount of any fees charged to the holder of the check by a financial institution as a result of the check's not being honored, within ten (10) days after receiving notice of that refusal.
  2. Notice for purposes of this section shall be by the procedure as set forth in §§ 5-37-303 and 5-37-304.
  3. If notice is given, it is presumed that the notice was received no later than five (5) days after it was sent.
  4. An offense under this section is a violation and is punishable as provided in § 5-4-104.
  5. This act is cumulative to all other acts and shall not repeal any other act.

History. Acts 1985 (1st Ex. Sess.), No. 33, §§ 1, 4; A.S.A. 1947, §§ 67-726, 67-728n; Acts 1987, No. 69, § 2; 1987, No. 678, § 2; 1991, No. 1051, § 2; 1995, No. 335, § 4; 2001, No. 996, § 4; 2001, No. 1466, § 4; 2011, No. 1012, § 5.

Publisher's Notes. Acts 1985 (1st Ex. Sess.), No. 33, § 3, provided that in counties where the sheriff operates a hot check program and the prosecuting attorney does not operate such a program on September 20, 1985, the sheriff shall be entitled to continue the program as long as he elects to do so and the prosecuting attorney shall not initiate any such program in the county unless the sheriff in the county discontinues his program.

Amendments. The 2011 amendment substituted “thirty dollars ($30.00)” for “twenty-five dollars ($25.00)” in (c)(2)(B)

Meaning of “this act”. Acts 1985 (1st Ex. Sess.), No. 33, codified as §§ 5-37-307, 16-21-120, and 21-6-411.

Cross References. Fees from persons issuing bad checks, § 16-21-120.

Case Notes

Service Charge.

Although §§ 5-37-303, 5-37-304 and this section specifically provide for a $15.00 (now $20.00) maximum service charge on checks returned for insufficient funds, that does not mean they impose no limit on checks returned for any other reason; the General Assembly intended to prohibit the party holding any kind of dishonored check from assessing a collection fee in excess of $15.00 (now $20.00) per check. Cheqnet Sys. v. State Bd. of Collection Agencies, 319 Ark. 252, 890 S.W.2d 595 (1995) (decision under former law).

Subchapter 4 — Communication Services and Devices

Publisher's Notes. Acts 1985, No. 781, § 7, provided that no provision of the Act would be repealed by a subsequent enactment of the Legislature unless the enactment clearly indicates the repeal is intended.

Effective Dates. Acts 1985, No. 781, § 8: Apr. 3, 1985. Emergency clause provided: “It is hereby found and determined by the General Assembly that the theft of cable television services is becoming more and more prevalent; that there is urgent need for legislation to make it illegal and punishable both criminally and civilly for a theft of cable television services; that this Act is designed to correct this situation and should be given effect immediately. Therefore, an emergency is hereby declared to exist and this Act being necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Research References

U. Ark. Little Rock L.J.

Legislative Survey, Criminal Law, 8 U. Ark. Little Rock L.J. 559.

5-37-401. Definitions.

As used in this subchapter:

  1. “Communication device” means:
    1. Any type of electronic mechanism, transmission line or connection and an appurtenance to a transmission line or connection, instrument, device, machine, equipment, technology, or software that is capable of intercepting, transmitting, retransmitting, acquiring, decrypting, or receiving any communication service or functionality, including the receipt, acquisition, interception, transmission, retransmission, or decryption of communication service provided by or through any cable television, fiber optic, telephone, satellite, microwave, data transmission, radio, Internet-based, or wireless distribution network, system, or facility; and
    2. Any component of the communication device, including any electronic serial number, mobile identification number, personal identification number, computer circuit, splitter, connectors, switches, transmission hardware, security module, smart card, software, computer chip, or electronic mechanism or any component, accessory, or part of any communication device that is capable of facilitating the interception, transmission, retransmission, decryption, acquisition, or reception of any communication service or functionality;
  2. “Communication service” means:
    1. Any service lawfully provided for a charge or compensation to facilitate the lawful origination, transmission, emission, or reception of a sign, signal, data, writing, image, sound, or intelligence of any nature by telephone, including a cellular or other wireless telephone, wire, wireless, radio, electromagnetic, photoelectronic, or photo optical system, network, or facility; and
    2. Any service lawfully provided for a charge or compensation by any cable television, radio, fiber optic, photo optical, electromagnetic, photoelectric, photoelectronic, satellite, microwave, data transmission, wireless, or Internet-based distribution system, network, or facility, including, but not limited to, any electronic, data, video, audio, Internet access, telephonic, microwave, or radio communication, transmission, signal, or service and any communication, transmission, signal, or services lawfully provided, directly or indirectly, by or through any system, network, or facility described in this subdivision (2)(B);
  3. “Communication service provider” means any person or entity:
    1. Owning or operating any cable television, fiber optic, photo optical, electromagnetic, photoelectric, photoelectronic, satellite, Internet-based, telephone, wireless, microwave, data transmission, or radio distribution system, network, or facility;
    2. Providing a communication service, whether directly or indirectly as a reseller, including, but not limited to, a cellular, paging, or other wireless communications company, or other person or entity that for a fee supplies the facility, cell site, mobile telephone switching office, or other equipment or communication service; and
    3. Providing any communication service, directly or indirectly, by or through any distribution system, network, or facility described in this subdivision (3);
  4. “Manufacture, assembly, or development of a communication device” means to make, produce, develop, or assemble a communication device, or to knowingly assist another to make, produce, develop, or assemble a communication device;
  5. “Manufacture, assembly, or development of an unlawful access device” means to make, develop, produce, or assemble an unlawful access device or to modify, alter, program, or reprogram any instrument, device, machine, equipment, technology, or software for the purpose of defeating or circumventing any effective technology, device, or software used by the provider, owner, or licensee of a communication service, or of any data, audio, or video program or transmission, to protect any such communication, data, audio, or video service, program, or transmission from unauthorized receipt, interception, acquisition, access, decryption, disclosure, communication, transmission, or retransmission, or to knowingly assist another in an activity described in this subdivision (5);
  6. “Multipurpose device” means any communication device that is capable of more than one (1) function and includes any component of the communication device; and
  7. “Unlawful access device” means any type of instrument, device, machine, equipment, technology, or software that is primarily designed, developed, assembled, manufactured, sold, distributed, possessed, used, offered, promoted, or advertised for the purpose of defeating or circumventing any effective technology, device, or software, or any component or part of an effective technology, device, or software used by the provider, owner, or licensee of any communication service or of any data, audio, or video program or transmission, to protect any communication, data, audio, or video service, program, or transmission from unauthorized receipt, acquisition, interception, access, decryption, disclosure, communication, transmission, or retransmission.

History. Acts 1985, No. 781, § 1; A.S.A. 1947, § 41-2210; Acts 2003, No. 1806, § 1.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Forgery and Fraudulent Practices, 26 U. Ark. Little Rock L. Rev. 376.

5-37-402. Theft of communication services — Unlawful communication and access devices.

  1. A person commits theft of communication services if he or she knowingly and with the intent to defraud a communication service provider:
    1. Obtains or attempts to obtain or uses a communication service without the authorization of or proper compensation paid to the communication service provider, or assists or instructs any other person in doing so with the intent to defraud the communication service provider;
    2. Tampers with, modifies, or maintains a modification to a communication device installed or provided by the communication service provider with the intent to defraud that communication service provider;
    3. Possesses with the intent to distribute, manufactures, develops, assembles, distributes, transfers, imports into this state, licenses, leases, sells or offers, promotes or advertises for sale, use, or distribution any communication device:
      1. For the commission of a theft of a communication service or to receive, intercept, disrupt, transmit, retransmit, decrypt, or acquire or facilitate the receipt, interception, disruption, transmission, retransmission, decryption, or acquisition of any communication service without the express consent or express authorization of the communication service provider, as stated in a contract or otherwise; or
      2. With the intent to conceal or to assist another to conceal from any communication service provider or from any lawful authority the existence or place of origin or destination of any communication, provided that the concealment is for the purpose of committing a violation of subdivision (a)(3)(A) of this section;
    4. Tampers or otherwise interferes with or connects to by any means, whether mechanical, electrical, acoustical, or other means, any cable, wire, or other device used for the distribution of cable television without authority from the operator of the service, modifies, alters, programs, or reprograms a communication device for a purpose described in subdivision (a)(3) of this section;
    5. Possesses, uses, manufactures, develops, assembles, distributes, imports into this state, licenses, transfers, leases, sells, offers, promotes, or advertises for sale, use, or distribution any unlawful access device; or
    6. Possesses, uses, prepares, distributes, sells, gives, transfers, offers, promotes, or advertises for sale, use, or distribution any:
      1. Plans or instructions for making, assembling, or developing any unlawful access device under circumstances evidencing an intent to use or employ the communication device or unlawful access device, or to allow the communication device or unlawful access device to be used or employed for a purpose prohibited by this subchapter, or knowing or having reason to believe that the communication device or unlawful access device is intended to be so used, or that the plans or instructions are intended to be used for manufacturing or assembling the communication device or unlawful access device for a purpose prohibited by this subchapter; or
      2. Material, including hardware, a cable, a tool, data, computer software, or other information or equipment, knowing that the purchaser or a third person intends to use the material in the manufacture, assembly, or development of a communication device for a purpose prohibited by this subchapter, or for use in the manufacture, assembly, or development of an unlawful access device.
    1. However, nothing in this section shall be construed to prohibit the manufacture, importation, sale, lease, or possession of any television device possessing the internal hardware necessary to receive a cable television signal without the use of a converter, device, or box, or of any television advertised as “cable ready”.
    2. A person that manufactures, produces, assembles, designs, sells, distributes, licenses, or develops a multipurpose device is not in violation of this section unless that person acts knowingly and with an intent to defraud a communication service provider and the multipurpose device:
      1. Is manufactured, developed, assembled, produced, designed, distributed, sold, or licensed for the primary purpose of committing a violation of this section;
      2. Has only a limited commercially significant purpose or use other than as an unlawful access device or for the commission of any other violation of this section; or
      3. Is marketed by that person or another person in concert with that person with that person's knowledge for use as an unlawful access device or for the purpose of committing any other violation of this section.
    3. Nothing in this section requires that the design of or design and selection of a part, software code, or component for a communication device provide for a response to any particular technology, device, or software, or any component or part thereof, used by the provider, owner, or licensee of any communication service or of any data, audio or video program, or transmission to protect any such communication, data, audio or video service, program, or transmission from unauthorized receipt, acquisition, interception, access, decryption, disclosure, communication, transmission, or retransmission.
    4. This section does not apply to the following entities or persons when lawfully acting in the capacity listed in this subdivision (b)(4) and as expressly authorized to do so by any other state or federal statute or regulation:
      1. State or local law enforcement agency;
      2. State or local government authority, municipality, or agency; and
      3. Communication service provider.
    1. A person who violates subdivision (a)(1) or subdivision (a)(2) of this section upon conviction is guilty of a Class B misdemeanor.
    2. A person who violates one (1) or more of subdivisions (a)(3)-(6) of this section upon conviction is guilty of a Class D felony.
    3. An offense under this section is a Class C felony if:
      1. The defendant has been convicted previously on two (2) or more occasions for an offense under this subchapter or for any similar crime in this state or any federal or other state jurisdiction; or
      2. The violation of this subchapter involves possession of more than fifty (50) communication devices or unlawful access devices.
  2. The penalty for an offense under this section when based upon a prior conviction includes without limitation a felony offense involving theft of service or fraud under this subchapter or a violation of the Cable Communications Policy Act of 1984, Pub. L. No. 98-549, as in effect on March 1, 2003.
  3. The court shall sentence a person convicted of violating this subchapter to make restitution as authorized by law, in addition to any other sentence authorized by law.
  4. Upon conviction of a defendant under this section, the court may direct that the defendant forfeit any communication device or unlawful access device in the defendant's possession or control that was involved in the violation for which the defendant was convicted, in addition to any other sentence authorized by law.

History. Acts 1985, No. 781, § 2; A.S.A. 1947, § 41-2211; Acts 1997, No. 348, § 1; 2003, No. 1806, § 2; 2015, No. 1263, § 12.

Amendments. The 2015 amendment added (c) through (f).

U.S. Code. The federal Cable Communications Policy Act of 1984, Pub. L. No. 98-549, is codified primarily as 47 U.S.C. § 521 et seq.

5-37-403. [Repealed.]

Publisher's Notes. This section, concerning penalties for theft of communications services, was repealed by Acts 2015, No. 1263, § 13. The section was derived from Acts 1985, No. 781, § 3; A.S.A. 1947, § 41-2212; Acts 1997, No. 348, § 2; 2003, No. 1806, § 3.

5-37-404. Possession of devices as evidence of intent — Presumption.

  1. In a prosecution for a violation of this subchapter, the following constitute prima facie evidence of both the defendant's intent to violate a provision of this subchapter and a violation of a provision of this subchapter:
    1. The existence on the property and in the actual possession of the defendant of any communication device or unlawful access device that is connected in such a manner as would permit the receipt of a communication service without the communication service's being reported for payment to and specifically authorized by the communication service provider; or
    2. The existence on the property and in the actual possession of the defendant when the totality of the circumstances, including quantity or volume, surrounding the defendant's arrest indicates possession for resale of any device designed, in whole or in part, to facilitate the performance of any illegal act set out in § 5-37-402.
  2. It is presumed that any person who receives a communication service to his or her residence, dwelling, or business is criminally and civilly liable for the conduct of another person at the residence, dwelling, or business for any violation of a provision of this subchapter.

History. Acts 1985, No. 781, § 4; A.S.A. 1947, § 41-2213; Acts 2003, No. 1806, § 4.

5-37-405. Satellite dish.

The provisions of this subchapter shall not be construed or otherwise interpreted to prohibit an individual from owning or operating a device commonly known as a “satellite receiving dish” for the purpose of lawfully receiving and utilizing a satellite-relayed television signal for his or her own use.

History. Acts 1985, No. 781, § 5; A.S.A. 1947, § 41-2214; Acts 2003, No. 1806, § 5.

5-37-406. Venue.

  1. An offense or violation of § 5-37-402 may be deemed to have been committed at either the place where the defendant manufactures, develops, or assembles a communication device or unlawful access device or assists another in doing so or the place where the communication device or unlawful access device is sold or delivered to a purchaser or recipient.
  2. It is no defense to a violation of § 5-37-402 that some of the acts constituting the violation occurred outside of this state.

History. Acts 2003, No. 1806, § 6.

5-37-407. Additional civil remedies.

    1. In addition to any other provision of this subchapter, any person aggrieved by a violation of this subchapter may bring a civil action in any court of competent jurisdiction.
    2. As used in this section, “any person aggrieved” includes any communication service provider.
  1. The court may:
    1. Award declaratory relief and any other equitable remedy, including a preliminary or final injunction to prevent or restrain a violation of this subchapter, without requiring proof that the plaintiff has suffered or will suffer actual damages or irreparable harm or lacks an adequate remedy at law;
    2. At any time while an action is pending, order the impounding, on such terms as it deems reasonable, of any communication device or unlawful access device that is in the custody or control of the violator and that the court has reasonable cause to believe was involved in the alleged violation of this subchapter;
    3. Award damages as described in subsection (c) of this section;
    4. In the court's discretion, award reasonable attorney fees, costs, and expenses to an aggrieved party who prevails; and
    5. As part of a final judgment or decree finding a violation of this subchapter, order the remedial modification or destruction of any communication device or unlawful access device or any other device or equipment involved in the violation that is in the custody or control of the violator or has been impounded under subdivision (b)(2) of this section.
  2. Damages awarded by a court under this subchapter shall be computed as either of the following:
      1. Upon his or her election of damages at any time before final judgment is entered, the complaining party may recover the actual damages suffered by him or her as a result of the violation of this subchapter and any profits of the violator that are attributable to the violation.
      2. Actual damages include the retail value of any communication service illegally available to a person to whom the violator directly or indirectly provided or distributed any communication device or unlawful access devices.
      3. In proving actual damages, the complaining party shall prove only that the violator manufactured, distributed, or sold any communication device or unlawful access devices.
      4. In determining the violator's profits, the complaining party shall prove only the violator's gross revenue and the violator shall prove his or her deductible expenses; or
    1. Upon election by the complaining party at any time before final judgment is entered, that party may recover in lieu of actual damages, an award of statutory damages of one thousand dollars ($1,000) for each communication device or unlawful access device involved in the action, with the amount of statutory damages to be determined by the court, as the court considers just.
  3. In any case in which the court finds that any violation of this subchapter was committed willfully and for a purpose of commercial advantage or private financial gain, the court in its discretion may increase the total award of any damages under subsection (c) of this section by an amount of not more than fifty thousand dollars ($50,000) for each communication device or unlawful access device involved in the action or for each day the defendant was in violation of this subchapter.

History. Acts 2003, No. 1806, § 6; 2007, No. 827, § 41.

Subchapter 5 — Business and Commercial Offenses Generally

Cross References. Fines, § 5-4-201.

Selling diseased animals, penalty, § 5-62-116.

Term of imprisonment, § 5-4-401.

Theft of property by deception, § 5-36-103.

Effective Dates. Acts 1887, No. 134, § 2: effective on passage.

Acts 1937, No. 11, § 4: Feb. 2, 1937.

Acts 1953, No. 157, § 4: approved Feb. 26, 1953. Emergency clause provided: “The General Assembly finds and declares that with the large number of tractors, trailers and other farm implements now in use, it is essential in order to pass title and to effectively impose liens upon such articles that they be identified by the serial or other number or mark used by the manufacturer; that there is an increasing trend toward the removal and alteration of such numbers and marks, for the fraudulent purpose of facilitating the disposition of stolen articles and an emergency is therefore found to exist whereby for the preservation of the public peace, health and safety, it is necessary that this Act shall be in full force and effect from and after its passage.”

Acts 1959, No. 240, § 3: Mar. 25, 1959. Emergency clause provided: “Whereas, many persons in this State sell or offer for sale strawberries packaged in such a manner as to misrepresent the true characteristics of the strawberries so packaged; that such misrepresentation is working serious injury to the strawberry industry of this State; and that only by the immediate passage of this Act may such situation be corrected. Therefore, an emergency is hereby declared to exist and this Act, being immediately necessary for the preservation of the public peace, health and safety, shall be in full force and effect from and after its passage and approval.”

Acts 1963, No. 251, § 4: Mar. 18, 1963. Emergency clause provided: “It is hereby found and determined by the General Assembly that the removal or defacing of the serial or code number on containers of tobacco products hinders the collection of the tax thereon and makes it difficult to trace stolen products and that this Act is immediately necessary to correct this situation. Therefore an emergency is hereby declared to exist and this Act being necessary for the preservation of public peace, health and safety shall be in effect from the date of its passage and approval.”

Acts 1989, No. 303, § 4: Mar. 2, 1989. Emergency clause provided: “It is hereby found and determined by the General Assembly that the present laws of this state are not sufficient to protect materialmen and the public from contractors who knowingly and willfully fail to pay a supplier or subcontractor for materials or goods furnished to a project; that this act establishes criminal penalties for such conduct; and that this act should become effective immediately to protect materialmen and the public in general. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

5-37-501. Animals — Altering teeth or failing to disclose defects.

  1. It is declared to be unlawful for any person in any manner to change or alter or cause to be changed or altered the teeth of any mule, horse, or other livestock with an intention to deceive a person to whom the livestock is offered for sale.
  2. Any person who with the intent to defraud or cheat another person designedly represents any livestock that he or she offers for sale to another person as being of a markedly superior quality or who fails to reveal a material physical defect of the animal when selling the animal to another person is guilty of a Class C misdemeanor.

History. Acts 1937, No. 11, §§ 1-3; Pope's Dig., §§ 3082-3084; A.S.A. 1947, §§ 41-2351 — 41-2353; Acts 2005, No. 1994, § 408.

Research References

Ark. L. Notes.

Looney, The Toothless Cow, the Little Bull That Couldn't, and Udder Matters: Livestock Warranties and the Uniform Commercial Code, 1990 Ark. L. Notes 75.

5-37-502. Animals — Marking, branding, or altering brands.

If any person shall mark, brand, or alter the mark or brand of any animal being the property of another person with an intent to steal or convert the carcass or skin of the animal to his or her own use or to prevent identification by the true owner, then upon conviction the person shall be punished in the same manner prescribed by law for theft of the value of the animal.

History. Chapters of Digest p. 232 (Apr. 12, 1869), § 1; C. & M. Dig., § 2508; Pope's Dig., § 3159; A.S.A. 1947, § 41-2374; Acts 2005, No. 1994, § 292.

Case Notes

Value.

In an indictment for a felony consisting of feloniously altering the mark of a hog with the intent to steal the same, it is unnecessary to allege the value of the animal. Houston v. State, 66 Ark. 607, 53 S.W. 44 (1899).

5-37-503. Animals — False registration or pedigree.

Any person who by any false pretense obtains from any club, association, society, or company for improving the breed of cattle, horses, sheep, swine, or other domestic animals a certificate of registration of any animal in the herd register or other register of the club, association, society, or company, or a transfer on any registration, and any person who knowingly gives a false pedigree of any animal, upon conviction is guilty of a Class A misdemeanor.

History. Acts 1887, No. 134, § 1, p. 233; C. & M. Dig., § 304; Pope's Dig., § 318; A.S.A. 1947, § 41-2373; Acts 2005, No. 1994, § 346.

5-37-504. Horses — Behavior alteration before sale.

  1. It is unlawful for any person to sell any horse or mule that has been treated in any manner with a behavior-altering substance within the previous twenty-four (24) hours.
    1. Notwithstanding any other law to the contrary, a buyer may rescind the sale of a horse or mule and receive full repayment of any moneys paid if the horse or mule has been treated with a behavior-altering substance within twenty-four (24) hours of the sale.
    2. However, if the expiration of the twenty-four (24) hours falls on a weekend or holiday, the right to rescind extends through the next business day following the weekend or holiday.
  2. Any violation of a provision of this section is a Class A misdemeanor.
  3. This section does not apply to any horse claimed in a claiming race at a licensed racetrack under the jurisdiction of the Arkansas Racing Commission if the treatment otherwise subject to this section consists only of a medication that may be administered to the horse without violating any applicable rule of the commission.

History. Acts 2003, No. 363, § 1.

5-37-505. Insurance fraud by use of a procurer.

  1. As used in this section and § 5-37-506:
      1. “Procurer” means a person or entity that for pecuniary benefit procures or attempts to procure a client, patient, or customer by directly contacting the client, patient, or customer in person, by telephone, or by electronic means at the direction of, request of, employment of, or in cooperation with a provider.
      2. “Procurer” does not include a provider or a person that procures or attempts to procure a client, patient, or customer for a provider through public media or a person that refers a client, patient, or customer to a provider as otherwise authorized by law;
    1. “Provider” means:
      1. An attorney;
      2. A healthcare provider; or
      3. An employee of a provider; and
    2. “Public media” means telephone directories, professional directories, newspapers and other periodicals, radio and television, billboards, and mailed or electronically transmitted written or visual communications that do not involve in-person or direct contact with a specific prospective client, patient, or customer.
  2. A person commits the offense of insurance fraud by use of a procurer if:
    1. He or she is a procurer or provider; and
    2. For the purpose of defrauding an insured person or an insurance carrier, he or she knowingly:
      1. Falsely represents the services to be provided to an actual or prospective client, patient, or customer;
      2. Makes a misrepresentation, including without limitation affiliation with an insurance company, a law enforcement agency, or a governing board of a healthcare provider while procuring or attempting to procure a client, patient, or customer; or
      3. Uses, solicits, directs, hires, or employs another person to act as a procurer to falsely represent the services to be provided to an actual or prospective client, patient, or customer.
  3. Insurance fraud by use of a procurer or provider is a Class D felony.

History. Acts 2013, No. 513, § 1.

5-37-506. Prohibited activity by a procurer or provider.

  1. A person commits the offense of prohibited activity by a procurer or provider if:
    1. The person is a procurer and he or she knowingly:
      1. Offers or gives anything of value to a person in order to cause the person to seek medical care from a specific healthcare provider; or
      2. Solicits a person currently under the care of a chiropractic physician to seek care from another chiropractic physician; or
    2. The person is a provider and he or she knowingly permits a procurer that he or she uses, directs, or employs to engage in conduct prohibited by subdivision (a)(1) of this section.
  2. Prohibited activity by a procurer or provider is a Class D felony.

History. Acts 2013, No. 513, § 1; 2015, No. 1155, § 8.

Amendments. The 2015 amendment inserted “or provider” following “procurer” in the section heading and (a).

5-37-507. Software and other devices and mechanisms used to falsify electronic records.

  1. It is unlawful for a person to knowingly manufacture, sell, rent, lease, make available, purchase, install, transfer, possess, or use software or any other device or mechanism designed to falsify the electronic records of an electronic cash register or other point-of-sale system for the purpose of evading a tax due under Arkansas law.
  2. A person that violates this section upon conviction is:
    1. Guilty of a Class C felony; and
    2. Liable for all taxes assessed by the Department of Finance and Administration under the Arkansas Tax Procedure Act, § 26-18-101 et seq., as the result of the violation of this section.

History. Acts 2013, No. 1076, § 2.

5-37-508. [Reserved.]

5-37-510. Unauthorized copying or sale of recordings.

  1. As used in this section:
    1. “Owner” means the person who owns the:
      1. Original fixation of sounds embodied in the master phonograph record, master disc, master tape, master film, or other device used for reproducing a sound on a recording upon which sound is recorded and from which the transferred recorded sound is directly derived; or
      2. Right to record a live performance;
    2. “Person” means any individual, firm, partnership, corporation, or association; and
    3. “Recording” means the tangible medium on which sound or image is recorded or otherwise stored and includes any phonograph record, audio or video disc, audio or video tape, wire, film, or other medium now known or later developed on which a sound or image is recorded or otherwise stored.
  2. It is unlawful for any person for commercial advantage or private financial gain knowingly to:
    1. Transfer or cause to be transferred any sound recorded on a phonograph record, disc, wire, tape, film, or other article on which a sound is recorded, or any live performance, onto any recording without the consent of the owner; or
    2. Sell, distribute, circulate, offer for sale, distribution, or circulation, possess for the purpose of sale, distribution, or circulation, cause to be sold, distributed, or circulated, offered for sale, distribution, or circulation, or possessed for sale, distribution, or circulation, any recording on which a sound or a performance has been transferred, knowing it to have been made without the consent of the owner.
  3. It is unlawful for any person for commercial advantage or private financial gain to sell, distribute, circulate, offer for sale, distribution, or circulation, or possess for the purposes of sale, distribution, or circulation, any recording on which a sound or image has been transferred unless the recording bears the actual name and address of the transferor of the sound or image in a prominent place on the recording's outside face, label, cover, jacket, or package.
  4. This section does not apply to any person who transfers or causes to be transferred any sound or image:
    1. Intended for or in connection with radio or television broadcast transmission, for communication media, or a related use;
    2. For an archival purpose;
    3. For an educational purpose, with no compensation being derived as a result of the transfer;
    4. For the internal operation of a business;
    5. With prior authorization by a court of competent jurisdiction; or
    6. Solely for the personal use of the person transferring or causing the transfer if the person transferring or causing the transfer has no intention to evade a provision or intent of this section if proof of intent is an element of the offense.
    1. Upon conviction, any person violating a provision of this section is guilty of a Class A misdemeanor for the first offense involving fewer than one hundred (100) sound recordings or fewer than seven (7) audiovisual recordings.
    2. For a subsequent offense, and for an offense involving one hundred (100) or more sound recordings or seven (7) or more audiovisual recordings, the person is guilty of a Class D felony and is subject to an additional fine not to exceed two hundred fifty thousand dollars ($250,000).
  5. This section does not enlarge or diminish the right of a party in private litigation.
  6. When a person is convicted of any violation of this section, the court in its judgment of conviction shall order the forfeiture and destruction or other disposition of any recording that does not conform to a requirement of this section and any implement, device, label, or equipment used in the manufacture of the recording.
    1. Upon discovery, it is the duty of any law enforcement officer to confiscate any recording that does not conform to a provision of this section.
    2. It is the duty of law enforcement, by court order, to destroy or otherwise dispose of a recording described in subdivision (h)(1) of this section.

History. Acts 1977, No. 764, §§ 1, 2; A.S.A. 1947, §§ 41-2375, 41-2376; Acts 1991, No. 490, § 1; 1999, No. 1578, § 2; 2005, No. 1994, § 461.

A.C.R.C. Notes. Acts 1999, No. 1578, § 3, provided that:

“Nothing in this Act shall be construed to conflict with the Freedom of Information Act.”

5-37-511 — 5-37-514. [Reserved.]

    1. It is the purpose and intent of this section to prohibit false, fraudulent, and misleading advertising and to prescribe a penalty for a person purchasing false, fraudulent, and misleading advertising in a newspaper, on radio or television, or otherwise causing false, fraudulent, and misleading advertising to be placed before the public.
    2. It is not the intention of this section and nothing in this section shall be construed to penalize or place responsibility upon any newspaper, radio station, television station, publisher, or other person, firm, or corporation for publishing, broadcasting, telecasting, or otherwise disseminating any advertisement purchased by any person, firm, corporation, or association.
  1. No person, firm, corporation, group, or association, with intent to sell or in anywise dispose of real estate, merchandise, a security, service, or anything offered by that person, firm, corporation, group, or association, directly or indirectly, to the public for sale or distribution, or with intent to increase the consumption thereof or to induce the public in any manner to enter into any obligation relating thereto or to acquire title thereto or an interest therein, shall make, publish, disseminate, circulate, or place before the public or cause, directly or indirectly, to be made, published, disseminated, circulated, or placed before the public in this state, in a newspaper or other publication, on radio or television, or in the form of a book, notice, handbill, poster, bill, circular, pamphlet, or letter, or in any other way, an advertisement of any sort regarding real estate, merchandise, a security, service, or anything so offered to the public, which advertisement contains any assertion, representation, or statement of fact that is untrue, deceptive, or misleading.
    1. It is deemed deceptive advertising, within the meaning of this subsection, for any person, firm, or corporation, engaged in the business of buying or selling new or secondhand merchandise, wearing apparel, jewelry, furniture, a piano, phonograph, or other musical instrument, motor vehicle, stock, or, generally, any form of real, personal, or mixed property, or in the business of furnishing any kind of service or investment to advertise such articles, property, or service for sale, in any manner indicating that the sale is being made by a private party or householder not engaged in such business.
    2. Any such firm, corporation, group, or association engaged in any such business in advertising goods, property, or service for sale shall affirmatively and unmistakably indicate and state that the seller is a business concern and not a private party.
    1. Any person, firm, corporation, group, association, or the agent or servant of any other firm, corporation, group, or association violating any provision of this section is guilty of an unclassified misdemeanor and upon conviction shall be punished by a fine of not less than one hundred dollars ($100) nor more than one thousand dollars ($1,000) or be imprisoned in the county jail not more than sixty (60) days, or by both fine and imprisonment.
    2. Each sale, advertisement, or representation in contravention of a provision of this section is deemed a distinct offense and subjects the offender to punishment under subdivision (d)(1) of this section.

History. Acts 1967, No. 153, §§ 1-4; A.S.A. 1947, §§ 41-2364 — 41-2367.

Research References

Ark. L. Rev.

FTC Knights and Consumer Daze: The Regulation of Deceptive Unfair Advertising, Hammer, 32 Ark. L. Rev. 446.

5-37-516 — 5-37-519. [Reserved.]

  1. It is unlawful for any person, firm, association, or corporation to misrepresent the true nature of its business by use of the words “manufacturer”, “wholesaler”, “retailer”, or a word of similar import or for any person, firm, association, or corporation to represent itself as selling at wholesale or to use the word “wholesale” in any form of sale or advertising unless the person, firm, association, or corporation is actually selling at wholesale an item advertised for the purpose of resale.
  2. As used in this section, “wholesale” means a sale made for the purpose of resale and not a sale made to the consuming purchaser.
    1. Any person who violates any provision of this section is guilty of a violation and upon conviction shall be punished by a fine of not less than fifty dollars ($50.00) and not more than two hundred dollars ($200).
    2. Each day's violation constitutes a separate offense.

History. Acts 1961, No. 122, §§ 1, 3; A.S.A. 1947, §§ 41-2359, 41-2361; Acts 2005, No. 1994, § 45.

5-37-521. Farm implements — Removal or alteration of serial number.

  1. Any person who knowingly buys, receives, disposes of, sells, offers for sale, or has in his or her possession any tractor, trailer, or other farm implement or engine removed from the tractor or farm implement from which the manufacturer's serial or engine number or other distinguishing number or identification mark or number placed on the tractor, trailer, or farm implement or engine has been removed, defaced, covered, altered, or destroyed for the purpose of concealing or misrepresenting the identity of the tractor, trailer, or farm implement or engine is guilty of a Class A misdemeanor.
    1. No person with fraudulent intent shall deface, destroy, or alter the manufacturer's serial or engine number or other distinguishing number or identification mark of a tractor, trailer, or other farm implement.
    2. No person shall place or stamp any fictitious or unauthorized serial, engine, or other number or distinguishing mark with the intention that the fictitious or unauthorized serial, engine, or other number or distinguishing mark pass for a number or mark placed on a tractor, trailer, or farm implement by the manufacturer of the tractor, trailer, or farm implement.
      1. This subsection does not prohibit the restoration by an owner or repairer of an original serial, engine, or other number or distinguishing mark.
      2. However, this subsection is designed to prohibit and prevent the fraudulent removal or alteration of a mark or number placed on a tractor, trailer, or other farm implement by the manufacturer.
  2. Any person found guilty of a violation of a provision of this section is guilty of a Class A misdemeanor.

History. Acts 1953, No. 157, §§ 1-3; A.S.A. 1947, §§ 41-2354 — 41-2356; Acts 2005, No. 1994, § 347.

5-37-522. Tobacco — Removal of serial number on container.

  1. It is unlawful for any person to remove, obliterate, or otherwise render unreadable the manufacturer's serial number or code number on any case, carton, package, or other container of any tobacco product.
  2. Any person violating a provision of this section is guilty of a Class A misdemeanor.

History. Acts 1963, No. 251, §§ 1, 2; A.S.A. 1947, §§ 41-2362, 41-2363; Acts 2005, No. 1994, § 347.

5-37-523. [Repealed.]

Publisher's Notes. This section, concerning packaging of strawberries, was repealed by Acts 2005, No. 1994, § 541. The section was derived from Acts 1959, No. 240, §§ 1, 2; A.S.A. 1947, §§ 41-2357, 41-2358.

5-37-524. Fraud in the acquisition of authorization to provide motor vehicle transportation of property.

  1. It is the intent of this section to deter a person from using a telephone or another electronic means of communication to obtain authorization from any person in this state to transport the property of another person by motor vehicle, whether the property is to be transported within or without this state, and to thereafter fail to deliver the property in the manner prescribed in the contract or to appropriate the property contracted to be transported, or the proceeds from the property contracted to be transported, to the actor's own use.
  2. A person commits fraud in the acquisition of authorization to provide motor vehicle transportation of property if the person obtains authority by telephone, wire, or other electronic means from any person in this state to transport a good within or without this state and thereafter:
    1. Fails to deliver the good in the time and manner prescribed by the contract, with intent to defraud the owner or shipper of the good;
    2. Appropriates to the actor's own use the good contracted to be transported; or
    3. Appropriates to the actor's own use the proceeds from the sale, barter, or other transfer of ownership of the good contracted to be transported.
  3. Fraud in the acquisition of authorization to provide motor vehicle transportation of property is a Class D felony.

History. Acts 1983, No. 156, §§ 1, 2; A.S.A. 1947, §§ 41-2377, 41-2378.

Case Notes

Malicious Prosecution.

Where plaintiff was charged with violating subsection (b) of this section and later brought suit for breach of contract and malicious prosecution, summary judgment should not have been granted on the issue of malicious prosecution since reasonable minds could differ over whether the facts presented would cause an ordinarily cautious person to believe fraud had been committed. Cox v. McLaughlin, 315 Ark. 338, 867 S.W.2d 460 (1993).

Cited: McLaughlin v. Cox, 324 Ark. 361, 922 S.W.2d 327 (1996).

5-37-525. Defrauding a materialman.

  1. A person commits the offense of defrauding a materialman if, being the principal contractor or subcontractor, the person knowingly or wilfully with the purpose to defraud fails to pay any supplier or subcontractor for a material or good furnished to the project within thirty (30) days of final receipt of payment under the contract.
  2. Defrauding a materialman is a:
    1. Class D felony if the amount is equal to or greater than five thousand dollars ($5,000); or
    2. Class A misdemeanor if otherwise committed.
  3. This section does not apply to a principal contractor or subcontractor covered by § 22-9-101 et seq.
  4. It is an affirmative defense to prosecution under this section that the contractor or subcontractor has given notice of a dispute in a term, condition, payment, or quality of good to the contracting consumer or to the supplier or subcontractor, or the contractor has in good faith sought relief in federal court under the bankruptcy laws of the United States, prior to the expiration of the thirty (30) days after receipt of payment under the contract.

History. Acts 1989, No. 303, § 1; 1991, No. 52, § 1.

Research References

U. Ark. Little Rock L.J.

Survey, Criminal Law, 12 U. Ark. Little Rock L.J. 617.

Survey — Criminal Law, 14 U. Ark. Little Rock L.J. 753.

Case Notes

Constitutionality.

This section is unconstitutional in that it violates Ark. Const., Art. 2, § 16, prohibiting imprisonment for debt. State v. Riggs, 305 Ark. 217, 807 S.W.2d 32 (1991) (decided under law prior to 1991 amendment).

5-37-225. Use of false transcript, diploma, or grade report from postsecondary educational institution.

5-37-509. [Reserved.]

5-37-515. False advertising generally.

5-37-520. Misrepresentation of nature of business.

Chapter 38 Damage or Destruction of Property

Research References

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

Subchapter 1 — General Provisions

Effective Dates. Acts 2003, No. 1342, § 6: Apr. 14, 2003. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the State of Arkansas' criminal statutes do not adequately address terrorism, as terrorism is known since September 11, 2001. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; or (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

5-38-101. Definitions.

As used in this chapter:

  1. “Catastrophe” means:
    1. Serious physical injury or death to five (5) or more persons; or
    2. Substantial damage to five (5) or more occupiable structures or property loss in excess of five hundred thousand dollars ($500,000);
    1. “Occupiable structure” means a vehicle, building, or other structure:
      1. In which any person lives or carries on a business or other calling;
      2. In which people assemble for a purpose of business, government, education, religion, entertainment, or public transportation; or
      3. That is customarily used for overnight accommodation of a person, whether or not a person is actually present.
    2. “Occupiable structure” includes each unit of an occupiable structure divided into a separately occupied unit;
  2. “Property” means real property or tangible or intangible personal property, including money or any paper or document that represents or embodies anything of value;
  3. “Property of another person” means any property in which any person or government other than the actor has a possessory or proprietary interest; and
  4. “Vital public facility” means a facility maintained for use for:
    1. Public communication, transportation, or supply of water, gas, or power;
    2. Law enforcement;
    3. Fire protection;
    4. Civil or national defense; or
    5. Other public service.

History. Acts 1975, No. 280, § 1901; A.S.A. 1947, § 41-1901; Acts 2003, No. 1342, § 1.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Arkansas Anti-Terrorism Act of 2003, 26 U. Ark. Little Rock L. Rev. 374.

Case Notes

Occupiable Structure.

Clubhouse for a golf course is an “occupiable structure.” Thomas v. State, 295 Ark. 29, 746 S.W.2d 49 (1988).

Vital Public Facility.

Clubhouse for a golf course is not a “vital public facility.” Thomas v. State, 295 Ark. 29, 746 S.W.2d 49 (1988).

Subchapter 2 — Offenses Generally

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Cross References. Criminal trespass, § 5-39-203.

Fines, § 5-4-201.

Term of imprisonment, § 5-4-401.

Effective Dates. Acts 1883, No. 28, § 6: effective on passage.

Acts 1921, No. 82, § 7: effective on passage.

Acts 1981, No. 544, § 3: Mar. 18, 1981. Emergency clause provided: “It is hereby found and determined by the General Assembly that the present criminal law defining the crime of arson does not include a purposeful burning of one's own property to collect insurance proceeds; purposeful burning of one's own property to collect insurance proceeds is determined by the General Assembly to be just as serious a crime as the purposeful burning of another's property; and that this Act is immediately necessary to redefine the crime of arson in order to conform with the public policy of this State. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1988 (3rd Ex. Sess.), No. 13, § 3: Feb. 9, 1988. Emergency clause provided: “It is hereby found and determined by the General Assembly that during the codification process, a mistake was made in the criminal mischief statute which should have been codified as part of the criminal mischief law and that this language needs to be added to avoid confusion as to the elements of the offense of criminal mischief. Therefore, an emergency is hereby declared to exist and this Act, being necessary for the immediate preservation of the public peace, health, and safety shall be in full force and effect from and after its passage and approval.”

Acts 2003, No. 1342, § 6: Apr. 14, 2003. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the State of Arkansas' criminal statutes do not adequately address terrorism, as terrorism is known since September 11, 2001. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; or (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Research References

Am. Jur. 52 Am. Jur. 2d, Mal. Misch., § 1 et seq.

C.J.S. 54 C.J.S., Mal. Misch., § 1 et seq.

5-38-201. [Repealed.]

Publisher's Notes. This section, which provided that fines collected as a result of State Forestry Commission law enforcement activities would go to the State Forestry Fund, was repealed by Acts 2005, No. 1994, § 515. The section was derived from Acts 1935, No. 85, § 6; Pope's Dig., § 3054; A.S.A. 1947, § 41-1956; Acts 1997, No. 132, § 2.

5-38-202. Causing a catastrophe — Threatening to cause a catastrophe.

    1. A person commits the offense of causing a catastrophe if he or she knowingly causes a catastrophe by:
      1. Explosion;
      2. Fire;
      3. Flood;
      4. Avalanche;
      5. Collapse of building;
      6. Distribution of a poison, radioactive material, bacteria, or virus; or
      7. Another dangerous and difficult to confine force or substance.
    2. Causing a catastrophe is a Class Y felony.
    1. A person commits the offense of threatening to cause a catastrophe if he or she:
      1. Contacts any person, company, corporation, or governmental entity; and
      2. Threatens to cause a catastrophe by explosion, fire, flood, avalanche, collapse of building, release of a poison, radioactive material, bacteria, or virus, or another dangerous and difficult to confine force or substance, unless:
        1. Paid a sum of money or any type of property; or
        2. The person, company, corporation, or governmental entity performs a requested act.
    2. Threatening to cause a catastrophe is a Class D felony.
  1. In addition to any other restitution ordered under § 5-4-205, a court may order that a person who violates this section make restitution to the state or any political subdivision of the state for any cleanup costs associated with the commission of the offense.

History. Acts 1975, No. 280, § 1905; 1983, No. 689, § 1; 1983, No. 815, § 1; A.S.A. 1947, § 41-1905; Acts 2003, No. 1342, § 2.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Arkansas Anti-Terrorism Act of 2003, 26 U. Ark. Little Rock L. Rev. 374.

Case Notes

Cited: Ginter v. Stallcup, 869 F.2d 384 (8th Cir. 1989).

5-38-203. Criminal mischief in the first degree.

  1. A person commits the offense of criminal mischief in the first degree if he or she purposely and without legal justification destroys or causes damage to any:
    1. Property of another; or
    2. Property, whether his or her own or property of another, for the purpose of collecting any insurance for the property.
  2. Criminal mischief in the first degree is a:
    1. Class A misdemeanor if the amount of actual damage is one thousand dollars ($1,000) or less;
    2. Class D felony if the amount of actual damage is more than one thousand dollars ($1,000) but five thousand dollars ($5,000) or less;
    3. Class C felony if the amount of actual damage is more than five thousand dollars ($5,000) but less than twenty-five thousand dollars ($25,000); or
    4. Class B felony if the amount of actual damage is twenty-five thousand dollars ($25,000) or more.
  3. In an action under this section involving cutting and removing timber from the property of another person:
    1. The following create a presumption of a purpose to commit the offense of criminal mischief in the first degree:
      1. The failure to obtain the survey as required by § 15-32-101; or
      2. The purposeful misrepresentation of the ownership or origin of the timber; and
      1. There is imposed in addition to a penalty in subsection (b) of this section a fine of not more than two (2) times the value of the timber destroyed or damaged.
      2. However, in addition to subdivision (c)(2)(A) of this section, the court may require the defendant to make restitution to the owner of the timber.
  4. A person convicted of a felony offense under this section is subject to an enhanced sentence of an additional term of imprisonment of five (5) years at the discretion of the court if the finder of fact finds that the damage to property involved the removal of nonferrous metal, as it is defined in § 17-44-101.

History. Acts 1975, No. 280, § 1906; 1977, No. 360, § 7; 1981, No. 544, § 2; 1981, No. 671, § 1; A.S.A. 1947, § 41-1906; Acts 1988 (3rd Ex. Sess.), No. 13, § 1; 1995, No. 1296, § 5; 1997, No. 448, § 1; 2005, No. 1994, § 443; 2011, No. 570, § 29; 2013, No. 1354, § 5.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided:

“Legislative intent. The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2011 amendment rewrote (b)(1) and (b)(2); and added (b)(3) and (b)(4).

The 2013 amendment added (d).

Research References

U. Ark. Little Rock L.J.

Legislative Survey, Criminal Law, 4 U. Ark. Little Rock L.J. 583.

U. Ark. Little Rock L. Rev.

Annual Survey of Case Law: Criminal Law, 29 U. Ark. Little Rock L. Rev. 849.

Case Notes

Applicability.

Former section penalizing persons who willfully cut down or destroyed trees referred to severing things attached to the freehold as part thereof, such as produce of the soil, timber, structures or fixtures and not to the tearing down of a temporary rent placard or notice. Whipple v. Gorsuch, 82 Ark. 252, 101 S.W. 735 (1907) (decision under prior law).

It was not necessary to show that the trespasser appropriated the timber alleged to be stolen; it was sufficient if the proof showed that he entered upon the land without lawful authority and willfully and knowingly cut down or destroyed standing or growing trees. Smith v. State, 127 Ark. 218, 191 S.W. 913 (1917) (decision under prior law).

The intent to convert trees cut down or destroyed to one's own use was not an element of the offense under the prior section imposing a penalty on anyone cutting or destroying trees. Davis v. State, 139 Ark. 175, 214 S.W. 6 (1919) (decision under prior law).

Evidence.

Evidence was sufficient to support a finding that the defendant was liable as an accomplice where she made a statement that “we got in the bad attitude mood and decided to key cars and bust plants and paint on cars,” even though the only person she ever identified as keying a vehicle or damaging plants was one of her companions and she never identified the cars that were damaged or made reference to a particular vehicle. Pack v. State, 73 Ark. App. 123, 41 S.W.3d 409 (2001).

Substantial evidence supported defendant's convictions for commercial burglary, criminal mischief, and breaking and entering because the testimony of defendant's accomplice, who was defendant's son, was sufficiently corroborated, as required by § 16-89-111(e)(1), by an officer's testimony as to the items he found in defendant's truck, matching the description of items stolen from a convenience store. The accomplice admitted that he and defendant entered the store by using a cable to pull open the front doors and that he and defendant used bolt cutters and a pry bar to break into gaming machines, and these items, along with packages of cigarettes stolen from the store, were found by police officers in defendant's truck. Dunlap v. State, 2010 Ark. App. 582 (2010).

Defendant's conviction for first-degree criminal mischief under subdivision (a)(1) of this section was supported by substantial evidence as: (1) it was fair to presume that defendant purposely for § 5-2-202(1) purposes broke a former supervisor's car windows when defendant repeatedly swung a long, heavy metal object at them; (2) defendant's statement to the supervisor immediately prior to smashing the supervisor's windows that defendant should “kick (the supervisor's) ass” demonstrated defendant's anger and indicated a desire to express that anger with violence; and (3) defendant failed to support a claim that defendant's actions were justified. Warren v. State, 2011 Ark. App. 102 (2011).

Trial court properly convicted defendant of theft of scrap metal under § 5-36-123 and first-degree criminal mischief under this section because defendant's girlfriend admitted that she and defendant were depicted in photos taken by a motion-activated camera, and while her testimony did not have to be corroborated as to the misdemeanors pursuant to § 16-89-111(e), circumstantial evidence independently established the crimes and tended to connect defendant to the commission of those crimes. The photos indicated that defendant and his girlfriend were near the wire prior to its being stolen, a signal maintainer testified that he did not leave unused wire on the ground when replacing the stolen wire, and there was testimony that the theft of the wire stopped after defendant was caught. Procella v. State, 2016 Ark. App. 515, 504 S.W.3d 686 (2016).

Substantial evidence supported the circuit court's delinquency finding where two witnesses had identified the juvenile as the one who damaged the victim's car, and the court found the juvenile and her witnesses not credible. T.S. v. State, 2017 Ark. App. 578, 534 S.W.3d 160 (2017).

Circuit court did not err in denying defendant's motions for directed verdict on a count of first-degree criminal mischief and six other counts even though all the evidence was circumstantial; given the entirety of the circumstantial evidence, the jury could conclude without resorting to speculation or conjecture that defendant committed the offenses. Defendant had bypassed a locked gate to enter the victim's property and fled when confronted by the police, his explanation as to why he was on the property was improbable, and he had a backpack and ratchet in his hand that looked like the victim's property. Cobb v. State, 2019 Ark. App. 434, 585 S.W.3d 196 (2019).

Substantial evidence supported defendant's first-degree criminal mischief conviction where the testimony established that he was the only inmate in the pod, a dismantled speaker and various tools found in that pod had been used to create a hole through the ceiling of the cell and the roof of the building, and an invoice showed the cost of repair. Badger v. State, 2019 Ark. App. 490, 588 S.W.3d 779 (2019).

Evidence was sufficient to support the trial court's finding that defendant possessed the requisite intent for first-degree criminal mischief because the evidence, when viewed in the light most favorable to the State, showed that defendant arrived at the home of a sheriff's deputy before daybreak, with the music blaring on her car radio, while high on methamphetamine; defendant knocked a hole in the vinyl siding of the deputy's home with a flashlight and damaged the door by hitting and kicking it, and continued this behavior even after the deputy threatened to shoot her if she did not stop. Sharp v. State, 2019 Ark. App. 506, 588 S.W.3d 770 (2019).

Trial court, acting as the factfinder, chose to credit the testimony of a sheriff's deputy that defendant was high on methamphetamine at the time of the criminal mischief offense over the opinion of a doctor, who performed psychological evaluations of defendant, that defendant was suffering from a mental disease, schizoaffective disorder. The court was entitled to believe the deputy's testimony over the doctor's testimony and to decide that defendant did not prove the defense of mental disease by a preponderance of the evidence. Sharp v. State, 2019 Ark. App. 506, 588 S.W.3d 770 (2019).

Evidence was sufficient to sustain defendant's first-degree criminal mischief conviction, where defendant had engaged in a high-speed chase, he had rammed his car into a trooper's car when officers attempted to slow him down, he continued to flee on foot after the car was disabled, and the trooper testified that it cost over $2,000 to repair his damaged car. Hooten v. State, 2019 Ark. App. 519, 588 S.W.3d 829 (2019).

—Admission.

Circuit court properly admitted hearsay, in the form of an invoice, to prove the amount of actual damages under the criminal mischief statute; while there was no testimony regarding how the invoice was prepared, it was introduced under Ark. R. Evid. 803(6), the business-records hearsay exception, through a qualified and knowledgeable witness who testified that she was authorized by the hospital administrator to submit the invoice, the invoice represented the actual replacement cost paid by the hospital to replace the tele-medicine device and glass cabinet that defendant damaged, the witness had knowledge of the process involved in paying for the equipment, and the invoice was created about two months after defendant destroyed the equipment. Patton v. State, 2019 Ark. App. 440, 586 S.W.3d 708 (2019).

Evidence Insufficient.

Jury resorted to speculation and conjecture to reach its guilty verdict on the charge of criminal mischief; defendant did not have permission to have possession of the vehicle over the weekend, the evidence reasonably indicated that he abandoned the vehicle after being pursued by law enforcement, and the car was not found for almost 24 hours, located along a public road, and although it was possible that defendant purposely damaged the owner's vehicle, it was equally possible and a reasonable hypothesis that another person did. Lemley v. State, 2015 Ark. App. 691, 477 S.W.3d 526 (2015).

Lesser-Included Offense.

Criminal mischief in the second degree is a lesser-included offense of criminal mischief in the first degree; the distinction between the two offenses is based upon grades of intent or degrees of culpability. McGill v. State, 60 Ark. App. 246, 962 S.W.2d 382 (1998).

Conviction for criminal mischief in the first degree reduced to criminal mischief in the second degree after appellate review of the sufficiency of the evidence, pursuant to § 16-67-325. McGill v. State, 60 Ark. App. 246, 962 S.W.2d 382 (1998).

Probable Cause to Arrest.

There was probable cause to arrest the defendant for criminal mischief where the defendant's brother admitted pouring formaldehyde on the victim's couch, the defendant was present at the time of the incident, and the formaldehyde belonged to the defendant. Hines v. State, 289 Ark. 50, 709 S.W.2d 65 (1986).

Timber.

An indictment for cutting down trees and destroying and carrying away the timber was not defective by alleging the property as belonging to the estate of one deceased. Boarman v. State, 66 Ark. 65, 48 S.W. 899 (1898) (decision under prior law).

Evidence was sufficient to sustain a first-degree criminal mischief conviction where defendant used a bulldozer to make roads throughout the owner's property, logged the entire 300 acres of its timber, and the jury was not obligated to believe that defendant was acting under what he believed was the owner's consent. Jester v. State, 367 Ark. 249, 239 S.W.3d 484 (2006).

In a criminal mischief case, the court properly ordered defendant to pay $180,000 in restitution as the land owner estimated his timber loss to be about $180,000 in his complaint that he filed with the Arkansas Forestry Commission, which was introduced into evidence at trial; further, his expert estimated that the remaining property value was worth $150,000, and defendant himself offered the owner $180,000 for the property in hopes to settle the dispute. Jester v. State, 367 Ark. 249, 239 S.W.3d 484 (2006).

Trial court did not err in denying appellants a new trial or remittitur regarding a punitive damage award in favor of appellees, as the award was not in excess of federal due process standards, given that (1) appellees suffered economic harm, but the harm was much more than purely economic injury, as appellants cut down approximately 40 percent of appellees' future retirement homesite and the privacy afforded by the trees was very important to appellees, (2) appellants' action forced appellees to give up their plans to retire to the property and ultimately sell it, (3) the tree cutting was intentional and not an isolated incident, (4) the profit appellants received from the sale of their property was a direct result of the tree clearing on appellees' property, (5) the award was not so grossly excessive as to have violated federal due process, (6) each of appellants were on notice of and could have been charged with a Class C felony of criminal mischief under subdivision (b)(1) of this section with, under § 5-4-201(a)(2), a potential fine of $10,000, plus a violation of § 15-32-101(a)(1), (7) was a misdemeanor, with a potential fine and jail time, and (8) under § 18-60-102(a)(1), appellants had ample notice that their actions could result in a penalty of $25,000 punitive damages. Bronakowski v. Lindhurst, 2009 Ark. App. 513, 324 S.W.3d 719 (2009).

Willful Causation.

In a prosecution for criminal mischief in the first degree, it is not enough to show merely that the property was damaged or destroyed, for one essential element of this crime is that the damage was willfully caused and not accidental. Bray v. State, 12 Ark. App. 53, 670 S.W.2d 822 (1984).

Teenager who drove another's car without permission and accidentally totaled it was acting recklessly, but did not purposefully damage the car; as a consequence, he committed criminal mischief in the second degree rather than in the first degree. McGill v. State, 60 Ark. App. 246, 962 S.W.2d 382 (1998).

Defendant's conviction for first-degree criminal mischief under subdivision (a)(1) of this section was not supported by substantial evidence where the charge was premised on the theory that he purposely caused damage to another driver's jeep, because although there was abundant evidence to show that defendant was acting recklessly, there was nothing to show that he acted with the purpose of damaging the jeep. Ross v. State, 2012 Ark. App. 243 (2012).

Cited: Hawksley v. State, 276 Ark. 504, 637 S.W.2d 573 (1982); Ellis v. State, 4 Ark. App. 201, 628 S.W.2d 871 (1982); Garrison v. State, 13 Ark. App. 245, 682 S.W.2d 772 (1985); State v. Murphy, 315 Ark. 68, 864 S.W.2d 842 (1993).

5-38-204. Criminal mischief in the second degree.

  1. A person commits criminal mischief in the second degree if the person:
    1. Recklessly destroys or damages any property of another person; or
    2. Purposely tampers with any property of another person and by the tampering causes substantial inconvenience to the owner or another person.
  2. Criminal mischief in the second degree is a:
    1. Class A misdemeanor if the amount of actual damage is one thousand dollars ($1,000) or more but less than five thousand dollars ($5,000);
    2. Class D felony if the amount of actual damage is five thousand dollars ($5,000) or more; or
    3. Class B misdemeanor if otherwise committed.
  3. A person convicted of a felony offense under this section is subject to an enhanced sentence of an additional term of imprisonment of five (5) years at the discretion of the court if the finder of fact finds that the damage to property involved the removal of nonferrous metal, as it is defined in § 17-44-101.

History. Acts 1975, No. 280, § 1907; A.S.A. 1947, § 41-1907; Acts 1989, No. 735, § 1; 2011, No. 570, § 30; 2013, No. 1354, § 6.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided:

“Legislative intent. The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2011 amendment rewrote (b)(1) and (b)(2).

The 2013 amendment added (c).

Case Notes

Evidence.

Judgment notwithstanding the verdict was properly granted in a malicious prosecution case where the passenger of a truck was arrested when the vehicle bumped a key-card entry gate; even if there was no damage to the gate or a mistake about such, there was still probable cause for an arrest for criminal mischief or attempt under Ark. R. Crim. P. 4.1(c). Coombs v. Hot Springs Village Prop. Owners Ass'n, 98 Ark. App. 226, 254 S.W.3d 5 (2007), rehearing denied, Coombs v. Hot Springs Vill. Prop. Owners Ass'n, — Ark. App. —, — S.W.3d —, 2007 Ark. App. LEXIS 543 (May 2, 2007).

As the victim exited her truck, a man grabbed her by her neck, put a gun to her head, and asked for her keys; she was forced into her residence and heard a shotgun fire as the man drove away. The police spotted the truck traveling at a high rate of speed apparently in flight from the scene of the crime and defendant's fingerprint was recovered from the doors; the evidence was not sufficient to sustain defendant's conviction for aggravated robbery, theft of property, and criminal mischief because there was no way to determine when defendant touched the truck. Turner v. State, 103 Ark. App. 248, 288 S.W.3d 669 (2008), review denied, — Ark. —, — S.W.3d —, 2009 Ark. LEXIS 514 (Jan. 22, 2009).

Intent.

Teenager who drove another's car without permission and accidentally totaled it was acting recklessly, but did not purposefully damage the car; as a consequence, he committed criminal mischief in the second degree rather than in the first degree. McGill v. State, 60 Ark. App. 246, 962 S.W.2d 382 (1998).

Lesser-Included Offense.

Criminal mischief in the second degree is a lesser-included offense of criminal mischief in the first degree; the distinction between the two offenses is based upon grades of intent or degrees of culpability. McGill v. State, 60 Ark. App. 246, 962 S.W.2d 382 (1998).

Conviction for criminal mischief in the first degree reduced to criminal mischief in the second degree after appellate review of the sufficiency of the evidence, pursuant to § 16-67-325. McGill v. State, 60 Ark. App. 246, 962 S.W.2d 382 (1998).

Cited: Hawksley v. State, 276 Ark. 504, 637 S.W.2d 573 (1982); Oliver v. State, 14 Ark. App. 240, 687 S.W.2d 850 (1985); Misenheimer v. State, 100 Ark. App. 189, 265 S.W.3d 764 (2007).

5-38-205. Impairing the operation of a vital public facility.

  1. A person commits the offense of impairing the operation of a vital public facility if, having no reasonable ground to believe he or she has a right to do so, the person knowingly causes a substantial interruption or impairment of an operation of a vital public facility by:
    1. Damaging the property of another person;
    2. Incapacitating an operator of a vital public facility; or
    3. Engaging in:
      1. A fight or violent and tumultuous behavior; or
      2. Any other conduct that causes a substantial disruption, obstruction, or impediment to the operation of a vital public facility.
    1. Except as provided in subdivision (b)(2) of this section, impairing the operation of a vital public facility is a Class C felony.
    2. Impairing the operation of a vital public facility under subdivision (a)(3) of this section is a Class A misdemeanor.
  2. As used in this section, “vital public facility” includes a county jail, city jail, public detention facility, or temporary holding facility for detained persons.

History. Acts 1975, No. 280, § 1908; A.S.A. 1947, § 41-1908; Acts 2009, No. 1210, § 1; 2011, No. 1120, § 9.

Amendments. The 2009 amendment inserted (a)(3); inserted “Except as provided in subdivision (b)(2) of this section” in (b)(1); added (b)(2) and redesignated the existing text of (b) accordingly; added (c); and made related changes.

The 2011 amendment substituted “vital public facility” for “vital facility” in (a)(3)(B).

Case Notes

Elements.

To constitute the offense of impairing the operation of a vital public facility, the individual must have knowingly caused a substantial interruption or impairment of the operations of a vital public facility by damaging the property of another or incapacitating an operator of such a facility. Failure to give a police officer information during arrest does not amount to this offense. Duvall v. Sharp, 905 F.2d 1188 (8th Cir. 1990).

Evidence Sufficient.

Circuit court did not err in denying defendant's motion for directed verdict on the charge of impairing the operation of a vital public facility because defendant's altercation with a jailer led to the only two jailers on duty, an officer, and the dispatcher focusing all attention on defendant, and they were unable to monitor the jail and perform their duties; further, while the jailer was at the hospital being examined after the altercation, he was unable to perform his duties as a jailer. Chambers v. State, 2020 Ark. App. 54, 595 S.W.3d 371 (2020).

Intent.

Prior section concerning injury to telegraph or telephone line meant not only a voluntary act but one done with an evil purpose. St. Louis, Iron Mountain & S. Ry. v. Batesville & Winerva Tel. Co., 80 Ark. 499, 97 S.W. 660 (1906) (decision under prior law).

5-38-206. Damaging wires and other fixtures of telephone, cable, and electric power companies.

  1. It is unlawful for a person to knowingly damage, destroy, or pull down:
    1. A telephone, cable communications, or electric power transmission pedestal or pole owned or operated by a telephone, cable, or electric power company;
    2. A telephone, cable communications, or electric power line, wire, fiber insulator, power supply transformer, transmission, or other apparatus, equipment, or fixture, including without limitation a backup deep cycle battery or other power supply, used in the transmission of telephone, cable communications, or electric power owned or operated by a telephone, cable, or electric power company; or
    3. Equipment related to wireless communications that are regulated by the Federal Communications Commission.
  2. It is unlawful for a person to knowingly damage, destroy, remove, or alter in a way that could result in physical injury any electric power line, gas line, water line, wire or fiber insulator, electric motor, or other similar apparatus connected to a farm shop, an on-farm grain drying and storage complex, a heating and cooling system, an environmental control system, an animal production facility, an irrigation system, or a dwelling.
  3. A violation of this section is a Class D felony.

History. Acts 2009, No. 390, § 1; 2011, No. 1120, § 10; 2019, No. 311, § 2.

Amendments. The 2011 amendment rewrote (b).

The 2019 amendment inserted “including without limitation a backup deep cycle battery or other power supply” in (a)(2).

5-38-207. Destruction or removal of a cemetery or grave marker.

  1. It is unlawful for any person, corporation, company, or other entity to destroy or carry away any cemetery marker or grave marker.
  2. Destruction or removal of a cemetery marker or grave marker is a Class C felony.

History. Acts 1997, No. 1244, § 1; 2005, No. 1994, § 327; 2005, No. 2232, § 3; 2007, No. 265, § 1; 2009, No. 748, § 24.

Amendments. The 2009 amendment inserted “marker” following “cemetery” in (b).

Publisher's Notes. This section was formerly codified as § 5-39-401.

5-38-208, 5-38-209. [Reserved.]

Publisher's Notes. These sections, concerning allowing animals into enclosures and division fences, seed horses, unaltered mules, or jacks running at large, and destruction of native growth were repealed by Acts 2013, No. 1348, §§ 1-3. The sections were derived from the following sources:

5-38-210. Acts 1883, No. 28, §§ 1-5, p. 50; C. & M. Dig., §§ 2533-2537; Pope's Dig., §§ 3182-3186; A.S.A. 1947, §§ 41-1966 — 41-1970; Acts 2005, No. 1994, § 46.

5-38-211. Rev. Stat., ch. 74, § 1; C. & M. Dig., § 344; A.S.A. 1947, § 78-1136.

5-38-212. Acts 1935, No. 159, §§ 1-4; Pope's Dig., §§ 3199-3201; A.S.A. 1947, §§ 41-1971 — 41-1974; Acts 2005, No. 1994, § 47.

5-38-213. [Repealed.]

Publisher's Notes. This section, concerning sowing Johnson grass on land of another, was repealed by Acts 2005, No. 1994, § 516. The section was derived from Acts 1937, No. 254, §§ 1, 2; Pope's Dig., §§ 3208, 3209; A.S.A. 1947, §§ 41-1964, 41-1965.

5-38-214. Willful removal or destruction of landmarks established by legal survey.

  1. Any person who willfully cuts down, destroys, defaces, removes, or carries off any witness tree, monument, or other landmark established by legal survey and used to delineate a boundary line is guilty of a Class A misdemeanor.
  2. Furthermore, in any civil suit involving damages to property arising from the removal or destruction of a marker established by a legal survey, the complaining party is entitled to recover three (3) times the damages.

History. Acts 1963, No. 247, § 1; 1977, No. 807, § 7; A.S.A. 1947, § 41-1976; Acts 2005, No. 1994, § 348.

5-38-215, 5-38-216. [Repealed.]

Publisher's Notes. These sections, concerning destruction of section corners and landmarks, were repealed by Acts 2005, No. 1994, § 517. The sections were derived from the following sources:

5-38-215. Acts 1921, No. 82, § 6; Pope's Dig., § 3224; A.S.A. 1947, § 41-1977.

5-38-216. Rev. Stat., ch. 44, div. 4, art. 9, § 5; C. & M. Dig., § 2541; Pope's Dig., § 3188; A.S.A. 1947, § 41-1975.

Subchapter 3 — Arson and Other Burning

Cross References. Anti-arson information from insurance applicants, § 23-88-201 et seq.

Criminal possession of explosives, § 5-73-108.

Fines, § 5-4-201.

Open air fires, § 20-22-301 et seq.

State police acting as fire marshal, duty to investigate arson, § 12-8-106.

Term of imprisonment, § 5-4-401.

Effective Dates. Acts 1981, No. 845, § 8: Mar. 28, 1981. Emergency clause provided: “It is hereby found and determined by the General Assembly that the penalties now prescribed by law for arson of forests and non-forest watershed lands are inadequate to deter such arson; that this Act is designed to increase the penalties for such offenses and should be given effect immediately. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1981, No. 544, § 3: Mar. 18, 1981. Emergency clause provided: “It is hereby found and determined by the General Assembly that the present criminal law defining the crime of arson does not include a purposeful burning of one's own property to collect insurance proceeds; purposeful burning of one's own property to collect insurance proceeds is determined by the General Assembly to be just as serious a crime as the purposeful burning of another's property; and that this Act is immediately necessary to redefine the crime of arson in order to conform with the public policy of this State. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Research References

ALR.

“Burning:” what constitutes to justify charge of arson. 28 A.L.R.4th 482.

Am. Jur. 5 Am. Jur. 2d, Arson, § 1 et seq.

C.J.S. 6A C.J.S., Arson, § 1 et seq.

U. Ark. Little Rock L.J.

Legislative Survey, Criminal Law, 4 U. Ark. Little Rock L.J. 583.

5-38-301. Arson.

  1. A person commits arson if he or she:
    1. Starts a fire or causes an explosion with the purpose of destroying or otherwise damaging:
      1. An occupiable structure or motor vehicle that is the property of another person;
      2. Any property, whether his or her own or property of another person, for the purpose of collecting any insurance for the property;
      3. Any property, whether his or her own or property of another person, if the act thereby negligently creates a risk of death or serious physical injury to any person;
      4. A vital public facility;
      5. Any dedicated church property used as a place of worship exempt from taxes pursuant to § 26-3-301;
      6. Any public building or occupiable structure that is either owned or leased by the state or any political subdivision of the state; or
      7. An area of real property being used for the commercial growth of timber or other agricultural product, if:
        1. Timber or other agricultural product is destroyed or made commercially nonviable; and
        2. The value of the destroyed or commercially nonviable timber or other agricultural product is more than five thousand dollars ($5,000); or
    2. Recklessly causes a fire or an explosion in the course of and in furtherance of a felony or in immediate flight after committing a felony that results in destroying or otherwise damaging:
      1. Any occupiable structure or motor vehicle;
      2. Any property, if the fire or explosion creates a risk of death or serious physical injury to any person;
      3. A vital public facility;
      4. Any dedicated church property used as a place of worship exempt from taxes pursuant to § 26-3-301; or
      5. Any public building or occupiable structure that is either owned or leased by the state or any political subdivision of the state.
  2. Arson is a:
    1. Class A misdemeanor if the property sustains less than five hundred dollars ($500) worth of damage;
    2. Class D felony if the property sustains at least five hundred dollars ($500) but less than two thousand five hundred dollars ($2,500) worth of damage;
    3. Class C felony if the property sustains at least two thousand five hundred dollars ($2,500) but less than five thousand dollars ($5,000) worth of damage;
    4. Class B felony if:
      1. The property sustains at least five thousand dollars ($5,000) but less than fifteen thousand dollars ($15,000) worth of damage; or
      2. The arson is under subdivision (a)(1)(G) of this section;
    5. Class A felony if the property sustains at least fifteen thousand dollars ($15,000) but less than one hundred thousand dollars ($100,000) worth of damage; or
    6. Class Y felony if the property sustains damage in an amount of at least one hundred thousand dollars ($100,000).
  3. As used in this section, “motor vehicle” means every self-propelled device in, upon, or by which any person or property is, or may be, transported or drawn upon a street or highway.
      1. If the Governor deems it necessary, he or she may offer a reward not to exceed fifty thousand dollars ($50,000) for information leading to the apprehension, arrest, and conviction of a person who has committed, attempted to commit, or conspired to commit a criminal offense under this section.
      2. The fifty-thousand-dollar reward maximum imposed by this section only applies to state-appropriated funds.
      3. The Governor may increase the amount of any reward offered by use of funds from the Reward Pool Fund created in this section.
    1. When the Governor offers a reward pursuant to this section, he or she may place any reasonable condition upon collection of the reward as he or she deems necessary.
      1. The Governor may establish and administer a fund to be known as the “Reward Pool Fund”.
      2. Any monetary donation or gift made by a private citizen or corporation for the purpose of offering a reward or enhancing a state-funded reward offered for information leading to the apprehension, arrest, and conviction of a person who has committed, attempted to commit, or conspired to commit a criminal offense under this section shall be deposited into the fund.
        1. The Governor shall have the sole discretion to determine if and how much of the fund is offered in a particular criminal case.
        2. However, if the donor places any lawful restriction or instruction on use of the donation at the time it is given, the restriction or instruction shall be honored.
    2. Any person completing the requirements to be eligible for the reward is entitled to the reward offered by the Governor, and the Governor shall certify the amount of the reward to the Auditor of State, who shall issue his or her warrant on the State Treasury for the reward, to be paid out of any money appropriated or deposited into the fund.

History. Acts 1975, No. 280, § 1902; 1981, No. 544, § 1; A.S.A. 1947, § 41-1902; Acts 1987, No. 242, § 1; 1991, No. 299, § 1; 1997, No. 921, § 1; 2005, No. 1529, § 1; 2007, No. 827, § 42; 2017, No. 630, § 2.

Amendments. The 2017 amendment added (a)(1)(G); redesignated former (b)(4) as the introductory language of (b)(4) and (b)(4)(A); and added (b)(4)(B).

Research References

U. Ark. Little Rock L.J.

Survey — Criminal Law, 14 U. Ark. Little Rock L.J. 753.

Case Notes

Accomplice or Accessory.

Former section defining arson did not abolish the common-law distinction between a principal and an accessory before the fact so that one who directed another to burn a certain building but was not present when his order was carried out could not be convicted as a principal. Fisher v. State, 162 Ark. 183, 257 S.W. 734 (1924) (decision under prior law).

Refusal to submit to the jury in an arson trial the question of whether state's witnesses were accomplices held error. Satterfield v. State, 245 Ark. 337, 432 S.W.2d 472 (1968) (decision under prior law).

Appellate Review.

Substantial evidence supported defendant's arson and first-degree murder convictions; however, the case was reversed and remanded for a new trial because the record was not sufficient for the Supreme Court of Arkansas to conduct its review under Ark. Sup. Ct. R. 4-3(i). Thrower v. State, 2018 Ark. 256, 554 S.W.3d 825 (2018).

Damage.

It was not necessary to constitute arson that any part of the house should be wholly consumed. Mary v. State, 24 Ark. 44 (1862); State v. Snellgrove, 71 Ark. 101, 71 S.W. 266 (1902) (preceding decisions under prior law).

To support a charge of arson it was not necessary that the building alleged to have been burned should have been burned down; it was sufficient that it be damaged by the fire. Bennett v. State, 201 Ark. 237, 144 S.W.2d 476 (1940) (decision under prior law).

Double Jeopardy.

Defendant was properly convicted of capital murder and arson after he told a neighbor that his trailer home exploded while his girlfriend was inside; the constitutional prohibition against double jeopardy was not violated because § 5-1-110(d)(1)(A) permitted a sentence for both crimes. Meadows v. State, 358 Ark. 396, 191 S.W.3d 527 (2004).

Elements.

Arson is not an “element included offense” of conspiracy to commit theft by deception. Shamlin v. State, 23 Ark. App. 39, 743 S.W.2d 1 (1988), rehearing denied, 23 Ark. App. 39, 744 S.W.2d 405 (1988), cert. denied, Shamlin v. Arkansas, 488 U.S. 863, 109 S. Ct. 163 (1988).

In order to overcome the common law presumption against arson, the state must prove not only the burning of building, but also that it was burned by the willful act of some person criminally responsible for his acts, and not by natural or accidental causes. Allen v. State, 40 Ark. App. 158, 842 S.W.2d 468 (1992).

Evidence.

In a prosecution for destroying a building by means of dynamite, evidence concerning the extent of the injury to the building was admissible. Spurgeon v. State, 160 Ark. 112, 254 S.W. 376 (1923) (decision under prior law).

Evidence held sufficient to sustain the conviction. Monts v. State, 233 Ark. 816, 349 S.W.2d 350 (1961) (decision under prior law); Riddick v. State, 271 Ark. 203, 607 S.W.2d 671 (1980).

There is a common law presumption against arson in the instance of an unexplained fire, and evidence must be of a “substantial character” to rebut this presumption. Thomas v. State, 295 Ark. 29, 746 S.W.2d 49 (1988).

Evidence presented by the state was sufficient to overcome the common law presumption against arson, and the trial court did not err in denying defendant's motion for a directed verdict. Allen v. State, 40 Ark. App. 158, 842 S.W.2d 468 (1992).

Circumstantial evidence of burglary and arson held sufficient to support conviction. Armstrong v. State, 45 Ark. App. 72, 871 S.W.2d 420 (1994).

Evidence was sufficient for conviction of arson where defendant stated that the victim's body was placed on a wood burning stove where investigator's stated the fire had started, defendant admitted that he had kicked the pipe off of the stove, and the value of the destroyed trailer and its contents was between $20,000 and $25,000. Johnson v. State, 358 Ark. 460, 193 S.W.3d 260 (2004).

Where witness testified that (1) he was in victim's home the day of the murder, (2) defendant arrived with a folding knife and entered victim's bedroom, (3) the victim screamed, (4) defendant's husband stated that defendant had killed the victim, and (5) the witness saw the husband take a can of kerosene from the front porch, there was substantial evidence in support of the jury's conviction of defendant for capital murder and arson. Meadows v. State, 360 Ark. 5, 199 S.W.3d 634 (2004).

There was sufficient evidence that the fire that destroyed two vehicles was purposely set by a person, and that defendant was that person, where witnesses testified that the fire was more than likely started with gasoline or some other equivalent accelerant and there was evidence that defendant had made threatening statements to burn the victim's belongings. Lowry v. State, 364 Ark. 6, 216 S.W.3d 101 (2005).

There was substantial evidence to convict defendant of arson because (1) a firefighter stated that, while responding to the fire, he saw defendant walking away from the crime scene; (2) the daughter-in-law of the victim's next door neighbor saw a pedestrian trying to hide his face from her as she drove past him, and she testified that defendant would have known her truck because she was at her mother-in-law's home about three days a week; (3) a reserve deputy who handled bloodhounds testified that his select-scent dog tracked defendant's scent 1.8 miles from a county road to the back door of the victim's mobile home; (4) there were spermatozoa cells present in the victim's rectum, which could generally live only 24 hours there, which gave rise to an inference that defendant had sexual relations with the victim close to the time she died; (5) defendant's DNA was present on the rectal swab and the probability of selecting an individual at random from the general population having the same genetic markers as those from defendant would be one in one trillion; (6) medical evidence showed that the victim was dead before the fire began, implying that she did not start it; and (7) the lead investigator on the fire ruled out any electrical malfunction as the cause of the fire. Wright v. State, 368 Ark. 629, 249 S.W.3d 133 (2007).

There was substantial evidence to overcome a motion for directed verdict because there was evidence that defendant had opportunity and motive, had displayed anger towards his wife, and had acted on that anger by destroying items in the home, and thus his arson conviction was affirmed; a great deal of the case hinged on testimony, and while defendant's testimony contradicted the testimony of other witnesses, the jury was free to believe or disbelieve all or any part of any witness's testimony. Booth v. State, 2014 Ark. App. 572, 444 S.W.3d 900 (2014).

There was substantial evidence supporting defendant's convictions for arson and residential burglary, including testimony that the fire was not accidental, that defendant was seen coming from the direction of the apartment with a pack of cigarettes and a lighter after the fire, and that defendant sent the victim a text making references to a fire her father had started when she was younger. Fronterhouse v. State, 2015 Ark. App. 211, 463 S.W.3d 312 (2015).

Defendant's confession that he started the first fire that burned the cabin down, along with the cabin owner's testimony that the electricity and propane were disconnected at the time of the fire and that defendant had repeatedly threatened to burn the cabin days before the fire, and defendant's admission to removing the crime-scene tape, setting the second fire, and having someone remove the scrap metal from the scene, was sufficient to support his conviction for arson. Molpus v. State, 2015 Ark. App. 452, 469 S.W.3d 374 (2015).

Indictment or Information.

Information charging defendants with burning a drug store and the building in which the business was carried on was not bad for duplicity. Bennett v. State, 201 Ark. 237, 144 S.W.2d 476 (1940) (decision under prior law).

Instructions.

Where there was no evidence upon which defendant could have been found guilty of criminal mischief rather than arson, and he either damaged an occupiable structure or he damaged no structure, there was no basis for his request for an instruction on conspiracy to commit criminal mischief instead of an instruction on conspiracy to commit arson. Ellis v. State, 4 Ark. App. 201, 628 S.W.2d 871 (1982).

Intent.

The offense was committed where one burned his own house maliciously in the sense of an intention, with bad motive, of violating the law. Turner v. State, 155 Ark. 443, 244 S.W. 727 (1922) (decision under prior law).

The intention and design of the party were best explained by a complete view of every part of his conduct at the time, and not merely from the proof of a single and isolated act or declaration, so where several felonies were connected together, and formed part of one entire transaction, then one was evidence to prove the character of the other. Perry v. State, 232 Ark. 959, 342 S.W.2d 95 (1961) (decision under prior law).

Testimony as to other dynamitings planned for the same night was clearly admissible to show the scheme, pattern and intent of defendant in the dynamiting of building for which he was being tried. Lauderdale v. State, 233 Ark. 96, 343 S.W.2d 422 (1961) (decision under prior law).

Circumstantial evidence held sufficient for the injury to conclude that defendant intentionally started the fire. Parris v. State, 270 Ark. 269, 604 S.W.2d 582 (Ct. App. 1980).

Defendant, as an accomplice to arson, did not have to have a “conscious object” to commit arson. Reed v. State, 326 Ark. 27, 929 S.W.2d 703 (1996).

Lesser Included Offense.

Arson is not a lesser offense included within conspiracy to commit theft by deception. Shamlin v. State, 23 Ark. App. 39, 743 S.W.2d 1 (1988), rehearing denied, 23 Ark. App. 39, 744 S.W.2d 405 (1988), cert. denied, Shamlin v. Arkansas, 488 U.S. 863, 109 S. Ct. 163 (1988).

Occupiable Structure.

Clubhouse for a golf course is an “occupiable structure.” Thomas v. State, 295 Ark. 29, 746 S.W.2d 49 (1988).

Sentence.

Because the sentence of 20 years' imprisonment with a 10-year suspended imposition of sentence, while falling within the statutory-sentencing range for Class A arson under subdivision (b)(5) of this section and § 5-4-401(a)(2), exceeded the range for Class B residential burglary and Class C theft of property, under §§ 5-39-201(a)(2), 5-36-103(b)(2), 5-4-401(a)(3), (4), the residential-burglary and theft-of-property sentences were illegal, and the case was remanded for resentencing. Wakeley v. State, 2013 Ark. App. 231 (2013).

Separate Offenses.

Counts charging arson and burglary are two independent charges and a verdict in one would not be res judicata as to the other, even though based upon the same evidence, so consistency in the verdicts is unnecessary; accordingly, defendant could be acquitted of burglary and convicted of arson. Riddick v. State, 271 Ark. 203, 607 S.W.2d 671 (1980).

Vital Public Facility.

Clubhouse for a golf course is not a “vital public facility.” Thomas v. State, 295 Ark. 29, 746 S.W.2d 49 (1988).

Cited: Ginter v. Stallcup, 869 F.2d 384 (8th Cir. 1989); McNeese v. State, 326 Ark. 787, 935 S.W.2d 246 (1996).

5-38-302. Reckless burning.

  1. A person commits the offense of reckless burning if the person purposely starts a fire or causes an explosion, whether on his or her own property or property of another person, and thereby recklessly:
    1. Creates a substantial risk of death or serious physical injury to any person;
    2. Destroys or causes substantial damage to an occupiable structure of another person; or
    3. Destroys or causes substantial damage to a vital public facility.
  2. Reckless burning is a Class D felony.

History. Acts 1975, No. 280, § 1903; A.S.A. 1947, § 41-1903.

Case Notes

Collateral Estoppel in Civil Case.

For purposes of collateral estoppel, a guilty plea in a criminal case is not equivalent to a criminal conviction that has been “actually litigated.” Therefore, in a defense obligation dispute, summary judgment was improperly granted to a homeowners' insurer because collateral estoppel could not have been used to show that an illegal purpose exclusion applied based on a guilty plea to reckless burning under subsection (a) of this section since the issues of intent and purpose were never actually litigated. Bradley Ventures, Inc. v. Farm Bureau Mut. Ins. Co., 371 Ark. 229, 264 S.W.3d 485 (2007).

Cited: Ginter v. Stallcup, 869 F.2d 384 (8th Cir. 1989).

5-38-303. Failure to control or report a dangerous fire.

  1. A person commits the offense of failure to control or report a dangerous fire if the person knows that a fire is unattended and is endangering the life, physical safety, or a substantial amount of property of another person, and the person:
    1. Fails to act in a reasonable manner to put out or control the fire when he or she can do so without substantial risk to himself or herself; or
    2. Fails to act in a reasonable manner to report the fire.
  2. Failure to control or report a dangerous fire is a Class B misdemeanor.

History. Acts 1975, No. 280, § 1904; A.S.A. 1947, § 41-1904.

5-38-304 — 5-38-309. [Reserved.]

  1. A person commits the offense of unlawful burning if the person:
    1. Sets on fire or causes or procures to be set on fire any forest, brush, or other inflammable vegetation on another person's land;
    2. Allows a fire that he or she built or has charge of to escape from his or her control or to spread to a person's land other than that of the builder of the fire;
      1. Burns any brush, stumps, logs, rubbish, fallen timber, grass, stubble, or debris of any sort, whether on the person's own land or another person's land, without taking necessary precaution both before lighting the fire and at any time after lighting the fire to prevent the escape of the fire.
      2. The escape of fire to adjoining timber, brush, or grassland is prima facie evidence that a necessary precaution was not taken;
    3. Builds a camp fire on another person's land without clearing the ground immediately around it of material that will carry fire;
    4. Leaves on another person's land a camp fire to spread on that person's land;
    5. Starts a fire in forest material not the person's own by throwing away a lighted cigar, match, or cigarette or by the use of a firearm or in any other manner and leaves the fire unextinguished;
    6. Defaces or destroys a fire warning notice;
    7. Is an employee of the Arkansas Forestry Commission or an officer charged with a duty of enforcing a criminal law and fails to attempt to secure the arrest and conviction of a person against whom he or she has evidence or can secure evidence of violating a fire law; or
    8. Sets on fire or causes or procures to be set on fire any forest, brush, or other flammable material in violation of a burn ban on outdoor burning declared under § 12-75-108.
  2. Unlawful burning is a Class A misdemeanor.
  3. A bond for costs shall not be required in a court of this state for prosecution for violation of this section.
  4. It is not a violation of:
    1. Subdivision (a)(8) of this section for an employee of the commission to fail to enforce subdivision (a)(9) of this section; or
    2. Subdivision (a)(9) of this section if the person was:
      1. Acting under a permit issued by the chief executive of the political subdivision issuing the burn ban; or
        1. Setting on fire or causing or procuring to be set on fire any crop remainder or remaining vegetation after harvest of the crop on the person's land.
          1. In order to provide a safety barrier between the crop remainder or remaining vegetation and adjacent land, the person shall perform adequate disking of field perimeters or perform other safety measures as required by the county burn ban officer.
          2. If the person does not comply with subdivision (d)(2)(B)(ii)(a ) of this section, the defense under subdivision (d)(2)(B)(i) is not available, and the person is liable for actual damages to adjacent land caused by the fire.

History. Acts 1935, No. 85, §§ 1, 8; Pope's Dig., §§ 3049, 3056; Acts 1981, No. 845, §§ 1, 2; A.S.A. 1947, §§ 41-1951, 41-1958; Acts 1993, No. 521, § 4; 2005, No. 1994, § 349; 2007, No. 465, § 1; 2009, No. 748, § 23; 2011, No. 1038, § 1.

Publisher's Notes. Acts 1935, No. 85, § 8, is also codified as §§ 5-38-311(b) and 20-22-305.

Amendments. The 2009 amendment deleted “Miscellaneous misdemeanors” from the catchline, in (a), rewrote the introductory language, redesignated (a)(4) through (a)(7) as (a)(4) through (a)(9), deleted “Except as provided in subsection (c) of this section” in (a)(8), and deleted “unless the defendant was acting pursuant to a permit issued by the chief executive of the political subdivision issuing the burn ban” at the end of (a)(9); inserted (b) and redesignated the subsequent subsection accordingly; deleted former (c); added (d); and made related and minor stylistic changes.

The 2011 amendment added the (d)(2)(A) designation and (d)(2)(B).

Case Notes

Construction.

The provision of subdivision (a)(3) that the escape of fire to adjoining lands shall be prima facie evidence that necessary precautions were not taken is penal in nature and to be strictly construed. Thomas v. Raney, 233 Ark. 836, 349 S.W.2d 129 (1961).

Civil Liability.

Where the same fire which is the basis for a criminal conviction is the basis for a later suit for civil damages, such conviction is admissible in civil actions not only in behalf of the prosecuting witness in the criminal case but also in behalf of “any other person” suffering damages from the fire. Cecil v. Headley, 237 Ark. 400, 373 S.W.2d 136 (1963).

Instructions.

Where defendant was charged in information with allowing fire to escape from his control and to spread to the lands of persons other than builder of the fire as set out in subdivision (a)(2) but instruction to the jury authorized jury to return verdict of guilty of violation of subdivision (a)(3), the wording of subdivision (a)(3) was sufficient to charge defendant with doing the act that state's evidence showed him to be guilty of, to the satisfaction of the jury. Cecil v. State, 234 Ark. 129, 350 S.W.2d 614 (1961).

Presumption.

Where testimony on negligence presents a jury question, the statutory presumption of negligence in subdivision (a)(3) passes out of the picture. Thomas v. Raney, 233 Ark. 836, 349 S.W.2d 129 (1961); Whiteside v. Tyner, 238 Ark. 985, 386 S.W.2d 239 (1965).

5-38-311. Unlawful burning — Miscellaneous felonies.

  1. The following acts are Class C felonies:
    1. Purposely setting on fire the land of another person;
    2. Starting a fire on the person's own land that he or she has leased or is under his or her control with the intent of letting the fire escape to the land of another person; and
    3. The destruction or injuring of, or theft of, any telephone line, tower, building, tool, or equipment used in the detection, reporting, or suppression of fires.
  2. No bond for costs shall be required in any court of this state for prosecution for violation of a provision of this section.

History. Acts 1935, No. 85, §§ 2, 8; Pope's Dig., §§ 3050, 3056; Acts 1979, No. 225, § 1; 1981, No. 845, § 3; A.S.A. 1947, §§ 41-1952, 41-1958; Acts 2005, No. 1994, § 416.

Publisher's Notes. Acts 1935, No. 85, § 8 is also codified as §§ 5-38-310(b) and 20-22-305.

Acts 1979, No. 225, § 3, provided that the act would not affect rights or duties matured, liabilities or penalties that were incurred, or proceedings begun before its effective date.

5-38-312. No presumption on cause of fire.

  1. The purpose of this section is to:
    1. Clarify that there is not a presumption as to the cause of fire related to a violation of this subchapter;
    2. Abolish any common law contrary to this section, including without limitation Johnson v. State, 198 Ark. 871, 131 S.W.2d 934 (1939) and Thomas v. State, 295 Ark. 29, 746 S.W.2d 49 (1988); and
    3. Clarify that there is no change under this section to the public policy as it relates to civil actions involving the cause of a fire.
  2. There is not a presumption in a prosecution brought under this subchapter that:
    1. A fire was caused by:
      1. Accident; or
      2. Natural causes; or
    2. A fire was set on purpose or of incendiary origin.
  3. The burden of proof for the cause of a fire in a prosecution brought under this subchapter is beyond a reasonable doubt as provided under § 5-1-111.
  4. This section does not affect a civil action involving the cause of a fire.

History. Acts 2013, No. 982, § 1.

5-38-210 — 5-38-212. [Repealed.]

5-38-310. Unlawful burning.

Chapter 39 Burglary, Trespass, and Other Intrusions

Research References

ALR.

Entry on private lands in pursuit of wounded game as criminal trespass. 41 A.L.R.4th 805.

Am. Jur. 13 Am. Jur. 2d, Burglary, § 1 et seq.

75 Am. Jur. 2d Trespass, § 162 et seq.

Ark. L. Rev.

1976 Criminal Code — General Principles, 30 Ark. L. Rev. 111.

C.J.S. 12A C.J.S., Burglary, § 1 et seq.

87 C.J.S., Trespass, § 140 et seq.

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 172.

Legislative Survey, Criminal Law, 16 U. Ark. Little Rock L.J. 91.

Subchapter 1 — General Provisions

5-39-101. Definitions.

As used in this chapter:

  1. “Artifact” means an object produced or shaped by human craft, such as a tool, weapon, coin, or ornament of archaeological, cultural, or historical interest or significance;
  2. “Commercial occupiable structure” means a vehicle, building, or other structure in which:
    1. Any person carries on a business or other calling; or
    2. People assemble for a purpose of business, government, education, religion, entertainment, or public transportation;
    1. “Enter or remain unlawfully” means to enter or remain in or upon premises when not licensed or privileged to enter or remain in or upon the premises.
      1. A person who enters or remains in or upon premises that are at the time open to the public does so with license and privilege, regardless of his or her purpose, unless he or she defies a lawful order not to enter or remain on the premises personally communicated to the person by the owner of the premises or another person authorized by the owner.
      2. A license or privilege to enter or remain in or upon premises only part of which are open to the public is not a license or privilege to enter or remain in a part of the premises not open to the public.
    2. A person who enters or remains upon unimproved and apparently unused land not fenced or otherwise enclosed in a manner designed to exclude an intruder does so with license and privilege unless:
      1. Notice not to enter or remain is personally communicated to the person by the owner or a person authorized by the owner; or
      2. Notice is given by posting in a conspicuous manner;
  3. “Harvesting device” means a device or object used to collect or accumulate, or to assist in the collection or accumulation of, an agricultural resource or a natural resource in bulk;
  4. “Killing device” means a firearm, bladed weapon, or other object, when not used in the course of lawful hunting or fishing of wildlife;
  5. “Natural resource” means materials or substances such as minerals, timber, water, plants, and fertile land that occur in nature and can be used for economic gain;
  6. “Premises” means an occupiable structure and any real property;
    1. “Residential occupiable structure” means a vehicle, building, or other structure:
      1. In which any person lives; or
      2. That is customarily used for overnight accommodation of a person whether or not a person is actually present.
    2. “Residential occupiable structure” includes each unit of a residential occupiable structure divided into a separately occupied unit; and
  7. “Vehicle” means any craft or device designed for the transportation of a person or property across land or water or through the air.

History. Acts 1975, No. 280, § 2001; A.S.A. 1947, § 41-2001; Acts 1993, No. 442, § 1; 1993, No. 552, § 1; 2017, No. 877, § 2.

Amendments. The 2017 amendment added the definitions for “Artifact”, “Harvesting device”, “Killing device”, and “Natural resource”.

Case Notes

Enter and Remain Unlawfully.

Defendant held not to have privilege or license under subdivision (3) (now subdivision (4) of this section), to enter a room since it was closed and marked for employees only. Sims v. State, 272 Ark. 308, 613 S.W.2d 820 (1981).

Where the evidence showed that the defendant attacked the victim and looked for her purse while she was on the porch of her home and escaped by running through the house and a rear window, the state failed to prove the charge of burglary, as the state did not prove an unlawful entry upon the victim's front porch, for subdivision (3) (now subdivision (4) of this section) permits an entry upon premises that are open to the public, and there was no proof that the defendant entered the house for the purpose of committing an offense in the course of his efforts to escape apprehension. Campbell v. State, 289 Ark. 454, 712 S.W.2d 302 (1986).

Defendant's conviction for residential burglary was proper pursuant to subdivision (2)(A) of this section because, although defendant might have been licensed or privileged to enter the victim's trailer, he was certainly not licensed or privileged to remain there after he began stabbing the victim and removing his property. Young v. State, 371 Ark. 393, 266 S.W.3d 744 (2007).

Enter or Remain Unlawfully.

Substantial evidence demonstrated that defendant entered or remained unlawfully on a commercial retailer's property, where there was no evidence that the retailer expressly or impliedly rescinded a notification banning defendant from its property. Brasuell v. State, 2015 Ark. App. 559, 472 S.W.3d 499 (2015).

Defendant entered the victim's home while he was asleep and then pointed the gun at him, telling him to prepare to die; thus, there was sufficient evidence to support a finding that defendant unlawfully entered or remained in the victim's home and defendant's conviction for aggravated residential burglary was affirmed. Although defendant testified that the victim had sent her a text stating that she was always welcome in his home, she did not introduce the text message into evidence, the jury was not required to believe her self-serving testimony, and the jury could have found that defendant no longer had a license or privilege to enter the victim's home on the night of the shooting. Rose v. State, 2015 Ark. App. 563, 472 S.W.3d 167 (2015).

Denying a directed verdict motion on a residential burglary charge was not error as the testimony showed that a neighbor left her door unlocked for her boyfriend or defendant's wife, not for defendant, and thus, the evidence showed that defendant had entered the neighbor's home unlawfully even though he and his wife had keys to the home. Holly v. State, 2017 Ark. 201 (2017).

Evidence was sufficient to convict defendant of residential burglary as defendant entered or remained unlawfully in the house with the purpose to commit a third-degree battery because the defendant's former spouse testified that, before defendant entered the house, she had asked him to leave but that he shoved her out of the way and entered the house uninvited before immediately attacking the battery victim; and she further testified that, during defendant's attack on the battery victim inside the house, she again told defendant to leave but he refused. Williams v. State, 2019 Ark. App. 602, 591 S.W.3d 376 (2019).

Occupiable Structure.

The student union building at a university is an “occupiable structure” under the statutory definition inasmuch as the determinative factor is the nature of the premise — not whether it was occupied at the time of the crime, but rather whether it was occupiable — and a building used for social activities, religious sessions, and classroom meetings is clearly an “occupiable structure.” Barksdale v. State, 262 Ark. 271, 555 S.W.2d 948 (1977).

A building where people assemble for purposes of education is an occupiable structure regardless of whether it was occupied at the time of the crime. Oliver v. State, 14 Ark. App. 240, 687 S.W.2d 850 (1985), rev'd, 286 Ark. 198, 691 S.W.2d 842 (1985).

A supply room, attached to a main warehouse, was an occupiable structure in that it was functionally interconnected with, and immediately contiguous to, the main structure in which the victim carried on its business. Winters v. State, 41 Ark. App. 104, 848 S.W.2d 441 (1993).

Victim’s garage fell within the definition of a “residential occupiable structure,” because it was a building or structure in which the victim lived and was functionally interconnected with and immediately congruous to the main structure in which the victim lived. Horton v. State, 2014 Ark. App. 250 (2014).

Cited: Hill v. State, 261 Ark. 711, 551 S.W.2d 200 (1977); Grays v. State, 264 Ark. 564, 572 S.W.2d 847 (1978); LeFlore v. State, 17 Ark. App. 117, 704 S.W.2d 641 (1986); Stultz v. State, 20 Ark. App. 90, 724 S.W.2d 189 (1987).

Subchapter 2 — Offenses Generally

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Cross References. Criminal mischief, §§ 5-38-203, 5-38-204.

Fines, § 5-4-201.

Term of imprisonment, § 5-4-401.

Use of physical force in defense of property, § 5-2-608.

Effective Dates. Acts 1907, No. 58, § 4: effective on passage.

Acts 1955, No. 108, § 4: Feb. 24, 1955. Emergency clause provided: “It is hereby found and declared by the General Assembly of the State of Arkansas that it is essential to the public peace, health, safety, and welfare that cemeteries be accessible by automobile and that such cemeteries be neat in appearance, that in fact all access to some cemeteries within this state has been cut off by fences, and that some cemeteries within this state are very unsightly, therefore, an emergency is hereby declared to exist and this act being necessary to protect the public peace, health, safety and welfare shall be in full force and effect from and after its passage and approval.”

Research References

ALR.

Absence of occupant from residential structure affecting nature of offense as burglary or breaking and entering. 20 A.L.R.4th 349.

U. Ark. Little Rock L.J.

Survey, Criminal Law, 13 U. Ark. Little Rock L.J. 341.

5-39-201. Residential burglary — Commercial burglary.

    1. A person commits residential burglary if he or she enters or remains unlawfully in a residential occupiable structure of another person with the purpose of committing in the residential occupiable structure any offense punishable by imprisonment.
    2. Residential burglary is a Class B felony.
    1. A person commits commercial burglary if he or she enters or remains unlawfully in a commercial occupiable structure of another person with the purpose of committing in the commercial occupiable structure any offense punishable by imprisonment.
    2. Commercial burglary is a Class C felony.

History. Acts 1975, No. 280, § 2002; A.S.A. 1947, § 41-2002; Acts 1993, No. 442, § 2; 1993, No. 552, § 2.

Research References

U. Ark. Little Rock L.J.

Arkansas Law Survey, Hall, Evidence, 8 U. Ark. Little Rock L.J. 157.

Survey — Criminal Law, 11 U. Ark. Little Rock L.J. 175.

Case Notes

Assistance of Counsel.

Where, on the morning of the trial, the defendant's request for a change of counsel and a continuance was refused, the defendant was denied his right to counsel, as it was apparent that the defendant honestly believed, correctly or not, that his attorney was not looking out for his best interests. Parker v. State, 18 Ark. App. 252, 715 S.W.2d 210 (1986), overruled, Ferrell v. State, 305 Ark. 511, 810 S.W.2d 29 (1991), overruled, Burns v. State, 300 Ark. 469, 780 S.W.2d 23 (Ark. 1989).

The defendant did not waive his right to an attorney, because the trial judge's statement that the defendant would have to accept the consequences of representing himself did not constitute adequate warning, and the defendant did not express a clear intent to waive his right to counsel. Parker v. State, 18 Ark. App. 252, 715 S.W.2d 210 (1986), overruled, Ferrell v. State, 305 Ark. 511, 810 S.W.2d 29 (1991), overruled, Burns v. State, 300 Ark. 469, 780 S.W.2d 23 (Ark. 1989).

Considered as Aggravating Factor.

Burglary could not be considered, absent supporting proof, as a felony creating the substantial risk of death or serious physical injury to another person under § 5-4-604(3), since a burglary as defined by this section could be committed by an unlawful entry into a vacant house with no possibility of violence or injury to anyone. Williams v. State, 274 Ark. 9, 621 S.W.2d 686 (1981), cert. denied, Williams v. Arkansas, 459 U.S. 1042, 103 S. Ct. 460 (1982).

Defense.

Voluntary intoxication is an affirmative defense to a crime that requires a purposeful intent; accordingly, where there was evidence presented in a burglary prosecution that the defendant had been drinking heavily for hours just prior to the crime, the trial court should have given an instruction on the lesser included offense of criminal trespass. Brown v. State, 12 Ark. App. 132, 671 S.W.2d 228 (1984).

Due Process.

District court's grant of writ of habeas corpus on the ground that the trial court's refusal to allow defendant to inform the jury of his prior acquittal on possession charges rendered his trial fundamentally unfair. Prince v. Lockhart, 971 F.2d 118 (8th Cir. 1992), cert. denied, 507 U.S. 964, 113 S. Ct. 1394 (1993).

Elements of Offense.

Both entry into a building and specific criminal intent are essential elements of the crime of burglary. Ward v. Lockhart, 841 F.2d 844 (8th Cir. 1988).

Defendant claimed that the trial court's description of commercial burglary was so technical that it did not provide defendant with adequate notice of the charges against him and rendered his plea involuntary; however, the judge's use of the terms “enter” and “intent” conveyed the essential elements of the burglary. Easter v. Norris, 100 F.3d 523 (8th Cir. 1996), cert. denied, 520 U.S. 1148, 117 S. Ct. 1322 (1997).

Where defendant admitted that he committed third-degree assault against victim by kicking and banging at the victim's door in an attempt to gain entry, the circuit court did not err in denying defendant's motion for directed verdict on the attempted burglary charge as defendant completed a substantial step towards entry by severely damaging victim's door and left only when the police were in the area. Davis v. State, 368 Ark. 351, 246 S.W.3d 433 (2007).

Entry.

Crime of burglary was committed though defendant was interrupted after the breaking, but before entry. Mouser v. State, 215 Ark. 131, 219 S.W.2d 611 (1949) (decision under prior law).

Both a breaking and entry need not have been shown to convict defendant of burglary since either was sufficient to constitute the crime. Thompson v. State, 252 Ark. 1, 477 S.W.2d 469 (1972) (decision under prior law).

Where defendant broke the glass in the door and stuck his hand through, the intrusion was sufficient even though the defendant could not get the door open. Thompson v. State, 252 Ark. 1, 477 S.W.2d 469 (1972) (decision under prior law).

Either the separate act of breaking or the separate act of entering either in the daytime or nighttime constituted the crime of burglary. Albright v. State, 253 Ark. 671, 488 S.W.2d 11 (1972) (decision under prior law).

Entry into a building is an essential element of the crime of burglary. Selph v. State, 264 Ark. 197, 570 S.W.2d 256 (1978).

Where defendant entered closed door which had “employees only” sign on it, defendant did not have privilege or license under § 5-39-101(3) (now § 5-39-101(4)), to enter the room since it was closed and marked for employees only. Sims v. State, 272 Ark. 308, 613 S.W.2d 820 (1981).

The defendant's license or privilege to go into one section of the courthouse for the purpose of retrieving his tools did not authorize him to go into other unauthorized areas for the purpose of committing theft. LeFlore v. State, 17 Ark. App. 117, 704 S.W.2d 641 (1986).

Where the evidence showed that the defendant attacked the victim and looked for her purse while she was on the porch of her home and escaped by running through the house and a rear window, the state failed to prove the charge of burglary, as the state did not prove an unlawful entry upon the victim's front porch, for of § 5-39-101(3) (now § 5-39-101(4)), permits an entry upon premises that are open to the public, and there was no proof that the defendant entered the house for the purpose of committing an offense in the course of his efforts to escape apprehension. Campbell v. State, 289 Ark. 454, 712 S.W.2d 302 (1986).

Evidence.

Evidence held insufficient to sustain a conviction. Minter v. State, 71 Ark. 178, 71 S.W. 944 (1903); Gunter v. State, 79 Ark. 432, 96 S.W. 181 (1906); Anderson v. State, 84 Ark. 54, 104 S.W. 1096 (1907) (preceding decisions under prior law); Norton v. State, 271 Ark. 451, 609 S.W.2d 1 (1980); Holloway v. State, 11 Ark. App. 69, 666 S.W.2d 410 (1984); Hickerson v. State, 282 Ark. 217, 667 S.W.2d 654 (1984); Ward v. Lockhart, 841 F.2d 844 (8th Cir. 1988); Swanson v. State, 308 Ark. 28, 823 S.W.2d 812 (1992).

Evidence held sufficient to support conviction. Mouser v. State, 215 Ark. 131, 219 S.W.2d 611 (1949); Clay v. State, 236 Ark. 398, 366 S.W.2d 299 (1963); Williams v. State, 239 Ark. 686, 393 S.W.2d 618 (1965); Johnson v. State, 252 Ark. 50, 477 S.W.2d 196 (1972); Seals v. State, 256 Ark. 11, 505 S.W.2d 202 (1974); King v. State, 256 Ark. 778, 510 S.W.2d 876 (1974); Randle v. State, 257 Ark. 232, 516 S.W.2d 6 (1974) (preceding decisions under prior law); Hill v. State, 261 Ark. 711, 551 S.W.2d 200 (1977); Walker v. State, 262 Ark. 331, 556 S.W.2d 655 (1977); Boone v. State, 264 Ark. 169, 568 S.W.2d 229 (1978); Sims v. State, 272 Ark. 308, 613 S.W.2d 820 (1981); Small v. State, 5 Ark. App. 87, 632 S.W.2d 448 (1982); Johnson v. State, 7 Ark. App. 172, 646 S.W.2d 22 (1983); Bradley v. State, 8 Ark. App. 300, 651 S.W.2d 113 (1983); Oliver v. State, 14 Ark. App. 240, 687 S.W.2d 850 (1985), rev'd, 286 Ark. 198, 691 S.W.2d 842 (1985); Lane v. State, 288 Ark. 175, 702 S.W.2d 806 (1986); LeFlore v. State, 17 Ark. App. 117, 704 S.W.2d 641 (1986); Kinsey v. State, 290 Ark. 4, 716 S.W.2d 188 (1986); Clay v. State, 290 Ark. 54, 716 S.W.2d 751 (1986); Dillard v. State, 20 Ark. App. 35, 723 S.W.2d 373 (1987), overruled, Menard v. Carlisle, 309 Ark. 522, 834 S.W.2d 632 (Ark. 1992); Cristee v. State, 25 Ark. App. 303, 757 S.W.2d 565 (1988); Johnson v. State, 26 Ark. App. 220, 762 S.W.2d 804 (1989); Lilly v. State, 300 Ark. 53, 776 S.W.2d 347 (1989); Smith v. State, 300 Ark. 330, 778 S.W.2d 947 (1989); Forgy v. State, 302 Ark. 435, 790 S.W.2d 173 (1990); Hutcherson v. State, 34 Ark. App. 113, 806 S.W.2d 29 (1991); Ward v. State, 35 Ark. App. 148, 816 S.W.2d 173 (1991); Brown v. State, 35 Ark. App. 156, 814 S.W.2d 918 (1991); Lukach v. State, 310 Ark. 38, 834 S.W.2d 642 (1992); Franklin v. State, 311 Ark. 601, 845 S.W.2d 525 (1993); Turner v. State, 64 Ark. App. 216, 984 S.W.2d 52 (1998).

Testimony held sufficient to take case to jury as to guilt of defendant. Beasley v. State, 219 Ark. 452, 242 S.W.2d 961 (1951) (decision under prior law).

Evidence held sufficient to sustain finding that the insureds sustained their loss as a direct result of a burglary. Thomas Jefferson Ins. Co. v. Stuttgart Home Ctr., Inc., 4 Ark. App. 75, 627 S.W.2d 571 (1982).

Where state's case revealed that defendant was an accomplice in the burglary because he planned it, the trial court correctly allowed the state's witnesses to testify that defendant's role in a series of other burglaries was to plan the burglaries — not to physically enter the respective houses; the other crimes evidence also showed knowledge and lack of mistake. Bradley v. State, 8 Ark. App. 300, 651 S.W.2d 113 (1983).

Where the defendant admitted that he never asked for an attorney or for the questioning to stop and was not threatened or beaten, he was read the Miranda warnings and did not appear to be under the influence of drugs or alcohol, the trial court's denial of the defendant's motion to suppress and the introduction of the statement did not constitute error. LeFlore v. State, 17 Ark. App. 117, 704 S.W.2d 641 (1986).

Although the defendant indicated that he did not want to make a statement, his statement was admissible because the police did not make any efforts to wear down his resistance nor to change his mind. Parker v. State, 18 Ark. App. 252, 715 S.W.2d 210 (1986), overruled, Ferrell v. State, 305 Ark. 511, 810 S.W.2d 29 (1991), overruled, Burns v. State, 300 Ark. 469, 780 S.W.2d 23 (Ark. 1989).

The evidence was sufficient to support the finding that defendant took a substantial step toward committing the offense of burglary. Ward v. State, 35 Ark. App. 148, 816 S.W.2d 173 (1991).

Circumstantial evidence of an unlawful entry was sufficient. Davasher v. State, 308 Ark. 154, 823 S.W.2d 863 (1992), cert. denied, Davasher v. Arkansas, 504 U.S. 976, 112 S. Ct. 2948 (1992).

Substantial evidence supported conviction for attempted burglary. Kendrick v. State, 37 Ark. App. 95, 823 S.W.2d 931 (1992).

Admission of seized drugs in prosecution of burglary and theft was not barred by collateral estoppel because defendant's prior acquittal did not determine an ultimate fact in later prosecution of defendant. Prince v. Lockhart, 971 F.2d 118 (8th Cir. 1992), cert. denied, 507 U.S. 964, 113 S. Ct. 1394 (1993).

Insufficient evidence of burglary and theft of property was presented to corroborate the testimony of an admitted accomplice. Gibson v. State, 41 Ark. App. 154, 852 S.W.2d 326 (1993).

The testimony of witnesses, and the fact that defendant's truck was identified as the truck carrying the same brand and size of tires that were stolen, was sufficient to support convictions for burglary and theft of property. Winters v. State, 41 Ark. App. 104, 848 S.W.2d 441 (1993).

Evidence of burglary held insufficient; however, the evidence was sufficient to support a finding that defendant was guilty of the lesser included offense of attempted criminal trespass. Tiller v. State, 42 Ark. App. 64, 854 S.W.2d 730 (1993).

Circumstantial evidence of burglary and arson held sufficient to support conviction. Armstrong v. State, 45 Ark. App. 72, 871 S.W.2d 420 (1994).

Identification testimony and the physical evidence accidentally dropped at the scene by the defendant were admissible, and evidence was sufficient to sustain the conviction of rape, burglary, and robbery. Monk v. State, 320 Ark. 189, 895 S.W.2d 904 (1995).

Fingerprints and a footprint constituted substantial evidence from which the jury could find defendant committed burglary. Tucker v. State, 50 Ark. App. 203, 901 S.W.2d 865 (1995).

Evidence of commercial burglary held sufficient where police found defendant with a cash drawer from a store that had been broken into and cash from the drawer was in defendant's pocket. Alexander v. State, 55 Ark. App. 148, 934 S.W.2d 927 (1996).

Although codefendant gave varying statements about defendant's participation and the victim was unable to identify the defendant, the identification evidence held sufficient in view of the scientific evidence and the testimony of the codefendant. Wilson v. State, 332 Ark. 7, 962 S.W.2d 805 (1998); Atkins v. State, 63 Ark. App. 203, 979 S.W.2d 903 (1998).

Evidence was sufficient to support the conclusion that the defendant unlawfully entered his ex-girlfriend's apartment where the apartment was leased in the ex-girlfriend's name only, the defendant was escorted away from the apartment by the police and was told not to return, the locks were changed so that the key in his possession would no longer work, and the defendant did not have permission from his ex-girlfriend to be in the apartment. Williams v. State, 65 Ark. App. 176, 986 S.W.2d 123 (1999).

Although there was overwhelming evidence of defendant's guilt on the residential burglary charge, there was no evidence that defendant's purpose was to commit an offense in the residence punishable by imprisonment after defendant's convictions for attempted kidnapping and attempted first-degree murder were reversed; thus, defendant's conviction for residential burglary was also reversed. Proctor v. State, 349 Ark. 648, 79 S.W.3d 370 (2002).

Defendant's motion for directed verdict was properly denied where there was sufficient evidence to convict defendant of residential burglary and third degree assault, § 5-13-207(a); defendant took steps to hinder the victim's ability to summon help by turning off the power and pulling out the phone lines, and the fact that defendant had a potentially deadly weapon on his person could at least raise an inference that he intended to, at the very least, place victim in fear for her physical well-being. Diggs v. State, 93 Ark. App. 332, 219 S.W.3d 654 (2005).

Evidence was sufficient to sustain defendant's convictions for aggravated robbery, residential burglary, and felony theft of property because an accomplice testified that he and defendant had a purpose of committing theft when they went to the victim's apartment, defendant used physical force upon the victim, defendant was armed with a deadly weapon, and a witness testified that she observed defendant carry out a television and load it into the car. Navarro v. State, 371 Ark. 179, 264 S.W.3d 530 (2007).

Defendant's conviction for residential burglary was proper pursuant to subdivision (a)(1) of this section because he carried a knife made from a railroad spike with him on the night of the homicide. The jury could have inferred from that evidence defendant's intent to commit a felony at the time of entrance in to the victim's trailer. Young v. State, 371 Ark. 393, 266 S.W.3d 744 (2007).

Because there was sufficient evidence to support defendant's rape conviction, there was no merit to defendant's argument regarding the sufficiency of the evidence for defendant's residential burglary conviction, in violation of subsection (a) of this section. Young v. State, 374 Ark. 350, 288 S.W.3d 221 (2008).

Where the victim testified that he discovered that two jars of coins were missing from his house after a visit from defendant and his cohort, an employee of a grocery store saw defendant's cohort cash in the coins and then throw away a jar; the theft victim identified the jar as his. In the second case, the victim testified that someone kicked in the door to his home and a five-gallon water jug filled with coins was stolen shortly after he had spoken with defendant and his cohort at a club; based on the circumstantial evidence, defendant's possession of the coins, and his admission that he had stolen coins from the second victim before, the evidence was sufficient to support defendant's conviction for two counts of burglary in violation of subdivision (a)(1) of this section. Mathis v. State, 2009 Ark. App. 181, 314 S.W.3d 280 (2009).

Evidence was more than sufficient to prove that defendant did not have permission to be in the residence, because the victim ran from his residence yelling that he needed help and asking someone to call the police. Lewis v. State, 2009 Ark. App. 504, 323 S.W.3d 640 (2009).

Evidence was sufficient to support defendant's convictions for residential burglary and theft of property where defendant pawned a gun and a pendant that were stolen from the victims' home and, according to a witness, defendant admitted that he participated in the burglary and theft. Stigger v. State, 2009 Ark. App. 596 (2009).

Defendant's convictions for two counts of aggravated burglary were proper under subsection (a) of this section and § 5-39-204(a) because defendant's argument that there was no direct proof on the record of defendant holding a gun was without merit since substantial circumstantial evidence supported a finding of guilt, either as a principal or an accomplice. A neighbor verified that one of the intruders had a gun, the victim told the officers that the intruders hid their guns in the closet, where two guns were found, and both intruders were charged in the same instrument, implicating accomplice liability; that provided substantial evidence supporting the finding that the intruders at minimum represented by word or conduct that they were armed as a threat. Hinton v. State, 2010 Ark. App. 341 (2010).

Appellant's conviction for residential burglary was affirmed where (1) the evidence showed that an angry appellant attempted to “bust in” the victim's front door to “put it in the couple's face,” pushing his arm and body partially through the door and shooting his handgun into the residence; and (2) the evidence was consistent with appellant's guilt and inconsistent with any other reasonable conclusion. Stephens v. State, — Ark. App. —, — S.W.3d — , 2010 Ark. App. LEXIS 382 (Apr. 28, 2010).

Substantial evidence supported defendant's convictions for commercial burglary, criminal mischief, and breaking and entering because the testimony of defendant's accomplice, who was defendant's son, was sufficiently corroborated, as required by § 16-89-111(e)(1), by an officer's testimony as to the items he found in defendant's truck, matching the description of items stolen from a convenience store. The accomplice admitted that he and defendant entered the store by using a cable to pull open the front doors and that he and defendant used bolt cutters and a pry bar to break into gaming machines, and these items, along with packages of cigarettes stolen from the store, were found by police officers in defendant's truck. Dunlap v. State, 2010 Ark. App. 582 (2010).

Defendant's convictions for residential burglary and terroristic threatening, in violation of subsection (a) of this section and § 5-13-301(b)(1) were supported by sufficient evidence, as he entered his ex-wife residence with the intent or purpose of assaulting her or of threatening either her or her boyfriend. Cash v. State, 2011 Ark. App. 493 (2011).

Appellant's convictions for aggravated robbery, aggravated residential burglary, and misdemeanor fleeing were affirmed where a witness testified that appellant pointed a sawed-off shotgun at his head, which would necessarily constitute proof that appellant was “armed with a deadly weapon”; the testimony of one eyewitness was sufficient to sustain a conviction. Riley v. State, 2011 Ark. App. 511, 385 S.W.3d 355 (2011).

Where defendant was convicted for residential burglary and theft under subdivision (a)(1) of this section and § 5-36-103(a)(1), the trial court did not err by denying his motion for a directed verdict because the record showed that the victims returned from work to discover that their home had been burglarized; the back door of the residence had been kicked in and $3,000 worth of property was missing. As defendant's palm print was found on the entertainment table, the jury was not required to resort to speculation or conjecture in reaching its verdicts. Hicks v. State, 2012 Ark. App. 667 (2012).

Evidence was sufficient to sustain the revocation of defendant's suspended sentence because the victim saw where defendant had broken into his shop, noticed that tools and equipment had been gathered, discovered defendant hiding inside the shop, and the victim identified defendant in a photographic lineup. Upshaw v. State, 2013 Ark. App. 41 (2013).

Evidence was sufficient to sustain the revocation of defendant's suspended sentence because the victim saw where defendant had broken into his shop, noticed that tools and equipment had been gathered, discovered defendant hiding inside the shop, and the victim identified defendant in a photographic lineup. Upshaw v. State, 2013 Ark. App. 41 (2013).

There was substantial evidence to support a conviction for residential burglary where defendant came to the victim's home, kicked in her door, and stated “I come here to take it”; defendant then grabbed the victim by the arm, began “tussling” with her, and raped her. From this evidence, the jury could have inferred that defendant intended either to rob or rape the victim, either of which was a crime punishable by imprisonment. Burris v. State, 2015 Ark. App. 126 (2015).

Evidence was sufficient to support defendant's conviction for residential burglary because defendant texted the victim on the morning of the burglary to confirm the victim's whereabouts, defendant was at the victim's house around the time of the burglary later that morning, defendant was seen driving defendant's car toward a town immediately thereafter, and defendant was in possession of the victim's Xbox when defendant sold it in a pawn shop in the town. Brickey v. State, 2015 Ark. App. 175 (2015).

There was substantial evidence supporting defendant's convictions for arson and residential burglary, including testimony that the fire was not accidental, that defendant was seen coming from the direction of the apartment with a pack of cigarettes and a lighter after the fire, and that defendant sent the victim a text making references to a fire her father had started when she was younger. Fronterhouse v. State, 2015 Ark. App. 211, 463 S.W.3d 312 (2015).

Substantial evidence supported defendant's conviction for residential burglary because the circumstances were plainly sufficient to allow the trial court to reasonably infer, without resort to speculation or conjecture, that he entered the victim's home with the purpose of assaulting her; defendant violently broke into the victim's home, chased her, tried to prevent her from being able to call for help, verbally threatened her safety, and immediately thereafter physically beat her. Davis v. State, 2015 Ark. App. 234, 459 S.W.3d 821 (2015).

Evidence Insufficient.

There was insufficient evidence to support defendant's conviction for commercial burglary, because the retailer was open to the public, defendant's purpose in entering the store was not determinative, and there was no evidence that he had been banned from the premises. Todd v. State, 2016 Ark. App. 280, 494 S.W.3d 444 (2016).

Defendant's conviction for residential burglary in a bench trial was not supported by sufficient evidence, because the trial court did not find that defendant went to the residence with the purpose of committing a theft of property within the residence, as charged, but found only that he went there to commit an offense punishable by imprisonment and that he was not invited. Williams v. State, 2018 Ark. App. 349, 553 S.W.3d 753 (2018).

Harmless Error.

Although the search warrant was invalid with respect to the cigarettes, failure to suppress the cigarettes constituted harmless error. Excluding the cigarettes, the jury nevertheless had overwhelming evidence of defendant's commercial burglary and aggravated robbery offenses; in part, defendant was identified from surveillance video and a search of his vehicle revealed ammunition of the type used by the gun in the robberies, as well as a bandana that contained his DNA. Jemison v. State, 2019 Ark. App. 475, 588 S.W.3d 359 (2019).

Indictment or Information.

In an indictment for burglary, the specific felony intended to be committed by the accused had to be set out or specified but the allegation of the ulterior felony intended need not be set out specifically as would be necessary in an indictment for the actual commission of that felony, and it was sufficient to state the intended offense generally. Davis v. State, 117 Ark. 296, 174 S.W. 567 (1915) (decision under prior law).

Upon an information for burglary and grand larceny, one could not be convicted for receiving stolen property. Pickens v. State, 236 Ark. 404, 366 S.W.2d 283 (1963) (decision under prior law).

Where defendant was charged with burglary with intent to commit “a crime punishable by imprisonment,” and he was tried for burglary with intent to commit attempted theft rather than for burglary with intent to commit theft, defendant's defense was prejudiced by the information's lack of specificity, and his constitutional right to notice of the charges against him violated. If the information had specified the crime defendant allegedly intended to commit — and if that crime was indeed attempted theft — then defendant would have been able to make the legal argument that there was no such thing as an intent to attempt theft. Forgy v. Norris, 64 F.3d 399 (8th Cir. 1995).

Instructions.

Refusal to submit defendant's proffered instructions on breaking and entering held proper. Barksdale v. State, 262 Ark. 271, 555 S.W.2d 948 (1977).

Refusal to instruct on the lesser included offenses of breaking and entering or criminal trespass held proper. Grays v. State, 264 Ark. 564, 572 S.W.2d 847 (1978); Robinson v. State, 7 Ark. App. 209, 646 S.W.2d 714 (1983).

Court held to have committed prejudicial error when it refused to give the instruction requested on the lesser included offense of criminal trespass. Bongfeldt v. State, 6 Ark. App. 102, 639 S.W.2d 70 (1982).

It was not prejudicial error by the court to refuse to give the proffered instruction on criminal trespass in view of appellant's admission on the stand and in his pre-trial statement that he intended to go to the courthouse to steal the money before he actually got there. LeFlore v. State, 17 Ark. App. 117, 704 S.W.2d 641 (1986).

Where the trial court instructed the jury on the lesser included offense of criminal trespass, but refused to give the clearly inapplicable definition of “occupiable structure”, there was no error in refusing an instruction which may have misled or confused the jury. Townsend v. State, 308 Ark. 266, 824 S.W.2d 821 (1992).

Intent.

If a man burglariously entered a house with intent to have connection with a woman while she was asleep, it was burglary. Harvey v. State, 53 Ark. 425, 14 S.W. 645 (1890) (decision under prior law).

In order to convict for burglary, evidence had to show that defendant entered building with intent to commit a felony. Sanders v. State, 198 Ark. 880, 131 S.W.2d 936 (1939) (decision under prior law).

Evidence held insufficient to show the requisite intent. Hicks v. State, 231 Ark. 52, 328 S.W.2d 265 (1959) (decision under prior law); Washington v. State, 268 Ark. 1117, 599 S.W.2d 408 (Ct. App. 1980); Norton v. State, 271 Ark. 451, 609 S.W.2d 1 (1980); Wortham v. State, 5 Ark. App. 161, 634 S.W.2d 141 (1982).

Evidence that defendant had previously cut a window screen in an effort to effect entry for some unknown purpose was inadmissible to show intention of defendant for the unlawful entries upon trial. Hicks v. State, 231 Ark. 52, 328 S.W.2d 265 (1959) (decision under prior law).

Where the requisite intent could not be incontrovertibly established by defendant's actions in entries with which he was charged, evidence of a similar offense was admissible to show intent. Hicks v. State, 231 Ark. 52, 328 S.W.2d 265 (1959) (decision under prior law).

While it was not necessary in a prosecution to show that accused had tools with intent to commit a particular burglary, it was nevertheless proper in all cases to show felonious intent and any evidence legally bearing on felonious intent was admissible. Randall v. State, 239 Ark. 312, 389 S.W.2d 229 (1965) (decision under prior law).

Evidence held sufficient to show requisite intent. Scates v. State, 244 Ark. 333, 424 S.W.2d 876 (1968); Swanson v. State, 251 Ark. 147, 471 S.W.2d 351 (1971), cert. denied, Swanson v. Arkansas, 405 U.S. 996, 92 S. Ct. 1272 (1972) (preceding decisions under prior law); Parris v. State, 270 Ark. 269, 604 S.W.2d 582 (Ct. App. 1980); Johnson v. State, 7 Ark. App. 172, 646 S.W.2d 22 (1983); Moore v. Lockhart, 740 F.2d 14 (8th Cir. 1984); Jimenez v. State, 12 Ark. App. 315, 675 S.W.2d 853 (1984); Holmes v. State, 288 Ark. 72, 702 S.W.2d 18 (1986).

Where there was sufficient evidence of the requisite intent it was reversible error to permit evidence of other burglaries to show defendant's criminal intent. Swanson v. State, 251 Ark. 147, 471 S.W.2d 351 (1971), cert. denied, Swanson v. Arkansas, 405 U.S. 996, 92 S. Ct. 1272 (1972) (decision under prior law); Golden v. State, 10 Ark. App. 362, 664 S.W.2d 496 (1984), overruled, Bledsoe v. State, 344 Ark. 86, 39 S.W.3d 760 (Ark. 2001).

To constitute the offense of burglary the accused must not only enter or remain unlawfully in an occupiable structure of another but such action must be accompanied with the purpose of committing therein an offense punishable by imprisonment, and purpose can be established by circumstantial evidence since often this is the only type of evidence available to show intent; however, the circumstances established by the evidence must be such that the requisite purpose of the accused can reasonably be inferred, and the evidence must be consistent with the guilt of the accused and inconsistent with any other reasonable conclusion. Washington v. State, 268 Ark. 1117, 599 S.W.2d 408 (Ct. App. 1980).

Offense of burglary was complete even though intention to commit a felony was not consummated. Sanders v. State, 198 Ark. 880, 131 S.W.2d 936 (1939); Mouser v. State, 215 Ark. 131, 219 S.W.2d 611 (1949); Pope v. State, 216 Ark. 314, 225 S.W.2d 8 (1949); King v. State, 256 Ark. 778, 510 S.W.2d 876 (1974) (preceding decisions under prior law); Washington v. State, 268 Ark. 1117, 599 S.W.2d 408 (Ct. App. 1980).

The facts proven incident to an unlawful entry must show circumstances of such probative force as to reasonably warrant the inference of the purpose on the part of the accused to commit an offense punishable by imprisonment, other than the entry itself. Washington v. State, 268 Ark. 1117, 599 S.W.2d 408 (Ct. App. 1980).

A specific criminal intent, which is an essential element of the crime of burglary, cannot be presumed from a mere showing of illegal entry of an occupiable structure; the prosecution must prove each and every element of the offense of burglary beyond a reasonable doubt and cannot shift to the defendant the burden of explaining his illegal entry by merely establishing it. Norton v. State, 271 Ark. 451, 609 S.W.2d 1 (1980).

In a prosecution for burglary the flight of an accused to avoid arrest is evidence of his felonious intent. Oliver v. State, 14 Ark. App. 240, 687 S.W.2d 850 (1985), rev'd, 286 Ark. 198, 691 S.W.2d 842 (1985).

Where the defendant admitted entering the victim's home and taking the items, but testified that he entered the house through a partially opened door and had no intention of stealing anything when he entered, the jury could reasonably infer that the unlawful entry was accompanied with the intent to commit theft. Henry v. State, 18 Ark. App. 115, 710 S.W.2d 849 (1986).

Burglary committed when defendant chased the victim into the victim's home before killing him could not serve as the underlying felony under § 5-10-101(a)(1), since the intent to kill is what made the entry into the victim's home a burglary, and the burglary was no more than one step toward the commission of the murder and was not to facilitate the murder. Parker v. State, 292 Ark. 421, 731 S.W.2d 756 (1987).

Specific criminal intent and illegal entry are both elements of the crime of burglary, and existence of the intent cannot be presumed from a mere showing of the illegal entry. Cristee v. State, 25 Ark. App. 303, 757 S.W.2d 565 (1988).

Criminal intent cannot be presumed from the mere showing of illegal entry. Rudd v. State, 308 Ark. 401, 825 S.W.2d 565 (1992).

In absence of evidence of other intent or explanation for breaking or entering an occupiable structure at night, the usual object or purpose of burglarizing an occupiable structure at night is theft. Kendrick v. State, 37 Ark. App. 95, 823 S.W.2d 931 (1992).

Evidence of breaking into a house is not evidence of intent to commit a crime therein. Tiller v. State, 42 Ark. App. 64, 854 S.W.2d 730 (1993).

There was sufficient evidence that defendant entered victim's home for the purpose of taking her property where defendant stated during a lie detector test that he went over to the victim's to burglarize the house. Sanford v. State, 331 Ark. 334, 962 S.W.2d 335 (1998).

Circuit court erred in convicting defendant of attempted residential burglary; even though he was caught unlawfully entering his girlfriend's former residence while holding a small bag and fled when her daughter yelled at him, there was no evidence that he did so with the purpose or specific intent of committing therein a theft of property. There was no evidence to show whether the bag was empty or contained something, defendant was not a complete stranger to the daughter or to the residence, the illegal entry was in the middle of the day, and the window was known to not close properly. Whitworth v. State, 2017 Ark. App. 462, 531 S.W.3d 407 (2017).

Lesser Included Offenses.

The offense of knowingly receiving stolen property was not a lesser offense of burglary. Pickens v. State, 236 Ark. 404, 366 S.W.2d 283 (1963) (decision under prior law).

Breaking and entering is a lesser included offense for burglary. Selph v. State, 264 Ark. 197, 570 S.W.2d 256 (1978).

Criminal trespass meets all of the requirements of being a lesser included offense of burglary. Bongfeldt v. State, 6 Ark. App. 102, 639 S.W.2d 70 (1982).

None of the crimes of rape, burglary or kidnapping is necessarily a lesser included offense of the other, since all involve separate elements, and it is not necessary to prove one offense in order to prove another. Hickerson v. State, 282 Ark. 217, 667 S.W.2d 654 (1984).

Aggravated robbery is not a lesser included offense of burglary, as aggravated robbery requires some type of serious force or threat of force used with the purpose of committing a theft, none of which is required to commit burglary, and burglary requires only that the defendant enters or remains unlawfully in an occupiable structure with the purpose of committing any offense punishable by imprisonment. Kinsey v. State, 290 Ark. 4, 716 S.W.2d 188 (1986).

A person may be convicted of the offense of breaking or entering, as a lesser offense of burglary, whether a building is “occupiable” or not. Stultz v. State, 20 Ark. App. 90, 724 S.W.2d 189 (1987).

Misdemeanor Theft.

In a case involving stolen university exams, the trial court did not err in finding that the requirements of subsection (b) of this section were met because misdemeanor theft is punishable by one year imprisonment; no minimum value was required to be shown, and the testimony supported the State's assertion that the exams had inherent value to the students, to the professors themselves, and to the university as an academic institution. Gillean v. State, 2015 Ark. App. 698, 478 S.W.3d 255 (2015).

Occupiable Structure.

Any house came within former section defining burglary; an outhouse was not necessarily within the curtilage. Shotwell v. State, 43 Ark. 345 (1884) (preceding decisions under prior law).

To constitute burglary, a house or other building had to be entered. Harvick v. State, 49 Ark. 514, 6 S.W. 19 (1887); Shaeffer v. State, 61 Ark. 241, 32 S.W. 679 (1895) (preceding decisions under prior law).

The student union building at a university is an “occupiable structure.” Barksdale v. State, 262 Ark. 271, 555 S.W.2d 948 (1977).

Where the defendant entered a place of business at one time and lifted a pin from the door, then returned later, he entered an “occupiable structure.” Grays v. State, 264 Ark. 564, 572 S.W.2d 847 (1978).

A building where people assemble for purposes of education is an occupiable structure regardless of whether it was occupied at the time of the crime. Oliver v. State, 14 Ark. App. 240, 687 S.W.2d 850 (1985), rev'd, 286 Ark. 198, 691 S.W.2d 842 (1985).

A building where people assembled for social activities, religious sessions, and classroom meetings has been held to be an occupiable structure regardless of whether anyone was occupying it at the time. Cristee v. State, 25 Ark. App. 303, 757 S.W.2d 565 (1988).

Although the defendant was convicted of attempted burglary, it was nevertheless necessary to prove that he attempted to enter an occupiable structure with the purpose of committing therein an offense punishable by imprisonment. Cristee v. State, 25 Ark. App. 303, 757 S.W.2d 565 (1988).

Trailer or mobile home was an occupiable structure within the meaning of this section. Julian v. State, 298 Ark. 302, 767 S.W.2d 300 (1989).

Just as the definition of “occupiable” does not depend on the presence of a person in a building, it does not depend on whether a building is being used for some other purpose as long as the nature of the premise is that it is occupiable. Julian v. State, 298 Ark. 302, 767 S.W.2d 300 (1989).

Defendant's appeal of a residential burglary conviction was frivolous because, inter alia, defendant entered an occupiable structure, even though the cabin did not have running water at the time of defendant's entry. Guthrie v. State, 2017 Ark. App. 681 (2017).

Ownership.

In prosecution for crime of burglary, it was not necessary to prove the ownership of the property burglarized. Pope v. State, 216 Ark. 314, 225 S.W.2d 8 (1949) (decision under prior law).

Possession of Stolen Property.

The possession of recently stolen property is a proper circumstance to consider on the charge of burglary. Small v. State, 5 Ark. App. 87, 632 S.W.2d 448 (1982).

Possession of recently stolen property is prima facie evidence of the guilt of the party in whose possession the property is found in cases of burglary, larceny and possession of stolen property, unless satisfactorily accounted for by the evidence. Ward v. State, 280 Ark. 353, 658 S.W.2d 379 (1983).

Possession of recently stolen property is prima facie evidence of guilt of burglary of the party in whose possession the property is found, unless it is satisfactorily accounted for to the jury. This is so even if there is no direct evidence of breaking or entering by the defendant, and, when there is no other evidence to show the defendant had committed the crimes with felonious intent. Stout v. State, 304 Ark. 610, 804 S.W.2d 686 (1991).

Evidence showing defendant was in possession of recently stolen property coupled with the proof of his proximity to the scene of the crime constituted substantial evidence of burglary. Prince v. State, 304 Ark. 692, 805 S.W.2d 46 (1991).

Prejudicial Exclusion of Evidence.

Trial court incorrectly applied Ark. R. Evid. 613 and abused its discretion in excluding questions during the cross-examination of the investigating detective; defense counsel was not attempting to impeach the detective with a prior inconsistent statement but instead the purpose of the questions was to show that the homeowner got so poor a look at the intruder that she could not identify him as older than age 16 and that her state of mind was prejudicially influenced by the media coverage. The exclusion of the evidence required reversal. Brigance v. State, 2018 Ark. App. 213, 548 S.W.3d 147 (2018).

Proof.

In a prosecution for burglary in which it was charged that the defendant entered a building with intent to commit grand larceny, it was not necessary that the state show that the defendant stole and carried away money of the owner. Thompson v. State, 177 Ark. 1, 5 S.W.2d 355 (1928) (decision under prior law).

State had the burden of proving by circumstances or direct evidence that defendant made the unlawful entries charged in the information, with the specific intention of committing an assault with intent to rape. Hicks v. State, 231 Ark. 52, 328 S.W.2d 265 (1959) (decision under prior law).

The prosecution bore the burden of proving, beyond a reasonable doubt, that every element of the crime charged, including the alleged entries, were made with the specific purpose (or intent) of committing an offense punishable by imprisonment. Varnedare v. State, 264 Ark. 596, 573 S.W.2d 57 (1978), overruled in part, White v. State, 290 Ark. 130, 717 S.W.2d 784 (1986).

Relationship to Other Laws.

United States Supreme Court vacated the U.S. Court of Appeals for the Eighth Circuit's judgment that a defendant who was convicted of unlawfully possessing a firearm, in violation of 18 U.S.C. § 922, was not subject to a minimum sentence of 15 years' imprisonment under the Armed Career Criminal Act (“ACCA”) because his conviction under § 5-39-201 did not fall within the ACCA's definition of “burglary”; however, the case was remanded because lower courts had not addressed the defendant's claim that the Arkansas residential burglary statute was too broad to count as generic burglary because it covered burglary of vehicles. United States v. Stitt, 139 S. Ct. 399, 202 L. Ed. 2d 364 (2018).

Sentence.

Because the sentence of 20 years' imprisonment with a 10-year suspended imposition of sentence, while falling within the statutory-sentencing range for Class A arson under §§ 5-38-301(b)(5), 5-4-401(a)(2), exceeded the range for Class B residential burglary and Class C theft of property, under subdivision (a)(2) of this section, and §§ 5-36-103(b)(2), 5-4-401(a)(3), (4), the residential-burglary and theft-of-property sentences were illegal, and the case was remanded for resentencing. Wakeley v. State, 2013 Ark. App. 231 (2013).

Where defendant's conviction for aggravated residential burglary under § 5-39-204 was reversed because there was insufficient evidence that defendant attempted to inflict a serious physical injury and defendant did not dispute that residential burglary was proven, his 40-year sentence was modified to the maximum allowed for residential burglary, a Class B felony, which was 20 years' imprisonment. Inskeep v. State, 2016 Ark. App. 135, 484 S.W.3d 709 (2016).

Separate Offenses.

Where defendant charged with both grand larceny (now theft) and burglary, was found guilty only of burglary, conviction of burglary would be affirmed, as it was not necessary for conviction of burglary that he also be found guilty of grand larceny. Jackson v. State, 216 Ark. 341, 225 S.W.2d 522, 15 A.L.R.2d 484 (1949) (decision under prior law).

Since burglary is a separate offense from theft by receiving, a defendant who had been convicted of burglary was not twice placed in jeopardy by being convicted of theft by receiving property stolen at the time of the burglary. King v. State, 262 Ark. 342, 557 S.W.2d 386 (1977), overruled in part, State v. Brown, 356 Ark. 460, 156 S.W.3d 722 (2004).

Counts charging arson and burglary are two independent charges and a verdict in one would not be res judicata as to the other, even though based upon the same evidence, so consistency in the verdicts is unnecessary; accordingly, defendant could be acquitted of burglary and convicted of arson. Riddick v. State, 271 Ark. 203, 607 S.W.2d 671 (1980).

Convictions for burglary and breaking or entering were proper. Ward v. State, 20 Ark. App. 172, 726 S.W.2d 289 (1987).

Structure.

A fence comes within the meaning of the word “structure,” as used in § 5-39-202. Townsend v. State, 308 Ark. 266, 824 S.W.2d 821 (1992).

Sufficient Evidence.

Even though defendant was not convicted of second-degree assault, there was sufficient evidence that he entered the owner's home to commit that offense, as the owner saw defendant swinging at his wife inside the home after he chased her there with a knife, and thus there was a substantial risk of injury to the wife, which showed defendant's intent; defendant's residential burglary conviction was supported by substantial evidence. Whitfield v. State, 2014 Ark. App. 380, 438 S.W.3d 289 (2014).

Substantial evidence demonstrated that defendant entered or remained unlawfully on a commercial retailer's property, in violation of this section, where there was no evidence that the retailer expressly or impliedly rescinded a notification banning defendant from its property. Brasuell v. State, 2015 Ark. App. 559, 472 S.W.3d 499 (2015).

Defendant entered the victim's home while he was asleep and then pointed the gun at him, telling him to prepare to die; thus, there was substantial evidence to support a finding that defendant unlawfully entered or remained in the victim's home and defendant's conviction for aggravated residential burglary was affirmed. Although defendant testified that the victim had sent her a text stating that she was always welcome in his home, she did not introduce the text message into evidence, the jury was not required to believe her self-serving testimony, and the jury could have found that defendant no longer had a license or privilege to enter the victim's home on the night of the shooting. Rose v. State, 2015 Ark. App. 563, 472 S.W.3d 167 (2015).

Denying a directed verdict motion on a residential burglary charge was not error as the testimony showed that a neighbor left her door unlocked for her boyfriend or defendant's wife, not for defendant, and thus, the evidence showed that defendant had entered the neighbor's home unlawfully even though he and his wife had keys to the home. Holly v. State, 2017 Ark. 201 (2017).

Evidence was sufficient to convict defendant of residential burglary because, regardless of whether the victim or her son denied defendant entry or told him to leave, defendant's license or privilege to enter the home was revoked once he inflicted injury upon the victim; and the jury could have inferred that defendant intended to sexually assault the victim, which was a felony, as, upon learning the victim was in the bath, he entered the bathroom, opened the shower curtain, touched her breast, and touched her vagina. Holland v. State, 2017 Ark. App. 49, 510 S.W.3d 311 (2017).

Defendant's residential-burglary conviction was affirmed where the victim's testimony that her home had been broken into, jewelry was missing, and she was emotionally affected as a result made clear that defendant and his accomplices were not authorized to take or exercise control over the victim's property. Hubbard v. State, 2017 Ark. App. 93, 513 S.W.3d 289 (2017).

Trial court did not err in denying defendant's directed verdict motions, as evidence that defendant was seen leaving the victim's residence and was found 30 minutes later in possession of recently stolen property taken from the residence was sufficient to support defendant's convictions for residential burglary and theft of property. Owens v. State, 2017 Ark. App. 353 (2017).

Evidence was sufficient to convict defendant of residential burglary where the apartment door was damaged and the mother asked defendant to stop disciplining the child and asked her father to come check things out; the evidence was sufficient to show that defendant did not have permission to enter. Jefferson v. State, 2017 Ark. App. 492, 532 S.W.3d 75 (2017).

State presented sufficient evidence as to both elements of residential burglary where the homeowner testified about the circumstances surrounding the unlawful entry, firing her gun at appellant, and appellant running away, appellant was treated for a gunshot wound mere hours after the intrusion, and his jacket was found with a bullet hole and blood stains that matched his DNA. Brigance v. State, 2018 Ark. App. 213, 548 S.W.3d 147 (2018).

Substantial evidence supported defendant's conviction for residential burglary because defendant was seen in the area where the burglary had occurred wearing clothes like those worn by one of the burglars and driving an SUV that matched the description of the SUV seen by a witness and a detective; defendant was in possession of the flat-screen television that was stolen, and he was in possession of tools that would be helpful to commit a burglary. Nelson v. State, 2018 Ark. App. 454, 558 S.W.3d 894 (2018).

Circuit court did not err in denying defendant's motions for directed verdict on a residential burglary count and six other counts even though all the evidence was circumstantial; given the entirety of the circumstantial evidence, the jury could conclude without resorting to speculation or conjecture that defendant committed the offenses. Defendant had bypassed a locked gate to enter the victim's property and fled when confronted by the police, his explanation as to why he was on the property was improbable, and he had a backpack and ratchet in his hand that looked like the victim's property. Cobb v. State, 2019 Ark. App. 434, 585 S.W.3d 196 (2019).

Evidence supported a juvenile's residential burglary conviction where the victim testified that a hoverboard was stolen from his home and he had not given anyone permission to be inside his home on the day of the burglary, and the juvenile admitted possession (but claimed he borrowed the hoverboard). B.T. v. State, 2019 Ark. App. 471, 588 S.W.3d 387 (2019).

Evidence was sufficient to convict defendant of residential burglary as defendant entered or remained unlawfully in the house with the purpose to commit a third-degree battery because defendant's former spouse testified that, before defendant entered the house, she had asked him to leave but that he shoved her out of the way and entered the house uninvited before immediately attacking the battery victim; and the former spouse further testified that, during defendant's attack on the battery victim inside the house, she again told defendant to leave but he refused. Williams v. State, 2019 Ark. App. 602, 591 S.W.3d 376 (2019).

Evidence supported defendant's convictions for residential burglary and theft of property because the victim testified that defendant, whom the victim had never seen before, was walking down the driveway away from the victim's house when the victim returned after a short errand and that the victim discovered items were taken from the house. Defendant also gave a police detective an inconsistent explanation as to why defendant was in the victim's neighborhood and attempted to flee when officers arrived at the house where defendant was located (no-merit brief). Sanford v. State, 2019 Ark. App. 10, 567 S.W.3d 553 (2019).

Sufficient evidence supported defendant's residential burglary and interference with custody convictions given the trial testimony that he forced open the victim's apartment door and took her child against her will (no-merit brief). Kelley v. State, 2019 Ark. App. 71, 568 S.W.3d 801 (2019).

Cited: Hunter v. State, 264 Ark. 195, 570 S.W.2d 267 (1978); White v. State, 266 Ark. 499, 585 S.W.2d 952 (1979); Conley v. State, 267 Ark. 713, 590 S.W.2d 66 (Ct. App. 1979); Elmore v. State, 267 Ark. 952, 592 S.W.2d 124 (Ct. App. 1980); Gustafson v. State, 267 Ark. 278, 590 S.W.2d 853 (1979); Klimas v. Mabry, 599 F.2d 842 (8th Cir. 1979); Schwindling v. State, 269 Ark. 388, 602 S.W.2d 639 (1980); Miller v. State, 269 Ark. 409, 601 S.W.2d 845 (1980); Plummer v. State, 270 Ark. 11, 603 S.W.2d 402 (1980); Parris v. State, 270 Ark. 269, 604 S.W.2d 582 (Ct. App. 1980); Thrasher v. State, 270 Ark. 322, 604 S.W.2d 931 (1980); Hammon v. State, 270 Ark. 307, 605 S.W.2d 6 (1980); Morrow v. State, 271 Ark. 806, 610 S.W.2d 878; Glason v. State, 272 Ark. 28, 611 S.W.2d 752 (1981); Conley v. State, 272 Ark. 33, 612 S.W.2d 722 (1981); Tillman v. State, 275 Ark. 275, 630 S.W.2d 5 (1982); Hawksley v. State, 276 Ark. 504, 637 S.W.2d 573 (1982); Pickens v. State, 279 Ark. 457, 652 S.W.2d 626 (Ark. 1983); Brown v. State, 12 Ark. App. 132, 671 S.W.2d 228 (1984); Moser v. State, 287 Ark. 105, 696 S.W.2d 744 (1985); Wing v. State, 286 Ark. 494, 696 S.W.2d 311 (1985); Harrison v. State, 287 Ark. 102, 696 S.W.2d 501 (1985); Sellers v. State, 295 Ark. 489, 749 S.W.2d 669 (1988); Smith v. Lockhart, 882 F.2d 331 (8th Cir. 1989); Perkins v. State, 298 Ark. 322, 767 S.W.2d 514 (1989); Bussard v. State, 300 Ark. 174, 778 S.W.2d 213 (1989); Bates v. Bates, 303 Ark. 89, 793 S.W.2d 788 (1990); Parker v. Lockhart, 797 F. Supp. 718 (E.D. Ark. 1992); Shibley v. State, 324 Ark. 212, 920 S.W.2d 10 (1996); Avett v. State, 325 Ark. 320, 928 S.W.2d 326 (1996); Mackey v. State, 56 Ark. App. 164, 939 S.W.2d 851; Booker v. State, 335 Ark. 316, 984 S.W.2d 16 (1998); Haynes v. State, 354 Ark. 514, 127 S.W.3d 456 (2003); Isom v. State, 356 Ark. 156, 148 S.W.3d 257 (2004); Walker v. State, 2010 Ark. App. 63 (2010).

5-39-202. Breaking or entering.

  1. A person commits the offense of breaking or entering if for the purpose of committing a theft or felony he or she breaks or enters into any:
    1. Building, structure, or vehicle;
    2. Vault, safe, cash register, safety deposit box, or money depository;
    3. Money vending machine, coin-operated amusement machine, vending machine, or product dispenser;
    4. Coin telephone or coin box;
    5. Fare box on a bus; or
    6. Other similar container, apparatus, or equipment.
  2. It constitutes a separate offense under this section for the breaking or entering into of each separate:
    1. Building, structure, or vehicle;
    2. Vault, safe, cash register, safety deposit box, or money depository;
    3. Money vending machine, coin-operated amusement machine, vending machine, or product dispenser;
    4. Coin telephone or coin box;
    5. Fare box on a bus; or
    6. Other similar container, apparatus, or equipment.
  3. Breaking or entering is a Class D felony.

History. Acts 1975, No. 280, § 2003; A.S.A. 1947, § 41-2003; Acts 1993, No. 296, § 1.

Case Notes

Building or Structure.

Any house came within former section defining burglary; an outhouse was not necessarily within the curtilage. Shotwell v. State, 43 Ark. 345 (1884) (decision under prior law).

To constitute burglary, a house or other building had to be entered. Harvick v. State, 49 Ark. 514, 6 S.W. 19 (1887); Shaeffer v. State, 61 Ark. 241, 32 S.W. 679 (1895) (preceding decisions under prior law).

An indictment for burglary of a butcher shop was sustained by proof that the house was used exclusively for the sale of meats. Green v. State, 56 Ark. 386, 19 S.W. 1055 (1892) (decision under prior law).

The entry of a chicken house was a violation of former section defining burglary. Gunter v. State, 79 Ark. 432, 96 S.W. 181 (1906) (decision under prior law).

Containers.

The language of this section neither limits its application to containers likely to contain money nor limits its application to only specific containers listed therein. Powell v. State, 33 Ark. App. 1, 799 S.W.2d 566 (1990).

A realtor's lock box was a “container” within the scope of this section. Powell v. State, 33 Ark. App. 1, 799 S.W.2d 566 (1990).

Double Jeopardy.

Where the charges of breaking or entering and tampering with physical evidence were based upon the same elements, i.e., defendant's breaking into a game and fish officer's vehicle to remove a box, the two felonies were merged into one, and defendant could only be convicted of one offense. Blair v. State, 16 Ark. App. 1, 696 S.W.2d 755 (1985).

Enter or Break.

It was not necessary to prove both breaking and entering, and a breaking by physical force of an obstruction to the entering of a building, no matter how slight, was sufficient, if there was intent to commit a felony. Ingle v. State, 211 Ark. 39, 198 S.W.2d 996 (1947) (decision under prior law).

Crime of burglary was committed though defendant was interrupted after the breaking, but before entry. Mouser v. State, 215 Ark. 131, 219 S.W.2d 611 (1949) (decision under prior law).

Where information charged defendant with unlawfully, willfully and feloniously breaking and entering a certain building, instruction telling jury to convict defendant if they found that he did enter or abet in unlawfully entering was not improper as omitting the word “break.” Pope v. State, 216 Ark. 314, 225 S.W.2d 8 (1949) (decision under prior law).

Evidence insufficient to find defendant guilty of breaking. Terry v. State, 238 Ark. 426, 382 S.W.2d 361 (1964) (decision under prior law).

Both a breaking and entry need not have been shown to convict defendant of burglary since either was sufficient to constitute the crime. Thompson v. State, 252 Ark. 1, 477 S.W.2d 469 (1972) (decision under prior law).

Where defendant broke the glass in the door and stuck his hand through, the intrusion was sufficient even though the defendant could not get the door open. Thompson v. State, 252 Ark. 1, 477 S.W.2d 469 (1972) (decision under prior law).

Either the separate act of breaking or the separate act of entering either in the daytime or nighttime constituted the crime of burglary. Albright v. State, 253 Ark. 671, 488 S.W.2d 11 (1972) (decision under prior law).

This section does not require that defendant enter the machine with any part of his body as opposed to just using a tool. Smith v. State, 47 Ark. App. 83, 884 S.W.2d 632 (1994).

This section treats an entry into any “money vending machine” as the equivalent of an entry into any building, such as a home; entry can mean “to come or go into,” “to penetrate; pierce,” or “to introduce; insert.” Smith v. State, 47 Ark. App. 83, 884 S.W.2d 632 (1994).

Evidence.

Evidence held insufficient to sustain a conviction. Minter v. State, 71 Ark. 178, 71 S.W. 944 (1903); Gunter v. State, 79 Ark. 432, 96 S.W. 181 (1906); Anderson v. State, 84 Ark. 54, 104 S.W. 1096 (1907) (preceding decisions under prior law).

Evidence held sufficient to support conviction. Kelly v. State, 191 Ark. 674, 87 S.W.2d 400 (1935); Mouser v. State, 215 Ark. 131, 219 S.W.2d 611 (1949); Clay v. State, 236 Ark. 398, 366 S.W.2d 299 (1963); Williams v. State, 239 Ark. 686, 393 S.W.2d 618 (1965); Johnson v. State, 252 Ark. 50, 477 S.W.2d 196 (1972); Seals v. State, 256 Ark. 11, 505 S.W.2d 202 (1974); King v. State, 256 Ark. 778, 510 S.W.2d 876 (1974); Randle v. State, 257 Ark. 232, 516 S.W.2d 6 (1974) (preceding decisions under prior law); Selph v. State, 264 Ark. 197, 570 S.W.2d 256 (1978); Jeffers v. State, 268 Ark. 329, 595 S.W.2d 687 (1980); Traylor v. State, 304 Ark. 174, 801 S.W.2d 267 (1990).

Testimony held sufficient to take case to jury as to guilt of defendant. Beasley v. State, 219 Ark. 452, 242 S.W.2d 961 (1951) (decision under prior law).

Evidence sufficient to find appellant guilty of attempted breaking or entering. Powell v. State, 33 Ark. App. 1, 799 S.W.2d 566 (1990).

Substantial evidence supported defendant's conviction for breaking and entering where defendant entered the lobby of the post office with the purpose of committing a theft or felony; in addition, there were bullet holes around the locks and doors that contained money, and the expended shells were found to have come from the rifle that was seen in defendant's truck prior to the incident and was recovered from his possession following the incident. McConnell v. State, — Ark. App. —, — S.W.3d —, 2003 Ark. App. LEXIS 888 (Dec. 10, 2003).

Defendant's conviction was not rendered infirm merely because fingerprint evidence was the only evidence presented against defendant; the fact-finder did not resort to speculation and conjecture in reaching its verdict as defendant's fingerprints were not found on an easily moveable object, but rather, were located at the apparent location of entry to the car, the location of the crime, on the interior of the car's window. Phillips v. State, 88 Ark. App. 17, 194 S.W.3d 222 (2004), aff'd, 361 Ark. 1, 203 S.W.3d 630 (2005).

Defendant's convictions for breaking or entering and theft of property were affirmed where defendant's fingerprints were found inside the passenger door along the top edge of the window of the car that was broken into. Phillips v. State, 88 Ark. App. 17, 194 S.W.3d 222 (2004), aff'd, 361 Ark. 1, 203 S.W.3d 630 (2005).

Evidence was sufficient to convict defendants of breaking or entering and theft of property where (1) a prosecution witness testified that she saw defendants break into an apartment and take a table; (2) a police officer observed that the security door had been pried open and the wooden door was kicked in; and (3) a defense witness testified that they took the table for their own use, that none of them owned it, and that there was an owner, but no one knew where the owner was. Bush v. State, 90 Ark. App. 373, 206 S.W.3d 268 (2005).

When the victim hired defendant to do yard work, he gave him permission to enter the garage where he stored his yard tools; defendant's admission that he stole some equipment from the garage was not sufficient to support his conviction for breaking or entering under this section. The Court of Appeals of Arkansas found that there was not substantial evidence to prove that defendant entered the victim's garage and the adjoining storage room for the purpose of stealing fishing reels and an air compressor/battery charger. White v. State, 2009 Ark. App. 782 (2009).

Defendant's conviction for breaking or entering in violation of subdivisions (a)(4) and (a)(6) of this section, was appropriate because the store's general manager viewed a live feed of her store upon receiving an alert on the sound alarm, and she saw defendant on the feed. A reasonable trier of fact could have concluded that the noise was the result of someone breaking into the coin box; the manager testified that she secured the store upon seeing defendant and that no one entered the store between the time she saw defendant and the time she went to the store the next morning; and a photograph showed defendant to have been the only one in the store at the time the alarm sounded. Haire v. State, 2010 Ark. App. 89 (2010).

Defendant's convictions for breaking or entering in violation of subdivision (a)(1) of this section and theft of property were proper because there was substantial evidence showing that defendant, for the purpose of committing a theft or felony, broke into the victim's vehicle. Substantial evidence also existed to support the finding that defendant knowingly took and exercised unauthorized control over the victim's tow-truck keys with the purpose of depriving the victim of them. Washington v. State, 2010 Ark. App. 339, 374 S.W.3d 822 (2010), review denied, — Ark. —, — S.W.3d —, 2010 Ark. LEXIS 379 (June 24, 2010).

Substantial evidence supported defendant's convictions for commercial burglary, criminal mischief, and breaking and entering because the testimony of defendant's accomplice, who was defendant's son, was sufficiently corroborated, as required by § 16-89-111(e)(1), by an officer's testimony as to the items he found in defendant's truck, matching the description of items stolen from a convenience store. The accomplice admitted that he and defendant entered the store by using a cable to pull open the front doors and that he and defendant used bolt cutters and a pry bar to break into gaming machines, and these items, along with packages of cigarettes stolen from the store, were found by police officers in defendant's truck. Dunlap v. State, 2010 Ark. App. 582 (2010).

Defendant's convictions for breaking or entering, in violation of subdivision (1) of this section, and theft of property, in violation of § 5-36-103(a)(1), were supported by the evidence because defendant's unlawful presence near a storage shed, flight from the victim, and association with persons involved in the crimes suggested that defendant jointly participated in the crimes under § 5-2-402(a)(2). Goforth v. State, 2010 Ark. App. 735 (2010).

Defendant's conviction for breaking or entering, in violation of subdivision (a)(1) of this section, was proper because defendant was caught red-handed in the victim's house with the contents of the house thrown around and a broken window in the back of the house; defendant ran away from the scene at the first opportunity. It did not matter whether the house was occupiable. Smith v. State, 2011 Ark. App. 162 (2011).

Trial court did not err in denying defendant's motion for a directed verdict during a trial for breaking or entering, in violation of subdivision (a)(1) of this section, because there was sufficient evidence to support the conviction; an officer observed a car with a broken window, and found defendant in the vehicle behind the steering wheel with a screwdriver in defendant's hand. Pruitt v. State, 2011 Ark. App. 754 (2011).

There was sufficient evidence to support a conviction for breaking and entering under this section because there was direct evidence that a victim's purse was taken from her vehicle, defendant was in possession of her purse the morning after it was taken, he lived only a few blocks from the victim's residence, he used at least one of defendant's credit cards and attempted to use her automatic teller machine card to no avail, and he spent the money he found in the purse. Given this direct evidence, there was also circumstantial evidence sufficient to support an inference that defendant was the person who entered the vehicle and took the purse. Piper v. State, 2014 Ark. App. 472, 442 S.W.3d 17 (2014).

Breaking and entering conviction under this section was supported by substantial evidence where defendant unlocked the door of a vehicle and rummaged through its contents; his account regarding his purpose of retrieving a phone and the vehicle's ownership were of no consequence because the issue of credibility was up to the jury. Clark v. State, 2015 Ark. App. 142, 457 S.W.3d 305 (2015).

Defendant was properly convicted of breaking or entering into a vending machine because there was evidence that he struck a vending machine with a hammer to the point that there was full access to the money contained therein, defendant admitted that he struck the machine with the intent to steal the money, and it was immaterial that he did not actually take any money from the machine. Hill v. State, 2015 Ark. App. 630, 475 S.W.3d 568 (2015).

Defendant's conviction for breaking and entering was supported by his admission to entering an apparently unlocked car and that he “might've had a hand in” taking the checkbook. Todd v. State, 2016 Ark. App. 280, 494 S.W.3d 444 (2016).

Evidence was sufficient to convict defendant of felony breaking or entering as a reasonable inference could be drawn that defendant entered with the purpose of committing a theft because he admitted he did not have permission to enter the house; the jury clearly did not credit his statements to the police that he entered the house looking for a house to repair or rent or his statement that he thought the house was abandoned; and defendant and co-defendant entered through the back door and left with items that did not belong to them. Jeffries v. State, 2017 Ark. App. 62, 510 S.W.3d 267 (2017).

Circuit court did not err in denying defendant's motions for directed verdict on two breaking or entering counts and five other counts even though all the evidence was circumstantial; given the entirety of the circumstantial evidence, the jury could conclude without resorting to speculation or conjecture that defendant committed the offenses. Defendant had bypassed a locked gate to enter the victim's property and fled when confronted by the police, his explanation as to why he was on the property was improbable, and he had a backpack and ratchet in his hand that looked like the victim's property. Cobb v. State, 2019 Ark. App. 434, 585 S.W.3d 196 (2019).

Indictment or Information.

In an indictment for burglary, the specific felony intended to be committed by the accused had to be set out or specified but the allegation of the ulterior felony intended need not be set out specifically as would be necessary in an indictment for the actual commission of that felony, and it was sufficient to state the intended offense generally. Davis v. State, 117 Ark. 296, 174 S.W. 567 (1915) (decision under prior law).

Upon an information for burglary and grand larceny, one could not be convicted for receiving stolen property. Pickens v. State, 236 Ark. 404, 366 S.W.2d 283 (1963) (decision under prior law).

Since defendant could have been found guilty of burglary upon proof that he committed either the act of breaking or the act of entering, change of wording in information from breaking and entering to breaking or entering was not prejudicial to him for the proof of two separate acts neither added nor subtracted anything from the offense charged or the penalty that could be imposed. Albright v. State, 253 Ark. 671, 488 S.W.2d 11 (1972) (decision under prior law).

Instructions.

Where, from the evidence it was clear that defendant broke into an occupiable structure and the only issue left for jury determination was intent, the trial court did not err by refusing to submit defendant's proffered instructions on breaking and entering. Barksdale v. State, 262 Ark. 271, 555 S.W.2d 948 (1977).

Intent.

If a man burglariously entered a house with intent to have connection with a woman while she was asleep, it was burglary. Harvey v. State, 53 Ark. 425, 14 S.W. 645 (1890) (decision under prior law).

In order to convict for burglary, evidence had to show that defendant entered building with intent to commit a felony. Sanders v. State, 198 Ark. 880, 131 S.W.2d 936 (1939) (decision under prior law).

Offense of burglary was complete even though intention to commit a felony was not consummated. Sanders v. State, 198 Ark. 880, 131 S.W.2d 936 (1939); Mouser v. State, 215 Ark. 131, 219 S.W.2d 611 (1949); Pope v. State, 216 Ark. 314, 225 S.W.2d 8 (1949); King v. State, 256 Ark. 778, 510 S.W.2d 876 (1974) (preceding decisions under prior law).

Evidence held insufficient to show the requisite intent. Hicks v. State, 231 Ark. 52, 328 S.W.2d 265 (1959) (decision under prior law).

Evidence that defendant had previously cut a window screen in an effort to effect entry for some unknown purpose was inadmissible to show intention of defendant for the unlawful entries upon trial. Hicks v. State, 231 Ark. 52, 328 S.W.2d 265 (1959) (decision under prior law).

Where the requisite intent could not be incontrovertibly established by defendant's actions in entries with which he was charged, evidence of a similar offense was admissible to show intent. Hicks v. State, 231 Ark. 52, 328 S.W.2d 265 (1959) (decision under prior law).

While it was not necessary in a prosecution to show that accused had tools with intent to commit a particular burglary, it was nevertheless proper in all cases to show felonious intent and any evidence legally bearing on felonious intent was admissible. Randall v. State, 239 Ark. 312, 389 S.W.2d 229 (1965) (decision under prior law).

Evidence held sufficient to show requisite intent. Scates v. State, 244 Ark. 333, 424 S.W.2d 876 (1968); Swanson v. State, 251 Ark. 147, 471 S.W.2d 351 (1971), cert. denied, Swanson v. Arkansas, 405 U.S. 996, 92 S. Ct. 1272 (1972) (preceding decisions under prior law).

Where there was sufficient evidence of requisite intent, it was reversible error to permit testimony of another burglary to show defendant's criminal intent. Swanson v. State, 251 Ark. 147, 471 S.W.2d 351 (1971), cert. denied, Swanson v. Arkansas, 405 U.S. 996, 92 S. Ct. 1272 (1972) (decision under prior law).

Circumstantial evidence held sufficient for the jury to conclude that defendant intentionally committed a theft or felony. Parris v. State, 270 Ark. 269, 604 S.W.2d 582 (Ct. App. 1980).

Defendant's conduct of approaching a locked gun cabinet in a store six times, walking around and behind the counter three times, looking back and forth several times times during his last venture behind the counter, removing a gun from the cabinet, and walking away was sufficient for the jury to conclude that he had the intent to commit a theft. Smith v. State, 346 Ark. 48, 55 S.W.3d 251 (2001).

Lesser Included Offenses.

The offense of knowingly receiving stolen property was not a lesser offense of burglary. Pickens v. State, 236 Ark. 404, 366 S.W.2d 283 (1963) (decision under prior law).

Breaking and entering is a lesser included offense for burglary. Selph v. State, 264 Ark. 197, 570 S.W.2d 256 (1978).

Where there was no basis for acquitting defendant of burglary, while convicting him of breaking and entering or criminal trespass, the trial court was correct in refusing to instruct on the lesser included offenses of breaking and entering or criminal trespass. Grays v. State, 264 Ark. 564, 572 S.W.2d 847 (1978).

A person may be convicted of the offense of breaking or entering, as a lesser offense of burglary, whether a building is “occupiable” or not. Stultz v. State, 20 Ark. App. 90, 724 S.W.2d 189 (1987).

Ownership.

In prosecution for crime of burglary, it was not necessary to prove the ownership of the store burglarized. Pope v. State, 216 Ark. 314, 225 S.W.2d 8 (1949) (decision under prior law).

Product Dispenser, Etc.

Since under this section an electrical meter is not a “product dispenser” or a “similar container” a defendant cannot be charged with breaking or entering into an electrical meter. State v. Scarmardo, 263 Ark. 396, 565 S.W.2d 414 (1978).

A violation of this section occurs when a container of the sort described in the statute is sufficiently broken or altered so that the contents or inner works of the device become accessible to entry of any kind. Whether coins or money are actually removed is irrelevant. Stout v. State, 304 Ark. 610, 804 S.W.2d 686 (1991).

Mere scratch marks on a machine do not constitute a violation of this section. Stout v. State, 304 Ark. 610, 804 S.W.2d 686 (1991).

Proof.

In a prosecution for burglary in which it was charged that the defendant entered a building with intent to commit grand larceny, it was not necessary that the state show that the defendant stole and carried away money of the owner. Thompson v. State, 177 Ark. 1, 5 S.W.2d 355 (1928) (decision under prior law).

State had the burden of proving by circumstances or direct evidence that defendant made the unlawful entries charged in the information, with the specific intention of committing an assault with intent to rape. Hicks v. State, 231 Ark. 52, 328 S.W.2d 265 (1959) (decision under prior law).

Evidence was sufficient to convict defendant of breaking an entering automobiles when a victim described defendant and his vehicle and the police stopped defendant's vehicle while it was still within sight of the victim, there was no one else in the car, and the stolen property described by the victims was in defendant's car. Davis v. State, 2011 Ark. App. 561 (2011).

Separate Offenses.

Where defendant charged with both grand larceny and burglary, was found guilty only of burglary, conviction of burglary would be affirmed, as it was not necessary for conviction of burglary that he also be found guilty of grand larceny. Jackson v. State, 216 Ark. 341, 225 S.W.2d 522, 15 A.L.R.2d 484 (1949) (decision under prior law).

Convictions for burglary and breaking or entering were proper. Ward v. State, 20 Ark. App. 172, 726 S.W.2d 289 (1987).

Structure.

A fence comes within the meaning of the word “structure,” as used in this section. Townsend v. State, 308 Ark. 266, 824 S.W.2d 821 (1992).

Vehicle.

A railway car was the subject of burglary. Parnell v. State, 86 Ark. 241, 110 S.W. 1036 (1908) (decision under prior law).

Breaking or entering a vehicle for purposes of committing a theft under this section is not a violent felony for purposes of the Armed Career Criminal Act (ACCA), 18 U.S.C.S. § 924(e); thus, the ACCA was improperly applied to defendant's sentence for violation of 18 U.S.C.S. § 922(g), (j), and his sentence was vacated. United States v. Livingston, 442 F.3d 1082 (8th Cir. 2006).

Cited: Jones v. State, 270 Ark. 328, 605 S.W.2d 7 (1980); Tolley v. State, 1 Ark. App. 1, 611 S.W.2d 798 (1981); Garrison v. State, 13 Ark. App. 245, 682 S.W.2d 772 (1985); Moser v. State, 287 Ark. 105, 696 S.W.2d 744 (1985); Evans v. State, 287 Ark. 136, 697 S.W.2d 879 (1985).

5-39-203. Criminal trespass.

  1. A person commits criminal trespass if he or she purposely enters or remains unlawfully in or upon:
    1. A vehicle of another person; or
    2. The premises owned or leased by another person.
  2. Criminal trespass is a:
    1. Class D felony if the person has two (2) or more convictions for a Class A misdemeanor violation of this section or § 5-39-305;
    2. Class A misdemeanor if:
      1. At the time of the criminal trespass, the person is in possession of one (1) or more of the following:
        1. A killing device;
        2. A harvesting device;
        3. A device primarily used for the location and unearthing of buried or submerged artifacts; or
        4. A tool designed to gain entry into a structure by breaking a lock or breaking through a fence, including without limitation a boltcutter;
      2. The person is on premises containing a commercial fishing or fish breeding operation and at that time is in possession of a fishing pole or net designed to capture fish; or
      3. The person has a prior conviction for a violation of this section;
    3. Class B misdemeanor if:
      1. The vehicle or premises involved is an occupiable structure; or
      2. The conduct involves the removal of a posted sign, a fence, or a portion of a fence as defined in § 2-39-102; or
    4. Class C misdemeanor if otherwise committed.
  3. It is a defense to prosecution under this section that:
    1. The person was a guest or invitee;
    2. The person was required to enter upon the premises of the other person for a business reason or for health and safety reasons;
    3. The person was authorized by law to enter upon the premises;
    4. The privately owned premises were made open to the public; or
    5. The person owns or is employed by a person or entity that owns property adjoining the premises and is traveling over the premises with good faith or for a legitimate reason.
  4. This section does not apply to the following persons who are acting in the line of duty or within the scope of their employment:
    1. A law enforcement officer;
    2. A firefighter;
    3. An emergency first responder;
    4. An employee of a state agency, court, or school who is tasked with monitoring, supervising, or making direct contact with a minor or the parents of a minor concerning the well-being of the minor; or
    5. An employee of a federal, state, or local agency, commission, board, political subdivision, school district, or municipality who has entered onto or remains on the premises for a purpose directly relating to the employee's employment with the federal, state, or local agency, commission, board, political subdivision, school district, or municipality.
    1. It is an affirmative defense to prosecution under this section if the person who enters the premises of another person is:
      1. Temporarily on the premises of the other person for the sole purpose of recovering livestock, a dog, or any other domesticated animal; and
      2. Either:
        1. The owner of the livestock, dog, or other domesticated animal; or
        2. An employee or agent of the owner of the livestock, dog, or other domesticated animal.
    2. A person who enters the premises of another person as described in subdivision (e)(1) of this section is subject to civil liability for any property damage that occurs in the course of recovering the livestock, dog, or other domesticated animal.
  5. A person aggrieved by a violation of this section is granted a private cause of action against the person who violated this section and is entitled to recover:
    1. Actual damages caused by the violation;
    2. Reasonable attorney's fees; and
    3. Punitive damages.

History. Acts 1975, No. 280, § 2004; A.S.A. 1947, § 41-2004; Acts 2013, No. 960, § 2; 2017, No. 877, § 3.

Publisher's Notes. Acts 1985, No. 1090, § 6, provided, in part, that Acts 1985, No. 1090, did not repeal or modify this section.

Amendments. The 2013 amendment added (b)(1)(B) and (c).

The 2017 amendment rewrote the section.

Cross References. Criminal trespass on land located in unincorporated area, § 5-39-305.

Research References

Ark. L. Notes.

Brill, Arkansas Law of Damages, Fifth Edition, Chapter 30: Real Property, 2004 Arkansas L. Notes 9.

U. Ark. Little Rock L.J.

Survey, Miscellaneous — Property, 13 U. Ark. Little Rock L.J. 386.

Case Notes

Applicability.

This section does not apply to a case where a renter, who was served with a valid notice to quit based upon failure to pay rent, refused to vacate the premises, in view of the more specific statutes regulating a tenant's unlawful detainer. Williams v. City of Pine Bluff, 284 Ark. 551, 683 S.W.2d 923 (1985).

Evidence.

Evidence of burglary held insufficient; however, the evidence was sufficient to support a finding that defendant was guilty of the lesser included offense of attempted criminal trespass. Tiller v. State, 42 Ark. App. 64, 854 S.W.2d 730 (1993).

Implied Repeal.

Section 4-70-101, governing trespass by persons refusing to leave a public place of business, was not impliedly repealed by this section. Culhane v. State, 282 Ark. 286, 668 S.W.2d 24 (1984).

Instructions.

It was not prejudicial error by the court to refuse to give the proffered instruction on criminal trespass in view of appellant's admission on the stand and in his statement that he intended to go to the courthouse to steal the money before he actually got there. LeFlore v. State, 17 Ark. App. 117, 704 S.W.2d 641 (1986).

Where the court in burglary trial instructed the jury on the lesser included offense of criminal trespass, but refused to give the clearly inapplicable definition of “occupiable structure”, there was no error in refusing an instruction which may have misled or confused the jury. Townsend v. State, 308 Ark. 266, 824 S.W.2d 821 (1992).

Intent.

Criminal trespass is complete upon the making of an unlawful entry; no intent to engage in further unlawful conduct is necessary. Brown v. State, 12 Ark. App. 132, 671 S.W.2d 228 (1984).

Jurisdiction.

Justice of the peace courts had jurisdiction of the offense of unlawful possession of lands, and the contention that the prosecution involved questions relating to the title and right to the possession of the land, was unavailable where such questions had been concluded by former adjudications. Simpson v. State, 193 Ark. 623, 101 S.W.2d 795 (1937) (decision under prior law).

Jury Question.

The question whether the defendant took possession of a house on behalf of his son against whom a judgment in unlawful detainer had been rendered for the purpose of obstructing process against the son, or had taken possession in his own right as tenant of the owner with the owner's acquiescence subsequent to the rendition of such judgment, was held for the jury. State v. Townsend, 161 Ark. 56, 255 S.W. 312 (1923) (decision under prior law).

Lesser Included Offenses.

Where there was no basis for acquitting defendant of burglary, the trial court was correct in refusing to instruct on the lesser included offenses of breaking and entering or criminal trespass. Grays v. State, 264 Ark. 564, 572 S.W.2d 847 (1978).

Criminal trespass meets all of the requirements of being a lesser included offense of burglary. Bongfeldt v. State, 6 Ark. App. 102, 639 S.W.2d 70 (1982).

Refusal to give the instruction requested by the defendant on the lesser included offense of criminal trespass held error. Bongfeldt v. State, 6 Ark. App. 102, 639 S.W.2d 70 (1982).

Probable Cause.

Deputy was entitled to qualified immunity with respect to a Fourth Amendment false arrest claim because the deputy had arguable probable cause to make an arrest for criminal trespass given that the deputy had warned the arrestee not to contact an alleged victim, the alleged victim complained that the arrestee kept taunting him, the deputy observed the arrestee driving a four-wheeler away from the alleged victim's residence, and the arrestee admitted that he had contact with the alleged victim and had been over there. Chevallier v. Hand, 722 F.3d 1101 (8th Cir. 2013).

Revocation.

When defendant was placed on two years' probation on his plea of guilty to possession of cocaine, one of the conditions was that he not violate any state law; the state petitioned to revoke his suspended imposition of sentence, alleging that he violated his conditions by committing burglary and failed to satisfy court costs. Defendant's plea of guilty to criminal trespass in violation of subdivision (a)(2) of this section alone was sufficient to support the finding that he violated his probation. Johnson v. State, 2009 Ark. App. 527, 334 S.W.3d 419 (2009).

Sentence.

Defendant's sentence for criminal trespass was not executed by the lapse of time on the sentence where the defendant was released under a void order prior to the completion of the sentence. Davis v. State, 291 Ark. 191, 723 S.W.2d 366 (1987).

Cited: Wilson v. City of Pine Bluff, 6 Ark. App. 286, 641 S.W.2d 33 (1982); Moore v. Lockhart, 740 F.2d 14 (8th Cir. 1984); Polk v. State, 28 Ark. App. 282, 772 S.W.2d 368 (1989); Bates v. Bates, 303 Ark. 89, 793 S.W.2d 788 (1990); Yocum v. State, 325 Ark. 180, 925 S.W.2d 385 (1996).

5-39-204. Aggravated residential burglary.

  1. A person commits aggravated residential burglary if he or she commits residential burglary as defined in § 5-39-201 of a residential occupiable structure occupied by any person, and he or she:
    1. Is armed with a deadly weapon or represents by word or conduct that he or she is armed with a deadly weapon; or
    2. Inflicts or attempts to inflict death or serious physical injury upon another person.
  2. Aggravated residential burglary is a Class Y felony.

History. Acts 2007, No. 1608, § 1.

Case Notes

Conspiracy.

Defendant committed an overt act in furtherance of a conspiracy to commit kidnapping, aggravated robbery, theft of property, and aggravated residential burglary because he took another person to his residence and showed the person the inside of the premises, discussed how to break in the residence and how to subdue his wife, and identified the property to be taken from the residence. Winkler v. State, 2012 Ark. App. 704, 425 S.W.3d 808 (2012).

Evidence, Admission.

Where cross-examination of the victim at trial revealed that the State's exhibit of text messages between the defendant and victim was incomplete and that the victim had deleted some of the messages, the appellate court did not have to decide whether the circuit court erred in failing to strike the exhibit because any error that existed was harmless given the overwhelming evidence of defendant's guilt that remained. Farmer v. State, 2019 Ark. App. 148, 571 S.W.3d 78 (2019).

Insufficient Evidence.

Conviction for aggravated residential burglary was reversed because there was insufficient evidence that defendant attempted to inflict a serious physical injury under subdivision (a)(2) of this section. Serious physical injury could be inflicted during a sexual assault, but under current Arkansas law, a sexual assault does not necessarily constitute a serious physical injury; even assuming that defendant did intend to sexually assault the victim, defendant's intention, combined with his grabbing her shoulder and causing a minor scratch to her baby's face, did not constitute a substantial step under § 5-3-201 toward inflicting a serious physical injury, as defined by § 5-1-102. Inskeep v. State, 2016 Ark. App. 135, 484 S.W.3d 709 (2016).

Where defendant's conviction for aggravated residential burglary was reversed and defendant did not dispute that residential burglary was proven, his 40-year sentence was modified to the maximum allowed for residential burglary, a Class B felony, which was 20 years' imprisonment. Inskeep v. State, 2016 Ark. App. 135, 484 S.W.3d 709 (2016).

Sufficient Evidence.

Evidence was more than sufficient to prove that defendant did not have permission to be in the residence, because the victim ran from his residence yelling that he needed help and asking someone to call the police. Lewis v. State, 2009 Ark. App. 504, 323 S.W.3d 640 (2009).

Defendant's convictions for two counts of aggravated burglary were proper under § 5-39-201(a) and subsection (a) of this section because defendant's argument that there was no direct proof on the record of defendant holding a gun was without merit since substantial circumstantial evidence supported a finding of guilt, either as a principal or an accomplice. A neighbor verified that one of the intruders had a gun, the victim told the officers that the intruders hid their guns in the closet, where two guns were found, and both intruders were charged in the same instrument, implicating accomplice liability; that provided substantial evidence supporting the finding that the intruders at minimum represented by word or conduct that they were armed as a threat. Hinton v. State, 2010 Ark. App. 341 (2010).

Circumstantial evidence was sufficient to support defendant's aggravated burglary conviction under subdivisions (a)(1) and (a)(2) of this section because the evidence showed that the victim shot an intruder as the victim leaned over a railing in the house sometime after 2:30 a.m., that defendant appeared at a hospital with a gunshot wound a short time later, that the bullet's trajectory as it traveled through defendant's body was consistent with the shot having been fired from above, that a .45-caliber slug removed from defendant's body and a spent shell casing found in the victim's handgun were the same caliber, that a slug removed from the burglary location was fired from a gun recovered from a vehicle of defendant's girlfriend, and that defendant's shoe prints matched those found on the townhouse's front door. Thornton v. State, 2010 Ark. App. 569 (2010).

Defendant's convictions for aggravated residential burglary in violation of subsection (a) of this section and aggravated robbery in violation of § 5-12-103(a) were appropriate because the state provided sufficient evidence to corroborate his accomplices' testimony; even eliminating the accomplice testimony, the remaining evidence presented independently established the crimes and tended to connect defendant with their commission. In part, witnesses testified about defendant being with the accomplices on the day of the crimes and the state also presented a witness's testimony that defendant had sold him the three shotguns that were identified as being the ones stolen from the victim. Tucker v. State, 2011 Ark. 144, 381 S.W.3d 1 (2011).

Evidence that defendant entered the victim's locked trailer in the early morning hours while the victim was asleep and struggled with and stabbed the victim supported defendant's conviction for aggravated residential burglary. Holt v. State, 2011 Ark. 391, 384 S.W.3d 498 (2011).

Appellant's convictions for aggravated robbery, aggravated residential burglary, and misdemeanor fleeing were affirmed where a witness testified that appellant pointed a sawed-off shotgun at his head, which would necessarily constitute proof that appellant was “armed with a deadly weapon”; the testimony of one eyewitness was sufficient to sustain a conviction. Riley v. State, 2011 Ark. App. 511, 385 S.W.3d 355 (2011).

Evidence was sufficient to sustain convictions for aggravated robbery and aggravated residential burglary because the victim testified that when defendant came into her house, he told her to give him her money and that he was going to kill her. Defendant had a paper bag over his right hand and his right hand was pointing directly at her stomach; she believed that there was a gun in the paper bag. Dobbins v. State, 2013 Ark. App. 269 (2013).

Defendant’s conviction for aggravated burglary was supported by the victim’s belief that defendant had a gun and might shoot her and the fact that the victim’s garage fell within the definition of a “residential occupiable structure” under § 5-39-101(4)(A)(i), because it was a building or structure in which the victim lived. Horton v. State, 2014 Ark. App. 250 (2014).

Evidence was sufficient to convict defendant of aggravated residential burglary because defendant was an accomplice in the aggravated residential burglary, and, thus, it was irrelevant whether defendant entered the house or not as her accomplice clearly entered the house; defendant was in the vicinity of the crime, she was holding a knife, and, according to the victim's testimony, she ran toward the victim with the knife after the victim chased the accomplice out of his house; and the trial court was not required to believe defendant's version of events that the accomplice never asked defendant to assist with the crime, and her testimony that she would never use a knife in a violent manner. Wilson v. State, 2016 Ark. App. 218, 489 S.W.3d 716 (2016).

Evidence that defendant entered a home without permission in the middle of the night, armed with a gun that he brandished at the victim, and threatened to kill the victim was sufficient for the jury to find that defendant entered the home with the intent to commit a felony, and thus supported defendant's conviction for aggravated residential burglary. Armour v. State, 2016 Ark. App. 612, 509 S.W.3d 668 (2016).

Cited: Stephens v. State, — Ark. App. —, — S.W.3d — , 2010 Ark. App. LEXIS 382 (Apr. 28, 2010).

5-39-205 — 5-39-209. [Reserved.]

Any person who takes or keeps possession of any real estate by actual force or violence without the authority of law, or who, being armed with a deadly or dangerous weapon, by violence to any person entitled to the possession, or by putting in fear of immediate danger to his or her person obtains or keeps possession of any real estate or property without legal authority upon conviction is adjudged guilty of a Class A misdemeanor.

History. Rev. Stat., ch. 44, div. 8, art. 1, § 6; C. & M. Dig., § 2779; Pope's Dig., § 3483; A.S.A. 1947, § 41-2051; Acts 2005, No. 1994, § 220.

Case Notes

Forcible Detainer by Landlord.

Although landlord who was entitled to re-enter the property on condition of a broken lease took possession peaceably in the absence of the tenants, he had the right to protect his possession by force, if necessary, against the former tenant, as well as anyone else. Winn v. State, 55 Ark. 360, 18 S.W. 375 (1892).

Cited: Bates v. Bates, 303 Ark. 89, 793 S.W.2d 788 (1990).

5-39-211. Cemeteries — Mining and other unlawful entries.

  1. It is unlawful for any corporation, company, or individual to:
    1. Mine, extract, or remove coal from under, beneath, or within the buffer zone for a cemetery, graveyard, or burying place in this state as specified in rules promulgated by the Arkansas Pollution Control and Ecology Commission under the Arkansas Surface Coal Mining and Reclamation Act of 1979, § 15-58-101 et seq.;
      1. Mine, extract, or remove any other mineral substance from under, beneath, or within twenty-five feet (25') of the boundary of any cemetery, graveyard, or burying place in this state.
      2. This subdivision (a)(2) does not apply to oil, gas, or any other hydrocarbon produced in a liquid or gaseous form; or
    2. Make, place, or drive any slope, pit, or entry of any kind into, under, through, or across any cemetery, graveyard, or other burying place in this state.
  2. Any corporation, company, or individual violating a provision of this section is guilty of a Class D felony.

History. Acts 1907, No. 58, §§ 1-3, p. 138; C. & M. Dig., §§ 2728, 2729; Pope's Dig., §§ 3414, 3415; A.S.A. 1947, §§ 41-1981 — 41-1983; Acts 2005, No. 1994, § 422; 2005, No. 2232, § 1.

5-39-212. Cemeteries — Access — Debris — Disturbance.

    1. It is unlawful for any person, firm, corporation, partnership, or association to construct any fence on any property in such a manner as to enclose any cemetery, graveyard, or burying place unless reasonable access by automobile to the cemetery is provided by gate or otherwise.
    2. As used in this subsection, “cemetery” is not intended to apply to any private family burial plot that:
      1. Contains fewer than six (6) commercial grave markers;
      2. Has not been used for a burial purpose for at least twenty-five (25) years; and
      3. Has not had an access road to the burial plot for at least thirty (30) years.
    3. Nothing in this section prohibits the placement of a fence around any cemetery for the purpose of defining a boundary or protection of a grave site, if any fence or gate is sufficiently maintained.
    1. Any person, firm, corporation, partnership, or association violating any provision of this section is guilty of a violation and upon conviction shall be fined in any sum not less than ten dollars ($10.00) nor more than one hundred dollars ($100).
    2. Every day that the violation exists is a separate offense.

History. Acts 1955, No. 108, §§ 1-3; 1983, No. 742, § 1; A.S.A. 1947, §§ 41-1984 — 41-1986; Acts 1995, No. 1317, § 1; 1997, No. 1244, § 3; 1997, No. 1286, § 1; 2005, No. 1994, § 48; 2005, No. 2232, § 2.

Cross References. Cemetery access roads, § 14-14-812.

Cemeteries generally, § 20-17-901 et seq.

Cemetery Act for Perpetually Maintained Cemeteries, § 20-17-1001 et seq.

Cemetery improvement districts, § 20-17-1101 et seq.

5-39-213. Advertising on property without owner's written permission.

  1. It is unlawful for any person, firm, or corporation to place any advertising on any property in this state without first securing the written permission of the owner of the property.
  2. Any person violating a provision of this section is guilty of a violation and upon conviction shall be fined in any sum not less than twenty-five dollars ($25.00) nor more than one hundred dollars ($100).

History. Acts 1941, No. 359, §§ 1, 3; A.S.A. 1947, §§ 41-2052, 41-2053; Acts 2005, No. 1994, § 48.

Publisher's Notes. Acts 1941, No. 359, § 3, is also codified as § 5-67-101(b).

Cross References. Placing advertising signs on highway right-of-ways, § 5-67-101.

5-39-214. Unauthorized entry of a school bus — Posting of warning on a school bus.

  1. As used in this section:
    1. “Driver” means the operator of a school bus; and
    2. “School bus” means any publicly or privately owned motor vehicle designed for transporting ten (10) or more passengers and operated for the transportation of children to or from school or a school activity.
  2. A person over eighteen (18) years of age is guilty of a Class B misdemeanor if the person:
    1. Enters a school bus with the intent to commit a criminal offense;
    2. Enters a school bus and disregards an order or instruction of the driver;
      1. Enters a school bus and refuses to leave the school bus after being ordered to leave by the driver.
      2. Subdivision (b)(3)(A) of this section does not apply if the person being asked to leave is:
        1. A law enforcement officer acting within the scope of his or her authority as a peace officer; or
        2. Authorized by the school district to board the school bus as:
          1. A student; or
          2. An individual employed by the school district or volunteering as a participant in a school activity;
    3. Intentionally causes or attempts to cause a disruption or an annoyance to another person on the bus; or
    4. Recklessly engages in conduct that creates a substantial risk of creating apprehension in any person on the bus.
    1. Any school district or private school shall cause a sign to be placed on any school bus next to any entrance on the school bus warning that unauthorized entry of a school bus is a violation of state law.
    2. The absence of a clearly legible sign on any school bus or next to any entrance on the school bus warning that unauthorized entry of a school bus is a violation of state law is not a defense to a violation of this section.

History. Acts 2005, No. 247, § 1.

RESEARCH REFERENCES

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2005 Arkansas General Assembly, Education Law, 28 U. Ark. Little Rock L. Rev. 347.

Subchapter 3 — Offenses Involving Posted and Enclosed Land

Cross References. Criminal mischief, §§ 5-38-203, 5-38-204.

Criminal trespass, § 5-39-203.

Permissive recreational use of land, § 18-11-301.

Posting of lands, § 18-11-401 et seq.

Effective Dates. Acts 1875, No. 33, § 2: effective on passage.

Acts 1975, No. 197, § 6: Feb. 18, 1975. Emergency clause provided: “It is hereby found and determined by the General Assembly that the present penalties for the criminal act of trespass are insufficient to be a deterrent to the commission of the crime; that great damage to both real and personal property results from trespassers; and that immediate passage of this act is necessary to eliminate the criminal act of trespass and promote the more efficient administration of justice. Therefore, an emergency is hereby declared to exist and this act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

5-39-301. Leaving open enclosure of another.

A person is guilty of a Class A misdemeanor if he or she pulls down or breaks a fence or opens a gate and fails to close the gate of a farm, plantation, or other enclosed ground of another person.

History. Acts 1875, No. 33, § 1, p. 90; C. & M. Dig., §§ 2532, 4816; Pope's Dig., §§ 3181, 5917; Acts 1941, No. 314, §§ 1, 2; 1975, No. 197, § 1; 1985, No. 1070, § 1; A.S.A. 1947, § 41-2054; Acts 1999, No. 1029, § 1.

Research References

U. Ark. Little Rock L.J.

Legislative Survey, Criminal Law, 8 U. Ark. Little Rock L.J. 559.

Case Notes

Consent.

Where the defendant reserved the right to cut and remove the merchantable timber, he had the right to go on the land for one purpose only; and when he broke down a gate and tore down the fence around the land, he was guilty of trespass. Miller v. State, 109 Ark. 362, 159 S.W. 1125 (1913).

Defenses.

A violation of this section cannot be excused by showing that it was committed through mistake as to the boundary line, when such mistake was due to negligence on part of the offender. Clark v. State, 50 Ark. 570, 9 S.W. 431 (1888).

Enclosed Ground.

It is not a misdemeanor for one to break a partition fence between one's lot and the lot of another, the common property of both. Drees v. State, 37 Ark. 122 (1881).

Whether or not a natural barrier may be of such a character as to serve as part of an enclosure is a question of fact for each particular case and it has been held that the boundary of certain land by a navigable lake was not such a natural barrier as was contemplated by this section. Barboro v. Boyle, 119 Ark. 377, 178 S.W. 378 (1915).

Indictment or Information.

An indictment for trespass which alleges that the defendant did unlawfully and willfully pull down the fence of another without alleging injury or damage to the latter is sufficient. State v. Culbreath, 71 Ark. 80, 71 S.W. 254 (1902).

Owner.

One who has control and possession of the enclosure is the owner within the meaning of this section. Wellington v. State, 52 Ark. 266, 12 S.W. 562 (1889).

The allegation of ownership of land was held good where the defendant was charged with having cut a gate on the land of another who was not the owner of the land but of the fence around land. Miller v. State, 109 Ark. 362, 159 S.W. 1125 (1913).

5-39-302. [Repealed.]

Publisher's Notes. This section, unlawful entry upon enclosed grazing land, was repealed by Acts 2013, No. 1348, § 4. The section was derived from Acts 1969, No. 338, §§ 1, 3; 1975, No. 197, § 4; A.S.A. 1947, §§ 41-2055, 41-2057; Acts 1999, No. 1029, § 2; 2005, No. 1994, § 49.

5-39-303. [Repealed.]

Publisher's Notes. This section, concerning the posting of pastures, farms, reservoirs, etc., was repealed by Acts 1999, No. 1029, § 3. The section was derived from Acts 1971, No. 713, §§ 1, 2; 1975, No. 197, § 5; A.S.A. 1947, §§ 41-2058, 41-2059.

5-39-304. Notice to cease entering — Further entrance.

  1. The owner, agent, lessee, or assignee of any land, including farm, timber, or otherwise, may notify any person by certified mail, deliver to addressee only or by notice served by any official authorized to serve process to cease any trespass or to stay off the premises of any property belonging to the owner, his or her agent, or assignee.
  2. Notice shall specify the land by description containing section, township, and range.
  3. Any person receiving notice shall immediately cease any trespass or entrance upon the described land of the owner.
  4. Any further entrance or trespass by the person receiving the notice is considered a criminal trespass and the person is guilty of a Class C misdemeanor.

History. Acts 1969, No. 338, § 2; 1975, No. 197, § 3; A.S.A. 1947, § 41-2056; Acts 2003, No. 1178, § 1; 2005, No. 1994, § 437.

5-39-305. Criminal trespass on premises located in unincorporated area.

    1. A person shall not purposely enter without written permission of the owner or lessee upon another person's premises located outside the boundary of any city or town if those premises are either:
      1. Lawfully posted;
      2. Crop land or timber land; or
      3. Enclosed with a fence sufficient under § 2-39-101 et seq.
    2. The posting of premises is not a requirement under this section.
  1. Criminal trespass on premises located in an unincorporated area is a:
    1. Class D felony if the person has two (2) or more convictions for a Class A misdemeanor violation of this section or § 5-39-203;
    2. Class A misdemeanor if:
      1. At the time of the criminal trespass on premises located in an unincorporated area, the person is in possession of one (1) or more of the following:
        1. A killing device;
        2. A harvesting device;
        3. A device primarily used for the location and unearthing of buried or submerged artifacts; or
        4. A tool designed to gain entry into a structure by breaking a lock or breaking through a fence, including without limitation a boltcutter;
      2. The person is on premises containing a commercial fishing or fish breeding operation and at that time is in possession of a fishing pole or net designed to capture fish; or
      3. The person has a prior conviction for a violation of this section;
    3. Class B misdemeanor if:
      1. The premises involved is an occupiable structure; or
      2. The conduct involves the removal of a posted sign, a fence, or a portion of a fence as defined in § 2-39-102; or
    4. Violation with a fine not to exceed one hundred dollars ($100) if otherwise committed.
  2. It is an affirmative defense to a prosecution that:
    1. The person was a guest or invitee;
    2. The person was required to enter upon the premises of the other person for a business reason or for health and safety reasons;
    3. The person was authorized by law to enter upon the premises;
    4. The privately owned premises were made open to the public; or
    5. The person owns or is employed by a person or entity that owns property adjoining the premises and is traveling over the premises with good faith or for a legitimate reason.
  3. This section does not apply to:
    1. Public land;
    2. A law enforcement or wildlife officer acting in the line of duty; or
    3. The following persons who are acting in the line of duty or within the scope of their employment:
      1. A law enforcement officer;
      2. A firefighter;
      3. An emergency first responder;
      4. An employee of a state agency, court, or school who is tasked with monitoring, supervising, or making direct contact with a minor or the parents of a minor concerning the well-being of the minor; or
      5. An employee of a federal, state, or local agency, commission, board, political subdivision, school district, or municipality who has entered onto or remains on the premises for a purpose directly relating to the employee's employment with the federal, state, or local agency, commission, board, political subdivision, school district, or municipality.
    1. It is an affirmative defense to prosecution under this section if the person who enters the premises of another person is:
      1. Temporarily on the premises of the other person for the sole purpose of recovering livestock, a dog, or any other domesticated animal; and
      2. Either:
        1. The owner of the livestock, dog, or other domesticated animal; or
        2. An employee or agent of the owner of the livestock, dog, or other domesticated animal.
    2. A person who enters the premises of another person as described in subdivision (e)(1) of this section is subject to civil liability for any property damage that occurs in the course of recovering the livestock, dog, or other domesticated animal.
  4. This section does not repeal any law concerning posting of land or trespass.

History. Acts 1995, No. 870, §§ 1, 2; 1999, No. 1029, § 4; 2017, No. 877, § 4.

Amendments. The 2017 amendment substituted “premises” for “land” in the section heading; and rewrote the section.

Subchapter 4 — Offenses Involving Cemetery or Grave Markers

5-39-401. [Transferred.]

Publisher's Notes. This section, concerning the destruction or removal of a cemetery or grave marker, was transferred to § 5-38-207.

5-39-402. [Repealed.]

Publisher's Notes. This section, concerning the penalty for violation of provisions of the subchapter, was repealed by Acts 2005, No. 1994, § 530. The section was derived from Acts 1997, No. 1244, § 2.

5-39-210. Forcible possession of land.

Chapter 40 Public Lands

Cross References. Burglary, trespass and other intrusions, § 5-39-101 et seq.

Removal of trees growing below high water mark of navigable rivers or streams, § 5-72-102.

Research References

Am. Jur. 75 Am. Jur. 2d, Trespass, § 25 et seq.

C.J.S. 87 C.J.S., Trespass, § 172 et seq.

5-40-101, 5-40-102. [Repealed.]

Publisher's Notes. These sections, concerning trespassers on school lands and cutting or removing timber or stone from sixteenth-section land, were repealed by Acts 2005, No. 1994, § 518. The sections were derived from:

5-40-101. Acts 1869 (Adj. Sess.), No. 93, § 13, p. 190; C. & M. Dig., § 2551; Pope's Dig., § 3198; A.S.A. 1947, § 10-305.

5-40-102. Acts 1843, §§ 1-3, p. 60; C. & M. Dig., §§ 2548-2550; Pope's Dig., §§ 3195-3197; A.S.A. 1947, §§ 10-302 — 10-304.

5-40-103. Removal of improvements to land after forfeiture to state.

  1. If any land or town or city lot has been forfeited to the State of Arkansas for the nonpayment of taxes and the title of the state to the land or town or city lot has been confirmed, it is unlawful after the date of the confirmation decree for the former owner or any other person to sell, buy, damage, or remove from the land or town or city lot any building, fence, or other improvement on the land or town or city lot.
  2. Upon conviction, any person violating this section is guilty of a Class B misdemeanor and is liable to the State of Arkansas for three (3) times the amount of the value of the building, fence, or other improvement that is sold, bought, damaged, or removed in violation of this section.

History. Acts 1943, No. 224, §§ 1, 2; A.S.A. 1947, §§ 10-308, 10-309; Acts 2005, No. 1994, § 380; 2007, No. 827, § 43.

5-40-104. [Repealed.]

Publisher's Notes. This section, concerning unlawful possession of state property, was repealed by Acts 2005, No. 1994, § 519. The section was derived from Acts 1967, No. 328, § 3; A.S.A. 1947, § 7-114.

Chapter 41 Computers, Computer Systems, and Networks

Research References

U. Ark. Little Rock L.J.

Survey — Criminal Law, 10 U. Ark. Little Rock L.J. 559.

Subchapter 1 — Computer Fraud, Trespass, and Communications

A.C.R.C. Notes. Because of the enactment of Subchapter 2 of this chapter by Acts 2001, No. 1496, the provisions of this chapter existing before that act have been designated as Subchapter 1.

Cross References. Computer crimes against minors, § 5-27-601 et seq.

5-41-101. Purpose.

It is found and determined that:

  1. Computer-related crime poses a major problem for business and government;
  2. Losses for each incident of computer-related crime are potentially astronomical;
  3. The opportunities for computer-related crime in business and government through the introduction of fraudulent records into a computer system, the unauthorized use of computers, the alteration or destruction of computerized information or files, and the stealing of financial instruments, data, and other assets are great;
  4. Computer-related crime has a direct effect on state commerce; and
  5. While various forms of computer-related crime might possibly be the subject of criminal charges based on other provisions of law, it is appropriate and desirable that a statute be enacted which deals directly with computer-related crime.

History. Acts 1987, No. 908, § 1.

5-41-102. Definitions.

As used in subchapter:

  1. “Access” means to instruct, communicate with, store data in, or retrieve data from a computer, computer system, or computer network;
  2. “Computer” means an electronic device that performs a logical, arithmetic, or memory function by manipulating an electronic or magnetic impulse and includes any input, output, processing, storage, computer software, or communication facility that is connected or related to that device in a system or a network;
  3. “Computer network” means the interconnection of communications lines with a computer through a remote terminal or a complex consisting of two (2) or more interconnected computers;
  4. “Computer program” means a set of instructions, statements, or related data that, in actual or modified form, is capable of causing a computer or a computer system to perform a specified function;
  5. “Computer software” means one (1) or more computer programs, existing in any form, or any associated operational procedure, manual, or other documentation;
  6. “Computer system” means a set of related, connected, or unconnected computers, other devices, and software;
  7. “Data” means any representation of information, knowledge, a fact, concept, or an instruction that is being prepared or has been prepared and is intended to be processed or stored, is being processed or stored, or has been processed or stored in a computer, computer network, or computer system;
  8. “Financial instrument” includes, but is not limited to, any check, draft, warrant, money order, note, certificate of deposit, letter of credit, bill of exchange, credit card, debit card, transaction authorization mechanism, marketable security, or any computer system representation thereof;
  9. “Message” means any transfer of a sign, signal, writing, image, sound, data, or intelligence of any nature, or any transfer of a computer program;
  10. “Property” includes, but is not limited to, a financial instrument, data, computer program, document associated with a computer or computer program, or a copy of a financial instrument, data, computer program, or document associated with a computer or computer program, whether tangible or intangible, including both human and computer readable data, and data while in transit; and
  11. “Service” includes, but is not limited to, the use of a computer, a computer system, a computer network, computer software, a computer program, or data.

History. Acts 1987, No. 908, § 2; 1997, No. 1153, § 1.

Research References

Ark. L. Notes.

Snow, The Law of Computer Trespass: Cyber Security or Virtual Entrapment?, 2007 Ark. L. Notes 109.

5-41-103. Computer fraud.

  1. A person commits computer fraud if the person intentionally accesses or causes to be accessed any computer, computer system, computer network, or any part of a computer, computer system, or computer network for the purpose of:
    1. Devising or executing any scheme or artifice to defraud or extort; or
    2. Obtaining money, property, or a service with a false or fraudulent intent, representation, or promise.
  2. Computer fraud is a Class D felony.

History. Acts 1987, No. 908, § 3.

Research References

ALR.

Validity, Construction, and Application of State Computer Crime and Fraud Laws. 87 A.L.R.6th 1.

Case Notes

Jurisdiction.

Arkansas trial court had jurisdiction over defendant, a Georgia resident, during his trial for theft of property and computer fraud where defendant caused the victim, an Arkansas resident, to access her computer by virtue of his email correspondence for the purpose of obtaining money with a false or fraudulent intent, representation, or promise. Powell v. State, 97 Ark. App. 239, 246 S.W.3d 891 (2007).

5-41-104. Computer trespass.

  1. A person commits computer trespass if the person intentionally and without authorization accesses, alters, deletes, damages, destroys, or disrupts any computer, computer system, computer network, computer program, or data.
  2. Computer trespass is a:
    1. Class C misdemeanor if it is a first violation that does not cause any loss or damage;
    2. Class B misdemeanor if it is a:
      1. Second or subsequent violation that does not cause any loss or damage; or
      2. Violation that causes loss or damage of less than five hundred dollars ($500);
    3. Class A misdemeanor if it is a violation that causes loss or damage of five hundred dollars ($500) or more, but less than two thousand five hundred dollars ($2,500); and
    4. Class D felony if it is a violation that causes loss or damage of two thousand five hundred dollars ($2,500) or more.

History. Acts 1987, No. 908, § 4.

Research References

ALR.

Validity, Construction, and Application of State Computer Crime and Fraud Laws. 87 A.L.R.6th 1.

Ark. L. Notes.

Snow, The Law of Computer Trespass: Cyber Security or Virtual Entrapment?, 2007 Ark. L. Notes 109.

Case Notes

Relation to Trade Secrets.

Not all claims asserted against a former employee were preempted by the Arkansas Trade Secrets Act; as to a tortious interference claim, an amended complaint alleged that, in addition to a theft of information, former clients were contacted to solicit their business. Moreover, an allegation that confidential information was deleted fell within the definition of criminal trespass, which was not based on misappropriation of a trade secret. Jenkins v. APS Ins., LLC, 2013 Ark. App. 746, 431 S.W.3d 356 (2013).

5-41-105. Venue of violations.

For the purpose of venue under this subchapter, any violation of this subchapter is considered to have been committed in any county:

  1. In which any act was performed in furtherance of any course of conduct that violated this subchapter;
  2. In which any violator had control or possession of any proceeds of the violation or of any book, record, document, property, financial instrument, computer software, computer program, data, or other material or object that was used in furtherance of the violation;
  3. From which, to which, or through which any access to a computer or computer network was made whether by a wire, electromagnetic wave, microwave, or any other means of communication; or
  4. In which any computer, computer system, or computer network is an object or an instrument of the violation is located at the time of the alleged violation.

History. Acts 1987, No. 908, § 5.

Cross References. Venue, § 16-60-101 et seq.

5-41-106. Civil actions.

    1. Any person whose property or person is injured by reason of a violation of any provision of this subchapter may sue for the injury and recover for any damages sustained and the costs of suit.
    2. Without limiting the generality of the term, “damages” includes loss of profits.
  1. At the request of any party to an action brought pursuant to this section, in its discretion, the court may conduct any legal proceeding in such a way as to protect the secrecy and security of the computer, computer system, computer network, computer program, computer software, and data involved in order to prevent possible reoccurrence of the same or a similar act by another person and to protect any trade secret of any party.
  2. No civil action under this section may be brought except within three (3) years from the date the alleged violation of this subchapter is discovered or should have been discovered by the exercise of reasonable diligence.

History. Acts 1987, No. 908, § 6.

Research References

U. Ark. Little Rock L. Rev.

J. Lyn Entrikin, The Right of Privacy in Arkansas: A Progressive State, 35 U. Ark. Little Rock L. Rev. 439 (2013).

Case Notes

Cited: Jenkins v. APS Ins., LLC, 2013 Ark. App. 746, 431 S.W.3d 356 (2013).

5-41-107. Assistance of Attorney General.

If requested to do so by a prosecuting attorney, the Attorney General may assist the prosecuting attorney in the investigation or prosecution of an offense under this subchapter or any other offense involving the use of a computer.

History. Acts 1987, No. 908, § 7.

5-41-108. Unlawful computerized communications.

  1. A person commits the offense of unlawful computerized communications if, with the purpose to frighten, intimidate, threaten, abuse, or harass another person, the person sends a message:
    1. To the other person on an electronic mail or other computerized communication system and in that message threatens to cause physical injury to any person or damage to the property of any person;
    2. On an electronic mail or other computerized communication system with the reasonable expectation that the other person will receive the message and in that message threatens to cause physical injury to any person or damage to the property of any person;
    3. To another person on an electronic mail or other computerized communication system and in that message uses any obscene, lewd, or profane language; or
    4. On an electronic mail or other computerized communication system with the reasonable expectation that the other person will receive the message and in that message uses any obscene, lewd, or profane language.
  2. Unlawful computerized communications is a Class A misdemeanor.
    1. The judicial officer in a court of competent jurisdiction shall upon pretrial release of the defendant enter an order consistent with Rules 9.3 and 9.4 of the Arkansas Rules of Criminal Procedure and shall give notice to the defendant of penalties contained in Rule 9.5 of the Arkansas Rules of Criminal Procedure.
    2. A protective order under subdivision (c)(1) of this section remains in effect during the pendency of any appeal of a conviction under this section.

History. Acts 1997, No. 1153, § 2.

Cross References. Terroristic threatening, § 5-13-301.

Harassment, § 5-71-208.

Harassing communications, § 5-71-209.

Cyberbullying, § 5-71-217.

Stalking, § 5-71-229.

Research References

ALR.

Validity, Construction, and Application of State Computer Crime and Fraud Laws. 87 A.L.R.6th 1.

5-41-109. Disclosure of personal information.

An Internet service provider shall disclose personally identifiable information concerning a consumer pursuant to a subpoena, warrant, or court order issued under authority of a law of this state, another state, or the United States Government.

History. Acts 2003, No. 1087, § 6.

Research References

ALR.

Validity, Construction, and Application of State Computer Crime and Fraud Laws. 87 A.L.R.6th 1.

Subchapter 2 — Computers and Networks

5-41-201. Definitions.

As used in this subchapter:

  1. “Access” means to intercept, instruct, communicate with, store data in, retrieve from, or otherwise make use of any resource of a computer, network, or data;
    1. “Computer” means an electronic, magnetic, electrochemical, or other high-speed data-processing device performing a logical, arithmetic, or storage function and includes any data storage facility or communications facility directly related to or operating in conjunction with the device.
    2. “Computer” also includes any online service, internet service, local bulletin board, any electronic storage device, including a floppy disk or other magnetic storage device, or any compact disk that has read-only memory and the capacity to store audio, video, or written material;
    1. “Computer contaminant” means any data, information, image, program, signal, or sound that is designed or has the capability to:
      1. Contaminate, corrupt, consume, damage, destroy, disrupt, modify, record, or transmit; or
      2. Cause to be contaminated, corrupted, consumed, damaged, destroyed, disrupted, modified, recorded, or transmitted any other data, information, image, program, signal, or sound contained in a computer, system, or network without the knowledge or consent of the person who owns the other data, information, image, program, signal, or sound or the computer, system, or network.
    2. “Computer contaminant” includes, but is not limited to:
      1. A virus, worm, or trojan horse; or
      2. Any other similar data, information, image, program, signal, or sound that is designed or has the capability to prevent, impede, delay, or disrupt the normal operation or use of any component, device, equipment, system, or network;
  2. “Data” means a representation of any form of information, knowledge, a fact, concept, or an instruction that is being prepared or has been formally prepared and is intended to be processed, is being processed, or has been processed in a system or network;
  3. “Encryption” means the use of any protection or disruptive measure, including without limitation cryptography, enciphering, encoding, or a computer contaminant to:
    1. Prevent, impede, delay, or disrupt access to any data, information, image, program, signal, or sound;
    2. Cause or make any data, information, image, program, signal, or sound unintelligible or unusable; or
    3. Prevent, impede, delay, or disrupt the normal operation or use of any component, device, equipment, system, or network;
  4. “Information service” means a service that is designed or has the capability to generate, process, store, retrieve, convey, emit, transmit, receive, relay, record, or reproduce any data, information, image, program, signal, or sound by means of any component, device, equipment, system, or network, including, but not limited to, by means of:
    1. A computer, computer system, computer network, modem, or scanner;
    2. A telephone, cellular phone, satellite phone, pager, personal communications device, or facsimile machine;
    3. Any type of transmitter or receiver; or
    4. Any other component, device, equipment, system, or network that uses analog, digital, electronic, electromagnetic, magnetic, or optical technology;
  5. “Internet service provider” means any provider that provides a subscriber with access to the Internet or an electronic mail address, or both;
    1. “Network” means a set of related and remotely connected devices and facilities, including more than one (1) system, with the capability to transmit data among any of the devices and facilities.
    2. “Network” includes, but is not limited to, a local, regional, or global computer network;
  6. “Program” means an ordered set of data representing coded instructions or statements that can be executed by a computer and cause the computer to perform one (1) or more tasks;
  7. “Property” means anything of value and includes a financial instrument, information, electronically produced data, program, and any other tangible or intangible item of value;
  8. “Provider” means any person who provides an information service; and
  9. “System” means a set of related equipment, whether or not connected, that is used with or for a computer.

History. Acts 2001, No. 1496, § 2.

Research References

Ark. L. Notes.

Snow, The Law of Computer Trespass: Cyber Security or Virtual Entrapment?, 2007 Ark. L. Notes 109.

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

5-41-202. Unlawful act regarding a computer.

  1. A person commits an unlawful act regarding a computer if the person knowingly and without authorization:
    1. Modifies, damages, destroys, discloses, uses, transfers, conceals, takes, retains possession of, copies, obtains or attempts to obtain access to, permits access to or causes to be accessed, or enters data or a program that exists inside or outside a computer, system, or network;
    2. Modifies, destroys, uses, takes, damages, transfers, conceals, copies, retains possession of, obtains or attempts to obtain access to, permits access to or causes to be accessed, equipment or supplies that are used or intended to be used in a computer, system, or network;
    3. Destroys, damages, takes, alters, transfers, discloses, conceals, copies, uses, retains possession of, obtains or attempts to obtain access to, permits access to or causes to be accessed, a computer, system, or network;
    4. Obtains and discloses, publishes, transfers, or uses a device used to access a computer, system, network, or data; or
    5. Introduces, causes to be introduced, or attempts to introduce a computer contaminant into a computer, system, or network.
  2. An unlawful act regarding a computer is a:
    1. Class A misdemeanor; or
    2. Class C felony if the act:
      1. Was committed to devise or execute a scheme to defraud or illegally obtain property;
      2. Caused damage in excess of five hundred dollars ($500); or
      3. Caused an interruption or impairment of a public service, including without limitation a:
        1. Governmental operation;
        2. System of public communication or transportation; or
        3. Supply of water, gas, or electricity.

History. Acts 2001, No. 1496, § 2; 2007, No. 827, § 44.

Research References

ALR.

Validity, Construction, and Application of State Computer Crime and Fraud Laws. 87 A.L.R.6th 1.

5-41-203. Unlawful interference with access to computers — Unlawful use or access to computers.

    1. A person commits unlawful interference with access to computers if the person knowingly and without authorization interferes with, denies, or causes the denial of access to or use of a computer, system, or network to a person who has the duty and right to use the computer, system, or network.
    2. Unlawful interference with access to computers is a Class A misdemeanor.
    1. A person commits unlawful use or access to computers if the person knowingly and without authorization uses, causes the use of, accesses, attempts to gain access to, or causes access to be gained to a computer, system, network, telecommunications device, telecommunications service, or information service.
    2. Unlawful use or access to computers is a Class A misdemeanor.
  1. If the violation of subsection (a) or (b) of this section was committed to devise or execute a scheme to defraud or illegally obtain property, the person is guilty of a Class C felony.
    1. It is an affirmative defense to a charge made pursuant to this section that at the time of the alleged offense the person reasonably believed that:
      1. The person was authorized to use or access the computer, system, network, telecommunications device, telecommunications service, or information service and the use or access by the person was within the scope of that authorization; or
      2. The owner or other person authorized to give consent would authorize the person to use or access the computer, system, network, telecommunications device, telecommunications service, or information service.
    2. A person who intends to offer an affirmative defense provided in subdivision (d)(1) of this section at a trial or preliminary hearing shall file and serve on the prosecuting attorney a notice of that intent not less than fourteen (14) calendar days before the trial or hearing or at such other time as the court may direct.

History. Acts 2001, No. 1496, § 2.

Research References

ALR.

Validity, Construction, and Application of State Computer Crime and Fraud Laws. 87 A.L.R.6th 1.

5-41-204. Unlawful use of encryption.

  1. A person commits unlawful use of encryption if the person knowingly uses or attempts to use encryption, directly or indirectly, to:
    1. Commit, facilitate, further, or promote any criminal offense;
    2. Aid, assist, or encourage another person to commit any criminal offense;
    3. Conceal the commission of any criminal offense;
    4. Conceal or protect the identity of a person who has committed any criminal offense; or
    5. Delay, hinder, or obstruct the administration of the law.
  2. A person who violates any provision of this section commits a criminal offense that is separate and distinct from any other criminal offense and may be prosecuted and convicted pursuant to this section whether or not the person or any other person is or has been prosecuted or convicted for any other criminal offense arising out of the same facts as the violation of this section.
  3. An unlawful use of encryption is a:
    1. Class D felony if the criminal offense concealed by encryption is a Class Y felony, Class A felony, or Class B felony;
    2. Class A misdemeanor if the criminal offense concealed by encryption is a Class C felony, Class D felony, or an unclassified felony; or
    3. Misdemeanor classed one (1) degree below the misdemeanor constituted by the criminal offense concealed by encryption for any other unlawful use of encryption.

History. Acts 2001, No. 1496, § 2.

Research References

ALR.

Validity, Construction, and Application of State Computer Crime and Fraud Laws. 87 A.L.R.6th 1.

5-41-205. Unlawful act involving electronic mail.

  1. A person commits an unlawful act involving electronic mail if, with the purpose to devise or execute a scheme to defraud or illegally obtain property, the person:
    1. Knowingly and with the purpose to transmit or cause to be transmitted the item of electronic mail to the electronic mail address of one (1) or more recipients without their knowledge of or consent to the transmission falsifies or forges any data, information, image, program, signal, or sound that:
      1. Is contained in the header, subject line, or routing instructions of an item of electronic mail; or
      2. Describes or identifies the sender, source, point of origin, or path of transmission of an item of electronic mail;
    2. Purposely transmits or causes to be transmitted an item of electronic mail to the electronic mail address of one (1) or more recipients without their knowledge of or consent to the transmission, if the person knows or has reason to know that the item of electronic mail contains or has been generated or formatted with:
      1. An Internet domain name that is being used without the consent of the person who holds the internet domain name; or
      2. Any data, information, image, program, signal, or sound that has been used intentionally in the header, subject line, or routing instructions of the item of electronic mail to falsify or misrepresent:
        1. The identity of the sender; or
        2. The source, point of origin, or path of transmission of the item of electronic mail; or
    3. Knowingly sells, gives, or otherwise distributes or possesses with the intent to sell, give, or otherwise distribute any data, information, image, program, signal, or sound that is designed or intended to be used to falsify or forge any data, information, image, program, signal, or sound that:
      1. Is contained in the header, subject line, or routing instructions of an item of electronic mail; or
      2. Describes or identifies the sender, source, point of origin, or path of transmission of an item of electronic mail.
  2. Subdivision (a)(2) of this section does not apply to an Internet service provider who, in the course of providing service, transmits or causes to be transmitted an item of electronic mail on behalf of another person, unless the Internet service provider is the person who first generates the item of electronic mail.
  3. An unlawful act involving electronic mail is a Class D felony.

History. Acts 2001, No. 1496, § 2.

Research References

ALR.

Validity of state statutes and administrative regulations regulating internet communications under commerce clause and First Amendment of federal constitution. 98 A.L.R.5th 167.

Validity, Construction, and Application of State Computer Crime and Fraud Laws. 87 A.L.R.6th 1.

5-41-206. Computer password disclosure.

  1. A person commits computer password disclosure if the person purposely and without authorization discloses a number, code, password, or other means of access to a computer or computer network that is subsequently used to access a computer or computer network.
  2. Computer password disclosure is a:
    1. Class A misdemeanor; or
    2. Class D felony if the violation of subsection (a) of this section was committed to devise or execute a scheme to defraud or illegally obtain property.

History. Acts 2001, No. 1496, § 2; 2005, No. 1994, § 482.

Research References

ALR.

Validity, Construction, and Application of State Computer Crime and Fraud Laws. 87 A.L.R.6th 1.

Chapter 42 Criminal Use of Property

Subchapter 1 — General Provisions

[Reserved]

Subchapter 2 — Arkansas Criminal Use of Property or Laundering Criminal Proceeds Act

A.C.R.C. Notes. Acts 1993, No. 1148, § 7, provided:

“If any provision of Arkansas Criminal Use of Property and/or Laundering Criminal Proceeds Act or the application thereof to any person or circumstance is held invalid, such invalidity shall not affect other provisions or applications of the act which can be given effect without the invalid provision or application, and to this end the provisions of this act are declared to be severable.”

Acts 1993, No. 1148, § 8, provided:

“All laws and parts of laws in conflict with this act are hereby repealed. However, there is no intent by enactment of this act to repeal existing state law governing substantive criminal offenses, including those mentioned herein, or enhancement of penalties relating to those offenses, and this act is designed to provide alternative remedies to those which exist under current state law.”

5-42-201. Title.

This subchapter shall be known as the “Arkansas Criminal Use of Property or Laundering Criminal Proceeds Act”.

History. Acts 1993, No. 1148, § 1; 2005, No. 1962, § 6.

5-42-202. General legislative findings, declarations, and intent.

    1. The General Assembly finds that the State of Arkansas is experiencing an increase in crime committed by criminal gangs, organizations, or enterprises.
    2. These criminal gangs, organizations, or enterprises support themselves by engaging in criminal activity for profit, most commonly through the distribution of controlled substances and by theft of property.
    1. The General Assembly further finds that with increasing frequency, criminals are using sophisticated means of concealing criminal proceeds and in most cases moving criminal proceeds out of Arkansas.
      1. In order to reap the rewards of their criminal conduct, criminals must conceal the source of the criminal proceeds and the identity of the individuals who work to obtain the criminal proceeds.
      2. They convert the criminal proceeds to property or assets that appear to have come from a legitimate source.
        1. Often they must maintain the property or assets in another person's name.
        2. This also helps them to avoid detection, identification, and seizure.
      1. While individual criminals launder their criminal proceeds, this is particularly common among members and associates of criminal gangs, organizations, and enterprises.
      2. There is strong evidence that this increased sophistication is due largely to contact with other criminal gangs, organizations, or enterprises from other states.
  1. The General Assembly further finds that we cannot afford to allow millions of dollars in untaxed criminal proceeds to be taken from the state's economy each year.
  2. The intent of the General Assembly is to enact penalties that will:
    1. Deter and punish the criminal use of property or the laundering of criminal proceeds; and
    2. Facilitate the investigation of the criminal use of property or the laundering of criminal proceeds.

History. Acts 1993, No. 1148, § 2; 2005, No. 1962, § 7.

5-42-203. Definitions.

As used in this subchapter:

  1. “Conducts” means initiating or concluding, or participating in initiating or concluding, a transaction;
  2. “Contraband” means any funds or property or monetary instrument that is criminal proceeds or that was otherwise used with the knowledge and consent of the owner to facilitate a violation of this subchapter, as well as any related record and any other article possessed under circumstances prohibited by law;
  3. “Crime of pecuniary gain” means any violation of Arkansas law that results, or was intended to result, in the defendant receiving income, benefit, property, money, or anything of value;
  4. “Crime of violence” means any violation of Arkansas law in which a person purposely or knowingly causes, or threatens to cause, death or physical injury to another person, specifically including rape;
  5. “Criminal proceeds” means:
    1. Anything of value furnished or intended to be furnished in exchange for criminal conduct or contraband received in violation of state or federal law; and
    2. Property or profits traceable to an exchange described in this subdivision (5);
  6. “Monetary instrument” means any:
    1. Coin or currency of the United States or of any other country; and
    2. Traveler's check, personal check, bank check, money order, investment security in bearer form or otherwise in such form that title to the investment security passes upon delivery, and negotiable instrument in bearer form or otherwise in such form that title to the negotiable instrument passes upon delivery;
  7. “Predicate criminal offense” means any violation of Arkansas law that is a crime of violence or crime of pecuniary gain; and
    1. “Transaction” means any acquisition or disposition of property by any means, including a purchase, sale, trade, investment, payment, loan, pledge, gift, transfer, delivery, deposit, withdrawal, transfer between accounts, exchange of currency, extension of credit, purchase or sale of any stock, bond, certificate of deposit, or other monetary instrument, or any other payment, transfer, or delivery by, through, or to a financial institution, by whatever means effected.
    2. Subdivision (8)(A) of this section is not an exclusive list.

History. Acts 1993, No. 1148, § 3.

5-42-204. Criminal use of property or laundering criminal proceeds.

  1. A person commits the offense of criminal use of property or laundering criminal proceeds if the person knowingly:
    1. Conducts or attempts to conduct a transaction involving criminal proceeds that were derived from any predicate criminal offense, or that were represented to be criminal proceeds from any predicate criminal offense, with the intent to:
      1. Conceal the location, source, ownership, or control of the criminal proceeds;
      2. Avoid a reporting requirement under state or federal law; or
      3. Acquire any interest in the criminal proceeds; or
    2. Uses or makes available for use any property in which he or she has any ownership or lawful possessory interest to facilitate a predicate criminal offense.
  2. Any person who is guilty of criminal use of property or laundering criminal proceeds commits a Class C felony.
    1. Upon conviction, the prosecuting attorney may institute a civil action against any person who violates this section to obtain a judgment against any person who violates this section, jointly and severally, for damages in an amount equal to property, funds, or a monetary instrument involved in the violation as well as the proceeds acquired by any person involved in the enterprise or by reason of conduct in furtherance of the violation, together with costs incurred for resources and personnel used in the investigation and prosecution of both criminal and civil proceedings.
    2. The standard of proof in an action brought under this subsection is preponderance of the evidence.
    3. The procedures for forfeiture and distribution in the asset forfeiture law, § 5-64-505, apply.
    4. A defendant in a civil action brought under this subsection is entitled to trial by jury.
    1. An attorney who represents a criminal defendant or person who he or she reasonably believes may become a criminal defendant may not be prosecuted for receiving payment for a service rendered to a person whom he or she represents in a criminal proceeding or in dealing with a matter that might reasonably become the subject of a criminal proceeding.
    2. Should a court deny a motion to dismiss, a licensed attorney may maintain this as a defense at trial.
    3. No payment described in subdivision (d)(1) of this section may be seized from the attorney if the payment was received for a service rendered pursuant to prosecution under this section, unless a court of competent jurisdiction determines after a hearing that seizure of the property is necessary for prosecution of any criminal matter and is not protected by any applicable privilege.

History. Acts 1993, No. 1148, § 4; 2005, No. 1962, § 8.

Case Notes

Real Property Sale.

Prospective sellers of real property could not defend their refusal to complete the sale on the ground that the prospective buyer pled guilty to federal charges of possession and conspiracy to distribute illegal drugs and, therefore, their suspicion that the money the buyer would use to pay notes secured by a mortgage on the property might be derived by the buyer, in whole or in part, from an illegal source. Jacks v. W. Secured Invs. Co., 73 Ark. App. 437, 43 S.W.3d 229 (2001).

5-42-205. Investigative powers.

  1. The prosecuting attorney may file an ex parte petition supported by affidavit or recorded sworn testimony before any judicial officer of competent jurisdiction seeking any record or report required to be made by law.
  2. The judicial officer may order the custodian to deliver to the prosecuting attorney any record or report that is required to be made by Arkansas law, including a tax record or report, if the court finds reasonable cause to believe that the record or report requested is needed for a legitimate investigative or prosecutorial purpose and that the investigation or prosecution involves a violation of any predicate criminal offense.
  3. The judicial officer may order the custodian to deliver to the prosecuting attorney any record or report that is required to be made by federal law if federal law does not specifically prohibit the record or report's disclosure to a state prosecuting attorney and if the court finds reasonable cause to believe that the record or report requested is needed for a legitimate investigative or prosecutorial purpose and that the investigation or prosecution involves a violation of this section or any predicate criminal offense.
    1. Nothing in this section requires a court order when any record or report may currently be obtained pursuant to the prosecuting attorney's subpoena power.
    2. However, the prosecuting attorney may use the procedure and burden established in this section to obtain any other record or report, notwithstanding whether the law requires the record or report to be made or a court order for disclosure.
  4. Any record or report disclosed under a provision of this section may be introduced as evidence if the record or report is otherwise admissible under the applicable rule of evidence.
  5. An individual whose record is obtained shall be notified by the prosecuting attorney ninety (90) days after the order is issued unless a court finds the investigation is continuing and enters an order deferring the notice requirement under this subsection until ninety (90) days after the investigation is completed or until prosecution has been initiated and a motion for discovery granted.

History. Acts 1993, No. 1148, § 5.

Chapters 43-49 [Reserved.]

[Reserved]

Subtitle 5. Offenses Against the Administration of Government

Chapter 50 General Provisions

[Reserved.]

Chapter 51 Disloyal Conduct

Research References

Am. Jur. 70 Am. Jur. 2d, Sedition, § 79 et seq.

Ark. L. Rev.

The Present Status of the “Clear and Present Danger” Test as Applied to Freedom of Speech, 4 Ark. L. Rev. 52.

Legal Liability for the Exercise of Free Speech, 10 Ark. L. Rev. 155.

C.J.S. 87 C.J.S., Treason, § 1 et seq.

Subchapter 1 — General Provisions

[Reserved.]

Subchapter 2 — Offenses Generally

Cross References. Conviction on testimony of accomplice, § 16-89-111.

Fines, § 5-4-201.

Proof of overt acts, § 16-89-112.

Term of imprisonment, § 5-4-401.

Effective Dates. Acts 1873, No. 15, § 3: effective on passage.

Acts 1919, No. 512, § 3: approved Mar. 28, 1919. Emergency declared.

Acts 1941, No. 292, § 5: effective on passage.

5-51-201. Treason.

  1. Treason against the state shall consist only in:
    1. Levying war against the state; or
    2. Adhering to the state's enemies, giving them aid and comfort.
  2. No person shall be convicted of treason unless on:
    1. The testimony of two (2) witnesses to the same overt act; or
    2. The person's own confession in open court.
  3. Treason is punishable by death or life imprisonment without parole pursuant to §§ 5-4-601 — 5-4-605, 5-4-607, and 5-4-608.
  4. For all purposes other than disposition under §§ 5-4-101 — 5-4-104, 5-4-201 — 5-4-204, 5-4-301 — 5-4-307, 5-4-401 — 5-4-404, 5-4-501 — 5-4-504, 5-4-601 — 5-4-605, 5-4-607, 5-4-608, 16-93-307, 16-93-313, and 16-93-314, treason is a Class A felony.

History. Rev. Stat., ch. 44, div. 2, art. 1, §§ 1, 2; C. & M. Dig., §§ 2321, 2322; Pope's Dig., §§ 2947, 2948; Acts 1975, No. 928, § 13; A.S.A. 1947, §§ 41-3951, 41-3952; Acts 2005, No. 1994, § 296; 2011, No. 570, § 31.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2005 amendment inserted “or her” in (b); and, in (d), deleted “5-4-312,” “5-4-505” and “5-4-609” and inserted “5-4-608.”

The 2011 amendment, in (d), substituted “5-4-301 – 5-4-307” for “5-4-301 – 5-4-309, 5-4-311” and inserted “16-93-307, 16-93-313, and 16-93-314”.

Cross References. Treason, Ark. Const., Art. 2, § 14.

5-51-202. Advocating assassination or overthrow of government.

  1. As used in this section, “government in the United States” means the United States Government or the government of the State of Arkansas.
  2. It is unlawful for any person to:
    1. Knowingly advocate, abet, advise, or teach the duty, necessity, desirability, or propriety of overthrowing or destroying any government in the United States by force or violence or by the assassination of any officer of any government in the United States;
    2. Print, publish, edit, issue, circulate, sell, distribute, or publicly display any written or printed matter advocating, advising, or teaching the duty, necessity, desirability, or propriety of overthrowing or destroying any government in the United States by force or violence with the intent to cause the overthrow or destruction of any government in the United States;
    3. Organize or help to organize any society, group, or assembly of persons that teaches, advocates, or encourages the overthrow or destruction of any government in the United States by force or violence; or
    4. Be or become a member of or affiliate with any society, group, or assembly of persons described in subdivision (b)(3) of this section, knowing the purposes of the society, group, or assembly of persons.
    1. Any person who violates any provision of this section is guilty of a Class C felony.
    2. During the five (5) years next following his or her conviction, no person convicted of violating any provision of this section is eligible for employment by the State of Arkansas or by any department or agency of the State of Arkansas.

History. Acts 1941, No. 292, §§ 1, 3; A.S.A. 1947, §§ 41-3957, 41-3958; Acts 2005, No. 1994, § 417.

Amendments. The 2005 amendment deleted “or willfully” following “To knowingly” in (b)(1); redesignated former (b)(3)(A) and (b)(3)(B) as present (b)(3) and (b)(4); substituted “guilty of a Class C felony” for “deemed guilty of a felony and, upon, conviction, fined not more than ten thousand dollars ($10,000) or imprisoned for not more than ten (10) years, or both such fine and imprisonment” in (c)(1); and inserted “or her” in (c)(2).

Case Notes

Constitutionality.

Former provision of this section disqualifying a person from employment by the state in any capacity because of membership in a Communistic organization was unconstitutional as it violates U.S. Const. Amend. 1. Cooper v. Henslee, 257 Ark. 963, 522 S.W.2d 391 (1975).

5-51-203. Usurping office.

If any person shall exercise or attempt to exercise the duties of any office created by the Arkansas Constitution and laws of this state without first being qualified in the manner prescribed by law for the discharge of the duties, the offender upon conviction is guilty of a Class D felony.

History. Acts 1873, No. 15, § 2, p. 22; C. & M. Dig., § 2848; Pope's Dig., § 3575; A.S.A. 1947, § 41-3956; Acts 2005, No. 1994, § 423.

Amendments. The 2005 amendment substituted “guilty of a Class D felony” for “punished by imprisonment in the penitentiary for a period not less than one (1) year nor more than five (5) years, in the descretion of the court.”

Case Notes

Cited: Beshear v. Clark, 292 Ark. 47, 728 S.W.2d 165 (1987).

5-51-204. Usurping, overturning, or seizing government.

Any person who conspires with one (1) or more other persons to usurp the government of the state by force or otherwise, to overturn the government of this state, or to seize any department of the government of this state, evidenced by any act or by forcible attempt to accomplish any purpose stated in this section, commits a Class B felony.

History. Acts 1873, No. 15, § 1, p. 22; C. & M. Dig., § 2844; Pope's Dig., § 3571; Acts 1975, No. 928, § 14; A.S.A. 1947, § 41-3955.

5-51-205. Advocating personal injury, destruction of property, or overthrow of government — Writing or speaking.

  1. It is unlawful for any person to:
    1. Write, indict, dictate, speak, utter, publish, or declare or be interested in writing, indicting, dictating, speaking, uttering, publishing, or declaring any word, sentence, speech, or article of whatsoever nature or kind, with the intent to encourage, advise, aid, assist, or abet in the infliction of any personal injury upon any person or the taking of human life, or destruction or injury to either public or private property, without due process of law;
    2. Disseminate in any manner knowledge or propaganda that tends to destroy or overthrow the present form of government of either the State of Arkansas or the United States of America by any violence or unlawful means whatsoever; or
    3. Employ any means stated in this section calculated to cause a result stated in this section.
  2. Any person violating a provision of this section is guilty of a Class A misdemeanor.

History. Acts 1919, No. 512, § 1; C. & M. Dig., § 2318; Pope's Dig., § 2944; A.S.A. 1947, § 41-3953; Acts 2005, No. 1994, § 350.

Amendments. The 2005 amendment, in (b), substituted “Class A misdemeanor” for “misdemeanor and, upon conviction, shall be punished by a fine of not less than ten dollars ($10.00) nor more than one thousand dollars ($1,000) and may be imprisoned in the county jail not exceeding six (6) months, or both, at the discretion of the court”; and made a minor stylistic change.

5-51-206. [Repealed.]

Publisher's Notes. This section, concerning advocating personal injury, destruction of property, or overthrow of government — use of symbols, was repealed by Acts 2013, No. 1348 § 5. The section was derived from Acts 1919, No. 512, § 2; C. & M. Dig., § 2319; Pope's Dig., § 2945; A.S.A. 1947, § 41-3954; Acts 2005, No. 1994, § 350.

5-51-207. [Repealed.]

Publisher's Notes. This section, concerning contempt for or desecration of the United States flag, was repealed by Acts 2013, No. 1348, § 6. The section was derived from Acts 1919, No. 64, §§ 1-3; C. & M. Dig., §§ 2315-2317; Pope's Dig., §§ 2941-2943; A.S.A. 1947, §§ 41-2971 — 41-2973; Acts 1989, No. 842, § 1; 1989 (3rd Ex. Sess.), No. 75, § 1.

5-51-208. Contempt for or desecration of the Arkansas flag.

    1. Any person who, for profit, knowingly mutilates, defaces, physically defiles, burns, maintains on the floor or ground, or tramples upon an Arkansas flag shall be fined not more than one thousand dollars ($1,000) or imprisoned for not more than one (1) year, or both.
    2. This subsection does not prohibit any conduct consisting of the disposal of a flag when it has become worn or soiled.
  1. As used in this section, “Arkansas flag” means any flag of Arkansas, or any part of a flag of Arkansas, made of any substance, or any size, in a form that is commonly displayed.

History. Acts 1995, No. 880, § 1.

Cross References. State flag, § 1-4-101.

Research References

ALR.

Validity, and Standing to Challenge Validity, of State Statute Prohibiting Flag Desecration and Misuse. 31 A.L.R.6th 333.

Subchapter 3 — Sabotage Prevention Act

Effective Dates. Acts 1941, No. 312, § 11: Mar. 26, 1941. Emergency clause provided: “It is found to be a fact that subversive activities threaten in many instances the success of America's defense efforts, a threat that may have already been extended to Arkansas; Therefore, this Act being necessary for the public peace, health, and safety of the citizens of Arkansas, an emergency is hereby declared to exist and this Act shall be in full force and effect from and after its passage and approval.”

5-51-301. Title.

This subchapter may be cited as the “Sabotage Prevention Act”.

History. Acts 1941, No. 312, § 1A; A.S.A. 1947, § 41-3959.

5-51-302. Definitions.

As used in this subchapter:

  1. “Highway” includes any private or public street, way, or other place used for travel to or from property;
  2. “Highway commissioners” means any individual, board, or other body having authority under then-existing law to discontinue the use of the highway which it is desired to restrict or close to public use and travel; and
  3. “Public utility” includes any pipeline, gas, electric, heat, water, oil, sewer, telephone, telegraph, radio, railway, railroad, airplane, transportation, communication, or other system, owned or operated by anyone for public use.

History. Acts 1941, No. 312, § 1B; A.S.A. 1947, § 41-3960.

5-51-303. Intentional injury to or interference with government property.

Any person who knowingly and intentionally destroys or injures any article or thing belonging to the United States, the State of Arkansas, or any county, city, or other subdivision of this state with intent to hinder or interfere with the owner in the preparation for prosecution of war or in the owner's use for defense purposes is guilty of a Class D felony.

History. Acts 1941, No. 312, § 2; A.S.A. 1947, § 41-3961; Acts 2005, No. 1994, § 424.

Amendments. The 2005 amendment substituted “guilty of a Class D felony” for “punished by imprisonment of not more than three (3) years or by a fine of not more than one thousand dollars ($1,000), or by both such fine and imprisonment, at the discretion of the court or jury trying the case.”

5-51-304. Intentionally defective workmanship.

Any person who knowingly and intentionally makes or causes to be made any defective article or thing to be used by the United States, the State of Arkansas, or any subdivision of this state with intent to injure or hinder the United States, the State of Arkansas, or any subdivision of this state in the preparation for war, the prosecution of war, or in the United States, the State of Arkansas, or any subdivision of this state's use for defense purposes is guilty of a Class D felony.

History. Acts 1941, No. 312, § 3; A.S.A. 1947, § 41-3962; Acts 2005, No. 1994, § 424.

Amendments. The 2005 amendment substituted “guilty of a Class D felony” for “deemed guilty of a criminal offense and punished by imprisonment of not more than three (3) years or by a fine of not more than one thousand dollars ($1,000), or by both fine and imprisonment, in the discretion of the court or jury trying the case.”

5-51-305. [Repealed.]

Publisher's Notes. This section, concerning unlawful entry on property, was repealed by Acts 2013, No. 1348, § 7. The section was derived from Acts 1941, No. 312, § 7; A.S.A. 1947, § 41-3964; Acts 2005, No. 1994, § 409.

5-51-306. [Repealed.]

Publisher's Notes. This section, concerning questioning and detaining suspected persons, was repealed by Acts 2013, No. 1348, § 8. The section was derived from Acts 1941, No. 312, § 8; A.S.A. 1947, § 41-3965; Acts 2005, No. 1994, § 316.

5-51-307. Closing and restricting use of highway.

  1. If it becomes necessary for a public highway to be closed to travel for the protection of the public, it is lawful for the prosecuting attorney of the county where the public highway is sought to be closed to apply to the circuit judge for an order closing the public highway, stating in writing the reasons and necessity for the order.
  2. The circuit judge shall cause reasonable notice to be given to all interested parties that the application is made, fixing a time and place for hearing.
  3. All parties interested as landowners or users of the public highway or to be affected by the closing are entitled to be made parties to the cause and heard on the application.
  4. If the circuit judge finds from the evidence that it is reasonable, just, and proper that travel on the public highway should be restricted or prevented, an appropriate order shall be made by the circuit judge to do so, having due regard to the rights of the public and all parties in interest.
  5. Any aggrieved person may appeal from the order as in any other case.

History. Acts 1941, No. 312, § 9; A.S.A. 1947, § 41-3966; Acts 2005, No. 1994, § 259.

Amendments. The 2005 amendment deleted “chancery court or” preceding “circuit judge” in (a); and substituted “any other case” for “other cases in equity” in (e).

5-51-308. [Repealed.]

Publisher's Notes. This section, concerning witnesses' privileges, was repealed by Acts 2013, No. 1348, § 9. The section was derived from Acts 1941, No. 312, § 6; A.S.A. 1947, § 41-3963.

5-51-309. [Repealed.]

Publisher's Notes. This section, concerning rights of labor not impaired, was repealed by Acts 2013, No. 1348, § 10. The section was derived from Acts 1941, No. 312, § 10; A.S.A. 1947, § 41-3967.

Subchapter 4 — Communists

Effective Dates. Acts 2003, No. 798, § 2: Mar. 27, 2003. Emergency clause provided: “It is found and determined by the General Assembly that Arkansas Code §§ 5-51-401 through 5-51-404 have never been enforced; that these sections of the Arkansas Code are of dubious validity under the First Amendment to the United States Constitution; that litigation is currently pending challenging the constitutionality of these unenforced sections of the Arkansas Code; and this act is immediately necessary because the state wishes to avoid any liability for attorneys' fees or costs as a result of the litigation. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

5-51-401 — 5-51-404. [Repealed.]

Publisher's Notes. This subchapter, concerning the Communist Party, prohibitions on party operation and membership, and registration requirements, was repealed by Acts 2003, No. 798, § 1. The subchapter was derived from the following sources:

5-51-401. Acts 1961, No. 15, § 1; A.S.A. 1947, § 41-3971.

5-51-402. Acts 1961, No. 15, § 2; A.S.A. 1947, § 41-3972.

5-51-403. Acts 1961, No. 15, §§ 3, 4; A.S.A. 1947, §§ 41-3973, 41-3974.

5-51-404. Acts 1951, No. 401, §§ 1-3; 1975, No. 928, § 16; A.S.A. 1947, §§ 41-3968 — 41-3970.

Chapter 52 Corruption in Public Office

Cross References. Fines, § 5-4-201.

Term of imprisonment, § 5-4-401.

Effective Dates. Init. Meas. 1990, No. 1, § 9: Dec. 7, 1990, except that §§ 1, 2, 3(e) and (j), (4), and § 7-6-215 of § 6 shall become effective on Nov. 7, 1990.

Research References

Am. Jur. 12 Am. Jur. 2d, Bribery, § 11 et seq.

63C Am. Jur. 2d, Pub. Off., § 369 et seq.

Ark. L. Rev.

Official Misconduct Under the Arkansas Criminal Code, 30 Ark. L. Rev. 160.

C.J.S. 11 C.J.S., Bribery, § 3.

67 C.J.S., Officers, § 447 et seq.

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

5-52-101. Abuse of public trust.

  1. A person commits the offense of abuse of public trust if the person:
    1. Solicits, accepts, or agrees to accept on behalf of any person, political party, or other organization any benefit from another person upon an agreement or understanding that the other person will or may be appointed a public servant or designated or nominated as a candidate for public office;
    2. Offers, confers, or agrees to confer any benefit and the receipt of the benefit is prohibited by this section;
    3. Solicits, accepts, or agrees to accept any benefit as compensation or consideration for having given as a public servant, or as a person elected, appointed, or otherwise designated to become a public servant although not yet occupying that position, a decision, opinion, recommendation, or vote favorable to another person or for having otherwise exercised his or her discretion in favor of another person; or
    4. Offers, confers, or agrees to confer any benefit upon a public servant, or a person elected, appointed, or otherwise designated to become a public servant although not yet occupying that position, and the receipt of the benefit is prohibited by this section.
  2. It is not a defense to a prosecution under this section that the decision, opinion, recommendation, vote, or use of discretion, except for the benefit, was otherwise proper.
  3. Abuse of public trust is a:
    1. Class B felony if the value of the benefit is twenty-five thousand dollars ($25,000) or more;
    2. Class C felony if the value of the benefit is five thousand dollars ($5,000) or more but less than twenty-five thousand dollars ($25,000);
    3. Class D felony if the value of the benefit is five hundred dollars ($500) or more but less than five thousand dollars ($5,000); or
    4. Class A misdemeanor if the value of the benefit is less than five hundred dollars ($500) or the value of the benefit cannot be determined.

History. Acts 1975, No. 280, § 2701; A.S.A. 1947, § 41-2701; Acts 2005, No. 1994, § 328; 2015, No. 1270, § 1; 2017, No. 431, § 1.

Amendments. The 2005 amendment substituted “abuse of public trust” for “trading in public office” in (a); inserted “or she” in (a)(1) and (a)(2); inserted present (a)(3), (a)(4), and (b); redesignated former (b) as present (c); and, in present (c), substituted “Abuse of public trust is a Class D felony” for “Trading in public office is a Class A misdemeanor.”

The 2015 amendment inserted “person” twice in (a)(3); and rewrote (c), which formerly provided that abuse of public trust is a Class D felony.

The 2017 amendment, in (a)(3), substituted “having given as a public servant” for “having as a public servant given” and inserted “or as a person elected, appointed, or otherwise designated to become a public servant although not yet occupying that position”; inserted “or a person elected, appointed, or otherwise designated to become a public servant although not yet occupying that position” in (a)(4); inserted “five hundred dollars ($500) or more but” in (c)(3); and added (c)(4).

Case Notes

Cited: McCuen v. State, 328 Ark. 46, 941 S.W.2d 397 (1997).

5-52-102, 5-52-103. [Repealed.]

Publisher's Notes. These sections, concerning unlawful compensation for past official action and public servant bribery, were repealed by Acts 2005, No. 1994, § 531. The sections were derived from the following sources:

5-52-102. Acts 1975, No. 280, § 2702; A.S.A. 1947, § 41-2702.

5-52-103. Acts 1975, No. 280, § 2703; A.S.A. 1947, § 41-2703.

5-52-104. Soliciting unlawful compensation.

  1. A person commits the offense of soliciting unlawful compensation if he or she requests a benefit for the performance of an official action as a public servant knowing that he or she is required to perform that action:
    1. Without compensation, other than authorized salary or allowances; or
    2. At a level of compensation lower than that requested.
  2. Soliciting unlawful compensation is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2704; A.S.A. 1947, § 41-2704.

Research References

ALR.

Effect of McDonnell v. U.S. Definition of “Official Act” upon Bribery Prosecution Involving Public Official Under 18 U.S.C.A. § 201, 32 A.L.R. Fed. 3d Art. 6 (2018).

Case Notes

Cited: Gaines v. McCuen, 296 Ark. 513, 758 S.W.2d 403 (1988).

5-52-105. Attempt to influence a public servant.

  1. A person commits the offense of attempting to influence a public servant if he or she threatens violence or economic reprisal against any person or uses deceit with the purpose to alter or affect a public servant's decision, vote, opinion, or action concerning any matter which is afterwards to be considered or performed by the public servant or the agency or body of which the public servant is a member.
  2. Attempt to influence a public servant is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2705; A.S.A. 1947, § 41-2705.

Case Notes

Cited: Gaines v. McCuen, 296 Ark. 513, 758 S.W.2d 403 (1988).

5-52-106. Misuse of confidential information.

  1. A public servant commits the offense of misuse of confidential information if, in contemplation of official action by himself or herself or a governmental unit with which he or she is associated or in reliance on information to which he or she has access in his or her official capacity and which has not been made public, the public servant:
    1. Acquires or aids another to acquire a pecuniary interest in any property, transaction, or enterprise that may be affected by the information; or
    2. Speculates or aids another to speculate on the basis of the information.
  2. Misuse of confidential information is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2706; A.S.A. 1947, § 41-2706.

5-52-107. Abuse of office.

  1. A person commits the offense of abuse of office if, being a public servant, or being a person elected, appointed, or otherwise designated to become a public servant although not yet occupying that position, and with the purpose of benefiting in a pecuniary fashion or obtaining a sexual favor for himself or herself or another person or of harming another person, the person knowingly:
    1. Commits an unauthorized act which purports to be an act of his or her office; or
    2. Omits to perform a duty imposed on him or her by law or clearly inherent in the nature of his or her office.
  2. Abuse of office is a:
    1. Class B felony if the value of the benefit is twenty-five thousand dollars ($25,000) or more;
    2. Class C felony if the value of the benefit is five thousand dollars ($5,000) or more but less than twenty-five thousand dollars ($25,000);
    3. Class D felony if the value of the benefit is five hundred dollars ($500) or more but less than five thousand dollars ($5,000); or
    4. Class A misdemeanor if the value of the benefit is less than five hundred dollars ($500) or the value of the benefit cannot be determined.

History. Acts 1975, No. 280, § 2707; A.S.A. 1947, § 41-2707; Acts 2017, No. 431, § 2.

Amendments. The 2017 amendment, in (a), inserted “or being a person elected, appointed, or otherwise designated to become a public servant although not yet occupying that position” and “or obtaining a sexual favor for”; deleted “Class B misdemeanor” in the present introductory language of (b); and added (b)(1) through (b)(4).

5-52-108. Compensation for speeches and appearances.

  1. Except for the compensation a member of the General Assembly is entitled to from the State of Arkansas for the performance of his or her duties, no member shall solicit or accept compensation for speeches or other appearances before a group of persons unless the appearance is made as part of the normal course of business in the legislative member's private occupation.
  2. For the purpose of this section, “compensation” means any money or anything of value received or to be received as a claim for services, whether in the form of a retainer, fee, salary, expense, allowance, honorarium, forbearance, forgiveness, interest, dividend, royalty, rent, or any other form of recompense or any combination thereof. “Compensation” does not include payments received for food, lodging, or travel which bears a relationship to a legislative member's office when such member is appearing in an official capacity.
  3. Any person who knowingly or willfully violates this section shall upon conviction be guilty of a Class A misdemeanor.

History. Init. Meas. 1990, No. 1, § 8; 2005, No. 1994, § 221.

Amendments. The 2005 amendment, in (c), substituted “guilty of a Class A misdemeanor” for “fined an amount not to exceed one thousand dollars ($1,000) or be imprisoned for not more than one (1) year, or both.”

Chapter 53 Offenses Relating to Judicial and Other Official Proceedings

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Cross References. False statement in report of fees, § 21-7-201.

Fines, § 5-4-201.

Term of imprisonment, § 5-4-401.

Research References

ALR.

Admissibility and effect, on issue of party's credibility or merits of his case, of evidence of attempts to intimidate or influence witness in civil action. 4 A.L.R.4th 829.

Statutes imposing criminal penalties for influencing, intimidating, or tampering with witness. 8 A.L.R.4th 769.

Sentencing judge's consideration of defendant's perjury or lying in pleas or testimony in present trial. 34 A.L.R.4th 888.

Impeachment of verdict by juror's evidence that he was coerced or intimidated by fellow juror. 39 A.L.R.4th 800.

Attorney acting for client: Liability for malicious prosecution. 46 A.L.R.4th 249.

Am. Jur. 12 Am. Jur. 2d, Bribery, § 1 et seq.

52 Am. Jur. 2d, Mal. Pros., § 7.

58 Am. Jur. 2d, Obst. Jus., § 1 et seq.

60A Am. Jur. 2d, Perjury, § 1 et seq.

C.J.S. 11 C.J.S., Bribery, § 1 et seq.

54 C.J.S., Mal. Pros., § 1 et seq.

67 C.J.S., Obst. Jus., § 1 et seq.

70 C.J.S., Perjury, § 1 et seq.

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

Subchapter 1 — General Provisions

Publisher's Notes. Because of the enactment of Subchapter 2 of this chapter by Acts 2003, No. 1313, the provisions of this chapter existing before that act have been designated as Subchapter 1.

Effective Dates. Acts 1871, No. 31, § 7: effective 30 days after passage.

Acts 1941, No. 365, § 5: effective on passage.

Acts 1991, No. 267, § 5: Feb. 28, 1991. Emergency clause provided: “It is hereby found and determined by the Seventy-Eighth General Assembly that since the recent court decision in Bates v. Bates, this state has lacked adequate remedies for dealing with domestic violence and abuse; that the problem of domestic violence and abuse in our society is so complex that proper judicial remedies for victims and potential victims transcend the traditional jurisdictions of circuit and municipal court; that immediate intervention through arrest upon probable cause to protect the victim from physical injury is one remedy which should be provided in this state as in other states; that every potential remedy should be made available to members of households who have been subjected to abuse or are likely to be subjected to abuse such as to create the crime of violation of an order of protection. Therefore, an emergency is hereby declared to exist and this act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect upon its passage and approval.”

Acts 1991, No. 1236, § 5: Apr. 10, 1991. Emergency clause provided: “It is hereby found and determined by the General Assembly that Act 267 of 1991 is in need of a technical correction; Act 267 of 1991 went into effect on February 28, 1991, and therefore this act should go into effect immediately in order to clarify the law as soon as possible. Therefore, an emergency is hereby declared to exist, and this act being immediately necessary for preservation of the public peace, health and safety, shall be in full force and effect from and after its passage and approval.”

Acts 2009, No. 331, § 3: Mar. 10, 2009. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that domestic violence is on the rise and poses a danger to the public; that increasing the penalty for repeat offenders aids both law enforcement and the victims of domestic violence and that this act is immediately necessary because current enforcement and prosecution will be greatly aided by the new, more serious penalties for those persons who repeatedly violate orders of protection. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

5-53-101. Definitions.

As used in this subchapter:

    1. “False material statement” means any false statement, regardless of its admissibility under the rules of evidence, which affects or could affect the course or outcome of an official proceeding or the action or decision of a public servant in the performance of any governmental function.
    2. Whether a false statement is material in a given factual situation is a question of law;
    1. “Juror” means a member of any jury, including a grand jury and a petit jury.
    2. “Juror” also includes any person who has been drawn or summoned as a prospective juror;
    1. “Oath” means swearing, affirming, and any other mode authorized by law of attesting to the truth of that which is stated.
    2. A written statement is treated as if made under oath if the written statement:
      1. Was made on or pursuant to a form bearing notice, authorized by law, to the effect that a false statement made pursuant to the form is punishable;
      2. Recites that it was made under oath, and the declarant was aware of the recitation at the time he or she signed the written statement and intended that the written statement should be considered a sworn statement; or
      3. Is made, used, or offered with the purpose that it be accepted as compliance with a statute, rule, or regulation which requires a statement under oath or other like form of attestation to the truth of the matter contained in the statement;
    1. “Official proceeding” means a proceeding heard before any legislative, judicial, administrative, or other government agency or official authorized to hear evidence under oath, including any referee, hearing examiner, parole revocation judge, commissioner, notary, or other person taking testimony or depositions in any such proceeding.
    2. “Official proceeding” includes the signing or marking, under oath, of:
      1. A voter registration application;
      2. An application for absentee ballot; or
      3. A precinct voter registration list;
  1. “Testimony” includes an oral or written statement, document, or any other material that is or could be offered by a witness in an official proceeding;
  2. “Threat” means a menace, however communicated, to:
    1. Use physical force against any person; or
    2. Harm substantially any person with respect to his or her property, health, safety, business, calling, career, financial condition, reputation, or a personal relationship; and
    1. “Witness” means:
      1. Any person for whose attendance to give testimony at an official proceeding any process has issued; or
      2. Any person who is holding or plans to hold himself available to give testimony at an official proceeding.
    2. For the purpose of the Arkansas Criminal Code, a person is a “witness” if testimony is sought or offered by personal attendance at an official proceeding or by deposition or affidavit.

History. Acts 1975, No. 280, § 2601; A.S.A. 1947, § 41-2601; Acts 1995, No. 927, § 1; 1995, No. 938, § 1; 2003, No. 1185, § 5; 2013, No. 320, § 1.

Amendments. The 2003 amendment substituted “grand and petit juries” for “grand, petit, coroner's, justice of the peace, or chancery court juries” in (a)(1).

The 2013 amendment inserted “parole revocation judge” in (4)(A).

Meaning of “Arkansas Criminal Code”. See note at § 5-1-101.

Case Notes

Evidence.

Substantial evidence supported defendant's conviction for intimidating a witness where, after learning that the witness told police that she observed defendant's son commit murder, defendant threatened to kill the witness, burn her house down and harm her children; the trial court, sitting as the finder of fact, could have found that defendant threatened the witness with the purpose of influencing her testimony or inducing her not to testify. Reed v. State, 91 Ark. App. 267, 209 S.W.3d 449 (2005).

In a case in which defendant appealed his conviction for intimidating a witness, he unsuccessfully argued that the evidence was insufficient to support the conviction. The jury, acting as the fact-finder, weighed the evidence and determined that a letter from defendant to the witness contained a threat intended to influence the witness's testimony; the letter constituted substantial evidence to support the jury verdict. Cunningham v. State, 2010 Ark. App. 130 (2010).

Oath.

Where affidavit stated that it was subscribed and sworn to before municipal judge and the judge questioned the witness about the content of the affidavit, asked if the statements therein were true, and had witness sign in his presence, it was unimportant that the judge did not require the witness to raise his right hand and state orally that the statements in the affidavit were “the truth, the whole truth, and nothing but the truth, so help me God” and the affidavit was properly sworn to under oath. Wilson v. State, 10 Ark. App. 176, 662 S.W.2d 204 (1983).

Official Proceeding.

Statement by the witness given under oath to the deputy prosecuting attorney held to be given in an official proceeding. Slavens v. State, 1 Ark. App. 245, 614 S.W.2d 529 (1981).

Defendant's first-degree murder conviction was overturned and the case was remanded for a new trial where a witness's prior inconsistent statement was improperly admitted under Ark. R. Evid. 801(d)(1); the statement, which was taken by a detective, was not taken during an “official proceeding,” as defined by this section, such that a false statement would be subject to the penalty of perjury, as the detective was not an official authorized to take the statement. Stephens v. State, 98 Ark. App. 196, 254 S.W.3d 1 (2007).

Cited: Fleming v. State, 14 Ark. App. 205, 686 S.W.2d 803 (1985).

5-53-102. Perjury generally.

  1. A person commits perjury if in an official proceeding he or she knowingly:
    1. Makes a false material statement under an oath required or authorized by law;
    2. Applies for or submits an absentee ballot for a city, school district, county, state, or federal election knowing that he or she is unlawfully applying for or unlawfully submitting the absentee ballot; or
    3. Makes a false unsworn declaration under the Uniform Unsworn Foreign Declarations Act, § 16-2-201 et seq.
  2. Lack of knowledge of the materiality of the statement is not a defense to a charge of perjury under this section.
  3. Perjury is a Class C felony.

History. Acts 1975, No. 280, § 2602; A.S.A. 1947, § 41-2602; Acts 2015, No. 1166, § 1; 2017, No. 889, § 1.

Amendments. The 2015 amendment added (a)(2) and redesignated former provisions of (a) as (a)(1); in the opening language of (a), substituted “an official” for “any official” and added “knowingly”; deleted “knowing it to be false” following “statement” in (a)(1); and added “under this section” in (b).

The 2017 amendment added (a)(3).

Case Notes

In General.

Perjury was an offense against the sovereign whose law was violated by the making of the false oath. State v. Kirkpatrick, 32 Ark. 117 (1877) (decision under prior law).

Evidence.

Prior inconsistent statement by the witness, given under oath to the deputy prosecuting attorney, was admissible for its substantive content, and the witness was subject to perjury penalties under this section. Slavens v. State, 1 Ark. App. 245, 614 S.W.2d 529 (1981).

Conviction for the crime of perjury must be based upon the testimony of at least one witness plus corroborating evidence; the corroborating evidence must go to material testimony adduced by the State and not the testimony on some immaterial matter. Fleming v. State, 14 Ark. App. 205, 686 S.W.2d 803 (1985).

Indictment or Information.

An indictment for perjury was not required to charge in haec verba that the false testimony was material if it stated facts from which its materiality resulted as a legal conclusion. State v. Nees, 47 Ark. 553, 2 S.W. 184 (1886) (decision under prior law).

For cases discussing the sufficiency of indictments or informations, see Blevins v. State, 85 Ark. 195, 107 S.W. 393 (1908); Smith v. State, 91 Ark. 200, 120 S.W. 985 (1909); Loudermilk v. State, 110 Ark. 549, 162 S.W. 569 (1913); Claborn v. State, 115 Ark. 387, 171 S.W. 862 (1914); Davis v. State, 131 Ark. 542, 199 S.W. 902 (1917); Cockrum v. State, 186 Ark. 14, 52 S.W.2d 642 (1932); Balentine v. State, 259 Ark. 590, 535 S.W.2d 221 (1976) (preceding decisions under prior law).

In indictments for perjury, the falsity of the testimony or statement for which the defendant was indicted could be shown by the indictment to be material either by direct averment or by allegations from which the materiality appeared. Cockrum v. State, 186 Ark. 14, 52 S.W.2d 642 (1932) (decision under prior law).

Instructions.

Failure to charge the jury that a conviction could not be had save on the testimony of two credible witnesses or on that of one witness corroborated by other evidence could not be complained of unless the appellant asked for an instruction on that point. Scott v. State, 77 Ark. 455, 92 S.W. 241 (1906) (decision under prior law).

Material Statements.

Perjury consisted in false and corrupt testimony relating not only to the main fact in issue, but also to material circumstances tending to prove the issue. Nelson v. State, 32 Ark. 192 (1877) (decision under prior law).

The materiality of the testimony alleged to be perjury had to be established by evidence and not left to presumption or inference. Nelson v. State, 32 Ark. 192 (1877); Marvin v. State, 53 Ark. 395, 14 S.W. 87 (1890) (preceding decisions under prior law).

Questions held to be material and false answers thereto would sustain an indictment for perjury. Lewis v. State, 78 Ark. 567, 94 S.W. 613 (1906) (decision under prior law).

False testimony not tending to prove a material issue in the case held not to constitute perjury. Reidhar v. State, 86 Ark. 525, 111 S.W. 1127 (1908) (decision under prior law).

In an investigation before a grand jury, any testimony was material whose necessary effect was to suspend, if not prevent, further investigation of a subject of inquiry. Smith v. State, 91 Ark. 200, 120 S.W. 985 (1909) (decision under prior law).

Where the undisputed evidence in a perjury case showed that the alleged false matters sworn to were material, the failure of the court to instruct the jury that the alleged false evidence had to be shown to be not only false but also material to the issue was not error. Where there was no dispute as to the facts sworn to, the question of materiality was for the court. Brooks v. State, 91 Ark. 505, 121 S.W. 740 (1909); Barre v. State, 99 Ark. 629, 139 S.W. 641 (1911) (preceding decisions under prior law).

In perjury cases it was not necessary that the false testimony would tend directly to prove the particular issue in the trial in which it was given, but if it was circumstantially material or tended to support or give credit to witnesses with respect to the main fact or to discredit a witness, it was sufficient to constitute the basis of the charge. Harris v. State, 119 Ark. 408, 177 S.W. 1144 (1915) (decision under prior law).

The materiality of the statements in an affidavit was not an essential element of perjury. Williams v. State, 259 Ark. 667, 535 S.W.2d 842 (1976) (decision under prior law).

If the false statement is material to the issue being tried, it does not matter whether the defendant is guilty or innocent of the collateral charge being tried or whether the State's evidence may fail in its proof; it is only necessary that the false statement be capable of influencing the outcome of the proceedings. Fleming v. State, 14 Ark. App. 205, 686 S.W.2d 803 (1985).

Testimony held to be material. Fleming v. State, 14 Ark. App. 205, 686 S.W.2d 803 (1985).

Official Proceeding.

Giving false testimony in a trial before a police court was perjury. Gardner v. State, 80 Ark. 264, 97 S.W. 48 (1906) (decision under prior law).

Perjury could not be assigned on an affidavit for appeal from justice of the peace. Jackson v. State, 90 Ark. 577, 119 S.W. 1129 (1909) (decision under prior law).

Statement by a witness given under oath to deputy prosecuting attorney was given at an official proceeding. Slavens v. State, 1 Ark. App. 245, 614 S.W.2d 529 (1981).

Defendant's first-degree murder conviction was overturned and the case was remanded for a new trial where a witness's prior inconsistent statement was improperly admitted under Ark. R. Evid. 801(d)(1); the statement, which was taken by a detective, was not taken during an “official proceeding” such that a false statement would be subject to the penalty of perjury, as the detective was not an official authorized to take the statement. Stephens v. State, 98 Ark. App. 196, 254 S.W.3d 1 (2007).

Substantial evidence supported defendant's conviction for perjury, under subsection (a) of this section, where given the contradictions between state trial testimony and the facts adduced at a federal plea hearing, the jury could have reasonably inferred that defendant knowingly gave false material testimony under oath in an official proceeding. Stewart v. State, 2010 Ark. App. 323, 374 S.W.3d 811 (2010).

Persons Chargeable.

One who induced his wife to make a false affidavit was not guilty of perjury. Thomas v. State, 149 Ark. 68, 231 S.W. 200 (1921) (decision under prior law).

Withdrawn Guilty Pleas.

Rule 410 of the Uniform Rules of Evidence is intended to protect an accused who has been permitted to withdraw a plea of guilty in accordance with Ark. R. Crim. P. 25 from having his guilty plea used against him as an admission against interest when he is tried on those same charges; it does not render the defendants' guilty pleas privileged from a prosecution for perjury where the defendants later filed motions to withdraw their guilty pleas and testified that they had lied at the hearing on their guilty pleas. Brown v. State, 288 Ark. 517, 707 S.W.2d 313 (1986).

Cited: In re Badami, 309 Ark. 511, 831 S.W.2d 905 (1992).

5-53-103. False swearing generally.

  1. A person commits false swearing if other than in an official proceeding he or she makes a false material statement, knowing it to be false, under an oath required or authorized by law or in an unsworn declaration under the Uniform Unsworn Foreign Declarations Act, § 16-2-201 et seq.
  2. Lack of knowledge of the materiality of the statement is not a defense to a charge of false swearing.
  3. False swearing is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2603; A.S.A. 1947, § 41-2603; Acts 2017, No. 889, § 2.

Amendments. The 2017 amendment added “or in an unsworn declaration under the Uniform Unsworn Foreign Declarations Act, § 16-2-201 et seq.” at the end of (a).

Research References

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Law, 1 U. Ark. Little Rock L.J. 153.

Case Notes

Charge.

Factual question not resolved as to whether probable cause existed to charge defendant with false swearing or theft by deception. First Commercial Bank v. Kremer, 292 Ark. 82, 728 S.W.2d 172 (1987).

Cited: Hester v. Langston, 297 Ark. 87, 759 S.W.2d 797 (1988).

5-53-104. Perjury — Retraction.

  1. It is a defense to a prosecution for perjury that the defendant retracted his or her false material statement:
    1. In a manner showing a complete and voluntary retraction of the statement;
    2. During the course of the same official proceeding in which the statement was made; and
    3. Before the subject matter of the official proceeding was submitted to the ultimate trier of fact.
  2. A statement made in a separate hearing at a separate stage of the same case or administrative proceeding is deemed to have been made in the course of the same proceeding.
  3. Any person who in making a retraction causes termination of any official proceeding by reason of prejudice to a legal right of a party to the official proceeding is guilty of a Class A misdemeanor.

History. Acts 1975, No. 280, § 2606; A.S.A. 1947, § 41-2606.

Case Notes

Stages of Same Proceeding.

While subsection (b) of this section provides that separate stages of the same case shall be deemed to have been made in the course of the same proceeding, the hearing on plea withdrawal and the hearing on the accepted guilty pleas were not part of the same proceeding when the previous phase ended with the acceptance of the guilty pleas. Brown v. State, 288 Ark. 517, 707 S.W.2d 313 (1986).

5-53-105. Perjury or false swearing — Oath.

It is no defense to a prosecution under §§ 5-53-102 and 5-53-103 that:

  1. The oath was administered or taken in an irregular manner; or
  2. The person administering the oath lacked authority to administer the oath if the taking of the oath was required by law.

History. Acts 1975, No. 280, § 2607; A.S.A. 1947, § 41-2607.

5-53-106. Perjury or false swearing — Inconsistent statements.

  1. When a person charged with perjury or false swearing has made inconsistent material statements under oath and affecting the same matter or transaction, all the several inconsistent material statements may be charged in different counts of the same indictment or information.
  2. Proof of the inconsistency of statements is of itself evidence that one (1) of the statements is false, and it is not necessary to sustain a conviction to establish which statement is false.
  3. If one (1) inconsistent statement, if false, would constitute perjury and the other inconsistent statement, if false, would constitute only false swearing, the defendant may be convicted only of false swearing.
  4. Nothing in this section prevents a conviction of perjury when proof of perjury is established by evidence other than proof of inconsistent statements.

History. Acts 1975, No. 280, § 2604; A.S.A. 1947, § 41-2604.

Case Notes

Cited: Fleming v. State, 14 Ark. App. 205, 686 S.W.2d 803 (1985); Brown v. State, 288 Ark. 517, 707 S.W.2d 313 (1986).

5-53-107. Perjury or false swearing — Proof.

Except for a prosecution based upon inconsistent statements, in any prosecution for perjury or false swearing falsity of a statement may not be established solely through contradiction by the uncorroborated testimony of a single witness.

History. Acts 1975, No. 280, § 2605; A.S.A. 1947, § 41-2605.

Case Notes

Corroboration.

Conviction for the crime of perjury must be based upon the testimony of at least one witness plus corroborating evidence; the corroborating evidence must go to material testimony adduced by the state and not the testimony on some immaterial matter. Fleming v. State, 14 Ark. App. 205, 686 S.W.2d 803 (1985).

5-53-108. Witness bribery.

  1. A person commits witness bribery if he or she:
    1. Offers, confers, or agrees to confer any benefit upon a witness or a person he or she believes may be called as a witness with the purpose of:
      1. Influencing the testimony of that person;
      2. Inducing that person to avoid legal process summoning that person to testify; or
      3. Inducing that person to absent himself or herself from an official proceeding to which that person has been legally summoned; or
    2. Solicits, accepts, or agrees to accept any benefit and the conferring of the benefit is prohibited by this section.
  2. Witness bribery is a Class B felony.

History. Acts 1975, No. 280, § 2608; A.S.A. 1947, § 41-2608; 2019, No. 1017, § 1.

Amendments. The 2019 amendment substituted “Class B felony” for “Class C felony” in (b).

Research References

U. Ark. Little Rock L.J.

Perroni & McNutt, Criminal Contingency Fee Agreements: How Fair Are They?, 16 U. Ark. Little Rock L.J. 211.

Case Notes

Evidence.

Evidence held sufficient to support conviction. Kerr v. State, 256 Ark. 738, 512 S.W.2d 13 (1974), cert. denied, 419 U.S. 1110, 95 S. Ct. 783, 42 L. Ed. 2d 806 (1975) (decision under prior law).

Student's testimony that, prior to sexual assault charges being filed, defendant teacher approached him and told him to tell the victim, also a student, that the teacher would give the victim money if she would drop the case, was sufficient to support the teacher's conviction for witness bribery under subdivision (a)(1) of this section. Paschal v. State, 2012 Ark. 127, 388 S.W.3d 429 (2012).

Indictment or Information.

Indictment held to be sufficient. Kirkpatrick v. State, 177 Ark. 1124, 9 S.W.2d 574 (1928) (decision under prior law).

Testimony Pursuant to Plea Bargain.

The trial court properly denied a motion in limine in a murder prosecution which sought to exclude the testimony of a coperpetrator who had entered into a plea agreement with the state which was conditioned upon his truthful testimony at the defendant's trial on the basis that such testimony would be the result of witness bribery. Windsor v. State, 338 Ark. 649, 1 S.W.3d 20 (1999).

Cited: Clark v. State, 291 Ark. 405, 725 S.W.2d 550 (1987).

5-53-109. Intimidating a witness.

  1. A person commits the offense of intimidating a witness if he or she threatens a witness or a person he or she believes may be called as a witness with the purpose of:
    1. Influencing the testimony of that person;
    2. Inducing that person to avoid legal process summoning that person to testify; or
    3. Inducing that person to absent himself or herself from an official proceeding to which that person has been legally summoned.
  2. Intimidating a witness is a Class B felony.

History. Acts 1975, No. 280, § 2609; A.S.A. 1947, § 41-2609; Acts 2019, No. 1017, § 2.

Amendments. The 2019 amendment substituted “Class B felony” for “Class C felony” in (b).

Case Notes

Evidence.

Evidence held sufficient to enable court to find defendant guilty of intimidating witness with a threat of physical force or substantial harm if he testified in criminal proceedings. McCraw v. State, 24 Ark. App. 48, 748 S.W.2d 36 (1988).

Substantial evidence supported defendant's conviction for intimidating a witness where, after learning that the witness told police that she observed defendant's son commit murder, defendant threatened to kill the witness, burn her house down and harm her children; the trial court, sitting as the finder of fact, could have found that defendant threatened the witness with the purpose of influencing her testimony or inducing her not to testify. Reed v. State, 91 Ark. App. 267, 209 S.W.3d 449 (2005).

In a case in which defendant appealed his conviction for intimidating a witness, he unsuccessfully argued that the evidence was insufficient to support the conviction because there was no threat communicated since the witness testified that he did not feel threatened by the letter from defendant. This section did not require that the witness feel threatened; it simply required that a threat be communicated with the stated purpose. Cunningham v. State, 2010 Ark. App. 130 (2010).

The jury, acting as the fact-finder, weighed the evidence and determined that a letter from defendant to the witness contained a threat intended to influence the witness's testimony; the letter constituted substantial evidence to support defendant's conviction for intimidating a witness. Cunningham v. State, 2010 Ark. App. 130 (2010).

5-53-110. Tampering.

  1. A person commits the offense of tampering if, believing that an official proceeding or investigation is pending or about to be instituted, he or she induces or attempts to induce another person to:
    1. Testify or inform falsely;
    2. Withhold any unprivileged testimony, information, document, or thing regardless of the admissibility under the rules of evidence of the testimony, information, document, or thing and notwithstanding the relevance or probative value of the testimony, information, document, or thing to an investigation;
    3. Elude legal process summoning that person to testify or supply evidence, regardless of whether the legal process was lawfully issued; or
    4. Absent himself or herself from any proceeding or investigation to which that person has been summoned.
    1. Tampering under subdivision (a)(1) of this section is a Class D felony.
    2. Otherwise, tampering is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2610; A.S.A. 1947, § 41-2610; Acts 2007, No. 827, § 45; 2019, No. 1017, § 3.

Amendments. The 2019 amendment added (b)(1); redesignated former (b) as (b)(2); added “Otherwise” in (b)(2); and made stylistic changes.

Research References

ALR.

Negligent spoliation of evidence, interfering with prospective civil action, as actionable. 101 A.L.R.5th 61.

Effect of spoliation of evidence in products liability action. 102 A.L.R.5th 99.

Electronic spoliation of evidence. 3 A.L.R.6th 13.

Case Notes

Applicability.

Criminal statutes prohibiting tampering with evidence do not impose a duty upon an employer to preserve component parts of a machine which are needed for an employee injured by the machine to maintain an action against the manufacturer of the machine. Wilson v. Beloit Corp., 725 F. Supp. 1056 (W.D. Ark. 1989), aff'd, 921 F.2d 765 (8th Cir. 1990).

False Testimony.

A contract by one person to furnish another any kind of proof that would help him win his case, regardless of whether the testimony was to be true or false, contemplated subornation of perjury. Luce v. Endsley, 145 Ark. 287, 224 S.W. 619 (1920) (decision under prior law).

One who induced his wife to make a false affidavit could be guilty of subornation of perjury by inducing her to commit willful and corrupt perjury, and he could not be found guilty unless the wife knew that the statements in the affidavit were false. Thomas v. State, 149 Ark. 68, 231 S.W. 200 (1921) (decision under prior law).

Cited: Wilson v. Beloit Corp., 921 F.2d 765 (8th Cir. 1990).

5-53-111. Tampering with physical evidence.

  1. A person commits the offense of tampering with physical evidence if he or she alters, destroys, suppresses, removes, or conceals any record, document, or thing with the purpose of impairing its verity, legibility, or availability in any official proceeding or investigation.
    1. Tampering with physical evidence is a Class D felony if the person impairs or obstructs the prosecution or defense of a felony.
    2. Otherwise, tampering with physical evidence is a Class B misdemeanor.

History. Acts 1975, No. 280, § 2611; A.S.A. 1947, § 41-2611.

Research References

ALR.

Negligent spoliation of evidence, interfering with prospective civil action, as actionable. 101 A.L.R.5th 61.

Effect of spoliation of evidence in products liability action. 102 A.L.R.5th 99.

Electronic spoliation of evidence. 3 A.L.R.6th 13.

Ark. L. Rev.

Note, Altered or Absent Evidence: The Tort of Spoliation: Wilson v. Beloit Corp., 43 Ark. L. Rev. 453.

Comment, To the Spoliator Go the Spoils: Arkansas Rejects Spoliation of Evidence as a Tort Cause of Action, 61 Ark. L. Rev. 283.

Case Notes

Constitutionality.

The mere existence of overlapping provisions in this section and § 5-54-105 does not render either statute constitutionally infirm; there appears to be no impermissible uncertainty in the definitions of the respective offenses. Puckett v. State, 328 Ark. 355, 944 S.W.2d 111 (1997).

Applicability.

Criminal statutes prohibiting tampering with evidence do not impose a duty upon an employer to preserve component parts of a machine which are needed for an employee injured by the machine to maintain an action against the manufacturer of the machine. Wilson v. Beloit Corp., 725 F. Supp. 1056 (W.D. Ark. 1989), aff'd, 921 F.2d 765 (8th Cir. 1990).

Trial court properly dismissed adminstratrix's tort claim for a third-party's alleged spoliation of the evidence in a wrongful death suit because a remedy had to be sought though a means other than an individual tort claim; criminal sanctions were still available under this section, even though a new tort was not recognized, and attorneys who were guilty of spoliation were still subject to discipline. Downen v. Redd, 367 Ark. 551, 242 S.W.3d 273 (2006).

Double Jeopardy.

Where the charges of breaking or entering and tampering with physical evidence were based upon the same elements, the two felonies were merged into one, and defendant could only be convicted of one offense; thus, defendant's conviction for tampering with physical evidence was affirmed and his conviction for breaking or entering was reversed and dismissed. Blair v. State, 16 Ark. App. 1, 696 S.W.2d 755 (1985).

Evidence.

Evidence held sufficient to support conviction. Scott v. State, 1 Ark. App. 207, 614 S.W.2d 239 (1981).

Trial court did not err in convicting defendant of misdemeanor tampering with physical evidence because there was sufficient evidence to support the jury's verdict that defendant tampered with the physical evidence when he threw the drugs into the toilet to flush them with the purpose of impairing the availability of the drugs for use in prosecution, and the fact that defendant did not actually impair or obstruct the prosecution was why he was not convicted of a felony; by defendant's own admission, he was given the drugs to flush down the toilet when the police were seen approaching the house, and he took the drugs to the bathroom and threw them into the toilet but did not succeed in flushing them. Singleton v. State, 2011 Ark. App. 145, 381 S.W.3d 874 (2011).

Defendant's conviction for tampering with evidence, in violation of subsection (a) of this section, was supported by the evidence because the state produced substantial evidence that defendant altered the position of a murder victim's body and the murder weapon with the purpose of impairing the investigation into her death. Shatwell v. State, 2013 Ark. App. 568, 430 S.W.3d 142 (2013).

Substantial evidence did not support defendant's conviction for tampering with physical evidence because the evidence failed to exclude every other reasonable hypothesis, and the jury had to speculate that defendant's confession was actually properly recorded and later removed, that the device did not malfunction, and that defendant deleted and added recordings; there was no direct evidence that defendant ever touched the digital recorder. Hartman v. State, 2015 Ark. 30, 454 S.W.3d 721 (2015).

Defendant's directed-verdict motion on the tampering with physical evidence charge was inadequate to preserve his challenge to the sufficiency of the evidence as the motion failed to adequately specify any deficiencies in the State's proof. Even had the motion been specific enough, there was sufficient evidence presented to support the conviction because defendant threw the gun in the river after shooting the victim; while defendant claimed that the discharge was accidental and that the disposal was not to impede any investigation or prosecution, the jury was not required to believe his version of events. Webb v. State, 2019 Ark. App. 436, 587 S.W.3d 252 (2019).

Intent.

Evidence held sufficient to support a finding of intent to tamper with the evidence. Scott v. State, 1 Ark. App. 207, 614 S.W.2d 239 (1981).

Misdemeanor.

Evidence held insufficient to find that the defendant impaired the prosecution of a felony as prohibited by this section, so conviction had to be reduced to misdemeanor tampering with evidence. Scott v. State, 1 Ark. App. 207, 614 S.W.2d 239 (1981).

Cited: Wilson v. Beloit Corp., 921 F.2d 765 (8th Cir. 1990).

5-53-112. Retaliation against a witness, informant, or juror.

  1. A person commits the offense of retaliation against a witness, informant, or juror if he or she harms or threatens to harm another by any unlawful act in retaliation for anything lawfully done in the capacity of witness, informant, or juror.
  2. Retaliation against a witness, informant, or juror is a Class C felony.
  3. “Informant” means a person who provides information to any law enforcement agency in an effort to assist the law enforcement agency in solving a crime or apprehending a person suspected of a criminal offense.

History. Acts 1975, No. 280, § 2612; A.S.A. 1947, § 41-2612; Acts 1997, No. 1238, § 1; 2005, No. 1994, § 465; 2019, No. 1017, § 4.

Amendments. The 2005 amendment inserted “or she” in (a); substituted “informant, a juror, or a witness” for “informant who is recognized as such by the county sheriff, the chief of police of a first or second class city, an officer of the State Police, or any of their respective designees” in (b); and rewrote (c).

The 2019 amendment substituted “Class C felony” for “Class D felony” in (b).

Research References

Ark. L. Notes.

Flaccus, The Employment-at-Will Doctrine — The Report of Its Death Has Been Much Exaggerated, 1989 Ark. L. Notes 15.

U. Ark. Little Rock L.J.

Note, Labor — Employment at Will — Public Policy Exception Recognized, Sterling Drug, Inc. v. Oxford, 294 Ark. 239, 743 S.W.2d 380 (1988), 11 U. Ark. Little Rock L.J. 617.

Case Notes

Applicability.

The public policy exception to the at-will-employment doctrine does not embrace the claim of an employee fired for threatening to undermine an employer's private, contractual relationships. Skrable v. Saint Vincent Infirmary, 57 Ark. App. 164, 943 S.W.2d 236 (1997).

Public Policy.

Public policy of the state is contravened if an employer discharges an employee for reporting a violation of state or federal law. Sterling Drug, Inc. v. Oxford, 294 Ark. 239, 743 S.W.2d 380 (1988).

5-53-113. Juror bribery.

  1. A person commits juror bribery if he or she:
    1. Offers, confers, or agrees to confer any benefit upon a juror with the purpose of influencing the juror's vote, decision, or other action as a juror; or
    2. Solicits, accepts, or agrees to accept any benefit and the receipt of the benefit is prohibited by this section.
  2. Juror bribery is a Class C felony.

History. Acts 1975, No. 280, § 2613; A.S.A. 1947, § 41-2613.

5-53-114. Intimidating a juror, a witness, or an informant.

  1. A person commits the offense of intimidating a juror, a witness, or an informant if he or she threatens a juror, a witness, or an informant with the purpose of influencing the juror's vote or decision or the witness's or informant's statement or testimony.
  2. Intimidating a juror, a witness, or an informant is a Class B felony.
  3. “Informant” means a person who provides information to any law enforcement agency in an effort to assist the law enforcement agency in solving crimes and apprehending persons suspected of criminal offenses.

History. Acts 1975, No. 280, § 2614; A.S.A. 1947, § 41-2614; Acts 2005, No. 1994, § 466; 2019, No. 1017, § 5.

Amendments. The 2005 amendment substituted “juror, a witness, or an informant” for “juror” throughout this section; in (a), inserted “or she,” substituted “the witness's or informant's statement or testimony” for “other action as a juror” and made a related change; and added (c).

The 2019 amendment substituted “Class B felony” for “Class C felony” in (b).

5-53-115. Jury tampering.

  1. A person commits the offense of jury tampering if he or she attempts directly or indirectly to communicate with a juror, other than as a part of the official proceedings in which the juror is participating, with the purpose of influencing the juror's vote, decision, or other action as a juror.
  2. Juror tampering is a Class C felony.

History. Acts 1975, No. 280, § 2615; A.S.A. 1947, § 41-2615; Acts 2019, No. 1017, § 6.

Amendments. The 2019 amendment substituted “Class C felony” for “Class D felony” in (b).

Case Notes

Civil Remedy.

The former jury tampering statute was not intended to also create a civil remedy and such a remedy could not be implied. Jones v. United States, 401 F. Supp. 168 (E.D. Ark. 1975), aff'd, 536 F.2d 269 (8th Cir. Ark. 1976) (decision under prior law).

Double Jeopardy.

Defendant's conviction for jury tampering did not violate the United States Constitution or the Arkansas Constitution because, even if contempt was a lesser-included offense of jury tampering, there was no indication that defendant was punished for contempt when he was held in contempt for the “time being” and taken into custody; a hearing was not held, an order of contempt was not entered, and defendant was not punished. Whitt v. State, 2015 Ark. App. 529, 471 S.W.3d 670 (2015).

Sufficient Evidence.

Evidence was sufficient to support a conviction for jury tampering because the statements that defendant made about his girlfriend related to a domestic disturbance, which resulted in the original charges against defendant. The conversation about defendant's girlfriend was evidence of his intent to influence the juror's vote. Whitt v. State, 2015 Ark. App. 529, 471 S.W.3d 670 (2015).

5-53-116. Simulating legal process.

  1. A person commits the offense of simulating legal process if, with the purpose of obtaining anything of value, he or she knowingly delivers or causes to be delivered to another a request, demand, or notice that simulates any legal process issued by any court of this state.
  2. Simulating legal process is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2616; A.S.A. 1947, § 41-2616.

5-53-117 — 5-53-129. [Reserved.]

Publisher's Notes. This section, concerning indictments for perjury, was repealed by Acts 2005, No. 1994, § 542. The section was derived from Rev. Stat., ch. 44, div. 5, art. 1, § 7; C. & M. Dig., § 2590; Pope's Dig., § 3278; A.S.A. 1947, § 41-2657.

5-53-131. Frivolous, groundless, or malicious prosecutions.

Any officer or any person who knowingly brings or aids and encourages another to bring a frivolous, groundless, or malicious prosecution is guilty of a Class A misdemeanor.

History. Acts 1871, No. 31, § 5, p. 96; C. & M. Dig., § 2765; Pope's Dig., § 3470; A.S.A. 1947, § 41-2651; Acts 2005, No. 1994, § 452.

Amendments. The 2005 amendment inserted “knowingly” and “Class A.”

Case Notes

Applicability.

Statute making it a misdemeanor for an officer to bring or aid others to bring malicious prosecutions is a criminal statute and does not apply to torts committed by city officers. Springfield v. Carter, 175 F.2d 914 (8th Cir. 1949).

5-53-132. Misconduct in selecting or summoning jurors.

Any person whose duty it is to select or summon any jurors in any court or before any officer who is guilty of any unlawful, partial, or improper conduct in selecting or summoning any juror is guilty of a violation and upon conviction shall be fined in any sum not less than one hundred dollars ($100).

History. Rev. Stat., ch. 44, div. 5, art. 2, § 5; C. & M. Dig., § 2565; Pope's Dig., § 3245; A.S.A. 1947, § 41-2652; Acts 2005, No. 1994, § 50.

Amendments. The 2005 amendment substituted “violation” for “misdemeanor.”

5-53-133. [Repealed.]

Publisher's Notes. This section, concerning approaching jury commissioners to influence juror selections, was repealed by Acts 2017, No. 600, § 1. The section was derived from Acts 1941, No. 365, §§ 1-4; 1951, No. 358, §§ 4-6; A.S.A. 1947, §§ 41-2653 — 41-2656; Acts 1995, No. 1296, § 6; 2005, No. 1994, § 425.

5-53-134. Violation of an order of protection.

    1. A person commits the offense of violation of an order of protection if:
      1. A circuit court or other court with competent jurisdiction has issued a temporary order of protection or an order of protection against the person pursuant to the Domestic Abuse Act of 1991, § 9-15-101 et seq.;
      2. The person has received actual notice or notice pursuant to the Arkansas Rules of Civil Procedure of a temporary order of protection or an order of protection pursuant to the Domestic Abuse Act of 1991, § 9-15-101 et seq.; and
      3. The person knowingly violates a condition of an order of protection issued pursuant to the Domestic Abuse Act of 1991, § 9-15-101 et seq.
    2. A person commits the offense of violation of an out-of-state order of protection if:
      1. The court of another state, a federally recognized Indian tribe, or a territory with jurisdiction over the parties and matters has issued a temporary order of protection or an order of protection against the person pursuant to the laws or rules of the other state, federally recognized Indian tribe, or territory;
      2. The person has received actual notice or other lawful notice of a temporary order of protection or an order of protection pursuant to the laws or rules of the other state, the federally recognized Indian tribe, or the territory;
      3. The person knowingly violates a condition of an order of protection issued pursuant to the laws or rules of the other state, the federally recognized Indian tribe, or the territory; and
      4. The requirements of § 9-15-302 concerning the full faith and credit for an out-of-state order of protection have been met.
      1. A service member commits the offense of violation of a military order of protection if:
        1. The commanding general, a military judge, or a special courts-martial convening authority as authorized by § 12-64-406(b) issues a military order of protection against the service member;
        2. The service member receives actual notice or other lawful notice of the military order of protection as authorized under United States Department of Defense Instruction 6400.06, as it existed on January 1, 2017; and
        3. The service member knowingly violates a condition of the military order of protection.
      2. A prosecution against a service member for the offense of violation of a military order of protection does not prohibit the commanding general or military commander who issued the military order of protection from pursuing appropriate disciplinary action against the service member under the Military Code of Arkansas.
    1. Except as provided in subdivision (b)(2) of this section, violation of an order of protection under this section is a Class A misdemeanor.
    2. Violation of an order of protection under this section is a Class D felony if:
      1. The offense is committed within five (5) years of a previous conviction for violation of an order of protection under this section; and
      2. The order of protection was issued after a hearing of which the person received actual notice and at which the person had an opportunity to participate.
    1. A law enforcement officer may arrest and take into custody without a warrant a person whom the law enforcement officer has probable cause to believe:
      1. Is subject to an order of protection issued under the laws of this state; and
      2. Has violated the terms of the order of protection, even if the violation did not take place in the presence of the law enforcement officer.
    2. Under § 9-15-302, a law enforcement officer or law enforcement agency may arrest and take into custody without a warrant a person whom the law enforcement officer or law enforcement agency has probable cause to believe:
      1. Is subject to:
        1. An order of protection issued under the laws or rules of another state, a federally recognized Indian tribe, or a territory; or
        2. A military order of protection; and
      2. Has violated the terms of the order of protection issued under the laws or rules of the other state, federally recognized Indian tribe, or territory, or the military order of protection, even if the violation did not take place in the presence of the law enforcement officer.
      1. If a service member is in the custody of a law enforcement agency as authorized in subdivision (c)(2) of this section, the law enforcement agency shall notify the office of the Adjutant General of the Arkansas National Guard within twenty-four (24) hours from the time the service member was placed in the custody of the law enforcement agency.
        1. The Arkansas National Guard shall take custody of the service member within forty-eight (48) hours from the time the service member was placed in the custody of the law enforcement agency.
        2. However, if the Arkansas National Guard does not take custody of the service member as required by subdivision (c)(3)(B)(i) of this section, the law enforcement agency shall release the service member.
  1. It is an affirmative defense to a prosecution under this section if:
    1. The parties have reconciled prior to the violation of the order of protection;
    2. The petitioner for the order of protection:
      1. Invited the defendant to come to the petitioner's residence or place of employment listed in the order of protection; and
      2. Knew that the defendant's presence at the petitioner's residence or place of employment would be in violation of the order of protection;
    3. The petitioner for the order of protection arranged or invited the defendant into meeting at a location or took affirmative steps to communicate with the defendant with the promise that the petitioner would not report the defendant to law enforcement for violating the order of protection; or
    4. The petitioner for the order of protection visited the residence or place of employment of the defendant on his or her own accord and without any threat, duress, or coercion on the part of the defendant.
  2. Any law enforcement officer acting in good faith and exercising due care in making an arrest for domestic abuse in an effort to comply with this subchapter shall have immunity from civil or criminal liability.
  3. As used in this section:
    1. “Military order of protection” means an official command directed at a service member for the purpose of preventing violent and threatening acts against a person who:
      1. Is the current or former spouse of the service member;
      2. Is or was a child, step-child, parent, step-parent, sibling, guardian, or ward of the service member;
      3. Is residing or cohabitating or in the past has resided or cohabitated with the service member;
      4. Has or had a child in common with the service member;
      5. Is or has been in a dating relationship with the service member as defined by § 9-15-103;
      6. Has had an intimate sexual relationship with the service member; or
      7. Has made allegations against the service member of violations of the punitive article of sexual misconduct as defined by § 12-64-845; and
    2. “Service member” means a person serving in:
      1. Any branch or reserve component of the United States Armed Forces; or
      2. The National Guard of any state.

History. Acts 1991, No. 267, § 1; 1991, No. 1236, § 1; 2003, No. 651, § 4; 2009, No. 331, § 1; 2011, No. 810, § 1; 2017, No. 515, §§ 1-3; 2019, No. 458, § 1; 2019, No. 905, § 1.

Amendments. The 2003 amendment redesignated former (a), (a)(1), (a)(2) and (a)(3) as present (a)(1), (a)(1)(A), (a)(1)(B) and (a)(1)(C) respectively; substituted “circuit” for “chancery” in present (a)(1)(A); added present (a)(2); inserted “under this section” in (b); inserted the present subdivision (c)(1), (c)(1)(A) and (c)(1)(B) designations; deleted “who the officer has probably cause to believe” from the beginning of present (c)(1)(B); added present (c)(2); and, in (e), inserted “in an effort to comply with this subchapter” and “or criminal.”

The 2009 amendment, in (b), inserted (b)(2), redesignated the remaining text accordingly, inserted “Except as provided in subdivision (b)(2) of this section” in (b)(1), and made related changes.

The 2011 amendment added (d)(2).

The 2017 amendment added (a)(3); added (c)(2)(A)(ii); in (c)(2)(B), deleted “out-of-state” preceding “order” and inserted “issued under the laws or rules of the other state, federally recognized Indian tribe, or territory, or the military order of protection”; added (c)(3); added (f); and made stylistic changes.

The 2019 amendment by No. 458 deleted (b)(2)(C).

The 2019 amendment by No. 905 deleted “or” following “protection” in (d)(1); and added (d)(3) and (d)(4).

Cross References. Filing cost for domestic violence charges or petitions, § 5-26-310, 9-15-202.

Full faith and credit for out-of-state protection orders, § 9-15-302.

Case Notes

Criminal Jurisdiction.

Trial court had no subject-matter jurisdiction to try defendant for the crime of violation of a protective order under § 9-15-207 because that statute did not describe a criminal offense, which was described in this section, and only provided a mechanism by which a person could obtain injunctive and equitable relief for protection against domestic abuse. Standridge v. State, 2014 Ark. 515, 452 S.W.3d 103 (2014).

Evidence Sufficient.

Evidence was sufficient to support a conviction for stalking and a violation of an order of protection because the content and timing of text messages connected them to defendant through circumstantial evidence; the messages contained a daughter's nickname, names of people of whom defendant was jealous, and references to reconciliation with defendant's former wife. Moreover, one message was sent immediately after defendant was served with an order of protection. Brawner v. State, 2013 Ark. App. 413, 428 S.W.3d 600 (2013).

Evidence was sufficient to support defendant's conviction of violation of a protection order based on his “tagging” his children in several Facebook posts; the evidence showed that defendant was an experienced social media user, defendant's daughter testified that defendant had to take affirmative steps in order to tag her and her brother in his posts, the daughter and a detective testified that it would be visibly apparent that defendant was tagging his children in the social media posts, and the detective opined that defendant's actions were an intentional form of communication and not an accident or a mistake. Adams v. State, 2020 Ark. App. 107, 594 S.W.3d 884 (2020).

Cited: West v. State, 82 Ark. App. 165, 120 S.W.3d 100 (2003); Standridge v. State, 2012 Ark. App. 563, 423 S.W.3d 677 (2012).

Subchapter 2 — Threatening a Judicial Official or Juror

5-53-201. Definitions.

As used in this subchapter:

  1. “Immediate family” means the spouse or child of a judicial official or juror;
  2. “Judicial official” means any:
    1. District judge, circuit judge, or Court of Appeals judge;
    2. Supreme Court Justice; or
    3. Person authorized to hear evidence under oath; and
  3. “Juror” means any citizen of the state impaneled as a grand juror or petit juror.

History. Acts 2003, No. 1313, § 1.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Threatening Judicial Officer or Juror, 26 U. Ark. Little Rock L. Rev. 364.

5-53-202. Threatening a judicial official or juror — Penalty.

  1. A person commits the offense of threatening a judicial official or juror if the person directly or indirectly utters or otherwise makes a threat toward another person whom the person knows or should know to be a:
    1. Judicial official;
    2. Juror; or
    3. Member of the immediate family of a judicial official or juror.
    1. Threatening a judicial official or juror is a Class B felony if the person threatens:
      1. To cause death or serious physical injury to a judicial official, juror, or any member of a judicial official's or juror's immediate family; or
      2. Substantial damage to property owned or possessed by a judicial official, juror, or any member of a judicial official's or juror's immediate family.
    2. Threatening a judicial official or juror is a Class C felony if the person threatens:
      1. To cause physical injury to a judicial official, juror, or any member of a judicial official's or juror's immediate family; or
      2. Damage to property owned or possessed by a judicial official, juror, or any member of a judicial official's or juror's immediate family.
  2. It is an affirmative defense to any prosecution under this subchapter that at the time the defendant engaged in the conduct, the threat did not relate to the person's status or actions as a:
    1. Judicial official;
    2. Juror; or
    3. Member of the immediate family of a judicial official or juror.

History. Acts 2003, No. 1313, § 2.

Case Notes

Sentence.

Because defendant received 40 years on each count of threatening a judicial officer, as enhanced under § 5-4-501, his sentence was above the statutory range and therefore illegal. Radford v. State, 2018 Ark. App. 89, 538 S.W.3d 894 (2018).

5-53-130. [Repealed.]

Chapter 54 Obstructing Governmental Operations

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Because of the enactment of Subchapter 2 of this chapter by Acts 2003, No. 1342, the provisions of this chapter existing before that act have been designated as Subchapter 1.

Cross References. Escape or rescue after arrest, right to recapture, reward, § 16-81-112.

Fines, § 5-4-201.

Notice of escapes to law enforcement officers, § 12-29-113.

Notice of escape to victim or victim's next of kin, § 12-29-114.

Term of imprisonment, § 5-4-401.

Research References

ALR.

Admissibility of evidence that defendant escaped or attempted to escape while being detained for offense in addition to that or those presently being prosecuted. 3 A.L.R.4th 1085.

Am. Jur. 5 Am. Jur. 2d, Arrest, § 84.

27A Am. Jur. 2d, Escape, § 1 et seq.

58 Am. Jur. 2d, Obst. Jus., § 1 et seq.

Ark. L. Rev.

1976 Criminal Code — General Principles, 30 Ark. L. Rev. 111.

C.J.S. 30A C.J.S., Escape, § 1 et seq.

67 C.J.S., Obst. Jus., § 1 et seq.

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 1 U. Ark. Little Rock L.J. 153.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

Subchapter 1 — General Provisions

Effective Dates. Acts 1953, No. 88, § 5: Feb. 18, 1953. Emergency clause provided: “Whereas, it has been found by the Legislature that visitors or other persons entering places where prisoners are confined are carrying firearms, explosives, intoxicating beverages, narcotics, barbiturates, marijuana, benzedrene, or other stimulants, to inmates and that such action threatened the peace, safety and discipline of said penitentiary, farm, jail or institution, and that this Act will provide for greater peace, safety and discipline in said penitentiary, farm, jail, or institution. Therefore, an emergency is declared to exist and this Act being necessary for the public peace, health and safety shall take effect and be in full force from the date of its approval.”

Acts 1975, No. 973, § 6: Apr. 9, 1975. Emergency clause provided: “It is hereby found and determined by the General Assembly that the private ownership and use of equipment designed for and used to receive and decode messages or communications sent through voice privacy adaptors by law enforcement agencies is capable of seriously hampering the effective administration of law; that such equipment is relatively inexpensive and is available to anyone desiring to purchase the same; that such equipment can be used by law violators to avoid apprehension by law enforcement officers; that it is essential to the proper and effective enforcement of the laws of this State and to the safety and well-being of the law abiding citizens of the State that private ownership of such equipment be prohibited; that this Act is designed to prohibit such private ownership and should be given effect immediately. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health, and safety shall be in full force and effect from and after its passage and approval.”

Acts 1985, No. 686, § 3: Mar. 27, 1985. Emergency clause provided: “It is hereby found and determined by the General Assembly that the penalties prescribed in the present law are inadequate to deter introduction of prohibited articles in certain facilities; that this act is designed to correct this deficiency and should be given effect immediately. Therefore, an emergency is hereby declared to exist and this Act being necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1985, No. 1049, § 3: Apr. 17, 1985. Emergency clause provided: “It is hereby found and determined by the General Assembly that stiffer penalties are needed to thwart persons who assist inmates of correctional facilities in escape attempts. Therefore, this Act is immediately necessary to aid law enforcement personnel and prosecutors. Therefore, an emergency is hereby declared to exist and this Act being necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1988 (4th Ex. Sess.), No. 8, § 4 and No. 23, § 4: July 15, 1988. Emergency clause provided: “It is hereby found and determined by the General Assembly that the present provisions do not allow persons incarcerated in the Department of Correction to properly exercise their religious beliefs. Therefore, an emergency is hereby declared to exist, and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

5-54-101. Definitions.

As used in this subchapter:

  1. “Arkansas State Hospital” includes any subdivision or facility of the Arkansas State Hospital and any other hospital established by law or legally designated for similar purposes;
    1. “Correctional facility” means any place used for the confinement of persons charged with or convicted of an offense or otherwise confined under a court order.
    2. “Correctional facility” does not include youth services programs and applies to the Arkansas State Hospital only as to persons detained there charged with or convicted of an offense;
    1. “Custody” means actual or constructive restraint by a law enforcement officer pursuant to an arrest or a court order.
    2. “Custody” does not include detention in a correctional facility, youth services program, or the Arkansas State Hospital;
  2. “Deadly physical force” means physical force that under the circumstances in which it is used is readily capable of causing death or serious physical injury;
  3. “Escape” means the unauthorized departure of a person from custody or a correctional facility;
  4. “Governmental function” means any activity that a public servant is legally authorized to undertake on behalf of any governmental unit he or she serves;
  5. “Implement for escape” means any weapon, tool, or other thing that may be useful for escape;
  6. “Implement for unauthorized departure” means any weapon, tool, or other thing that may be useful for unauthorized departure;
  7. “Juvenile detention facility” means any facility for the temporary care of juveniles alleged to be delinquent, or adjudicated delinquent and awaiting disposition, who require secure custody in a physically restricting facility designed and operated with all entrances and exits under the exclusive control of the facility's staff, so that a juvenile may not leave the facility unsupervised or without permission;
  8. “Physical force” means any bodily impact, restraint, or confinement or the threat of bodily impact, restraint, or confinement;
  9. “Prohibited article” means:
    1. An intoxicating beverage other than sacramental wine labeled as sacramental wine and supplied by a religious official who supplies the sacramental wine to an inmate in the Division of Correction or Division of Community Correction for the sole purpose of an approved religious service, pursuant to rules promulgated by the Board of Corrections;
    2. A controlled substance, as defined by §§ 5-64-101 et seq. — 5-64-601 et seq., not prescribed by a physician for the benefit of the person to whom it is delivered;
    3. A weapon, including a firearm or anything manifestly designed, made, adapted, or capable of being adapted to inflict physical injury, and anything that in the manner of its use or intended use is capable of causing physical injury; or
    4. Anything furnished an inmate in a correctional facility, the Arkansas State Hospital, or juvenile training school without authorization of a person charged with the duty of maintaining the safety or security of the institution or any person confined in the institution;
  10. “Public record” includes all official books, papers, exhibits, or records of any type required by law to be created by or received and retained in any governmental office or agency, affording notice or information to the public or constituting a memorial of an act or transaction of a public office or public servant; and
    1. “Youth services program” means a residential program operated by the Division of Youth Services of the Department of Human Services or its contractor for the purpose of detaining, housing, and treating persons committed to the division.
    2. A person committed to the division and placed in a youth services program is in the custody of the youth services program while attending or participating in any activity conducted or arranged by the youth services program, regardless of the physical location of the activity.

History. Acts 1975, No. 280, § 2801; 1977, No. 360, § 13; A.S.A. 1947, § 41-2801; Acts 1988 (4th Ex. Sess.), No. 8, § 1; 1988 (4th Ex. Sess.), No. 23, § 1; 1997, No. 1229, §§ 1, 2; 1997, No. 1299, §§ 1, 2; 2005, No. 1994, § 253; 2019, No. 315, § 150; 2019, No. 910, § 675.

Amendments. The 2005 amendment substituted “youth services program” for “juvenile training school” in (1) and (2); inserted “or she” in (4); and rewrote (13).

The 2019 amendment by No. 315 deleted “and regulations” following “rules” in (11)(A).

The 2019 by No. 910 amendment substituted “Division of Correction” for “Department of Correction” and “Division of Community Correction” for “Department of Community Correction” in (11)(A).

Case Notes

Correctional Facility.

A holding cell which was located in a county courthouse and was used as a temporary facility to hold prisoners before and after their appearances in court constituted a correctional facility. Glover v. State, 8 Ark. App. 104, 648 S.W.2d 824 (1983).

Escape.

Where the defendant forged a court order which declared his convictions void, there was sufficient evidence to sustain a guilty verdict for second degree escape, and the Attorney General's statement that the order was valid did not legitimize the fraudulent order. Wade v. State, 290 Ark. 16, 716 S.W.2d 194 (1986).

Governmental Function.

Vehicle passenger, who was allegedly arrested by a state police officer for refusing to provide identification, stated a claim against the officer for a Fourth Amendment violation. There was no probable cause to arrest the passenger under § 5-54-102(a)(1) for obstructing the performance of a governmental function; the officer's authority under Ark. R. Crim. P. 2.2 to request information did not establish a “governmental function” within the meaning of subdivision (6) of this section because there was no showing that the passenger had a duty under Arkansas law to furnish identification. Stufflebeam v. Harris, 521 F.3d 884 (8th Cir. 2008).

Public Record.

A defendant's handwritten documentation fit squarely into the subdivision (11) [former] definition of a public record, as a matter of law. Williams v. State, 346 Ark. 304, 57 S.W.3d 706 (2001).

Cited: France v. State, 262 Ark. 193, 555 S.W.2d 225 (1977); Bush v. State, 338 Ark. 772, 2 S.W.3d 761 (1999); Kelley v. State, 75 Ark. App. 144, 55 S.W.3d 309 (2001); Williams v. State, 347 Ark. 728, 67 S.W.3d 548 (2002).

5-54-102. Obstructing governmental operations.

  1. A person commits the offense of obstructing governmental operations if the person:
    1. Knowingly obstructs, impairs, or hinders the performance of any governmental function;
    2. Knowingly refuses to provide information requested by an employee of a governmental agency relating to the investigation of a case brought under Title IV-D of the Social Security Act, 42 U.S.C. § 651 et seq., and is the physical custodian of the child in the case;
    3. Fails to submit to court-ordered scientific testing by a noninvasive procedure to determine the paternity of a child in a case brought under Title IV-D of the Social Security Act, 42 U.S.C. § 651 et seq.; or
    4. Falsely identifies himself or herself to a law enforcement officer or a code enforcement officer.
    1. Obstructing governmental operations by using or threatening to use physical force is a Class A misdemeanor.
    2. A second or subsequent offense of obstructing governmental operations under subdivision (a)(4) of this section is a Class A misdemeanor.
    3. Otherwise, obstructing governmental operations is a Class C misdemeanor.
  2. This section does not apply to:
    1. Unlawful flight by a person charged with an offense;
    2. Refusal to submit to arrest;
    3. Any means of avoiding compliance with the law not involving affirmative interference with a governmental function unless specifically set forth in this section; or
    4. Obstruction, impairment, or hindrance of what a person reasonably believes is a public servant's unlawful action.
    1. As used in this section, “code enforcement officer” means an individual charged with the duty of enforcing a municipal code, municipal ordinance, or municipal regulation as defined by a municipal code, municipal ordinance, or municipal regulation.
    2. “Code enforcement officer” includes a municipal animal control officer.

History. Acts 1975, No. 280, § 2802; A.S.A. 1947, § 41-2802; Acts 1995, No. 1182, § 1; 1999, No. 577, § 1; 2005, No. 1994, § 453; 2007, No. 163, § 1; 2009, No. 342, § 1; 2009, No. 748, § 25.

Amendments. The 2009 amendment by No. 342 inserted “or a code enforcement officer” in (a)(4) and made a related change; and added (d).

The 2009 amendment by No. 748 made stylistic changes in (b)(2).

Research References

ALR.

Criminal and Civil Liability of Civilians and Police Officers Concerning Recording of Police Actions. 84 A.L.R.6th 89.

Case Notes

Evidence Held Insufficient.

Where arrestee who sued police officer and city under 42 U.S.C. § 1983 alleged that he was arrested merely because (1) he watched the police officer as he spoke with two young men from a distance, (2) during the incident arrestee spoke only when spoken to, and (3) arrestee complied with a request for identification, and where police officer admitted some of those facts but asserted that arrestee was arrested only after he refused to move, the court properly denied officer summary judgment based on qualified immunity; under those circumstances, no officer reasonably could have believed he had probable cause to arrest the arrestee for obstruction of justice or any other offense. Walker v. City of Pine Bluff, 414 F.3d 989 (8th Cir. 2005).

Evidence Held Sufficient.

Evidence that defendant exited his residence and began screaming at officers who were investigating a possible drunk driver who had been stopped in defendant's driveway, causing the suspect to stop cooperating with the police investigation, was sufficient to support defendant's conviction of obstructing governmental operations. Kelley v. State, 75 Ark. App. 144, 55 S.W.3d 309 (2001).

Obstruction adjudication was supported by the evidence, because the juvenile was given a lawful command to return to his room by a law-enforcement officer and failed to abide by it. R.B. v. State, 2013 Ark. App. 377 (2013).

Search and Seizure.

Vehicle passenger, who was allegedly arrested by a state police officer for refusing to provide identification, stated a claim against the officer for a Fourth Amendment violation. There was no probable cause to arrest the passenger under subdivision (a)(1) of this section for obstructing the performance of a governmental function; the officer's authority under Ark. R. Crim. P. 2.2 to request information did not provide probable cause because there was no showing that the passenger had a duty under Arkansas law to furnish identification. Stufflebeam v. Harris, 521 F.3d 884 (8th Cir. 2008).

Cited: Price v. State, 276 Ark. 80, 632 S.W.2d 429 (1982); Robinson v. Beaumont, 291 Ark. 477, 725 S.W.2d 839 (1987); Nelson v. State, 2013 Ark. App. 421 (2013).

5-54-103. Resisting arrest — Refusal to submit to arrest.

    1. A person commits the offense of resisting arrest if he or she knowingly resists a person known by him or her to be a law enforcement officer effecting an arrest.
    2. As used in this subsection, “resists” means using or threatening to use physical force or any other means that creates a substantial risk of physical injury to any person.
    3. It is no defense to a prosecution under this subsection that the law enforcement officer lacked legal authority to make the arrest if the law enforcement officer was acting under color of his or her official authority.
    4. Resisting arrest is a Class A misdemeanor.
    1. A person commits the offense of refusal to submit to arrest if he or she knowingly refuses to submit to arrest by a person known by him or her to be a law enforcement officer effecting an arrest.
    2. As used in this subsection, “refuses” means active or passive refusal.
    3. It is no defense to a prosecution under this subsection that the law enforcement officer lacked legal authority to make the the arrest if the law enforcement officer was acting under color of his or her official authority.
    4. Refusal to submit to arrest is a Class B misdemeanor.

History. Acts 1975, No. 280, § 2803; A.S.A. 1947, § 41-2803; Acts 1987, No. 261, § 1.

Case Notes

Constitutionality.

A reasonable and commonly understood construction of subsection (b) gives a person of ordinary intelligence fair warning that an inactive or passive form of noncompliance with the arrest process can subject one to punishment, and this section is not unconstitutionally vague. Pursley v. State, 302 Ark. 471, 791 S.W.2d 359 (1990).

Defendant failed to show that subsection (b) unconstitutionally violated his freedom of speech rights, as it is written or as it was applied to him. Williams v. State, 320 Ark. 211, 895 S.W.2d 913 (1995).

Acts Constituting Offense.

Defendant who became involved in a police station brawl should have been charged with resisting arrest or disorderly conduct, not with interfering with a police officer in the performance of his duties. Breakfield v. State, 263 Ark. 398, 566 S.W.2d 729 (1978).

Defendant's actions held not to support his conviction for interfering with a police officer in the performance of his duties, although they may have constituted the offense of resisting arrest. State v. Bocksnick, 268 Ark. 74, 593 S.W.2d 176 (1980).

Defense.

Defendant committed an assault with a deadly weapon when he shot police officer who was trying to arrest his brother for drunkenness, and it was no excuse that police officer advanced toward defendant, as police officer had a right to disarm the defendant. Ogles v. State, 214 Ark. 581, 217 S.W.2d 259 (1949) (decision under prior law).

Evidence.

Evidence held sufficient to support conviction. Williams v. State, 70 Ark. 393, 68 S.W. 241 (1902); Williams v. State, 253 Ark. 973, 490 S.W.2d 117 (1973); Hammond v. State, 255 Ark. 56, 498 S.W.2d 652 (1973) (preceding decisions under prior law).

Evidence held sufficient where it was shown that the defendant continuously struggled with the arresting officers when they attempted to place handcuffs on him and that he repeatedly swung at them and attempted to kick them. Bailey v. State, 334 Ark. 43, 972 S.W.2d 239 (1998).

In a case in which defendant appealed the revocation of her suspended sentence, defendant challenged the sufficiency of the evidence supporting the finding that she committed the new offense of battery in the second degree on a police officer; however, the appellate court did not address defendant's argument because the evidence introduced at the revocation hearing was sufficient to support the finding that defendant committed the offense of resisting arrest. Gasca v. State, 2013 Ark. App. 214 (2013).

Evidence was sufficient to convict defendant of resisting arrest, where he refused to submit and engaged in an extended struggle with the trooper who arrested him, and the struggle was apparently physical enough to break the trooper's microphone clip off his utility belt. Hooten v. State, 2019 Ark. App. 519, 588 S.W.3d 829 (2019).

Trial court's revocation of defendant's suspended imposition of sentence for committing the offense of resisting arrest was not clearly against a preponderance of the evidence because, in describing defendant's resistance to the officers' efforts to arrest her, a corporal stated that defendant was wiggling around, pulling against him, not cooperating, and trying to get up and get out of the officers' grasp; he testified that he and another officer had to take defendant to the ground to get handcuffs on her; and defendant threatened to use physical force against the corporal when she said that she was going to beat him up and that she would make sure that he got to hell. Jennings v. State, 2019 Ark. App. 258, 576 S.W.3d 517 (2019).

Indictment or Information.

In drawing an indictment for obstructing or resisting an officer, it was not necessary to allege that the officer seeking to arrest certain parties had a warrant for their arrest. State v. Embrey, 135 Ark. 262, 204 S.W. 1139 (1918) (decision under prior law).

Law Enforcement Officer.

Though the patrolman was off duty at the time of arrest, defendant was guilty of resisting arrest. Meyers v. State, 253 Ark. 38, 484 S.W.2d 334 (1972) (decision under prior law).

Lesser-Included Offenses.

Aggravated and first degree assault are not lesser-included offenses of resisting arrest. Enoch v. State, 37 Ark. App. 103, 826 S.W.2d 291 (1992).

Remedies.

Consistent with the legislative purpose for this section, defendant's remedy for any violation of his constitutional rights stemming from his arrest was to submit his dispute to the impartial determination of a court of law, including, if appropriate, an action for damages; his remedy was not to refuse to submit to his arrest. Williams v. State, 320 Ark. 211, 895 S.W.2d 913 (1995).

Resistance.

The use of any means, whether threats, intimidations, or any other act willfully done, with intent to deter, hinder or prevent an officer from the performance of his duty constituted a violation of former section concerning obstructing or resisting an officer. Williams v. State, 253 Ark. 973, 490 S.W.2d 117 (1973) (decision under prior law).

Arrest was not complete at the moment handcuffs were put on defendants, who were in the process of committing the offense of criminal trespass when the officers handcuffed them, and would not move and continued to commit the trespass even after the handcuffs were secured. As a result, the arrest was not complete until the continuing trespass offense was ended, and the defendants, by refusing to move, were passively refusing to submit to arrest. Pursley v. State, 302 Ark. 471, 791 S.W.2d 359 (1990).

The use of physical force is not required to sustain a conviction; a threat of physical force is sufficient. Bailey v. State, 334 Ark. 43, 972 S.W.2d 239 (1998).

Resistance or Interference.

The distinction between resisting arrest and interference with a law enforcement officer as defined in § 5-54-104 is that resisting the officer occurs when one knowingly resists a person known by him to be a law enforcement officer attempting to effect an arrest, while the interference referred to in § 5-54-104 is designed to cover the situation where a person is interfering with an officer performing some duty other than arresting the person charged. Gilmer v. State, 269 Ark. 30, 602 S.W.2d 406 (1980).

The offense of interference with a police officer was not intended to be an alternative to charging someone with resisting arrest. Price v. State, 276 Ark. 80, 632 S.W.2d 429 (1982).

Validity of Process.

Validity of the criminal process, regular on its face, was immaterial. Crabtree v. State, 238 Ark. 358, 381 S.W.2d 729 (1964) (decision under prior law).

Cited: Delrio v. State, 263 Ark. 888, 568 S.W.2d 15 (1978); Duckins v. State, 271 Ark. 658, 609 S.W.2d 674 (Ct. App. 1980); Easterly v. State, 8 Ark. App. 135, 648 S.W.2d 843 (1983); Bell v. Lockhart, 741 F.2d 1105 (8th Cir. 1984); Cole v. State, 33 Ark. App. 98, 802 S.W.2d 472 (1991); Butler v. State, 309 Ark. 211, 829 S.W.2d 412 (1992); Williams v. State, 327 Ark. 97, 938 S.W.2d 547 (1997).

5-54-104. Interference with a law enforcement or code enforcement officer.

    1. A person commits the offense of interference with a law enforcement officer if he or she knowingly employs or threatens to employ physical force against a law enforcement officer engaged in performing his or her official duties.
    2. A person commits the offense of interference with a code enforcement officer if he or she knowingly employs or threatens to employ physical force against a code enforcement officer engaged in performing his or her official duties.
    1. Interference with a law enforcement officer or a code enforcement officer is a Class C felony if:
      1. The person uses or threatens to use deadly physical force; or
      2. The person is assisted by one (1) or more other persons and physical injury to the law enforcement officer or code enforcement officer results.
    2. Otherwise, interference with a law enforcement officer or a code enforcement officer is a Class A misdemeanor.
    1. As used in this section, “code enforcement officer” means an individual charged with the duty of enforcing a municipal code, municipal ordinance, or municipal regulation as defined by a municipal code, municipal ordinance, or municipal regulation.
    2. “Code enforcement officer” includes an animal control officer.

History. Acts 1975, No. 280, § 2804; 1977, No. 360, § 14; A.S.A. 1947, § 41-2804; Acts 2009, No. 343, § 1.

Amendments. The 2009 amendment, in (a), inserted (a)(2) and redesignated the remaining text accordingly; in (b), inserted “or a code enforcement officer” in (b)(1) and (b)(2) and inserted “or code enforcement officer” in (b)(1)(B); and added (c).

Research References

ALR.

Criminal and Civil Liability of Civilians and Police Officers Concerning Recording of Police Actions. 84 A.L.R.6th 89.

Case Notes

Applicability.

Former section providing penalty for obstructing or resisting an officer applied to knowing and willful obstruction of or resistance to an officer in the discharge of any official duty. Williams v. State, 253 Ark. 973, 490 S.W.2d 117 (1973) (decision under prior law).

This section is not applicable when one resists his arrest. State v. Bocksnick, 268 Ark. 74, 593 S.W.2d 176 (1980).

The offense of interference applies only where a police officer is interfered with in the performance of his duty by someone other than whom the officer is trying to arrest; the offense of interference with a police officer was not intended to be an alternative to charging someone with resisting arrest. Price v. State, 276 Ark. 80, 632 S.W.2d 429 (1982).

Acts Constituting Offense.

Defendant was not guilty of violating former section concerning obstructing or where the sheriff subsequently informed defendant that the arrangement which had been made with a deputy sheriff regarding an attached crop was unsatisfactory; the former statute meant to punish obstruction of or opposition to the officer and not merely meant to defeat the execution of process otherwise. Warren v. State, 179 Ark. 725, 17 S.W.2d 866 (1929) (decision under prior law).

Defendant who became involved in a police station brawl, should have been charged with resisting arrest or disorderly conduct not with interfering with a police officer in the performance of his duties. Breakfield v. State, 263 Ark. 398, 566 S.W.2d 729 (1978).

Defendant's actions held not to support his conviction for interfering with a police officer in the performance of his duties, although they may have constituted the offense of resisting arrest. State v. Bocksnick, 268 Ark. 74, 593 S.W.2d 176 (1980).

Where defendant fired several shots at a police officer in order to avoid apprehension, the defendant could not have properly been charged with interference with a law enforcement officer, but should instead have been prosecuted for resisting arrest. Price v. State, 276 Ark. 80, 632 S.W.2d 429 (1982).

One may be found guilty of interference where one interferes with an official investigation that precedes an effort to effect an arrest. Cole v. State, 33 Ark. App. 98, 802 S.W.2d 472 (1991).

Evidence.

To convict an accused of assaulting an officer, it was not necessary that there be direct evidence that those assaulting the police officer did so from common design, intent, and purpose, but such could be proven by all the circumstances. Griffin v. State, 248 Ark. 1223, 455 S.W.2d 882 (1970) (decision under prior law).

Evidence of assault with an eight ounce drink glass was sufficient since any object likely to cause death or great bodily injury could be a deadly weapon. Hunt v. State, 255 Ark. 51, 498 S.W.2d 654 (1973) (decision under prior law).

Evidence held sufficient to support conviction. Delrio v. State, 263 Ark. 888, 568 S.W.2d 15 (1978); Easterly v. State, 8 Ark. App. 135, 648 S.W.2d 843 (1983); Cole v. State, 33 Ark. App. 98, 802 S.W.2d 472 (1991).

Justification.

Refusal to give the defendant's requested instruction on justification for the use of physical force in defense of another person held to be error. Lucas v. State, 5 Ark. App. 168, 634 S.W.2d 145 (1982).

Performance of Official Duties.

Police officer's statement that the encounter occurred just before he was to interview some complainants would not support a conviction under this section. Breakfield v. State, 263 Ark. 398, 566 S.W.2d 729 (1978).

Court did not abuse its discretion in not allowing the defendants to offer proof of certain alleged incidents of prior misconduct on the part of the officer, which the defendants offered in an effort to show that the officer may not have been engaged in official business at the time of the incident in question. Blakemore v. State, 268 Ark. 145, 594 S.W.2d 231 (1980).

Where a police officer who was in the performance of his official duties in going to investigate another incident in which the defendant had been a participant became involved in a scuffle with the defendant and defendant pointed a rifle at the officer, the defendant could be convicted under this section. Gilmer v. State, 269 Ark. 30, 602 S.W.2d 406 (1980).

Resistance or Interference.

The distinction between resisting arrest as defined in § 5-54-103 and interference with a law enforcement officer as defined in this section is that resisting the officer occurs when one knowingly resists a person known by him to be a law enforcement officer attempting to effect an arrest, while the interference referred to in this section is designed to cover the situation where a person is interfering with an officer performing some duty other than arresting the person charged. Gilmer v. State, 269 Ark. 30, 602 S.W.2d 406 (1980).

Search Warrant.

Where search warrant was regular on its face, one could not obstruct the service of such process without being subject to prosecution. Crabtree v. State, 238 Ark. 358, 381 S.W.2d 729 (1964) (decision under prior law).

Separate Offenses.

Where defendant drew a pistol on a police officer and took the officer's revolver away from him, there were two separate crimes although arising out of the same incident. Decker v. State, 251 Ark. 28, 471 S.W.2d 343 (1971) (decision under prior law).

Cited: Breeden v. State, 270 Ark. 90, 603 S.W.2d 459 (1980); Bell v. Lockhart, 741 F.2d 1105 (8th Cir. 1984); Griffin v. State, 25 Ark. App. 186, 755 S.W.2d 574 (1988).

5-54-105. Hindering apprehension or prosecution.

  1. A person commits an offense under this section if, with purpose to hinder the apprehension, prosecution, conviction, or punishment of another person for an offense, he or she:
    1. Harbors or conceals the other person;
    2. Provides or aids in providing the other person with a weapon, money, transportation, disguise, or other means of avoiding apprehension, discovery, or effecting escape;
    3. Prevents or obstructs anyone from performing an act which might aid in the discovery, apprehension, or identification of the other person by means of force or intimidation or the threat of force or intimidation, or by means of deception;
    4. Conceals, alters, destroys, or otherwise suppresses the discovery of any fact, information, or other thing related to the crime which might aid in the discovery, apprehension, or identification of the other person;
    5. Warns the other person of impending discovery, apprehension, or identification;
    6. Volunteers false information to a law enforcement officer; or
    7. Purposely lies or attempts to purposely provide erroneous information, documents, or other instrumentalities which he or she knows to be false to a certified law enforcement officer that would distract from the true course of the investigation or inhibit the logical or orderly progress of the investigation.
      1. Hindering apprehension or prosecution is a Class B felony if the conduct of the person assisted in violation of this section constitutes a Class Y felony or a Class A felony.
      2. However, except as provided in subdivision (b)(2) of this section, if the defendant shows by a preponderance of the evidence that he or she stands to the person assisted in the relation of parent, child, brother, sister, husband, or wife, hindering apprehension or prosecution is a Class D felony.
    1. Subdivision (b)(1)(B) of this section does not apply if the offense of the person assisted is:
      1. Capital murder, as prohibited in § 5-10-101;
      2. Murder in the first degree, as prohibited in § 5-10-102;
      3. Kidnapping, as prohibited in § 5-11-102; or
      4. Rape, as prohibited in § 5-14-103.
  2. Hindering apprehension or prosecution is a felony classified one (1) degree below the felony constituted by the conduct of the person assisted in violation of this section if the conduct is a Class B felony or a Class C felony.
    1. Hindering apprehension or prosecution is a Class A misdemeanor if the conduct of the person assisted in violation of this section is a Class D felony or an unclassified felony.
    2. Hindering apprehension or prosecution is a Class D felony if the person in violation of this section was assisting an escapee from correctional custody sentenced after being found guilty of a felony.
    3. Otherwise, hindering apprehension or prosecution is a misdemeanor classed one (1) degree below the misdemeanor constituted by the conduct of the person assisted in violation of this section.

History. Acts 1975, No. 280, § 2805; 1977, No. 360, § 15; 1985, No. 698, § 1; 1985, No. 1049, § 1; A.S.A. 1947, § 41-2805; Acts 1997, No. 743, § 1; 2005, No. 1867, § 1.

Amendments. The 2005 amendment inserted the subdivision (1)(A) and (1)(B) designations in (b); added (b)(2); in present (b)(1)(B), substituted “However, except as provided in subdivision (b)(2) of this section” for “provided that” and deleted “corresponding steprelationships of the preceding” following “brother, sister”; and made gender neutral and minor stylistic changes.

Research References

Ark. L. Rev.

The Impact of the 1976 Criminal Code on the Law of Accessorial Liability in Arkansas, 31 Ark. L. Rev. 100.

Case Notes

Constitutionality.

The mere existence of overlapping provisions in this section and § 5-53-111 does not render either statute constitutionally infirm; there appears to be no impermissible uncertainty in the definitions of the respective offenses. Puckett v. State, 328 Ark. 355, 944 S.W.2d 111 (1997).

Applicability.

The plain language of subdivision (a)(4) precludes a construction that limits its applicability to a person's acts of hindering that transpire before a criminal suspect has been identified and arrested. Puckett v. State, 328 Ark. 355, 944 S.W.2d 111 (1997).

Accessory After the Fact.

An instruction that an accessory after the fact is a person who, after a full knowledge that a crime has been committed, conceals it from the magistrate or harbors or protects the person charged with the crime; in other words, a person who harbors, receives, relieves, comforts or assists the felon was not erroneous. Higgins v. State, 136 Ark. 284, 206 S.W. 440 (1918) (decision under prior law).

One who was formerly an accessory after the fact is now guilty of a separate crime, i.e., hindering apprehension and prosecution. Tyler v. State, 265 Ark. 822, 581 S.W.2d 328 (1979).

Accomplice.

An accessory before the fact is now referred to as an accomplice, defined in § 5-2-403, and one who was formerly an accessory after the fact is now guilty of a separate crime under this section. Fight v. State, 314 Ark. 438, 863 S.W.2d 800 (1993).

Affirmative Act.

To constitute the crime of accessory after the fact there must have been some affirmative act, as mere passive failure to disclose commission of a crime did not make one an accessory after the fact. Fields v. State, 213 Ark. 899, 214 S.W.2d 230 (1948) (decision under prior law).

Evidence held to show that there was an affirmative attempt upon the part of the defendant to prevent disclosure of details of a crime and justified conviction of defendant as accessory after the fact. Fields v. State, 213 Ark. 899, 214 S.W.2d 230 (1948) (decision under prior law).

Evidence.

Evidence held insufficient to support conviction. Flippo v. State, 258 Ark. 233, 523 S.W.2d 390 (1975) (decision under prior law).

Under subsection (a), providing for six different ways in which the offense can be committed with only one involving dishonesty or false statement, evidence of a misdemeanor conviction for that offense was not admissible for impeachment purposes until it was shown that the conviction was based upon an act of dishonesty or false statement. West v. State, 27 Ark. App. 49, 766 S.W.2d 22 (1989).

Evidence was more than sufficient from which a jury could infer that the defendant destroyed fingerprints on the weapon, hid the gun from authorities, and did not tell the authorities of the gun's whereabouts until confronted by the investigating officers. Puckett v. State, 328 Ark. 355, 944 S.W.2d 111 (1997).

Defendant's conviction for hindering the apprehension or prosecution of her child's abuser, in violation of subdivisions (a)(6) or (7) of this section, was supported by the evidence because defendant consistently told medical personnel and the police that her 23-month-old child's life-threatening brain injury was caused by falling from a top bunk bed. Sullivan v. State, 2012 Ark. 74, 386 S.W.3d 507 (2012).

Harboring or Concealment.

One who, with full knowledge that a crime had been committed, harbored and protected the felon, was guilty as accessory after the fact. State v. Jones, 91 Ark. 5, 120 S.W. 154 (1909); Froman v. State, 232 Ark. 697, 339 S.W.2d 601 (1960) (preceding decisions under prior law).

Knowledge and Intent.

One who, knowing of a crime, concealed it from the magistrate from anxiety for his own safety and not to shield the criminal, was not an accomplice. Melton v. State, 43 Ark. 367 (1884); Carroll v. State, 45 Ark. 539 (1885). See also Edmonson v. State, 51 Ark. 115, 10 S.W. 21 (1888); Green v. State, 51 Ark. 189, 10 S.W. 266 (1889); McFalls v. State, 66 Ark. 16, 48 S.W. 492 (1898) (preceding decisions under prior law).

The mere fact that one remained silent after learning of the commission, without intending to shield the criminal, did not make him an accessory. Butt v. State, 81 Ark. 173, 98 S.W. 723 (1906); Davis v. State, 96 Ark. 7, 130 S.W. 547 (1910); Simms v. State, 105 Ark. 16, 150 S.W. 113 (1912); Burrow v. State, 109 Ark. 365, 159 S.W. 1123 (1913) (preceding decisions under prior law).

Although former law required that the hinderer have full knowledge of the crime committed, this section speaks in terms of the actor's purpose rather than the certainty of his knowledge respecting the consummated crime, and requires only that the hinderer purposely aid one sought for an offense. Workman v. State, 267 Ark. 103, 589 S.W.2d 20 (1979).

Evidence held sufficient to support finding that defendant had reason to believe that the accused had committed an offense and that she purposely hindered his prosecution. Workman v. State, 267 Ark. 103, 589 S.W.2d 20 (1979).

Evidence that defendant, the husband of a murder victim, met with his stepdaughter, the murderer, after the murder; he denied knowledge of her whereabouts; he admitted giving her money and a car to go to Mississippi; and he had a sexual relationship with her; was sufficient to convict him of hindering her apprehension under this section. Devor v. State, 2012 Ark. App. 82, 389 S.W.3d 22 (2012).

Reasonable Cause to Arrest.

The district court was not clearly erroneous in concluding that the parolee's attempt to conceal herself in the defendant's room, with his knowledge, coupled with the defendant's assertion of ignorance regarding the parolee's whereabouts, constituted reasonable belief by the officers that the defendant was attempting to hinder the apprehension of the parolee in violation of this section; therefore, the officers had reasonable cause to arrest the defendant. Washington v. Simpson, 806 F.2d 192 (8th Cir. 1986).

Cited: Rowdean v. State, 280 Ark. 146, 655 S.W.2d 413 (1983).

5-54-106. Aiding consummation of offense.

  1. A person commits an offense under this section if he or she knowingly aids another person by:
    1. Safeguarding or securing the proceeds of an offense; or
    2. Converting the proceeds of an offense into negotiable funds.
    1. A person violating any provision of this section is guilty of a Class D felony if the conduct of the person aided in violation of this section constitutes a felony of any class.
    2. Otherwise, a violation of this section is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2806; A.S.A. 1947, § 41-2806.

Case Notes

Accomplices.

One who knowingly receives stolen property for the purpose of safeguarding or securing the proceeds of the offense or converting the proceeds into negotiable funds might now be guilty of aiding the consummation of an offense under this section, but is not an accomplice in the sense of § 5-2-403 in that he or she aids the thief in planning or committing the crime. Tyler v. State, 265 Ark. 822, 581 S.W.2d 328 (1979).

5-54-107. Compounding.

  1. A person commits the offense of compounding if he or she:
    1. Solicits, accepts, or agrees to accept any pecuniary benefit as consideration for refraining from reporting to a law enforcement authority the commission or suspected commission of any offense or information relating to an offense; or
    2. Offers, confers, or agrees to confer a benefit and the receipt of the benefit is prohibited by this section.
  2. Compounding is a:
    1. Class B felony if the offense concealed is a Class Y felony;
    2. Class C felony if the offense concealed is a Class A felony;
    3. Class D felony if the offense concealed is:
      1. A Class B felony;
      2. A Class C felony;
      3. A Class D felony; or
      4. An unclassified felony; or
    4. Class B misdemeanor if the offense concealed is a misdemeanor of any class.

History. Acts 1975, No. 280, § 2807; 1977, No. 360, § 16; A.S.A. 1947, § 41-2807; Acts 1991, No. 1049, § 1.

Research References

U. Ark. Little Rock L.J.

Survey — Criminal Law, 14 U. Ark. Little Rock L.J. 753.

Case Notes

Contracts.

Any contract, the consideration of which was to conceal crime, or stifle a prosecution therefor, was void. Goodrum v. Merchants' & Planters' Bank, 102 Ark. 326, 144 S.W. 198 (1912) (decision under prior law).

A deed of trust executed to secure the payment of embezzled money was not void, in the absence of a promise to forbear prosecution of the husband or to suppress evidence tending to prove his guilt. Goodrum v. Merchants' & Planters' Bank, 102 Ark. 326, 144 S.W. 198 (1912) (decision under prior law).

Pecuniary Benefit.

Where five people, in return for a promised reward, abetted another by agreeing to conceal the truth of a crime, they were all guilty as principals. Bridges v. State, 257 Ark. 527, 519 S.W.2d 756 (1975) (decision under prior law).

Cited: Griffin v. State, 25 Ark. App. 186, 755 S.W.2d 574 (1988).

5-54-108. Hindering prosecution and compounding — No defense.

It is no defense to a prosecution for hindering prosecution or compounding that the principal offender is not apprehended, prosecuted, convicted, or punished.

History. Acts 1975, No. 280, § 2808; A.S.A. 1947, § 41-2808.

Research References

Ark. L. Rev.

The Impact of the 1976 Criminal Code on the Law of Accessorial Liability in Arkansas, 31 Ark. L. Rev. 100.

5-54-109. Refusing to assist law enforcement officer.

  1. A person commits the offense of refusing to assist a law enforcement officer if, upon command by a person known by him or her to be a law enforcement officer, the person unreasonably refuses or fails to assist in effecting a lawful arrest or preventing another person from committing an offense.
  2. Refusing to assist a law enforcement officer is a Class C misdemeanor.

History. Acts 1975, No. 280, § 2809; A.S.A. 1947, § 41-2809.

Research References

U. Ark. Little Rock L. Rev.

Breanna Trombley, Note: Criminal Law — No Stitches for Snitches: The Need for a Duty-to-Report Law in Arkansas, 34 U. Ark. Little Rock L. Rev. 813 (2012).

5-54-110. First degree escape.

  1. A person commits the offense of first degree escape if:
    1. At any time, including from the point of departure from confinement to the return to confinement, aided by another person actually present, he or she uses or threatens to use physical force in escaping from:
      1. Custody;
      2. A correctional facility;
      3. A juvenile detention facility; or
      4. A youth services program; or
    2. At any time, including from the point of departure from confinement to the return to confinement, he or she uses or threatens to use a deadly weapon in escaping from:
      1. Custody;
      2. A correctional facility;
      3. A juvenile detention facility; or
      4. A youth services program.
    1. First degree escape is a Class A felony if, at the time of the escape, the person is in the custody of:
      1. The Division of Correction;
      2. The Division of Community Correction; or
      3. A law enforcement agency.
    2. Otherwise first degree escape is a Class C felony.

History. Acts 1975, No. 280, § 2810; A.S.A. 1947, § 41-2810; Acts 1997, No. 1229, § 3; 1997, No. 1299, § 3; 2003, No. 1348, § 1; 2005, No. 1994, § 254; 2009, No. 478, § 1; 2019, No. 910, § 676.

Amendments. The 2003 amendment added “At anytime from the point of departure from confinement to the return to confinement” in (a)(1) and (2); and made minor stylistic changes.

The 2005 amendment inserted “including” in (a)(1) and (a)(2); and substituted “program” for “facility” in (a)(1)(D) and (a)(2)(D).

The 2009 amendment rewrote (b).

The 2019 amendment substituted “Division of Correction” for “Department of Correction” in (b)(1)(A), and “Division of Community Correction” for “Department of Community Correction” in (b)(1)(B).

Research References

Ark. L. Rev.

Manslaughter: The Resting Place of Several Former Statutes, 30 Ark. L. Rev. 213.

Case Notes

Accomplice.

A prisoner who aided others to escape, and escaped himself by the same means, was an accomplice to such escape. Hillian v. State, 50 Ark. 523, 8 S.W. 834 (1888) (decision under prior law).

Evidence held sufficient to support conviction as an accomplice. Shinsky v. State, 250 Ark. 620, 466 S.W.2d 911 (1971) (decision under prior law); Ruiz v. State, 5 Ark. App. 151, 633 S.W.2d 399 (1982).

To convict one as an accomplice to first degree escape, the state is required to prove he aided, agreed to aid or attempted to aid another person to escape as that crime is defined in this section. Ruiz v. State, 5 Ark. App. 151, 633 S.W.2d 399 (1982).

Custody.

A person confined in jail was “in custody” within former section which penalized anyone who rescued a felon. Hillian v. State, 50 Ark. 523, 8 S.W. 834 (1888) (decision under prior law).

The mere fact of physical custody or imprisonment was not sufficient evidence to sustain a conviction for escape or attempt to escape, but the burden was upon the state to prove that such custody or imprisonment was lawful. Harding v. State, 248 Ark. 1240, 455 S.W.2d 695 (1970) (decision under prior law).

Evidence held sufficient to establish that defendant was lawfully imprisoned. Brown v. State, 252 Ark. 846, 481 S.W.2d 366 (1972) (decision under prior law).

State held to have failed to show that the defendant was in lawful custody at the time he ran away from the presence of the officers, so as to constitute offense of escape under former section concerning escape from penitentiary. Akins v. State, 253 Ark. 273, 485 S.W.2d 535 (1972) (decision under prior law).

Furnishing Implements for Escape.

A person guilty of furnishing implements for the escape of county prisoners was liable to be punished under former section concerning penalty for those conveying disguised instruments into jail and not under former section concerning penalty for anyone setting at liberty a prisoner who has been lawfully arrested. Autrey v. State, 155 Ark. 546, 244 S.W. 711 (1922) (decision under prior law).

Indictment or Information.

Indictment held sufficient. Dickens v. State, 109 Ark. 425, 160 S.W. 218 (1913) (decision under prior law).

Jury Question.

Whether the defendant jumped in front of the arresting officer to prevent him from shooting his brother, or whether he did so to rescue his brother, was for the jury to decide. Bowlin v. State, 175 Ark. 1047, 1 S.W.2d 546 (1928) (decision under prior law).

Sentencing.

Circuit court did not err in denying petitioner postconviction relief because he failed to show he was prejudiced when trial counsel stated during his opening statement that petitioner escaped from jail while awaiting trial; during sentencing at petitioner's capital-murder trial, the State could have moved to introduce his conviction for escape to be used as an aggravating circumstance in the jury's weighing of the death penalty because the prior felony involved the use or threat of violence. Sales v. State, 2014 Ark. 384, 441 S.W.3d 883 (2014).

Separate Offenses.

Since kidnapping, theft, and escape involve proof of different elements and are punishable as separate crimes, the defendant was not subjected to double jeopardy due to the multiple sentences imposed by the trial court. Matthews v. Lockhart, 726 F.2d 394 (8th Cir. 1984).

Defendant did not commit first-degree escape when he hid in a hog-slop tank in a prison that was hauled from the prison, jumped from the tank once it was outside the prison, walked five miles to the victim's home, and killed and robbed the victim more than three hours after he had escaped from prison; defendant had already completed his escape from prison, by leaving the bounds within which he was required to remain, when he killed and robbed the victim. Williams v. State, 347 Ark. 728, 67 S.W.3d 548 (2002).

Cited: Wright v. State, 270 Ark. 78, 603 S.W.2d 408 (1980); Hawksley v. State, 276 Ark. 504, 637 S.W.2d 573 (1982).

5-54-111. Second degree escape.

  1. A person commits the offense of second degree escape if he or she:
    1. At any time, including from the point of departure from confinement to the return to confinement, uses or threatens to use physical force in escaping from custody;
    2. Having been found guilty of a felony, escapes from custody;
    3. Escapes from a correctional facility;
    4. Escapes from a juvenile detention facility; or
    5. Escapes from a youth services program.
    1. Second degree escape is a Class B felony if, at the time of the escape, the person is in the custody of:
      1. The Division of Correction;
      2. The Division of Community Correction; or
      3. A law enforcement agency.
    2. Otherwise second degree escape is a Class D felony.

History. Acts 1975, No. 280, § 2811; A.S.A. 1947, § 41-2811; Acts 1997, No. 1229, § 4; 1997, No. 1299, § 4; 2003, No. 1348, § 2; 2005, No. 1994, § 255; 2009, No. 478, § 2; 2019, No. 910, § 677.

Amendments. The 2003 amendment added “At anytime from the point of departure from confinement to the return to confinement” in (a)(1); and made stylistic changes.

The 2005 amendment inserted “including” in (a)(1); and substituted “program” for “facility” in (a)(5).

The 2009 amendment rewrote (b).

The 2019 amendment substituted “Division of Correction” for “Department of Correction” in (b)(1)(A), and “Division of Community Correction” for “Department of Community Correction” in (b)(1)(B).

Research References

Ark. L. Rev.

Rachel A. Orr, Recent Developments: Arkansas Supreme Court Defines “In Custody” Element of Second-Degree Escape Charge, 65 Ark. L. Rev. 163 (2012).

Case Notes

Correctional Facility.

Defendant escaping from the holding cell was properly charged with second-degree escape. Glover v. State, 8 Ark. App. 104, 648 S.W.2d 824 (1983).

County jail was a “correctional facility.” Stout v. State, 304 Ark. 610, 804 S.W.2d 686 (1991).

Evidence.

Evidence held sufficient to support the defendant's conviction for escape. Wilson v. State, 277 Ark. 43, 639 S.W.2d 45 (1982).

Where the defendant forged a court order which declared his convictions void, there was sufficient evidence to sustain a guilty verdict for second degree escape, and the Attorney General's statement that the order was valid did not legitimize the fraudulent order. Wade v. State, 290 Ark. 16, 716 S.W.2d 194 (1986).

Lesser-Included Offenses.

Offense of third-degree escape of which defendant was found guilty is a lesser-included offense of second-degree escape with which he was charged. France v. State, 262 Ark. 193, 555 S.W.2d 225 (1977).

Proof.

To convict a person of the crime of escape, it was not sufficient merely to offer evidence that someone by the same name of the accused was convicted, but there had to be evidence that the accused was the same identical person who was convicted. Pennington v. State, 260 Ark. 844, 545 S.W.2d 72 (1977) (decision under prior law).

It was not necessary that the state prove a transfer of an inmate from one institution to another so long as it was within the authority of the Department of Correction to make such transfer and the state needed to prove only that the accused was in the custody of the department when he escaped. Pennington v. State, 260 Ark. 844, 545 S.W.2d 72 (1977) (decision under prior law).

There is nothing in this section suggesting that proof of the specific crime is an element of escape, only that the accused has escaped from a correctional facility. Bussard v. State, 296 Ark. 556, 759 S.W.2d 24 (1988).

Because defendant was not “in custody” at the time defendant violated the conditions of defendant's release on bond under § 16-90-122, the circuit court erred in denying defendant's motion for directed verdict on defendant's conviction for second-degree escape under subdivision (a)(2) of this section. Magness v. State, 2012 Ark. 16, 386 S.W.3d 390 (2012).

Cited: Glick v. State, 3 Ark. App. 175, 623 S.W.2d 546 (1981); Bosnick v. State, 275 Ark. 52, 627 S.W.2d 23 (1982); Williams v. State, 347 Ark. 728, 67 S.W.3d 548 (2002); Avery v. State, 93 Ark. App. 112, 217 S.W.3d 162 (2005).

5-54-112. Third degree escape.

  1. A person commits the offense of third degree escape if he or she escapes from custody.
  2. It is a defense to a prosecution under this section that the person escaping was in custody pursuant to an unlawful arrest.
    1. Third degree escape is a Class C felony if, at the time of the escape, the person is in the custody of:
      1. The Division of Correction;
      2. The Division of Community Correction; or
      3. A law enforcement agency.
    2. Otherwise third degree escape is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2812; A.S.A. 1947, § 41-2812; Acts 2009, No. 478, § 3; 2019, No. 910, § 678.

Amendments. The 2009 amendment rewrote (c).

The 2019 amendment substituted “Division of Correction” for “Department of Correction” in (c)(1)(A), and “Division of Community Correction” for “Department of Community Correction” in (c)(1)(B).

Case Notes

Defenses.

Since a conviction of third-degree escape can be based on any of three culpable mental states, this crime is a general intent crime for which voluntary intoxication is no defense. Menard v. State, 16 Ark. App. 219, 699 S.W.2d 412 (1985).

Evidence.

Evidence held sufficient for the jury to decide that defendant was guilty of third degree escape. Blair v. State, 16 Ark. App. 1, 696 S.W.2d 755 (1985).

Instructions.

Where the defendant escaped from the holding cell, refusal to instruct on the lesser included offense of third-degree escape from mere custody was proper. Glover v. State, 8 Ark. App. 104, 648 S.W.2d 824 (1983).

Intent.

Specific intent is not a necessary element of this crime; the mens rea may be satisfied by proof that the accused acted recklessly or knowingly, as well as by proof that the accused acted purposely. Menard v. State, 16 Ark. App. 219, 699 S.W.2d 412 (1985).

Cited: France v. State, 262 Ark. 193, 555 S.W.2d 225 (1977); Hawksley v. State, 276 Ark. 504, 637 S.W.2d 573 (1982).

5-54-113. Permitting escape in the first degree.

  1. A public servant responsible for supervision of persons detained in correctional facilities or in custody commits the offense of permitting escape in the first degree if he or she knowingly permits the escape of a person known to be detained in a correctional facility or in custody pursuant to an arrest for, or a charge or conviction of, a felony of any class.
  2. Permitting escape in the first degree is a Class C felony.

History. Acts 1975, No. 280, § 2813; A.S.A. 1947, § 41-2813.

Case Notes

In General.

A voluntary escape took place when one who had a felon lawfully in his custody voluntarily permitted him to escape from it or to go at large. Martin v. State, 32 Ark. 124 (1877) (decision under prior law).

Construction.

Former section establishing penalty for those permitting the escape of any convict should have been strictly constructed. Decker v. State, 189 Ark. 739, 75 S.W.2d 69 (1934) (decision under prior law).

Drunkenness.

Where the escape of a prisoner was not caused or contributed to by the defendant's drunkenness, it was held that the fact that the defendant was drunk did not render him guilty of permitting the escape of a convict. Decker v. State, 189 Ark. 739, 75 S.W.2d 69 (1934) (decision under prior law).

Evidence.

The fact that a prisoner was hiding outside the prison grounds was sufficient evidence for a jury to infer that he intended to escape. Cassady v. State, 247 Ark. 690, 447 S.W.2d 144 (1969) (decision under prior law).

Indictment or Information.

Indictment held to sufficiently allege that the prisoner was in the defendant's lawful custody. Houpt v. State, 100 Ark. 409, 140 S.W. 294 (1911) (decision under prior law).

Intent.

The offense of voluntary escape consisted of voluntarily suffering, permitting or conniving at the escape of a prisoner from custody or permitted him to go at large, and it was unnecessary to prove that this was done with the intent to save him from trial or the execution of a sentence. Houpt v. State, 100 Ark. 409, 140 S.W. 294 (1911) (decision under prior law).

Cited: State v. Garrison, 272 Ark. 470, 615 S.W.2d 371 (1981).

5-54-114. [Repealed.]

Publisher's Notes. This section, concerning permitting escape in the second degree, was repealed by Acts 2005, No. 1994, § 532. The section was derived from Acts 1975, No. 280, § 2814; A.S.A. 1947, § 41-2814.

5-54-115. Permitting escape or unauthorized departure in the second degree.

  1. A public servant is responsible for the supervision of persons from:
    1. A correctional facility;
    2. Custody; or
    3. Pursuant to a court order or petition in:
      1. The Arkansas State Hospital; or
      2. A juvenile detention facility or youth services program.
  2. A public servant, as listed in subdivision (a)(3) of this section, commits the offense of permitting escape or unauthorized departure in the second degree if he or she recklessly permits a person to escape or make an unauthorized departure.
  3. Permitting escape or unauthorized departure in the second degree is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2815; A.S.A. 1947, § 41-2815; Acts 1997, No. 1229, § 5; 1997, No. 1299, § 5; 2005, No. 1994, § 329.

Amendments. The 2005 amendment rewrote this section.

5-54-116. Aiding an unauthorized departure.

  1. A person commits the offense of aiding an unauthorized departure if, not being an inmate in a youth services program, a youth services facility, or the Arkansas State Hospital, he or she knowingly aids another person in making or attempting to make an unauthorized departure from a juvenile detention facility, a youth services program, or the Arkansas State Hospital.
    1. Aiding an unauthorized departure is a Class C felony if the person aiding an unauthorized departure uses physical force or uses or threatens to use a deadly weapon.
    2. Otherwise, aiding an unauthorized departure is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2816; A.S.A. 1947, § 41-2816; Acts 1997, No. 1229, § 6; 1997, No. 1299, § 6; 2005, No. 1994, § 256.

Amendments. The 2005 amendment, in (a), substituted “program” for “facility” twice and inserted “or she.”

5-54-117. Assisting in or furnishing an implement for escape.

  1. A person commits the offense of assisting in or furnishing an implement for escape if, with the purpose of facilitating escape, he or she:
    1. Introduces an implement for escape into a correctional facility;
    2. Provides an inmate in a correctional facility with an implement for escape;
    3. Provides a person in custody with an implement for escape;
    4. Provides transportation of any kind that is used in the commission or furtherance of an escape from a correctional facility;
    5. Furnishes food, clothing, finances, or other aid to a person who escaped from a correctional facility; or
    6. Provides shelter or housing to a person who escaped from a correctional facility.
    1. Assisting in or furnishing an implement for escape is a Class B felony if the implement for escape provided is a deadly weapon.
    2. Otherwise assisting in or furnishing an implement for escape is a Class C felony.

History. Acts 1975, No. 280, § 2817; A.S.A. 1947, § 41-2817; Acts 2009, No. 478, § 4; 2011, No. 1120, § 11.

Amendments. The 2009 amendment, in (a), inserted “assisting in or” in the introductory language, inserted (a)(4) through (a)(6), and made related changes; in (b), substituted “Class B” for “Class C” in (b)(1) and substituted “Class C” for “Class D” in (b)(2).

The 2011 amendment substituted “assisting in or furnishing” for “furnishing” or variant in (b)(1) and (b)(2).

Case Notes

Acts Constituting Offense.

Offense was complete when the instrument was conveyed into the jail with the intent mentioned, whether the escape was affected or attempted or not. Maxey v. State, 76 Ark. 276, 88 S.W. 1009 (1905) (decision under prior law).

A person guilty of furnishing implements for the escape of county prisoners was liable to be punished under former section concerning penalty for those conveying disguised instruments into jail and not under former section concerning penalty for anyone setting at liberty a prisoner who has been lawfully arrested. Autrey v. State, 155 Ark. 546, 244 S.W. 711 (1922) (decision under prior law).

5-54-118. Furnishing implement for unauthorized departure.

  1. A person commits the offense of furnishing an implement for unauthorized departure if, with the purpose of facilitating an unauthorized departure, he or she:
    1. Introduces an implement for unauthorized departure into the Arkansas State Hospital or a youth services program; or
    2. Provides a person detained in the Arkansas State Hospital or a youth services program with an implement for unauthorized departure.
    1. Furnishing an implement for unauthorized departure is a Class C felony if the implement furnished is a deadly weapon.
    2. Otherwise, furnishing an implement for unauthorized departure is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2818; A.S.A. 1947, § 41-2818; Acts 2005, No. 1994, § 257.

Amendments. The 2005 amendment inserted “or she” in (a); and substituted “youth services program” for “juvenile training school” in (a)(1) and (a)(2).

5-54-119. Furnishing, possessing, or using prohibited articles — Delivering a prohibited article.

  1. A person commits the offense of furnishing a prohibited article if he or she knowingly:
    1. Introduces a prohibited article into a correctional facility, the Arkansas State Hospital, or a youth services program; or
    2. Provides a person confined in a correctional facility, the Arkansas State Hospital, or a youth services program with a prohibited article.
      1. Furnishing or providing a weapon, intoxicating beverage, controlled substance, moneys, a cellular telephone or other communication device, the components of a cellular telephone or other communication device, or any other items that would facilitate an escape, engaging in a continuing criminal enterprise, § 5-64-405, or violence within a facility is a Class B felony.
      2. Otherwise, furnishing a prohibited article is a Class C felony.
    1. This section does not apply to a religious official who supplies sacramental wine labeled as sacramental wine to an inmate in the Division of Correction for the sole purpose of an approved religious service, pursuant to rules promulgated by the Board of Corrections.
    1. A person commits possessing a prohibited article if, being an inmate of a correctional facility or in the custody of a correctional facility, the person knowingly possesses a:
      1. Cellular telephone or other communication device;
      2. Component of a cellular telephone or other communication device; or
      3. Controlled substance.
    2. Possessing a prohibited article is a Class B felony.
    1. A person commits using a prohibited article if, being an inmate of a correctional facility or in the custody of a correctional facility, the person knowingly uses a cellular telephone or other communication device to commit or to attempt, conspire, or solicit to commit:
      1. An escape from the custody of the correctional facility;
      2. Engaging in a continuing criminal enterprise, § 5-64-405; or
      3. A violent felony as defined at § 5-4-501(d)(2).
    2. Using a prohibited article is a Class A felony.
    1. A person commits the offense of delivering a prohibited article if, being an inmate of a correctional facility or in the custody of a correctional facility, the person knowingly delivers a controlled substance to another person.
      1. Delivering a prohibited article is a Class A felony if the controlled substance through its use causes the death of or serious bodily injury to another person.
      2. Otherwise, delivering a prohibited article is a Class B felony.
  2. A person may not be convicted of furnishing, possessing, or delivering a prohibited article if the prohibited article is a controlled substance and the person has been charged with, tried for, or convicted of a possession or delivery offense under § 5-64-401 et seq., that arises out of the same set of facts.

History. Acts 1975, No. 280, § 2819; 1977, No. 360, § 17; 1985, No. 686, § 1; A.S.A. 1947, § 41-2819; Acts 1988 (4th Ex. Sess.), No. 8, § 2; 1988 (4th Ex. Sess.), No. 23, § 2; 2005, No. 168, § 1; 2005, No. 1994, § 258; 2009, No. 479, § 1; 2013, No. 129, § 1; 2019, No. 315, § 151; 2019, No. 672, § 1.

Amendments. The 2005 amendment by No. 168 inserted “or she” in (a); added the subdivision designations in (b); and, in (b)(1), inserted “a cellular telephone or other communication device, the components of a cellular telephone or other communication device” and “a continuing criminal enterprise as defined in § 5-64-405.”

The 2005 amendment by No. 1994 substituted “youth services program” for “juvenile training school” in (a)(1) and (a)(2); and substituted “Board of Corrections” for “Board of Correction and Community Punishment” in (b)(2).

The 2009 amendment added (c) and (d).

The 2013 amendment substituted “a correctional facility or in the custody of a correctional facility” for “the Department of Correction” in (c)(1) and (d)(1); substituted “uses” for “used” in (d)(1); and substituted “the correctional facility” for “the Department of Correction” in (d)(1)(A).

The 2019 amendment by No. 315 deleted “and regulations” following “rules” in (b)(2).

The 2019 amendment by No. 672 added “Delivering a prohibited article” in the section heading; substituted “Division” for “Department” in (b)(2); and added (c)(1)(C), (e) and (f).

Research References

ALR.

Propriety of lesser included offense charge in state prosecution of narcotics defendant — Marijuana cases. 1 A.L.R.6th 549.

Propriety of lesser included offense charge in state prosecution of narcotics defendant — Cocaine cases. 2 A.L.R.6th 551.

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2005 Arkansas General Assembly, Criminal Law, 28 U. Ark. Little Rock L. Rev. 335.

Case Notes

Evidence.

Evidence was sufficient to sustain conviction. Sims v. State, 30 Ark. App. 168, 786 S.W.2d 839 (1990).

Lesser-Included Offenses.

Possession of marijuana is a lesser-included offense of furnishing a prohibited item. Goodwin v. State, 342 Ark. 161, 27 S.W.3d 397 (2000), but see McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002), restating the test for determining when an offense is included in another offense.

Cited: K.W. v. State, 327 Ark. 205, 937 S.W.2d 658 (1997).

5-54-120. Failure to appear.

  1. As used in this section, “pending charge” means a charge that results from an arrest or issuance of a citation or criminal summons, or after the filing of a criminal information or indictment and that has not been resolved by acquittal, conviction, dismissal, or nolle prosequi.
  2. A person commits the offense of failure to appear if he or she fails to appear without reasonable excuse subsequent to having been:
    1. Cited or summonsed as an accused; or
    2. Lawfully set at liberty upon condition that he or she appear at a specified time, place, and court.
  3. Failure to appear is a:
    1. Class C felony if the required appearance was in regard to a pending charge or disposition of a felony charge either before or after a determination of guilt of the felony charge;
    2. Class D felony if the required appearance was in regard to an order to appear issued before a revocation hearing under § 16-93-307 and the defendant was placed on probation or received a suspended sentence for a felony offense;
    3. Class A misdemeanor if the required appearance was in regard to a pending charge or disposition of a Class A misdemeanor charge either before or after a determination of guilt of the Class A misdemeanor charge;
    4. Class B misdemeanor if the required appearance was in regard to a pending charge or disposition of a Class B misdemeanor charge either before or after a determination of guilt of the Class B misdemeanor charge;
    5. Class B misdemeanor if the required appearance was in regard to a pending charge or disposition of a Class C misdemeanor charge either before or after a determination of guilt of the Class C misdemeanor charge;
    6. Unclassified misdemeanor with the same penalty as the unclassified misdemeanor in the pending charge or disposition if the required appearance was in regard to a pending charge or disposition of an unclassified misdemeanor either before or after a determination of guilt on the unclassified misdemeanor charge; and
    7. Class C misdemeanor if the required appearance was in regard to a pending charge or disposition of a violation either before or after a determination of guilt of the violation charge.
  4. This section does not apply to an order to appear imposed as a condition of suspension or probation under § 5-4-303.

History. Acts 1975, No. 280, § 2820; A.S.A. 1947, § 41-2820; Acts 1991, No. 916, § 1; 2011, No. 514, § 1; 2011, No. 570, § 32; 2013, No. 1193, § 1; 2015, No. 538, § 1; 2015, No. 1155, § 9; 2019, No. 322, § 1.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2011 amendment by No. 514 rewrote (b) and (c).

The 2011 amendment by No. 570, in (d), substituted “under § 5-4-303” for “pursuant to § 5-4-303” and “under § 16-93-307” for “pursuant to § 5-4-310”.

The 2013 amendment added (b)(2); and redesignated (c)(1) through (6) as (b)(3) through (8).

The 2015 amendment by No. 538 added (a) and redesignated the remaining subsections accordingly; inserted “felony” preceding “charge” at the end of (c)(1); inserted “received a” preceding “suspended” in (c)(2); inserted “Class A misdemeanor” preceding “charge” at the end of (c)(3); inserted “Class B misdemeanor” preceding “charge” at the end of (c)(4); inserted “Class C misdemeanor” preceding “charge” at the end of (c)(5); deleted (c)(6) [formerly (b)(6)] and redesignated the remaining subdivisions accordingly; in present (c)(6), substituted “Unclassified misdemeanor” for “Class B misdemeanor” at the beginning and inserted “unclassified misdemeanor” preceding “charge” at the end; and inserted “violation” preceding “charge” at the end of (c)(7).

The 2015 amendment by No. 1155 deleted (b)(6).

The 2019 amendment inserted “or issuance of a citation or criminal summons” in (a).

Case Notes

Accomplice.

Evidence was sufficient to support conviction of bail bondsman as accomplice to failure to appear with respect to the person for whom he was bail bondsman, but not for another person where there was no evidence showing that he was aware of the criminal charges pending against such other person. Martinez v. State, 269 Ark. 231, 601 S.W.2d 576 (1980).

Evidence.

Evidence did not support a conviction for failure to appear because it was insufficient to show that defendant knew that his trial started at 8:30 a.m. An order granting a continuance and setting trial for March 11, 2014, was conspicuously void of a specified time. Clark v. State, 2015 Ark. App. 142, 457 S.W.3d 305 (2015).

Evidence that, in a pretrial-release order, defendant was ordered to appear in the district court on a specified date, defendant failed to appear in court on that date, and the jury heard testimony that defendant had been arrested on suspicion of DUI was clearly sufficient to support defendant's conviction for failure to appear. Reese v. State, 2018 Ark. App. 336, 552 S.W.3d 47 (2018).

Excuse.

Where the defendant had actual notice of the date he was to appear, the failure of the court to give him written notice of the time and place to appear did not violate his due process rights and was not sufficient cause to reverse his conviction for failure to appear. Harris v. State, 6 Ark. App. 89, 638 S.W.2d 698 (1982).

Even if defendant proved conclusively that he was advised by his lawyer not to appear, his failure to appear, in violation of this section, would not have been excused. Atkins v. State, 287 Ark. 445, 701 S.W.2d 109 (1985).

Defendant did not establish that he had a reasonable excuse for his failure to appear. Payne v. State, 21 Ark. App. 243, 731 S.W.2d 235 (1987).

Defendant was improperly convicted of failure to appear because the trial court erred by allowing a former attorney to testify regarding a phone call where defendant was advised of his court date; the communication between defendant and his former attorney was privileged. The former attorney's testimony was the only evidence in the record that defendant did not have a reasonable excuse for failure to appear based on lack of notice. Buckley v. State, 2014 Ark. App. 516, 443 S.W.3d 559 (2014).

Propriety of Sentence.

Sentence of 119 months for failure to appear was not an abuse of discretion, it was clear from the trial court's ruling that the severity of the sentence that defendant received was due to the seriousness of the circumstances surrounding the offense and there was no indication that defendant was being punished for offenses for which he was not convicted or that his sentence was a result of passion or prejudice. Whittier v. State, 2015 Ark. App. 536 (2015).

Requirements.

Circuit court erred in denying defendant's motion to dismiss where the state failed to produce substantial evidence that defendant received actual notice of the time and place to appear in court or that she received written notice of the time and place to appear; more had to be offered in the way of documentary proof or a judge's order, either written or verbal, to subject a defendant to a felony conviction for failure to appear. Stewart v. State, 362 Ark. 400, 208 S.W.3d 768 (2005).

Circuit court erred in denying defendant's motion for a directed verdict because the offense of failure to appear could only be a Class C felony if the required appearance was in regard to a charge that had been filed, but not yet adjudicated, there was insufficient evidence supporting defendant's conviction, the return of service on the initial arrest warrant was never completed, and the appearance agreement, which was the basis for the charge, was signed only by defendant and the sheriff. Thompson v. State, 2014 Ark. 413, 464 S.W.3d 111 (2014).

Cited: Howard v. State, 289 Ark. 587, 715 S.W.2d 440 (1986).

5-54-121. Tampering with a public record.

  1. A person commits the offense of tampering with a public record if, with the purpose of impairing the verity, legibility, or availability of a public record, he or she knowingly:
    1. Makes a false entry in or falsely alters any public record; or
    2. Erases, obliterates, removes, destroys, or conceals a public record.
      1. Tampering with a public record is a Class C felony if the public record is a court record.
      2. Tampering with a public record is a Class B felony if the public record is a court record and the person broke into any building or structure with the intent of tampering with a court record located in the building or structure.
    1. Otherwise, tampering with a public record is a Class D felony.

History. Acts 1975, No. 280, § 2821; A.S.A. 1947, § 41-2821; Acts 1987, No. 37, § 1; 1999, No. 1104, § 1.

Case Notes

Cited: Hester v. Langston, 297 Ark. 87, 759 S.W.2d 797 (1988).

5-54-122. Filing false report with law enforcement agency.

  1. As used in this section, “report” means any communication, either written or oral, sworn or unsworn.
  2. A person commits the offense of filing a false report if he or she files a report with any law enforcement agency or prosecuting attorney's office of any alleged criminal wrongdoing on the part of another person knowing that the report is false.
    1. Filing a false report is a Class D felony if:
      1. The alleged criminal wrongdoing is a capital offense, Class Y felony, Class A felony, or Class B felony;
      2. The law enforcement agency or prosecuting attorney's office to whom the false report is made has expended in excess of five hundred dollars ($500) in order to investigate the false report, including the costs of labor;
      3. Physical injury results to any person as a result of the false report;
      4. The false report is made in an effort by the person filing the false report to conceal his or her own criminal activity; or
      5. The false report results in another person being arrested.
    2. Otherwise, filing a false report is a Class A misdemeanor.

History. Acts 1989, No. 690, §§ 1-3; 2007, No. 827, § 46.

Research References

U. Ark. Little Rock L.J.

Survey, Criminal Law, 12 U. Ark. Little Rock L.J. 617.

Case Notes

Construction.

There can be a violation of this section even when the false statement is made by a person other than the one who actually calls the police to report the crime. Stephens v. State, 328 Ark. 570, 944 S.W.2d 836 (1997).

Argument on Appeal.

Defendant's argument at trial was that two statements did not conflict and that the State did not prove that her statement was false, and at no time did she contend that the State's proof was lacking due to there only being proof of inconsistent statements made by her, for purposes of her false report conviction; she was limited on appeal to the scope of the argument she made in the trial court. Ingram v. State, 2014 Ark. App. 707, 452 S.W.3d 595 (2014).

Class D Felony.

Defendant's false report resulted in the evidence presented of the man hours and cost to the police department, and this evidence was sufficient to prove an expenditure in excess of $500, such that substantial evidence supported defendant's conviction of a Class D felony; her argument regarding Class Y, A, or B felonies did not need to be addressed because the expenditure in excess of $500 satisfied subdivision (c)(1) of this section in elevating filing a false report to a Class D felony. Ingram v. State, 2014 Ark. App. 707, 452 S.W.3d 595 (2014).

Evidence.

Defendant violated this section even though she did not make the call to the police regarding an alleged theft, where her false statements to the victim and the police were the sole links that connected another to the disappearance of money. Stephens v. State, 328 Ark. 570, 944 S.W.2d 836 (1997).

Where defendant initially told police that he saw a man murder the victim, then said that he himself shot the victim four times and, with the help of an accomplice, disposed of the body in a creek, and later stated to police that his own father had killed the victim, resulting in his father's arrest, defendant's statements constituted filing a false report within the meaning of this section. Curry v. State, 89 Ark. App. 176, 201 S.W.3d 429 (2005).

Defendant's conviction for filing a false police report under subdivision (c)(1)(D) of this section was modified to reflect the misdemeanor offense of filing a false police report under subdivision (c)(2) where the state failed to prove that defendant was attempting to defraud her bank out of money in addition to filing a false police report; the bank employee never testified that defendant tried to defraud the bank out of money, only that defendant reported some fraudulent activity on her account. Boveia v. State, 94 Ark. App. 252, 228 S.W.3d 550 (2006).

Evidence was sufficient to support defendant's conviction for filing a false police report because an officer testified that defendant abandoned his vehicle during an attempted traffic stop, the car was then impounded, and several days later, defendant reported the vehicle stolen. Thus, because defendant abandoned the vehicle, he knew at the time of his report that it had not been stolen. Butler v. State, 2011 Ark. App. 708 (2011).

Substantial evidence supported the circuit court's adjudication of a juvenile defendant as delinquent for filing a false report of rape, given the content of the text messages from the night of the incident and defendant's admission that she had agreed to have sex. The circuit court could have reasonably concluded that defendant did not provide text messages because she knew that they were inconsistent with her report of rape. Also, defendant's conduct after being confronted with those text messages suggested that she knew her report to the police was false. S.C. v. State, 2015 Ark. App. 344, 464 S.W.3d 477 (2015).

Hearsay Exceptions.

Statement was not admissible under Evid. Rule 804(b)(3) as a statement against penal interest because it tended to subject declarant to prosecution under this section; this section does not punish the declarant who makes a true statement, only a false one, whereas admission of statement under Evid. Rule 804(b)(3) is based on the philosophy that the statement is true because its making may subject the declarant to civil or criminal liability. Foreman v. State, 321 Ark. 167, 901 S.W.2d 802 (1995).

Informer.

A citizen informant's tip ranked high on the probable cause reliability scale because he exposed himself to potential prosecution if he were to violate this section. Frette v. City of Springdale, 331 Ark. 103, 959 S.W.2d 734 (1998).

5-54-123, 5-54-124. [Reserved.]

  1. If a person knows that his or her immediate arrest or detention is being attempted by a duly authorized law enforcement officer, it is the lawful duty of the person to refrain from fleeing, either on foot or by means of any vehicle or conveyance.
  2. Fleeing is a separate offense and is not considered a lesser included offense or component offense with relation to other offenses which may occur simultaneously with the fleeing.
  3. Fleeing on foot is considered a Class C misdemeanor, except under the following conditions:
    1. If the defendant has been previously convicted of fleeing on foot anytime within the past one-year period, a subsequent fleeing on foot offense is a Class B misdemeanor;
    2. If property damage occurs as a direct result of the fleeing on foot, the fleeing on foot offense is a Class A misdemeanor; or
    3. If serious physical injury occurs to any person as a direct result of the fleeing on foot, the fleeing on foot offense is a Class D felony.
      1. Fleeing by means of any vehicle or conveyance is considered a Class A misdemeanor.
      2. A person convicted under subdivision (d)(1)(A) of this section shall serve a minimum of two (2) days in jail.
    1. Fleeing by means of any vehicle or conveyance is considered a Class D felony if, under circumstances manifesting extreme indifference to the value of human life, a person purposely operates the vehicle or conveyance in such a manner that creates a substantial danger of death or serious physical injury to another person.
    2. If serious physical injury to any person occurs as a direct result of fleeing by means of any vehicle or conveyance, the fleeing by means of any vehicle or conveyance offense is a Class C felony.
  4. In addition to any other penalty, if the defendant is convicted of violating subsection (d) of this section, the court shall instruct the Office of Driver Services of the Department of Finance and Administration to suspend or revoke the defendant's driver's license for at least six (6) months but not more than one (1) year.

History. Acts 1977, No. 196, §§ 1, 2; A.S.A. 1947, §§ 41-2822, 41-2823; Acts 1993, No. 1217, § 1; 1995, No. 410, § 1; 2009, No. 1304, § 1; 2017, No. 887, § 1.

Amendments. The 2009 amendment substituted “If” for “When” at the beginning of (c)(2), (c)(3), and (d)(3); added “or” at the end of (c)(2); added the (d)(1)(A) designation; added (d)(1)(B); and in (f), substituted “shall” for “may” and “at least six (6) months but” for “a period of.”

The 2017 amendment deleted former (e), and redesignated former (f) as present (e).

Research References

U. Ark. Little Rock L. Rev.

Annual Survey of Case Law: Criminal Law, 29 U. Ark. Little Rock L. Rev. 849.

Case Notes

Evidence.

Evidence sufficient to establish flight. Johnson v. State, 313 Ark. 308, 854 S.W.2d 336 (1993).

Evidence of “serious physical injury” held sufficient. Witherspoon v. State, 319 Ark. 313, 891 S.W.2d 371 (1995); Weeks v. State, 64 Ark. App. 1, 977 S.W.2d 241 (1998).

Where defendant ran a yield sign, narrowly escaped a collision, passed cars in a no-passing zone, drove on the wrong side of the street over a “blind” hill, ran two stop signs, lost control of his car when attempting to negotiate another turn and slid into a chain-link fence, evidence supported a charge of fleeing. Pierce v. State, 79 Ark. App. 263, 86 S.W.3d 1 (2002).

Evidence was sufficient to sustain defendant's fleeing conviction where a deputy saw a motorcycle run a stop sign and attempted to make a traffic stop, the driver of the motorcycle fled reaching speeds approaching 90 miles per hour, the driver successfully escaped on foot, and the deputy testified that he was able to positively identify defendant as the driver of the motorcycle. Garner v. State, 355 Ark. 82, 131 S.W.3d 734 (2003).

Substantial evidence supported defendant's convictions for aggravated robbery, kidnapping, aggravated assault, theft of property, unlawful discharge of a firearm from a vehicle, and fleeing because while the state did not prove that defendant actually entered a bank, it did provide substantial evidence that he was the driver of the getaway car and thus was an accomplice of the two men who committed the aggravated robbery, kidnapping, and theft of property; after an officer turned on his blue lights, defendant accelerated to a speed of 100 miles per hour and struck an SUV, causing it to flip and resulting in injuries to the driver, and that conduct sufficiently satisfied the elements of aggravated assault and fleeing. Barber v. State, 2010 Ark. App. 210, 374 S.W.3d 709 (2010).

Evidence was sufficient to sustain defendant's fleeing conviction because an officer testified that he saw a man whom he later identified as defendant flee on foot after an attempted traffic stop and found defendant's identification card and cell phone in the abandoned vehicle. Butler v. State, 2011 Ark. App. 708 (2011).

Evidence was sufficient that defendant's flight created a substantial danger because an officer testified that his vehicle crossed double-yellow lines, almost hit a car in heavy traffic, outran the pursuing officer who was traveling 70-80 miles per hour, seemed about to turn over, and ran three stop signs. Sharpe v. State, 2013 Ark. App. 436 (2013).

Trial court did not err in refusing to direct a verdict in defendant's favor on the offense of fleeing because, inter alia, defendant told an officer that after he and two other individuals robbed the victim, he took the victim's backpack to the car, and when the police pulled up, he ran; and the officer who responded to a 911 call regarding the incident testified that he found defendant and another man sitting below a culvert in a drainage area at the apartment complex. Britt v. State, 2015 Ark. App. 456, 468 S.W.3d 285 (2015).

Defendant's action of accelerating the truck after the officer activated his blue lights and continuing at a high rate of speed through a busy gas station parking lot past people who were standing outside of their vehicles pumping gas, failing to stop at a fairly busy intersection, and eventually fleeing on foot was sufficient to support defendant's conviction for fleeing under subdivision (d)(2) of this section. Medley v. State, 2016 Ark. App. 79 (2016).

There was substantial evidence to support a conviction for Class D felony vehicular fleeing, as the evidence showed that the road conditions were dangerous due to heavy rain, defendant traveled at such a high rate of speed that officers had to call off the pursuit because it was unsafe, and several cars had to pull over to avoid being hit, supporting a determination that defendant operated his vehicle in a manner that created a substantial danger of death or serious physical injury to others. Donaldson v. State, 2016 Ark. App. 391, 500 S.W.3d 768 (2016).

Fleeing for 22 miles at speeds of 115 miles an hour, passing cars on the shoulder of the interstate, stopping only because state police placed spike strips over the interstate, fleeing for two more miles on deflated tires, crashing to a stop off the road, and running away from police into the woods constituted substantial evidence supporting defendant's fleeing conviction under subdivision (d)(2) of this section. Hernandez-Diaz v. State, 2019 Ark. App. 301, 577 S.W.3d 757 (2019).

Even assuming the witness was an accomplice, there was independent evidence tending to connect defendant with attempted capital murder, unlawful discharge of a firearm from a vehicle, and fleeing, as his letters and call to the witness were consistent with testimony that defendant was the shooter, and the jury could have found that defendant's alleged actions in firing the assault rifle at the officer and telling the driver to go aided and encouraged the driver in fleeing from the officer. Farmer v. State, 2019 Ark. App. 331 (2019).

Fleeing As Underlying Felony.

In a fleeing and manslaughter case where an officer died during a high speed pursuit of defendant, who fled from a store after stealing candy, the trial court did not err by submitting a manslaughter instruction as fleeing was an appropriate underlying felony to support a conviction under § 5-10-104. Fondren v. State, 364 Ark. 498, 221 S.W.3d 333 (2006).

During defendant's trial, the court properly gave an instruction to the jury regarding manslaughter, in violation of § 5-10-104(4)(A), after an officer was killed in a high-speed chase; while the manslaughter charge might have arisen from the same events as felony fleeing, the legislature clearly intended that fleeing be punishable as a separate offense. Fondren v. State, 364 Ark. 498, 221 S.W.3d 333 (2006).

Fleeing can serve as an underlying felony for another offense. Fondren v. State, 364 Ark. 498, 221 S.W.3d 333 (2006).

Fleeing is not to merge into a larger crime. Fondren v. State, 364 Ark. 498, 221 S.W.3d 333 (2006).

Information.

Amending the information to read “serious physical injury” rather than “personal injury” to conform to the 1993 amendment of subdivision (c)(3) after prosecution had presented its case in chief changed neither the degree nor the nature of the offense charged, and thus no error occurred. Witherspoon v. State, 319 Ark. 313, 891 S.W.2d 371 (1995).

Review.

Appellant's sufficiency argument was preserved only for his conviction of leaving the scene of an accident, as he did not challenge his identity in his directed verdict motion for the fleeing apprehension charge. Flemons v. State, 2013 Ark. App. 280 (2013).

Sentence.

Under Arkansas law, possession of a firearm by a felon is at most a class B felony, punishable by no more than 20 years. Unless the flight causes serious physical injury to another, fleeing by vehicle is at most a class D felony, punishable by up to six years. United States v. Thomas, 790 F.3d 784 (8th Cir. 2015).

Unauthorized Sentence.

Court entered an illegal sentence by sentencing the petitioner to seventy-two-months' imprisonment on a misdemeanor, because if property damage occurred as a direct result of fleeing on foot, the offense was a Class A misdemeanor, and a sentence for a Class A misdemeanor should not exceed one year. Arter v. State, 2012 Ark. App. 327, 414 S.W.3d 391 (2012).

Cited: Elmore v. State, 13 Ark. App. 221, 682 S.W.2d 758 (1985); Hall v. State, 299 Ark. 209, 772 S.W.2d 317 (1989); Shaw v. State, 299 Ark. 474, 773 S.W.2d 827 (1989); Sherman v. State, 326 Ark. 153, 931 S.W.2d 417 (1996); Jones v. State, 332 Ark. 617, 967 S.W.2d 559 (1998); Jefferson v. State, 372 Ark. 307, 276 S.W.3d 214 (2008); Flemons v. State, 2016 Ark. 460, 505 S.W.3d 196 (2016).

5-54-126. Killing or injuring animals used by law enforcement or search and rescue dogs.

  1. Any person who:
    1. Purposely kills or physically injures;
    2. Purposely causes physical contact that is of a nature likely to cause physical injury to; or
    3. Attempts to cause physical contact that is of a nature likely to cause physical injury to,
  2. A person who purposely interferes with or obstructs an animal owned by or used by a law enforcement agency or a search and rescue dog used by a law enforcement officer in the discharge or attempted discharge of his or her duties upon conviction is guilty of a Class A misdemeanor.
  3. As used in this section, “search and rescue dog” means a dog:
    1. In training for or trained for the purpose of search and rescue;
    2. Owned by an independent handler or member of a search and rescue team;
    3. Used in conjunction with a local law enforcement organization or an emergency services organization for the purpose of locating a missing person or evidence of arson;
    4. Trained for the purpose of locating controlled substances; or
    5. Trained to assist in the apprehension of persons alleged to have violated any law.
  4. A person guilty of violating this section is also required to make restitution to the law enforcement agency or owner of the animal that suffered a loss due to the violation, including without limitation reimbursement for veterinary bills, and the replacement cost of the animal if the animal is permanently disabled or killed as a result of the violation.

any animal owned by or used by a law enforcement agency or any search and rescue dog upon conviction is guilty of a Class D felony.

History. Acts 1985, No. 446, §§ 1, 2; A.S.A. 1947, §§ 41-2858, 41-2859; Acts 1987, No. 884, § 1; 1999, No. 571, § 1; 2009, No. 530, § 1.

Amendments. The 2009 amendment inserted (a)(2), (a)(3), (b), (c)(4), and (c)(5), and redesignated the remaining subsections and subdivisions accordingly; in (a), deleted “without just cause” following “Any person who” in the introductory language, and inserted “upon conviction” in (a)(3); rewrote (c), which read: “Any person guilty of violating subsection (a) of this section is also required to make restitution to the law enforcement agency or owner so aggrieved”; and made related and minor stylistic changes.

5-54-127. [Repealed.]

Publisher's Notes. This section, concerning an officer failing to execute process, was repealed by Acts 2005, No. 1994, § 520. The section was derived from Rev. Stat., ch. 44, div. 5, art. 3, § 12; C. & M. Dig., § 2582; Pope's Dig., § 3262; A.S.A. 1947, § 41-2853.

5-54-128. [Repealed.]

Publisher's Notes. This section, concerning jailor refusing to receive prisoner, was repealed by Acts 1997, No. 1097, § 2. The section was derived from Rev. Stat., ch. 44, div. 5, art. 3, § 13; C. & M. Dig., § 2583; Pope's Dig., § 3263; A.S.A. 1947, § 41-2851.

For current law, see § 12-41-503.

5-54-129. Search of persons and vehicles entering institutions.

It is lawful for a superintendent, warden, or jailor, or his or her duly authorized agent, to require, as a condition of admission, a reasonable search as permitted by the Arkansas Constitution and the United States Constitution of the person or vehicle of anyone seeking admission to, or to visit in, the Department of Community Correction, jails, state institutions, or other places where persons are confined.

History. Acts 1953, No. 88, § 3; A.S.A. 1947, § 41-2852; Acts 2005, No. 1994, § 494.

Amendments. The 2005 amendment substituted “require, as a condition of admission, a reasonable search as permitted by the state and general constitutions of” for “search,” inserted “Community,” deleted “reformatories, industrial schools, county penal farms” following “Correction” and substituted “places where persons are confined” for “places of confinement where prisoners are confined.”

Case Notes

Strip Searches.

While prison officials have the right to conduct reasonable searches of prison visitors, with far greater latitude than in other settings, the right to indiscriminately strip search anyone who enters is not and cannot be authorized. Smothers v. Gibson, 778 F.2d 470 (8th Cir. 1985).

Strip search of a mother who had been visiting her son on a weekly basis, without incident for several years and who had been strip searched before, and no contraband was ever discovered, was unreasonable and violated the Fourth Amendment to the U.S. Constitution. Smothers v. Gibson, 778 F.2d 470 (8th Cir. 1985).

5-54-130. Radio voice privacy adapters.

  1. It is unlawful for any person other than a law enforcement officer or law enforcement agency, a fire department, the Department of Health, or an employee of a law enforcement agency, a fire department, or the Department of Health to own or operate or possess any radio equipment described as a voice privacy adapter or any other device capable of receiving and decoding police department, fire department, or Department of Health communications that have been transmitted through a voice privacy adapter.
  2. This section does not apply to any police department or agency, any other agency having law enforcement responsibility, a fire department of any political subdivision of this state, or to the Department of Health.
  3. Any person who violates this section is guilty of a violation and upon conviction shall be punished by a fine of not less than fifty dollars ($50.00) nor more than five hundred dollars ($500).
  4. As used in this section, “person” means any person, firm, corporation, association, club, copartnership, society, or any other organization.

History. Acts 1975, No. 973, §§ 1-4; A.S.A. 1947, §§ 41-2854 — 41-2857; Acts 2005, No. 1994, § 51; 2011, No. 178, § 1.

Amendments. The 2005 amendment substituted “guilty of a violation” for “deemed guilty of a misdemeanor” in (c).

The 2011 amendment, in (a), substituted “law enforcement agency, a fire department, the Department of Health, or an employee of a law enforcement agency, a fire department, or the Department of Health” for “law enforcement agency, or fire department or employee of a law enforcement agency or fire department” and “police department, fire department, or Department of Health” for “police and fire department”; and added “or to the Department of Health” at the end of (b).

5-54-131. Absconding.

  1. A person commits the offense of absconding if the person knowingly:
    1. Leaves a designated residence while under house arrest ordered as a condition of the person's release on a criminal offense by a court of competent jurisdiction;
    2. Leaves a designated area while wearing an electronic monitoring device ordered as a condition of the person's release on a criminal offense by a:
      1. Court of competent jurisdiction; or
        1. Sheriff or his or her designee.
        2. A determination by a sheriff or his or her designee placing a person on electronic monitoring remains valid until changed by the sheriff or his or her designee; or
    3. Fails to abide by the terms of his or her sentence or conditions imposed under § 16-90-122 concerning his or her release pending bed space at the Division of Correction or the Division of Community Correction by not reporting to a designated place or at a designated time in order to submit himself or herself to the custody of the Division of Correction or the Division of Community Correction to serve a period of incarceration he or she was previously ordered by a court to serve.
  2. The offense of absconding is a Class D felony.

History. Acts 1993, No. 473, § 1; 1999, No. 755, § 1; 2019, No. 505, § 1.

Amendments. The 2019 amendment added (a)(3).

Research References

U. Ark. Little Rock L.J.

Legislative Survey, Criminal Law, 16 U. Ark. Little Rock L.J. 91.

5-54-132. Projecting a laser light on a law enforcement officer.

  1. It is unlawful for any person to knowingly cause a laser light beam, colored light beam, or other targeting, pointing, or spotting light beam, to be projected, displayed, or shined on a law enforcement officer while in the performance of the law enforcement officer's duties.
  2. Any person violating a provision of this section is guilty of a Class A misdemeanor.

History. Acts 1999, No. 1271, § 1.

5-54-133. Improper use of or altering the state seal.

  1. As used in this section, “state seal” means the Seal of the State of Arkansas described in § 1-4-108(a).
  2. A person commits improper use of or altering the state seal if the person knowingly uses the state seal or an altered version of the state seal in a private, nongovernmental written communication to another person with the purpose to injure, defraud, harass, intimidate, or coerce the other person, and the actor:
    1. Assumes a false identity;
    2. Pretends to be a representative of a state or local agency;
    3. Pretends to be an officer or employee of the government; or
    4. Attempts to collect a debt the actor contends is owed to the actor or another person or organization.
  3. Improper use of or altering the state seal is a Class A misdemeanor.
  4. A prosecution under this section does not preclude a prosecution or civil action under § 4-88-101 et seq.

History. Acts 2017, No. 590, § 1.

Subchapter 2 — Terrorism

Effective Dates. Acts 2003, No. 1342, § 6: Apr. 14, 2003. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the State of Arkansas' criminal statutes do not adequately address terrorism, as terrorism is known since September 11, 2001. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; or (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Research References

ALR.

Justice Against Sponsors of Terrorism Act (“JASTA”), Pub. L. No. 114-222, 130 Stat. 852 (2016) (Codified at 28 U.S.C.A. § 1605B), 31 A.L.R. Fed. 3d Art. 4 (2018).

5-54-201. Definitions.

As used in this subchapter:

  1. “Act of terrorism” means:
    1. Any act that causes or creates a risk of death or serious physical injury to five (5) or more persons;
    2. Any act that disables or destroys the usefulness or operation of any communications system;
    3. Any act or any series of two (2) or more acts committed in furtherance of a single intention, scheme, or design that disables or destroys the usefulness or operation of a computer network, computers, computer programs, or data used by:
      1. Any industry;
      2. Any class of business;
      3. Five (5) or more businesses;
      4. The United States Government;
      5. State government;
      6. Any unit of local government;
      7. A public utility;
      8. A manufacturer of pharmaceuticals;
      9. A national defense contractor; or
      10. A manufacturer of chemical or biological products used in connection with agricultural production;
    4. Any act that disables or causes substantial damage to or destruction of any structure or facility used in or in connection with:
      1. Ground, air, or water transportation;
      2. The production or distribution of electricity, gas, oil, or other fuel;
      3. The treatment of sewage or the treatment or distribution of water; or
      4. Controlling the flow of any body of water;
    5. Any act that causes substantial damage to or destruction of livestock or crops or a series of two (2) or more acts committed in furtherance of a single intention, scheme, or design which, in the aggregate, causes substantial damage to or destruction of livestock or crops;
    6. Any act that causes substantial damage to or destruction of:
      1. Any hospital; or
      2. Any building or facility used by:
        1. The United States Government;
        2. State government;
        3. Any unit of local government;
        4. A national defense contractor;
        5. A public utility; or
        6. A manufacturer of chemical or biological products used in or in connection with agricultural production or the storage or processing of agricultural products or the preparation of agricultural products for food or food products intended for resale or for feed for livestock; or
    7. Any act that causes damage of five hundred thousand dollars ($500,000) or more to any building or set of buildings;
  2. “Agricultural production” means the breeding and growing of livestock and crops;
  3. “Agricultural products” means crops and livestock;
  4. “Biological products used in agriculture” means, but is not limited to, seeds, plants, and deoxyribonucleic acid (DNA) of plants or animals altered for use in crop or livestock breeding or production or which are sold, intended, designed, or produced for use in crop production;
  5. “Communications system” means any works, property, or material of any radio, telegraph, telephone, microwave, cable station, or system;
    1. “Computer” means a device that accepts, processes, stores, retrieves, or outputs data.
    2. “Computer” includes, but is not limited to, auxiliary storage and telecommunications devices;
  6. “Computer network” means a set of related, remotely connected devices and any communications facilities including more than one (1) computer with the capability to transmit data among them through communication facilities;
  7. “Computer program” means a series of coded instructions or statements in a form acceptable to a computer that causes the computer to process data and supply the results of data processing;
    1. “Data” means representations of information, knowledge, facts, concepts, or instructions, including program documentation, which are prepared in a formalized manner and are stored or processed in or transmitted by a computer.
    2. Data may be stored in any form including, but not limited to, magnetic or optical storage media, punch cards, or data stored internally in the memory of a computer;
  8. “Hoax substance” means any substance that would cause a reasonable person to believe that the substance is a:
    1. Dangerous chemical or biological agent;
    2. Poison;
    3. Harmful radioactive substance; or
    4. Similar substance;
  9. “Livestock” means animals bred or raised for human consumption;
  10. “Material support or resources” means:
    1. Currency or other financial securities;
    2. Financial services;
    3. Lodging;
    4. Training;
    5. Safe house;
    6. False documentation or identification;
    7. Communications equipment;
    8. Facilities;
    9. Weapons;
    10. Lethal substances;
    11. Explosives;
    12. Personnel;
    13. Transportation;
    14. Expert services or expert assistance; and
    15. Any other kind of physical assets or intangible property;
    1. “Person” means an individual, public or private corporation, government, partnership, or unincorporated association.
    2. “Person” includes, without limitation, any:
      1. Charitable organization, whether incorporated or unincorporated;
      2. Professional fund raiser, professional solicitor, limited liability company, association, joint stock company, trust, trustee, or any group of people formally or informally affiliated or associated for a common purpose; and
      3. Officer, director, partner, member, or agent of any person;
  11. “Render criminal assistance” means to do any of the following with the purpose of preventing, hindering, or delaying the discovery or apprehension of a person whom he or she knows or believes has committed an offense under this subchapter or is being sought by law enforcement officials for the commission of an offense under this subchapter, or with the purpose to assist a person in profiting or benefiting from the commission of an offense under this subchapter:
    1. Harbor or conceal the person;
    2. Warn the person of impending discovery or apprehension;
    3. Provide the person with:
      1. Money;
      2. Transportation;
      3. A weapon;
      4. A disguise;
      5. False identification documents; or
      6. Any other means of avoiding discovery or apprehension;
    4. Prevent or obstruct, by means of force, intimidation, or deception, anyone from performing an act that might aid in the discovery or apprehension of the person;
    5. Suppress, by any act of concealment, alteration, or destruction, any physical evidence that might aid in the discovery or apprehension of the person or in the lodging of a criminal charge against the person;
    6. Aid the person to protect or expeditiously profit from an advantage derived from the crime; or
      1. Provide expert services or expert assistance to the person.
      2. Providing expert services or expert assistance shall not be construed to apply to:
        1. A licensed attorney who discusses with a client the legal consequences of a proposed course of conduct or advises a client of legal or constitutional rights; or
        2. A licensed medical worker who provides emergency medical treatment to a person whom the licensed medical worker believes committed an offense under this subchapter if, as soon as reasonably practicable either before or after providing the medical treatment, the licensed medical worker notifies a law enforcement agency; and
  12. “Terrorist” means any person who engages in or is about to engage in a terrorist act with the purpose to intimidate or coerce a significant portion of the civilian population or influence the policy of a government or a unit of government.

History. Acts 2003, No. 1342, § 3; 2007, No. 827, §§ 47, 48.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Arkansas Anti-Terrorism Act of 2003, 26 U. Ark. Little Rock L. Rev. 374.

5-54-202. Soliciting material support for terrorism — Providing material support for a terrorist act.

      1. A person commits the offense of soliciting material support for terrorism if the person knowingly raises, solicits, or collects material support or resources knowing:
        1. That the material support or resources will be used, in whole or in part, to plan, prepare, carry out, or avoid apprehension for committing terrorism or causing a catastrophe as defined under § 5-38-202; or
        2. That the material support or resources so raised, solicited, or collected will be used by an organization designated under 8 U.S.C. § 1189, as the list of organizations existed March 1, 2003, and that designates foreign terrorist organizations.
      2. It is not an element of the offense that the defendant knows that an organization has been designated under 8 U.S.C. § 1189, as it existed March 1, 2003.
    1. Soliciting material support for terrorism is a Class Y felony.
    1. A person commits the offense of providing material support for a terrorist act if the person knowingly provides material support or resources to a person knowing that the person will use the material support or resources, in whole or in part, to plan, prepare, carry out, facilitate, or avoid apprehension for committing an act of terrorism or to cause a catastrophe as defined under § 5-38-202.
    2. Providing material support for a terrorist act is a Class Y felony.

History. Acts 2003, No. 1342, § 3.

5-54-203. Making a terrorist threat.

  1. A person commits the offense of making a terrorist threat if, with the purpose to intimidate or coerce a civilian population or to influence the policy of a government or a unit of government by intimidation or coercion, the person in any manner knowingly threatens to commit or causes to be committed a terrorist act and thereby causes a reasonable expectation or fear of the imminent commission of a terrorist act or of another terrorist act.
  2. It is not a defense to a prosecution under this section that at the time the person made the terrorist threat, unknown to him or her it was impossible to carry out the threat, nor is it a defense that the threat was not made to a person who was a subject or intended victim of the threatened act.
  3. Making a terrorist threat is a Class A felony.

History. Acts 2003, No. 1342, § 3.

5-54-204. Falsely communicating a terrorist threat.

  1. A person commits the offense of falsely communicating a terrorist threat if, in any manner, the person knowingly makes a threat to commit or cause to be committed a terrorist act or otherwise creates the impression or belief that a terrorist act is about to be or has been committed or in any manner knowingly makes a threat to commit or cause to be committed a catastrophe, as defined under § 5-38-202, that the person knows is false.
  2. Falsely communicating a terrorist threat is a Class B felony.

History. Acts 2003, No. 1342, § 3.

5-54-205. Terrorism.

  1. A person commits the offense of terrorism if, with the intent to intimidate or coerce a civilian population, influence the policy of a unit of government by using intimidation or coercion, affect the conduct of a unit or level of government by intimidation or coercion, or retaliate against a civilian population or unit of government for a policy or conduct, the person:
    1. Knowingly commits an act of terrorism within this state; or
    2. While outside this state, knowingly commits an act of terrorism that takes effect within this state or produces substantial detrimental effects within this state.
  2. Terrorism is a Class Y felony.

History. Acts 2003, No. 1342, § 3.

5-54-206. Terrorism — Enhanced penalties.

  1. Any person who is found guilty of or who pleads guilty or nolo contendere to terrorism, § 5-54-205, may be subject to an enhanced sentence of an additional term of imprisonment of ten (10) years if the person's acts caused serious physical injury to a law enforcement officer, firefighter, or emergency service technician providing emergency assistance at the scene of the act of terrorism.
  2. The enhanced portion of the sentence is consecutive to any other sentence imposed.
  3. Any person sentenced under this section is not eligible for early release on parole or community correction transfer for the enhanced portion of the sentence.

History. Acts 2003, No. 1342, § 3; 2007, No. 1047, § 2.

5-54-207. Hindering prosecution of terrorism.

  1. A person commits the offense of hindering prosecution of terrorism if the person renders criminal assistance to a person who has committed terrorism, § 5-54-205, or causing a catastrophe, § 5-38-202, when he or she knows that the person to whom he or she rendered criminal assistance engaged in an act of terrorism or caused a catastrophe.
    1. Hindering prosecution of terrorism is a Class B felony.
    2. However, hindering prosecution of terrorism is a Class D felony if the defendant shows by a preponderance of the evidence that he or she stands to the person assisted in the relation of:
      1. Parent, child, brother, or sister or a corresponding step-relationship of the preceding relationships; or
      2. Husband and wife.

History. Acts 2003, No. 1342, § 3.

5-54-208. Exposing the public to toxic biological, chemical, or radioactive substances.

  1. A person commits the offense of exposing the public to toxic biological, chemical, or radioactive substances if the person knowingly delivers or causes the delivery of a biological, chemical, or radioactive substance to a governmental facility, school, business, hospital, office building, or similar facility open to the public with the purpose of causing bodily injury or evacuation of the facility.
  2. Exposing the public to toxic biological, chemical, or radioactive substances is a Class Y felony.

History. Acts 2003, No. 1342, § 3.

5-54-209. Use of a hoax substance.

  1. A person commits the offense of use of a hoax substance if the person knowingly delivers or causes the delivery of a hoax substance to a governmental facility, school, business, hospital, office building, or similar facility open to the public, or to a person's home, business, or place of work with the purpose of causing anxiety, unrest, fear, personal discomfort, or the evacuation of the facility.
  2. Use of a hoax substance is a Class D felony.

History. Acts 2003, No. 1342, § 3.

5-54-210. Restitution.

In addition to any other restitution ordered under § 5-4-205, the court may order that a person who violates this subchapter make restitution to the state or any of its political subdivisions for any cleanup costs associated with the commission of any offense in this subchapter.

History. Acts 2003, No. 1342, § 3.

5-54-125. Fleeing.

Chapter 55 Fraud Against the Government

A.C.R.C. Notes. This chapter was formerly entitled “Medicaid Fraud.”

Case Notes

Cited: United States v. Brown, 763 F.2d 984 (8th Cir. 1985).

Subchapter 1 — Medicaid Fraud Act

A.C.R.C. Notes. Due to the addition of Subchapter 3 by Acts 1995, No. 862, and the transfer of former § 5-56-101 et seq. to be Subchapter 2, the preexisting provisions of this chapter have been designated as Subchapter 1.

Preambles. Acts 1979, No. 823, contained a preamble which read:

“Whereas, the Attorney General and the Prosecuting Attorneys need specific legislation by which to eliminate fraud in the Arkansas Medicaid Program; and

“Whereas, the Commissioner of Arkansas Social Services, the Attorney General and the Prosecuting Attorneys need access to all Medicaid-related records of all recipients of benefits and/or claimants for payments under the Arkansas Medicaid Program;

“Now, therefore …”

Effective Dates. Acts 1979, No. 823, § 13: Apr. 10, 1979. Emergency clause provided: “It is hereby found and determined by the General Assembly that the Attorney General and the Prosecuting Attorneys are in need of specific legislation by which to eliminate fraud in the Arkansas Medicaid Program and that immediate passage of this Act is necessary to protect the integrity of the program. Therefore, an emergency is hereby declared to exist, and this Act, being necessary for the immediate preservation of the public peace, health and safety, shall be in full force and effect from and after its passage and approval.”

Acts 1993, No. 1291, § 13: Apr. 22, 1993. Emergency clause provided: “It is hereby found and determined by the General Assembly that the Attorney General and the Prosecuting Attorneys are in need of specific legislation by which to eliminate fraud in the Arkansas Medicaid Program and that immediate passage of this Act is necessary to protect the integrity of the program. Therefore, an emergency is hereby declared to exist, and this Act, being necessary for the immediate preservation of the public peace, health and safety, shall be in full force and effect from and after its passage and approval.”

Acts 1993, No. 1300, § 5: Apr. 23, 1993. Emergency clause provided: “It is hereby found and determined by the General Assembly that the Attorney General and the prosecuting attorneys are in need of specific legislation by which to eliminate fraud in the Arkansas Medicaid Program and that immediate passage of this act is necessary to protect the integrity of the program. Therefore, an emergency is hereby declared to exist and this act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 2003, No. 1122, § 2: Apr. 7, 2003. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the Medicaid Fraud Act is in immediate need of the revision to clarify an ambiguity in the law; and that the provisions of this act are essential to successful operations and activities of the Medicaid Fraud Control Unit and the Department of Human Services. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2011, No. 1154, § 3: Apr. 4, 2011. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the statutes authorizing procedures for the recovery of false or fraudulent Medicaid claims are in immediate need of this revision to encourage citizens of the state to help recover public funds and Medicaid moneys that have been wrongfully misappropriated and will otherwise be lost forever; and that the provisions of this act are essential to successful operations and activities of the Medicaid Fraud Control Unit of the Attorney General’s office and the Department of Human Services. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

5-55-101. Title.

This subchapter shall be known and may be cited as the “Medicaid Fraud Act”.

History. Acts 1979, No. 823, § 1; A.S.A. 1947, § 41-4401.

5-55-102. Definitions.

As used in this subchapter:

  1. “Arkansas Medicaid Program” means the program authorized under Title XIX of the Social Security Act, 42 U.S.C. § 1396 et seq., that provides for payments for medical goods or services on behalf of indigent families with dependent children and of aged, blind, or disabled individuals whose income and resources are insufficient to meet the cost of necessary medical services, including all transactions through the actual delivery of healthcare goods or services to a Medicaid recipient regardless of whether the healthcare goods or services are paid for directly by the Department of Human Services or indirectly through a fiscal agent, contractor, subcontractor, risk-based provider organization, managed care organization, or individual;
  2. “Claim” means any written or electronically submitted request or demand for reimbursement or payment made by any Medicaid provider to the Arkansas Medicaid Program, a managed care organization, or any fiscal agent of the Arkansas Medicaid Program or a managed care organization for each good or service purported to have been provided to any Medicaid recipient and all documentation required to be created or maintained by law or rule to justify, support, approve, or document the delivery of healthcare goods or services to a Medicaid recipient as a condition of participation in the Arkansas Medicaid Program as mandated by the Arkansas Medicaid Program provider agreement, rules, or managed care contract;
  3. “Fiscal agent” means any individual, firm, corporation, professional association, partnership, organization, risk-based provider organization, managed care organization, or other legal entity that receives, processes, or pays claims for the delivery of healthcare goods or services to Medicaid recipients under the Arkansas Medicaid Program;
    1. “Illegal Medicaid participation” means participation in the Arkansas Medicaid Program when the individual or organization is suspended from the Arkansas Medicaid Program or on a state or federal excluded Medicaid provider list.
    2. “Illegal Medicaid participation” includes without limitation when a suspended or excluded individual or organization:
      1. Is employed or contracting with a Medicaid provider or managed care organization or otherwise associated with a Medicaid provider or managed care organization for the purpose of providing or supervising the provision of goods and services to Medicaid recipients;
      2. Plays any role in the management of a Medicaid provider directly as a manager or management company or indirectly as a consultant or advisor; or
      3. Receives payment for administrative and management services directly or indirectly related to patient care such as processing Medicaid claims for payment, attending to services that assist or support Medicaid recipients, or acting as a Medicaid consultant or advisor;
  4. “Managed care organization” means a health insurer, Medicaid provider, or other business entity authorized by state law or through a contract with the state to receive a fixed or capitated rate or fee to manage all or a portion of the delivery of healthcare goods or services to Medicaid recipients;
    1. “Medicaid provider” means a person, business organization, risk-based provider organization, or managed care organization that delivers, purports to deliver, or arranges for the delivery of healthcare goods or services to a Medicaid recipient under the Arkansas Medicaid Program.
    2. “Medicaid provider” includes an employee, agent, representative, contractor, or subcontractor of a person, business organization, risk-based provider organization, or managed care organization;
  5. “Medicaid recipient” means any individual in whose behalf any person claimed or received any payment from the Arkansas Medicaid Program or its fiscal agents, whether or not the individual was eligible for benefits under the Arkansas Medicaid Program;
  6. “Person” means any:
    1. Medicaid provider of goods or services under the Arkansas Medicaid Program or any employee of the Medicaid provider, independent contractor of the Medicaid provider, contractor of the Medicaid provider, or subcontractor of the Medicaid provider, whether the Medicaid provider be an individual, individual medical vendor, firm, corporation, professional association, partnership, organization, risk-based provider organization, managed care organization, or other legal entity; or
    2. Individual, individual medical vendor, firm, corporation, professional association, partnership, organization, risk-based provider organization, managed care organization, or other legal entity, or any employee of any individual, individual medical vendor, firm, corporation, professional association, partnership, organization, risk-based provider organization, managed care organization, or other legal entity, not a Medicaid provider under the Arkansas Medicaid Program but that provides goods or services to a Medicaid provider under the Arkansas Medicaid Program for which the Medicaid provider submits claims to the Arkansas Medicaid Program or its fiscal agents; and
    1. “Records” means all documents that disclose the nature, extent, and level of healthcare goods and services provided to Medicaid recipients.
    2. “Records” include X-rays, magnetic resonance imaging scans, computed tomography scans, computed axial tomography scans, and other diagnostic imaging commonly used and retained as part of the medical records of a patient.

History. Acts 1979, No. 823, § 2; A.S.A. 1947, § 41-4402; Acts 1993, No. 1291, §§ 1, 8; 2017, No. 978, § 2; 2019, No. 916, §§ 2, 3.

Amendments. The 2017 amendment added “including all transactions . . . or individual” in (1); in (2), substituted “or payment made by any Medicaid provider” for “made to the Arkansas Medicaid Program by any provider” and “any portion” for “any or no portion”; rewrote (3); inserted (4) and (5), and redesignated the remaining subdivisions accordingly; throughout (7), substituted “Medical provider” for “provider” and inserted “risk-based provider organization, managed care organization”; inserted “independent contractor of the Medicaid provider, contractor of the Medicaid provider, or subcontractor of the Medicaid provider” in (7)(A); and rewrote (8).

The 2019 amendment, in (2), inserted “to the Arkansas Medicaid Program, a managed care organization” following “provider”, substituted “or any fiscal agent of the Arkansas Medicaid Program or a managed care organization for each good or service” for “or its fiscal agents for each good or service”, substituted “and all documentation required to be created or maintained by law or rule to justify, support, approve, or document the delivery of healthcare goods or services to a Medicaid recipient as a condition of participation in the Arkansas Medicaid Program as mandated by the Arkansas Medicaid Program provider agreement, rules, or managed care contract” for “whether or not the State of Arkansas provides any portion of the money that is requested or demanded”; and added the definition for “‘Illegal Medicaid participation'”.

5-55-103. Unlawful acts — Classification.

  1. It is unlawful for any person to commit Medicaid fraud as prohibited by § 5-55-111.
  2. Medicaid fraud is a:
    1. Class C felony if the aggregate amount of payments illegally claimed is two thousand five hundred dollars ($2,500) or more but less than five thousand dollars ($5,000);
    2. Class B felony if the aggregate amount of payments illegally claimed is five thousand dollars ($5,000) or more but less than twenty-five thousand dollars ($25,000); and
    3. Class A felony if the aggregate amount of payments illegally claimed is twenty-five thousand dollars ($25,000) or more.
  3. Otherwise, Medicaid fraud is a Class A misdemeanor.

History. Acts 1979, No. 823, § 3; A.S.A. 1947, § 41-4403; Acts 1993, No. 1291, § 2; 2003, No. 1122, § 1; 2007, No. 827, § 49; 2017, No. 978, § 3; 2019, No. 916, § 4.

Amendments. The 2003 amendment redesignated former (a), (b)(1) and (b)(2) as present (a)(1), (a)(2) and (a)(3) respectively; added present (b); and made minor stylistic changes.

The 2017 amendment rewrote (a)(2).

The 2019 amendment deleted the (a)(1) designation; redesignated (a)(2) as (b); redesignated (a)(2)(A) through (a)(2)(C) as (b)(1) through (b)(3); redesignated (a)(3) as (c); and deleted former (b).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Fraud Against Government, 26 U. Ark. Little Rock L. Rev. 373.

5-55-104. Records.

  1. No potential Medicaid recipient is eligible for medical assistance unless he or she has authorized in writing the Secretary of the Department of Human Services to examine all records of the potential Medicaid recipient's own, or of those receiving or having received Medicaid benefits through him or her, whether or not the receipt of the benefits would be allowed by the Arkansas Medicaid Program, for the purpose of investigating whether any person may have committed the crime of Medicaid fraud or for use or potential use in any legal, administrative, or judicial proceeding.
  2. No person is eligible to receive any payment from the Arkansas Medicaid Program or its fiscal agents unless the person has authorized in writing the secretary to examine all records for the purpose of investigating whether any person may have committed the crime of Medicaid fraud or for use or for potential use in any legal, administrative, or judicial proceeding.
  3. The Attorney General and the prosecuting attorneys are allowed access to all records of persons and Medicaid recipients under the Arkansas Medicaid Program to which the secretary has access for the purpose of investigating whether any person may have committed the crime of Medicaid fraud or for use or potential use in any legal, administrative, or judicial proceeding.
  4. Notwithstanding any other law to the contrary, no person is subject to any civil or criminal liability for providing access to records to the secretary, the Attorney General, or the prosecuting attorneys.
  5. Records obtained by the secretary, the Attorney General, or the prosecuting attorneys pursuant to this subchapter are classified as confidential information and are not subject to outside review or release by any individual except when records are used or potentially to be used by any government entity in any legal, administrative, or judicial proceeding.
    1. A Medicaid provider or person providing healthcare goods or services under the Arkansas Medicaid Program is required to maintain all records at least for a period of five (5) years from the date of claimed provision of any goods or services to any Medicaid recipient.
      1. The records described in subdivision (f)(1) of this section shall be available for audit during regular business hours at the address listed in the Medicaid provider agreement or where the healthcare goods or services are provided.
      2. Closed records for inactive patients or clients may be maintained in offsite storage if:
        1. The records can be produced within three (3) working days of being served with a request for records, subpoena, or other lawful notice from any agency with authority to audit the records; and
        2. The records are maintained within the state.
      3. A Medicaid provider shall disclose upon request the location of any offsite storage facility to any agency with authority to audit the records.
    2. If the healthcare goods or services are provided in the home of the Medicaid recipient, the records shall be maintained at the principal place of business of the Medicaid provider.
    3. If a Medicaid provider goes out of business, the Medicaid provider shall give written notification to the Department of Human Services and the Office of Medicaid Inspector General of where and how the records will be stored.
    1. It is unlawful to destroy or alter any record or supporting documentation with a purpose to conceal a false or fraudulent claim made to the Arkansas Medicaid Program or to interfere with an audit, investigation, or prosecution related to a claim made to the Arkansas Medicaid Program.
    2. A violation of subdivision (g)(1) of this section is a Class B felony.
    1. Any person found not to have maintained any records upon conviction is guilty of a Class D felony if the unavailability of records impairs or obstructs the prosecution of a felony.
    2. Otherwise, a violation of subdivision (h)(1) of this section is a Class A misdemeanor.
  6. It is an affirmative defense to a prosecution under this section that the records in question were lost or destroyed in a flood, fire, or other natural disaster or by a criminal act that did not result from the defendant's conduct.

History. Acts 1979, No. 823, § 10; A.S.A. 1947, § 41-4410; Acts 1993, No. 1291, §§ 3, 7; 2017, No. 978, § 4; 2019, No. 910, § 5127.

Amendments. The 2017 amendment redesignated former (f) as (f)(1); in (f)(1), substituted “A Medicaid provider or person providing healthcare goods or services” for “All persons” and “is” for “are”, and deleted “at their principal place of Medicaid business” following “maintain”; added (f)(2) through (f)(4); inserted present (g); redesignated former (g) as (h); inserted “upon conviction” in (h)(1); substituted “a violation of subdivision (h)(1) of this section” for “the unavailability of records” in (h)(2); and added (i).

The 2019 amendment substituted “Secretary” for “Director” in (a); and substituted “secretary” for “director” in (b), (c), (d), and (e).

Case Notes

Consent.

Since this section and regulations clearly contemplate that audits may be conducted pursuant to a criminal investigation and since the pharmacy had at least constructive, if not actual, knowledge of the statute and agency policies and yet entered the contract and continued to participate in the program, they expressly consented to an inspection of their records undertaken to determine if they were committing Medicaid fraud. United States v. Brown, 763 F.2d 984 (8th Cir.), cert. denied, 474 U.S. 905, 106 S. Ct. 273, 88 L. Ed. 2d 234 (1985).

Inspection of Records.

Since pharmacy expressly consented to an audit of its records, even if undertaken in the course of a criminal investigation, the warrantless inspection of its records was valid and could not have tainted a later search and seizure. United States v. Brown, 763 F.2d 984 (8th Cir.), cert. denied, 474 U.S. 905, 106 S. Ct. 273, 88 L. Ed. 2d 234 (1985).

The search and seizure of documentary evidence at a dentist's office did not violate the Fourth Amendment where the dentist had previously executed a contract with the state which provided that he would keep all records as provided by the state's provider manual, that he would disclose the extent of services provided to individuals (patients) receiving assistance under the Medicaid program, and that he would make all of his records available in order to satisfy audit requirements under the program. Blackwell v. State, 338 Ark. 671, 1 S.W.3d 399 (1999).

5-55-105. Liability of organizations.

In naming a person as a defendant under this subchapter, it is expressly intended that all of the provisions of §§ 5-2-5015-2-503 apply.

History. Acts 1979, No. 823, § 5; A.S.A. 1947, § 41-4405.

5-55-106. Investigation by Attorney General.

The office of the Attorney General is the entity to which a case of suspected Medicaid fraud shall be referred by the Arkansas Medicaid Program or its fiscal agents for the purposes of investigation, civil action, or referral to the prosecuting attorney having criminal jurisdiction in the matter.

History. Acts 1979, No. 823, § 9; A.S.A. 1947, § 41-4409; Acts 1995, No. 894, § 2.

5-55-107. Restitution and collection.

  1. In addition to any other fine that may be levied, any person found guilty of or who pleads guilty or nolo contendere to Medicaid fraud as described in this subchapter is required to make full restitution and payment of costs as follows:
      1. The Department of Human Services, with the restitution to be deposited into the Arkansas Medicaid Program Trust Fund for the loss to the Arkansas Medicaid Program or its fiscal agents.
      2. When permitted by contract or rules, the department may return all or a portion of the restitution to a managed care organization or any similar organization that suffered a loss due to the Medicaid fraud; and
    1. The office of the Attorney General or prosecuting attorney may recover reasonable and necessary expenses incurred during investigation and prosecution of Medicaid fraud.
    1. Upon a conviction of Medicaid fraud, the sentencing authority shall make a finding regarding the amount of restitution that a defendant shall pay, including without limitation:
      1. The full amount of the monetary loss to the Arkansas Medicaid Program and its fiscal agents;
      2. The amount of reasonable and necessary expenses incurred by the office of the Attorney General or the prosecuting attorney during the investigation and prosecution; and
      3. Any other measurable monetary damages directly related to the Medicaid fraud.
    2. Except as provided in subdivision (b)(1) of this section, the sentencing authority shall follow the procedures for determination of the restitution amount under § 5-4-205.
    1. In addition to the judgment and commitment order in a criminal case, a court shall enter a separate restitution order against the defendant convicted of Medicaid fraud regarding restitution consistent with this section and § 5-55-108.
    2. The restitution order is a judgment against the defendant and has the same effect as any other civil judgment recorded in the state.
    3. The restitution order shall:
      1. Require the defendant to:
        1. Comply with § 16-66-221 by filing a schedule of property; and
        2. Update the schedule of property on an annual basis until the restitution is paid in full; and
      2. State that:
        1. Interest shall accrue on the amount of the restitution from the date of the restitution order under § 16-65-114; and
        2. Restitution may be collected through an interception of the defendant's state income tax return under § 5-4-206 if the defendant fails to comply with the terms and conditions of the restitution order.
      1. The Attorney General may use all available civil remedies under state law to collect on a restitution order under this section.
      2. Civil efforts to collect restitution may proceed jointly with criminal efforts to collect restitution.
      3. This subsection does not limit the contempt power of the court or prevent a court from revoking the probation or suspended sentence of a defendant who has willfully failed to pay restitution ordered under this section.
      1. The Attorney General shall provide a full accounting of any restitution collected using civil remedies to the court.
      2. A defendant shall not be required to pay restitution more than one (1) time.
      1. Restitution ordered for a loss to the Arkansas Medicaid Program shall not be excused by the court.
      2. A conviction under this subchapter shall not be sealed or expunged until all ordered restitution is paid in full.
    1. Restitution ordered for losses to the Arkansas Medicaid Program shall be paid to the Arkansas Medicaid Program Trust Fund and used by the Department of Human Services as required by state law.
    2. Restitution ordered for reasonable and necessary expenses incurred by the office of the Attorney General or the prosecuting attorney during investigation and prosecution shall be paid to the office of the Attorney General or the prosecuting attorney to be retained and used in future investigations for Medicaid fraud.

History. Acts 1979, No. 823, § 4; A.S.A. 1947, § 41-4404; Acts 1993, No. 1291, § 4; 2017, No. 978, § 5; 2019, No. 916, § 5.

Amendments. The 2017 amendment added “and collection” in the section heading; and rewrote the section.

The 2019 amendment substituted “restitution and payment of costs as follows” for “restitution to” in the introductory language of (a); redesignated (a)(1) as (a)(1)(A); deleted “and” following “agents” in (a)(1)(A); added (a)(1)(B); and substituted “may recover reasonable” for “for reasonable”, and added “of Medicaid fraud” following “prosecution” in (a)(2).

Cross References. Medicaid Fraud False Claims Act, § 20-77-901 et seq.

5-55-108. Fines.

  1. Any person who is found guilty of or who pleads guilty or nolo contendere to Medicaid fraud as described in this subchapter shall pay one (1) of the following fines:
    1. If no monetary loss is incurred by the Arkansas Medicaid Program, a fine of not less than one thousand dollars ($1,000) or more than three thousand dollars ($3,000) for each omission or fraudulent act or claim; or
    2. If a monetary loss is incurred by the Arkansas Medicaid Program, a fine of an amount not less than the amount of the monetary loss to the Arkansas Medicaid Program and not more than three (3) times the amount of the monetary loss to the Arkansas Medicaid Program.
    1. The fines described in subdivision (a)(2) of this section may be waived by the prosecuting attorney.
    2. If the fines are waived, the trier of fact may impose fines under § 5-4-201.
  2. All fines assessed under subsection (a) of this section shall be credited to the general revenues of the State of Arkansas.

History. Acts 1979, No. 823, § 6; A.S.A. 1947, § 41-4406; Acts 2017, No. 978, § 5.

Amendments. The 2017 amendment substituted “Fines” for “Civil penalties — Expenses” in the section heading; and rewrote the section.

5-55-109. Criminal penalties and civil penalties mutually exclusive.

Section 5-55-107, which provides for additional criminal fines, and the Medicaid Fraud False Claims Act, § 20-77-901 et seq., which provides for civil penalties, shall not both be applied to the same payment received or claim made by any person under the Arkansas Medicaid Program or its fiscal agents.

History. Acts 1993, No. 1291, § 6.

Publisher's Notes. Former § 5-55-109, concerning the mutual exclusivity of criminal penalties and civil penalties, was repealed by Acts 1993, No. 1291, § 8. The former section was derived from Acts 1979, No. 823, § 7; A.S.A. 1947, § 41-4407.

5-55-110. Suspension of violators.

The Secretary of the Department of Human Services may suspend or revoke the provider agreement between the Department of Human Services and a person in the event the person is found guilty of violating a provision of this subchapter.

History. Acts 1979, No. 823, § 8; A.S.A. 1947, § 41-4408; Acts 1993, No. 1291, § 5; 2019, No. 910, § 5128.

Amendments. The 2019 amendment substituted “Secretary” for “Director”.

5-55-111. Criminal acts constituting Medicaid fraud.

A person commits Medicaid fraud when he or she:

  1. Purposely makes or causes to be made any omission or false statement or representation of a material fact in any claim, request for payment, or application for any benefit or payment under the Arkansas Medicaid Program;
  2. At any time purposely makes or causes to be made any omission or false statement or representation of a material fact for use in determining rights to a benefit or payment under the Arkansas Medicaid Program;
  3. Having knowledge of the occurrence of any event affecting his or her initial or continued right to any benefit or payment under the Arkansas Medicaid Program, or the initial or continued right to any benefit or payment under the Arkansas Medicaid Program of any other individual in whose behalf he or she has applied for or is receiving the benefit or payment under the Arkansas Medicaid Program, purposely conceals or fails to disclose the event with an intent fraudulently to secure the benefit or payment under the Arkansas Medicaid Program either in a greater amount or quantity than is due or when no benefit or payment under the Arkansas Medicaid Program is authorized;
  4. Having made or submitted a claim, request for payment, or application to receive any benefit or payment under the Arkansas Medicaid Program for the use and benefit of another person and having received it, purposely converts the benefit or payment under the Arkansas Medicaid Program or any part of the benefit or payment under the Arkansas Medicaid Program to a use other than for the use and benefit of the other person;
  5. Purposely presents or causes to be presented a claim for a service required to be provided by a person with a particular type of license or credential while knowing that the individual who furnished the service was not licensed or credentialed;
  6. Purposely solicits or receives any remuneration, including any kickback, bribe, or rebate, directly or indirectly, overtly or covertly, in cash or in kind:
    1. In return for referring an individual to a person for the furnishing or arranging for the furnishing of any item or service for which payment may be made in whole or in part under the Arkansas Medicaid Program; or
    2. In return for purchasing, leasing, ordering, or arranging for or recommending purchasing, leasing, or ordering any good, facility, service, or item for which payment may be made in whole or in part under the Arkansas Medicaid Program;
    1. Purposely offers or pays any remuneration, including any kickback, bribe, or rebate, directly or indirectly, overtly or covertly, in cash or in kind, to any person to induce that person to:
      1. Refer an individual to a person for the furnishing or arranging for the furnishing of any item or service for which payment may be made in whole or in part under the Arkansas Medicaid Program; or
      2. Purchase, lease, order, or arrange for or recommend purchasing, leasing, or ordering any good, facility, service, or item for which payment may be made in whole or in part under the Arkansas Medicaid Program.
    2. If the transaction is otherwise legal and properly documented as occurring in the normal course of business, subdivisions (7)(A)(i) and (ii) of this section do not apply to:
      1. A discount or other reduction in price obtained by a provider of services or other entity under the Arkansas Medicaid Program if the reduction in price is properly disclosed and appropriately reflected in the costs claimed or charges made by the provider or entity under the Arkansas Medicaid Program;
      2. Any amount paid by an employer to an employee who has a bona fide employment relationship with the employer for employment in the provision of covered items or services;
      3. Any amount paid by a vendor of goods or services to a person authorized to act as a purchasing agent for a group of individuals or entities who are furnishing services reimbursed under the Arkansas Medicaid Program if:
        1. The person has a written contract with each individual or entity that specifies the amount to be paid to the person and the amount may be a fixed amount or a fixed percentage of the value of the purchases made by each individual or entity under the contract; and
        2. In the case of an entity that is a provider of services as defined in § 20-9-101, the person discloses in such form and manner as the Secretary of the Department of Human Services requires to the entity and, upon request, to the secretary, the amount received from each vendor with respect to purchases made by or on behalf of the entity; or
      4. Any payment practice specified by the secretary promulgated pursuant to applicable federal or state law;
  7. Purposely makes or causes to be made, or induces or seeks to induce, any omission or false statement or representation of a material fact with respect to the conditions or operation of any institution, facility, or Medicaid provider in order that the institution, facility, or Medicaid provider may qualify to obtain or maintain any licensure or certification when the licensure or certification is required to be enrolled or eligible to deliver any healthcare goods or services to Medicaid recipients by state law, federal law, or the rules of the Arkansas Medicaid Program;
  8. Purposely:
    1. Charges, for any service provided to a patient under the Arkansas Medicaid Program, money or other consideration at a rate in excess of the rates established by the state; or
    2. Charges, solicits, accepts, or receives, in addition to any amount otherwise required to be paid under the Arkansas Medicaid Program, any gift, money, donation, or other consideration other than a charitable, religious, or philanthropic contribution from an organization or from a person unrelated to the patient:
      1. As a precondition of admitting a patient to a hospital, nursing facility, or intermediate care facility for individuals with intellectual disabilities; or
      2. As a requirement for the patient's continued stay in a hospital, nursing facility, or intermediate care facility for individuals with intellectual disabilities when the cost of the services provided in the hospital, nursing facility, or intermediate care facility for individuals with intellectual disabilities to the patient is paid for in whole or in part under the Arkansas Medicaid Program;
  9. Purposely makes or causes to be made any false statement or representation of a material fact in any application for a benefit or payment in violation of the rules and provider agreements issued by the Arkansas Medicaid Program or its fiscal agents;
  10. Knowingly submits false documentation or makes or causes to be made or induces or seeks to induce any material false statement to the Office of Medicaid Inspector General or the Medicaid Fraud Control Unit within the office of the Attorney General during an audit or in response to a request for information or a subpoena;
  11. Purposely forges the signature of a doctor, nurse, or other medical professional on a prescription, referral for healthcare goods or services, or finding of medical necessity for any Medicaid recipient of the Arkansas Medicaid Program;
  12. Knowingly submits a forged prescription, referral for healthcare goods or services, or finding of medical necessity for:
    1. Payment under the Arkansas Medicaid Program; or
    2. An audit or in response to a request for information or a subpoena to the Office of Medicaid Inspector General or the Medicaid Fraud Control Unit within the office of the Attorney General; or
  13. Purposely places a false entry in a medical chart, medical record, or any record of services required to be made to the Arkansas Medicaid Program that indicates that healthcare goods or services have been provided to a Medicaid recipient knowing that the healthcare goods or services were not provided.

History. Acts 1993, No. 1291, § 6; 2017, No. 978, § 6; 2019, No. 315, § 152; 2019, No. 910, §§ 5129, 5130; 2019, No. 916, §§ 6-8.

Amendments. The 2017 amendment inserted “omission or” in (1) and (2); inserted “claim, request for payment, or” in (1); inserted “or submitted a claim, request for payment, or” in (4); rewrote (8); and added (11) through (14).

The 2019 amendment by No. 315 deleted “regulations” following “rules” in (10).

The 2019 amendment by No. 910 substituted “Secretary” for “Director” in (7)(B)(iii)(b); and substituted “secretary” for “director” in (7)(B)(iii)(b) and in (7)(B)(iv).

The 2019 amendment by No. 916, in (5), substituted “service required to be provided by a person with a particular type of license or credential while knowing” for “physician's service for which payment may be made under a program under the Arkansas Medicaid Program while knowing”, and substituted “licensed or credentialed” for “licensed as a physician”; substituted “If the transaction is otherwise legal and properly documented as occurring in the normal course of business, subdivisions (7)(A)(i) and (ii) of this section” for “Subdivisions (7)(A)(i) and (ii) of this section” in the introductory language of (7)(B); and added “for any Medicaid recipient of the Arkansas Medicaid Program” in (12).

Cross References. Medicaid Fraud False Claims Act, § 20-77-901 et seq.

Case Notes

In General.

Impropriety requirement for tortuous interference was not satisfied by the health services company's violation of the federal anti-kickback statute, 42 U.S.C. § 1320a-7b(b), and comparable Arkansas statutes, this section, and the Arkansas Medicaid Fraud False Claims Act, § 20-77-902; even though the company's policy, which denied privileges to doctors who acquired or held an interest in a competitor hospital, created a disincentive for the doctors to maintain ownership in a competing hospital, the policy did not create a disincentive for them to refer their patients to facilities other than the company's hospitals. Baptist Health v. Murphy, 365 Ark. 115, 226 S.W.3d 800 (2006).

5-55-112. [Repealed.]

Publisher's Notes. This section, concerning disposition of offenders, was repealed by Acts 2017, No. 978, § 7. The section was derived from Acts 1993, No. 1291, § 6; 2005, No. 164, § 1.

5-55-113. Reward for information.

  1. The court may pay a person such sums, not exceeding ten percent (10%) of the aggregate penalty recovered under this section, as the court may deem just, for information the person may have provided that led to detecting and bringing to trial and punishment a person guilty of violating the Medicaid fraud laws.
    1. Upon the disposition of any criminal action relating to a violation of this subchapter in which a penalty is recovered, the Attorney General may petition the court on behalf of a person who may have provided information that led to detecting and bringing to trial and punishment a person guilty of Medicaid fraud to award the person in an amount commensurate with the quality and usefulness of the information determined by the court to have been provided, in accordance with the requirements of this subchapter.
    2. If the Attorney General elects not to petition the court on behalf of the person, the person may petition the court on his or her own behalf.
  2. Neither the state nor any defendant within the action is liable for expenses that a person incurs in bringing an action under this section.
  3. An employee or fiscal agents charged with the duty of referring or investigating a case of Medicaid fraud who are employed by or contract with any governmental entity are not eligible to receive a reward under this section.
    1. The Attorney General may agree to a payment of up to ten percent (10%) of the civil penalty as a reward in any settlement agreement under this section.
    2. A portion of restitution shall not be used as a reward.

History. Acts 1993, No. 1300, § 1; 2011, No. 1154, § 2; 2019, No. 916, § 9.

Amendments. The 2011 amendment substituted “Reward for information” for “Reward for the detection and punishment of medicaid fraud” in the section heading; and deleted “or in any case not more than one hundred thousand dollars ($100,000)” following “the aggregate penalty recovered” in (a).

The 2019 amendment inserted “under this section” following “recovered” in (a); and added (e).

5-55-114. Special deputy prosecutor.

  1. A prosecuting attorney having jurisdiction over an offense may designate an attorney employed by the office of the Attorney General as a special deputy prosecutor to prosecute any charges related to healthcare fraud or any other charges that may arise from the same factual allegations or may be properly joined under state law.
    1. As a special deputy prosecutor, the attorney may issue a subpoena and may administer an oath as provided in § 25-16-705.
    2. The subpoena shall be substantially in the form set forth in § 25-16-705(b).
  2. A special deputy prosecutor appointed and functioning as authorized under this section is entitled to the same immunity granted by law to the prosecuting attorney.
    1. Appointment as a special deputy prosecutor does not enable the attorney to receive any additional fees or salary from the state for services provided pursuant to the appointment.
    2. Expenses of the special deputy prosecutor and any fees and costs incurred by the special deputy prosecutor in the prosecution of cases as provided in this section are the responsibility of the Attorney General.
  3. The prosecuting attorney may revoke the appointment of a special deputy prosecutor at any time.

History. Acts 1995, No. 894, § 2; 2017, No. 978, § 8.

Amendments. The 2017 amendment rewrote (a).

5-55-115. Suspension, exclusion, and illegal Medicaid participation.

  1. It is unlawful for a suspended or excluded individual or organization to participate in the Arkansas Medicaid Program under federal and state laws.
    1. A person commits illegal Medicaid participation if:
      1. Having been suspended from the Arkansas Medicaid Program or placed on a state or federal excluded Medicaid provider list, the person knowingly participates, directly or indirectly, in the Arkansas Medicaid Program; or
      2. As a certified health provider enrolled in the Arkansas Medicaid Program pursuant to Title XIX of the Social Security Act, as amended, 42 U.S.C. § 1396 et seq., or as the fiscal agent of the certified health provider, the person employs, or engages as an independent contractor, or engages as a consultant, or otherwise permits the participation in the business activities of the certified health provider, any person who has pleaded guilty or nolo contendere to or has been found guilty of a charge of Medicaid fraud, theft of public benefits, § 5-36-202, or abuse of adults, § 5-28-101 et seq.
    2. Illegal Medicaid participation is a Class A misdemeanor.

History. Acts 2019, No. 916, § 10.

Subchapter 2 — Illegal Food Coupons

A.C.R.C. Notes. This subchapter was formerly codified as § 5-56-101 et seq.

Due to the addition of Subchapter 3 by Acts 1995, No. 862, and the transfer of former § 5-56-101 et seq. to this subchapter, the preexisting provisions of this chapter have been designated as Subchapter 1.

Effective Dates. Acts 1997, No. 1058, § 33: July 1, 1997. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the United States Congress has amended the laws pertaining to certain federally funded public assistance programs; that these programs are crucial to the life and health of many needy citizens of the State of Arkansas who otherwise will be unable to obtain food, clothing, shelter, or medical care; that federal law mandates participating states to implement new public assistance programs on or before July 1, 1997, or forfeit federal funding necessary for such programs; that this act so provides. Therefore, an emergency is declared to exist and this act being necessary for the preservation of the public peace, health, and safety, shall be in full force and effect on July 1, 1997.”

5-55-201. Traffic in illegal food coupons or vouchers.

    1. Any individual, partnership, corporation, or other legal entity that issues food coupons in a manner not authorized by federal law and regulations or state law and rules or that uses, transfers, acquires, possesses, or presents any food coupons for payment not authorized by federal and state law or federal regulations and state rules is guilty of a Class D felony.
    2. However, if the food coupons are of a value of less than one hundred dollars ($100), the individual, partnership, corporation, or other legal entity is guilty of a Class A misdemeanor.
  1. Any individual, partnership, corporation, or other legal entity that issues a voucher used in the federal Special Supplemental Nutrition Program for Women, Infants and Children (WIC) in a manner not authorized by federal law and regulations or state law and rules or that uses, transfers, acquires, possesses, or presents any voucher used in the federal Special Supplemental Nutrition Program for Women, Infants and Children (WIC) for payment not authorized by federal and state law or federal regulations and state rules is guilty of a Class A misdemeanor.
  2. As used in this subchapter, “food coupons” means any printed material, magnetically encoded instrument, or other device or process issued by the Department of Human Services or its successors, the purpose of which is to permit the purchase of food as provided for by the Food Stamp Act of 1977, 7 U.S.C. § 2011 et seq., or regulations promulgated pursuant to the Food Stamp Act of 1977, 7 U.S.C. § 2011 et seq.

History. Acts 1979, No. 714, § 1; A.S.A. 1947, § 41-4301; Acts 1993, No. 489, § 1; 1995, No. 126, § 1; 1995, No. 345, § 1; 2005, No. 1994, § 426; 2019, No. 315, § 153.

A.C.R.C. Notes. This section was formerly codified as § 5-56-101.

Amendments. The 2005 amendment deleted “and shall, upon conviction, be fined not more than ten thousand dollars ($10,000) or imprisoned for not more than five (5) years, or both” following “Class D felony” in (a); and deleted “and shall, upon conviction thereof, be fined not more than one thousand dollars ($1,000) or imprisoned for not more than one (1) year, or both” following “Class A misdemeanor” in (a) and (c).

The 2019 amendment, in (a)(1) and (b), substituted “state law and rules” for “state law and regulations” and “federal regulations and state rules” for “federal and state regulations”.

5-55-202. Illegal use, transfer, acquisition, or possession of vouchers.

Any person who knowingly uses, transfers, acquires, or possesses vouchers in any manner not authorized by the federal Special Supplemental Nutrition Program for Women, Infants and Children (WIC) authorized by the Child Nutrition Act of 1966, 42 U.S.C. § 1771 et seq., as amended, or federal regulations and state rules issued pursuant to the Child Nutrition Act of 1966, 42 U.S.C. § 1771 et seq., if the vouchers are of a value of less than one hundred dollars ($100), is guilty of a Class A misdemeanor.

History. Acts 1979, No. 714, § 2; A.S.A. 1947, § 41-4302; Acts 1993, No. 489, § 2; 2005, No. 1994, § 222; 2019, No. 315, § 154.

A.C.R.C. Notes. This section was formerly codified as § 5-56-102.

Amendments. The 2005 amendment deleted “and shall, upon conviction thereof, be fined not more than one thousand dollars ($1,000) or imprisoned for not more than one (1) year, or both” following “Class A misdemeanor.”

The 2019 amendment substituted “federal regulations and state rules” for “federal and state regulations”.

5-55-203. Illegal presentation of food coupons or vouchers for payment.

    1. Any person who presents or causes to be presented food coupons for payment or redemption of the value of one hundred dollars ($100) or more knowing the food coupons to have been received, transferred, or used in any manner in violation of a provision of the Food Stamp Act of 1977, 7 U.S.C. § 2011 et seq., or the federal regulations or state rules issued pursuant to the Food Stamp Act of 1977, 7 U.S.C. § 2011 et seq., is guilty of a Class D felony.
    2. However, if the food coupons are of a value of less than one hundred dollars ($100), the person is guilty of a Class A misdemeanor.
  1. Any person who presents or causes to be presented vouchers for payment or redemption of the value of one hundred dollars ($100) or more knowing the vouchers to have been received, transferred, or used in any manner in violation of a provision of the federal Special Supplemental Nutrition Program for Women, Infants and Children (WIC) authorized by the Child Nutrition Act of 1966, 42 U.S.C. § 1771 et seq., as amended, or the federal regulations or state rules issued pursuant to the Child Nutrition Act of 1966, 42 U.S.C. § 1771 et seq., is guilty of a Class A misdemeanor.

History. Acts 1979, No. 714, § 3; A.S.A. 1947, § 41-4303; Acts 1993, No. 489, § 3; 2005, No. 1994, § 427; 2019, No. 315, § 155.

A.C.R.C. Notes. This section was formerly codified as § 5-56-103.

Amendments. The 2005 amendment deleted “and shall, upon conviction, be fined not more than ten thousand dollars ($10,000) or imprisoned for not more than five (5) years, or both” following “Class D felony” in (a); and deleted “and shall, upon conviction, be fined not more than one thousand dollars ($1,000) or imprisoned for not more than one (1) year, or both” following “Class A misdemeanor” in (a) and (b).

The 2019 amendment substituted “federal regulations or state rules” for “federal or state regulations” in (a)(1) and (b).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

5-55-204. Penalties for food stamp trafficking.

In addition to the penalties set forth in this subchapter, any recipient of a food stamp found guilty of a violation set forth in this subchapter is ineligible for further participation in the food stamp program, as follows:

  1. For a period of one (1) year, upon the first occasion of any offense;
  2. For a period of two (2) years, upon the second occasion of any offense; and
  3. Permanently, upon the third occasion of any offense.

History. Acts 1993, No. 272, § 1; 1997, No. 1058, § 27.

A.C.R.C. Notes. This section was formerly codified as § 5-56-104.

Cross References. Public assistance generally, § 20-76-101 et seq.

5-55-205. Abuse of Special Supplemental Nutrition Program for Women, Infants and Children (WIC).

    1. A federal Special Supplemental Nutrition Program for Women, Infants and Children (WIC) participant who intentionally makes a false or misleading statement or intentionally conceals or withholds a fact to obtain a benefit, sells supplemental food or a voucher to, or exchanges supplemental food or a voucher with another individual or entity, receives from a food vendor cash or credit toward the purchase of an unauthorized item or other item of value in lieu of an authorized food, or physically abuses clinic or vendor staff may be disqualified from participation in the federal Special Supplemental Nutrition Program for Women, Infants and Children (WIC) for a specified period of time.
    2. The Department of Health shall establish sanctions for participant abuse.
    1. A vendor who provides cash, an unauthorized food, or other item in lieu of an authorized supplemental food or who charges the state or local agency more for a supplemental food than another customer is charged for the same food item is disqualified from participation in the federal Special Supplemental Nutrition Program for Women, Infants and Children (WIC) for a specified period of time.
    2. The department shall establish sanctions for vendor abuse.

History. Acts 1993, No. 489, § 4.

A.C.R.C. Notes. This section was formerly codified as § 5-56-105.

Subchapter 3 — Claims for Benefits

Effective Dates. Acts 1995, No. 862, § 12: July 1, 1995. Emergency clause provided: “It is hereby found and determined by the Eightieth General Assembly, that the Constitution of the State of Arkansas prohibits the appropriation of funds for more than a two (2) year period; that the effectiveness of this Act on July 1, 1995 is essential to the operation of the agency for which the appropriations in this Act are provided, and that in the event of an extension of the Regular Session, the delay in the effective date of this Act beyond July 1, 1995 could work irreparable harm upon the proper administration and provision of essential governmental programs. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after July 1, 1995.”

5-55-301. Penalty — Notice — Prosecution.

    1. It is unlawful for any person to knowingly make any material false statement or representation to the State Department for Social Security Administration Disability Determination for the purpose of:
      1. Obtaining any benefit or payment;
      2. Defeating or wrongfully increasing or wrongfully decreasing any claim for benefit or payment; or
      3. Aiding and abetting another person in violation of subdivision (a)(1)(A) or subdivision (a)(1)(B) of this section.
    2. Upon conviction, a person who violates subdivision (a)(1) of this section is guilty of a Class D felony.
  1. A copy of subsection (a) of this section shall be placed on all forms prescribed by the State Department for Social Security Administration Disability Determination for the use of a person claiming a benefit, a provider participating in the claims process, and any other party involved in the claims process.
  2. When the department finds a violation of subsection (a) of this section, the Director of the State Department for Social Security Administration Disability Determination shall refer the matter for appropriate action to the prosecuting attorney of the district where the original claim was filed.

History. Acts 1995, No. 862, § 6; 2007, No. 827, § 50.

Subchapter 4 — Penalties for Placing Name of Another Person on Property Assessment to Avoid Fees

5-55-401. Penalties.

  1. It is unlawful for any person to knowingly place the assessment of property under the name of another person in order to avoid the payment of a fee associated with the property.
  2. A violation of this section is a Class B misdemeanor.

History. Acts 2001, No. 1369, § 1.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Subchapter 5 — Lottery Fraud

Effective Dates. Acts 2011, No. 207, § 31: Mar. 8, 2011. Emergency clause provides: “It is found and determined by the General Assembly of the State of Arkansas that increasing the number of Arkansans obtaining postsecondary credentials is critical to the economic health of the state and its citizens; that the Arkansas Scholarship Lottery provides the opportunity for tens of thousands of Arkansans to obtain postsecondary education; that the deadline for scholarship applications is June 1; that the financial integrity of the Arkansas Scholarship Lottery is critical to the continued existence of the scholarships; that the reporting and research provisions of this act are critical for timely decisions by the General Assembly on scholarship awards; and that this act is immediately necessary because the Department of Higher Education must promulgate rules to implement this act well before June 1, 2011, in order to provide eligible Arkansans the opportunity to apply for the scholarship. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2015, No. 218, § 34: Feb. 26, 2015. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the stability of the Arkansas Scholarship Lottery is critical to the success of the Arkansas Academic Challenge Scholarship Program; that changes to the operational structure of the lottery are needed to improve the creditability and function of the lottery; and that this act is immediately necessary to ensure that the transition of lottery administration is as undisruptive as possible. Therefore, an emergency is declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

5-55-501. Lottery fraud.

  1. As used in this subchapter:
    1. “Lottery” means the same as defined in § 23-115-103 of the Arkansas Scholarship Lottery Act, § 23-115-101 et seq.; and
    2. “Ticket or share” means the same as defined in § 23-115-103 of the Arkansas Scholarship Lottery Act, § 23-115-101 et seq.
  2. A person commits the offense of lottery fraud if he or she:
    1. Falsely makes, alters, forges, utters, passes, or counterfeits a ticket or share in a lottery with a purpose to defraud the Office of the Arkansas Lottery; or
    2. Purposely influences the winning of a lottery prize through the use of coercion, fraud, deception, or tampering with lottery equipment or materials.
  3. A violation of this section is a Class D felony.
  4. In addition to the fine for a conviction under § 5-4-201, a person convicted of a violation of this section is subject to an additional fine of not more than fifty thousand dollars ($50,000).

History. Acts 2011, No. 207, § 1; 2015, No. 218, § 2.

Amendments. The 2015 amendment substituted “Office of the Arkansas Lottery” for “Arkansas Lottery Commission” in (b)(1).

Case Notes

Evidence.

Even if the trial court abused its discretion by admitting an email concerning the redemption of a nonactive lottery ticket into evidence during defendant's trial for lottery fraud, defendant failed to show that he was prejudiced; before the State introduced the email, an employee of the state lottery testified without objection that he received notification that a nonactivated lottery ticket from a missing booklet had been redeemed at a retail store, and even though defendant maintained that he received the ticket as a tip, he admitted that he signed for the shipment of lottery tickets from which the booklet was missing. Sitzmann v. State, 2019 Ark. App. 78, 569 S.W.3d 913 (2019).

Subchapter 6 — Election, Petition, and Ballot Fraud

Effective Dates. Acts 2019, No. 376, § 14: Mar. 8, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act amends the process for circulating initiative petitions and referendum petitions; and that the provisions of this act should become effective immediately so that its provisions apply to all petitions circulated after the passage of the act to avoid confusion in petition circulation. Therefore, an emergency is declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto”. The emergency clause for Acts 2019, No. 376 was held to be defective in Safe Surgery Ark. v. Thurston, 2019 Ark. 403.

5-55-601. Petition fraud.

  1. As used in this section, “petition” means a petition under § 3-8-201 et seq., § 3-8-801 et seq., or § 7-9-101 et seq.
  2. A person commits the offense of petition fraud:
    1. If the person knowingly:
      1. Signs a name other than his or her name to a petition;
      2. Signs his or her name more than one (1) time to a petition; or
      3. Signs a petition when he or she is not legally entitled to sign the petition;
    2. If the person acting as a canvasser, notary, sponsor as defined under § 7-9-101, or agent of a sponsor:
      1. Signs a name other than his or her own to a petition;
      2. Prints a name, address, or birth date other than his or her own to a petition unless the signor requires assistance due to disability and the person complies with § 7-9-103;
      3. Solicits or obtains a signature to a petition knowing that the person signing is not qualified to sign the petition;
      4. Knowingly pays a person any form of compensation in exchange for signing a petition as a petitioner;
      5. Accepts or pays money or anything of value for obtaining signatures on a petition when the person acting as a canvasser, sponsor, or agent of a sponsor knows that the person acting as a canvasser's name or address is not included on the sponsor's list filed with the Secretary of State under § 7-9-601; or
      6. Knowingly misrepresents the purpose and effect of the petition or the measure affected for the purpose of causing a person to sign a petition;
    3. If the person acting as a canvasser knowingly makes a false statement on a petition verification form;
    4. If the person acting as a notary knowingly fails to witness a canvasser's affidavit by witnessing the signing of the instrument in person and either personally knowing the signor or by being presented with proof of the identity of the signer; or
    5. If the person acting as a sponsor files a petition or a part of a petition with the official charged with verifying the signatures knowing that the petition or part of the petition contains one (1) or more false or fraudulent signatures unless each false or fraudulent signature is clearly stricken by the sponsor before filing.
  3. Petition fraud is a Class D felony.

History. Acts 2013, No. 1432, § 9; 2019, No. 376, § 1.

Amendments. The 2019 amendment substituted “Class D felony” for “Class A misdemeanor” in (c).

Case Notes

Effective Date of 2019 Amendment.

Emergency clause of Acts 2019, No. 376 was defective where the stated basis was “to avoid confusion in petition circulation”; Act 376 added additional requirements for getting a referendum on the election ballot, and the prospect of affording those who seek to file a ballot petition additional notice of new requirements for that petition, especially when the people would not be voting on any such initiatives or referenda for at least another 15 months, did not amount to an emergency under Ark. Const., Art. 5, § 1. Safe Surgery Ark. v. Thurston, 2019 Ark. 403, 591 S.W.3d 293 (2019) (sub. op.).

As the emergency clause of Acts 2019, No. 376 was ineffective and Act 376’s new requirements were not in effect at the time petitioner filed its proposed referendum and supporting signatures, mandamus was granted directing the Secretary of State to address petitioner's referendum filings (seeking a referendum on Acts 2019, No. 579) under the pre-Act 376 legal framework for initiatives and referenda. Safe Surgery Ark. v. Thurston, 2019 Ark. 403, 591 S.W.3d 293 (2019) (sub. op.).

5-55-602. Criminal impersonation in an election.

  1. A person commits the offense of criminal impersonation in an election if he or she knowingly impersonates another person in an attempt to vote in a city, school district, county, state, or federal election.
  2. Criminal impersonation in an election is a Class D felony.

History. Acts 2015, No. 1166, § 2.

Chapter 56 Illegal Food Coupons

5-56-101 — 5-56-105. [Transferred.]

A.C.R.C. Notes. This chapter has been transferred to § 5-55-201 et seq.

Chapters 57-59

[Reserved.]

Subtitle 6. Offenses Against Public Health, Safety, or Welfare

Chapter 60 General Provisions

Publisher's Notes. Because of the enactment of Subchapter 2 of this chapter by Acts 2003, No. 750, the preexisting provisions of this chapter have been designated as Subchapter 1.

Cross References. Fines, § 5-4-201.

Term of imprisonment, § 5-4-401.

Subchapter 1 — General Provisions

Effective Dates. Acts 1901, No. 167, § 3: effective 60 days after passage.

Acts 1905, No. 119, § 2: effective on passage.

Acts 1969, No. 34, § 6: Feb. 6, 1969. Emergency clause provided: “It is hereby found and determined by the General Assembly that glue sniffing is a serious threat to the life and the health of our citizens; that many young people who are unfamiliar with the inherent dangers of glue sniffing experiment therewith and such experiments have resulted in death or permanent brain damage; and that it is essential to the preservation of the public health and safety of this State that reasonable standards be immediately established to prohibit the practice of glue sniffing and to establish reasonable regulations for the sale of products used in glue sniffing where the seller thereof has reason to believe that the person purchasing the same intends to use it for unlawful purposes. Therefore, an emergency is hereby declared to exist and this act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1999, No. 382, § 5: Mar. 2, 1999. Emergency clause provided: “It is hereby found and determined by the Eighty-second General Assembly that the misuse of hand-held laser pointers can cause serious injuries to the eye; that hand-held laser pointers can be mistaken for targeting devices on firearms; that the devices are relatively cheap and readily available to minors; and that most of the misuse of these devices has been by minors. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health and safety shall become effective on the date of its approval by the Governor. If the bill is neither approved nor vetoed by the Governor, it shall become effective on the expiration of the period of time during which the Governor may veto the bill. If the bill is vetoed by the Governor and the veto is overridden, it shall become effective on the date the last house overrides the veto.”

5-60-101. Abuse of a corpse.

  1. A person commits abuse of a corpse if, except as authorized by law, he or she knowingly:
    1. Disinters, removes, dissects, or mutilates a corpse; or
      1. Physically mistreats or conceals a corpse in a manner offensive to a person of reasonable sensibilities.
      2. A person who conceals a corpse in a manner offensive to a person of reasonable sensibilities that results in the corpse remaining concealed is continuing in a course of conduct under § 5-1-109(e)(1)(B).
        1. As used in this section, “in a manner offensive to a person of reasonable sensibilities” means in a manner that is outside the normal practices of handling or disposing of a corpse.
        2. “In a manner offensive to a person of reasonable sensibilities” includes without limitation the dismembering, submerging, or burning of a corpse.
  2. Abuse of a corpse is a Class C felony.

History. Acts 1975, No. 280, § 2920; A.S.A. 1947, § 41-2920; Acts 2011, No. 1003, § 1; 2011, No. 1158, § 1.

Amendments. The 2011 amendment by No. 1003 added the (a)(2)(A) designation; inserted “or conceals” in (a)(2)(A); and added (a)(2)(B).

The 2011 amendment by No. 1158 substituted “Class C felony” for “Class D felony” in (b).

Case Notes

Constitutionality.

This section is not unconstitutionally vague, as it conveys fair and sufficient warning when measured by common understanding. Dougan v. State, 322 Ark. 384, 912 S.W.2d 400 (1995).

Applicability.

The legislature intended that this section cover defendant's placement of her baby's corpse in a dumpster, as such an act constitutes a form of mishandling, abuse, or neglect. There was sufficient proof from which the jury could have concluded that defendant's conduct amounted to physical mistreatment of a corpse in a manner offensive to a person of reasonable sensibilities. Dougan v. State, 322 Ark. 384, 912 S.W.2d 400 (1995).

Autopsy.

An insurer's right under an accident policy to make an autopsy was not barred by former section concerning the removal of a dead body from the grave. Standard Accident Ins. Co. v. Rossi, 35 F.2d 667 (8th Cir. 1929) (decision under prior law).

Evidence.

Evidence was sufficient to sustain defendant's conviction for abuse of a corpse, where the victim's remains were found in 55-gallon garbage bags, secured by duct tape, and covered with a tarp; defendant's mishandling or neglect of the victim's body constituted physical mistreatment that would offend a person of reasonable sensibilities. Dailey v. State, 101 Ark. App. 394, 278 S.W.3d 120 (2008).

Evidence did not support defendant's conviction for abuse of a corpse, as the delay in reporting the decedent's death (from 11:00 p.m until after the decedent's children left for school the next morning) had no adverse affect on the decedent's family and defendant did not knowingly mistreat the corpse in a manner offensive to a person of reasonable sensibilities. Hammonds v. State, 2010 Ark. App. 465, 375 S.W.3d 713 (2010).

Circuit court's denial of defendant's directed-verdict motion on the abuse of a corpse charge was affirmed where the evidence showed that he had dug a grave near his home and buried the victim's body, thereby concealing her body, and, by finding him guilty of violating the statute, the jury concluded that he did so outside the normal practices of handling or disposing of a corpse. Williams v. State, 2015 Ark. 316, 468 S.W.3d 776 (2015).

Statute of Limitations.

Although beheading and dismembering a corpse fell within the confines of this section, defendant's conviction had to be dismissed because she was not charged with the crime before the three-year limitations period ran and the submerging of the body did not qualify as a continuing course of conduct crime to toll the limitations period. McClanahan v. State, 2009 Ark. App. 493, 324 S.W.3d 692 (2009), aff'd, 2010 Ark. 39, 358 S.W.3d 900 (2010) (decision under prior law).

Prosecution for abuse of a corpse under subsection (a) of this section was barred by the three-year statute of limitations under § 5-1-109(b)(2) because it was not a continuing-course-of-conduct crime; once defendant disposed of the body parts in a pond, she was no longer physically mistreating the corpse. McClanahan v. State, 2010 Ark. 39, 358 S.W.3d 900 (2010) (decision under prior law).

5-60-102. Prohibition on sales and distribution of novelty lighters.

    1. As used in this section, “novelty lighter” means a product commonly used by consumers to ignite cigarettes, cigars, pipes, gas grills, or other combustible material that has entertaining audio or visual features that depict or resemble in physical form or function articles commonly recognized as appealing to or intended for use by children ten (10) years of age or younger, including without limitation lighters that depict or resemble cartoon characters, toys, guns, watches, musical instruments, vehicles, toy animals, food, or beverages or that play musical notes or have flashing lights or other entertaining features.
    2. “Novelty lighter” does not include:
      1. A lighter manufactured before 1980; or
      2. A lighter that lacks a device necessary to produce combustion or a flame.
    1. The retail sale, offer of retail sale, gift, or distribution of any novelty lighter in Arkansas is prohibited.
    2. Subdivision (b)(1) of this section does not apply to a novelty lighter that is:
      1. Being actively transported through the state; or
      2. Located in a warehouse closed to the public for purposes of retail sales.
  1. A person who pleads guilty or nolo contendere to or is found guilty of violating this section is guilty of a violation and shall be punished by a fine of not less than twenty-five dollars ($25.00) nor more than five hundred dollars ($500) for each offense and shall pay court costs.

History. Acts 2009, No. 329, § 1; 2013, No. 232, § 1.

Amendments. The 2013 amendment inserted “gas grills, or other combustible material” in (a)(1).

5-60-103. Unlawful use of an unmanned aircraft system.

  1. As used in this section:
    1. “Critical infrastructure” means:
      1. An electrical power generation or delivery system;
      2. A petroleum refinery;
      3. A chemical or rubber manufacturing facility;
      4. A petroleum or chemical storage facility;
      5. A railroad operating facility; or
      6. A communication tower or facility; and
      1. “Unmanned aircraft system” means an unmanned, powered aircraft that:
        1. Does not carry a human operator;
        2. Can be autonomous or remotely piloted or operated; and
        3. Can be expendable or recoverable.
      2. “Unmanned aircraft system” does not include:
        1. A satellite orbiting the earth;
        2. An unmanned aircraft system used by the United States Government or a person who is acting pursuant to contract with the United States Government to conduct surveillance of specific critical infrastructure;
        3. An unmanned aircraft system used by the state after consultation with the Governor or a person who is acting under contract with the state to conduct surveillance of specific critical infrastructure;
        4. An unmanned aircraft system used under a certificate of authorization issued by the Federal Aviation Administration; or
        5. An unmanned aircraft used by a law enforcement agency, emergency medical service agency, hazardous materials response team, disaster management agency, or other emergency management agency for the purpose of incident command, area reconnaissance, personnel and equipment deployment monitoring, training, or a related purpose.
  2. A person commits the offense of unlawful use of an unmanned aircraft system if he or she knowingly uses an unmanned aircraft system to conduct surveillance of, gather evidence or collect information about, or photographically or electronically record critical infrastructure without the prior written consent of the owner of the critical infrastructure.
  3. This section does not prohibit:
      1. A person from using an unmanned aircraft system to conduct surveillance of, gather evidence or collect information about, or photographically or electronically record his or her own property that is:
        1. Located on his or her own immovable property; or
        2. Located on immovable property owned by another person under a valid lease, servitude, right-of-way, right of use, permit, license, or other right.
      2. A third person retained by the owner of the property described in subdivision (c)(1)(A) of this section to conduct activities described in subdivision (c)(1)(A) of this section is not prohibited under this section from using an unmanned aircraft system to conduct the activities described in this subdivision (c)(1); or
    1. An insurance company or a person acting on behalf of an insurance company from using an unmanned aircraft system for purposes of underwriting an insurance risk or investigating damage to insured property.
  4. Unlawful use of an unmanned aircraft system is:
    1. A Class B misdemeanor; or
    2. A Class A misdemeanor for a second or subsequent offense.

History. Acts 2015, No. 1019, § 1; 2019, No. 320, § 1; 2019, No. 508, § 1; 2019, No. 1000, § 1.

Publisher's Notes. Acts 2019, No. 1000, § 1 specifically amended this section as amended by Acts 2019, No. 508.

Amendments. The 2019 amendment by No. 320 deleted former (a)(2)(B)(iv) and redesignated former (a)(2)(B)(v) and (a)(2)(B)(vi) as (a)(2)(B)(iv) and (a)(2)(B)(v).

The 2019 amendment by No. 508 added (a)(1)(E); substituted “United States Government” for “federal government” in (a)(2)(B)(ii); deleted former (a)(2)(B)(iv); and redesignated former (a)(2)(B)(v) and (a)(2)(B)(vi) as (a)(2)(B)(iv) and (a)(2)(B)(v).

The 2019 amendment by No. 1000 deleted “including without limitation a railroad right-of-way” from the end of (a)(1)(E), as added by Acts 2019, No. 508, and added (A)(1)(F).

Research References

U. Ark. Little Rock L. Rev.

Lindsey P. Gustafson, Arkansas Airspace Ownership and the Challenge of Drones, 39 U. Ark. Little Rock L. Rev. 245 (2017).

5-60-104 — 5-60-109. [Reserved.]

Publisher's Notes. This section, concerning relinquishing a party line for emergency calls, was repealed by Acts 2005, No. 1994, § 543. The section was derived from Acts 1955, No. 240, §§ 1-3; A.S.A. 1947, §§ 41-2974 — 41-2976.

5-60-111. [Repealed.]

Publisher's Notes. This section, concerning communicating a false alarm by means of citizen's band radio, was repealed by Acts 2005, No. 1994, § 521. The section was derived from Acts 1977, No. 277, § 1; A.S.A. 1947, § 41-2921.

5-60-112. Misconduct on bus.

  1. As used in this section:
    1. “Bus” means any passenger bus or coach or other motor vehicle having a seating capacity of not fewer than fifteen (15) passengers operated by a bus transportation company for the purpose of carrying passengers or cargo for hire, but not to include a bus or coach utilized exclusively to transport children to and from schools;
      1. “Bus transportation company” means any person, group of persons, or corporation providing for-hire transport to passengers or cargo by a bus upon a highway of this state.
      2. “Bus transportation company” includes a bus transportation facility owned or operated by a local public body, municipality, public corporation, board, and commission, except a school district established under the laws of this state.
      3. “Bus transportation company” does not include a company utilizing a bus for transporting children to and from school;
    2. “Charter” means a group of persons who, pursuant to a common purpose and under a single contract and at a fixed charge for the vehicle in accordance with a bus transportation company's tariff, have acquired the exclusive use of a bus to travel together as a group to a specified destination; and
      1. “Passenger” means any person served by a bus transportation company.
      2. “Passenger” includes a person accompanying or meeting another person who is transported by a bus transportation company and any person shipping or receiving cargo.
  2. It is unlawful while on a bus for any person to:
    1. Threaten a breach of the peace;
    2. Be under the influence of alcohol;
    3. Be unlawfully under the influence of a controlled substance;
    4. Ingest or have in his or her possession any controlled substance unless properly prescribed by a physician or medical facility;
    5. Drink intoxicating liquor of any kind in or upon any passenger bus, except a chartered bus; or
    6. Fail to obey a reasonable request or order of a bus driver or any authorized bus transportation company representative.
    1. If any person violates any provision of subsection (b) of this section, the driver of the bus or person in charge may:
      1. Stop the bus at the place where the offense is committed or at the next regular or convenient stopping place of the bus; and
      2. Require the person to leave the bus.
    2. Any person violating any provision of subsection (b) of this section is deemed guilty of a Class C misdemeanor.

History. Acts 1983, No. 688, §§ 1, 2; A.S.A. 1947, §§ 41-2924, 41-2925; Acts 2005, No. 1994, § 495.

Amendments. The 2005 amendment deleted “or use any obscene, profane, or vulgar language” at the end of (b)(1); inserted “or her” in (b)(2); substituted “violates” for “shall violate” in (c)(1); and made minor stylistic changes.

5-60-113. [Repealed.]

Publisher's Notes. This section, concerning using abusive language to a school bus driver, was repealed by Acts 2005, No. 1994, § 522. The section was derived from Acts 1977, No. 814, §§ 1, 2; A.S.A. 1947, §§ 41-2922, 41-2923.

5-60-114. Open shafts or wells.

  1. It is unlawful for any corporation, company, individual person, or association of persons to leave any shaft, well, or other opening uncovered on any unenclosed land.
  2. Any corporation, company, individual person, or association of persons who digs any shaft, well, or other opening, whether for the purpose of mining or other purpose, is required to securely enclose the opening or cover the opening and keep it covered with strong and sufficient covering.
  3. Any corporation, company, individual, person, or association of persons who violates a provision of this section is guilty of a violation and upon conviction shall be fined in any sum not less than twenty-five dollars ($25.00) nor more than one hundred dollars ($100) for any such offense and is liable to anyone who may lose any stock by the opening for two (2) times the appraised value of the stock.

History. Acts 1901, No. 167, §§ 1, 2, p. 320; 1905, No. 119, § 1, p. 312; C. & M. Dig., §§ 375, 376; Pope's Dig., §§ 399, 400; A.S.A. 1947, §§ 41-2951, 41-2952; Acts 2005, No. 1994, § 52.

Amendments. The 2005 amendment substituted “violation” for “misdemeanor” in (c).

Research References

Ark. L. Rev.

Absolute Liability in Arkansas, 8 Ark. L. Rev. 83.

Case Notes

Purpose.

The purpose of this statute was to protect animals running at large, and not to protect persons. Kimbrough v. Johnson, 182 Ark. 522, 32 S.W.2d 154 (1930).

Applicability.

This section applies to a well or opening on a lot in a city or town occupied as a residence. American Bldg. & Loan Ass'n v. State, 147 Ark. 80, 226 S.W. 1056 (1921).

While the statute applies to other openings than shafts or wells, it does not apply to the construction of sewers temporarily left open. Campbell & Hengst v. Douthit, 170 Ark. 358, 279 S.W. 1018 (1925).

Negligence.

Liability may be imposed without reference to the question of negligence, it being sufficient to show that an artificial well was dug on the land and that it was left exposed in a condition which might endanger livestock. Frauenthal v. Morton, 149 Ark. 148, 231 S.W. 884 (1921).

Possession.

Liability does not depend upon the owner's actual possession of the land, his constructive possession by reason of ownership being sufficient. Frauenthal v. Morton, 149 Ark. 148, 231 S.W. 884 (1921).

Use of Well.

It is unlawful to keep a well uncovered though it was not dug for mining purposes. American Bldg. & Loan Ass'n v. State, 147 Ark. 80, 226 S.W. 1056 (1921).

The fact that the well was being used as a source of water supply does not relieve the owner from liability if he permitted it to remain uncovered on unenclosed land. Frauenthal v. Morton, 149 Ark. 148, 231 S.W. 884 (1921).

Well Dug by Another.

An owner of land may be convicted under this section although he did not dig the well. American Bldg. & Loan Ass'n v. State, 147 Ark. 80, 226 S.W. 1056 (1921).

Liability is not dependent on the fact that the person or corporation against whom liability is sought to be imposed dug the well but may be incurred by permitting a well dug by another to remain uncovered. Frauenthal v. Morton, 149 Ark. 148, 231 S.W. 884 (1921).

5-60-115. Filling or covering abandoned water wells.

  1. When the owner of land abandons or ceases to use any dug water well located on the land, he or she shall either fill the well or place a sturdy cover over the well to prevent animals and persons from falling into the well.
  2. Any person who willfully fails or refuses to either fill or cover the well, as provided in subsection (a) of this section, is guilty of a violation and upon conviction is subject to a fine of not less than ten dollars ($10.00) nor more than fifty dollars ($50.00).

History. Acts 1967, No. 193, §§ 1, 2; A.S.A. 1947, §§ 41-3755, 41-3756; Acts 2005, No. 1994, § 52.

Amendments. The 2005 amendment substituted “violation” for “misdemeanor” in (b).

Research References

Ark. L. Rev.

Looney, Modification of Arkansas Water Law: Issues and Alternatives, 38 Ark. L. Rev. 221.

5-60-116. Breathing, inhaling, possessing, selling, or drinking certain intoxicating compounds — Alcohol vaporizing devices prohibited.

    1. It is unlawful for any person to knowingly:
      1. Breathe, inhale, or drink any compound, liquid, or chemical containing toluol, hexane, trichloroethylene, acetone, toluene, ethyl acetate, methyl ethyl ketone, trichlorathane, isopropanol, methyl isobutyl ketone, methyl cellosolve acetate, cyclohexanone, or any other similar substance or any gasoline or similar substance for the purpose of inducing a condition of intoxication, stupefaction, depression, giddiness, paralysis, irrational behavior, or in any manner changing, distorting, or disturbing the auditory, visual, or mental processes;
      2. Breathe or inhale any compound, liquid, or chemical containing ethyl alcohol for the purpose of inducing a condition of intoxication;
      3. Possess any compound, liquid, or chemical containing toluol, hexane, trichloroethylene, acetone, toluene, ethyl acetate, methyl ethyl ketone, trichlorathane, isopropanol, methyl isobutyl ketone, methyl cellosolve acetate, cyclohexanone, ethyl alcohol, or any other substance that will induce a condition of intoxication through breathing or inhalation for the purpose of violating subdivision (a)(1)(A) or subdivision (a)(1)(B) of this section;
      4. Sell, offer for sale, deliver, give, or possess with the intent to sell, deliver, or give to any other person any compound, liquid, or chemical containing toluol, hexane, trichloroethylene, acetone, toluene, ethyl acetate, methyl ethyl ketone, trichlorathane, isopropanol, methyl isobutyl ketone, methyl cellosolve acetate, cyclohexanone, ethyl alcohol, or any other substance that will induce a condition of intoxication through breathing or inhalation if he or she has reasonable cause to believe that the compound, liquid, or chemical sold, offered for sale, delivered, given, or possessed with the intent to sell, deliver, or give will be used for the purpose of violating subdivision (a)(1)(A) or subdivision (a)(1)(B) of this section; or
      5. Manufacture, sell, give, deliver, possess, or use an alcohol vaporizing device.
    2. For the purposes of this section, any condition induced as provided in subdivision (a)(1)(A) or subdivision (a)(1)(B) of this section is an intoxicated condition.
    1. This section does not apply to any person who commits any act described in this section pursuant to the direction or prescription of a licensed physician or dentist authorized to direct or prescribe the act.
    2. This section does not apply to the inhalation of anesthesia for a medical purpose or dental purpose.
  1. Upon conviction, a person who violates this section is guilty of a Class B misdemeanor.
    1. As used in this section, “alcohol vaporizing device” means a device, a machine, an apparatus, or an appliance that is designed or marketed for the purpose of mixing ethyl alcohol with pure or diluted oxygen or any other gas to produce an alcoholic vapor that a person can breathe or inhale.
    2. “Alcohol vaporizing device” does not include an inhaler, a nebulizer, an atomizer, or any other device that is designed and intended by the manufacturer to dispense either a substance prescribed by a licensed healthcare provider authorized by law to prescribe the substance or an over-the-counter medication approved under an over-the-counter drug monograph or a new drug application under the Federal Food, Drug, and Cosmetic Act, 21 U.S.C. § 301 et seq., as it existed on January 1, 2009.
    3. “Alcohol vaporizing device” includes an inhaler, a nebulizer, an atomizer, or any other device described in subdivision (d)(2) of this section if the inhaler, nebulizer, or atomizer is used for the purpose of inducing a condition of intoxication through breathing or inhalation.

History. Acts 1969, No. 34, §§ 1-3; A.S.A. 1947, §§ 41-2963 — 41-2965; Acts 2005, No. 1994, § 381; 2009, No. 466, § 1.

Amendments. The 2005 amendment substituted “Class B misdemeanor” for “misdemeanor and upon conviction shall be subject to a fine of not less than one hundred dollars ($100) nor more than two hundred dollars ($200) or imprisonment for not less than thirty (30) days nor more than six (6) months, or both fine and imprisonment” in (c).

The 2009 amendment, in the section heading, inserted “possession, selling” and added “Alcohol vaporizing devices prohibited”; added (a)(1)(B) through (E); substituted “It is unlawful for any person to knowingly” for “No person shall” in the introductory language of (a)(1); in (a)(2), substituted “subdivision (a)(1)(A) or subdivision (a)(1)(B)” for “subdivision (a)(1)” and deleted “deemed to be” following “section is”; in (b)(2), substituted “This section does not apply” for “Nothing contained in this section applies” and inserted “purpose” following “medical”; substituted “Upon conviction, a person who violates” for “Any person who violates any provision of” in (c); and added (d).

5-60-117 — 5-60-119. [Repealed.]

Publisher's Notes. These sections, concerning endurance contests, X-ray shoe fitting equipment, and motion pictures shown on Sunday, were repealed by Acts 2005, No. 1994, § 544. The sections were derived from the following sources:

5-60-117. Acts 1935, No. 64, §§ 1, 2; Pope's Dig., §§ 3359, 3360; A.S.A. 1947, §§ 41-3751, 41-3752.

5-60-118. Acts 1959, No. 133, §§ 1, 2; A.S.A. 1947, §§ 41-3753, 41-3754.

5-60-119. Acts 1931, No. 315, § 1; Pope's Dig., § 4908; A.S.A. 1947, § 41-3851.

Section 5-60-119 was also repealed by Acts 2005, No. 448, § 1.

5-60-120. Interception and recording.

  1. It is unlawful for a person to intercept a wire, landline, oral, telephonic communication, or wireless communication, and to record or possess a recording of the communication unless the person is a party to the communication or one (1) of the parties to the communication has given prior consent to the interception and recording.
  2. Any violation of this section is a Class A misdemeanor.
    1. It is not unlawful for the act to be committed by a person acting under the color of law.
    2. It is an exception to the application of subsection (a) of this section that an officer, employee, or agent of a public telephone utility or company that is licensed by a federal or state agency to provide wire or wireless telecommunication service to the public provides information, facilities, or technical assistance to a person acting under the color of law to intercept a wire, wireless, oral, or telephonic communication.
    3. It is not unlawful under this section for an operator of a switchboard, or an officer, employee, or agent of any public telephone utility or telecommunications provider whose facilities are used in the transmission of a wire communication to intercept, disclose, or use that communication in the normal course of his or her employment while engaged in any activity which is a necessary incident to the rendition of his or her service or to the protection of the rights or property of the telecommunications provider or public telephone utility of the communication.
  3. The provisions of this section do not apply to a:
    1. Telecommunication service offered by a telecommunications provider or public telephone utility; or
    2. Federal Communications Commission licensed amateur radio operator.
  4. Nothing in this section shall be interpreted to prohibit or restrict a Federal Communications Commission licensed amateur radio operator or anyone operating a police scanner from intercepting a communication for pleasure.
  5. Consistent with the provisions of 18 U.S.C. § 2703, as it existed on January 1, 2003, the issuance of a court order for disclosure of a customer communication or record to a governmental entity requiring the information as part of an ongoing criminal investigation is not prohibited by the laws of this state.
  6. Consistent with the provisions of 18 U.S.C. §§ 3122 — 3127, as they existed on January 1, 2003, the issuance of a court order authorizing or approving the installation and use of a pen register or a trap-and-trace device as part of an ongoing criminal investigation is not prohibited by the laws of this state.

History. Acts 1993, No. 1006, §§ 1-5; 2001, No. 1190, § 1; 2001, No. 1773, § 1; 2001, No. 1823, § 1; 2003, No. 1087, § 7.

A.C.R.C. Notes. Pursuant to § 1-2-207, this section is set out as amended by Acts 2001, No. 1823, § 1. Subsection (a) of this section was also amended by Acts 2001, No. 1190, § 1, and Acts 2001, No. 1773, § 1. Acts 2001, No. 1190, § 1, amended subsection (a) to read as follows:

“(a) It shall be unlawful for a person to:

“(1) Intercept, unless the person is a party to the communication or one (1) of the parties to the communication has given prior consent to such interception and recording:

“(A) A wire communication;

“(B) An oral communication; or

“(C) A telephonic communication, including a communication that utilizes the electromagnetic spectrum frequencies generally used by cordless telephone technology and generally used by cellular telephone technology; or

“(2) Record or possess a recording of such communication unless the person is a party to the communication or one (1) of the parties to the communication has given prior consent to the interception and recording.”

Acts 2001, No. 1773, § 1, amended subsection (a) to read as follows:

“(a) It shall be unlawful for a person to intercept a wire, oral, or telephonic communication, defined as communications that utilize the electromagnetic spectrum frequencies of forty-six to forty-nine megahertz (46-49 mghz.) generally used by cordless telephone technology and eight hundred forty to eight hundred eighty megahertz (840-880 mghz.) generally used by cellular telephone technology or that utilize the wire, cable, or landline telephone facilities or telecommunications network, and to record or possess a recording of such communication unless such a person is a party to the communication or one (1) of the parties to the communication has given prior consent to such interception and recording.”

Amendments. The 2001 amendment rewrote (a); in (c)(2), inserted “or company that … service to the public” and “wireless” following “wire”; in (c)(3), inserted “telecommunications provider” and made gender neutral changes; in (d), inserted “a telecommunications provider” and “or an amateur radio operator licensed by the Federal Communications Commission” and substituted “utility” for “utilities”; and added (e).

The 2003 amendment added (f) and (g).

Cross References. Wireless service theft prevention, § 5-36-301 et seq.

Research References

ALR.

Facial and As-Applied Validity of State Wiretapping Acts in Criminal Proceedings, 25 A.L.R.7th Art. 6 (2018).

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Computer Crimes, 26 U. Ark. Little Rock L. Rev. 361.

Case Notes

Evidence.

Defendant admitted he placed a recording device on his ex-wife's telephone and recorded her incoming and outgoing calls, and he also kept some of the recordings in his home. Based on a preponderance of the evidence and the plain language of this section, the appellate court affirmed the circuit court's revocation of defendant's probation. Lewis v. State, 336 Ark. 469, 986 S.W.2d 95 (1999).

—Admissibility of Unlawful Recording.

This section does not proscribe the admissibility of an unlawful recording of an electronic communication by a private citizen. Elliott v. State, 335 Ark. 387, 984 S.W.2d 362 (1998).

Defendant's motion in limine to exclude a taped audio recording of a telephone conversation between him and a detective was properly denied; although this section made the third party's recording of the conversation unlawful, it did not proscribe its admissibility, and defendant failed to argue 18 U.S.C. § 2515 to the circuit court. King v. State, 2019 Ark. 114, 571 S.W.3d 476 (2019).

5-60-121. Sale of hand-held laser pointer to minor.

  1. It is unlawful to sell a hand-held laser pointer to a person under eighteen (18) years of age.
  2. Any person who violates this section is guilty of a violation punishable by a fine of one hundred dollars ($100).

History. Acts 1999, No. 382, § 1.

5-60-122. Possession of hand-held laser pointer by minor.

  1. It is unlawful for a person under eighteen (18) years of age to possess a hand-held laser pointer without the supervision of a parent, guardian, or teacher.
  2. The hand-held laser pointer shall be seized by a law enforcement officer as contraband.

History. Acts 1999, No. 1408, § 1.

Cross References. Seizure by school personnel of hand-held laser pointers, § 6-18-512.

5-60-123. Obstruction or interference with emergency medical personnel or first responder.

  1. As used in this section:
    1. “Emergency medical services personnel” includes without limitation a governmental, private, or volunteer:
      1. Emergency medical services personnel;
      2. Rescue technician; or
      3. Emergency medical care provider; and
    2. “First responder” means a firefighter or a law enforcement officer.
  2. A person who knowingly obstructs or interferes with emergency medical services personnel or a first responder in the performance of the emergency medical services personnel's or first responder's rescue mission upon conviction is guilty of:
    1. A Class A misdemeanor if the person uses or threatens to use physical force; or
    2. A Class C misdemeanor if otherwise committed.
  3. A person who purposely obstructs or interferes with emergency medical services personnel or a first responder in the performance of the emergency medical services personnel's or first responder's rescue mission upon conviction is guilty of a Class D felony.

History. Acts 2005, No. 1683, § 1; 2009, No. 689, § 2; 2017, No. 952, § 1.

Amendments. The 2009 amendment substituted “emergency medical services personnel” for “an emergency medical technician” in (a).

The 2017 amendment added “or first responder” in the section heading; and rewrote the section.

Cross References. Civil action against a person who engages in a riot or disorderly conduct, or who obstructs or interferes with emergency medical services personnel or first responder, § 16-118-114.

RESEARCH REFERENCES

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2005 Arkansas General Assembly, Criminal Law, 28 U. Ark. Little Rock L. Rev. 335.

5-60-124. Interference with emergency communication in the first degree.

  1. A person commits the offense of interference with emergency communication in the first degree if he or she knowingly displaces, damages, or disables another person's telephone or other communication device with the purpose of defeating the other person's ability to request with good cause emergency assistance from a law enforcement agency, medical facility, or other government agency or entity that provides emergency assistance.
  2. Interference with emergency communication in the first degree is a Class A misdemeanor.

History. Acts 2007, No. 162, § 1.

Case Notes

Evidence.

—Sufficient.

Victim's testimony and the circumstances of the domestic disturbance permitted a reasonable inference of defendant's knowledge and purpose as to first-degree interference with emergency communications. Defendant broke into the victim's home, broke into the bathroom where the victim retreated, physically assaulted the victim, took the victim's cell phone away and broke it, and threatened that, if the victim had called the police, defendant would kill the victim. Adams v. State, 2014 Ark. App. 308, 435 S.W.3d 520 (2014).

5-60-125. Interference with emergency communication in the second degree.

  1. A person commits the offense of interference with emergency communication in the second degree if he or she recklessly prevents, interrupts, disrupts, impedes, or interferes with another person's attempt to request with good cause emergency assistance from a law enforcement agency, medical facility, or other government agency or entity that provides emergency assistance.
  2. Interference with emergency communication in the second degree is a Class B misdemeanor.

History. Acts 2007, No. 162, § 1.

Subchapter 2 — Intent to Defraud a Drug or Alcohol Screening Test

5-60-201. Unlawful activities.

      1. It is unlawful for a person to:
        1. Sell, give away, distribute, or market human or synthetic urine in this state or transport human or synthetic urine into this state with the intent of using the human or synthetic urine to defraud or cause deceitful results in a drug or alcohol screening test;
        2. Attempt to foil or defeat a drug or alcohol screening test by substituting synthetic urine or substituting or spiking a human urine sample or by advertising urine sample substitution or human urine spiking devices or measures;
        3. Adulterate a human urine sample or other human bodily fluid sample with the intent to defraud or cause deceitful results in a drug or alcohol screening test;
        4. Possess adulterants which are intended to be used to adulterate a human urine sample or other human bodily fluid sample for the purpose of defrauding or causing deceitful results in a drug or alcohol screening test; or
        5. Sell or market an adulterant with the intent by the seller or marketer that the product be used to adulterate a human urine sample or other human bodily fluid sample for the purpose of defrauding or causing deceitful results in a drug or alcohol screening test.
      2. As used in this section, “adulterant” means a substance that is not expected to be in human urine or another human bodily fluid or a substance expected to be present in human urine or another human bodily fluid but that is at a concentration so high that it is not consistent with human urine or another human bodily fluid, including without limitation:
        1. Bleach;
        2. Chromium;
        3. Creatinine;
        4. Detergent;
        5. Glutaraldehyde;
        6. Glutaraldehyde/squalene;
        7. Hydrochloric acid;
        8. Hydroiodic acid;
        9. Iodine;
        10. Nitrite;
        11. Peroxidase;
        12. Potassium dichromate;
        13. Potassium nitrite;
        14. Pyridinium chlorochromate; and
        15. Sodium nitrite.
    1. Upon conviction, a person who violates subdivision (a)(1)(A) of this section is guilty of a Class B misdemeanor.
  1. Intent to defraud or cause deceitful results in a drug or alcohol screening test is presumed if:
    1. A heating element or any other device used to thwart a drug screening test accompanies the sale, giving, distribution, or marketing of human or synthetic urine; or
    2. Instructions that provide a method for thwarting a drug screening test accompany the sale, giving, distribution, or marketing of human or synthetic urine.

History. Acts 2003, No. 750, § 1; 2009, No. 640, § 1.

Amendments. The 2009 amendment inserted “human or synthetic” preceding “urine” in three places in (a)(1)(A)(i), (b)(1), and (b)(2); inserted “human” preceding “urine” in (a)(1)(A)(ii) through (a)(1)(A)(v); inserted “human” preceding “bodily fluid” in (a)(1)(A)(ii) through (a)(1)(A)(v); in (a)(1)(B), inserted “As used in this section” and inserted “or another human bodily fluid” in three places; inserted “Upon conviction” in (a)(2); and made related and minor stylistic changes.

5-60-202. Construction.

Nothing in this subchapter or §§ 20-7-309 and 20-7-310 shall be construed to encourage, conflict, or otherwise interfere with the preemption of state and local laws under any federal laws or United States Department of Transportation regulations related to drug testing procedures and confidentiality.

History. Acts 2003, No. 750, § 2.

5-60-110. [Repealed.]

Chapter 61 Abortion

A.C.R.C. Notes. Because of the enactment of Subchapter 2 by Acts 1997, No. 984, the preexisting provisions of this chapter have been designated as Subchapter 1.

Cross References. Abortion, Ark. Const. Amend. 68.

Concealing birth, § 5-26-203.

Licensing and inspection of abortion clinics, § 20-9-302.

Abortion, §§ 20-16-601 et seq., 20-16-701 et seq., 20-16-801 et seq., 20-16-1201 et seq. — 20-16-1701 et seq.

Research References

Am. Jur. 1 Am. Jur. 2d, Abortion, § 1 et seq.

C.J.S. 1 C.J.S., Abortion & B.C., § 4 et seq.

U. Ark. Little Rock L.J.

Legislative Survey, Health Law, 8 U. Ark. Little Rock L.J. 583.

Subchapter 1 — General Provisions

A.C.R.C. Notes. Because of the enactment of Subchapter 2 by Acts 1997, No. 984, the preexisting provisions of this chapter have been designated as Subchapter 1.

5-61-101. Abortion only by licensed physician.

  1. It is unlawful for any person to induce another person to have an abortion or to knowingly terminate the pregnancy of a woman known to be pregnant with the purpose to cause fetal death unless the person is a physician licensed to practice medicine in the State of Arkansas.
  2. A violation of subsection (a) of this section is a Class D felony.
  3. This section does not allow the charging or conviction of a woman with any criminal offense in the death of her own unborn child in utero.

History. Acts 1983, No. 715, §§ 1, 2; A.S.A. 1947, § 41-2561; Acts 1999, No. 1273, § 4; 2017, No. 383, § 1.

Amendments. The 2017 amendment substituted “physician” for “medical practitioner” in the section heading; in (a), substituted “knowingly” for “willfully”, “purpose” for “intent”, and “is a physician licensed” for “is licensed”; substituted “A violation” for “Violation” in (b); and substituted “This section does not” for “Nothing in this section shall be construed to” in (c).

5-61-102. Unlawful abortion.

  1. It is unlawful for any person to administer or prescribe any medicine or drug to any woman with child with the intent to produce an abortion or premature delivery of any fetus before or after the period of quickening or to produce or attempt to produce the abortion by any other means.
  2. Any person violating a provision of this section is guilty of a Class D felony.
  3. Nothing in this section shall be construed to allow the charging or conviction of a woman with any criminal offense in the death of her own unborn child in utero.

History. Acts 1969, No. 61, § 1; A.S.A. 1947, § 41-2553; Acts 1999, No. 1273, § 5; 2005, No. 1994, § 428.

Publisher's Notes. This section was held unconstitutional, as applied to physicians, by Smith v. Bentley, 493 F. Supp. 916 (E.D. Ark. 1980). See case notes.

Amendments. The 2005 amendment, in (b), substituted “guilty of a Class D felony” for “fined in any sum not to exceed one thousand dollars ($1,000) and imprisoned in the penitentiary not less than one (1) nor more than five (5) years.”

Case Notes

Constitutionality.

The effect of the U. S. Supreme Court holdings on this section was to strike down the prohibition on abortion as against physicians during the period preceding approximately the end of the first trimester. May v. State, 254 Ark. 194, 492 S.W.2d 888, cert. denied, 414 U.S. 1024, 94 S. Ct. 448, 38 L. Ed. 2d 315 (1973).

This section could not be constitutionally applied to physicians since the statute does not provide, and is not capable of being construed to provide, the physicians with notice of the conduct which the State has the authority to declare criminal; however, the statute could be constitutionally applied to laymen. Smith v. Bentley, 493 F. Supp. 916 (E.D. Ark. 1980).

Accomplice.

The victim of an abortion was not considered an accomplice to the crime under this section. Heath v. State, 249 Ark. 217, 459 S.W.2d 420 (1970), cert. denied, 404 U.S. 910, 92 S. Ct. 236, 30 L. Ed. 2d 183 (1971) (decision under prior law).

Defense.

Where the defendant prescribed or administered medicine to produce an abortion he is guilty, and it is no defense that the medicine was not taken or that it failed to produce an abortion. Burris v. State, 73 Ark. 453, 84 S.W. 723 (1904); Clayton v. State, 186 Ark. 713, 55 S.W.2d 88 (1932) (preceding decisions under prior law).

Elements.

In determination of question of an abortion the court must decide (1) Has abortion taken place? (2) Was it induced by an intentional act? (3) If the act was intentional, was the act justifiable or criminal? (4) Did the induced abortion injure health or destroy life? McClure v. State, 214 Ark. 159, 215 S.W.2d 524 (1948) (decision under prior law).

Indictment.

Indictment was defective to charge a felony under former similar statute in not alleging that the act was done “before the period of quickening,” but it is good under the common law for a misdemeanor punishable by fine not exceeding one hundred dollars and imprisonment not exceeding three months. Reed v. State, 45 Ark. 333 (1885) (decision under prior law).

An indictment for administering drugs to produce abortion need not name the particular drug used. Reed v. State, 45 Ark. 333 (1885) (decision under prior law).

Indictment held not defective in failing to allege that the defendant administered the medicine with the intent to cause the abortion before the period of quickening. Davis v. State, 96 Ark. 7, 130 S.W. 547 (1910) (decision under prior law).

Presence of Accused.

One who sends medicine to a woman with child with intent to produce an abortion is guilty under this statute. Burris v. State, 73 Ark. 453, 84 S.W. 723 (1904) (decision under prior law).

Where the defendant sent medicine to bring about an abortion and directed a pregnant woman in person or by letter how to take it, he was guilty although he was not present at the time the medicine was delivered to or taken by her. Clayton v. State, 186 Ark. 713, 55 S.W.2d 88 (1932).

Proof.

Under an indictment for administering and prescribing medicine to produce an abortion, proof of either administering or prescribing is sufficient. Clayton v. State, 186 Ark. 713, 55 S.W.2d 88 (1932) (decision under prior law).

Standing.

A layman had no standing to personally attack the constitutionality of this section, because, as applied to him, it simply prohibited a layman from performing or inducing an abortion. May v. State, 254 Ark. 194, 492 S.W.2d 888, cert. denied, 414 U.S. 1024, 94 S. Ct. 448, 38 L. Ed. 2d 315 (1973).

Where plaintiff physicians sought to perform abortions on demand during the first trimester of pregnancy without regard to the criteria for “legal abortions,” the risk of criminal prosecution and disciplinary action was sufficient to give the plaintiffs standing to challenge the constitutionality of the state's criminal abortion statutes. Smith v. Bentley, 493 F. Supp. 916 (E.D. Ark. 1980).

Cited: Bynum v. State, 2018 Ark. App. 201, 546 S.W.3d 533 (2018).

Subchapter 2 — Partial-Birth Abortion Ban Act of 1997

5-61-201 — 5-61-204. [Repealed.]

Publisher's Notes. This subchapter was repealed by Acts 2009, No. 196, § 2. The subchapter was derived from the following sources:

5-61-201. Acts 1997, No. 984, § 1.

5-61-202. Acts 1997, No. 984, § 2.

5-61-203. Acts 1997, No. 984, § 3.

5-61-204. Acts 1997, No. 984, § 4.

For current law, see the Partial-Birth Abortion Ban Act, § 20-16-1201 et seq.

Subchapter 3 — Arkansas Human Life Protection Act. [Effective If Contingency In Acts 2019, No. 180, § 2 Is Met]

Effective Dates. Acts 2019, No. 180, § 2. Contingent effective date clause provided: “This act becomes effective on and after the certification of the Attorney General that: (1) The United States Supreme Court overrules, in whole or in part, the central holding of Roe v. Wade, 410 U.S. 113 (1973), reaffirmed by Planned Parenthood of Southeastern Pennsylvania v. Casey, 505 U.S. 833 (1992), thereby restoring to the State of Arkansas the authority to prohibit abortion; or (2) An amendment to the United States Constitution is adopted that, in whole or in part, restores to the State of Arkansas the authority to prohibit abortion”.

5-61-301. Title. [Effective if contingency in Acts 2019, No. 180, § 2 is met]

This subchapter shall be known and may be cited as the “Arkansas Human Life Protection Act”.

History. Acts 2019, No. 180, § 1.

5-61-302. Legislative findings and intent. [Effective if contingency in Acts 2019, No. 180, § 2 is met]

  1. The General Assembly finds that:
    1. It is time for the United States Supreme Court to redress and correct the grave injustice and the crime against humanity which is being perpetuated by its decisions in Roe v. Wade, Doe v. Bolton, and Planned Parenthood v. Casey;
    2. The United States Supreme Court committed a grave injustice and a crime against humanity in the Dred Scott decision by denying personhood to a class of human beings, African-Americans;
    3. The United States Supreme Court also committed a grave injustice and a crime against humanity by upholding the “separate but equal” doctrine in Plessy v. Ferguson which withdrew legal protection from a class of human beings who were persons under the United States Constitution, African-Americans;
    4. A crime against humanity occurs when a government withdraws legal protection from a class of human beings resulting in severe deprivation of their rights, up to and including death;
    5. In Brown v. Board of Education, the United States Supreme Court corrected its own grave injustice and crime against humanity created in Plessy v. Ferguson by overruling and abolishing the fifty-eight-year-old “separate but equal” doctrine, thus giving equal legal rights to African-Americans;
    6. Under the doctrine of stare decisis, the three (3) abortion cases mentioned in subdivision (a)(1) of this section meet the test for when a case should be overturned by the United States Supreme Court because of significant changes in facts or laws, including without limitation the following:
      1. The cases have not been accepted by scholars, judges, and the American people, as witnessed to by the fact that these cases are still the most intensely controversial cases in American history and at the present time;
      2. New scientific advances have demonstrated since 1973 that life begins at the moment of conception and the child in a woman's womb is a human being;
      3. Scientific evidence and personal testimonies document the massive harm that abortion causes to women;
      4. The laws in all fifty (50) states have now changed through “Safe Haven” laws to eliminate all burden of child care from women who do not want to care for a child; and
      5. Public attitudes favoring adoption have created a culture of adoption in the United States with many families waiting long periods of time to adopt newborn infants;
    7. Before the United States Supreme Court decision of Roe v. Wade, Arkansas had already enacted prohibitions on abortions under § 5-61-101 et seq., and authorized the refusal to perform, participate, consent or submit to an abortion under § 20-16-601;
    8. Arkansas Constitution, Amendment 68, states that the policy of Arkansas is to protect the life of every unborn child from conception until birth and that public funds shall not be used to pay for any abortion except to save the life of the mother;
    9. Arkansas passed the Arkansas Human Heartbeat Protection Act, § 20-16-1301 et seq., in 2013 which shows the will of the Arkansas people to save the lives of unborn children;
    10. Arkansas has continued to pass additional legislation in 2015 and 2017 that further shows the will of the Arkansas people to save the lives of unborn children;
      1. Since the decision of Roe v. Wade, approximately sixty million sixty-nine thousand nine hundred seventy-one (60,069,971) abortions have ended the lives of unborn children.
      2. In 2015, six hundred thirty-eight thousand one hundred sixty-nine (638,169) legal induced abortions were reported to the Centers for Disease Control and Prevention from forty-nine (49) reporting areas in the United States.
      3. The Department of Health reports that three thousand two hundred forty-nine (3,249) abortions took place in Arkansas during 2017, including abortions performed on out-of-state residents; and
    11. The State of Arkansas urgently pleads with the United States Supreme Court to do the right thing, as it did in one of its greatest cases, Brown v. Board of Education, which overturned a fifty-eight-year-old precedent of the United States, and reverse, cancel, overturn, and annul Roe v. Wade, Doe v. Bolton, and Planned Parenthood v. Casey.
  2. It is the intent of this subchapter to ensure that abortion in Arkansas is abolished and protect the lives of unborn children.

History. Acts 2019, No. 180, § 1.

5-61-303. Definitions. [Effective if contingency in Acts 2019, No. 180, § 2 is met]

As used in this subchapter:

    1. “Abortion” means the act of using, prescribing, administering, procuring, or selling of any instrument, medicine, drug, or any other substance, device, or means with the purpose to terminate the pregnancy of a woman, with knowledge that the termination by any of those means will with reasonable likelihood cause the death of the unborn child.
    2. An act under subdivision (1)(A) of this section is not an abortion if the act is performed with the purpose to:
      1. Save the life or preserve the health of the unborn child;
      2. Remove a dead unborn child caused by spontaneous abortion; or
      3. Remove an ectopic pregnancy;
  1. “Fertilization” means the fusion of a human spermatozoon with a human ovum;
  2. “Medical emergency” means a condition in which an abortion is necessary to preserve the life of a pregnant woman whose life is endangered by a physical disorder, physical illness, or physical injury, including a life-endangering physical condition caused by or arising from the pregnancy itself; and
  3. “Unborn child” means an individual organism of the species Homo sapiens from fertilization until live birth.

History. Acts 2019, No. 180, § 1.

5-61-304. Prohibition. [Effective if contingency in Acts 2019, No. 180, § 2 is met]

  1. A person shall not purposely perform or attempt to perform an abortion except to save the life of a pregnant woman in a medical emergency.
  2. Performing or attempting to perform an abortion is an unclassified felony with a fine not to exceed one hundred thousand dollars ($100,000) or imprisonment not to exceed ten (10) years, or both.
  3. This section does not:
    1. Authorize the charging or conviction of a woman with any criminal offense in the death of her own unborn child; or
    2. Prohibit the sale, use, prescription, or administration of a contraceptive measure, drug, or chemical if the contraceptive measure, drug, or chemical is administered before the time when a pregnancy could be determined through conventional medical testing and if the contraceptive measure, drug, or chemical is sold, used, prescribed, or administered in accordance with manufacturer instructions.
  4. It is an affirmative defense to prosecution under this section if a licensed physician provides medical treatment to a pregnant woman which results in the accidental or unintentional injury or death to the unborn child.

History. Acts 2019, No. 180, § 1.

Chapter 62 Animals

Cross References. Fines, § 5-4-201.

Penalty for selling, etc., or killing of strays before expiration of time limit, § 2-38-118.

Term of imprisonment, § 5-4-401.

Research References

Am. Jur. 4 Am. Jur. 2d, Animals, § 23 et seq.

C.J.S. 3B C.J.S., Animals, § 198 et seq.

Subchapter 1 — General Provisions

Publisher's Notes. For Comments regarding the Criminal Code, see Commentaries Volume B.

Effective Dates. Acts 1879, No. 47, § 16: effective on passage.

5-62-101. [Repealed.]

Publisher's Notes. This section, concerning cruelty to animals, was repealed by Acts 2009, No. 33, § 2. The section was derived from Acts 1975, No. 280, § 2918; 1983, No. 285, § 1; A.S.A. 1947, § 41-2918; Acts 2001, No. 1826, § 1.

5-62-102. Definitions.

As used in this subchapter:

  1. “Abandon” means to desert, surrender, forsake, or to give up absolutely;
  2. “Animal” means any living vertebrate creature, except human beings and fish;
  3. “Animal control officer” means an officer employed by or under contract with an agency of the state, county, municipality, or other governmental or political subdivision of the state that is responsible for animal control operations in its jurisdiction;
    1. “Animal husbandry practices” means the breeding, raising, production, and management of animals.
    2. “Animal husbandry practices” includes without limitation dehorning, docking, and castration;
  4. “Animal identification” means the use of a microchip, tattoo, an ear tag, an ear notch, branding, or any similar technology to identify the owner of an animal and that is generally accepted for the breed, species, and type of animal being identified;
  5. “Appropriate place of custody” means any of the following within this state and, if practicable, within twenty (20) miles of the residence of the owner or other place owned by the owner:
    1. A nonprofit animal shelter;
    2. An animal pound;
    3. A location owned or managed by a society incorporated for the prevention of cruelty to animals;
    4. A location owned or managed by an agency of the state, county, municipality, or other governmental or political subdivision of the state that is responsible for animal control operations in its jurisdiction;
    5. A location owned or managed by a public or private custodian that provides shelter, care, and necessary medical treatment to an animal; or
    6. The residence or other place owned by the owner of the animal, if approved by written order of a court of competent jurisdiction;
  6. “Competitive activity” means a lawful activity that is generally recognized as having an established schedule of events involving competition of animals or exhibitions of animals;
  7. “Cruel mistreatment” means any act that causes or permits the continuation of unjustifiable pain or suffering;
  8. “Equine” means a horse, pony, mule, donkey, or hinny;
  9. “Equine activity” means:
    1. Equine participation in equine shows, fairs, competitions, performances, or parades that involve any breed of equine and any of the equine disciplines, including without limitation dressage, hunter and jumper horse shows, grand prix jumping, three-day events, combined training, rodeos, pulling, cutting, polo, steeplechasing, endurance trail riding and western games, and hunting;
    2. Teaching and training activities of an equine show or rodeo;
    3. Boarding an equine;
    4. Riding, inspecting, or evaluating an equine owned by another person, whether or not the owner has received some monetary consideration or other thing of value for the use of the equine or is permitting a prospective purchaser of the equine to ride, inspect, or evaluate the equine; or
    5. Any activity that involves riding or hunting;
  10. “Euthanizing” means humanely killing an animal accomplished by a method that utilizes anesthesia produced by an agent that causes painless loss of consciousness and subsequent death, and administered by a licensed veterinarian or a euthanasia technician licensed by the federal Drug Enforcement Administration and certified by the Department of Health;
  11. “Humanely killing” means causing the death of an animal in a manner intended to limit the pain or suffering of the animal as much as reasonably possible under the circumstances;
  12. “Law enforcement officer” means any public servant vested by law with a duty to maintain public order or to make an arrest for an offense;
  13. “Licensed veterinarian” means a veterinarian licensed to engage in the practice of veterinary medicine in Arkansas in accordance with applicable Arkansas laws;
  14. “Livestock” means a horse, mule, bovine animal, goat, sheep, swine, chicken, duck, or similar animal or fowl commonly raised or used for farm purposes;
  15. “Local law enforcement agency” means the police force of a municipality or the office of the county sheriff;
  16. “Owner” means a person that:
    1. Has a right of property or title in an animal;
    2. Keeps or harbors an animal;
    3. Has an animal in his, her, or its care;
    4. Acts as an animal's custodian; or
    5. Knowingly permits an animal to remain on or about any premises occupied by him or her or it;
  17. “Person” means an individual, company, partnership, limited liability company, joint venture, joint agreement, mutual association or other, corporation, estate, trust, business trust, receiver, trustee, syndicate, or any other private entity;
  18. “Professional pest control activities” means those activities governed by the Arkansas Pesticide Control Act, § 2-16-401 et seq., and the Arkansas Pest Control Law, § 17-37-101 et seq.;
  19. “Rodeo” means an event involving a practice accepted by the Professional Rodeo Cowboys Association on January 1, 2009; and
  20. “Torture” means:
    1. The knowing commission of physical injury to a dog, cat, or horse by the infliction of inhumane treatment or gross physical abuse, causing the dog, cat, or horse intensive or prolonged pain, serious physical injury, or thereby causing death; and
    2. Mutilating, maiming, burning, poisoning, drowning, or starving a dog, cat, or horse.

History. Acts 2009, No. 33, § 3; 2013, No. 1175, § 1.

Amendments. The 2013 amendment added “any of the following within this state and, if practicable, within twenty (20) miles of the residence of the owner or other place owned by the owner” in the introductory language of (6).

5-62-103. Offense of cruelty to animals.

  1. A person commits the offense of cruelty to animals if he or she knowingly:
    1. Subjects any animal to cruel mistreatment;
    2. Kills or injures any animal owned by another person without legal privilege or consent of the owner;
    3. Abandons an animal at a location without providing for the animal's continued care;
    4. Fails to supply an animal in his or her custody with a sufficient quantity of wholesome food and water;
    5. Fails to provide an animal in his or her custody with adequate shelter that is consistent with the breed, species, and type of animal; or
    6. Carries or causes to be carried in or upon any motorized vehicle or boat an animal in a cruel or inhumane manner.
  2. For purposes of this section, each alleged act of the offense of cruelty to animals committed against more than one (1) animal may constitute a separate offense.
  3. Any person who pleads guilty or nolo contendere to or is found guilty of cruelty to animals is guilty of an unclassified misdemeanor and shall be:
    1. Fined no less than one hundred fifty dollars ($150) and no more than one thousand dollars ($1,000);
    2. Either:
      1. Imprisoned for no less than one (1) day and no more than one (1) year in jail; or
      2. Ordered to complete community service; and
      1. Both:
        1. Ordered to complete a psychiatric or psychological evaluation; and
        2. If determined appropriate, psychiatric or psychological counseling or treatment for a length of time prescribed by the court.
      2. The cost of any psychiatric or psychological evaluation, counseling, or treatment may be ordered paid by the person up to the jurisdictional limit of the court.
  4. Any person who pleads guilty or nolo contendere to or is found guilty of the offense of cruelty to animals for a second offense occurring within five (5) years of a previous offense of cruelty to animals or of any other equivalent penal offense of another state or foreign jurisdiction is guilty of an unclassified misdemeanor and shall be:
    1. Fined no less than four hundred dollars ($400) and no more than one thousand dollars ($1,000);
    2. Either:
      1. Imprisoned for no fewer than seven (7) days and no more than one (1) year; or
      2. Ordered to complete no fewer than thirty (30) days of community service; and
      1. Both:
        1. Ordered to receive a psychiatric or psychological evaluation; and
        2. If determined appropriate, ordered to receive psychiatric or psychological counseling or treatment for a length of time prescribed by the court.
      2. The cost of any psychiatric or psychological evaluation, counseling, or treatment may be ordered paid by the person up to the jurisdictional limit of the court.
  5. Any person who pleads guilty or nolo contendere to or is found guilty of the offense of cruelty to animals for a third offense occurring within five (5) years of a previous offense of cruelty to animals or of any other equivalent penal offense of another state or foreign jurisdiction is guilty of an unclassified misdemeanor and shall be:
    1. Fined no less than nine hundred dollars ($900) and no more than one thousand dollars ($1,000);
    2. Either:
      1. Imprisoned for no fewer than ninety (90) days and no more than one (1) year; or
      2. Ordered to complete no fewer than ninety (90) days of community service; and
      1. Both:
        1. Ordered to receive a psychiatric or psychological evaluation; and
        2. If determined appropriate, ordered to receive psychiatric or psychological counseling or treatment for a length of time prescribed by the court.
      2. The cost of any psychiatric or psychological evaluation, counseling, or treatment may be ordered paid by the person up to the jurisdictional limit of the court.
    1. Any person who pleads guilty or nolo contendere to or is found guilty of cruelty to animals for a fourth or subsequent offense occurring within (5) five years of a previous offense of cruelty to animals or of any other equivalent penal offense of another state or foreign jurisdiction is guilty of a Class D felony and shall be:
      1. Ordered to receive a psychiatric or psychological evaluation; and
      2. If determined appropriate, ordered to receive psychiatric or psychological counseling or treatment for a length of time prescribed by the court.
    2. The cost of any psychiatric or psychological evaluation, counseling, or treatment may be ordered paid by the person.
    1. For the sole purpose of calculating the number of previous offenses under subsections (d), (e), and (f) of this section, all offenses that are committed against one (1) or more animals and as part of the same criminal episode are a single offense.
    2. As used in this section, “criminal episode” means an act that constitutes the offense of cruelty to animals that is committed by a person against one (1) or more animals within a period of twenty-four (24) hours.

History. Acts 2009, No. 33, § 3; 2011, No. 1120, § 12.

Amendments. The 2011 amendment inserted (e)(3)(B) and redesignated the remaining subdivisions.

Research References

ALR.

Challenges to Pre- and Post-Conviction Forfeitures and to Postconviction Restitution Under Animal Cruelty Statutes. 70 A.L.R.6th 329.

5-62-104. Offense of aggravated cruelty to a dog, cat, or equine — Definition.

  1. A person commits the offense of aggravated cruelty to a dog, cat, or equine if he or she knowingly tortures any dog, cat, or equine.
  2. A person who pleads guilty or nolo contendere to or is found guilty of aggravated cruelty to a dog, cat, or equine:
    1. Shall be guilty of a Class D felony;
    2. May be ordered to perform up to four hundred (400) hours of community service; and
    3. Both:
      1. Ordered to receive a psychiatric or psychological evaluation; and
      2. If determined appropriate, ordered to receive psychiatric or psychological counseling or treatment for a length of time prescribed by the court.
  3. A person who pleads guilty or nolo contendere to or is found guilty of aggravated cruelty to a dog, cat, or equine for a subsequent offense occurring within five (5) years from a previous offense of aggravated cruelty to a dog, cat, or equine or of any other equivalent penal offense of another state or foreign jurisdiction is guilty of a Class C felony and shall be:
    1. Ordered to receive a psychiatric or psychological evaluation; and
    2. If determined appropriate, ordered to receive psychiatric or psychological counseling or treatment for a length of time prescribed by the court.
  4. The cost of any psychiatric or psychological evaluation, counseling, or treatment ordered under this section shall be paid by the person ordered to receive the psychiatric or psychological evaluation, counseling, or treatment.
  5. For purposes of this section, each alleged act of the offense of aggravated cruelty to a dog, cat, or equine committed against more than one (1) dog, cat, or equine may constitute a separate offense.
    1. For the sole purpose of calculating the number of previous offenses under subsection (b) of this section, all offenses of aggravated cruelty to a dog, cat, or equine that are committed against one (1) or more dogs, cats, or equines, as part of the same criminal episode are a single offense.
    2. As used in this section, “criminal episode” means an act that constitutes the offense of aggravated cruelty to a dog, cat, or equine, committed by a person against one (1) or more dogs, cats, or equines within a period of twenty-four (24) hours.

History. Acts 2009, No. 33, § 3; 2017, No. 389, § 3.

Amendments. The 2017 amendment substituted “equine — Definition” for “horse” in the section heading; and substituted “equine” and “equines” for “horse” and “horses” throughout the section.

5-62-105. Exemptions.

  1. This subchapter does not prohibit any of the following activities:
    1. Reasonably acting to protect a person or a person's property from damage;
    2. Injuring or humanely killing an animal on the property of a person if the person is acting as a reasonable person would act under similar circumstances and if the animal is reasonably believed to constitute a threat of physical injury or damage to any animal under the care or control of the person;
    3. Engaging in practices lawful under the Arkansas Veterinary Medical Practice Act, § 17-101-101 et seq., or engaging in activities by or at the direction of any licensed veterinarian while following accepted standards of practice of the profession, including the euthanizing of an animal;
    4. Rendering emergency care, treatment, or assistance, including humanely killing an animal, that is abandoned, ill, injured, or in distress related to an accident or disaster, or where there appears to be no reasonable probability that the life or usefulness of the animal can be saved, if the person rendering the emergency care, treatment, or assistance is:
      1. Acting in good faith;
      2. Not receiving compensation; and
      3. Acting as a reasonable person would act under similar circumstances;
    5. Performing generally accepted animal husbandry practices;
    6. Performing professional pest control activities in a lawful manner;
    7. Performing generally accepted training for or participating in a rodeo, equine activity, or competitive activity;
    8. Engaging in generally accepted practices of animal identification;
    9. Engaging in the taking of game or fish through hunting, trapping, or fishing, or engaging in any other activity authorized by Arkansas Constitution, Amendment 35, by § 15-41-101 et seq., or by any Arkansas State Game and Fish Commission regulation or rule promulgated under either Arkansas Constitution, Amendment 35, or statute;
    10. Conducting activities undertaken by research and education facilities or institutions that are:
      1. Regulated under the Animal Welfare Act, 7 U.S.C. § 2131 et seq., as in effect on January 1, 2009;
      2. Regulated under the Health Research Extension Act of 1985, Pub. L. No. 99-158; or
      3. Subject to any federal law or regulation governing animal research that is in effect on January 1, 2009; and
    11. Applying generally accepted methods used to train dogs engaged in hunting, field trials, service work, obedience training, or any similar activities authorized by the Arkansas State Game and Fish Commission.
  2. In addition to the exemptions in subsection (a) of this section, this subchapter does not prohibit a person from engaging in or performing conduct that is otherwise permitted under the laws of this state or of the United States, including without limitation agricultural activities, butchering, food processing, marketing, medical activities, zoological activities, or exhibitions.

History. Acts 2009, No. 33, § 3; 2019, No. 315, § 156.

Amendments. The 2019 amendment inserted “or rule” in (a)(9).

Research References

ALR.

Validity, Construction, and Application of Animal Welfare Act (7 U.S.C. §§ 2131 et seq.). 74 A.L.R. Fed. 2d 275.

5-62-106. Disposition of animal.

    1. Unless otherwise ordered by a court, for purposes of this subchapter, an animal that has been seized by a law enforcement officer or animal control officer under this subchapter shall remain at the appropriate place of custody for a period of at least fifteen (15) consecutive days, including weekends and holidays, after written notice is received by the owner.
    2. The written notice shall:
      1. Be left at the last known address of the owner; and
      2. Contain a description of the animal seized, the date seized, the name and contact information of the law enforcement or animal control officer seizing the animal, the location of the animal, and the reason for the seizure.
    3. If the owner of the animal cannot be determined, a written notice regarding the seizure of the animal shall be conspicuously posted where the animal is seized at the time the seizure occurs if practicable and a notice shall be published in a local newspaper of general circulation in the jurisdiction where the animal was seized at least two (2) times each week for two (2) consecutive weeks, with the first notice published within three (3) days of the seizure, and no less than at least five (5) days before a hearing conducted under this section.
      1. After written notice is received by the owner or published under subdivision (a)(3) of this section, the owner within fifteen (15) business days may petition the district court having jurisdiction where the animal was seized to determine the custody of the animal.
      2. If a petition is not filed by the owner within the time period prescribed by this section, the prosecuting attorney shall file a petition in the district court to divest the owner of ownership of the animal and, after a hearing, the district court may order the animal transferred to an appropriate place of custody, euthanized, or any other disposition the district court deems appropriate.
      1. When an owner files a petition under subsection (a) of this section and the district court determines that the owner shall be divested of custody of the animal, the district court shall order the owner of the animal to post a bond with the district court in an amount the district court determines is sufficient to care for the animal for at least thirty (30) days.
      2. The bond shall not prevent the appropriate place of custody from disposing of the animal at the end of the thirty-day period covered by the bond, unless a person claiming an interest in the animal posts a new bond for an amount determined by the court for an additional thirty-day period.
      1. If a petition has been filed by the owner of an animal or the prosecuting attorney under subsection (a) of this section, a person claiming an interest in an animal seized may prevent disposition of the animal as provided in subsection (a) of this section by posting a bond with the district court in an amount the district court determines is sufficient to care for the animal for at least thirty (30) days.
      2. If a person who claims an interest in the animal has not posted bond in accordance with subdivision (b)(2)(A) of this section, the district court shall determine final disposition of the animal in accordance with reasonable practices for the humane treatment of animals.
    1. A diseased or injured animal:
      1. Seized under this section may be appropriately treated for injury or disease without a court order; and
      2. Is subject to being euthanized without a court order when it is determined by a licensed veterinarian that euthanizing is necessary to prevent the suffering of the animal.
      1. Except as provided in subdivision (c)(1) of this section, an appropriate place of custody shall not alter or modify an animal in any manner, including without limitation the neutering, spaying, or castration of the animal, without:
        1. A written court order that is issued after a petition is filed by the prosecuting attorney requesting alteration or modification and a hearing involving all interested parties as set forth in subsection (a) of this section; or
        2. The written consent of the owner.
      2. A violation of this subsection is a Class B misdemeanor.
    1. If a person pleads guilty or nolo contendere to or is found guilty of either the offense of cruelty to animals, § 5-62-103, or the offense of aggravated cruelty to a dog, cat, or equine, § 5-62-104, and if that person is also the owner of the animal subject to the offense, the court shall divest the person of ownership of the animal, and the court shall either:
      1. Order the animal given to an appropriate place of custody;
      2. Order the animal euthanized if the court decides that the best interests of the animal or that the public health and safety would be best served by euthanizing the animal based on the sworn testimony of a licensed veterinarian or animal control officer; or
      3. Make any other disposition the court deems appropriate.
    2. If a person pleads guilty or nolo contendere to or is found guilty of either the offense of cruelty to animals, § 5-62-103, or the offense of aggravated cruelty to a dog, cat, or equine, § 5-62-104, and the person is not the owner of the animal subject to the offense, the court shall order that the animal be returned to the owner, if practicable, or, if not practicable, the court shall either:
      1. Order the animal given to an appropriate place of custody;
      2. Order the animal euthanized if the court decides that the best interests of the animal or that the public health and safety would be best served by euthanizing the animal based on the sworn testimony of a licensed veterinarian or animal control officer; or
      3. Make any other disposition the court deems appropriate.
  1. The court shall order an animal seized under this section returned to the owner if the owner:
    1. Filed a petition under subsection (a) of this section;
    2. Paid all reasonable expenses incurred in caring for the animal; and
    3. Is found not guilty of the offense of cruelty to animals, § 5-62-103, or the offense of aggravated cruelty to a dog, cat, or equine, § 5-62-104, or the proceedings against the owner have otherwise terminated.
  2. An owner of an animal that has been seized under this subchapter shall be responsible only for reasonable expenses that were incurred for the care of the animal while the animal was in the appropriate place of custody.
  3. This section does not prohibit the return of an animal to the rightful owner if the rightful owner is located outside the state and the prosecuting attorney has decided not to charge the rightful owner with an offense under this subchapter.

History. Acts 2009, No. 33, § 3; 2013, No. 1160, § 1; 2013, No. 1175, § 2; 2017, No. 389, § 4.

Amendments. The 2013 amendment by No. 1160 added (f).

The 2013 amendment by No. 1175 added (g).

The 2017 amendment substituted “equine” for “horse” throughout (d) and (e); and inserted “subject to the offense” in the introductory language of (d)(1) and (d)(2).

Research References

ALR.

Challenges to Pre- and Post-Conviction Forfeitures and to Postconviction Restitution Under Animal Cruelty Statutes. 70 A.L.R.6th 329.

Case Notes

Jurisdiction.

While it appeared defendant tried to originally avail herself of the proper procedure set forth in this section, once the district court dismissed her petition for lack of jurisdiction, the proper method for bringing the matter in circuit court would have been to file an appeal of the district court’s order of dismissal in the circuit court, which was not done. Simply refiling the petitions in the pending criminal case in circuit court did not somehow confer jurisdiction on the circuit court. Nance v. State, 2014 Ark. 201, 433 S.W.3d 872 (2014).

5-62-107. Immunity for reporting cruelty to animals or aggravated cruelty to a dog, cat, or equine.

Except as provided in § 5-54-122, a person who in good faith reports a suspected incident of cruelty to animals, § 5-62-103, or aggravated cruelty to a dog, cat, or equine, § 5-62-104, to a local law enforcement agency or to the Division of Arkansas State Police is immune from civil and criminal liability for reporting the incident.

History. Acts 2009, No. 33, § 3; 2017, No. 389, § 5.

Amendments. The 2017 amendment substituted “equine” for “horse” in the section heading and in the section.

5-62-108. Arrested persons — Animal possession.

  1. If a law enforcement officer arrests a person in charge of any vehicle drawn by or containing an animal, the law enforcement officer may seize the animal and impound in any lawful manner the vehicle and the contents of the vehicle.
    1. A law enforcement officer that seizes an animal under subsection (a) of this section shall place the animal with an appropriate place of custody.
    2. If an animal is seized under this section, an owner of the animal may petition to regain possession of the animal in the manner proscribed in § 5-62-106.
  2. Any vehicle or contents of the vehicle impounded under subsection (a) of this section shall be returned to the owner as soon as reasonably practicable under the circumstances unless the vehicle or contents of the vehicle are subject to seizure for any other lawful reason.

History. Acts 2009, No. 33, § 3.

5-62-109. Immunity — Veterinarians.

  1. A licensed veterinarian or a person acting at the direction of a licensed veterinarian in Arkansas is:
    1. Held harmless from either criminal or civil liability for any decision made or service rendered in conjunction with this subchapter; and
    2. Immune from suit for his or her part in an investigation of cruelty to animals.
  2. A veterinarian or person acting at the direction of a licensed veterinarian who participates or reports in bad faith or with malice is not protected under this subchapter.

History. Acts 2009, No. 33, § 3.

5-62-110. [Repealed.]

Publisher's Notes. This section, concerning definitions and construction, was repealed by Acts 2009, No. 33, § 4. The section was derived from Acts 1879, No. 47, § 15, p. 54; C. & M. Dig., § 2625; Pope's Dig., § 3312; A.S.A. 1947, § 41-2962.

5-62-111. Prevention of cruelty.

  1. A person may lawfully interfere to prevent the imminent or ongoing perpetration of any offense of cruelty to animals, § 5-62-103, or aggravated cruelty to a dog, cat, or equine, § 5-62-104, upon any animal in his or her presence.
  2. Upon a conviction, a person who knowingly interferes with or obstructs a person acting under subsection (a) of this section is guilty of a Class A misdemeanor.

History. Acts 1879, No. 47, § 10, p. 54; C. & M. Dig., § 2619; Pope's Dig., § 3306; A.S.A. 1947, § 41-2957; Acts 2009, No. 33, § 4; 2017, No. 389, § 6.

Amendments. The 2009 amendment rewrote the section.

The 2017 amendment substituted “equine” for “horse” in (a).

Case Notes

Cited: Elliott v. Hurst, 307 Ark. 134, 817 S.W.2d 877 (1991).

5-62-112. [Repealed.]

Publisher's Notes. This section, concerning search warrants, was repealed by Acts 2013, No. 1348, § 11. The section was derived from Acts 1879, No. 47, § 14, p. 54; C. M. Dig., § 2624; Pope's Dig., § 3311; A.S.A. 1947, § 41-2961; Acts 2009, No. 33, § 4.

5-62-113. [Repealed.]

Publisher's Notes. This section, concerning authority to make arrests, was repealed by Acts 2013, No. 1348, § 12. The section was derived from Acts 1879, No. 47, § 9, p. 54; C. M. Dig., § 2618; Pope's Dig., § 3305; A.S.A. 1947, § 41-2956; Acts 2009, No. 33, § 4.

5-62-114, 5-62-115. [Repealed.]

Publisher's Notes. These sections, concerning authority to take charge of animals and vehicles of an arrested person and injunction against a society for the prevention of cruelty to animals, were repealed by Acts 2009, No. 33, § 4. The sections were derived from:

5-62-114. Acts 1879, No. 47, § 12, p. 54; C. & M. Dig., § 2621; Pope's Dig., § 3308; A.S.A. 1947, § 41-2959.

5-62-115. Acts 1879, No. 47, § 13, p. 54; C. & M. Dig., § 2623; Pope's Dig., § 3310; A.S.A. 1947, § 41-2960.

5-62-116. Diseased animals — Sale.

  1. Upon conviction, a person who knowingly sells or offers for sale, or uses, or exposes, or causes or procures to be sold or offered for sale, or used, or to be exposed, any equine or other animal having the disease known as “glanders” or “farcy” or any other contagious or infectious disease known to the person to be dangerous to human life, or that is diseased past recovery, is guilty of a Class A misdemeanor.
    1. Upon discovery or knowledge of the animal's condition, any animal having glanders or farcy shall be humanely killed by the owner or person having charge of the animal, or arrangements shall be made to have the animal euthanized.
    2. Upon conviction, an owner or person having charge of the animal and knowingly omitting or refusing to comply with this section is guilty of a Class A misdemeanor.

History. Acts 1879, No. 47, §§ 7, 8, 11, p. 54; C. & M. Dig., §§ 2616, 2617, 2620; Pope's Dig., §§ 3303, 3304, 3307; A.S.A. 1947, §§ 41-2958, 41-3757, 41-3758; Acts 2009, No. 33, § 4; 2017, No. 389, § 7.

Amendments. The 2009 amendment deleted “Destruction” from the catchline; in (a), substituted “Upon conviction, a person who knowingly” for “Any person who,” and inserted “Class A”; rewrote (b); and deleted (c).

The 2017 amendment substituted “equine” for “horse” in (a).

Research References

Ark. L. Notes.

Looney, The Toothless Cow, the Little Bull That Couldn't, and Udder Matters: Livestock Warranties and the Uniform Commercial Code, 1990 Ark. L. Notes 75.

Case Notes

Cited: Compagionette v. McArmick, 91 Ark. 69, 120 S.W. 400 (1909).

5-62-117. Decompression chambers.

  1. It is unlawful to use a decompression chamber for the destruction of an animal.
  2. Use of a decompression chamber for the destruction of an animal is a Class C misdemeanor.

History. Acts 1979, No. 112, §§ 1, 2; A.S.A. 1947, §§ 41-2958.1, 41-2958.2.

5-62-118, 5-62-119. [Repealed.]

Publisher's Notes. These sections, concerning impounded animals and food and water, and cruelty in transportation, were repealed by Acts 2009, No. 33, § 5. The sections were derived from:

5-62-118. Acts 1879, No. 47, §§ 3, 4, p. 54; C. & M. Dig., §§ 2612, 2613; Pope's Dig., §§ 3299, 3300; A.S.A. 1947, §§ 41-2953, 41-2954; Acts 2007, No. 827, § 51.

5-62-119. Acts 1879, No. 47, § 5, p. 54; C. & M. Dig., § 2614; Pope's Dig., § 3301; A.S.A. 1947, § 41-2955.

5-62-120. Unlawful animal fighting.

    1. A person commits the offense of unlawful animal fighting in the first degree if he or she knowingly:
      1. Promotes, engages in, or is employed at animal fighting;
      2. Receives money for the admission of another person to a place kept for animal fighting; or
      3. Sells, purchases, possesses, or trains an animal for animal fighting.
    2. Unlawful animal fighting in the first degree is a Class D felony.
    1. A person commits the offense of unlawful animal fighting in the second degree if he or she knowingly:
      1. Purchases a ticket of admission to or is present at an animal fight; or
      2. Witnesses an animal fight if it is presented as a public spectacle.
    2. Unlawful animal fighting in the second degree is a Class A misdemeanor.
  1. Upon the arrest of any person for violating a provision of this section, the arresting law enforcement officer or animal control officer may seize and take custody of all animals in the possession of the arrested person.
    1. Upon the conviction of any person for violating a provision of this section, any court of competent jurisdiction may order the forfeiture by the convicted person of all animals the use of which was the basis of the conviction.
    2. Any animal ordered forfeited under a provision of this subsection shall be placed with an appropriate place of custody or an animal control agency.
  2. In addition to the fines, penalties, and forfeitures imposed under this section, the court may require the defendant to make restitution to the state, any of its political subdivisions, or an appropriate place of custody for housing, feeding, or providing medical treatment to an animal used for unlawful animal fighting.
  3. As used in this section, “animal fighting” means fighting between roosters or other birds or between dogs, bears, or other animals.

History. Acts 1981, No. 862, § 1; A.S.A. 1947, § 41-2918.1; Acts 1987, No. 26, § 1; 1989, No. 528, § 1; 2009, No. 33, § 6.

Amendments. The 2009 amendment substituted “animal” for “dog” or variant throughout the section; substituted “with an appropriate place of custody” for “in the custody of a society which is incorporated for the prevention of cruelty to animals” in (d)(2) and (e); added (f); and made related and minor stylistic changes.

Research References

ALR.

Validity, Construction, and Application of Criminal Statutes and Ordinances to Prosecution for Dogfighting. 68 A.L.R.6th 115.

Validity, Construction, and Application of Statutes and Ordinances to Prosecution for Cockfighting. 69 A.L.R.6th 207.

Case Notes

Evidence.

Where, in prosecution for witnessing a dog fight presented as a public spectacle, a copy of the rules for dog fighting was lawfully seized by the officers as being incidental to the arrests, because it was within the immediate control at least of one witness, and as being evidence of the offense, and the rules were relevant to the action, explaining the purpose of the pit and details shown by the videotape, the copy of the rules was admissible even though the state did not show that the defendants were aware of its existence. Ash v. State, 290 Ark. 278, 718 S.W.2d 930 (1986).

The state produced substantial evidence to show the defendant to be guilty of having “promoted” dog fighting, even though she was not present at the dog fight, where the defendant knew that a structure had been built in the back yard for the specific purpose of housing pit bull dogs, with accommodations to contain dogs other than their own, she was familiar with the pit and knew it could be used for dog fighting, she knew that her husband had fought dogs, she realized that numbers of people came to the house from time to time and brought pit bull terriers with them, and she and her children had helped to take care of the dogs, washing them and feeding them. Ash v. State, 290 Ark. 278, 718 S.W.2d 930 (1986).

5-62-121. Transfer of certain chicks, ducklings, or rabbits.

  1. It is unlawful for any person, firm, or corporation to sell or offer for sale, barter, or give away living baby chicks, rabbits, or ducklings under two (2) months of age in any quantity less than six (6).
  2. It is unlawful for any person, firm, or corporation to sell, offer for sale, barter, give away, or display living baby chicks, rabbits, or ducklings that have been dyed, colored, or otherwise treated so as to impart to them an artificial color.
  3. This section shall not be construed to prohibit the sale or display of natural baby chicks, rabbits, or ducklings in a proper brooder facility by a hatchery or store engaged in the business of selling them for commercial purposes.
  4. Any person, firm, or corporation violating any provision of this section upon conviction is deemed guilty of a Class C misdemeanor.
  5. Nothing in this section prohibits a grower of living baby chicks, rabbits, ducklings, or other fowl from selling or making gifts of them in quantities the grower deems appropriate.

History. Acts 1977, No. 792, § 1; A.S.A. 1947, § 41-4101.

5-62-122. Permitting livestock to run at large.

  1. A person commits the offense of permitting livestock to run at large if being the owner or person charged with the custody and care of livestock he or she knowingly permits the livestock to run at large.
    1. Except as provided in subdivision (b)(2) of this section, permitting livestock to run at large is a violation and upon conviction a person may be subject to a fine not to exceed one hundred dollars ($100).
    2. Any person who knowingly allows any hog to run at large is guilty of a violation and upon conviction is subject to a fine not to exceed five hundred dollars ($500).

History. Acts 1975, No. 280, § 2919; A.S.A. 1947, § 41-2919; Acts 1999, No. 457, § 4; 2005, No. 1994, § 183; 2009, No. 33, § 7.

Amendments. The 2005 amendment inserted “and upon conviction may be subject to a fine not to exceed one hundred dollars ($100)” in (c)(1); and substituted “violation” for “misdemeanor” in (c)(2).

The 2009 amendment deleted (b) and redesignated the remaining subsections accordingly; and in (b), updated an internal reference in (b)(1) and inserted “knowingly” in (b)(2).

Case Notes

Civil Liability.

For cases discussing civil liability, see Poole v. Gillison, 15 F.R.D. 194 (E.D. Ark. 1953); Rogers v. Stillman, 223 Ark. 779, 268 S.W.2d 614 (1954); Oliver v. Jones, 239 Ark. 572, 393 S.W.2d 248 (1965); Prickett v. Farrell, 248 Ark. 996, 455 S.W.2d 74 (1970) (preceding decisions under prior law).

Owner.

Person who kept pony on his premises, fed it, and paid to have it shod exercised sufficient control over the pony to be considered the owner of the pony. Prickett v. Farrell, 248 Ark. 996, 455 S.W.2d 74 (1970) (decision under prior law).

Cited: Cosby v. Oliver, 265 Ark. 156, 577 S.W.2d 399 (1979); Sanders v. Mincey, 317 Ark. 398, 879 S.W.2d 398 (1994).

5-62-123. [Repealed.]

Publisher's Notes. This section, concerning larceny of animals including carcasses and flesh, was repealed by Acts 2013, No. 1348, § 13. The section was derived from Init. Meas. 1936, No. 3, § 21, Acts 1937, p. 1384; Pope's Dig., § 3850; A.S.A. 1947, § 43-2156.

5-62-124. Unlawful bear exploitation.

  1. A person commits the offense of unlawful bear exploitation if he or she knowingly:
    1. Promotes, engages in, or is employed at a bear wrestling match;
    2. Receives money for the admission of another person to a place kept for bear wrestling;
    3. Sells, purchases, possesses, or trains a bear for bear wrestling; or
    4. For purposes of exploitation, subjects a bear to surgical alteration in any form, including, but not limited to, declawing, tooth removal, and severing tendons.
  2. Unlawful bear exploitation is a Class D felony.
  3. Upon the arrest of any person for violating a provision of this section, the arresting law enforcement officer or animal control officer may seize and take custody of any bear in the possession of the arrested person.
    1. Upon the conviction of any person for violating a provision of this section, any court of competent jurisdiction may order the forfeiture by the convicted person of any bear the use of which was the basis of the conviction.
    2. Any bear ordered forfeited under a provision of this section shall be placed in the custody of a society which is incorporated for the prevention of cruelty to animals.
  4. In addition to the fines, penalties, and forfeitures imposed under a provision of this section, the court may require the defendant to make restitution to the state, any of its political subdivisions, or a society which is incorporated for the prevention of cruelty to animals for housing, feeding, or providing medical treatment to a bear used for unlawful wrestling.

History. Acts 1989, No. 346, § 1.

5-62-125. Unlawful dog attack.

  1. A person commits the offense of unlawful dog attack if:
    1. The person owns a dog that the person knows or has reason to know has a propensity to attack, cause injury, or endanger the safety of other persons without provocation;
    2. The person negligently allows the dog to attack another person; and
    3. The attack causes the death of or serious physical injury to the person attacked.
  2. The offense of unlawful dog attack is a Class A misdemeanor.
  3. In addition to any penalty imposed under this section, the court or jury may require the defendant to pay restitution under § 5-4-205 for any medical bills of the person attacked for injuries caused by the attack.

History. Acts 2007, No. 258, § 1.

5-62-126. Acts of God — Emergency conditions.

An owner of an animal or person in control of an animal is not guilty of either the offense of cruelty to animals, § 5-62-103, or the offense of aggravated cruelty to a dog, cat, or equine, § 5-62-104, if the owner of the animal or the person in control of the animal was reasonably precluded as the result of an act of God or emergency conditions from engaging in an act or omission that might prevent an allegation of the offense of cruelty to animals, § 5-62-103, or the offense of aggravated cruelty to a dog, cat, or equine, § 5-62-104.

History. Acts 2009, No. 33, § 8; 2017, No. 389, § 8.

Amendments. The 2017 amendment substituted “equine” for “horse” twice.

5-62-127. Removal of an animal's transmittal device.

  1. A person commits removal of an animal's transmittal device if he or she knowingly:
    1. Removes a transmittal device from a dog used in hunting or a raptor used in falconry without permission of the owner; and
    2. Removes the transmittal device with the purpose to prevent or hinder the owner from locating the dog used in hunting or raptor used in falconry.
  2. Removal of an animal's transmittal device is a Class C misdemeanor.
    1. Upon a finding of guilt, the court shall order that the defendant pay as restitution the actual value of any dog used in hunting or raptor used in falconry lost or killed as a result of the removal of the animal's transmittal device.
    2. The court also may order restitution to the owner for any lost breeding revenues.

History. Acts 2013, No. 1094, § 1; 2015, No. 1155, § 10.

Amendments. The 2015 amendment substituted “Removes the transmittal device with” for “With” in (a)(2).

Subchapter 2 — Farm Animal and Research Facilities

5-62-201. Findings of the General Assembly.

  1. The General Assembly finds that:
    1. The caring, rearing, feeding, breeding, and sale of animals and animal products and the use of animals in research, testing, and education represent vital segments of the economy of the state;
    2. Producers and others involved in the production and sale of animals and animal products and the use of animals in research and education have a vested interest in protecting the health and welfare of animals and the physical and intellectual property rights which they have in animals; and
    3. There has been an increasing number of illegal acts committed against farm animal and research facilities.
  2. The General Assembly further finds that these illegal acts threaten the production of agricultural products and jeopardize crucial scientific, biomedical, or agricultural research.
  3. Finally, the General Assembly finds that these illegal acts threaten the public safety, by exposing communities to contagious diseases and damage research.

History. Acts 1991, No. 1006, § 2.

5-62-202. Definitions.

As used in this subchapter:

  1. “Animal” means any warm or cold-blooded animal used in food or fiber production, agriculture, research, testing, or education, including poultry, fish, and insects;
  2. “Animal facility” means any vehicle, building, structure, or premises, where an animal or animal records are kept, handled, housed, exhibited, bred, or offered for sale;
  3. “Consent” means assent in fact, whether express or apparent;
  4. “Deprive” means to:
    1. Withhold an animal or other property from the owner permanently or for so extended a period of time that a major portion of the value or enjoyment of the animal or property is lost to the owner;
    2. Restore an animal or other property only upon payment of reward or other compensation; or
    3. Dispose of an animal or other property in a manner that makes recovery of the animal or property by the owner unlikely;
  5. “Effective consent” means consent by a person legally authorized to act for the owner. Consent is not effective:
    1. If induced by force, threat, false pretense, or fraud;
    2. If given by a person the actor knows is not legally authorized to act for the owner;
    3. If given by a person who, by reason of youth, mental disease or defect, or intoxication, is known by the actor to be unable to make reasonable decisions; or
    4. If given solely to detect the commission of an offense;
  6. “Notice” means:
    1. Oral or written communication by the owner or a person with apparent authority to act for the owner;
    2. Fencing or other enclosure obviously designed to exclude persons or to contain animals; or
    3. A sign or signs posted on property or at the entrance to a building, reasonably likely to come to the attention of a person, indicating that entry is forbidden;
  7. “Owner” means a person who has title to the property, possession of the property, whether lawful or not, or a greater right to possession of the property than the actor;
  8. “Person” means any individual, corporation, association, nonprofit corporation, joint stock company, firm, trust, partnership, two (2) or more persons having a joint or common interest, or other legal entity; and
  9. “Possession” means actual care, custody, control, or management.

History. Acts 1991, No. 1006, § 1; 2015, No. 1263, § 14.

Amendments. The 2015 amendment inserted present (6), and redesignated the remaining subdivisions accordingly.

5-62-203. Offenses.

    1. A person commits an offense if, without the effective consent of the owner, the person acquires or otherwise exercises control over an animal facility, an animal from an animal facility, or other property from an animal facility, with the purpose to:
      1. Deprive the owner of the animal facility, animal, or property; and
      2. Disrupt or damage the enterprise conducted at the animal facility.
    2. A person commits an offense if, without the effective consent of the owner and with the purpose to disrupt or damage the enterprise conducted at the animal facility, the person damages or destroys:
      1. An animal facility; or
      2. Any animal or property in or on an animal facility.
    3. A person commits an offense if, without the effective consent of the owner and with the purpose to disrupt or damage the enterprise conducted at the animal facility, the person:
      1. Enters an animal facility, not then open to the public, with the purpose to commit an act prohibited by this section;
      2. Remains concealed, with the purpose to commit an act prohibited by this section, in an animal facility; or
      3. Enters an animal facility and commits or attempts to commit an act prohibited by this section.
    4. A person commits an offense if, without the effective consent of the owner and with the purpose to disrupt or damage the enterprise conducted at the animal facility, the person:
      1. Enters or remains in an animal facility; and
      2. Had notice that the entry was forbidden or received notice to depart but failed to depart.
  1. A person who violates this section upon conviction is guilty of a Class D felony.
  2. A person convicted of violating this section shall be ordered to make restitution to the animal facility in the full amount of the reasonable cost of:
    1. Replacing materials, data, equipment, or animals, and records that may have been damaged or cannot be returned; and
    2. Repeating any experimentation that may have been interrupted or invalidated as a result of the violation.
  3. This subchapter does not affect any other right of a person that has been damaged by reason of a violation of this subchapter.

History. Acts 1991, No. 1006, § 3; 2015, No. 1263, § 15.

Amendments. The 2015 amendment substituted “purpose” for “intent” throughout the section; redesignated former (a) through (d)(1) as (a)(1) through (a)(4); deleted former (d)(2); and added present (b) through (d).

5-62-204. [Repealed.]

Publisher's Notes. This section, concerning penalties, was repealed by Acts 2015, No. 1263, § 16. This section was derived from Acts 1991, No. 1006, § 4.

Chapter 63 Business Misconduct

Subchapter 1 — General Provisions

[Reserved.]

Subchapter 2 — Offenses Generally

Effective Dates. Acts 1981, No. 947, § 5: became law without Governor's signature, Apr. 8, 1981. Emergency clause provided: “It is hereby found and determined by the General Assembly that a number of individuals and firms are using public telephone systems for the making of automated telephone solicitations which invade the privacy of individuals, and imposes unsolicited and undue burdens upon thousands of individuals in this State and that immediate passage of this Act is necessary to prohibit said automated telephone solicitation and imposing a penalty for violation thereof. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 2019, No. 1074, § 3: Apr. 16, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the practice of illegal robocalls from telemarketers and from others seeking to perpetrate scams on the public to mislead and defraud the public is growing; that addressing misleading and fraudulent spoofing of telephone calls will protect the lives, health, and welfare of the state's residents; and that this act is immediately necessary because the Arkansas Public Service Commission should be immediately authorized to adopt and implement appropriate rules as provided in this act. Therefore, an emergency is declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto”.

5-63-201. Tickets to certain events — Sale in excess of regular price.

    1. It is unlawful for any person, corporation, firm, or partnership to resell or offer for resale a ticket to an event for a price higher than the greater of either:
      1. The price originally charged for the ticket by the venue or entity hosting the event or the venue or entity's authorized agent plus a reasonable charge for handling or credit card use; or
      2. The price printed on the ticket.
    2. This subsection does not apply to an institution of higher education that receives funds per ticket above the face value of the ticket.
    1. Any person, corporation, firm, or partnership violating any provision of this section is guilty of a violation and upon conviction shall be fined in any sum not less than twenty-five dollars ($25.00) nor more than five hundred dollars ($500).
    2. Every sale or offer for sale is a separate offense.
  1. As used in this section, “event” means a live entertainment event, athletic event, sporting event, theater performance, musical performance, or an event held for the benefit of charity.

History. Acts 1955, No. 51, §§ 1, 2; A.S.A. 1947, §§ 41-4151, 41-4152; Acts 1987, No. 21, § 1; 1993, No. 565, § 1; 2005, No. 1994, § 53; 2015, No. 860, § 2.

Amendments. The 2005 amendment substituted “violation” for “misdemeanor” in (b)(1).

The 2015 amendment substituted “certain events” for “school athletic events or music entertainment events” in the section heading; rewrote (a)(1); substituted “does not apply” for “shall not apply” in (a)(2); and added (c).

Research References

Ark. L. Rev.

Scalping Tickets to Athletic Events, 9 Ark. L. Rev. 399.

Rachel A. Orr, Recent Developments: Selling Music Entertainment Tickets for More Than Face Value Violates Arkansas Law, 65 Ark. L. Rev. 517 (2012).

Case Notes

In General.

This section applies to an exclusive agent who sells tickets that include in the price of the ticket additional fees, and the plain and ordinary meaning of “box office” is a booth, as in a theater or stadium, where tickets are sold. It is applicable to exclusive agents of a public facility who sell music entertainment tickets that include in the price of the ticket additional fees, resulting in the price of the ticket being more than the face value and advertised price of the ticket, unless those fees are a reasonable charge for handling or credit card use. McMillan v. Live Nation Entm't, Inc., 2012 Ark. 166, 401 S.W.3d 473 (2012) (decided under former version of statute).

5-63-202. Requiring borrower to pay contribution to substitute one insurance policy for another.

  1. No person, firm, or corporation engaged in the business of financing the purchase of real or personal property or of lending money on the security of real or personal property and no trustee, director, officer, agent, or other employee of any person, firm, or corporation engaged in the business of financing the purchase of real or personal property or of lending money on the security of real or personal property shall directly or indirectly require that a borrower pay a consideration of any kind to substitute the insurance policy of one (1) insurer for that of another insurer.
  2. Any violation of a provision of this section constitutes a violation, and upon conviction the violator shall be fined in any sum not less than one hundred dollars ($100) nor more than five hundred dollars ($500) for each offense.

History. Acts 1957, No. 229, §§ 1, 2; A.S.A. 1947, §§ 41-4153, 41-4154; Acts 2005, No. 1994, § 53.

Amendments. The 2005 amendment substituted “violation” for “misdemeanor” in (b).

5-63-203. [Repealed.]

Publisher's Notes. This section, concerning records of bicycle sales, was repealed by Acts 2005, No. 1994, § 545. The section was derived from Acts 1957, No. 334, §§ 1, 2; A.S.A. 1947, §§ 41-4155, 41-4156.

5-63-204. Automated telephone solicitation.

    1. It is unlawful for any person to use a telephone for the purpose of offering any goods or services for sale, or for conveying information regarding any goods or services for the purpose of soliciting the sale or purchase of the goods or services when the use involves an automated system for the selection and dialing of telephone numbers and the playing of recorded messages when a message is completed to the called number.
    2. However, nothing in this section prohibits the use of:
      1. A telephone involving an automated system for the selection and dialing of telephone numbers and the play of recorded messages to:
        1. Inform the purchaser of the goods or services concerning receipt and availability of the goods or services for delivery to the purchaser; or
        2. Convey information concerning any delay or pertinent information about the current status of any purchase order previously made; or
      2. An automated telephone system with a recorded message when the call is made or message given solely in response to a call initiated by the person to which the automatic call or recorded message is directed.
  1. A person who violates this section upon conviction is guilty of a Class D felony.
    1. The Attorney General, a prosecuting attorney, any law enforcement officer, or any telephone company serving an area from which automated telephone calls are made may seek injunctive relief to enforce the provision of this section.
    2. If a civil action is filed pursuant to this section, the prevailing party is entitled to a reasonable attorney's fee and court costs.

History. Acts 1981, No. 947, §§ 1-3; A.S.A. 1947, §§ 41-4162 — 41-4164; Acts 2019, No. 677, §§ 6, 7.

A.C.R.C. Notes. Acts 2019, No. 677, § 1, provided:

“Legislative findings and intent.

“(a) The General Assembly finds that:

“(1) The citizens of this state are being negatively affected by illegal robocalls from telemarketers and from others seeking to perpetrate scams on them;

“(2) While these illegal robocalls are frustrating for most, the robocalls are costly and dangerous for far too many Arkansans;

“(3) An alarming number of illegal robocalls originate from scammers using automatic telephone dialing systems to send out thousands of phone calls per minute with fictitious or misleading names or telephone numbers displaying on unsuspecting consumers' telephone caller identification service;

“(4) These scammers are engaging in insidious schemes and targeting seniors and other vulnerable groups by soliciting personal information such as credit or debit card information and Social security numbers;

“(5) Displaying fictitious or misleading names or telephone numbers, or ‘spoofing’, is the predominant means by which a robocaller protects their identities and entices consumers to answer the telephone; and

“(6) Spoofing is the gateway for illegal robocalls and scams.

“(b) It is the intent of the General Assembly:

“(1) To protect the citizens of this state from being spoofed by receiving illegal robocalls from telemarketers and from others seeking to perpetrate scams on unsuspecting or vulnerable citizens;

“(2) To provide the citizens of this state who use a caller identification service with accurate information about the identities and locations of callers;

“(3) To encourage telecommunications providers to swiftly implement technologies that will allow telecommunications providers to identify and stop illegal calling practices; and

“(4) That this act be construed as broadly as possible to ensure that the citizens of this state are protected from the negative impact of illegal robocalls and to ensure that scammers and complicit telecommunications providers are held criminally accountable”.

Amendments. The 2019 amendment, in (a)(1), deleted “or for soliciting information, gathering data, or for any other purpose in connection with a political campaign” following the third occurrence of “services”; in (b), substituted “Class D felony” for “Class B misdemeanor and shall be punished accordingly”; and made stylistic changes.

Research References

ALR.

Construction and Application of Reed v. Town of Gilbert, Ariz., Providing that Speech Regulation Targeted at Specific Subject Matter Is Content-Based Even if It Does Not Discriminate Among Viewpoints Within that Subject Matter, 24 A.L.R.7th Art. 6 (2018).

U. Ark. Little Rock L. Rev.

Caleb J. Norris, Note: First Amendment and Freedom of Speech — The Constitutionality of Arkansas’s Prohibition on Political Robocalls, 34 U. Ark. Little Rock L. Rev. 797 (2012).

Case Notes

Cited: Potomac Leasing Co. v. Vitality Ctrs., Inc., 290 Ark. 265, 718 S.W.2d 928 (1986).

5-63-205. Misleading caller identification information — Exemptions — Penalties.

  1. It is unlawful for a person, in connection with a telecommunications service, to cause a caller identification service to transmit misleading or inaccurate caller identification information if the purpose is to defraud, cause harm, or wrongfully obtain anything of value.
  2. It is unlawful for a person, in connection with a telecommunications service, to cause a caller identification service to transmit misleading or inaccurate caller identification information unless the person has verified that the caller has a right to use the name and the phone number displayed.
  3. It is unlawful for a telecommunications service to permit or cause a caller identification service or device to display the name or telephone number of the recipient.
  4. It is unlawful for a person to use a third party to display or cause to be displayed a fictitious or misleading name or telephone number on an Arkansas resident's telephone caller identification service for any purpose.
  5. This section does not prohibit:
    1. An authorized activity of a law enforcement agency;
    2. Any investigative, protective, or intelligence activity of a law enforcement agency, including a law enforcement agency of the United States, another state, or a political subdivision of another state, an intelligence agency of the United States, or a protective services shelter or facility, including without limitation a domestic violence shelter, from transmitting or causing to be transmitted, an inaccurate telecommunications number;
    3. A telecommunications service from blocking or restricting the name or phone number from being displayed by caller identification equipment or devices;
    4. Any activity pursuant to a court order that specifically authorizes the use of caller identification manipulation; or
    5. A telecommunications provider or other person from transmitting or causing to be transmitted an inaccurate telecommunications telephone number for a legitimate business purpose.
  6. This section does not apply to a telecommunications provider that complies with § 23-17-122.
  7. A violation of this section is a Class D felony.

History. Acts 2019, No. 677, § 8; 2019, No. 1074, § 1.

A.C.R.C. Notes. Acts 2019, No. 677, § 1, provided:

“Legislative findings and intent.

“(a) The General Assembly finds that:

“(1) The citizens of this state are being negatively affected by illegal robocalls from telemarketers and from others seeking to perpetrate scams on them;

“(2) While these illegal robocalls are frustrating for most, the robocalls are costly and dangerous for far too many Arkansans;

“(3) An alarming number of illegal robocalls originate from scammers using automatic telephone dialing systems to send out thousands of phone calls per minute with fictitious or misleading names or telephone numbers displaying on unsuspecting consumers' telephone caller identification service;

“(4) These scammers are engaging in insidious schemes and targeting seniors and other vulnerable groups by soliciting personal information such as credit or debit card information and Social security numbers;

“(5) Displaying fictitious or misleading names or telephone numbers, or ‘spoofing’, is the predominant means by which a robocaller protects their identities and entices consumers to answer the telephone; and

“(6) Spoofing is the gateway for illegal robocalls and scams.

“(b) It is the intent of the General Assembly:

“(1) To protect the citizens of this state from being spoofed by receiving illegal robocalls from telemarketers and from others seeking to perpetrate scams on unsuspecting or vulnerable citizens;

“(2) To provide the citizens of this state who use a caller identification service with accurate information about the identities and locations of callers;

“(3) To encourage telecommunications providers to swiftly implement technologies that will allow telecommunications providers to identify and stop illegal calling practices; and

“(4) That this act be construed as broadly as possible to ensure that the citizens of this state are protected from the negative impact of illegal robocalls and to ensure that scammers and complicit telecommunications providers are held criminally accountable”.

Amendments. The 2019 amendment by No. 1074 added (e)(5) and (f) and redesignated former (f) as (g).

Subchapter 3 — Debt Adjusting

Effective Dates. Acts 1983, No. 189, § 4: Feb. 15, 1983. Emergency clause provided: “It is hereby found and determined by the General Assembly that nonprofit organizations giving debt management service for a fee not to exceed the amount of expenses incurred in giving such service should not be considered debt adjusters for purposes of Act 61 of 1967, and that this Act is immediately necessary to grant such exemption. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

5-63-301. Definitions.

As used in this subchapter:

  1. “Debt adjuster” means a person who engages in, attempts to engage in, or offers to engage in the practice or business of debt adjusting;
  2. “Debt adjusting” means the:
    1. Entering into or making of a contract, express or implied, with a particular debtor in which the debtor agrees to pay a certain amount of money periodically to the person engaged in the debt adjusting business that, for a consideration, agrees to distribute, or distributes, the money among certain specified creditors in accordance with an agreed upon plan; or
    2. Business or practice of any person that holds oneself out as acting or offering or attempting to act for a consideration as an intermediary between a debtor and the debtor's creditors for the purpose of settling, compounding, or in anyway altering the terms of payment of any debt of a debtor and, to that end, receives money or other property from the debtor or on behalf of the debtor for the payment to or distribution among the creditors of the debtor;
  3. “Debtor” means an individual and includes two (2) or more individuals who are jointly and severally, or jointly or severally, indebted to a creditor; and
  4. “Person” includes an individual, partnership, association, and corporation.

History. Acts 1967, No. 61, § 1; A.S.A. 1947, § 41-4157.

5-63-302. Debt adjusting — Prohibition.

  1. A person shall not engage in, or offer to or attempt to engage in, the business or practice of debt adjusting in this state.
  2. A violation of subsection (a) of this section is a Class A misdemeanor.

History. Acts 1967, No. 61, § 2; A.S.A. 1947, § 41-4158; Acts 2015, No. 1263, § 17.

Amendments. The 2015 amendment designated the existing language as (a); substituted “A person shall not” for “No person shall”; and added (b).

5-63-303. Debt adjusting — Injunction against operation — Receivership.

  1. In an action brought in the name of the state by a prosecuting attorney within his or her district or by the Attorney General, a circuit court has jurisdiction to enjoin any person from:
    1. Acting, offering to act, or attempting to act as a debt adjuster; or
    2. Engaging in the business of debt adjusting.
  2. In an action under subsection (a) of this section, the circuit court may appoint a receiver for the property and money employed in the transaction of business by the person as a debt adjuster, to ensure, so far as may be possible, the return to debtors of so much of their money and property as has been received by the debt adjuster and has not been paid to the creditors of the debtors.

History. Acts 1967, No. 61, § 3; A.S.A. 1947, § 41-4159.

5-63-304. [Repealed.]

Publisher's Note. This section, concerning penalties for acting as debt adjuster, was repealed by Acts 2015, No. 1263, § 18. The section was derived from Acts 1967, No. 61, § 4; A.S.A. 1947, § 41-4160; Acts 2005, No. 1994, § 223.

5-63-305. Debt adjusting law — Exclusions.

The following persons are not considered a debt adjuster for the purposes of this subchapter:

  1. An attorney at law;
  2. A bank, fiduciary, or financing and lending institution as authorized and admitted to transact business in this state and performing credit and financial adjusting services in the regular course of its principal business;
  3. A title insurer or abstract company, while doing an escrow business;
  4. An employer, for its employees;
  5. A judicial officer or another person acting pursuant to court order;
  6. A nonprofit organization giving debt management service without fee or charge or with a fee if the fee is in an amount not to exceed the amount of actual expenses incurred in offering the debt management service; and
  7. An association, for its members.

History. Acts 1967, No. 61, § 5; 1983, No. 189, § 2; A.S.A. 1947, § 41-4161.

Chapter 64 Controlled Substances

A.C.R.C. Notes. Though Arkansas adopted the major provisions of the Uniform Controlled Substances Act of 1970 by Acts 1971, No. 590, which is codified in this chapter, subsequent nonuniform amendments to this chapter have caused this chapter to substantially depart from the official text of the uniform act. As a result, the entire chapter, including sections based on the uniform act, has been conformed to the style of the Arkansas Code.

Cross References. Administering controlled substance to another, § 5-13-210.

Arkansas Drug Abuse Control Act, § 20-64-301 et seq.

Immunity of teachers reporting drug abuse, § 6-17-107.

Institutionalizing of persons addicted to alcohol or drugs, § 20-64-801 et seq.

Uniform Narcotic Drug Act, § 20-64-201 et seq.

Videotaped depositions of State Crime Laboratory analysts, § 16-43-215.

Research References

ALR.

State and local administrative inspection of and administrative warrants to search pharmacies. 29 A.L.R.4th 264.

Validity of Warrantless Search of Motor Vehicle Based on Odor of Marijuana — State Cases. 114 A.L.R.5th 173.

Validity of Warrantless Search Based in Whole or in Part on Odor of Narcotics other than Marijuana. 115 A.L.R.5th 477.

Validity of Warrantless Search of Motor Vehicle Driver Based on Odor of Marijuana — State Cases. 123 A.L.R.5th 179.

United Nations Convention Against Illicit Traffic in Narcotic Drugs and Psychotropic Substances, Dec. 19, 1988, 1582 U.N.T.S. 95, 28 I.L.M. 493 (1989), 35 A.L.R. Fed. 3d Art. 6 (2018).

Am. Jur. 25 Am. Jur. 2d, Drugs, § 10 et seq., § 141 et seq.

C.J.S. 28 C.J.S. Supp., Drugs, § 210 et seq.

Case Notes

Cited: Leavy v. State, 314 Ark. 231, 862 S.W.2d 832 (1993).

Subchapter 1 — Uniform Controlled Substances Act — Definitions

Publisher's Notes. For Comments regarding the Uniform Controlled Substances Act, see Commentaries Volume B.

Effective Dates. Acts 1975, No. 305, § 4: Mar. 3, 1975. Emergency clause provided: “It is hereby found and determined by the General Assembly that there is considerable confusion regarding the application and effect of Act 590 of 1971 upon the possession of marijuana and the penalty therefor; that the problem of drug abuse in this state is increasing at an alarming rate and that additional provisions are needed to assist in enforcement of the provisions of Act 590; and that this Act is immediately necessary to provide such clarification and enforcement procedures for the protection of the public health and safety and therefore should be given effect immediately. Therefore, an emergency is hereby declared to exist and this Act being necessary for the preservation of the public peace, health, and safety shall be in full force and effect from and after its passage and approval.”

Acts 1981, No. 78, § 7: became law without Governor's signature, Feb. 15, 1981. Emergency clause provided: “It is hereby found and determined by the General Assembly that there is an increasing problem of drug abuse in the State of Arkansas and that in order to protect the public health and safety immediate steps must be taken to enact a comprehensive Drug Paraphernalia Act and the immediate passage of this Act is necessary to accomplish this purpose; therefore, an emergency is hereby declared to exist and this Act being necessary for the preservation of the public peace, health and safety shall be in full force from and after its passage and approval.”

Acts 1983, No. 787, § 10: Mar. 24, 1983. Emergency clause provided: “It is hereby found and determined by the General Assembly that there is an increasing problem of counterfeit substances in the State of Arkansas and that in order to protect the public health and safety, immediate steps must be taken to establish a system of punishment for those possessing or distributing such substances. Therefore, an emergency is hereby declared to exist and this Act being necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after the date of its passage and approval.”

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

Research References

U. Ark. Little Rock L.J.

Survey — Criminal Law, 10 U. Ark. Little Rock L.J. 559.

5-64-101. Definitions.

As used in this chapter:

  1. “Administer” means the direct application of a controlled substance, whether by injection, inhalation, ingestion, or any other means to the body of a patient or research subject by:
    1. A practitioner; or
    2. The patient or research subject at the direction and in the presence of the practitioner;
    1. “Agent” means an authorized person who acts on behalf of or at the direction of a manufacturer, distributor, or dispenser.
    2. “Agent” does not include a common or contract carrier, public warehouseman, or employee of the common or contract carrier or warehouseman;
    1. “Anabolic steroid” means any drug or hormonal substance, chemically and pharmacologically related to testosterone, other than estrogens, progestin, and corticosteroid that promotes muscle growth.
      1. “Anabolic steroid” does not include an anabolic steroid that is expressly intended for administration through an implant to cattle or another nonhuman species and that has been approved by the Secretary of the Department of Health for such administration.
      2. If any person prescribes, dispenses, or distributes a steroid described in subdivision (3)(B)(i) of this section for human use, the person is considered to have prescribed, dispensed, or distributed an anabolic steroid within the meaning of this subdivision (3);
  2. “Controlled substance” means a drug, substance, or immediate precursor in Schedules I through VI;
    1. “Counterfeit substance” means a noncontrolled substance, that by overall dosage unit appearance including color, shape, size, markings, packaging, labeling, and overall appearance or upon the basis of representations made to the recipient, purports to be a controlled substance or to have the physical or psychological effect associated with a controlled substance.
    2. In determining whether a substance is a “counterfeit substance”, the following factors shall be utilized and a finding of any two (2) of these factors constitutes prima facie evidence that the substance is a “counterfeit substance”:
      1. A statement made by an owner or by anyone else in control of the substance concerning the nature of the substance, its use, or effect;
      2. The physical appearance of the finished product containing the noncontrolled substance is substantially the same as that of a specific controlled substance;
      3. The noncontrolled substance is unpackaged or is packaged in a manner normally used for the illegal delivery of a controlled substance;
      4. The noncontrolled substance is not labeled in accordance with 21 U.S.C. § 352 or 21 U.S.C. § 353;
      5. The person delivering, attempting to deliver, or causing delivery of the noncontrolled substance states or represents to the recipient that the noncontrolled substance may be resold at a price that substantially exceeds the value of the substance;
      6. An evasive tactic or action utilized by the owner or person in control of the substance to avoid detection by a law enforcement authority; or
      7. A prior conviction, if any, of an owner, or anyone in control of the object under a state or federal law related to a controlled substance or fraud;
  3. “Deliver” or “delivery” means the actual, constructive, or attempted transfer from one (1) person to another of a controlled substance or counterfeit substance in exchange for money or anything of value, whether or not there is an agency relationship;
  4. “Dispense” means to deliver a controlled substance to an ultimate user or research subject by or pursuant to the lawful order of a practitioner, including the prescribing, administering, packaging, labeling, or compounding necessary to prepare the controlled substance for that delivery;
  5. “Dispenser” means a practitioner who dispenses;
  6. “Distribute” means to deliver other than by administering or dispensing a controlled substance;
  7. “Distributor” means a person who distributes;
    1. “Drug” means a substance:
      1. Recognized as a drug in the official United States Pharmacopoeia, official Homeopathic Pharmacopoeia of the United States, official National Formulary, or any supplement to any of them;
      2. Intended for use in the diagnosis, cure, mitigation, treatment, or prevention of disease in humans or animals;
      3. Other than food intended to affect the structure or any function of the body of humans or animals; and
      4. Intended for use as a component of any article specified in subdivision (11)(A)(i), subdivision (11)(A)(ii), or subdivision (11)(A)(iii) of this section.
    2. “Drug” does not include a device or its components, parts, or accessories;
    1. “Drug paraphernalia” means any equipment, product, and material of any kind that are used, intended for use, or designed for use in planting, propagating, cultivating, growing, harvesting, manufacturing, compounding, converting, producing, processing, preparing, testing, analyzing, packaging, repackaging, storing, containing, concealing, injecting, ingesting, inhaling, or otherwise introducing into the human body a controlled substance in violation of this chapter.
    2. “Drug paraphernalia” includes, but is not limited to:
      1. A kit used, intended for use, or designed for use in planting, propagating, cultivating, growing, or harvesting any species of plant that is a controlled substance or from which a controlled substance can be derived;
      2. A kit used, intended for use, or designed for use in manufacturing, compounding, converting, producing, processing, or preparing a controlled substance;
      3. An isomerization device used, intended for use, or designed for use in increasing the potency of any species of plant that is a controlled substance;
      4. Testing equipment used, intended for use, or designed for use in identifying or in analyzing the strength, effectiveness, or purity of a controlled substance;
      5. A scale or balance used, intended for use, or designed for use in weighing or measuring a controlled substance;
      6. A diluent or adulterant, such as quinine hydrochloride, mannitol, mannite, dextrose, and lactose used, intended for use, or designed for use in cutting a controlled substance;
      7. A separation gin or sifter used, intended for use, or designed for use in removing a twig or seed from, or in otherwise cleaning or refining, marijuana;
      8. A blender, bowl, container, spoon, or mixing device used, intended for use, or designed for use in compounding a controlled substance;
      9. A capsule, balloon, envelope, or other container used, intended for use, or designed for use in packaging a small quantity of a controlled substance;
      10. A container or other object used, intended for use, or designed for use in storing or concealing a controlled substance;
      11. A hypodermic syringe, needle, or other object used, intended for use, or designed for use in parenterally injecting a controlled substance into the human body; and
      12. An object used, intended for use, or designed for use in ingesting, inhaling, or otherwise introducing a controlled substance into the human body, such as:
        1. A metal, wooden, acrylic, glass, stone, plastic, or ceramic pipe with or without a screen, permanent screen, hashish head, or punctured metal bowl;
        2. A water pipe;
        3. A carburetion tube or device;
        4. A smoking or carburetion mask;
        5. A roach clip, meaning an object used to hold burning material, such as a marijuana cigarette that has become too small or too short to be held in the hand;
        6. A miniature cocaine spoon or cocaine vial;
        7. A chamber pipe;
        8. A carburetor pipe;
        9. An electric pipe;
        10. An air-driven pipe;
        11. A chillum;
        12. A bong;
        13. An ice pipe or chiller; and
        14. An aluminum foil boat.
    3. In determining whether an object is “drug paraphernalia”, a court or other authority shall consider, in addition to any other logically relevant factor, the following:
      1. A statement by an owner or by anyone in control of the object concerning its use;
      2. A prior conviction, if any, of an owner or of anyone in control of the object under any state or federal law relating to any controlled substance;
      3. The proximity of the object in time and space to a direct violation of this chapter;
      4. The proximity of the object to a controlled substance;
      5. The existence of any residue of a controlled substance on the object;
        1. Direct or circumstantial evidence of the intent of an owner or of anyone in control of the object to deliver it to a person whom he or she knows, or should reasonably know, intends to use the object to facilitate a violation of this chapter.
        2. The innocence of an owner or of anyone in control of the object as to a direct violation of this chapter does not prevent a finding that the object is intended for use or designed for use as “drug paraphernalia”;
      6. An oral or written instruction provided with the object concerning its use;
      7. Descriptive materials accompanying the object that explain or depict its use;
      8. National and local advertising concerning the object's use;
      9. The manner in which the object is displayed for sale;
      10. Whether the owner or anyone in control of the object is a legitimate supplier of a like or related item to the community, such as a licensed distributor or dealer of a tobacco product;
      11. Direct or circumstantial evidence of the ratio of sales of the objects to the total sales of the business enterprise;
      12. The existence and scope of legitimate uses for the object in the community; and
      13. Expert testimony concerning the object's use;
  8. “Immediate precursor” means a substance that the secretary has found to be and by rule designates as being the principal compound commonly used or produced primarily for use, and that is an immediate chemical intermediary used or likely to be used in the manufacture of a controlled substance, the control of which is necessary to prevent, curtail, or limit manufacture;
    1. “Manufacture” means the production, preparation, propagation, compounding, conversion, or processing of a controlled substance, either directly or indirectly by extraction from a substance of natural origin, or independently by means of chemical synthesis, or by a combination of extraction and chemical synthesis.
    2. “Manufacture” includes any packaging or repackaging of a controlled substance or labeling or relabeling of a controlled substance's container.
    3. However, “manufacture” does not include the preparation or compounding of a controlled substance by an individual for his or her own use or the preparation, compounding, packaging, or labeling of a controlled substance:
      1. By a practitioner as an incident to his or her administering or dispensing of a controlled substance in the course of his or her professional practice; or
      2. By a practitioner or by his or her authorized agent under his or her supervision for the purpose of, or as an incident to, research, teaching, or chemical analysis and not for sale;
    1. “Marijuana” means:
      1. Any part and any variety or species, or both, of the Cannabis plant that contains THC (Tetrahydrocannabinol) whether growing or not;
      2. The seeds of the plant;
      3. The resin extracted from any part of the plant; and
      4. Every compound, manufacture, salt, derivative, mixture, or preparation of the plant, its seeds, or resin.
    2. “Marijuana” does not include:
      1. The mature stalks of the plant;
      2. Fiber produced from the stalks;
      3. Oil or cake made from the seeds of the plant;
      4. Any other compound, manufacture, salt, derivative, mixture, or preparation of the:
        1. Mature stalks, except the resin extracted from the mature stalks;
        2. Fiber;
        3. Oil; or
        4. Cake;
      5. The sterilized seed of the plant that is incapable of germination; or
      6. Hemp-derived cannabidiol that:
        1. Contains not more than three-tenths of one percent (0.3%) of tetrahydrocannabinol (THC) on a dry weight basis as verified by a nationally accredited laboratory for quality, purity, and accuracy standards; and
        2. Is not approved by the United States Food and Drug Administration for marketing as a medication;
      1. “Narcotic drug” means any drug that is defined as a narcotic drug by order of the secretary.
      2. In the formulation of a definition of “narcotic drug”, the secretary shall:
        1. Include any drug that he or she finds is narcotic in character and by reason of being narcotic is dangerous to the public health or is promotive of addiction-forming or addiction-sustaining results upon the user that threaten harm to the public health, safety, or morals; and
        2. Take into consideration the provisions of the federal narcotic laws as they exist from time to time and shall amend the definitions so as to keep them in harmony with the definitions prescribed by the federal narcotic laws, so far as is possible under the standards established in this subdivision (16) and under the policy of this chapter.
    1. “Narcotic drug” also means any of the following, whether produced directly or indirectly by extraction from a substance of vegetable origin, independently by means of chemical synthesis, or by a combination of extraction and chemical synthesis:
        1. Opium, opiates, a derivative of opium or opiates, including their isomers, esters, and ethers whenever the existence of the isomers, esters, ethers, and salts is possible within the specific chemical designation.
        2. “Narcotic drug” does not include an isoquinoline alkaloid of opium;
      1. Poppy straw and concentrate of poppy straw;
      2. Coca leaves, except coca leaves and extracts of coca leaves from which cocaines, ecgonine, and derivatives of ecgonine or their salts have been removed;
      3. Cocaine, its salts, optical and geometric isomers, and salts of isomers;
      4. Ecgonine, its derivatives, their salts, isomers, and salts of isomers; or
      5. Any compound, mixture, or preparation that contains any quantity of any substance referred to in subdivisions (16)(B)(i)-(v) of this section;
  9. “Noncontrolled substance” means any liquid, substance, or material not listed in Schedules I through VI of the Schedules of Controlled Substances promulgated by the secretary;
  10. “Person” means an individual, corporation, government or governmental subdivision or agency, business trust, estate, trust, partnership or association, or any other legal entity;
  11. “Practitioner” means:
    1. A physician, dentist, veterinarian, scientific investigator, or other person licensed, registered, or otherwise permitted to distribute, dispense, conduct research with respect to, or to administer a controlled substance in the course of professional practice or research in this state; and
    2. A pharmacy, hospital, or other institution licensed, registered, or otherwise permitted to distribute, dispense, conduct research with respect to, or to administer a controlled substance in the course of professional practice or research in this state;
  12. “Production” includes the manufacture, planting, cultivation, growing, or harvesting of a controlled substance;
  13. “State” when applied to a part of the United States, includes any state, district, commonwealth, territory, insular possession thereof, and any area subject to the legal authority of the United States of America; and
  14. “Ultimate user” means a person who lawfully possesses a controlled substance for:
    1. The person's own use;
    2. The use of a member of the person's household; or
    3. Administering to an animal owned by the person or by a member of his or her household.

History. Acts 1971, No. 590, Art. 1, § 1; 1975, No. 243, § 1; 1975, No. 305, § 1; 1979, No. 898, §§ 1, 2; 1981, No. 78, § 1; 1981, No. 116, § 1; 1983, No. 787, §§ 1, 2; A.S.A. 1947, § 82-2601; Acts 1987, No. 42, § 2; 1991, No. 570, § 1; 1995, No. 1296, § 7; 2005, No. 1994, § 301; 2007, No. 199, § 1; 2007, No. 827, §§ 52–55; 2019, No. 504, § 1; 2019, No. 910, § 4830.

Amendments. The 2019 amendment by No. 504 added (15)(B)(vi).

The 2019 amendment by No. 910 substituted “Secretary” for “Director” in (3)(B)(i).

Research References

Ark. L. Rev.

Carroll, Uniform Laws in Arkansas, 52 Ark. L. Rev. 313.

U. Ark. Little Rock L.J.

Legislative Survey, Criminal Law, 4 U. Ark. Little Rock L.J. 583.

Legislation of the 1983 General Assembly, Criminal Law, 6 U. Ark. Little Rock L.J. 613.

Legislative Survey, Criminal Law, 8 U. Ark. Little Rock L.J. 559.

Case Notes

Constitutionality.

Although the defendant offered testimony that marijuana was not as harmful as alcohol or tobacco, the evidence presented by the defendant was not so overwhelming and uncontradicted as to convince the court that the Controlled Substances Act was arbitrary, capricious and unreasonable and, therefore, violated the due process clause and the equal protection clause of the United States Constitution.Bushong v. State, 267 Ark. 113, 589 S.W.2d 559 (1979), cert. denied, 446 U.S. 938, 100 S. Ct. 2157, 64 L. Ed. 2d 791 (1980).

Former subsection (y) of this section (see now subdivision (12)) and former § 5-64-403(c)(1) (see now § 5-64-443) concerning the term “drug paraphernalia” are not unconstitutionally vague for want of “certainty” or “definiteness,” since they give a person of ordinary intelligence fair notice that his contemplated conduct is forbidden. Moore v. State, 297 Ark. 296, 761 S.W.2d 894 (1988).

The drug paraphernalia law is not unconstitutionally vague, because the detailed definitions found in the statute give adequate notice of conduct constituting the offense. Crail v. State, 309 Ark. 120, 827 S.W.2d 157 (1992).

Controlled Substance.

When doubts as to construction of use of term “controlled substance” in definition section was considered in light of strict construction, possession of drugs classified in schedule of act to provide separate classifications for marijuana and another substance did not constitute a misdemeanor. White v. State, 260 Ark. 361, 538 S.W.2d 550 (1976).

Cocaine is a Schedule II controlled substance. Briggs v. State, 18 Ark. App. 292, 715 S.W.2d 223 (1986).

Evidence was sufficient to support defendant's conviction for possession of methamphetamine with intent to deliver where defendant had control over the 16 grams of methamphetamine, he stated that he had already sold some before arriving at the motel, and defendant offered to sell the remainder to an undercover police officer. Dodson v. State, 358 Ark. 372, 191 S.W.3d 511 (2004).

Deliver or Delivery.

Defendant who testified that the sale of drugs was actually between the officer and a third person, although he did get the drugs and give them to the officer and took the money for the drugs and gave it to the third person, was properly convicted for violating Controlled Substances Act. Snelling v. State, 257 Ark. 602, 519 S.W.2d 52 (1975).

Under the definition of deliver or delivery it makes no difference, on a motion for directed verdict, whether the transferor acts as an agent for the purchaser or the seller. Curry v. State, 258 Ark. 528, 527 S.W.2d 902 (1975).

Person who drove parties to address where sale of controlled substance was made could not defend on ground that he was a mere bystander where there was substantial evidence to show that he not only stood by, but aided, abetted and assisted in the delivery. Fant v. State, 258 Ark. 1015, 530 S.W.2d 364 (1975).

Where the defendant simply introduced the undercover officers to the sellers of controlled substance from whom the officers bought some controlled substance, the defendant was not guilty of delivering controlled substance since he would have had to take a more active part to be a principal or even an accomplice. Daigger v. State, 268 Ark. 249, 595 S.W.2d 653 (1980).

The exchange of something of value is not essential to the offense of delivery of a controlled substance. Anderson v. State, 275 Ark. 298, 630 S.W.2d 23 (1982).

The requirement that delivery be “in exchange for money or anything of value” was intended to make the comparatively severe penalty for delivery inapplicable to a gratuitous transfer, such as the action of two or more persons in smoking one marijuana cigarette by passing it around; the legislature, however, left intact the Uniform Act's provision that a delivery includes an attempted transfer and, accordingly, where the jury could find from substantial evidence that defendant attempted to transfer controlled substance in exchange for an agreed sum of money and had completed his part of the transaction, the proof was sufficient to support conviction even though the exchange of money was not completed. Anderson v. State, 275 Ark. 298, 630 S.W.2d 23 (1982).

Subdivision (f) of this section (see now subdivision (6)) only requires the attempted transfer of drugs in exchange for an agreed price; the exchange of drugs for money or anything of value is not essential to the commission of the offense. Marshall v. State, 289 Ark. 462, 712 S.W.2d 894 (1986).

Definition of “sale” is included in the definition of “deliver” as both involve a transfer of an item in exchange for money. Dean v. State, 293 Ark. 75, 732 S.W.2d 855 (1987).

Prescription of a controlled substance by a licensed physician is not “delivery” of a controlled substance. Hales v. State, 299 Ark. 93, 771 S.W.2d 285 (1989).

The fact that an accused is the agent of a buyer or seller of drugs does not remove the transfer of rock cocaine from the coverage of subsection (f) (see now subdivision (6)). Parker v. State, 302 Ark. 509, 790 S.W.2d 894 (1990).

To convict a defendant of delivery, the state had to prove that the defendant actually or constructively transferred drugs for value to another person; to convict one of possession, the state had to show that the defendant exercised control or dominion over it. Pyle v. State, 314 Ark. 165, 862 S.W.2d 823 (1993), cert. denied, 510 U.S. 1197, 114 S. Ct. 1306, 127 L. Ed. 2d 657 (1994).

Under the definition of “deliver” in this section, it makes no difference whether the transferor acted as an agent of the purchaser or the seller; the act is condemned whenever the transfer is in exchange for money or anything of value. Christian v. State, 318 Ark. 813, 889 S.W.2d 717 (1994).

Where both a detective and a confidential informant testified as to the details of a controlled drug buy, the evidence showed that the informant was given $250 in marked money, fitted with an audio device, sent to an apartment where he met defendant, and left the apartment with a baggie containing 1.7794 grams of methamphetamine which he gave to the detective. There was substantial evidence of “delivery” within the meaning of subdivision (7) (see now subdivision (6)) of this section to support defendant's conviction for delivery of methamphetamine; the district court did not err by denying defendant's motion for a directed verdict. Phavixay v. State, 2009 Ark. 452, 352 S.W.3d 311 (2009).

Appellant's conviction for delivery of methamphetamine was affirmed because the jury was properly instructed that the witness's testimony must be corroborated and an officer and the witness both testified that the crime of delivery of methamphetamine occurred. Hall v. State, 2010 Ark. App. 717 (2010).

Trial court did not err in allowing the director of the drug task force to testify that drugs constituted something of value because it was appropriate rebuttal testimony as defendant denied taking any money but conceded he received a fraction of the drugs as payment; despite defendant's entrapment defense, the State was never relieved of its burden to prove that defendant facilitated the transaction in exchange for money or something of value beyond a reasonable doubt. Owens v. State, 2017 Ark. App. 109, 515 S.W.3d 625 (2017).

Evidence that defendant arranged the price and the location for the buy, combined with defendant's admission that he was a drug dealer and testimony about his method of operation, was substantial evidence that defendant constructively delivered methamphetamine, for purposes of his continuing criminal enterprise conviction. Hunter v. State, 2017 Ark. App. 256, 522 S.W.3d 793 (2017).

Drug Paraphernalia.

Acts 1981, No. 78 which, in pertinent part added subsection (y) (see now subdivision (12)), is not unconstitutionally overbroad even though the act may prevent persons from utilizing the expressions imprinted on, or the symbolic speech represented by the use of, drug paraphernalia. Garner v. White, 726 F.2d 1274 (8th Cir. 1984).

Where defendants were arrested in a parking lot after buying various items, including three packages of antihistamines, four cans of starter fluid, butane, and an air freshener, the evidence was insufficient to support a conviction of possession of drug paraphernalia with intent to manufacture methamphetamines; all of the items seized were legally obtained and had legitimate uses, and suspicion alone cannot support a conviction. Gilmore v. State, 79 Ark. App. 303, 87 S.W.3d 805 (2002).

Trial court properly admitted evidence of defendant's prior crimes because they fell within the exception to Ark. R. Evid. 404(b) in that they were independently relevant as proof of knowledge and intent to commit an offense; further, in determining whether an object is drug paraphernalia, courts are directed to consider prior convictions and expert testimony concerning its use. Cluck v. State, 365 Ark. 166, 226 S.W.3d 780 (2006).

Motion to dismiss was properly denied in a case involving possession with intent to use drug paraphernalia because a crack pipe constituted paraphernalia under this section; further, there was sufficient evidence of intent where defendant admitted the pipe was his, cocaine residue was found on the pipe, and defendant admitted to using it to smoke cocaine in the past. White v. State, 98 Ark. App. 366, 255 S.W.3d 881 (2007).

Sufficient evidence supported a finding that defendant possessed “drug paraphernalia” within the meaning of this section, with the intent to manufacture methamphetamine because the jury could choose to believe that he knew the iodine he possessed was going to be used to make methamphetamine. Ashley v. State, 2012 Ark. App. 131, 388 S.W.3d 914 (2012).

Evidence.

It is not essential to proof of the charge of attempting to deliver a controlled substance that the substance be produced in court if one sufficiently experienced with the substance could testify that it was indeed that substance. Marshall v. State, 289 Ark. 462, 712 S.W.2d 894 (1986).

Evidence was sufficient to meet test of substantiality and show delivery. Summers v. State, 300 Ark. 525, 780 S.W.2d 540 (1989).

Evidence was sufficient to establish delivery of controlled substance. Standridge v. Standridge, 304 Ark. 364, 803 S.W.2d 496 (1991).

Court erroneously precluded state from introducing evidence of officer concerning use of antenna, found on the defendant, as drug paraphernalia. State v. Crutchfield, 306 Ark. 104, 816 S.W.2d 884 (1991) (supplemental op. on rehearing).

Evidence sufficient to support conviction for delivery of a controlled substance. Ramey v. State, 42 Ark. App. 242, 857 S.W.2d 828 (1993).

Evidence sufficient to find that appellant engaged in a conspiracy to deliver marijuana. Ramey v. State, 42 Ark. App. 242, 857 S.W.2d 828 (1993).

Where officer asked defendant for consent to search home and defendant stated he wanted to call his attorney and went back into the house, and officer simply followed defendant into the house, officer's entry into the home was illegal and not supported by unequivocal proof of consent required by state caselaw; therefore, products seized as a result of the illegal entry and search were fruit of the poisonous tree and should have been suppressed. Stone v. State, 348 Ark. 661, 74 S.W.3d 591 (2002).

Sufficient evidence was presented to the jury from which they could conclude that defendant possessed certain items for the purpose of manufacturing methamphetamine despite the fact that there was no evidence of lithium which was necessary to the manufacturing process. Cherry v. State, 80 Ark. App. 222, 95 S.W.3d 5 (2003).

Evidence of manufacturing methamphetamine held sufficient where evidence other than the accomplices' testimony tended to a substantial degree to connect defendant with the commission of the crime, and where there was sufficient corroboration of the accomplices' testimony. Brown v. State, 82 Ark. App. 61, 110 S.W.3d 293 (2003).

State's failure to prove that a substance was a statutorily-defined “counterfeit substance” was fatal to defendant's criminal conviction for possession of a counterfeit substance with the intent to deliver, especially where there was no evidence of attempted delivery; the only factor that the state proved was that the physical appearance of the finished product containing the noncontrolled substance was substantially the same as that of a specific controlled substance. Jackson v. State, 86 Ark. App. 145, 165 S.W.3d 467 (2004).

Evidence was sufficient to sustain a drug possession conviction where defendant was the driver of the car, the drugs were found directly behind the driver's seat, and he exercised dominion and control over the vehicle; in addition, defendant possessed 883.9 milligrams of the methamphetamine compound, which was a usable amount. Jones v. State, 357 Ark. 545, 182 S.W.3d 485 (2004).

Evidence was sufficient to sustain a drug paraphernalia possession conviction where the syringe in defendant's pocket was in close proximity to the methamphetamine found in the plastic bags behind his driver's seat. Jones v. State, 357 Ark. 545, 182 S.W.3d 485 (2004).

Given that defendant owned the premises, that drugs and paraphernalia were found in common areas throughout the residence, and that methamphetamine and paraphernalia were found in his pocket, there was sufficient evidence whereby a jury could convict defendant of manufacturing methamphetamine. Lueken v. State, 88 Ark. App. 323, 198 S.W.3d 547 (2004).

Evidence was sufficient to sustain a conviction for possession of drug paraphernalia with intent to manufacture methamphetamine where the jury had before it evidence of the items found at defendant's residence and in his vehicle (including hydrogen peroxide, isopropyl alcohol, an empty can of toluene, lye, salt, drain cleaner, muriatic acid, allergy pills, PVC gloves, a piece of tubing, and a syringe), but it was also informed of defendant's iodine purchase and of his prior convictions relating to methamphetamine in addition to the expert testimony concerning how the items found in defendant's possession are used to manufacture methamphetamine; neither statute nor case law required that all the ingredients necessary to manufacture methamphetamine be found in a defendant's possession. Cluck v. State, 365 Ark. 166, 226 S.W.3d 780 (2006).

Based on the evidence indicating defendant's proximity to the manufacturing paraphernalia, the jury could reasonably infer that she had joint possession and control of the contraband; it was undisputed that defendant had been occupying the residence for at least two weeks and she was present in the residence when methamphetamine was being manufactured and that she knew methamphetamine was being manufactured. Holt v. State, 2009 Ark. 482, 348 S.W.3d 562 (2009).

Trial court clearly did not err in denying the motion for directed verdict or its renewal, because the evidence was sufficient to convict defendant of possession of a counterfeit controlled substance, when the soap substance was packaged in a quantity and shape that had all the outward indications of appearing to be crack cocaine, and defendant stated in response to the officer's query that he thought he was getting cocaine. Caldwell v. State, 2009 Ark. App. 526, 334 S.W.3d 82 (2009).

Manufacture and Production.

Statute makes it clear that the growing or cultivation of marijuana is included in the offense of manufacturing; the definition of “manufacture” includes “production” and the definition of “production” includes “cultivation” of a controlled substance. Shepherd v. State, 256 Ark. 134, 506 S.W.2d 553, cert. denied, 419 U.S. 808, 95 S. Ct. 20, 42 L. Ed. 2d 34 (1974).

Manufacture as defined in this section does not include the preparation for one's own use. Bedell v. State, 257 Ark. 895, 521 S.W.2d 200 (1975).

Since the personal-use exemption provided for in subdivision (m) (now subdivision (14)) applies only to the preparation or compounding of a controlled substance and not to “production” which includes cultivating or harvesting the substance, defendant, who admitted growing marijuana on his farm, was not within that exception to the offense of manufacturing marijuana. Bedell v. State, 260 Ark. 401, 541 S.W.2d 297 (1976), cert. denied, 430 U.S. 931, 97 S. Ct. 1552, 51 L. Ed. 2d 775 (1977).

The personal use exemption provided for in subdivision (m) (now subdivision (14)) did not apply to defendant who manufactured from marijuana seeds and plants a tea and juice which defendant claimed to drink for the cure and prevention of cancer. Patty v. State, 260 Ark. 539, 542 S.W.2d 494 (1976).

The substance does not have to be in a form to be sold before a “manufacture” occurs. Lee v. State, 297 Ark. 421, 762 S.W.2d 790 (1989).

Although anhydrous ammonia, which was necessary to the methamphetamine manufacturing process, was not found, the state's chemist testified that ammonia was found, as well as other indications regarding the presence of anhydrous ammonia, which could not be specifically tested for, and that there was not an active manufacture taking place when the police arrived; thus, the chemist's testimony sufficiently explained the absence of the anhydrous ammonia in a lab where manufacturing had already occurred and the evidence was sufficient to convict defendant of manufacturing methamphetamine. Aydelotte v. State, 85 Ark. App. 67, 146 S.W.3d 392 (2004).

Evidence was sufficient to sustain a conviction for manufacturing methamphetamine where multiple ingredients and devices used in methamphetamine production were found together with the by-products of such production in defendant's van, as well as actual methamphetamine. Saul v. State, 365 Ark. 77, 225 S.W.3d 373 (2006).

Defense counsel was not ineffective for not objecting that defendants' convictions violated double jeopardy under § 5-1-110(b) because possession of drug paraphernalia with intent to manufacture methamphetamine was not a lesser-included offense of manufacturing methamphetamine. Myers v. State, 2012 Ark. 143, 400 S.W.3d 231 (2012).

Marijuana.

In prosecution for sale of marijuana it was not necessary for the state to show that the substance introduced into evidence as marijuana did not fall within any exemption provision of the definition of marijuana. Garner v. State, 258 Ark. 321, 524 S.W.2d 223 (1975); Rogers v. State, 258 Ark. 314, 524 S.W.2d 227, cert. denied, 423 U.S. 995, 96 S. Ct. 423, 46 L. Ed. 2d 369 (1975).

This section's definition of marijuana does not require the State to prove the presence of THC in order to obtain a conviction for possession of marijuana; lay testimony may provide substantial evidence of the identity of a controlled substance, even in the absence of expert chemical analysis. Springston v. State, 327 Ark. 90, 936 S.W.2d 550 (1997).

Narcotic Drug.

Cocaine is defined as a “narcotic drug” under this section and is made a Schedule II controlled substance under the terms of a board regulation adopted in accordance with § 5-64-205. Lively v. State, 25 Ark. App. 198, 755 S.W.2d 238 (1988).

Cited: Fight v. State, 254 Ark. 927, 497 S.W.2d 262 (1973); Sims v. State, 255 Ark. 87, 499 S.W.2d 54 (1973); Henderson v. State, 255 Ark. 870, 503 S.W.2d 889 (1974); Ark. State Medical Bd. v. Cross, 256 Ark. 388, 507 S.W.2d 709 (1974); Tate v. State, 258 Ark. 135, 524 S.W.2d 624 (1975); Ryan v. State, 260 Ark. 270, 538 S.W.2d 702 (1976); Hosto v. Brickell, 265 Ark. 147, 577 S.W.2d 401 (1979); Parker v. State, 265 Ark. 315, 578 S.W.2d 206 (1979); Hays v. State, 268 Ark. 701, 597 S.W.2d 821 (Ct. App. 1980); Young v. State, 269 Ark. 12, 598 S.W.2d 74 (1980); Johnson v. State, 6 Ark. App. 78, 638 S.W.2d 686 (1982); Jackson v. State, 283 Ark. 301, 675 S.W.2d 820 (1984); Harrod v. State, 286 Ark. 277, 691 S.W.2d 172 (1985); Webber v. State, 15 Ark. App. 261, 692 S.W.2d 255 (1985); Edwards v. State, 300 Ark. 4, 775 S.W.2d 900 (1989); Barlow v. State, 28 Ark. App. 21, 770 S.W.2d 186 (1989); Booker v. State, 32 Ark. App. 94, 796 S.W.2d 854 (1990); Smith v. State, 34 Ark. App. 72, 805 S.W.2d 663 (1991); Kellogg v. State, 37 Ark. App. 162, 827 S.W.2d 166 (1992); Enos v. State, 313 Ark. 683, 858 S.W.2d 72 (1993); Owens v. State, 325 Ark. 110, 926 S.W.2d 650 (1996); Williams v. State, 328 Ark. 487, 944 S.W.2d 822 (1997); Hyde v. State, 59 Ark. App. 131, 953 S.W.2d 911 (1997); Stanton v. State, 344 Ark. 589, 42 S.W.3d 474 (2001); Dodson v. State, 88 Ark. App. 380, 199 S.W.3d 115 (2004); Benjamin v. State, 102 Ark. App. 309, 285 S.W.3d 264 (2008); Morgan v. State, 2009 Ark. 257, 308 S.W.3d 147 (2009); Payne v. State, 2017 Ark. App. 263, 520 S.W.3d 719 (2017).

Subchapter 2 — Uniform Controlled Substances Act — Designation of Controlled Substances

Publisher's Notes. Schedules I through VI referred to in this subchapter are partly codified and partly governed by administrative regulation. The Director of the Department of Health or his or her authorized agent revises and republishes the schedules annually. For a copy of the most recent rescheduling of controlled substances, contact the Department of Health.

Acts 1979, No. 898, § 21 provided, in part, that the schedules in effect on July 20, 1979 should remain in effect until rescheduled.

For Comments regarding the Uniform Controlled Substances Act, see Commentaries Volume B.

Effective Dates. Acts 2005, No. 256, § 7: Mar. 24, 2005. Emergency clause provided: “It is hereby found and determined by the Eighty-fifth General Assembly that the effectiveness of this act is essential to the safety of the citizens of Arkansas; that excessive and improper exposure to illicit clandestine laboratories for the manufacture of methamphetamine causes harm to citizens of Arkansas; and that a delay in the effective date of this act beyond thirty days needed to implement it would unnecessarily expose the citizens of Arkansas to the risk of irreparable harm. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall be effective on: (1) Thirty (30) days from and after the date of its passage and approval; (2) If the bill is neither approved nor vetoed by the Governor, it shall become effective thirty (30) days from the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, it shall become effective thirty (30) days from the date the last house overrides the veto.”

Acts 2011, No. 751, § 3: Mar. 28, 2011. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that new substances that need immediate scheduling are becoming more prevalent; and that this act is immediately necessary because these new substances pose a risk to the public. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

5-64-201. Secretary's duties.

        1. The Secretary of the Department of Health shall administer this chapter and may add a substance to or delete or reschedule any substance enumerated in a schedule under the procedures of the Arkansas Administrative Procedure Act, § 25-15-201 et seq.
        2. The secretary may promulgate without action or approval of the State Board of Health an emergency rule under the procedures of the Arkansas Administrative Procedure Act, § 25-15-201 et seq., that adds a substance to or deletes a substance from a schedule or reschedules a substance.
        3. If the secretary adds, deletes, or reschedules a substance through an emergency rule under the procedures of the Arkansas Administrative Procedure Act, § 25-15-201 et seq., the emergency rule may be effective for no longer than one hundred eighty (180) days.
      1. However, the secretary shall not delete any substance from a schedule in effect on July 20, 1979, without prior approval by the Legislative Council.
    1. In making a determination regarding a substance, the secretary shall consider the following:
      1. The actual or relative potential for abuse;
      2. The scientific evidence of its pharmacological effect, if known;
      3. The state of current scientific knowledge regarding the substance;
      4. The history and current pattern of abuse;
      5. The scope, duration, and significance of abuse;
      6. The risk to public health;
      7. The potential of the substance to produce psychic or physiological dependence liability; and
      8. Whether the substance is an immediate precursor of a substance already controlled under this subchapter.
  1. After considering the factors enumerated in subsection (a) of this section, the secretary shall make findings with respect to the factors and issue a rule controlling the substance if he or she finds the substance has a potential for abuse.
  2. If the secretary designates a substance as an immediate precursor, a substance that is a precursor of the controlled precursor is not subject to control solely because it is a precursor of the controlled precursor.
    1. If any substance is designated as a controlled substance under federal law and notice of the designation is given to the secretary, the secretary shall similarly control the substance under this chapter after the expiration of thirty (30) days from publication in the Federal Register of a final order designating a substance as a controlled substance unless within that thirty-day period the secretary objects to inclusion.
      1. If the secretary objects to inclusion, the secretary shall publish the reasons for objection and afford any interested party an opportunity to be heard.
      2. At the conclusion of the hearing, the secretary shall publish his or her decision.
      3. Any person aggrieved by a decision of the secretary is entitled to judicial review in the Pulaski County Circuit Court.
    2. Upon publication of objection to inclusion under this chapter by the secretary, control under this chapter is stayed until the secretary publishes his or her decision or, if judicial review is sought, the inclusion is stayed until adjudication of the judicial review.
    3. If notice has been given to the secretary that the United States Food and Drug Administration has designated, rescheduled, or descheduled a marijuana-derived substance under federal law and approved for marketing the marijuana-derived substance as a prescription medication, the secretary shall consider the designation, rescheduling, or descheduling of the marijuana-derived substance under this chapter.
  3. Authority to control under this section does not extend to distilled spirits, wine, malt beverages, or tobacco.
  4. The secretary shall schedule gamma-hydroxybutyrate and its known precursors and analogs in a manner consistent with the procedures outlined in this section.

History. Acts 1971, No. 590, Art. 2, § 1; 1973, No. 186, § 1; 1979, No. 898, § 3; A.S.A. 1947, § 82-2602; Acts 2001, No. 320, § 2; 2005, No. 1994, § 302; 2011, No. 587, § 1; 2017, No. 440, § 1; 2019, No. 910, § 4831.

A.C.R.C. Notes. Acts 2001, No. 320, § 1, provided:

“(a) Gamma-hydroxybutyrate (‘GHB’) was not scheduled as a controlled substance by the Federal Drug Enforcement Administration or by the Director of the Arkansas Department of Health prior to 1999. Concerned about the potential for the substance's abuse, the Eighty-second General Assembly designated GHB as a Schedule VI controlled substance.

“(b) Subsequently, the Drug Enforcement Administration classified GHB as a Schedule I. In addition, the final rule of the Drug Enforcement Administration places Food and Drug Administration approved products containing GHB into Schedule III, if or when they are approved.

“(c) Since the legislature classified GHB as a schedule VI substance, the Director was precluded from scheduling GHB in a manner consistent with the scheduling designated by the Drug Enforcement Administration. As a result, criminal sanctions for the possession with the intent to deliver GHB are not as severe as other substances possessing similar harmful and abusive characteristics.

“(d) It is the purpose of this act to allow the director to adopt the Drug Enforcement Administration's scheduling of GHB pursuant to Arkansas Code 5-64-201.”

Amendments. The 2001 amendment added (f).

The 2005 amendment deleted “subchapters 1-6 of” preceding “this chapter” in (a) and three times in (d); inserted “or she” in (b); and inserted “or her” preceding “decision” in (d).

The 2011 amendment substituted “Department of Health” for “Division of Health of the Department of Health and Human Services” in (a)(1)(A)(i); and added (a)(1)(A)(ii) and (iii).

The 2017 amendment added (d)(4).

The 2019 amendment substituted “Secretary’s” for “Director’s” in the section heading; substituted “Secretary” for “Director” in (a)(1)(A)(i); and substituted “secretary” for “director” throughout the section.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

Alcoholic Beverages.

Where school board rule required automatic expulsion for students using “narcotics or other hallucinogenics, drugs, or controlled substances classified as such by Act 590 of 1971” (subchapters 1-6 of this chapter), alcohol was not a “controlled substance” under such rule since it is expressly exempted from the operation of the act by subsection (e) of this section. Board of Educ. v. McCluskey, 458 U.S. 966, 102 S. Ct. 3469, 73 L. Ed. 2d 1273 (1982).

Delegation of Authority.

Although subsection (d) provides that if a substance becomes controlled under federal law it shall also become controlled under state law, that same subsection has also always given the Commissioner the authority to reject the listing of any federally controlled substance; thus, there was no unlawful authority or delegation of legislative power given to the federal government to control the state schedules of controlled substances. Curry v. State, 279 Ark. 153, 649 S.W.2d 833 (1983).

Schedules.

Schedule of controlled substances is a regulation promulgated by a state agency pursuant to statute and in accordance with state procedural requirements. The schedule or agency regulation is a part of the substantive law the trial court must determine and then apply to the facts of the case before it. Washington v. State, 319 Ark. 583, 892 S.W.2d 505 (1995).

Cited: Johnson v. State, 6 Ark. App. 78, 638 S.W.2d 686 (1982); Benjamin v. State, 102 Ark. App. 309, 285 S.W.3d 264 (2008).

5-64-202. Nomenclature.

A controlled substance listed or to be listed in a schedule shall be included by whatever official, common, usual chemical, or trade name designated.

History. Acts 1971, No. 590, Art. 2, § 2; 1973, No. 186, § 1; 1979, No. 898, § 4; A.S.A. 1947, § 82-2603.

5-64-203. Criteria for Schedule I.

The Secretary of the Department of Health shall place a substance in Schedule I if he or she finds that the substance has:

  1. High potential for abuse; and
  2. No accepted medical use in treatment in the United States or lacks accepted safety for use in treatment under medical supervision.

History. Acts 1971, No. 590, Art. 2, § 3; 1973, No. 186, § 1; 1979, No. 898, § 5; A.S.A. 1947, § 82-2604; Acts 2019, No. 910, § 4832.

Amendments. The 2019 amendment substituted “Secretary” for “Director” in the introductory language.

Case Notes

Cited: Pace v. State, 267 Ark. 610, 593 S.W.2d 20 (1980).

5-64-204. Substances in Schedule I.

  1. In addition to any substance placed in Schedule I by the Secretary of the Department of Health under § 5-64-203, any material, compound, mixture, or preparation, whether produced directly or indirectly from a substance of vegetable origin or independently by means of chemical synthesis or by a combination of extraction and chemical synthesis, that contains any quantity of the following substances, or that contains any of the following substances' analogs, salts, isomers, and salts of isomers when the existence of the analogs, salts, isomers, and salts of isomers is possible within the specific chemical designation, with the following chemical structure is included in Schedule I:
    1. 4-Methylmethcathinone (Mephedrone);
    2. Methylenedioxypyrovalerone (MDPV);
    3. 3,4-Methylenedioxy-N-methylcathinone (Methylone);
    4. 4-Methoxymethcathinone;
    5. 3-Fluoromethcathinone;
    6. 4-Fluoromethcathinone; or
    7. A compound, unless listed in another schedule or a legend drug, that is structurally derived from 2-Amino-1-phenyl-1-propanone by modification or by substitution:
      1. In the phenyl ring to any extent with alkyl, alkoxy, alkylenedioxy, haloalkyl or halide substituents, whether or not further substituted in the phenyl ring by one (1) or more other univalent substituents;
      2. At the 3-position with an alkyl substituent; or
      3. At the nitrogen atom with alkyl or dialkyl groups, or by inclusion of the nitrogen atom in a cyclic structure.
  2. The Secretary of the Department of Health shall not delete a controlled substance listed in this section from Schedule I.

History. Acts 2011, No. 751, § 1; 2019, No. 910, § 4833.

Publisher's Notes. The Uniform Controlled Substance Act (U.L.A.), § 204, lists the controlled substances included in Schedule I. Schedule I was originally adopted in Arkansas but was subsequently repealed and is now governed by this section and administrative regulation. It is revised and republished annually by the Director of the Department of Health or his or her authorized agent. For a copy of the most recent rescheduling of controlled substances, contact the Department of Health.

Amendments. The 2019 amendment substituted “Secretary” for “Director” in the introductory language of (a) and in (b).

5-64-205. Criteria for Schedule II.

The Secretary of the Department of Health shall place a substance in Schedule II if he or she finds that:

  1. The substance has high potential for abuse;
  2. The substance has currently accepted medical use in treatment in the United States or currently accepted medical use with severe restrictions; and
  3. The abuse of the substance may lead to severe psychic or physical dependence.

History. Acts 1971, No. 590, Art. 2, § 5; 1973, No. 186, § 1; 1979, No. 898, § 6; A.S.A. 1947, § 82-2606; Acts 2019, No. 910, § 4834.

A.C.R.C. Notes. Acts 1987, No. 52, § 1, provided that dronabinol is a schedule II drug instead of a schedule VI drug when it is in sesame oil and encapsulated in a soft gelatin capsule in a drug product approved by the U.S. Food and Drug Administration for medical treatment.

Amendments. The 2019 amendment substituted “Secretary” for “Director” in the introductory language.

Case Notes

Cocaine.

Cocaine is defined as a “narcotic drug” under § 5-64-101 and is made a Schedule II controlled substance under the terms of a board regulation adopted in accordance with this section. Lively v. State, 25 Ark. App. 198, 755 S.W.2d 238 (1988).

Delegation of Authority.

This section, allowing the Commissioner to determine what particular substances should be placed in Schedule II, does not constitute an unlawful delegation of legislative authority to the Commissioner. Curry v. State, 279 Ark. 153, 649 S.W.2d 833 (1983).

Cited: Ark. State Medical Bd. v. Elliott, 263 Ark. 86, 563 S.W.2d 427 (1978).

5-64-206. [Reserved.]

Publisher's Notes. The Uniform Controlled Substance Act (U.L.A.), § 206, lists the controlled substances included in Schedule II. Schedule II was originally adopted in Arkansas but was subsequently repealed and is now governed by administrative regulation. It is revised and republished annually by the Director of the Department of Health or his or her authorized agent. For a copy of the most recent rescheduling of controlled substances, contact the Department of Health.

5-64-207. Criteria for Schedule III.

The Secretary of the Department of Health shall place a substance in Schedule III if he or she finds that:

  1. The substance has a potential for abuse less than the substances listed in Schedules I and II;
  2. The substance has currently accepted medical use in treatment in the United States; and
  3. Abuse of the substance may lead to moderate or low physical dependence or high psychological dependence.

History. Acts 1971, No. 590, Art. 2, § 7; 1973, No. 186, § 1; 1979, No. 898, § 7; A.S.A. 1947, § 82-2608; Acts 2019, No. 910, § 4835.

Amendments. The 2019 amendment substituted “Secretary” for “Director” in the introductory language.

Case Notes

Cited: Curry v. State, 279 Ark. 153, 649 S.W.2d 833 (1983).

5-64-208. [Reserved.]

Publisher's Notes. The Uniform Controlled Substance Act (U.L.A.), § 208, lists the controlled substances included in Schedule III. Schedule III was originally adopted in Arkansas but was subsequently repealed and is now governed by administrative regulation. It is revised and republished annually by the Director of the Department of Health or his or her authorized agent. For a copy of the most recent rescheduling of controlled substances, contact the Department of Health.

5-64-209. Criteria for Schedule IV.

The Secretary of the Department of Health shall place a substance in Schedule IV if he or she finds that:

  1. The substance has a low potential for abuse relative to substances in Schedule III;
  2. The substance has currently accepted medical use in treatment in the United States; and
  3. Abuse of the substance may lead to limited physical dependence or psychological dependence relative to the substances in Schedule III.

History. Acts 1971, No. 590, Art. 2, § 9; 1973, No. 186, § 1; 1979, No. 898, § 9; A.S.A. 1947, § 82-2610; Acts 2019, No. 910, § 4836.

Amendments. The 2019 amendment substituted “Secretary” for “Director” in the introductory language.

Case Notes

Cited: Curry v. State, 279 Ark. 153, 649 S.W.2d 833 (1983).

5-64-210. Substances in Schedule IV.

Schedule IV includes any material, compound, mixture, or preparation that contains any quantity of tramadol or that contains any of tramadol's salts, isomers, or salts of isomers.

History. Acts 2007, No. 558, § 1; No. 585, § 1.

Publisher's Notes. The Uniform Controlled Substance Act (U.L.A.), § 210, lists the controlled substances included in Schedule IV. Schedule IV was originally adopted in Arkansas but was subsequently repealed and is now governed by this section and administrative regulation. It is revised and republished annually by the Director of the Department of Health or his or her authorized agent. For a copy of the most recent rescheduling of controlled substances, contact the Department of Health.

5-64-211. Criteria for Schedule V.

The Secretary of the Department of Health shall place a substance in Schedule V if he or she finds that:

  1. The substance has low potential for abuse relative to the controlled substances listed in Schedule IV;
  2. The substance has currently accepted medical use in treatment in the United States; and
  3. The substance has limited physical dependence or psychological dependence liability relative to the controlled substances listed in Schedule IV.

History. Acts 1971, No. 590, Art. 2, § 11; 1973, No. 186, § 1; 1979, No. 898, § 11; A.S.A. 1947, § 82-2612; Acts 2019, No. 910, § 4837.

Amendments. The 2019 amendment substituted “Secretary” for “Director” in the introductory language.

Case Notes

Cited: Miller v. State, 253 Ark. 1060, 490 S.W.2d 445 (1973).

5-64-212. Substances in Schedule V.

  1. An ephedrine combination product, pseudoephedrine, and phenylpropanolamine, as defined in § 5-64-1105, are designated Schedule V controlled substances in addition to the drugs and other substances listed in Schedule V of the List of Controlled Substances for the State of Arkansas promulgated by the Secretary of the Department of Health.
  2. The Schedule V classification does not apply to:
    1. An exempt product described in § 5-64-1103(b)(1); or
    2. Any ephedrine or pseudoephedrine in liquid, liquid capsule, or liquid gel capsule form described in § 5-64-1103(b)(2).
  3. The secretary may reschedule a product described in subdivision (b)(1) or subdivision (b)(2) of this section if it is determined that the conversion of the active ingredient in the product into methamphetamine or its salts or precursors is feasible.
  4. A wholesale distributor with exclusive rights to distribute pseudoephedrine to only licensed pharmacies is exempt from Schedule V requirements for the storage and distribution of pseudoephedrine.

History. Acts 2005, No. 256, § 2; 2011, No. 588, § 1; 2019, No. 910, §§ 4838, 4839.

A.C.R.C. Notes. Acts 2005, No. 256, § 1, provided:

“The General Assembly of the State of Arkansas finds that:

“(1) Pseudoephedrine and ephedrine are known medicinal ingredients, with known scientific evidence of pharmacological effect, and have known currently accepted medical use in treatment in the United States;

“(2) The citizens of Arkansas are entitled to the maximum protection practicable from the harmful effects of methamphetamine abuse and the harmful effects of excessive and improper exposure to illicit clandestine laboratories for the manufacture of methamphetamine; and

“(3) The protection of the citizens of Arkansas will be increased by controlling specific precursor ingredients, ephedrine, pseudoephedrine, and phenylpropanolamine utilized to manufacture methamphetamine.”

Publisher's Notes. The Uniform Controlled Substance Act (U.L.A.), § 212, lists the controlled substances included in Schedule V. Schedule V was originally adopted in Arkansas but was subsequently repealed and is now governed by this section and administrative regulation. It is revised and republished annually by the Director of the Department of Health or his or her authorized agent. For a copy of the most recent rescheduling of controlled substances, contact the Department of Health.

Amendments. The 2011 amendment deleted (b)(3).

The 2019 amendment substituted “Secretary” for “Director” in (a); and substituted “secretary” for “director” in (c).

RESEARCH REFERENCES

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2005 Arkansas General Assembly, Criminal Law, 28 U. Ark. Little Rock L. Rev. 335.

5-64-213. Schedule VI established.

  1. There is established a Schedule VI for the classification of those substances that are determined to be inappropriately classified by placing them in Schedules I through V.
  2. Schedule VI includes a controlled substance listed or to be listed by whatever official name, common or usual name, chemical name, or trade name designated.

History. Acts 1971, No. 590, Art. 2, § 13, as added by Acts 1973, No. 186, § 1; A.S.A. 1947, § 82-2614.

Case Notes

Cited: Baughman v. State, 265 Ark. 869, 582 S.W.2d 4 (1979).

5-64-214. Criteria for Schedule VI.

The Secretary of the Department of Health shall place a substance in Schedule VI if he or she finds that:

  1. The substance is not currently accepted for medical use in treatment in the United States;
  2. There is lack of accepted safety for use of the drug or other substance even under direct medical supervision;
  3. The substance has relatively high psychological or physiological dependence liability, or both; and
  4. Use of the substance presents a definite risk to public health.

History. Acts 1971, No. 590, Art. 2, § 14, as added by Acts 1973, No. 186, § 1; 1979, No. 898, § 12; A.S.A. 1947, § 82-2614.1; Acts 2007, No. 827, § 56; 2019, No. 910, § 4840.

Amendments. The 2019 amendment substituted “Secretary” for “Director” in the introductory language.

Research References

U. Ark. Little Rock L. Rev.

Andrew Payne Norwood, Note: When Apples Taste Like Oranges, You Cannot Judge a Book by Its Cover: How to Fight Emerging Synthetic “Designer” Drugs of Abuse, 39 U. Ark. Little Rock L. Rev. 323 (2017).

5-64-215. Substances in Schedule VI.

  1. In addition to any substance placed in Schedule VI by the Secretary of the Department of Health under § 5-64-214, any material, compound, mixture, or preparation, whether produced directly or indirectly from a substance of vegetable origin or independently by means of chemical synthesis, or by a combination of extraction and chemical synthesis, that contains any quantity of the following substances, or that contains any of their salts, isomers, and salts of isomers when the existence of the salts, isomers, and salts of isomers is possible within the specific chemical designation, is included in Schedule VI:
    1. Marijuana;
    2. Tetrahydrocannabinols, unless the tetrahydrocannabinol is:
      1. Contained in hemp-derived cannabidiol;
      2. Not more than three-tenths of one percent (0.3%) of the hemp-derived cannabidiol on a dry weight basis as verified by a nationally accredited laboratory for quality, purity, and accuracy standards; and
      3. Not approved by the United States Food and Drug Administration for marketing as a medication;
    3. A synthetic equivalent of:
      1. The substance contained in the Cannabis plant; or
      2. The substance contained in the resinous extractives of the genus Cannabis;
    4. Salvia divinorum or Salvinorin A, which includes all parts of the plant presently classified botanically as Salvia divinorum, whether growing or not, the seeds of the plant, any extract from any part of the plant, and every compound, manufacture, derivative, mixture, or preparation of the plant, its seeds, or its extracts, including salts, isomers, and salts of isomers when the existence of the salts, isomers, and salts of isomers is possible within the specific chemical designation;
    5. Synthetic substances, derivatives, or their isomers in the chemical structural classes described below in subdivisions (a)(5)(A)-(J) of this section and also specific unclassified substances in subdivision (a)(5)(K) of this section. Compounds of the structures described in this subdivision (a)(5), regardless of numerical designation of atomic positions, are included in this subdivision (a)(5). The synthetic substances, derivatives, or their isomers included in this subdivision (a)(5) are:
        1. Tetrahydrocannabinols, including without limitation the following:
          1. Delta-1 cis or trans tetrahydrocannabinol, and its optical isomers;
          2. Delta-6 cis or trans tetrahydrocannabinol, and its optical isomers; and
          3. Delta-3.4 cis or trans tetrahydrocannabinol, and its optical isomers.
        2. Dronabinol in sesame oil and encapsulated in a soft gelatin capsule in a drug product approved by the United States Food and Drug Administration is not a tetrahydrocannabinol under this subdivision (a)(5)(A);
      1. Naphthoylindoles, or any compound structurally derived from 3-(1-naphthoyl)indole or 1H-indol-3-yl-(1-naphthyl)methane by substitution at the nitrogen atom of the indole ring by alkyl, haloalkyl, alkenyl, cycloalkylmethyl, cycloalkylethyl, 1-(N-methyl-2-piperidinyl)methyl or 2-(4-morpholinyl)ethyl group, whether or not further substituted in the indole ring to any extent and whether or not substituted in the naphthyl ring to any extent, including without limitation the following:
        1. JWH-007, or 1-pentyl-2-methyl-3-(1-naphthoyl)indole;
        2. JWH-015, or 1-Propyl-2-methyl-3-(1-naphthoyl)indole;
        3. JWH-018, or 1-Propyl-3-(1-naphthoyl)indole;
        4. JWH-019, or 1-Hexyl-3-(1-naphthoyl)indole;
        5. JWH-073, or 1-Butyl-3-(1-naphthoyl)indole;
        6. JWH-081, or 1-Pentyl-3-(4-methoxy-1-naphthoyl)indole;
        7. JWH-098, or 1-pentyl-2-methyl-3-(4-methoxy-1-naphthoyl)indole;
        8. JWH-122, or 1-Pentyl-3-(4-methyl-1-naphthoyl)indole;
        9. JWH-164, or 1-pentyl-3-(7-methoxy-1-naphthoyl)indole;
        10. JWH-200, or 1-[2-(4-morpholinyl)ethyl]-3-(1-naphthoyl)indole;
        11. JWH-210, or 1-Pentyl-3-(4-ethyl-1-naphthoyl)indole;
        12. JWH-398, or 1-Pentyl-3-(4-chloro-1-naphthoyl)indole;
        13. AM-2201, or 1-(5-fluoropentyl)-3-(1-naphthoyl)indole;
        14. MAM2201, or (1-(5-fluoropentyl)-1H-indol-3-yl)(4-methyl-1-naphthalenyl)-methanone; and
        15. EAM2201, or (1-(5-fluoropentyl)-1H-indol-3-yl)(4-ethyl-1-naphthalenyl)-methanone;
      2. Naphthylmethylindoles, or any compound structurally derived from an H-indol-3-yl-(1-naphthyl) methane by substitution at the nitrogen atom of the indole ring by alkyl, haloalkyl, alkenyl, cycloalkylmethyl, cycloalkylethyl, 1-(N-methyl-2-piperidinyl)methyl or 2-(4-morpholinyl)ethyl group, whether or not further substituted in the indole ring to any extent and whether or not substituted in the naphthyl ring to any extent, including without limitation the following:
        1. JWH-175, or 1-Pentyl-1H-indol-3-yl-(1-naphthyl)methane; and
        2. JWH-184, or 1-Pentyl-1H-3-yl-(4-methyl-1-naphthyl)methane;
      3. Naphthoylpyrroles, or any compound structurally derived from 3-(1-naphthoyl)pyrrole by substitution at the nitrogen atom of the pyrrole ring by alkyl, haloalkyl, alkenyl, cycloalkylmethyl, cycloalkylethyl, 1-(N-methyl-2-piperidinyl)methyl, or 2-(4-morpholinyl)ethyl group, whether or not further substituted in the pyrrole ring to any extent and whether or not substituted in the naphthyl ring to any extent, including without limitation JWH-307, or (5-(2-fluorophenyl)-1-pentylpyrrol-3-yl)-naphthalen-1-ylmethanone;
      4. Naphthylmethylindenes, or any compound structurally derived from 1-(1-napthylmethyl)indene with substitution at the 3-position of the indene ring by an alkyl, haloalkyl, alkenyl, cycloalkylmethyl, cycloalkylethyl, 1-(N-methyl-2-piperidinyl)methyl, or 2-(4-morpholinyl)ethyl group, whether or not further substituted in the indene ring to any extent and whether or not substituted in the naphthyl ring to any extent, including without limitation JWH-176, or E-1-[1-(1-Naphthalenylmethylene)-1H-inden-3-yl]pentane;
      5. Phenylacetylindoles, or any compound structurally derived from 3-phenylacetylindole by substitution at the nitrogen atom of the indole ring with alkyl, haloalkyl, alkenyl, cycloalkylmethyl, cycloalkylethyl, 1-(N-methyl-2-piperidinyl)methyl or 2-(4-morpholinyl)ethyl group, whether or not further substituted in the indole ring to any extent and whether or not substituted in the phenyl ring to any extent, including without limitation the following:
        1. JWH-201, or 2-(4-methoxyphenyl)-1-(1-pentylindol-3-yl)ethanone;
        2. JWH-203, or 1-Pentyl-3-(2-chlorophenylacetyl)indole;
        3. JWH-250, or 1-Pentyl-3-(2-methoxyphenylacetyl)indole;
        4. JWH-251, or 1-Pentyl-3-(2-methylphenylacetyl)indole; and
        5. RCS-8, or 1-(2-cyclohexylethyl)-3-(2-methoxyphenylacetyl)indole;
      6. Cyclohexylphenols, or any compound structurally derived from 2-(3-hydroxycyclohexyl)phenol by substitution at the 5-position of the phenolic ring by alkyl, haloalkyl, alkenyl, cycloalkylmethyl, cycloalkylethyl, 1-(N-methyl-2-piperidinyl)methyl, or 2-(4-morpholinyl)ethyl group, whether or not substituted in the cyclohexyl ring to any extent, including without limitation the following:
        1. CP 47,497 5-(1,1-dimethylheptyl)-2-[(1R,3S)-3-hydroxycyclohexyl]-phenol;
        2. Cannabicyclohexanol or CP 47,497 C8 homologue, or 5-(1,1-dimethyloctyl)-2-[(1R,3S)-3-hydroxycyclohexyl]-phenol; and
        3. CP 55,940, or 5-(1,1-dimethylheptyl)-2-[(1R,2R)-5-hydroxy-2-(3-hydroxypropyl)cyclohexyl]-phenol;
      7. Benzoylindoles, or any compound structurally derived from a 3-(benzoyl)indole structure with substitution at the nitrogen atom of the indole ring by alkyl, haloalkyl, alkenyl, cycloalkylmethyl, cycloalkylethyl, 1-(N-methyl-2-piperidinyl)methyl or 2-(4-morpholinyl)ethyl group, whether or not further substituted in the indole ring to any extent and whether or not substituted in the phenyl ring to any extent, including without limitation the following:
        1. AM-694, or 1-(5-fluoropentyl)-3-(2-iodobenzoyl)indole;
        2. RCS-4, or 1-Pentyl-3-(4-methoxybenzoyl)indole;
        3. WIN-48,098 or Pravadoline, or (4-Methoxyphenyl)-[2-methyl-1-(2-(4-morpholinyl)ethyl)indol-3-y]methanone;
        4. AM-2233, or 1-[(N-methylpiperidin-2-yl)methyl]-3-(2-iodobenzoyl)indole; and
        5. RCS-4 (C4 homologue) or (4-methoxyphenyl)(1-butyl-1H-indol-3-yl)-methanone;
      8. Adamantoylindoles, or Adamantoylindazoles, including Adamantyl Carboxamide Indoles and Adamantyl Carboxamide Indazoles, or any compound structurally derived from 3-(1-adamantoyl) indole, 3-(1-adamantoyl) indazole, or 3-(2-adamantoyl)indole by substitution at a nitrogen atom of the indole or indazole ring with alkyl, haloalkyl, alkenyl, cyanoalkyl, hydroxyalkyl, cycloalkylmethyl, cycloalkylethyl, 1-(N-methyl-2-piperidinyl)methyl or 2-(4-morpholinyl) ethyl, whether or not further substituted in the indole or indazole ring to any extent and whether or not substituted in the adamantyl ring to any extent, including without limitation the following:
        1. AM-1248, or 1-adamantyl-[1-[(1-methylpiperidin-2-yl)methyl]indol-3-yl]methanone;
        2. AB-001, or 1-adamantyl-(1-pentylindol-3-yl)methanone;
        3. 2NE1, or 1-pentyl-3-(1-adamantylamido)indole;
        4. JWH-018 adamantyl carboxamide, or 1-pentyl-N-tricyclo[3.3.1.13,7]dec-1-yl-1H-indole-3-carboxamide;
        5. AKB-48, or N-(1-adamantyl)-pentyl-1H-indazole-3-carboxamide;
        6. 5F-AKB-48, or N-((3s,5s,7s)-adamantan-1-yl)-1-(5-fluoropentyl)-1H-indazole-3-carboxamide; and
        7. STS-135, or N-(1-adamantyl)-1-(5-fluoropentyl)indole-3-carboxamide;
      9. Tetramethylcyclopropylcarbonylindoles or any compound structurally derived from 3-(2,2,3,3-tetramethylcyclopropylcarbonyl) indole by substitution at the nitrogen atom of the indole ring with alkyl, haloalkyl, alkenyl, cyanoalkyl, hydroxyalkyl, cycloalkylmethyl, cycloalkylethyl, (N-methylpiperidin-2-yl)methyl or 2-(4-morpholinyl) ethyl, whether or not further substituted in the indole ring to any extent, including without limitation the following:
        1. UR-144, or (1-pentylindol-3-yl)-(2,2,3,3-tetramethylcyclopropyl)methanone;
        2. XLR-11, or [1-(5-fluoropentyl)-1H-indol-3-yl]-(2,2,3,3-tetramethylcyclopropyl)methanone;
        3. A-796,260, or [1-(2-morpholin-4-yl-ethyl)-1H-indol-3-yl]-(2,2,3,3-tetramethylcyclopropyl)methanone;
        4. 5-Chloro-UR-144, or ([-(5-chloropentyl)-1H-indol-3-yl](2,2,3,3-tetramethylcyclopropyl)methanone;
        5. 5-Bromo-UR-144, or [1-(5-bromopentyl)-1H-indol-3-yl](2,2,3,3-tetramethylcyclopropyl)methanone; and
        6. A-834,735, or 1-(tetrahydropyran-4-ylmethyl)-1H-indol-3-yl]-(2,2,3,3-tetramethylcyclopropyl)methanone; or
      10. Unclassified Synthetic Cannabinoids, including without limitation the following:
        1. CP 50556-1 hydrochloride, or [(6S,6aR,9R,10aR)-9-hydroxy-6-methyl-3-[(2R)-5-phenylpentan-2-yl]oxy-5,6,6a,7,8,9,10,10a-octahydrophenanthridin-1-yl] acetate;
        2. HU-210, or (6aR,10aR)-9-(hydroxymethyl)-6,6-dimethyl-3-(2-methyloctan-2-yl)-6a,7,10,10a-tetrahydrobenzo[c]chromen-1-ol;
        3. HU-211, or Dexanabinol,(6aS,10aS)-9-(hydroxymethyl)-6,6-dimethyl-3-(2-methyloctan-2-yl)-6a,7,10,10a-tetrahydrobenzo[c]chromen-1-ol;
        4. Dimethylheptylpyran or DMHP;
        5. WIN55,212-2, or 2,3-Dihydro-5-methyl-3-(4-morpholinylmethyl)pyrrolo[1,2,3-de]-1,4-benzoxazin-6-yl-1-naphthalenylmethanone;
        6. URB597, or [3-(3-carbamoylphenyl)phenyl] N-cyclohexylcarbamate;
        7. URB754, or 6-methyl-2-[(4-methylphenyl)amino]-1-benzoxazin-4-one;
        8. AKB-48, or N-(1-adamantyl)-1-pentylindazole-3-carboxamide;
        9. CB-13, or 1-naphthalenyl[4-(pentyloxy)-1-naphthalenyl]-methanone;
        10. URB602, or cyclohexyl N-(3-phenylphenyl)carbamate;
        11. PB-22, or quinolin-8-yl 1-(5-pentyl)-1H-indole-3-carboxylate;
        12. 5F-PB-22, or quinolin-8-yl 1-(5-fluoropentyl)-1H-indole-3-carboxylate;
        13. BB-22, or quinolin-8-yl 1-(cyclohexylmethyl)-1H-indole-3-carboxylate;
        14. NNEI (MN-24), or N-1-naphthalenyl-1-pentyl-1H-indole-3-carboxamide; and
        15. 5F-NNEI, or 1-(5-fluoropentyl)-N-(naphthalen-1-yl)-1H-indole-3-carboxamide; or
    6. A synthetic substance, derivative, or its isomers with:
      1. Similar chemical structure to any substance described in subdivisions (a)(1)-(5) of this section; or
      2. Similar pharmacological effects to any substance described in subdivisions (a)(1)-(5) of this section.
  2. However, the secretary shall not delete a controlled substance listed in this section from Schedule VI.

History. Acts 1971, No. 590, Art. 2, § 15, as added by Acts 1973, No. 186, § 1; 1979, No. 898, § 22; A.S.A. 1947, § 82-2614.2; Acts 1999, No. 1534, § 1; 2001, No. 320, § 3; 2007, No. 827, § 57; 2011, No. 751, § 2; 2013, No. 329, § 1; 2019, No. 504, § 2; 2019, No. 910, §§ 4841, 4842.

A.C.R.C. Notes. Acts 1987, No. 52, § 1, provided that dronabinol is a schedule II drug instead of a schedule VI drug when it is in sesame oil and encapsulated in a soft gelatin capsule in a drug product approved by the U.S. Food and Drug Administration for medical treatment.

Acts 2001, No. 320, § 1, provided:

“(a) Gamma-hydroxybutyrate (‘GHB’) was not scheduled as a controlled substance by the Federal Drug Enforcement Administration or by the Director of the Arkansas Department of Health prior to 1999. Concerned about the potential for the substance's abuse, the Eighty-second General Assembly designated GHB as a Schedule VI controlled substance.

“(b) Subsequently, the Drug Enforcement Administration classified GHB as a Schedule I. In addition, the final rule of the Drug Enforcement Administration places Food and Drug Administration approved products containing GHB into Schedule III, if or when they are approved.

“(c) Since the legislature classified GHB as a schedule VI substance, the Director was precluded from scheduling GHB in a manner consistent with the scheduling designated by the Drug Enforcement Administration. As a result, criminal sanctions for the possession with the intent to deliver GHB are not as severe as other substances possessing similar harmful and abusive characteristics.

“(d) It is the purpose of this act to allow the director to adopt the Drug Enforcement Administration's scheduling of GHB pursuant to Arkansas Code 5-64-201.”

Amendments. The 2001 amendment deleted former (b) and (d) and redesignated the remaining subsections accordingly.

The 2011 amendment added “In addition to any substance placed in Schedule VI by the Director of the Department of Health under § 5-64-214” in the introductory language of (a); subdivided (a)(3) as (a)(3) and (6); inserted (a)(4) and (5); and inserted “to any substance described in subdivisions (a)(1)-(4) of this section” in (a)(6)(A) and (B).

The 2013 amendment deleted former (a)(4); redesignated former (a)(5) as (a)(4); added present (a)(5); rewrote (a)(6); and substituted “director” for “Director of the Department of Health” in (b).

The 2019 amendment by No. 504, in (a)(2), added “unless the tetrahydrocannabinol is” in the introductory language and added (A) through (C).

The 2019 amendment by No. 910 substituted “Secretary” for “Director” in the introductory language of (a); and substituted “secretary” for “director” in (b).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Andrew Payne Norwood, Note: When Apples Taste Like Oranges, You Cannot Judge a Book by Its Cover: How to Fight Emerging Synthetic “Designer” Drugs of Abuse, 39 U. Ark. Little Rock L. Rev. 323 (2017).

Case Notes

Marijuana.

Although his drug test indicated he had used methamphetamine and marijuana, defendant only admitted to marijuana use at the supervised release revocation hearing and the government did not attempt to prove defendant possessed methamphetamine. Defendant's admission would only have qualified as a misdemeanor, which was a Grade C violation under U.S. Sentencing Guidelines Manual § 7B1.1(a)(3). Thus, the district court's consideration of the improper evidence of other pending state charges was not harmless error as defendant's sentence would not have been the same. United States v. Johnson, 710 F.3d 784 (8th Cir. 2013).

Cited: Hock v. State, 259 Ark. 67, 531 S.W.2d 701 (1976); White v. State, 260 Ark. 361, 538 S.W.2d 550 (1976); Gatlin v. State, 262 Ark. 485, 559 S.W.2d 12 (1977); United States v. Heater, 689 F.2d 783 (8th Cir. 1982); Anable v. Ford, 653 F. Supp. 22 (W.D. Ark. 1985).

5-64-216. Schedule revisions.

The Secretary of the Department of Health shall revise and republish the schedules annually.

History. Acts 1971, No. 590, Art. 2, § 16, as added by Acts 1973, No. 186, § 1; 1979, No. 898, § 13; A.S.A. 1947, § 82-2614.3; Acts 2019, No. 910, § 4843.

Amendments. The 2019 amendment substituted “Secretary” for “Director”.

Research References

U. Ark. Little Rock L.J.

Legislation of the 1983 General Assembly, Criminal Law, 6 U. Ark. Little Rock L.J. 613.

Case Notes

Failure to Revise.

The commissioner's (now director's) failure to revise and republish the schedules of controlled substances, at least where no allegation of the lack of actual notice was made, could not be used as a defense to a criminal prosecution under a part of the act as passed by the General Assembly. Bushong v. State, 267 Ark. 113, 589 S.W.2d 559 (1979), cert. denied, 446 U.S. 938, 100 S. Ct. 2157, 64 L. Ed. 2d 791 (1980).

Cited: Johnson v. State, 6 Ark. App. 78, 638 S.W.2d 686 (1982); Curry v. State, 279 Ark. 153, 649 S.W.2d 833 (1983); Briggs v. State, 18 Ark. App. 292, 715 S.W.2d 223 (1986).

Subchapter 3 — Uniform Controlled Substances Act — Regulation of Distribution

Publisher's Notes. Schedules I through VI referred to in this subchapter are partly codified and partly governed by administrative regulation. The Director of the Department of Health or his or her authorized agent revises and republishes the schedules annually. For a copy of the most recent rescheduling of controlled substances, contact the Department of Health.

Effective Dates. Acts 2019, No. 447, § 2. Contingent effective date clause provided: “This act is effective on and after the later of: (1) January 1, 2021; or (2) The certification by the Attorney General that the United States Department of Health and Human Services requires mandatory electronic prescribing”.

Case Notes

Cited: Hales v. State, 299 Ark. 93, 771 S.W.2d 285 (1989).

5-64-301 — 5-64-304. [Reserved.]

Publisher's Notes. Sections 301-304 of the Uniform Controlled Substances Act (U.L.A.) were not adopted in Arkansas. Those sections related to registration of persons who manufacture, distribute, or dispense controlled substances within the state.

5-64-305. Powers of Arkansas State Board of Pharmacy — Sale of nonnarcotic drugs.

    1. Nothing contained in this chapter shall affect the licensing or regulation of pharmacists or pharmacies in this state by the Arkansas State Board of Pharmacy.
    2. The board may also inventory and destroy any outdated or unwanted controlled substance at the request of a licensee of the board with proper record of the destruction provided to appropriate agencies.
    3. The board is given primary but not exclusive jurisdiction in the enforcement application of this chapter to the board's licensees.
  1. Nothing in this chapter is deemed to prohibit the sale of a nonnarcotic proprietary drug if the nonnarcotic proprietary drug, under the Federal Food, Drug, and Cosmetic Act, 21 U.S.C. § 301 et seq., or the Food, Drug, and Cosmetic Act, § 20-56-201 et seq., may be lawfully sold over the counter without a prescription.

History. Acts 2005, No. 1994, § 304[A].

Publisher's Notes. As enacted, Acts 2005, No. 1994, contained two sections designated as § 304. The two sections were subsequently designated § 304[A] and § 304[B].

5-64-306. Offenses relating to records.

It is unlawful for any person to refuse or fail to make, keep, or furnish any record, notification, order form, statement, invoice, or information required under this chapter.

History. Acts 2005, No. 1994, § 304[B].

Publisher's Notes. As enacted, Acts 2005, No. 1994, contained two sections designated as § 304. The two sections were subsequently designated § 304[A] and § 304[B].

5-64-307. Order forms.

  1. A controlled substance in Schedule I or Schedule II shall be distributed by a practitioner to another practitioner only pursuant to an order form.
  2. Compliance with the provisions of federal law respecting an order form is deemed compliance with this section.

History. Acts 1971, No. 590, Art. 3, § 1; A.S.A. 1947, § 82-2615.

5-64-308. Prescriptions. [Effective until contingent effective date as stated in Acts 2019, No. 447, § 2]

  1. Except when dispensed directly by a practitioner, other than a pharmacy, to an ultimate user, no controlled substance in Schedule II may be dispensed without the written prescription of a practitioner or the oral, faxed, or electronic prescription of a practitioner, if issued in compliance with federal law and regulations.
    1. Except when dispensed directly by a practitioner, other than a pharmacy, to an ultimate user, a controlled substance included in Schedule III or Schedule IV that is a prescription drug shall not be dispensed without a written or oral prescription of a practitioner or the faxed or electronic prescription of a practitioner, if issued in compliance with federal law and regulations.
    2. The prescription shall not be filled or refilled more than six (6) months after the date of the prescription or be refilled more than five (5) times unless renewed by the practitioner.
  2. A controlled substance included in Schedule V shall not be distributed or dispensed other than for a medical purpose.

History. Acts 1971, No. 590, Art. 3, § 2; A.S.A. 1947, § 82-2616; Acts 2013, No. 1331, § 1.

Amendments. The 2013 amendment deleted “Written” from the section heading; added “or the oral, faxed, or electronic prescription of a practitioner, if issued in compliance with federal law and regulations” to the end of (a); rewrote (b)(1) and (2); deleted (b)(3) and former (c); and redesignated former (d) as present (c).

Case Notes

Forfeiture.

In a case concerning the forfeiture of two vehicles, although one owner legally obtained controlled substances, his sale of them thereafter constituted a violation of the law prohibiting the dispensing of controlled substances without a written prescription. King v. State, 2014 Ark. App. 554, 447 S.W.3d 126 (2014).

Cited: Hales v. State, 299 Ark. 93, 771 S.W.2d 285 (1989).

5-64-308. Prescriptions — Mandatory electronic prescribing. [Effective on contingent effective date as stated in Acts 2019, No. 447, § 2]

  1. A prescription for a controlled substance included in Schedule III or Schedule IV shall not be filled or refilled more than six (6) months after the date of the prescription or be refilled more than five (5) times unless renewed by the practitioner.
  2. A controlled substance included in Schedule V shall not be distributed or dispensed other than for a medical purpose.
  3. Except as provided in subsection (d) of this section, a practitioner shall not issue a prescription for a controlled substance included in Schedule II through Schedule VI unless the prescription is made by electronic prescription from the practitioner issuing the prescription to a pharmacy.
  4. A practitioner may issue a prescription for a controlled substance included in Schedule II through Schedule VI by written, oral, or faxed method if issued:
    1. By:
      1. A veterinarian; or
      2. A practitioner:
        1. To be dispensed by a pharmacy located outside of the state;
        2. For a controlled substance for which the United States Food and Drug Administration requires the prescription to contain certain elements that are not captured through electronic prescribing methods;
        3. For the dispensing of a nonpatient-specific prescription under a standing order, approved protocol for drug therapy, collaborative drug management or comprehensive medication management, or in response to a public health emergency or other circumstances in which the practitioner may issue a nonpatient-specific prescription;
        4. For a controlled substance under a research protocol;
          1. Who has received a waiver or a renewal of a waiver for a specified time period from the electronic prescription requirement due to economic hardship, technological limitations that are not reasonably within the control of the practitioner, or other exceptional circumstances demonstrated by the practitioner.
          2. A practitioner who has received a waiver from the United States Department of Health and Human Services shall have a valid waiver in this state; or
        5. Under circumstances in which the practitioner reasonably determines that obtaining the controlled substances in a timely manner is impractical through electronic prescription and the delay would adversely impact the medical condition of the patient;
    2. In circumstances in which electronic prescribing is not available due to temporary technological or electrical failure; or
    3. When the practitioner and the dispenser are the same entity.
    1. A pharmacist or pharmacy that receives a written, oral, or faxed prescription for a controlled substance included in Schedule I through Schedule VI is not required to verify that the prescription properly falls under one (1) of the exceptions listed in subsection (d) of this section.
    2. A pharmacist may continue to dispense a controlled substance from an otherwise valid written, oral, or faxed prescription that is consistent with state law or rules or federal law and regulations.
  5. In addition to other penalties available under this chapter, a licensing board of a practitioner may impose a civil penalty of two hundred fifty dollars ($250) per violation of this section.
  6. This section does not apply to prescriptions written by a prescriber employed by or working under a professional services contract for the Division of Correction or the Division of Community Correction.

History. Acts 1971, No. 590, Art. 3, § 2; A.S.A. 1947, § 82-2616; Acts 2013, No. 1331, § 1; 2019, No. 447, § 1.

Amendments. The 2013 amendment deleted “Written” from the section heading; added “or the oral, faxed, or electronic prescription of a practitioner, if issued in compliance with federal law and regulations” to the end of (a); rewrote (b)(1) and (2); deleted (b)(3) and former (c); and redesignated former (d) as present (c).

Effective Dates. Acts 2019, No. 447, § 2. Contingent effective date clause provided: “This act is effective on and after the later of: (1) January 1, 2021; or (2) The certification by the Attorney General that the United States Department of Health and Human Services requires mandatory electronic prescribing”.For text of section effective until the contingency is met, see the bound volume.

Case Notes

Forfeiture.

In a case concerning the forfeiture of two vehicles, although one owner legally obtained controlled substances, his sale of them thereafter constituted a violation of the law prohibiting the dispensing of controlled substances without a written prescription. King v. State, 2014 Ark. App. 554, 447 S.W.3d 126 (2014).

Cited: Hales v. State, 299 Ark. 93, 771 S.W.2d 285 (1989).

Subchapter 4 — Uniform Controlled Substances Act — Prohibitions and Penalties

Publisher's Notes. Schedules I through VI referred to in this subchapter are partly codified and partly governed by administrative regulation. The Director of the Department of Health or his or her authorized agent revises and republishes the schedules annually. For a copy of the most recent rescheduling of controlled substances, contact the Department of Health.

For Comments regarding the Uniform Controlled Substances Act, see Commentaries Volume B.

Cross References. Simultaneous possession of drugs and firearms, § 5-74-106.

Effective Dates. Acts 1972 (1st Ex. Sess.), No. 67, § 9: Mar. 6, 1972. Emergency clause provided: “It is hereby found and determined by the General Assembly that there is considerable confusion regarding the application and effect of Act 590 of 1971; that the penalties prescribed in Act 590 are in need of clarification; that the problem of drug abuse in this State is increasing at an alarming rate and that additional provisions are needed to assist in the enforcement of the provisions of Act 590; and that this Act is immediately necessary to provide such clarification and enforcement procedures for the protection of the public health and safety and therefore should be given effect immediately. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1975 (Extended Sess., 1976), No. 1225, § 2: Feb. 12, 1976. Emergency clause provided: “It is hereby found and determined by the General Assembly that there is considerable confusion regarding the application and effect of Act 590 of 1971 upon the manufacture, distribution, and dispensing of controlled substances and the penalty therefor; that existing provisions require deletion for clarification and for assistance in enforcement of the provisions of Act 590; and that this Act is immediately necessary to provide such clarification and enforcement procedures for the protection of the public health and safety and, therefore, should be given effect immediately. Therefore, an emergency is hereby declared to exist and this Act being necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1981, No. 78, § 7: became law without Governor's signature, Feb. 15, 1981. Emergency clause provided: “It is hereby found and determined by the General Assembly that there is an increasing problem of drug abuse in the State of Arkansas and that in order to protect the public health and safety immediate steps must be taken to enact a comprehensive Drug Paraphernalia Act and the immediate passage of this Act is necessary to accomplish this purpose; therefore, an emergency is hereby declared to exist and this Act being necessary for the preservation of the public peace, health and safety shall be in full force from and after its passage and approval.”

Acts 1981, No. 117, § 3: Feb. 19, 1981. Emergency clause provided: “It is hereby found and determined by the General Assembly that theft of a controlled substance from a controlled premises should be included within the criminal penalties section of the Controlled Substances Act, and that this Act is immediately necessary to accomplish the same and thereby provide for the more effective and efficient enforcement of the Controlled Substances Act. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1983, No. 787, § 10: Mar. 24, 1983. Emergency clause provided: “It is hereby found and determined by the General Assembly that there is an increasing problem of counterfeit substances in the State of Arkansas and that in order to protect the public health and safety, immediate steps must be taken to establish a system of punishment for those possessing or distributing such substances. Therefore, an emergency is hereby declared to exist and this Act being necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after the date of its passage and approval.”

Acts 1987, No. 1013, § 3: Apr. 14, 1987. Emergency clause provided: “It is hereby found and determined by the General Assembly that because of the case Ricarte v. State, CR 86-31, a question has arisen over the validity of Act 1225 of the Extended Session of 1976; that this Act is a reenactment of the former law; and that the immediate passage of this Act is necessary to clarify the state of the law on this issue. Therefore, an emergency is hereby declared to exist, and this Act being necessary for the immediate preservation of the public peace, health and safety, shall be in full force and effect from and after its passage and approval.”

Acts 1999, No. 1268, § 11: Apr. 9, 1999. Emergency clause provided: “It is found and determined by the General Assembly that the illegal use of the drug methamphetamine has become a serious problem in this State; that, because the drug is relatively easy to make, many illegal methamphetamine labs are operating in the state; that this act increases penalties for drug paraphernalia used to manufacture methamphetamine; and that this act is immediately necessary to combat illegal drug production and use in this state. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health and safety shall become effective on the date of its approval by the Governor. If the bill is neither approved nor vetoed by the Governor, it shall become effective on the expiration of the period of time during which the Governor may veto the bill. If the bill is vetoed by the Governor and the veto is overridden, it shall become effective on the date the last house overrides the veto.”

Acts 2013, No. 1460, § 17: effective on and after January 1, 2014.

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

Research References

ALR.

Construction and Application of § 212(a)(2)(A)(i)(II) of the Immigration and Nationality Act (8 U.S.C. § 1182(a)(2)(A)(i)(II)), and Predecessor Provision, Rendering Inadmissible Any Alien Convicted of, or Who Admits to, Violating Federal, State, or Foreign Laws Relating to Controlled Substances. 93 A.L.R. Fed. 2d 1 (2015).

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Law, 1 U. Ark. Little Rock L.J. 153.

Barrier, Render Unto Caesar: An Essay on Private Morals and Public Law, 4 U. Ark. Little Rock L.J. 511.

Case Notes

Cited: Barrington v. Norris, 49 F.3d 440 (8th Cir. 1995); Warren v. State, 59 Ark. App. 155, 954 S.W.2d 298 (1997); Bragg v. State, 328 Ark. 613, 946 S.W.2d 654 (1997); Bradford v. State, 328 Ark. 701, 947 S.W.2d 1 (1997); McGhee v. State, 330 Ark. 38, 954 S.W.2d 206 (1997); Burris v. State, 330 Ark. 66, 954 S.W.2d 209 (1997).

5-64-401. [Repealed.]

Publisher's Notes. This section, concerning criminal penalties, was repealed by Acts 2011, No. 570, § 33. The section was derived from Acts 1971, No. 590, Art. 4, § 1; 1972 (1st Ex. Sess.), No. 67, § 1; 1972 (1st Ex. Sess.), No. 68, § 1; 1973, No. 186, §§ 2, 3; 1975, No. 305, § 2; 1977, No. 557, § 1; 1983, No. 306, § 1; 1983, No. 417, § 1; 1983, No. 787, §§ 3-5; 1985, No. 165, § 1; 1985, No. 472, § 1; 1985, No. 512, § 1; 1985, No. 669, § 1; A.S.A. 1947, § 82-2617; Acts 1989 (3rd Ex. Sess.), No. 82, §§ 1, 2; 1994 (2nd Ex. Sess.), No. 10, § 1; 1994 (2nd Ex. Sess.), No. 46, § 1; 1997, No. 1142, § 1; 1999, No. 1268, § 2; 2001, No. 753, § 1; 2003, No. 1336, § 2; 2005, No. 1994, § 305[A]; 2007, No. 547, § 1; 2007, No. 827, § 58; 2009, No. 572, § 1; 2009, No. 673, § 1; 2009, No. 748, § 26.

5-64-402. Controlled substances — Offenses relating to records, maintaining premises, etc.

  1. It is unlawful for any person:
    1. To refuse an entry into any premises for any inspection authorized by this chapter; or
    2. Knowingly to keep or maintain any store, shop, warehouse, dwelling, building, or other structure or place or premise that is resorted to by a person for the purpose of using or obtaining a controlled substance in violation of this chapter or that is used for keeping a controlled substance in violation of this chapter.
    1. Any person who violates this section is guilty of a Class C felony.
    2. However, a violation of this section is a Class B felony if the violation is committed on or within one thousand feet (1,000') of the real property of a certified drug-free zone.
  2. As used in this section:
    1. “Certified drug-free zone” means:
      1. A city or state park;
      2. A public or private elementary or secondary school, public vocational school, or public or private college or university;
      3. A designated school bus stop as identified on the route list published by a public school district annually;
      4. A publically funded and administered multifamily housing development;
      5. A skating rink, Boys and Girls Club, YMCA, YWCA, community center, recreation center, or video arcade;
      6. A drug or alcohol treatment facility;
      7. A day care center;
      8. A church; or
      9. A shelter as defined in § 9-4-102; and
    2. “Recreation center” means a public place consisting of various types of entertainment including without limitation:
      1. Billiards or pool;
      2. Ping pong or table tennis;
      3. Bowling;
      4. Video games;
      5. Pinball machines; or
      6. Any other similar type of entertainment.

History. Acts 1971, No. 590, Art. 4, § 2; 1975 (Extended Sess., 1976), No. 1225, § 1; 1977, No. 557, § 2; A.S.A. 1947, § 82-2618; reen. Acts 1987, No. 1013, § 1; 1993, No. 1189, § 6; 2005, No. 1994, § 305[A]; 2007, No. 827, § 59; 2011, No. 570, § 34.

A.C.R.C. Notes. This section was reenacted by Acts 1987, No. 1013, § 1. Acts 1987, No. 834, provided that 1987 legislation reenacting acts passed in the 1976 Extended Session should not repeal any other 1987 legislation and that such other legislation would be controlling in the event of conflict.

Acts 1993, No. 1189, § 1, provided:

“(a) The General Assembly of the State of Arkansas finds that the State of Arkansas is experiencing an increase in violent crime committed by school age juveniles and the growth of street gangs made up largely of school age juveniles. The General Assembly of the State of Arkansas further finds that the number of school related crimes is increasing.

“(b) It is the intent of the General Assembly of the State of Arkansas to insure the safest possible learning environment for our students, teachers and other school employees.”

Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Publisher's Notes. As enacted, Acts 2005, No. 1994, contained two sections designated as § 305. The two sections were subsequently designated § 305[A] and § 305[B].

Amendments. The 2011 amendment rewrote the introductory paragraph of (c); inserted present (c)(1) and redesignated former (c)(1) through (5) as (c)(1)(A) through (E); added (c)(1)(F) through (I); and added (c)(2).

Case Notes

Evidence.

Evidence was sufficient to support conviction for operating a drug premises. Ramey v. State, 42 Ark. App. 242, 857 S.W.2d 828 (1993).

There was insufficient evidence to support a finding of constructive possession where there were no drugs found in plain view, in the common areas of the house, or in the bedroom occupied by defendant, and there were no statements by defendant or by anyone else suggesting that defendant knew that drugs were kept in the house, used there, or sold there. Franklin v. State, 60 Ark. App. 198, 962 S.W.2d 370 (1998).

Given that defendant owned the premises, that drugs and paraphernalia were found in common areas throughout the residence, and that methamphetamine and paraphernalia were found in his pocket, there was sufficient evidence whereby a jury could convict defendant of maintaining a drug premises. Lueken v. State, 88 Ark. App. 323, 198 S.W.3d 547 (2004).

Evidence was sufficient to support defendant's conviction of maintaining a drug premises because it was undisputed that defendant owned the home where the methamphetamine lab was located and because defendant admitted to police officers that the methamphetamine lab was his. Cantrell v. State, 2009 Ark. 456, 343 S.W.3d 591 (2009).

Based upon the evidence, the circuit court's denial of defendant's directed-verdict motion on the offense of maintaining a drug premise was proper. Holt v. State, 2009 Ark. 482, 348 S.W.3d 562 (2009).

Defendant was properly found guilty of maintaining a drug premises, pursuant to subdivision (a)(2) of this section, because there was substantial evidence that defendant, who continued to live at the residence at the time of the search, was in constructive possession of the contraband found in the search, and an informant testified that he made three controlled drug buys from defendant at the residence. Turner v. State, 2009 Ark. App. 822 (2009).

Evidence was sufficient to convict defendant of maintaining a drug premises given that an acknowledged crack house was rented to him, a confidential informant testified that he purchased drugs from defendant a day earlier, the serial numbers of money found on defendant matched the money used in the controlled buy, and drugs and paraphernalia were in plain view throughout the home. Carter v. State, 2010 Ark. 293, 367 S.W.3d 544 (2010).

There was sufficient evidence to establish that defendant was in constructive possession of a drug premises under this section, as the state presented evidence that a house was leased to a co-defendant in the name of defendant's sister and that defendant sold controlled substances out of the house and allowed others to use controlled substances there. Loggins v. State, 2010 Ark. 414, 372 S.W.3d 785 (2010).

Substantial evidence supported defendant's conviction for maintaining a drug premises in violation of this section because at the very least, there was sufficient evidence to show that defendant knew drugs were being sold from the residence where he lived and that he allowed it to occur; defendant informed a police officer that he would not find any drugs at the house, and that was supported by the allegations that defendant had been selling off-white substances in plastic baggies that field-tested positive for cocaine from the house in the days leading up to the search of the residence, as well as the fact that baggies with off-white residue were found in the master bedroom and hall closet during the search of the residence. Moseby v. State, 2010 Ark. App. 5 (2010).

Trial court did not err in convicting defendant of maintaining a drug premise because although the evidence was in conflict as to whether defendant kept or maintained the premise, it was the jury's duty to resolve such a conflict; it was apparent that the jury did not believe defendant's explanation or his wife's testimony. Singleton v. State, 2011 Ark. App. 145, 381 S.W.3d 874 (2011).

Because defendant was present in a room adjacent to a kitchen where two men were sitting with a clear plastic bag of cocaine between them, the evidence was sufficient to convict defendant of unlawful possession of a controlled substance (cocaine) and maintaining a drug premises under, inter alia, subdivision (a)(2) of this section. McDaniel v. State, 2011 Ark. App. 677 (2011).

Evidence was sufficient to support a conviction for maintaining a drug premises because appellant led an informant to an apartment for the purchase of drugs, a large amount of drugs were seized from the apartment five days later, and there were three drug-free zones within 1,000 feet of the apartment. Robelo v. State, 2012 Ark. App. 425, 421 S.W.3d 329 (2012).

Substantial evidence existed that defendant knew a dwelling was used to keep and sell controlled substances because defendant, after he was given money by a confidential informant in the living room of the trailer where defendant lived, went to a bedroom where defendant removed one gram of methamphetamine from a larger bag and placed it into a smaller bag that defendant gave to the informant. Curtis v. State, 2015 Ark. App. 167, 457 S.W.3d 700 (2015).

In a case involving drugs and weapons offenses, it was error to allow a video of law enforcement officers firing a weapon found in the search of the home to be played for the jury and admitted into evidence because it was not relevant to any of the specific offenses charged as the offenses did not require that the weapon be fireable; however, the error was harmless because the evidence against defendant was overwhelming and defendant's sentences fell within the statutory sentence ranges. Gutierrez v. State, 2015 Ark. App. 516, 472 S.W.3d 147 (2015).

Trial court properly denied defendant's motions for directed verdict and judgment notwithstanding the verdict because there was sufficient evidence to convict him of maintaining a drug premises where an investigator found, during the search of defendant's residence, a pistol, illegal drugs, a large amount of cash, bills with defendant's name and address, pictures of him and his family, communication radios, and a security camera, defendant was in the house when the search warrant was executed, the residence was located approximately 250 feet from a designated school bus stop, and defendant's knowledge of maintaining a drug premises could be inferred from the evidence. Velasco v. State, 2016 Ark. App. 454, 504 S.W.3d 650 (2016).

Evidence was sufficient to support defendant's conviction for maintaining a drug premises because he opened the door to the hotel room, verified that he rented the hotel room, and consented to a search of the room, though two other adults were in the room; an officer testified that defendant disclaimed ownership of all methamphetamine-related contraband and admitted ownership only of the marijuana found in his pocket; the jury could have believed that defendant owned or possessed all the contraband; and the State proved that the purpose of the room was for others to resort to for drug usage or to obtain drugs as an officer testified that certain items were paraphernalia either for the use of a drug or for the distribution or sale of a drug. Worsham v. State, 2017 Ark. App. 702, 537 S.W.3d 789 (2017).

For purposes of subdivision (a)(2) of this section, the State presented substantial evidence that defendant sold methamphetamine from the house and stored illegal substances there; her vehicle was parked at the residence on the date of the first buy, she was alone in the residence when the search warrant was executed after the second buy, plus there was a substantial amount of methamphetamine already weighed and packaged in the residence, and the confidential informant identified defendant as his source. Szczerba v. State, 2017 Ark. App. 27, 511 S.W.3d 360 (2017).

Evidence was sufficient to sustain defendant's conviction of maintaining a drug premises given the testimony that defendant resided at the residence and knew drugs were distributed on the premises. Cave v. State, 2017 Ark. App. 212, 518 S.W.3d 134 (2017).

Evidence was sufficient to support defendant's conviction for maintaining a premises for drug activity because the State did not have to prove that drug sales occurred as an element of the crime and the fact that the dwelling was used for consuming or using drugs was enough. Garner v. State, 2020 Ark. App. 101, 594 S.W.3d 145 (2020).

Cited: Jeffries v. State, 255 Ark. 501, 501 S.W.2d 600 (1973); Patty v. State, 260 Ark. 539, 542 S.W.2d 494 (1976); Brothers v. State, 261 Ark. 64, 546 S.W.2d 715 (1977); Bridges v. State, 46 Ark. App. 198, 878 S.W.2d 781 (1994); Stewart v. State, 320 Ark. 75, 894 S.W.2d 930 (1995).

5-64-403. Controlled substances — Fraudulent practices.

  1. It is unlawful for a person to knowingly:
    1. Distribute as a practitioner a Schedule I or Schedule II controlled substance, except under an order form as required by § 5-64-307;
    2. Acquire or obtain possession of a controlled substance by misrepresentation, fraud, forgery, deception, subterfuge, or theft;
    3. Furnish false or fraudulent material information in or omit any material information from any record, application, report, or other document required to be kept or filed under this chapter;
    4. Make, distribute, or possess any punch, die, plate, stone, or other thing designed to print, imprint, or reproduce the trademark, trade name, or other identifying mark, imprint, or device of another person or any likeness of any trademark, trade name, or other identifying mark, imprint, or device of another person upon any drug or container or labeling of a drug or container so as to render the drug a counterfeit substance; or
      1. Agree, consent, or in any manner offer to unlawfully sell, furnish, transport, administer, or give any controlled substance to any person or to arrange for any action described in this subdivision (a)(5)(A), and then to substitute a noncontrolled substance in lieu of the controlled substance bargained for.
      2. The proffer of a controlled substance creates a rebuttable presumption of knowingly agreeing, consenting, or offering to sell, furnish, transport, administer, or give a noncontrolled substance that does not require additional showing of specific purpose to substitute a noncontrolled substance.
  2. A person who violates:
    1. Subdivision (a)(1), subdivision (a)(2), subdivision (a)(3), or subdivision (a)(4) of this section upon conviction is guilty of a Class D felony; or
    2. Subdivision (a)(5) of this section with respect to a noncontrolled substance represented to be a controlled substance classified in:
      1. Schedule I or Schedule II upon conviction is guilty of a Class C felony;
      2. Schedule III, Schedule IV, or Schedule V upon conviction is guilty of a Class D felony; or
      3. Schedule VI upon conviction is guilty of a Class A misdemeanor.
  3. A second or subsequent offense of attempt to violate subdivision (a)(1), subdivision (a)(2), subdivision (a)(3), or subdivision (a)(4) of this section is a Class D felony.

History. Acts 1971, No. 590, Art. 4, § 3; 1972 (1st Ex. Sess.), No. 67, § 2; 1977, No. 557, § 3; 1981, No. 78, § 2; 1981, No. 116, §§ 2, 3; 1981, No. 117, § 1; 1983, No. 787, § 6; A.S.A. 1947, § 82-2619; Acts 1999, No. 326, § 1; 1999, No. 1268, § 3; 2001, No. 1451, § 1; 2005, No. 1994, § 305[A]; 2007, No. 827, § 60; 2009, No. 748, § 27; 2011, No. 570, § 35; 2013, No. 1192, §§ 1, 2.

A.C.R.C. Notes. Acts 1999, No. 1268, § 1, provided:

“This act shall be known as the ‘Arkansas Methamphetamine Lab Act of 1999’.”

Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Acts 2013, No. 1192, § 1, did not make changes to this section.

Publisher's Notes. As enacted, Acts 2005, No. 1994, contained two sections designated as § 305. The two sections were subsequently designated § 305[A] and § 305[B].

Amendments. The 2001 amendment added the subdivision designations in (c)(1)-(3); added the last sentence in (c)(2)(A); inserted “subdivision (c)(2)(A) of” in (c)(2)(B); added (c)(3)(B); and made minor stylistic changes throughout.

The 2009 amendment substituted “a person knowingly” for “any person knowingly or intentionally” in (a).

The 2011 amendment rewrote the section.

The 2013 amendment by No. 1192, § 2 added (c).

Research References

ALR.

Validity, Construction, and Application of State Trademark Counterfeiting Statutes. 63 A.L.R.6th 303.

Ark. L. Rev.

Case Note, Harbison v. State: Just Say No to a Usable Amount, 45 Ark. L. Rev. 425.

U. Ark. Little Rock L.J.

Legislative Survey, Criminal Law, 4 U. Ark. Little Rock L.J. 583.

Legislation of the 1983 General Assembly, Criminal Law, 6 U. Ark. Little Rock L.J. 613.

Case Notes

Fraudulent Prescription.

In a prosecution for obtaining a controlled substance with a fraudulent prescription even though the substance in the prescription bottle was not chemically tested, testimony of a licensed pharmacist that he filled prescription bottle from his larger container of controlled substance was sufficient to sustain conviction. Armstrong v. State, 5 Ark. App. 96, 633 S.W.2d 51 (1982).

Substitution of Noncontrolled Substance.

Evidence sufficient to support conviction of defendant who represented counterfeit pills to be amphetamines. Honea v. State, 15 Ark. App. 382, 695 S.W.2d 391 (1985).

Cited: Adams v. State, 269 Ark. 601, 599 S.W.2d 437 (Ct. App. 1980); Finney v. State, 3 Ark. App. 180, 623 S.W.2d 847 (1981).

5-64-404. Use of a communication device.

    1. As used in this section, “communication device” means any public or private instrumentality used or useful in the transmission of a writing, sign, signal, picture, or sound of any kind.
    2. “Communication device” includes mail, telephone, wire, radio, and any other means of communication.
  1. A person commits the offense of unlawful use of a communication device if he or she knowingly uses any communication device in committing or in causing or facilitating the commission of any act constituting a:
    1. Felony under this chapter; or
    2. Felony inchoate offense under § 5-3-101 et seq. or this chapter.
  2. Each separate use of a communication device is a separate offense under this section.
  3. Any person who violates this section upon conviction is guilty of a Class C felony.

History. Acts 1971, No. 590, Art. 4, § 4; A.S.A. 1947, § 82-2620; Acts 2005, No. 1994, § 305[A]; 2007, No. 827, § 61; 2011, No. 570, § 36

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Publisher's Notes. As enacted, Acts 2005, No. 1994, contained two sections designated as § 305. The two sections were subsequently designated § 305[A] and § 305[B].

Amendments. The 2011 amendment inserted “upon conviction” in (d).

Case Notes

Security Cameras.

Evidence was sufficient to support defendant's conviction for using a communication device to facilitate drug-related activity because security cameras positioned around defendant's home were used or useful in the transmission of a picture back to the monitor; under the plain language of this section, security cameras that transmit images to a monitor qualify as communication devices. Harjo v. State, 2017 Ark. App. 337, 522 S.W.3d 839 (2017).

5-64-405. Continuing criminal enterprise.

  1. A person commits the offense of engaging in a continuing criminal enterprise if he or she:
    1. Violates any provision of this chapter that is a felony, except §§ 5-64-419 and 5-64-441; and
    2. The violation is a part of a continuing series of two (2) or more felony offenses of this chapter, except §§ 5-64-419 and 5-64-441:
      1. That are undertaken by that person in concert with five (5) or more other persons with respect to whom that person occupies a position of organizer, a supervisory position, or any other position of management; and
      2. From which that person obtained substantial income or resources.
    1. A person who engages in a continuing criminal enterprise upon conviction is guilty of an unclassified felony and shall be sentenced to a term of imprisonment up to two (2) times the term otherwise authorized for the underlying offense referenced in subdivision (a)(1) of this section and shall be fined an amount up to two (2) times that authorized for the underlying offense referenced in subdivision (a)(1) of this section.
    2. For any purpose other than disposition, engaging in a continuing criminal enterprise is a Class Y felony.
    1. A person who violates subsection (a) of this section after a previous conviction under subsection (a) of this section has become final upon conviction is guilty of an unclassified felony and shall be punished by a term of imprisonment not exceeding three (3) times that authorized for the underlying offense referenced in subdivision (a)(1) of this section and a fine not exceeding three (3) times the amount authorized for the underlying offense referenced in subdivision (a)(1) of this section.
    2. For any purpose other than disposition, engaging in a continuing criminal enterprise is a Class Y felony.
    1. Upon conviction, the prosecuting attorney may institute a civil action against any person who violates this section to obtain a judgment against all persons who violate this section, jointly and severally, for damages in an amount equal to three (3) times the proceeds acquired by all persons involved in the enterprise or by reason of conduct in furtherance of the enterprise, together with costs incurred for resources and personnel used in the investigation and prosecution of both criminal and civil proceedings.
    2. The standard of proof in an action brought under this section is a preponderance of the evidence.
    3. The procedures in the asset forfeiture law, § 5-64-505, shall apply.
    4. A defendant in a civil action brought under this subsection is entitled to a trial by jury.
  2. An offender found guilty of a violation of this section shall not:
    1. Have his or her sentence suspended;
    2. Be placed on probation;
    3. Have imposition of sentence suspended;
    4. Have the execution of the sentence deferred;
    5. Have the sentence deferred; or
    6. Be eligible for § 16-93-301 et seq.

History. Acts 1971, No. 590, Art. 4, § 5; A.S.A. 1947, § 82-2621; Acts 2005, No. 1994, § 305[A]; 2011, No. 570, § 37; 2013, No. 1125, § 12.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Publisher's Notes. As enacted, Acts 2005, No. 1994, contained two sections designated as § 305. The two sections were subsequently designated § 305[A] and § 305[B].

Amendments. The 2005 amendment rewrote this section.

The 2011 amendment substituted “§§ 5-64-419 and 5-64-441” for “§ 5-64-401(c)” in (a)(1) and (a)(2); inserted “upon conviction” and “unclassified” in (b)(1) and (c)(1); and deleted “upon conviction” preceding “shall be” in (b)(1).

The 2013 amendment added “deferred” in (e)(4).

Case Notes

Constitutionality.

The language “two or more felony offenses” is sufficiently clear to survive a vagueness challenge. Leavy v. State, 314 Ark. 231, 862 S.W.2d 832 (1993) (decision under prior law).

There is no fatal vagueness problem in the requirement that a criminal enterprise defendant must have received “substantial income or resources” from his or her activity. Leavy v. State, 314 Ark. 231, 862 S.W.2d 832 (1993) (decision under prior law).

Simultaneous conviction and sentence for continuing criminal enterprise and its predicate felony offenses do not violate the protection against multiple punishments for the same offense afforded by the federal and Arkansas constitutional double jeopardy clauses, U.S. Const. Amend. 5 and Ark. Const., Art. 5, § 8. Moore v. State, 321 Ark. 249, 903 S.W.2d 154 (1995) (decision under prior law).

Elements.

In order to prove the continuing criminal enterprise offense under this section, one of the necessary elements is that the defendant committed “two or more felony offenses” which are part of the Controlled Substances Act. Leavy v. State, 314 Ark. 231, 862 S.W.2d 832 (1993) (decision under prior law).

Defendant's conviction of continuing criminal enterprise under this section and 70-year sentence were affirmed. Regarding the primary felony offense, the circuit court could have reasonably found that defendant constructively transferred methamphetamine to the buyer. The evidence that defendant arranged the price and the location for the buy, combined with defendant's admission that he was a drug dealer and testimony about his method of operation, was substantial evidence that defendant constructively delivered methamphetamine. Hunter v. State, 2017 Ark. App. 256, 522 S.W.3d 793 (2017).

Failing to identify a primary felony offense, the State stated only that the evidence showed defendant committed the requisite underlying felonies and these felonies were part of a series of a continuing criminal enterprise; for due-process reasons, the appellate court rejected the State's use of underlying offenses against defendant that were not named in the criminal information. Hunter v. State, 2017 Ark. App. 256, 522 S.W.3d 793 (2017).

Simply possessing a controlled substance is not a qualifying offense under this section. Hunter v. State, 2017 Ark. App. 256, 522 S.W.3d 793 (2017).

There was sufficient proof that defendant constructively delivered methamphetamine to two buyers, meeting the second element of the continuing criminal enterprise statute; defendant admitted he was a drug dealer, buyers went to buy drugs as directed by defendant, and the court rejected defendant's argument that he could not be guilty of delivering methamphetamine because he did not physically deliver the drugs. Hunter v. State, 2017 Ark. App. 256, 522 S.W.3d 793 (2017).

For purposes of the continuing criminal enterprise statute, circumstantial evidence and direct testimony supported the conclusion that defendant exerted some type of influence over five or more people, and their compliance with his directions or instructions made the case. Hunter v. State, 2017 Ark. App. 256, 522 S.W.3d 793 (2017).

For purposes of the continuing criminal enterprise statute, the circuit court could reasonably have inferred that defendant derived substantial income from selling methamphetamine; he was unemployed or underemployed during most of the seven-year period at issue, yet was shown to have had large amounts of cash at various times, he admitted receiving income from selling methamphetamine, and he provided financial gifts and support to his girlfriends and numerous children. Hunter v. State, 2017 Ark. App. 256, 522 S.W.3d 793 (2017).

Position of Management.

The management element is established by demonstrating that the defendant exerted some type of influence over another individual as exemplified by that individual's compliance with the defendant's directions, instruction, or terms. Hughey v. State, 310 Ark. 721, 840 S.W.2d 183 (1992) (decision under prior law).

Sentencing.

Based on examination of this section and on § 5-1-110 as amended by Acts 1995, No. 595, the General Assembly intended to authorize separate punishments for violations of this section and the underlying substantive predicate offenses. Moore v. State, 321 Ark. 249, 903 S.W.2d 154 (1995) (decision under prior law).

Sentencing range for a first-time, continuing criminal enterprise conviction is linked to the primary, underlying drug offense in subdivision (a)(1) of this section; the sentencing range is tethered to the sentencing range of the offense charged. Hunter v. State, 2017 Ark. App. 256, 522 S.W.3d 793 (2017).

Defendant's 70-year sentence under this section was within statutory limits based on the statute in force when the offense was committed, but the circuit court erred in also sentencing defendant to 10 years' suspended imposition of sentence, which was forbidden under subsection (e) of this section and also under § 5-4-104. Hunter v. State, 2017 Ark. App. 256, 522 S.W.3d 793 (2017).

Defendant was charged with only one crime: engaging in a continuing criminal enterprise, and although the State charged him as a habitual offender, habitual-offender status is not a separate crime or offense, and the sentence had to be modified accordingly. Hunter v. State, 2017 Ark. App. 256, 522 S.W.3d 793 (2017).

Because defendant's prior felony records were more than 15 years old, and his prior misdemeanor record was more than 10 years old, they did not count toward his criminal history under the presumptive standards, and his criminal-history score was 0, rather than 2. Hunter v. State, 2017 Ark. App. 256, 522 S.W.3d 793 (2017).

Given the testimony against defendant, and because the presumptive sentencing standards are merely advisory, the circuit court did not abuse its discretion by departing from the presumptive sentence of 20 years' imprisonment and imposing 70 years' imprisonment on the continuing criminal enterprise conviction. Hunter v. State, 2017 Ark. App. 256, 522 S.W.3d 793 (2017).

5-64-406. Delivery to minors — Enhanced penalties.

  1. Any person eighteen (18) years of age or older who violates § 5-64-422, § 5-64-426, or § 5-64-440 by delivering or trafficking a Schedule I or Schedule II controlled substance that is a narcotic drug or methamphetamine to a person under eighteen (18) years of age who is at least three (3) years younger than the person is subject to an enhanced sentence of the fine authorized by § 5-64-422, § 5-64-426, or § 5-64-440, a term of imprisonment of up to two (2) times that authorized by § 5-64-422, § 5-64-426, or § 5-64-440, or both.
  2. Any person eighteen (18) years of age or older who violates § 5-64-426, § 5-64-430, § 5-64-434, § 5-64-438, or § 5-64-440 by delivering or trafficking any other controlled substance to a person under eighteen (18) years of age who is at least three (3) years younger than the person is subject to an enhanced sentence of the fine authorized by § 5-64-426, § 5-64-430, § 5-64-434, § 5-64-438, or § 5-64-440, a term of imprisonment up to two (2) times that authorized by § 5-64-426, § 5-64-430, § 5-64-434, § 5-64-438, or § 5-64-440, or both.
  3. A person who is not otherwise subject to an enhancement to his or her sentence as provided in subsection (a) or subsection (b) of this section and is convicted of delivering a controlled substance to a person under eighteen (18) years of age is subject to an additional term of imprisonment of ten (10) years.

History. Acts 1971, No. 590, Art. 4, § 6; A.S.A. 1947, § 82-2622; Acts 2005, No. 1994, § 475; 2011, No. 570, § 38.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2005 amendment added the subsection (a) and (b) designations; and inserted “or methamphetamine” in (a).

The 2011 amendment rewrote (a) and (b); and added (c).

5-64-407. Manufacture of methamphetamine in the presence of certain persons — Enhanced penalties.

  1. A person who is found guilty of or who pleads guilty or nolo contendere to manufacture of methamphetamine, § 5-64-423, or possession of drug paraphernalia with the purpose to manufacture methamphetamine, § 5-64-443(b), may be subject to an enhanced sentence of an additional term of imprisonment of ten (10) years if the offense is committed:
    1. In the presence of a minor, elderly person, or incompetent person who may or may not be related to the person;
    2. With a minor, elderly person, or incompetent person in the same home or building where the methamphetamine was being manufactured or where the drug paraphernalia to manufacture methamphetamine was in use or was in preparation to be used; or
    3. With a minor, elderly person, or incompetent person present in the same immediate area or in the same vehicle at the time of the person's arrest for the offense.
  2. The enhanced portion of the sentence is consecutive to any other sentence imposed.
  3. Any person sentenced under this section is not eligible for early release on parole or community correction transfer for the enhanced portion of the sentence.
  4. As used in this section:
    1. “Elderly person” means any person seventy (70) years of age or older;
    2. “Incompetent person” means any person who is incapable of consent because he or she is physically helpless, mentally defective, or mentally incapacitated; and
    3. “Minor” means any person under eighteen (18) years of age.

History. Acts 1971, No. 590, Art. 4, § 7; 1972 (1st Ex. Sess.), No. 67, § 3; 1973, No. 186, § 4; A.S.A. 1947, § 82-2623; Acts 1995, No. 998, § 2; 2005, No. 1994, § 304[B]; 2007, No. 200, § 1; 2007, No. 1047, § 3; 2011, No. 570, § 39.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Publisher's Notes. As enacted, Acts 2005, No. 1994, contained two sections designated as § 304. The two sections were subsequently designated § 304[A] and § 304[B].

Amendments. The 2011 amendment, in (a), substituted “§ 5-64-423” for “§ 5-64-401(a)(1)” and “§ 5-64-443(a)(1)” for “§ 5-64-403(c)(5)”.

5-64-408. Subsequent convictions — Enhanced penalties.

  1. Unless otherwise provided in this chapter, a person convicted of a second or subsequent offense under this chapter shall be imprisoned for a term up to two (2) times the term otherwise authorized, fined an amount up to two (2) times the fine otherwise authorized, or both.
  2. For purposes of this section, an offense is considered a second or subsequent offense if, before his or her conviction of the offense, the offender has at any time been convicted under this chapter or under any statute of the United States or of any state relating to a narcotic drug, marijuana, depressant, stimulant, or a hallucinogenic drug.
  3. This section does not apply to an offense under § 5-64-419 or § 5-64-441.

History. Acts 1971, No. 590, Art. 4, § 8; 1973, No. 186, § 5; A.S.A. 1947, § 82-2624; 2005, No. 1994, § 304[B]; 2011, No. 570, § 40.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Publisher's Notes. As enacted, Acts 2005, No. 1994, contained two sections designated as § 304. The two sections were subsequently designated § 304[A] and § 304[B].

Amendments. The 2005 amendment inserted “or her” in (b).

The 2011 amendment inserted “Unless otherwise provided in this chapter” in (a); and substituted “§ 5-64-419 or § 5-64-441” for “§ 5-64-401(c)” in (c).

Case Notes

Cruel and Unusual Punishment.

Doubling a sentence for a person convicted twice for a drug-related offense is not cruel and unusual punishment. Pridgeon v. State, 266 Ark. 651, 587 S.W.2d 225 (1979).

Due Process of Law.

The defendant was not deprived of due process of law where circuit court, on defendant's conviction of possession of heroin with intent to deliver after his conviction of other drug offenses, patterned its procedures for fixing punishment after those provided in the habitual criminal act. Cary v. State, 259 Ark. 510, 534 S.W.2d 230 (1976).

Equal Protection.

This section in doubling of the normal penalty imposed for a drug violation upon a second conviction, does not violate the right to equal protection of the laws because it authorizes a more severe punishment than that provided for in the general Habitual Offender Act. Pridgeon v. State, 266 Ark. 651, 587 S.W.2d 225 (1979).

Habitual Criminals.

This section, which was enacted after § 5-4-501, does not preclude sentencing a habitual criminal under § 5-4-501. When two punishment statutes exist, a court is not prevented from using the more stringent provision. Russell v. State, 295 Ark. 619, 751 S.W.2d 334 (1988).

Sentencing.

If the testimony supports the conviction for the offense in question and if the sentence is within the limits set by the legislature, supreme court is not at liberty to reduce it even if court believes the sentence to be unduly harsh. Parker v. State, 302 Ark. 509, 790 S.W.2d 894 (1990).

Appellant filed a petition for writ of habeas corpus that challenged the judgment that imposed an aggregate sentence of 1080 months' imprisonment for possession of cocaine with intent to deliver and possession of marijuana with intent to deliver. The trial court did not err by denying appellant's petition, because he presented only conclusory allegations to support his claim that his sentence was improperly enhanced under this section using an out-of-state conviction. Darrough v. State, 2013 Ark. 28 (2013).

Petitioner's post-conviction claim that his sentence was illegal because the jury only gave the numbers “70” and “20” and did not specify years or months was rejected, because 70 months would fall short of the 20-year mandatory minimum for his cocaine conviction and 20 months would fall short of the eight-year minimum for his marijuana conviction, pursuant to former § 5-64-401 and subsection (a) of this section. Lewis v. State, 2013 Ark. 105 (2013).

Cited: Shackleford v. State, 261 Ark. 721, 551 S.W.2d 205 (1977); Sossamon v. State, 31 Ark. App. 131, 789 S.W.2d 738 (1990); Whitney v. State, 326 Ark. 206, 930 S.W.2d 343 (1996).

5-64-409. [Repealed.]

Publisher's Notes. This section, concerning breaking or entering to steal a controlled substance, was repealed by Acts 2005, No. 1994, § 497. The section was derived from Acts 1971, No. 590, Art. 4, § 9, as added by Acts 1972 (1st Ex. Sess.), No. 67, § 6; A.S.A. 1947, § 82-2624.1.

5-64-410. [Repealed.]

Publisher's Notes. This section, concerning penalties for delivery — enhanced penalties, was repealed by Acts 2011, No. 570, § 41. The section was derived from Acts 2005, No. 1994, § 305[B].

Former § 5-64-410, concerning enhanced penalties for distribution near a school or college, was repealed by Acts 1991, No. 864, § 2. The former section was derived from Acts 1989, No. 612, § 1. For current law, see § 5-64-411.

5-64-411. Proximity to certain facilities — Enhanced penalties.

  1. A person is subject to an enhanced sentence of an additional term of imprisonment of ten (10) years if:
    1. The person:
      1. Possesses a controlled substance in violation of § 5-64-419 and the offense is a Class C felony or greater; or
      2. Possesses with the purpose to deliver, delivers, manufactures, or trafficks a controlled substance in violation of §§ 5-64-420 — 5-64-440; and
    2. The offense is committed on or within one thousand feet (1,000') of the real property of:
      1. A city or state park;
      2. A public or private elementary or secondary school, public vocational school, or private or public college or university;
      3. A designated school bus stop as identified on the route list published by a public school district each year;
      4. A skating rink, Boys and Girls Club, YMCA, YWCA, community center, recreation center, or video arcade;
      5. A publicly funded and administered multifamily housing development;
      6. A drug or alcohol treatment facility;
      7. A day care center;
      8. A church; or
      9. A shelter as defined in § 9-4-102.
  2. The enhanced portion of the sentence is consecutive or concurrent to any other sentence imposed at the discretion of the court.
  3. Any person convicted under this section is not eligible for early release on parole or community correction transfer for the enhanced portion of the sentence.
    1. Except for property covered by subdivision (a)(2)(C) of this section, property covered by this section shall have a notice posted at the entrances to the property stating:
    2. However, the posting of the notice is not a necessary element for the enhancement of a sentence under this section.
  4. As used in this section, “recreation center” means a public place of entertainment consisting of various types of entertainment, including without limitation billiards or pool, ping pong or table tennis, bowling, video games, pinball machines, or any other similar type of entertainment.

“THE SALE OF DRUGS UPON OR WITHIN ONE THOUSAND FEET (1000') OF THIS PROPERTY MAY SUBJECT THE SELLER OF THE DRUGS TO AN ADDITIONAL TEN (10) YEARS IMPRISONMENT IN ADDITION TO THE TERM OF IMPRISONMENT OTHERWISE PROVIDED FOR THE UNLAWFUL SALE OF DRUGS.”

History. Acts 1989 (3rd Ex. Sess.), No. 88, § 1; 1991, No. 864, § 1; 1995, No. 778, § 1; 1995, No. 799, § 1; 1997, No. 1056, § 1; 2001, No. 1553, § 12; 2003, No. 1707, § 1; 2005, No. 195, § 1; 2005, No. 1994, § 305[B]; 2007, No. 345, § 1; 2007, No. 827, § 62; 2007, No. 1047, § 3; 2011, No. 570, § 42.

A.C.R.C. Notes. Acts 2007, No. 827, § 62 provides: “Acts 1995, No. 778, § 1, is repealed due to a conflict between that act and Acts 1995, No. 779, § 1, in amending § 5-64-411, and which conflict under § 1-2-207 is resolved in favor of Acts 1995, No. 779.”

Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Publisher's Notes. As enacted, Acts 2005, No. 1994, contained two sections designated as § 305. The two sections were subsequently designated § 305[A] and § 305[B].

Amendments. The 2001 amendment deleted (e) and redesignated the remaining subsection accordingly.

The 2003 amendment inserted “manufacturing” following “dispensing” in (a).

The 2011 amendment rewrote the introductory language in (a); inserted (a)(1) and (2) and redesignated former (a)(1) through (9) as (a)(2)(A) through (I); in (a)(2)(D), substituted “community center” for “or community or” and added “or video arcade”; in (b), inserted “or concurrent” and “at the discretion of the court”; and substituted “(a)(2)(C)” for “(a)(3)” in (d)(1).

Research References

U. Ark. Little Rock L.J.

Survey — Criminal Law, 14 U. Ark. Little Rock L.J. 753.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Controlled Substances, 26 U. Ark. Little Rock L. Rev. 366.

Case Notes

Culpable Mental State.

Circuit court erred in concluding that this section does not require a culpable mental state. This section adds an enhanced sentence for a person found guilty of certain offenses, including that for which appellant was convicted, only if an additional requirement is met, i.e., the location where the act was committed; thus, this section defines an offense. Small v. State, 2018 Ark. App. 80, 543 S.W.3d 516 (2018).

Because a circuit court erred in ruling that a sentencing-enhancement offense under this section, for delivery of hydrocodone within 1,000 feet of a church, did not require a culpable mental state and improperly instructed the jury, reversal and remand were required; a culpable mental state is imputed under § 5-2-203 when the statute defining an offense does not prescribe a culpable mental state. Silmon v. State, 2018 Ark. App. 388, 557 S.W.3d 266 (2018).

Because a circuit court erred in concluding that an enhancement offense under this section — for possession of methamphetamine with the purpose to deliver within 1,000 feet of a church — did not require a culpable mental state and improperly instructed the jury, reversal and remand for a new trial on the enhancement offense were necessary. French v. State, 2018 Ark. App. 502, 563 S.W.3d 582 (2018).

Evidence Sufficient.

Evidence was sufficient to support a sentence enhancement for delivering a controlled substance within 1,000 feet of a school or a church, where defendant failed to challenge on appeal the admissibility of an officer's testimony about the use of a Lidar laser gun to measure the distances, and the officer testified that he measured the distance between the school and the property where appellant sold drugs at 576 feet. Childers v. State, 2016 Ark. App. 371, 498 S.W.3d 742 (2016).

Ineffective Assistance of Counsel.

In an Ark. R. Crim. P. 37.1 case in which an inmate had been convicted of one count of delivery of a controlled substance and received an enhanced sentence pursuant to subdivision (a)(7) of this section (now subdivision (a)(2)(H)), he unsuccessfully argued that his trial counsel was ineffective for failing to move for a continuance following the state's amendment of the charging information. While his timeline regarding the informant's controlled buy from him and the police officer's measurement of the distance between the church and the sale location was correct, he failed to cite any authority for the proposition that trial counsel had a duty to ask for a continuance based thereon, and trial counsel made the tactical decision to proceed with the trial as scheduled. McCraney v. State, 2010 Ark. 96, 360 S.W.3d 144 (2010).

In an Ark. R. Crim. P. 37.1 case in which an inmate had been convicted of one count of delivery of a controlled substance and received an enhanced sentence pursuant to subdivision (a)(7) of this section (now subdivision (a)(2)(H)), he unsuccessfully argued that his trial counsel was ineffective because he failed to adequately investigate the facts underlying the application of the enhancement prior to trial or to flesh them out appropriately during cross-examination. As to the failure to investigate, the inmate made only a conclusory statement, wholly lacking in allegations of prejudice; as to the cross-examination claim, his argument provided him no relief as he was procedurally barred from raising it on appeal. McCraney v. State, 2010 Ark. 96, 360 S.W.3d 144 (2010).

Preservation for Review.

Defendant failed to preserve for appeal the issue that the state did not put him on notice that it was seeking the sentencing enhancement, because defendant failed to raise the issue of notice at trial, which precluded the appellate court from addressing it on appeal. Bell v. State, 101 Ark. App. 144, 272 S.W.3d 110 (2008).

Cited: McCoy v. State, 326 Ark. 104, 929 S.W.2d 712 (1996).

5-64-412. Violations by public officials or law enforcement officers — Enhanced penalties.

  1. As used in this section:
    1. “Law enforcement officer” means any member of the Division of Arkansas State Police or the Arkansas Highway Police Division of the Arkansas Department of Transportation and any other certified law enforcement officer employed full time by the State of Arkansas or any political subdivision of the State of Arkansas or court personnel in Arkansas; and
    2. “Public official” means any person holding or appointed to an elective office of state, county, or city government and any member of any board or commission of state, county, city, or local government including an improvement district or school district.
  2. Any public official or law enforcement officer who commits a felony violation of this chapter shall have any term of imprisonment imposed for the violation enhanced by a term not to exceed ten (10) years and a fine of not less than ten thousand dollars ($10,000).

History. Acts 1989 (3rd Ex. Sess.), No. 80, §§ 1, 2; 2005, No. 1994, § 305[B]; 2017, No. 707, § 3.

Publisher's Notes. As enacted, Acts 2005, No. 1994, contained two sections designated as § 305. The two sections were subsequently designated § 305[A] and § 305[B].

Amendments. The 2005 amendment deleted “unless the context otherwise requires” at the end of (a); redesignated former (c)(1) and (c)(2) as present (a)(2) and (a)(1) respectively; and substituted “this chapter” for “the Uniform Controlled Substances Act, §§ 64-101 through 5-64-600” in (b).

The 2017 amendment substituted “Department of Transportation” for “State Highway and Transportation Department” in (a)(1).

5-64-413. [Repealed.]

Publisher's Notes. This section, concerning probation, discharge and dismissal, was repealed by Acts 2013, No. 1460, § 2. The section was derived from Acts 2005, No. 1994, § 305[B]; 2011, No. 570, § 43; 2011, No. 626, § 2; 2013, No. 1460, § 2.

Former § 5-64-413, concerning controlled substance analogs, was repealed by Acts 2005, No. 1994, § 305[B]. The section was derived from Acts 1989 (3rd Ex. Sess.), No. 83, § 1; 2001, No. 320, § 3[4]. For current provisions, see § 5-64-414.

5-64-414. Controlled substance analog.

    1. “Controlled substance analog” means a substance:
      1. The chemical structure of which is substantially similar to the chemical structure of a controlled substance in Schedule I or Schedule II or that has a stimulant, depressant, or hallucinogenic effect on the central nervous system substantially similar to the stimulant, depressant, or hallucinogenic effect on the central nervous system of a controlled substance included in Schedule I or Schedule II; or
      2. With respect to a particular individual, that the individual represents or intends to have a stimulant, depressant, or hallucinogenic effect on the central nervous system substantially similar to the stimulant, depressant, or hallucinogenic effect on the central nervous system of a controlled substance included in Schedule I or Schedule II.
    2. “Controlled substance analog” does not include:
      1. A controlled substance;
      2. A substance for which there is an approved new drug application;
      3. A substance with respect to which an exemption is in effect for investigational use by a particular person under § 505 of the Federal Food, Drug, and Cosmetic Act, 21 U.S.C. § 355, to the extent conduct with respect to the substance is pursuant to the exemption; or
      4. Any substance to the extent not intended for human consumption before an exemption takes effect with respect to the substance.
  1. A controlled substance analog, to the extent intended for human consumption, is treated for the purposes of this chapter as a substance included in Schedule I.
  2. Within ten (10) days after the initiation of prosecution with respect to a controlled substance analog by indictment or information, the prosecuting attorney shall notify the Secretary of the Department of Health of information relevant to emergency scheduling as provided for in § 5-64-201(a).
  3. After final determination that the controlled substance analog should not be scheduled, no prosecution relating to that substance as a controlled substance analog may continue or take place.

History. Acts 1989 (3rd Ex. Sess.), No. 84, § 1; 2005, No. 1994, § 306; 2019, No. 910, § 4844.

Amendments. The 2005 amendment rewrote this section.

The 2019 amendment substituted “Secretary” for “Director” in (c).

5-64-415. Drug precursors.

  1. Definition.
    1. “Drug precursor” means any substance, material, compound, mixture, or preparation listed in rules promulgated or adopted pursuant to this section or any of their salts or isomers.
    2. “Drug precursor” specifically excludes those substances, materials, compounds, mixtures, or preparations that:
      1. Are prepared for dispensing pursuant to a prescription or over-the-counter distribution as a substance that is generally recognized as safe and effective within the meaning of the Federal Food, Drug, and Cosmetic Act, 21 U.S.C. § 301 et seq., as amended; or
      2. Have been manufactured, distributed, or possessed in conformance with the provisions of an approved new drug application or an exemption for investigational use within the meaning of § 505 of the Federal Food, Drug, and Cosmetic Act, 21 U.S.C. § 355, as amended.
  2. Authority to Control Drug Precursors by Rule.
      1. The Department of Health shall promulgate by rule a list of drug precursors, comprised of any substance, material, compound, mixture, or preparation or any of their salts or isomers that are drug precursors.
      2. The Department of Health may add substances to, delete substances from, and reschedule substances listed in the drug precursors list pursuant to the Arkansas Administrative Procedure Act, § 25-15-201 et seq.
    1. In making a determination regarding a substance to be placed on the drug precursor list, the Department of Health shall consider the following:
      1. Whether the substance is an immediate precursor of a controlled substance;
      2. The actual or relative potential for abuse;
      3. The scientific evidence of the substance's pharmacological effect, if known;
      4. The state of current scientific knowledge regarding the substance or the controlled substance for which it is a precursor;
      5. The history and current pattern of abuse of the controlled substance for which the substance is a precursor;
      6. The scope, duration, and significance of abuse of the controlled substance for which the substance is a precursor;
      7. The risk to the public health; and
      8. The potential of the substance or the controlled substance to produce psychic or physiological dependence liability.
    2. The Department of Health may consider findings of the United States Food and Drug Administration or the United States Drug Enforcement Administration as prima facie evidence relating to one (1) or more of the factors listed in subdivision (b)(2) of this section in connection with the Department of Health's determination.
      1. After considering the factors enumerated in subdivision (b)(2) of this section, the Department of Health shall make findings with respect to the factors and shall promulgate a rule controlling a substance as a drug precursor upon a finding that the substance has a potential for abuse.
      2. If the Department of Health designates a substance as an immediate drug precursor, a substance that is a precursor of the controlled precursor is not subject to control solely because it is a precursor of the controlled precursor.
    3. Authority to control under this section does not extend to an alcoholic beverage, alcoholic liquor, a fermented malt beverage, or tobacco.
  3. License Required — Controlled Substances Drug Precursors.
      1. The Department of Health may promulgate rules and charge reasonable fees of not more than twenty-five dollars ($25.00) relating to the licensing and control of the manufacture, possession, transfer, and transportation of a drug precursor.
        1. There is created on the books of the Treasurer of State, the Auditor of State, and the Chief Fiscal Officer of the State, a cash fund to be known as the “Health Department Drug Precursor Cash Fund”.
        2. The fees established under this subsection shall be collected by the Department of Health and transmitted to the Treasurer of State, who shall credit the fees to the Health Department Drug Precursor Cash Fund.
        3. The fund shall be administered by the Division of Pharmacy Services and Drug Control of the Department of Health.
    1. Any person that manufactures, possesses, transfers, or transports any drug precursor or that proposes to engage in the manufacture, possession, transfer, or transportation of any drug precursor shall annually obtain a license issued by the Department of Health.
    2. A person licensed by the Department of Health to manufacture, possess, transfer, or transport a drug precursor may manufacture, possess, transfer, or transport the drug precursor to the extent authorized by the person's license and in conformity with any other provision of law.
    3. The following persons are not required to be licensed under this subsection and may lawfully possess a drug precursor:
      1. A physician, dentist, pharmacist, veterinarian, or podiatrist;
      2. An agent of any manufacturer, or wholesaler of any drug precursor if the agent is acting in the usual course of his or her principal's business or employment;
      3. An employee of a licensed common or contract carrier or licensed warehouseman whose possession of any drug precursor is in the usual course of the licensed common or contract carrier or licensed warehouseman's business;
      4. A student enrolled in a college chemistry class for credit if the student's use of the drug precursor is for a bona fide educational purpose and the educational institution otherwise possesses all the necessary licenses required by the Department of Health;
      5. An officer or employee of an appropriate agency of federal, state, or local government and a law enforcement agency acting pursuant to its official duties; and
      6. Any researcher, including an analytical laboratory, experimenting with, studying, or testing any drug analog that is licensed by the Department of Health pursuant to the requirements of this subsection.
  4. Waiver. The Department of Health may waive by rule the requirement for licensing of certain manufacturers if the waiver is consistent with the public health and safety.
  5. Issuance of License — Fees.
      1. The Department of Health shall license an applicant to manufacture, possess, transfer, or transport a drug precursor unless it determines that the issuance of the license would be inconsistent with the public interest.
      2. In determining the public interest, the Department of Health shall consider the following factors:
        1. Maintenance of effective controls against diversion of a drug precursor other than a legitimate medical, scientific, or industrial channel;
        2. Compliance with applicable state and local law;
        3. Any conviction of the applicant under federal or state law relating to any controlled substance or drug precursor;
        4. Past experience in the manufacture, possession, transfer, or transportation of a drug precursor and the existence in the applicant's establishment of effective controls against diversion;
        5. Furnishing by the applicant of false or fraudulent material in any application filed under subsection (c) of this section;
        6. Suspension or revocation of the applicant's federal registration to manufacture, distribute, or dispense a controlled substance or drug precursor authorized by federal law; and
        7. Any other factor relevant to and consistent with the public health and safety.
    1. Licensing under this section does not entitle a licensee to manufacture, possess, transfer, or transport a drug precursor other than a drug precursor allowed in the license.
  6. Denial, Revocation, or Suspension of License.
    1. The Department of Health may deny, revoke, or suspend a license issued pursuant to subsection (c) of this section for any of the following reasons:
      1. If a licensee is convicted of, or has accepted by a court a plea of guilty or nolo contendere to a felony under any state or federal law relating to a controlled substance or a drug precursor;
        1. If a licensee has its federal registration to manufacture, conduct research on, distribute, or dispense a controlled substance or a drug precursor suspended or revoked.
        2. The Department of Health may limit revocation or suspension of a license to the particular controlled substance or drug precursor that was the basis for revocation or suspension; or
      2. If a licensee commits an unlawful act as enumerated in subsection (g) of this section.
        1. When the Department of Health suspends or revokes a license, any controlled substance or drug precursor owned or possessed by the licensee at the time of the suspension or on the effective date of the revocation order may be placed under seal.
        2. No disposition may be made of a controlled substance or drug precursor under seal until the time for making an appeal has elapsed or until all appeals have been concluded unless a court orders otherwise or orders the sale of any perishable controlled substance or drug precursor and the deposit of the proceeds with the court.
      1. Upon a revocation order becoming final:
        1. Any controlled substance and any drug precursor may be forfeited to the Department of Health;
        2. Any expense of disposing of a forfeited controlled substance or drug precursor shall be borne by the licensee;
        3. The court may order the licensee to pay a reasonable sum of money to the Department of Health to cover the expenses of disposition; and
        4. The Department of Health may seek enforcement of the order of payment, or reimbursement for any expenses through any lawful means.
  7. Unlawful Acts — Licenses — Penalties.
    1. It is unlawful to:
      1. Knowingly transfer a drug precursor except to an authorized licensee;
      2. Knowingly use in the course of the manufacture or transfer of a drug precursor a license number which is fictitious, revoked, suspended, or issued to another person;
      3. Knowingly acquire or obtain, or attempt to acquire or obtain, possession of a drug precursor by misrepresentation, fraud, forgery, deception, or subterfuge;
      4. Knowingly furnish false or fraudulent material information in, or omitting any material information from, any application, report, or other document required to be kept or filed under this section or any record required to be kept by this section;
      5. Have knowledge of the manufacture of a drug precursor not authorized by a licensee's license, or have knowledge of the transfer of a drug precursor not authorized by the licensee's license to another licensee or authorized person;
      6. Refuse entry into any premises for any inspection authorized by this section; or
      7. Manufacture, possess, transfer, or transport a drug precursor without the appropriate license or in violation of any rule of the Department of Health.
    2. Any person who violates a provision of this subsection is guilty of a Class D felony.
  8. Records to be Kept — Order Forms.
    1. A manufacturer, wholesaler, retailer, or other person that sells, transfers, or otherwise furnishes any drug precursor to a person shall make an accurate and legible record of the transaction and maintain the record for a period of at least two (2) years after the date of the transaction.
    2. Before selling, transferring, or otherwise furnishing to a person in this state a drug precursor, a manufacturer, wholesaler, retailer, or other person shall:
      1. If the recipient does not represent a business, obtain from the recipient:
        1. The recipient's driver's license number or other personal identification certificate number, date of birth, and residential or mailing address, other than a post office box number, from a driver's license or personal identification card issued by the Department of Finance and Administration that contains a photograph of the recipient;
        2. The year, state, and number of the motor vehicle license of the motor vehicle owned or operated by the recipient;
        3. A complete description of how the drug precursor is to be used; and
        4. The recipient's signature;
      2. If the recipient represents a business, obtain from the recipient:
        1. A letter of authorization from the business that includes the business license or comptroller tax identification number, address, area code, and telephone number, and a complete description of how the drug precursor is to be used; and
        2. The recipient's signature; and
      3. For any recipient, sign as a witness to the signature and identification of the recipient.
      1. Except as otherwise provided in this section, a manufacturer, wholesaler, retailer, or other person that sells, transfers, or otherwise furnishes to a person in this state a drug precursor shall submit to the Department of Health, at least twenty-one (21) days before the delivery of the drug precursor, a report of the transaction on a form obtained from the Department of Health that includes the information required by subdivision (h)(2)(A) or subdivision (h)(2)(B) of this section.
      2. A copy of this report shall be transmitted to the Division of Arkansas State Police.
  9. Reports of Theft, Loss, Shipping Discrepancies, and Other Transactions.
    1. The theft or loss of any drug precursor discovered by any person regulated by this section shall be reported to the Department of Health and the Division of Arkansas State Police within three (3) days after the discovery.
      1. Any difference between the quantity of any drug precursor received and the quantity shipped shall be reported to the Department of Health within three (3) days after the receipt of actual knowledge of the discrepancy.
      2. When applicable, any report made pursuant to this subsection shall also include the name of any common carrier or person that transported the substance and the date of shipment of the substance.
    2. Any manufacturer, wholesaler, retailer, or other person subject to any other reporting requirement in this section that receives from a source outside of this state any drug precursor specified in rules promulgated pursuant to this section shall submit a report of the transaction to the Department of Health in accordance with rules adopted by the Department of Health.
    3. Any person violating any provision of this subsection is guilty of a Class A misdemeanor.
    4. The Department of Health may authorize a manufacturer, wholesaler, retailer, or other person to submit a comprehensive monthly report instead of the report required by subdivision (i)(2)(A) of this section if the Secretary of the Department of Health determines that:
      1. There is a pattern of regular supply and purchase of the drug precursor between the furnisher and the recipient; or
      2. The recipient has established a record of utilization of the drug precursor solely for a lawful purpose.
  10. Investigations and Inspections.
    1. The Division of Arkansas State Police specifically may investigate any violation of a provision of this section, and enforce its provisions.
    2. Further, the Division of Arkansas State Police and the Department of Health shall exchange information gathered or received by either agency under the provisions of this section.
    3. Any record kept by a licensee pursuant to this section is open to inspection by an authorized investigator of the Division of Arkansas State Police or the Department of Health during normal business hours and at any other reasonable time.
  11. In addition to rules authorized by a provision of this section, the Department of Health may promulgate necessary rules to carry out the provisions of this section.

History. Acts 1991, No. 954, §§ 1, 3, 4; 2007, No. 827, §§ 63, 64; 2017, No. 333, § 2; 2019, No. 315, §§ 157-163; 2019, No. 910, § 4845.

A.C.R.C. Notes. As enacted by Acts 1991, No. 954, § 1, subdivision (i)(3) began:

“On or after the effective date of this act.” The effective date of Acts 1991, No. 954, was July 15, 1991.

Amendments. The 2017 amendment substituted “drug precursor” for “precursor substance subject to subdivision (h)(1) of this section” in the introductory language of (h)(2); substituted “recipient” for “receipient” following “If the” in the introductory language of (h)(2)(A); substituted “drug precursor” for “substance” in (h)(2)(A)(iii); and substituted “drug precursor” for “precursor substance” in (h)(2)(B)(i).

The 2019 amendment by No. 315 deleted “and regulations” following “rules” in (a)(1); deleted “and Regulation” following “Rule” in the introductory language of (b); deleted “and regulation” following “rule” in (b)(1)(A); substituted “rules” for “regulations” in (c)(1)(A); substituted “rule” for “regulation” in (d); deleted “or regulation” following “rule” in (g)(1)(G); and deleted “and regulations” following the first instance of “rules” in (i)(3) and twice in (k).

The 2019 amendment by No. 910 substituted “Secretary” for “Director” in the introductory language of (i)(5).

5-64-416. [Repealed.]

Publisher's Notes. This section, concerning assessment of fee upon conviction or probation, was repealed by Acts 1995, No. 1256, § 20, as amended by Acts 1995 (1st Ex. Sess.), No. 13, § 4. The section was derived from Acts 1991, No. 1061, § 1.

5-64-417. Penalties under other laws.

Any penalty imposed for a violation of this chapter is in addition to, and not in lieu of, any civil or administrative penalty or sanction otherwise authorized by law.

History. Acts 1991, No. 1145, §§ 1, 2; 2005, No. 1994, § 307.

5-64-418. Foreign conviction.

If a violation of this chapter is a violation of a federal law or the law of another state, a conviction or acquittal under federal law or the law of another state for the same act is a bar to prosecution in this state.

History. Acts 2001, No. 1141, § 1; 2005, No. 1994, § 307.

Amendments. The 2005 amendment rewrote this section.

Cross References. Affirmative defense — Former prosecution in another jurisdiction, § 5-1-114.

5-64-419. Possession of a controlled substance.

  1. Except as provided by this chapter, it is unlawful for a person to possess a controlled substance.
  2. A person who violates this section with respect to:
    1. A Schedule I or Schedule II controlled substance that is methamphetamine or cocaine with an aggregate weight, including an adulterant or diluent, of:
      1. Less than two grams (2g) upon conviction is guilty of a Class D felony;
      2. Two grams (2g) or more but less than ten grams (10g) upon conviction is guilty of a Class C felony; or
      3. Ten grams (10g) or more but less than two hundred grams (200g) upon conviction is guilty of a Class B felony;
    2. A Schedule I or Schedule II controlled substance that is not methamphetamine or cocaine with an aggregate weight, including an adulterant or diluent, of:
      1. Less than two grams (2g) upon conviction is guilty of a Class D felony;
      2. Two grams (2g) or more but less than twenty-eight grams (28g) upon conviction is guilty of a Class C felony; or
      3. Twenty-eight grams (28g) or more but less than two hundred grams (200g) upon conviction is guilty of a Class B felony;
    3. A Schedule III controlled substance with an aggregate weight, including an adulterant or diluent, of:
        1. Less than two grams (2g) upon conviction is guilty of a Class A misdemeanor.
        2. However, if the person has four (4) or more prior convictions under this section or the former § 5-64-401(c), upon conviction the person is guilty of a Class D felony for a violation of subdivision (b)(3)(A)(i) of this section;
      1. Two grams (2g) or more but less than twenty-eight grams (28g) upon conviction is guilty of a Class D felony;
      2. Twenty-eight grams (28g) or more but less than two hundred grams (200g) upon conviction is guilty of a Class C felony; or
      3. Two hundred grams (200g) or more but less than four hundred grams (400g) upon conviction is guilty of a Class B felony;
    4. A Schedule IV or Schedule V controlled substance with an aggregate weight, including an adulterant or diluent, of:
        1. Less than twenty-eight grams (28g) upon conviction is guilty of a Class A misdemeanor.
        2. However, if the person has four (4) or more prior convictions under this section or the former § 5-64-401(c), upon conviction the person is guilty of a Class D felony for a violation of subdivision (b)(4)(A)(i) of this section;
      1. Twenty-eight grams (28g) or more but less than two hundred grams (200g) upon conviction is guilty of a Class D felony;
      2. Two hundred grams (200g) or more but less than four hundred grams (400g) upon conviction is guilty of a Class C felony; or
      3. Four hundred grams (400g) or more but less than eight hundred grams (800g) upon conviction is guilty of a Class B felony; or
    5. A Schedule VI controlled substance with an aggregate weight, including an adulterant or diluent, of:
      1. Less than four ounces (4 oz.) upon conviction is guilty of a Class A misdemeanor;
      2. One ounce (1 oz.) or more but less than four ounces (4 oz.) and the person has four (4) previous convictions under this section or the former § 5-64-401(c) upon conviction is guilty of a Class D felony;
      3. Four ounces (4 oz.) or more but less than ten pounds (10 lbs.) upon conviction is guilty of a Class D felony;
      4. Ten pounds (10 lbs.) or more but less than twenty-five pounds (25 lbs.) upon conviction is guilty of a Class C felony;
      5. Twenty-five pounds (25 lbs.) or more but less than one hundred pounds (100 lbs.) upon conviction is guilty of a Class B felony; or
      6. One hundred pounds (100 lbs.) or more but less than five hundred pounds (500 lbs.) upon conviction is guilty of a Class A felony.
  3. If a person possesses a controlled substance in violation of this section while the person is an inmate in a state criminal detention facility, county criminal detention facility, city criminal detention facility, or juvenile detention facility, the penalty for the offense is increased to the next higher classification as prescribed by law for the offense.

History. Acts 2011, No. 570, § 44; 2013, No. 529, § 1.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2013 amendment redesignated former (b)(3)(A) as (b)(3)(A)(i), and added (b)(3)(A)(ii); inserted “grams” preceding “(200g)” in (b)(3)(C); redesignated former (b)(4)(A) as (b)(4)(A)(i), and added (b)(4)(A)(ii); redesignated (b)(5)(i) through (vi) as (b)(5)(A) through (F); and substituted “four (4) previous convictions” for “two (2) previous convictions” in (b)(5)(B).

Cross References. Joshua Ashley-Pauley Act, § 20-13-1701 et seq.

Research References

ALR.

What Constitutes “Aggravated Felony” for Which Alien Can Be Deported or Removed Under § 237(a)(2)(A)(iii) of Immigration and Nationality Act (8 U.S.C. § 1227(a)(2)(A)(iii)) — Marijuana Offenses Under 8 U.S.C. § 1101(a)(43)(B). 76 A.L.R. Fed. 2d 1.

What Constitutes “Aggravated Felony” for Which Alien Can Be Deported or Removed Under § 237(a)(2)(A)(iii) of Immigration and Nationality Act (8 U.S.C. § 1227(a)(2)(A)(iii)) — Cocaine and Crack Cocaine Offenses Under 8 U.S.C. § 1101(a)(43)(B). 76 A.L.R. Fed. 2d 61.

What Constitutes “Aggravated Felony” for Which Alien Can Be Deported or Removed Under § 237(a)(2)(A)(iii) of the Immigration and Nationality Act (8 U.S.C. § 1227(a)(2)(A)(iii)) — Heroin Offenses Under 8 U.S.C. § 1101(a)(43)(B). 78 A.L.R. Fed. 2d 133.

What Constitutes “Aggravated Felony” for Which Aliens Can Be Deported or Removed Under § 237(a)(2)(A)(iii) of the Immigration and Nationality Act (8 U.S.C. § 1227(a)(2)(A)(iii)) — Illicit Methamphetamine Offenses Under 8 U.S.C. § 1101(a)(43)(B). 78 A.L.R. Fed. 2d 151.

What Constitutes “Aggravated Felony” for Which Alien Can Be Deported or Removed Under § 237(a)(2)(A)(iii) of Immigration and Nationality Act (8 U.S.C. § 1227(a)(2)(A)(iii)) — Miscellaneous or Unspecified Narcotics Offenses Under 8 U.S.C. § 1101(a)(43)(B). 79 A.L.R. Fed. 2d 335.

Construction and Application of § 212(a)(2)(A)(i)(II) of the Immigration and Nationality Act (8 U.S.C. § 1182(a)(2)(A)(i)(II)), and Predecessor Provision, Rendering Inadmissible Any Alien Convicted of, or Who Admits to, Violating Federal, State, or Foreign Laws Relating to Controlled Substances. 93 A.L.R. Fed. 2d 1 (2015).

Ark. L. Rev.

Mason L. Boling, Legislative Note: That Was the Easy Part: The Development of Arkansas's Public Safety Improvement Act of 2011, and Why the Biggest Obstacle to Prison Reform Remains Intact, 66 Ark. L. Rev. 1109 (2013).

Bryan Altman, Comment: Improving the Indigent Defense Crisis Through Decriminalization, 70 Ark. L. Rev. 769 (2017).

Case Notes

Continuing Criminal Enterprise.

Simply possessing a controlled substance is not a qualifying offense under the continuing-criminal-enterprise statute, § 5-64-405. Hunter v. State, 2017 Ark. App. 256, 522 S.W.3d 793 (2017).

Defenses.

Instruction that defendant was not relieved of criminal responsibility for the possession of controlled substances simply because he was intoxicated at the time the contraband was found in his possession held appropriate since the jury could find that the defendant was not in possession of the controlled substances and was, because of his intoxication, unaware of the presence of the substances. Baughman v. State, 265 Ark. 869, 582 S.W.2d 4 (1979) (decision under prior law).

Evidence.

Where controlled substances were unavailable at time of trial as they had apparently been destroyed by those having custody of them but the officers testified in detail about the finding of such contraband, failure to present the drugs physically goes only to the weight of the proof presented by the state. Williams v. State, 271 Ark. 435, 609 S.W.2d 37 (1980) (decision under prior law).

Evidence Sufficient.

There was sufficient evidence to support a conviction of possession of a controlled substance, methamphetamine, where defendant was driving a truck containing a large amount of pseudoephedrine pills in plain sight, her purse was in plain sight, methamphetamine was found inside of a flashlight in her purse, and she told an officer that she forgot that she left drugs in the flashlight. Constructive possession was established. Champlin v. State, 98 Ark. App. 305, 254 S.W.3d 780 (2007) (decision under prior law).

State sufficiently put forth evidence to support defendant's conviction for felony possession of methamphetamine with intent to deliver and to support his conviction for misdemeanor possession of marijuana. The evidence was sufficient that defendant was in possession of the drugs because defendant had exercised control over a motel room where the contraband was discovered. Jordan v. State, 2016 Ark. App. 255, 492 S.W.3d 543 (2016).

At a minimum, defendant possessed .01 grams of cocaine, a usable amount, and it was well within the jury's province to credit certain testimony that the cocaine found in defendant's pocket weighed .0577 grams; therefore, there was sufficient evidence that defendant possessed a usable amount of cocaine and his conviction was affirmed. Wells v. State, 2017 Ark. App. 174, 518 S.W.3d 106 (2017).

Substantial evidence supported defendant's convictions for possession of methamphetamine and drug paraphernalia, where the testimony showed that he had tossed and hid items in an attempt to conceal them from the police, and the police recovered a baggie and a pipe that were thrown out of the side of the vehicle. Payne v. State, 2017 Ark. App. 263, 520 S.W.3d 719 (2017).

Circuit court did not err in denying defendant's motion to dismiss the possession of methamphetamine and simultaneous possession of methamphetamine and a firearm charges where a deputy, while pursuing defendant, observed him throw a black object out of the window, the deputy discovered a bag of narcotics and a firearm in the location, and the deputy did not observe any other traffic in the area; thus, substantial circumstantial evidence supported defendant's constructive possession of the drugs and firearm. Terry v. State, 2018 Ark. App. 435, 559 S.W.3d 301 (2018).

Evidence was sufficient to support defendant's conviction for possession of methamphetamine, given that the deputy testified that defendant had a bag containing a crystal-like rock substance in his pants pocket when he was searched and testing revealed that the substance was 4.3995 grams of methamphetamine. Martin v. State, 2019 Ark. App. 19, 567 S.W.3d 558 (2019).

Marijuana.

When marijuana is weighed the stalks are excluded, but the stems and seeds are included. Stout v. State, 320 Ark. 552, 898 S.W.2d 457 (1995) (decided under former § 5-64-401).

Even had appellant's argument regarding the weight of the marijuana been properly preserved, the argument lacked merit; although the expert testified that the bags of marijuana he tested may have included other plant material besides marijuana, defendant was convicted of Class D felony possession of marijuana, which required a finding that he possessed 4 ounces or more, and the expert testified that the total weight of the marijuana tested was 39.65 ounces and that the bags contained mostly marijuana. Cogburn v. State, 2016 Ark. App. 543 (2016).

Possession.

Evidence held to be sufficient circumstances for jury to draw reasonably the conclusion that the defendant had joint possession of the substance even though that possession might have been constructive. Cary v. State, 259 Ark. 510, 534 S.W.2d 230 (1976) (decision under prior law).

Evidence held sufficient to find that it was error for the trial court not to instruct the jury on the lesser misdemeanor charge of possession of controlled substance at defendant's prosecution for possession with intent to deliver controlled substance. Milburn v. State, 260 Ark. 553, 542 S.W.2d 490 (1976) (decision under prior law).

Evidence held sufficient to support a conviction for possession of controlled substance. Newberry v. State, 261 Ark. 648, 551 S.W.2d 199 (1977); Wade v. State, 267 Ark. 1101, 594 S.W.2d 43 (Ct. App. 1980); Williams v. State, 271 Ark. 435, 609 S.W.2d 37 (1980); Holloway v. State, 293 Ark. 438, 738 S.W.2d 796 (1987); Johnson v. State, 23 Ark. App. 200, 745 S.W.2d 651 (1988); Nowden v. State, 31 Ark. App. 266, 792 S.W.2d 621 (1990); Sinks v. State, 44 Ark. App. 1, 864 S.W.2d 879 (1993) (decision under prior law).

It cannot be inferred that one in nonexclusive possession of premises knew of the presence of drugs and had joint control of them unless there were other factors from which the jury can reasonably infer the accused had joint possession and control. Ravellette v. State, 264 Ark. 344, 571 S.W.2d 433 (1978) (decision under prior law).

Evidence held insufficient to support conviction for possession of a controlled substance. Ravellette v. State, 264 Ark. 344, 571 S.W.2d 433 (1978) (decision under prior law).

Joint occupancy of premises alone will not be sufficient to establish possession or joint possession unless there are additional factors from which the jury can infer possession. Osborne v. State, 278 Ark. 45, 643 S.W.2d 251 (1982) (decision under prior law).

There are two separate problems involved in establishing the defendant's “exclusive control” of the premises in order to impute possession; the first is whether the accused is a sole or joint occupant, and the second is, if the accused is the sole occupant, does he have actual exclusive control of the premises. Osborne v. State, 278 Ark. 45, 643 S.W.2d 251 (1982) (decision under prior law).

Possession need not be actual, physical possession, but may be constructive, when one controls a substance or has the right to control it; constructive possession can be implied when the contraband is found in a place immediately and exclusively accessible to the defendant and subject to his control, or to the joint control of the accused and another, but neither actual nor exclusive possession of the contraband is necessary to sustain a charge of possession. Osborne v. State, 278 Ark. 45, 643 S.W.2d 251 (1982) (decision under prior law).

Evidence held sufficient to enable the jury to infer constructive possession on the part of the defendants. Blair v. State, 16 Ark. App. 1, 696 S.W.2d 755 (1985) (decision under prior law).

Where the defendant obtained the controlled substance pursuant to a prescription, his possession was lawful even though the defendant failed to use the prescription as directed. Wilson v. State, 290 Ark. 397, 720 S.W.2d 292 (1986) (decision under prior law).

Possession excludes a passing control, fleeting and shadowy in nature; however, this exclusion does not insulate from prosecution those who seek to dispose of contraband upon discovering that the police are approaching. Turner v. State, 24 Ark. App. 102, 749 S.W.2d 339 (1988) (decision under prior law).

Evidence held sufficient to support conviction for possession of controlled substance and for possession of paraphernalia. Walker v. State, 301 Ark. 218, 783 S.W.2d 44 (1990) (decision under prior law).

Evidence of possession with intent to deliver a controlled substance (marijuana) and possession with intent to use drug paraphernalia held sufficient. Bond v. State, 45 Ark. App. 177, 873 S.W.2d 569 (1994) (decided under former § 5-64-401).

Evidence was sufficient to establish constructive possession of marijuana where (1) the defendant was a passenger in his friend's car when the vehicle was stopped by a trooper, and (2) although marijuana found in the car was not in plain view nor on the defendant's person, the officer smelled a strong odor of marijuana emanating from the vehicle as he approached. Miller v. State, 68 Ark. App. 332, 6 S.W.3d 812 (1999) (decided under former § 5-64-401).

Evidence was insufficient to establish constructive possession of cocaine where (1) the defendant was a rear-seat passenger in his friend's car when the vehicle was stopped by a trooper, (2) the cocaine was not in plain view, was not under the defendant's exclusive control, and was not found near the seat in which he was seated, (3) there was no testimony that the defendant acted suspiciously, and there was no evidence of any contraband found on his person, and (4) there was testimony that the defendant did not know that there was cocaine in the car until after the police searched the vehicle. Miller v. State, 68 Ark. App. 332, 6 S.W.3d 812 (1999) (decided under former § 5-64-401).

Defendant's conviction for possessing at least four ounces but less than 10 pounds of marijuana, in violation of subdivision (b)(5) of this section, was proper because there was sufficient evidence that defendant constructively possessed the marijuana; the marijuana was near defendant when officers raided the house, he told a detective that he lived in the house, and he had some mail in the house. Duggar v. State, 2013 Ark. App. 135, 427 S.W.3d 77 (2013).

Informant's testimony, in addition to defendant's admitting to multiple convictions for drug-related crimes, when paired with the fact that the white powdery substance returned to the officer by the informant was cocaine, were of sufficient force to compel the jury's conclusion that defendant possessed the cocaine. Matlock v. State, 2015 Ark. App. 65, 454 S.W.3d 776 (2015).

Verdict finding defendant guilty of possession of a controlled substance schedule I or II not meth/cocaine and possession of a controlled substance schedule VI was supported by sufficient evidence. A forensic chemist testified that the substance he tested was a partial pill that weighed 0.0824 grams and tested positive for morphine after he crushed it. Foster v. State, 2015 Ark. App. 412, 467 S.W.3d 176 (2015).

Defense counsel made the motion that the State had not proven that defendant was in possession of the cocaine, and by addressing the specific deficiency of proof required to support the circuit court's ruling, in this case possession, defense counsel's motion was made with enough detail to preserve the motion to dismiss. Clark v. State, 2015 Ark. App. 679, 477 S.W.3d 544 (2015).

Evidence supported the State's assertion that the cocaine was found in a place immediately and exclusively accessible to defendant and was subject to his control, as the container with the cocaine was found clearly visible in the passenger seat of defendant's car, and he was alone. Although defendant claimed he had no knowledge of the container and that another person had been a passenger, the circuit court did not find his testimony to be credible. Clark v. State, 2015 Ark. App. 679, 477 S.W.3d 544 (2015).

Substantial evidence did not support the finding that defendant constructively possessed cocaine since the evidence failed to give rise to a reasonable inference that defendant knew the cocaine was in the vehicle he was driving; the only evidence linking defendant to the cocaine was that he was driving the jointly occupied vehicle and the cocaine was found in the front center cup holder. Baltimore v. State, 2017 Ark. App. 622, 535 S.W.3d 286 (2017).

Evidence was sufficient to support defendant's convictions of felony theft by receiving, possession of methamphetamine, and possession of drug paraphernalia, as defendant was in constructive possession of the contraband found at the residence; although another individual also was in the residence at the time of the search, defendant had listed the residence as his address, the contraband was found in plain view in common areas in and around the house, and the fact that defendant was in a bedroom hiding under a bed when the search commenced did not negate the additional factors linking him to the contraband. Mudd v. State, 2018 Ark. App. 628, 565 S.W.3d 154 (2018).

Substantial evidence supported defendant's convictions for possession of methamphetamine and possession of paraphernalia because (1) defendant admitted she had smoked methamphetamine that day, (2) defendant owned the house where the methamphetamine was found hidden in a water-heater closet, (3) defendant could not disclaim possession due to being absent when the search warrant was executed, (4) the jury was not required to believe defendant's testimony suggesting that another person had hid the drugs in her residence, and (5) defendant's knowledge of and control over the contraband found in her residence could be inferred from the circumstances. Knauls v. State, 2020 Ark. App. 48, 593 S.W.3d 58 (2020).

Circuit court properly convicted defendant, upon a jury verdict, of possession of cocaine in a criminal detention facility because he exercised dominion and control over the lockbox in which the cocaine was found where he was alone and sleeping in his cell when the officers began the search, the cocaine was found in the lockbox belonging to defendant and for which only he had a key, and, even if both defendant and his cellmate had access to the lockbox, there was sufficient evidence to establish defendant's constructive possession based on joint occupancy. Moten v. State, 2020 Ark. App. 58, 593 S.W.3d 504 (2020).

Evidence was insufficient to support defendant's conviction of possession of less than two grams of methamphetamine because the State did not present substantial evidence that defendant constructively possessed methamphetamine that was found in a nightstand drawer in a bedroom of a jointly occupied house where the State argued that the presence of the ID of defendant's girlfriend in the room was a sufficient link to defendant. Garner v. State, 2020 Ark. App. 101, 594 S.W.3d 145 (2020).

Probation Revocation.

Defense counsel was allowed to withdraw and the circuit court properly revoked defendant's probation because the circuit court heard sufficient evidence to find by a preponderance of the evidence that defendant had possessed marijuana and thus violated his probation. Brown v. State, 2018 Ark. App. 367, 553 S.W.3d 787 (2018).

Search.

Stop was not justified where there was no testimony that the officer was investigating or preventing a crime when she encountered defendant; therefore, the search was illegal and defendant's motion to suppress the evidence of the cocaine and the firearm should have been granted. Jennings v. State, 69 Ark. App. 50, 10 S.W.3d 105 (2000) (decided under former § 5-64-401).

In a possession of drug paraphernalia with intent to manufacture and possession of a controlled substance case, the search warrant was valid and the trial court properly denied defendant's motion to suppress the evidence seized from the shared residence where: (1) the distinctive odor of a methamphetamine lab was a valid contributing factor in establishing probable cause for the warrant; (2) the search warrant was supported by more than mere conclusory statements; (3) the initial search of the residence was limited to the common area outside the residence where no warrant was required, and the search inside the residence was pursuant to a search warrant; (4) even if the landlord's statements were completely eliminated, there were still sufficient facts to support probable cause to search the residence; and (5) the partially incorrect address listed in the search warrant did not make the search warrant defective, especially since the affidavit correctly identified the residence and the officer who had obtained the search warrant and had previously been to the residence would later, himself, conduct the search. Walley v. State, 353 Ark. 586, 112 S.W.3d 349 (2003) (decided under former § 5-64-401).

While federal marshals were arresting defendant at his apartment for a violation of probation, the marshals discovered what they suspected to be cocaine in the bathroom and called the city police, who determined that the substance in the bathroom, which was in plain view, was cocaine, however, the city police officers improperly searched a black bag in another room without defendant's consent; thus, if the evidence found in the illegal search of black bag motivated the officers to obtain a search warrant, the illegal search would preclude application of the independent-source doctrine and the evidence would be inadmissible. Lauderdale v. State, 82 Ark. App. 474, 120 S.W.3d 106 (2003) (decided under former § 5-64-401).

Sentence.

Defendant was charged as a habitual offender, having been previously convicted of four felonies, and the jury convicted him of a Class D felony for possessing a usable amount of cocaine, and thus the jury could have imposed punishment within a range of zero years to not more than 15 years in prison; the circuit court explicitly considered defendant's criminal history and determined that an alternative sentence of probation would not be appropriate, and this was not an abuse of discretion, but an exercise of it. Wells v. State, 2017 Ark. App. 174, 518 S.W.3d 106 (2017).

Usable Amounts.

Conviction was reversed where defendant was found to be in possession of a bottle which had less than a usable amount of cocaine. Harbison v. State, 302 Ark. 315, 790 S.W.2d 146 (1990) (decided under former § 5-64-401).

It was proper to allow both a narcotics officer and a chemist with the state crime lab to testify that, in their opinion, .01 grams of crack cocaine was a usable amount. Terrell v. State, 35 Ark. App. 185, 818 S.W.2d 579 (1991) (decided under former § 5-64-401).

The trial court did not err in refusing to instruct the jury that for a quantity of drugs to constitute a usable amount it must be sufficient “to have an effect on the human system”. Terrell v. State, 35 Ark. App. 185, 818 S.W.2d 579 (1991) (decided under former § 5-64-401).

Conviction for possessing a “usable amount” of cocaine was upheld, even though chemist could not testify as to the effect of twelve milligrams on the human body, but could testify that he had seen pieces of crack cocaine of that size loaded into a pipe. Buckley v. State, 36 Ark. App. 7, 816 S.W.2d 894 (1991) (decided under former § 5-64-401).

Evidence was sufficient for the fact finder to determine that the substance was of a measurable amount where the cocaine was capable of quantitative analysis, could be seen with the naked eye, was tangible and could be picked up. Sinks v. State, 44 Ark. App. 1, 864 S.W.2d 879 (1993) (decided under former § 5-64-401).

Although there was no evidence as to the weight of the phencyclidine (PCP), there was substantial evidence to support the finding that a usable amount was detected on a marijuana cigarette that had been dipped in PCP. Williams v. State, 47 Ark. App. 143, 887 S.W.2d 312 (1994) (decided under former § 5-64-401).

Defendant's conviction for possession of methamphetamine was reversed because the state offered no evidence that a usable amount of the contraband existed; the amount of residue on the plastic bags could not be weighed. Porter v. State, 99 Ark. App. 137, 257 S.W.3d 919 (2007) (decided under former § 5-64-401).

Harbison v. State, 302 Ark. 315, 790 S.W.2d 146 (1990), means what it holds; possession of a container with a trace amount or residue of contraband that is neither measurable nor usable is not possession of a controlled substance under this section. Porter v. State, 99 Ark. App. 137, 257 S.W.3d 919 (2007) (decided under former § 5-64-401).

Evidence was sufficient to convict defendant of possession of less than two grams of cocaine, as the State proved that defendant possessed a usable amount of cocaine. The State's expert witness testified that defendant possessed four milligrams of cocaine powder and testified as to the specific process used to measure the cocaine; the expert witness's description of his process revealed that the cocaine was capable of quantitative analysis, could be seen with a naked eye, was tangible and could be picked up, and was a clearly measurable amount. Christian v. State, 2018 Ark. App. 594, 566 S.W.3d 527 (2018).

5-64-420. Possession of methamphetamine or cocaine with the purpose to deliver.

  1. Except as provided by this chapter, it is unlawful if a person possesses methamphetamine or cocaine with the purpose to deliver the methamphetamine or cocaine. Purpose to deliver may be shown by any of the following factors:
    1. The person possesses the means to weigh, separate, or package methamphetamine or cocaine;
    2. The person possesses a record indicating a drug-related transaction;
    3. The methamphetamine or cocaine is separated and packaged in a manner to facilitate delivery;
    4. The person possesses a firearm that is in the immediate physical control of the person at the time of the possession of methamphetamine or cocaine;
    5. The person possesses at least two (2) other controlled substances in any amount; or
    6. Other relevant and admissible evidence that contributes to the proof that a person's purpose was to deliver methamphetamine or cocaine.
  2. A person who violates this section upon conviction is guilty of a:
    1. Class C felony if the person possessed less than two grams (2g) of methamphetamine or cocaine by aggregate weight, including an adulterant or diluent;
    2. Class B felony if the person possessed two grams (2g) or more but less than ten grams (10g) of methamphetamine or cocaine by aggregate weight, including an adulterant or diluent; or
    3. Class A felony if the person possessed ten grams (10g) or more but less than two hundred grams (200g) of methamphetamine or cocaine by aggregate weight, including an adulterant or diluent.

History. Acts 2011, No. 570, § 45.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Research References

ALR.

What Constitutes “Aggravated Felony” for Which Alien Can Be Deported or Removed Under § 237(a)(2)(A)(iii) of Immigration and Nationality Act (8 U.S.C. § 1227(a)(2)(A)(iii)) — Cocaine and Crack Cocaine Offenses Under 8 U.S.C. § 1101(a)(43)(B). 76 A.L.R. Fed. 2d 61.

What Constitutes “Aggravated Felony” for Which Aliens Can Be Deported or Removed Under § 237(a)(2)(A)(iii) of the Immigration and Nationality Act (8 U.S.C. § 1227(a)(2)(A)(iii)) — Illicit Methamphetamine Offenses Under 8 U.S.C. § 1101(a)(43)(B). 78 A.L.R. Fed. 2d 151.

Case Notes

Competency.

Where defendant, who had tried to commit suicide while in custody, appealed his convictions for violating this section and § 5-64-443(c), the circuit court did not err by denying his motion for a psychological evaluation. Defendant's mere statement that he was depressed was not enough to give the circuit court reason to believe that mental disease or defect would be an issue or to give the circuit court reason to doubt his fitness to proceed. King v. State, 2014 Ark. App. 81, 432 S.W.3d 127 (2014).

Double Jeopardy.

There was no double jeopardy violation where defendant was sentenced for both possession with intent to deliver a controlled substance and simultaneous possession of drugs and firearms under § 5-74-106; the legislature made it clear that it wished to assess an additional penalty for simultaneously possessing drugs and a firearm. Rowbottom v. State, 341 Ark. 33, 13 S.W.3d 904 (2000) (decided under former § 5-64-401).

Evidence.

Evidence of subsequent drug sales was properly admitted at defendant's trial for possession of cocaine with the intent to deliver and possession of methamphetamine with the intent to deliver; pursuant to Ark. R. Evid. 404(b) and 403, the evidence was relevant to whether defendant intended to deliver the drugs, and was not unfairly prejudicial. Turner v. State, 2009 Ark. App. 822 (2009) (decision under prior law).

Evidence Insufficient.

Evidence was not sufficient to convict defendant of possession with intent to deliver cocaine found in a vehicle registered to his brother. Although cocaine was found on both sides of the vehicle, it was sufficiently well hidden that defendant would not have been aware of its presence simply by riding in or driving the vehicle; there was no evidence he had been in or around the vehicle before a trip with his brother; and the only evidence of nervousness was that he did not make eye contact with the officer. Bustillos v. State, 2012 Ark. App. 654, 425 S.W.3d 44 (2012), cert. denied, — U.S. —, 134 S. Ct. 74, 187 L. Ed. 2d 57 (2013).

Evidence Sufficient.

Trial court did not err in denying defendant's motion for a directed verdict because there was substantial evidence to support defendant's conviction for possession of cocaine with intent to deliver; defendant had three cellular telephones attached to defendant's belt and digital scales were found in the glove compartment of defendant's vehicle. Dishman v. State, 2011 Ark. App. 437, 384 S.W.3d 590 (2011) (decided under former § 5-64-401).

Evidence was sufficient to convict defendant of possession with intent to deliver cocaine found in a vehicle registered to him and covered by an insurance policy that only lasted 30 days. The cocaine was found in a location that would take time and effort to access and was hidden in a manner that would not have been possible for a transient passenger; also, defendant appeared nervous during the stop. Bustillos v. State, 2012 Ark. App. 654, 425 S.W.3d 44 (2012), cert. denied, — U.S. —, 134 S. Ct. 74, 187 L. Ed. 2d 57 (2013).

Where a defendant appealed his conviction for possession of methamphetamine with the purpose to deliver, he unsuccessfully argued that there was insufficient evidence to support the conviction. Four out of the five statutory factors indicating a purpose to deliver methamphetamine were present in the case. King v. State, 2014 Ark. App. 81, 432 S.W.3d 127 (2014).

State sufficiently put forth evidence to support defendant's conviction for felony possession of methamphetamine with intent to deliver and to support his conviction for misdemeanor possession of marijuana. The evidence was sufficient that defendant was in possession of the drugs because defendant had exercised control over a motel room where the contraband was discovered. Jordan v. State, 2016 Ark. App. 255, 492 S.W.3d 543 (2016).

Evidence that defendant was the only person in the vehicle when arrested, both the methamphetamine and the drug paraphernalia were within his reach, the methamphetamine was packed in one large and one small container, and defendant had a large amount of cash on him was sufficient to support defendant's conviction for possession with intent to deliver. Medlock v. State, 2016 Ark. App. 282, 493 S.W.3d 789 (2016).

Informers.

Where the informant was not present when the search was made, nor was the defendant charged with a sale that the informant witnessed, the defendant did not need to know the name of the confidential informant to prepare his defense. Sanchez v. State, 288 Ark. 513, 707 S.W.2d 310 (1986) (decision under prior law).

Lesser-Included Offenses.

While there was not substantial evidence to support defendant's conviction for possession of methamphetamine with intent to deliver, there was clearly substantial evidence to support a conviction for the lesser-included offense of possession of methamphetamine, given that defendant admitted to possession of the small quantity seized from the kitchen table; where the evidence was insufficient to sustain a conviction for a certain crime, but where there was sufficient evidence to sustain a conviction for a lesser-included offense, the appellate court could resentence the defendant or remand the case to the trial court for resentencing. Cooper v. State, 84 Ark. App. 342, 141 S.W.3d 7 (2004) (decision under prior law).

Possession.

Joint occupancy of premises alone will not be sufficient to establish possession or joint possession unless there are additional factors from which the jury can infer possession. Osborne v. State, 278 Ark. 45, 643 S.W.2d 251 (1982) (decision under prior law).

There are two separate problems involved in establishing the defendant's “exclusive control” of the premises in order to impute possession; the first is whether the accused is a sole or joint occupant, and the second is, if the accused is the sole occupant, does he have actual exclusive control of the premises. Osborne v. State, 278 Ark. 45, 643 S.W.2d 251 (1982) (decision under prior law).

Possession need not be actual, physical possession, but may be constructive, when one controls a substance or has the right to control it; constructive possession can be implied when the contraband is found in a place immediately and exclusively accessible to the defendant and subject to his control, or to the joint control of the accused and another, but neither actual nor exclusive possession of the contraband is necessary to sustain a charge of possession. Osborne v. State, 278 Ark. 45, 643 S.W.2d 251 (1982) (decision under prior law).

Possession may be constructive when one controls a substance or has the right to control it; actual physical possession at the time of the arrest is not required. Sanchez v. State, 288 Ark. 513, 707 S.W.2d 310 (1986) (decision under prior law).

Where contraband is discovered in jointly occupied premises, and there is no direct evidence that it belongs to a particular occupant, some additional factor must be present linking the accused to the contraband. The state must prove that the accused exercised care, control and management over the contraband. Hodge v. State, 303 Ark. 375, 797 S.W.2d 432 (1990) (decision under prior law).

Evidence held sufficient to support a conviction for possession of controlled substance with intent to deliver. Crossley v. State, 304 Ark. 378, 802 S.W.2d 459 (1991) (decision under prior law).

The state need not prove that the accused had actual possession of a controlled substance; constructive possession is sufficient. Constructive possession can be implied where the contraband is found in a place immediately and exclusively accessible to the accused and subject to his control. Crossley v. State, 304 Ark. 378, 802 S.W.2d 459 (1991) (decision under prior law).

Neither exclusive nor physical possession is necessary to sustain a charge if the place where the offending substance is found is under the dominion and control of the accused. Crossley v. State, 304 Ark. 378, 802 S.W.2d 459 (1991) (decision under prior law).

Substantial evidence of constructive possession existed where abundant amounts of contraband lay in front of the defendant, in plain view, on the table, in his house when the police arrived. Nichols v. State, 306 Ark. 417, 815 S.W.2d 382 (1991) (decision under prior law).

Joint occupancy alone is not sufficient to establish possession or joint possession; there must be some additional factor linking the accused to the contraband. Littlepage v. State, 314 Ark. 361, 863 S.W.2d 276 (1993) (decision under prior law).

In order to prove a defendant is in possession of a controlled substance, constructive possession is sufficient; neither exclusive nor actual, physical possession of a controlled substance is necessary to sustain a charge. Kilpatrick v. State, 322 Ark. 728, 912 S.W.2d 917 (1995) (decided under former § 5-64-401).

Among the “linking” factors this court has considered in cases involving vehicles occupied by more than one person are: (1) whether the contraband is in plain view; (2) whether the contraband is found with accused's personal effects; (3) whether the contraband is found on the same side of the car seat as the accused was sitting or in near proximity to it; (4) whether the accused is the owner of the automobile, or exercises dominion and control over it; (5) whether the accused acted suspiciously before or during the arrest. Courts have also considered the improbability that anyone other than the occupants of the vehicle placed the contraband in the vehicle; and the improbable nature of the accused's explanation for his journey. Kilpatrick v. State, 322 Ark. 728, 912 S.W.2d 917 (1995) (decided under former § 5-64-401).

Evidence of possession held sufficient, even though parcel delivery service package was addressed to defendant's son, where defendant's activity in attempting to retrieve the package from the delivery service office supported the inference that defendant knew what the package contained. Heritage v. State, 326 Ark. 839, 936 S.W.2d 499 (1996) (decided under former § 5-64-401).

Evidence of possession held sufficient where the drugs and the defendant were both in a garage and the drug container was on the floor three feet from the defendant. Darrough v. State, 330 Ark. 808, 957 S.W.2d 707 (1997) (decided under former § 5-64-401).

Where contraband is discovered in jointly occupied premises and there is no direct evidence that it belongs to a particular occupant, some additional factors must be present linking the accused to the contraband; the state must prove that the accused exercised care, control and management over the contraband. Garner v. State, 355 Ark. 82, 131 S.W.3d 734 (2003) (decided under former § 5-64-401).

During a random inspection of his truck, where defendant gave police officer the key to his trailer and consented to the search of his truck, evidence was sufficient to show that defendant constructively possessed 334.4 pounds of marijuana found in duffel bags and 4.26 pounds of cocaine found in the trailer; although there was a passenger in the cab, defendant had the only key to the locked trailer. McKenzie v. State, 362 Ark. 257, 208 S.W.3d 173 (2005) (decided under former § 5-64-401).

Sufficient evidence existed to convict defendant of possession of cocaine and marijuana with intent to deliver where (1) defendant exercised dominion over the car that he was driving, (2) the smell of marijuana from the trunk was so strong that, when the trunk was opened, defendant would have known it was there, and (3) there was a strong inference that the clothes in the trunk belonged to defendant. Malone v. State, 364 Ark. 256, 217 S.W.3d 810 (2005), cert. denied, 547 U.S. 1102, 126 S. Ct. 1890, 164 L. Ed. 2d 575 (2006) (decision under prior law).

Trial court properly denied defendant's motion for directed verdict where substantial evidence existed to support a conclusion that defendant had the intent to possess and deliver 520 grams of cocaine rather than the 12.7914 that he actually possessed and, thus, the jury properly sentenced defendant. Strong v. State, 368 Ark. 23, 242 S.W.3d 620 (2006) (decided under former § 5-64-401).

Trial court did not err in denying defendant's motion for a directed verdict where there was sufficient evidence under the constructive-possession inquiry to link defendant to the contraband, crack cocaine, under the driver's seat and in the back seat of a vehicle; the vehicle was not only registered in defendant's name, but defendant also insured it. Hence, defendant was properly convicted of possession of a controlled substance with intent to deliver. Tubbs v. State, 370 Ark. 47, 257 S.W.3d 47 (2007) (decision under prior law).

Evidence was sufficient to sustain a conviction for possession of methamphetamine with intent to deliver because when defendant left the residence, the bed of the truck was empty, but when he returned, the bed of the truck was full, and a parole officer testified that she found the coat with methamphetamine in defendant's truck in defendant's backyard. As the state points out, when the truck was searched, it was immediately and exclusively accessible to defendant, and he was in close proximity to the methamphetamine. Tryon v. State, 371 Ark. 25, 263 S.W.3d 475 (2007) (decided under former § 5-64-401).

Sufficient evidence supported a perpetrator's conviction of possession of controlled substances with the intent to deliver because the perpetrator's perfectly timed flight when officers pried open a false compartment in the vehicle in which the perpetrator was occupant was sufficiently compelling to show that he knew drugs were hidden in false compartment, and established possession. Benitez v. State, 99 Ark. App. 140, 257 S.W.3d 902 (2007) (decision under prior law).

Defendant was properly found guilty of possession of cocaine with the intent to deliver and possession of methamphetamine with the intent to deliver because there was substantial evidence that defendant, who continued to live at the residence at the time it was searched, was in constructive possession of the contraband found, and an informant testified that he made three controlled drug buys from defendant at the residence. Turner v. State, 2009 Ark. App. 822 (2009) (decision under prior law).

For purposes of his conviction of possession of methamphetamine with purpose to deliver, there was sufficient evidence to find that defendant was in constructive possession of the methamphetamine in the truck, where defendant drove the truck containing the drugs from a church to a nearby gas station because he and codefendant were spooked by police being in the area and defendant knew where the drugs were and was in proximity to them because he hit part of the truck to show the confidential informant where the drugs were hidden. Baker v. State, 2019 Ark. App. 515, 588 S.W.3d 844 (2019).

Sentencing.

Failure of the State to plead a specific amount of cocaine alleged to have been possessed did not limit the sentence that defendant could receive to the minimum allowed. Bustillos v. State, 2012 Ark. App. 654, 425 S.W.3d 44 (2012), cert. denied, — U.S. —, 134 S. Ct. 74, 187 L. Ed. 2d 57 (2013).

Suppression of Evidence.

Contact between defendant and an officer was the result of an investigation into drug-related criminal activity, not a routine traffic stop, because the officer blocked the vehicle in the driveway, demanded that defendant move to the back of the vehicle, informed her that he knew there were drugs in the vehicle, and asked where they were located. Defendant's pre-Miranda statement should have been suppressed. James v. State, 2012 Ark. App. 118, 390 S.W.3d 95 (2012).

Where defendant appealed his convictions for violating this section and § 5-64-443(c), circuit court's decision to deny his motion to suppress the evidence was not clearly against the preponderance of the evidence. Because he met the officers on his front porch with a rifle, an officer reasonably detained and frisked him to ensure the officers' safety, and the contraband was discovered when, after the valid frisk, defendant voluntarily pulled the contraband out of his pocket and showed it to the officer. King v. State, 2014 Ark. App. 81, 432 S.W.3d 127 (2014).

5-64-421. [Reserved.]

  1. Except as provided by this chapter, it is unlawful for a person to deliver methamphetamine or cocaine.
    1. A person who delivers less than two grams (2g) by aggregate weight, including an adulterant or diluent, of methamphetamine or cocaine upon conviction is guilty of a Class C felony.
    2. A person who delivers two grams (2g) or more but less than ten grams (10g) by aggregate weight, including an adulterant or diluent, of methamphetamine or cocaine upon conviction is guilty of a Class B felony.
    3. A person who delivers ten grams (10g) or more but less than two hundred grams (200g) by aggregate weight, including an adulterant or diluent, of methamphetamine or cocaine upon conviction is guilty of a Class Y felony.

History. Acts 2011, No. 570, § 46.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Research References

ALR.

What Constitutes “Aggravated Felony” for Which Alien Can Be Deported or Removed Under § 237(a)(2)(A)(iii) of Immigration and Nationality Act (8 U.S.C. § 1227(a)(2)(A)(iii)) — Cocaine and Crack Cocaine Offenses Under 8 U.S.C. § 1101(a)(43)(B). 76 A.L.R. Fed. 2d 61.

What Constitutes “Aggravated Felony” for Which Aliens Can Be Deported or Removed Under § 237(a)(2)(A)(iii) of the Immigration and Nationality Act (8 U.S.C. § 1227(a)(2)(A)(iii)) — Illicit Methamphetamine Offenses Under 8 U.S.C. § 1101(a)(43)(B). 78 A.L.R. Fed. 2d 151.

Case Notes

Constitutionality.

The imposition of sentence of life imprisonment for delivery of less than one-quarter gram of cocaine base, which was the defendant's first offense, constituted cruel and unusual punishment under the Eighth Amendment to the federal constitution. Henderson v. Norris, 258 F.3d 706 (8th Cir. 2001) (decided under former § 5-64-401).

Cocaine.

Cocaine is a Schedule II controlled substance. Briggs v. State, 18 Ark. App. 292, 715 S.W.2d 223 (1986) (decision under prior law).

It is unnecessary for the state to offer evidence to the trial court, sitting without a jury, that cocaine is listed by the health department as a Schedule II controlled substance or that cocaine is classified by the legislature as a narcotic drug. Lively v. State, 25 Ark. App. 198, 755 S.W.2d 238 (1988) (decision under prior law).

Delivery.

—In General.

Evidence held sufficient to sustain conviction for delivery of controlled substance. Womack v. State, 301 Ark. 193, 783 S.W.2d 33 (1990); Butler v. State, 303 Ark. 380, 797 S.W.2d 435 (1990) (decisions under prior law).

Although a third person ultimately took the money, defendant could be guilty of “delivery” of a controlled substance, as one does not have to receive money to be guilty of delivery of a controlled substance. Higgs v. State, 313 Ark. 272, 854 S.W.2d 328 (1993) (decided under former § 5-64-401).

Evidence.

In a prosecution for delivery of cocaine it was not error for the court to admit evidence of the street value of the cocaine as the prejudicial effect did not outweigh its probative value. Hoback v. State, 286 Ark. 153, 689 S.W.2d 569 (1985) (decision under prior law).

Discrepancies in the testimony as to whether the informant's hands were always clearly visible during the first exchange, whether the cocaine was wrapped in tin foil or white paper, how thoroughly the informant was searched before the first exchange, and whether the second officer saw what the defendant handed to the informant did not make the evidence insufficient for three counts of delivery of controlled substances, as minor discrepancies, conflicts, and inconsistencies are for the jury to assess in weighing the testimony. Parker v. State, 290 Ark. 94, 717 S.W.2d 197 (1986) (decision under prior law).

Evidence that defendant sold a quantity of cocaine in exchange for money constituted substantial evidence to sustain conviction for the delivery of a controlled substance and it was not incumbent upon the state in these circumstances to produce evidence of a usable amount. Kellogg v. State, 37 Ark. App. 162, 827 S.W.2d 166 (1992) (decision under prior law).

Testimony of prior marijuana use and sale, as reflective of the accused's predisposition toward committing the crime of delivery of a controlled substance, is generally admissible to rebut the defense of entrapment, and is relevant on a material point in issue. Kellogg v. State, 37 Ark. App. 162, 827 S.W.2d 166 (1992) (decision under prior law).

Defendant's conviction of delivery of methamphetamine was reversed because the trial court erred by admitting evidence of a prior controlled drug buy under Ark. R. Evid. 404(b) that occurred approximately two weeks before the instant crime; the court could not perceive of any reason for the admission of the prior crime other than to show that defendant was a drug dealer likely to have sold drugs again on the particular date for which he was tried. The record did not show that identity was an issue at trial, and it showed that the controlled buys were fairly routine drug transactions and failed to show a unique methodology; defendant's intent was not at issue. Phavixay v. State, 373 Ark. 168, 282 S.W.3d 795 (2008) (decided under former § 5-64-401).

Evidence Sufficient.

Evidence that included identification of defendant by an informant and by three police officers was sufficient to support a jury's finding that defendant had twice delivered methamphetamine to the confidential informant. The fact that one officer referred to defendant, a black male, as WM, white male, in a police report was explained as a typographical error. Benjamin v. State, 102 Ark. App. 309, 285 S.W.3d 264 (2008) (decided under former § 5-64-401).

Where both a detective and a confidential informant testified as to the details of a controlled drug buy, the evidence showed that the informant was given $250 in marked money, fitted with an audio device, sent to an apartment where he met defendant, and left the apartment with a baggie containing 1.7794 grams of methamphetamine which he gave to the detective. There was substantial evidence of “delivery” within the meaning of subdivision (7) of this section to support defendant's conviction for delivery of methamphetamine; the district court did not err by denying defendant's motion for a directed verdict. Phavixay v. State, 2009 Ark. 452, 352 S.W.3d 311 (2009) (decided under former § 5-64-401).

Evidence supporting defendant's convictions for three counts of delivering a controlled substance was substantial because the jury had substantial, if not overwhelming, evidence from which to infer with reasonable certainty from the circumstances that defendant formed the necessary criminal intent to sell a confidential informant crack cocaine; a captain of the police department testified that his office received multiple calls indicating that defendant was engaged in selling controlled substances, and evidence was presented that on three occasions the confidential informant assisted the police in making controlled buys of crack cocaine from defendant and that the substances the confidential informant purchased from defendant tested positive for crack cocaine. Edwards v. State, 2010 Ark. App. 59, 377 S.W.3d 271 (2010) (decided under former § 5-64-401).

State produced substantial evidence to support verdict of guilty on three counts of delivery of a controlled substance because the state presented testimony from the officers involved, testimony from an informant, and recordings of the transactions. Earl v. State, 2010 Ark. App. 186 (2010) (decided under former § 5-64-401).

Evidence was sufficient to sustain defendant's conviction for delivery of methamphetamine, where a confidential informant testified that she bought a baggie of drugs from defendant, chemical testing confirmed that the baggie contained methamphetamine, and since the informant was not an accomplice, her testimony did not require corroboration. Childers v. State, 2016 Ark. App. 371, 498 S.W.3d 742 (2016).

Informant.

Informant and a drug task force officer both testified that the informant was given cash by the officer, the informant called defendant to set up a purchase, defendant arrived in a car, the informant presented the controlled-drug-buy money to defendant, and was given small off-white rocks that contained a cocaine base. The evidence was sufficient to support defendant's conviction for delivery of cocaine. Green v. State, 2009 Ark. App. 589, dismissed, 2009 Ark. 574 (2009) (decision under prior law).

Evidence was sufficient to sustain defendant's conviction for delivery of methamphetamine where a confidential informant drug purchaser testified that she first transferred money for the drug to defendant and he then gave her the drug, and the jury was aware of her prior arrest for drug-related felonies. The informant's testimony alone was sufficient and did not need to be corroborated by the agent; the informant was not working as an informant as part of a negotiated deal to drop drug charges and the agent searched her before and after the purchase. Cave v. State, 2017 Ark. App. 212, 518 S.W.3d 134 (2017).

Participants to Transactions.

This section does not require that the perpetrator ultimately receive money, only that he participate in the transfer of the substance in exchange for money or anything of value; the fact that an accused is only the agent of a buyer or seller of drugs does not remove the transfer from the ambit of this section. Higgs v. State, 313 Ark. 272, 854 S.W.2d 328 (1993) (decided under former § 5-64-401).

Reverse buys do not constitute entrapment as a matter of law. Pyle v. State, 340 Ark. 53, 8 S.W.3d 491 (2000) (decided under former § 5-64-401).

5-64-423. Manufacture of methamphetamine — Manufacture of cocaine.

    1. Except as provided by this chapter, it is unlawful for a person to manufacture methamphetamine.
      1. A person who manufactures methamphetamine in an amount less than two grams (2g) by aggregate weight, including an adulterant or diluent, upon conviction is guilty of a Class C felony.
        1. A person who manufactures methamphetamine in an amount of two grams (2g) or more by aggregate weight, including an adulterant or diluent, upon conviction is guilty of a Class Y felony.
          1. However, a person who manufactures methamphetamine in an amount of two grams (2g) or more by aggregate weight, including an adulterant or diluents, upon conviction is guilty of a Class A felony if the person shows by a preponderance of the evidence that he or she manufactured the methamphetamine for personal use only.
          2. Factors indicative of personal use may include without limitation the:
            1. Person did not make a delivery of methamphetamine;
            2. Quantity of methamphetamine manufactured by the person; or
            3. Method of manufacturing methamphetamine used by the person.
    2. A person who has one (1) or more prior convictions of manufacturing methamphetamine in any amount under this section or the former § 5-64-401 upon conviction is guilty of a Class Y felony.
    1. Except as provided by this chapter, it is unlawful for a person to manufacture cocaine.
      1. A person who manufactures cocaine in an amount less than two grams (2g) by aggregate weight, including an adulterant or diluent, upon conviction is guilty of a Class C felony.
      2. A person who manufactures cocaine in an amount of two grams (2g) or more but less than ten grams (10g), by aggregate weight, including an adulterant or diluent, upon conviction is guilty of a Class B felony.
      3. A person who manufactures cocaine in an amount of ten grams (10g) or more but less than two hundred grams (200g), by aggregate weight, including an adulterant or diluent, upon conviction is guilty of a Class Y felony.

History. Acts 2011, No. 570, § 47.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Case Notes

Accomplice Testimony.

Defendant's motion for a directed verdict based on the claim that accomplice testimony was not credible was properly denied where testimony about the agreement between accomplice and defendant to manufacture methamphetamine for sale, and the actual manufacture, was corroborated by the presence of numerous precursor products and substances found in the search of defendant's house; in any event, the question of the accomplice's credibility was for the jury and substantial evidence supported defendant's conviction. Wilson v. State, 88 Ark. App. 158, 196 S.W.3d 511 (2004) (decision under prior law).

Evidence Sufficient.

Judgment convicting defendant of manufacturing methamphetamine, possession of drug paraphernalia with the intent to manufacture methamphetamine, first-degree endangering the welfare of a minor under § 5-27-205(a)(1), manufacturing methamphetamine in the presence of a minor, and manufacturing methamphetamine near certain facilities was affirmed because contraband was found in the kitchen and bedroom of defendant's residence, strewn about his yard, and in an outbuilding behind his residence; the materials found in the search were the components of a methamphetamine lab; at least two of defendant's minor children were present in the residence at the time of the search; and the drug paraphernalia and chemicals found could easily be accessed by the children. Morgan v. State, 2009 Ark. 257, 308 S.W.3d 147 (2009) (decided under former § 5-64-401).

Sufficient evidence supported defendant's conviction for manufacturing methamphetamine where various items used in such manufacture along with defendant's identification card were found in a trailer where he was observed the night before his arrest. Coger v. State, 2017 Ark. App. 466, 529 S.W.3d 640 (2017).

Firearm Possession.

State did not have to show that defendant physically possessed the handgun in order to sustain a conviction under § 5-74-106 for its possession if the gun's location was such that it was under defendant's dominion and control; the gun in defendant's kitchen next to items used to manufacture methamphetamine sufficiently met that burden. Cherry v. State, 80 Ark. App. 222, 95 S.W.3d 5 (2003) (decided under former § 5-64-401).

Lesser-Included Offenses.

Defense counsel was not ineffective for not objecting that defendants' convictions violated double jeopardy under § 5-1-110(b) because possession of drug paraphernalia with intent to manufacture methamphetamine was not a lesser-included offense of manufacturing methamphetamine. Myers v. State, 2012 Ark. 143, 400 S.W.3d 231 (2012) (decided under former § 5-64-401).

Defense counsel was not ineffective for not objecting that defendants' convictions violated double jeopardy because possession of methamphetamine with intent to deliver was not a lesser-included offense of manufacturing methamphetamine. Myers v. State, 2012 Ark. 143, 400 S.W.3d 231 (2012) (decided under former § 5-64-401).

Manufacture.

There was sufficient evidence to support a conviction for manufacturing methamphetamine based on accomplice liability where the evidence showed that drug manufacturing was taking place on defendant's property, defendant admitted knowledge of the operation, and a co-defendant also testified regarding defendant's knowledge of the operation. George v. State, 356 Ark. 345, 151 S.W.3d 770 (2004) (decided under former § 5-64-401).

There was substantial evidence to support defendant's conviction for manufacturing methamphetamine because, although there was no HCL generator discovered in the search of defendant's house, a substance identified as methamphetamine oil was found, which was the second-to-last stage in the process of manufacturing methamphetamine; although the manufacturing process was not finished, it had proceeded to all but the final stage, and the components necessary for completion had been assembled. Dodson v. State, 88 Ark. App. 380, 199 S.W.3d 115 (2004) (decided under former § 5-64-401).

Evidence was sufficient to sustain a conviction for manufacturing methamphetamine where multiple ingredients and devices used in methamphetamine production were found together with the by-products of such production in defendant's van, as well as actual methamphetamine. Saul v. State, 365 Ark. 77, 225 S.W.3d 373 (2006) (decided under former § 5-64-401) .

5-64-424. Possession of a Schedule I or Schedule II controlled substance that is not methamphetamine or cocaine with the purpose to deliver.

  1. Except as provided in this chapter, it is unlawful if a person possesses a Schedule I or Schedule II controlled substance that is not methamphetamine or cocaine with the purpose to deliver the Schedule I or Schedule II controlled substance that is not methamphetamine or cocaine. Purpose to deliver may be shown by any of the following factors:
    1. The person possesses the means to weigh, separate, or package a Schedule I or Schedule II controlled substance that is not methamphetamine or cocaine;
    2. The person possesses a record indicating a drug-related transaction;
    3. The Schedule I or Schedule II controlled substance that is not methamphetamine or cocaine is separated and packaged in a manner to facilitate delivery;
    4. The person possesses a firearm that is in the immediate physical control of the person at the time of the possession of the Schedule I or Schedule II controlled substance that is not methamphetamine or cocaine;
    5. The person possesses at least two (2) other controlled substances in any amount; or
    6. Other relevant and admissible evidence that contributes to the proof that a person's purpose was to deliver a Schedule I or Schedule II controlled substance that is not methamphetamine or cocaine.
  2. A person who violates this section upon conviction is guilty of a:
    1. Class C felony if the person possessed by aggregate weight, including an adulterant or diluent, less than two grams (2g) of a Schedule I or Schedule II controlled substance that is not methamphetamine or cocaine;
    2. Class B felony if the person possessed by aggregate weight, including an adulterant or diluent:
      1. Two grams (2g) or more but less than twenty-eight grams (28g) of a Schedule I or Schedule II controlled substance that is not methamphetamine, cocaine, or a controlled substance listed in this subdivision (b)(2);
      2. Eighty (80) or more but less than one hundred sixty (160) dosage units of hydromorphone hydrochloride;
      3. Eighty (80) or more but less than one hundred sixty (160) dosage units of lysergic acid diethylamide (LSD);
      4. Eighty (80) or more but less than one hundred sixty (160) dosage units but not more than two hundred grams (200g) for any other Schedule I or Schedule II depressant or hallucinogenic drug; or
      5. Eighty (80) or more but less than one hundred sixty (160) dosage units but not more than two hundred grams (200g) for any other Schedule I or Schedule II stimulant drug; or
    3. Class A felony if the person possessed by aggregate weight, including an adulterant or diluent:
      1. Twenty-eight grams (28g) or more but less than two hundred grams (200g) of a Schedule I or Schedule II controlled substance that is not methamphetamine, cocaine, or a controlled substance listed in this subdivision (b)(3);
      2. One hundred twenty-eight milligrams (128mg) or more or one hundred sixty (160) dosage units or more but less than two hundred grams (200g) of hydromorphone hydrochloride;
      3. One thousand six hundred micrograms (1,600µ) or more or one hundred sixty (160) dosage units or more but less than two hundred grams (200g) of lysergic acid diethylamide (LSD);
      4. One hundred sixty (160) dosage units or more regardless of weight but less than two hundred grams (200g) for any other Schedule I or Schedule II depressant or hallucinogenic drug; or
      5. One hundred sixty (160) dosage units or more regardless of weight but less than two hundred grams (200g) for any other Schedule I or Schedule II stimulant drug.
  3. It is a defense to a prosecution under this section that the person possessed less than the minimum listed amount of a Schedule I or Schedule II controlled substance that is not methamphetamine or cocaine and that is listed in this section.

History. Acts 2011, No. 570, § 48.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Research References

ALR.

What Constitutes “Aggravated Felony” for Which Alien Can Be Deported or Removed Under § 237(a)(2)(A)(iii) of the Immigration and Nationality Act (8 U.S.C. § 1227(a)(2)(A)(iii)) — Heroin Offenses Under 8 U.S.C. § 1101(a)(43)(B). 78 A.L.R. Fed. 2d 133.

What Constitutes “Aggravated Felony” for Which Alien Can Be Deported or Removed Under § 237(a)(2)(A)(iii) of Immigration and Nationality Act (8 U.S.C. § 1227(a)(2)(A)(iii)) — Miscellaneous or Unspecified Narcotics Offenses Under 8 U.S.C. § 1101(a)(43)(B). 79 A.L.R. Fed. 2d 335.

5-64-425. [Reserved.]

  1. This section does not apply to the delivery of methamphetamine or cocaine, which is governed by § 5-64-422.
  2. Except as provided in this chapter, it is unlawful for a person to deliver a Schedule I or Schedule II controlled substance.
  3. A person who violates this section upon conviction is guilty of a:
    1. Class C felony if the person delivered by aggregate weight, including an adulterant or diluent, less than two grams (2g) of a Schedule I or Schedule II controlled substance that is not methamphetamine or cocaine;
    2. Class B felony if the person delivered by aggregate weight, including an adulterant or diluent:
      1. Two grams (2g) or more but less than twenty-eight grams (28g) of a Schedule I or Schedule II controlled substance that is not methamphetamine, cocaine, or a controlled substance listed in this subdivision (c)(2);
      2. Eighty (80) or more but less than one hundred sixty (160) dosage units of hydromorphone hydrochloride;
      3. Eighty (80) or more but less than one hundred sixty (160) dosage units of lysergic acid diethylamide (LSD);
      4. Eighty (80) or more but less than one hundred sixty (160) dosage units but not more than two hundred grams (200g) for any other Schedule I or Schedule II depressant or hallucinogenic drug; or
      5. Eighty (80) or more but less than one hundred sixty (160) dosage units but not more than two hundred grams (200g) for any other Schedule I or Schedule II stimulant drug; or
    3. Class A felony if the person delivered by aggregate weight, including an adulterant or diluent:
      1. Twenty-eight grams (28g) or more but less than two hundred grams (200g) of a Schedule I or Schedule II controlled substance that is not methamphetamine, cocaine, or a controlled substance listed in this subdivision (c)(3);
      2. One hundred sixty (160) dosage units or more but less than two hundred grams (200g) of hydromorphone hydrochloride;
      3. One hundred sixty (160) dosage units or more but less than two hundred grams (200g) of lysergic acid diethylamide (LSD);
      4. One hundred sixty (160) dosage units or more regardless of weight but less than two hundred grams (200g) for any other Schedule I or Schedule II depressant or hallucinogenic drug; or
      5. One hundred sixty (160) dosage units or more regardless of weight but less than two hundred grams (200g) for any other Schedule I or Schedule II stimulant drug.

History. Acts 2011, No. 570, § 49.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Research References

ALR.

What Constitutes “Aggravated Felony” for Which Alien Can Be Deported or Removed Under § 237(a)(2)(A)(iii) of the Immigration and Nationality Act (8 U.S.C. § 1227(a)(2)(A)(iii)) — Heroin Offenses Under 8 U.S.C. § 1101(a)(43)(B). 78 A.L.R. Fed. 2d 133.

Case Notes

Delivery.

Evidence held sufficient to sustain conviction for delivery of controlled substance. Crain v. State, 268 Ark. 656, 594 S.W.2d 863 (Ct. App. 1980) (decision under prior law).

Lesser-Included Offenses.

Possession of heroin is a lesser-included offense of delivery of heroin. Glover v. State, 273 Ark. 376, 619 S.W.2d 629 (1981) (decision under prior law).

Participants to Transactions.

Where a narcotics officer had negotiated with defendant about selling him a controlled substance, the officer gave money to defendant's confederate and the defendant's accomplice delivered a controlled substance to the officer, evidence was sufficient to show that the defendant was an active participant in the transaction. Merritt v. State, 258 Ark. 558, 528 S.W.2d 365 (1975) (decision under prior law).

Where the defendant simply introduced the undercover officers to the sellers of controlled substance from whom the officers bought controlled substance, the defendant was not guilty of delivering controlled substance since he would have had to take a more active part to be a principal or even an accomplice. Daigger v. State, 268 Ark. 249, 595 S.W.2d 653 (1980) (decision under prior law).

Cited: Cave v. State, 2017 Ark. App. 212, 518 S.W.3d 134 (2017).

5-64-427. Manufacture of a Schedule I or Schedule II controlled substance that is not methamphetamine or cocaine.

  1. This section does not apply to the manufacture of methamphetamine or cocaine, which is governed by § 5-64-423.
  2. Except as provided by this chapter, it is unlawful for a person to manufacture a Schedule I or Schedule II controlled substance.
  3. A person who violates this section upon conviction is guilty of a:
    1. Class C felony if the person manufactured by aggregate weight, including an adulterant or diluent, less than two grams (2g) of a Schedule I or Schedule II controlled substance that is not methamphetamine or cocaine;
    2. Class B felony if the person manufactured by aggregate weight, including an adulterant or diluent:
      1. Two grams (2g) or more but less than twenty-eight grams (28g) of a Schedule I or Schedule II controlled substance that is not methamphetamine, cocaine, or a controlled substance listed in this subdivision (c)(2);
      2. Eighty (80) or more but less than one hundred sixty (160) dosage units of hydromorphone hydrochloride;
      3. Eighty (80) or more but less than one hundred sixty (160) dosage units of lysergic acid diethylamide (LSD);
      4. Eighty (80) or more but less than one hundred sixty (160) dosage units for any other Schedule I or Schedule II depressant or hallucinogenic drug regardless of weight; or
      5. Eighty (80) or more but less than one hundred sixty (160) dosage units for any other Schedule I or Schedule II stimulant drug regardless of weight; or
    3. Class A felony if the person manufactured by aggregate weight, including an adulterant or diluent:
      1. Twenty-eight grams (28g) or more of a Schedule I or Schedule II controlled substance that is not methamphetamine, cocaine, or a controlled substance listed in this subdivision (c)(3);
      2. One hundred sixty (160) dosage units or more of hydromorphone hydrochloride;
      3. One hundred sixty (160) or more dosage units of lysergic acid diethylamide (LSD);
      4. One hundred sixty (160) dosage units or more regardless of weight for any other Schedule I or Schedule II depressant or hallucinogenic drug; or
      5. One hundred sixty (160) dosage units or more regardless of weight for any other Schedule I or Schedule II stimulant drug.

History. Acts 2011, No. 570, § 50.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Research References

ALR.

What Constitutes “Aggravated Felony” for Which Alien Can Be Deported or Removed Under § 237(a)(2)(A)(iii) of the Immigration and Nationality Act (8 U.S.C. § 1227(a)(2)(A)(iii)) — Heroin Offenses Under 8 U.S.C. § 1101(a)(43)(B). 78 A.L.R. Fed. 2d 133.

5-64-428. Possession of a Schedule III controlled substance with the purpose to deliver.

  1. Except as provided by this chapter, it is unlawful if a person possesses a Schedule III controlled substance with the purpose to deliver the Schedule III controlled substance. Purpose to deliver may be shown by any of the following factors:
    1. The person possesses the means to weigh, separate, or package a Schedule III controlled substance;
    2. The person possesses a record indicating a drug-related transaction;
    3. The Schedule III controlled substance is separated and packaged in a manner to facilitate delivery;
    4. The person possesses a firearm that is in the immediate physical control of the person at the time of the possession of the Schedule III controlled substance;
    5. The person possesses at least two (2) other controlled substances in any amount; or
    6. Other relevant and admissible evidence that contributes to the proof that a person's purpose was to deliver a Schedule III controlled substance.
  2. A person who violates this section upon conviction is guilty of a:
    1. Class C felony if the person possessed by aggregate weight, including an adulterant or diluent:
      1. Less than twenty-eight grams (28g) of a Schedule III controlled substance that is not a controlled substance listed in this subdivision (b)(1);
      2. Less than eighty (80) dosage units for any other Schedule III depressant or hallucinogenic drug; or
      3. Less than eighty (80) dosage units for any other Schedule III stimulant drug;
    2. Class B felony if the person possessed by aggregate weight, including an adulterant or diluent:
      1. Twenty-eight grams (28g) or more but less than two hundred grams (200g) of a Schedule III controlled substance that is not a controlled substance listed in this subdivision (b)(2);
      2. Eighty (80) or more but less than one hundred sixty (160) dosage units for any other Schedule III depressant or hallucinogenic drug; or
      3. Eighty (80) or more but less than one hundred sixty (160) dosage units for any other Schedule III stimulant drug; or
    3. Class A felony if the person possessed by aggregate weight, including an adulterant or diluent:
      1. Two hundred grams (200g) or more but less than four hundred grams (400g) of a Schedule III controlled substance not a controlled substance listed in this subdivision (b)(3);
      2. One hundred sixty (160) dosage units or more for any other Schedule III depressant or hallucinogenic drug; or
      3. One hundred sixty (160) dosage units or more for any other Schedule III stimulant drug.
  3. It is a defense to a prosecution under this section that the person possessed less than the minimum listed amount of a Schedule III controlled substance that is listed in this section.

History. Acts 2011, No. 570, § 51; 2013, No. 529, § 2.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2013 amendment substituted “Less” for “Forty (40) or more but less” in (b)(1)(B) and (b)(1)(C).

5-64-429. [Reserved.]

  1. Except as provided by this chapter, it is unlawful for a person to deliver a Schedule III controlled substance.
    1. A person who delivers less than twenty-eight grams (28g) by aggregate weight, including an adulterant or diluent, of a Schedule III controlled substance upon conviction is guilty of a Class C felony.
    2. A person who delivers twenty-eight grams (28g) or more but less than two hundred grams (200g) by aggregate weight, including an adulterant or diluent, of a Schedule III controlled substance upon conviction is guilty of a Class B felony.
    3. A person who delivers two hundred grams (200g) or more but less than four hundred grams (400g) by aggregate weight, including an adulterant or diluent, of a Schedule III controlled substance upon conviction is guilty of a Class A felony.

History. Acts 2011, No. 570, § 52.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Research References

ALR.

What Constitutes “Aggravated Felony” for Which Alien Can Be Deported or Removed Under § 237(a)(2)(A)(iii) of Immigration and Nationality Act (8 U.S.C. § 1227(a)(2)(A)(iii)) — Miscellaneous or Unspecified Narcotics Offenses Under 8 U.S.C. § 1101(a)(43)(B). 79 A.L.R. Fed. 2d 335.

5-64-431. Manufacture of a Schedule III controlled substance.

  1. Except as provided by this chapter, it is unlawful for a person to manufacture a Schedule III controlled substance.
    1. A person who manufactures less than twenty-eight grams (28g) by aggregate weight, including an adulterant or diluent, of a Schedule III controlled substance upon conviction is guilty of a Class C felony.
    2. A person who manufactures twenty-eight grams (28g) or more but less than two hundred grams (200g) by aggregate weight, including an adulterant or diluent, of a Schedule III controlled substance upon conviction is guilty of a Class B felony.
    3. A person who manufactures two hundred grams (200g) or more by aggregate weight, including an adulterant or diluent, of a Schedule III controlled substance upon conviction is guilty of a Class A felony.

History. Acts 2011, No. 570, § 53.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

5-64-432. Possession of a Schedule IV or Schedule V controlled substance with the purpose to deliver.

  1. Except as provided by this chapter, it is unlawful if a person possesses a Schedule IV or Schedule V controlled substance with the purpose to deliver the Schedule IV or Schedule V controlled substance. Purpose to deliver may be shown by any of the following factors:
    1. The person possesses the means to weigh and separate a Schedule IV or Schedule V controlled substance;
    2. The person possesses a record indicating a drug-related transaction;
    3. The Schedule IV or Schedule V controlled substance is separated and packaged in a manner to facilitate delivery;
    4. The person possesses a firearm that is in the immediate physical control of the person at the time of the possession of the Schedule IV or Schedule V controlled substance;
    5. The person possesses at least two (2) other controlled substances in any amount; or
    6. Other relevant and admissible evidence that contributes to the proof that a person's purpose was to deliver a Schedule IV or Schedule V controlled substance.
  2. A person who violates this section upon conviction is guilty of a:
    1. Class D felony if the person possessed by aggregate weight, including an adulterant or diluent:
      1. Less than two hundred grams (200g) of a Schedule IV or Schedule V controlled substance that is not a controlled substance listed in this subdivision (b)(1);
      2. Less than eighty (80) dosage units for any other Schedule IV or Schedule V depressant or hallucinogenic drug; or
      3. Less than eighty (80) dosage units for any other Schedule IV or Schedule V stimulant drug;
    2. Class C felony if the person possessed by aggregate weight, including an adulterant or diluent:
      1. Two hundred grams (200g) or more but less than four hundred grams (400g) of a Schedule IV or Schedule V controlled substance that is not a controlled substance listed in this subdivision (b)(2);
      2. Eighty (80) or more but less than one hundred sixty (160) dosage units for any other Schedule IV or Schedule V depressant or hallucinogenic drug; or
      3. Eighty (80) or more but less than one hundred sixty (160) dosage units for any other Schedule IV or Schedule V stimulant drug; or
    3. Class B felony if the person possessed by aggregate weight, including an adulterant or diluent:
      1. Four hundred grams (400g) or more but less than eight hundred grams (800g) of a Schedule IV or Schedule V controlled substance that is not a controlled substance listed in this subdivision (b)(3);
      2. One hundred sixty (160) dosage units or more but less than eight hundred grams (800g) for any other Schedule IV or Schedule V depressant or hallucinogenic drug; or
      3. One hundred sixty (160) dosage units or more but less than eight hundred grams (800g) for any other Schedule IV or Schedule V stimulant drug.
  3. It is a defense to a prosecution under this section that the person possessed less than the minimum listed amount of a Schedule IV or Schedule V controlled substance that is listed in this section.

History. Acts 2011, No. 570, § 54; 2013, No. 529, § 3.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2013 amendment substituted “Less” for “Forty (40) or more but less” in (b)(1)(B) and (b)(1)(C).

Research References

ALR.

What Constitutes “Aggravated Felony” for Which Alien Can Be Deported or Removed Under § 237(a)(2)(A)(iii) of Immigration and Nationality Act (8 U.S.C. § 1227(a)(2)(A)(iii)) — Miscellaneous or Unspecified Narcotics Offenses Under 8 U.S.C. § 1101(a)(43)(B). 79 A.L.R. Fed. 2d 335.

Case Notes

Evidence Sufficient.

Sufficient evidence supported defendant's conviction of possession of a controlled substance with purpose to deliver; the plain language of this section requires only having a “purpose” to deliver, not actual delivery, and the jury could have inferred that had the price been right, defendant would have sold the pills. Furthermore, purpose to deliver could be shown by statutory factors, including possession of a firearm, which defendant had. Jimmerson v. State, 2019 Ark. App. 578, 590 S.W.3d 764 (2019).

5-64-433. [Reserved.]

  1. Except as provided by this chapter, it is unlawful for a person to deliver a Schedule IV or Schedule V controlled substance.
    1. A person who delivers less than two hundred grams (200g) by aggregate weight, including an adulterant or diluent, of a Schedule IV or Schedule V controlled substance upon conviction is guilty of a Class D felony.
    2. A person who delivers two hundred grams (200g) or more but less than four hundred grams (400g) by aggregate weight, including an adulterant or diluent, of a Schedule IV or Schedule V controlled substance upon conviction is guilty of a Class C felony.
    3. A person who delivers four hundred grams (400g) or more but less than eight hundred grams (800g) by aggregate weight, including an adulterant or diluent, of a Schedule IV or Schedule V controlled substance upon conviction is guilty of a Class B felony.

History. Acts 2011, No. 570, § 55.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Case Notes

Delivery.

Evidence held sufficient to sustain conviction for delivery of controlled substance. Miller v. State, 253 Ark. 1060, 490 S.W.2d 445 (1973) (decision under prior law).

5-64-435. Manufacture of a Schedule IV or Schedule V controlled substance.

  1. Except as provided by this chapter, it is unlawful for a person to manufacture a Schedule IV or Schedule V controlled substance.
    1. A person who manufactures less than two hundred grams (200g) by aggregate weight, including an adulterant or diluent, of a Schedule IV or Schedule V controlled substance upon conviction is guilty of a Class D felony.
    2. A person who manufactures two hundred grams (200g) or more but less than four hundred grams (400g) by aggregate weight, including an adulterant or diluent, of a Schedule IV or Schedule V controlled substance upon conviction is guilty of a Class C felony.
    3. A person who manufactures four hundred grams (400g) or more by aggregate weight, including an adulterant or diluent, of a Schedule IV or Schedule V controlled substance upon conviction is guilty of a Class B felony.

History. Acts 2011, No. 570, § 56.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

5-64-436. Possession of a Schedule VI controlled substance with the purpose to deliver.

  1. Except as provided by this chapter, it is unlawful if a person possesses a Schedule VI controlled substance with the purpose to deliver the Schedule VI controlled substance. Purpose to deliver may be shown by any of the following factors:
    1. The person possesses the means to weigh and separate a Schedule VI controlled substance;
    2. The person possesses a record indicating a drug-related transaction;
    3. The Schedule VI controlled substance is separated and packaged in a manner to facilitate delivery;
    4. The person possesses a firearm that is in the immediate physical control of the person at the time of the possession of the Schedule VI controlled substance;
    5. The person possesses at least two (2) other controlled substances in any amount; or
    6. Other relevant and admissible evidence that contributes to the proof that a person's purpose was to deliver a Schedule VI controlled substance.
  2. A person who violates this section upon conviction is guilty of a:
    1. Class A misdemeanor if the person possessed by aggregate weight, including an adulterant or diluent, fourteen grams (14g) or less of a Schedule VI controlled substance;
    2. Class D felony if the person possessed more than fourteen grams (14g) but less than four ounces (4 oz.) by aggregate weight, including an adulterant or diluent, of a Schedule VI controlled substance;
    3. Class C felony if the person possessed four ounces (4 oz.) or more but less than twenty-five pounds (25 lbs.) by aggregate weight, including an adulterant or diluent, of a Schedule VI controlled substance;
    4. Class B felony if the person possessed twenty-five pounds (25 lbs.) or more but less than one hundred pounds (100 lbs.) by aggregate weight, including an adulterant or diluent, of a Schedule VI controlled substance; or
    5. Class A felony if the person possessed one hundred pounds (100 lbs.) or more but less than five hundred pounds (500 lbs.) by aggregate weight, including an adulterant or diluent, of a Schedule VI controlled substance.

History. Acts 2011, No. 570, § 57.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Research References

ALR.

What Constitutes “Aggravated Felony” for Which Alien Can Be Deported or Removed Under § 237(a)(2)(A)(iii) of Immigration and Nationality Act (8 U.S.C. § 1227(a)(2)(A)(iii)) — Marijuana Offenses Under 8 U.S.C. § 1101(a)(43)(B). 76 A.L.R. Fed. 2d 1.

What Constitutes “Aggravated Felony” for Which Alien Can Be Deported or Removed Under § 237(a)(2)(A)(iii) of Immigration and Nationality Act (8 U.S.C. § 1227(a)(2)(A)(iii)) — Miscellaneous or Unspecified Narcotics Offenses Under 8 U.S.C. § 1101(a)(43)(B). 79 A.L.R. Fed. 2d 335.

Case Notes

Constructive Possession.

The possession required by this section need not be actual, physical possession, but may be constructive, as when one controls a substance or has the right to control it. Ulrich v. State, 19 Ark. App. 62, 716 S.W.2d 777 (1986) (decision under prior law).

Where there is joint occupancy of premises, mere occupancy is insufficient to prove possession unless there are additional factors linking the accused with the contraband. Ulrich v. State, 19 Ark. App. 62, 716 S.W.2d 777 (1986) (decision under prior law).

Substantial evidence existed that defendant constructively possessed marijuana; the officer testified that there was an odor of marijuana coming from the vehicle in which defendant was riding and that defendant assumed a nervous and defensive posture when the officer spoke with defendant. Stewart v. State, 2010 Ark. App. 495 (2010) (decided under former § 5-64-401).

Sufficient evidence was presented to indicate that defendant knew there was contraband in the flatbed trailer he was towing, even though it was open to access from the general public, because defendant was the only person in the vehicle and more than 200 pounds of marijuana were found. Thus, there was sufficient evidence that he was in actual possession of the drugs. Barrera v. State, 2012 Ark. App. 533 (2012), overruled in part, Pokatilov v. State, 2017 Ark. 264, 526 S.W.3d 849 (2017) (decision under prior law).

For purposes of defendant's convictions, his absence at the time of the search did not eliminate a conclusion of constructive possession based on the fact that the drugs and firearm were found in a bedroom closet in close proximity, the bedroom was shared by defendant and another, defendant was at the house prior to the search, and he admitted purchasing the marijuana and possessing the firearm, which inferred more than mere knowledge of the contraband, but also ownership and control over them. Dotson v. State, 2013 Ark. App. 550 (2013).

There was sufficient evidence to support convictions for possession of marijuana with intent to deliver and the simultaneous possession of drugs and firearms based on drugs that were discovered behind a shed; defendant emerged from behind the shed, in close proximity to the drugs, there was no possibility that the drugs could have been tossed from a road, and the bag of drugs was clean and dry, despite the rain. Defendant began acting nervous and making spontaneous statements when it was obvious that officers were going to search behind the shed, defendant had a large amount of cash when he was arrested, and he admitted to having a gun. Block v. State, 2015 Ark. App. 83, 455 S.W.3d 336 (2015).

There was substantial evidence that defendant constructively possessed marijuana to support his conviction for possession of a controlled substance with intent to deliver and sentence of 12 years' imprisonment. The 34 bags of marijuana were found in a large compartment under the truck-bed liner in a truck that defendant was driving; defendant did not own the truck and there were two passengers in the truck. There was fresh glue holding the metal plate down to cover the hidden compartment where the drugs were found, and there were remnants of the fresh glue on the glue gun found inside the truck's cab. Also, the tools necessary to access the hidden compartment were in the truck. Lockheart-Singleton v. State, 2018 Ark. App. 307 (2018).

Delivery.

Where the state proved actual delivery there could be no question about the defendant's intent. Moser v. State, 266 Ark. 200, 583 S.W.2d 15 (1979) (decision under prior law).

Because the marijuana had been separated into 34 packages, which would have facilitated delivery, there was substantial evidence that defendant intended to deliver the controlled substance. Lockheart-Singleton v. State, 2018 Ark. App. 307 (2018).

Participants to Transactions.

Where defendant was present with others during the sale of controlled substance, although he had no direct contact with the officers making the purchase, the trial court could reasonably infer that the defendant, being present, was an active participant in the offense. Hartman v. State, 258 Ark. 1018, 530 S.W.2d 366 (1975) (decision under prior law).

5-64-437. [Reserved.]

  1. Except as provided by this chapter, it is unlawful for a person to deliver a Schedule VI controlled substance.
    1. A person who delivers fourteen grams (14g) or less by aggregate weight, including an adulterant or diluent, of a Schedule VI controlled substance upon conviction is guilty of a:
      1. Class A misdemeanor; or
      2. Class D felony if he or she has four (4) or more prior convictions for delivery of a controlled substance in any amount under this subchapter or under the former § 5-64-401.
    2. A person who delivers more than fourteen grams (14g) but less than four ounces (4 oz.) by aggregate weight, including an adulterant or diluent, of a Schedule VI controlled substance upon conviction is guilty of a Class D felony.
    3. A person who delivers four ounces (4 oz.) or more but less than twenty-five pounds (25 lbs.) by aggregate weight, including an adulterant or diluent, of a Schedule VI controlled substance upon conviction is guilty of a Class C felony.
    4. A person who delivers twenty-five pounds (25 lbs.) or more but less than one hundred pounds (100 lbs.) by aggregate weight, including an adulterant or diluent, of a Schedule VI controlled substance upon conviction is guilty of a Class B felony.
    5. A person who delivers one hundred pounds (100 lbs.) or more but less than five hundred pounds (500 lbs.) by aggregate weight, including an adulterant or diluent, of a Schedule VI controlled substance upon conviction is guilty of a Class A felony.

History. Acts 2011, No. 570, § 58; 2013, No. 530, § 1.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2013 amendment deleted “Class A misdemeanor” at the end of (b)(1); and added (b)(1)(A) and (b)(1)(B).

Case Notes

Participants to Transactions.

Case law is well established that one who buys a controlled substance is not an accomplice of the person who sells or delivers it since the buyer and seller do not share the same criminal purpose. Brizendine v. State, 4 Ark. App. 19, 627 S.W.2d 26 (1982) (decision under prior law).

Where it was undisputed that the defendant took an undercover narcotics officer's money, purchased controlled substance, and then transferred the controlled substance to the undercover officer, the defendant was properly convicted regardless of whether the defendant was acting as an agent of the buyer or the seller. Webber v. State, 15 Ark. App. 261, 692 S.W.2d 255 (1985) (decision under prior law).

5-64-439. Manufacture of a Schedule VI controlled substance.

  1. Except as provided by this chapter, it is unlawful for a person to manufacture a Schedule VI controlled substance.
    1. A person who manufactures fourteen grams (14g) or less by aggregate weight, including an adulterant or diluent, of a Schedule VI controlled substance is guilty of a Class A misdemeanor.
    2. A person who manufactures more than fourteen grams (14g) but less than four ounces (4 oz.) by aggregate weight, including an adulterant or diluent, of a Schedule VI controlled substance is guilty of a Class D felony.
    3. A person who manufactures four ounces (4 oz.) or more but less than twenty-five pounds (25 lbs.) by aggregate weight, including an adulterant or diluent, of a Schedule VI controlled substance upon conviction is guilty of a Class C felony.
    4. A person who manufactures twenty-five pounds (25 lbs.) or more but less than one hundred pounds (100 lbs.) by aggregate weight, including an adulterant or diluent, of a Schedule VI controlled substance upon conviction is guilty of a Class B felony.
    5. A person who manufactures one hundred pounds (100 lbs.) or more by aggregate weight, including an adulterant or diluent, upon conviction is guilty of a Class A felony.

History. Acts 2011, No. 570, § 59.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Case Notes

Evidence Insufficient.

Evidence was insufficient to compel reasonable minds to conclude that defendant was at the crime scene, and even less sufficient to compel the conclusion that he was engaged in the “manufacture” of marijuana. Standridge v. State, 310 Ark. 408, 837 S.W.2d 447 (1992) (decision under prior law).

Evidence Sufficient.

Testimony from a crime lab analyst that the bags contained marijuana with a total aggregate weight of 407.7 grams or 14.381 ounces was sufficient to support defendant's conviction for manufacturing more than four ounces of marijuana. Brown v. State, 2014 Ark. App. 474, 442 S.W.3d 8 (2014).

Appellant failed to preserve a challenge to his conviction for Class D manufacture of marijuana where he neither specifically moved for a directed verdict on the charge nor apprised the court of what element was not proven; and even if appellant had preserved the sufficiency argument, the expert's testimony as to the quantity of the marijuana analyzed was sufficient. Cogburn v. State, 2016 Ark. App. 543 (2016).

Lesser-Included Offenses.

Possession of a controlled substance is a lesser included offense of manufacturing a controlled substance. Craig v. State, 314 Ark. 585, 863 S.W.2d 825 (1993) (decided under former § 5-64-401).

Manufacture.

Since marijuana can be manufactured or produced only by cultivating the plants, defendant, who admitted growing marijuana with intent to harvest it, could be convicted of “manufacturing” marijuana irregardless of defendant's personal reasons for such production. Patty v. State, 260 Ark. 539, 542 S.W.2d 494 (1976) (decision under prior law).

Defendant who watered, pruned and generally tended the marijuana plant next to his office building clearly violated the prohibition against the manufacture of a controlled substance. Craig v. State, 314 Ark. 585, 863 S.W.2d 825 (1993) (decided under former § 5-64-401).

5-64-440. Trafficking a controlled substance.

  1. Except as provided by this chapter, it is unlawful for a person to engage in trafficking a controlled substance.
  2. A person engages in trafficking a controlled substance if he or she possesses, possesses with the purpose to deliver, delivers, or manufactures a controlled substance by aggregate weight, including an adulterant or diluent, in the following amounts:
    1. Methamphetamine or cocaine, two hundred grams (200g) or more;
    2. Schedule I or Schedule II controlled substance that is not methamphetamine or cocaine, two hundred grams (200g) or more;
    3. Schedule III controlled substance, four hundred grams (400g) or more;
    4. Schedule IV or Schedule V controlled substance, eight hundred grams (800g) or more; or
    5. A Schedule VI controlled substance, five hundred pounds (500 lbs.) or more.
  3. Trafficking a controlled substance is a Class Y felony.

History. Acts 2011, No. 570, § 60; 2013, No. 529, § 4.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2013 amendment inserted “possesses with the purpose to deliver, delivers, or manufactures” in the introductory language of (b).

Case Notes

Evidence.

In a case involving drugs and weapons offenses, it was error to allow a video of law enforcement officers firing a weapon found in the search of the home to be played for the jury and admitted into evidence because it was not relevant to any of the specific offenses charged as the offenses did not require that the weapon be fireable; however, the error was harmless because the evidence against defendant was overwhelming and defendant's sentences fell within the statutory sentence ranges. Gutierrez v. State, 2015 Ark. App. 516, 472 S.W.3d 147 (2015).

Evidence Sufficient.

Defendant was properly convicted of trafficking in methamphetamine, possession of drug paraphernalia, and similar crimes because substantial evidence supported the jury's finding that he constructively possessed the contraband found in his home; bills in defendant's name were found in the bedroom along with men's clothing, defendant was physically present at the residence when officers arrived, and he told officers that whatever they found in their search of the home belonged to him. Harjo v. State, 2017 Ark. App. 337, 522 S.W.3d 839 (2017).

Evidence supported defendant's conviction for trafficking a controlled substance because the State produced evidence of defendant's care, control, management, and knowledge of the contraband found in defendant's suitcase during a traffic stop of the vehicle that defendant was driving with a passenger in the vehicle. The State submitted audio-videos from the police stop, defendant's interview statement, and the testimony and report of a forensic chemist who determined the contraband to be powder cocaine, along with a cutting agent. Pacheco-Alvarez v. State, 2017 Ark. App. 695, 540 S.W.3d 692 (2017).

Jury Instructions.

Since there was an AMI instruction on the elements necessary to prove trafficking, it was improper to give a non-AMI instruction if the AMI instruction was an accurate statement of the law; the model instruction clearly tracked the plain language of the trafficking statute and the circuit court had no discretion to deviate from the model instruction to add factors and defendant's trafficking conviction was reversed. Harmon v. State, 2019 Ark. App. 572, 591 S.W.3d 347 (2019), review granted, 2020 Ark. LEXIS 71 (Feb. 20, 2020), vacated, 2020 Ark. 217 (2020).

Circuit court's error in giving a non-AMI instruction was not harmless because defendant was convicted of trafficking using the erroneous instruction, and it could not be said that “the jury demonstrably was not misled because the jury rejected the theory of the erroneous instruction, and . . . the erroneous instruction was obviously cured by other instructions”. Harmon v. State, 2019 Ark. App. 572, 591 S.W.3d 347 (2019), review granted, 2020 Ark. LEXIS 71 (Feb. 20, 2020), vacated, 2020 Ark. 217 (2020).

5-64-441. Possession of a counterfeit substance.

  1. It is unlawful for any person to possess a counterfeit substance unless the counterfeit substance was obtained:
    1. Directly from or pursuant to a valid prescription or an order of a practitioner while acting in the course of his or her professional practice; or
    2. As otherwise authorized by this chapter.
  2. Any person who violates this section with respect to:
    1. A Schedule I or Schedule II controlled substance upon conviction is guilty of a Class D felony;
    2. Any other controlled substance, first offense or second offense, upon conviction is guilty of a Class A misdemeanor; and
    3. Any other controlled substance, third or subsequent offense, upon conviction is guilty of a Class D felony.
  3. For purposes of subsection (b) of this section, an offense is considered a third or subsequent offense if, before his or her conviction for the offense, the person has been convicted two (2) or more times for an offense under subsection (b) of this section or under any equivalent penal statute of the United States or of any state.

History. Acts 2011, No. 570, § 61; 2013, No. 1125, § 13.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2013 amendment inserted “upon conviction” in (b)(1).

Case Notes

Evidence Sufficient.

Trial court clearly did not err in denying the motion for directed verdict or its renewal, because the evidence was sufficient to convict defendant of possession of a counterfeit controlled substance, when the soap substance was packaged in a quantity and shape that had all the outward indications of appearing to be crack cocaine, and defendant stated in response to the officer's query that he thought he was getting cocaine. Caldwell v. State, 2009 Ark. App. 526, 334 S.W.3d 82 (2009) (decided under former § 5-64-401).

5-64-442. Possession with the purpose to deliver, delivery, or manufacture of a counterfeit substance.

  1. Except as authorized by this chapter, it is unlawful for any person to possess with the purpose to deliver, deliver, or manufacture a counterfeit substance. Purpose to deliver may be shown by any of the following factors:
    1. The person possesses the means to weigh, separate, or package a counterfeit substance;
    2. The person possesses a record indicating a drug-related transaction;
    3. The counterfeit substance is separated and packaged in a manner to facilitate delivery;
    4. The person possesses a firearm that is in the immediate physical control of the person at the time of the possession of the counterfeit substance;
    5. The person possesses at least two (2) other controlled substances or counterfeit substances in any amount; or
    6. Other relevant and admissible evidence that contributes to the proof that a person's purpose was to deliver a counterfeit substance.
  2. Any person who violates this section with respect to:
    1. A counterfeit substance purporting to be a Schedule I or Schedule II controlled substance upon conviction is guilty of a Class C felony;
    2. A counterfeit substance purporting to be a Schedule III controlled substance upon conviction is guilty of a Class D felony; or
    3. A counterfeit substance purporting to be a Schedule IV, Schedule V, or Schedule VI controlled substance or that is not classified as a scheduled controlled substance upon conviction is guilty of a Class A misdemeanor.

History. Acts 2011, No. 570, § 62; 2013, No. 529, § 5; 2013, No. 1125, § 14.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2013 amendment by No. 529 amended the section heading by adding “Possession with the purpose to deliver”; in (a), added “possess with the purpose to deliver”, “Purpose to deliver may be shown by any of the following factors” in the introductory language, and added (1) through (6).

The 2013 amendment by No. 1125 substituted “IV, Schedule V, or Schedule VI” for “IV-VI” in (b)(3).

Case Notes

Elements.

State's failure to prove that a substance was a statutorily-defined “counterfeit substance” was fatal to defendant's criminal conviction for possession of a counterfeit substance with the intent to deliver, especially where there was no evidence of attempted delivery; the only factor that the state proved was that the physical appearance of the finished product containing the noncontrolled substance was substantially the same as that of a specific controlled substance. Jackson v. State, 86 Ark. App. 145, 165 S.W.3d 467 (2004) (decided under former § 5-64-401).

Revocation of Probation.

Trial court did not err in refusing to allow defendant the opportunity to question crime lab personnel after he had properly demanded to do so, pursuant to § 12-12-313, as it was a felony to sell counterfeit drug substances; defendant had committed an offense punishable by incarceration and was subject to a revocation of his probation, whether or not the substances found in the two baggies were narcotics, thus, the crime lab personnel's testimony was not necessary to prove the prosecution's case. Roston v. State, 362 Ark. 408, 208 S.W.3d 759 (2005) (decided under former § 5-64-401).

5-64-443. Drug paraphernalia.

  1. A person who possesses drug paraphernalia with the purpose to use the drug paraphernalia to inject, ingest, inhale, or otherwise introduce into the human body a controlled substance in violation of this chapter upon conviction is guilty of:
    1. A Class A misdemeanor; or
    2. A Class D felony if the controlled substance is methamphetamine, heroin, fentanyl, or cocaine.
  2. A person who uses or possesses with the purpose to use drug paraphernalia to plant, propagate, cultivate, grow, harvest, manufacture, compound, convert, produce, process, prepare, test, analyze, pack, or repack a controlled substance that is methamphetamine, heroin, fentanyl, or cocaine upon conviction is guilty of a Class B felony.
  3. A person who uses or possesses with the purpose to use drug paraphernalia to store, contain, or conceal a controlled substance that is methamphetamine, heroin, fentanyl, or cocaine upon conviction is guilty of a Class D felony.
  4. A person who uses or possesses with the purpose to use drug paraphernalia to plant, propagate, cultivate, grow, harvest, manufacture, compound, convert, produce, process, prepare, test, analyze, pack, or repack a controlled substance that is not methamphetamine, heroin, fentanyl, or cocaine upon conviction is guilty of a Class D felony.
  5. A person who uses or possesses with the purpose to use drug paraphernalia to store, contain, or conceal a controlled substance that is not methamphetamine, heroin, fentanyl, or cocaine upon conviction is guilty of a Class A misdemeanor.

History. Acts 2011, No. 570, § 63; 2017, No. 888, § 1; 2019, No. 1014, § 1.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2017 amendment substituted “or repack” for “repack, store, contain, or conceal” in (b) and (d); inserted present (c) and redesignated former (c) as (d); and added (e).

The 2019 amendment inserted “heroin, fentanyl” throughout the section; and made stylistic changes.

Cross References. Civil actions against sellers of drug paraphernalia, § 16-118-108.

Case Notes

Constitutionality.

Acts 1981, No. 78, which criminalized the possession, use, sale and manufacture of drug paraphernalia, is not unconstitutionally overbroad even though the act may prevent persons from utilizing the expressions imprinted on, or the symbolic speech represented by the use of, drug paraphernalia. Garner v. White, 726 F.2d 1274 (8th Cir. 1984); Edwards v. State, 300 Ark. 4, 775 S.W.2d 900 (1989).

Statutory provisions concerning the term “drug paraphernalia” are not unconstitutionally vague for want of “certainty” or “definiteness,” since they give a person of ordinary intelligence fair notice that his contemplated conduct is forbidden. Moore v. State, 297 Ark. 296, 761 S.W.2d 894 (1988) (decided under former § 5-64-403(c)).

The drug paraphernalia law is not unconstitutionally vague, because the detailed definitions found in the statute give adequate notice of conduct constituting the offense. Crail v. State, 309 Ark. 120, 827 S.W.2d 157 (1992) (decided under former § 5-64-403(c)).

State was authorized to seek the greatest penalty, the Class B felony, where drug paraphernalia is possessed with the intent to manufacture methamphetamine; further, the statutory provision was not so vague and standardless that it allowed for arbitrary and discriminatory enforcement, nor did the fact that the prosecutor exercised discretion in seeking the maximum penalty give rise to a constitutional infringement. Osborne v. State, 94 Ark. App. 337, 230 S.W.3d 290 (2006) (decided under former § 5-64-403(c)).

Bond.

Because the appellate court affirmed the trial court's judgment convicting defendant of possession of drug paraphernalia with intent to manufacture and possession of a controlled substance, defendant's issue of bail pending appeal became moot and the appellate court did not have to decide moot issues; the appropriate and meaningful action that defendant could have taken would have been to petition the appellate court for a writ of certiorari separately challenging the trial court's denial of an appeal bond. Walley v. State, 353 Ark. 586, 112 S.W.3d 349 (2003) (decided under former § 5-64-403(c)).

Dismissal Denied.

Motion to dismiss was properly denied in a case involving possession with intent to use drug paraphernalia because a crack pipe constituted paraphernalia under § 5-64-101; further, there was sufficient evidence of intent where defendant admitted the pipe was his, cocaine residue was found on the pipe, and defendant admitted to using it to smoke cocaine in the past. White v. State, 98 Ark. App. 366, 255 S.W.3d 881 (2007) (decided under former § 5-64-403(c)).

Evidence.

Court erroneously precluded state from introducing evidence of officer concerning use of antenna, found on the defendant, as drug paraphernalia. State v. Crutchfield, 306 Ark. 104, 816 S.W.2d 884 (1991) (supplemental op. on rehearing) (decided under former § 5-64-403(c)).

The trial evidence would have been sufficient to support defendant's conviction for possession of drug paraphernalia had the court allowed testimony from the officer concerning use of antenna, found on defendant, as drug paraphernalia; therefore, the case was remanded for retrial on the charge of possession of drug paraphernalia. State v. Crutchfield, 306 Ark. 104, 816 S.W.2d 884 (1991) (supplemental op. on rehearing) (decided under former § 5-64-403(c)).

In a case involving drugs and weapons offenses, it was error to allow a video of law enforcement officers firing a weapon found in the search of the home to be played for the jury and admitted into evidence because it was not relevant to any of the specific offenses charged as the offenses did not require that the weapon be fireable; however, the error was harmless because the evidence against defendant was overwhelming and defendant's sentences fell within the statutory sentence ranges. Gutierrez v. State, 2015 Ark. App. 516, 472 S.W.3d 147 (2015).

Evidence Insufficient.

In a drug paraphernalia case, the evidence was insufficient to sustain defendant's conviction where police found no paraphernalia on defendant; rather, it was found some distance away from where defendant was stopped and there were no affirmative links between defendant and the paraphernalia. Garner v. State, 355 Ark. 82, 131 S.W.3d 734 (2003) (decided under former § 5-64-403(c)).

Evidence Sufficient.

Evidence held sufficient to support a conviction for possession of drug paraphernalia. Crossley v. State, 304 Ark. 378, 802 S.W.2d 459 (1991); Ramey v. State, 42 Ark. App. 242, 857 S.W.2d 828 (1993); Stephenson v. State, 334 Ark. 520, 975 S.W.2d 830 (1998) (decided under former § 5-64-403(c)).

Evidence of possession with intent to deliver a controlled substance (marijuana) and possession with intent to use drug paraphernalia held sufficient. Bond v. State, 45 Ark. App. 177, 873 S.W.2d 569 (1994) (decided under former § 5-64-403(c)).

Evidence of possession of marijuana, possession of drug paraphernalia, and possession of an illicit whiskey still, found in defendant's residence, held sufficient. White v. State, 47 Ark. App. 127, 886 S.W.2d 876 (1994) (decided under former § 5-64-403(c)).

Evidence was sufficient to convict the defendant of possession of drug paraphernalia where the defendant possessed a cigar case in which methamphetamine and marijuana were hidden; the jury could have concluded that the case was used as a container to conceal controlled substances. Sanders v. State, 76 Ark. App. 104, 61 S.W.3d 871 (2001), cert. denied, 537 U.S. 815, 123 S. Ct. 82, 154 L. Ed. 2d 19 (2002) (decided under former § 5-64-403(c)).

Evidence was sufficient to sustain a drug paraphernalia possession conviction where the syringe in defendant's pocket was in close proximity to the methamphetamine found in the plastic bags behind his driver's seat. Jones v. State, 357 Ark. 545, 182 S.W.3d 485 (2004) (decided under former § 5-64-403(c)).

Evidence was sufficient to sustain defendant's conviction for possession of drug paraphernalia because defendant lived in the residence, and at no point did he deny an ownership or possessory interest in the residence. Testimony established that items of paraphernalia, the spoon with residue, the light bulb, the scales, and the plastic baggies were found in plain view in the southeast bedroom and that the items would have been noticeable to anyone who lived in residence. Tryon v. State, 371 Ark. 25, 263 S.W.3d 475 (2007) (decided under former § 5-64-403(c)).

There was substantial evidence that defendant exercised care, control, and management over contraband, where: (1) he lived at the house where the contraband was discovered, (2) a police officer found several illegal items lying in close proximity to defendant, and (3) there was no evidence that there were other suspects in the home at the time of the raid that may have also lived there. Allen v. State, 2010 Ark. App. 266 (2010) (decided under former § 5-64-403(c)).

Evidence was sufficient to support defendant’s conviction for possession of drug paraphernalia because he was present at the scene where the drug paraphernalia was in plain view and he admitted to being aware of what was going on and that he planned to help with the manufacture of methamphetamine by getting lithium batteries. Collier v. State, 2014 Ark. App. 244 (2014).

There was sufficient evidence to support a conviction of possession of drug paraphernalia under this section because, despite defendant's argument that certain evidence should have been suppressed, the appellate court considered all of the evidence introduced at trial and disregarded any trial errors. Drug paraphernalia was found in a vehicle where defendant was a passenger, a search of defendant's person revealed a syringe and a syringe cap, and he made a statement about getting high on methamphetamine. Tennant v. State, 2015 Ark. App. 81 (2015).

Evidence was sufficient to sustain a conviction for possession of drug paraphernalia under subsection (b) of this section, where the informant testified that defendant had used a scale to weigh the drugs. Childers v. State, 2016 Ark. App. 371, 498 S.W.3d 742 (2016).

Substantial evidence supported defendant's convictions for possession of methamphetamine and drug paraphernalia, where the testimony showed that he had tossed and hid items in an attempt to conceal them from the police, and the police recovered a baggie and a pipe that were thrown out of the side of the vehicle. Payne v. State, 2017 Ark. App. 263, 520 S.W.3d 719 (2017).

Sufficient evidence supported defendant's conviction for possessing drug paraphernalia to ingest methamphetamine because an officer found such items when conducting an inventory search of defendant's vehicle. Coger v. State, 2017 Ark. App. 466, 529 S.W.3d 640 (2017).

Because defendant's motion for a directed verdict on possession of drug paraphernalia did not inform the circuit court of the specific issues in the State's case that were now being challenged, the question of the sufficiency of evidence was not preserved for appeal; even so, the evidence was sufficient, as defendant informed the deputy that everything in the vehicle belonged to him and that the other occupants had nothing to do with the narcotics. Martin v. State, 2019 Ark. App. 19, 567 S.W.3d 558 (2019).

—Methamphetamine Manufacture.

Trial court properly denied defendant's motion for directed verdict on his convictions for possession of drug paraphernalia with intent to manufacture and possession of a controlled substance because the evidence sufficiently linked defendant to the contraband in that it showed that: (1) there was an operational methamphetamine lab in the kitchen of the shared residence; (2) numerous items used for the manufacture of crystal methamphetamine were seized from the residence; (3) drug paraphernalia was also found in a burn barrel near the residence and in the trash can on the back porch, indicating an ongoing drug manufacturing process; (4) the trash bags found on the side of the road alerted the drug task force to the existence of an illegal drug lab and included a receipt from a store that listed several items used to manufacture crystal methamphetamine that was traced to defendant; and (5) the jury was not required to believe defendant's statements regarding items found in his office and his denial of any knowledge of the contraband. Walley v. State, 353 Ark. 586, 112 S.W.3d 349 (2003) (decided under former § 5-64-403(c)).

Given that defendant owned the premises, that drugs and paraphernalia were found in common areas throughout the residence, and that methamphetamine and paraphernalia were found in his pocket, there was sufficient evidence whereby a jury could convict defendant of possession of drug paraphernalia with the intent to manufacture methamphetamine and of being an accomplice to drug crimes. Lueken v. State, 88 Ark. App. 323, 198 S.W.3d 547 (2004) (decided under former § 5-64-403(c)).

Evidence was sufficient to sustain defendant's conviction for possession of drug paraphernalia with intent to manufacture methamphetamine because defendant's control and knowledge of the drug could be inferred from the circumstances where (1) although defendant claimed he was burning his wife's methamphetamine lab, he knew it was a methamphetamine lab, (2) the wife testified that defendant manufactured methamphetamine on a regular basis and that he sold or traded the methamphetamine he produced, (3) items associated with the production of methamphetamine were scattered throughout defendant's house, some in plain view, and (4) defendant's hands were stained with iodine, an ingredient used in the manufacturing process. Dodson v. State, 88 Ark. App. 380, 199 S.W.3d 115 (2004) (decided under former § 5-64-403(c)).

Trial court erred in reversing defendant's conviction for possession of drug paraphernalia with intent to manufacture methamphetamine as his conviction was supported by sufficient evidence, including (1) testimony from a police officer who saw defendant buy iodine and found other items used to manufacture methamphetamine at defendant's home, (2) testimony from defendant's parole officer regarding defendant's prior convictions relating to methamphetamine, and (3) expert testimony concerning how the items found in defendant's possession were used to manufacture methamphetamine. Cluck v. State, 365 Ark. 166, 226 S.W.3d 780 (2006) (decided under former § 5-64-403(c)).

Evidence was sufficient to sustain a conviction for possession of drug paraphernalia with intent to manufacture methamphetamine where an accomplice testified that defendant was inside his residence “cleaning up a cook” and “bagging everything up”; that testimony was corroborated by an officer who stated that, when he entered the home, defendant was in close proximity to the manufacturing items that were seized from the residence. Fitting v. State, 94 Ark. App. 283, 229 S.W.3d 568 (2006) (decided under former § 5-64-403(c)).

Judgment convicting defendant of manufacturing methamphetamine, possession of drug paraphernalia with the intent to manufacture methamphetamine, first-degree endangering the welfare of a minor under § 5-27-205(a)(1), manufacturing methamphetamine in the presence of a minor, and manufacturing methamphetamine near certain facilities was affirmed because contraband was found in the kitchen and bedroom of defendant's residence, strewn about his yard, and in an outbuilding behind his residence; the materials found in the search were the components of a methamphetamine lab; at least two of defendant's minor children were present in the residence at the time of the search; and the drug paraphernalia and chemicals found could easily be accessed by the children. Morgan v. State, 2009 Ark. 257, 308 S.W.3d 147 (2009) (decided under former § 5-64-403(c)).

Evidence was sufficient to support defendant's conviction of possession of drug paraphernalia with intent to manufacture because the jury could reasonably conclude that defendant constructively possessed the paraphernalia with intent to manufacture where defendant owned the property jointly with his wife, defendant was the only person in the house when the police arrived, and defendant admitted to the officers that the methamphetamine lab in the home was his. Cantrell v. State, 2009 Ark. 456, 343 S.W.3d 591 (2009) (decided under former § 5-64-403(c)).

Defendant was convicted of possessing drug paraphernalia with intent to manufacture; based on the evidence of defendant's proximity to the manufacturing paraphernalia, the circuit court did not err in denying defendant's directed-verdict motion. Holt v. State, 2009 Ark. 482, 348 S.W.3d 562 (2009) (decided under former § 5-64-403(c)).

Trial court did not err in revoking defendant's suspended sentence on the ground that he committed the offense of possession of drug paraphernalia with the intent to manufacture methamphetamine because the evidence showed that a reliable source had tipped off the police to the fact that defendant, contrary to the terms and conditions of his release, was continuing to manufacture methamphetamine, and defendant directed the purchases and provided an explanation for each component of the methamphetamine recipe; it was shown that defendant conceived and proposed the methamphetamine cook, buy, and sell arrangement for the manufacture and distribution of the illegal substance, and simply by asserting the defense of entrapment, § 5-2-209, defendant necessarily admitted committing the offense. Lowe v. State, 2010 Ark. App. 284 (2010) (decided under former § 5-64-403(c)).

Evidence that there was a funnel, plastic tubing, coffee filters, camp fuel, syringes, gloves, a metal spoon, a smoking device, a bag of ammonia nitrate, and a pill crusher in the master bedroom of defendant's home, along with a burn barrel in the back yard, was sufficient to support a conviction for possession of paraphernalia with intent to manufacture. Gowen v. State, 2011 Ark. App. 761, 387 S.W.3d 230 (2011) (decided under former § 5-64-403(c)).

Sufficient evidence supported a finding that defendant had the intent to manufacture methamphetamine because the jury could choose to believe that defendant knew the iodine he possessed was going to be used to make methamphetamine, despite his argument that he bought it for a friend and that no other ingredients were found. Ashley v. State, 2012 Ark. App. 131, 388 S.W.3d 914 (2012) (decided under former § 5-64-403(c)).

Sufficient evidence supported defendant's conviction for possessing drug paraphernalia to manufacture methamphetamine as items necessary for the manufacture of methamphetamine were found in a trailer in which defendant's identification card was also found and in which he was observed the night before his arrest. Coger v. State, 2017 Ark. App. 466, 529 S.W.3d 640 (2017).

Harmless Error.

In a prosecution for possession and delivery of a drug, erroneous admission of certain drug paraphernalia was harmless error where there was overwhelming evidence to support a conviction. Hicks v. State, 327 Ark. 652, 941 S.W.2d 387 (1997).

Lesser-Included Offenses.

Trial court did not err in failing to give lesser-included offense instruction because possession of pseudoephedrine with intent to manufacture methamphetamine under § 5-64-1102(a)(1) was not a lesser-included offense of possession of drug paraphernalia with intent to manufacture methamphetamine under former § 5-64-403(c)) (now this section); the paraphernalia offense requires the intent to “use” the drug paraphernalia to manufacture methamphetamine, while § 5-64-1102(a)(1) does not and, therefore, the two statutes contain different elements. Autrey v. State, 90 Ark. App. 131, 204 S.W.3d 84 (2005).

Possession of a controlled substance does not require the simultaneous possession of paraphernalia, and possession of paraphernalia does not require the simultaneous possession of a controlled substance; the elements of the two offenses can be completely exclusive of each other and neither is a lesser-included offense of the other. Koster v. State, 374 Ark. 74, 286 S.W.3d 152 (2008) (decided under former § 5-64-403(c)).

Motion to Suppress.

Where defendant appealed his convictions for violating subsection (c) of this section and § 5-64-420, circuit court's decision to deny his motion to suppress the evidence was not clearly against the preponderance of the evidence. Because he met the officers on his front porch with a rifle, an officer reasonably detained and frisked him to ensure the officers' safety, and the contraband was discovered when, after the valid frisk, defendant voluntarily pulled the contraband out of his pocket and showed it to the officer. King v. State, 2014 Ark. App. 81, 432 S.W.3d 127 (2014).

Possession.

Where contraband is discovered in jointly occupied premises and there is no direct evidence that it belongs to a particular occupant, some additional factors must be present linking the accused to the contraband; the state must prove that the accused exercised care, control and management over the contraband. Garner v. State, 355 Ark. 82, 131 S.W.3d 734 (2003) (decided under former § 5-64-403(c)).

Evidence was sufficient to convict defendant of several possession-related offenses given that a crack house was rented to him, a confidential informant testified that he purchased drugs from defendant a day earlier, the serial numbers of money found on defendant matched the money used in the controlled buy, and drugs and drug paraphernalia were in plain view in the home. Carter v. State, 2010 Ark. 293, 367 S.W.3d 544 (2010) (decided under former § 5-64-403(c)).

Evidence supported a finding that defendant was in constructive possession of drug paraphernalia, as although a house was jointly occupied, there was evidence that defendant told a law enforcement officer that defendant lived there, and that there were male personal effects in the bedroom; a jury could reasonably infer that defendant knew the drug paraphernalia was contraband and that defendant exercised control over it. Burrow v. State, 2010 Ark. App. 692 (2010) (decided under former § 5-64-403(c)).

Since the testimony was that only defendant and his girlfriend were in the girlfriend's home, and they both agreed that the girlfriend was not involved in drugs, the jury could reasonably infer that as the only other adult in the home defendant exercised control over the contraband and knew it was contraband. Matlock v. State, 2015 Ark. App. 65, 454 S.W.3d 776 (2015).

Evidence was sufficient to support defendant's convictions of felony theft by receiving, possession of methamphetamine, and possession of drug paraphernalia, as defendant was in constructive possession of the contraband found at the residence; although another individual also was in the residence at the time of the search, defendant had listed the residence as his address, the contraband was found in plain view in common areas in and around the house, and the fact that defendant was in a bedroom hiding under a bed when the search commenced did not negate the additional factors linking him to the contraband. Mudd v. State, 2018 Ark. App. 628, 565 S.W.3d 154 (2018).

Substantial evidence supported defendant's convictions for possession of methamphetamine and possession of paraphernalia because (1) defendant admitted she had smoked methamphetamine that day, (2) defendant owned the house where the methamphetamine was found hidden in a water-heater closet, (3) defendant could not disclaim possession due to being absent when the search warrant was executed, (4) the jury was not required to believe defendant's testimony suggesting that another person had hid the drugs in her residence, and (5) defendant's knowledge of and control over the contraband found in her residence could be inferred from the circumstances. Knauls v. State, 2020 Ark. App. 48, 593 S.W.3d 58 (2020).

Evidence was insufficient to support defendant's conviction of possession of drug paraphernalia because the State did not present substantial evidence that defendant constructively possessed a methamphetamine pipe that was found in a tin inside a kitchen cabinet in a jointly occupied house. Another occupant was the only person present when the search warrant was executed, and he was found with methamphetamine and paraphernalia on his person and admitted using it. The jury would have had to speculate to conclude that the pipe belonged to defendant rather than someone else. Garner v. State, 2020 Ark. App. 101, 594 S.W.3d 145 (2020).

Search.

In a possession of drug paraphernalia with intent to manufacture and possession of a controlled substance case, the search warrant was valid and the trial court properly denied defendant's motion to suppress the evidence seized from the shared residence where: (1) the distinctive odor of a methamphetamine lab was a valid contributing factor in establishing probable cause for the warrant; (2) the search warrant was supported by more than mere conclusory statements; (3) the initial search of the residence was limited to the common area outside the residence where no warrant was required, and the search inside the residence was pursuant to a search warrant; (4) even if the landlord's statements were completely eliminated, there were still sufficient facts to support probable cause to search the residence; and (5) the partially incorrect address listed in the search warrant did not make the search warrant defective, especially since the affidavit correctly identified the residence and the officer who had obtained the search warrant and had previously been to the residence would later, himself, conduct the search. Walley v. State, 353 Ark. 586, 112 S.W.3d 349 (2003) (decided under former § 5-64-403(c)).

Sentencing.

Felony convictions for the related offenses of possession of a controlled substance and possession of drug paraphernalia under this section fall under two separate statutes and are not considered one offense for the purposes of sentencing under § 5-4-501. McCullough v. State, 44 Ark. App. 99, 866 S.W.2d 845 (1993) (decided under former § 5-64-403(c)).

Where defendant was guilty of manufacturing methamphetamine, and possession of drug paraphernalia with intent to manufacture methamphetamine, and the circuit court sentenced him as a habitual offender pursuant to § 5-4-501, the sentence was illegal because under § 5-4-301(a)(2), the circuit court did not have the authority to suspend 10 years of the 15-year sentence it imposed. State v. O'Quinn, 2013 Ark. 219, 427 S.W.3d 668 (2013) (decided under former §§ 5-64-401, 5-64-403(c)).

Suppression of Evidence.

Contact between defendant and an officer was the result of an investigation into drug-related criminal activity, not a routine traffic stop, because the officer blocked the vehicle in the driveway, demanded that defendant move to the back of the vehicle, informed her that he knew there were drugs in the vehicle, and asked where they were located. Defendant's pre-Miranda statement should have been suppressed. James v. State, 2012 Ark. App. 118, 390 S.W.3d 95 (2012) (decided under former § 5-64-403(c)).

Cited: A.W. v. State, 2017 Ark. App. 34, 510 S.W.3d 811 (2017).

5-64-444. Drug paraphernalia — Delivery to a minor.

  1. A person eighteen (18) years of age or older who violates § 5-64-443 by delivering drug paraphernalia in the course of and in furtherance of a felony violation of this chapter to a person under eighteen (18) years of age who is at least three (3) years younger than the person upon conviction is guilty of a Class B felony.
  2. Otherwise, a person eighteen (18) years of age or older who violates § 5-64-443 by delivering drug paraphernalia to a person under eighteen (18) years of age who is at least three (3) years younger than the person upon conviction is guilty of a Class A misdemeanor.

History. Acts 2011, No. 570, § 64.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

5-64-445. Advertisement of a counterfeit substance or drug paraphernalia.

A person who places in any newspaper, magazine, handbill, or other publication any advertisement knowing, or under circumstances in which a person reasonably should know, that the purpose of the advertisement, in whole or in part, is to promote the sale of a counterfeit substance or of an object designed or intended for use as drug paraphernalia upon conviction is guilty of a Class C felony.

History. Acts 2011, No. 570, § 65.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Research References

ALR.

Construction and Application of § 212(a)(2)(A)(i)(II) of the Immigration and Nationality Act (8 U.S.C. § 1182(a)(2)(A)(i)(II)), and Predecessor Provision, Rendering Inadmissible Any Alien Convicted of, or Who Admits to, Violating Federal, State, or Foreign Laws Relating to Controlled Substances. 93 A.L.R. Fed. 2d 1 (2015).

5-64-446. Civil or criminal liability.

  1. Civil or criminal liability shall not be imposed by this chapter on any practitioner who manufactures, distributes, or possesses a counterfeit substance for use by a practitioner in the course of professional practice or research or for use as a placebo by a practitioner in the course of professional practice or research.
    1. A person who violates §§ 5-64-419 — 5-64-442 is liable for the cost of the cleanup of the site where the person:
      1. Manufactured a controlled substance; or
      2. Possessed drug paraphernalia or a chemical for the purpose of manufacturing a controlled substance.
    2. The person shall make restitution to the state or local agency responsible for the cleanup for the cost of the cleanup under § 5-4-205.

History. Acts 2011, No. 570, § 66.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Subchapter 5 — Uniform Controlled Substances Act — Enforcement and Administration

A.C.R.C. Notes. Acts 1989 (3rd Ex. Sess.), No. 87, § 5, provided:

“(a) Civil seizures or forfeitures and injunctive proceedings commenced before the effective date of this act are not affected by this act.

“(b) This section applies to violations of law, seizures and forfeiture, injunctive proceedings, administrative proceedings, and investigations which occur following its effective date.”

Acts 1989 (3rd Ex. Sess.), No. 87, § 6, provided:

“Any orders and rules adopted under any law affected by this act and in effect on the effective date of this act and not in conflict with this act continue in effect until modified, superseded, or repealed.”

Publisher's Notes. Schedules I through VI referred to in this subchapter are partly codified and partly governed by administrative regulation. The Director of the Department of Health or his or her authorized agent revises and republishes the schedules annually. For a copy of the most recent rescheduling of controlled substances, contact the Department of Health.

Effective Dates. Acts 1972 (1st Ex. Sess.), No. 67, § 9: Mar. 6, 1972. Emergency clause provided: “It is hereby found and determined by the General Assembly that there is considerable confusion regarding the application and effect of Act 590 of 1971; that the penalties prescribed in Act 590 are in need of clarification; that the problem of drug abuse in this State is increasing at an alarming rate and that additional provisions are needed to assist in the enforcement of the provisions of Act 590; and that this Act is immediately necessary to provide such clarification and enforcement procedures for the protection of the public health and safety and therefore should be given effect immediately. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1981, No. 78, § 7: became law without Governor's signature. Noted Feb. 15, 1981. Emergency clause provided: “It is hereby found and determined by the General Assembly that there is an increasing problem of drug abuse in the State of Arkansas and that in order to protect the public health and safety immediate steps must be taken to enact a comprehensive Drug Paraphernalia Act and the immediate passage of this Act is necessary to accomplish this purpose; therefore, an emergency is hereby declared to exist and this Act being necessary for the preservation of the public peace, health and safety shall be in full force from and after its passage and approval.”

Acts 1983, No. 787, § 10: Mar. 24, 1983. Emergency clause provided: “It is hereby found and determined by the General Assembly that there is an increasing problem of counterfeit substances in the State of Arkansas and that in order to protect the public health and safety, immediate steps must be taken to establish a system of punishment for those possessing or distributing such substances. Therefore, an emergency is hereby declared to exist and this Act being necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after the date of its passage and approval.”

Acts 2007, No. 830, § 2: July 1, 2007. Emergency clause provides: “It is found and determined by the General Assembly of the State of Arkansas that the provisions of this act are needed to comply with the federal regulation sharing program; that this act will allow consistent application of the federal regulation sharing program and avoid confusion if it becomes effective on July 1, 2007; and that this act is immediately necessary because unless the emergency clause is adopted, the act will not go into effect until after the beginning of the next fiscal year. Therefore, an emergency is declared to exist and this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2007.”

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

Case Notes

In General.

This subchapter is remedial. Sims v. State, 326 Ark. 296, 930 S.W.2d 381 (1996).

5-64-501. Powers of officials generally.

Any law enforcement officer, any person authorized to enforce this chapter, or any employee of the Department of Health designated by the Secretary of the Department of Health to conduct an examination, investigation, or inspection under this chapter relating to a controlled substance or to a counterfeit drug may:

  1. Carry a firearm in the performance of his or her official duties;
  2. Execute and serve a search warrant, arrest warrant, administrative inspection warrant, subpoena, or summons issued under the authority of this state;
  3. Make an arrest without warrant for any offense under this chapter committed in his or her presence, or if he or she has probable cause to believe that the person to be arrested has committed a violation of this chapter that may constitute a felony;
  4. Make a seizure of property pursuant to this chapter; or
  5. Perform any other law enforcement duty as the secretary designates.

History. Acts 1971, No. 590, Art. 5, § 1; 1972 (1st Ex. Sess.), No. 67, § 5; 1979, No. 898, § 14; A.S.A. 1947, § 82-2625; Acts 2005, No. 1994, § 308; 2019, No. 910, § 4846.

Publisher's Notes. Acts 1972 (1st Ex. Sess.), No. 67, § 4, provided that nothing in Acts 1972 (1st Ex. Sess.), No. 67, which amended various provisions of Acts 1971, No. 590, was to limit or to be construed as limiting or restricting the investigatory, inspection, or disciplinary powers of any licensing and disciplining board authorized by law.

Amendments. The 2005 amendment deleted “subchapters 1-6 of” preceding “this chapter” throughout this section.

The 2019 amendment substituted “Secretary” for “Director” in the introductory language; and substituted “secretary” for “director” in (5).

Cross References. Authority to investigate and arrest in contiguous county, § 12-12-102.

Case Notes

Cited: Hosto v. Brickell, 265 Ark. 147, 577 S.W.2d 401 (1979).

5-64-502. Issuance and execution of administrative inspection warrants.

  1. Issuance and execution of an administrative inspection warrant shall be as follows:
      1. A judge of a court of record, within his or her jurisdiction, and upon proper oath or affirmation showing probable cause, may issue a warrant for the purpose of conducting an administrative inspection authorized by this chapter or a rule under this chapter, and a seizure of property appropriate to the administrative inspection.
      2. For purposes of the issuance of an administrative inspection warrant, probable cause exists from showing a valid public interest in the effective enforcement of this chapter or a rule under this chapter, sufficient to justify administrative inspection of the area, premises, building, or conveyance in the circumstances specified in the application for the administrative inspection warrant;
      1. An administrative inspection warrant shall issue only upon an affidavit of a designated officer or employee having knowledge of the facts alleged, sworn to before the judge or magistrate, and establishing the grounds for issuing the administrative inspection warrant.
      2. If the judge or magistrate is satisfied that grounds for the application exist or that there is probable cause to believe they exist, he or she shall issue an administrative inspection warrant identifying the area, premises, building, or conveyance to be inspected, the purpose of the inspection, and, if appropriate, the type of property to be inspected, if any.
      3. The administrative inspection warrant shall:
        1. State the grounds for its issuance and the name of each person whose affidavit has been taken in support of it;
        2. Be directed to a person authorized by § 5-64-501 to execute it;
        3. Command the person to whom it is directed to inspect the area, premises, building, or conveyance identified for the purpose specified and, if appropriate, direct the seizure of the property specified;
        4. Identify the item or types of property to be seized, if any; and
        5. Direct that it be served during normal business hours and designate the judge or magistrate to whom it shall be returned;
      1. An administrative inspection warrant issued pursuant to this section shall be executed and returned within ten (10) days of its date unless, upon a showing of a need for additional time, the court orders otherwise.
      2. If property is seized pursuant to an administrative inspection warrant, a copy of the administrative inspection warrant shall be given to the person from whom or from whose premises the property is taken, together with a receipt for the property taken.
        1. The return of the administrative inspection warrant shall be made promptly, accompanied by a written inventory of any property taken.
        2. The inventory shall be made in the presence of the person executing the administrative inspection warrant and of the person from whose possession or premises the property was taken, if present, or in the presence of at least one (1) credible person other than the person executing the administrative inspection warrant.
        3. A copy of the inventory shall be delivered to the person from whom or from whose premises the property was taken and to the applicant for the administrative inspection warrant; and
    1. The judge or magistrate who has issued an administrative inspection warrant shall attach to it a copy of the return and any paper returnable in connection with it and file the administrative inspection warrant, the copy of the return, and any paper returnable in connection with the administrative inspection warrant with the circuit clerk of the county where the inspection was made.
  2. The Arkansas Drug Director may make an administrative inspection of controlled premises in accordance with the following provisions:
    1. As used in this section, “controlled premises” means:
      1. A place where a person is required by state law to keep records; and
      2. A place including a factory, warehouse, establishment, or conveyance where a person registered or exempted from registration requirements under this chapter is permitted to hold, manufacture, compound, process, sell, deliver, or otherwise dispose of any controlled substance;
    2. When authorized by an administrative inspection warrant issued pursuant to subsection (a) of this section an officer or employee designated by the director, upon presenting the administrative inspection warrant and appropriate credentials to the owner, operator, or agent in charge, may enter controlled premises for the purpose of conducting an administrative inspection;
    3. When authorized by an administrative inspection warrant, an officer or employee designated by the director may:
      1. Inspect and copy a record required by this chapter to be kept;
      2. Inspect, within reasonable limits and in a reasonable manner, controlled premises and any pertinent equipment, finished and unfinished material, container or labeling found in the controlled premises, and, except as provided in subdivision (b)(5) of this section, any other thing in the controlled premises, including a record, file, paper, process, control, or facility bearing on a violation of this chapter; and
      3. Inventory any stock of any controlled substance in the controlled premises and obtain samples of the stock of any controlled substance;
    4. This section does not prevent the inspection without an administrative inspection warrant of a book or record pursuant to an administrative subpoena, nor does it prevent an entry or an administrative inspection, including a seizure of property, without an administrative inspection warrant:
      1. If the owner, operator, or agent in charge of the controlled premises consents;
      2. In a situation presenting imminent danger to health or safety;
      3. In a situation involving inspection of a conveyance if there is reasonable cause to believe that the mobility of the conveyance makes it impracticable to obtain an administrative inspection warrant;
      4. In any other exceptional or emergency circumstance when time or opportunity to apply for an administrative inspection warrant is lacking; or
      5. In any other situation in which an administrative inspection warrant is not constitutionally required; and
    5. An inspection authorized by this section does not extend to financial data, sales data, other than shipment data, or pricing data unless the owner, operator, or agent in charge of the controlled premises consents in writing.

History. Acts 1971, No. 590, Art. 5, § 2; A.S.A. 1947, § 82-2626; Acts 2005, No. 1994, § 308.

Amendments. The 2005 amendment deleted “subchapters 1-6 of” preceding “this chapter” twice in (a)(1), and in (b)(1)(B), (b)(3)(A) and (b)(3)(B); and made stylistic changes throughout.

Case Notes

Construction.

This section must be read as an act authorizing administrative inspection warrants and regulating their issuance and execution when constitutionally required, and not as a limitation on actions where a warrant is not required. Hosto v. Brickell, 265 Ark. 147, 577 S.W.2d 401 (1979).

5-64-503. Injunctions or restraining orders.

  1. A trial court of this state may exercise jurisdiction to restrain or enjoin a violation of this chapter.
  2. The defendant may demand a trial by jury for an alleged violation of an injunction or restraining order under this section.

History. Acts 1971, No. 590, Art. 5, § 3; A.S.A. 1947, § 82-2627.

5-64-504. Intergovernmental cooperation — Identities of patients and research subjects.

    1. The Secretary of the Department of Health shall cooperate with federal and any other state agency in discharging the agency's responsibilities concerning traffic in controlled substances and in suppressing the abuse of controlled substances.
    2. To this end, the secretary may:
      1. Arrange for the exchange of information among governmental officials concerning the use and abuse of controlled substances;
      2. Coordinate and cooperate in training programs concerning controlled substance law enforcement at local and state levels;
        1. Cooperate with the United States Drug Enforcement Administration by establishing a centralized unit to accept, catalogue, file, and collect statistics, including records of drug dependent persons and other controlled substance law offenders within the state and make the information available for federal, state, and local law enforcement purposes.
        2. The secretary shall not furnish the name or identity of a patient or research subject whose identity could not be obtained under subsection (c) of this section; and
      3. Conduct programs of eradication aimed at destroying wild or illicit growth of plant species from which controlled substances may be extracted.
  1. Results, information, and evidence received from the United States Drug Enforcement Administration relating to the regulatory functions of this chapter, including a result of an inspection conducted by the United States Drug Enforcement Administration, may be relied and acted upon by the secretary in the exercise of the Department of Health's regulatory functions under this chapter.
  2. A practitioner engaged in medical practice or research is not required or compelled to furnish the name or identity of a patient or research subject to the secretary nor may he or she be compelled in any state or local civil, criminal, administrative, legislative, or other proceeding to furnish the name or identity of an individual that the practitioner is obligated to keep confidential.

History. Acts 1971, No. 590, Art. 5, § 4; A.S.A. 1947, § 82-2628; Acts 2005, No. 1994, § 309; 2019, No. 910, § 4847.

Amendments. The 2005 amendment inserted “or she” in (a), (a)(3), and (c); and deleted “subchapters 1-6 of” preceding “this chapter” twice in (b).

The 2019 amendment substituted “Secretary” for “Director” in (a)(1).

5-64-505. Property subject to forfeiture — Procedure — Disposition of property.

  1. Items Subject to Forfeiture. The following are subject to forfeiture upon the initiation of a civil proceeding filed by the prosecuting attorney and when so ordered by the circuit court in accordance with this section, however no property is subject to forfeiture based solely upon a misdemeanor possession of a Schedule III, Schedule IV, Schedule V, or Schedule VI controlled substance:
    1. Any controlled substance or counterfeit substance that has been manufactured, distributed, dispensed, or acquired in violation of this chapter;
    2. Any raw material, product, or equipment of any kind that is used, or intended for use, in manufacturing, compounding, processing, delivering, importing, or exporting any controlled substance or counterfeit substance in violation of this chapter;
    3. Any property that is used, or intended for use, as a container for property described in subdivision (a)(1) or subdivision (a)(2) of this section;
    4. Any conveyance, including an aircraft, vehicle, or vessel that is used or intended for use to transport or in any manner to facilitate the transportation for the purpose of sale or receipt of property described in subdivision (a)(1) or subdivision (a)(2) of this section, however:
      1. No conveyance used by any person as a common carrier in the transaction of business as a common carrier is subject to forfeiture under this section unless it appears that the owner or other person in charge of the conveyance is a consenting party or privy to a violation of this chapter;
        1. No conveyance is subject to forfeiture under this section by reason of any act or omission established by the owner of the conveyance to have been committed or omitted without his or her knowledge or consent.
        2. Upon a showing described in subdivision (a)(4)(B)(i) of this section by the owner or interest holder, the conveyance may nevertheless be forfeited if the prosecuting attorney establishes that the owner or interest holder either knew or should reasonably have known that the conveyance would be used to transport or in any manner to facilitate the transportation for the purpose of sale or receipt of property described in subdivision (a)(1) or subdivision (a)(2) of this section;
      2. A conveyance is not subject to forfeiture for a violation of §§ 5-64-419 and 5-64-441; and
      3. A forfeiture of a conveyance encumbered by a bona fide security interest is subject to the interest of the secured party if the secured party neither had knowledge of nor consented to the act or omission;
    5. Any book, record, or research product or material, including a formula, microfilm, tape, or data that is used, or intended for use, in violation of this chapter;
      1. Anything of value, including firearms, furnished or intended to be furnished in exchange for a controlled substance or counterfeit substance in violation of this chapter, any proceeds or profits traceable to the exchange, and any money, negotiable instrument, or security used, or intended to be used, to facilitate any violation of this chapter.
      2. However, no property shall be forfeited under this subdivision (a)(6) to the extent of the interest of an owner by reason of any act or omission established by him or her, by a preponderance of the evidence, to have been committed or omitted without his or her knowledge or consent;
    6. Rebuttable Presumptions.
      1. Any money, coin, currency, or firearms found in close proximity to a forfeitable controlled substance, a counterfeit substance, forfeitable drug manufacturing or distributing paraphernalia, or a forfeitable record of an importation, manufacture, or distribution of a controlled substance or counterfeit substance is presumed to be forfeitable under this subdivision (a)(7).
      2. The burden of proof is upon a claimant of the property to rebut this presumption by a preponderance of the evidence; and
    7. Real property may be forfeited under this chapter if it substantially assisted in, facilitated in any manner, or was used or intended for use in the commission of any act prohibited by this chapter, however:
      1. No real property is subject to forfeiture under this chapter by reason of any act or omission established by the owner of the real property by a preponderance of the evidence to have been committed or omitted without his or her knowledge or consent;
      2. Real property is not subject to forfeiture for a violation of § 5-64-419, if the offense is a Class C felony or less, or § 5-64-441;
      3. A forfeiture of real property encumbered by a mortgage or other lien is subject to the interest of the secured party if the secured party neither had knowledge of nor consented to the unlawful act or omission;
      4. Upon conviction, when the circuit court having jurisdiction over the real property seized finds upon a hearing by a preponderance of the evidence that grounds for a forfeiture exist under this section, the court shall enter an order consistent with subsection (h) of this section;
      5. When any court orders a forfeiture of real property under this chapter, the order shall be filed of record on the day issued and shall have prospective effect only;
      6. A forfeiture of real property ordered under a provision of this chapter does not affect the title of a bona fide purchaser who purchased the real property prior to the issuance of the order, and the order has no force or effect on the title of the bona fide purchaser; and
      7. Any lis pendens filed in connection with any action pending under a provision of this chapter that might result in the forfeiture of real property is operative only from the time filed and has no retroactive effect.
  2. Seizure and Summary Forfeiture of Contraband. The following items are deemed contraband and may be seized and summarily forfeited to the state:
    1. A controlled substance listed in Schedule I that is possessed, transferred, sold, or offered for sale in violation of this chapter and a controlled substance listed in Schedule I that is seized or comes into the possession of the state and the owner of the controlled substance is unknown;
      1. A species of a plant from which a controlled substance in Schedule I, Schedule II, or Schedule VI may be derived and:
        1. The plant has been planted or cultivated in violation of this chapter;
        2. The plant's owner or cultivator is unknown; or
        3. The plant is a wild growth.
      2. Upon demand by a seizing law enforcement agency, the failure of a person in occupancy or in control of land or premises where the species of plant is growing or being stored, to produce an appropriate registration or proof that he or she is the holder of an appropriate registration, constitutes authority for the seizure and forfeiture of the plant; and
    2. Any drug paraphernalia or counterfeit substance except in the possession or control of a practitioner in the course of professional practice or research.
  3. Seizure of Property. Property subject to forfeiture under this chapter may be seized by any law enforcement agent upon process issued by any circuit court having jurisdiction over the property on petition filed by the prosecuting attorney of the judicial circuit. Seizure without process may be made if:
    1. The seizure is incident to an arrest or a search under a search warrant or an inspection under an administrative inspection warrant;
    2. The property subject to seizure has been the subject of a prior judgment in favor of the state in a criminal injunction or forfeiture proceeding based upon this chapter;
    3. The seizing law enforcement agency has probable cause to believe that the property is directly or indirectly dangerous to health or safety; or
    4. The seizing law enforcement agency has probable cause to believe that the property was used or is intended to be used in violation of this chapter.
  4. Transfer of Property Seized by State or Local Agency to Federal Agency.
    1. No state or local law enforcement agency may transfer any property seized by the state or local agency to any federal entity for forfeiture under federal law unless the circuit court having jurisdiction over the property enters an order, upon petition by the prosecuting attorney, authorizing the property to be transferred to the federal entity.
    2. The transfer shall not be approved unless it reasonably appears that the activity giving rise to the investigation or seizure involves more than one (1) state or the nature of the investigation or seizure would be better pursued under federal law.
  5. Custody of Property Pending Disposition.
    1. Property seized for forfeiture under this section is not subject to replevin, but is deemed to be in the custody of the seizing law enforcement agency subject only to an order or decree of the circuit court having jurisdiction over the property seized.
    2. Subject to any need to retain the property as evidence, when property is seized under this chapter the seizing law enforcement agency may:
      1. Remove the property to a place designated by the circuit court;
      2. Place the property under constructive seizure posting notice of pending forfeiture on it, by giving notice of pending forfeiture to its owners and interest holders, or by filing notice of pending forfeiture in any appropriate public record relating to the property;
      3. Remove the property to a storage area for safekeeping or, if the property is a negotiable instrument or money, or is not needed for evidentiary purposes, deposit it in an interest-bearing account; or
      4. Provide for another agency or custodian, including an owner, secured party, mortgagee, or lienholder, to take custody of the property and service, maintain, and operate it as reasonably necessary to maintain its value in any appropriate location within the jurisdiction of the court.
      1. In any case of transfer of property, a transfer receipt shall be prepared by the transferring agency.
      2. The transfer receipt shall:
        1. List a detailed and complete description of the property being transferred;
        2. State to whom the property is being transferred and the source or authorization for the transfer; and
        3. Be signed by both the transferor and the transferee.
      3. Both transferor and transferee shall maintain a copy of the transfer receipt.
    3. A person who acts as custodian of property under this section is not liable to any person on account of an act done in a reasonable manner in compliance with an order under this chapter.
  6. Inventory of Property Seized — Referral to Prosecuting Attorney.
    1. Any property seized by a state or local law enforcement officer who is detached to, deputized or commissioned by, or working in conjunction with a federal agency remains subject to the provisions of this section.
      1. When property is seized for forfeiture by a law enforcement agency, the seizing law enforcement officer shall prepare and sign a confiscation report.
        1. The party from whom the property is seized shall also sign the confiscation report if present and shall immediately receive a copy of the confiscation report.
        2. If the party refuses to sign the confiscation report, the confiscation report shall be signed by one (1) additional law enforcement officer, stating that the party refused to sign the confiscation report.
      2. The original confiscation report shall be:
        1. Filed with the seizing law enforcement agency within forty-eight (48) hours after the seizure; and
        2. Maintained in a separate file.
      3. One (1) copy of the confiscation report shall be retained by the seizing law enforcement officer.
    2. The confiscation report shall contain the following information:
      1. A detailed description of the property seized including any serial or model numbers and odometer or hour reading of vehicles or equipment;
      2. The date of seizure;
      3. The name and address from whom the property was seized;
      4. The reason for the seizure;
      5. Where the property will be held;
      6. The seizing law enforcement officer's name; and
      7. A signed statement by the seizing law enforcement officer stating that the confiscation report is true and complete.
    3. Within three (3) business days of receiving the confiscation report, the seizing law enforcement agency shall forward a copy of the confiscation report to the prosecuting attorney for the district where the property was seized and to the Arkansas Drug Director.
      1. Arkansas Legislative Audit shall notify the Arkansas Alcohol and Drug Abuse Coordinating Council and a circuit court in the county of a law enforcement agency, prosecuting attorney, or other public entity that the law enforcement agency, prosecuting attorney, or public entity is ineligible to receive any forfeited funds, forfeited property, or any grants from the council, if Arkansas Legislative Audit determines, by its own investigation or upon written notice from the Arkansas Drug Director, that:
        1. The law enforcement agency has failed to complete and file the confiscation reports as required by this section;
        2. The law enforcement agency, prosecuting attorney, or public entity has not properly accounted for any seized property; or
        3. The prosecuting attorney has failed to comply with the notification requirement set forth in subdivision (i)(1) of this section.
      2. After the notice, the circuit court shall not issue any order distributing seized property to that law enforcement agency, prosecuting attorney, or public entity nor shall any grant be awarded by the council to that law enforcement agency, prosecuting attorney, or public entity until:
        1. The appropriate officials of the law enforcement agency, prosecuting attorney, or public entity have appeared before the Legislative Joint Auditing Committee; and
        2. The Legislative Joint Auditing Committee has adopted a motion authorizing subsequent transfers of forfeited property to the law enforcement agency, prosecuting attorney, or public entity.
        1. While a law enforcement agency, prosecuting attorney, or other public entity is ineligible to receive forfeited property, the circuit court shall order any money that would have been distributed to that law enforcement agency, prosecuting attorney, or public entity to be transmitted to the Treasurer of State for deposit into the Crime Lab Equipment Fund.
        2. If the property is other than cash, the circuit court shall order the property converted to cash pursuant to subdivision (h)(1)(B) of this section and the proceeds transmitted to the Treasurer of State for deposit into the Crime Lab Equipment Fund.
      3. Moneys deposited into the Crime Lab Equipment Fund pursuant to subdivision (f)(5)(C) of this section are not subject to recovery or retrieval by the ineligible law enforcement agency, prosecuting attorney, or other public entity.
    4. The Arkansas Drug Director shall establish through rules a standardized confiscation report form to be used by all law enforcement agencies with specific instructions and guidelines concerning the nature and dollar value of all property, including firearms, to be included in the confiscation report and forwarded to the office of the local prosecuting attorney and the Arkansas Drug Director under this subsection.
  7. Initiation of Forfeiture Proceedings — Notice to Claimants — Judicial Proceedings.
      1. The prosecuting attorney shall initiate forfeiture proceedings by filing a complaint with the circuit clerk of the county where the property was seized and by serving the complaint on all known owners and interest holders of the seized property in accordance with the Arkansas Rules of Civil Procedure.
      2. The complaint may be based on in rem or in personam jurisdiction but shall not be filed in such a way as to avoid the distribution requirements set forth in subdivision (i)(1) of this section.
      3. The prosecuting attorney shall mail a copy of the complaint to the Arkansas Drug Director within five (5) calendar days after filing the complaint.
      1. The complaint shall include a copy of the confiscation report and shall be filed within sixty (60) days after receiving a copy of the confiscation report from the seizing law enforcement agency.
      2. In a case involving real property, the complaint shall be filed within sixty (60) days of the defendant's conviction on the charge giving rise to the forfeiture.
      1. The prosecuting attorney may file the complaint after the expiration of the time set forth in subdivision (g)(2) of this section only if the complaint is accompanied by a statement of good cause for the late filing.
      2. However, in no event shall the complaint be filed more than one hundred twenty (120) days after either the date of the seizure or, in a case involving real property, the date of the defendant's conviction.
      3. If the circuit court determines that good cause has not been established, the circuit court shall order that the seized property be returned to the owner or interest holder. In addition, items seized but not subject to forfeiture under this section or subject to disposition pursuant to law or the Arkansas Rules of Criminal Procedure may be ordered returned to the owner or interest holder. If the owner or interest holder cannot be determined, the court may order disposition of the property in accordance with subsection (h) of this section.
    1. Within the time set forth in the Arkansas Rules of Civil Procedure, the owner or interest holder of the seized property shall file with the circuit clerk a verified answer to the complaint that shall include:
      1. A statement describing the seized property and the owner's or interest holder's interest in the seized property, with supporting documents to establish the owner's or interest holder's interest;
      2. A certification by the owner or interest holder stating that he or she has read the verified answer and that it is not filed for any improper purpose;
      3. A statement setting forth any defense to forfeiture; and
      4. The address at which the owner or interest holder will accept mail.
      1. If the owner or interest holder fails to file an answer as required by subdivision (g)(4) of this section, the prosecuting attorney may move for default judgment pursuant to the Arkansas Rules of Civil Procedure.
        1. If a timely answer has been filed, the prosecuting attorney has the burden of proving by a preponderance of the evidence that the seized property should be forfeited.
        2. After the prosecuting attorney has presented proof under subdivision (g)(5)(B)(i) of this section, any owner or interest holder of the property seized is allowed to present evidence why the seized property should not be forfeited.
          1. If the circuit court determines that grounds for forfeiting the seized property exist and that no defense to forfeiture has been established by the owner or interest holder, the circuit court shall enter an order pursuant to subsection (h) of this section.
          2. However, if the circuit court determines either that the prosecuting attorney has failed to establish that grounds for forfeiting the seized property exist or that the owner or interest holder has established a defense to forfeiture, the court shall order that the seized property be immediately returned to the owner or interest holder.
  8. Final Disposition.
    1. When the circuit court having jurisdiction over the seized property finds upon a hearing by a preponderance of the evidence that grounds for a forfeiture exist under this chapter, the circuit court shall enter an order:
      1. To permit the law enforcement agency or prosecuting attorney to retain the seized property for law enforcement or prosecutorial purposes, subject to the following provisions:
          1. Seized property may not be retained for official use for more than two (2) years, unless the circuit court finds that the seized property has been used for law enforcement or prosecutorial purposes and authorizes continued use for those purposes on an annual basis.
          2. At the end of the retention period, the seized property shall be sold as provided in subdivision (h)(1)(B) of this section and:
            1. Eighty percent (80%) of the proceeds shall be deposited into the drug control fund of the retaining law enforcement agency or prosecuting attorney; and
            2. Twenty percent (20%) of the proceeds shall be deposited into the State Treasury as special revenues to be credited to the Crime Lab Equipment Fund.
            1. Nothing prohibits the retaining law enforcement agency or prosecuting attorney from selling the retained seized property at any time during the time allowed for retention.
            2. However, the proceeds of the sale shall be distributed as set forth in subdivision (h)(1)(A)(i)(b) of this section;
        1. If the circuit court determines that retained seized property has been used for personal use or by non-law enforcement personnel for non-law enforcement purposes, the circuit court shall order the seized property to be sold pursuant to the provisions of § 5-5-101(e) and (f), and the proceeds shall be deposited into the State Treasury as special revenues to be credited to the Crime Lab Equipment Fund;
          1. A drug task force may use forfeited property or money if the circuit court's order specifies that the forfeited property or money is forfeited to the prosecuting attorney, county sheriff, chief of police, Division of Arkansas State Police, or Arkansas Highway Police Division of the Arkansas Department of Transportation.
          2. After the order, the prosecuting attorney, county sheriff, chief of police, Division of Arkansas State Police, or Arkansas Highway Police Division of the Arkansas Department of Transportation shall:
            1. Maintain an inventory of the forfeited property or money;
            2. Be accountable for the forfeited property or money; and
            3. Be subject to the provisions of subdivision (f)(5) of this section with respect to the forfeited property or money;
          1. Any aircraft is forfeited to the office of the Arkansas Drug Director and may only be used for drug eradication or drug interdiction efforts, within the discretion of the Arkansas Drug Director.
          2. However, if the Arkansas Alcohol and Drug Abuse Coordinating Council determines that the aircraft should be sold, the sale shall be conducted pursuant to the provisions of § 5-5-101(e) and (f), and the proceeds of the sale shall be deposited into the Special State Assets Forfeiture Fund;
        2. Any firearm not retained for official use shall be disposed of in accordance with state and federal law; and
        3. Any controlled substance, plant, drug paraphernalia, or counterfeit substance shall be destroyed pursuant to a court order;
        1. To sell seized property that is not required by law to be destroyed and that is not harmful to the public.
        2. Seized property described in subdivision (h)(1)(B)(i) of this section shall be sold at a public sale by the retaining law enforcement agency or prosecuting attorney pursuant to the provisions of § 5-5-101(e) and (f); or
      2. To transfer a motor vehicle to a school district for use in a driver education course.
    2. Disposition of forfeited property pursuant to this subsection is subject to the need to retain the forfeited property as evidence in any related proceeding.
    3. Within three (3) business days of the entry of the order, the circuit clerk shall forward to the Arkansas Drug Director copies of the confiscation report, the circuit court's order, and any other documentation detailing the disposition of the seized property.
  9. Disposition of Moneys Received. Subject to the provisions of subdivision (f)(5) of this section, the proceeds of sales conducted pursuant to subdivision (h)(1)(B) of this section and any moneys forfeited or obtained by judgment or settlement pursuant to this chapter shall be deposited and distributed in the manner set forth in this subsection. Moneys received from a federal forfeiture shall be deposited and distributed pursuant to subdivision (i)(4) of this section.
    1. Asset Forfeiture Fund.
      1. The proceeds of any sale and any moneys forfeited or obtained by judgment or settlement under this chapter shall be deposited into the asset forfeiture fund of the prosecuting attorney and is subject to the following provisions:
        1. If, during a calendar year, the aggregate amount of moneys deposited into the asset forfeiture fund exceeds twenty thousand dollars ($20,000) per county, the prosecuting attorney shall, within fourteen (14) days of that time, notify the circuit judges in the judicial district and the Arkansas Drug Director;
        2. Subsequent to the notification set forth in subdivision (i)(1)(A)(i) of this section, twenty percent (20%) of the proceeds of any additional sale and any additional moneys forfeited or obtained by judgment or settlement under this chapter in the same calendar year shall be deposited into the State Treasury as special revenues to be credited to the Crime Lab Equipment Fund, and the remainder shall be deposited into the asset forfeiture fund of the prosecuting attorney;
        3. Failure by the prosecuting attorney to comply with the notification requirement set forth in subdivision (i)(1)(A)(i) of this section renders the prosecuting attorney and any entity eligible to receive forfeited moneys or property from the prosecuting attorney ineligible to receive forfeited moneys or property, except as provided in subdivision (f)(5)(A) of this section; and
        4. Twenty percent (20%) of any moneys in excess of twenty thousand dollars ($20,000) that have been retained but not reported as required by subdivision (i)(1)(A)(i) of this section are subject to recovery for deposit into the Crime Lab Equipment Fund.
      2. The prosecuting attorney shall administer expenditures from the asset forfeiture fund which is subject to audit by Arkansas Legislative Audit. Moneys distributed from the asset forfeiture fund shall only be used for law enforcement and prosecutorial purposes. Moneys in the asset forfeiture fund shall be distributed in the following order:
        1. For satisfaction of any bona fide security interest or lien;
        2. For payment of any proper expense of the proceeding for forfeiture and sale, including expenses of seizure, maintenance of custody, advertising, and court costs;
        3. Any balance under two hundred fifty thousand dollars ($250,000) shall be distributed proportionally so as to reflect generally the contribution of the appropriate local or state law enforcement or prosecutorial agency's participation in any activity that led to the seizure or forfeiture of the property or deposit of moneys under this chapter; and
        4. Any balance over two hundred fifty thousand dollars ($250,000) shall be forwarded to the Arkansas Drug Director to be transferred to the State Treasury for deposit into the Special State Assets Forfeiture Fund for distribution as provided in subdivision (i)(3) of this section.
        1. For a forfeiture in an amount greater than two hundred fifty thousand dollars ($250,000) from which expenses are paid for a proceeding for forfeiture and sale under subdivision (i)(1)(B)(ii) of this section, an itemized accounting of the expenses shall be delivered to the Arkansas Drug Director within ten (10) calendar days after the distribution of the funds.
        2. The itemized accounting shall include the expenses paid, to whom paid, and for what purposes the expenses were paid.
    2. Drug Control Fund.
        1. There is created on the books of law enforcement agencies and prosecuting attorneys a drug control fund.
        2. The drug control fund shall consist of any moneys obtained under subdivision (i)(1) of this section and any other revenue as may be provided by law or ordinance.
        3. Moneys from the drug control fund may not supplant other local, state, or federal funds.
        4. Moneys in the drug control fund are appropriated on a continuing basis and are not subject to the Revenue Stabilization Law, § 19-5-101 et seq.
        5. Moneys in the drug control fund shall only be used for law enforcement and prosecutorial purposes.
        6. The drug control fund is subject to audit by Arkansas Legislative Audit.
      1. The law enforcement agencies and prosecuting attorneys shall submit to the Arkansas Drug Director on or before January 1 and July 1 of each year a report detailing any moneys received and expenditure made from the drug control fund during the preceding six-month period.
    3. Special State Assets Forfeiture Fund.
      1. There is created and established on the books of the Treasurer of State, the Auditor of State, and the Chief Fiscal Officer of the State a fund to be known as the “Special State Assets Forfeiture Fund”.
        1. The Special State Assets Forfeiture Fund shall consist of revenues obtained under subdivision (i)(1)(B)(iv) of this section and any other revenue as may be provided by law.
        2. Moneys from the Special State Assets Forfeiture Fund may not supplant other local, state, or federal funds.
      2. The Special State Assets Forfeiture Fund is not subject to the provisions of the Revenue Stabilization Law, § 19-5-101 et seq., or the Special Revenue Fund Account of the State Apportionment Fund, § 19-5-203(b)(2)(A).
        1. The Arkansas Drug Director shall establish through rules a procedure for proper investment, use, and disposition of state moneys deposited into the Special State Assets Forfeiture Fund in accordance with the intent and purposes of this chapter.
        2. State moneys in the Special State Assets Forfeiture Fund shall be distributed by the Arkansas Alcohol and Drug Abuse Coordinating Council and shall be distributed for drug interdiction, eradication, education, rehabilitation, the State Crime Laboratory, and drug courts.
    4. Federal Forfeitures.
          1. Any moneys received by a prosecuting attorney or law enforcement agency from a federal forfeiture shall be deposited and maintained in a separate account.
          2. However, any balance over two hundred fifty thousand dollars ($250,000) shall be distributed as set forth in subdivision (i)(4)(B) of this section.
        1. No other moneys may be maintained in the account except for any interest income generated by the account.
        2. Moneys in the account shall only be used for law enforcement and prosecutorial purposes consistent with governing federal law.
        3. The account is subject to audit by Arkansas Legislative Audit.
        1. Any balance over two hundred fifty thousand dollars ($250,000) shall be forwarded to the Division of Arkansas State Police to be transferred to the State Treasury for deposit into the Special State Assets Forfeiture Fund in which it shall be maintained separately and distributed consistent with governing federal law and upon the advice of the Arkansas Alcohol and Drug Abuse Coordinating Council.
        2. Of the moneys contained in the Special State Assets Forfeiture Fund at the beginning of each fiscal year, no more than:
          1. Twenty-five percent (25%) shall be retained by the Division of Arkansas State Police to be used for law enforcement purposes consistent with governing federal law; and
          2. Sixty-five percent (65%) may be distributed among other state and local law enforcement agencies to be used for law enforcement purposes consistent with federal law.
        3. With the advice of the Arkansas Alcohol and Drug Abuse Coordinating Council, the Division of Arkansas State Police shall promulgate rules and procedures for the distribution by an allocation formula of moneys set forth in subdivision (i)(4)(B)(ii)(b) of this section.
  10. In Personam Proceedings. In personam jurisdiction may be based on a person's presence in the state, or on his or her conduct in the state, as set out in § 16-4-101(C), and is subject to the following additional provisions:
    1. A temporary restraining order under this section may be entered ex parte on application of the state, upon a showing that:
      1. There is probable cause to believe that the property with respect to which the order is sought is subject to forfeiture under this section; and
      2. Notice of the action would jeopardize the availability of the property for forfeiture;
      1. Notice of the entry of a temporary restraining order and an opportunity for hearing shall be afforded to a person known to have an interest in the property.
      2. The hearing shall be held at the earliest possible date consistent with Rule 65 of the Arkansas Rules of Civil Procedure and is limited to the issues of whether:
        1. There is a probability that the state will prevail on the issue of forfeiture and that failure to enter the temporary restraining order will result in the property's being destroyed, conveyed, alienated, encumbered, disposed of, received, removed from the jurisdiction of the circuit court, concealed, or otherwise made unavailable for forfeiture; and
        2. The need to preserve the availability of property through the entry of the requested temporary restraining order outweighs the hardship on any owner or interest holder against whom the temporary restraining order is to be entered;
    2. The state has the burden of proof by a preponderance of the evidence to show that the defendant's property is subject to forfeiture;
      1. On a determination of liability of a person for conduct giving rise to forfeiture under this section, the circuit court shall enter a judgment of forfeiture of the property subject to forfeiture as alleged in the complaint and may authorize the prosecuting attorney or any law enforcement officer to seize any property subject to forfeiture pursuant to subsection (a) of this section not previously seized or not then under seizure.
      2. The order of forfeiture shall be consistent with subsection (h) of this section.
      3. In connection with the judgment, on application of the state, the circuit court may enter any appropriate order to protect the interest of the state in property ordered forfeited; and
    3. Subsequent to the finding of liability and order of forfeiture, the following procedures apply:
      1. The attorney for the state shall give notice of pending forfeiture, in the manner provided in Rule 4 of the Arkansas Rules of Civil Procedure, to any owner or interest holder who has not previously been given notice;
      2. An owner of or interest holder in property that has been ordered forfeited and whose claim is not precluded may file a claim within thirty (30) days after initial notice of pending forfeiture or after notice under Rule 4 of the Arkansas Rules of Civil Procedure, whichever is earlier; and
      3. The circuit court may amend the in personam order of forfeiture if the circuit court determines that a claimant has established that he or she has an interest in the property and that the interest is exempt under subdivision (a)(4), subdivision (a)(6), or subdivision (a)(8) of this section.
  11. The circuit court shall order the forfeiture of any other property of a claimant or defendant up to the value of the claimant's or defendant's property found by the circuit court to be subject to forfeiture under subsection (a) of this section if any of the forfeitable property had remained under the control or custody of the claimant or defendant and:
    1. Cannot be located;
    2. Was transferred or conveyed to, sold to, or deposited with a third party;
    3. Is beyond the jurisdiction of the circuit court;
    4. Was substantially diminished in value while not in the actual physical custody of the seizing law enforcement agency;
    5. Was commingled with other property that cannot be divided without difficulty; or
    6. Is subject to any interest exempted from forfeiture under this subchapter.
      1. On the fifth day of each month the Treasurer of State shall transfer to the Department of Community Correction Fund Account twenty percent (20%) of any moneys deposited into the Special State Assets Forfeiture Fund during the previous month.
      2. However, in no event shall more than eight hundred thousand dollars ($800,000) be transferred during any one (1) fiscal year.
    1. Any moneys transferred to the Department of Community Correction Fund Account from the Special State Assets Forfeiture Fund in accordance with this subsection shall:
      1. Be used for the personal services and operating expenses of the drug courts and for no other purpose; and
      2. Not be transferred from the Department of Community Correction Fund Account.
    1. There shall be no civil judgment under this subchapter and no property shall be forfeited unless the person from whom the property is seized is convicted of a felony offense that related to the property being seized and that permits the forfeiture of the property.
    2. The court may waive the conviction requirement under this subsection if the prosecuting attorney shows by clear and convincing evidence that, before a conviction, the person from whom the property was seized:
      1. Died;
      2. Was deported by the United States Government;
      3. Was granted immunity or reduced punishment in exchange for testifying or assisting a law enforcement agency or prosecution;
      4. Fled the jurisdiction or failed to appear on the underlying criminal charge;
      5. Failed to answer the complaint for civil asset forfeiture under this section as specified in the Arkansas Rules of Civil Procedure;
      6. Abandoned or disclaimed interest or ownership in the property seized; or
      7. Agreed in writing with the prosecuting attorney and other parties as to the disposition of the property.

History. Acts 1971, No. 590, Art. 5, § 5; 1977, No. 334, § 1; 1981, No. 78, § 3; 1981, No. 863, §§ 1, 2; 1983, No. 787, §§ 7, 8; 1985, No. 1074, § 1; A.S.A. 1947, § 82-2629; Acts 1989, No. 252, §§ 1, 2; 1989 (3rd Ex. Sess.), No. 87, §§ 1, 2, 4; 1991, No. 573, § 1; 1991, No. 1050, § 1; 1999, No. 1120, § 2; 2001, No. 1495, § 2; 2001, No. 1690, §§ 1, 2; 2003, No. 1447, § 1; 2005, No. 1994, § 310; 2005, No. 2245, § 1; 2007, No. 493, §§ 1-3; 2007, No. 827, § 65; 2007, No. 830, § 1; 2009, No. 699, § 1; 2011, No. 570, §§ 67, 68; 2017, No. 707, § 4; 2019, No. 315, §§ 164, 165; 2019, No. 476, § 1.

A.C.R.C. Notes. Acts 1991, No. 573, § 2, provided:

“It is the express intent of this Act to create in personam jurisdiction for personal property in forfeiture proceedings. This type of jurisdiction has been authorized through legislation in several states. See, e.g., Arizona Revised Statutes Annotated Sections 13-4301 to -4315; and Louisiana Revised Statutes Sections 40:2601 to 40:2622. See also the Model Asset Seizure and Forfeiture Act prepared by the American Prosecutors Research Institute's National Drug Prosecution Center.”

Acts 1999, No. 1120, § 1, provided:

“Legislative intent. As stated in the comment to section 505 of the Uniform Controlled Substances Act, ‘Effective law enforcement demands that there be a means of confiscating the vehicles and instrumentalities used by drug traffickers in committing violations under this act. The reasoning is to prevent their use in the commission of subsequent offenses involving transportation or concealment of controlled substances and to deprive the drug trafficker of needed mobility.’ The General Assembly recognizes the importance of asset forfeiture as a means to confront drug trafficking. However, the General Assembly also recognizes that under the system that existed prior to the enactment of this act, the lack of uniformity and accountability in forfeiture procedures across the state has undermined confidence in the system. As the United States Supreme Court has stated, ‘Forfeiture provisions are powerful weapons in the war on crime; like any such weapons, their impact can be devastating when used unjustly.’ In order to alleviate the problems resulting from the lack of uniformity and accountability, the General Assembly has determined that time limits for initiating forfeiture proceedings and stricter controls over forfeited property will help alleviate such problems while strengthening forfeiture as a vital weapon against drug trafficking. Specifically, it is the intent of § 5-64-505(a) that there be no forfeitures based solely upon a misdemeanor possession of a controlled substance. However, if the prosecuting attorney can prove that other evidence exists to establish a basis for forfeiture, the property may be forfeited. It is the intent of § 5-64-505(d) to reduce the conflict between state and federal authorities over seizures executed by state law enforcement officers. It is the intent of § 5-64-505(h) to allow law enforcement agencies and drug task forces to maintain forfeited property for official use, provided that the final order disposing of such property defines the legal entity that is responsible for such property. Section 5-64-505(i)(1)(D) governs those situations in which a seizure results in the forfeiture of money and or property in excess of two hundred fifty thousand dollars ($250,000). It is the specific intent of the General Assembly that forfeiture proceedings not be structured in such a way as to defeat the General Assembly's intent that money or property in excess of two hundred fifty thousand dollars ($250,000) be transferred to the Special State Assets Forfeiture Fund. It is determined that such fund can best be used to combat drug trafficking statewide.”

Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2001 amendment by No. 1495 added ( l

The 2001 amendment by No. 1690 redesignated former (g)(1) as present (g)(1)(A)-(B) and made related changes; added (g)(1)(C) and (i)(1)(C); substituted “be distributed for … drug courts” for “only be distributed for law enforcement and prosecutorial purposes related to drug interdiction and eradication efforts” in (i)(3)(D); and made minor stylistic changes throughout.

The 2003 amendment added (f)(6).

The 2009 amendment substituted “owner's or interest holder's” for “petitioner's” twice in (g)(4)(A), and substituted “verified answer” for “document” in (g)(4)(B).

The 2011 amendment substituted “subdivisions (a)(1) or (a)(2)” for “subdivision (a)(1) or (2)” in (a)(4) and (a)(4)(B)(ii); substituted “§§ 5-64-419 and 5-64-441” for “§ 5-64-401(c)” in (a)(4)(C); and substituted “§ 5-64-419, if the offense is a Class C felony or less, or § 5-64-441” for “§ 5-64-401(c)” in (a)(8)(B).

The 2017 amendment substituted “Department of Transportation” for “State Highway and Transportation Department” in (h)(1)(A)(iii) (a)

The 2019 amendment by No. 315 deleted “and regulations” following “rules” in (f)(6) and (i)(3)(D)(i).

The 2019 amendment by No. 476 added (m).

Research References

ALR.

Burden of proof and presumptions in tracing currency, bank account, or cash equivalent to illegal drug trafficking so as to permit forfeiture, or declaration as contraband, under state law. 104 A.L.R.5th 229.

Evidence considered in tracing currency, bank account, or cash equivalent to illegal drug trafficking so as to permit forfeiture, or declaration as contraband, under state law — Proximity of asset to drugs, paraphernalia, or records. 115 A.L.R.5th 403.

Evidence considered in tracing currency, bank account, or cash equivalent to illegal drug trafficking so as to permit forfeiture, or declaration as contraband, under state law — Odor of drugs. 116 A.L.R.5th 325.

Evidence considered in tracing currency, bank account, or cash equivalent to illegal drug trafficking so as to permit forfeiture, or declaration as contraband, under state law — Explanation or lack thereof. 4 A.L.R.6th 113.

Evidence Considered in Tracing Currency, Bank Account, or Cash Equivalent to Illegal Drug Trafficking so as to Permit Forfeiture, or Declaration as Contraband, Under State Law — Amount and Packaging of Money and Drugs. 34 A.L.R.6th 539.

Evidence Considered in Tracing Currency, Bank Account, or Cash Equivalent to Illegal Drug Trafficking so as to Permit Forfeiture, or Declaration as Contraband, Under State Law — Factors Other than Proximity, Explanation, Amount, Packaging, and Odor. 101 A.L.R.6th 1 (2015).

Ark. L. Rev.

Recent Developments: Forfeiture — “Close Proximity” Test, 59 Ark. L. Rev. 511.

U. Ark. Little Rock L.J.

Legislation of the 1983 General Assembly, Criminal Law, 6 U. Ark. Little Rock L.J. 613.

Arkansas Law Survey, Antley, Criminal Law, 9 U. Ark. Little Rock L.J. 119.

Survey, Criminal Law, 12 U. Ark. Little Rock L.J. 617.

Survey — Criminal Law, 14 U. Ark. Little Rock L.J. 753.

U. Ark. Little Rock L. Rev.

Annual Survey of Caselaw, Property Law, 26 U. Ark. Little Rock L. Rev. 965.

Case Notes

Constitutionality.

Acts 1981, No. 78, which criminalized the possession, use, sale and manufacture of drug paraphernalia, is not unconstitutionally overbroad even though the act may prevent persons from utilizing the expressions imprinted on, or the symbolic speech represented by the use of, drug paraphernalia. Garner v. White, 726 F.2d 1274 (8th Cir. 1984).

It was not a violation of the Double Jeopardy Clause to require defendant to forfeit his money after he had been sentenced for the same criminal offense which occasioned the forfeiture. Sims v. State, 326 Ark. 296, 930 S.W.2d 381 (1996).

Construction.

Because this section is penal in nature and because forfeitures are not favorites of the law, it is interpreted narrowly. Beebe v. State, 298 Ark. 119, 765 S.W.2d 943 (1989).

An in rem civil forfeiture action under this section, against the cash defendant had on his person when he was arrested for a drug offense to which he pled guilty, was a remedial civil sanction, not a criminal penalty, for purposes of the Double Jeopardy Clause. Sims v. State, 326 Ark. 296, 930 S.W.2d 381 (1996).

This section effected a repeal by implication of § 24-11-415 in drug trafficking cases; when the seized personal property results from drug trafficking, provisions of this section control and the proceeds under $250,000 resulting from the forfeiture sales must be distributed into the Drug Control Funds. Board of Trustees v. Stodola, 328 Ark. 194, 942 S.W.2d 255 (1997).

The federal forfeiture statute, 21 U.S.C. § 881, is substantially similar to § 5-64-505, and cases decided under the federal statute are instructive with regard to the types of proof accepted by courts in civil forfeiture actions. In re Three Pieces of Prop. Located in Monticello, 81 Ark. App. 235, 100 S.W.3d 76 (2003).

Fact that a controlled substance is residue, rather than a “usable amount,” does not make the rebuttable presumption in subdivision (a)(6) (now (a)(7)) of this section inapplicable. $15,956 in United States Currency v. State, 366 Ark. 70, 233 S.W.3d 598 (2006).

Because the forfeiture statute is penal in nature, and forfeitures are not favorites of the law, the statute is construed narrowly on appeal. Ridenhour v. State, 98 Ark. App. 116, 250 S.W.3d 566 (2007).

Purpose.

The clear intent behind this section is to provide additional tools to confront drug trafficking. Board of Trustees v. Stodola, 328 Ark. 194, 942 S.W.2d 255 (1997).

Any Other Property.

The words “any other property” used in subsection (o) (now (k)) mean additional property of any kind owned by the defendant. State v. Gray, 322 Ark. 301, 908 S.W.2d 642 (1995).

Under subsection (o) (now (k)), the state may proceed to seek forfeiture of “any other assets,” even though they are not connected to the underlying crime, when forfeitable assets used in the underlying crime are unreachable under the provisions of subdivision (a)(4)(iv) (now (a)(4)(D)). State v. Gray, 322 Ark. 301, 908 S.W.2d 642 (1995).

Burden of Proof.

After the State met its burden to prove that the operator of a motor vehicle possessed and sold illegal drugs while using the vehicle, the owner of the vehicle, in order to obtain its return, was required to show both that the forfeitable acts occurred without her knowledge or consent and, as it was determined that the operator had the owner's permission to use the vehicle, that the forfeitable acts occurred without the knowledge or consent of the operator. State v. One 1993 Toyota Camry, 333 Ark. 503, 969 S.W.2d 663 (1998).

In a case concerning the forfeiture of two vehicles, the State did not have to offer proof that oxycodone and methadone were controlled substances since the court could take judicial notice of state-agency regulations classifying controlled substances into particular schedules. King v. State, 2014 Ark. App. 554, 447 S.W.3d 126 (2014).

Appellant's argument that the State, in seeking forfeiture, failed to make a causal connection between money hidden in the rental vehicle and drug trafficking sales was rejected where the entirety of the argument came from the testimony of appellant and his fiancée, and it appeared that the circuit court found the State's witnesses more credible. Appellant had been convicted of misdemeanor marijuana possession in connection with the incident. U.S. Currency v. State, 2017 Ark. App. 379, 526 S.W.3d 34 (2017).

Close Proximity.

“In close proximity” as used in subdivision (a)(6) (now (a)(7)) concerning rebuttable presumptions means “very near” and will be determined on a case-by-case basis and not by reference to any rigid rule. Limon v. State, 285 Ark. 166, 685 S.W.2d 515 (1985).

Preponderance of the evidence in a forfeiture proceeding placed money in close proximity to controlled substances or drug paraphernalia. Limon v. State, 285 Ark. 166, 685 S.W.2d 515 (1985); Kaiser v. State, 24 Ark. App. 19, 746 S.W.2d 559 (1988), rev'd on other grounds, Kaiser v. State, 296 Ark. 125, 752 S.W.2d 271 (1988).

Forfeiture of a large amount of cash found in a vehicle was proper as the rebuttable presumption in subdivision (a)(6) (now (a)(7)) of this section applied, even though only residue of a controlled substances was found; moreover, the cash was in close proximity to drugs found in a second vehicle that was traveling in tandem. $15,956 in United States Currency v. State, 366 Ark. 70, 233 S.W.3d 598 (2006).

Forfeiture of firearms that were seized during a search of defendant's house with respect to the manufacture of methamphetamine was proper under this section, as the evidence supported the conclusion that all of the firearms were “in close proximity” to the drug paraphernalia. In re Gaucha-IGA 12 Gauge, 2011 Ark. App. 591 (2011).

Circuit court applied the presumption that if property was found in close proximity to a forfeitable controlled substance, then it was presumed to be forfeitable, and the burden of proof rested with the claimant of the property to rebut this presumption. The money found in the safe was located within four feet of the forfeitable property, controlled substances and drug paraphernalia, and appellant did not introduce anything to support his claim that the money was from the sale of legal items; the circuit court's findings were not clearly erroneous and the order of forfeiture was affirmed. Salim v. State, 2016 Ark. App. 556, 506 S.W.3d 863 (2016).

Conveyances.

Where there was no proof that the mobile home had ever been used as a conveyance of a controlled substance, the mobile home was not a vehicle within the meaning of subdivision (a)(4) of this section. Gallia v. State, 287 Ark. 176, 697 S.W.2d 108 (1985).

Where there was no evidence that defendant's truck was being used to transport the controlled substance for the purpose of sale or receipt, forfeiture was inappropriate. Burnett v. State, 51 Ark. App. 144, 912 S.W.2d 441 (1995).

Trial court erred in ordering the forfeiture of appellant's truck pursuant to a complaint filed by the State of Arkansas where appellant's mere possession of marijuana did not satisfy the requirements set forth in this section; the State failed to establish that the truck was being used to transport marijuana for the purpose of sale or receipt. Ridenhour v. State, 98 Ark. App. 116, 250 S.W.3d 566 (2007).

Mere possession of a controlled substance does not satisfy the requirements set forth in the civil forfeiture statute. Ridenhour v. State, 98 Ark. App. 116, 250 S.W.3d 566 (2007).

While a map in defendant's truck did not establish that the truck was used to transport marijuana in violation of subdivision (a)(4) of this section, defendant's car smelled of raw marijuana and 28 pounds of marijuana were found in a nearby house, and therefore the car was properly forfeited as a “container” under subdivision (a)(4). Trotter v. State, 2011 Ark. App. 696 (2011).

Criminal Proceeding.

Where the State brought the forfeiture action against defendant's vehicle under the in rem portion of this section, the forfeiture action was civil in nature, did not constitute “punishment” for purposes of double jeopardy, and did not bar defendant's subsequent prosecution on charges of possession of a controlled substance. State v. Rice, 329 Ark. 219, 947 S.W.2d 3 (1997).

Evidence.

Testimony by an undercover agent that the controlled substance he bought from the defendant was transported in the defendant's automobile, and the judgment of the defendant's conviction, held sufficient to support a finding that the automobile should be forfeited. Reding v. State, 277 Ark. 288, 641 S.W.2d 24 (1982).

Where there is joint occupancy of premises, mere occupancy is insufficient to convict one of possession of contraband unless there are additional factors linking the defendant with the contraband. Kandur v. State, 20 Ark. App. 194, 726 S.W.2d 682 (1987).

Where money was found while the police were searching defendant's home under authority of an invalid search warrant, the money could not be confiscated, at least where the only evidence was obtained pursuant to the invalid warrant. Kandur v. State, 20 Ark. App. 194, 726 S.W.2d 682 (1987).

If police officers have not developed a reasonable suspicion of defendant based on the reliability of an informant, seizures resulting from the stop of a car cannot stand and neither can the forfeitures. Kaiser v. State, 296 Ark. 125, 752 S.W.2d 271 (1988).

Where the marijuana sale took place in defendant's truck, evidence was sufficient to show that the truck was used to contain or transport marijuana. Lewis v. State, 309 Ark. 392, 831 S.W.2d 145 (1992).

Officer's testimony that two pounds of marijuana were found in a truck supported trial court's finding that truck was being used to transport marijuana and was, therefore, subject to forfeiture. Davison v. State, 38 Ark. App. 137, 831 S.W.2d 160 (1992).

Testimony supported trial court's finding that gun was being used in the delivery of marijuana, and was subject to forfeiture. Davison v. State, 38 Ark. App. 137, 831 S.W.2d 160 (1992).

The trial court erred when it refused to order forfeiture of a car where (1) the person in possession of the car, who was the son of the owners of the car, purchased a pound of marijuana from an informant in a reverse sting operation, and (2) the son of the owners had their permission to use the car. In re One 1994 Chevrolet Camaro, 343 Ark. 751, 37 S.W.3d 613 (2001).

In a forfeiture proceeding involving a truck parked outside a residence containing methamphetamine laboratories, a piece of drug paraphernalia found in the truck describing the drug dealer's accounting method was insufficient to show that the truck has been used to transport drugs. 1993 Ford Pick-Up v. State, 88 Ark. App. 172, 196 S.W.3d 493 (2004).

Forfeiture Proceeding.

A forfeiture is an in rem civil proceeding, independent of the criminal charge and to be decided by a preponderance of the evidence. Reddin v. State, 15 Ark. App. 399, 695 S.W.2d 394 (1985).

Where no motion was filed by an opposing party pursuant to Ark. R. Civ. P. 55 to set aside two default judgments, the trial court lacked the authority to set aside the default judgment and entered an order forfeiting the property to the county general fund. State v. $258,035.00 United States Currency, 352 Ark. 117, 98 S.W.3d 818 (2003).

Trial court erred by sua sponte granting a default judgment against an owner and in favor of the State in a civil-forfeiture case because the State had not applied for a default judgment; the trial court sua sponte moved the forfeiture case toward a default judgment and did so in the absence of a request by the prosecutor, and there was no service of a written notice at least three days prior to any hearing that would consider a default judgment. Byrd v. State, 2016 Ark. App. 489, 505 S.W.3d 699 (2016).

Knowledge or Consent.

Exception to forfeiture based on a lack of knowledge or consent was not addressed on appeal as it was raised for the first time in a reply brief; even if it had been addressed, it was unavailing because one owner's actions were enough to divest the other owner of her interest under the forfeiture statute. King v. State, 2014 Ark. App. 554, 447 S.W.3d 126 (2014).

Presumption.

Drug-dog alert on a non-controlled-substance item does not constitute “a forfeitable controlled substance” sufficient to employ the rebuttable presumption in a forfeiture case. Therefore, money found in a passenger's gym bag during a vehicle stop was not subject to forfeiture where no drugs or drug paraphernalia were found, and a drug dog alerted to the money. United States Currency in the Amount of $70,000 v. State, 2014 Ark. App. 127 (2014).

Property Rights.

Private property enjoys no constitutional privilege under Ark. Const., Art. 2, § 22 when it is knowingly used to traffic in drugs. One 1982 Datsun 280ZX v. Bentley ex rel. North Little Rock Police Dep't, 285 Ark. 121, 685 S.W.2d 498 (1985).

The $2000 defendant paid an agent for drugs, which had been retained as evidence, was subject to seizure and forfeiture under this section, but because no forfeiture action was initiated, the defendant was entitled to return of the money. Drug Task Force v. Hoffman, 353 Ark. 182, 114 S.W.3d 213 (2003).

Requirements.

In a forfeiture proceeding, a claimant failed to present documentation that established her ownership of a scanner and a digital camera in compliance with this section. However, the state failed to show that a computer was properly forfeited as the only evidence it offered that it was used to buy a controlled substance was inadmissible hearsay. Gregory v. State, 2011 Ark. App. 131, 381 S.W.3d 168 (2011).

Rules of Procedure.

Rules of civil procedure, rather than rules of criminal procedure, apply to judicial-forfeiture proceedings. Nineteen Thousand Eight Hundred Ninety-four Dollars ($19,894.00) in American Currency v. State, 2016 Ark. App. 244, 491 S.W.3d 486 (2016).

Appellate court lacked jurisdiction to hear an appeal in a judicial-forfeiture proceeding because claimant's motion for reconsideration was not filed within 10 days from the date the judgment was entered, and thus claimant did not benefit from the extension outlined in subdivision (b)(1) of Ark. R. App. P. Civ. 4. Nineteen Thousand Eight Hundred Ninety-four Dollars ($19,894.00) in American Currency v. State, 2016 Ark. App. 244, 491 S.W.3d 486 (2016).

Seizing Agency.

Though not specifically defined in the statute, it is apparent from the context that police, rather than prosecutors, are contemplated by the term “seizing law enforcement agency.” Ark. Hwy. Police v. Crittenden County Prosecuting Atty's Office, 337 Ark. 74, 987 S.W.2d 663, cert. denied, 528 U.S. 877, 120 S. Ct. 185, 145 L. Ed. 2d 155 (1999).

Where the Arkansas Highway Police seized money from a truck and the Drug Enforcement Agency subsequently adopted the seizure pursuant to federal forfeiture law, a state, rather than federal, seizure occurred and the money remained under the jurisdiction of the circuit court. Ark. Hwy. Police v. Crittenden County Prosecuting Atty's Office, 337 Ark. 74, 987 S.W.2d 663, cert. denied, 528 U.S. 877, 120 S. Ct. 185, 145 L. Ed. 2d 155 (1999).

County sheriff's office, although the seizing agency, was not a party to a forfeiture action brought by a prosecutor under this section, and therefore service by the sheriff on the owners of the property to be forfeited was not deficient under Ark. R. Civ. P. 4(c)(1). State v. Hammame, 102 Ark. App. 87, 282 S.W.3d 278 (2008).

Seizure Upheld.

Trial court order directing the forfeiture of three homes to the State under the provisions of this section was affirmed where the evidence showed that a husband and wife held the properties either in joint name or the wife's name alone, that both the husband and wife were convicted of offenses in violation of the Arkansas Uniform Controlled Substances Act, that over $300,000, drugs, drugs paraphernalia and records consistent with drug trafficking activities were found in one of the homes, and that the homes were purchased after the owners began their drug trafficking activities; however, an equitable lien granted by the trial court to the wife's mother on one of the homes based on the mother's having paid off the mortgage on one of the properties was voided because the mother acted after the property was subject to a temporary restraining order and lis pendens and the mother could not be a good faith purchaser without notice. In re Three Pieces of Prop. Located in Monticello, 81 Ark. App. 235, 100 S.W.3d 76 (2003).

Forfeiture of an owner's vehicle was supported by a preponderance of the evidence because over $5,000 in cash was seized from the owner's husband during a traffic stop, he had marijuana in a plastic bag in his shirt pocket, and his explanation for the money was contradictory. Moreover, the husband was driving around late on a Sunday night, and most of the money in his possession was in smaller bills. Walker v. State, 2013 Ark. App. 437 (2013).

In a case concerning the forfeiture of two vehicles, although one owner legally obtained controlled substances, his sale of them thereafter constituted a violation of the law prohibiting the dispensing of controlled substances without a written prescription. King v. State, 2014 Ark. App. 554, 447 S.W.3d 126 (2014).

Time of Filing.

Where truck was seized three months before forfeiture proceedings were instituted under this section, the statutory requirement of promptness was satisfied. Lewis v. State, 309 Ark. 392, 831 S.W.2d 145 (1992) (decided under former version of statute).

Trial court erred in granting state's motion to strike appellant's motion to dismiss a forfeiture action because the forfeiture action was properly commenced on October 13, 2004, and the record indicated that the confiscation report was received on April 1, 2003, clearly beyond the 60 days required by this section. Mitchell v. State, 94 Ark. App. 304, 229 S.W.3d 583 (2006).

Verification.

Pursuant to Ark. R. Civ. P. 11(a) and subdivision (g)(4) of this section, a party in a civil forfeiture action is required to give a personal verification; therefore, a default judgment was properly entered for the state in a case where an owner's answer was merely signed by his attorney. Solis v. State, 371 Ark. 590, 269 S.W.3d 352 (2007).

Ark. R. Civ. P. 4(b) lays out with great specificity the requirements for a proper summons, but nowhere does the rule require or even suggest that the summons must describe all of the requirements for a valid answer. Therefore, in a civil forfeiture action, a summons was not invalid because it failed to state the verification requirements for an answer under subdivision (g)(4) of this section. Solis v. State, 371 Ark. 590, 269 S.W.3d 352 (2007).

A state was entitled to a default judgment in its forfeiture proceedings against $1,814 seized from an arrestee in connection with his arrest on two counts of delivery of a controlled substance because the arrestee's answer was not verified by his signature as required by subdivision (g)(4) of this section, and the arrestee's arguments were the same as those rejected by the court in earlier forfeiture proceedings against the arrestee's truck. Solis v. State, 373 Ark. 255, 283 S.W.3d 190 (2008).

Cited: Goodwin v. State, 263 Ark. 856, 568 S.W.2d 3 (1978); Little Rock Police Dep't ex rel. Munson v. One 1977 Lincoln Continental Mark V, 265 Ark. 512, 580 S.W.2d 451 (1979); Murray v. State, 275 Ark. 46, 628 S.W.2d 549 (1982); Brown v. State, 38 Ark. App. 18, 827 S.W.2d 174 (1992); Harris v. State, 41 Ark. App. 207, 850 S.W.2d 41 (1993); Corbit v. State, 334 Ark. 592, 976 S.W.2d 927 (1998).

5-64-506. Burden of proof — Liability of officers.

    1. It is not necessary for the state to negate any exemption or exception in this chapter in any complaint, information, indictment, or other pleading or in any trial, hearing, or other proceeding under this chapter.
    2. The burden of proof of any exemption or exception is upon the person claiming it.
    1. In the absence of proof that a person is the duly authorized holder of an appropriate registration or order form issued under this chapter, he or she is presumed not to be the holder of the registration or order form.
    2. The burden of proof is upon him or her to rebut the presumption.
  1. No liability is imposed by this chapter upon any authorized state, county, or municipal officer engaged in the lawful performance of his or her duties.

History. Acts 1971, No. 590, Art. 5, § 6; A.S.A. 1947, § 82-2630; Acts 2005, No. 1994, § 311.

Amendments. The 2005 amendment deleted “subchapters 1-6 of” preceding “this chapter” throughout this section; and inserted “or she” and “or her” in (b).

Research References

ALR.

Burden of proof and presumptions in tracing currency, bank account, or cash equivalent to illegal drug trafficking so as to permit forfeiture, or declaration as contraband, under state law. 104 A.L.R.5th 229.

Case Notes

Exemption from Act.

Defendant had burden of showing he was exempt from act and authorized to deliver controlled substance and state need not negate the exemption. Henderson v. State, 255 Ark. 870, 503 S.W.2d 889 (1974).

In adopting this section which specifically exempts state officers from liability under the Uniform Controlled Substances Act when engaged in the performance of their duties, the legislature clearly recognized the possible need of law enforcement officials to utilize real drugs during the course of undercover sting operations. Pyle v. State, 340 Ark. 53, 8 S.W.3d 491 (2000).

Cited: Rogers v. State, 258 Ark. 314, 524 S.W.2d 227 (1975); Garner v. State, 258 Ark. 321, 524 S.W.2d 223 (1975).

5-64-507. Conclusiveness of findings.

  1. Any final determination, finding, or conclusion of the Secretary of the Department of Health under this chapter is a final and conclusive decision of the matter involved.
  2. Any person aggrieved by the decision may obtain review of the decision in the circuit court of the county.
  3. If supported by substantial evidence, a finding of fact by the secretary is conclusive.

History. Acts 1971, No. 590, Art. 5, § 7; A.S.A. 1947, § 82-2631; Acts 2005, No. 1994, § 311; 2019, No. 910, § 4848.

Amendments. The 2005 amendment deleted “subchapters 1-6 of” preceding “this chapter.”

The 2019 amendment substituted “Secretary” for “Director” in (a).

5-64-508. Prevention and deterrence — Educational and research programs.

  1. The Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services shall carry out educational programs designed to prevent and deter misuse and abuse of controlled substances. In connection with these programs the division may:
    1. Promote better recognition of the problems of misuse and abuse of controlled substances within the regulated industry and among interested groups and organizations;
    2. Assist the regulated industry and interested groups and organizations in contributing to the reduction of misuse and abuse of controlled substances;
    3. Consult with interested groups and organizations to aid them in solving administrative and organizational problems;
    4. Evaluate procedures, projects, techniques, and controls conducted or proposed as part of educational programs on misuse and abuse of controlled substances;
    5. Disseminate the results of research on misuse and abuse of controlled substances to promote a better public understanding of what problems exist and what can be done to combat them; and
    6. Assist in the education and training of state and local law enforcement officials in their efforts to control misuse and abuse of controlled substances.
  2. The division shall encourage research on misuse and abuse of controlled substances. In connection with the research, and in furtherance of the enforcement of this chapter, the division may:
    1. Establish methods to assess accurately the effects of controlled substances and identify and characterize those with potential for abuse;
    2. Make studies and undertake programs of research to:
      1. Develop new or improved approaches, techniques, systems, equipment, and devices to strengthen the enforcement of this chapter;
      2. Determine patterns of misuse and abuse of controlled substances and the social effects of misuse and abuse of controlled substances; and
      3. Improve methods for preventing, predicting, understanding, and dealing with the misuse and abuse of controlled substances; and
    3. Enter into contracts with public agencies, institutions of higher education, and private organizations or individuals for the purpose of conducting research, demonstrations, or special projects that bear directly on misuse and abuse of controlled substances.
  3. The division may enter into contracts for educational and research activities without performance bonds.
    1. The Secretary of the Department of Health may authorize a person engaged in research on the use and effects of a controlled substance to withhold the names and other identifying characteristics of individuals who are the subjects of the research.
    2. A person who obtains this authorization shall not be compelled in any civil, criminal, administrative, legislative, or other proceeding to identify the individuals who are the subjects of research for which the authorization was obtained.
    1. The secretary may authorize the possession and distribution of a controlled substance by a person engaged in research.
    2. A person who obtains this authorization is exempt from state prosecution for possession and distribution of a controlled substance to the extent of the authorization.

History. Acts 1971, No. 590, Art. 5, § 8; 1979, No. 898, § 15; A.S.A. 1947, § 82-2632; Acts 2005, No. 1994, § 311; 2007, No. 827, § 66; 2013, No. 1107, § 2; 2017, No. 913, § 17; 2019, No. 910, §§ 4849, 4850.

Amendments. The 2013 amendment substituted “Division of Behavioral Health Services” for “Director of the Office of Alcohol and Drug Abuse Prevention” throughout the section; and substituted “the division” for “he or she” in (a) and (b).

The 2017 amendment substituted “Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services” for “Division of Behavioral Health Services” in the introductory language of (a).

The 2019 amendment substituted “Secretary” for “Director” in (d)(1); and substituted “secretary” for “director” in (e)(1).

Case Notes

Cited: Sims v. State, 326 Ark. 296, 930 S.W.2d 381 (1996).

5-64-509. [Repealed.]

Publisher's Notes. This section, concerning uncontested forfeitures, was repealed by Acts 1999, No. 1120, § 4. The section was derived from Acts 1991, No. 859, § 1.

5-64-510. Methamphetamine-contaminated motor vehicles.

  1. As used in this section, “methamphetamine-contaminated motor vehicle” means a motor vehicle that has been forfeited under § 5-64-505 in which methamphetamine was manufactured as determined by a law enforcement agency or a prosecuting attorney who has possession of the motor vehicle.
  2. A law enforcement agency or a prosecuting attorney who has possession of a methamphetamine-contaminated motor vehicle shall destroy or sell for scrap metal the methamphetamine-contaminated motor vehicle.

History. Acts 2009, No. 776, § 1.

Subchapter 6 — Uniform Controlled Substances Act — Miscellaneous

5-64-601 — 5-64-608. [Repealed.]

Publisher's Notes. This subchapter was repealed by Acts 2005, No. 1994, § 548. The subchapter was derived from the following sources:

5-64-601. Acts 1971, No. 590, Art. 6, § 1; A.S.A. 1947, § 82-2633.

5-64-602. Acts 1971, No. 590, Art. 6, § 2; A.S.A. 1947, § 82-2634.

5-64-603. Acts 1971, No. 590, Art. 6, § 3; A.S.A. 1947, § 82-2635.

5-64-604. Acts 1971, No. 590, Art. 6, § 4; A.S.A. 1947, § 82-2636.

5-64-605. Acts 1971, No. 590, Art. 6, § 7; A.S.A. 1947, § 82-2638n.

5-64-606. Acts 1971, No. 590, Art. 6, § 8; A.S.A. 1947, § 82-2638n.

5-64-607. Acts 1971, No. 590, Art. 6, § 9; A.S.A. 1947, § 82-2638n.

5-64-608. Acts 1971, No. 590, Art. 6, § 5; 1979, No. 898, § 20; 1983, No. 511, § 12; A.S.A. 1947, § 82-2637.

Subchapter 7 — Provisions Relating to the Uniform Controlled Substances Act

Effective Dates. Acts 1973, No. 248, § 3: Mar. 7, 1973. Emergency clause provided: “It is hereby found and determined by the General Assembly that it is essential to the proper and efficient enforcement of the provisions of the Uniform Controlled Substances Act that the Prosecuting Attorneys and Grand Juries in the State be authorized to grant immunity from prosecution to persons giving testimony in criminal proceedings under that Act, and that this Act is designed to permit the granting of such immunity and should be given effect immediately. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1989 (3rd Ex. Sess.), No. 93, § 6: Nov. 17, 1989. Emergency clause provided: “It is hereby found and determined by the General Assembly that additional enforcement mechanisms are urgently needed to deter persons under 18 years of age from illegally using or dealing in drugs; that this Act provides an additional enforcement mechanism; and that this Act should go into effect immediately in order to grant law enforcement officers and courts greater flexibility in dealing with the illegal use and sale of drugs. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1993, No. 1257, § 11: Apr. 20, 1993. Emergency clause provided: “It is hereby found and determined by the Seventy-Ninth General Assembly that federal mandates require the loss of federal highway funds without implementation of a system of suspending the driving privileges of persons holding such privileges granted by this State and found guilty of certain drug offenses, whether such finding occurred in this state or out-of-state, and that additional enforcement provisions are urgently needed to deter persons illegally using or dealing in drugs; that this Act will provide that additional enforcement mechanism; and that this Act should go into effect immediately in order to meet the requirements of the federal law and to grant law enforcement officers and courts greater flexibility in dealing with the illegal use and sale of drugs. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health, and safety, shall be in full force and effect from and after its passage and approval.”

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

5-64-701. [Repealed.]

Publisher's Notes. This section, concerning penalties for delivery of controlled substances, was repealed by Acts 2005, No. 1994, § 549. The section was derived from Acts 1975, No. 1005, §§ 1-3; 1983, No. 229, § 1; A.S.A. 1947, §§ 82-2641 — 82-2643.

5-64-702. Promulgation of rules.

  1. The Department of Health may promulgate rules necessary for the enforcement of this chapter.
  2. The rules described in subsection (a) of this section shall be promulgated pursuant to the Arkansas Administrative Procedure Act, § 25-15-201 et seq.

History. Acts 1979, No. 898, § 17; A.S.A. 1947, § 82-2632.1; Acts 2005, No. 1994, § 312; 2019, No. 315, § 166.

Amendments. The 2005 amendment deleted “the Uniform Controlled Substances Act, as amended, subchapters 1-6 of” preceding “this chapter” in (a).

The 2019 amendment deleted “and regulations” following “rules” in the section heading, (a), and (b).

5-64-703. Authority to make inspections.

In carrying out the functions under this chapter, the Secretary of the Department of Health or his or her duly authorized agent may enter a controlled premises and conduct an administrative inspection of the controlled premises.

History. Acts 1979, No. 898, § 18; A.S.A. 1947, § 82-2632.2; Acts 2005, No. 1994, § 312; 2019, No. 910, § 4851.

Amendments. The 2005 amendment deleted “subchapters 1-6 of” preceding “this chapter.”

The 2019 amendment substituted “Secretary” for “Director”.

5-64-704. Consent to inspection.

An administrative inspection warrant is not required if informed consent is obtained from the owner, operator, or agent-in-charge of the controlled premises to be inspected.

History. Acts 1979, No. 898, § 19; A.S.A. 1947, § 82-2632.3.

5-64-705. Authority to investigate and arrest in contiguous county.

Upon receiving permission from the proper county sheriff, any law enforcement officer acting within the official scope of his or her duty may investigate and arrest any person violating any provision of this chapter in any county contiguous to the county where he or she is employed.

History. Acts 1985, No. 675, § 1; A.S.A. 1947, § 82-2625.2; Acts 2005, No. 1994, § 313.

Publisher's Notes. Acts 1985, No. 675, § 1, is also codified as § 12-12-102.

Amendments. The 2005 amendment deleted “the Uniform Controlled Substances Act, as amended, subchapters 1-6 of” preceding “this chapter.”

Cross References. Stopping and detention of person; time limitations, Ark. R. Crim. P. 3.1.

Research References

U. Ark. Little Rock L.J.

Survey, Criminal Procedure, 13 U. Ark. Little Rock L.J. 349.

Case Notes

Arrest Outside Jurisdiction.

There are only four instances where the General Assembly has delegated the authority for law enforcement officers to make an arrest outside of their jurisdictions: (1) “fresh pursuit” (§ 16-81-301); (2) when the police officer has a warrant for arrest (§ 16-81-105); (3) when a local law enforcement agency requests an outside officer to come into the local jurisdiction and the outside officer is from an agency that has a written policy regulating its officers when they act outside their jurisdiction (§ 16-81-106(3) and (4)); and (4) when a county sheriff requests that a peace officer from a contiguous county come into that sheriff's county and investigate and make arrests for violations of drug laws (§ 5-64-705). Henderson v. State, 329 Ark. 526, 953 S.W.2d 26 (1997).

Territorial Jurisdiction.

The traditional concept of territorial jurisdiction for peace officers is a sound one since a local community is best served by the requirement that local officers familiar with local neighborhoods make arrests in the community. Perry v. State, 303 Ark. 100, 794 S.W.2d 141 (1990).

A local police officer, acting without a warrant outside the territorial limits of the jurisdiction under which he holds office, is without official power to apprehend an offender unless he is authorized to do so by statute, and evidence obtained as a result of an unlawful detention or illegal arrest is subject to the exclusionary rule and should be suppressed. Perry v. State, 303 Ark. 100, 794 S.W.2d 141 (1990).

Cited: Davis v. Dahmm, 763 F. Supp. 1010 (W.D. Ark. 1991).

5-64-706. Grant of immunity.

    1. With the approval of the circuit judge, the prosecuting attorney of any judicial district in this state or any grand jury properly convened according to law may grant immunity from criminal prosecution with respect to a matter revealed by the testimony of anyone giving evidence concerning a violation of this chapter.
    2. However, the immunity does not extend to perjury committed in the testimony.
  1. No prosecuting attorney shall grant immunity until he or she has applied for and obtained in each case a written order from the circuit judge approving the grant of immunity.
  2. No immunity under subsection (a) of this section shall be granted by a prosecuting attorney until after the individual has declined to answer questions or has requested immunity before answering questions.

History. Acts 1973, No. 248, § 1; A.S.A. 1947, § 82-2639; Acts 2005, No. 1994, § 313.

Amendments. The 2005 amendment deleted “the Uniform Controlled Substances Act, subchapters 1-6 of” preceding “this chapter” in (a).

Case Notes

Court Approval.

The defendant in a prosecution for drug offenses was not entitled to immunity with regard to incriminating statements he made during police interviews where there was never any agreement to grant immunity made by the prosecuting attorney and, even if there had been such an agreement, there was no written court approval for it. Tabor v. State, 333 Ark. 429, 971 S.W.2d 227 (1998).

5-64-707. Admissibility of drug analysis — Cross-examination.

  1. In any criminal prosecution for an alleged violation of this chapter, a record or report of any relevant drug analysis made by the State Crime Laboratory shall be received as competent evidence as to a matter contained in the record or report in this section in any preliminary hearing when attested to by the Director of the State Crime Laboratory or his or her assistant or deputy.
    1. Nothing in this section abrogates a defendant's right of cross-examination.
    2. If the defendant desires to cross-examine the director or the appropriate assistant or deputy, the defendant may compel the director or his or her appropriate assistant or deputy to attend court by the issuance of a proper subpoena.
    3. If the defendant compels the director or his or her appropriate assistant or deputy to attend court by the issuance of a proper subpoena:
      1. The record or report is only admissible through the director or the appropriate assistant or deputy; and
      2. The director or the appropriate assistant or deputy is subject to cross-examination by the defendant or his or her counsel.

History. Acts 1977, No. 356, § 1; A.S.A. 1947, § 82-2627.1; Acts 2005, No. 1994, § 313; 2019, No. 910, § 5735.

Amendments. The 2005 amendment deleted “subchapters 1-6 of” preceding “this chapter” in (a); and inserted “or her” in (a), (b)(2) and (b)(3).

The 2019 amendment deleted “Executive” preceding “Director” in (a); and deleted “executive” preceding “director” twice in (b)(2), in the introductory language of (b)(3), in (b)(3)(A), and in (b)(3)(B).

5-64-708. Local funding for undercover work.

Any municipality or county may allocate and expend funds for:

  1. Undercover work done in connection with an attempt to apprehend a violator of this chapter; or
  2. A purchase of a controlled substance when purchased by a law enforcement officer for the purpose of apprehending a violator.

History. Acts 1973, No. 248, § 2; A.S.A. 1947, § 82-2640; Acts 2005, No. 1994, § 313.

Amendments. The 2005 amendment deleted “the Uniform Controlled Substances Act, subchapters 1-6 of” preceding “this chapter.”

5-64-709. [Repealed.]

Publisher's Notes. This section, concerning additional court costs, was repealed by Acts 1995, No. 1256, § 20, as amended by Acts 1995 (1st Ex. Sess.), No. 13, § 4. The section was derived from Acts 1989, No. 631, § 1; 1991, No. 316, § 1.

5-64-710. Denial of driving privileges for minor — Restricted permit.

    1. As used in this section “drug offense” means the:
      1. Possession, distribution, manufacture, cultivation, sale, transfer, or the attempt or conspiracy to possess, distribute, manufacture, cultivate, sell, or transfer any substance the possession of which is prohibited under this chapter; or
      2. Operation of a motor vehicle under the influence of any substance the possession of which is prohibited under this chapter.
    2. As used in subdivision (a)(1) of this section:
        1. “Motor vehicle” means any vehicle that is self-propelled by which a person or thing may be transported upon a public highway and is registered in the State of Arkansas or of the type subject to registration in Arkansas.
        2. “Motor vehicle” includes any:
          1. “Motorcycle”, “motor-driven cycle”, or “motorized bicycle”, as defined in § 27-20-101; and
          2. “Commercial motor vehicle”, as defined in § 27-23-103; and
      1. “Substance the possession of which is prohibited under this chapter” or “substance” means a “controlled substance” or “counterfeit substance”, as defined in the Comprehensive Drug Abuse Prevention and Control Act of 1970, 21 U.S.C. § 802.
      1. When a person who is under eighteen (18) years of age pleads guilty or nolo contendere to or is found guilty of driving or boating while intoxicated under the Omnibus DWI or BWI Act, § 5-65-101 et seq., a criminal offense involving the illegal possession or use of a controlled substance, or any drug offense in this state or any other state, the court having jurisdiction of the matter, including any federal court, shall prepare and transmit to the Department of Finance and Administration an order of denial of driving privileges for the person under eighteen (18) years of age.
      2. A court within the State of Arkansas shall prepare and transmit any order under subdivision (b)(1)(A) of this section to the department within twenty-four (24) hours after the plea or finding.
      3. A court outside Arkansas having jurisdiction over any person holding driving privileges issued by the State of Arkansas shall prepare and transmit any order under subdivision (b)(1)(A) of this section pursuant to an agreement or arrangement entered into between that state and the Director of the Department of Finance and Administration.
      4. An arrangement or agreement under subdivision (b)(1)(C) of this section may also provide for the forwarding by the department of an order issued by a court within this state to the state where any person holds driving privileges issued by that state.
    1. For any person holding driving privileges issued by the State of Arkansas, a court within this state in a case of extreme and unusual hardship may provide in an order for the issuance of a restricted driving permit to allow driving to and from a place of employment or driving to and from school.
    1. Except as provided in subdivision (c)(2) of this section, a penalty prescribed in this section and § 27-16-914 is in addition to any other penalty prescribed by law for an offense covered by this section and § 27-16-914.
    2. A juvenile adjudicated delinquent is subject to a juvenile disposition provided in § 9-27-330.
  1. In regard to any offense involving illegal possession under this section, it is a defense if the controlled substance is the property of an adult who owns the motor vehicle.
  2. If a juvenile is found delinquent for any offense described in subsection (a) or subsection (b) of this section, the circuit court may order any juvenile disposition available under § 9-27-330.

History. Acts 1989 (3rd Ex. Sess.), No. 93, §§ 1, 3, 4; 1993, No. 1257, § 1; 2005, No. 1876, § 1; 2005, No. 1994, § 314; 2015, No. 299, § 5.

A.C.R.C. Notes. Acts 1993, No. 1257, § 7 provided:

“The Director of the Department of Finance and Administration is authorized to enter into any agreements or arrangements with other states and to take all action deemed necessary or proper, including the making and promulgation of rules and regulations, in order that the amendments contained in this Act may be effectuated.”

Amendments. The 2005 amendment by No. 1876 deleted “or is found by a juvenile court to have committed such an offense” preceding “the court having jurisdiction” in (b)(1)(A); added the subdivision (1) designation in (c) and added (c)(2); substituted “Except as provided in subdivision (c)(2) of this section, penalties” for “Penalties” in present (c)(1); and added (e).

The 2005 amendment by No. 1994 substituted “this chapter” for “the Uniform Controlled Substances Act, § 5-64-101 et seq.” in (a)(1).

The 2015 amendment, in (b)(1)(A), substituted “under eighteen” for “less than eighteen”, inserted “or boating”, inserted “the Omnibus DWI or BWI Act”, substituted “a criminal offense” for “any criminal offense”, and substituted “person under eighteen (18) years of age” for “minor”.

Research References

U. Ark. Little Rock L.J.

Survey, Criminal Law, 12 U. Ark. Little Rock L.J. 617.

Case Notes

Constitutionality.

The classification drawn at age eighteen in Acts 1989, No. 93 was reasonable and does not approach the level of irrationality or arbitrariness necessary to deem it unconstitutional. Carney v. State, 305 Ark. 431, 808 S.W.2d 755 (1991).

Cited: Manatt v. State, 311 Ark. 17, 842 S.W.2d 845 (1992).

Subchapter 8 — Sale of Drug Devices

Research References

U. Ark. Little Rock L.J.

Legislative Survey, Criminal Law, 4 U. Ark. Little Rock L.J. 583.

Case Notes

Constitutionality.

Acts 1981, No. 946 which enacted this subchapter prohibiting the operation of an illegal drug paraphernalia business, is not unconstitutionally overbroad, nor does it violate the due process rights of business owners on the claimed ground that discriminatory enforcement is a hypothetical possibility. Garner v. White, 726 F.2d 1274 (8th Cir. 1984).

Acts 1981, No. 946 which enacted this subchapter, satisfies the fair notice due process requirements of what conduct is prohibited because in order to violate this section the offender must not only be distributing on a regular basis devices which are usable with illegal drugs, but the offender must also know or have reason to know that the objects are designed to be primarily useful as drug devices. Garner v. White, 726 F.2d 1274 (8th Cir. 1984).

5-64-801. Definition.

  1. As used in this subchapter, “drug device” means an object usable for smoking marijuana, for smoking a controlled substance defined as a tetrahydrocannabinol, or for ingesting or inhaling cocaine, and includes, but is not limited to:
    1. A metal, wooden, acrylic, glass, stone, plastic, or ceramic pipe with or without a screen, permanent screen, hashish head, or punctured metal bowl;
    2. A water pipe;
    3. A carburetion tube or device;
    4. A smoking or carburetion mask;
    5. A roach clip, meaning an object used to hold burning material, such as a marijuana cigarette, that has become too small or too short to be held in the hand;
    6. A chamber pipe;
    7. A carburetor pipe;
    8. An electric pipe;
    9. An air-driven pipe;
    10. A chillum;
    11. A bong;
    12. An ice pipe or chiller; and
    13. A miniature cocaine spoon or a cocaine vial.
  2. In any prosecution under this subchapter, the question of whether an object is a drug device is a question of fact.

History. Acts 1981, No. 946, § 1; A.S.A. 1947, § 82-2644.

5-64-802. Illegal drug paraphernalia business.

  1. Any person who conducts, finances, manages, supervises, directs, or owns any part of an illegal drug paraphernalia business is guilty of a:
    1. Class A misdemeanor for the first offense;
    2. Class D felony for the second offense; and
    3. Class C felony for third and subsequent offenses.
  2. A person violates subsection (a) of this section if he or she:
    1. Conducts, finances, manages, supervises, directs, or owns any part of a business that, in the regular course of business or as a continuing course of conduct, manufactures, sells, stores, possesses, gives away, or furnishes an object designed to be primarily useful as a drug device; and
    2. Knows or has reason to know that the design of the object renders it primarily useful as a drug device.

History. Acts 1981, No. 946, § 1; A.S.A. 1947, § 82-2644.

Case Notes

Arrest Warrant Improper.

Defendant's arrest was illegal because, although there was reasonable cause to believe that defendant committed the offense of owning an illegal drug paraphernalia business, that was a misdemeanor offense, for which a summons, and not an arrest warrant, should have issued under Ark. R. Crim. P. 7.1(b)(i). There was no information tending to show that defendant would not respond to a summons, the offense of owning a store that sold drug paraphernalia was, in itself, not a violent offense and did not involve the risk of imminent serious bodily injury, and the good-faith exception did not apply because there was no good-faith reliance that an arrest warrant, as opposed to a summons, could be issued for the misdemeanor; therefore, the incriminating evidence obtained as a result of the illegal arrest was the fruit of the poisonous tree. Johnson v. State, 98 Ark. App. 245, 254 S.W.3d 794 (2007).

5-64-803. Public nuisance to be abated or closed.

  1. A place where a drug device is manufactured, sold, stored, possessed, given away, or furnished in violation of this subchapter is deemed a common or public nuisance.
  2. A conveyance or vehicle of any kind is deemed a “place” within the meaning of subsection (a) of this section and may be proceeded against under the provisions of § 5-64-804.
  3. A person who maintains, or aids or abets, or knowingly associates with another in maintaining a common or public nuisance under subsection (a) of this section is in violation of this subchapter, and judgment shall be given that the common or public nuisance be abated or closed as a place for the manufacture, sale, storage, possession, giving away, or furnishing of a drug device.

History. Acts 1981, No. 946, § 1; A.S.A. 1947, § 82-2644; Acts 2007, No. 827, § 67.

5-64-804. Injunction.

  1. The prosecuting attorney or a citizen of the county or municipality where a common or public nuisance, as defined in § 5-64-803, is located may maintain a suit in the name of the state to abate and perpetually enjoin the common or public nuisance.
  2. A circuit court has jurisdiction over the suit.
  3. An injunction may be granted at the commencement of the suit and no bond is required if the action for injunction is brought by the prosecuting attorney.
  4. If the suit for injunction is brought or maintained by a citizen of the county or municipality where the common or public nuisance is alleged to be located, then the circuit court may require a bond as in any other case of injunction.
  5. On the finding that the material allegations of the complaint are true, the circuit court or judge of the circuit court in vacation shall order the injunction for such period of time as the circuit court or judge may think proper, with the right to dissolve the injunction upon the application of the owner of the place if a proper case is shown for the dissolution.
  6. The continuance of the injunction as provided in this section may be ordered, although the place complained of may not at the time of hearing be unlawfully used.

History. Acts 1981, No. 946, § 1; A.S.A. 1947, § 82-2644.

5-64-805. Search warrant.

  1. If there is complaint on oath or affirmation supported by affidavit setting forth the facts for a belief that a drug device is being manufactured, sold, kept, stored, or in any manner held, used, or concealed in a particular house or other place with intent to engage in illegal drug paraphernalia business in violation of law, a circuit court or the judge of the circuit court in vacation to whom the complaint is made, if satisfied that there is probable cause for the belief, shall issue a warrant to search the house or other place for the drug device.
  2. Except as otherwise provided in this section, a warrant issued under subsection (a) of this section shall be issued, directed, and executed in accordance with the laws of Arkansas pertaining to search warrants.
  3. A warrant issued under this section for the search of any automobile, boat, conveyance, or vehicle, or for the search of any trunk, grip, or other article of baggage, for a drug device may be executed in any part of the state where the same are overtaken and shall be made returnable before any circuit court or the judge of the circuit court in vacation, within whose jurisdiction the automobile, boat, conveyance, vehicle, trunk, grip, or other article of baggage, or any of them, were transported or attempted to be transported.
  4. If it is necessary, an officer charged with the execution of a warrant issued under this section may break open and enter a house or other place described in this section.

History. Acts 1981, No. 946, § 1; A.S.A. 1947, § 82-2644.

5-64-806. Seizure and forfeiture.

Any property, including money, used in violation of a provision of this subchapter may be seized and forfeited to the state.

History. Acts 1981, No. 946, § 1; A.S.A. 1947, § 82-2644.

Cross References. Donation of seized equipment to public schools, § 6-21-102.

Subchapter 9 — Civil Actions Against Sellers of Drug Paraphernalia

5-64-901 — 5-64-906. [Transferred.]

Publisher's Notes. The provisions of this subchapter have been transferred to chapter 118 of title 16.

Subchapter 10 — Records of Transactions

Effective Dates. Acts 2001, No. 1209, §§ 6, 7: June 1, 2001. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the methamphetamine problem has become epidemic in the State of Arkansas; that drastic measures are needed to control the sale and possession of large quantities of over-the-counter medicines which contain the necessary ingredients for making methamphetamine; that the public's inconvenience is far outweighed by the necessity of curtailing the illegal production and distribution of methamphetamine; that giving this act immediate effect may spare thousands of Arkansans from the devastation caused from methamphetamine addiction. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health and safety shall become effective on the date of its approval by the Governor. If the bill is neither approved nor vetoed by the Governor, it shall become effective on the expiration of the period of time during which the Governor may veto the bill. If the bill is vetoed by the Governor and the veto is overridden, it shall become effective on the date the last house overrides the veto.”

Acts 2005, No. 256, § 7: Mar. 24, 2005. Emergency clause provided: “It is hereby found and determined by the Eighty-fifth General Assembly that the effectiveness of this act is essential to the safety of the citizens of Arkansas; that excessive and improper exposure to illicit clandestine laboratories for the manufacture of methamphetamine causes harm to citizens of Arkansas; and that a delay in the effective date of this act beyond thirty days needed to implement it would unnecessarily expose the citizens of Arkansas to the risk of irreparable harm. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall be effective on: (1) Thirty (30) days from and after the date of its passage and approval; (2) If the bill is neither approved nor vetoed by the Governor, it shall become effective thirty (30) days from the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, it shall become effective thirty (30) days from the date the last house overrides the veto.”

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

5-64-1001. Recordkeeping required.

Any manufacturer, wholesaler, retailer, or other person that sells, transfers, or otherwise furnishes any of the following substances to any person in this state shall maintain accurate records of those transactions:

  1. Phenylpropanolamine;
  2. Methylamine;
  3. Ethylamine;
  4. D-lysergic acid;
  5. Ergotamine tartrate;
  6. Diethyl malonate;
  7. Malonic acid;
  8. Ethyl malonate;
  9. Barbituric acid;
  10. Piperidine;
  11. N-acetylanthranilic acid;
  12. Pyrrolidine;
  13. Anthranilic acid;
  14. Ephedrine;
  15. Norpseudoephedrine;
  16. Phenylacetic acid;
  17. Morpholine; and
  18. Pseudoephedrine.

History. Acts 1989, No. 518, § 1.

5-64-1002. Identification of purchaser.

  1. Any manufacturer, wholesaler, retailer, or other person required to maintain records of transactions under this subchapter shall obtain proper identification from the purchaser.
  2. “Proper identification” means a motor vehicle operator's license or other official state-issued identification of the purchaser that contains a photograph of the purchaser, and includes:
    1. The residential or mailing address of the purchaser, other than a post office box number;
    2. The motor vehicle license number of any motor vehicle owned or operated by the purchaser; and
    3. A letter of authorization from the business for which any substance specified in § 5-64-1001 is being furnished, that includes:
      1. The business license number and address of the business;
      2. A full description of how the substance is to be used; and
      3. The signature of the purchaser.
  3. The person selling, transferring, or otherwise furnishing any substance specified in § 5-64-1001 shall affix his or her signature as a witness to the signature and identification of the purchaser.

History. Acts 1989, No. 518, § 1.

5-64-1003. Inspection of records.

A record maintained pursuant to this subchapter is subject to inspection by any law enforcement officer of this state or any employee of the Department of Health designated by the Secretary of the Department of Health to conduct an examination, investigation, or inspection under this chapter relating to a controlled substance, counterfeit drug, or precursor chemical.

History. Acts 1989, No. 518, § 1; 2019, No. 910, § 4852.

Amendments. The 2019 amendment substituted “Secretary” for “Director”.

5-64-1004. Failure to maintain records — Penalty.

Failure to maintain accurate records with proper identification from the purchaser under this subchapter is a Class A misdemeanor.

History. Acts 1989, No. 518, § 1; 2017, No. 333, § 3.

Amendments. The 2017 amendment substituted “under this subchapter is a Class A” for “is considered a Class A”.

5-64-1005. Exemptions.

The provisions of § 5-64-1001 do not apply to any of the following:

  1. Any pharmacist or other authorized person who sells or furnishes a substance upon the prescription of a physician, dentist, podiatrist, or veterinarian;
  2. Any physician, dentist, podiatrist, or veterinarian who administers or furnishes a substance to his or her patient;
  3. Any manufacturer or wholesaler licensed by the Arkansas State Board of Pharmacy that sells, transfers, or otherwise furnishes a substance to a licensed pharmacy, physician, dentist, podiatrist, or veterinarian; or
  4. Any sale, transfer, furnishing, or receipt by a retail distributor of any drug that contains any ephedrine, pseudoephedrine, norpseudoephedrine, or phenylpropanolamine and that is sold, transferred, or furnished over the counter without a prescription pursuant to the Federal Food, Drug, and Cosmetic Act, 21 U.S.C. § 301 et seq., or regulations adopted under the Federal Food, Drug, and Cosmetic Act, 21 U.S.C. § 301 et seq., if:
    1. The drug is sold in a blister pack of not more than three grams (3g) of ephedrine, pseudoephedrine, or phenylpropanolamine base, each blister containing not more than two (2) dosage units;
    2. The use of a blister pack is technically unfeasible, the drug is packaged in a unit dose packet or pouch;
    3. The drug is an exempted product described in § 5-64-1103(b)(1), or the product contains ephedrine or pseudoephedrine in liquid, liquid capsule, or liquid gel capsule form described in § 5-64-1103(b)(2), and is sold in a package size of not more than three grams (3g) of ephedrine or pseudoephedrine base; and
    4. The total quantity of the sale is not greater than three (3) packages or five grams (5g) of ephedrine or nine grams (9g) of pseudoephedrine, whichever is smaller.

History. Acts 1989, No. 518, § 1; 2001, No. 1209, § 1; 2005, No. 256, § 3.

A.C.R.C. Notes. Acts 2005, No. 256, § 1, provided:

“The General Assembly of the State of Arkansas finds that:

“(1) Pseudoephedrine and ephedrine are known medicinal ingredients, with known scientific evidence of pharmacological effect, and have known currently accepted medical use in treatment in the United States;

“(2) The citizens of Arkansas are entitled to the maximum protection practicable from the harmful effects of methamphetamine abuse and the harmful effects of excessive and improper exposure to illicit clandestine laboratories for the manufacture of methamphetamine; and

“(3) The protection of the citizens of Arkansas will be increased by controlling specific precursor ingredients, ephedrine, pseudoephedrine, and phenylpropanolamine utilized to manufacture methamphetamine.”

Amendments. The 2001 amendment, in (d), inserted “by a retail distributor” following “receipt” and added “provided that” in the introductory language; and added (d)(1) through (d)(4).

The 2005 amendment rewrote (d)(3); and substituted “packages, or five (5) grams of ephedrine, or nine (9) grams of pseudoephedrine” for “packages or nine (9) grams” in (d)(4).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Survey of Legislation, 2005 Arkansas General Assembly, Criminal Law, 28 U. Ark. Little Rock L. Rev. 335.

5-64-1006. Suspicious transaction reports.

  1. Any pharmacy, manufacturer, wholesaler, or retail distributor that is required to keep records under this subchapter and that sells, transfers, or otherwise furnishes ephedrine, pseudoephedrine, or phenylpropanolamine, or their salts, optical isomers, and salts of optical isomers, alone or in a mixture, to any person in this state in a suspicious transaction shall report the transaction in writing to the Arkansas State Board of Pharmacy.
  2. Any person who does not submit a report as required by subsection (a) of this section is guilty of a Class A misdemeanor.
  3. As used in this section, “suspicious transaction” means a sale or transfer to which either of the following applies:
    1. The circumstances of the sale or transfer would lead a reasonable person to believe that the substance is likely to be used for the purpose of unlawfully manufacturing a controlled substance in violation of this chapter based on such factors as:
      1. The amount involved;
      2. The method of payment;
      3. The method of delivery; and
      4. Past dealings with the person acquiring the substance; or
    2. The transaction involves payment for ephedrine, pseudoephedrine, or phenylpropanolamine, or their salts, optical isomers, and salts of optical isomers, alone or in a mixture, in cash or money orders totaling more than two hundred dollars ($200).
    1. The board shall adopt by rule criteria for determining whether a transaction is a suspicious transaction, taking into consideration the recommendations in Appendix A, Report to the United States Attorney General by the Suspicious Orders Task Force, under the Comprehensive Methamphetamine Control Act of 1996, Pub. L. No. 104-237.
    2. In addition to any other penalty provided for in this section, the board may impose a civil penalty for a violation of subsection (a) of this section not to exceed ten thousand dollars ($10,000) per violation.

History. Acts 2001, No. 1209, § 2; 2005, No. 256, § 4.

A.C.R.C. Notes. Acts 2005, No. 256, § 1, provided:

“The General Assembly of the State of Arkansas finds that:

“(1) Pseudoephedrine and ephedrine are known medicinal ingredients, with known scientific evidence of pharmacological effect, and have known currently accepted medical use in treatment in the United States;

“(2) The citizens of Arkansas are entitled to the maximum protection practicable from the harmful effects of methamphetamine abuse and the harmful effects of excessive and improper exposure to illicit clandestine laboratories for the manufacture of methamphetamine; and

“(3) The protection of the citizens of Arkansas will be increased by controlling specific precursor ingredients, ephedrine, pseudoephedrine, and phenylpropanolamine utilized to manufacture methamphetamine.”

Amendments. The 2005 amendment, in (a), inserted “pharmacy” and substituted “that” for “who” twice.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Survey of Legislation, 2005 Arkansas General Assembly, Criminal Law, 28 U. Ark. Little Rock L. Rev. 335.

Case Notes

Constitutionality.

This section was not impermissibly vague as applied and did not violate the due process guarantee at Ark. Const., Art. II, § 8, because the statute and its supporting regulations were specific enough to provide fair notice that one was required to report to the Arkansas State Board of Pharmacy when one's customers were likely to be using List 1 chemicals to illegally manufacture a controlled substance. Landmark Novelties, Inc. v. Ark. State Bd. of Pharm., 2010 Ark. 40, 358 S.W.3d 890 (2010).

In determining that this section was not impermissibly vague as applied, a vagueness challenge to 21 U.S.C. § 830(b)(1)(A), under the similar federal scheme, was instructive in pointing out that a scienter requirement generally saved a statute from unconstitutional vagueness. Landmark Novelties, Inc. v. Ark. State Bd. of Pharm., 2010 Ark. 40, 358 S.W.3d 890 (2010).

Application.

Administrative decision that a distributor violated this section was supported by substantial evidence because, in addition to the nearly 300 transactions with some twenty customers that appellee Arkansas State Board of Pharmacy identified as involving predominantly listed chemicals, testimony regarding purchases of pseudoephedrine from the distributor was presented at the hearing to support the board's order. Landmark Novelties, Inc. v. Ark. State Bd. of Pharm., 2010 Ark. 40, 358 S.W.3d 890 (2010).

Subchapter 11 — Ephedrine and Other Nonprescription Drugs

A.C.R.C. Notes. Acts 2007, No. 508, § 1, provided:

“The General Assembly finds that:

“(a) Act 256 of 2005 requires that sales involving products containing ephedrine, pseudoephedrine, and phenylpropanolamine be recorded into a written or electronic log at each individual pharmacy;

“(b) Since the passage of Act 256 of 2005, the state has experienced a significant decrease in the manufacture of methamphetamine;

“(c) At this time, the state does not have a centralized real-time electronic logbook that can record purchases at a pharmacy of products containing ephedrine, pseudoephedrine, and phenylpropanolamine; and

“(d) In order to assist law enforcement in its efforts to combat methamphetamine, the state needs a centralized real-time electronic logbook to document transactions made at pharmacies that involve the sale of products containing ephedrine, pseudoephedrine, and phenylpropanolamine.”

Effective Dates. Acts 2001, No. 1209, § 6: June 1, 2001.

Acts 2001, No. 1209, § 7: Mar. 30, 2001. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the methamphetamine problem has become epidemic in the State of Arkansas; that drastic measures are needed to control the sale and possession of large quantities of over-the-counter medicines which contain the necessary ingredients for making methamphetamine; that the public's inconvenience is far outweighed by the necessity of curtailing the illegal production and distribution of methamphetamine; that giving this act immediate effect may spare thousands of Arkansans from the devastation caused from methamphetamine addiction. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health and safety shall become effective on the date of its approval by the Governor. If the bill is neither approved nor vetoed by the Governor, it shall become effective on the expiration of the period of time during which the Governor may veto the bill. If the bill is vetoed by the Governor and the veto is overridden, it shall become effective on the date the last house overrides the veto.”

Acts 2005, No. 256, § 7: Mar. 24, 2005. Emergency clause provided: “It is hereby found and determined by the Eighty-fifth General Assembly that the effectiveness of this act is essential to the safety of the citizens of Arkansas; that excessive and improper exposure to illicit clandestine laboratories for the manufacture of methamphetamine causes harm to citizens of Arkansas; and that a delay in the effective date of this act beyond thirty days needed to implement it would unnecessarily expose the citizens of Arkansas to the risk of irreparable harm. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall be effective on: (1) Thirty (30) days from and after the date of its passage and approval; (2) If the bill is neither approved nor vetoed by the Governor, it shall become effective thirty (30) days from the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, it shall become effective thirty (30) days from the date the last house overrides the veto.”

Acts 2013, No. 176, § 2: Mar. 1, 2013. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that military identification cards cannot be entered into the current state tracking system; that because many military personnel in Arkansas are not citizens of the state and do not have a state identification card or driver's license, many military personnel are prohibited from purchasing pseudoephedrine; and that this act is immediately necessary because many military personnel are currently prevented from receiving needed medical treatment. Therefore, an emergency is declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

5-64-1101. Possession — Penalty.

  1. It is unlawful for any person to possess more than five grams (5g) of ephedrine or nine grams (9g) of pseudoephedrine or phenylpropanolamine, or their salts, optical isomers, and salts of optical isomers, alone or in a mixture, except:
    1. Any pharmacist or other authorized person who sells or furnishes ephedrine, pseudoephedrine, or phenylpropanolamine or their salts, optical isomers, and salts of optical isomers, upon the prescription of a physician, dentist, podiatrist, veterinarian, or other healthcare professional with prescriptive authority, or as authorized pursuant to § 5-64-1103;
    2. A product exempted under § 5-64-1103(b)(1) and (2), without a prescription, pursuant to the Federal Food, Drug, and Cosmetic Act, 21 U.S.C. § 301 et seq., or regulations adopted under the Federal Food, Drug, and Cosmetic Act, 21 U.S.C. § 301 et seq., if the person possesses a sales and use tax permit issued by the Department of Finance and Administration;
    3. Any physician, dentist, podiatrist, veterinarian, or other healthcare professional with prescriptive authority who administers or furnishes ephedrine, pseudoephedrine, or phenylpropanolamine or their salts, optical isomers, and salts of optical isomers to his or her patient; or
      1. Any manufacturer, wholesaler, or distributor licensed by the Arkansas State Board of Pharmacy that meets one (1) of the requirements in subdivision (a)(4)(B) of this section and sells, transfers, or otherwise furnishes ephedrine, pseudoephedrine, or phenylpropanolamine or their salts, optical isomers, and salts of optical isomers to:
        1. A licensed pharmacy, physician, dentist, podiatrist, veterinarian, or other healthcare professional with prescriptive authority; or
        2. Any person who possesses a sales and use tax permit issued by the department.
        1. The manufacturer, wholesaler, or distributor shall hold or store the substance in a facility that meets the packaging requirements of § 5-64-1005(4)(A)-(C).
        2. The manufacturer, wholesaler, or distributor shall sell, transfer, or otherwise furnish only to a healthcare professional identified in subdivisions (a)(1) and (a)(3) of this section.
  2. Possession of more than five grams (5g) of ephedrine or more than nine grams (9g) of pseudoephedrine or phenylpropanolamine, or their salts, optical isomers, and salts of optical isomers constitutes prima facie evidence of the intent to manufacture methamphetamine or another controlled substance in violation of this subchapter unless the person qualifies for an exemption listed in subsection (a) of this section.
  3. Any person who violates a provision of this section is guilty of a Class D felony.

History. Acts 1997, No. 565, § 1; 2001, No. 1209, § 3; No. 1782, § 1; 2003, No. 867, § 2; 2005, No. 256, § 5.

A.C.R.C. Notes. Acts 2003, No. 867, § 1 provided:

“The purpose of this act is to revise Arkansas law regarding the penalties for possession of illegal drugs.”

Acts 2005, No. 256, § 1 provided:

“The General Assembly of the State of Arkansas finds that:

“(1) Pseudoephedrine and ephedrine are known medicinal ingredients, with known scientific evidence of pharmacological effect, and have known currently accepted medical use in treatment in the United States;

“(2) The citizens of Arkansas are entitled to the maximum protection practicable from the harmful effects of methamphetamine abuse and the harmful effects of excessive and improper exposure to illicit clandestine laboratories for the manufacture of methamphetamine; and

“(3) The protection of the citizens of Arkansas will be increased by controlling specific precursor ingredients, ephedrine, pseudoephedrine, and phenylpropanolamine utilized to manufacture methamphetamine.”

Amendments. The 2001 amendment by No. 1209 inserted “or nine (9) grams of pseudoephedrine or phenylpropanolamine, or their” in (a); inserted “pseudoephedrine, or phenylpropanolamine, or their” in (a)(1), (a)(3) and (a)(4); substituted “under the act” for “thereunder” in (a)(2); substituted “department” for “Arkansas Department of Finance and Administration” in (a)(4); and inserted present (b) and redesignated the former (b) as (c).

The 2001 amendment by No. 1782 substituted “or nine (9) grams …. or their salts” for “its salts” in the introductory language of (a); substituted “pseudoephedrine, or phenylpropanolamine, or their salts” for “its salts” in (a)(1), (a)(3), and (a)(4); deleted “Arkansas” preceding “Department of Finance” in (a)(2) and (a)(3); inserted present (b) and redesignated the remaining subsection; and made minor stylistic changes throughout.

The 2003 amendment redesignated former (a)(4) as present (a)(4)(A); in present (a)(4)(A), inserted “meets one (1) of the requirements in subdivision (a)(4)(B) of this section and”; and added (a)(4)(B).

The 2005 amendment added “or other healthcare professional with prescriptive authority, or as authorized pursuant to § 5-64-1103” at the end of (a)(1); inserted “products exempted under § 5-64-1103(b)(1) and (2)” in (a)(2); inserted “or other healthcare professional with prescriptive authority” in (a)(3) and (a)(4)(A); and made related changes.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Controlled Substances, 26 U. Ark. Little Rock L. Rev. 366.

Survey of Legislation, 2005 Arkansas General Assembly, Criminal Law, 28 U. Ark. Little Rock L. Rev. 335.

Case Notes

Construction With Other Law.

Arkansas counties' claims under §§ 5-64-1102 and 16-118-107, failed as a matter of law because their allegations did not show that companies that produced and marketed cold remedies containing ephedrine and pseudoephedrine, which ingredients were used in manufacturing methamphetamine (meth), unlawfully sold, distributed, or dispensed the remedies with reckless disregard as to how they would be used: (1) the counties did not allege that the companies failed to comply with federal law or this section or § 5-64-1103, which regulated the possession and sale of products containing ephedrine or pseudoephedrine; (2) it appeared that this section, rather than § 5-64-1102, applied to the companies because there was nothing in the record showing that the companies distributed their remedies to unlicensed or unregistered entities or that their commercial buyers, which included retailers, intended to use the remedies to manufacture meth; and (3) even if § 5-64-1102 applied, the counties did not offer any example of the companies' alleged reckless behavior beyond their broad assertion that distributing the remedies in their current pharmaceutical formulation was reckless. Independence County v. Pfizer, Inc., 534 F. Supp. 2d 882 (E.D. Ark. 2008), aff'd, Ashley County v. Pfizer, Inc., 552 F.3d 659 (8th Cir. 2009).

Evidence Held Sufficient.

Defendant store manager's possession of five cases of pseudoephedrine pills, outside of the store licensed to sell them, was sufficient to sustain her conviction for possession of more than five grams of ephedrine. Ford v. State, 75 Ark. App. 126, 55 S.W.3d 315 (2001).

Where the total amount of pseudoephedrine found at defendant's residence was 7.5 grams, when considered with other evidence, there was sufficient evidence from which the jury could conclude that defendant possessed ephedrine with intent to manufacture. Cherry v. State, 80 Ark. App. 222, 95 S.W.3d 5 (2003).

In a case involving over-possession of pseudoephedrine under this section, there was sufficient evidence to support a conviction where defendant exercised care and control over the items in question, despite the fact that a van was not his, and the drugs were found under the passenger's seat; evidence showed that defendant was acting suspiciously, and he was the only occupant in the van. Lytle v. State, 91 Ark. App. 243, 209 S.W.3d 421 (2005).

5-64-1102. Possession with purpose to manufacture — Unlawful distribution.

    1. It is unlawful for a person to possess ephedrine, pseudoephedrine, or phenylpropanolamine, or their salts, optical isomers, or salts of optical isomers with a purpose to manufacture methamphetamine.
    2. A person who violates subdivision (a)(1) of this section upon conviction is guilty of a:
      1. Class D felony if the quantity of substances listed in subdivision (a)(1) of this section is capable of producing ten grams (10g) or less of methamphetamine; or
      2. Class B felony if the quantity of substances listed in subdivision (a)(1) of this section is capable of producing more than ten grams (10g) of methamphetamine.
    1. It is unlawful for a person to possess ephedrine, pseudoephedrine, or phenylpropanolamine, or their salts, optical isomers, or salts of optical isomers in a quantity capable of producing twenty-eight grams (28g) or more of a Schedule I or Schedule II controlled substance that is a narcotic drug or methamphetamine with a purpose to manufacture methamphetamine.
    2. A person who violates subdivision (b)(1) of this section upon conviction is guilty of a Class B felony.
    1. It is unlawful for a person to sell, transfer, distribute, or dispense any product containing ephedrine, pseudoephedrine, or phenylpropanolamine, or their salts, isomers, or salts of isomers if the person:
      1. Knows that the purchaser will use the product as a precursor to manufacture methamphetamine or another controlled substance; or
      2. Sells, transfers, distributes, or dispenses the product with reckless disregard as to how the product will be used.
    2. A person who violates subdivision (c)(1) of this section upon conviction is guilty of a Class D felony.

History. Acts 1997, No. 565, § 2; 2001, No. 1209, § 4; 2011, No. 570, § 69.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2001 amendment inserted the subdivision (a)(1) and (a)(2) designations; substituted “subdivision (a)(1) of this section” for “this section” in (a)(2); and added (b).

The 2011 amendment substituted “purpose” for “intent” in the section heading and (a)(1); subdivided (a)(2); inserted “upon conviction” in the introductory language of (a)(2) and in (c)(2); inserted “if the quantity ... methamphetamine; or” in (a)(2)(A); added (a)(2)(B); inserted (b) and redesignated former (b) as (c); and substituted “(c)(1)” for “(b)(1)” in (c)(2).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

Elements of Offense.

Trial court did not err in failing to give a lesser-included offense instruction because possession of pseudoephedrine with intent to manufacture methamphetamine under subdivision (a)(1) of this section was not a lesser-included offense of possession of drug paraphernalia with intent to manufacture methamphetamine under former § 5-64-403(c)(5) (see now § 5-64-443); the plain language of the two statutes indicates that they contain different elements. Autrey v. State, 90 Ark. App. 131, 204 S.W.3d 84 (2005).

Evidence Sufficient.

Fact finder did not have to resort to speculation or conjecture to find that defendant possessed pseudoephedrine with the intent to manufacture methamphetamine. Champlin v. State, 98 Ark. App. 305, 254 S.W.3d 780 (2007).

Private Actions.

Arkansas counties' claims under this section and § 16-118-107, failed as a matter of law because their allegations did not show that companies that produced and marketed cold remedies containing ephedrine and pseudoephedrine, which ingredients were used in manufacturing methamphetamine (meth), unlawfully sold, distributed, or dispensed the remedies with reckless disregard as to how they would be used: (1) the counties did not allege that the companies failed to comply with federal law or § 5-64-1101 or § 5-64-1103, which regulated the possession and sale of products containing ephedrine or pseudoephedrine; (2) it appeared that § 5-64-1101, rather than this section, applied to the companies because there was nothing in the record showing that the companies distributed their remedies to unlicensed or unregistered entities or that their commercial buyers, which included retailers, intended to use the remedies to manufacture meth; and (3) even if this section applied, the counties did not offer any example of the companies' alleged reckless behavior beyond their broad assertion that distributing the remedies in their current pharmaceutical formulation was reckless. Independence County v. Pfizer, Inc., 534 F. Supp. 2d 882 (E.D. Ark. 2008), aff'd, Ashley County v. Pfizer, Inc., 552 F.3d 659 (8th Cir. 2009).

5-64-1103. Sales limits.

  1. It is unlawful for any person, other than a person or entity described in § 5-64-1101(a)(3) and (4), to knowingly sell, transfer, or otherwise furnish in a single transaction a product containing ephedrine, pseudoephedrine, or phenylpropanolamine except in a licensed pharmacy by a licensed pharmacist or a registered pharmacy technician.
  2. Unless the product has been rescheduled pursuant to § 5-64-212(c), this section does not apply to a retail distributor sale for personal use of a product:
    1. That the Department of Health, in collaboration with the Arkansas State Board of Pharmacy, upon application of a manufacturer, exempts by rule from this section because the product has been formulated in such a way as to effectively prevent the conversion of the active ingredient into methamphetamine or its salts or precursors; or
    2. Containing ephedrine or pseudoephedrine in liquid, liquid capsule, or liquid gel capsule form if the drug is dispensed, sold, transferred, or otherwise furnished in a single transaction limited to no more than three (3) packages, with any single package containing not more than ninety-six (96) liquid capsules or liquid gel capsules or not more than three grams (3g) of ephedrine or pseudoephedrine base.
      1. Except under a valid prescription, before dispensing a product containing ephedrine, pseudoephedrine, or phenylpropanolamine that is not exempt under subdivision (b)(1) or subdivision (b)(2) of this section, a pharmacist shall make a professional determination as to whether or not there is a legitimate medical and pharmaceutical need for the product containing ephedrine, pseudoephedrine, or phenylpropanolamine.
      2. The determination under subdivision (c)(1)(A) of this section may be based on factors, including without limitation:
        1. Prior medication-filling history;
        2. Patient screening; and
        3. Other tools that provide professional reassurance to the pharmacist that a legitimate medical and pharmaceutical need exists.
    1. The board may:
      1. Adopt rules regarding determinations made under subdivision (c)(1) of this section;
      2. Review determinations made under subdivision (c)(1) of this section; and
      3. Take appropriate disciplinary action as required.
    2. This subsection does not prohibit a pharmacist from dispensing a product containing ephedrine, pseudoephedrine, or phenylpropanolamine to a person who:
      1. Has not utilized the services of the pharmacist frequently; or
      2. Has not established a pharmacist-patient relationship with the pharmacist before the instance of dispensing.
  3. Except under a valid prescription, it is unlawful for a licensed pharmacist to dispense or a registered pharmacy technician to knowingly sell, transfer, or otherwise furnish in a single transaction:
    1. More than three (3) packages of one (1) or more products that contain ephedrine, pseudoephedrine, or phenylpropanolamine, or their salts, isomers, or salts of isomers;
    2. Any single package of any product that contains ephedrine, pseudoephedrine, or phenylpropanolamine, that contains more than ninety-six (96) pills, tablets, gelcaps, capsules, or other individual units or more than three grams (3g) of ephedrine, pseudoephedrine, or phenylpropanolamine, or their salts, isomers, or salts of isomers, or a combination of any of these substances, whichever is smaller;
    3. Any product containing ephedrine, pseudoephedrine, or phenylpropanolamine, unless:
      1. The product is sold in a package size of not more than three grams (3g) of ephedrine, pseudoephedrine, or phenylpropanolamine base and is packaged in a blister pack, each blister containing not more than two (2) dosage units;
      2. When the use of a blister pack is technically infeasible, that is packaged in a unit dose packet or pouch; or
      3. In the case of a liquid, the drug is sold in a package size of not more than three grams (3g) of ephedrine, pseudoephedrine, or phenylpropanolamine base; or
      1. Any product containing ephedrine, pseudoephedrine, or phenylpropanolamine to any person under eighteen (18) years of age, unless the person is purchasing an exempt product under subdivision (b)(1) or subdivision (b)(2) of this section.
      2. The person making the sale shall require proof of age from the purchaser.
      1. A person who violates subsection (a) or subsection (d) of this section for a first or second offense upon conviction is guilty of a Class A misdemeanor and also may be subject to a civil fine not to exceed five thousand dollars ($5,000).
      2. A person who violates subsection (a) or subsection (d) of this section for a third offense upon conviction is guilty of a Class D felony and also may be subject to a civil fine not to exceed five thousand dollars ($5,000).
      3. A person who violates subsection (a) or subsection (d) of this section for a fourth or subsequent offense upon conviction is guilty of a Class C felony and also may be subject to a civil fine not to exceed ten thousand dollars ($10,000).
    1. A plea of guilty or nolo contendere to or a finding of guilt under a penal law of the United States or another state that is equivalent to subsection (a) or subsection (d) of this section is considered a previous offense for purposes of this subsection.
      1. The prosecuting attorney may waive any civil penalty under this section if a person establishes that he or she acted in good faith to prevent a violation of this section, and the violation occurred despite the exercise of due diligence.
      2. In making this determination, the prosecuting attorney may consider evidence that an employer trained employees how to sell, transfer, or otherwise furnish substances specified in this subchapter in accordance with applicable laws.
      1. It is unlawful for any person, other than a person or entity described in § 5-64-1101(a), to knowingly purchase, acquire, or otherwise receive in a single transaction:
        1. More than three (3) packages of one (1) or more products that the person knows to contain ephedrine, pseudoephedrine, or phenylpropanolamine, or their salts, isomers, or salts of isomers; or
        2. Any single package of any product that the person knows to contain ephedrine, pseudoephedrine, or phenylpropanolamine, that contains more than ninety-six (96) pills, tablets, gelcaps, capsules, or other individual units or more than three grams (3g) of ephedrine, pseudoephedrine, or phenylpropanolamine, or their salts, isomers, or salts of isomers, or a combination of any of these substances, whichever is smaller.
      2. It is unlawful for any person, other than a person or entity described in § 5-64-1101(a), to knowingly purchase, acquire, or otherwise receive more than five grams (5g) of ephedrine or nine grams (9g) of pseudoephedrine or phenylpropanolamine within any thirty-day period.
      1. A person who violates subdivision (f)(1)(A) or subdivision (f)(1)(B) of this section for a first or second offense upon conviction is guilty of a Class A misdemeanor.
      2. A person who violates subdivision (f)(1)(A) or subdivision (f)(1)(B) of this section for a third offense upon conviction is guilty of a Class D felony.
      3. A person who violates subdivision (f)(1)(A) or subdivision (f)(1)(B) of this section for a fourth or subsequent offense upon conviction is guilty of a Class C felony.
    1. A plea of guilty or nolo contendere to or a finding of guilt under a penal law of the United States or another state that is equivalent to subdivision (f)(1)(A) or subdivision (f)(1)(B) of this section is considered a previous offense for the purposes of this subsection.
  4. This section does not prohibit a person under eighteen (18) years of age from possessing and selling a product described in subsections (a) and (b) of this section as an agent of the minor's employer acting within the scope of the minor's employment.

History. Acts 2001, No. 1209, § 5; 2003, No. 277, §§ 1, 2; 2005, No. 256, § 6; 2007, No. 508, § 2; 2007, No. 827, §§ 68, 70; 2009, No. 712, §§ 1, 2; 2011, No. 588, §§ 2, 3; 2013, No. 1125, § 15; 2015, No. 940, §§ 1, 2.

A.C.R.C. Notes. Acts 2005, No. 256, § 1, provided:

“The General Assembly of the State of Arkansas finds that:

“(1) Pseudoephedrine and ephedrine are known medicinal ingredients, with known scientific evidence of pharmacological effect, and have known currently accepted medical use in treatment in the United States;

“(2) The citizens of Arkansas are entitled to the maximum protection practicable from the harmful effects of methamphetamine abuse and the harmful effects of excessive and improper exposure to illicit clandestine laboratories for the manufacture of methamphetamine; and

“(3) The protection of the citizens of Arkansas will be increased by controlling specific precursor ingredients, ephedrine, pseudoephedrine, and phenylpropanolamine utilized to manufacture methamphetamine.”

The amendments to this section by Acts 2007, No. 508, § 2 are codified in § 5-64-1104.

Amendments. The 2003 amendment added “unless the person is purchasing a pediatric product intended for a child” at the end of (a)(4)(A); and deleted “drug” preceding “product containing” in (e)(1).

The 2009 amendment inserted (e)(1)(B), (e)(1)(C), (e)(2), (f)(2)(B), (f)(2)(C), and (f)(3) and redesignated the remaining subdivisions accordingly; inserted “for a first or second offense upon conviction” in (e)(1)(A) and (f)(2)(A); and made minor stylistic changes.

The 2011 amendment deleted “dispense” following “knowingly” in (a); inserted (c) and redesignated the remaining subsections accordingly; and deleted “unless from the purchaser's outward appearance the person would reasonably presume the purchaser to be twenty-five (25) years of age or older” at the end of (d)(4)(B).

The 2013 amendment substituted “product containing ephedrine, pseudoephedrine, or phenylpropanolamine” for “drug” at the end of (c)(1)(A).

The 2015 amendment deleted “based on a pharmacist patient relationship” after “a pharmacist shall make a professional determination” in (c)(1)(A); added (c)(3); deleted “(g) [Repealed.]” and redesignated former (h) as (g); and substituted “This section does not prohibit” for “Nothing in this section prohibits” in (g).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Survey of Legislation, 2005 Arkansas General Assembly, Criminal Law, 28 U. Ark. Little Rock L. Rev. 335.

Case Notes

Evidence Insufficient.

Insufficient evidence supported defendant's conviction for acquiring a prohibited amount of pseudoephedrine because the evidence did not show defendant acquired a prohibited amount of the substance in a single transaction. Coger v. State, 2017 Ark. App. 466, 529 S.W.3d 640 (2017).

Cited: Independence County v. Pfizer, Inc., 534 F. Supp. 2d 882 (E.D. Ark. 2008).

5-64-1104. Sales records — Entering transactions into real-time electronic logbook — Purchaser's proof of identity.

  1. A pharmacy shall:
    1. Maintain a written or electronic log or receipts of transactions involving the sale of ephedrine, pseudoephedrine, or phenylpropanolamine; and
    2. Enter any transaction required to be maintained by this section into the real-time electronic logbook maintained by the Arkansas Crime Information Center under § 5-64-1106.
  2. A person purchasing, receiving, or otherwise acquiring ephedrine, pseudoephedrine, or phenylpropanolamine shall:
    1. Produce current and valid proof of identity; and
    2. Sign a written log or an electronic log or a receipt that documents the date of the transaction, the name of the person, and the quantity of ephedrine, pseudoephedrine, or phenylypropanolamine purchased, received, or otherwise acquired.
  3. The requirements of subsection (a) of this section and subdivision (b)(2) of this section are satisfied by entering the information required to be produced into the real-time electronic logbook maintained by the Arkansas Crime Information Center under § 5-64-1106.

History. Acts 2007, No. 508, § 2; 2007, No. 827, § 69.

5-64-1105. Definitions.

As used in this subchapter:

  1. “Ephedrine”, “pseudoephedrine”, and “phenylpropanolamine” means any product containing ephedrine, pseudoephedrine, or phenylpropanolamine or any of their salts, isomers, or salts of isomers, alone or in a mixture;
  2. “Proof of age” and “proof of identity” mean:
    1. A driver's license or identification card issued by the Department of Finance and Administration that contains a photograph of the person, the person's date of birth, and a functioning magnetic stripe or bar code; or
    2. An identification card issued by the United States Department of Defense to active duty military personnel that contains a photograph of the person and the person's date of birth;
    1. “Retail distributor” means a grocery store, general merchandise store, drugstore, convenience store, or other related entity, the activities of which, as a distributor of ephedrine, pseudoephedrine, or phenylpropanolamine products, are limited exclusively to the sale for personal use of ephedrine, pseudoephedrine, or phenylpropanolamine products, both in number of sales and volume of sales, either directly to walk-in customers or in face-to-face transactions by direct sales.
    2. “Retail distributor” includes any person or entity that makes a direct sale or has knowledge of the direct sale.
    3. “Retail distributor” does not include:
      1. Any manager, supervisor, or owner not present and not otherwise aware of the direct sale; or
      2. The parent company of a grocery store, general merchandise store, drugstore, convenience store, or other related entity if the parent company is not involved in direct sales regulated by this subchapter; and
  3. “Sale for personal use” means the sale in a single transaction to an individual customer for a legitimate medical use of a product containing ephedrine, pseudoephedrine, or phenylpropanolamine in a quantity at or below that specified in § 5-64-1103, and includes the sale of those products to an employer to be dispensed to employees from a first-aid kit or medicine chest.

History. Acts 2007, No. 827, § 71; 2011, No. 588, § 4; 2013, No. 176, § 1.

Amendments. The 2011 amendment rewrote (2).

The 2013 amendment, in (2), inserted the (A) designator, deleted “or an identification card issued by the United Stats Department of Defense to active duty military personnel” following “Department of Finance and Administration”, and added (B).

5-64-1106. Real-time electronic logbook.

    1. Subject to available funding, on or before May 15, 2008, the Arkansas Crime Information Center shall provide pharmacies in this state access to a real-time electronic logbook for the purpose of entering into the real-time electronic logbook any transaction required to be reported by § 5-64-1104.
    2. The real-time electronic logbook shall have the capability to calculate both state and federal ephedrine, pseudoephedrine, or phenylpropanolamine purchase limitations.
  1. The center may contract with a private vendor to implement this section.
  2. The center shall not charge a pharmacy any fee:
    1. To support the establishment or maintenance of the real-time electronic logbook; or
    2. For any computer software required to be installed as part of the real-time electronic logbook.

History. Acts 2007, No. 508, § 3.

5-64-1107. Confidentiality of information.

  1. Information entered into the real-time electronic logbook is confidential and is not subject to the Freedom of Information Act of 1967, § 25-19-101 et seq.
  2. Except as authorized under § 5-64-1108 or otherwise by law, the Arkansas Crime Information Center shall not disclose any information entered, collected, recorded, transmitted, or maintained in the real-time electronic logbook.

History. Acts 2007, No. 508, § 3.

5-64-1108. Authorized access to the real-time electronic logbook.

The Arkansas Crime Information Center shall provide access to the real-time electronic logbook to the following:

  1. Any person authorized to prescribe or dispense products containing ephedrine, pseudoephedrine, or phenylpropanolamine for the purpose of providing medical care or pharmaceutical care;
  2. A local, state, or federal law enforcement official or a local, state, or federal prosecutor;
  3. A local, state, or federal official who requests access for the purpose of facilitating a product recall necessary for the protection of the public health and safety; and
  4. The Arkansas State Board of Pharmacy for the purpose of investigating a suspicious transaction, as allowed under § 5-64-1006.

History. Acts 2007, No. 508, § 3.

5-64-1109. Promulgation of rules.

The Arkansas Crime Information Center, after consulting with the Arkansas State Board of Pharmacy, shall promulgate rules necessary to:

  1. Implement the provisions of §§ 5-64-1104(a)(2) and 5-64-1106 — 5-64-1112;
  2. Ensure that the real-time electronic logbook enables a pharmacy to monitor the sales of ephedrine, pseudoephedrine, or phenylpropanolamine occurring at that pharmacy;
  3. Allow a pharmacy to determine whether it will access information concerning sales of ephedrine, pseudoephedrine, or phenylpropanolamine made at other pharmacies in this state; and
  4. Ensure that the real-time electronic logbook does not allow access to a competitor's pricing information for ephedrine, pseudoephedrine, and phenylpropanalomine.

History. Acts 2007, No. 508, § 3.

5-64-1110. Destruction of records.

The Arkansas Crime Information Center shall destroy any transaction record maintained in the real-time electronic logbook within two (2) years from the date of its entry unless the transaction record is being used in an ongoing criminal investigation or criminal proceeding.

History. Acts 2007, No. 508, § 3.

5-64-1111. Liability of pharmacy or pharmacist.

  1. A pharmacy in this state is not liable civilly for a sale of ephedrine, pseudoephedrine, or phenylpropanolamine that occurs at another pharmacy in this state.
  2. A pharmacy or pharmacist is not civilly liable for a determination made under § 5-64-1103(c) or for any refusal to dispense, sell, transfer, or otherwise furnish ephedrine, pseudoephedrine, or phenylpropanolamine based on a determination of age or identity.

History. Acts 2007, No. 508, § 3; 2011, No. 588, § 5.

5-64-1112. Penalty for unauthorized disclosure and unauthorized access.

  1. A person commits an offense if he or she knowingly:
    1. Releases or discloses to any unauthorized person any confidential information collected and maintained under § 5-64-1107 or § 5-64-1108; or
    2. Obtains confidential information for a purpose not authorized by § 5-64-1107 or § 5-64-1108.
  2. A violation of subsection (a) of this section is a Class A misdemeanor.

History. Acts 2007, No. 508, §, 3.

5-64-1113. Pharmacist-authorized drugs.

  1. The Arkansas State Board of Pharmacy may adopt rules creating and adding to a list of additional nonprescription drugs that are subject to the same restrictions as are imposed for ephedrine, pseudoephedrine, or phenylpropanolamine under §§ 5-64-1103(c), 5-64-1103(d)(4), and 5-64-1104.
  2. A pharmacy or a pharmacist has the same immunity from civil liability with regard to actions regarding nonprescription drugs under subsection (a) of this section as is provided under § 5-64-1111 for actions concerning ephedrine, pseudoephedrine, or phenylpropanolamine.

History. Acts 2011, No. 588, § 6; 2013, No. 1125, § 16.

Amendments. The 2013 amendment, in (a), inserted “creating and” and “of” and substituted “§§ 5-64-1103(c), 5-64-1103(d)(4), and 5-64-1104” for “§§ 5-64-1103(c) and (d)(4) and § 5-64-1104”.

Subchapter 12 — Nitrous Oxide

Cross References. Application for dental use permit, § 17-82-503.

5-64-1201. Possession.

  1. It is unlawful for any person to possess a substance listed in subsection (b) of this section:
    1. With the intent to breathe, inhale, ingest, or use the substance for the purpose of:
      1. Causing a condition of intoxication, elation, euphoria, dizziness, stupefaction, or dulling of the senses; or
      2. In any manner changing, distorting, or disturbing his or her audio, visual, or mental processes; or
    2. Who purposely is under the influence of the substance.
  2. This subchapter applies to the following substances:
    1. Nitrous oxide, commonly known as “laughing gas”;
    2. Any compound, liquid, or chemical that contains nitrous oxide; or
    3. Any amyl nitrite, commonly known as “poppers” or “snappers”.
  3. Upon conviction, a person who violates this section is guilty of a Class A misdemeanor.

History. Acts 1997, No. 355, § 1; 2001, No. 1553, § 13; 2007, No. 827, § 72.

Amendments. The 2001 amendment rewrote this section.

5-64-1202. Distribution.

  1. It is unlawful for any person, firm, corporation, limited liability company, or association to purposely sell, offer for sale, distribute, or give away a substance listed in § 5-64-1201(b) for the purpose of inducing or aiding another person to breathe, inhale, ingest, use, or be under the influence of the substance for a purpose prohibited in § 5-64-1201.
  2. Upon conviction, a person, firm, corporation, limited liability company, or an association that violates this section is guilty of a Class A misdemeanor.

History. Acts 1997, No. 355, § 2; 2001, No. 1553, § 14; 2007, No. 827, § 73.

Amendments. The 2001 amendment rewrote this section.

5-64-1203. Exemptions.

  1. A prohibitive provision in this subchapter does not apply to the possession and use of a substance listed in § 5-64-1201(b) that is prescribed as part of the practice of dentistry or as part of the care or treatment of a disease, condition, or injury by a licensed physician or to its use as part of a manufacturing process or industrial operation.
  2. A prohibitive provision in this subchapter shall not apply to the possession, use, or sale of nitrous oxide as a propellant in food preparation for restaurant, food service, or a houseware product.

History. Acts 1997, No. 355, § 3; 2007, No. 827, § 74.

Subchapter 13 — Anhydrous Ammonia

Effective Dates. Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

5-64-1301. Possession of anhydrous ammonia in unlawful container.

Any person who knowingly possesses anhydrous ammonia in a container that does not comply with the rules of the Boiler Inspection Division of the Division of Labor for the containment of anhydrous ammonia is guilty of a Class B felony.

History. Acts 1999, No. 909, § 1; 2019, No. 315, § 167; 2019, No. 910, § 5266.

Amendments. The 2019 amendment by No. 315 substituted “rules” for “regulations”.

The 2019 amendment by No. 910 substituted “Division of Labor” for “Department of Labor”.

Case Notes

Cited: Dondanville v. State, 85 Ark. App. 532, 157 S.W.3d 571 (2004).

5-64-1302. Agricultural use as affirmative defense.

It is an affirmative defense to prosecution under this subchapter that a chemical is possessed for the sole purpose of agricultural use.

History. Acts 1999, No. 909, § 2.

5-64-1303. Applicability of subchapter.

The provisions of this subchapter do not apply to a trained chemist working in a properly equipped research laboratory in an education, government, or corporate setting.

History. Acts 1999, No. 909, § 3.

5-64-422. Delivery of methamphetamine or cocaine.

5-64-426. Delivery of a Schedule I or Schedule II controlled substance that is not methamphetamine or cocaine.

5-64-430. Delivery of a Schedule III controlled substance.

5-64-434. Delivery of a Schedule IV or Schedule V controlled substance.

5-64-438. Delivery of a Schedule VI controlled substance.

Chapter 65 Driving or Boating While Intoxicated

Publisher's Notes. Acts 2015, No. 299, § 6 inserted “or Boating” in the chapter heading.

Research References

Am. Jur. 7A Am. Jur. 2d, Auto., § 356 et seq.

12 Am. Jur. 2d, Boats, §§ 70-72.

Ark. L. Rev.

Notes, State v. Brown: Use of Prior Uncounseled Convictions to Enhance for Subsequent Offenses Under the Omnibus DWI Act, 38 Ark. L. Rev. 688.

C.J.S. 61A C.J.S., Motor Veh., § 1574 et seq.

U. Ark. Little Rock L.J.

Arkansas Law Survey, Antley, Criminal Law, 9 U. Ark. Little Rock L.J. 119.

Survey — Criminal Procedure, 10 U. Ark. Little Rock L.J. 567.

Subchapter 1 — General Provisions

Effective Dates. Acts 1983, No. 549, § 19: Mar. 21, 1983. Emergency clause provided: “It is hereby found and determined by the Seventy-Fourth General Assembly that the act of driving a motor vehicle while under the influence of intoxicating alcoholic beverages or drugs constitutes a serious and immediate threat to the safety of all citizens of this state, and that increasing the penalty for this dangerous conduct may serve as a deterrent to such behavior. Further, it is found that increased income derived from the levying of such penalties can best be utilized to provide immediate alcohol and drug safety and rehabilitation and treatment programs both to prevent an increase in the use of intoxicating alcoholic beverages and drugs and to rehabilitate persons convicted of related offenses. Therefore, an emergency is hereby declared to exist, and this Act being necessary for the immediate preservation of the public peace, health, and safety shall be in full force and effect from and after the date of its passage and approval.” Emergency clause held valid in State v. Ziegenbein, 282 Ark. 162, 666 S.W.2d 698 (1984).

Acts 1983, No. 918, § 16: Mar. 30, 1983. Emergency clause provided: “It is hereby found and determined by the Seventy-Fourth General Assembly that the act of driving a motor vehicle while under the influence of intoxicating alcoholic beverages or drugs constitutes a serious and immediate threat to the safety of all citizens of this state, and that increasing the penalty for this dangerous conduct may serve as a deterrent to such behavior. Further, it is found that increased income derived from the levying of such penalties can best be utilized to provide immediate alcohol and drug safety and rehabilitation and treatment programs both to prevent an increase in the use of intoxicating alcoholic beverages and drugs and to rehabilitate persons convicted of related offenses. Therefore, an emergency is hereby declared to exist, and this Act being necessary for the immediate preservation of the public peace, health, and safety shall be in full force and effect from and after the date of its passage and approval.”

Acts 1985, No. 113, § 3: Feb. 14, 1985. Emergency clause provided: “It is hereby found and determined by the General Assembly that Section 13 of Act 549 of 1983 prescribed only minimum periods of suspension of motor vehicle operator licenses upon first and subsequent offenses of driving while intoxicated and contain no maximum periods of suspension; that as a result of one or more lower court decisions in the State, serious concern has arisen concerning the constitutionality of the Legislature prescribing only minimum periods of suspension and prescribing no maximum periods; that this Act is designed to prescribe minimum and maximum periods of motor vehicle operator license suspension for violations of Act 549 of 1983 and should be given effect immediately in order to remove constitutional doubt concerning the license suspension provisions of that Act. Therefore, an emergency is hereby declared to exist and this Act being necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1995, No. 802, § 9: Mar. 27, 1995: Emergency clause provided: “It is hereby found and determined by the General Assembly that this act provides for administrative revocation and suspension of drivers' licenses for persons charged with the offense of driving while intoxicated; that based on Arkansas Crime Information Center statistics on DEI arrests, the Office of Driver Services could anticipate up to sixteen thousand (16,000) hearings if everyone arrested requested a hearing; that funds will be necessary for additional staff to handle this program along with significant costs to prepare for and implement this program; and that this act is necessary immediately in order to insure that sufficient funds are available for the financial stability of this program. Therefore, an emergency is hereby declared to exist and this act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1995, No. 802, § 5(a): Sections 1, 3, and 4 effective for all arrests or offenses occurring on or after July 1, 1996.

Acts 1995, No. 802, § 5(b): Section 2 effective July 1, 1995.

Acts 1995, No. 1032, § 13: July 1, 1995. Emergency clause provided: “It is hereby found and determined by the Eightieth General Assembly, that in order for the Department of Health to become more efficient in accounting and budgetary practices due to the transfer of the Bureau of Alcohol and Drug Abuse Prevention, changes in various funds are needed; and that the provisions of this Act provide such changes. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after July 1, 1995.”

Acts 1995 (1st Ex. Sess.), No. 13, § 13: Oct. 23, 1995. Emergency clause provided: “It is hereby found and determined by the General Assembly of the State of Arkansas that the current system of funding the state judicial system has created inequity in the level of judicial services available to the citizens of the state; and it is further determined that the current method of financing the state judicial system has become so complex as to make the administration of the system impossible, and the lack of reliable data on the current costs of the state judicial system prohibits any comprehensive change in the funding of the system at this time. Therefore, an emergency is declared to exist and this act being necessary for the immediate preservation of the public peace, health, and safety, shall be in full force and effect from and after its passage and approval.”

Acts 1997, No. 830, § 5: Mar. 26, 1997. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act provides for proof of attendance at and completion of an alcohol education or treatment program as a prerequisite for reinstatement of a license administratively suspended or revoked; that the law does not now explicitly authorize such programs for administrative suspension or revocation; that lives will be placed in jeopardy if individuals whose license has been administratively suspended or revoked are not required to furnish proof of attendance of such programs prior to reinstatement of license; that rehabilitation of DWI offenders whose license has been administratively suspended or revoked is necessary for the welfare of the offender as well as others utilizing this State's roadways. Therefore an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health and safety shall become effective on the date of its approval by the Governor. If the bill is neither approved nor vetoed by the Governor, it shall become effective on the expiration of the period of time during which the Governor may veto the bill. If the bill is vetoed by the Governor and the veto is overridden, it shall become effective on the date the last house overrides the veto.”

Acts 1997, No. 1325, § 7: Apr. 10, 1997. Emergency clause provided: “It is hereby found and determined by the Eighty-First General Assembly of the State of Arkansas that current ambiguities in Arkansas law create confusion and possible conflicts which would endanger the enforcement of certain DWI penalties; that enforcement of driving while intoxicated laws serves as an extreme deterrent to that kind of conduct which threatens the health and safety of Arkansas' driving public; and that these clarifications of Arkansas law should take effect immediately to prevent any possible forestalling of the enforcement of Arkansas DWI laws. Therefore, in order to remove the ambiguities in those important laws, an emergency is hereby declared to exist, and this act being necessary for the immediate preservation of the public peace, health, and safety shall become effective on the date of its approval by the Governor. If the bill is neither approved or vetoed by the Governor, it shall become effective on the expiration of the period of time during which the Governor may veto the bill. If the bill is vetoed by the Governor and the veto is overridden, it shall become effective on the date the last house overrides the veto.”

Acts 1999, No. 1508, § 19: Apr. 15, 1999. Emergency clause provided: “It is hereby found and determined by the Eighty-second General Assembly that this act makes various technical corrections in the Arkansas Code; that this act further clarifies the law to provide that the Arkansas Code Revision Commission may correct errors resulting from enactments of prior sessions; and that this act should go into effect immediately in order to be applicable during the codification process of the enactments of this regular session. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health and safety shall become effective on the date of its approval by the Governor. If the bill is neither approved nor vetoed by the Governor, it shall become effective on the expiration of the period of time during which the Governor may veto the bill. If the bill is vetoed by the Governor and the veto is overridden, it shall become effective on the date the last house overrides the veto.”

Acts 2001, No. 1715, § 2: emergency failed to pass. Emergency clause provided: “It is found and determined by the General Assembly that there is a substantial risk that persons convicted of driving while intoxicated will continue to drive while their licenses are suspended. Stiffening penalties will reduce the occurrences of driving under suspended licenses, thus making the state's highways safer. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health and safety shall become effective on the date of its approval by the Governor. If the bill is neither approved nor vetoed by the Governor, it shall become effective on the expiration of the period of time during which the Governor may veto the bill. If the bill is vetoed by the Governor and the veto is overridden, it shall become effective on the date the last house overrides the veto.”

Acts 2003, No. 1001, § 5: Apr. 1, 2003: Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the state is experiencing severe revenue shortages which are affecting the operation of many state agencies; that the Department of Arkansas State Police has been hit hard by these shortages which have hampered its ability to replace worn out automobiles and other equipment, not to mention its ability to attract recruits because beginning salaries have remained below average; and that this act is immediately necessary because it provides some much needed additional monies to the Department of Arkansas State Police and should be given immediate effect. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2 If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2003, No. 1462, § 4: July 1, 2003. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that if the fees that are raised by this bill do not become effective by July 1, 2003, there will be a shortfall in the funding needed to maintain the alcoholism education programs; that these programs are mandated by law for those individuals that have their license suspended or revoked following an arrest for driving while intoxicated; and that these programs provide educational instruction and are necessary to protect the public health and welfare. Therefore, an emergency is declared to exist and this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2003.”

Acts 2005, No. 1992, § 6: Apr. 11, 2005. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that currently there exists some confusion as to whether the fees collected for the reinstatement of a suspended or revoked driver's license should be collected for each offense or for each reinstatement; that due to the confusion, state agencies have not been allowed to collect the revenue that they anticipated for reinstatement fees which is causing a negative fiscal impact; and that this act is immediately necessary to clarify the law to prevent the impairment of agency operations due to a loss of anticipated revenue. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2014, No. 277, § 16: July 1, 2014. Emergency clause provided: “It is found and determined by the General Assembly, that the Constitution of the State of Arkansas prohibits the appropriation of funds for more than a one (1) year period; that the effectiveness of this Act on July 1, 2014 is essential to the operation of the agency for which the appropriations in this Act are provided, and that in the event of an extension of the legislative session, the delay in the effective date of this Act beyond July 1, 2014 could work irreparable harm upon the proper administration and provision of essential governmental programs. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after July 1, 2014.”

Acts 2015 (1st Ex. Sess.), No. 6, § 7: May 29, 2015 and July 22, 2015. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the Supreme Court of Arkansas held in Leeka v. State, 2015 Ark. 183 (2015), that in order to sustain a conviction for driving while intoxicated, the state must prove that the defendant had a reckless mental state despite the statute not expressly requiring that the defendant's mental state be proven; that the General Assembly intended and still intends to keep driving while intoxicated a strict liability offense requiring no culpable mental state; that the General Assembly passed and the Governor signed Act No. 299 during the 2015 Regular Session which amended § 5-65-103 by combining the offenses of driving while intoxicated and boating while intoxicated; that Act 299 also amended § 5-65-303 by combining the offenses of underage driving under the influence and underage boating under the influence; that Act No. 299 does not become effective until July 22, 2015; that the new offenses of driving and boating while intoxicated and driving or boating under the influence while underage are strict liability offenses requiring no culpable mental state; that Sections 2, 3, and 5 of this act are necessary because the offenses of driving while intoxicated and underage driving under the influence should not have an applicable culpable mental state as they are strict liability offenses; and that Sections 4 and 6 of this act are necessary because the offenses of driving or boating while intoxicated and underage driving or boating under the influence should not have an applicable culpable mental state as they are strict liability offenses. Therefore, an emergency is declared to exist, and:

“(1) Sections 2, 3, and 5 of this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on:

“(A) The date of its approval by the Governor;

“(B) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or

“(C) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto; and

“(2) Sections 4 and 6 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 22, 2015.”

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

Research References

ALR.

Reckless driving as lesser included offense of driving while intoxicated or similar charge. 10 A.L.R.4th 1252.

Failure to restrain drunk driver as ground of liability of state or local government unit or officer. 48 A.L.R.4th 320.

Validity of police roadblocks or checkpoints for purpose of discovery of alcoholic intoxication — post-Sitz cases. 74 A.L.R.5th 319.

Validity of routine roadblocks by state or local police for purpose of discovery of driver's license, registration, and safety violations. 116 A.L.R.5th 479.

Case Notes

Purpose.

The General Assembly's intent when enacting this subchapter was to protect the public from the damage and tragedies that drunken driving can cause; the fact that an offender is not on a roadway is irrelevant. Fitch v. State, 313 Ark. 122, 853 S.W.2d 874 (1993).

Liability.

Liability not imposed on those who sell intoxicants for injuries caused by those who drink intoxicants. Yancey v. Beverage House of Little Rock, Inc., 291 Ark. 217, 723 S.W.2d 826 (1987), overruled, Shannon v. Wilson, 329 Ark. 143, 947 S.W.2d 349 (1997).

Cited: Deweese v. State, 26 Ark. App. 126, 761 S.W.2d 945 (1988).

5-65-101. Title.

This chapter shall be known as the “Omnibus DWI or BWI Act”.

History. Acts 1983, No. 549, § 1; A.S.A. 1947, § 75-2501; 2007, No. 214, § 1; 2015, No. 299, § 6.

Amendments. The 2015 amendment inserted “or BWI” in the section heading and text; and substituted “chapter” for “act”.

Case Notes

Purpose.

The legislative intent of the Omnibus DWI Act of 1983, as stated in former subsection (c), was to enhance penalties by using convictions under the prior driving while under the influence act; thus, previous convictions for driving while under the influence of intoxicants under prior law may be used as prior offenses for enhancement purposes. Lovell v. State, 283 Ark. 425, 678 S.W.2d 318 (1984).

Legislative Intent.

The legislature has always considered DWI to be a traffic offense and only removed it from the list of traffic offenses under § 27-50-302 when DWI became the focus of an entire act within itself. Hill v. State, 315 Ark. 297, 868 S.W.2d 44 (1993).

Cited: Lovell v. State, 283 Ark. 434, 681 S.W.2d 395 (1984); Spicer v. City of Fayetteville, 284 Ark. 315, 681 S.W.2d 369 (1984); Doty v. State, 285 Ark. 270, 686 S.W.2d 413 (1985); Sides v. State, 285 Ark. 323, 686 S.W.2d 434 (1985); Hegler v. State, 286 Ark. 215, 691 S.W.2d 129 (1985); Wilson v. State, 286 Ark. 430, 692 S.W.2d 620 (1985); Johnston v. City of Fort Smith, 15 Ark. App. 102, 690 S.W.2d 358 (1985); Gullett v. State, 18 Ark. App. 97, 711 S.W.2d 836 (1986).

5-65-102. Definitions.

As used in this chapter:

    1. “Controlled substance” means a drug, substance, or immediate precursor in Schedules I through VI.
    2. The fact that any person charged with a violation of this chapter is or has been entitled to use that drug or controlled substance under the laws of this state does not constitute a defense against any charge of violating this chapter;
  1. “Ignition interlock device” means a device that connects a motor vehicle ignition system to a breath-alcohol analyzer and prevents a motor vehicle ignition from starting if a driver's blood alcohol level exceeds the calibration setting on the device;
  2. “Influence”, with respect to an underage driver, means being controlled or affected by the ingestion of an alcoholic beverage or similar intoxicant, or any combination of an alcoholic beverage or similar intoxicant, to such a degree that the underage driver's reactions, motor skills, and judgment are altered or diminished, even to the slightest scale, and the underage driver, due to inexperience and lack of skill, constitutes a danger of physical injury or death to himself or herself or another person;
  3. “Intoxicated” means influenced or affected by the ingestion of alcohol, a controlled substance, any intoxicant, or any combination of alcohol, a controlled substance, or an intoxicant, to such a degree that the driver's reactions, motor skills, and judgment are substantially altered and the driver, therefore, constitutes a clear and substantial danger of physical injury or death to himself or herself or another person;
    1. “Motorboat” means any vessel operated upon water and that is propelled by machinery, whether or not the machinery is the principal source of propulsion.
    2. “Motorboat” includes personal watercraft as defined in § 27-101-103(10);
    1. “Motor vehicle” means a self-propelled, motorized vehicle capable of being operated on a roadway upon or in which a person or property is or may be transported or drawn upon a public or private road or public or private land.
    2. “Motor vehicle” includes without limitation:
      1. An all-terrain vehicle as defined under § 27-21-102; and
      2. A vehicle designed to be used for agricultural purposes, such as a tractor.
    3. “Motor vehicle” does not include:
      1. A motor vehicle designed to assist a person with a physical disability with walking;
      2. A motorized scooter or other vehicle designed to be used as a toy by a child;
      3. A bicycle equipped with a small motor designed to assist the bicycle operator and that is not operated at a speed greater than twenty miles per hour (20 m.p.h.);
      4. A riding lawnmower that is not operated on a public roadway;
      5. An electric personal assistive mobility device that is designed to not be capable of a speed of more than twenty miles per hour (20 m.p.h.); or
      6. A device moved by human power or used exclusively upon stationary rails or tracks;
  4. “Serious physical injury” means physical injury that creates a substantial risk of death or that causes protracted disfigurement, protracted impairment of health, or loss or protracted impairment of the function of any bodily member or organ;
  5. “Sworn report” means a signed and written statement of a certified law enforcement officer, under penalty of perjury, on a form provided by the Secretary of the Department of Finance and Administration;
  6. “Underage” means any person who is under twenty-one (21) years of age;
  7. “Victim impact statement” means a voluntary written or oral statement of a victim, or relative of a victim, who has sustained serious injury due to a violation of this chapter; and
  8. “Waters of this state” means any public waters within the territorial limits of the State of Arkansas.

History. Acts 1983, No. 549, § 2; A.S.A. 1947, § 75-2502; Acts 1987, No. 765, § 1; 1997, No. 1325, § 1; 2015, No. 299, § 6; 2019, No. 654, § 2; 2019, No. 910, § 3358.

A.C.R.C. Notes. Acts 2019, No. 654, § 1, provided:

“Legislative intent.

“(a)(1) It is the intent of the General Assembly to provide for the safety of the public in instances in which serious physical injury occurs on the roadways and waterways of this state as a result of a person's operating a motor vehicle or motorboat while he or she is under the influence of alcohol or a controlled substance.

“(2) A motor vehicle in this instance would include an all-terrain vehicle or agricultural vehicle that is often not operated on the roadways of the state and instead operated in an off-road or agricultural field capacity.

“(b) It is not the intent of the General Assembly to provide a way for a law enforcement officer to enter onto private land when the law enforcement officer lacks probable cause or other lawful reasons to enter onto private land”.

Acts 2019, No. 654, § 4, provided: “Title. Section 2 of this act shall be known as ‘Jacob's Law'”.

Publisher's Notes. Schedules I through VI referred to in this section exist pursuant to the Uniform Controlled Substances Act, § 5-64-101 et seq. The schedules are partly codified and partly governed by administrative regulation. The Director of the Department of Health or his or her authorized agent revises and republishes the schedules annually. For a copy of the most recent rescheduling of controlled substances, contact the Department of Health.

Amendments. The 2015 amendment inserted (2), (3), (5), (7), and (9), and redesignated the existing subdivisions accordingly; substituted “chapter” for “act” throughout the section; and substituted “or herself or another person” for “and other motorists or pedestrians” in present (4).

The 2019 amendment by No. 654 inserted the definitions for “Motor vehicle” and “Serious physical injury”.

The 2019 amendment by No. 910 substituted “Secretary” for “Director” in (6) [now (8)].

Research References

U. Ark. Little Rock L.J.

Survey — Criminal Law, 10 U. Ark. Little Rock L.J. 559.

Case Notes

Constitutionality.

The term “intoxicant” as used in subdivision (1) (now (4)) of this section is not unconstitutionally vague. Thornton v. State, 317 Ark. 626, 883 S.W.2d 453 (1994).

Intoxicated.

—In General.

Due process requires only fair warning, not actual notice; the definition of “intoxicated” in this section fairly warns a person of ordinary intelligence that he is in jeopardy of violating the law if he drives a motor vehicle after consuming a sufficient quantity of alcohol to alter his reactions, motor skills and judgment to the extent that his driving constitutes a substantial danger to himself or others. Long v. State, 284 Ark. 21, 680 S.W.2d 686 (1984).

A law is held to be vague when it leaves the police or the factfinder free to decide, without a fixed standard, what is prohibited; the definition of intoxicated, set out in this section, is a sufficient standard for police enforcement and for ascertainment of guilt. Long v. State, 284 Ark. 21, 680 S.W.2d 686 (1984).

The driver's skills under normal conditions are immaterial; it is driving with those skills impaired by intoxication to the extent that it causes the danger outlined in this section that brings the driver within the proscribed activity. Oliver v. State, 284 Ark. 413, 682 S.W.2d 745 (1985).

—Evidence.

Evidence held sufficient to find that the defendant was intoxicated. Oliver v. State, 284 Ark. 413, 682 S.W.2d 745 (1985); Sparks v. State, 25 Ark. App. 190, 756 S.W.2d 911 (1988); Blakemore v. State, 25 Ark. App. 335, 758 S.W.2d 425 (1988).

The crime of DWI is committed whether the act is violated by a motorist who is intoxicated or by a motorist whose blood alcohol level is in excess of the legal limit; these two conditions are two different ways of proving a single violation, and proof by chemical test that the motorist's blood alcohol content was in excess of the legal limit is admissible as evidence tending to prove intoxication. Stephens v. State, 320 Ark. 426, 898 S.W.2d 435 (1995).

Evidence of DWI, fifth offense, held sufficient where defendant refused to submit to a breathalyzer test, failed field sobriety tests, and the officers testified that they smelled intoxicants on defendant's person. Peterson v. State, 81 Ark. App. 226, 100 S.W.3d 66 (2003).

If the refusal to be tested is admissible evidence on the issue of intoxication, as defined in this section, and may indicate the defendant's fear of the results of the test and the consciousness of guilt, then a defendant's attempts to prevent accurate testing surely may be considered as similar proof of guilt; the court's decision does not turn on whether an appellant's efforts to interfere with testing were or could have been successful and even futile efforts to interfere with blood-alcohol testing may be considered as proof of guilt. Blair v. State, 103 Ark. App. 322, 288 S.W.3d 713 (2008).

Court rejected defendant's claim of error in the denial of defendant's motion for a directed verdict in her driving while intoxicated (DWI) case, and contrary to defendant's claim, proof of blood-alcohol content, although admissible as evidence tending to prove intoxication, was not necessary to sustain a DWI conviction, as under § 5-65-206(a)(2), a blood alcohol level of more than .04 but less than .08 did not give rise to a presumption of intoxication, but could be considered with other evidence in determining intoxication. Based on the eyewitness testimony, defendant's admission to drinking, her blood-alcohol reading, the failure of her field tests, the manner in which she drove the vehicle, and the witnesses' observations regarding her inebriated condition, the jury could have reasonably concluded that she was driving while intoxicated, as defined in this section, and (1) the jury could have discounted testimony by defendant's son that he was driving the car, and (2) the fact that defendant was not cited for refusal to submit was of no moment because she did not refuse to submit to testing but instead deliberately delayed an officer in obtaining a successful test result by interfering with the testing. Blair v. State, 103 Ark. App. 322, 288 S.W.3d 713 (2008).

Sufficient evidence supported a finding defendant was intoxicated, as defined in this section, for purposes of a charge of fourth offense driving while intoxicated because defendant was in possession of four bottles of controlled substances at the time of an accident, several witnesses, including a police officer, testified about defendant's substantial impairment immediately after the accident, and defendant had a positive drug screen for a controlled substance. Henry v. State, 2011 Ark. App. 169, 378 S.W.3d 832 (2011).

Sufficient evidence supported defendant's conviction for driving while intoxicated (DWI) where the evidence showed that: (1) defendant was driving his car erratically, causing him to leave the highway; (2) defendant was either passed out or unresponsive with his foot still on the accelerator and a tire spinning; (3) the police had to help defendant out of his car, and he was unsteady and unable to walk or stand on his own; (4) a police officer described defendant as being in a daze with slurred speech; (5) defendant's car smelled of marijuana, it contained a partially-smoked joint, and defendant told the police he had been smoking marijuana as well as ingesting large amounts of cold medicine; and (6) defendant testified at trial that he had been smoking marijuana immediately before operating his vehicle that evening. From the evidence presented, the jury could conclude with reasonable certainty that defendant's use of marijuana influenced him to such a degree that he presented a clear and substantial danger of physical injury to himself and others. Morton v. State, 2011 Ark. App. 432, 384 S.W.3d 585 (2011).

Evidence was sufficient to sustain defendant's conviction for driving while intoxicated because defendant was seen driving erratically, and her urine test came back positive for drugs; the positive drug screen, admission of taking drugs that were known by defendant to be contraindicated with operating a motor vehicle, and the observed reckless driving were sufficient evidence to show defendant was intoxicated. Carruth v. State, 2012 Ark. App. 305 (2012).

Trial court did not give the field sobriety tests predominant weight and instead relied on other factors in finding defendant guilty, including the arresting officer’s opinion that defendant was intoxicated; although defendant offered alternative explanations for the factors relied on by the trial court as evidence of his guilt, the weight of the evidence and the credibility of the witnesses were matters for the trial court. Rule v. State, 2014 Ark. App. 390, 438 S.W.3d 279 (2014).

Directed verdict was properly denied as to a driving while intoxicated charge where defendant's vehicle was in a ditch as a result of a one-car accident, he failed three field sobriety tests, he had taken prescription medication, and a drug-recognition expert testified that he was affected by a central nervous system stimulant. Fiveash v. State, 2015 Ark. App. 187, 458 S.W.3d 774 (2015).

In a driving while intoxicated case, the evidence was sufficient to support the conviction where a corporal smelled intoxicants in defendant's car, he observed an empty beer can on the floor of the vehicle, and he noticed that defendant's eyes were bloodshot and watery. Defendant refused to take a breathalyzer test, performed poorly on field tests, and admitted to drinking beer before the stop; moreover, the corporal considered defendant to be intoxicated and a danger to other drivers. Reardon v. State, 2015 Ark. App. 583, 473 S.W.3d 575 (2015).

—Intoxicant.

The addition of the term “any intoxicant” to “alcohol, a controlled substance, or a combination thereof” has not made the definition vague; a person of ordinary intelligence knows that the use of a substance tending to put him or her in the condition described in subdivision (2) (now (4)) of this section constitutes use of an “intoxicant” and that being in control of a motor vehicle shortly thereafter may violate the law. Thornton v. State, 317 Ark. 626, 883 S.W.2d 453 (1994).

The General Assembly has recognized in § 5-60-116 that toluene is an intoxicant. Thornton v. State, 317 Ark. 626, 883 S.W.2d 453 (1994).

Cited: Lovell v. State, 283 Ark. 425, 678 S.W.2d 318 (1984); Johnston v. City of Fort Smith, 15 Ark. App. 102, 690 S.W.2d 358 (1985); Townsend v. State, 292 Ark. 157, 728 S.W.2d 516 (1987); Nottingham v. State, 29 Ark. App. 95, 778 S.W.2d 629 (1989); Freeman v. City of DeWitt, 301 Ark. 581, 787 S.W.2d 658 (1990); Whitson v. State, 314 Ark. 458, 863 S.W.2d 794 (1993); State v. Johnson, 326 Ark. 189, 931 S.W.2d 760 (1996); Porter v. State, 356 Ark. 17, 145 S.W.3d 376 (2004).

5-65-103. Driving or boating while intoxicated.

    1. It is unlawful and punishable as provided in this chapter for a person who is intoxicated to operate or be in actual physical control of a motorboat on the waters of this state or a motor vehicle.
    2. It is unlawful and punishable as provided in this chapter for a person to operate or be in actual physical control of a motorboat on the waters of this state or a motor vehicle if at that time the alcohol concentration in the person's breath or blood was eight hundredths (0.08) or more based upon the definition of alcohol concentration in § 5-65-204.
  1. The consumption of alcohol or the possession of an open container of alcohol aboard a motorboat does not in and of itself constitute probable cause that the person committed the offense of boating while intoxicated.
  2. An alcohol-related offense under this section is a strict liability offense.

History. Acts 1983, No. 549, § 3; A.S.A. 1947, § 75-2503; Acts 2001, No. 561, § 2; 2013, No. 361, § 2; 2015, No. 299, § 6; 2015 (1st Ex. Sess.), No. 6, §§ 3, 4.

A.C.R.C. Notes. Acts 2015 (1st Ex. Sess.), No. 6, § 1, provided:

“Legislative intent.

“(a) It is the intent of the General Assembly with this act to address the Supreme Court's holding in Leeka v. State, 2015 Ark. 183 (2015), that the state must prove a culpable mental state in a prosecution for driving while intoxicated.

“(b) The General Assembly intends for this act to establish that the current offenses of driving while intoxicated and underage driving under the influence, as well as the offenses of driving or boating while intoxicated and driving or boating under the influence while underage that were created by Acts 2015, No. 299, § 6, be strict liability offenses, which are offenses that require no culpable mental state be proven.”

Publisher's Notes. Acts 2015 (1st Ex. Sess.), No. 6, § 4 specifically amended this section as amended by Acts 2015, No. 299.

Amendments. The 2001 amendment substituted “the alcohol concentration … § 5-65-204” for “there was one-tenth of one percent (0.10%) or more by weight of alcohol in the person's blood as determined by a chemical test of the person's blood, urine, breath, or other bodily substance” in (b).

The 2013 amendment substituted “chapter” for “act” twice; and substituted “alcohol” for “breath, blood, and urine” following “definition of” in (b) (now (a)(2)).

The 2015 amendment by No. 299 substituted “Driving or boating while intoxicated” for “Unlawful acts” in the section heading; redesignated former (a) as (a)(1) and former (b) as (a)(2); in (a)(1) and (a)(2), substituted “a person” for “any person” and inserted “motorboat on the waters of this state or a”; and added (b).

The 2015 (1st Ex. Sess.) amendment by No. 6 added (c).

Research References

ALR.

Vertical gaze nystagmus test: Use in impaired driving prosecution. 117 A.L.R.5th 491.

Claim of diabetic reaction or hypoglycemia as defense in prosecution for driving while under influence of alcohol or drugs. 17 A.L.R.6th 757.

U. Ark. Little Rock L.J.

Survey — Criminal Law, 12 U. Ark. Little Rock L.J. 183.

Seventeenth Annual Survey of Arkansas Law — Constitutional Law, 17 U. Ark. Little Rock L.J. 450.

Case Notes

Constitutionality.

The Omnibus DWI Act of 1983 is not unconstitutional on its face or as applied, in that subsection (b) (see now (a)(2)) establishes a conclusive presumption of guilt. Lovell v. State, 283 Ark. 425, 678 S.W.2d 318 (1984).

Subsection (b) (see now (a)(2)) is not void for vagueness. Lovell v. State, 283 Ark. 425, 678 S.W.2d 318 (1984); Sparrow v. State, 284 Ark. 396, 683 S.W.2d 218 (1985).

Subsection (b) (see now (a)(2)) meets due process requirements. Lovell v. State, 283 Ark. 425, 678 S.W.2d 318 (1984).

The blood alcohol measurement standard in subsection (b) (see now (a)(2)) bears a reasonable relationship to the legitimate state interest in protecting the safety of its citizens. Lovell v. State, 283 Ark. 425, 678 S.W.2d 318 (1984).

The state has a rational basis in protecting public safety, and to that end, the General Assembly has determined that a driver with a blood alcohol content of .10% or more constitutes a serious and immediate threat to the safety of all citizens; the Omnibus DWI Act of 1983 is simply a reasonable means of protecting the public safety. Lovell v. State, 283 Ark. 425, 678 S.W.2d 318 (1984).

The Omnibus DWI Act is not unconstitutional on the ground that a machine rather than a jury of peers is the basis for the conviction since it is up to the jury to determine whether the defendant was operating a motor vehicle and whether his blood alcohol content was in fact greater than the statutorily set standard. Girdner v. City of Kensett, 285 Ark. 70, 684 S.W.2d 808 (1985).

Subsection (a) (now (a)(1)) is not unconstitutionally vague. Long v. State, 284 Ark. 21, 680 S.W.2d 686 (1984); Johnston v. City of Fort Smith, 15 Ark. App. 102, 690 S.W.2d 358 (1985).

Subsection (b) (see now (a)(2)) which makes it a violation per se to drive with a blood alcohol content of .10% or more is not unconstitutionally vague. Johnston v. City of Fort Smith, 15 Ark. App. 102, 690 S.W.2d 358 (1985).

In General.

City attorney of a first-class city had authority to prosecute a state misdemeanor violation because he was acting as a de facto official. Chronister v. State, 55 Ark. App. 93, 931 S.W.2d 444 (1996).

Construction.

Under § 5-65-206(a)(2), if a person's blood alcohol content is lower than that required by subsection (b) (see now (a)(2)) of this section, other competent evidence may be used to show intoxication under subsection (a) (now (a)(1)). State v. Johnson, 326 Ark. 189, 931 S.W.2d 760 (1996).

Although defendant was charged with DWI second offense but convicted instead of DWI first offense, the defendant was not acquitted of the “charge” of DWI second offense under § 5-65-104; once the municipal court convicted defendant of DWI first offense, he simply had two separate convictions of violating this section, since DWI first offense is just as much a violation of this section as is DWI second offense. Leathers v. Cotton, 332 Ark. 49, 961 S.W.2d 32 (1998).

Critical point for counting driving while intoxicated (DWI) offenses is at the sentencing phase of the DWI case, not the date that the crime is committed, and § 5-65-111 plainly contemplates determining total DWI offenses within five years of the first offense and, to the extent Ark. Model Jury Instruction Crim. § 2d 9201.4 is in conflict with the method of counting prior offenses, § 5-65-111 prevails. State v. Sola, 354 Ark. 76, 118 S.W.3d 95 (2003).

Subsection (b) (now (a)(2)), as amended in 2001, sets the legal limit for blood alcohol concentration and must be read in conjunction with § 5-65-204(a)(1), which defines the alcohol concentration computation; hence, where defendant stipulated that his blood alcohol concentration as revealed in breathalyzer test results was 0.109, his conviction for per se violation of subsection (b) (now (a)(2)) was affirmed on appeal. Bramlett v. State, 356 Ark. 200, 148 S.W.3d 278 (2004).

All-Terrain Vehicles.

An all-terrain vehicle meets the definition of a motor vehicle as set out in § 27-14-207, since all-terrain vehicles are self-propelled and do not require rails; the term motor vehicle, as used in this section, also includes all-terrain vehicles. Fitch v. State, 313 Ark. 122, 853 S.W.2d 874 (1993).

Authority to Arrest.

After seeing appellant and smelling intoxicants, an officer had the authority to arrest appellant for driving while intoxicated. Ward v. State, 2012 Ark. App. 649 (2012).

There was reasonable cause for defendant's arrest for DWI under this section, because the trooper's observations of defendant's driving, his demeanor, and the odor of alcohol led him to believe that defendant was driving under the influence of intoxicants and was a danger to himself or others. The trooper administered two tests to defendant, both of which registered a blood-alcohol content of .12 percent; therefore, there was substantial evidence to support his DWI conviction. Lewis v. State, 2013 Ark. App. 39 (2013).

Burden of Proof.

Subsection (b) (see now (a)(2)) does not lessen the state's burden of proof, and each defendant is presumed innocent until the state proves beyond a reasonable doubt that he is guilty of committing the prohibited act of driving with .10% or more alcoholic content in the blood. Lovell v. State, 283 Ark. 425, 678 S.W.2d 318 (1984).

Subsection (b) (see now (a)(2)) does not deprive the accused of the presumption of innocence by shifting the burden of proof to the defendant and creating an irrebuttable presumption of guilt, for each defendant is presumed innocent until the state proves beyond a reasonable doubt that he is guilty of committing the prohibited act of driving with .10% or more alcoholic content in the blood. Johnston v. City of Fort Smith, 15 Ark. App. 102, 690 S.W.2d 358 (1985).

The state must prove not only that defendant was intoxicated, but also that he operated or was in actual physical control of a motor vehicle while intoxicated. Neble v. State, 26 Ark. App. 163, 762 S.W.2d 393 (1988).

To convict defendant of driving while intoxicated the state has to prove that defendant was driving or in actual physical control of a motor vehicle, that defendant's driving skills were sufficiently impaired to create a substantial danger to himself and others, and that the impaired driving skills were the result of the ingestion of a controlled substance. Roach v. State, 30 Ark. App. 119, 783 S.W.2d 376 (1990).

This section does not require that law enforcement officers actually witness an intoxicated person driving or exercising control of a vehicle; it is well-settled that the state may prove by circumstantial evidence whether a person operated or was in actual physical control of a vehicle. Wetherington v. State, 319 Ark. 37, 889 S.W.2d 34 (1994).

In a driving while intoxicated case, the state is not required to prove that the defendant confessed or prove that she possessed an intent to drive drunk; contrary to defendant's claim, the state was not required to prove that a law enforcement officer actually witnessed the intoxicated person driving or exercising control over the vehicle, as the state could make that showing by circumstantial evidence. Blair v. State, 103 Ark. App. 322, 288 S.W.3d 713 (2008).

Charging Document, Citation, Etc.

A charging document, which reflected that the defendant was “charged with the offense of Driving While Intoxicated (DWI) one” was sufficient for a conviction under either subsection (a) or (b) (see now (a)(1) or (a)(2)), even though the evidentiary requirements of the subsections are different. Wilson v. State, 285 Ark. 257, 685 S.W.2d 811 (1985).

Citations which charged defendant with “Driving Under the Influence of Intoxicants” were not void for lack of specificity in that they did not indicate under which subsection of this section of the Omnibus DWI Act the defendant was charged. Johnston v. City of Fort Smith, 15 Ark. App. 102, 690 S.W.2d 358 (1985).

Where the actual charge was “D.W.I. 5-65-103,” and the citation did not specify either subsection of this section, since subsections (a) and (b) (see now (a)(1) and (a)(2)) are, legally, two different ways to prove a single violation, it does not matter if defendant is charged under subsection (b), but convicted under subsection (a). Greer v. State, 310 Ark. 522, 837 S.W.2d 884 (1992), overruled in part on other grounds, Igwe v. State, 312 Ark. 220, 849 S.W.2d 462 (1993).

A charge of “DWI one” is sufficient for a conviction under either subsection (a) or (b) (see now (a)(1) or (a)(2)), even though the evidentiary requirements of the subsections are different. State v. Johnson, 326 Ark. 189, 931 S.W.2d 760 (1996).

Municipal court erred and prejudiced defendant charged with driving while intoxicated (DWI) when it changed the charge to driving under the influence (DUI) on its own motion, because DUI is not a lesser-included offense of DWI and altering the charge violated § 5-65-107; and the circuit court erred in trying and convicting defendant of DUI following his appeal from the municipal court, a judgment it was not authorized to render under § 16-19-1105. McElhanon v. State, 329 Ark. 261, 948 S.W.2d 89 (1997), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002).

Defendant's right to a speedy trial under Ark. R. Crim. P. 30.1 was violated when his trial for driving while intoxicated in violation of § 5-65-103 commenced on the 600th day following his arrest. Zangerl v. State, 352 Ark. 278, 100 S.W.3d 695 (2003).

Competency for Other Purposes.

Fact that defendant's blood alcohol level exceeded .10% at time of trial did not require conclusion under this section that he was too intoxicated to stand trial; this section provides that it is unlawful for any person to operate a motor vehicle if his blood alcohol level is .10 percent or more, but does not declare or imply that a person in such condition is incompetent for any other purposes. Meekins v. State, 34 Ark. App. 67, 806 S.W.2d 9 (1991).

Double Jeopardy.

Driving while intoxicated is an essential component of the crime of negligent homicide, since it is necessary to prove that defendant was driving while intoxicated in order to prove that he had committed negligent homicide; consequently, a defendant cannot be convicted of both offenses. Tallant v. State, 42 Ark. App. 150, 856 S.W.2d 24 (1993).

Elements of Offense.

Trial court properly provided copies of defendant's prior DWI convictions to the jury for their examination because the fact of prior DWI convictions was an element of the crime of DWI, fourth offense, to be determined by the jury; although the trial court had to determine the admissibility of evidence of the prior convictions, it was up to the jury to determine that the evidence established that element of the offense. Fields v. State, 81 Ark. App. 351, 101 S.W.3d 849 (2003).

Defendant admitted that he had drunk a six-pack of beer prior to his arrest, and the breath-alcohol test results on the Intoximeter indicated that defendant was over the legal limit of alcohol in that the test's final result was .125. In addition to the trooper's observations and defendant's failing three field sobriety tests, this constituted substantial evidence of intoxication to support defendant's conviction for driving while intoxicated. under this section. The state was not obligated to prove that defendant was driving erratically or posed a danger on the road. Graham v. State, 2012 Ark. App. 90, 389 S.W.3d 33 (2012).

Evidence.

—In General.

Evidence to show intoxication held admissible. Canard v. State, 174 Ark. 918, 298 S.W. 24 (1927) (decision under prior law); Wiyott v. State, 284 Ark. 399, 683 S.W.2d 220 (1985); Yacono v. State, 285 Ark. 130, 685 S.W.2d 500 (1985); Neble v. State, 26 Ark. App. 163, 762 S.W.2d 393 (1988).

Evidence held sufficient to support conviction. Oliver v. State, 284 Ark. 413, 682 S.W.2d 745 (1985); Broyles v. State, 285 Ark. 457, 688 S.W.2d 290 (1985); Mitchell v. City of North Little Rock, 15 Ark. App. 331, 692 S.W.2d 624 (1985); Mosley v. State, 22 Ark. App. 29, 732 S.W.2d 861 (1987); Deshazier v. State, 26 Ark. App. 193, 761 S.W.2d 952 (1988); Nottingham v. State, 29 Ark. App. 95, 778 S.W.2d 629 (1989); Gavin v. State, 309 Ark. 158, 827 S.W.2d 161 (1992); Wilson v. State, 46 Ark. App. 1, 875 S.W.2d 510 (1994); Mace v. State, 328 Ark. 536, 944 S.W.2d 830 (1997).

Proof of the blood alcohol content is not necessary for a conviction under subsection (a) (now (a)(1)), driving while intoxicated; however, such proof is admissible as evidence tending to prove intoxication. Wilson v. State, 285 Ark. 257, 685 S.W.2d 811 (1985).

The erroneous admission of breathalyzer test results indicating that defendant's blood-alcohol level was 0.20% was prejudicial where, even though the trial judge said that he was not convicting defendant under subsection (b) (see now (a)(2)) but that the conviction was based instead upon subsection (a) (now (a)(1)), the judge did not say that he did not consider the test results. Mitchell v. City of North Little Rock, 15 Ark. App. 331, 692 S.W.2d 624 (1985).

The trial court did not err by admitting into evidence a breathalyzer log showing all tests performed on the machine for a period of five days, even though the defendant's blood alcohol content was the highest one recorded on it, where the log was admissible for the purpose of showing calibration of the machine and the defendant's test result, and the judge offered to admonish the jury to disregard the other test results or delete them, but the defendant rejected this offer. Miller v. State, 19 Ark. App. 36, 715 S.W.2d 885 (1986).

Subsection (b) (see now (a)(2)) of this section states that it is unlawful for a person to operate a motor vehicle if at that time there was one-tenth of one percent (0.10%) or more by weight of alcohol in the person's blood. However, § 5-65-204(a) states that percent by weight of alcohol in the blood shall be based upon milligrams of alcohol per one hundred (100) cubic centimeters of blood. Clark v. State, 26 Ark. App. 268, 764 S.W.2d 458 (1989).

Officer's testimony was insufficient to establish that gaze nystagmus testing was reliable and generally accepted in the scientific community. Middleton v. State, 29 Ark. App. 83, 780 S.W.2d 581 (1989).

Evidence held insufficient to support conviction. Roach v. State, 30 Ark. App. 119, 783 S.W.2d 376 (1990); Cook v. State, 37 Ark. App. 27, 823 S.W.2d 916 (1992).

Where defendant was involved in a one-vehicle accident, had a strong odor of alcohol about his person, his speech was slurred, and the deputy sheriff who questioned defendant testified that shortly after the accident defendant appeared to be “very drunk, very intoxicated,” there was substantial evidence to sustain defendant's conviction without considering the result of the blood test. Ryan v. State, 30 Ark. App. 196, 786 S.W.2d 835 (1990).

Evidence of DWI, second offense, held insufficient where the date of the prior offense was not on the docket sheet introduced into evidence. Wilson v. State, 46 Ark. App. 1, 875 S.W.2d 510 (1994).

Prosecutor's remark, “The reason we have this law is so people won't be out there killing our kids” fell well short of any error or prejudice requiring reversal. Wetherington v. State, 319 Ark. 37, 889 S.W.2d 34 (1994).

The crime of DWI is committed whether the act is violated by a motorist who is intoxicated or by a motorist whose blood alcohol level is in excess of the legal limit; these two conditions are two different ways of proving a single violation, and proof by chemical test that the motorist's blood alcohol content was in excess of the legal limit is admissible as evidence tending to prove intoxication. Stephens v. State, 320 Ark. 426, 898 S.W.2d 435 (1995).

Although the police officers' testimony regarding their belief that defendant was intoxicated was described by the trial court as “subjective” evidence, it was the province of the jury to determine the weight and credibility of this evidence. State v. Johnson, 326 Ark. 189, 931 S.W.2d 760 (1996).

Where defendant was involved in a one-car accident, it was reasonable to infer that the defendant's impaired response could have been caused by his injuries, and, in light of this inference, the odor of alcohol was insufficient to support the conviction. Stivers v. State, 64 Ark. App. 113, 978 S.W.2d 749 (1998).

The State is not precluded as a matter of law from producing evidence of intoxication by ingestion of a controlled substance if the information did not specifically allege this method of intoxication. State v. Johnson, 326 Ark. 189, 931 S.W.2d 760 (1996).

A DWI conviction is not dependent upon evidence of blood-alcohol content in view of sufficient other evidence of intoxication. Wortham v. State, 65 Ark. App. 81, 985 S.W.2d 329 (1999).

State failed to present evidence showing that defendant had a blood-alcohol content of 0.10 percent or greater such that there was not substantial evidence to convict defendant under subsection (b) (see now (a)(2)); however, there was substantial evidence to convict him under subsection (a) (now (a)(1)) as he was intoxicated and operated a vehicle while intoxicated. Porter v. State, 356 Ark. 17, 145 S.W.3d 376 (2004).

Although defendant was acquitted of refusal to consent to a breath test in the municipal court, where he appealed his conviction for driving while intoxicated (DWI) to the circuit court, the refusal was admissible as evidence showing knowledge or consciousness of guilt. Etheredge v. State, 89 Ark. App. 288, 202 S.W.3d 543 (2005).

Where defendant crossed the center line twice, the state trooper noticed that his breath smelled of alcohol, and he did not pass field-sobriety tests; within two hours of the traffic stop, defendant's breath-test results were more than 0.08. These facts alone were sufficient to support his conviction of driving while intoxicated pursuant to subsection (a) (now (a)(1)) of this section; defendant's claim that his alcohol level would have still been rising at the time of the offense and could have been peaking at the time of the tests was unsupported by the evidence. Hayden v. State, 103 Ark. App. 32, 286 S.W.3d 177 (2008).

—Confessions.

Pre-arrest statement by defendant charged with DWI that he was the driver of the vehicle was not a “confession” as that term is used in § 16-89-111(d), because defendant's statement contained no admission that defendant was intoxicated or that his blood alcohol level was in excess of the legal limit at the time of the accident; defendant's statement that he was the operator of the vehicle merely constituted an admission of one element of the offense of DWI, rather than a confession of the crime. Stephens v. State, 320 Ark. 426, 898 S.W.2d 435 (1995).

—Intoxicated.

Any error by the circuit court in denying defendant's motion in limine to exclude evidence or his refusal to submit to breath testing was harmless as the evidence of his guilt was overwhelming; defendant was passed out at the steering wheel, he could not pass field sobriety tests, and he admitted to drinking alcohol earlier in the evening. Etheredge v. State, 89 Ark. App. 288, 202 S.W.3d 543 (2005).

If the refusal to be tested is admissible evidence on the issue of intoxication, as defined in § 5-65-102, and may indicate the defendant's fear of the results of the test and the consciousness of guilt, then a defendant's attempts to prevent accurate testing surely may be considered as similar proof of guilt; the court's decision does not turn on whether an appellant's efforts to interfere with testing were or could have been successful and even futile efforts to interfere with blood-alcohol testing may be considered as proof of guilt. Blair v. State, 103 Ark. App. 322, 288 S.W.3d 713 (2008).

Court rejected defendant's claim of error in the denial of defendant's motion for a directed verdict in her driving while intoxicated (DWI) case, and contrary to defendant's claim, proof of blood-alcohol content, although admissible as evidence tending to prove intoxication, was not necessary to sustain a DWI conviction, as under § 5-65-206(a)(2), a blood alcohol level of more than .04 but less than .08 did not give rise to a presumption of intoxication, but could be considered with other evidence in determining intoxication. Based on the eyewitness testimony, defendant's admission to drinking, her blood-alcohol reading, the failure of her field tests, the manner in which she drove the vehicle, and the witnesses' observations regarding her inebriated condition, the jury could have reasonably concluded that she was driving while intoxicated, as defined in § 5-65-102, and (1) the jury could have discounted testimony by defendant's son that he was driving the car, and (2) the fact that defendant was not cited for refusal to submit was of no moment because she did not refuse to submit to testing but instead deliberately delayed an officer in obtaining a successful test result by interfering with the testing. Blair v. State, 103 Ark. App. 322, 288 S.W.3d 713 (2008).

Trial court did not give the field sobriety tests predominant weight and instead relied on other factors in finding defendant guilty, including the arresting officer’s opinion that defendant was intoxicated; although defendant offered alternative explanations for the factors relied on by the trial court as evidence of his guilt, the weight of the evidence and the credibility of the witnesses were matters for the trial court. Rule v. State, 2014 Ark. App. 390, 438 S.W.3d 279 (2014).

In a driving while intoxicated case, the evidence was sufficient to support the conviction where a corporal smelled intoxicants in defendant's car, he observed an empty beer can on the floor of the vehicle, and he noticed that defendant's eyes were bloodshot and watery. Defendant refused to take a breathalyzer test, performed poorly on field tests, and admitted to drinking beer before the stop; moreover, the corporal considered defendant to be intoxicated and a danger to other drivers. Reardon v. State, 2015 Ark. App. 583, 473 S.W.3d 575 (2015).

—Police.

This section does not require law enforcement officers to actually witness an intoxicated person driving or exercising control of a vehicle. Springston v. State, 61 Ark. App. 36, 962 S.W.2d 836 (1998).

Trial court erred in admitting evidence that the defendant failed a portable breath test and in admitting the result of a breathalyzer test taken later at a police station where the statutory requirements of §§ 5-65-206 and 5-65-204(d) regarding the administration of blood alcohol tests were not followed. Daniels v. State, 84 Ark. App. 263, 139 S.W.3d 140 (2003).

—Sentencing.

During the penalty phase of defendant's trial for driving while intoxicated in violation of this section and refusal to submit to a chemical test in violation of § 5-65-205, the trial court did not err by admitting evidence of his prior convictions for refusal to submit to a chemical test; the evidence was relevant to his sentencing as either character evidence or aggravating circumstances. Williams v. State, 2009 Ark. App. 554 (2009).

Evidence Sufficient.

Defendant's convictions were supported by substantial evidence where it was shown that (1) shortly after the incident, defendant had a blood-alcohol level of .23 percent, (2) defendant was driving the car that hit two women and narrowly missed a third, (3) just before the impact, defendant was witnessed to speed up and actually swerve the vehicle toward the women's path, and (4) defendant drove away after the impact. Estacuy v. State, 94 Ark. App. 183, 228 S.W.3d 567 (2006).

Directed verdict was not appropriate because the testimony of a trooper that defendant was obviously impaired and that he had observed defendant's vehicle swerve on the highway, along with defendant's admission that he had consumed enough alcohol to register above the legal limit constituted substantial evidence sufficient to sustain defendant's conviction for third-offense driving while intoxicated. Heathman v. State, 2009 Ark. App. 601 (2009).

Sufficient evidence supported a finding defendant was intoxicated, as defined in § 5-65-102, for purposes of a charge of fourth offense driving while intoxicated in violation of subsection (a) (now (a)(1)) of this section, because defendant was in possession of four bottles of controlled substances at the time of an accident, several witnesses, including a police officer, testified about defendant's substantial impairment immediately after the accident, and defendant had a positive drug screen for a controlled substance. Henry v. State, 2011 Ark. App. 169, 378 S.W.3d 832 (2011).

A police officer credibly testified that there was a noticeable odor of alcohol in defendant' car, that defendant was so unsteady on her feet that he was afraid to conduct field-sobriety tests for fear of her falling, and that she told him that she had consumed two beers after taking medication. Therefore, the evidence was sufficient to find her guilty of driving while intoxicated under subsection (a) (now (a)(1)) of this section. Foster v. State, 2012 Ark. App. 640 (2012).

Trial court properly denied defendant's motion for a directed verdict because there was substantial evidence supporting his conviction for operating a motor vehicle with a breath-alcohol concentration of .08 or more where the jury chose to believe that the breathalyzer machine used to test defendant's blood alcohol level was reliable after hearing evidence concerning the reliability of breathalyzer machines, in general, and the reliability of the machine used to test defendant, in particular, and defendant's breathalyzer-test results were above the legal limit. Perrigen v. State, 2015 Ark. App. 42 (2015).

Sufficient evidence supported defendant's conviction of driving while intoxicated, under subdivision (a)(1) of this section, where he manifestly failed to submit to a breathalyzer test, and the officer testified that defendant emitted a strong odor of alcohol and had staggered and appeared confused as to his location and where he actually lived. Lockhart v. State, 2017 Ark. 13, 508 S.W.3d 869 (2017) (decided under the pre-2015 version of this section).

Horizontal Gaze Nystagmus Test.

Using the horizontal gaze nystagmus test to identify a precise blood alcohol content under subsection (b) (see now (a)(2)) is vastly different from testing to indicate some alcohol in the system for purposes of intoxication under subsection (a) (now (a)(1)). Whitson v. State, 314 Ark. 458, 863 S.W.2d 794 (1993).

Where the horizontal gaze nystagmus test administered by police officer was not used to quantify a precise percentage of blood alcohol content but rather to show some indication of alcohol consumption in conjunction with other field sobriety tests, the testimony regarding the results of the test was properly admitted. Whitson v. State, 314 Ark. 458, 863 S.W.2d 794 (1993).

Instructions.

Under §§ 16-89-126(c) and 5-4-103, the defendant was entitled to have a jury fix his sentence for his conviction of driving while intoxicated, and his proffered jury instruction to this effect should have been given. Tharp v. State, 294 Ark. 615, 745 S.W.2d 612 (1988).

Defendant was not prejudiced by trial court's refusal to instruct the jury to return separate verdicts for subsections (a) and (b) (see now (a)(1) and (a)(2)) since the penalty would be the same whether the act is violated by conduct described by (a) or (b); the two conditions are simply two different ways of proving a single violation. Tauber v. State, 324 Ark. 47, 919 S.W.2d 196 (1996).

Trial court did not err in rejecting a DUI defendant's proffered jury instructions because the instructions' omission of any reference to chemical testing or chemical analysis failed to take into account this section's incorporation of § 5-65-204, which describes “the chemical analysis of a person's blood, urine, or breath.” The model jury instruction represented a more accurate reflection of the law, although it did not address the 2001 amendment to this section, which had eliminated the phrase “as determined by a chemical test.” Graham v. State, 2012 Ark. App. 90, 389 S.W.3d 33 (2012).

Intoxicated.

The addition of the term “any intoxicant” to “alcohol, a controlled substance, or a combination thereof” has not made the definition vague; a person of ordinary intelligence knows that the use of a substance tending to put him or her in the condition described in present § 5-65-102 constitutes use of an “intoxicant” and that being in control of a motor vehicle shortly thereafter may violate the law. Thornton v. State, 317 Ark. 626, 883 S.W.2d 453 (1994).

Evidence held sufficient to establish that the defendant was intoxicated where (1) 2 police officers smelled alcohol on the defendant's breath, (2) the defendant admitted that he consumed alcohol, and (3) although one officer could not recall the specifics of the field sobriety tests he conducted, he indicated that he administered 3 such tests and that the defendant failed all 3. Felgate v. State, 63 Ark. App. 76, 974 S.W.2d 479 (1998).

Evidence of intoxication held sufficient where the blood alcohol level shown by a breathalyzer test was .104, notwithstanding that the officer who administered the breathalyzer test testified that the breathalyzer machine had a plus or minus factor of .01 for the external check, and notwithstanding the contention that the defendant's blood alcohol level could thus have been as low as .094, since the officer also testified that the .01 factor had nothing to do with a personal sample. Weeks v. State, 64 Ark. App. 1, 977 S.W.2d 241 (1998).

Evidence of DWI, fifth offense, held sufficient where defendant refused to submit to a breathalyzer test, failed field sobriety tests, and the officers testified that they smelled intoxicants on defendant's person. Peterson v. State, 81 Ark. App. 226, 100 S.W.3d 66 (2003).

Sufficient evidence supported defendant's conviction for driving while intoxicated (DWI) under subsection (a) (now (a)(1)) of this section where the evidence showed that: (1) defendant was driving his car erratically, causing him to leave the highway; (2) defendant was either passed out or unresponsive with his foot still on the accelerator and a tire spinning; (3) the police had to help defendant out of his car, and he was unsteady and unable to walk or stand on his own; (4) a police officer described defendant as being in a daze with slurred speech; (5) defendant's car smelled of marijuana, it contained a partially-smoked joint, and defendant told the police he had been smoking marijuana as well as ingesting large amounts of cold medicine; and (6) defendant testified at trial that he had been smoking marijuana immediately before operating his vehicle that evening. From the evidence presented, the jury could conclude with reasonable certainty that defendant's use of marijuana influenced him to such a degree that he presented a clear and substantial danger of physical injury to himself and others. Morton v. State, 2011 Ark. App. 432, 384 S.W.3d 585 (2011).

Directed verdict was properly denied as to a driving while intoxicated charge where defendant's vehicle was in a ditch as a result of a one-car accident, he failed three field sobriety tests, he had taken prescription medication, and a drug-recognition expert testified that he was affected by a central nervous system stimulant. Fiveash v. State, 2015 Ark. App. 187, 458 S.W.3d 774 (2015).

Legislative Intent.

It is evident from the history of § 27-49-102(2) that the legislature intended that the offense of DWI not be restricted to the highways of this state; the legislature has consistently intended that DWI constitutes a criminal offense whether it occurs on highways or on private property. Hill v. State, 315 Ark. 297, 868 S.W.2d 44 (1993).

Lesser-Included Offenses.

Violation of the implied consent law is not a lesser-included offense of driving while intoxicated, and the offense of driving while intoxicated is not a lesser-included offense of violation of the implied consent law. Frana v. State, 323 Ark. 1, 912 S.W.2d 930 (1996).

Driving under the influence (DUI) is not a lesser-included offense of driving while intoxicated, in that DUI requires an additional element of proof of the defendant's age and a different level of intoxication. McElhanon v. State, 329 Ark. 261, 948 S.W.2d 89 (1997), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002).

Mental State.

The Omnibus Driving While Intoxicated Act of 1983 is valid even though it does not require a culpable mental state. Price v. State, 285 Ark. 148, 685 S.W.2d 506 (1985).

Circuit court erred in ruling that the Omnibus DWI Act of 1983 is a strict liability statute that does not require proof of a culpable mens rea; a culpable mental state has to be imputed to the DWI offense through the plain language of § 5-2-203, and the offense is not subject to the statutory exception in § 5-2-204(c)(2) because the offense is included in the Criminal Code. Leeka v. State, 2015 Ark. 183, 461 S.W.3d 331 (2015) (decision under prior law).

Defendant failed to demonstrate reversible error in the trial court's denial of his motion to dismiss a driving while intoxicated (DWI) charge. The appellate court did not need to discuss whether the trial court erred in deciding that, in May 2013, DWI was a strict-liability offense because the trial court found in the alternative that defendant did have a culpable mental state, namely, that he acted recklessly. Tackett v. State, 2017 Ark. App. 271, 523 S.W.3d 360 (2017).

Although the circuit court in a bench trial incorrectly held that the applicable culpable mental state was strict liability in a DWI case that did not involve alcohol, defendant's conviction was affirmed where the circuit court made an alternative finding under the correct standard that the State had submitted proof sufficient to satisfy reckless conduct under §§ 5-2-203 and 5-2-202; the testimony of the officer, the pharmacist expert, and the defendant provided sufficient evidence to support a finding that defendant acted recklessly in taking prescribed barbiturates (for her migraine) and then operating a motor vehicle. Cordero v. State, 2019 Ark. App. 484, 588 S.W.3d 369 (2019).

Reversal of defendant's DWI conviction and remand for the circuit court to consider the evidence under the correct standard was appropriate because the circuit court incorrectly held that the applicable culpable mental state for non-alcohol-related offenses was strict liability and the court also did not make an alternative finding under the correct standard. Therefore, the appellate court could not conclude that the circuit court would have concluded that defendant acted at least recklessly under the evidence. Rowton v. State, 2020 Ark. App. 174, 598 S.W.3d 522 (2020).

Operation or Control of Vehicle.

Defendant held to be in control of vehicle. Walker v. State, 241 Ark. 396, 408 S.W.2d 474 (1966) (decision under prior law); Wiyott v. State, 284 Ark. 399, 683 S.W.2d 220 (1985); Azbill v. State, 285 Ark. 98, 685 S.W.2d 162 (1985); Altes v. State, 286 Ark. 94, 689 S.W.2d 541 (1985); Roberts v. State, 287 Ark. 451, 701 S.W.2d 112 (1985); Neble v. State, 26 Ark. App. 163, 762 S.W.2d 393 (1988).

The defendant held not to be in actual control of his vehicle. Dowell v. State, 283 Ark. 161, 671 S.W.2d 740 (1984) (decision under prior law).

There are three ways to prove operation of a motor vehicle: (1) observation by the officer; (2) evidence of intent to drive after the moment of arrest; or (3) a confession by the defendant that he was driving. Azbill v. State, 285 Ark. 98, 685 S.W.2d 162 (1985); Cook v. State, 37 Ark. App. 27, 823 S.W.2d 916 (1992).

In a prosecution for driving while intoxicated, actual control of a vehicle by the defendant may be proved by circumstantial evidence; the officer need not see the driver operating the car in order to have reasonable cause to believe he was doing so. Azbill v. State, 285 Ark. 98, 685 S.W.2d 162 (1985).

Where there was evidence that immediately after the impact, the defendant was in the driver's seat behind the steering wheel, that evidence alone constituted substantial evidence to support the finding that he was driving seconds before the time of impact. Tumbs v. State, 290 Ark. 214, 718 S.W.2d 105 (1986).

Investigatory stop of vehicle held justified. Reeves v. State, 20 Ark. App. 17, 722 S.W.2d 880 (1987).

Where defendant conceded that he was intoxicated, and the officer testified that defendant was found in the driver's position with the engine actually running, the jury could properly have concluded that he was in actual physical control of a motor vehicle. Hodge v. State, 27 Ark. App. 93, 766 S.W.2d 619 (1989).

It was error for the court to instruct the jury that it must find against defendant on the issue of control if it found that circumstances existed from which an inference of this element could be drawn. Hodge v. State, 27 Ark. App. 93, 766 S.W.2d 619 (1989).

To be guilty of DWI, it does not have to be shown that a defendant was driving the vehicle or driving the vehicle in a hazardous or negligent manner; in fact, it only requires a showing that the defendant was in actual physical control of the vehicle while intoxicated. Beasley v. State, 47 Ark. App. 92, 885 S.W.2d 906 (1994).

Where defendant's hands were on the steering wheel of a parked vehicle with the motor running and the lights on, defendant was in actual physical control of a vehicle. Wetherington v. State, 319 Ark. 37, 889 S.W.2d 34 (1994).

Evidence held sufficient to establish that defendant was in actual physical control of a motor vehicle where defendant was in the driver's side of a parked car with its engine running; the evidence was sufficient to permit the fact-finder to infer that the defendant had driven the car shortly before her arrest. Beckner v. State, 49 Ark. App. 56, 896 S.W.2d 445 (1995).

Evidence that defendant either operated or was in actual physical control of a vehicle held sufficient where defendant was discovered by police walking away from a one-vehicle accident involving his own truck for which he possessed the keys in his pocket, and there was testimony that defendant had been driving his truck not long before his encounter with the police. Springston v. State, 61 Ark. App. 36, 962 S.W.2d 836 (1998).

Defendant was in actual physical control of a vehicle where an officer found the defendant on the driver's side of the running vehicle and slumped over in the seat apparently unconscious, notwithstanding the defendant's assertion that he had a designated driver and went out to warm up the vehicle because it was cold. Diehl v. State, 63 Ark. App. 190, 975 S.W.2d 878 (1998).

A defendant was not in actual physical control of a vehicle where an officer found the defendant asleep, intoxicated, and sitting behind the steering wheel, with the driver's side window rolled down, the motor and the car lights off, and the keys to the vehicle on the dashboard. Stephenson v. City of Fort Smith, 71 Ark. App. 190, 36 S.W.3d 754 (2000).

Where evidence showed that, at the time officers encountered defendant in his vehicle, defendant had been drinking, his foot was on the brake pedal, but the keys were not in the ignition as defendant turned off the engine by use of the remote-start button, the state failed to prove that defendant was in “actual physical control” of the vehicle and his conviction for driving while intoxicated was reversed. Rogers v. State, 94 Ark. App. 47, 224 S.W.3d 564 (2006).

Court rejected defendant's claim that the trial court erred in denying defendant's motion for a directed verdict in her driving while intoxicated case; direct eyewitness testimony and circumstantial evidence proved that defendant was the driver, and given that an officer saw the brake light flash on defendant's car before she exited from the driver's side with the keys in her hand, this constituted substantial evidence to establish that defendant was the driver. Blair v. State, 103 Ark. App. 322, 288 S.W.3d 713 (2008).

While a police officer did not see defendant driving, when the officer arrived at the scene of a reckless-driver call, defendant was slumped over the steering wheel, the motor was running, and a strong odor of alcohol was coming from defendant; thus, the evidence was sufficient to find defendant guilty of driving while intoxicated under this section. Cooley v. State, 2011 Ark. App. 175 (2011).

State presented sufficient evidence that DWI defendant drove his motorcycle on the morning of the divorce proceeding, as he testified to doing so, plus a recording showed defendant admitting to an officer that he drove his motorcycle that day, and the officer testified that the motorcycle felt warm when he felt it that day. Reep v. State, 2015 Ark. App. 662, 476 S.W.3d 210 (2015).

Place of Operation.

One may be convicted of DWI while operating a vehicle on a private roadway. Sanders v. State, 312 Ark. 11, 846 S.W.2d 651 (1993).

This section contains no location or geographic element, and one cannot read it to add as an element of DWI that the accused have operated or had control of a vehicle on a public highway. Sanders v. State, 312 Ark. 11, 846 S.W.2d 651 (1993).

The offense of DWI can be committed on the parking lot of a private club. Hill v. State, 315 Ark. 297, 868 S.W.2d 44 (1993).

Portable Breath Test.

Evidence of the results of a portable breath test are not admissible as substantive evidence absent proof of their reliability; therefore, the trial court did not err in refusing to allow defendant to admit the results into evidence in a driving while intoxicated case. Elser v. State, 353 Ark. 143, 114 S.W.3d 168 (2003).

Court did not err by denying the motion to suppress; officer had reasonable suspicion that defendant was driving while intoxicated before he administered the PBT because defendant admitted he had been drinking, the officer saw defendant driving, and the officer noticed that defendant smelled of intoxicants; there was probable cause to arrest even without consideration of the PBT results because defendant told the officer that he had been drinking, his eyes were bloodshot and watery, and he smelled of intoxicants and failed two field-sobriety tests. Fisher v. State, 2013 Ark. App. 301, 427 S.W.3d 743 (2013).

Probable Cause.

Defendant's arrest was supported by probable cause that he was driving under the influence in violation of this section, based upon the odor of intoxicants and the performance on the field sobriety test, and a search incident to defendant's arrest was reasonable. In light of reports from citizen-informants, an officer reasonably approached defendant's car to investigate whether defendant was about to drive while intoxicated. Stewart v. State, 2010 Ark. App. 9, 373 S.W.3d 387 (2010).

Even if the stop started when the officer knocked on appellant's window, the officer had reasonable suspicion that appellant was endangering other officers on the street, and the officer had authority to require appellant to stop; when the odor of alcohol became apparent, the officer had reasonable suspicion to ask appellant to get out of the vehicle, and as there was probable cause to arrest him for driving while intoxicated, the trial court did not err in denying appellant's motion to suppress. Ward v. State, 2012 Ark. App. 649 (2012).

Trial court believed an officer's testimony that the encounter was no more than the officer trying to direct traffic and appellant's vehicle on a congested and dark street amidst a crime scene where officers’ safety was at issue, and while protecting the officers was a specific explanation for knocking on appellant's window, the odor of intoxicants and his appearance gave the required suspicion for an investigation into a potential driving while intoxicated offense; under Ark. R. Crim. P. 3.1 the officer then had a duty to investigate further because it is unlawful for any person who is intoxicated to operate or be in actual physical contract of a motor vehicle. Ward v. State, 2012 Ark. App. 649 (2012).

DWI defendant's motion to suppress was properly denied because probable cause existed for the traffic stop; although the video did not clearly show defendant's car crossing the center line, the police officer testified that defendant's vehicle weaved and crossed the center line a number of times. The officer's testimony, combined with the video account, established probable cause that defendant had violated § 27-51-301(a). Lockhart v. State, 2017 Ark. 13, 508 S.W.3d 869 (2017).

Prohibited Conduct.

Under subsection (b) (see now (a)(2)), intoxication is not an element of the offense; driving with a blood alcohol content of .10% or more is the prohibited act; stated differently, it is a violation per se to drive with a blood alcohol content of .10% or more. Long v. State, 284 Ark. 21, 680 S.W.2d 686 (1984).

Right to Counsel.

Because trial court had discretion in sentencing defendant to jail for first offense DWI, he was not accused or convicted of a “serious crime,” and his right to counsel did not attach at the trial level. Worthington v. State, 301 Ark. 354, 786 S.W.2d 117 (1990).

First offense DWI is not a serious crime by which failure to perfect an appeal would permit a claim of ineffective assistance of counsel to prevail, and failure of defendant's counsel to perfect his appeal is not a denial of his right to effective assistance of counsel. Worthington v. State, 301 Ark. 354, 786 S.W.2d 117 (1990).

Notwithstanding Ark. R. Crim. P. 4.5, the Court of Appeals of Arkansas held that defendant had no right to consult with counsel before taking a breathalyzer test following a traffic stop that led to his arrest and conviction for driving while intoxicated in violation of this section. Lewis v. State, 2013 Ark. App. 39 (2013).

Separate Offenses.

The two subsections of this section do not state two separate offenses that require different elements of proof; the penalty is the same whether the section is violated by conduct proscribed by either subsection, and thus the two conditions are simply two different ways of proving a single violation. Johnston v. City of Fort Smith, 15 Ark. App. 102, 690 S.W.2d 358 (1985).

If the state proceeded against defendant first on driving while intoxicated (DWI) and he were acquitted, the state would be collaterally estopped from proceeding against him in a second trial for negligent homicide; however, the same result does not apply when the two offenses are tried simultaneously. McVay v. State, 312 Ark. 73, 847 S.W.2d 28 (1993).

Defendant's manner of driving, which included speeding and driving left of center, violated city's hazardous driving ordinance, while defendant's act of driving his vehicle while being intoxicated violated this section; it is clear that these offenses are two separate offenses for the purpose of double jeopardy analysis since each statutory provision requires proof of a fact which the other does not. Beasley v. State, 47 Ark. App. 92, 885 S.W.2d 906 (1994).

Cited: State v. Brown, 283 Ark. 304, 675 S.W.2d 822 (1984); Lovell v. State, 283 Ark. 434, 681 S.W.2d 395 (1984); Southern v. State, 284 Ark. 572, 683 S.W.2d 933 (1985); Hegler v. State, 286 Ark. 215, 691 S.W.2d 129 (1985); Peters v. State, 286 Ark. 421, 692 S.W.2d 243 (1985); Van Patten v. State, 16 Ark. App. 83, 697 S.W.2d 919 (1985); Dacus v. State, 16 Ark. App. 222, 699 S.W.2d 417 (1985); Hoover v. Thompson, 787 F.2d 449 (8th Cir. 1986); Gullett v. State, 18 Ark. App. 97, 711 S.W.2d 836 (1986); Rogers v. State, 293 Ark. 414, 738 S.W.2d 412 (1987); Stephens v. State, 295 Ark. 541, 750 S.W.2d 52 (1988); See v. State, 296 Ark. 498, 757 S.W.2d 947 (1988); Blakemore v. State, 25 Ark. App. 335, 758 S.W.2d 425 (1988); Phillips v. State, 304 Ark. 656, 803 S.W.2d 926 (1991); Smith v. State, 55 Ark. App. 97, 931 S.W.2d 792 (1996); Johnson v. State, 55 Ark. App. 117, 932 S.W.2d 347 (1996); Byrd v. State, 326 Ark. 10, 929 S.W.2d 151 (1996); Wright v. State, 327 Ark. 558, 940 S.W.2d 432 (1997); State v. Aud, 351 Ark. 531, 95 S.W.3d 786 (2003); Tiller v. State, 2014 Ark. App. 431, 439 S.W.3d 705 (2014); Papageorge v. Tyson Shared Servs., 2019 Ark. App. 603, 590 S.W.3d 800 (2019).

5-65-104. Seizure, suspension, and revocation of license — Temporary permits — Ignition interlock restricted license.

    1. At the time of arrest for operating or being in actual physical control of a motorboat on the waters of this state or a motor vehicle while intoxicated or while there was an alcohol concentration of eight hundredths (0.08) or more in the person's breath or blood, as provided in § 5-65-103, the arrested person shall immediately surrender his or her driver's license, driver's permit, or other evidence of driving privilege to the arresting law enforcement officer as provided in § 5-65-402.
    2. The Office of Driver Services or its designated official shall suspend or revoke the driving privilege of an arrested person or shall suspend any nonresident driving privilege of an arrested person, as provided in § 5-65-402. The suspension or revocation shall be based on the number of previous offenses as follows:
      1. Suspension for:
          1. Six (6) months for the first offense of operating or being in actual physical control of a motorboat on the waters of this state or a motor vehicle while intoxicated or while there was an alcohol concentration of at least eight hundredths (0.08) by weight of alcohol in the person's blood or breath, § 5-65-103.
          2. If the Office of Driver Services allows the issuance of an ignition interlock restricted license under § 5-65-118, the ignition interlock restricted license shall be available immediately.
          3. The restricted driving permit under § 5-65-120 is not allowed for a suspension under this subdivision (a)(2)(A)(i); and
          1. Suspension for six (6) months for the first offense of operating or being in actual physical control of a motorboat on the waters of this state or a motor vehicle while intoxicated by the ingestion of or by the use of a controlled substance.
          2. The ignition interlock restricted license provision of § 5-65-118 does not apply to a suspension under subdivision (a)(2)(A)(ii)(a) of this section;
        1. Suspension for twenty-four (24) months for a second offense of operating or being in actual physical control of a motorboat on the waters of this state or a motor vehicle while intoxicated or while there was an alcohol concentration of eight hundredths (0.08) or more by weight of alcohol in the person's blood or breath, § 5-65-103, within five (5) years of the first offense.
        2. However, if the office allows the issuance of an ignition interlock restricted license under § 5-65-118, the restricted license is available immediately.
        3. The ignition interlock restricted license provision of § 5-65-118 does not apply to the suspension under subdivisions (a)(2)(B)(i) and (ii) of this section if the person is arrested for an offense of operating or being in actual physical control of a motor vehicle or motorboat while intoxicated by the ingestion of or by the use of a controlled substance;
        1. Suspension for thirty (30) months for the third offense of operating or being in actual physical control of a motorboat on the waters of this state or a motor vehicle while intoxicated or while there was an alcohol concentration of eight hundredths (0.08) or more by weight of alcohol in the person's blood or breath, § 5-65-103, within five (5) years of the first offense.
        2. However, if the office allows the issuance of an ignition interlock restricted license under § 5-65-118, the restricted license is available immediately.
        3. The ignition interlock restricted license provision of § 5-65-118 does not apply to the suspension under subdivisions (a)(2)(C)(i) and (ii) if the person is arrested for an offense of operating or being in actual physical control of a motorboat on the waters of this state or a motor vehicle while intoxicated by the ingestion of or by the use of a controlled substance; and
        1. Revocation for four (4) years, during which no restricted permits may be issued, for the fourth or subsequent offense of operating or being in actual physical control of a motor vehicle or motorboat while intoxicated or while there was an alcohol concentration of eight hundredths (0.08) or more by weight of alcohol in the person's blood or breath, § 5-65-103, within five (5) years of the first offense.
        2. A person whose driver's license is revoked under this subdivision (a)(2)(D) is required to install a functioning ignition interlock device on his or her motor vehicle under § 5-65-118(a)(1)(B) if the person regains his or her driver's license.
    3. If a person is a resident who is convicted of driving without a license or permit to operate a motor vehicle or motorboat and the underlying basis for the suspension, revocation, or restriction of the license or permit was for a violation of § 5-65-103, in addition to any other penalties provided for under law, the court may restrict the offender to an ignition interlock restricted license for a period of one (1) year prior to the reinstatement or reissuance of a license or permit after the person would otherwise be eligible for reinstatement or reissuance of the person's license or permit.
    4. In order to determine the number of previous offenses to consider when suspending or revoking the arrested person's driving privilege, the office shall consider as a previous offense any of the following that occurred within the five (5) years immediately before the current offense:
      1. A conviction for an offense of operating or being in actual physical control of a motorboat on the waters of this state or a motor vehicle while intoxicated or while there was an alcohol concentration of eight hundredths (0.08) or more in the person's breath or blood, including a violation of § 5-10-105(a)(1)(A) or § 5-10-105(a)(1)(B), that occurred:
        1. In Arkansas; or
        2. In another state; or
      2. A suspension or revocation of driving privilege for an arrest for operating or being in actual physical control of a motorboat on the waters of this state or a motor vehicle while intoxicated or while there was an alcohol concentration of eight hundredths (0.08) or more in the person's breath or blood under § 5-65-103 when the person was not subsequently acquitted of the criminal charges.
      1. A person whose driving privilege is suspended or revoked under this section is required to complete an alcohol education program or an alcohol treatment program as approved by the Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services unless the charges are dismissed or the person is acquitted of the charges upon which the suspension or revocation is based.
      2. If during the period of suspension or revocation under subdivision (b)(1)(A) of this section the person commits an additional violation of § 5-65-103, he or she is also required to complete an approved alcohol education program or alcohol treatment program for each additional violation, unless:
        1. The additional charges are dismissed; or
        2. He or she is acquitted of the additional charges.
    1. A person whose driving privilege is suspended or revoked under this section shall furnish proof of:
      1. Attendance at and completion of the alcohol education program or the alcohol treatment program required under subdivision (b)(1) of this section before reinstatement of his or her suspended or revoked driving privilege; or
      2. Dismissal or acquittal of the charge on which the suspension or revocation is based.
    2. Even if a person has filed a de novo petition for review under former subsection (c) of this section, the person is entitled to reinstatement of driving privileges upon complying with this subsection and is not required to postpone reinstatement until the disposition of the de novo review in circuit court has occurred.

History. Acts 1983, No. 549, § 13; 1985, No. 113, § 1; 1985, No. 1064, § 1; A.S.A. 1947, § 75-2511; Acts 1989, No. 368, § 1; 1989, No. 621, § 1; 1993, No. 736, § 1; 1995, No. 802, § 1; 1997, No. 830, § 1; 1997, No. 1325, § 2; 1999, No. 1077, § 9; 1999, No. 1468, § 1; 1999, No. 1508, § 7; 2001, No. 561, §§ 3-5; No. 1501, § 1; 2003, No. 541, § 1; 2003, No. 1036, § 1; 2003, No. 1462, § 1; 2003, No. 1779, § 1; 2005, No. 1234, § 3; 2005, No. 1768, § 1; 2007, No. 712, § 1; 2007, No. 827, § 75; 2007, No. 1196, § 1; 2009, No. 359, §§ 1-3; 2009, No. 650, § 2; 2009, No. 922, § 1; 2009, No. 1293, § 1; 2013, No. 479, §§ 1, 2; 2015, No. 299, § 6; 2017, No. 913, § 18; 2017, No. 1094, § 1.

A.C.R.C. Notes. Acts 2007, No. 827, § 75 provided:

“Acts 1999, No. 1077, § 9, is repealed due to a conflict between that act and Acts 1999, No. 1468, § 1, and Acts 1999, No. 1508, § 7, in amending § 5-65-104, and which conflict under § 1-2-207 is resolved in favor of Acts 1999, Nos. 1468 and 1508.”

Publisher's Notes. Acts 1995, No. 802, § 5(a), is also codified, in part, as §§ 5-65-120(c) and 5-65-205(c).

Amendments. The 2001 amendment by No. 561 rewrote (a)(1), (a)(4), (a)(8), and (a)(9) and made minor stylistic changes.

The 2001 amendment by No. 1501 rewrote this section.

The 2003 amendment by No. 541 added (a)(9)(C) and made related changes.

The 2003 amendment by No. 1036 rewrote this section.

The 2003 amendment by No. 1462 redesignated former (h)(1) as present (b)(1) and deleted the former last three sentences.

The 2003 amendment by No. 1779 substituted “the interlock restrict license shall be available immediately” for “the suspension period for which no restricted license shall be available shall be a minimum of thirty (30) days” in present (a)(2)(A)(iii).

The 2009 amendment by No. 359, in (a)(2), inserted (a)(2)(A)(ii)(b), redesignated the remainder of (a)(2)(A)(ii) accordingly, added (a)(2)(B)(iii) and (a)(2)(C)(iii), and made related changes.

The 2009 amendment by No. 650 inserted “including a violation of § 5-10-105(a)(1)(A) or (B)” in (a)(4)(A).

The 2009 amendment by No. 922, in (a)(2)(B)(ii), substituted “forty-five (45) days, followed by restricted driving privileges to allow driving in any and all of the following situations” for “one (1) year” and inserted (a)(2)(B)(ii)(a) through (a)(2)(B)(ii)(d); in (a)(2)(C)(ii), substituted “forty-five (45) days, followed by restricted driving privileges to allow driving in any and all of the following situations” for “one (1) year” and inserted (a)(2)(C)(ii)(a) through (a)(2)(C)(ii)(d); and made related changes.

The 2009 amendment by No. 1293 rewrote (a)(2)(A).

The 2013 amendment rewrote (a)(2)(B)(ii) and (a)(2)(C)(ii); and, in (a)(3), substituted “court” for “office” and deleted “only” preceding “an ignition”.

The 2015 amendment inserted “motorboat on the waters of this state or a” and “or motorboat” throughout the section; inserted “driver’s” preceding “license” and preceding “permit” in (a)(1); inserted the second and fourth occurrences of “or permit” in (a)(3); deleted (a)(4)(C); in (b)(1)(A), substituted “driving privilege” for “license” and “Division of Behavioral Health Services” for “Office of Alcohol and Drug Abuse Prevention”; rewrote (b)(2); and made stylistic changes.

The 2017 amendment by No. 913 substituted “Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services” for “Division of Behavioral Health Services” in (b)(1)(A).

The 2017 amendment by No. 1094 redesignated former (a)(2)(D) as (a)(2)(D)(i); and added (a)(2)(D)(ii).

Cross References. Effect of administrative revocation on motor vehicle insurance, § 27-22-106.

Administrative driver's license suspension, § 5-65-401 et seq.

Research References

U. Ark. Little Rock L.J.

Legislative Survey, Criminal Law, 8 U. Ark. Little Rock L.J. 559.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Driving While Intoxicated, 26 U. Ark. Little Rock L. Rev. 367.

Case Notes

Constitutionality.

Sections 5-65-107, 5-65-109, and this section do not violate the doctrines of prosecutorial discretion and separation of powers. Johnston v. City of Fort Smith, 15 Ark. App. 102, 690 S.W.2d 358 (1985) (decision prior to 1989 amendment).

This section does not violate the constitutional prohibition on double jeopardy; this section does not impose multiple punishments for the same offense. Pyron v. State, 330 Ark. 88, 953 S.W.2d 874 (1997).

Administrative suspension of a license for 180 days did not rise to the level of punishment because the suspension was that of a privilege, not a right, to operate a motor vehicle; and the Double Jeopardy Clause was not violated by a subsequent conviction on criminal charges. Pyron v. State, 330 Ark. 88, 953 S.W.2d 874 (1997).

The temporary revocation of the privilege of driving for refusal to submit to a chemical analysis is rationally related to the purpose of this section, which is to protect the public from intoxicated drivers and to reduce alcohol-related accidents. Pyron v. State, 330 Ark. 88, 953 S.W.2d 874 (1997).

In General.

This section does not take the power of license suspension from the jury; rather, it only directs the court to perform certain acts in executing the sentence. Tharp v. State, 294 Ark. 615, 745 S.W.2d 612 (1988).

Construction.

Although defendant was charged with DWI second offense but convicted instead of DWI first offense, the defendant was not acquitted of the “charge” of DWI second offense; once the municipal court convicted defendant of DWI first offense, he simply had two separate convictions of violating § 5-65-103, since DWI first offense is just as much a violation of § 5-65-103 as is DWI second offense. Leathers v. Cotton, 332 Ark. 49, 961 S.W.2d 32 (1998).

Burden of Proof.

The standard for administrative license suspension is based on the civil standard of proof by a preponderance of the evidence, a lower standard than that required for a criminal conviction. Pyron v. State, 330 Ark. 88, 953 S.W.2d 874 (1997).

Jurisdiction.

The court had authority to suspend the driver's license of defendant convicted of driving while intoxicated and speeding, notwithstanding the contention that only the Department of Finance and Administration can suspend a license for driving while intoxicated, since the court still had authority, pursuant to § 27-50-306, to suspend the defendant's driver's license for moving traffic violations. Cook v. State, 333 Ark. 22, 968 S.W.2d 589 (1998).

Purpose.

The purpose for the sanctions is to prevent drunk driving, and it is clear that the legislative intent was to provide remedial civil sanctions. Pyron v. State, 330 Ark. 88, 953 S.W.2d 874 (1997).

The legislature intended to establish a remedial civil sanction for the purpose of protecting the public from intoxicated drivers and to reduce alcohol-related accidents while softening the sanctions in order to allow the person to continue to operate a vehicle for appropriate purposes. Pyron v. State, 330 Ark. 88, 953 S.W.2d 874 (1997).

Prior Convictions.

Trial court properly granted defendant's pretrial motion to suppress evidence of his three prior driving while intoxicated convictions because in those earlier proceedings he was not represented by counsel. State v. Brown, 283 Ark. 304, 675 S.W.2d 822 (1984).

The legislative intent of the Omnibus DWI Act of 1983, as stated in former § 5-65-101(b), was to enhance penalties by using convictions under the older driving while under the influence act; thus, previous convictions for driving while under the influence under the prior law of intoxicants may be used as prior offenses for enhancement purposes. Lovell v. State, 283 Ark. 425, 678 S.W.2d 318 (1984).

Where certificates of prior convictions did not reflect that the defendants were represented by counsel at prior trials, admission of the documents held to be error. Lovell v. State, 283 Ark. 425, 678 S.W.2d 318 (1984).

A prior conviction cannot be used collaterally to impose enhanced punishment, unless the misdemeanant was represented by counsel or validly waived counsel. Lovell v. State, 283 Ark. 425, 678 S.W.2d 318 (1984); Hegler v. State, 286 Ark. 215, 691 S.W.2d 129 (1985).

If the record of one of three prior driving while intoxicated convictions is silent as to representation or waiver of counsel, the conviction cannot be used as evidence that the offense charged is a second or subsequent DWI offense. Peters v. State, 286 Ark. 421, 692 S.W.2d 243 (1985).

Evidence that the defendant was assisted by counsel at the trial of his prior DWI conviction was held insufficient, and therefore, because there was not sufficient evidence of representation, the defendant's third conviction could not be used as evidence that the present conviction was his fourth. Peters v. State, 286 Ark. 421, 692 S.W.2d 243 (1985).

Two separate convictions of DWI first offense, both violations of § 5-65-103, should be counted as two “previous offenses.” Leathers v. Cotton, 332 Ark. 49, 961 S.W.2d 32 (1998).

Sentence.

The sentencing provisions of the Omnibus DWI Act of 1983 are mandatory; where imprisonment is required, such a sentence cannot be reduced or suspended by the judge. Lovell v. State, 283 Ark. 434, 681 S.W.2d 395 (1984).

The legislature enacted § 5-65-120 to allow those with no alternate means of commuting to and from work to apply for a restricted driving permit; this section rebuts any argument concerning the punitive effect of the sanction upon a person whose license has been suspended, as a result of which his ability to maintain his means of livelihood is impaired. Pyron v. State, 330 Ark. 88, 953 S.W.2d 874 (1997).

Second-offense sanctions could be imposed on defendant with two convictions for DWI first offense. Leathers v. Cotton, 332 Ark. 49, 961 S.W.2d 32 (1998).

Temporary Permit.

This section clearly provides for a temporary permit to be issued upon arrest, which remains valid until the trial, but, after a guilty plea or conviction of a first offender, the temporary permit does not continue indefinitely until the first offender receives notice of the right to apply for a restricted license. Liggett v. State, 309 Ark. 608, 832 S.W.2d 813 (1992).

Cited: Rawlings v. State, 284 Ark. 446, 683 S.W.2d 223 (1985); Urich v. State, 293 Ark. 246, 737 S.W.2d 155 (1987); Phillips v. State, 304 Ark. 656, 803 S.W.2d 926 (1991); Gorman v. State, 366 Ark. 82, 233 S.W.3d 622 (2006).

5-65-105. Operation of motor vehicle during period of license suspension or revocation.

A person whose driving privilege has been suspended or revoked under this subchapter who operates a motor vehicle in this state during the period of the suspension or revocation upon conviction is guilty of an unclassified misdemeanor and:

  1. Shall be imprisoned for not less than ten (10) days or more than ninety (90) days; and
  2. May be assessed a fine of not more than one thousand dollars ($1,000).

History. Acts 1983, No. 549, § 14; A.S.A. 1947, § 75-2512; Acts 2001, No. 1715, § 1; 2015, No. 299, § 6; 2015, No. 1035, § 1.

A.C.R.C. Notes. Pursuant to § 1-2-207, the amendments to this section by Acts 2015, No. 299, § 6, are partially superseded by the amendments to this section by Acts 2015, No. 1035, § 1. Acts 2015, No. 299, § 6, changed the word “act” to “chapter”.

Amendments. The 2001 amendment added “may be assessed … one thousand dollars ($1,000)” and made minor stylistic changes.

The 2015 amendment by No. 299 inserted the (1) and (2) designations; and in the introductory language, substituted “A person” for “Any person”, “driving privilege” for “privilege to operate a motor vehicle”, and “this chapter” for “a provision of this act” and added “upon conviction is guilty of an unclassified misdemeanor and”.

The 2015 amendment by No. 1035 substituted “A person” for “any person”, substituted “this subchapter” for “a provision of this act”, inserted “upon conviction is guilty of an unclassified misdemeanor and”, and substituted “not less than ten (10) days or more than ninety (90) days” for “ten (10) days”.

Case Notes

Evidence.

Trial court did not err in denying defendant's motion to suppress the statement he made to an officer who stopped him admitting that he knew his license was suspended; no Miranda warning was needed because, at the time of the statement, defendant sat in his car on the side of the road, he was never arrested, and after the officer gave him the traffic citation he was free to go. Gorman v. State, 366 Ark. 82, 233 S.W.3d 622 (2006).

Evidence was sufficient for a conviction of driving with a suspended license where defendant admitted to the police officer who had stopped him that he knew his license was suspended and the state produced a certified driving record at trial indicating that defendant's license was suspended for a DWI that had occurred in December 2002. Gorman v. State, 366 Ark. 82, 233 S.W.3d 622 (2006).

Defendant's convictions were supported by substantial evidence where it was shown that (1) shortly after the incident, defendant had a blood-alcohol level of .23 percent, (2) defendant was driving the car that hit two women and narrowly missed a third, (3) just before the impact, defendant was witnessed to speed up and actually swerve the vehicle toward the women's path, and (4) defendant drove away after the impact. Estacuy v. State, 94 Ark. App. 183, 228 S.W.3d 567 (2006).

Evidence was substantial to support a conviction for driving on a suspended license under this section because defendant was not following the restrictions given on his restricted driving permit. The Arkansas Office of Driver Services had issued a restricted permit for defendant to drive from his home in Fayetteville to school, drug-and-alcohol education classes, and for medical emergencies. Fiveash v. State, 2015 Ark. App. 187, 458 S.W.3d 774 (2015).

Circuit court properly denied defendant's motion to suppress evidence obtained during a traffic stop where the officer had verified defendant's license was suspended one day prior to the stop at issue, and thus, the officer had probable cause to believe that defendant was driving on a suspended license at the time of the stop at issue. Prickett v. State, 2016 Ark. App. 551, 506 S.W.3d 870 (2016).

Circuit court's denial of appellant's motion to suppress evidence seized during a traffic stop was affirmed where the deputy testified that he knew from a prior traffic stop that appellant's license had been suspended, and thus, pursuant to Ark. R. Crim. P. 4.1(a)(iii), he had reasonable cause to believe that appellant was violating this section. Williams v. State, 2017 Ark. App. 291, 524 S.W.3d 13 (2017).

Sentencing.

The sentencing provisions of the Omnibus DWI Act of 1983 are mandatory; where imprisonment is required, such a sentence cannot be reduced or suspended by the judge. Lovell v. State, 283 Ark. 434, 681 S.W.2d 395 (1984).

Cited: Liggett v. State, 309 Ark. 608, 832 S.W.2d 813 (1992); Brown v. State, 38 Ark. App. 18, 827 S.W.2d 174 (1992); Payne v. State, 327 Ark. 25, 937 S.W.2d 160 (1997).

5-65-106. Impoundment of license plate.

  1. When a law enforcement officer arrests a person for operating a motor vehicle while that person's driving privilege has been suspended or revoked under the laws of any state due to the person's having previously been found guilty or having pleaded guilty or nolo contendere to violating § 5-65-103 and if the motor vehicle operated by the person is owned in whole or part by the person, the motor vehicle license plate shall be impounded by the law enforcement officer for no less than ninety (90) days.
  2. If the court determines it is in the best interest of the dependents of the person, the court shall instruct the Secretary of the Department of Finance and Administration to issue a temporary substitute motor vehicle license plate for the motor vehicle, and the temporary substitute motor vehicle license plate shall indicate that the original motor vehicle license plate has been impounded.

History. Acts 1983, No. 549, § 15; A.S.A. 1947, § 75-2513; Acts 2015, No. 299, § 6; 2019, No. 910, § 3359.

Amendments. The 2015 amendment, in (a), substituted “a” for “any” preceding “law enforcement officer”, “driving privilege” for “operator’s license or permit”, and “person’s” for “person” preceding “having”; and rewrote (b).

The 2019 amendment substituted “Secretary” for “Director” in (b).

5-65-107. Persons arrested to be tried on charges — No charges reduced — Filing citations.

  1. A person arrested for violating § 5-65-103 shall be tried on the charge of violating § 5-65-103 or plead to the charge of violating § 5-65-103, and the charge of violating § 5-65-103 shall not be reduced or dismissed.
  2. Furthermore, when a law enforcement officer issues a citation for violating § 5-65-103, the citation shall be filed with the court as soon as possible.

History. Acts 1983, No. 549, § 8; A.S.A. 1947, § 75-2508; Acts 2015, No. 299, § 6.

Amendments. The 2015 amendment rewrote (a).

Case Notes

Constitutionality.

That part of the Omnibus DWI Act which takes away from the prosecuting attorney and the court the right to reduce a charge and accept plea bargains and places that power within the hands of the policeman who files the charge is not unconstitutional. Sparrow v. State, 284 Ark. 396, 683 S.W.2d 218 (1985).

The doctrine of prosecutorial discretion and separation of powers are not violated by this section. Southern v. State, 284 Ark. 572, 683 S.W.2d 933 (1985).

This section and §§ 5-65-104 and 5-65-108 do not violate the doctrines of prosecutorial discretion and separation of powers. Johnston v. City of Fort Smith, 15 Ark. App. 102, 690 S.W.2d 358 (1985).

It is not unconstitutional for this section to authorize a police officer, rather than the prosecuting attorney or grand jury, to file the misdemeanor charge. Bigham v. State, 23 Ark. App. 108, 743 S.W.2d 405 (1988).

Altering Charges.

Municipal court erred and prejudiced defendant charged with driving while intoxicated (DWI) when it changed the charge to driving under the influence (DUI) on its own motion, because DUI is not a lesser-included offense of DWI and altering the charge violated this section; and the circuit court erred in trying and convicting defendant of DUI following his appeal from the municipal court, a judgment it was not authorized to render under § 16-19-1105. McElhanon v. State, 329 Ark. 261, 948 S.W.2d 89 (1997), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002).

Citation.

Where citation issued by police officer was sufficient to charge defendant with the violation, a subsequent attempt by the city attorney to duplicate that charge could not destroy the citation's effectiveness. Bigham v. State, 23 Ark. App. 108, 743 S.W.2d 405 (1988).

Reduction of Offense.

The no-reduction language of this section applies to the reduction of the offense, such as to reckless driving, not to the number of offenses. State v. Brown, 283 Ark. 304, 675 S.W.2d 822 (1984).

Cited: Brewer v. State, 286 Ark. 1, 688 S.W.2d 736 (1985); Pipes v. State, 22 Ark. App. 235, 738 S.W.2d 423 (1987); Pyle v. State, 340 Ark. 53, 8 S.W.3d 491 (2000).

5-65-108. No probation prior to adjudication of guilt.

  1. A circuit court judge or district court judge may not utilize the first-time offender probation provisions under § 16-93-301 et seq. when the defendant is charged with violating § 5-65-103.
  2. Notwithstanding the provisions of § 5-4-301, § 5-4-322, or subsection (a) of this section, a circuit court judge or district court judge may:
    1. Utilize probationary supervision, in addition to the mandatory penalties required for a violation of § 5-65-103, solely for the purpose of monitoring compliance with his or her orders; and
    2. Require an offender to pay a reasonable fee in an amount to be established by the circuit court judge or district court judge.

History. Acts 1983, No. 549, § 9; A.S.A. 1947, § 75-2509; Acts 2005, No. 1768, § 2; 2007, No. 827, § 76; 2015, No. 299, § 6.

Amendments. The 2015 amendment rewrote the section.

Case Notes

Constitutionality.

This section, §§ 5-65-104 and 5-65-107 do not violate the doctrines of prosecutorial discretion and separation of powers. Johnston v. City of Fort Smith, 15 Ark. App. 102, 690 S.W.2d 358 (1985).

Mandatory Sentencing.

The trial court was without authority to suspend the sentence of a defendant convicted of driving while intoxicated or put him on probation so he would not have to attend an alcohol treatment or education program. Harris v. State, 285 Ark. 345, 686 S.W.2d 440 (1985).

Cited: Lovell v. State, 283 Ark. 434, 681 S.W.2d 395 (1984).

5-65-109. Presentencing report.

  1. The court shall immediately request and the Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services or its designee shall provide a presentence screening and assessment report of the defendant who pleads guilty or nolo contendere or is found guilty of violating § 5-65-103 or § 5-65-303.
    1. The presentence screening and assessment report shall be provided within thirty (30) days of the request.
      1. If the defendant's sentencing is delayed by the defendant after he or she pleads guilty or nolo contendere, or if he or she is found guilty, the clerk of the court shall notify the defendant by first-class mail sent to the defendant's last known address that he or she has fifteen (15) days to appear and show cause for failing to appear for sentencing.
      2. The court may proceed with sentencing even in the absence of the defendant after the expiration of the fifteen (15) days under subdivision (b)(2)(A) of this section.
  2. The presentence screening and assessment report shall include without limitation:
    1. The defendant's driving record;
    2. An alcohol problem assessment; and
    3. A victim impact statement, if applicable.

History. Acts 1983, No. 549, § 6; A.S.A. 1947, § 75-2506; Acts 1991, No. 899, § 1; 1999, No. 1077, § 10; 2003, No. 129, § 1; 2007, No. 251, § 1; 2007, No. 827, § 77; 2013, No. 1107, § 3; 2015, No. 299, § 6; 2017, No. 913, § 19; 2019, No. 321, § 1.

Amendments. The 2003 amendment, in (a), inserted “violating § 5-65-103” following “nolo contendere to” and made stylistic changes; redesignated former (b) as present (b)(1); added present (b)(2); and substituted “defendant's” for “offender's” in (c).

The 2013 amendment substituted “Division of Behavioral Health Services” for “Office of Alcohol and Drug Abuse Prevention” in (a).

The 2015 amendment rewrote the section.

The 2017 amendment substituted “Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services” for “Division of Behavioral Health Services” in (a).

The 2019 amendment deleted “and the court shall not pronounce sentence until the court receives the presentence screening and assessment report” following “request” in (b)(1).

Case Notes

Preservation for Review.

Waiting to raise the lack of a presentence report for the first time in a posttrial motion does not preserve the issue for appellate review. Lockhart v. State, 2017 Ark. 13, 508 S.W.3d 869 (2017).

Self-Incrimination.

This section does not require a defendant to take any action whatever in response to the state's proof or to the presentence report; so there is no compulsory self-incrimination. Janes v. State, 285 Ark. 279, 686 S.W.2d 783 (1985); Johnston v. City of Fort Smith, 15 Ark. App. 102, 690 S.W.2d 358 (1985).

The presentence screening and assessment report on the defendant required by this section do not violate his right against compulsory self-incrimination. Johnston v. City of Fort Smith, 15 Ark. App. 102, 690 S.W.2d 358 (1985).

The mere possibility that defendant may be asked questions, the answers to which may have the effect of causing the trial court to sentence more harshly than it otherwise might, did not excuse defendant's violation of the trial court's order that he report to the agency charged with the responsibility of conducting an evaluation. Watson v. City of Fayetteville, 322 Ark. 324, 909 S.W.2d 637 (1995).

Sentencing.

The requirement that the jury fix the sentence does not render the presentence report requirement of this section meaningless; there are situations when the report still will be of value, as when the court fixes the sentence under one of the exceptions of § 5-4-103(b). Tharp v. State, 294 Ark. 615, 745 S.W.2d 612 (1988).

Subsection (b) does not require that sentencing be delayed 30 days after a finding of guilt. Lowe v. State, 300 Ark. 106, 776 S.W.2d 822 (1989).

The trial court committed reversible error in imposing sentence in the absence of a presentence report where (1) the defendant was convicted of driving while intoxicated, (2) after the jury deadlocked in the sentencing phase, the trial court assumed the sentencing function, and (3) the defendant was given the maximum sentence of a year in jail, a $ 1,000 fine, and suspension of his driver's license for 120 days. Donald v. State, 73 Ark. App. 79, 42 S.W.3d 563 (2001).

Cited: Lovell v. State, 283 Ark. 434, 681 S.W.2d 395 (1984); Rawlings v. State, 284 Ark. 446, 683 S.W.2d 223 (1985); Price v. State, 285 Ark. 148, 685 S.W.2d 506 (1985); Hogan v. State, 289 Ark. 402, 712 S.W.2d 295 (1986); Bocksnick v. City of London, 308 Ark. 599, 825 S.W.2d 267 (1992).

5-65-110. Record of violations and court actions — Abstract.

  1. A court shall:
    1. Keep or cause to be kept a record of any violation of this chapter presented to that court; and
    2. Keep a record of any official action by that court in reference to the violation including without limitation:
      1. A record of every finding of guilt;
      2. A record of every plea of guilty or nolo contendere;
      3. A judgment of acquittal; and
      4. The amount of fine and jail sentence.
    1. The court or clerk of the court shall prepare and immediately forward to the Office of Driver Services an abstract of the court record pertaining to the case in which the person was found guilty or pleaded guilty or nolo contendere.
    2. The abstract shall be:
      1. Prepared within five (5) business days after the defendant was found guilty or pleaded guilty or nolo contendere and then sentenced;
      2. Certified by the person required to prepare it to be true and correct; and
      3. Made upon a form furnished by the office and shall include:
        1. The name and address of the person charged;
        2. The number, if any, of the operator's or chauffeur's license of the person charged;
        3. The registration number of the vehicle or motorboat involved;
        4. The date of the hearing;
        5. The defendant's plea;
        6. The judgment; and
        7. The amount of the fine and jail sentence.

History. Acts 1983, No. 549, § 10; A.S.A. 1947, § 75-2510; Acts 2015, No. 299, § 6.

Amendments. The 2015 amendment rewrote the section.

Case Notes

Admissibility.

Where the first two documents of an exhibit were certified by the Deputy Clerk of the Municipal Court and filed with the Department of Finance and Administration as required by subsection (b) of this section, and the documents were duly certified as true and correct copies of the records of the Office of Driver Control by the Manager of the Driver Control Section, the exhibit was admissible as a self-authenticating document pursuant to Evid. Rule 902(4). Price v. State, 48 Ark. App. 37, 889 S.W.2d 40 (1994).

Cited: Lovell v. State, 283 Ark. 434, 681 S.W.2d 395 (1984); Clay v. State, 2019 Ark. App. 356, 584 S.W.3d 270 (2019).

5-65-111. Sentencing — Periods of incarceration — Exception.

    1. A person who pleads guilty or nolo contendere to or is found guilty of violating § 5-65-103, for a first offense, is upon conviction guilty of an unclassified misdemeanor and may be imprisoned for not less than:
      1. Twenty-four (24) hours but no more than one (1) year; or
      2. Seven (7) days but no more than one (1) year if a passenger under sixteen (16) years of age was in the motor vehicle or motorboat at the time of the offense.
    2. The court may order public service instead of imprisonment and, if the court orders public service, the court shall include the reasons for the order of public service instead of imprisonment in the court's written order or judgment.
    1. A person who pleads guilty or nolo contendere to or is found guilty of violating § 5-65-103 for a second offense occurring within five (5) years of the first offense is upon conviction guilty of an unclassified misdemeanor and may be imprisoned for not less than:
      1. Seven (7) days but no more than one (1) year; or
      2. Thirty (30) days but no more than one (1) year if a passenger under sixteen (16) years of age was in the motor vehicle or motorboat at the time of the offense.
    2. The court may order public service instead of imprisonment in the following manner, and if the court orders public service, the court shall include the reasons for the order of public service instead of imprisonment in its written order or judgment:
      1. Not less than thirty (30) days; or
      2. Not less than sixty (60) days if a passenger under sixteen (16) years of age was in the motor vehicle or motorboat at the time of the offense.
    1. A person who pleads guilty or nolo contendere to or is found guilty of violating § 5-65-103 for a third offense occurring within five (5) years of the first offense is upon conviction guilty of an unclassified misdemeanor and may be imprisoned for not less than:
      1. Ninety (90) days but no more than one (1) year; or
      2. One hundred twenty (120) days but no more than one (1) year if a passenger under sixteen (16) years of age was in the motor vehicle or motorboat at the time of the offense.
    2. The court may order public service instead of imprisonment in the following manner, and if the court orders public service, the court shall include the reasons for the order of public service instead of imprisonment in its written order or judgment:
      1. Not less than ninety (90) days; or
      2. Not less than one hundred twenty (120) days if a passenger under sixteen (16) years of age was in the motor vehicle or motorboat at the time of the offense.
  1. A person who pleads guilty or nolo contendere to or is found guilty of violating § 5-65-103 for a fourth offense occurring within five (5) years of the first offense is upon conviction guilty of an unclassified felony and may be imprisoned for not less than:
    1. One (1) year but no more than six (6) years; or
    2. Two (2) years but no more than six (6) years if a passenger under sixteen (16) years of age was in the motor vehicle or motorboat at the time of the offense.
  2. A person who pleads guilty or nolo contendere to or is found guilty of violating § 5-65-103 for a fifth or subsequent offense occurring within five (5) years of the first offense is upon conviction guilty of an unclassified felony and may be imprisoned for no fewer than:
    1. Two (2) years but no more than ten (10) years; or
    2. Three (3) years but no more than ten (10) years if a passenger under sixteen (16) years of age was in the motor vehicle or motorboat at the time of the offense.
  3. A person who pleads guilty or nolo contendere to or is found guilty of violating § 5-65-103 for a sixth or subsequent offense occurring within ten (10) years of the first offense is upon conviction guilty of a Class B felony.
  4. A certified judgment of conviction of driving or boating while intoxicated or other equivalent offense from another state or jurisdiction may be used to enhance the penalties as a previous offense under this section.
  5. For any arrest or offense occurring before July 22, 2015, but that has not reached a final disposition as to judgment in court, the offense shall be decided under the law in effect at the time the offense occurred, and the defendant is subject to the penalty provisions in effect at that time and not under the provisions of this section.
    1. It is an affirmative defense to prosecution under subdivisions (a)(1)(B), (b)(1)(B), (c)(1)(B), (d)(2), and (e)(2) of this section that the person operating or in actual physical control of the motor vehicle or motorboat was not more than two (2) years older than the passenger.

(j)(1) A prior conviction for § 5-10-105(a)(1)(A) or § 5-10-105(a)(1)(B) is considered a previous offense for purposes of this section.

(2) A prior conviction under former § 5-76-102 is considered a previous offense for purposes of this section only if the current offense is operating a motorboat on the waters of this state while intoxicated.

History. Acts 1983, No. 549, § 4; A.S.A. 1947, § 75-2504; Acts 1997, No. 1236, § 1; 1999, No. 1077, § 11; 2001, No. 1206, § 1; 2003, No. 1461, §§ 1, 2; 2009, No. 650, § 3; 2013, No. 1268, § 1; 2015, No. 299, § 6; 2017, No. 333, § 4; 2017, No. 1032, § 1.

Amendments. The 2001 amendment substituted “but no more than” for “and no more than” in (b)(1) and (b)(2); deleted “or subsequent” preceding “offense occurring” in (b)(3); and added (b)(4) and made related changes.

The 2003 amendment added (a)(2), (b)(1)(B), (b)(2)(B), (b)(3)(B), (b)(4)(A)(ii), (b)(4)(B) and (d); added “service and shall be guilty of a felony,” at the end of (a)(4)(A)(i); and made stylistic and related changes.

The 2009 amendment added (e).

The 2013 amendment in (4)(A)(i) substituted “Except as provided in § 5-65-122, for” for “For” and substituted “an unclassified” for “a” preceding “felony”.

The 2015 amendment rewrote the section.

The 2017 amendment by No. 333 redesignated former (a)(1)(A) as the present introductory language of (a)(1) and (a)(1)(A); deleted former (a)(1)(B); rewrote former (a)(2)(A) and redesignated it as present (a)(1)(B); and redesignated former (a)(2)(B) as (a)(2).

The 2017 amendment by No. 1032 deleted former (d)(2), (e)(2) and (f)(2); and redesignated former (d)(1), (e)(1) and (f)(1) as present (d), (e), and (f).

Research References

Ark. L. Rev.

Notes, Shockley v. State: The Constitutionality of the Arkansas Habitual Offender Determination Procedure, 39 Ark. L. Rev. 553.

U. Ark. Little Rock L.J.

Survey — Criminal Law, 11 U. Ark. Little Rock L.J. 175.

Seventeenth Annual Survey of Arkansas Law — Criminal Law, 17 U. Ark. Little Rock L.J. 448.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Driving While Intoxicated, 26 U. Ark. Little Rock L. Rev. 367.

Case Notes

Constitutionality.

The application of this section to the defendant did not violate the prohibition against ex post facto laws, notwithstanding that the pre-1999 version of the statute only allowed the state to rely on prior DWI convictions from the last three, rather than five, years; the application of this section did not improperly allow the state to consider prior convictions that were more than three years old, as the defendant had notice, by the amendment of the statute, that any future offense would subject him to increased penalties based on convictions in the previous five years. Berry v. State, 74 Ark. App. 141, 45 S.W.3d 435 (2001).

Defendant's conviction under former § 5-65-122 (see now this section), enhancing the sentence for a sixth offense of driving while intoxicated, did not violate the ex post facto clauses of the United States Constitution and the Arkansas Constitution, even though the prior convictions occurred before passage of the statute, because the crime with which defendant was charged occurred after former § 5-65-122 was enacted. Defendant's remaining claims were not preserved for appellate review. Laymon v. State, 2015 Ark. 485, 478 S.W.3d 203 (2015).

Construction.

The language of this section is unambiguous: the element of fourth-offense DWI is based on the number of prior offenses, not how they were designated. Johnson v. State, 55 Ark. App. 117, 932 S.W.2d 347 (1996).

Applicability of Other Provisions.

Section 5-4-502 is inapplicable to the Omnibus DWI Act because it applies only to the determination of habitual offender status pursuant to § 5-4-501; that statute provides extended terms of imprisonment for those who have committed more than one but less than four felonies. Peters v. State, 286 Ark. 421, 692 S.W.2d 243 (1985).

Defendant's sentence was not authorized under this section because the trial court should not have used the habitual offender statute, § 5-4-501, in conjunction with the DWI sentencing enhancement provision; therefore, his sentence was properly modified from 15 to 10 years' imprisonment. Peterson v. State, 81 Ark. App. 226, 100 S.W.3d 66 (2003).

Arrest.

A private person cannot make an arrest for second offense driving while intoxicated. Perry v. State, 303 Ark. 100, 794 S.W.2d 141 (1990).

Assistance of Counsel.

If the record is silent as to representation of the defendant or waiver of the right to counsel, the conviction cannot be used as evidence that the offense charged is the fourth driving while intoxicated offense, and thus a felony under this section. Miller v. State, 19 Ark. App. 36, 715 S.W.2d 885 (1986).

Where the state introduced into evidence duly certified copies of documents purporting to evidence three prior convictions for the offense of driving while intoxicated and two of the documents contained the entry “Trial Docket,” and immediately beneath appeared the name of an attorney, and clerk of the court in which the convictions were obtained testified as to the manner in which such docket entries were made and that appearance of attorney's name meant that he had represented defendant and that, had defendant not been represented by an attorney, the word “none” would have appeared on the docket where attorney's name was shown, record entry was not too ambiguous to establish representation by counsel. Rodgers v. State, 31 Ark. App. 159, 790 S.W.2d 911 (1990).

Certified copies of court dockets introduced to prove defendant's prior convictions of DWI, on which there was a column designated “Atty:” and immediately after this designation on the first docket sheet appeared names, under Tims v. State, 26 Ark. App. 102, 770 S.W.2d 211, supplemental op., reh'g denied, 26 Ark. App. 106-A, 770 S.W.2d 211 (1989), because the entries could mean that the attorneys were either defense counsel or the prosecutor, in the absence of further evidence, the record was too ambiguous to determine whether defendant was represented or had validly waived counsel; therefore, defendant's conviction was reversed. Neville v. State, 41 Ark. App. 65, 848 S.W.2d 947 (1993).

Bifurcation of Trial.

A trial for driving while intoxicated as a fourth offense should be bifurcated. The jury must first hear evidence of guilt or innocence; if the defendant is found guilty of the instance of DWI alleged, the jury will then hear evidence of previous convictions. The trial judge will still determine whether the accused was represented by, or entered a valid waiver of, counsel in the previous convictions alleged and will exclude evidence of any conviction not meeting the counsel requirement. Peters v. State, 286 Ark. 421, 692 S.W.2d 243 (1985).

First Offense.

Driving While Intoxicated (DWI), First Offense is a lesser included offense of DWI, Second Offense. Hagar v. City of Fort Smith, 317 Ark. 209, 877 S.W.2d 908 (1994).

Indictment or Information.

Information alleging that defendant had three prior DWI “arrests” rather than three prior DWI “convictions” held sufficient where evidence showed that defendant did in fact have three DWI convictions. Johnson v. State, 55 Ark. App. 117, 932 S.W.2d 347 (1996).

Prior Convictions.

Trial court properly granted defendant's pretrial motion to suppress evidence of his prior driving while intoxicated convictions, because in those earlier proceedings he was not represented by counsel. State v. Brown, 283 Ark. 304, 675 S.W.2d 822 (1984).

The legislative intent of the Omnibus DWI Act of 1983, as formerly stated in § 5-65-101, was to enhance penalties by using convictions under the prior driving while under the influence act; thus, previous convictions for driving while under the influence of intoxicants under the prior law may be used as prior offenses for enhancement purposes. Lovell v. State, 283 Ark. 425, 678 S.W.2d 318 (1984).

A prior conviction cannot be used collaterally to impose enhanced punishment, unless the misdemeanant was represented by counsel or validly waived counsel. Lovell v. State, 283 Ark. 425, 678 S.W.2d 318 (1984); Southern v. State, 284 Ark. 572, 683 S.W.2d 933 (1985); Hegler v. State, 286 Ark. 215, 691 S.W.2d 129 (1985).

Where documents did not reflect that the defendants were represented by counsel at their prior trials, admission of the documents held to be error. Lovell v. State, 283 Ark. 425, 678 S.W.2d 318 (1984).

The state is barred from using prior uncounseled misdemeanor convictions for driving while intoxicated to enhance punishment for a subsequent offense. Steele v. State, 284 Ark. 340, 681 S.W.2d 354 (1984). But see Davis v. State, 330 Ark. 76, 953 S.W.2d 559 (1997).

Evidence held insufficient to meet minimum standards of proof of prior convictions for driving while intoxicated. Steele v. State, 284 Ark. 340, 681 S.W.2d 354 (1984).

If a defendant did not have counsel and did not waive counsel when he was first convicted, that conviction cannot be used for enhancement, and if it is so used the error can be corrected on appeal. Janes v. State, 285 Ark. 279, 686 S.W.2d 783 (1985).

If the record of prior driving while intoxicated conviction is silent as to representation or waiver of counsel, the conviction cannot be used as evidence that the offense charged is the fourth DWI offense and thus a felony under this section. Peters v. State, 286 Ark. 421, 692 S.W.2d 243 (1985).

The existence of three prior convictions constitutes an element of DWI, fourth offense, and thus the trial court deprived the defendant of his right to have the jury determine a material element of the offense charged where after the jury returned a guilty verdict, the judge heard evidence in chambers to determine the number of prior convictions, and then instructed the jury that the range of sentences should be based on three prior convictions. Peters v. State, 286 Ark. 421, 692 S.W.2d 243 (1985).

Evidence that the defendant was assisted by counsel at the trial of previous DWI conviction held insufficient. Peters v. State, 286 Ark. 421, 692 S.W.2d 243 (1985).

Where the municipal judge, in his own handwriting, noted that the defendant's rights had been explained and waived in a previous prosecution for driving while intoxicated, the trial court properly considered the prior conviction in setting sentence. Miller v. State, 19 Ark. App. 36, 715 S.W.2d 885 (1986).

The General Assembly did not intend to allow a defense attorney to reduce an enhanced penalty for third offense driving while intoxicated to a second offense merely by obtaining continuances so that the last conviction would fall outside the three-year period; similarly, it did not intend that delay due to court congestion might reduce the degree and penalty. Accordingly, the dates the defendant's prior offenses were committed are the determinative dates for determining the applicability of enhanced punishment. Rogers v. State, 293 Ark. 414, 738 S.W.2d 412 (1987).

Where state did not show that all three of the defendant's prior violations occurred within three years of the first violation; but instead, only showed that all three convictions occurred within three years, the case was reversed and remanded. Rogers v. State, 293 Ark. 414, 738 S.W.2d 412 (1987).

Where the record showed that the defendant waived the right to counsel at the time he pleaded guilty to the DWI charge in the municipal court, the record did not have to also show that the judge advised defendant as to the consequences of a subsequent conviction for the same charge before the conviction could be introduced into evidence in the subsequent case. And although the conviction was marked “D.W.I. 2nd Offense,” that was not significant where it was, in fact, the defendant's third DWI conviction within three years and defendant knew how many times he had been convicted of that offense. Dickerson v. State, 24 Ark. App. 36, 747 S.W.2d 122 (1988).

The offense of driving while intoxicated is less than a felony, unless one is found guilty of a fourth or subsequent offense occurring within three years of the first one. Credit v. State, 25 Ark. App. 309, 758 S.W.2d 10 (1988).

The fact of prior convictions is an element of the crime of driving while intoxicated, fourth offense, and is to be determined by the jury. Hodge v. State, 27 Ark. App. 93, 766 S.W.2d 619 (1989).

In the context of a driving while intoxicated (DWI) conviction, the judgment of the district court stands until overturned by a superior court and is a valid DWI offense to be used under subdivision (b)(3) of this section; thus, defendant's judgment of DWI in the district court could be counted as one of four DWI convictions in support of enhanced penalties for multiple DWI offenses. Swint v. State, 356 Ark. 361, 152 S.W.3d 226 (2004).

In defendant's bench trial for felony fourth offense driving while intoxicated (DWI), a trial court did not abuse its discretion in allowing the state to reopen its case for the purpose of introducing the omitted proof of defendant's prior DWI convictions because defendant's motion for a directed verdict came at the conclusion of her case, not at the conclusion of the state's evidence and defendant was neither surprised nor disadvantaged by the trial court's use of a bifurcated procedure. Henry v. State, 2011 Ark. App. 169, 378 S.W.3d 832 (2011).

Overruling defendant's objection to certified copies of the docket sheets showing three prior misdemeanor DWI convictions under Ark. R. Evid. 803(22) was an abuse of discretion as the convictions were not punishable by more than one year in prison. Clay v. State, 2019 Ark. App. 356, 584 S.W.3d 270 (2019).

Circuit court's admission of certified docket sheets showing three prior misdemeanor-DWI convictions was not an abuse of discretion under Ark. R. Evid. 803(8) as the evidence fell squarely within the public-records exception, and was admissible to prove an element of a subsequently charged crime, i.e., that defendant had been convicted of seven DWIs, not to prove that he actually committed the underlying misdemeanors charged. Thus, any conflict between Ark. R. Evid. 803(22) and 803(8) was resolved. Clay v. State, 2019 Ark. App. 356, 584 S.W.3d 270 (2019).

Because defendant, an habitual offender, was sentenced to less than the maximum sentence under either his argued fifth-DWI scenario or for his eighth DWI, defendant had not demonstrated prejudice. Clay v. State, 2019 Ark. App. 356, 584 S.W.3d 270 (2019).

Sentencing.

Where the defendants were convicted of violating the Omnibus DWI Act of 1983, the trial court did not have the authority to suspend their sentences, since the sentencing provisions of the act are mandatory. Lovell v. State, 283 Ark. 425, 678 S.W.2d 318 (1984).

The sentencing provisions of the Omnibus DWI Act of 1983 are mandatory; where imprisonment is required, such a sentence cannot be reduced or suspended by the judge. Lovell v. State, 283 Ark. 434, 681 S.W.2d 395 (1984).

The legislature did not intend that this section, the specific criminal enhancement statute for driving while intoxicated, should be coupled with the general criminal enhancement statute, § 5-4-501, for the resulting purpose of creating a greater sentence than if either statute had been applied singly. Lawson v. State, 295 Ark. 37, 746 S.W.2d 544 (1988).

This statute does not confer upon the trial court authority to instruct the jury on public service as an alternative sentence, rather, the court may order public service in lieu of jail, presumably as part of sentencing following a bench trial, or in the nature of post-conviction relief. McEntire v. State, 305 Ark. 470, 808 S.W.2d 762 (1991).

Original judgment and commitment order for driving while intoxicated, fourth offense, was illegal because the two-year imprisonment followed by a five-year term of probation exceeded the maximum penalty for the offense committed as defined under this section and because the imposition of probation following a term of imprisonment is prohibited by § 5-4-104. Petree v. State, 323 Ark. 570, 920 S.W.2d 819 (1996).

Critical point for counting driving while intoxicated (DWI) offenses is at the sentencing phase, not the date that the crime is committed, and this section plainly contemplates determining total DWI offenses within five years of the first offense and, to the extent Ark. Model Jury Instruction Crim. § 2d 9201.4 is in conflict with this method of counting prior offenses, this section prevails. State v. Sola, 354 Ark. 76, 118 S.W.3d 95 (2003).

Cited: Long v. State, 284 Ark. 21, 680 S.W.2d 686 (1984); Municipal Court v. Casoli, 294 Ark. 37, 740 S.W.2d 614 (1987); Tims v. State, 26 Ark. App. 102, 770 S.W.2d 211 (1989); Deweese v. State, 26 Ark. App. 126, 761 S.W.2d 945 (1988); Worthington v. State, 301 Ark. 354, 786 S.W.2d 117 (1990); Lukehart v. State, 32 Ark. App. 152, 798 S.W.2d 117 (1990); Phillips v. State, 304 Ark. 656, 803 S.W.2d 926 (1991); State v. Roberts, 321 Ark. 31, 900 S.W.2d 175 (1995); Payne v. State, 327 Ark. 25, 937 S.W.2d 160 (1997); Wray v. State, 64 Ark. App. 166, 984 S.W.2d 45 (1998); Szabo v. State, 2015 Ark. App. 512, 470 S.W.3d 696 (2015).

5-65-112. Fines.

A person who pleads guilty or nolo contendere to or is found guilty of violating § 5-65-103 shall be fined:

  1. No less than one hundred fifty dollars ($150) and no more than one thousand dollars ($1,000) for the first offense;
  2. No less than four hundred dollars ($400) and no more than three thousand dollars ($3,000) for the second offense occurring within five (5) years of the first offense; and
  3. No less than nine hundred dollars ($900) and no more than five thousand dollars ($5,000) for the third or subsequent offense occurring within five (5) years of the first offense.

History. Acts 1983, No. 549, § 5; A.S.A. 1947, § 75-2505; Acts 1993, No. 106, § 1; 1999, No. 1077, § 12; 2013, No. 1268, § 2; 2015, No. 299, § 6.

Amendments. The 2013 amendment substituted “Except as provided in § 5-65-122, no” for “No” at the beginning of (3).

The 2015 amendment substituted “A” for “Any” in the introductory language and deleted “Except as provided in § 5-65-122” at the beginning of (3).

Case Notes

Applicability.

Where the defendants were convicted of violating the Omnibus DWI Act of 1983, the trial court did not have the authority to suspend their sentences, since the sentencing provisions of the act are mandatory. Lovell v. State, 283 Ark. 425, 678 S.W.2d 318 (1984).

Prior Convictions.

Prior convictions may not be considered for purposes of the sentencing enhancement for subsequent convictions for driving while intoxicated unless the record shows the accused had counsel in the trials leading to the prior convictions or that the right to counsel was waived. Southern v. State, 284 Ark. 572, 683 S.W.2d 933 (1985).

If a defendant did not have counsel and did not waive counsel when he was first convicted, that conviction cannot be used for enhancement, and if it is so used the error can be corrected on appeal. Janes v. State, 285 Ark. 279, 686 S.W.2d 783 (1985).

Cited: Phillips v. State, 304 Ark. 656, 803 S.W.2d 926 (1991); Tauber v. State, 324 Ark. 47, 919 S.W.2d 196 (1996); Payne v. State, 327 Ark. 25, 937 S.W.2d 160 (1997).

5-65-113. [Repealed.]

Publisher's Notes. This section, concerning additional court costs, was repealed by Acts 1995, No. 1256, § 20, as amended by Acts 1995 (1st Ex. Sess.), No. 13, § 4. The section was derived from Acts 1983, No. 918, §§ 1, 3; A.S.A. 1947, §§ 75-2531, 75-2532.

5-65-114. Inability to pay — Alternative public service work.

If a court finds that a person against whom fines, fees, or court costs are levied for violating this chapter is financially unable to pay the fines, fees, or costs, the court shall order the person to perform public service work as the court determines is appropriate.

History. Acts 1983, No. 918, § 4; A.S.A. 1947, § 75-2533; Acts 2015, No. 299, § 6.

Amendments. The 2015 amendment rewrote the section.

5-65-115. Alcohol treatment or education program — Fee.

    1. A person whose driving privileges are suspended or revoked for violating § 5-65-103, § 5-65-303, § 5-65-310, or § 3-3-203 is required to complete an alcohol education program provided by a contractor with the Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services or an alcoholism treatment program licensed by the division.
      1. The alcohol education program may collect a program fee of up to one hundred twenty-five dollars ($125) per enrollee to offset program costs.
        1. A person ordered to complete an alcohol education program under this section may be required to pay, in addition to the costs collected for education or treatment, a fee of up to twenty-five dollars ($25.00) to offset the additional costs associated with reporting requirements under this subchapter.
        2. The alcohol education program shall report monthly to the division all revenue derived from this fee.
    1. A person whose driving privilege is suspended or revoked for violating § 5-65-103 shall:
      1. Both:
        1. Furnish proof of attendance at and completion of the alcoholism treatment program or alcohol education program required under § 5-65-104(b)(1) before reinstatement of his or her suspended or revoked driving privilege; and
        2. Pay any fee for reinstatement required under § 5-65-119 or § 5-65-304; or
      2. Furnish proof of dismissal or acquittal of the charge on which the suspension or revocation is based.
    2. An application for reinstatement shall be made to the Office of Driver Services.
  1. Even if a person has filed a de novo petition for review under § 5-65-402, he or she is entitled to reinstatement of driving privileges upon complying with this section and is not required to postpone reinstatement until the disposition of the de novo review in circuit court has occurred.
    1. A person whose driving privilege has been suspended or revoked under this chapter may enroll in an alcohol education program prior to disposition of the case by the circuit court or district court.
    2. However, the person is not entitled to a refund of a fee paid if the charges are dismissed or if the person is acquitted.
  2. An alcohol education program or alcoholism treatment program operating under this chapter shall remit the fees imposed under this section to the division.

History. Acts 1983, No. 549, § 7; 1985, No. 108, § 1; A.S.A. 1947, § 75-2507; Acts 1991, No. 486, § 1; 1995, No. 172, § 1; 1995, No. 263, § 1; 1995, No. 1032, § 1; 1995, No. 1256, § 20; 1995 (1st Ex. Sess.), No. 13, § 4; 1999, No. 1077, § 13; 2003, No. 1462, § 2; 2005, No. 1768, § 3; 2007, No. 251, § 2; 2007, No. 827, § 78; 2009, No. 748, § 28; 2013, No. 1107, §§ 4, 5; 2015, No. 299, § 6; 2017, No. 913, § 20.

A.C.R.C. Notes. Acts 2007, No. 827, § 78 provided:

“Acts 1995, No. 172, § 1, and Acts 1995, No. 1032, § 1, are repealed due to a conflict between those acts and Acts 1995, No. 263, § 1, and Acts 1995, No. 1256, § 20, in amending § 5-65-115, and which conflict under § 1-2-207 is resolved in favor of Acts 1995, Nos. 263 and 1256.”

Amendments. The 2003 amendment substituted “by law” for “in this chapter” in (a)(1); substituted “seventy-five dollars ($75.00)” for “fifty dollars ($50.00)” in (a)(2)(A); inserted “education program or alcoholism” and “education or” in (a)(2)(B); and made minor stylistic changes.

The 2009 amendment substituted “education program or alcoholism treatment program” for “education or treatment program” in (e).

The 2013 amendment substituted “Division of Behavioral Health Services” for “Office of Alcohol and Drug Abuse Prevention” twice in (a)(1), once in (a)(2)(B)(ii) and (e).

The 2015 amendment substituted “driving privilege” for “license” in the introductory language of (b)(1); substituted “driving privilege” for “driver’s license” in (b)(1)(A)(i); in (d)(1), substituted “A person whose driving privilege has been suspended or revoked under this chapter” for “A person suspended under this act”, substituted “case” for “offense”, and deleted “or city court” at the end; deleted “of the charges” at the end of (d)(2); in (e), substituted “An” for “Each” and inserted “operating under this chapter”; and made stylistic changes.

The 2017 amendment substituted “Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services” for “Division of Behavioral Health Services” in (a)(1).

Case Notes

Cited: Phillips v. State, 304 Ark. 656, 803 S.W.2d 926 (1991); Tauber v. State, 324 Ark. 47, 919 S.W.2d 196 (1996).

5-65-116. [Repealed.]

Publisher's Notes. This section, concerning the denial of driving privileges for a minor and restricted permits, was repealed by Acts 2015, No. 299, § 6. This section was derived from Acts 1989 (3rd Ex. Sess.), No. 93, §§ 1, 3, 4; 1993, No. 1257, § 2.

5-65-117. Seizure and sale of a motor vehicle or motorboat.

      1. A person who pleads guilty or nolo contendere to or is found guilty of violating § 5-65-103 for a fourth or subsequent offense occurring within five (5) years of the first offense may have his or her motor vehicle or motorboat seized at the discretion of the court.
      2. A motor vehicle or motorboat seized under this section shall be the motor vehicle or motorboat that the person was operating or was in actual physical control of at the time he or she committed the fourth offense.
      3. The title to the motor vehicle or motorboat is forfeited to the state if the motor vehicle or motorboat is seized under this section.
      1. It is the duty of the county sheriff of the county where the offense occurred to seize the motor vehicle or motorboat if seizure is ordered by the court.
      2. The court may issue an order directing the county sheriff to sell the seized motor vehicle or motorboat at a public auction to the highest bidder within thirty (30) days from the date of judgment.
    1. The county sheriff shall advertise the motor vehicle or motorboat for sale for a period of two (2) weeks prior to the date of sale by at least one (1) insertion per week in a newspaper having a bona fide circulation in the county.
    2. The notice shall include a brief description of the motor vehicle or motorboat to be sold and the time, place, and terms of the sale.
  1. The proceeds of the sale of the seized motor vehicle or motorboat shall be deposited into the county general fund.
    1. The county sheriff shall report his or her actions to the court in which the defendant was tried after the county sheriff has made the sale and has turned over the proceeds of the sale to the county treasurer.
    2. The report required by subdivision (d)(1) of this section shall be filed with the court within sixty (60) days from the date of judgment.
  2. A forfeiture of a motor vehicle or motorboat under this section that is encumbered by a bona fide security interest is subject to the interest of the secured party if the secured party neither had knowledge of nor consented to the offense.

History. Acts 1989 (3rd Ex. Sess.), No. 94, § 1; 2013, No. 412, § 1; 2015, No. 299, § 6.

Amendments. The 2013 amendment substituted “five (5) years” for “three (3) years” in (a)(1)(A).

The 2015 amendment inserted references to “motorboat” throughout the section; inserted “county” preceding “sheriff” throughout the section; rewrote (a)(1), inserting (a)(1)(B) and redesignating former (a)(1)(B) as (a)(1)(C); rewrote (a)(2)(A), and substituted “seized motor vehicle or motorboat” for “motor vehicle seized” in (a)(2)(B); rewrote (d)(1); and, in (e), substituted “motor vehicle or motorboat under this section that is” for “conveyance” and “offense” for “act or omission”.

5-65-118. Additional penalties — Ignition interlock devices.

        1. Except as provided under subsection (g) of this section, the Office of Driver Services shall place a restriction on a person who has violated § 5-65-103 for a first or second offense that requires the person's motor vehicle to be equipped with a functioning ignition interlock device in addition to any other penalty authorized by this chapter.
        2. The restriction shall continue until the person has completed his or her mandatory period for using an ignition interlock device.
        3. The restriction under subdivision (a)(1)(A)(i) of this section does not apply to a person who is arrested for violating § 5-65-103 for a first or second offense if the person was intoxicated by the ingestion of or by the use of a controlled substance.
        1. The office shall place a restriction on a person who has violated § 5-65-103 for a third or subsequent offense that requires the person's motor vehicle to be equipped with a functioning ignition interlock device in addition to any other penalty authorized by this chapter.
        2. The restriction shall continue until the person has completed his or her mandatory period for using an ignition interlock device.
        3. The restriction under subdivision (a)(1)(B)(i) of this section does not apply to a person who is arrested for violating § 5-65-103 for a third or subsequent offense if the person was intoxicated by the ingestion of or by the use of a controlled substance.
    1. The office may issue an ignition interlock restricted license to the person only after the person has verified installation of a functioning ignition interlock device to the office in any motor vehicle the person intends to operate, except for an exemption allowed under § 5-65-123(f).
    2. The office shall establish:
      1. A specific calibration setting no lower than two hundredths of one percent (0.02%) nor more than five hundredths of one percent (0.05%) of alcohol in the person's blood at which the ignition interlock device will prevent the motor vehicle's being started; and
      2. The period of time that the person is subject to the restriction.
  1. The office shall do the following after restricting a person's driving by requiring the use of an ignition interlock device:
      1. State on the record the requirement for and the period of use of the ignition interlock device.
      2. However, if the office restricts the person to using an ignition interlock device in conjunction with the issuance of an ignition interlock restricted license under § 5-65-104, the time the person is required to use the ignition interlock device shall be until the original suspension imposed under § 5-65-104 has been completed;
    1. Ensure that the records of the office reflect that the person may not operate a motor vehicle that is not equipped with an ignition interlock device;
    2. Attach or imprint a notation on the driver's license of a person restricted under this section stating that the person may operate a motor vehicle only if it is equipped with an ignition interlock device;
    3. Require that the person restricted under this section show proof of installation of a certified ignition interlock device prior to the issuance of an ignition interlock restricted license by the office under § 5-65-104;
      1. Require both proof of the installation of an ignition interlock device and periodic reporting by the person for verification of the proper operation of the ignition interlock device.
      2. Proof of the installation of the ignition interlock device for the entire period required by law shall be provided before the person's driving privileges are reinstated;
    4. Require the person to have the ignition interlock device serviced and monitored at least every sixty-seven (67) days for proper use and accuracy by an entity approved by the Department of Health; and
      1. Require the person to pay the reasonable cost of leasing or buying and monitoring and maintaining the ignition interlock device.
      2. The office may establish a payment schedule for the reasonable cost of leasing or buying and monitoring and maintaining the ignition interlock device.
  2. If the person whose driving privilege is restricted under this section cannot provide proof of installation of a functioning ignition interlock device to the office under subsection (a) of this section, the office shall not issue an ignition interlock restricted license as authorized under this section.
  3. The office shall revoke the ignition interlock restricted license and reinstate a driving privilege suspension for the term of the original driving privilege suspension if it finds that a person has violated § 5-65-123.
  4. A person who has had his or her driving privilege suspended or revoked under § 5-65-104 who would otherwise be eligible to obtain an ignition interlock restricted license may petition the office for a hearing, and the office may issue an ignition interlock restricted license as authorized under §§ 5-65-104 and 5-65-205.
    1. The department shall:
      1. Certify the ignition interlock devices for use in this state;
      2. Approve the entities that install and monitor the ignition interlock devices; and
      3. Adopt rules for the certification of the ignition interlock devices and ignition interlock device installation.
    2. The rules shall require an ignition interlock device, at a minimum, to:
      1. Not impede the safe operation of the motor vehicle;
      2. Minimize the opportunities to be bypassed;
      3. Work accurately and reliably in an unsupervised environment;
      4. Properly and accurately measure the person's blood alcohol levels;
      5. Minimize the inconvenience to a sober user; and
      6. Be manufactured by an entity that is responsible for installation, user training, and servicing and maintenance of the ignition interlock device, and that is capable of providing monitoring reports to the office.
    3. The department shall develop a warning label to be affixed to any ignition interlock device used in the state to warn any person of the possible penalties for tampering with or attempting to circumvent the ignition interlock device.
    4. The department shall:
      1. Publish and update a list of certified ignition interlock device manufacturers and approved ignition interlock device installers; and
      2. Periodically provide the list required by subdivision (f)(4)(A) of this section to the office.
    1. A person who has violated § 5-65-103 for a first offense that requires the person's motor vehicle to be equipped with a functioning ignition interlock device under this section may petition the court with jurisdiction for a waiver of the requirement to install a functioning interlock device under this section.
    2. The court with jurisdiction may waive the requirement to install a functioning ignition interlock device under this section under the following conditions:
      1. The person is required to operate an employer's motor vehicle in the course and scope of employment and the business entity that owns the vehicle is not owned or controlled by the person;
      2. The person is certified by a medical doctor as being unable to provide a deep lung breath sample for analysis by an ignition interlock device; or
      3. A state-certified ignition interlock device provider is not available within one hundred (100) miles of the person's residence.
    3. Upon finding that a condition under subdivision (g)(2) of this section is present, the court with jurisdiction shall enter an order to that effect and transmit the order to the office for compliance.

History. Acts 1993, No. 298, § 1; 1995, No. 1296, § 8; 1999, No. 1468, § 2; 2001, No. 1206, § 2; 2001, No. 1501, § 2; 2005, No. 1234, § 2; 2007, No. 827, § 79; 2014, No. 277, § 13; 2015, No. 299, § 6; 2015, No. 1221, § 1; 2017, No. 1094, §§ 2, 3.

Publisher's Notes. Acts 2015, No. 1221, § 1 specifically amended this section as amended by Acts 2015, No. 299.

Amendments. The 2014 amendment redesignated part of (g)(2)(B)(ii) as (g)(2)(B)(ii) (a) ; and added (g)(2)(B)(ii) (b)

The 2015 amendment by No. 299 rewrote (a)(1)(A)(i); substituted “driving privilege” for “license” in (a)(1)(A)(ii); rewrote (a)(1)(B); deleted “In accordance with the requirements under the provisions of § 5-65-104” at the beginning of (a)(2); deleted (a)(4); rewrote the introductory language of (b) and (b)(1)(B); rewrote language in (b)(3) and (b)(4); in (b)(5), inserted “both” and substituted “an” for “the” following “installation of”; deleted former (c) through (g); redesignated former (h) as (c), and inserted “whose driving privilege is” in (c); rewrote and redesignated former (i) and (j) as (d) and (e); redesignated former (k) as (f), and deleted “and regulations” following “rules” twice in (f); and updated internal references.

The 2015 amendment by No. 1221 substituted “shall place” for “may place” in (a)(1)(A)(i); rewrote (a)(1)(A)(ii); added (a)(1)(A)(iii); in (a)(1)(B)(i), substituted “shall place” for “may place” and deleted “and after finding that the person is financially able to afford the ignition interlock device” at the end; rewrote (a)(1)(B)(ii); added (a)(1)(B)(iii); in (b)(1)(B), substituted “until the original suspension imposed under § 5-65-104 has been completed” for “at least the time period remaining on the original suspension imposed under § 5-65-104”; and added (b)(5)(B), and redesignated former (b)(5) as (b)(5)(A).

The 2017 amendment substituted “Except as provided under subsection (g) of this section, the” for “The” in (a)(1)(A)(i); and added (g).

Research References

ALR.

Validity, construction, and application of ignition interlock laws. 15 A.L.R.6th 375.

Validity, Construction, and Application of Statutes Establishing “24/7” Sobriety Programs, Requiring Persons Accused or Convicted of DUI or Similar Offenses to Submit to Regular Breath Testing as Condition of Pretrial Release, Parole, or Suspended Sentence, 28 A.L.R.7th Art. 8 (2018).

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

Enforcement.

The circuit court has no authority to issue a writ of prohibition preventing a municipal court's enforcement of this section. State v. Wilcox, 325 Ark. 429, 927 S.W.2d 337 (1996).

Cited: Tauber v. State, 324 Ark. 47, 919 S.W.2d 196 (1996).

5-65-119. Distribution of fee.

    1. The Office of Driver Services shall charge a fee to be calculated under subsection (b) of this section for reinstating a driving privilege suspended or revoked because of an arrest for violating § 5-65-103 or § 5-65-205.
    2. The fee under subdivision (a)(1) of this section shall be distributed as follows:
      1. Seven percent (7%) of the revenues derived from this fee shall be deposited into the State Treasury as special revenues and credited to the Public Health Fund to be used exclusively for the Office of Alcohol Testing of the Department of Health;
      2. Thirty-three percent (33%) of the revenues derived from this fee shall be deposited as special revenues into the State Treasury into the Constitutional Officers Fund and the State Central Services Fund as a direct revenue to be used by the Office of Driver Services for use in supporting the administrative driver's licensing revocation and sanctions programs provided for in this subchapter;
      3. Ten percent (10%) of the revenues derived from this fee shall be deposited into the State Treasury, and the Treasurer of State shall credit them as general revenues to the various funds in the respective amounts to each and to be used for the purposes as provided in the Revenue Stabilization Law, § 19-5-101 et seq.; and
      4. Fifty percent (50%) of the revenues derived from this fee shall be deposited into the State Treasury as special revenues to the credit of the Division of Arkansas State Police Fund.
    3. Upon notice to the taxpayer of certification of the intent to intercept the taxpayer's state income tax refund under § 26-36-301 et seq., the outstanding fees assessed under this section that are owed by a taxpayer shall be setoff against the taxpayer's state income tax refund.
      1. The fee under subsection (a) of this section shall be calculated by multiplying one hundred fifty dollars ($150) by each separate occurrence of an offense resulting in an administrative suspension order under § 5-65-103 or § 5-65-205 unless the administrative suspension order has been removed because:
        1. The person has been found not guilty of the offense by a circuit court or district court; or
        2. A de novo review of the administrative suspension order by the Office of Driver Services results in the removal.
      2. The fee under subsection (a) of this section is supplemental to and in addition to any fee imposed under § 5-65-304, § 5-65-310, § 27-16-508, or § 27-16-808.
    1. As used in this subsection, “occurrence” means each separate calendar date when an offense or offenses take place.

History. Acts 1995, No. 802, § 2; 2001, No. 561, § 6; 2003, No. 1001, § 1; 2005, No. 1992, § 1; 2013, No. 361, § 3; 2015, No. 299, § 6; 2019, No. 803, § 1.

A.C.R.C. Notes. Acts 1995, No. 802, § 5, provided, in part, that this section, “regarding the charging of the reinstatement fee for the driver licenses suspended for driving while intoxicated offenses shall be effective on July 1, 1995.”

Amendments. The 2001 amendment inserted “of the Revenue Division of the Department of Finance and Administration” in the introductory language and deleted it following “Office of Driver Services” in (2); in the introductory language, substituted “an alcohol concentration of eight-hundredths (0.08) or more in the person's breath or” for “one-tenth of one percent (0.1%) or more by weight of alcohol in the person's” and inserted “or breath”; and substituted “Office of Alcohol Testing of the Department of Health” for “Department of Health's Blood Alcohol Program” in (1).

The 2003 amendment, in the introductory paragraph, substituted “one hundred fifty dollars ($150)” for “seventy-five dollars ($75.00)”; substituted “Seven percent (7%)” for “Fourteen percent (14%)” in (1); substituted “Thirty-three percent (33%)” for “Sixty-six percent (66%)” in (2); substituted “Ten percent (10%)” for “Twenty percent (20%)” in (3); and added (4) and made related changes.

The 2013 amendment, in (a), inserted “saliva” following “blood, breath” and “concentration” preceding “or controlled substance”.

The 2015 amendment rewrote and redesignated former (a) as (a)(1) and the introductory language of (a)(2); redesignated former (a)(1) through (a)(4) as (a)(2)(A) through (a)(2)(D); substituted “The fee under subsection (a) of this section” for “The reinstatement fee” in (b)(1)(A); and inserted “subsection (a) of” in (b)(1)(B).

The 2019 amendment added (a)(3).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

5-65-120. Restricted driving permit.

  1. The Office of Driver Services may modify the administrative denial or suspension of a driver's license under § 5-65-402 after a hearing or upon the request of a person whose driving privilege has been denied or suspended by issuing a restricted driving permit if:
    1. The denial or suspension results in a case of extreme and unusual hardship; and
    2. After reviewing the person's driving record for the five (5) years previous to the denial, revocation, or suspension of his or her driving privilege, the office determines that:
      1. The person:
        1. Is not a multiple traffic law offender; or
        2. Does not present a threat to the general public; and
      2. Other adequate means of transportation do not exist for the person except to allow the person to drive in any of the following situations:
        1. To and from the person's place of employment;
        2. In the course of the person's employment;
        3. To and from an educational institution for the purpose of attending a class if the person is enrolled and regularly attending a class at the institution;
        4. To and from an alcohol education program or alcoholism treatment program for drunk drivers; or
        5. To and from a hospital or clinic for medical treatment or care for an illness, disease, or other medical condition of the person or a family member.
  2. The issuance of a restricted driving permit under this section is solely within the discretion of the office.
  3. A restricted driving permit issued under this section shall state the specific times and circumstances under which driving is permitted.
  4. A restricted driving permit issued under this section shall not be granted to a person whose driving privilege was suspended or revoked for violating § 5-65-103, § 5-65-205, § 5-65-303, or § 5-65-310, a second or subsequent time within five (5) years of the first offense.

History. Acts 1995, No. 802, §§ 3, 5; 1997, No. 1325, § 3; 1999, No. 1077, § 14; 2007, No. 827, § 80; 2009, No. 748, § 29; 2009, No. 1293, § 2; 2015, No. 299, § 6.

A.C.R.C. Notes. As enacted by Acts 1995, No. 802, § 3, subsection (a) of this section began:

“Upon the effective date of this act”.

Publisher's Notes. Acts 1995, No. 802, § 5(a), is also codified, in part, as § 5-65-205(c).

Amendments. The 2009 amendment by No. 748 substituted “an alcohol education program or alcoholism treatment program” for “the alcohol education and alcoholism treatment programs for drunk drivers” in (a)(2)(D).

The 2009 amendment by No. 1293, in the introductory language of (a), substituted “current denial, revocation, or suspension” for “current suspension” and inserted “or a driver's license” near the end; and deleted (d).

The 2015 amendment rewrote the section.

Case Notes

Driving Outside of Restrictions.

Evidence was substantial to support a conviction for driving on a suspended license under this section because defendant was not following the restrictions given on his restricted driving permit. The Arkansas Office of Driver Services had issued a restricted permit for defendant to drive from his home in Fayetteville to school, drug-and-alcohol education classes, and for medical emergencies. Fiveash v. State, 2015 Ark. App. 187, 458 S.W.3d 774 (2015).

5-65-121. Victim impact panel attendance — Fee.

    1. A person whose driving privileges are suspended or revoked for violating § 5-65-103, § 5-65-205, § 5-65-303, § 5-65-310, or § 3-3-203 shall attend a victim impact panel sponsored by an organization approved by the Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services.
    2. The organization selected by the division shall be an organization that provides statewide services to victims of drunk driving.
    1. The organization approved by the division may collect a program fee of ten dollars ($10.00) per enrollee to offset program costs to be remitted to the organization.
    2. The organization approved by the division shall provide proof of attendance and completion to the person required to attend the victim impact panel upon completion of the victim impact panel.

History. Acts 2009, No. 946, § 1; 2013, No. 1107, § 6; 2015, No. 299, § 6; 2017, No. 913, § 21.

Amendments. The 2013 amendment substituted “Division of Behavioral Health Services” for “Office of Alcohol and Drug Abuse Prevention” in (a)(1).

The 2015 amendment substituted “division” for “office” in (a)(2) and twice in (b).

The 2017 amendment substituted “Division of Aging, Adult, and Behavioral Health Services” for “Division of Behavioral Health Services” in (a)(1).

5-65-122. [Repealed.]

Publisher's Notes. This section, concerning driving while intoxicated as a sixth or subsequent offense, was repealed by Acts 2015, No. 299, § 6. The section was derived from Acts 2013, No. 1268, § 3.

For current law, see § 5-65-111.

5-65-123. Offenses involving a motor vehicle equipped with an ignition interlock device.

  1. A person commits the offense of unlawfully allowing another person to start or attempt to start a motor vehicle equipped with an ignition interlock device if he or she:
    1. Has had his or her driving privileges restricted under § 5-65-118 and cannot operate or be in actual physical control of a motor vehicle that is not equipped with an ignition interlock device;
    2. Knowingly solicits or allows a person to start or attempt to start a motor vehicle equipped with an ignition interlock device; and
    3. Has the purpose to operate or be in actual physical control of the motor vehicle.
  2. A person commits the offense of unlawfully starting or attempting to start a motor vehicle equipped with an ignition interlock device for another person if he or she knowingly starts or attempts to start a motor vehicle equipped with an ignition interlock device for another person who is restricted from operating or being in actual physical control of a motor vehicle that does not have a functioning ignition interlock device.
  3. A person commits the offense of tampering with an ignition interlock device if he or she knowingly tampers with or attempts to circumvent the operation of an ignition interlock device that has been installed in a motor vehicle.
  4. A person commits the offense of providing a motor vehicle not equipped with a functioning ignition interlock device to another person if he or she:
    1. Knowingly provides a motor vehicle not equipped with a functioning ignition interlock device to another person who is restricted from operating or being in actual physical control of a motor vehicle that does not have a functioning ignition interlock device; and
    2. Knows or should have known that the other person was restricted from operating or being in actual physical control of a motor vehicle not equipped with an ignition interlock device.
  5. A person who violates this section is upon conviction guilty of a Class A misdemeanor.
  6. It is a defense to prosecution under this section if:
    1. A person starts or attempts to start a motor vehicle equipped with an ignition interlock device for the purpose of safety or mechanical repair of the ignition interlock device or the motor vehicle and the person subject to the restriction does not operate the motor vehicle; or
      1. The court has previously found that a person is required to operate a motor vehicle in the course and scope of his or her employment and, if the motor vehicle is owned by the employer but does not have a functioning ignition interlock device installed, that the person may operate that motor vehicle during regular working hours for the purposes of his or her employment if:
        1. The employer has been notified of the driving privilege restriction; and
        2. Proof of that notification is with the motor vehicle.
      2. However, the defense in subdivision (f)(2)(A) of this section does not apply if:
        1. The business entity that owns the motor vehicle is owned or controlled by the person who is prohibited from operating a motor vehicle not equipped with an ignition interlock device; or
        2. The driving privilege restriction is the result of the offender's second or subsequent offense.

History. Acts 2015, No. 299, § 6.

Subchapter 2 — Chemical Analysis of Body Substances

Effective Dates. Acts 1969, No. 17, § 2: Jan. 30, 1969. Emergency clause provided: “It has been found and is declared by the General Assembly of Arkansas that the drinking driver is a major cause of automobile accidents; that the ability of a driver is seriously impaired when there is 0.10 percent or more by weight of alcohol in the driver's blood, urine, breath or other bodily substance; and that enactment of this act will provide for more effective control of the drinking driver. Therefore, an emergency is declared to exist, and this act being necessary for the preservation of the public peace, health and safety, shall take effect and be in force from the date of its approval.”

Acts 1969, No. 106, § 4: Feb. 25, 1969. Emergency clause provided: “It has been found and is declared by the General Assembly of Arkansas that the drinking driver is a major cause of automobile accidents; that the ability of a driver is seriously impaired when there is 0.10 percent or more by weight of alcohol in the driver's blood, urine, breath or other bodily substance; and that enactment of this act is immediately necessary to provide for more effective control of the drinking driver. Therefore, an emergency is declared to exist, and this act being necessary for the preservation of the public peace, health and safety, shall take effect and be in force from the date of its approval.”

Acts 1971, No. 306, § 2: Mar. 17, 1971. Emergency clause provided: “It is hereby found and determined by the General Assembly that doctors, nurses and hospitals throughout the State are called upon by law enforcement officers to withdraw blood for purposes of determining alcoholic content thereof from individuals suspected of driving while under the influence of intoxicating liquors; that in the performance of such duties, doctors, nurses and hospitals are assisting the State of Arkansas in the enforcement of laws designed to promote motor vehicle safety; and that doctors, nurses and hospitals should not be held liable for violating any of the criminal laws in connection with the administering of such blood tests, nor should they be held liable for civil damages in connection therewith, unless such services are performed with negligence; and that the immediate passage of this Act is necessary to clarify the liabilities of doctors, nurses and hospitals in the administration and enforcement of the implied consent law of this State. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1975, No. 660, § 3: Mar. 28, 1975. Emergency clause provided: “It is hereby found and determined by the General Assembly that physicians, persons under the direction and supervision of physicians, and institutions throughout the State are called upon by law enforcement officers to withdraw blood for purposes of determining alcoholic content thereof from individuals suspected of driving while under the influence of intoxicating liquors; that in the performance of such duties physicians, persons under the direction and supervision of physicians and institutions are assisting the State of Arkansas in the enforcement of laws designed to promote motor vehicle safety; and that such persons and institutions shall not be held liable for violating any of the criminal laws in connection with the administering of such blood tests, nor should they be held liable for civil damages in connection therewith, unless such services are performed with negligence; and that the immediate passage of this Act is necessary to clarify the liabilities of doctors, persons under the direction and supervision of physicians, and institutions in the administration and enforcement of the implied consent law of this State. Therefore, an emergency is hereby declared to exist, and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1983, No. 549, § 19: Mar. 21, 1983. Emergency clause provided: “It is hereby found and determined by the Seventy-Fourth General Assembly that the act of driving a motor vehicle while under the influence of intoxicating alcoholic beverages or drugs constitutes a serious and immediate threat to the safety of all citizens of this state, and that increasing the penalty for this dangerous conduct may serve as a deterrent to such behavior. Further, it is found that increased income derived from the levying of such penalties can best be utilized to provide immediate alcohol and drug safety and rehabilitation and treatment programs both to prevent an increase in the use of intoxicating alcoholic beverages and drugs and to rehabilitate persons convicted of related offenses. Therefore, an emergency is hereby declared to exist, and this act being necessary for the immediate preservation of the public peace, health, and safety shall be in full force and effect from and after the date of its passage and approval.”

Acts 1985, No. 169, § 3: Feb. 22, 1985. Emergency clause provided: “It is hereby found and determined by the General Assembly that hospitals, other institutions and persons working under the direction and supervision of physicians are not accorded tort immunity for the withdrawal of blood to determine alcohol or controlled substance content; that such immunity existed prior to the enactment of the DWI Law in 1983; that the elimination of the tort immunity was inadvertent and should be immediately reinstated. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1987, No. 75, § 3: Feb. 19, 1987. Emergency clause provided: “It is hereby found and determined by the General Assembly that the present law identifying circumstances under which persons who operate or are in actual physical control of a motor vehicle are deemed to have given consent to chemical tests to determine whether they have been driving while intoxicated does not apply when the driver is involved in a nonfatal accident and is not actually operating the motor vehicle at the time the police arrive and is not arrested as a result of the accident; that the failure to include such circumstance was inadvertent and should be immediately corrected in order to provide for the proper enforcement of our DWI law; and that this act will make that correction in the DWI law. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1987, No. 277, § 3: Mar. 17, 1987. Emergency clause provided: “It is hereby found and determined by the General Assembly that at least one trial court judge has indicated that the DWI implied consent statute might be unconstitutional because no maximum period for the suspension of operators' licenses is indicated; that the implied consent statute is a vital weapon in combatting drunken driving; and that this act will cure the constitutional objections. Therefore, an emergency is hereby declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall be in full force and effect from and after its passage and approval.”

Acts 1993, No. 132, § 5: Feb. 15, 1993. Emergency clause provided: “It is hereby found and determined by the General Assembly that the provisions of Ark. Code Ann. § 5-65-202(a), as interpreted by the Supreme Court of Arkansas and Arkansas Court of Appeals, are inadequate regarding the conduct of persons whom the General Assembly intended to be subject to the provisions of the implied consent law, in that the courts have construed § 5-65-202(a)(3) to be applicable only where a police officer physically stopped a moving vehicle and possessed reasonable suspicion to believe that the person was DWI prior to the stop, see Roberts v. State, 287 Ark. 451, 701 S.W.2d 112 (1985); Gober v. State, 22 Ark. App. 121, 736 S.W.2d 18 (1987); that § 5-65-202(a)(3) is being amended to implement the General Assembly's intent to have the implied consent law encompass conduct of persons whom police officers have reasonable cause to believe have committed the offense of DWI, at the time such persons are arrested for DWI. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health, safety, and welfare shall be in full force and effect from and after its passage and approval.”

Acts 1995, No. 802, § 9: Mar. 27, 1995: Emergency clause provided: “It is hereby found and determined by the General Assembly that this act provides for administrative revocation and suspension of drivers' licenses for persons charged with the offense of driving while intoxicated; that based on Arkansas Crime Information Center statistics on DEI arrests, the Office of Driver Services could anticipate up to sixteen thousand (16,000) hearings if everyone arrested requested a hearing; that funds will be necessary for additional staff to handle this program along with significant costs to prepare for and implement this program; and that this act is necessary immediately in order to insure that sufficient funds are available for the financial stability of this program. Therefore, an emergency is hereby declared to exist and this act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1995, No. 802, § 5(a): Sections 1, 3, and 4 effective for all arrests or offenses occurring on or after July 1, 1996.

Acts 1995, No. 802, § 5(b): Section 2 effective July 1, 1995.

Acts 2005, No. 886, § 3: Mar. 16, 2005. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that confusion exists regarding the admissibility of drug analyses made by the State Crime Laboratory in certain cases due to a recent decision by the Arkansas Court of Appeals; that a standard of admissibility of analyses made by the State Crime Laboratory must be established; and that this act is immediately necessary in order to prosecute pending cases and cases filed in the future. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Research References

ALR.

Admissibility in criminal case of blood alcohol test where blood was taken despite defendant's objection or refusal to submit to test. 14 A.L.R.4th 690.

Destruction of ampoule used in alcohol breath test as warranting suppression of result of test. 19 A.L.R.4th 509.

Admissibility in criminal case that accused refused to take sobriety test. 26 A.L.R.4th 1112.

Motorist's right to private sobriety test. 45 A.L.R.4th 11.

Ark. L. Rev.

Case Note, South Dakota v. Neville: Refusal to Submit to a Blood-Alcohol Test as Evidence of Intoxication, 37 Ark. L. Rev. 702.

U. Ark. Little Rock L.J.

Legislation of the 1983 General Assembly, Criminal Law, 6 U. Ark. Little Rock L.J. 613.

Legislative Survey, Torts, 8 U. Ark. Little Rock L.J. 607.

Survey — Evidence, 10 U. Ark. Little Rock L.J. 199.

5-65-201. Rules.

The Department of Health may promulgate rules reasonably necessary to carry out the purposes of this subchapter.

History. Acts 1969, No. 106, § 2; A.S.A. 1947, § 75-1046; Acts 2019, No. 315, § 168.

Amendments. The 2019 amendment deleted “and regulations” following “Rules” in the section heading; and deleted “and regulations” following “rules” in the text.

Case Notes

Cited: Watson v. Frierson, 272 Ark. 316, 613 S.W.2d 824 (1981); Hughes v. State, 17 Ark. App. 34, 705 S.W.2d 455 (1986); Porter v. State, 82 Ark. App. 589, 120 S.W.3d 178 (2003).

5-65-202. Implied consent.

  1. A person who operates a motorboat on the waters of this state or a motor vehicle or is in actual physical control of a motorboat on the waters of this state or a motor vehicle is deemed to have given consent, subject to § 5-65-203, to one (1) or more chemical tests of his or her breath, saliva, or urine for the purpose of determining the alcohol concentration or controlled substance content of his or her breath or blood if:
    1. The person is arrested for any offense arising out of an act alleged to have been committed while the person was driving or boating while intoxicated or driving or boating while there was an alcohol concentration of eight hundredths (0.08) or more in the person's breath or blood;
    2. The person is involved in an accident while operating or in actual physical control of a motorboat on the waters of this state or a motor vehicle; or
    3. At the time the person is arrested for driving or boating while intoxicated, the law enforcement officer has reasonable cause to believe that the person, while operating or in actual physical control of a motorboat on the waters of this state or a motor vehicle, is intoxicated or has an alcohol concentration of eight hundredths (0.08) or more in the person's breath or blood.
  2. A person who is dead, unconscious, or otherwise in a condition rendering him or her incapable of refusal is deemed not to have withdrawn the consent provided by subsection (a) of this section, and one (1) or more chemical tests may be administered subject to § 5-65-203.
  3. A test of a person's blood under this section to determine the person's alcohol concentration, controlled substance content, or other intoxicating substance content in his or her blood requires a warrant based on probable cause that the person was operating or in actual physical control of a motorboat on the waters of this state or a motor vehicle while intoxicated.

History. Acts 1969, No. 106, § 1; 1971, No. 55, § 1; 1971, No. 306, § 1; 1973, No. 127, § 1; 1975, No. 660, § 1; 1983, No. 549, § 11; A.S.A. 1947, § 75-1045; Acts 1987, No. 75, § 1; 1993, No. 132, § 1; 2001, No. 561, § 7; 2009, No. 431, § 1; 2013, No. 361, § 4; 2015, No. 299, § 7; 2015, No. 1155, § 11; 2017, No. 1031, § 1.

Amendments. The 2001 amendment inserted “breath or” in the introductory language in (a) and (a)(1); and substituted “an alcohol concentration of eight-hundredths (0.08) or more in the person's breath or blood” for “one-tenth of one percent (0.10%) or more of alcohol in the person's blood” in (a)(1) and (a)(3).

The 2009 amendment substituted “one (1) or more chemical tests” for “a chemical test” in (a) and (b).

The 2013 amendment inserted “saliva” following “blood, breath” in (a).

The 2015 amendment by No. 299 inserted “motorboat on the waters of this state or a” and “or boating” throughout the section; in the introductory language of (a), substituted “A” for “Any”, deleted “in this state” preceding “is deemed to”, and deleted “the provisions of” following “subject to”; and, in (b), substituted “A” for “Any” and deleted “the provisions of” following “subject to”.

The 2015 amendment by No. 1155 inserted “concentration” following “alcohol” in the introductory language of (a).

The 2017 amendment deleted “blood” preceding “breath, saliva” in (a); and added (c).

Research References

U. Ark. Little Rock L.J.

Survey — Criminal Procedure, 10 U. Ark. Little Rock L.J. 567.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

Constitutionality.

Blood alcohol test results are admissible under the implied consent law; this law is valid and does not violate the provision against self-incrimination. Steele v. State, 284 Ark. 340, 681 S.W.2d 354 (1984).

Admission into evidence of defendant's refusal to submit to a chemical test did not violate her Fifth Amendment right against self-incrimination. Weaver v. City of Fort Smith, 29 Ark. App. 129, 777 S.W.2d 867 (1989).

Defendant's constitutional challenge to subdivision (a)(3) of this section and § 5-65-205(a)(2) was rejected where the statutes did not clearly and unmistakably conflict with the holding of Missouri v. McNeely, 569 U.S. 141, 133 S. Ct. 1552, 185 L. Ed. 2d 696 (2013). Burr v. State, 2016 Ark. App. 182, 487 S.W.3d 395 (2016).

In view of defendant's arrest on reasonable cause, the reduced expectation of privacy as a motorist and an arrestee, the minimal intrusiveness of a breath test, and the compelling interest in combating drunk driving, the implied-consent statute did not clearly and unmistakably violate the Fourth Amendment. Burr v. State, 2016 Ark. App. 182, 487 S.W.3d 395 (2016).

Circuit court erred in finding that a blood draw did not implicate the Fourth Amendment where defendant's refusal to submit to a blood test pursuant to the pre-2017 version of this section would have resulted in the imposition of criminal penalties, and thus, the version of this section in effect before the 2017 amendment was unconstitutional as applied to defendant. Dortch v. State, 2018 Ark. 135, 544 S.W.3d 518 (2018) (decision under prior law).

In General.

Motorists give an implied consent to chemical tests for alcoholic content of blood. Mercer v. State, 256 Ark. 814, 510 S.W.2d 539 (1974).

Purpose.

The intent of the General Assembly in passing this section was to mandate alcohol testing for a person stopped by a law enforcement officer when that officer has reasonable cause to believe the driver is drunk. Parsons v. State, 313 Ark. 224, 853 S.W.2d 276 (1993).

Additional Tests.

Requiring that a person be advised of his right to an additional test, under the circumstances outlined in subsection (b) of this section would render that provision meaningless. It is clear that a person incapable of refusing or consenting to being tested for blood alcohol levels need not be advised of his right to additional tests, because such a literal application of § 5-65-204(e) (now (d)) would lead to absurd consequences. Clark v. State, 26 Ark. App. 268, 764 S.W.2d 458 (1989).

Admonition Forms.

Arkansas does not have a statutorily prescribed implied-consent admonition form. Johnson v. State, 314 Ark. 471, 863 S.W.2d 305 (1993).

Assistance of Counsel.

There is no constitutional right to counsel in connection with this chemical test. Marx v. State, 291 Ark. 325, 724 S.W.2d 456 (1987).

Defendant's conviction was affirmed even though he claimed that he was confused by the conduct of the law enforcement officers, in that after being given his Miranda rights, he was then read his rights under the implied consent statute, and he was told that he did not have a right to consult with his attorney prior to taking the breathalyzer test. Carroll v. State, 35 Ark. App. 141, 814 S.W.2d 913 (1991).

Conviction.

A defendant does not have to be convicted of DWI before he can be convicted of refusing to submit to a blood test. State v. Schaub, 310 Ark. 76, 832 S.W.2d 843 (1992); Huitt v. State, 39 Ark. App. 69, 837 S.W.2d 482 (1992).

The Court of Appeals held that Gober v. State, 22 Ark. App. 121, 736 S.W.2d 18 (1987), was wrongly decided and overruled Gober to the extent that it holds that a DWI conviction is a prerequisite to a conviction for refusing a blood alcohol test pursuant to § 5-65-202(a)(1) (Supp. 1989). Huitt v. State, 39 Ark. App. 69, 837 S.W.2d 482 (1992).

Evidence.

Arrest is not necessarily a prerequisite before blood alcohol content, determined pursuant to sample, would be admissible in evidence. Mercer v. State, 256 Ark. 814, 510 S.W.2d 539 (1974) (decision under prior law).

Where defendant was stopped by police officers because of his driving and after the officers talked with defendant, defendant turned and shot officer and thereafter both officers and defendant were injured and taken to hospital and the treating physician ordered a blood test on defendant and such defendant was charged with assault with intent to kill, the provisions of §§ 5-65-2025-65-205 with regard to the taking of a blood test had no application. Turner v. State, 258 Ark. 425, 527 S.W.2d 580 (1975) (decision under prior law).

Evidence held sufficient to find that there was ample cause for the officer to require defendant to submit to a breath test. Elam v. State, 286 Ark. 174, 690 S.W.2d 352 (1985).

Since defendant's parked car created a traffic hazard, the officers had specific, particular, and articulable reasons to suspect that a misdemeanor involving danger of injury to persons or property was being committed by the defendant; thus, the stop was reasonable under Ark. R. Crim. P. 3.1, and the evidence of driving while intoxicated was admissible. Dacus v. State, 16 Ark. App. 222, 699 S.W.2d 417 (1985) (decision under prior law).

Conviction for violation of this section upheld where defendant failed the field sobriety tests and refused to submit to a breathalyzer test, and where two police officers smelled intoxicants on defendant; the evidence was sufficient for police to have a reasonable belief that defendant was intoxicated. Peterson v. State, 81 Ark. App. 226, 100 S.W.3d 66 (2003).

Lesser-Included Offenses.

Violation of the implied consent law is not a lesser-included offense of driving while intoxicated, and the offense of driving while intoxicated is not a lesser-included offense of violation of the implied consent law. Frana v. State, 323 Ark. 1, 912 S.W.2d 930 (1996).

Operation or Control of Vehicle.

The phrase “while operating or in actual physical control of a motor vehicle” sets forth a condition precedent to a violation of the implied-consent law as set forth in subsection (a)(3); thus, a defendant was entitled to a reversal of his conviction under this section where he was not in actual physical control of a vehicle when he refused to take a breath test. Stephenson v. City of Fort Smith, 71 Ark. App. 190, 36 S.W.3d 754 (2000).

Reasonable Cause.

This section does not expressly require that an officer develop a reasonable belief of intoxication before a stop is made. Parsons v. State, 313 Ark. 224, 853 S.W.2d 276 (1993).

The time a police officer must develop a reasonable belief of intoxication is only at the time of arrest. Parsons v. State, 313 Ark. 224, 853 S.W.2d 276 (1993).

Police officer's observations of the smell of alcohol and defendant's bloodshot eyes, coupled with the fact that defendant refused a portable breath test and admitted to the officer that he had been drinking, were sufficient to constitute reasonable cause that he was intoxicated; the trial court's ruling denying defendant's motion to suppress the breathalyzer results was not clearly against the preponderance of the evidence. Hilton v. State, 80 Ark. App. 401, 96 S.W.3d 757 (2003).

Search Warrant.

In a driving while intoxicated case, a trial court did not err by denying a motion to suppress the results of a blood-alcohol test taken pursuant to a search warrant because the chemical test that may not be given under subsection (a) of § 5-65-205 after the accused refuses to submit to a chemical test is limited to the warrantless test authorized by this section. Metzner v. State, 2015 Ark. 222, 462 S.W.3d 650 (2015).

Submission to Testing.

A defendant need not be apprised of the consequences of refusing to submit to a chemical test. Johnson v. State, 314 Ark. 471, 863 S.W.2d 305 (1993).

No U.S. Const. amend. IV violation occurred when a trial court denied defendant's motion to suppress evidence of defendant's refusal to take a breath test because defendant's consent to testing was implied and no warrant was required for the search. Tiller v. State, 2014 Ark. App. 431, 439 S.W.3d 705 (2014).

Circuit court erred in finding that defendant had voluntarily consented to the blood draw where it did not hold a suppression hearing or consider evidence regarding the voluntariness of consent. Dortch v. State, 2018 Ark. 135, 544 S.W.3d 518 (2018) (decision under prior law).

Testing Options.

Where the officer gave the motorist the option of submitting to either a urine or a blood test, the motorist could not properly refuse without penalty. Mace v. State, 328 Ark. 536, 944 S.W.2d 830 (1997).

Violation.

A violation of this section occurs when a police officer has reasonable cause to believe the operator or person in actual physical control of a motor vehicle is intoxicated, the police officer directs the operator to submit to a blood test, and the operator refuses to do so. State v. Schaub, 310 Ark. 76, 832 S.W.2d 843 (1992).

Cited: St. Paul Ins. Co. v. Touzin, 267 Ark. 539, 592 S.W.2d 447 (1980); Watson v. Frierson, 272 Ark. 316, 613 S.W.2d 824 (1981); Anable v. Ford, 653 F. Supp. 22 (W.D. Ark. 1985); Gullett v. State, 18 Ark. App. 97, 711 S.W.2d 836 (1986); Spicer v. State, 32 Ark. App. 209, 799 S.W.2d 562 (1990); Enoch v. State, 37 Ark. App. 103, 826 S.W.2d 291 (1992).

5-65-203. Administration of a chemical test.

  1. One (1) or more chemical tests authorized in § 5-65-202 shall be administered at the direction of a law enforcement officer having reasonable cause to believe the person to have been operating or in actual physical control of a motorboat on the waters of this state or a motor vehicle while intoxicated or while there was an alcohol concentration of eight hundredths (0.08) or more in the person's breath or blood.
    1. The law enforcement agency by which the law enforcement officer is employed shall designate which chemical test or chemical tests shall be administered, and the law enforcement agency is responsible for paying any expense incurred in conducting the chemical test or chemical tests.
    2. If the person tested requests that additional chemical test or chemical tests be made as authorized in § 5-65-204(d), the cost of the additional chemical test or chemical tests shall be borne by the person tested, unless the person is found not guilty, in which case the arresting law enforcement agency shall reimburse the person for the cost of the additional chemical test or chemical tests.
    3. If a person objects to the taking of his or her blood for a chemical test as authorized in this chapter, the breath, saliva, or urine of the person may be used for the chemical test.

History. Acts 1969, No. 106, § 1; 1971, No. 55, § 1; 1971, No. 306, § 1; 1973, No. 127, § 1; 1975, No. 660, § 1; 1983, No. 549, § 11; A.S.A. 1947, § 75-1045; Acts 1987, No. 75, § 1; 2001, No. 561, § 8; 2009, No. 431, § 2; 2013, No. 361, § 5; 2015, No. 299, § 8.

Amendments. The 2001 amendment substituted “an alcohol concentration … breath or blood” for “one-tenth of one percent (0.10%) or more of alcohol in the person's blood” in (a); redesignated former (b) through (b)(2) as present (b)(1) through (b)(3); deleted “aforesaid” preceding “tests shall be” in (b)(1); added “unless the person … the additional tests” in (b)(2); and substituted “in this chapter” for “herein” in (b)(3).

The 2009 amendment substituted “One (1) or more chemical tests authorized in § 5-65-202” for “A chemical test” in (a); inserted “or chemical tests” in five places throughout (b); and made a minor stylistic change.

The 2013 amendment, in (b)(3), inserted “saliva” and substituted “for the chemical test” for “to make the chemical analysis”.

The 2015 amendment added “of a chemical test” in the section heading; inserted “motorboat on the waters of this state or a” in (a); and substituted “a person” for “any person” in (b)(3).

Research References

U. Ark. Little Rock L.J.

Survey — Criminal Procedure, 10 U. Ark. Little Rock L.J. 567.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

Applicability.

Where defendant was stopped by police officers because of his driving and after the officers talked with defendant, defendant turned and shot officer and thereafter both officers and defendant were injured and taken to hospital and the treating physician ordered a blood test on defendant and such defendant was charged with assault with intent to kill, the provisions of §§ 5-65-2025-65-205 with regard to the taking of a blood test had no application. Turner v. State, 258 Ark. 425, 527 S.W.2d 580 (1975) (decision prior to 1983 amendment).

Additional Tests.

Where the evidence disclosed that the arresting officer did not advise the defendant driver that if he objected to the taking of his blood for a blood alcohol test, a breath or urine test might be taken at his own expense, did not mean that all testimony with regard to the test was inadmissible under the provisions of § 5-65-204; since the defendant did not have any test results introduced into evidence against him, he was not deprived of any statutory rights when the trial court permitted the arresting officer to testify that the defendant refused to submit to a blood alcohol test. Whaley v. State, 11 Ark. App. 248, 669 S.W.2d 502 (1984).

The statutory remedy for a person who is not afforded the opportunity to obtain an additional test as provided under this section is exclusion of any chemical test taken at the direction of law enforcement officers pursuant to § 5-65-204. Grayson v. State, 30 Ark. App. 105, 783 S.W.2d 75 (1990).

Certification of Officers.

The Court of Appeals could not consider the defendant's argument that the state failed to prove that the police officer was certified where the defendant failed to object to the police officer's testimony or question his status upon cross-examination, but instead first raised the issue in his motion for directed verdict at the close of the state's case. Miller v. State, 19 Ark. App. 36, 715 S.W.2d 885 (1986).

Expenses.

If a particular law enforcement agency designates that chemical tests will be administered, the agency is responsible for paying any expenses involved, but if the accused requests the tests, he shall bear the expense. Ballew v. State, 305 Ark. 542, 809 S.W.2d 374 (1991).

Reasonable Cause.

Evidence held sufficient to find that there was ample cause for the officer to require defendant to submit to a breath test. Elam v. State, 286 Ark. 174, 690 S.W.2d 352 (1985).

Where defendant was not arrested for any act committed while driving while intoxicated, nor was he involved in a fatal accident or stopped by an officer who had reasonable cause to believe that he was intoxicated, defendant was not deemed to have consented to take the blood alcohol test even though he was found in physical control of a vehicle while intoxicated. Roberts v. State, 287 Ark. 451, 701 S.W.2d 112 (1985).

Since defendant's parked car created a traffic hazard, the officers had specific, particular, and articulable reasons to suspect that a misdemeanor involving danger of injury to persons or property was being committed by the defendant; thus, the stop was reasonable under Ark. R. Crim. P. 3.1, and the evidence of driving while intoxicated was admissible. Dacus v. State, 16 Ark. App. 222, 699 S.W.2d 417 (1985).

Where an officer detects a defendant's flushed appearance, slurred speech, and uneasiness on his feet, along with the odor of alcohol, ample cause for requiring the breath test exits. Cook v. State, 37 Ark. App. 27, 823 S.W.2d 916 (1992).

Testing Options.

Where the officer gave the motorist the option of submitting to either a urine or a blood test, the motorist could not properly refuse without penalty. Mace v. State, 328 Ark. 536, 944 S.W.2d 830 (1997).

Cited: St. Paul Ins. Co. v. Touzin, 267 Ark. 539, 592 S.W.2d 447 (1980); Watson v. Frierson, 272 Ark. 316, 613 S.W.2d 824 (1981); Gullett v. State, 18 Ark. App. 97, 711 S.W.2d 836 (1986); State v. Schaub, 310 Ark. 76, 832 S.W.2d 843 (1992); Roberts v. State, 324 Ark. 68, 919 S.W.2d 192 (1996); Peterson v. State, 81 Ark. App. 226, 100 S.W.3d 66 (2003).

5-65-204. Validity — Approved methods.

    1. As used in this chapter, § 5-10-105, § 5-75-101 et seq., and § 5-76-101 et seq. [repealed], “alcohol concentration” means either:
      1. Grams of alcohol per one hundred milliliters (100 ml) or one hundred cubic centimeters (100 cc) of blood; or
      2. Grams of alcohol per two hundred ten liters (210 l) of breath.
    2. The alcohol concentration of urine, saliva, or other bodily substance is based upon grams of alcohol per one hundred milliliters (100 ml) or one hundred cubic centimeters (100 cc) of blood, the same being percent weight per volume or percent alcohol concentration.
      1. A chemical test made to determine the presence and amount of alcohol in a person's blood, urine, saliva, or breath to be considered valid under this chapter shall be performed according to a method approved by the Department of Health and State Board of Health or by an individual possessing a valid certificate issued by the department for this purpose.
      2. The department may:
        1. Approve satisfactory techniques or methods for the chemical test;
        2. Ascertain the qualifications and competence of an individual to conduct the chemical test; and
        3. Issue a certificate that is subject to termination or revocation at the discretion of the department.
        1. An auxiliary law enforcement officer appointed as a reserve law enforcement officer and certified by the department in the operation of an instrument used to determine the alcohol content of the breath may operate an instrument used to determine the alcohol content of the breath under this chapter.
        2. The department shall promulgate rules to implement subdivision (b)(1)(C)(i) of this section.
    1. However, a method of chemical analysis of a person's blood, urine, saliva, or other bodily substance made by the State Crime Laboratory for determining the presence of one (1) or more controlled substances or any intoxicant is exempt from approval by the department or the board.
    1. When a person submits to a blood test at the request of a law enforcement officer under a provision of this section or because a warrant has been issued to take a sample of the person's blood, blood may be drawn by a physician or a person acting under the direction and supervision of a physician.
    2. The limitation in subdivision (c)(1) of this section does not apply to the taking of a breath, saliva, or urine specimen.
      1. No person, institution, or office in this state that withdraws blood for the purpose of determining alcohol or controlled substance content of the blood at the request of a law enforcement officer under a provision of this chapter shall be held liable for violating any criminal law of this state in connection with the withdrawing of the blood.
      2. No physician, institution, or person acting under the direction or supervision of a physician shall be held liable in tort for the withdrawal of the blood unless the person is negligent in connection with the withdrawal of the blood or the blood is taken over the objections of the subject.
    1. The person tested may have a physician or a qualified technician, registered nurse, or other qualified person of his or her own choice administer a complete chemical test in addition to any chemical test administered at the direction of a law enforcement officer.
    2. The law enforcement officer shall advise the person in writing of the right provided in subdivision (d)(1) of this section and that if the person chooses to have an additional chemical test and the person is found not guilty, the arresting law enforcement agency shall reimburse the person for the cost of the additional chemical test.
    3. The refusal or failure of a law enforcement officer to advise a person of the right provided in subdivision (d)(1) of this section and to permit and assist the person to obtain a chemical test under subdivision (d)(1) of this section precludes the admission of evidence relating to a chemical test taken at the direction of a law enforcement officer.
  1. Upon the request of the person who submits to a chemical test at the request of a law enforcement officer or because a warrant has been issued to take a sample of the person's blood, full information concerning the chemical test shall be made available to the person or to his or her attorney.

History. Acts 1969, No. 106, §§ 1, 2; 1971, No. 55, § 1; 1971, No. 306, § 1; 1973, No. 127, § 1; 1975, No. 660, § 1; 1983, No. 549, § 11; 1985, No. 169, § 1; A.S.A. 1947, §§ 75-1045, 75-1046; Acts 1989, No. 361, § 1; 2001, No. 561, §§ 9, 10; 2005, No. 886, § 1; 2011, No. 1240, § 1; 2013, No. 361, § 6; 2017, No. 1031, §§ 2, 3.

Amendments. The 2001 amendment, in (c), inserted “or breath” and deleted “Arkansas” preceding “State Board of Health”; redesignated the three sentences in former (e) as present (e)(1) through (e)(3); substituted “the person in writing … additional test” for “the person of this right” in (e)(2); and, in (e)(3), substituted “advise a person” for “advise such person” and “obtain a test” for “obtain such test.”

The 2011 amendment, in (b)(1)(A), substituted “analysis” for “analyses”, “this chapter” for “the provisions of this act”, and “Department of Health” for “Division of Health of the Department of Health and Human Services”; substituted “certificate” for “permit” in (b)(1)(A) and (b)(1)(B)(iii); substituted “department” for “division” in (b)(1)(A), the introductory language of (b)(1)(B), and (b)(1)(B)(iii); and inserted (b)(1)(C).

The 2013 amendment rewrote the introductory language of (a)(1); substituted “urine, saliva, or other bodily substance” for “other bodily substances” in (a)(2); substituted “chemical test” for “chemical analysis” in (b)(1)(A) and (b)(1)(B); inserted “saliva” and “and State Board of Health” in (b)(1)(A); in (b)(2), inserted “saliva” and substituted “department” for “division”; deleted former (c); and redesignated (d) as (c); and, in (c)(2), substituted “subdivision (c)(1)” for “subdivision (d)(1)” and inserted “saliva”.

The 2017 amendment inserted “or because a warrant has been issued to take a sample of the person's blood” in (c)(1) and (e).

Research References

U. Ark. Little Rock L.J.

Seventeenth Annual Survey of Arkansas Law — Criminal Procedure, 17 U. Ark. Little Rock L.J. 449.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

Construction.

Section 5-65-103, as amended in 2001, sets the legal limit for blood alcohol concentration and must be read in conjunction with subdivision (a)(1) of this section, which defines the alcohol concentration computation; hence, where defendant stipulated that his blood alcohol concentration as revealed in breathalyzer test results was 0.109, his conviction for per se violation of § 5-65-103(b) (see now (a)(2)) was affirmed on appeal. Bramlett v. State, 356 Ark. 200, 148 S.W.3d 278 (2004).

Applicability.

This section is limited to those tests ordered either by a police officer or a defendant in connection with a criminal charge relating to sobriety. Weaver v. State, 290 Ark. 556, 720 S.W.2d 905 (1986).

The requirements set out in this section need not be met when the blood test is not ordered by the police or the defendant for use as evidence at trial, but has been ordered by hospital personnel for their own use in connection with the treatment of a patient. McVay v. State, 312 Ark. 73, 847 S.W.2d 28 (1993).

Additional Tests.

Where there was other evidence of intoxication which made, of itself, a question of fact, the introduction of evidence that the defendant was not advised of his right to have a person of his choice, in addition to the officer giving the test, to administer the breatholator test furnished no basis for the granting of the motion to dismiss the charge of driving a motor vehicle while under the influence of intoxicants. Small v. City of Little Rock, 253 Ark. 7, 484 S.W.2d 81 (1972).

Where defendant had refused to take an intoximeter test, the introduction of the refusal into evidence on the charge of driving while under the influence of intoxicants was not prejudicial even though defendant had not been advised that the arresting officer would have assisted him in securing an independent medical opinion. Fletcher v. City of Newport, 260 Ark. 476, 541 S.W.2d 681 (1976).

Blood alcohol level breathalyzer test results were admissible in a prosecution for driving while intoxicated where the arresting officers advised the defendant that he could request a different type of test, but the defendant did not request a different test, even though the officers failed to advise him that he had the right to have a qualified person administer additional tests of his choosing. Doyle v. Jackson County Nat'l Bank, 284 Ark. 303, 681 S.W.2d 371 (1984).

Where the evidence disclosed that the arresting officer did not advise the defendant driver that if he objected to the taking of his blood for a blood alcohol test, a breath or urine test might be taken at his own expense, did not mean that all testimony with regard to the test was inadmissible under the provisions of subsection (e) (now (d)); since the defendant did not have any test results introduced into evidence against him, he was not deprived of any statutory rights when the trial court permitted the arresting officer to testify that the defendant refused to submit to a blood alcohol test. Whaley v. State, 11 Ark. App. 248, 669 S.W.2d 502 (1984).

It is clear that subsection (e) (now (d)) requires that a person be advised of his or her right to a second test, but it does not dictate that a written waiver of that test be obtained; therefore, a written waiver of rights form is not a mandatory prerequisite of the foundation needed to be laid prior to introduction of any breathalyzer test results. Robertson v. State, 12 Ark. App. 243, 674 S.W.2d 947 (1984).

Written warning held to be sufficient compliance with this section since subsection (e) (now (d)) only requires that an individual be advised that he can have tests “in addition to any test administered at the direction of a law enforcement officer.” Sparrow v. State, 284 Ark. 396, 683 S.W.2d 218 (1985).

This section only requires a police officer's reasonable assistance in helping an accused obtain an additional blood alcohol test; it does not require the officer to pay for the additional test. Williford v. State, 284 Ark. 449, 683 S.W.2d 228 (1985).

Testimony held to constitute sufficient evidence by which the trier of fact could have concluded that the defendant did not ask for a different test. Girdner v. City of Kensett, 285 Ark. 70, 684 S.W.2d 808 (1985).

Where the police, after administering a blood test to the defendant, advised the defendant that he had a right to an additional blood or urine test, the police substantially complied with the requirements of subsection (e) (now (d)) even though they did not mention an additional breath test; substantial compliance with subsection (e) (now (d)) is all that is required for the result of the test to be admitted into evidence. Hegler v. State, 286 Ark. 215, 691 S.W.2d 129 (1985).

Where defendant was fully advised of his right to an additional test, and his request that his own physician in another city perform the test was refused, the results of the intoxilyzer test were properly admitted; the provision for assistance does not extend to transporting the accused to another locale, when there is no showing that facilities at the place of arrest are inadequate to perform the necessary tests. Weatherford v. State, 286 Ark. 376, 692 S.W.2d 605 (1985).

Breathalyzer test results were inadmissible where defendant, who was not advised of the full range of tests available to him, requested an additional test and this test was not given nor was defendant aided in obtaining another test. Mitchell v. City of North Little Rock, 15 Ark. App. 331, 692 S.W.2d 624 (1985).

The results of the breath test were admissible even though the defendant was not advised that he had a right to an additional breath test pursuant to this section where he was asked if he wanted a blood test and he was allowed five or six phone calls to raise the money for a blood test, even though he was unsuccessful, and no additional test was administered. Mitchell v. City of North Little Rock, 15 Ark. App. 331, 692 S.W.2d 624 (1985).

Defendant was properly advised of his right to a second test. Marx v. State, 291 Ark. 325, 724 S.W.2d 456 (1987).

Defendant was not denied due process of law because he was not informed of his right to an independent test for intoxication. There is no such requirement unless he is given a test at the direction of a law enforcement officer. Patrick v. State, 295 Ark. 473, 750 S.W.2d 391 (1988).

Requiring that a person be advised of his right to an additional test, under the circumstances outlined in § 5-65-202(b) would render that provision meaningless. It is clear that a person incapable of refusing or consenting to being tested for blood alcohol levels need not be advised of his right to additional tests, because such a literal application of subsection (e) (now (d)) of this section would lead to absurd consequences. Clark v. State, 26 Ark. App. 268, 764 S.W.2d 458 (1989).

Law enforcement personnel adequately assisted defendant in obtaining additional blood alcohol testing as required by this section. Fiegel v. City of Cabot, 27 Ark. App. 146, 767 S.W.2d 539 (1989).

The statutory remedy for a person who is not afforded the opportunity to obtain an additional test as provided under § 5-65-203 is exclusion of any chemical test taken at the direction of law enforcement officers pursuant to subsection (e) (now (d)). Grayson v. State, 30 Ark. App. 105, 783 S.W.2d 75 (1990).

Where no breathalyzer test was completed, the arresting officer was not required to advise the defendant of his right to an additional chemical test or assist him in obtaining it. McEntire v. State, 305 Ark. 470, 808 S.W.2d 762 (1991).

Where a breathalyzer test was refused by defendant, there was no requirement under this section that an independent chemical test be afforded her. Calnan v. State, 310 Ark. 744, 841 S.W.2d 593 (1992).

In order to comply with the “permit and assist” provision of subdivision (e)(2) (now (d)(3)) of this section, the officer must provide only such assistance for additional testing as is reasonable at the place and time of the particular case. Hudson v. State, 43 Ark. App. 190, 863 S.W.2d 323 (1993).

Assistance offered to the defendant by the police officer was reasonable under the circumstances and the officer's actions constituted substantial compliance with this section. Hudson v. State, 43 Ark. App. 190, 863 S.W.2d 323 (1993).

Trial court properly admitted blood-alcohol test results, although destruction of sample prevented additional tests, where defendant waived his right to his own analysis, there was no evidence of bad faith, exculpatory value of sample was not apparent, and defendant put on expert evidence that test results could be inaccurate. Kenyon v. State, 58 Ark. App. 24, 946 S.W.2d 705 (1997).

Trial court erred in allowing police officer to testify as to a breathalyzer test because the officer complied with only part of this section; although the officer advised defendant that he could have an additional test at his own expense and offered to assist him in obtaining one, it was undisputed that the officer failed to advise defendant that he would be reimbursed for the cost of the test if found not guilty. Daniels v. State, 84 Ark. App. 263, 139 S.W.3d 140 (2003).

Where defendant was arrested for driving while intoxicated, although the notice given to defendant by the officers regarding her right to have a different sobriety test was incomplete, defendant was notified that she could request a different type of test but failed to do so; thus, defendant was not permitted to exclude the results of her breathalyzer test. Reynolds v. State, 96 Ark. App. 360, 241 S.W.3d 765 (2006).

Trial court did not err in admitting the breathalyzer test results despite defendant's objection that he failed to receive his requested second test. The trooper substantially complied with the requirements of this section for providing reasonable assistance where he explained his standard practice was to advise the subject of his right to obtain a second test verbally and in writing, which was established with the introduction of the rights form signed by defendant, to explain that the cost of a second test was the subject's responsibility, and upon release from custody late at night to advise subjects that the second test would need to be administered at the local emergency room. Briggs v. State, 2015 Ark. App. 364, 465 S.W.3d 24 (2015).

Appeals.

A challenge as to the compliance with this section was not considered on appeal where the appellate court held that any error arising from the admission of the test result was harmless in that there was other evidence presented forcefully suggesting that defendant was intoxicated. Tallant v. State, 42 Ark. App. 150, 856 S.W.2d 24 (1993).

Burden of Proof.

When a defendant moves to exclude a test pursuant to subdivision (e)(2) (now (d)(3)) of this section, the state bears the burden of proving by a preponderance of the evidence that the defendant was advised of his right to have an additional test performed and that he was assisted in obtaining a test. Kay v. State, 46 Ark. App. 82, 877 S.W.2d 957 (1994).

In his appeal of a conviction for DWI, defendant successfully challenged the analysis of his urine, which allegedly tested positive for cannabinoids; because the chemical analysis was for an intoxicant other than alcohol and the state failed to meet its burden, under this section, that the test was done pursuant to required methods or by a certified individual, the trial court erred in finding the test to be admissible. Tenner v. State, 88 Ark. App. 123, 195 S.W.3d 383 (2004).

Compliance.

In action for damages arising from automobile accident, it was error to admit record of blood sample taken from plaintiff's deceased, where plaintiff objected that the report did not indicate by whom the blood sample was taken, it appearing that a certain person did take the sample but that there was no evidence that this person was a physician or registered nurse. Simolin v. Wilson, 253 Ark. 545, 487 S.W.2d 603 (1972) (decision prior to 1975 amendment).

For cases discussing the prejudicial effect of failure to comply with Department of Health rules and regulations, see Munn v. State, 257 Ark. 1057, 521 S.W.2d 535 (1975); Cossey v. State, 267 Ark. 679, 590 S.W.2d 60 (Ct. App. 1979); Nicholas v. State, 268 Ark. 541, 595 S.W.2d 237 (Ct. App. 1980).

In civil litigation, as well as in criminal cases, substantial compliance with §§ 5-65-2025-65-205 and with the Health Department rules governing blood-alcohol tests, is all that is demanded to make such test results admissible. Munn v. State, 257 Ark. 1057, 521 S.W.2d 535 (1975); St. Paul Ins. Co. v. Touzin, 267 Ark. 539, 592 S.W.2d 447 (1980); Tharp v. State, 294 Ark. 615, 745 S.W.2d 612 (1988); Goode v. State, 303 Ark. 609, 798 S.W.2d 430 (1990).

Even certified operators may not ignore the Department of Health regulations on operation and maintenance of the chromatograph, if their testimony is to form the basis of a presumption of intoxication. Cossey v. State, 267 Ark. 679, 590 S.W.2d 60 (Ct. App. 1979).

Evidence held sufficient to find that there was a sufficient degree of compliance with §§ 5-65-2025-65-205 and the Department of Health's rules so that the test results were admissible. St. Paul Ins. Co. v. Touzin, 267 Ark. 539, 592 S.W.2d 447 (1980); Sparrow v. State, 284 Ark. 396, 683 S.W.2d 218 (1985); Tharp v. State, 294 Ark. 615, 745 S.W.2d 612 (1988).

Tests used to determine the alcohol content of blood must be carefully monitored to assure reliability; however, only substantial compliance with health department regulations is required. Tallant v. State, 42 Ark. App. 150, 856 S.W.2d 24 (1993).

Officer advice concerning defendant's right to an additional test by the person of his choice literally complied with this section, and the trial court's finding of reasonable assistance to obtain another test was not clearly against the preponderance of the evidence. Kay v. State, 46 Ark. App. 82, 877 S.W.2d 957 (1994).

Because the breathalyzer test was not illegally obtained, Ark. R. Crim. P. 16.2 did not apply, and as no argument was made that a conflict existed between the rules and this section, defendant's motion to prohibit the introduction of the breathalyzer test into evidence was not a motion to suppress and the trial court erred in admitting the breathalyzer results over the objection of defendant where the form used to advise defendant failed to meet the statutory requirements. Mhoon v. State, 369 Ark. 134, 251 S.W.3d 244 (2007).

Circuit court erred in allowing the results of defendant's blood-alcohol test into evidence because the state failed to provide evidence that the blood was drawn by a physician or a person acting under the direction and supervision of a physician as required by this section; there was no evidence that the medical center employee who drew defendant's blood was a registered nurse, otherwise qualified to withdraw blood, or performing his normal duties of withdrawing blood from a patient, and there was no evidence that the employee was acting under the supervision or direction of a physician at the time defendant's blood was drawn. Bates v. State, 2011 Ark. App. 446, 384 S.W.3d 654 (2011).

Evidence.

Where, in prosecution for driving while intoxicated, the blood alcohol test was not ordered by a defendant or an officer of the law, but was ordered by an emergency room physician for his own use in connection with his treatment of a patient, the question was not whether the test complied with the strict procedures of this section, but whether the test results were admissible under Evid. Rule 803(4). Weaver v. State, 290 Ark. 556, 720 S.W.2d 905 (1986).

The trial court did not err by admitting into evidence a breathalyzer log showing all tests performed on the machine for a period of five days, even though the defendant's blood alcohol content was the highest one recorded on it, where the log was admissible for the purpose of showing calibration of the machine and the defendant's test result, and the judge offered to admonish the jury to disregard the other test results or delete them, but the defendant rejected this offer. Miller v. State, 19 Ark. App. 36, 715 S.W.2d 885 (1986).

Evidence regarding procedure used to test defendant's blood alcohol held insufficient to allow introduction of test results into evidence. Mosley v. State, 22 Ark. App. 29, 732 S.W.2d 861 (1987).

Section 5-65-103 states that it is unlawful for a person to operate a motor vehicle if at that time there was one-tenth of one percent (0.10%) or more by weight of alcohol in the person's blood. However, subsection (a) of this section states that percent by weight of alcohol in the blood shall be based upon milligrams of alcohol per one hundred (100) cubic centimeters of blood. Clark v. State, 26 Ark. App. 268, 764 S.W.2d 458 (1989).

This section merely sets out conditions affecting the admissibility of the initial breathalyzer test. A question of admissibility is distinguishable from the suppression of evidence contemplated by Ark. R. Crim. P. 24.3(b). Scalco v. State, 42 Ark. App. 134, 856 S.W.2d 23 (1993).

A showing that a blood alcohol chemical analysis was made by a method approved by the Director of the State Board of Health and/or the Director of the Arkansas State Police, as required by this section, is part of the foundation to be laid for the introduction of the results of such tests or analysis and the burden is upon the state to establish it. Caffey v. State, 43 Ark. App. 160, 862 S.W.2d 293 (1993).

Results of a blood alcohol chemical analysis test should not have been introduced into evidence without a showing that the procedures performed were in compliance with the Arkansas State Department of Health regulations, as required under this section. Caffey v. State, 43 Ark. App. 160, 862 S.W.2d 293 (1993).

Although § 5-65-206 does not require a machine operator's testimony, or his certificate, as a prerequisite to the introduction of chemical analysis test results, this section requires a blood sample to be collected in keeping with certain Board of Health methods in order for the test to be admissible in evidence. Caffey v. State, 43 Ark. App. 160, 862 S.W.2d 293 (1993).

Jury Instructions.

Trial court did not err in rejecting a DUI defendant's proffered jury instructions because the instructions' omission of any reference to chemical testing or chemical analysis failed to take into account § 5-65-103's incorporation of this section, which describes “the chemical analysis of a person's blood, urine, or breath.” The model jury instruction represented a more accurate reflection of the law, although it did not address the 2001 amendment to § 5-65-103, which had eliminated the phrase “as determined by a chemical test.” Graham v. State, 2012 Ark. App. 90, 389 S.W.3d 33 (2012).

Physician's Direction.

A registered nurse taking a defendant's blood sample following standard hospital policy with a physician on call meets the requirements and purpose of subsection (d), requiring the sample be taken “under the direction and supervision of a physician.” Gavin v. State, 309 Ark. 158, 827 S.W.2d 161 (1992).

Second Blood-Alcohol Test.

There is no requirement in subsection (e) (now (d)) of this section that the results of the first blood alcohol test be furnished so that the person tested can decide whether to request a second test; moreover, subsection (e) (now (d)), as currently drafted, makes good common sense. Even without knowing the results of the first test, the person whose blood is examined may well want to have a second test performed immediately to assure the validity and accuracy of the testing procedures. State v. Johnson, 317 Ark. 226, 876 S.W.2d 577 (1994).

Police substantially complied with the requirement of § 5-65-204 that they assist defendant in obtaining an independent blood alcohol test, by giving the uncooperative defendant a phone book and directing him to contact a local hospital upon his release from jail. Lampkin v. State, 81 Ark. App. 434, 105 S.W.3d 363 (2003).

This section required the arresting officer to advise defendant of his right to obtain a second independent blood test, and defendant did not dispute that this occurred, and to permit and assist defendant in obtaining it. The trial court did not clearly err in finding that the officer substantially complied with the statute. Ebel v. State, 2014 Ark. App. 588, 445 S.W.3d 553 (2014).

Suppression of Evidence.

A motion to exclude evidence of the breathalyzer test on grounds that the officer had failed to advise defendant of his right to an additional test and to assist him in obtaining such a test as required by this section is not a motion to suppress evidence under Ark. R. Crim. P. 16.2. Kay v. State, 46 Ark. App. 82, 877 S.W.2d 957 (1994).

Circuit court did not err in denying defendant's motion to suppress the evidence of his blood-alcohol test results because he had signed both the Miranda and Arkansas Statements of Rights forms and agreed to submit to the blood-alcohol test and there was no conflict between Ark. R. Crim. P. 12.3(b) and subdivision (c)(1) of this section regarding the person(s) authorized to do blood testing where the Rule did not apply to blood tests obtained by consent. Roe v. State, 2015 Ark. App. 693, 477 S.W.3d 551 (2015).

Waiver.

The driver of the automobile cannot waive the requirements as to the method of withdrawing the blood and the method of testing, inasmuch as the requirements were placed in the statute to assure the public and the driver that they could rely upon the tests in connection with highway safety in general. Newton v. Clark, 266 Ark. 237, 582 S.W.2d 955 (1979).

Cited: Turner v. State, 258 Ark. 425, 527 S.W.2d 580 (1975); Watson v. Frierson, 272 Ark. 316, 613 S.W.2d 824 (1981); Hughes v. State, 17 Ark. App. 34, 705 S.W.2d 455 (1986); Gullett v. State, 18 Ark. App. 97, 711 S.W.2d 836 (1986); Ballew v. State, 305 Ark. 542, 809 S.W.2d 374 (1991); King v. State, 42 Ark. App. 97, 854 S.W.2d 362 (1993); Scalco v. City of Russellville, 318 Ark. 61, 883 S.W.2d 813 (1994); Taylor v. State, 2011 Ark. App. 215 (2011).

5-65-205. Refusal to submit to a chemical test.

    1. If a person under arrest refuses upon the request of a law enforcement officer to submit to a chemical test designated by the law enforcement agency as provided in § 5-65-202:
      1. A chemical test shall not be given;
      2. The person's motor vehicle operator's license, permit, or other evidence of driving privilege shall be seized by the law enforcement officer; and
      3. The law enforcement officer shall immediately deliver to the person from whom the motor vehicle operator's license, permit, or other evidence of driving privilege was seized a temporary driving permit under § 5-65-402.
    2. Refusal to submit to a chemical test under this subsection is a strict liability offense and is a violation.
    1. The Office of Driver Services shall suspend or revoke the driving privilege of an arrested person who refuses to submit to a chemical test under this subchapter.
      1. A person who refuses to submit to a chemical test of his or her breath, saliva, or urine for the purpose of determining the alcohol concentration or controlled substance content of the person's blood or breath shall have his or her driving privileges:
        1. Suspended for one hundred eighty (180) days for a first offense;
        2. Suspended for two (2) years for a second offense occurring within five (5) years of the first offense;
        3. Revoked for three (3) years for a third offense occurring within five (5) years of the first offense; and
        4. Revoked for his or her lifetime for a fourth offense occurring within five (5) years of the first offense.
      2. The office may issue an ignition interlock restricted license under § 5-65-118 immediately, but only:
        1. To a person who is arrested for a first offense under this section; and
        2. When the person is arrested for operating or being in actual physical control of a motor vehicle or motorboat while intoxicated by the ingestion of alcohol.
      3. The restricted driving permit provision of § 5-65-120 does not apply to a suspension for a first offense under this section.
  1. The office shall consider any of the following that occurred within the five (5) years immediately before the current offense a previous offense for the purposes of enhancing the administrative penalty under this section:
    1. A conviction for an offense of refusing to submit to a chemical test; and
    2. A suspension or revocation of driving privileges for an arrest for refusing to submit to a chemical test when the person was not subsequently acquitted of the criminal charge.
  2. The office shall deny the issuance of a license or permit to operate a motor vehicle to a person who is a resident and who violates this section but who does not have a license or permit to operate a motor vehicle, in addition to any other penalty under this section, for the following periods of time:
    1. Six (6) months for a first offense; and
    2. One (1) year for a second or subsequent offense.

History. Acts 1969, No. 106, § 1; 1971, No. 55, § 1; 1971, No. 306, § 1; 1973, No. 127, § 1; 1975, No. 660, § 1; 1983, No. 549, § 11; A.S.A. 1947, § 75-1045; Acts 1987, No. 277, § 1; 1995, No. 802, §§ 4, 5; 1999, No. 1077, § 15; 2001, No. 1501, § 3; 2003, No. 1779, § 2; 2005, No. 1234, § 1; 2007, No. 712, § 2; 2009, No. 359, § 4; 2009, No. 633, § 4, 2009, No. 748, § 30; 2013, No. 361, §§ 7, 8; 2015, No. 299, § 9; 2015, No. 1155, § 12; 2017, No. 333, § 5; 2017, No. 1031, § 4.

A.C.R.C. Notes. Pursuant to Acts 2015, No. 1155, § 17, the amendments to this section by Acts 2015, No. 1155, § 12, are superseded by the amendments to this section by Acts 2015, No. 299, § 9.

Publisher's Notes. Acts 1995, No. 802, § 5(a), is also codified, in part, as § 5-65-120(c).

Amendments. The 2001 amendment inserted “of the Revenue Division” in (b); inserted “or breath” in (b)(1), (b)(2) and (b)(4); added the last two sentences in (b)(1); added “within five (5) years of the first offense; and” in (b)(3); and made minor punctuation changes.

The 2003 amendment redesignated former (b)(1) as present (b)(1)(A); substituted “the interlock restricted license shall be available immediately” for “the suspension time for which no restricted license shall be available shall be a minimum of ninety (90) days” in (b)(1)(A); and added (b)(1)(B).

The 2009 amendment by No. 359 added (b)(1)(A)(ii)(b).

The 2009 amendment by No. 633, in (a), inserted (a)(2) and redesignated the remaining text accordingly.

The 2009 amendment by No. 748 deleted (c).

The 2013 amendment inserted “saliva” in (b)(1)(A)(i) and (b)(2) through (b)(4); inserted “concentration” in (b)(2) through (b)(4); substituted “purpose” for “purposes” in (b)(2); and inserted “or breath” in (b)(3).

The 2015 amendment by No. 299 rewrote the section.

The 2015 amendment by No. 1155 inserted “concentration” following “alcohol” in (b)(1)(A)(i).

The 2017 amendment by No. 333 inserted “concentration” in the introductory language of (b)(2)(A).

The 2017 amendment by No. 1031 deleted “blood” preceding “breath” in (b)(2)(A).

Case Notes

Constitutionality.

Admission into evidence of defendant's refusal to submit to a chemical test did not violate her Fifth Amendment right against self-incrimination. Weaver v. City of Fort Smith, 29 Ark. App. 129, 777 S.W.2d 867 (1989).

Former version of statute was not in violation of the due process or equal protection clauses. Cook v. State, 321 Ark. 641, 906 S.W.2d 681 (1995) (decision under prior law).

Defendant had no standing to challenge the validity of former implied consent provisions, since defendant was an Arkansas resident at the time of the offense, had not suffered injury as a result of this provision, nor did he belong to a class which was prejudiced by the law. O'Neill v. State, 322 Ark. 299, 908 S.W.2d 637 (1995) (decision under prior law).

Under Ark. R. Crim. P. 31.1 and 31.2 and Ark. Const., Art. 2, § 7, a defendant charged under former version of the implied consent law had the right to a jury trial, and to the extent that former statute prevented a defendant from having a jury determination, it was unconstitutional. Medlock v. State, 328 Ark. 229, 942 S.W.2d 861 (1997) (decision under prior law).

Defendant's constitutional challenge to § 5-65-202(a)(3) and subdivision (a)(2) of this section was rejected where the statutes did not clearly and unmistakably conflict with the holding of Missouri v. McNeely, 569 U.S. 141, 133 S. Ct. 1552, 185 L. Ed. 2d 696 (2013). Burr v. State, 2016 Ark. App. 182, 487 S.W.3d 395 (2016).

In view of defendant's arrest on reasonable cause, the reduced expectation of privacy as a motorist and an arrestee, the minimal intrusiveness of a breath test, and the compelling interest in combating drunk driving, the implied-consent statute did not clearly and unmistakably violate the Fourth Amendment. Burr v. State, 2016 Ark. App. 182, 487 S.W.3d 395 (2016).

Consciousness of Guilt.

Evidence of the refusal to submit to a chemical test can properly be admitted as circumstantial evidence showing consciousness of guilt of a defendant charged with offense of driving while intoxicated, and once admitted, the weight of this evidence is a question to be resolved by the trier of fact, which may also consider the circumstances surrounding the refusal and any explanation given for declining to take the test. Spicer v. State, 32 Ark. App. 209, 799 S.W.2d 562 (1990).

Conviction.

A defendant does not have to be convicted of DWI before he can be convicted of refusing to submit to a blood test. State v. Schaub, 310 Ark. 76, 832 S.W.2d 843 (1992).

Defendant's conviction under this section for refusal to submit to a test was affirmed; contrary to defendant's argument on appeal, the officer did tell defendant that he did not have a right to an attorney before the test. Lockhart v. State, 2017 Ark. 13, 508 S.W.3d 869 (2017).

Elements of Offense.

A violation occurs when the police officer has reasonable cause to believe the operator or person in actual physical control is intoxicated, the police officer directs the operator to submit to a blood test, and the operator refuses to do so. State v. Schaub, 310 Ark. 76, 832 S.W.2d 843 (1992).

Intent.

Since a conviction of refusal to submit to a chemical test can be based on any of three culpable mental states, this crime is a general intent crime for which voluntary intoxication is no defense. Menard v. State, 16 Ark. App. 219, 699 S.W.2d 412 (1985) (decision under prior law).

Specific intent is not a necessary element of this crime; the mens rea may be satisfied by proof that the accused acted recklessly or knowingly, as well as by proof that the accused acted purposely. Menard v. State, 16 Ark. App. 219, 699 S.W.2d 412 (1985) (decision under prior law).

No Citation.

Court rejected defendant's claim of error in the denial of defendant's motion for a directed verdict in her driving while intoxicated (DWI) case, and contrary to defendant's claim, proof of blood-alcohol content, although admissible as evidence tending to prove intoxication, was not necessary to sustain a DWI conviction, as under § 5-65-206(a)(2), a blood alcohol level of more than .04 but less than .08 did not give rise to a presumption of intoxication, but could be considered with other evidence in determining intoxication. Based on the eyewitness testimony, defendant's admission to drinking, her blood-alcohol reading, the failure of her field tests, the manner in which she drove the vehicle, and the witnesses' observations regarding her inebriated condition, the jury could have reasonably concluded that she was driving while intoxicated, as defined in § 5-65-102, and (1) the jury could have discounted testimony by defendant's son that he was driving the car, and (2) the fact that defendant was not cited for refusal to submit was of no moment because she did not refuse to submit to testing but instead deliberately delayed an officer in obtaining a successful test result by interfering with the testing. Blair v. State, 103 Ark. App. 322, 288 S.W.3d 713 (2008).

Notice of Rights.

Where defendant had refused to take an intoximeter test, the introduction of the refusal into evidence on the charge of driving while under the influence of intoxicants was not prejudicial even though defendant had not been advised that the arresting officer would have assisted him in securing an independent medical opinion. Fletcher v. City of Newport, 260 Ark. 476, 541 S.W.2d 681 (1976).

Where the evidence disclosed that the arresting officer did not advise the defendant driver that if he objected to the taking of his blood for a blood alcohol test, a breath or urine test might be taken at his own expense, did not mean that all testimony with regard to the test was inadmissible under the provisions of § 5-65-204; since the defendant did not have any test results introduced into evidence against him, he was not deprived of any statutory rights when the trial court permitted the arresting officer to testify that the defendant refused to submit to a blood alcohol test. Whaley v. State, 11 Ark. App. 248, 669 S.W.2d 502 (1984).

If a Miranda warning is given in connection with an explanation of the implied consent law, the police officers must explicitly inform the suspect that the Miranda rights are not applicable to the decision of whether to take the test. Wright v. State, 288 Ark. 209, 703 S.W.2d 850 (1986).

The Miranda rights do not apply with respect to taking tests under the implied consent statute; for example, an accused does not have the right to contact an attorney before taking, or refusing to take, the test. Wright v. State, 288 Ark. 209, 703 S.W.2d 850 (1986).

Prior Convictions.

During the penalty phase of defendant's trial for driving while intoxicated in violation of § 5-65-103 and refusal to submit to a chemical test in violation of this section, the trial court did not err by admitting evidence of his prior convictions for refusal to submit to a chemical test; the evidence was relevant to his sentencing as either character evidence or aggravating circumstances. Williams v. State, 2009 Ark. App. 554 (2009).

Reasonable Cause.

Where defendant was stopped by police officers because of his driving and after the officers talked with defendant, defendant turned and shot officer and thereafter both officers and defendant were injured and taken to hospital and the treating physician ordered a blood test on defendant and such defendant was charged with assault with intent to kill, the provisions of §§ 5-65-2025-65-205 with regard to the taking of a blood test had no application. Turner v. State, 258 Ark. 425, 527 S.W.2d 580 (1975) (decision prior to 1983 amendment).

Evidence held sufficient to find that there was ample cause for the officer to require defendant to submit to a breath test. Elam v. State, 286 Ark. 174, 690 S.W.2d 352 (1985).

Where defendant was not arrested for any act committed while driving while intoxicated, nor was he involved in a fatal accident or stopped by an officer who had reasonable cause to believe that he was intoxicated, defendant was not deemed to have consented to take the blood alcohol test even though he was found in physical control of a vehicle while intoxicated. Roberts v. State, 287 Ark. 451, 701 S.W.2d 112 (1985).

Since defendant's parked car created a traffic hazard, the officers had specific, particular, and articulable reasons to suspect that a misdemeanor involving danger of injury to persons or property was being committed by the defendant; thus, the stop was reasonable under Ark. R. Crim. P. 3.1, and the evidence of driving while intoxicated was admissible. Dacus v. State, 16 Ark. App. 222, 699 S.W.2d 417 (1985).

Requests.

Nothing in this section limits law-enforcement officers to one request; the officers complied with the statute when they did not force defendant to submit to a blood test when she refused, and one officer obtained a urine sample only after she agreed to a urine test, such that the giving of the urine samples did not violate the plain language of the statute. Blackwell v. State, 2015 Ark. App. 96, 455 S.W.3d 848 (2015).

Search Warrant.

In a driving while intoxicated case, a trial court did not err by denying a motion to suppress the results of a blood-alcohol test taken pursuant to a search warrant because the chemical test that may not be given under subsection (a) of this section after the accused refuses to submit to a chemical test is limited to the warrantless test authorized by § 5-65-202. Metzner v. State, 2015 Ark. 222, 462 S.W.3d 650 (2015).

Testing Options.

Where the officer gave the motorist the option of submitting to either a urine or a blood test, the motorist could not properly refuse without penalty. Mace v. State, 328 Ark. 536, 944 S.W.2d 830 (1997).

Cited: St. Paul Ins. Co. v. Touzin, 267 Ark. 539, 592 S.W.2d 447 (1980); Watson v. Frierson, 272 Ark. 316, 613 S.W.2d 824 (1981); Gullett v. State, 18 Ark. App. 97, 711 S.W.2d 836 (1986); Medlock v. State, 332 Ark. 106, 964 S.W.2d 196 (1998).

5-65-206. Evidence in prosecution — Presumptions.

    1. It is presumed at the trial of a person who is charged with a violation of § 5-65-103 that the person was not intoxicated if the alcohol concentration of the person's blood, urine, breath, or other bodily substance is four hundredths (0.04) or less by weight as shown by chemical analysis at the time of or within four (4) hours after the alleged offense.
    2. A presumption does not exist if at the time of the alleged offense the person has an alcohol concentration of more than four hundredths (0.04) but less than eight hundredths (0.08) by weight of alcohol in the defendant's blood, urine, breath, or other bodily substance, although this fact may be considered with other competent evidence in determining the guilt or innocence of the defendant.
  1. The provisions of subsection (a) of this section shall not limit the introduction of other relevant evidence offered to show whether or not the defendant was intoxicated.
  2. The chemical analysis referred to in this section shall be made by a method approved by the State Board of Health.
    1. Except as provided in subsection (e) of this section, a record or report of a certification, rule, evidence analysis, or other document pertaining to work performed by the Office of Alcohol Testing of the Department of Health under the authority of this chapter shall be received as competent evidence as to the matters contained in the record or report in a court of this state, subject to the applicable rules of criminal procedure when duly attested to by the Director of the Office of Alcohol Testing of the Department of Health or his or her assistant, in the form of an original signature or by certification of a copy.
    2. An instrument performing the chemical analysis shall have been duly certified at least one (1) time in the last three (3) months preceding arrest, and the operator of the instrument shall have been properly trained and certified.
      1. A person charged with violating § 5-65-103 has the right to cross-examine or call as a witness:
        1. The person who calibrates the instrument conducting a chemical analysis of the person's bodily substances;
        2. The operator of the instrument conducting a chemical analysis of the person's bodily substances; or
        3. A representative of the office.
        1. The prosecuting attorney or the defendant may compel the testimony of a person listed in subdivision (d)(3)(A) of this section by a subpoena issued to that person at least ten (10) days before the date of the hearing or trial.
        2. The person whose testimony is compelled shall have with him or her the record or report at issue, and the record or report is admissible at the hearing or trial.
  3. The admissibility of a chemical analysis that determines the presence in a person's blood, urine, breath, or other bodily substance of a controlled substance or other intoxicant that is not alcohol is governed by § 12-12-313 when that chemical analysis is performed by the State Crime Laboratory and when the chemical analysis is being used in a criminal prosecution under § 5-65-103, § 5-65-303, or § 5-10-105.

History. Acts 1957, No. 346, § 1; 1961, No. 215, § 1; 1969, No. 17, § 1; 1971, No. 578, § 1; 1983, No. 549, § 12; A.S.A. 1947, § 75-1031.1; Acts 1989, No. 928, § 1; 1999, No. 462, § 1; 2001, No. 561, §§ 11, 12; 2005, No. 886, § 2; 2007, No. 650, § 1; 2009, No. 748, § 31; 2015, No. 299, § 10.

Amendments. The 2001 amendment rewrote (a) and (d).

The 2009 amendment substituted “A document described in subdivision (d)(1)(A) of this section is” for “These documents are” in (d)(1)(B).

The 2015 amendment added “Presumptions” in the section heading; rewrote (a); in (b), substituted “of” for “in” preceding “subsection”, substituted “limit” for “be construed as limiting”, deleted “any” preceding “other relevant”, and substituted “offered to show” for “bearing upon the question of”; deleted (d)(1)(B) and redesignated (d)(1)(A) as (d)(1); substituted “An” for “However, the” in (d)(2); redesignated and rewrote former (d)(3) and (d)(4) as (d)(3)(A) and (d)(3)(B); and rewrote (e).

Research References

ALR.

Admissibility and sufficiency of extrapolation evidence in DUI prosecutions. 119 A.L.R.5th 379.

Ark. L. Rev.

Legislation — No. 215 — Weight to Be Given Evidence of Alcoholic Content of the Blood Changed, 15 Ark. L. Rev. 437.

A Decade of Development in the Law of Criminal Procedure in Arkansas, 22 Ark. L. Rev. 669.

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

In General.

This section is not a criminal statute but rather a statute relating to admission of evidence in criminal prosecutions. Wilson v. Coston, 239 Ark. 515, 390 S.W.2d 445 (1965).

Construction.

The “person calibrating the machine” is the person testing the accuracy of the machine's measurements as outlined in the regulations, or the senior operator. Peters v. State, 321 Ark. 276, 902 S.W.2d 757 (1995).

Applicability.

It was error to apply this section to a civil proceeding for personal injuries arising out of automobile accident. Wilson v. Coston, 239 Ark. 515, 390 S.W.2d 445 (1965); but see Judy v. McDaniel, 247 Ark. 409, 445 S.W.2d 722 (1969); Watson v. Frierson, 272 Ark. 316, 613 S.W.2d 824 (1981).

Certificate.

This section does not require the state to produce in court the Arkansas Department of Health official who certifies the breathalyzer machine; it allows certification to be proven with the certificate itself. Wells v. State, 285 Ark. 9, 684 S.W.2d 248 (1985).

This section does not require proof of an installation certificate before test results may be admitted into evidence. Johnson v. State, 17 Ark. App. 82, 703 S.W.2d 475 (1986).

Subsections (c) and (d) of this section require that (1) the method of testing must be approved by the Board of Health, (2) the machine must have been certified in the three months preceding arrest, and (3) the operator must have been trained and certified. Johnson v. State, 17 Ark. App. 82, 703 S.W.2d 475 (1986).

Cross-Examination of Operator.

While subsection (d) does not require the State to introduce an installation certificate or a senior operator's testimony as a prerequisite to the introduction of chemical analysis test results, it does provide that the person who calibrates the machine and the person who operates it will be made available for cross-examination by the defense upon reasonable notice to the prosecutor. Johnson v. State, 17 Ark. App. 82, 703 S.W.2d 475 (1986); Smith v. State, 301 Ark. 569, 785 S.W.2d 465 (1990).

If defendant had desired to cross-examine senior operator, he had the burden of notifying the prosecutor to make the operator available; he therefore could not complain of the State's failure to produce the senior operator or his certificate. Johnson v. State, 17 Ark. App. 82, 703 S.W.2d 475 (1986).

Admission of breathalyzer results was error where, prior to trial the defendant indicated that he wished to cross-examine all persons responsible for the calibration and certification of the breathalyzer, but the state failed to make such persons available at trial; further, such error was prejudicial, notwithstanding that the jury might have convicted the defendant of operating a motor vehicle while intoxicated based on the testimony of the arresting officer that the defendant had an odor of alcohol about him and failed two field-sobriety tests, without considering the improperly admitted testimony concerning the defendant's blood-alcohol content. White v. State, 73 Ark. App. 264, 42 S.W.3d 584 (2001).

It was not a violation of subdivision (d)(1) of this section to admit certificates of the calibration of a breathalyzer machine and of the qualifications of the machine's operator, without the testimony of the authors of those certificates, because the statute had been amended to remove a prior requirement that the State provide such witnesses upon receiving notice from a defendant. Chambers v. State, 2012 Ark. 407, 424 S.W.3d 296 (2012).

In defendant's trial for driving while intoxicated, it was not improper to place the burden on defendant, under this section, to subpoena the authors of certificates that the breathalyzer machine used in defendant's case had been properly calibrated and that the operator of the machine was qualified, if defendant wished to cross-examine the authors; the certificates were not testimonial evidence, so the State had no duty to bring the authors into court. Chambers v. State, 2012 Ark. 407, 424 S.W.3d 296 (2012).

Due Process.

The Due Process Clause of the Fourteenth Amendment to the United States Constitution does not require that law enforcement agencies preserve breath samples in order to introduce breath analysis tests at trial. Lovell v. State, 283 Ark. 425, 678 S.W.2d 318 (1984).

Evidence.

—In General.

Examination of investigating police officer relative to intoximeter test and amount of alcohol allegedly consumed by defendant was not error where defendant himself testified that he had consumed a certain quanity of alcohol and cross-examination of investigating officer elicited testimony that officer did not arrest defendant but would have if the meter reading had been high enough. Judy v. McDaniel, 247 Ark. 409, 445 S.W.2d 722 (1969).

Where there was testimony of witnesses that defendant acted drunk while in liquor store and further testimony of policeman that defendant was in wrong lane of traffic and weight of alcohol in defendant's blood was above amount for statutory presumption of intoxication it was not improper to overrule a motion for a directed verdict of acquittal. Munn v. State, 257 Ark. 1057, 521 S.W.2d 535 (1975).

Expert testimony explaining the meaning of blood alcohol content is not required to prove intoxication. In fact, one may be convicted of driving while intoxicated without the use of a blood alcohol test. Sparks v. State, 25 Ark. App. 190, 756 S.W.2d 911 (1988).

Trial judge did not abuse his discretion in acquitting defendant where officer revealed that he did not know for certain what simulator he was using because the device used had lost its label, and was unable to testify that device had in fact been approved by the health department. State v. Massery, 302 Ark. 447, 790 S.W.2d 175 (1990).

State met proof required under Department of Health Regulation for Alcohol Blood Testing, § 3.20. Gavin v. State, 309 Ark. 158, 827 S.W.2d 161 (1992).

Although this section does not require a machine operator's testimony, or his certificate, as a prerequisite to the introduction of chemical analysis test results, § 5-65-204 requires a blood sample to be collected in keeping with certain Board of Health methods in order for the test to be admissible in evidence. Caffey v. State, 43 Ark. App. 160, 862 S.W.2d 293 (1993).

The crime of DWI is committed whether the act is violated by a motorist who is intoxicated or by a motorist whose blood alcohol level is in excess of the legal limit; these two conditions are two different ways of proving a single violation, and proof by chemical test that the motorist's blood alcohol content was in excess of the legal limit is admissible as evidence tending to prove intoxication. Stephens v. State, 320 Ark. 426, 898 S.W.2d 435 (1995).

Defendant was not entitled to a presumption that he was not intoxicated based on the test that showed his blood-alcohol content to be 0.05%; defendant failed to take into account the blood test that was drawn some 30 minutes after the wreck, which showed a blood-alcohol content of 0.0904 percent, and the trooper's testimony that defendant had been given fluids prior to the time that the second blood sample was drawn. Porter v. State, 356 Ark. 17, 145 S.W.3d 376 (2004).

Where a breath test performed within two hours of a traffic stop showed that defendant's blood alcohol level was more than 0.08, defendant's claim that his alcohol level would have still been rising at the time of the offense and could have been peaking at the time of the tests was unsupported by the evidence. The test results, along with evidence that he smelled of alcohol, crossed the center line, and failed sobriety tests was sufficient to support his conviction of driving while intoxicated pursuant to § 5-65-103(a) (now (a)(1)). Hayden v. State, 103 Ark. App. 32, 286 S.W.3d 177 (2008).

Court rejected defendant's claim of error in the denial of defendant's motion for a directed verdict in her driving while intoxicated (DWI) case, and contrary to defendant's claim, proof of blood-alcohol content, although admissible as evidence tending to prove intoxication, was not necessary to sustain a DWI conviction, as under subdivision (a)(2) of this section, a blood alcohol level of more than .04 but less than .08 did not give rise to a presumption of intoxication, but could be considered with other evidence in determining intoxication. Based on the eyewitness testimony, defendant's admission to drinking, her blood-alcohol reading, the failure of her field tests, the manner in which she drove the vehicle, and the witnesses' observations regarding her inebriated condition, the jury could have reasonably concluded that she was driving while intoxicated, as defined in § 5-65-102, and (1) the jury could have discounted testimony by defendant's son that he was driving the car, and (2) the fact that defendant was not cited for refusal to submit was of no moment because she did not refuse to submit to testing but instead deliberately delayed an officer in obtaining a successful test result by interfering with the testing. Blair v. State, 103 Ark. App. 322, 288 S.W.3d 713 (2008).

—Portable Breath Test.

The portable breath test is not one certified by the Department of Health and is therefore not admissible under this section. Patrick v. State, 295 Ark. 473, 750 S.W.2d 391 (1988).

The results of a portable breath test, or what is sometimes called a roadside sobriety test, which are not admissible to prove a person is guilty of driving while intoxicated, are admissible when they would indicate a person is not guilty where the evidence is exculpatory, is crucial to the defense, and is sufficiently reliable to warrant admission. Patrick v. State, 295 Ark. 473, 750 S.W.2d 391 (1988).

Since portable breathalyzer tests have not been certified by the Department of Health, admitting the evidence of the portable breathalyzer test was erroneous; however, the error was harmless. Massengale v. State, 319 Ark. 743, 894 S.W.2d 594 (1995).

Trial court erred in allowing the state to introduce evidence that defendant failed a portable breath test since the portable breathalyzer test had not been certified by the Arkansas Department of Health; a chemical analysis that has not been certified by the Department of Health is not admissible as evidence of driving while intoxicated under this section. Daniels v. State, 84 Ark. App. 263, 139 S.W.3d 140 (2003).

—Refusal to Take Chemical Test.

Evidence of the refusal to submit to a chemical test can properly be admitted as circumstantial evidence showing consciousness of guilt of a defendant charged with offense of driving while intoxicated, and once admitted, the weight of this evidence is a question to be resolved by the trier of fact, which may also consider the circumstances surrounding the refusal and any explanation given for declining to take the test. Spicer v. State, 32 Ark. App. 209, 799 S.W.2d 562 (1990).

Method of Analysis.

—In General.

It was error to admit testimony as to a urine analysis where there was no evidence analysis had been made according to a method approved by director of State Board of Health or Director of State Police. Jones v. Forrest City, 239 Ark. 211, 388 S.W.2d 386 (1965).

Trial court did not abuse its discretion in admitting results of breathalyzer test over objections of defendant that state failed to show officer who administered test was competent operator of the machine where officer briefly outlined operation of the machine, said that he had been to school to learn to operate it and that he had been operating it as part of his duties for a period of time. Smith v. State, 243 Ark. 12, 418 S.W.2d 627 (1967).

Where intoximeter was certified during period in which test of driver was made and there was a certified machine operator present at such test although he did not conduct the test, there was sufficient foundation for test findings under this section to admit them into evidence in action for property damages and personal injury. Watson v. Frierson, 272 Ark. 316, 613 S.W.2d 824 (1981).

Intoxilyzer satisfies the statutory requirement of being a “chemical analysis.” Dollar v. State, 287 Ark. 153, 697 S.W.2d 93 (1985).

—Compliance with Rules.

Where there was evidence that there was substantial compliance with Department of Health rules in the taking of a blood test to determine alcoholic content such evidence was admissible. Munn v. State, 257 Ark. 1057, 521 S.W.2d 535 (1975).

Even certified operators may not ignore the Department of Health regulations on operation and maintenance of the chromatograph, if their testimony is to form the basis of a presumption of intoxication. Cossey v. State, 267 Ark. 679, 590 S.W.2d 60 (Ct. App. 1979).

Failure to calibrate machine as required by Department of Health regulation held not to be substantial compliance with the rule, and the failure to abide by the regulation was prejudicial to the defendant. Cossey v. State, 267 Ark. 679, 590 S.W.2d 60 (Ct. App. 1979).

Where the defendant was collectively observed by officers for 30 minutes prior to administering of breath test, fact that he was not observed for 20 minutes by the operator of machine as required by Department of Health standards was of no consequence since substantial compliance with health department regulations is all that is required. Sparrow v. State, 284 Ark. 396, 683 S.W.2d 218 (1985).

—Time.

Although Department of Health rules required that the sample of blood to determine intoxication be collected within two hours [now four hours] of an alleged offense and the testimony showed that the blood was drawn more than three hours thereafter, where it was also shown that the longer one waits to run the blood test, the more the percentage of alcohol decreases, no prejudicial error was demonstrated. Munn v. State, 257 Ark. 1057, 521 S.W.2d 535 (1975).

This section does not provide an unqualified exclusionary rule of evidence for tests administered more than two hours after a person is arrested for driving while intoxicated but does provide for a presumption where the test is administered within two hours [now four hours] of arrest and the blood alcohol content is within a certain percentage. Elam v. State, 286 Ark. 174, 690 S.W.2d 352 (1985).

This section is silent regarding situations in which breath test is taken two hours [now four hours] or more after the arrest, and the result reflects a blood alcohol content of 0.10% or more, for a delay beyond two hours could result in the blood alcohol content of an intoxicated person declining to the extent that it could no longer be detected by the testing mechanism, or, if detected it would register a smaller level and in such cases it would not be fair to apply either of the statutory provisions on presumptions. However, if the delay is two hours or longer and the test still shows a blood alcohol content of 0.10% or more, neither provision on presumptions is applicable, and the test is admissible. Elam v. State, 286 Ark. 174, 690 S.W.2d 352 (1985).

Notice.

Under former version of subsection (d) of this section, a new notice must be given following an appeal to circuit court and without such notice being filed the state is under no duty to produce the witness. Bussey v. State, 315 Ark. 292, 867 S.W.2d 433 (1993).

Cited: Ayers v. State, 247 Ark. 174, 444 S.W.2d 695 (1969); Holloway v. State, 260 Ark. 250, 539 S.W.2d 435 (1976); St. Paul Ins. Co. v. Touzin, 267 Ark. 539, 592 S.W.2d 447 (1980); Nicholas v. State, 268 Ark. 541, 595 S.W.2d 237 (Ct. App. 1980); Rasmussen v. State, 277 Ark. 238, 641 S.W.2d 699 (1982); Johnson v. State, 6 Ark. App. 342, 642 S.W.2d 324 (1982); Ethridge v. State, 9 Ark. App. 111, 654 S.W.2d 595 (1983); Spicer v. City of Fayetteville, 284 Ark. 315, 681 S.W.2d 369 (1984); Southwest Pipe & Supply v. Hoover, 13 Ark. App. 144, 680 S.W.2d 723 (1984); David v. State, 286 Ark. 205, 691 S.W.2d 133 (1985); Weatherford v. State, 286 Ark. 376, 692 S.W.2d 605 (1985); Hughes v. State, 17 Ark. App. 34, 702 S.W.2d 817 (1986); Gullett v. State, 18 Ark. App. 97, 711 S.W.2d 836 (1986); Ballew v. State, 305 Ark. 542, 809 S.W.2d 374 (1991); Greer v. State, 310 Ark. 522, 837 S.W.2d 884 (1992); State v. Johnson, 326 Ark. 189, 931 S.W.2d 760 (1996); Smith v. State, 55 Ark. App. 97, 931 S.W.2d 792 (1996).

5-65-207. Alcohol testing devices.

    1. An instrument used to determine the alcohol content of the breath for the purpose of determining if the person was operating a motorboat on the waters of this state or a motor vehicle while intoxicated or with an alcohol concentration of eight hundredths (0.08) or more shall be constructed so that the analysis:
      1. Is made automatically when a sample of the person's breath is placed in the instrument; and
      2. Does not require adjustment or other action by the person administering the analysis.
    2. The instrument shall display digitally the alcohol content on the instrument itself as well as on an automatic printout.
  1. A breath analysis made by or through the use of an instrument that does not conform to the requirements of this section is inadmissible in a criminal or civil proceeding.
    1. The State Board of Health may adopt appropriate rules to carry out the intent of this section.
    2. Only instruments approved by the board as meeting the requirements of this section and its own rules shall be used for making the breath analysis for determining alcohol concentration.
      1. The Department of Health may limit by its rules the types or models of testing devices that may be approved for use under this section.
      2. The approved types or models shall be specified by manufacturer's name and model.
  2. A law enforcement agency that conducts alcohol testing shall comply with this section.

History. Acts 1985, No. 533, §§ 1-3; A.S.A. 1947, §§ 75-1046.1 — 75-1046.3; Acts 1989, No. 419, § 1; 2001, No. 561, § 13; 2007, No. 827, § 81; 2015, No. 299, § 11.

Amendments. The 2001 amendment redesignated former (a) as present (a)(1) through (a)(2) and made related changes; in (a)(1), deleted “machine or” preceding “instrument” and “or blood of any person by analysis of the breath of the person” preceding “for the purpose of” and substituted “an alcohol concentration of eight-hundredths (0.08)” for “a blood alcohol content of one-tenth of one percent (0.10%)”; substituted “instrument” for “machine” in (a)(2); deleted “blood” preceding “alcohol” in (a)(2), (c)(1) and (d); substituted “an instrument” for “a machine or instrument” in (b); redesignated former (c) as present (c)(1) through (c)(2); in (c)(1), deleted “machines or” preceding “instruments” and substituted “concentration” for “content”; and made minor stylistic changes throughout.

The 2015 amendment, in (a)(1), inserted “motorboat on the waters of this state or a”, substituted “constructed so” for “so constructed”, and inserted the (a)(1)(A) and (a)(1)(B) designations; substituted “Does not require” for “without any” in (a)(1)(B); rewrote (a)(2) and (c); substituted “comply” for “maintain full compliance” in (d); and made stylistic changes.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

Full Compliance.

The legislature intended to provide a time lag between the effective date of the act (June 28, 1985) enacting this section and full compliance. Hence, introduction of breathalyzer test into evidence was proper even though machine did not have the visual digital readout required by this section, since full compliance with this section by all law enforcement agencies which conduct blood alcohol testing is not required until June 28, 1989. Cothran v. State, 291 Ark. 401, 725 S.W.2d 548 (1987).

Cited: City of Little Rock v. Hudson, 366 Ark. 415, 236 S.W.3d 509 (2006).

5-65-208. Motor vehicle and motorboat accidents — Testing required.

  1. When the driver of a motor vehicle or operator of a motorboat on the waters of this state is involved in an accident resulting in loss of human life, when there is reason to believe death may result, or when a person sustains serious physical injury, a chemical test of the driver's or operator's breath, saliva, or urine shall be administered to the driver or operator, even if he or she is fatally injured, to determine the presence of and percentage of alcohol concentration or the presence of a controlled substance, or both, in the driver's or operator's body.
    1. A chemical test under this section shall be ordered as soon as practicable by one (1) of the following persons or agencies:
      1. The law enforcement agency investigating the accident;
      2. The physician in attendance; or
      3. Other person designated by state law.
      1. The person who conducts the chemical test of the driver's or operator's breath, saliva, or urine under this section shall forward the results of the chemical test to the Division of Arkansas State Police, and the division shall establish and maintain the results of the chemical tests required by subsection (a) of this section in a database.
      2. The information in the database shall reflect the number of fatal motor vehicle accidents in which:
        1. Alcohol was found to be a factor, including the percentage of alcohol concentration involved;
        2. Controlled substances were found to be a factor, including a list of the controlled substances found, the specific class of the controlled substance, and the amount; and
        3. Both alcohol and a controlled substance were found to be factors, including the percentage of alcohol concentration involved, as well as a list of the controlled substances found and the amount.
  2. The result of a chemical test required by this section shall be reported to the division and may be used by state and local officials for:
    1. Statistical purposes that do not reveal the identity of the deceased person; or
    2. Any law enforcement purpose, including prosecution for the violation of any law.
  3. A test of a person's blood under this section to determine the person's alcohol concentration, controlled substance content, or other intoxicating substance content in his or her blood requires a warrant based on probable cause that the person was operating or in actual physical control of a motorboat on the waters of this state or a motor vehicle while intoxicated.

History. Acts 1995, No. 711, § 2; 1995, No. 1105, § 2; 2003, No. 950, § 1; 2009, No. 423, § 1; 2011, No. 1120, § 13; 2013, No. 361, § 9; 2015, No. 299, § 12; 2017, No. 1031, § 5; 2019, No. 654, § 3.

A.C.R.C. Notes. Acts 2019, No. 654, § 1, provided:

“Legislative intent.

“(a)(1) It is the intent of the General Assembly to provide for the safety of the public in instances in which serious physical injury occurs on the roadways and waterways of this state as a result of a person's operating a motor vehicle or motorboat while he or she is under the influence of alcohol or a controlled substance.

“(2) A motor vehicle in this instance would include an all-terrain vehicle or agricultural vehicle that is often not operated on the roadways of the state and instead operated in an off-road or agricultural field capacity.

“(b) It is not the intent of the General Assembly to provide a way for a law enforcement officer to enter onto private land when the law enforcement officer lacks probable cause or other lawful reasons to enter onto private land”.

Amendments. The 2003 amendment, in (a), substituted “or urine shall” for “or urine must,” “even if fatally injured” for “including those fatally injured” and “drugs, or both in the person's body” for “drugs in such person's body.”

The 2009 amendment, in (a), redesignated the text and deleted “and there exists probable cause to believe that the driver is guilty of a violation of the state's law prohibiting driving while under the influence” following “death may result”; in (b)(1), substituted “law enforcement agency that investigates” for “police officer who responds to” and deleted “who was present when the death occurred” following “state law”; added “or for any law enforcement purpose, including prosecution for the violation of any law” in (c); and made related and minor stylistic changes.

The 2011 amendment substituted “an accident described in subsection (a) of this section” for “the collision” in (b)(1).

The 2013 amendment deleted designation (a)(1); substituted “controlled substances” for “drugs” in (a), twice in (b)(2)(B)(ii), and twice in (b)(2)(B)(iii); in (a), inserted “saliva” and substituted “alcohol concentration” for “concentration of alcohol”; substituted “chemical tests” for “analyses” in (b)(2)(A) and (c); and, in (b)(2)(A), substituted “person who conducts” for “medical personnel who conducted” and inserted “saliva”.

The 2015 amendment inserted “or operator of a motorboat on the waters of this state” in (a), inserted references to “operator” throughout the section, and inserted “and motorboat” in the section heading; in (a), deleted “in addition to a penalty established elsewhere under state law” following “may result” and inserted “he or she is”; rewrote (b)(1); in (b)(2)(A), deleted “under subsection (a) of this section” preceding “of the driver’s” and inserted “under this section”; substituted “including” for “with” in (b)(2)(B)(i); rewrote (b)(2)(B)(ii) and (b)(2)(B)(iii); and, in (c), substituted “The result of a chemical test” for “The results of the chemical tests” and inserted the (c)(1) and (c)(2) designations.

The 2017 amendment deleted “blood” preceding “breath” in (a) and (b)(2)(A); and added (d).

The 2019 amendment inserted “or when a person sustains serious physical injury” in (a); and made stylistic changes.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Driving While Intoxicated, 26 U. Ark. Little Rock L. Rev. 367.

Case Notes

Advisement.

Law enforcement is not required to advise a defendant of his right to refuse consent because a test is mandatory under this section. Hinson v. State, 2016 Ark. App. 166 (2016).

Suppression Denied.

In a negligent homicide case, there was no error in denying a motion to suppress because an officer complied with this section in requesting defendant to provide a blood sample during an investigation of a fatal accident; there was no violation of the search and seizure provisions under the United States Constitution because defendant consented. Hinson v. State, 2016 Ark. App. 166 (2016).

Subchapter 3 — Underage Driving or Boating Under the Influence Law

Publisher's Notes. Acts 2015, No. 299, § 13 inserted “or Boating” in the subchapter heading.

Effective Dates. Acts 1995 (1st Ex. Sess.), No. 13, § 13: Oct. 23, 1995. Emergency clause provided: “It is hereby found and determined by the General Assembly of the State of Arkansas that the current system of funding the state judicial system has created inequity in the level of judicial services available to the citizens of the state; and it is further determined that the current method of financing the state judicial system has become so complex as to make the administration of the system impossible, and the lack of reliable data on the current costs of the state judicial system prohibits any comprehensive change in the funding of the system at this time. Therefore, an emergency is declared to exist and this act being necessary for the immediate preservation of the public peace, health, and safety, shall be in full force and effect from and after its passage and approval.”

Acts 2003, No. 1462, § 4: July 1, 2003. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that if the fees that are raised by this bill do not become effective by July 1, 2003, there will be a shortfall in the funding needed to maintain the alcoholism education programs; that these programs are mandated by law for those individuals that have their license suspended or revoked following an arrest for driving while intoxicated; and that these programs provide educational instruction and are necessary to protect the public health and welfare. Therefore, an emergency is declared to exist and this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2003.”

Acts 2005, No. 1992, § 6: Apr. 11, 2005. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that currently there exists some confusion as to whether the fees collected for the reinstatement of a suspended or revoked driver's license should be collected for each offense or for each reinstatement; that due to the confusion, state agencies have not been allowed to collect the revenue that they anticipated for reinstatement fees which is causing a negative fiscal impact; and that this act is immediately necessary to clarify the law to prevent the impairment of agency operations due to a loss of anticipated revenue. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2015 (1st Ex. Sess.), No. 6, § 7: May 29, 2015 and July 22, 2015. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the Supreme Court of Arkansas held in Leeka v. State, 2015 Ark. 183 (2015), that in order to sustain a conviction for driving while intoxicated, the state must prove that the defendant had a reckless mental state despite the statute not expressly requiring that the defendant's mental state be proven; that the General Assembly intended and still intends to keep driving while intoxicated a strict liability offense requiring no culpable mental state; that the General Assembly passed and the Governor signed Act No. 299 during the 2015 Regular Session which amended § 5-65-103 by combining the offenses of driving while intoxicated and boating while intoxicated; that Act 299 also amended § 5-65-303 by combining the offenses of underage driving under the influence and underage boating under the influence; that Act No. 299 does not become effective until July 22, 2015; that the new offenses of driving and boating while intoxicated and driving or boating under the influence while underage are strict liability offenses requiring no culpable mental state; that Sections 2, 3, and 5 of this act are necessary because the offenses of driving while intoxicated and underage driving under the influence should not have an applicable culpable mental state as they are strict liability offenses; and that Sections 4 and 6 of this act are necessary because the offenses of driving or boating while intoxicated and underage driving or boating under the influence should not have an applicable culpable mental state as they are strict liability offenses. Therefore, an emergency is declared to exist, and:

“(1) Sections 2, 3, and 5 of this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on:

“(A) The date of its approval by the Governor;

“(B) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or

“(C) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto; and

“(2) Sections 4 and 6 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 22, 2015.”

5-65-301. Title.

This subchapter may be known and cited as the “Underage Driving or Boating Under the Influence Law” or the “Underage DUI or BUI Law”.

History. Acts 1993, No. 863, § 1; 2015, No. 299, § 13.

Amendments. The 2015 amendment inserted “or Boating” and “or BUI”.

Case Notes

Cited: Roberts v. State, 324 Ark. 68, 919 S.W.2d 192 (1996).

5-65-302. [Repealed.]

Publisher's Notes. This section, concerning definitions for the Underage Driving Under the Influence Law, was repealed by Acts 2015, No. 299, § 13. This section was derived from Acts 1993, No. 863, § 2.

For current law, see § 5-65-102.

5-65-303. Driving or boating under the influence while underage.

  1. A person commits the offense of driving or boating under the influence while underage if he or she is underage and operates or is in actual physical control of a motorboat on the waters of this state or a motor vehicle while:
    1. Under the influence of an alcoholic beverage or similar intoxicant; or
    2. At that time there was an alcohol concentration of two hundredths (0.02) but less than eight hundredths (0.08) in his or her breath, blood, urine, or saliva as determined by a chemical test.
  2. A violation of this section is an unclassified misdemeanor with penalties as prescribed by this subchapter.
  3. An alcohol-related offense under this section is a strict liability offense.

History. Acts 1993, No. 863, § 3; 2001, No. 561, § 14; 2015, No. 299, § 13; 2015 (1st Ex. Sess.), No. 6, §§ 5, 6.

A.C.R.C. Notes. Acts 2015 (1st Ex. Sess.), No. 6, § 1, provided:

“Legislative intent.

“(a) It is the intent of the General Assembly with this act to address the Supreme Court's holding in Leeka v. State, 2015 Ark. 183 (2015), that the state must prove a culpable mental state in a prosecution for driving while intoxicated.

“(b) The General Assembly intends for this act to establish that the current offenses of driving while intoxicated and underage driving under the influence, as well as the offenses of driving or boating while intoxicated and driving or boating under the influence while underage that were created by Acts 2015, No. 299, § 6, be strict liability offenses, which are offenses that require no culpable mental state be proven.”

Publisher's Notes. Acts 2015 (1st Ex. Sess.), No. 6, § 6 specifically amended this section as amended by Acts 2015, No. 299.

Amendments. The 2001 amendment substituted “an alcohol concentration … persons breath or” for “one-fiftieth of one percent (0.02%) but less than one-tenth of one percent (0.10%) by weight of alcohol in the person's” in (b).

The 2015 amendment by No. 299 rewrote the section.

The 2015 (1st Ex. Sess.) amendment by No. 6 added (c).

Research References

ALR.

Validity, construction, and operation of school “zero tolerance” policies towards drugs, alcohol, or violence. 117 A.L.R.5th 459.

Validity, Construction, and Application of State “Zero Tolerance” Laws Relating to Underage Drinking and Driving. 34 A.L.R.6th 623.

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

Evidence.

Where defendant was driving erratically, the police officer detected an odor of alcoholic beverages in defendant's car, defendant failed at least one field sobriety test and tested at 0.07% blood/alcohol a little more than an hour after his arrest, and there was no opportunity for him to consume alcoholic beverages between time of arrest and time of testing, the total circumstances were enough to support a judgment of conviction for driving a car while under the influence of an alcoholic beverage. Drummond v. State, 320 Ark. 385, 897 S.W.2d 553 (1995).

Indictment or Information.

Municipal court erred and prejudiced defendant charged with driving while intoxicated (DWI) when it changed the charge to driving under the influence (DUI) on its own motion, because DUI is not a lesser-included offense of DWI and altering the charge violated § 5-65-107; and the circuit court erred in trying and convicting defendant of DUI following his appeal from the municipal court, a judgment it was not authorized to render under § 16-19-1105. McElhanon v. State, 329 Ark. 261, 948 S.W.2d 89 (1997), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002).

Lesser-Included Offenses.

Driving under the influence (DUI) is not a lesser-included offense of driving while intoxicated, in that DUI requires an additional element of proof of the defendant's age and a different level of intoxication. McElhanon v. State, 329 Ark. 261, 948 S.W.2d 89 (1997), overruled in part, McCoy v. State, 347 Ark. 913, 69 S.W.3d 430 (2002).

Search and Seizure.

When defendant was arrested for suspicion of underage driving under the influence in violation of this section, the deputy's actions in transporting defendant to a nearby county outside his jurisdiction to administer a breathalyzer test were lawful under the Fourth Amendment because the test had to be given without delay due to the exigent circumstance of defendant's falling blood alcohol content and in accordance with Health Department regulations. Pickering v. State, 2012 Ark. 280, 412 S.W.3d 143 (2012).

Sentencing.

Jail sentence for violating this section was illegal on its face because the trial court lacked authority to impose it. Roberts v. State, 324 Ark. 68, 919 S.W.2d 192 (1996).

Cited: State v. Roberts, 321 Ark. 31, 900 S.W.2d 175 (1995).

5-65-304. Seizure, suspension, and revocation of license — Temporary permits.

  1. At the time of arrest for violating § 5-65-303, the arresting law enforcement officer shall seize the underage person's motor vehicle operator's license, permit, or other evidence of driving privilege and issue to the underage person a temporary driving permit as provided by § 5-65-402.
    1. As provided by § 5-65-402, the Office of Driver Services shall:
      1. Suspend or revoke the driving privileges of the arrested underage person; and
      2. Provide the arrested underage person the right to hearing and judicial review.
    2. The office shall suspend or revoke the underage person's driving privilege for violating § 5-65-303 as follows:
      1. Suspend the driving privilege for ninety (90) days for a first offense;
      2. Suspend the driving privilege for one (1) year for a second offense occurring while the person is underage; and
        1. Revoke the driving privilege for a third or subsequent offense occurring while the person is underage.
        2. A revocation issued under this subdivision (b)(2)(C) continues until the underage person reaches twenty-one (21) years of age or for a period of three (3) years, whichever is longer.
  2. Either of the following are considered a previous offense by the office under this section:
    1. A conviction for violating § 5-65-103 or § 5-65-303; and
    2. A suspension or revocation of driving privileges for an arrest for a violation of § 5-65-103 or § 5-65-303 when the person was not subsequently acquitted of the criminal charge.
      1. A driving privilege that is suspended under this section may be reinstated by the office upon payment of a fee of twenty-five dollars ($25.00) for each occurrence of an offense that resulted in an order of administrative suspension under § 5-65-303.
      2. As used in this subsection, “occurrence” means each separate calendar date when an offense or offenses take place.
    1. The fee under this subsection is not required when an administrative suspension order has been removed because:
      1. The person has been found not guilty of the offense by a circuit court or district court; or
      2. A de novo review of the administrative suspension order by the office resulted in the removal.
    2. Forty percent (40%) of the revenues derived from the fee under this subsection shall be deposited into the State Treasury as special revenues and credited to the Public Health Fund to be used exclusively for the Blood Alcohol Program of the Department of Health.
    3. The fee under this subsection is supplemental to and in addition to any fee imposed under § 5-65-119, § 5-65-310, § 27-16-508, or § 27-16-808.

History. Acts 1993, No. 863, § 4; 1999, No. 1077, § 16; 2005, No. 1992, § 2; 2007, No. 712, § 3; 2015, No. 299, § 13.

Amendments. The 2015 amendment rewrote the section.

Case Notes

Cited: Roberts v. State, 324 Ark. 68, 919 S.W.2d 192 (1996).

5-65-305. Fines.

  1. A person who pleads guilty or nolo contendere to or is found guilty of violating § 5-65-303 or § 5-65-310 shall be fined:
    1. Not less than one hundred dollars ($100) and not more than five hundred dollars ($500) for a first offense;
    2. Not less than two hundred dollars ($200) and not more than one thousand dollars ($1,000) for a second offense; and
    3. Not less than five hundred dollars ($500) and not more than two thousand dollars ($2,000) for a third or subsequent offense.
    1. For the purpose of determining a person's fine under this section, a conviction or suspension for violating § 5-65-103 or § 5-65-205 may be considered a previous offense.
    2. However, a conviction or suspension for § 5-65-103 or § 5-65-205 is considered only one (1) previous offense if the conviction or suspension arose out of the same criminal offense.

History. Acts 1993, No. 863, § 5; 1999, No. 1077, § 17; 2015, No. 299, § 13.

Amendments. The 2015 amendment, in (a), substituted “A person” for “Any person”, substituted “Not less” for “No less” and “a” for “the” in (a)(1) through (a)(3), and deleted “occurring underage” at the end of (a)(2) and (a)(3); rewrote and redesignated former (b) as (b)(1); and added (b)(2).

Case Notes

Cited: Roberts v. State, 324 Ark. 68, 919 S.W.2d 192 (1996).

5-65-306. Public service work.

  1. A person who pleads guilty or nolo contendere to or is found guilty of violating § 5-65-303 or § 5-65-310 shall be ordered by the court to perform public service work at the discretion of the court.
  2. The period of public service work shall be for not less than:
    1. Thirty (30) days for a second offense of violating § 5-65-303; and
    2. Sixty (60) days for a third or subsequent offense of violating § 5-65-303.

History. Acts 1993, No. 863, § 6; 1999, No. 1077, § 18; 2015, No. 299, § 13.

Amendments. The 2015 amendment, in (a), substituted “A” for “Any underage” and “at the discretion of” for “of the type and for the duration as deemed appropriate by”; substituted “public service work shall be for not less than” for “community service shall be for” in (b); substituted “Thirty” for “No less than thirty” in (b)(1); and substituted “Sixty” for “No less than sixty” in (b)(2).

Case Notes

Constitutionality.

The appellate court did not consider the constitutionality of the public service penalty in this section because the appellate court will not strike down a legislative act on constitutional grounds without first having the benefit of a fully developed adversary case. Drummond v. State, 320 Ark. 385, 897 S.W.2d 553 (1995).

Cited: Roberts v. State, 324 Ark. 68, 919 S.W.2d 192 (1996).

5-65-307. Alcohol and driving education or alcoholism treatment program.

      1. A person who has his or her driving privileges suspended, revoked, or denied for violating § 3-3-203, § 5-65-310, or § 5-65-303 is required to complete an alcohol and driving education program for underage drivers as prescribed and approved by the Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services or an alcoholism treatment program licensed by the division, or both, in addition to any other penalty provided in this chapter.
      2. A person who subsequently violates § 3-3-203 or § 5-65-303 while his or her driving privileges are suspended or revoked for violating § 3-3-203 or § 5-65-303 is also required to complete an approved alcohol and driving education program or alcoholism treatment program for each additional violation.
    1. The division shall approve only those programs in alcohol and driving education that are targeted at the underage driving group and are intended to intervene and prevent repeat occurrences of driving under the influence or driving while intoxicated.
        1. The alcohol and driving education program may collect a program fee of up to one hundred twenty-five dollars ($125) per enrollee to offset program costs.
        2. A person ordered to complete an alcohol and driving education program or an alcoholism treatment program under this section may be required to pay a fee of up to twenty-five dollars ($25.00) to offset the additional costs associated with reporting requirements under this subchapter in addition to the costs collected for the program.
      1. An approved alcohol and driving education program shall report monthly to the division all revenue derived from these fees.
  1. The person shall furnish proof of attendance at and completion of the alcohol and driving education program or alcoholism treatment program required under subdivision (a)(1) of this section prior to reinstatement of his or her driving privilege.
  2. The division may promulgate rules reasonably necessary to carry out the purposes of this section regarding the approval and monitoring of the alcohol and driving education programs.
      1. A person whose driving privilege is suspended or revoked for violating § 5-65-303 or § 5-65-310 shall:
        1. Both:
          1. Furnish proof of attendance at and completion of the alcohol and driving education program or alcoholism treatment program required under subdivision (a)(1) of this section and at a victim impact panel as provided in § 5-65-121 before reinstatement of his or her suspended or revoked driving privilege; and
          2. Pay any fee for reinstatement required under § 5-65-119, § 5-65-304, or § 5-65-121; or
        2. Furnish proof of dismissal or acquittal of the charge on which the suspension or revocation is based.
      2. An application for reinstatement shall be made to the Office of Driver Services.
    1. Even if a person has filed a de novo petition for review under § 5-65-402, the person is entitled to reinstatement of driving privileges upon complying with this subsection and is not required to postpone reinstatement until the disposition of the de novo review in circuit court has occurred.
      1. A person whose driving privilege is suspended under this subchapter may enroll in an alcohol education program prior to disposition of the offense by the circuit court or district court but is not entitled to a refund of fees paid if the charges are dismissed or if the person is acquitted of the charges.
      2. A person who enrolls in an alcohol education program is not entitled to any refund of fees paid if the person is subsequently acquitted.
  3. An alcohol and driving education program required by this section shall remit the fees imposed under this section to the division.

History. Acts 1993, No. 863, § 7; 1995, No. 1256, § 20; 1995 (1st Ex. Sess.), No. 13, § 4; 1999, No. 1077, § 19; 2003, No. 1462, § 3; 2005, No. 1768, § 4; 2007, No. 251, § 3; 2009, No. 946, § 2; 2013, No. 1107, §§ 7, 8; 2015, No. 299, § 13; 2017, No. 913, § 22.

Amendments. The 2003 amendment inserted “or an alcoholism treatment program, or both” in (a)(1); substituted “seventy-five ($75.00)” for “fifty dollars ($50.00)” in present (a)(3)(A)(i); and inserted “or an alcoholism treatment program” in present (a)(3)(A)(ii).

The 2009 amendment, in (d)(1)(A)(i), inserted “and at a victim impact panel as provided in § 5-65-121” in (d)(1)(A)(i)( a ), inserted “or § 5-65-121” in (d)(1)(A)(i)( b ), and made related changes.

The 2013 amendment substituted “Division of Behavioral Health Services” for “Office of Alcohol and Drug Abuse Prevention” throughout the section.

The 2015 amendment rewrote (a)(1)(B); in (a)(3)(A)(ii), substituted “A person” for “An underage person”, deleted “in addition to the costs collected for the program” preceding “a fee”, and added “in addition to the costs collected for the program” at the end; in (b), substituted “The person” for “Prior to reinstatement of a driver's license suspended or revoked under this subchapter, the driver” and added “prior to reinstatement of his or her driving privilege” at the end; substituted “driving privilege” for “license” in the introductory language of (d)(1)(A) and for “driver’s license” in (d)(1)(A)(i) (a) ; in (d)(3)(A), inserted “whose driving privilege is” and substituted “circuit court or district court” for “circuit court, district court, or city court”; inserted “required by this section” in (e); and made stylistic changes.

The 2017 amendment substituted “Division of Aging, Adult, and Behavioral Health Services of the Department of Human Services” for “Division of Behavioral Health Services” in (a)(1)(A).

Case Notes

Cited: Roberts v. State, 324 Ark. 68, 919 S.W.2d 192 (1996).

5-65-308. No probation prior to adjudication of guilt — Records.

  1. A circuit court judge or district court judge may not utilize the first-time offender probation provisions under § 16-93-301 et seq. when the defendant is charged with violating § 5-65-303.
  2. Notwithstanding the provisions of § 5-4-301, § 5-4-322, or this section, a circuit court judge or district court judge may:
    1. Utilize probationary supervision, in addition to the mandatory penalties required for a violation of § 5-65-303, solely for the purpose of monitoring compliance with his or her orders; and
    2. Require a defendant to pay a reasonable fee in an amount to be established by the circuit court judge or district court judge.
  3. The court shall keep or cause to be kept a record of all official actions that are the result of a violation of this subchapter, including without limitation:
    1. The ultimate resolution of the case; and
    2. The sentence and fine, if applicable.
    1. The court or clerk of the court shall prepare and immediately forward to the Office of Driver Services within five (5) business days after the sentencing of a person who has been found guilty or pleaded guilty or nolo contendere to a violation of this subchapter an abstract of the record.
    2. The abstract shall be:
      1. Certified by the person required to prepare it to be true and correct; and
      2. Made upon a form furnished by the office and shall include:
        1. The name and address of the person charged;
        2. The number, if any, of the driver's license of the person charged;
        3. The registration number of the motor vehicle or motorboat involved;
        4. The date of hearing;
        5. The plea;
        6. The judgment; and
        7. The amount of the fine and sentence.

History. Acts 1993, No. 863, § 8; 2005, No. 1768, § 5; 2015, No. 299, § 13.

Amendments. The 2005 amendment substituted “circuit, district, and city courts” for “circuit and municipal courts” in (a)(1); redesignated former (a)(2) as present (a)(2)(A); substituted “circuit, district, or city judge” for “circuit or municipal judge” in present (a)(2)(A); and added (a)(2)(B).

The 2015 amendment rewrote the section.

5-65-309. Implied consent.

  1. An underage person who operates a motorboat on the waters of this state or a motor vehicle or is in actual physical control of a motor vehicle or motorboat in this state is deemed to have given consent, subject to § 5-65-203, to a chemical test of his or her breath, saliva, or urine for the purpose of determining the alcohol concentration or controlled substance content of his or her breath or blood if:
    1. The underage person is arrested for any offense arising out of an act alleged to have been committed while the underage person was driving or boating while under the influence or driving or boating while there was an alcohol concentration of two hundredths (0.02) but less than eight hundredths (0.08) in his or her breath, blood, saliva, or urine;
    2. The underage person is involved in an accident while operating or in actual physical control of a motorboat on the waters of this state or a motor vehicle; or
    3. The underage person is stopped by a law enforcement officer who has reasonable cause to believe that the underage person, while operating or in actual physical control of a motorboat on the waters of this state or a motor vehicle, is under the influence or has an alcohol concentration of two hundredths (0.02) but less than eight hundredths (0.08) in his or her breath or blood.
  2. An underage person who is dead, unconscious, or otherwise in a condition rendering him or her incapable of refusal is deemed not to have withdrawn the consent provided by subsection (a) of this section, and a chemical test may be administered subject to § 5-65-203.
  3. A test of an underage person's blood under this section to determine the underage person's alcohol concentration, controlled substance content, or other intoxicating substance content in his or her blood requires a warrant based on probable cause that the underage person was operating or in actual physical control of a motorboat on the waters of this state or a motor vehicle while intoxicated.

History. Acts 1993, No. 863, § 9; 2001, No. 561, § 15; 2013, No. 361, § 10; 2015, No. 299, § 13; 2017, No. 1031, § 6; 2019, No. 380, § 1.

Amendments. The 2001 amendment inserted “breath or” in the introductory language in (a) and (a)(3); substituted “an alcohol concentration … or her breath or” for “one-fiftieth of one percent (0.02%) but less than one-tenth of one percent (0.10%) of alcohol in the person's” in (a)(1); and substituted “an alcohol concentration … eight-hundredths (0.08)” for “one-fiftieth of one percent (0.02%) but less than one-tenth of one percent (0.10%) of alcohol” in (a)(3).

The 2013 amendment inserted “saliva” and “concentration” in (a).

The 2015 amendment inserted “motorboat on the waters of this state or a”, “or motorboat”, and “or boating” throughout the section; added “saliva, or urine” at the end of (a)(1); deleted “the provisions of” twice preceding “§ 5-65-203”; and substituted “An” for “Any” at the beginning of (a) and (b).

The 2017 amendment deleted “blood” preceding “breath, saliva” in (a); and added (c).

The 2019 amendment, in (c), substituted “underage person's” for “person's” twice and inserted the third occurrence of “underage”.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

Breath Test.

When defendant was arrested for suspicion of underage driving under the influence in violation of § 5-65-303, the deputy's actions in transporting defendant to a nearby county outside his jurisdiction to administer a breathalyzer test were lawful under the Fourth Amendment because the test had to be given without delay due to the exigent circumstance of defendant's falling blood alcohol content and in accordance with Health Department regulations. Pickering v. State, 2012 Ark. 280, 412 S.W.3d 143 (2012).

Cited: Roberts v. State, 324 Ark. 68, 919 S.W.2d 192 (1996).

5-65-310. Refusal to submit to a chemical test.

    1. If an underage person under arrest refuses upon the request of a law enforcement officer to submit to a chemical test designated by the law enforcement agency as provided for in § 5-65-309:
      1. A chemical test shall not be given;
      2. The underage person's driver's license, driver's permit, or other evidence of driving privilege shall be seized by the law enforcement officer; and
      3. The law enforcement officer shall immediately deliver to the underage person from whom the driver's license, driver's permit, or other evidence of driving privilege was seized a temporary driving permit, as provided by § 5-65-402.
    2. Refusal to submit to a chemical test under this subsection is a strict liability offense and is a violation.
    1. The Office of Driver Services shall suspend or revoke the driving privileges of an arrested underage person who refuses to submit to a chemical test under this subchapter as follows:
      1. Suspension for ninety (90) days for a first offense;
      2. Suspension for one (1) year for a second offense; and
      3. Revocation for a third or subsequent offense.
    2. A revocation issued under this subsection continues until the underage person reaches twenty-one (21) years of age or for a period of three (3) years, whichever is longer.
  1. In order to determine the number of previous offenses to consider when suspending or revoking the arrested underage person's driving privileges, the office shall consider as a previous offense:
    1. A conviction for violating § 5-65-310; and
    2. A suspension or revocation of driving privileges for an arrest for a violation of § 5-65-310 when the person was not subsequently acquitted of the criminal charge.
  2. The office shall deny the issuance of a license or permit to operate a motor vehicle to an underage person who is a resident and who violates this section but who does not have a license or permit to operate a motor vehicle, in addition to any other penalty under this section, for the following periods of time:
    1. Six (6) months for a first offense; and
    2. One (1) year for a second or subsequent offense.
  3. When an underage nonresident's driving privilege to operate a motor vehicle in this state has been suspended under this section, the office shall notify the entity of issuance of that underage person's nonresident motor vehicle driving privilege of action taken by the office.
      1. A driving privilege that is suspended under this section may be reinstated by the office upon payment of twenty-five dollars ($25.00) for each occurrence of an offense that resulted in an order of administrative suspension under § 5-65-310.
      2. As used in this subsection, “occurrence” means each separate calendar date when an offense or offenses take place.
    1. The fee under this subsection is not required when an administrative suspension order has been removed because:
      1. The person has been found not guilty of the offense by a circuit court or district court; or
      2. A de novo review of the administrative suspension order by the office resulted in the removal.
    2. Forty percent (40%) of the revenues derived from the fee under this subsection shall be deposited into the State Treasury as special revenues and credited to the Public Health Fund to be used exclusively for the Blood Alcohol Program of the Department of Health.
    3. The fee under this subsection is supplemental to and in addition to any fee imposed under § 5-65-119, § 5-65-304, § 27-16-508, or § 27-16-808.

History. Acts 1993, No. 863, § 10; 1999, No. 1077, § 20; 2005, No. 1992, § 5; 2007, No. 712, § 4; 2009, No. 633, § 5; 2015, No. 299, § 13.

Amendments. The 2009 amendment, in (a), inserted (a)(2), redesignated the remaining text accordingly, and made a minor punctuation change.

The 2015 amendment rewrote the section.

Case Notes

Constitutionality.

—Standing.

Where testimony at trial established that defendant voluntarily submitted to a breathalyzer test, there was no finding that he violated this section, thus, defendant lacked standing to warrant consideration of this section's constitutionality on appeal. Garrigus v. State, 321 Ark. 222, 901 S.W.2d 12 (1995).

5-65-311. Relationship to other laws.

  1. A penalty under this subchapter for violating § 5-65-303 is in addition to other penalties prescribed by law for the offense under another law of the State of Arkansas.
  2. There is no presumption under this subchapter that an underage person is not under the influence of an intoxicating substance, such as alcohol or a similar intoxicant, if the underage person's alcohol concentration is four hundredths (0.04) or less.
  3. The following aspects of the chemical test or instrument for testing breath or blood alcohol concentration under this chapter may be used in the same manner for an offense under this subchapter:
    1. The administration of a chemical test for breath or blood alcohol;
    2. The instrument used to administer the chemical test;
    3. The procedure used to calibrate and maintain the instrument; and
    4. The use of the chemical test results as evidence.

History. Acts 1993, No. 863, § 11; 2001, No. 561, § 16; 2015, No. 299, § 13.

Amendments. The 2001 amendment substituted “four hundredths (0.04) of one percent” for “five hundredths (0.05) of one percent” in (b); in (c), inserted “breath or” and deleted “machines and” preceding “instruments” and “and machines” preceding “and instruments”; and substituted “an alcohol concentration … eight-hundredths (0.08)” for “more than one-twentieth of one percent (0.05%) but less than one-tenth of one percent (0.10%) by weight of alcohol” in (d).

The 2015 amendment rewrote the section.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Case Notes

Cited: Roberts v. State, 324 Ark. 68, 919 S.W.2d 192 (1996).

Subchapter 4 — Administrative Driver's License Suspension

Cross References. Seizure, suspension, and revocation of license — Temporary permits — Ignition interlock restricted license, § 5-65-104.

Effective Dates. Acts 2009, No. 956, § 34: Apr. 6, 2009. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that laws concerning juveniles need to be amended and updated; that the fair and efficient administration of juvenile law is highly important to society at large; and that this act is immediately necessary because the judiciary needs to begin addressing these changes in laws involving juveniles. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

5-65-401. Definitions.

As used in this subchapter:

  1. “Disqualification” means a prohibition against driving a commercial motor vehicle;
  2. “Immobilization” means revocation or suspension of the registration or license plate of a motor vehicle; and
  3. “Sworn report” means a signed and written statement of a certified law enforcement officer, under penalty of perjury, on a form provided by the Secretary of the Department of Finance and Administration.

History. Acts 1999, No. 1077, § 21; 2019, No. 910, § 3360.

Amendments. The 2019 amendment substituted “Secretary” for “Director” in (3).

5-65-402. Surrender of license or permit to arresting officer.

      1. At the time of arrest for violating § 3-3-203(a), § 5-27-503(a)(3), § 5-65-103, § 5-65-205, § 5-65-303, § 5-65-310, § 27-23-114(a)(1), § 27-23-114(a)(2), or § 27-23-114(a)(5), the arrested person shall immediately surrender his or her license, permit, or other evidence of driving privilege to the arresting law enforcement officer.
      2. The arresting law enforcement officer shall seize the license, permit, or other evidence of driving privilege surrendered by the arrested person or found on the arrested person during a search.
        1. If a juvenile, as defined in the Arkansas Juvenile Code of 1989, § 9-27-301 et seq., is arrested for violating § 3-3-203(a) or § 5-27-503(a)(3), the arresting officer shall issue the juvenile a citation to appear for a juvenile intake with a juvenile intake officer.
        2. The arresting officer shall forward a copy of the citation and the license, permit, or other evidence of the driving privilege to the juvenile office before the scheduled juvenile intake.
        3. Juveniles subject to the jurisdiction of the circuit court under the Arkansas Juvenile Code of 1989, § 9-27-301 et seq., shall not be subject to this section, except as provided in this subdivision (a)(1).
        1. If the license, permit, or other evidence of driving privilege seized by the arresting law enforcement officer has not expired and otherwise appears valid to the arresting law enforcement officer, the arresting law enforcement officer shall issue to the arrested person a dated receipt for that license, permit, or other evidence of driving privilege on a form prescribed by the Office of Driver Services.
        2. This receipt shall be recognized as a license and authorizes the arrested person to operate a motor vehicle for a period not to exceed thirty (30) days.
        1. The receipt form shall contain and shall constitute a notice of suspension, disqualification, or revocation of driving privileges by the office, effective in thirty (30) days, notice of the right to a hearing within twenty (20) days, and if a hearing is to be requested, as notice that the hearing request is required to be made within seven (7) calendar days of the notice being given.
        2. The receipt form shall also contain phone numbers and the address of the Office of Driver Services and inform the driver of the procedure for requesting a hearing.
      1. If the Office of Driver Services is unable to conduct a hearing within the twenty-day period, a temporary permit shall be issued and is valid until the date of the hearing.
        1. The seized license, permit, or other evidence of driving privilege and a copy of the receipt form issued to the arrested person shall be attached to the sworn report of the arresting law enforcement officer and shall be submitted by mail or in person to the Office of Driver Services or its designated representative within seven (7) days of the issuance of the receipt.
        2. The failure of the arresting law enforcement officer to timely file the sworn report does not affect the authority of the office to suspend, disqualify, or revoke the driving privilege of the arrested person.
      1. Any notice from the Office of Driver Services required under this subchapter that is not personally delivered shall be sent by first class mail and is deemed to have been delivered on the date when postmarked and shall be sent to the last known address on file with the Office of Driver Services.
      2. Refusal of the addressee to accept delivery or attempted delivery of the notice at the address obtained by the arresting law enforcement officer or on file with the Office of Driver Services does not constitute nonreceipt of notice.
      3. For any notice that is personally delivered, the person shall be asked to sign a receipt acknowledging that he or she received the required notice.
      1. The Office of Driver Services or its designated official shall suspend, revoke, or disqualify the driving privilege of an arrested person or any nonresident driving privilege of an arrested person when it receives a sworn report from the arresting law enforcement officer that he or she had reasonable grounds to believe the arrested person:
        1. Was under twenty-one (21) years of age and purchased or was in possession of intoxicating liquor, wine, or beer in violation of § 3-3-203(a);
        2. Was under twenty-one (21) years of age and attempted to purchase an alcoholic beverage or use a fraudulent or altered personal identification document for the purpose of purchasing an alcoholic beverage illegally or other material or substance restricted to adult purchase or possession under existing law in violation of § 5-27-503(a)(3); or
        3. Had been operating or was in actual physical control of a motorboat on the waters of this state or a motor vehicle in violation of § 5-65-103, § 5-65-303, § 27-23-114(a)(1), or § 27-23-114(a)(2) and the sworn report is accompanied by:
          1. A written chemical test report or a sworn report that the arrested person was operating or in actual physical control of a motorboat on the waters of this state or motor vehicle in violation of § 5-65-103, § 5-65-303, or § 27-23-114; or
          2. A sworn report that the arrested person refused to submit to a chemical test of breath, saliva, or urine for the purpose of determining the alcohol concentration or controlled substance content of the arrested person's breath or blood in violation of § 5-65-205, § 5-65-310, or § 27-23-114(a)(5).
      2. The suspension, disqualification, or revocation shall be based as follows:
        1. The driving privileges of a person violating § 5-65-103 shall be suspended or revoked as provided by § 5-65-104;
        2. The driving privileges of a person violating § 5-65-205(a) shall be suspended or revoked as provided by § 5-65-205(b);
        3. The driving privileges of a person violating § 5-65-303 shall be suspended or revoked as provided by § 5-65-304(b);
        4. The driving privileges of a person violating § 5-65-310(a) shall be suspended or revoked as provided by § 5-65-310(b);
        5. The driving privileges of a person violating § 27-23-114(a)(1) or § 27-23-114(a)(2) shall be disqualified as provided by § 27-23-112;
        6. The driving privileges of a person violating § 27-23-114(a)(5) shall be disqualified as provided by § 27-23-112;
        7. The driving privileges of a person violating § 3-3-203(a) shall be suspended, revoked, or disqualified as provided by § 3-3-203(e); and
        8. The driving privileges of a person violating § 5-27-503(a)(3) shall be suspended, revoked, or disqualified as provided by § 5-27-503(d).
    1. In addition to any other penalty provided for in this section, if the arrested person is a resident without a license or permit to operate a motor vehicle in this state:
      1. The Office of Driver Services shall deny to that arrested person the issuance of a license or permit for a period of six (6) months for a first offense; and
      2. For a second or subsequent offense by a resident without a license or permit to operate a motor vehicle, the Office of Driver Services shall deny to that arrested person the issuance of a license or permit for a period of one (1) year.
        1. If the arrested person is a nonresident, the arrested person's driving privilege in Arkansas shall be suspended in the same manner as that of a resident.
        2. The Office of Driver Services shall notify the office that issued the nonresident's driving privilege of the action taken by the Office of Driver Services.
      1. When the arrested person is a nonresident without a license or permit to operate a motor vehicle, the Office of Driver Services shall notify the office of issuance for that arrested person's state of residence of action taken by the Office of Driver Services.
      1. Upon the written request of a person whose driving privilege has been revoked, denied, disqualified, or suspended, or who has received a notice of revocation, suspension, disqualification, or denial by the arresting law enforcement officer, the Office of Driver Services shall grant the person an opportunity to be heard if the request is received by the Office of Driver Services within seven (7) calendar days after the notice of the revocation, suspension, disqualification, or denial is given in accordance with this section or as otherwise provided in this chapter.
      2. A request described in subdivision (a)(7)(A) of this section does not operate to stay the revocation, suspension, disqualification, or denial by the Office of Driver Services until the disposition of the hearing.
      1. The hearing shall be before the Office of Driver Services or its authorized agent, in the office of the Revenue Division of the Department of Finance and Administration nearest the county where the alleged event occurred for which the person was arrested, unless the Office of Driver Services or its authorized agent and the arrested person agree otherwise to the hearing's being held in some other county or that the Office of Driver Services or its authorized agent may schedule the hearing or any part of the hearing by telephone and conduct the hearing by telephone conference call.
      2. The hearing shall not be recorded.
      3. At the hearing, the burden of proof is on the state and the decision shall be based on a preponderance of the evidence.
      4. The scope of the hearing shall cover the issues of whether the arresting law enforcement officer had reasonable grounds to believe that the person:
        1. Had been operating or was in actual physical control of a motorboat on the waters of this state or a motor vehicle or commercial motor vehicle while:
          1. Intoxicated or impaired;
          2. The person's blood alcohol concentration measured by weight of alcohol in the person's blood was equal to or greater than the blood alcohol concentration prohibited by § 5-65-103(a)(2);
          3. The blood alcohol concentration of a person under twenty-one (21) years of age was equal to or greater than the blood alcohol concentration prohibited by § 5-65-303; or
          4. The person's blood alcohol concentration measured by weight of alcohol in the person's blood was equal to or greater than the blood alcohol concentration prohibited by § 27-23-114;
        2. Refused to submit to a chemical test of the breath, saliva, or urine for the purpose of determining the alcohol concentration or controlled substance content of the person's breath or blood and whether the person was placed under arrest;
        3. Was under twenty-one (21) years of age and purchased or was in possession of any intoxicating liquor, wine, or beer; or
        4. Was under twenty-one (21) years of age and attempted to purchase an alcoholic beverage or use a fraudulent or altered personal identification document for the purpose of purchasing an alcoholic beverage illegally or other material or substance restricted to adult purchase or possession under existing law.
        1. The Office of Driver Services or its agent at the hearing shall consider any document submitted to the Office of Driver Services by the arresting law enforcement agency, document submitted by the arrested person, and the statement of the arrested person.
        2. The Office of Driver Services shall not have the power to compel the production of documents or the attendance of witnesses.
        1. If the revocation, suspension, disqualification, or denial is based upon a chemical test result indicating that the arrested person was intoxicated or impaired and a sworn report from the arresting law enforcement officer, the scope of the hearing shall also cover the issues as to whether:
          1. The arrested person was advised that his or her privilege to drive would be revoked, disqualified, suspended, or denied if the chemical test result reflected an alcohol concentration equal to or in excess of the amount by weight of blood provided by law or the presence of other intoxicating substances;
          2. The breath, blood, saliva, or urine specimen was obtained from the arrested person within the established and certified criteria of the Department of Health;
          3. The chemical testing procedure used was in accordance with existing rules; and
          4. The chemical test result in fact reflects an alcohol concentration, the presence of other intoxicating substances, or a combination of alcohol concentration or other intoxicating substance.
        2. If the revocation, suspension, disqualification, or denial is based upon the refusal of the arrested person to submit to a chemical test as provided in § 5-65-205, § 5-65-310, or § 27-23-114(a)(5), reflected in a sworn report by the arresting law enforcement officer, the scope of the hearing shall also include whether:
          1. The arrested person refused to submit to the chemical test; and
          2. The arrested person was informed that his or her privilege to drive would be revoked, disqualified, suspended, or denied if the arrested person refused to submit to the chemical test.
  1. After the hearing, the Office of Driver Services or its authorized agent shall order the revocation, suspension, disqualification, or denial to be rescinded or sustained and shall then advise any person whose driving privilege is revoked, suspended, or denied that he or she may request a restricted permit as otherwise provided for by this chapter.
      1. A person adversely affected by the hearing disposition order of the Office of Driver Services or its authorized agent may file a de novo petition for review within thirty (30) days in the circuit court in the county in which the offense took place.
      2. A copy of the decision of the Office of Driver Services shall be attached to the petition.
      3. The petition shall be served on the Secretary of the Department of Finance and Administration under Rule 4 of the Arkansas Rules of Civil Procedure.
      1. The filing of a petition for review does not stay or place in abeyance the decision of the Office of Driver Services or its authorized agent.
      2. If the circuit court issues an order staying the decision or placing the decision in abeyance, the circuit court shall transmit a copy of the order to the Office of Driver Services in the same manner that convictions and orders relating to driving records are sent to the Office of Driver Services.
        1. The circuit court shall hold a final hearing on the de novo review within one hundred twenty (120) days after the date that the order staying the decision or placing the decision in abeyance is entered.
        2. The circuit court may conduct the final hearing by telephone conference with the consent of the parties.
    1. An administrative hearing held under this section is exempt from the Arkansas Administrative Procedure Act, § 25-15-201 et seq.
      1. On review, the circuit court shall hear the case de novo in order to determine based on a preponderance of the evidence whether a ground exists for revocation, suspension, disqualification, or denial of the person's privilege to drive.
      2. If the results of a chemical test of blood, breath, saliva, or urine are used as evidence in the suspension, revocation, or disqualification of the person's driving privilege, then § 5-65-206 shall apply in the circuit court proceeding.
    1. A decision rendered at an administrative hearing held under this section shall have no effect on any criminal case arising from a violation of § 3-3-203(a), § 5-27-503(a)(3), § 5-65-103, § 5-65-205, § 5-65-303, § 5-65-310, § 27-23-114(a)(1), § 27-23-114(a)(2), or § 27-23-114(a)(5).
    2. Any decision rendered by a court of law for a criminal case arising from any violation of § 3-3-203(a), § 5-27-503(a)(3), § 5-65-103, § 5-65-205, § 5-65-303, § 5-65-310, § 27-23-114(a)(1), § 27-23-114(a)(2), or § 27-23-114(a)(5) shall affect the administrative suspension, disqualification, or revocation of the driving privilege as follows:
      1. A plea of guilty or nolo contendere or a finding of guilt by the court has no effect on an administrative hearing held under this section;
        1. An acquittal on the charges or a dismissal of charges serves to reverse the suspension, disqualification, or revocation of the driving privilege suspended or revoked under this section.
        2. The Office of Driver Services shall reinstate the person's driving privilege at no cost to the person, and the charges shall not be used to determine the number of previous offenses when administratively suspending, disqualifying, or revoking the driving privilege of an arrested person in the future; and
      2. The Office of Driver Services shall convert any initial administrative suspension or revocation of a driving privilege for violating § 5-65-103 to a suspension or revocation for violating § 5-65-303 if the person is convicted of violating § 5-65-303 instead of § 5-65-103.
  2. A person whose privilege to drive has been denied, suspended, disqualified, or revoked shall remain under the denial, suspension, disqualification, or revocation and remain subject to penalties as provided in § 5-65-105 until such time as that person applies for, and is granted by the Office of Driver Services, reinstatement of the privilege to drive.
  3. The administrative suspension, disqualification, or revocation of a driving privilege as provided for by this section is supplementary to and in addition to a suspension, disqualification, or revocation of a driving privilege that is ordered by a court of competent jurisdiction for an offense under §§ 5-64-710, 5-65-116 [repealed], and 27-16-914, or other traffic or criminal offense in which a suspension, disqualification, or revocation of the driving privilege is a penalty for the violation.
      1. A person whose driving privilege is suspended or revoked under this section shall:
        1. Both:
          1. Furnish proof of attendance at and completion of the alcoholism treatment program, alcohol education program, or alcohol and driving education program required by § 5-65-104(b)(1) or § 5-65-307(a)(1) and, if applicable, at a victim impact panel as provided in § 5-65-121 before reinstatement of his or her suspended or revoked driving privilege; and
          2. Pay a fee for reinstatement required under § 5-65-119, § 5-65-304, or, if applicable, § 5-65-121; or
        2. Furnish proof of dismissal or acquittal of the charge on which the suspension or revocation is based.
      2. An application for reinstatement shall be made to the Office of Driver Services.
    1. Even if a person has filed a de novo petition for review under subsection (c) of this section, the person is entitled to reinstatement of driving privileges upon complying with this subsection and is not required to postpone reinstatement until the disposition of the de novo review in circuit court has occurred.
    2. A person whose driving privilege is suspended or revoked under this section may enroll in an alcohol education program prior to disposition of the offense by the circuit court or district court but is not entitled to a refund of a fee paid if the charge is dismissed or if the person is acquitted of the charge.
  4. Except as provided in subsection (a) of this section, this section shall not apply to juveniles subject to the Arkansas Juvenile Code of 1989, § 9-27-301 et seq.

History. Acts 1999, No. 1077, § 21; 2003, No. 541, §§ 2-5; 2005, No. 1535, § 2; 2005, No. 1768, § 6; 2007, No. 922, § 2; 2009, No. 748, § 32; 2009, No. 946, § 3; 2009, No. 956, §§ 2, 3; 2011, No. 610, § 1; 2013, No. 361, §§ 11-14; 2013, No. 488, § 1; 2015, No. 299, § 14; 2017, No. 1031, §§ 7, 8; 2019, No. 910, § 3361; 2019, No. 1087, § 1.

A.C.R.C. Notes. Acts 2009, No. 956, § 3, purported to to add a subsection (i) to Title 5, Chapter 65, Subchapter 4. However, the apparent intent was to add a subsection (i) to § 5-65-402.

Amendments. The 2003 amendment inserted (a)(8)(B)(iv), (c)(1)(B), (c)(2)(B), (c)(4)(B) and (d)(2)(C) and made related changes.

The 2009 amendment by No. 748 deleted (g).

The 2009 amendment by No. 946, in (h)(1)(A)(i), inserted “and, if applicable, at a victim impact panel as provided in § 5-65-121” in (h)(1)(A)(i)(a), inserted “or, if applicable, § 5-65-121” in (h)(1)(A)(i)(b), and made related changes.

The 2009 amendment by No. 956 inserted (a)(1)(C); and added (i).

The 2011 amendment added (c)(1)(C).

The 2013 amendment by No. 361, in (a)(4)(A)(iii) (b) and (a)(8)(D)(ii), inserted “saliva”, “concentration”, and “breath or”; added “saliva” in (a)(8)(F)(i) (b) and (c)(4)(B).

The 2013 amendment by No. 488 substituted “§ 3-3-203(e)” for “§ 3-3-203(c)” in (a)(4)(B)(vii).

The 2015 amendment inserted “form” in (a)(2)(B)(ii); inserted “motorboat on the waters of this state or a” in (a)(4)(A)(iii) and (a)(8)(D)(i) and “motorboat on the waters of this state or” in (a)(4)(a)(iii) (a) ; substituted “§ 5-65-103(a)(2)” for “§ 5-65-103(b)” in (a)(8)(D)(i) (b) ; deleted “the provisions of” preceding “§ 5-65-206” in (c)(4)(B); deleted “any” preceding “other” in (f); deleted “(g) [Repealed.]” and redesignated former (h) and (i) as (g) and (h); in present (g)(3), substituted “whose driving privilege is suspended or revoked” for “suspended” and deleted “or city court” following “district court”; substituted “driving privilege” for “privilege to operate a motor vehicle” in (a)(6)(A)(i), for “motor vehicle license” in (a)(6)(A)(ii), for “privilege to drive” in (a)(7)(A) and (c)(4)(B), for “license” in (b) and the introductory language of present (g)(1)(A), and for “driver’s license” throughout (d)(2), (f), and (g)(1)(A)(i) (a) ; inserted “the Arkansas Juvenile Code of 1989” in (a)(1)(C)(iii) and present (h); and made stylistic changes.

The 2017 amendment deleted “blood” preceding “breath, saliva” in (a)(4)(A)(iii) (b) and (a)(8)(D)(ii).

The 2019 amendment by No. 910 substituted “Secretary” for “Director” in (c)(1)(C).

The 2019 amendment by No. 1087 substituted “first class mail” for “certified mail” in (a)(3)(A).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Driving While Intoxicated, 26 U. Ark. Little Rock L. Rev. 367.

Case Notes

Constitutionality.

This section was not unconstitutional as applied to the driver where the hearing officer testified she considered the letter from the driver's doctor and the driver's final de novo hearing was held seventy days after the stay was granted by the circuit court, well within the 120 day limit imposed under subdivision (c)(2)(C)(i) of this section. Miller v. Ark. Dep't of Fin. & Admin., 2012 Ark. 165, 401 S.W.3d 466 (2012).

Sufficiency of Notice.

Notice given to a DWI defendant that he was required to request a hearing on his license suspension within seven days was sufficient, although this section and § 5-65-403 specified that the hearing be requested within seven calendar days, because defendant filed his request timely and was given an opportunity to be heard. Robinette v. Dep't of Fin. & Admin., 2011 Ark. 349 (2011).

Suspension of a motorist's commercial driving privileges and noncommercial driving privileges by the Office of Driver Services was appropriate because the motorist's rights as to his refusal to submit to a chemical test were explained to him during a traffic stop, and he indicated that he understood those rights. The statement-of-rights form adequately communicated the choices available and the possible consequences of those choices. Stuart v. Ark. Dep't of Fin. & Admin., 2017 Ark. App. 139, 515 S.W.3d 656 (2017).

5-65-403. Notice and receipt from arresting officer.

  1. At the time of arrest for violating § 5-65-103, § 5-65-303, § 27-23-114(a)(1), or § 27-23-114(a)(2), the arresting law enforcement officer shall provide written notice to the arrested person:
    1. That the registration of a motor vehicle owned by the arrested person is suspended effective in thirty (30) days if the arrested person's driving privileges have been suspended, disqualified, or revoked for violating § 5-65-103, § 5-65-303, § 27-23-114(a)(1), or § 27-23-114(a)(2) in the previous five (5) years;
    2. Of the right to a hearing within twenty (20) days; and
    3. That the hearing request is required to be made within seven (7) calendar days of the notice being given if the arrested person wants to request a hearing.
  2. The receipt shall also contain phone numbers and the address of the Office of Driver Services and inform the arrested person of the procedure for requesting a hearing.
  3. If the Office of Driver Services is unable to conduct a hearing within the twenty-day period, a temporary permit shall be issued and is valid until the date of the hearing.
    1. The seized license, permit, or other evidence of driving privilege and a copy of the receipt form issued to the arrested person shall be:
      1. Attached to the sworn report of the arresting law enforcement officer; and
      2. Submitted by mail or in person to the Secretary of the Department of Finance and Administration or his or her designated representative within seven (7) days of the issuance of the receipt.
    2. The failure of the arresting law enforcement officer to timely file the sworn report does not affect the authority of the Office of Driver Services to suspend the registration of a motor vehicle owned by the arrested person.
  4. A notice from the Office of Driver Services required under this section that is not personally delivered shall be sent as provided by § 5-65-402.
    1. If the arrested person is a nonresident, the arrested person's motor vehicle registration in Arkansas shall be suspended in the same manner as that of a resident.
    2. The Office of Driver Services shall notify the out-of-state entity that issued the nonresident's motor vehicle registration of the action taken by the Office of Driver Services.
  5. The hearing shall be held by the Office of Driver Services at the conclusion of any hearing under § 5-65-402 and the scope of the hearing is limited to:
    1. Determining if the arrested person's driving privileges had been suspended, revoked, or disqualified for violation of § 5-65-103, § 5-65-303, § 27-23-114(a)(1), or § 27-23-114(a)(2) in the five (5) years prior to the current offense; and
    2. Determining if any motor vehicle is licensed or registered in the arrested person's name as either owner or co-owner of the motor vehicle.
      1. A person adversely affected by the hearing disposition order of the Office of Driver Services or its authorized agent may file a de novo petition for review within thirty (30) days in the circuit court in the county where the offense took place.
      2. The filing of a petition for review does not stay or place in abeyance the decision of the Office of Driver Services or its authorized agent.
    1. An administrative hearing held under this section is exempt from the Arkansas Administrative Procedure Act, § 25-15-201 et seq.
    2. The circuit court shall hear the case de novo on review in order to determine whether, based on a preponderance of the evidence, a ground exists for suspension of the person's motor vehicle registration.
  6. The suspension ordered shall be equal to the suspension of driving privileges ordered under § 5-65-402 or one (1) year, whichever is longer, but shall not exceed five (5) years.
      1. Upon determination that a person is completely dependent on the motor vehicle for the necessities of life, the secretary may grant a restricted registration to a family member or co-owner of any immobilized motor vehicle.
      2. A restricted registration is not valid for use by the person whose driving privileges have been suspended or revoked.
    1. Operation of a motor vehicle in a manner inconsistent with the restricted registration or license plate has the same effect as operating an unlicensed motor vehicle.
  7. If the secretary orders immobilization of a motor vehicle, notice of immobilization shall be sent by first-class mail to any persons, other than the arrested person, listed as an owner or co-owner of the immobilized motor vehicle in the records of the Office of Motor Vehicle.

History. Acts 1999, No. 1077, § 21; 2015, No. 299, § 15; 2019, No. 910, §§ 3362, 3363.

A.C.R.C. Notes. As enacted by Acts 1999, No. 1077, § 21, this section contained a subsection (j) that read:

“The immobilization of motor vehicles shall apply to all offenses occurring on or after January 1, 2000.”

Amendments. The 2015 amendment rewrote (a)(1); in (a)(3), deleted “if a hearing is to be requested” following “That” and added “if the arrested person wants to request a hearing”; redesignated provisions of (d)(1) as (d)(1)(A) and (d)(1)(B); substituted “out-of-state entity” for “office” in (f)(2); in (h)(3), deleted “On review” from the beginning, inserted “on review” preceding “in order”, and substituted “exists” for “exist”; and made stylistic changes.

The 2019 amendment substituted “Secretary” for “Director” in (d)(1)(B); and substituted “secretary” for “director” in (k).

Case Notes

Sufficiency of Notice.

Notice given to a DWI defendant that he was required to request a hearing on his license suspension within seven days was sufficient, although § 5-65-402 and this section specified that the hearing be requested within seven calendar days, because defendant filed his request timely and was given an opportunity to be heard. Robinette v. Dep't of Fin. & Admin., 2011 Ark. 349 (2011).

Chapter 66 Gambling

Cross References. Fines, § 5-4-201.

Recovery of gambling debts and losses, § 16-118-103.

Term of imprisonment, § 5-4-401.

Effective Dates. Acts 1877, No. 71, § 8: effective on passage.

Acts 1907, No. 55, § 5: effective on passage.

Acts 1939, No. 209, § 7: approved Mar. 9, 1939. Emergency clause provided: “It is hereby found to be a fact that numerous policy and number games are being operated in this state and on that account an emergency is hereby declared to exist and this act shall become effective immediately upon its passage.”

Acts 1951, No. 250, § 3: approved Mar. 19, 1951. Emergency clause provided: “Whereas, the present law is inadequate insofar as it relates to the bribery of participants in amateur and professional sports, and this act being necessary for the preservation of the public peace, health and safety, an emergency is hereby declared to exist and this act shall take effect and be in full force and effect from and after its passage.”

Acts 1953, No. 355, § 5: Mar. 28, 1953. Emergency clause provided: “Whereas, the General Assembly has ascertained that there is a lack of uniformity in the interpretation of the gaming laws of the State of Arkansas, and that an urgent need exists for clarification thereof, and that there is danger of harmful and wide spread gaming and bookmaking establishments being set up in this State unless clarification of the gaming laws be made; and for the accomplishment of this purpose this Act is adopted. An emergency is, therefore, declared to exist, and this Act, being necessary for the immediate preservation of the public peace, welfare and safety, shall take effect and be in force from and after its passage and approval.”

Acts 1977, No. 791, § 5: Mar. 28, 1977. Emergency clause provided: “It is hereby found and determined by the General Assembly that the laws are uncertain with reference to the legality of messenger or agency service wagering on thoroughbred horses in and out of the State of Arkansas and that there is an urgent need to end this uncertainty and confusion. Therefore, an emergency is hereby declared to exist and this act being necessary for the immediate preservation of the public peace, health and safety, shall be in full force and effect from and after its passage and approval.”

Acts 1987, No. 835, § 4: Apr. 8, 1987. Emergency clause provided: “It is hereby found and determined by the General Assembly that the present laws relating to the production, sale and possession of lottery tickets are somewhat vague and could be interpreted to prohibit the printing or other production of lottery tickets by companies in this State for use in states where lotteries are permitted; that the laws relating to lotteries were designed to prohibit the operation of lotteries in Arkansas and were not intended to prohibit the printing of lottery tickets for use where lotteries are permitted; that this Act is designed to clarify such laws and should be given effect immediately. Therefore, an emergency is hereby declared to exist and this Act being necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 2009, Nos. 605 and 606, § 27: Mar. 25, 2009. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the people of the State of Arkansas overwhelmingly approved the establishment of lotteries at the 2008 General Election; that lotteries will provide funding for scholarships to the citizens of this state; that the failure to immediately implement this act will cause a reduction in lottery proceeds that will harm the educational and economic success of potential students eligible to receive scholarships under the act; and that the state lotteries should be implemented as soon as possible to effectuate the will of the citizens of this state and implement lottery-funded scholarships as soon as possible. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Research References

Am. Jur. 38 Am. Jur. 2d, Gambling, § 22 et seq.

Ark. L. Rev.

Legal Control of Business in Arkansas, 5 Ark. L. Rev. 137.

C.J.S. 38 C.J.S., Gaming, § 131 et seq.

Case Notes

City Ordinance.

A city ordinance declaring that pinball machines or other gaming devices are a public nuisance and that it is unlawful for any business establishment or individual to possess pinball machines in any manner within the city is void because in conflict with state statutes. City of Piggott v. Eblen, 236 Ark. 390, 366 S.W.2d 192 (1963) (decision under prior law).

5-66-101. Construction of statutes.

  1. In their construction of the statutes prohibiting gaming, the judges of the several courts in this state shall construe the statutes liberally, with a view of preventing persons from evading the penalty of the law by changing of the name or the invention of new names or devices that now are, or may hereafter be, brought into practice, in any and in all kinds of gaming, and all general terms of descriptions shall be so construed as to have effect, and include all such games and devices as are not specially named.
  2. In all cases in which construction is necessary, the construction shall be in favor of the prohibition and against the offender.

History. Rev. Stat., ch. 44, div. 6, art. 3, § 13; C. & M. Dig., § 2645; Pope's Dig., § 3335; A.S.A. 1947, § 41-3265.

Case Notes

Gaming Defined.

Gaming is the risking of money, between two or more persons, on a contest or chance of any kind, where one must be loser and the other gainer. The definition of gambling, previously set forth by the court, which comports with the common understanding of the term “gambling,” prevents the statutes from being void-for-vagueness. State v. Torres, 309 Ark. 422, 831 S.W.2d 903 (1992).

Jurisdiction.

The general rule prohibiting chancery courts from interfering with prosecutorial functions applied, and the chancery court had no jurisdiction to enjoin the prosecuting attorney from prosecuting any operation that constitutes gambling as described in the Ark. Const., Art. 19, § 14, and defined in this section. Dickey v. Signal Peak Enters., 340 Ark. 276, 9 S.W.3d 517 (2000).

Role of Chancery Courts.

There is a narrow exception to the rule that chancery courts will refrain from interfering with prosecutorial functions, but that exception is limited to the chancery court's protection of property rights in the form of lawful businesses; it does not apply to forms of illegal gambling. Dickey v. Signal Peak Enters., 340 Ark. 276, 9 S.W.3d 517 (2000).

Cited: Albright v. Muncrief, 206 Ark. 319, 176 S.W.2d 426 (1944); Bostic v. City of Little Rock, 243 Ark. 50, 418 S.W.2d 619 (1967); McDougal v. State, 324 Ark. 354, 922 S.W.2d 323 (1996); State v. 26 Gaming Machs., 356 Ark. 47, 145 S.W.3d 368 (2004).

5-66-102. [Repealed.]

Publisher's Notes. This section, concerning the duties of certain officers regarding gambling violators, was repealed by Acts 2013, No. 1348, § 14. The section was derived from Rev. Stat., ch. 44, div. 6, art. 3, § 9; C. & M. Dig., § 2642; Pope's Dig., § 3332; A.S.A. 1947, § 41-3264.

5-66-103. Keeping a gambling house.

  1. A person commits the offense of keeping a gambling house if the person:
    1. Keeps, conducts, or operates, or who is interested directly or indirectly in keeping, conducting, or operating any gambling house or place where gambling is carried on;
    2. Sets up, keeps, or exhibits or causes to be set up, kept, or exhibited or assists in setting up, keeping, or exhibiting any gambling device; or
    3. Is interested directly or indirectly in running any gambling house or in setting up and exhibiting any gambling device, either by furnishing money or another article, for the purpose of carrying on any gambling house.
  2. Keeping a gambling house is a Class D felony.

History. Acts 1913, No. 152, §§ 1, 2; C. & M. Dig., §§ 2632, 2633; Pope's Dig., §§ 3322, 3323; A.S.A. 1947, §§ 41-3251, 41-3252; Acts 2005, No. 70, § 1; 2007, No. 555, § 1; No. 827, § 82.

A.C.R.C. Notes. This section was amended by Acts 2007, No. 827, § 82. However, pursuant to Acts 2007, No. 827, § 240, this section is set out as amended by Acts 2007, No. 555, § 1.

Cross References. Municipalities may suppress, § 14-54-103.

Research References

Ark. L. Rev.

Kindt, Legalized Gambling Activities as Subsidized by Taxpayers, 48 Ark. L. Rev. 889.

Recent Development: Gambling, 58 Ark. L. Rev. 283.

Case Notes

Constitutionality.

This section is not unconstitutionally overbroad. McDougal v. State, 324 Ark. 354, 922 S.W.2d 323 (1996).

Construction.

This sentencing provisions of this section and the Criminal Code can be read in harmony: one defines the term of imprisonment and the other permits the court to impose suspension or probation. Johnson v. State, 331 Ark. 421, 961 S.W.2d 764 (1998).

Purpose.

Statutes pertaining to gambling show clear intent to suppress all unlicensed gambling in this state. Albright v. Muncrief, 206 Ark. 319, 176 S.W.2d 426 (1944).

Bingo.

Bingo establishments where money and risk were plainly involved had fair warning that their actions were prohibited. State v. Torres, 309 Ark. 422, 831 S.W.2d 903 (1992).

The operation of a commercial bingo hall meets the definition of a gambling house, and is therefore a common-law public nuisance. Masterson v. State ex rel. Bryant, 329 Ark. 443, 949 S.W.2d 63 (1997).

Common-Law Nuisance.

Although persons who maintain a place for betting on horse races may be prosecuted under this section and § 5-66-116 they might also be prosecuted under former section which provided for punishment of common-law crimes for maintaining a common-law nuisance. Blumensteil v. State, 148 Ark. 421, 230 S.W. 262 (1921).

Operator of bookmaking establishment, which was a gambling house and therefore a public nuisance at common law and a felony under this section, was precluded from invoking the protection of a court of equity in order to operate it without molestation from the state police. Albright v. Karston, 206 Ark. 307, 176 S.W.2d 421 (1943).

Evidence.

Testimony by the owner of the property regarding a small hole which had been cut in a door of which he had no knowledge, as to whether hole was used as a peep hole, or as a serving shelf for food held properly refused. Sorrentino v. State, 214 Ark. 115, 214 S.W.2d 517 (1948).

It is not necessary that the state prove that the defendant actually engaged in wagering to convict under this section. McDougal v. State, 324 Ark. 354, 922 S.W.2d 323 (1996).

Gambling Devices.

Tables, blackboards and other articles being actually used by bookmaker in carrying on the betting operations and not being used for any other purpose were gambling devices. Albright v. Karston, 206 Ark. 307, 176 S.W.2d 421 (1943).

There may be gambling devices that are no less such, although not always so used, but which, from their nature, may be used for other purposes. Albright v. Muncrief, 206 Ark. 319, 176 S.W.2d 426 (1944).

Teletype machines used to furnish horse race information to various gambling houses with operator's knowledge of the use made by the gambling houses of the information which he was furnishing them from the teletype machine were converted into gambling devices. Albright v. Muncrief, 206 Ark. 319, 176 S.W.2d 426 (1944).

Testimony that police officer answered calls to a defendant's telephone regarding racing forms, placing bets, etc., held admissible to show the use being made of the telephone. Liberto v. State, 248 Ark. 350, 451 S.W.2d 464 (1970).

Gambling Houses.

One would be guilty of running a gambling house if he permitted gaming tables to be exhibited and gambling to be carried on in a house controlled by him whether he engaged in gambling or maintained or exhibited such tables and other gambling devices or not. Turner v. State, 153 Ark. 40, 239 S.W. 373 (1922).

An establishment maintained for the purpose of receiving and making bets on horse races is a gambling house. Albright v. Karston, 206 Ark. 307, 176 S.W.2d 421 (1943); Albright v. Muncrief, 206 Ark. 319, 176 S.W.2d 426 (1944).

Refusal to instruct jury that it was necessary for it to find that defendant receive a profit or other remuneration before the defendant could be found guilty of operating a gambling house held not error, as gravamen of the offense is the maintaining of a house for gambling, and not the profit realized therefrom. Sorrentino v. State, 214 Ark. 115, 214 S.W.2d 517 (1948).

Evidence held sufficient to support a conviction for operation of a gambling house. Sorrentino v. State, 214 Ark. 115, 214 S.W.2d 517 (1948); Pope v. State, 215 Ark. 216, 219 S.W.2d 940 (1949).

Where land, on which there were plank tables used for gambling purposes, was part of railroad right of way, but, as far as defendant's patrons were concerned, defendant controlled place, defendant might properly be convicted. Colbert v. State, 218 Ark. 790, 238 S.W.2d 749 (1951).

Evidence of gambling and statement of defendant to officers that he and another person owned the place was sufficient to make a case for the jury in prosecution for keeping a gambling house. Copeland v. State, 226 Ark. 198, 289 S.W.2d 524 (1956).

The keeping of a gambling house is not limited by this section to a place where those engaged in gambling find shelter and it was not error to refuse an instruction that a finding that the defendant operated a place where those desiring to engage in gambling might resort to and find shelter while engaged in gambling was required for conviction. Liberto v. State, 248 Ark. 350, 451 S.W.2d 464 (1970).

Evidence of cockfighting and loud, open gambling on premises owned by the defendant was sufficient to convict under this section. McDougal v. State, 324 Ark. 354, 922 S.W.2d 323 (1996).

Indictment.

An indictment alleging that a sheriff, knowing that certain persons were exhibiting gambling devices in the county, failed to arrest them was held to state an offense under this section. Mays v. Robertson, 172 Ark. 279, 288 S.W. 382 (1926).

Instructions.

Instructions by the court conformed to this section, where the jury was required under the instructions to find that the defendant had an interest in the conduct and operation of the gambling house. Sorrentino v. State, 214 Ark. 115, 214 S.W.2d 517 (1948).

Where grand jury returns separate indictments against defendant, one for a felony in operating a gambling house, and one for a misdemeanor in setting up gaming devices, and defendant proceeds to trial on felony charge, he is not entitled to an instruction by the court on misdemeanor charge. Pope v. State, 215 Ark. 216, 219 S.W.2d 940 (1949).

Intent.

When the mental culpability requirement of § 5-2-203 is read into this section, it is clear that a person must act purposely, knowingly, or recklessly for a violation to occur. McDougal v. State, 324 Ark. 354, 922 S.W.2d 323 (1996).

Jury Question.

Whether defendant's house in a residential area was a gambling house was a jury question. Flaherty v. State, 255 Ark. 187, 500 S.W.2d 87 (1973), cert. denied, 415 U.S. 995, 94 S. Ct. 1599, 39 L. Ed. 2d 893 (1974).

Lesser-Included Offenses.

It was not error for the judge to refuse to give an instruction defining the offense under § 5-66-104 as a lesser-included offense of that proscribed by this section where the defendant was either guilty of operating a gambling house or guilty of nothing at all. Blankenship v. State, 258 Ark. 535, 527 S.W.2d 636 (1975).

Sentence.

The alternative-sentencing provisions, permitting suspended sentence or probation, are applicable to offenses under this section, even though this section has its own penal provision. Johnson v. State, 331 Ark. 421, 961 S.W.2d 764 (1998).

Cited: Buchanan v. State, 214 Ark. 835, 218 S.W.2d 700 (1948); Hardwick v. State, 220 Ark. 464, 248 S.W.2d 377 (1952); Campbell v. City of Hot Springs, 232 Ark. 878, 341 S.W.2d 225 (1960); Moore v. State, 244 Ark. 1197, 429 S.W.2d 122 (1968); State v. Adkisson, 251 Ark. 119, 471 S.W.2d 332 (1971); Thompson v. State, 298 Ark. 502, 769 S.W.2d 6 (1989); United States v. Thompson, 925 F.2d 234 (8th Cir. 1991).

5-66-104. Gaming devices — Prohibition.

  1. It is unlawful for a person to set up, keep, or exhibit any gaming table or gambling device, commonly called “A. B. C.”, “E. O.”, roulette, or rouge et noir, any faro bank, or any other gaming table or gambling device, or bank of the like or similar kind, or of any other description although not named in this section, regardless of the name or denomination, either:
    1. Adapted, devised, or designed for the purpose of playing any game of chance; or
    2. At which any money or property may be won or lost.
  2. Upon conviction, a person who violates this section is guilty of an unclassified misdemeanor and shall be fined in any sum not less than one hundred dollars ($100) and may be imprisoned any length of time not less than thirty (30) days nor more than one (1) year.

History. Rev. Stat., ch. 44, div. 6, art. 3, § 1; C. & M. Dig., § 2630; Pope's Dig., § 3320; A.S.A. 1947, § 41-3253; Acts 2009, No. 748, § 33.

Amendments. The 2009 amendment added the subsection designations throughout; in (a), substituted “It is unlawful for a person to set up, keep, or exhibit” for “Any person who sets up, keeps, or exhibits”, deleted “or” preceding “any faro bank”, substituted “regardless of” for “be” and “either” for “what it may”; in (b), added “Upon conviction, a person who violates this section”, deleted “deemed” preceding “guilty”, substituted “an unclassified” for “a”, and deleted “on conviction” preceding “shall be fined”; and made minor stylistic changes.

Case Notes

Purpose.

It was the purpose of this section to suppress any of the gambling devices constantly being invented to evade the gambling laws. Portis v. State, 27 Ark. 360 (1872); Euper v. State, 35 Ark. 629 (1880).

Statutes pertaining to gambling show clear intent to suppress all unlicensed gambling in this state. Albright v. Muncrief, 206 Ark. 319, 176 S.W.2d 426 (1944).

Acts Constituting Offense.

One who keeps a billiard table and permits others to play upon it for so much per game, to be paid for by the loser, violates this section. State v. Sanders, 86 Ark. 353, 111 S.W. 454 (1908).

The fact that the owner of the table plays in the game of poker and furnishes chips to others does not make him an exhibitor of a gaming table. Tully v. State, 88 Ark. 411, 114 S.W. 920 (1908).

One who furnishes any device by which money may be won or lost through chance or skill is guilty of exhibiting a gambling device. Johnson v. State, 101 Ark. 159, 141 S.W. 493 (1911).

One who shows a table specially prepared for a game of “craps” for the purpose of attracting betters, and who retains, for the use of the table, a certain percent of the bets, violates this section. Gershner v. State, 106 Ark. 488, 153 S.W. 600 (1913).

Evidence.

Evidence held sufficient to support conviction. Hill v. State, 264 Ark. 313, 571 S.W.2d 228 (1978).

A telephone-card vending machine was an illegal gambling device where the machine operated as follows: (1) a patron would place a $1 bill in the machine, and the machine would then print an “Emergency Long Distance Telephone Card” good for three minutes of long distance; (2) at the same time, the machine would register a number of play credits; (3) the patron could then play a game on the machine “similar to tic-tac-toe on a 3 x 3 matrix consisting of various symbols which may be lined up for additional points,” (4) these points could then be redeemed for a cash prize ranging from $1 to $1,000; (5) additionally, after using the prepaid telephone card, the patron could mail the used card to the defendant for a supplemental drawing for various prizes such as electronics or airline tickets; and (6) if a patron did not wish to purchase a telephone card but still wanted to play the game, he or she could use one of the self-addressed, stamped post cards provided at the store and mail it to the defendants for a free-play certificate, which could be redeemed for a $1 bill to play the game. Pre-Paid Solutions, Inc. v. City of Little Rock, 343 Ark. 317, 34 S.W.3d 360 (2001).

Gambling Device.

Particular items held to be gambling devices. Riley v. State, 120 Ark. 450, 179 S.W. 661 (1915); Howell v. State, 184 Ark. 109, 40 S.W.2d 782 (1931); Steed v. State, 189 Ark. 389, 72 S.W.2d 542 (1934); Stanley v. State, 194 Ark. 483, 107 S.W.2d 532 (1937).

Teletype machines used to furnish horse racing information to various gambling houses with operator's knowledge of the use made by the gambling houses of the information which he was furnishing them from the teletype machine were converted into gambling devices. Albright v. Muncrief, 206 Ark. 319, 176 S.W.2d 426 (1944).

Mere intention to use seized radio equipment in connection with gambling did not make radio equipment a gambling device, if equipment had never been used for gambling. Burnside v. State, 219 Ark. 596, 243 S.W.2d 736 (1951).

Merely setting up a machine that gives free games does not violate this section, but when the free games won on the machine were converted to cash by the proprietor's paying off the games in money the machine clearly became a gaming device. Bostic v. City of Little Rock, 241 Ark. 671, 409 S.W.2d 825 (1966).

Trial court correctly found the owners' video poker and video slot machines were illegal gaming devices and subject to destruction in that they were designed for the purpose of playing a game of chance whereby winning credits entitled the player to continue to play, or if a player had won sufficient credits, to redeem the credits for a prize; although the owners had paid taxes on them as amusement devices, that fact alone did not legalize, authorize, license, or permit any machine equipped with any automatic payoff mechanism. Sharp v. State, 350 Ark. 529, 88 S.W.3d 848 (2002).

Three countertop machines were not gaming devices per se where no tokens, money, or prizes were offered in connection with the machines; the machines were more akin to video arcade machines intended for amusement because a player inserted money and could play gambling-like games, but never received anything in return except amusement. State v. 26 Gaming Machs., 356 Ark. 47, 145 S.W.3d 368 (2004).

Just as devices described as slot machines in another case were determined to be illegal gaming devices, defendant's devices were gambling devices proscribed by this section; because they were slot machines, they were expressly excluded by § 26-57-403(a) from the definition of amusement devices found at § 26-57-402. Paris v. State, 87 Ark. App. 344, 192 S.W.3d 277 (2004).

Gaming Defined.

Gaming is the risking of money, between two or more persons, on a contest or chance of any kind, where one must be loser and the other gainer. The definition of gambling, previously set forth by the court, which comports with the common understanding of the term “gambling,” prevents the statutes from being void for vagueness. State v. Torres, 309 Ark. 422, 831 S.W.2d 903 (1992).

Lesser-Included Offenses.

Refusal to give an instruction defining the offense under this section as a lesser-included offense of that prescribed by § 5-66-103 where the defendant was either guilty of operating a gambling house or guilty of nothing at all held proper. Blankenship v. State, 258 Ark. 535, 527 S.W.2d 636 (1975).

Money or Property.

The words “money or property” as used in this section mean any money or any valuable thing or any representative of anything that is esteemed of value. Rankin v. Mills Novelty Co., 182 Ark. 561, 32 S.W.2d 161 (1930).

Multiple Convictions.

This section is violated by every one who sets up or exhibits any one of the games named, and he may be separately convicted for maintaining each device. Jacobs v. State, 100 Ark. 591, 141 S.W. 489 (1911).

Separate Offenses.

The offense under this section is distinct from that defined by § 5-66-107, and if both are charged in the same indictment, one will be quashed. State v. Morris, 45 Ark. 62 (1885); Lyman v. State, 90 Ark. 596, 119 S.W. 1116 (1909).

Cited: Colbert v. State, 218 Ark. 790, 238 S.W.2d 749 (1951); Bostic v. City of Little Rock, 243 Ark. 50, 418 S.W.2d 619 (1967); Flaherty v. State, 255 Ark. 187, 500 S.W.2d 87 (1973); Mullins v. State, 359 Ark. 414, 198 S.W.3d 504 (2004).

5-66-105. Gaming devices — Financial interest.

  1. It is unlawful for any person in any way, either directly or indirectly, to be:
    1. Interested or concerned in any gaming prohibited by § 5-66-104, either by furnishing money or another article for the purpose of carrying on gaming; or
    2. Interested in the loss or gain of gaming prohibited by § 5-66-104.
  2. Upon conviction, a person who violates this section is guilty of an unclassified misdemeanor and shall be fined in any sum not less than one hundred dollars ($100) and may be imprisoned any length of time not less than thirty (30) days nor more than one (1) year.

History. Rev. Stat., ch. 44, div. 6, art. 3, § 2; C. & M. Dig., § 2631; Pope's Dig., § 3321; A.S.A. 1947, § 41-3254; Acts 2007, No. 827, § 83.

Case Notes

Employees and Employer.

Any person who is employed by and assists the proprietor in the operation of a gambling device is subject to prosecution. Trimble v. State, 27 Ark. 355 (1872).

The employment of another to watch after a slot machine, in the operation of which money was lost and won, was an offense under this section. Jeffries v. State, 61 Ark. 308, 32 S.W. 1080 (1895).

Instruction.

Refusal to give instruction defining the offense covered by this section as lesser included offense of the crime defined by § 5-66-103(a), where there was no evidence which would have supported a conviction under this section, held proper. Blankenship v. State, 258 Ark. 535, 527 S.W.2d 636 (1975).

Cited: Hill v. State, 264 Ark. 313, 571 S.W.2d 228 (1978).

5-66-106. Gaming devices — Betting.

  1. It is unlawful for any person to bet any money or other valuable thing or any representative of any thing that is esteemed of value on any game prohibited by § 5-66-104.
  2. Upon conviction, a person who violates this section is guilty of a violation and shall be fined in any sum not exceeding one hundred dollars ($100) nor less than fifty dollars ($50.00).

History. Rev. Stat., ch. 44, div. 6, art. 3, § 3; C. & M. Dig., § 2634; Pope's Dig., § 3324; A.S.A. 1947, § 41-3255; Acts 2007, No. 827, § 84.

Case Notes

Cited: Gordon v. Town of DeWitt, 106 Ark. 283, 153 S.W. 807 (1913); Henry v. State, 280 Ark. 24, 655 S.W.2d 372 (1983).

5-66-107. Gaming devices — In buildings or on vessels.

  1. It is unlawful for any owner or occupant of any house, outbuilding, or other building or any steamboat, or other vessel to knowingly permit or suffer any games, tables, or banks mentioned in § 5-66-104 or permit or suffer any kind of gaming under any name, to be carried on or exhibited in his or her house, outbuilding, or other building, or on board of any steamboat, flatboat, keelboat, or other vessel on any of the waters within this state.
  2. Upon conviction, a person who violates this section is guilty of an unclassified misdemeanor and shall be fined in any sum not less than one hundred dollars ($100) and may be imprisoned any length of time not less than thirty (30) days nor more than one (1) year.

History. Rev. Stat., ch. 44, div. 6, art. 3, § 4; C. & M. Dig., § 2635; Pope's Dig., § 3325; A.S.A. 1947, § 41-3256; Acts 2007, No. 827, § 85.

Case Notes

Purpose.

The offense designed to be punished by this section is the permitting by the owner of any house of any of the games prohibited in § 5-66-104, and not the playing or betting at the games mentioned in § 5-66-112. Stith v. State, 13 Ark. (8 English) 680 (1853).

Acts Constituting Offense.

Where the keeper of a shop rents an adjoining room, with an understanding that it is to be used by the lessee for gaming purpose and permits the game of faro to be carried on in that room under his observation, he is guilty of knowingly permitting gaming to be carried on in his house. Brockway v. State, 36 Ark. 629 (1880).

This section is violated by everyone who sets up, keeps, or exhibits any gambling devices without respect to whether more than one is exhibited at the same time and place. Jacobs v. State, 100 Ark. 591, 141 S.W. 489 (1911).

Indictment.

Indictment held sufficient. Turner v. State, 153 Ark. 40, 239 S.W. 373 (1922).

Separate Offense.

The offense of exhibiting a gambling device and knowingly permitting it to be exhibited in a house owned or occupied by the accused are not the same, but distinct and if charged in the same indictment it will be quashed upon demurrer unless the prosecuting attorney will elect upon which he will prosecute. State v. Morris, 45 Ark. 62 (1885).

Cited: Vanderworker v. State, 13 Ark. (8 English) 700 (1853); Garland Novelty Co. v. State, 71 Ark. 138, 71 S.W. 257 (1902).

5-66-108. [Repealed.]

Publisher's Notes. This section, concerning search warrants for gaming devices, was repealed by Acts 2013, No. 1348, § 15. The section was derived from Rev. Stat., ch. 44, div. 6, art. 3, §§ 6, 7; C. & M. Dig., §§ 2637, 2638; Pope's Dig., §§ 3327, 3328; A.S.A. 1947, §§ 41-3259, 41-3260.

5-66-109. [Repealed.]

Publisher's Notes. This section, concerning gaming devices and vagrants, was repealed by Acts 2013, No. 1348, § 16. The section was derived from Rev. Stat., ch. 44, div. 6, art. 3, § 5; Rev. Stat., ch. 154, § 2; C. & M. Dig., §§ 2636, 2802; Pope's Dig., §§ 3326, 3506; A.S.A. 1947, §§ 41-3257, 41-3258.

5-66-110. Keno, etc.

  1. If a person sets up or exhibits, causes to be set up or exhibited, or aids or assists in setting up or exhibiting in the state any gaming device commonly known and designated as “keno” or any similar device by any other name or without a name, upon conviction the person is guilty of a violation and shall be fined in any sum not less than two hundred dollars ($200) for benefit of the common school fund.
    1. It is the duty of each prosecuting attorney in this state who knows or is informed of any person exhibiting or setting up, or aiding or assisting in setting up any device described in subsection (a) of this section in his or her district, to take immediate steps to have the person immediately arrested for trial, and the prosecuting attorney shall have the person arrested as provided in this subsection for each separate offense done or committed on every separate day.
    2. If any prosecuting attorney who knows or is informed of any violation of this section refuses or neglects to cause the arrest and trial of the person so offending within five (5) days next after he or she knows or is informed of the offense, upon indictment and conviction, the prosecuting attorney shall be fined in any sum not less than five hundred dollars ($500).
    1. It is the duty of every justice of the peace, knowing or being informed of any violation of subsection (a) of this section, in his or her township, for which the person has not been arrested or tried under the provisions of this section, to cause the arrest and trial of the person so offending, for each separate offense done or committed against the provisions of this section.
    2. If any justice of the peace who knows or is informed of any violation of subsection (a) of this section in his or her township refuses or neglects to cause the arrest and trial of the person so violating subsection (a) of this section, within five (5) days next after he or she is informed of the same, the justice of the peace is guilty of a misfeasance in office, and, upon indictment and conviction, the circuit court shall remove him or her from office.
  2. No license granted by any city or town is a bar to any prosecution or conviction under a provision of this section or any excuse, protection, or justification for any justice of the peace or prosecuting attorney failing to carry out the same.

History. Acts 1877, No. 71, §§ 1-5, 7, p. 70; C. & M. Dig., §§ 2646-2651; Pope's Dig., §§ 3336-3341; A.S.A. 1947, §§ 41-3266 — 41-3271; Acts 2009, No. 748, § 34.

Amendments. The 2009 amendment removed the subdivision designations from (a), substituted “violation” for “misdemeanor,” and made minor stylistic changes.

5-66-111. Pinball machines, etc.

    1. Any coin-operated pinball machine or other device that is designed so that more than one (1) coin can be inserted so as to give the player additional odds in making a high score or winning an additional free game is unlawful.
    2. The operation of the coin-operated pinball machine or other device described in subdivision (a)(1) of this section is a misdemeanor that is punishable by the imposition of a fine not to exceed one thousand dollars ($1,000) or imprisonment in the county jail for not more than one (1) year, or both.
  1. It is the intent of this section to prohibit the use of so-called “bingo”-type pinball machines, the interstate transportation of which is prohibited by 15 U.S.C. § 1172.
    1. A coin-operated amusement device, including a pinball machine, that takes only one (1) coin for each player for each game and that is equipped with flippers that can be activated by the player to propel a ball back onto the playing surface of the machine so as to prolong the playing time and increase the score attained by the player and upon which not more than twenty-five (25) free games can be won by the player are specifically designated as an amusement device.
    2. The use of an amusement device described in subdivision (c)(1) of this section is declared to be legal so long as all state and municipal taxes have been paid and the owner of the amusement device has obtained a permit, filed a bond, and paid the privilege tax required by § 26-57-401 et seq.

History. Acts 1977, No. 283, §§ 1, 2; A.S.A. 1947, §§ 41-3201, 41-3202.

5-66-112. Card games — Betting.

If a person bets any money or any valuable thing on any game of brag, bluff, poker, seven-up, three-up, twenty-one, vingt-et-un, thirteen cards, the odd trick, forty-five, whist, or at any other game of cards known by any name now known to the law or with any other or new name or without any name, upon conviction he or she is guilty of a violation and shall be fined in any sum not less than ten dollars ($10.00) nor more than twenty-five dollars ($25.00).

History. Rev. Stat., ch. 44, div. 6, art. 3, § 8; C. & M. Dig., § 2639; Pope's Dig., § 3329; A.S.A. 1947, § 41-3261; Acts 2009, No. 748, § 35.

Amendments. The 2009 amendment inserted “is guilty of a violation and” and made minor stylistic changes.

Case Notes

Acts Constituting Offense.

Parties who play at cards under an agreement that the beaten party shall treat the others to cigars are guilty of gaming under this section. State v. Wade, 43 Ark. 77 (1884).

Evidence.

A participant in the game is a competent witness. Robinson v. State, 41 Ark. 400 (1883).

In a prosecution for gaming by playing poker, the sheriff's testimony as to the similarity as to arrangement and equipment in the boat where the raid took place and other poker games which he had raided was held admissible. Honea v. State, 176 Ark. 640, 3 S.W.2d 679 (1928).

Indictment.

An indictment for gaming need not allege the names of the parties playing the game if known, nor the grand jury's ignorance of their names if not known. Goodman v. State, 41 Ark. 228 (1883).

Separate Offense.

Proof of violating this section will not sustain an indictment under § 5-66-104. Tully v. State, 88 Ark. 411, 114 S.W. 920 (1908).

Cited: Hudson v. State, 173 Ark. 1169, 294 S.W. 15 (1927).

5-66-113. Games of hazard or skill — Betting.

  1. If a person bets any money or any valuable thing on any game of hazard or skill, upon conviction he or she is guilty of a violation and shall be fined in any sum not less than ten dollars ($10.00) nor more than twenty-five dollars ($25.00).
  2. In prosecuting under subsection (a) of this section it is sufficient for the indictment to charge that the defendant bet money or another valuable thing on a game of hazard or skill, without stating with whom the game was played.

History. Acts 1855, §§ 1, 2, p. 270; C. & M. Dig., §§ 2640, 2641; Pope's Dig., §§ 3330, 3331; A.S.A. 1947, §§ 41-3262, 41-3263; Acts 2009, No. 748, § 36.

Amendments. The 2009 amendment inserted “is guilty of a violation and” and made minor stylistic changes.

Case Notes

Dog Racing.

Betting on dog races violates this section. Fox v. Harrison, 178 Ark. 1189, 13 S.W.2d 808 (1929) (decision prior to the enactment of § 23-111-205).

Indictment.

An indictment for betting on a game of “hazard or skill” is not objectionable for the use of the disjunction. State v. Hester, 48 Ark. 40, 2 S.W. 339 (1886).

Cited: Mace v. State, 58 Ark. 79, 22 S.W. 1108 (1893).

5-66-114. Sports or games — Transmission of information.

    1. It is unlawful for any person, partnership, or corporation to receive or transmit information in the State of Arkansas relating to football, baseball, basketball, hockey, polo, tennis, horse racing, boxing, or any other sport or game for the purpose of gaming.
    2. This section does not apply to a radio station or newspaper disseminating such information as news, entertainment, or advertising medium.
    3. The provisions of this section do not apply to any commission conducting a legalized race meet within the State of Arkansas.
  1. Any teletype, telegraph ticker tape, or similar machine or device used in the transmitting or receiving of information relating to a game or sport as set out in subsection (a) of this section, that is used either directly or indirectly for the purpose of gaming, is defined and declared to be a “gaming device”.
  2. Any person who violates a provision of this section and any teletype, telegraph ticker tape, or similar machine or device when used for gaming purposes, as defined in this section, is subject to the procedure and penalties as set out in §§ 5-66-101 — 5-66-110, 5-66-112, 5-66-113, 5-66-116, and 5-66-118.

History. Acts 1953, No. 355, §§ 1-3; A.S.A. 1947, §§ 41-3282 — 41-3284.

5-66-115. Sports or games — Bribery of participants.

  1. As used in this section:
    1. “Participant” means any:
      1. Professional or amateur baseball, football, basketball, hockey, polo, tennis, or other athletic player;
      2. Boxer;
      3. Jockey, driver, groom, or other person participating or expecting to participate in a horse race, including an owner of a race track or the owner's employee, steward, trainer, judge, starter, or special police officer; or
      4. Manager, coach, or trainer of any sport team or participant or prospective participant in any sport team, sport game, or sport contest; and
    2. “Sport” means any:
      1. Professional or amateur baseball, football, basketball, hockey, polo, tennis, or other athletic game or contest;
      2. Boxing match; or
      3. Horse race.
  2. It is unlawful for any person to give, promise, or offer to any participant in any sport any valuable thing with the purpose to influence the participant to lose or try to lose or cause to be lost or to limit the participant's or the participant's team's margin of victory in a sport in which the participant is taking part or expects to take part or has any duty or connection.
  3. It is unlawful for any participant to solicit or accept any valuable thing to influence the participant to lose or try to lose or cause to be lost or to limit the participant's or the participant's team's margin of victory in a sport in which the participant is taking part or expects to take part or has any duty or connection.
  4. Upon conviction, any person who violates this section is guilty of a Class D felony.

History. Acts 1951, No. 250, § 1; 1975, No. 928, § 9; A.S.A. 1947, § 41-3288; Acts 2007, No. 827, § 86.

5-66-116. Horseracing — Betting.

  1. It is unlawful to directly or indirectly bet in this state, by selling or buying pools or otherwise, any money or other valuable thing, on any horse race of any kind whether had or run in this state or out of this state.
    1. Upon conviction, a person who violates subsection (a) of this section is guilty of:
      1. A violation for the first offense and shall be fined in any sum not less than ten dollars ($10.00) nor more than twenty-five dollars ($25.00);
      2. A violation for the second offense and shall be fined in any sum not less than twenty-five dollars ($25.00) nor more than one hundred dollars ($100); and
      3. An unclassified misdemeanor for all offenses after the second offense and shall be fined in any sum not more than five hundred dollars ($500) and imprisoned for a term of not less than thirty (30) days nor more than six (6) months.
    2. Every bet, wager, sale of pools, or purchase of pools is deemed a separate offense.
  2. It is the duty of circuit judges and prosecuting attorneys of this state, the grand juries and mayors of the cities and towns of this state, the police officers and marshals of the cities and towns, and the justices of the peace, sheriffs, and constables to enforce the provisions of this section when this section is violated in their presence or when the information of the violation is brought to their knowledge by affidavit or otherwise.
  3. If any sheriff, constable, or police officer refuses or neglects to immediately arrest and bring before some court of competent jurisdiction for trial any person who violates this section, when the knowledge of the violation is brought to his or her attention by the affidavit of any resident of the county where the offense is committed, the sheriff, constable, or police officer is deemed guilty of nonfeasance in office and upon conviction shall be fined in any sum not more than five hundred dollars ($500) and shall be removed from office.

History. Acts 1907, No. 55, §§ 1-4, p. 134; C. & M. Dig., §§ 2669-2672; Pope's Dig., §§ 3355-3358; A.S.A. 1947, §§ 41-3278 — 41-3281; Acts 2009, No. 748, § 37.

Amendments. The 2009 amendment, in (b)(1), deleted “a misdemeanor and” following “guilty of” in the introductory language, inserted “A violation for” in (b)(1)(A) and (b)(1)(B), corrected a misspelling in (b)(1)(B), in (b)(1)(C) inserted “An unclassified misdemeanor for” and deleted “in the county jail” following “imprisoned,” and made minor stylistic changes.

Cross References. Arkansas Horse Racing Law, inconsistent statutes inapplicable, § 23-110-102.

Case Notes

Applicability.

This section is not applicable to dog races. Fox v. Harrison, 178 Ark. 1189, 13 S.W.2d 808 (1929).

Betting.

The agreement between parties that the loser pay the winner as a result of their wager, brings the transaction within the prohibition of this section, and it is not necessary that money be put up. Wolf v. State, 135 Ark. 574, 206 S.W. 39 (1918).

Common-Law Nuisances.

Although persons who maintain a place for betting on horse races may be prosecuted under this section and § 5-66-103, they might also be prosecuted for maintaining a common-law nuisance. Blumensteil v. State, 148 Ark. 421, 230 S.W. 262 (1921).

Gambling House.

An establishment maintained for the purpose of receiving and making bets on horse races is a gambling house. Albright v. Karston, 206 Ark. 307, 176 S.W.2d 421 (1943).

Instruction.

Refusal to give instruction defining the offense covered by this section as lesser included offense of the crime defined by § 5-66-103, where there was no evidence which would have supported a conviction under this section held proper. Blankenship v. State, 258 Ark. 535, 527 S.W.2d 636 (1975).

Successive Offenses.

One may be punished for a second offense though the conviction for the first offense did not occur within one year before the return of the indictment for the second offense. Wolf v. State, 135 Ark. 574, 206 S.W. 39 (1918).

Cited: Western Union Tel. Co. v. Estes, 213 Ark. 719, 212 S.W.2d 333 (1948).

5-66-117. Horseracing — Agency service wagering.

    1. It is unlawful for any person, either for himself or herself or as agent or employee of another person, to place, offer, or agree to place, either in person or by messenger, telephone, or telegraph, a wager on behalf of another person, for a consideration paid or to be paid by or on behalf of the other person, on a thoroughbred horse race being conducted in or out of this state.
    2. Upon conviction, a person who violates subdivision (a)(1) of this section is guilty of a Class D felony.
  1. It is a defense to prosecution under this section if a defendant can prove that his or her wager on behalf of another person was:
    1. Of a casual nature with no profit motive; and
    2. Merely an accommodation to the other person.

History. Acts 1977, No. 791, §§ 1, 2; A.S.A. 1947, §§ 41-3203, 41-3204; Acts 2007, No. 827, § 87.

Case Notes

Cited: Post v. Harper, 980 F.2d 491 (8th Cir. 1992).

5-66-118. Lottery, etc. — Tickets.

  1. Except as authorized under the Charitable Bingo and Raffles Enabling Act, § 23-114-101 et seq., it is unlawful for a person to:
    1. Keep an office, room, or place for the sale or disposition of a lottery ticket or slip, policy ticket or slip, gift concert ticket or slip, or like device;
    2. Vend, sell, or otherwise dispose of any lottery ticket or slip, policy ticket or slip, gift concert ticket or slip, or like device;
    3. Possess any lottery ticket or slip, policy ticket or slip, or gift concert ticket or slip, or like device, except a lottery ticket issued in another state where a lottery is legal; or
    4. Be interested, either directly or indirectly, in the sale or disposition of any lottery ticket or slip, policy ticket or slip, or gift concert ticket or slip, or like device.
  2. In any prosecution or investigation under this section, it is no exemption for a witness that his or her testimony may incriminate himself or herself, but no such testimony given by the witness shall be used against him or her in any prosecution except for perjury, and the witness is discharged from liability for any violation of the law upon his or her part disclosed by his or her testimony.
    1. The General Assembly recognizes that:
      1. The present laws relating to lotteries are vague in certain areas and, although designed to prohibit the operation of lotteries in the state, may be interpreted to prohibit even the printing of lottery tickets by companies in this state for distribution in other states where lotteries are legal;
      2. There are companies in this state that print various types of tickets, stamps, tags, coupon books, and similar devices and that may be interested in printing lottery tickets for states where lotteries are lawful; and
      3. It is the intent and purpose of this subsection to clarify the present law relating to lotteries to specifically permit businesses in Arkansas to print lottery tickets for use in states where lotteries are lawful.
      1. The printing or other production of lottery tickets by a business located in Arkansas for use in a state where a lottery is permitted is declared to be lawful.
      2. Nothing contained in this section and § 5-66-119 or any other law shall be construed to make printing or production of lottery tickets described in subdivision (c)(2)(A) of this section unlawful.
    1. Upon conviction, any person who violates this section is guilty of a violation and shall be fined an amount not to exceed ten thousand dollars ($10,000).
    2. A second or subsequent offense is a Class D felony.

History. Acts 1939, No. 209, §§ 1-6; A.S.A. 1947, §§ 41-3272 — 41-3277; Acts 1987, No. 835, §§ 1, 2; 1993, No. 1053, § 1; 2007, No. 388, § 2; 2009, No. 748, §§ 38, 39.

Publisher's Notes. Acts 1987, No. 835, §§ 1, 2 is also codified at § 5-66-119.

Amendments. The 2009 amendment inserted “ticket or slip” or substituted “ticket or slip” for “ticket, slip” throughout the section; substituted “a violation” for “an unclassified misdemeanor” in (d)(1); and made related and minor stylistic changes.

Cross References. Lotteries, Ark. Const., Art. 19, § 14.

Research References

ALR.

Criminal Actions for Fraudulently Passing or Redeeming Lottery Tickets or Tampering with Lottery Equipment, 32 A.L.R.7th Art. 7 (2018).

Ark. L. Rev.

Criminal Law — Lotteries — Consideration Necessary to Constitute, 10 Ark. L. Rev. 223.

Case Notes

Lottery.

A lottery is a species of gaming which may be defined as a scheme for the distribution of prizes by chance among persons who have paid or agreed to pay a valuable consideration for the chance to obtain a prize. Burks v. Harris, 91 Ark. 205, 120 S.W. 979 (1909) (decision under prior law).

Where a newspaper manager purchased an automobile under a conditional agreement, reserving title in the vendor, the fact that the vendor knew that the purchaser intended to give the machine away in a popularity contest (conceding that such contest was in effect a lottery) did not affect the validity of the contract of sale. Watkins v. Curry, 103 Ark. 414, 147 S.W. 43 (1912) (decision under prior law).

A popularity contest, with no element of chance in it, is not illegal as a lottery. Millsaps v. Urban, 116 Ark. 90, 171 S.W. 1198 (1914) (decision under prior law).

Buying a chance for valuable consideration paid or to be paid to obtain a possible prize is a lottery even though limited to members of an alleged charitable organization and although some of the money goes to charity. State v. Bass, 224 Ark. 976, 277 S.W.2d 479 (1955).

Cited: In re Armstrong, 217 B.R. 569 (Bankr. E.D. Ark. 1998).

5-66-119. Lottery — Promotion through sales.

    1. Any person who in this state, directly or indirectly, sets up, promotes, engages in, or in any manner participates in any plan, scheme, device, or other means, either alone or in concert with any other person, firm, or corporation, either within or without the State of Arkansas, in which goods, property, or any other thing of value is sold to any person, firm, or corporation for any consideration, either cash or otherwise, and upon the further consideration that the purchaser agrees to obtain one (1) or more persons to participate in the plan, scheme, device, or other means by making a similar purchase and a similar agreement to secure one (1) or more other persons to participate in the plan, scheme, device, or other means in the same manner, each purchaser being given the right to obtain money, credits, goods, or some other thing of value, depending upon the number of persons joining in or participating in the plan, scheme, device, or other means, is declared to have set up, promoted, engaged in, or participated in a lottery, which is declared to be unlawful.
    2. The promotion, engaging in, or participation in the plan, scheme, device, or other means described in subdivision (a)(1) of this section is punishable as provided in this section.
    1. Upon a complaint filed by any interested person, on relation of the State of Arkansas, the Attorney General, or any prosecuting attorney of any county where a plan, scheme, device, or other means described in subdivision (a)(1) of this section is proposed, promoted, operated, engaged in, or participated in, the circuit court of the county where the plan, scheme, device, or other means described in subdivision (a)(1) of this section is set up, proposed, operated, promoted, engaged in, or participated in may enjoin the further operation, promotion of, engagement, or participation in the plan, scheme, device, or other means.
    2. Any injunction under subdivision (b)(1) of this section may be granted without bond furnished by the plaintiff, and the circuit court may make further orders touching upon the subject matter as it may find necessary and desirable.
    1. The General Assembly recognizes that:
      1. The present laws relating to lotteries are vague in certain areas and, although designed to prohibit the operation of lotteries in the state, may be interpreted to prohibit even the printing of lottery tickets by companies in this state for distribution in other states where lotteries are legal;
      2. There are companies in this state that print various types of tickets, stamps, tags, coupon books, and similar devices and that may be interested in printing lottery tickets for states where lotteries are lawful; and
      3. It is the intent and purpose of this subsection to clarify the present law relating to lotteries to specifically permit businesses in Arkansas to print lottery tickets for use in states where lotteries are lawful.
      1. The printing or other production of lottery tickets by a business located in Arkansas for use in a state where a lottery is permitted is declared to be lawful.
      2. Nothing contained in this section and § 5-66-119 or any other law shall be construed to make printing or production of lottery tickets described in subdivision (c)(2)(A) of this section unlawful.
  1. Any person who violates a provision of this section commits a Class D felony.

History. Acts 1961, No. 49, §§ 1-3; 1975, No. 928, § 10; A.S.A. 1947, §§ 41-3285 — 41-3287; Acts 1987, No. 835, §§ 1, 2.

Publisher's Notes. Acts 1987, No. 835, §§ 1, 2 is also codified at § 5-66-118.

Research References

Ark. L. Rev.

Kindt, Legalized Gambling Activities as Subsidized by Taxpayers, 48 Ark. L. Rev. 889.

5-66-120. Application to Arkansas Scholarship Lottery Act.

This chapter does not apply to a lottery under the Arkansas Scholarship Lottery Act, § 23-115-101 et seq.

History. Acts 2009, No. 605, § 2; 2009, No. 606, § 2.

Chapter 67 Highways and Bridges

Effective Dates. Acts 1925, No. 135, § 5: approved Mar. 5, 1925. Emergency clause provided: “This act being necessary for the immediate preservation of the public peace, health and safety, an emergency is hereby declared and the same shall take effect and be in force from and after its passage.”

Acts 1971, No. 249, § 6: Mar. 9, 1971. Emergency clause provided: “It is hereby found and determined by the General Assembly of the State of Arkansas that there is an immediate need to control the widening gap between highway needs and highway revenues in Arkansas, which is a matter of grave concern to the General Assembly, and that by the immediate passage of this Act significant efforts to conserve those revenues and to retard the accrual of needs may be realized. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

5-67-101. Advertising signs generally.

  1. It is unlawful for any person, firm, or corporation to place any advertising sign on the highway right-of-way in this state, except for a sign placed under direction of the State Highway Commission.
  2. Any person violating a provision of this section or § 5-39-213 is guilty of a violation and upon conviction shall be fined in any sum not less than twenty-five dollars ($25.00) nor more than one hundred dollars ($100).

History. Acts 1941, No. 359, §§ 2, 3; A.S.A. 1947, §§ 41-3355, 41-3356; Acts 2005, No. 1994, § 54.

Publisher's Notes. Acts 1941, No. 359, § 3, is also codified as § 5-39-213(b).

Cross References. Placing advertising on private property without owner's written permission, § 5-39-213.

Regulation of outdoor advertising, § 27-74-101 et seq.

Research References

Ark. L. Rev.

Legal Control of Business in Arkansas, 5 Ark. L. Rev. 137.

Legal Liability for the Exercise of Free Speech, 10 Ark. L. Rev. 155.

5-67-102. False or misleading signs.

  1. It is unlawful for any person, firm, or corporation to erect or cause to be erected or maintained on or within one hundred yards (100 yds.) of the right-of-way of any state highway any sign or billboard that has printed, painted, or otherwise placed on the sign or billboard words or figures:
    1. Calculated to cause the traveling public of this state or tourists from other states to abandon the state highway and travel any public road to any town, city, or destination in this state unless the sign or billboard is erected and maintained by and with the consent and approval of the State Highway Commission; or
    2. That give to the traveling public any false or misleading information pertaining to the highways of this state.
  2. Any person, firm, or corporation violating a provision of this section is guilty of a violation and upon conviction shall be fined in any sum not less than twenty-five dollars ($25.00) nor more than one hundred dollars ($100).
  3. The commission shall remove and destroy any signboard within one hundred yards (100 yds.) of the right-of-way of any state highway that gives to the traveling public any false or misleading information pertaining to the highways of this state.

History. Acts 1925, No. 135, §§ 1-4; Pope's Dig., §§ 3660-3663; A.S.A. 1947, §§ 41-3351 — 41-3354; Acts 2005, No. 1994, § 54; Acts 2007, No. 827, § 88.

Cross References. Regulation of outdoor advertising, limitations, § 27-74-302.

Research References

Ark. L. Rev.

Legal Liability for the Exercise of Free Speech, 10 Ark. L. Rev. 155.

5-67-103. Attaching signs to utility poles or living plants.

    1. It is unlawful for any person, firm, corporation, or association to nail, staple, or otherwise attach or cause to be nailed, stapled, or otherwise attached any sign, poster, or billboard to any public utility pole or to any living tree, shrub, or other plant located upon the rights-of-way of any public road, highway, or street in this state.
    2. However, this prohibition does not apply to a warning, safety, or identification sign attached to a public utility pole by a utility company or cooperative.
    1. Any person, firm, corporation, or association violating a provision of this section is guilty of a violation and upon conviction shall be fined not less than fifty dollars ($50.00) nor more than five hundred dollars ($500).
    2. Each day that any violation under subdivision (b)(1) of this section continues constitutes a separate offense.

History. Acts 1967, No. 420, §§ 1, 2; A.S.A. 1947, §§ 41-3362, 41-3363; Acts 2005, No. 1994, § 54.

5-67-104. Violation of posted bridge prohibitions.

  1. It is unlawful for any person owning or operating a motor vehicle that in any way exceeds or violates any properly posted limitation, regulation, rule, or restriction governing the use of a bridge structure to use the bridge structure so long as the use violates any posted prohibition.
    1. Any unlawful action resulting in a violation of a provision of subsection (a) of this section is a violation and upon conviction the person shall be punished by a fine of not more than two hundred dollars ($200).
    2. The person is liable for the costs to restore the damage and injury to the bridge structure occasioned by the violation.

History. Acts 1971, No. 249, §§ 2, 3; A.S.A. 1947, §§ 41-3365, 41-3366; Acts 2005, No. 1994, § 54; 2019, No. 315, § 169.

Amendments. The 2019 amendment inserted “rule” in (a).

5-67-105. Wreckage near memorial highway.

  1. If any person or corporation stores wrecked, worn out, or discarded automobiles or other scrap iron or steel within two hundred yards (200 yds.) of any public highway in the State of Arkansas, a part of which has been or may be designated by law as a memorial highway, it is the person's or corporation's duty to:
    1. Construct a solid fence or wall high enough to hide the wrecked, worn out, or discarded automobiles or other scrap iron or steel from a person passing along the memorial highway; or
    2. Hide the wrecked, worn out, or discarded automobiles or other scrap iron or steel behind a house or other structure or elevation of the land that conceals the wrecked, worn out, or discarded automobiles or other scrap iron or steel from public view of a person passing along the memorial highway.
  2. Any person failing to comply with a provision of this section is guilty of a violation and shall be fined five dollars ($5.00) for each day that he or she fails to comply, with the fine to go to the local school district where the site of the violation is located.

History. Acts 1933, No. 165, §§ 1, 2; Pope's Dig., §§ 3657, 3658; A.S.A. 1947, §§ 41-3357, 41-3358; Acts 1997, No. 379, § 1; 2005, No. 1994, § 54.

Cross References. Junkyard control, § 27-74-401 et seq.

5-67-106. Use of spotlight.

  1. It is unlawful to use a spotlight from any public road, street, or highway except for use by:
    1. A law enforcement officer, game and fish officer, emergency service worker, or utility company employee in the performance of his or her duties;
    2. A person or his or her employee to examine real or personal property or livestock owned or rented by the person; or
    3. A person to assist in the repair or removal of a motor vehicle or other property.
  2. This section does not apply within the boundaries of a city of the first class or a city of the second class.
  3. A violation of this section is a Class C misdemeanor.

History. Acts 1987, No. 625, § 1.

5-67-107. Solicitation on or near a highway.

  1. It is unlawful for any person to solicit a donation or offer to sell any item or service:
    1. On a state highway;
    2. Within ten feet (10') of a state highway, if there is not a sidewalk along the highway; or
    3. Between the highway and a sidewalk, if there is a sidewalk within ten feet (10') of the highway.
  2. A violation of this section is a Class C misdemeanor.

History. Acts 1993, No. 980, § 1.

Chapter 68 Obscenity

Research References

ALR.

Statute or ordinance prohibiting use of “obscene” language in public. 2 A.L.R.4th 1331.

Jurisdiction of state court in connection with obscenity prosecution of author, actor, photographer, publisher, distributor, or other party whose acts were performed outside the state. 16 A.L.R.4th 1318.

Processor's right to refuse to process or return film or videotape of obscene subject. 18 A.L.R.4th 1326.

Statute authorizing forfeiture of use or closure of real property from which obscene materials have been disseminated or exhibited. 25 A.L.R.4th 395.

Validity of ordinances restricting location of “adult entertainment” or sex-oriented businesses, 10 A.L.R.5th 538.

Am. Jur. 50 Am. Jur. 2d, Lewdness, § 4 et seq.

Ark. L. Rev.

Legal Liability for the Exercise of Free Speech, 10 Ark. L. Rev. 155.

Constitutional Law: Captivity of an Audience Viewing Screen of Drive-In Theater Outside of Premises, 30 Ark. L. Rev. 82.

The Arkansas Obscenity Doctrine: Its Establishment and Evolution, 47 Ark. L. Rev. 393.

C.J.S. 67 C.J.S., Obscenity, § 1 et seq.

Subchapter 1 — General Provisions

[Reserved.]

Subchapter 2 — Offenses Generally

Preambles. Acts 1931, No. 155, contained a preamble which read:

“Whereas, there is, at this time, being offered for sale in numerous places within the State of Arkansas various forms and classes of magazines, papers, and literature which are grossly obscene, and

“Whereas, owing to its obscene and immoral nature, much of this literature is not permitted by the Federal Government to be sent through the United States mails but is shipped into the State of Arkansas by express companies and by motor vehicle carriers;

“Now, therefore …”

Effective Dates. Acts 1931, No. 155, § 3: Mar. 20, 1931.

Acts 1957, No. 38, § 5: Feb. 13, 1957. Emergency clause provided: “It is hereby determined by the General Assembly of the State of Arkansas that there has grown up in various parts of the nation and in the State of Arkansas a form of recreation or participation known as nudism which entails such practices as sunbathing, hiking, swimming, and other activities in the nude and in the presence of persons of the opposite sex. It is further determined that such forms of recreation, participation, activities and practices constitute a clear and present danger to the public peace, health, welfare, safety and morals of the State of Arkansas, and this Act is necessary for the preservation of the public peace, health, welfare, safety and morals. An emergency is, therefore, declared to exist and this Act shall be in full force and effect from and after its passage and approval.”

Research References

Ark. L. Rev.

The Arkansas Obscenity Doctrine: Its Establishment and Evolution, 47 Ark. L. Rev. 393.

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Law, 1 U. Ark. Little Rock L.J. 153.

5-68-201. Exhibition of obscene figures.

  1. Any person publicly exhibiting any obscene figure is guilty of a violation.
  2. Any person convicted under a provision of this section shall be fined in any sum not less than fifty dollars ($50.00) nor more than one hundred dollars ($100).

History. Rev. Stat., ch. 44, div. 6, art. 2, §§ 2, 3; C. & M. Dig., §§ 2700, 2701; Pope's Dig., §§ 3386, 3387; A.S.A. 1947, §§ 41-3551, 41-3552; Acts 2005, No. 1994, § 184.

Amendments. The 2005 amendment substituted “guilty of a violation” for “deemed guilty of a misdemeanor” in (a); and inserted “nor more than one hundred dollars ($100)” in (b).

Case Notes

Jury Question.

Question of obscenity must be submitted to the jury as a question of fact and the finding of the court, sitting as a jury, may not be disturbed if sustained by testimony sufficient to support that conclusion by an ordinary man of average intelligence. Hadley v. State, 205 Ark. 1027, 172 S.W.2d 237 (1943).

Cited: Robinson v. State, 253 Ark. 882, 489 S.W.2d 503 (1973).

5-68-202. Sale or possession of literature rejected by U.S. mail.

  1. It is unlawful for any person, firm, or corporation to sell or to offer for sale or to have in possession any magazine, paper, or other literature or printed book, picture, or matter the shipment or transportation of which has been refused and rejected from the United States mail or which literature or literature of like character the United States Government does not permit to be sold, shipped, or handled.
    1. Any violation of a provision of this section constitutes a violation and upon conviction the offender is subject to a fine of any sum not less than fifty dollars ($50.00) nor more than one hundred dollars ($100).
    2. Each day that this section is violated constitutes a separate offense.

History. Acts 1931, No. 155, §§ 1, 2; Pope's Dig., §§ 3381, 3382; A.S.A. 1947, §§ 41-3556, 41-3557; Acts 2005, No. 1994, § 55.

Amendments. The 2005 amendment substituted “violation” for “misdemeanor” in present (b)(1).

5-68-203. Obscene films.

  1. It is unlawful for any person to knowingly exhibit, sell, offer to sell, give away, circulate, produce, distribute, attempt to distribute, or have in his or her possession any obscene film.
  2. As used in this section:
    1. “Film” means motion picture film, still picture film, slides, and movie film of any type;
    2. “Obscene” means that to the average person, applying contemporary community standards, the dominant theme of the material taken as a whole appeals to prurient interest; and
    3. “Person” means any individual, partnership, firm, association, club, corporation, or other legal entity.
    1. Any person that knowingly exhibits, sells, offers to sell, gives away, circulates, produces, distributes, or attempts to distribute any obscene film is guilty of a Class D felony.
    2. Any person that has in his or her possession an obscene film is guilty of a Class A misdemeanor.

History. Acts 1967, No. 411, §§ 1-3; A.S.A. 1947, §§ 41-3578 — 41-3580; Acts 2005, No. 1994, § 429.

Publisher's Notes. This section may be impliedly repealed by §§ 5-68-3015-68-308.

Amendments. The 2005 amendment inserted “or her” in (a) and (c); and, in (c), substituted “Class D felony” for “felony and upon conviction shall be fined not more than two thousand dollars ($2,000) or be imprisoned for a period not less than one (1) year nor more than five (5) years, or be both so fined and imprisoned,” and substituted “Class A misdemeanor” for “misdemeanor and upon conviction shall be fined not more than one thousand dollars ($1,000) or be imprisoned in the county jail for a period not to exceed one (1) year, or both.”

Research References

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Law, 1 U. Ark. Little Rock L.J. 153.

Jans, Survey of Constitutional Law, 3 U. Ark. Little Rock L.J. 184.

DeSimone, Survey of Criminal Law, 3 U. Ark. Little Rock L.J. 191.

Case Notes

Constitutionality.

It was not essential that a statute incorporate every nuance of constitutional dictum and this section were not unconstitutional under the First Amendment of the U.S. Constitution for failing to include in the definition of obscene the requirement that the film be utterly without redeeming social value. Bullard v. State, 252 Ark. 806, 481 S.W.2d 363 (1972).

This section is a valid constitutional regulation of obscene films when limited to that which constituted (a) patently offensive representations or descriptions of ultimate sexual acts whether normal, perverted, actual or simulated and (b) patently offensive representations or descriptions of masturbation, excretory functions and lewd exhibition of the genitals. Gibbs v. State, 255 Ark. 997, 504 S.W.2d 719 (1974).

This section is not unconstitutional because it does not contain a provision that alleged obscene material may be redeemed because of any measure of social value. Herman v. State, 256 Ark. 840, 512 S.W.2d 923 (1974), cert. denied, 420 U.S. 953, 95 S. Ct. 1337, 43 L. Ed. 2d 431 (1975).

This section is not unconstitutional because it does not on its face limit the area of proscribed material to offensive depictions of sexual conduct or because the only standard prescribed is whether the material appeals to prurient interest. Herman v. State, 256 Ark. 840, 512 S.W.2d 923 (1974), cert. denied, 420 U.S. 953, 95 S. Ct. 1337, 43 L. Ed. 2d 431 (1975).

Where theater operators had been warned by a judge that a film might be obscene, conviction under this section for exhibition of the film, subsequent to the U.S. Supreme Court Miller decision (Miller v. California, 413 U.S. 15, 93 S. Ct. 2607, 37 L. Ed. 2d 419 (1973)) and prior to the upholding by the state Supreme Court of this section under the standards set forth in the Miller decision, was not an ex post facto application of law as the theater operators had ample warning that the showing of the film could be viewed as a violation of the state obscenity statute. Herman v. State, 256 Ark. 840, 512 S.W.2d 923 (1974), cert. denied, 420 U.S. 953, 95 S. Ct. 1337, 43 L. Ed. 2d 431 (1975).

This section is not unconstitutionally vague in violation of due process. Smith v. State, 258 Ark. 549, 528 S.W.2d 360 (1975); Fortner v. State, 258 Ark. 591, 528 S.W.2d 378 (1975).

Since that part of this section declaring possession of obscene films to be a misdemeanor, is separable from the other part which declares prohibited acts to be felonies, the misdemeanor provision does not affect the constitutionality of the felony provisions. Smith v. State, 258 Ark. 549, 528 S.W.2d 360 (1975); Fortner v. State, 258 Ark. 591, 528 S.W.2d 378 (1975).

The state's attempt to make mere private possession of obscene material a crime is an unconstitutional invasion of that person's First Amendment rights. Buck v. State, 265 Ark. 434, 578 S.W.2d 579 (1979).

Exhibition, Sale, Etc.

Showing an obscene film without charge or compensation is a violation of the laws of this state. Buck v. Steel, 263 Ark. 249, 564 S.W.2d 215 (1978).

Defendant who sold obscene films was improperly charged under this section. State v. Brown, 265 Ark. 41, 577 S.W.2d 581 (1979).

Implied Repeal.

The chancery court had no jurisdiction under this section because the section is exclusively of a criminal nature and contains no reference to any civil remedy. Southland Theatres, Inc. v. State, 254 Ark. 192, 492 S.W.2d 421 (1973).

For cases discussing the implied repeal of this section by Acts 1977, No. 464 (repealed), see Buck v. Steel, 263 Ark. 249, 564 S.W.2d 215 (1978); State v. Brown, 265 Ark. 41, 577 S.W.2d 581 (1979).

Knowledge.

Where there was no evidence from which the jury could have found, without resorting to surmise and conjecture, that the defendant had knowledge that the film sold was an obscene film, as required for conviction, the trial court erred in denying the defendant's motion for directed verdict at the conclusion of the state's case. Fortner v. State, 258 Ark. 591, 528 S.W.2d 378 (1975).

To sustain a conviction under this section, scienter requires more than a mere belief which warrants further inspection or inquiry. Fortner v. State, 258 Ark. 591, 528 S.W.2d 378 (1975).

Cited: Southland Theaters, Inc. v. State ex rel. Tucker, 254 Ark. 639, 495 S.W.2d 148 (1973).

5-68-204. Nudism.

  1. As used in this section, “nudism” means the act or acts of a person or persons congregating or gathering with his, her, or their private parts exposed in the presence of one (1) or more persons of the opposite sex as a form of social practice.
  2. The provisions of this section do not apply to the enumerated acts if:
    1. The purpose of the person committing the act or acts is to render medical or surgical treatment or to determine the need for medical or surgical treatment or to cleanse such sexual part, and the person committing the act:
      1. Is a licensed physician, as defined by § 17-80-101, or any such physician of a sister state making a professional call into Arkansas;
      2. Committed the act under the professional direction of any physician described in subdivision (b)(1)(A) of this section; or
      3. Is a nurse duly registered or licensed by the Arkansas State Board of Nursing; or
    2. The persons are married legally one to another.
  3. It is unlawful for any:
    1. Person, club, camp, corporation, partnership, association, or organization to advocate, demonstrate, or promote nudism; or
    2. Person to rent, lease, or otherwise permit his or her land, premises, or buildings to be used for the purpose of advocating, demonstrating, or promoting nudism.
  4. Any person, club, camp, corporation, partnership, association, or organization violating any provision of this section is guilty of a Class A misdemeanor for each offense.
  5. This section does not repeal any existing laws of the State of Arkansas except those in direct conflict with this section but this section is cumulative to the existing laws of the State of Arkansas.

History. Acts 1957, No. 38, §§ 1-4; A.S.A. 1947, §§ 41-3558 — 41-3561; Acts 2005, No. 1994, § 351.

Amendments. The 2005 amendment inserted “or her” in (c); and, in (d), substituted “Class A misdemeanor for each offense” for “misdemeanor and upon conviction shall be fined in any sum not less than fifty dollars ($50.00) nor more than one thousand dollars ($1,000) or imprisoned for not less than thirty (30) days nor more than six (6) months, or both such fine and imprisonment for each offense.”

Case Notes

Advocacy, Demonstration, Etc.

Showing by theatre owner of film depicting nude persons did not constitute advocacy of nudism. Mini-Art Operating Co. v. State, 253 Ark. 364, 486 S.W.2d 8 (1972).

5-68-205. Public display of obscenity.

    1. As used in this subsection:
      1. “Obscene” means the same as “obscene material” defined by § 5-68-302; and
      2. “Obscenity” means an obscene sticker, painting, decal, emblem, or other device that is or contains an obscene writing, description, photograph, or depiction.
    2. A person commits the offense of publicly displaying an obscenity if the person knowingly causes an obscenity to be displayed in a manner that is readily visible to the public and the obscenity's content or character is distinguishable by normal vision.
    3. Publicly displaying an obscenity is a Class B misdemeanor.
    1. It is unlawful to publicly display obscene material as defined by § 5-68-302 on any motor vehicle or wearing apparel.
    2. A violation of this subsection is a Class C misdemeanor.

History. Acts 1989, No. 200, § 1; 1989, No. 584, § 1; 2007, No. 827, §§ 89, 90.

Research References

Ark. L. Rev.

The Arkansas Obscenity Doctrine: Its Establishment and Evolution, 47 Ark. L. Rev. 393.

Subchapter 3 — State Standards Defining and Regulating Obscenity

Cross References. Sexual exploitation of children generally, § 5-27-301 et seq.

Use of children in sexual performances, § 5-27-401 et seq.

Effective Dates. Acts 1981 (1st Ex. Sess.), No. 28, § 11: Dec. 1, 1981. Emergency clause provided: “It has been found and is declared by the General Assembly of Arkansas that the prompt and efficient administration of justice in the State of Arkansas has been hindered by the existence of conflicting legislation on the topic of obscenity. Therefore, an emergency is declared to exist, and this Act being necessary for the preservation of the public peace, health and safety, shall take effect and be in force from and after its passage and approval.”

Research References

Ark. L. Rev.

The Arkansas Obscenity Doctrine: Its Establishment and Evolution, 47 Ark. L. Rev. 393.

5-68-301. Legislative declaration.

  1. The General Assembly finds and declares that:
    1. The definition and regulation of obscenity are matters of statewide concern;
    2. In defining and regulating obscenity, a statewide standard is workable; and
    3. There is a need for clarification of the applicable law relating to the definition and regulation of obscenity.
    1. To this end, it is the intent of this subchapter to impose a statewide standard for the definition and regulation of obscenity that is applicable throughout the state and all political subdivisions.
    2. No political subdivision shall enact any ordinance, rule, or regulation in conflict with a provision of this subchapter.

History. Acts 1981 (1st Ex. Sess.), No. 28, § 1; A.S.A. 1947, § 41-3585.

Case Notes

Cited: Marjak, Inc. v. Cowling, 626 F. Supp. 522 (W.D. Ark. 1985).

5-68-302. Definitions.

As used in this subchapter:

  1. “Advertising purposes” means a purpose of propagandizing in connection with the commercial sale of a product or type of product, the commercial offering of a service, or the commercial exhibition of an entertainment;
  2. “Hard-core sexual conduct” means a patently offensive act, exhibition, representation, depiction, or description of:
    1. An intrusion, however slight, actual or simulated, by any object, any part of an animal's body, or any part of a person's body into the genital or anal opening of any person's body; or
    2. Cunnilingus, fellatio, anilingus, bestiality, a lewd exhibition of genitals, or an excretory function, actual or simulated;
  3. “Live public show” means a public show in which a human being, an animal, or both appear bodily before a spectator or customer;
  4. “Obscene material” means a material that:
    1. Depicts or describes in a patently offensive manner sadomasochistic abuse, sexual conduct, or hard-core sexual conduct;
    2. Taken as a whole, appeals to the prurient interest of the average person, applying contemporary statewide standards; and
    3. Taken as a whole, lacks serious literary, artistic, political, or scientific value;
  5. “Obscene performance” means a play, motion picture, dance, show, or other presentation, whether pictured, animated, or live, performed before an audience and that in whole or in part depicts, or reveals, sexual conduct, hard-core sexual conduct, or sadomasochistic abuse, or that includes an explicit verbal description or a narrative account of sexual conduct or hard-core sexual conduct, and that:
    1. Depicts or describes in a patently offensive manner sadomasochistic abuse, sexual conduct, or hard-core sexual conduct;
    2. Taken as a whole, appeals to the prurient interest of the average person, applying contemporary statewide standards; and
    3. Taken as a whole, lacks serious literary, artistic, political, or scientific value;
  6. “Promote” means to produce, direct, perform in, manufacture, issue, sell, give, provide, lend, mail, deliver, transfer, publish, distribute, circulate, disseminate, present, exhibit, or advertise, for consideration, or to offer or agree to do any of these things for consideration;
  7. “Public show” means any entertainment or exhibition advertised or in some other fashion held out to be accessible to the public or member of a club, regardless of whether an admission or other charge is levied or collected and regardless of whether a minor is admitted or excluded;
  8. “Sadomasochistic abuse” means flagellation, mutilation, or torture by or upon a person who is nude or clad in an undergarment or in revealing or bizarre costume, or the condition of being fettered, bound, or otherwise physically restrained on the part of a person so clothed, in a sexual context; and
  9. “Sexual conduct” means human masturbation or sexual intercourse.

History. Acts 1981 (1st Ex. Sess.), No. 28, § 2; A.S.A. 1947, § 41-3585.1.

Case Notes

Constitutionality.

This section is not void for vagueness. Dunlap v. State, 292 Ark. 51, 728 S.W.2d 155, cert. denied, 484 U.S. 852, 108 S. Ct. 155, 98 L. Ed. 2d 111 (1987).

Hard-Core Sexual Conduct.

Described activities held to meet the statutory definition of former law for “hard-core sexual conduct.” Century Theaters, Inc. v. State, 274 Ark. 484, 625 S.W.2d 511 (1981) (decision under prior law).

Obscene Material.

—In General.

Under former law, a judge's preliminary determination, prior to issuance of search warrant, that films of hard-core sexual conduct appealed to the prurient interest of the average person, applying contemporary statewide standards, and lacked serious literary, artistic, political, or scientific value was warranted where the judge knew that the place to be searched was a theater wherein movies were being shown to patrons in individual booths and where testimony of detectives describing the films indicated that the films would appeal to the prurient interests of the average person and that there was little probability of the films containing anything of value. Century Theaters, Inc. v. State, 274 Ark. 484, 625 S.W.2d 511 (1981) (decision under prior law).

This section does not use circular definition which ordinary persons cannot understand in defining “obscene material.” Dunlap v. State, 292 Ark. 51, 728 S.W.2d 155, cert. denied, 484 U.S. 852, 108 S. Ct. 155, 98 L. Ed. 2d 111 (1987).

Allegedly obscene material must be judged basis of a community standard encompassing all levels of sensitivity, of religiousness, and of economic, educational, and social standings. Dunlap v. State, 292 Ark. 51, 728 S.W.2d 155, cert. denied, 484 U.S. 852, 108 S. Ct. 155, 98 L. Ed. 2d 111 (1987).

Obscene material is that which, taken as a whole and applying contemporary statewide standards, attempts to activate prurient interest; the average person is quite capable of making that determination, and whether or not the material is successful in doing so is beside the point. Dunlap v. State, 292 Ark. 51, 728 S.W.2d 155, cert. denied, 484 U.S. 852, 108 S. Ct. 155, 98 L. Ed. 2d 111 (1987).

Evidence of pandering to prurient interests in the creation, promotion, or dissemination of the material is relevant in determining whether the material is obscene. Oglesby v. State, 299 Ark. 403, 773 S.W.2d 443 (1989).

—“Appeals.”

Legislature intended for the word “appeals” in subdivision (4)(B) to mean (1) an earnest or urgent request, entreaty, or supplication; (2) a resort or application to some higher authority, as for sanction, corroboration, or decision; (3) the power of attracting or of arousing interest. Dunlap v. State, 292 Ark. 51, 728 S.W.2d 155, cert. denied, 484 U.S. 852, 108 S. Ct. 155, 98 L. Ed. 2d 111 (1987).

—Statewide Standards.

Survey of several establishments selling obscene materials in state's most urban area would not be representative of a statewide standard, as is required by subdivision (4)(B). Dunlap v. State, 292 Ark. 51, 728 S.W.2d 155, cert. denied, 484 U.S. 852, 108 S. Ct. 155, 98 L. Ed. 2d 111 (1987).

Cited: 4000 Asher, Inc. v. State, 290 Ark. 8, 716 S.W.2d 190 (1986); Dunlap v. State, 303 Ark. 222, 795 S.W.2d 920 (1990).

5-68-303. Promoting obscene materials.

  1. Except as otherwise provided in § 5-68-308, a person commits promoting obscene materials if he or she knowingly promotes, or has in his or her possession with intent to promote, any obscene material.
  2. As used in this section, “material” means any writing, picture, motion picture, film, slide, drawing, or other visual reproduction.
  3. Promoting obscene materials is a Class D felony.

History. Acts 1981 (1st Ex. Sess.), No. 28, § 3; A.S.A. 1947, § 41-3585.2.

Research References

ALR.

Constitutionality of state statutes banning distribution of sexual devices. 94 A.L.R.5th 497.

Case Notes

Construction.

Former law which prohibited the showing of an obscene film for compensation but did not prohibit such a showing for free, did not repeal, either expressly or by implication, § 5-68-203 et seq., which prohibits the showing of any obscene film, regardless of compensation inasmuch as the two acts are not in direct conflict. Buck v. Steel, 263 Ark. 249, 564 S.W.2d 215 (1978) (decision under prior law).

Evidence.

Evidence was sufficient to sustain conviction. Dunlap v. State, 303 Ark. 222, 795 S.W.2d 920 (1990), cert. denied, Dunlap v. Arkansas, 498 U.S. 1121, 111 S. Ct. 1076, 112 L. Ed. 2d 1181 (1991).

Search and Seizure.

Where the articles were offered for public sale by the bookstore, and the officers walked in and bought them, there was no violation of the prohibition against unreasonable searches and seizures, and the defendant, an employee of the bookstore, could be arrested without a prior judicial determination of obscenity. 4000 Asher, Inc. v. State, 290 Ark. 8, 716 S.W.2d 190 (1986).

Cited: Dunlap v. State, 292 Ark. 51, 728 S.W.2d 155 (1987); Oglesby v. State, 299 Ark. 403, 773 S.W.2d 443 (1989).

5-68-304. Promoting obscene performance.

  1. A person commits promoting an obscene performance if he or she knowingly:
    1. Directs, manages, finances, or presents an obscene performance; or
    2. Promotes any obscene performance, as owner, producer, director, manager, or performer.
  2. Promoting an obscene performance is a Class D felony.

History. Acts 1981 (1st Ex. Sess.), No. 28, § 4; A.S.A. 1947, § 41-3585.3.

5-68-305. Obscene performance at a live public show.

  1. A person commits an obscene performance at a live public show if he or she knowingly:
    1. Engages in an obscene performance of sadomasochistic abuse, hard-core sexual conduct, or sexual conduct in a live public show; or
    2. Directs, manages, finances, or presents an obscene performance at a live public show in which a participant engages in sadomasochistic abuse, hard-core sexual conduct, or sexual conduct.
  2. Committing an obscene performance at a live public show is a Class C felony.

History. Acts 1981 (1st Ex. Sess.), No. 28, § 5; A.S.A. 1947, § 41-3585.4.

5-68-306. Publicly displaying obscene material for advertising purposes.

  1. Except as otherwise provided in § 5-68-308, a person commits publicly displaying obscene material for advertising purposes if, for advertising purposes, he or she knowingly:
    1. Displays publicly or causes to be displayed publicly obscene material; or
    2. Permits any display of obscene material on premises owned, rented, or operated by him or her.
  2. “Displays publicly” means the exposing, placing, posting, exhibiting, or in any fashion displaying in any location, whether public or private, an item in such a manner that it may be readily seen and its content or character distinguished by normal unaided vision viewing it from a public thoroughfare or a vehicle on a public thoroughfare.
  3. Publicly displaying obscene material for advertising purposes is a Class B misdemeanor.
  4. In any prosecution for violation of this section, it is an affirmative defense for the defendant to prove that the public display was:
    1. Primarily for artistic purposes or as a public service even though in connection with a commercial venture; or
    2. Of nudity, exhibited by a bona fide art, antique, or similar gallery or exhibition and visible in a normal display setting.

History. Acts 1981 (1st Ex. Sess.), No. 28, § 6; A.S.A. 1947, § 41-3585.5.

Research References

ALR.

Constitutionality of state statutes banning distribution of sexual devices. 94 A.L.R.5th 497.

5-68-307. Public display of hard-core sexual conduct.

  1. A person commits a public display of hard-core sexual conduct if he or she knowingly engages in hard-core sexual conduct in an open public place.
  2. Engaging in hard-core sexual conduct in an open public place is a Class D felony.

History. Acts 1981 (1st Ex. Sess.), No. 28, § 7; A.S.A. 1947, § 41-3585.6.

Research References

ALR.

What constitutes “public place” within meaning of state statute or local ordinance prohibiting indecency or commission of sexual act in public place. 95 A.L.R.5th 229.

5-68-308. Defenses.

  1. No employee is liable to prosecution under this subchapter for promoting or possessing with intent to promote any obscene motion picture if the employee is acting within the scope of his or her regular employment.
    1. As used in subsection (a) of this section, “employee” means any person regularly employed by an owner or operator of a motion picture theater if the person:
      1. Has no financial interest other than salary or wages in the ownership or operation of the motion picture theater;
      2. Has no financial interest in or control over the selection of a motion picture shown in the theater; and
      3. Is working within the motion picture theater where he or she is regularly employed.
    2. However, “employee” does not include a manager of a motion picture theater.
  2. No employee, director, or trustee of a bona fide school, museum, or public library, acting within the scope of his or her regular employment, is liable to prosecution for a violation of this subchapter for disseminating a writing, film, slide, drawing, or other visual reproduction that is claimed to be obscene.

History. Acts 1981 (1st Ex. Sess.), No. 28, § 8; A.S.A. 1947, § 41-3585.7.

Case Notes

Constitutionality.

Subsection (c) of this section does not deny equal protection because bookstore employees do not enjoy the same immunity from prosecution that is granted to the employees of schools, museums, and libraries. 4000 Asher, Inc. v. State, 290 Ark. 8, 716 S.W.2d 190 (1986).

The statutory exemption under subsections (a) and (b) of this section in favor of theater employees is valid and does not violate the equal protection clause even though employees of bookstores are not exempted. 4000 Asher, Inc. v. State, 290 Ark. 8, 716 S.W.2d 190 (1986).

Bona Fide School, Museum, or Public Library.

The settled meaning of “bona fide” as synonymous with its literal translation, “good faith,” is so familiar that the average person could not be misled; therefore, subsection (c) of this section is not overbroad because the exact meaning of bona fide is not given. 4000 Asher, Inc. v. State, 290 Ark. 8, 716 S.W.2d 190 (1986).

Cited: Dunlap v. State, 303 Ark. 222, 795 S.W.2d 920 (1990).

Subchapter 4 — Arkansas Law on Obscenity

Publisher's Notes. This subchapter may be partially superseded by §§ 5-68-3015-68-308.

Research References

Ark. L. Rev.

Legislation — No. 261 — Obscene Materials — Circulation Enjoined — Possession Penalized, 15 Ark. L. Rev. 438.

The Arkansas Obscenity Doctrine: Its Establishment and Evolution, 47 Ark. L. Rev. 393.

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Law, 1 U. Ark. Little Rock L.J. 153.

DeSimone, Survey of Criminal Law, 3 U. Ark. Little Rock L.J. 191.

Case Notes

Constitutionality.

The distribution of books and magazines, even though obscene, is protected by the First and Fourteenth Amendments to the Constitution of the United States from governmental suppression, whether criminal or civil, in personam or in rem. Redrup v. New York, 386 U.S. 767, 87 S. Ct. 1414, 18 L. Ed. 2d 515 (1967).

There is no statutory authority in this subchapter authorizing a prospective injunction against allegedly obscene material not described in the complaint and not being promoted, displayed or possessed by the petitioners when the action is filed. Brown v. Kimbrough, 263 Ark. 913, 568 S.W.2d 226 (1978).

5-68-401. Title.

This subchapter shall be known as the “Arkansas Law on Obscenity” and may be referred to by that designation.

History. Acts 1961, No. 261, § 1; A.S.A. 1947, § 41-3562.

5-68-402. Purpose and intent.

  1. The General Assembly determines that during the past several years, the spread of obscene publications has become a matter of increasingly grave concern to the people of this state.
  2. The elimination of this evil and the consequent protection of the citizens and residents of this state against those publications are in the best interests of the morals and general welfare of the people.
  3. The accomplishment of these ends can best be achieved by providing prosecuting attorneys both with a speedy civil remedy for obtaining a judicial determination of the character and contents of publications and with an effective power to reach nonresidents responsible for the composition, publication, and distribution of obscene publications within the state.

History. Acts 1961, No. 261, § 2; A.S.A. 1947, § 41-3563.

5-68-403. Definitions.

As used in this subchapter:

  1. “Mailable matter” means:
    1. Printed or written matter or material having second-class mailing privileges under the laws of the United States; or
    2. Any other printed or written matter or material that has not been determined to be nonmailable under the laws of the United States;
  2. “Obscene” means that to the average person, applying contemporary community standards, the dominant theme of the material taken as a whole appeals to prurient interest;
  3. “Person” means any individual, partnership, firm, association, corporation, or other legal entity; and
    1. “Printed or written matter or material” means any book, pamphlet, magazine, periodical, newspaper, picture magazine, comic book, story paper, or other printed or written matter.
    2. “Printed or written matter or material” does not include written or printed matter or material used by or in any recognized religious, scientific, or educational institution.

History. Acts 1961, No. 261, § 3; A.S.A. 1947, § 41-3564.

5-68-404. Mailable matter subject to provisions of subchapter.

Any mailable matter that is sent or caused to be sent, brought, or caused to be brought into this state for sale or commercial distribution or that in this state is sold, exhibited or commercially distributed, given away, or offered to be given away, by any person with knowledge of the judgment, or is in the possession of any person with knowledge of the judgment with intent to sell or commercially distribute or exhibit or give away or offer to give away, is subject to the provisions of § 5-68-405.

History. Acts 1961, No. 261, § 12; A.S.A. 1947, § 41-3573.

5-68-405. Possession, sale, or distribution.

  1. Any person that, with knowledge of its contents, sends or causes to be sent or brings or causes to be brought into this state for sale or commercial distribution, or in this state prepares, publishes, sells, exhibits, or commercially distributes, or gives away or offers to give away or has in the person's possession with intent to sell or commercially distribute or to exhibit or to give away, any obscene printed or written matter or material other than mailable matter, or any mailable matter known by the person to have been judicially found to be obscene under this subchapter, or that knowingly informs another of when, where, how, or from whom or by what means any of these things can be purchased or obtained, is guilty of a Class D felony.
  2. Any person that, with knowledge of its contents, has in the person's possession any obscene printed or written matter or material other than mailable matter, or any mailable matter known by that person to have been judicially found to be obscene under this subchapter, is guilty of a Class A misdemeanor.

History. Acts 1961, No. 261, § 4; A.S.A. 1947, § 41-3565; Acts 2005, No. 1994, § 430.

Amendments. The 2005 amendment inserted “or her” in (a) and (b); in (a), substituted “Class D felony” for “felony and upon conviction shall be fined not more than two thousand dollars ($2,000) or be imprisoned for a period not less than one (1) year nor more than five (5) years, or be both fined and imprisoned”; and, in (b), substituted “Class A misdemeanor” for “misdemeanor and upon conviction shall be fined not more than one thousand dollars ($1,000) or be imprisoned in the county jail for a period not to exceed one (1) year, or both.”

Research References

ALR.

Constitutionality of state statutes banning distribution of sexual devices. 94 A.L.R.5th 497.

Case Notes

Cited: Brown v. Kimbrough, 263 Ark. 913, 568 S.W.2d 226 (1978).

5-68-406. Action to determine obscenity.

The prosecuting attorney for the county where obscene mailable matter is sent or caused to be sent, brought, or caused to be brought or where it is prepared, sold, exhibited or commercially distributed, or given away or offered to be given away or possessed shall institute an action in the circuit court for that county for an adjudication of the obscenity of the mailable matter if the prosecuting attorney has reasonable cause to believe that any person with knowledge of its contents is:

  1. Engaged in sending obscene mailable matter, causing it to be sent, bringing or causing it to be brought, into this state for sale or commercial distribution; or
  2. In this state preparing, selling, exhibiting or commercially distributing obscene mailable matter, giving it away, offering to give it away, or has it in the person's possession with intent to sell, commercially distribute, exhibit, give it away, or offer to give it away.

History. Acts 1961, No. 261, § 5; A.S.A. 1947, § 41-3566.

5-68-407. Complaint.

  1. The action authorized in § 5-68-406 is commenced by the filing of a complaint to which is attached as an exhibit a true copy of the allegedly obscene mailable matter.
  2. The complaint shall:
    1. Be directed against the mailable matter by name or description;
    2. Allege the mailable matter's obscene nature;
    3. Designate as respondents and list the names and addresses, if known, of the mailable matter's author, publisher, and any other person sending or causing it to be sent, bringing, or causing it to be brought into this state for sale or commercial distribution and of any person in this state preparing, selling, exhibiting, or commercially distributing it or giving away or offering to give it away, or possessing it with intent to sell or commercially distribute or exhibit or give away or offer to give it away;
    4. Pray for an adjudication that the mailable matter is obscene;
    5. Pray for a permanent injunction against any person sending or causing the mailable matter to be sent, bringing, or causing it to be brought into this state for sale or commercial distribution, or in this state preparing, selling, exhibiting, or commercially distributing it, giving away or offering to give it away, or possessing it with intent to sell or commercially distribute or exhibit or give away or offer to give it away; and
    6. Pray for the mailable matter's surrender, seizure, and destruction.

History. Acts 1961, No. 261, § 6; A.S.A. 1947, § 41-3567.

Case Notes

Cited: Brown v. Kimbrough, 263 Ark. 913, 568 S.W.2d 226 (1978).

5-68-408. Order to show cause.

  1. Upon the filing of the complaint described in § 5-68-407, the prosecuting attorney shall present the complaint, including the exhibit to the complaint, as soon as practicable to the circuit court for its examination.
  2. If there is no probable cause to believe that the mailable matter described in the complaint is obscene, the circuit court shall dismiss the complaint.
  3. If the circuit court finds probable cause to believe the mailable matter to be obscene, it shall issue an order to show cause why the mailable matter shall not be adjudicated obscene, returnable not less than ten (10) days after the order's service, directed against the mailable matter by name or description and directing the service of a copy of the order, together with a copy of the complaint upon the mailable matter and upon each of the respondents named in the complaint.
  4. Service of the order shall be made upon the mailable matter at its place of publication or its editorial offices as shown in the order.
  5. Service of the order or any copy of the order may be made in any manner provided by law, and in case of mailable matter published or edited outside of the State of Arkansas and of any nonresident respondent, by registered or certified mail directed to the mailable matter of the respondent to be served at the address shown in the complaint.
  6. Proof of the mailing is deemed to be prima facie evidence of service of the order or a copy of the order upon the mailable matter or any respondent for the purposes of this section.

History. Acts 1961, No. 261, § 7; A.S.A. 1947, § 41-3568.

5-68-409. Answer — Trial date.

  1. On or before the return date specified in the order to show cause, the mailable matter and each respondent may file an answer or other defense.
  2. By order, the circuit court may permit any person to appear and file an answer as amicus curiae.
  3. If no person files an answer or other defense on or before the return date specified in the order to show cause, the circuit court may immediately determine whether the mailable matter is obscene and enter an appropriate judgment.
  4. Upon the expiration of the time for filing an answer or other defense by the mailable matter and all respondents, and, upon the circuit court's own motion or upon the application of any party, the circuit court may set a date for the trial of the issues joined.

History. Acts 1961, No. 261, § 8; A.S.A. 1947, § 41-3569.

5-68-410. Trial procedure.

  1. The public interest requires that any action prescribed in this subchapter, other than a criminal action under § 5-68-405, be heard and disposed of with the maximum promptness and dispatch commensurate with constitutional requirements, including due process, freedom of the press, and freedom of speech.
  2. The rules of civil procedure pertaining to equity cases are applicable to the trial of an action prescribed in this subchapter, other than a criminal action under § 5-68-405.

History. Acts 1961, No. 261, § 9; A.S.A. 1947, § 41-3570.

5-68-411. Judgment — Enforcement.

If the circuit court finds the mailable matter to be obscene, it shall enter judgment to that effect and may, in the judgment or in a subsequent order of enforcement of the judgment:

  1. Enter a permanent injunction against any respondent prohibiting the respondent from doing or continuing to do any act condemned by this subchapter;
  2. Direct any resident respondent to dispose of any obscene mailable matter in the resident respondent's possession or under the resident respondent's control under such conditions and within such time as the circuit court may find to be reasonable; or
  3. If any respondent fails to comply with an order of the circuit court, direct any sheriff in the state to seize and destroy any obscene mailable matter in the possession or under the control of the respondent wherever the obscene mailable matter may be found.

History. Acts 1961, No. 261, § 10; A.S.A. 1947, § 41-3571.

Case Notes

Cited: Brown v. Kimbrough, 263 Ark. 913, 568 S.W.2d 226 (1978).

5-68-412. Injunctions.

  1. Any order granting an injunction shall:
    1. Set forth the reasons for its issuance;
    2. Be specific in terms;
    3. Describe in reasonable detail, and not by reference to the complaint or other document, the act sought to be restrained; and
    4. Be binding only upon the respondents to the action, their officers, agents, servants, employees, and attorneys, and upon those persons in active concert or participation by contract or arrangement with the respondents that receive actual notice of the order by personal service or otherwise.
  2. A copy of any order of the circuit court in finding any matter to be obscene and any order of injunction issued in regard to the matter shall be served upon all persons, and in the same manner, as is provided in § 5-68-408.

History. Acts 1961, No. 261, § 11; A.S.A. 1947, § 41-3572.

Case Notes

Cited: Brown v. Kimbrough, 263 Ark. 913, 568 S.W.2d 226 (1978).

5-68-413. Contempt.

Any respondent or any officer, agent, servant, employee, or attorney of the respondent or any person in active concert or participation by contract or arrangement with the respondent, that receives actual notice, by personal service or otherwise, of any injunction or restraining order entered pursuant to § 5-68-412 and that disobeys any provision of the injunction or restraining order is guilty of contempt of court.

History. Acts 1961, No. 261, § 13; A.S.A. 1947, § 41-3574.

5-68-414. Extradition.

In any case in which a circuit court has entered its judgment, pursuant to § 5-68-411, that the mailable matter in question is obscene, and a charge of continuing violation is brought against a person that, being a respondent to the judgment, cannot be found in this state, the Governor shall demand the person's extradition from the executive authority of the state where the person may be found pursuant to the laws of this state unless the person has appealed from the judgment and the appeal has not been finally determined.

History. Acts 1961, No. 261, § 14; A.S.A. 1947, § 41-3575.

5-68-415. Possession of things enumerated in § 5-68-405 creates a presumption.

    1. The possession of any three (3) of the things enumerated in § 5-68-405, except the possession of them for the purpose of return to the person from whom received, creates a presumption that the things are intended for sale or commercial distribution, exhibition, or gift.
    2. However, the presumption under subdivision (a)(1) of this section is rebuttable.
  1. The burden of proof that the possession of the things is for the purpose of return to the person from whom received is on the possessor.

History. Acts 1961, No. 261, § 15; A.S.A. 1947, § 41-3576.

5-68-416. Nonresidents subject to jurisdiction.

In order to protect the morals and general welfare of the citizens and residents of this state against obscene printed or written matter or material originating outside this state, it is the purpose of this section to subject to the jurisdiction of the courts of this state those persons that are responsible for the importation of obscene printed or written matter or material into this state and, by that act, submit themselves to the jurisdiction of the courts of this state in any action authorized by § 5-68-406.

History. Acts 1961, No. 261, § 16; A.S.A. 1947, § 41-3577.

Subchapter 5 — Selling or Loaning Pornography to Minors

Case Notes

Cited: Fortner v. State, 258 Ark. 591, 528 S.W.2d 378 (1975).

5-68-501. Definitions.

As used in this subchapter:

  1. “CD-ROM” means a compact disk that:
    1. Has the capacity to store graphic, audio, video, and written material; and
    2. May be used by a computer or other device to play or display material harmful to minors;
  2. “Harmful to minors” means that quality of any description, exhibition, presentation, or representation, in whatever form, of nudity, sexual conduct, sexual excitement, or sadomasochistic abuse, when the material or performance, taken as a whole, has the following characteristics:
    1. The average person eighteen (18) years of age or older applying contemporary community standards would find that the material or performance has a predominant tendency to appeal to a prurient interest in sex to minors;
    2. The average person eighteen (18) years of age or older applying contemporary community standards would find that the material or performance depicts or describes nudity, sexual conduct, sexual excitement, or sadomasochistic abuse in a manner that is patently offensive to prevailing standards in the adult community with respect to what is suitable for minors; and
    3. The material or performance lacks serious literary, scientific, medical, artistic, or political value for minors;
  3. “Knowingly” means having general knowledge of, or reason to know, or a belief or ground for belief that warrants further inspection or inquiry of both:
    1. The character and content of any material described in this section that is reasonably susceptible to examination by the defendant; and
      1. The age of the minor.
      2. However, an honest mistake constitutes an excuse from liability under this section if the defendant made a reasonable bona fide attempt to ascertain the age of the minor;
  4. “Magnetic disk memory” means a memory system that stores and retrieves binary data on a record-like metal or plastic disk coated with a magnetic material, including, but not limited to, a hard disk drive and a floppy diskette;
  5. “Magnetic tape memory” means a memory system that stores and retrieves binary data on magnetic recording tape;
    1. “Material” means any book, magazine, newspaper, pamphlet, poster, print, picture, figure, image, description, motion picture, film, record, recording tape, CD-ROM disk, magnetic disk memory, magnetic tape memory, video tape, or other media.
    2. However, “material” does not include a matter displayed, transmitted, retrieved, or stored on the Internet or other network for the electronic dissemination of information;
  6. “Minor” means any person under eighteen (18) years of age;
  7. “Nudity” means a:
    1. Showing of the human male or female genitals, pubic area, or buttocks with less than a fully opaque covering;
    2. Showing of the female breast with less than a fully opaque covering of any portion of the female breast below the top of the nipple; or
    3. Depiction of covered male genitals in a discernibly turgid state;
    1. “Performance” means any motion picture, film, video tape, played record, phonograph or tape, preview, trailer, play, show, skit, dance, or other exhibition performed or presented to or before an audience of one (1) or more, with or without consideration.
    2. However, “performance” does not include a matter displayed, transmitted, retrieved, or stored on the Internet or other network for electronic dissemination of information;
  8. “Person” means any individual, partnership, association, corporation, or other legal entity of any kind;
  9. “Reasonable bona fide attempt” means an attempt to ascertain the true age of a minor by requiring production of a driver's license, marriage license, birth certificate, or other governmental or educational identification card or paper and not relying solely on an oral allegation or apparent age of the minor;
  10. “Sadomasochistic abuse” means flagellation or torture by or upon a person clad in undergarments, a mask, or bizarre costume, or the condition of being fettered, bound, or otherwise physically restrained on the part of a person so clothed;
  11. “Sexual conduct” means an act of masturbation, homosexuality, sexual intercourse, or physical contact with a person's clothed or unclothed genitals, pubic area, buttocks, or female breast; and
  12. “Sexual excitement” means the condition of the human male or female genitals when in a state of sexual stimulation or arousal.

History. Acts 1969, No. 133, § 1; A.S.A. 1947, § 41-3581; Acts 1999, No. 1263, § 1.

Case Notes

Constitutionality.

Based upon responses from questions certified to the Arkansas Supreme Court pursuant to Ark. Sup. Ct. R. 6-8, a federal district court found that § 5-68-502 effectively stifled the access of adults and older minors to communications and material they were entitled to receive and view under U.S. Const. amends. I and XIV. Shipley, Inc. v. Long, 454 F. Supp. 2d 819 (E.D. Ark. 2004) (decided under former version of § 5-68-502).

Construction.

In response to certified questions from the federal district court, the state Supreme Court determined that all minors had to be protected from material that was deemed to be harmful to minors; specifically, this material had to be obstructed from view and physically segregated for librarians and booksellers to avoid prosecution. Shipley, Inc. v. Long, 359 Ark. 208, 195 S.W.3d 911 (2004).

Cited: State v. Brown, 265 Ark. 41, 577 S.W.2d 581 (1979).

5-68-502. Selling, loaning, or displaying pornography to minors.

  1. It is unlawful for any person, including without limitation any person having custody, control, or supervision of any commercial establishment, to knowingly:
      1. Display material that is harmful to minors in such a way that the material is exposed to the view of a minor as part of the invited general public.
      2. However, a person is deemed not to have displayed material harmful to minors if:
        1. The material is kept behind devices commonly known as “blinder racks” so that the lower two-thirds (2/3) of the material is not exposed to view; or
        2. Material harmful to minors is not contained on the front cover, back cover, or binding of the displayed material;
      1. Sell, furnish, present, distribute, allow to view, or otherwise disseminate to a minor with or without consideration any material that is harmful to minors.
      2. However, the prohibition under subdivision (a)(2)(A) of this section does not apply to any dissemination:
        1. By a parent, guardian, or relative within the third degree of consanguinity of the minor; or
        2. With the consent of a parent or guardian of the minor; or
      1. Present to a minor or participate in presenting to a minor with or without consideration any performance that is harmful to minors.
      2. However, the prohibition under subdivision (a)(3)(A) of this section does not apply to any dissemination:
        1. By a parent, guardian, or relative within the third degree of consanguinity to the minor; or
        2. With the consent of a parent or guardian of the minor.
  2. A violation of subsection (a) of this section is a Class B misdemeanor.

History. Acts 1969, No. 133, § 2; A.S.A. 1947, § 41-3582; Acts 1999, No. 1263, § 2; 2003, No. 858, § 1; 2007, No. 579, § 1; 2015, No. 1263, § 19.

Amendments. The 2003 amendment, in (1)(B), deleted “material is kept behind devices commonly known as ‘blinder racks’ so that the” preceding “lower” and added “and segregated in a manner that physically prohibits access to the materials by minors.”

The 2015 amendment rewrote the section heading; inserted designation (a); in the introductory language of (a), substituted “without limitation” for “but not limited to”; substituted “(a)(2)(A)” for “(2)(A)” in (a)(2)(B); substituted “degree of” for “degree or” in (a)(2)(B)(i); substituted “(a)(3)(A)” for “(3)(A)” in (a)(3)(B); and added (b).

Case Notes

Constitutionality.

Based upon responses from questions certified to the Arkansas Supreme Court pursuant to Ark. Sup. Ct. R. 6-8, a federal district court found that this section effectively stifled the access of adults and older minors to communications and material they were entitled to receive and view under U.S. Const. amends. I and XIV. Shipley, Inc. v. Long, 454 F. Supp. 2d 819 (E.D. Ark. 2004) (decided under former version of statute).

Construction.

In response to certified questions from the federal district court, the state Supreme Court determined that all minors had to be protected from material that was deemed to be harmful to minors; specifically, this material had to be obstructed from view and physically segregated for librarians and booksellers to avoid prosecution. Shipley, Inc. v. Long, 359 Ark. 208, 195 S.W.3d 911 (2004).

The “safe harbor” provision of this section requires only that some physical obstacle stand between minors and the area where prohibited material is displayed so that minors have no access to such material; although booksellers may choose the method best suited to their individual establishments, it remains for the federal court to ultimately determine whether such a requirement violates the First Amendment rights of booksellers, librarians, and their adult customers. Shipley, Inc. v. Long, 359 Ark. 208, 195 S.W.3d 911 (2004).

5-68-503. [Repealed.]

Publisher's Notes. This section, concerning penalties, was repealed by Acts 2015, No. 1263, § 20. The section was derived from Acts 1969, No. 133, § 3; A.S.A. 1947, § 41-3583; Acts 2005, No. 1994, § 382.

Chapter 69 Oil and Gas

Effective Dates. Acts 1905, No. 242, § 6: effective on passage.

5-69-101. Extension of gas pipe without permission.

  1. It is declared to be unlawful for any person in any manner to change, extend, or alter, or to cause to be changed, extended, or altered, any service or other pipe or attachment of any kind, by or through which natural or artificial gas is furnished from the gas mains or pipes of any person, company, or corporation without first securing from that person, company, or corporation written permission to make the change, extension, or alteration.
  2. Any person violating any provision of subsection (a) of this section upon conviction is guilty of a Class A misdemeanor.

History. Acts 1905, No. 242, §§ 4, 5, p. 635; C. & M. Dig., §§ 2481, 2482; Pope's Dig., §§ 3120, 3121; A.S.A. 1947, §§ 41-3651, 41-3652; Acts 2005, No. 1994, § 467.

Amendments. The 2005 amendment, in (b), substituted “guilty of a Class A misdemeanor” for “fined in any sum not less than five dollars ($5.00) nor more than one hundred dollars ($100) for such offense.”

5-69-102. Carbon black.

  1. The use of natural gas within the State of Arkansas for the purpose of obtaining the carbon black content by the process of burning is prohibited.
  2. The erection, enlargement, maintenance, and operation of any plant in the State of Arkansas for the purpose of burning natural gas to obtain from the natural gas the carbon black content is prohibited within this state.
  3. No person, firm, or corporation owning or operating any gas well within this state shall:
    1. Use any part of the gas produced from the gas well for the purpose of obtaining the carbon black content of the gas by the process of burning; or
    2. Sell or deliver any part of the gas produced from the gas well to any other person, firm, or corporation for use by that person, firm, or corporation in obtaining the carbon black content of the gas by the process of burning the gas.
    1. The erection, maintenance, or operation of any carbon black plant in violation of this section or the use, sale, or delivery of any natural gas from any gas well in this state in violation of a provision of this section is declared a public nuisance.
    2. The Attorney General and the several prosecuting attorneys of this state shall proceed in the name of the State of Arkansas in any court of competent jurisdiction by injunction, mandamus, or other appropriate remedy for the abatement of a public nuisance under subdivision (d)(1) of this section.
    1. Any person, firm, or corporation violating any provision of this section is guilty of a violation and upon conviction shall be fined in any sum not less than one thousand dollars ($1,000) nor more than ten thousand dollars ($10,000).
    2. Each day that any plant is operated for the purpose of manufacturing carbon black or each day that any gas is used, sold, or delivered from any gas well in violation of a provision of this section is deemed a separate offense.
  4. Nothing in this section shall be construed as prohibiting the use of casing-head gas, produced from any oil well, in the manufacture of carbon black.

History. Acts 1925, No. 350, §§ 1-6; Pope's Dig., §§ 3122-3127; A.S.A. 1947, §§ 41-3653 — 41-3658; Acts 2005, No. 1994, § 56; 2007, No. 827, § 91.

Amendments. The 2005 amendment substituted “violation” for “misdemeanor” in present (e)(1).

5-69-103. Pipelines and pipeline facilities.

  1. A person upon conviction is guilty of a Class D felony if the person knowingly violates:
    1. Section 14-271-110(a);
    2. An order, safety standard, or rule of the Arkansas Public Service Commission pursuant to § 23-15-205;
    3. Section 23-15-206(b);
    4. Section 23-15-206(c);
    5. Section 23-15-208(a); or
    6. Section 23-15-209(a).
  2. A person upon conviction is guilty of a Class D felony if the person knowingly violates § 14-271-112(a) and:
    1. With respect to the violation, damages or destroys an interstate or intrastate natural gas pipeline facility that results in serious physical injury or actual damage to property of more than fifty thousand dollars ($50,000);
    2. With respect to the violation, damages or destroys an interstate or intrastate natural gas pipeline facility, knows or has reason to know of the damage or destruction, and does not report the damage or destruction promptly to the operator of the interstate or intrastate natural gas pipeline facility or to local law enforcement authorities; or
    3. With respect to the violation, damages an intrastate hazardous liquid pipeline facility that results in the release of more than fifty (50) barrels of hazardous liquid.
    1. A person who knowingly engages in the unauthorized disposal of solid waste within the right-of-way of an interstate or intrastate pipeline facility or an interstate or intrastate hazardous liquid pipeline facility upon conviction is guilty of a Class D felony.
      1. As used in this subsection, “solid waste” means garbage, refuse, or sludge from a waste treatment plant, water supply treatment plant, or air pollution control facility or other discarded material, including without limitation solid, liquid, semisolid, or contained gaseous material resulting from industrial operations, commercial operations, mining operations, agricultural operations, or other community activities.
      2. “Solid waste” does not include solid or dissolved material in domestic sewage or solids discovered in materials in irrigation return flows or industrial discharges that are point sources subject to permits under 33 U.S.C. § 1342, as it existed on January 1, 2013, or source, special nuclear, or byproduct material as defined by 42 U.S.C. § 2011 et seq., as it existed on January 1, 2013.
  3. A person who knowingly damages or destroys an interstate or intrastate pipeline facility or an interstate or intrastate hazardous liquid pipeline facility upon conviction is guilty of a:
    1. Class A misdemeanor if the amount of actual damage is one thousand dollars ($1,000) or less;
    2. Class D felony if the amount of actual damage is more than one thousand dollars ($1,000) but less than five thousand dollars ($5,000);
    3. Class C felony if the amount of actual damage is more than five thousand dollars ($5,000) but less than twenty-five thousand dollars ($25,000); or
    4. Class B felony if the amount of actual damage is more than twenty-five thousand dollars ($25,000).
  4. A person who knowingly tampers with, damages, or destroys a pipeline sign or right-of-way marker required by law or rule of the state upon conviction is guilty of a:
    1. Class A misdemeanor if the amount of actual damage is one thousand dollars ($1,000) or less;
    2. Class D felony if the amount of actual damage is more than one thousand dollars ($1,000) but less than five thousand dollars ($5,000);
    3. Class C felony if the amount of actual damage is more than five thousand dollars ($5,000) but less than twenty-five thousand dollars ($25,000); or
    4. Class B felony if the amount of actual damage is more than twenty-five thousand dollars ($25,000).

History. Acts 2013, No. 1343, § 4; 2013, No. 1344, § 5; 2019, No. 315, § 170.

A.C.R.C. Notes. Pursuant to § 1-2-207(b), this section is set out as enacted by Acts 2013, No. 1344, § 5.

Amendments. The 2019 amendment substituted “or rule” for “rule, or regulation” in (a)(2).

Chapter 70 Prostitution

Cross References. Fines, § 5-4-201.

House of ill fame, abatement as nuisance, § 20-27-401.

Municipalities may regulate or suppress houses of ill fame, § 14-54-103.

Sexual offenses, § 5-14-101 et seq.

Term of imprisonment, § 5-4-401.

Effective Dates. Acts 1981, No. 816, § 3: Mar. 28, 1981. Emergency clause provided: “It is hereby found and determined by the General Assembly that the existing penalties for persons engaged in acts of prostitution do not constitute a sufficient deterrent to further violation of the statutes and that increased penalties for such acts can provide such a deterrent. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Research References

ALR.

Entrapment defense in sex offense prosecutions. 12 A.L.R.4th 413.

Am. Jur. 63C Am. Jur. 2d, Prostit., § 1 et seq.

C.J.S. 73 C.J.S., Prostit., § 1 et seq.

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

5-70-101. Definitions.

As used in this chapter:

  1. “Advances prostitution” means a person if, acting other than as a prostitute or a patron of a prostitute, that person knowingly:
    1. Causes or aids a person to commit or engage in prostitution;
    2. Procures or solicits a patron for prostitution;
    3. Provides a person or premises for prostitution purposes;
    4. Operates or assists in the operation of a house of prostitution or a prostitution enterprise; or
    5. Engages in any other conduct designed to institute, aid, or facilitate an act or enterprise of prostitution;
  2. “Physical force” means any bodily impact, restraint, or confinement or the threat of bodily impact, restraint, or confinement;
  3. “Profits from prostitution” means a person if, acting other than as a prostitute receiving compensation for personally rendered prostitution services, the person accepts or receives money or other property pursuant to an agreement or understanding with any person in which the person participates or is to participate in the proceeds of prostitution; and
  4. “Sexual activity” means sexual intercourse, deviate sexual activity, or sexual contact as defined in § 5-14-101.

History. Acts 1975, No. 280, § 3001; A.S.A. 1947, § 41-3001.

Case Notes

Sexual Activity.

Where defendant advertised “erotic services” on the Internet, she met an undercover officer at a hotel, and stroked his penis during the course of performing a massage; the officer's testimony was sufficient to meet the requirements of this section for showing sexual activity through sexual contact. Defendant was properly convicted of prostitution under § 5-70-102, and sentenced to non-reporting probation for six months. Arrigo v. State, 2009 Ark. App. 568, 337 S.W.3d 560 (2009).

5-70-102. Prostitution.

  1. A person commits prostitution if in return for or in expectation of a fee he or she engages in or agrees or offers to engage in sexual activity with any other person.
  2. Prostitution is a:
    1. Class B misdemeanor for the first offense; and
    2. Class A misdemeanor for a second or subsequent offense under this section.
  3. It is not an offense under this section if at the time of the person's commission of or arrest for an act that meets the elements of the offense of prostitution, the person was a victim of trafficking of persons, § 5-18-103.
    1. If a law enforcement agency is investigating an offense under this section that has allegedly been committed by a minor, the law enforcement agency shall make every effort to determine whether the minor, at the time of the offense, was a victim of trafficking of persons, § 5-18-103.
    2. If a determination under subdivision (d)(1) of this section is made that the minor was a victim of trafficking of persons, § 5-18-103, the law enforcement agency investigating the offense shall immediately notify the prosecuting attorney.
  4. In addition to any other sentence authorized by this section, a person who violates this section by offering to pay, agreeing to pay, or paying a fee to engage in sexual activity upon conviction shall be ordered to pay a fine of two hundred fifty dollars ($250) to be deposited into the Safe Harbor Fund for Sexually Exploited Children.

History. Acts 1975, No. 280, § 3002; 1981, No. 816, § 1; 1983, No. 414, § 1; A.S.A. 1947, § 41-3002; Acts 2013, No. 132, § 4; 2013, No. 133, § 4; 2013, No. 1257, § 5; 2019, No. 1020, § 1.

A.C.R.C. Notes. Acts 2013, No. 133, § 1, provided: “This act shall be cited as the ‘Arkansas Human Trafficking Act of 2013’.”

Acts 2013, No. 1257, § 1, provided: “Legislative findings.

“The General Assembly finds that:

“(1) The criminal justice system is not the appropriate place for sexually exploited children because it serves to retraumatize them and to increase their feelings of low self-esteem;

“(2) Both federal and international law recognize that sexually exploited children are the victims of crime and should be treated as such;

“(3) Sexually exploited children should, when possible, be diverted into services that address the needs of these children outside of the justice system; and

“(4) Sexually exploited children deserve the protection of child welfare services, including diversion, crisis intervention, counseling, and emergency housing services.”

Acts 2013, No. 1257, § 2, provided: “Legislative intent.

“(1) The intent of this act is to protect a child from further victimization after the child is discovered to be a sexually exploited child by ensuring that a child protective response is in place in the state.

“(2) This is to be accomplished by presuming that any child engaged in prostitution or solicitation is a victim of sex trafficking and providing these children with the appropriate care and services when possible.

“(3) In determining the need for and capacity of services that may be provided, the Department of Human Services shall recognize that sexually exploited children have separate and distinct service needs according to gender, and every effort should be made to ensure that these children are not prosecuted or treated as juvenile delinquents, but instead are given the appropriate social services.”

Amendments. The 2013 amendment by identical acts Nos. 132 and 133 substituted “a second or subsequent offense under this section” for “second and subsequent offenses” in (b)(2); and added (c).

The 2013 amendment by No. 1257 added (d).

The 2019 amendment rewrote (c), added (d), and redesignated former (d) as (e).

Cross References. Premises and real property used by criminal gangs, organizations, or enterprises, or used by anyone in committing a continuing series of violations — Civil remedies, § 5-74-109.

Municipal corporations' powers and restrictions, § 14-54-102.

Criminal nuisance abatement boards, § 14-54-1701 et seq.

Common nuisance declared, § 16-105-402.

Research References

U. Ark. Little Rock L.J.

Notes, Wrongful Discharge — Sexual Harassment Equated With Prostitution to Find Public Policy Exception, 8 U. Ark. Little Rock L.J. 49.

Note, Labor — Employment at Will — Public Policy Exception Recognized, Sterling Drug, Inc. v. Oxford, 294 Ark. 239, 743 S.W.2d 380 (1988), 11 U. Ark. Little Rock L.J. 617.

U. Ark. Little Rock L. Rev.

Mary Ward, Note: Arkansas’s Human Trafficking Laws: Steps in the Right Direction or a False Sense of Accomplishment?, 37 U. Ark. Little Rock L. Rev. 133 (2014).

Case Notes

Sufficient Evidence.

Where defendant advertised “erotic services” on the Internet, she met an undercover officer at a hotel, and stroked his penis during the course of performing a massage; the officer's testimony was sufficient to show sexual activity through sexual contact as defined by § 5-14-101. Defendant was properly convicted of prostitution in violation of this section, and sentenced to non-reporting probation for six months. Arrigo v. State, 2009 Ark. App. 568, 337 S.W.3d 560 (2009).

Cited: Lucas v. Brown & Root, Inc., 736 F.2d 1202 (8th Cir. 1984).

5-70-103. Sexual solicitation.

  1. A person commits the offense of sexual solicitation if he or she:
    1. Offers or agrees to pay a fee to a person to engage in sexual activity with him or her or another person; or
    2. Solicits or requests a person to engage in sexual activity with him or her in return for a fee.
  2. Sexual solicitation is an unclassified misdemeanor with the following sentences:
    1. For a first offense:
      1. No more than ninety (90) days' imprisonment;
      2. A fine of no more than two thousand dollars ($2,000); or
      3. Both imprisonment and a fine; and
    2. For a second or subsequent offense:
      1. No more than one (1) year of imprisonment;
      2. A fine of no more than three thousand five hundred dollars ($3,500); or
      3. Both imprisonment and a fine.
  3. It is an affirmative defense to prosecution under this section that the person engaged in an act of sexual solicitation as a result of being a victim of trafficking of persons, § 5-18-103.
  4. In addition to any other sentence authorized by this section, a person who violates this section by offering to pay, agreeing to pay, or paying a fee to engage in sexual activity upon conviction shall be ordered to pay a fine of two hundred fifty dollars ($250) to be deposited into the Safe Harbor Fund for Sexually Exploited Children.

History. Acts 1975, No. 280, § 3003; A.S.A. 1947, § 41-3003; Acts 1999, No. 591, § 1; 2009, No. 428, § 1; 2013, No. 132, § 5; 2013, No. 133, § 5; 2013, No. 1157, § 4; 2013, No. 1257, § 6; 2017, No. 765, § 2.

A.C.R.C. Notes. Acts 2013, No. 133, § 1, provided: “This act shall be cited as the ‘Arkansas Human Trafficking Act of 2013’.”

Acts 2013, No. 1257, § 1, provided: “Legislative findings.

“The General Assembly finds that:

“(1) The criminal justice system is not the appropriate place for sexually exploited children because it serves to retraumatize them and to increase their feelings of low self-esteem;

“(2) Both federal and international law recognize that sexually exploited children are the victims of crime and should be treated as such;

“(3) Sexually exploited children should, when possible, be diverted into services that address the needs of these children outside of the justice system; and

“(4) Sexually exploited children deserve the protection of child welfare services, including diversion, crisis intervention, counseling, and emergency housing services.”

Acts 2013, No. 1257, § 2, provided: “Legislative intent.

“(1) The intent of this act is to protect a child from further victimization after the child is discovered to be a sexually exploited child by ensuring that a child protective response is in place in the state.

“(2) This is to be accomplished by presuming that any child engaged in prostitution or solicitation is a victim of sex trafficking and providing these children with the appropriate care and services when possible.

“(3) In determining the need for and capacity of services that may be provided, the Department of Human Services shall recognize that sexually exploited children have separate and distinct service needs according to gender, and every effort should be made to ensure that these children are not prosecuted or treated as juvenile delinquents, but instead are given the appropriate social services.”

Amendments. The 2009 amendment substituted “sexual solicitation” for “patronizing a prostitute” in (a) and (b); rewrote (a)(1); and made minor stylistic changes.

The 2013 amendment by identical acts Nos. 132 and 133 substituted “a second or subsequent offense” for “the second and subsequent offenses” in (b)(2); and added (c).

The 2013 amendment by No. 1157 inserted “or agrees” in (a)(1).

The 2013 amendment by No. 1257 added (d).

The 2017 amendment rewrote (b).

Research References

Ark. L. Rev.

The Impact of the 1976 Criminal Code on the Law of Accessorial Liability in Arkansas, 31 Ark. L. Rev. 100.

U. Ark. Little Rock L. Rev.

Mary Ward, Note: Arkansas’s Human Trafficking Laws: Steps in the Right Direction or a False Sense of Accomplishment?, 37 U. Ark. Little Rock L. Rev. 133 (2014).

5-70-104. Promoting prostitution in the first degree.

  1. A person commits the offense of promoting prostitution in the first degree if he or she knowingly:
    1. Advances prostitution by compelling a person by physical force or intimidation to engage in prostitution or profits from such coercive conduct by another; or
    2. Advances prostitution or profits from prostitution of a person less than eighteen (18) years of age.
  2. Promoting prostitution in the first degree is a Class D felony.

History. Acts 1975, No. 280, § 3004; A.S.A. 1947, § 41-3004.

Case Notes

Evidence.

Evidence held sufficient to support convictions. Parker v. State, 270 Ark. 3, 603 S.W.2d 393 (1980).

Evidence was sufficient to support defendant's conviction of promoting prostitution in the first degree under this section where the State presented substantial evidence of circumstances through the testimony of the four witnesses from which the circuit court could infer that defendant knowingly advanced or profited from the prostitution of a person less than 18 years of age. Tatum v. State, 2014 Ark. App. 68 (2014).

Force or Intimidation.

In prosecution against two defendants for promoting prostitution, it was not necessary that both defendants used physical force or intimidation in order to be guilty of the charge; if either of the defendants used force or intimidation and both profited from such conduct, then both were guilty of the offense charged. Parker v. State, 270 Ark. 3, 603 S.W.2d 393 (1980).

Instructions.

In a prosecution for pandering it was held proper for the court to read former section which defined “pandering” to the jury. Malone v. State, 202 Ark. 796, 152 S.W.2d 1019 (1941) (decision under prior law).

Prior Conduct as Prostitute.

Questions relating to defendant's prior conduct as a prostitute were properly allowed on the theory that the questions and answers went to the proposition of defendant's present income; in such case the probative value did outweigh the prejudicial effect upon the witness's testimony and the fact that defendant may have been engaged in prostitution herself had probative value on the question of guilt or innocence of the charge of promoting prostitution. Parker v. State, 270 Ark. 3, 603 S.W.2d 393 (1980).

Cited: Britt v. State, 261 Ark. 488, 549 S.W.2d 84 (1977).

5-70-105. Promoting prostitution in the second degree.

  1. A person commits the offense of promoting prostitution in the second degree if he or she knowingly advances prostitution or profits from prostitution by managing, supervising, controlling, or owning, either alone or in association with another, a house of prostitution or a prostitution enterprise involving two (2) or more prostitutes.
  2. Promoting prostitution in the second degree is a Class A misdemeanor.

History. Acts 1975, No. 280, § 3005; A.S.A. 1947, § 41-3005.

Case Notes

Consent.

It was immaterial to a charge of pandering whether the female was virtuous or not, or whether she went of her own free will or not. Boyle v. State, 110 Ark. 318, 161 S.W. 1049 (1913) (decision under prior law).

Conviction for pandering was upheld where defendant induced another woman to resume prostitution and it was immaterial whether woman was virtuous or whether she consented to become or remain a prostitute. Inman v. State, 255 Ark. 197, 500 S.W.2d 82 (1973) (decision under prior law).

Evidence.

Where the defendant was charged with the unlawful and felonious taking of money, evidence that he received things other than money was admissible to show that the defendant was engaged in the business of receiving money and profit out of the prostitution of his wife. Sweat v. State, 126 Ark. 213, 190 S.W. 433 (1916) (decision under prior law).

The evidence held sufficient to sustain a conviction on charge of operating a house of prostitution. Hicks v. State, 213 Ark. 108, 209 S.W.2d 451 (1948) (decision under prior law).

Indictment.

An indictment which failed to allege that the defendant received or appropriated money without consideration from the earnings of a prostitute was defective. Thomas v. State, 181 Ark. 316, 25 S.W.2d 424 (1930) (decision under prior law).

Instructions.

In a prosecution for pandering it was held proper for the court to read former section which defined “pandering” to the jury. Malone v. State, 202 Ark. 796, 152 S.W.2d 1019 (1941) (decision under prior law).

Instruction which did not tell jury that defendant could be convicted only for receiving of or from a woman's prostitution, and not for her earnings, if any, from legitimate sources, was not erroneous, especially when no specific objection was made. Melton v. State, 212 Ark. 968, 209 S.W.2d 99 (1948) (decision under prior law).

Place of Prostitution.

The defense could show that the house where the female was taken was not a place of prostitution, nor a place where it was encouraged or allowed. Boyle v. State, 110 Ark. 318, 161 S.W. 1049 (1913) (decision under prior law).

The former section defining “pandering” was not violated by taking a woman to a thicket, unless prostitution was there practiced, encouraged or allowed, or unless men and women resorted there for illicit intercourse. State v. Wilson, 118 Ark. 360, 176 S.W. 311 (1915) (decision under prior law).

5-70-106. Promoting prostitution in the third degree.

  1. A person commits the offense of promoting prostitution in the third degree if:
    1. Having a possessory or proprietary interest in premises that he or she knows is being used for prostitution, the person fails to make reasonable effort to halt or abate the use for prostitution; or
    2. He or she knowingly advances prostitution or profits from prostitution.
  2. Promoting prostitution in the third degree is a Class B misdemeanor.

History. Acts 1975, No. 280, § 3006; A.S.A. 1947, § 41-3006.

Case Notes

Consent.

It was immaterial to a charge of pandering whether the female was virtuous or not, or whether she went of her own free will or not. Boyle v. State, 110 Ark. 318, 161 S.W. 1049 (1913) (decision under prior law).

Conviction for pandering was upheld where defendant induced another woman to resume prostitution and it was immaterial whether woman was virtuous or whether she consented to become or remain a prostitute. Inman v. State, 255 Ark. 197, 500 S.W.2d 82 (1973) (decision under prior law).

Evidence.

Where the defendant was charged with the unlawful and felonious taking of money, evidence that he received things other than money was admissible to show that the defendant was engaged in the business of receiving money and profit out of the prostitution of his wife. Sweat v. State, 126 Ark. 213, 190 S.W. 433 (1916) (decision under prior law).

Indictment.

An indictment which failed to allege that the defendant received or appropriated money without consideration from the earnings of a prostitute was defective. Thomas v. State, 181 Ark. 316, 25 S.W.2d 424 (1930) (decision under prior law).

Instructions.

In a prosecution for pandering it was held proper for the court to read former section which defined “pandering” to the jury. Malone v. State, 202 Ark. 796, 152 S.W.2d 1019 (1941) (decision under prior law).

Instruction which did not tell jury that appellant could be convicted only for receiving of or from a woman's prostitution, and not for her earnings, if any, from legitimate sources, was not erroneous, especially when no specific objection was made. Melton v. State, 212 Ark. 968, 209 S.W.2d 99 (1948) (decision under prior law).

Place of Prostitution.

The defense could show that the house where the female was taken was not a place of prostitution, nor a place where it was encouraged or allowed. Boyle v. State, 110 Ark. 318, 161 S.W. 1049 (1913) (decision under prior law).

The former section defining “pandering” was not violated by taking a woman to a thicket, unless prostitution was there practiced, encouraged or allowed, or unless men and women resorted there for illicit intercourse. State v. Wilson, 118 Ark. 360, 176 S.W. 311 (1915) (decision under prior law).

Cited: Britt v. State, 261 Ark. 488, 549 S.W.2d 84 (1977).

Chapter 71 Riots, Disorderly Conduct, Etc.

Research References

ALR.

Conduct sufficiently violent, tumultuous, forceful, aggressive, or terrorizing to establish crime of riot. 38 A.L.R.4th 648.

Prosecutions of inmates of state or local penal institutions for crime of riot. 39 A.L.R.4th 1170.

Am. Jur. 53A Am. Jur. 2d, Mobs, § 1 et seq.

Ark. L. Rev.

1976 Criminal Code-General Principles, 30 Ark. L. Rev. 111.

Disorderly Conduct and Loitering — A Modern Approach to Traditional Legislation, 30 Ark. L. Rev. 186.

C.J.S. 27 C.J.S., Disord. Cond., § 1 et seq.

77 C.J.S., Riot, § 1 et seq.

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

Subchapter 1 — General Provisions

5-71-101. Definitions.

As used in this chapter:

  1. “Alcoholic beverage” means:
    1. Beer, ale, porter, stout, sake, or other similar fermented beverage of any name or description containing five-tenths percent (0.5%) or more of alcohol by volume, brewed or produced from malt, wholly or in part, or from any malt substitute;
    2. Wine of not less than five-tenths percent (0.5%) of alcohol by volume; or
    3. A distilled spirit known as “ethyl alcohol”, “ethanol”, or “spirits of wine” in any form, including all dilutions and mixtures of a distilled spirit, from whatever source or by whatever process produced;
  2. “Deviate sexual activity” means any act of sexual gratification involving:
    1. The penetration, however slight, of the anus or mouth of one (1) person by the penis of another person; or
    2. The penetration, however slight, of the vagina or anus of one (1) person by any body member or foreign instrument manipulated by another person;
  3. “Governmental function” means any activity that a public servant is legally authorized to undertake on behalf of any governmental unit he or she serves;
    1. “Motor vehicle” means a vehicle driven or drawn by mechanical power and manufactured primarily for use on a public highway.
    2. “Motor vehicle” does not include a vehicle operated solely on a rail or rails;
  4. “Occupiable structure” means a vehicle, building, or other structure:
    1. Where any person lives or carries on a business or other calling;
    2. Where people assemble for purposes of business, government, education, religion, entertainment, or public transportation; or
      1. That is customarily used for overnight accommodation of persons, whether or not a person is actually present.
      2. Each unit of an occupiable structure divided into separately occupied units is itself an occupiable structure;
  5. “Open alcoholic beverage container” means a bottle, can, or other receptacle that:
    1. Contains any amount of alcoholic beverage; and
    2. Is either:
      1. Open or has a broken seal; or
      2. Not open or having a broken seal but with its contents already partially removed;
  6. “Property” means real property or tangible or intangible personal property, including money or any paper or document that represents or embodies anything of value;
  7. “Prostitution” has the meaning specified in § 5-70-102;
  8. “Public building” means a structure owned, operated, or occupied by any agency of the State of Arkansas or its political subdivisions or by any agency of the United States Government;
  9. “Public place” means a publicly or privately owned place to which the public or a substantial number of people have access;
  10. “Vehicle” means any craft or device designed for the transportation of people or property across land or water or through the air; and
  11. “Vital public facility” means a facility maintained for use for:
    1. Public communications;
    2. Transportation;
    3. Supply of water, gas, or power;
    4. Law enforcement;
    5. Fire protection;
    6. Civil or national defense; or
    7. Other public service.

History. Acts 1975, No. 280, § 2901; A.S.A. 1947, § 41-2901; Acts 2018 (2nd Ex. Sess.), No. 4, § 1; 2018 (2nd Ex. Sess.), No. 7, § 1.

Amendments. The 2018 (2nd Ex. Sess.) amendment by identical acts Nos. 4 and 7 added the definitions for “Alcoholic beverage”, “Motor vehicle”, and “Open alcoholic beverage container”.

Case Notes

Public Place.

The definition of “public place” speaks only to accessibility, not visibility. Weaver v. State, 326 Ark. 82, 928 S.W.2d 798 (1996).

Where defendant was attending a private party and was drinking on the tailgate of a pickup parked in the side yard of the residence, defendant was not drinking in a “public place” as that term is used in this section. Weaver v. State, 326 Ark. 82, 928 S.W.2d 798 (1996).

Cited: Giron v. City of Alexander, 693 F. Supp. 2d 904 (E.D. Ark. 2010).

Subchapter 2 — Offenses Generally

Cross References. Fines, § 5-4-201.

Riotous and unlawful assemblies, dispersal, §§ 12-11-102 and 12-11-103.

Term of imprisonment, § 5-4-401.

Preambles. Acts 2006 (1st Ex. Sess.), No. 1, contained a preamble which read:

“WHEREAS, the Eighty-Fifth General Assembly finds that when military service personnel have been killed in action or have died as a result of their service to our country, their families should be afforded some protections to ensure that they are able to grieve their loss in privacy and peace; and

“WHEREAS, the Eighty-Fifth General Assembly finds that families of military service personnel and other families who have lost a loved one have a substantial interest in organizing and attending funerals, memorial services, wakes, visitations, and burials for deceased relatives with a deference to their privacy and peace; and

“WHEREAS, funerals, memorial services, wakes, visitations, and burials are intensely emotional times for the families of those who have died; and

“WHEREAS, the interests of families who are mourning the loss of deceased relatives are violated when military and other funerals, memorial services, wakes, visitations, or burials are targeted for picketing and other public demonstrations; and

“WHEREAS, the State of Arkansas has historically given deference to honoring those who have died and their grieving families and loved ones; and

“WHEREAS, the Eighty-Fifth General Assembly finds that it is imperative that grieving families, friends, and loved ones are given an adequate opportunity to mourn immediately before, during, and immediately after funerals, memorial services, wakes, visitations, and burials free from protesting and picketing; and

“WHEREAS, such a limited restriction strikes a balance between the exercise of freedom of speech and other constitutional rights while still affording families the right to mourn in peace,

“NOW THEREFORE, …”

Effective Dates. Acts 1975 (Extended Sess., 1976), No. 1155, § 4: Feb. 11, 1976. Emergency clause provided: “It is hereby found and determined by the General Assembly that a question has arisen as to whether Section 2913 of 280 of 1975, defining the offense of Public Intoxication, repealed by implication that portion of Ark. Stat. Ann. Section 48-943 (Repl. 1964) prohibiting the drinking of intoxicating beverages in public places; that the General Assembly did not intend to repeal by implication such portion of Section 48-943; that conflicting interpretations of the repealed effect of Section 2913 of Act 280 of 1975 will result in inequitable enforcement of the present statutory prohibition against public drinking; and that the immediate passage of this Act is necessary to clarify the state of the law as to the legality of drinking intoxicating beverages in public places. Therefore, an emergency is hereby declared to exist, and this Act, being necessary for the immediate preservation of the public peace, health and safety, shall be in full force and effect from and after its passage and approval.”

Acts 1987, No. 877, § 4: Apr. 13, 1987. Emergency clause provided: “It is hereby found and determined by the General Assembly that a question has arisen over the validity of Act 1155 of the Extended Session of 1976; that this Act is a reenactment of the former law; and that the immediate passage of this Act is necessary to clarify the state of the law as to the legality of drinking intoxicating beverages in public places. Therefore, an emergency is hereby declared to exist, and this Act being necessary for the immediate preservation of the public peace, health and safety, shall be in full force and effect from and after its passage and approval.”

Acts 1993, Nos. 379 and 388, § 10: Mar. 8, 1993. Emergency clause provided: “It is hereby found and determined by the General Assembly that the Attorney General and the Prosecuting Attorneys are in need of specific legislation by which to eliminate stalking and that immediate passage of this act is necessary to protect the public peace, health and safety of the State of Arkansas. Therefore, an emergency is hereby declared to exist and this act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1995, No. 1302, § 8: Apr. 14, 1995. Emergency clause provided: “It is hereby found and determined by the General Assembly of the State of Arkansas that the Attorney General and the Prosecuting Attorneys are in need of specific legislation by which to eliminate stalking and that immediate passage of this act is necessary to protect the public peace, health and safety of the State of Arkansas. Therefore, an emergency is hereby declared to exist and this act being necessary for the immediate preservation of the public peace, health, and safety, shall be in full force and effect from and after its passage and approval.”

Acts 2003, No. 1342, § 6: Apr. 14, 2003. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that the State of Arkansas' criminal statutes do not adequately address terrorism, as terrorism is known since September 11, 2001. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; or (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2006 (1st Ex. Sess.), No. 1, § 2: Apr. 7, 2006. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that when military service personnel have been killed in action or have died as a result to their service to our country, their families should be afforded some protection to ensure that they are able to grieve their loss in privacy and peace; that families of military personnel and other families who have lost a loved one have a substantial interest in organizing and attending funerals, memorial services, wakes, visitations, and burials for deceased relatives with a deference to their privacy and peace; and that this act is immediately necessary because it is imperative that grieving families of military personnel and other families who have lost a loved one are given an adequate opportunity to mourn immediately before, during, and immediately after funerals, memorial services, wakes, visitations, and burials free from protesting and picketing and that such a limited restriction strikes a balance between the exercise of freedom of speech and other constitutional rights while still affording families the right to mourn in peace. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Research References

ALR.

Insulting words addressed directly to police officer as disorderly conduct or breach of peace. 14 A.L.R.4th 1252.

5-71-201. Riot.

  1. A person commits the offense of riot if, with two (2) or more other persons, he or she knowingly engages in tumultuous or violent conduct that creates a substantial risk of:
    1. Causing public alarm;
    2. Disrupting the performance of a governmental function; or
    3. Damaging or injuring property or a person.
  2. Riot is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2902; A.S.A. 1947, § 41-2902.

5-71-202. Aggravated riot.

  1. A person commits the offense of aggravated riot if he or she commits the offense of riot when:
    1. The person knowingly possesses a deadly weapon; or
    2. The person knows that another person with whom he or she is acting possesses a deadly weapon.
  2. Aggravated riot is a Class D felony.

History. Acts 1975, No. 280, § 2903; A.S.A. 1947, § 41-2903; Acts 2007, No. 827, § 92.

5-71-203. Inciting riot.

  1. A person commits the offense of inciting riot if he or she knowingly:
    1. By speech or conduct urges others to participate in a riot under circumstances that produce a clear and present danger that they will participate in a riot; or
    2. Gives commands, instructions, or signals to others in furtherance of a riot.
    1. Inciting riot is a Class D felony if injury to a person or damage to property results from the offense.
    2. Otherwise, inciting riot is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2904; A.S.A. 1947, § 41-2904.

Case Notes

Equal Protection.

Former section, which excluded lawful labor union activities from the prohibition on inciting to riot, did not deny equal protection of the laws. Chapman v. State, 257 Ark. 415, 516 S.W.2d 598 (1974) (decision under prior law).

5-71-204. Arming rioters.

  1. A person commits the offense of arming rioters if he or she:
    1. Furnishes a deadly weapon or explosive device to another person knowing the deadly weapon or explosive device is to be used in a riot; or
    2. Instructs another person in the preparation or use of a deadly weapon or explosive device knowing that the deadly weapon or explosive device is to be used in a riot.
  2. Arming rioters is a Class B felony.

History. Acts 1975, No. 280, § 2905; A.S.A. 1947, § 41-2905.

5-71-205. Unlawful assembly.

  1. A person commits the offense of unlawful assembly if he or she:
    1. Assembles with two (2) or more other persons; and
    2. Has the purpose of engaging in conduct constituting a riot.
  2. Unlawful assembly is a Class C misdemeanor.

History. Acts 1975, No. 280, § 2906; A.S.A. 1947, § 41-2906.

Case Notes

Indictment or Information.

An indictment for rioting which would be good at common law was also good under former section prohibiting unlawful assembly. Roberts v. State, 21 Ark. 183 (1860) (decision under prior law).

Though good pleading required that names of other rioters be alleged, or allegation that their names were unknown, information charging only one person was sufficient to sustain conviction where participation of at least two other persons was shown by the evidence. Craig v. State, 195 Ark. 925, 114 S.W.2d 1073 (1938) (decision under prior law).

Participation by Others Required.

To sustain a conviction, the participation of at least two other persons in a common unlawful purpose had to be shown. Craig v. State, 195 Ark. 925, 114 S.W.2d 1073 (1938) (decision under prior law).

5-71-206. Failure to disperse.

  1. A person commits the offense of failure to disperse if, during a riot or an unlawful assembly, he or she refuses or knowingly fails to disperse when ordered to disperse by a law enforcement officer or other person engaged in enforcing or executing the law.
  2. It is a defense to a prosecution under this section that the actor was a news reporter or other person observing or recording the events on behalf of the news media not knowingly obstructing efforts by a law enforcement officer or other person engaged in enforcing or executing the law to control or abate the riot or unlawful assembly.
  3. Failure to disperse is a Class C misdemeanor.

History. Acts 1975, No. 280, § 2907; A.S.A. 1947, § 41-2907.

Case Notes

Law Enforcement Officer, Etc.

Words “other public officers” as used in former section providing penalty for failing to disperse meant other officers of the state or political subdivision thereof, such as city police, state police or deputy sheriffs. Duncan v. Kirby, 228 Ark. 917, 311 S.W.2d 157 (1958) (decision under prior law).

Unlawful Assembly.

Before an accused could be guilty of failing to disperse he had to assemble with another or others for the purpose of disturbing the peace or committing some unlawful act. Duncan v. Kirby, 228 Ark. 917, 311 S.W.2d 157 (1958) (decision under prior law).

5-71-207. Disorderly conduct.

  1. A person commits the offense of disorderly conduct if, with the purpose to cause public inconvenience, annoyance, or alarm or recklessly creating a risk of public inconvenience, annoyance, or alarm, he or she:
    1. Engages in fighting or in violent, threatening, or tumultuous behavior;
    2. Makes unreasonable or excessive noise;
    3. In a public place, uses abusive or obscene language, or makes an obscene gesture, in a manner likely to provoke a violent or disorderly response;
    4. Disrupts or disturbs any lawful assembly or meeting of persons;
    5. Obstructs vehicular or pedestrian traffic;
    6. Congregates with two (2) or more other persons in a public place and refuses to comply with a lawful order to disperse of a law enforcement officer or other person engaged in enforcing or executing the law;
    7. Creates a hazardous or physically offensive condition;
    8. In a public place, mars, defiles, desecrates, or otherwise damages a patriotic or religious symbol that is an object of respect by the public or a substantial segment of the public; or
    9. In a public place, exposes his or her private parts.
  2. Disorderly conduct is a Class C misdemeanor.

History. Acts 1975, No. 280, § 2908; A.S.A. 1947, § 41-2908; Acts 2007, No. 827, § 93.

Cross References. Dueling, Ark. Const., Art. 19, § 2.

Research References

ALR.

Validity, Construction, and Application of State Statutes and Municipal Ordinances Proscribing Failure or Refusal to Obey Police Officer's Order to Move On, or Disperse, on Street, as Disorderly Conduct. 52 A.L.R.6th 125.

Ark. L. Rev.

Egan, “Fighting Words” Doctrine: Are Police Officers Held to a Higher Standard, or per Bailey v. State, Do We Expect No More from our Law Enforcement Officers than We Do from the Average Arkansan, 52 Ark. L. Rev. 591.

U. Ark. Little Rock L.J.

Survey of Arkansas Law, Criminal Law, 1 U. Ark. Little Rock L.J. 153.

Case Notes

Constitutionality.

Former section concerning use of abusive language as breach of the peace was narrowed to “fighting words” addressed to or about a person in his presence which were calculated to arouse anger in such person, and such words were not protected by the constitutional guarantee of free speech. Hammond v. State, 255 Ark. 56, 498 S.W.2d 652 (1973) (decision under prior law).

This section is not unconstitutionally overbroad. Bailey v. State, 334 Ark. 43, 972 S.W.2d 239 (1998).

Disorderly conduct statute was not impermissibly vague because it contained a mens rea requirement using terms defined in § 5-2-202, and “obstructing” and “unreasonably” were widely understood restrictions; it was not overbroad as it was a content-neutral time, place, or manner restriction justified without reference to the content of the speech, government had a substantial interest in preventing excessive noise and ensuring orderly flow of traffic, and it was sufficiently narrowly tailored. Duhe v. City of Little Rock, 902 F.3d 858 (8th Cir. 2018), cert. denied, 139 S. Ct. 1178, 203 L. Ed. 2d 200 (2019).

Abusive or Obscene Language.

Whether profane language was calculated to arouse to anger or produce a breach of the peace was a question left to the jury. State v. Moser, 33 Ark. 140 (1878); Ruffin v. State, 207 Ark. 672, 182 S.W.2d 673 (1944) (preceding decisions under prior law).

It was not necessary for conviction for use of profanity that the profane language be used publicly. Bodenhamer v. State, 60 Ark. 10, 28 S.W. 507 (1894) (decision under prior law).

Indictment charging that defendant “did profanely swear and curse” was sufficient without setting out the profane words. Bodenhamer v. State, 60 Ark. 10, 28 S.W. 507 (1894) (decision under prior law).

Words used by defendant held insufficient to support conviction. Holmes v. State, 135 Ark. 187, 204 S.W. 846 (1918) (decision under prior law).

An indictment which followed the language of the former section concerning use of abusive language as a breach of peace was sufficient. Schaal v. State, 150 Ark. 631, 235 S.W. 38 (1921) (decision under prior law).

The fact that abusive language addressed to the arresting officer did not make the officer angry did not prevent it from constituting a violation. Meyers v. State, 253 Ark. 38, 484 S.W.2d 334 (1972) (decision under prior law).

Use of certain words was considered the use of “fighting words” under the circumstances, and thus fell within the constitutional reading of former section concerning use of abusive language as a breach of the peace. Hammond v. State, 255 Ark. 56, 498 S.W.2d 652 (1973) (decision under prior law).

Conviction for use of profane, violent or abusive language was improper where there was no determination by the trier of fact that the words spoken by defendant were likely to arouse to immediate and violent anger the person to whom the words were addressed. Hammond v. Adkisson, 536 F.2d 237 (8th Cir. 1976) (decision under prior law).

Curses and epithets addressed to a police officer in a department store were “fighting words” within subdivision (a)(3) even though the person addressed was a police officer who was not aroused to violent anger. Bousquet v. State, 261 Ark. 263, 548 S.W.2d 125 (1977).

Arrest.

Where the conduct of the defendant gave reasonable cause to believe that he was in violation of this section, his subsequent warrantless arrest was legal under Ark. R. Crim. P. 4.1(c)(iii). Williams v. State, 47 Ark. App. 143, 887 S.W.2d 312 (1994).

Disruption or Disturbance of Assembly.

It was not necessary to charge the manner of disturbance in any language more explicit than that used in the former section providing penalty for disturbing an assemblage. State v. Minyard, 12 Ark. (7 English) 156 (1851) (decision under prior law).

Indictment for disturbing a religious congregation which did not allege the manner of disturbance was bad in substance and did not support a judgment on a plea of guilty. Fletcher v. State, 12 Ark. (7 English) 169 (1851) (decision under prior law).

An indictment for disturbing a congregation assembled for religious worship by “profanely swearing” and by “talking and laughing aloud” was not bad for duplicity, the latter words being merely surplusage. State v. Horn, 19 Ark. (6 Barber) 578 (1858) (decision under prior law).

The disturbance of any member of a congregation assembled for religious worship was, in law, a disturbance of the congregation. State v. Wright, 41 Ark. 410 (1883); Walker v. State, 103 Ark. 336, 146 S.W. 862 (1912) (preceding decisions under prior law).

Membership in a church or organization is not necessarily the controlling factor as to whether a person has committed a crime at a meeting; thus, either a member or a stranger can be guilty of unlawfully disrupting a lawful assembly. State v. Kimbrough, 265 Ark. 289, 578 S.W.2d 26 (1979).

Evidence.

Evidence was sufficient to support a conviction for disorderly conduct for cursing police officers in a public place, where defendant was standing in the street shouting, flailing his arms around, cursing, and yelling, and stripping off his shirt and making a fist while taking an aggressive stance against one officer. Johnson v. State, 70 Ark. App. 343, 19 S.W.3d 66 (2000).

Evidence was sufficient to support a conviction for disorderly conduct where (1) the defendant cursed a police officer after being asked his name, (2) the defendant then alternated between states of calm and irrationality and, during those periods of irrationality, he flailed his arms about, cursed loudly, and eventually demonstrated a violent demeanor towards an officer, and (3) another officer on the scene knew the defendant and was aware of his past charge of assaulting a police officer. Johnson v. State, 343 Ark. 343, 37 S.W.3d 191 (2001).

Evidence supported the inference that defendant juvenile intended to engage in the conduct of hitting a nurse and threatening her and a doctor's lives to create public inconvenience, annoyance, or alarm in violation of this section because the nurse testified that defendant attacked her on several different occasions, and defendant did not argue that he was in any way incapable of controlling his actions at the time he threatened to kill either the nurse or the doctor and struck the nurse; at the very least, defendant consciously disregarded the effects of his actions. M.T. v. State, 2009 Ark. App. 761, 350 S.W.3d 792 (2009).

There was sufficient evidence to uphold defendant's conviction for disorderly conduct in violation of this section because after police officers arrived at defendant's house in response to a request from a utility company for a civil standby for a tree service to trim the trees along electric lines, defendant became and remained irrational, even after being told that she could be arrested, she cursed police officers and tree service employees, and she aggressively ran from person to person confronting them, both inside and outside the designated work zone; there was testimony from the operations manager of the tree service that he was intimidated by defendant and was concerned for the well-being of his employees, one of the officers also testified that she was intimidated by defendant, and the trial court, as the finder of fact, found the testimony of the state's witnesses to be more credible than the testimony of defendant and her husband. Watkins v. State, 2010 Ark. App. 85, 377 S.W.3d 286, cert. denied, 562 U.S. 892, 131 S. Ct. 275, 178 L. Ed. 2d 140 (2010).

Indictment.

In an indictment for disturbing a religious congregation by profanely swearing, it was not necessary to charge the particular language used by the defendant. State v. Ratliff, 10 Ark. (5 English) 530 (1850) (decision under prior law).

An indictment for disturbing religious worship “by talking and laughing” and by indecent gestures was not bad for duplicity. It charged but one offense; the words “by talking and laughing” were merely surplusage. State v. Bledsoe, 47 Ark. 233, 1 S.W. 149 (1886) (decision under prior law).

An indictment for disturbing a religious congregation was insufficient if it failed to allege that the language or conduct charged as a disturbance was calculated to disquiet, insult, or interrupt the congregation. State v. Booe, 62 Ark. 512, 37 S.W. 47 (1896) (decision under prior law).

Intent.

An intent to disturb was not necessary. Walker v. State, 103 Ark. 336, 146 S.W. 862 (1912) (decision under prior law).

Place of Offense.

There is no requirement in this section that the disorderly conduct must take place on public property since, unquestionably, public inconvenience, annoyance or alarm within the meaning of this section can occur due to an individual's conduct whether such conduct takes place on private or public property. Farr v. State, 6 Ark. App. 14, 636 S.W.2d 884 (1982).

Search.

Since the crime addressed by this section is a minor offense, no exigent circumstances were present that would have allowed police officer's warrantless entry into the defendant's home under the “hot pursuit” exception to the warrant requirement, for what was a petty disturbance. Butler v. State, 309 Ark. 211, 829 S.W.2d 412, cert. denied, 506 U.S. 998, 113 S. Ct. 597, 121 L. Ed. 2d 534 (1992).

Separate Offenses.

The offense of a breach of the peace by using abusive language was not embraced in the act of assault and battery; they were not of the same generic class and one could not be included in the other, although they arose out of the same occurrence or transaction. Moreland v. State, 125 Ark. 24, 188 S.W. 1 (1916) (decision under prior law).

Prosecution in the justice of the peace court for assault and disturbing the public peace did not constitute former jeopardy in prosecution for sodomy, as there was no relation between the misdemeanors of assault and disturbing the peace and the felony of sodomy. Verser v. State, 256 Ark. 609, 509 S.W.2d 299 (1974) (decision under prior law).

Disorderly conduct, assault, and battery are not lesser included offenses of robbery but are simply offenses of a different class. Williams v. State, 11 Ark. App. 11, 665 S.W.2d 299 (1984).

Unreasonable or Excessive Noise.

Where the information charged defendant with disturbing the peace by operating a go-kart race track and juke box in a loud and unusually noisy manner, it sufficiently charged the crime of disturbing the peace, although it also stated that defendant thereby disturbed the peace of a named individual. England v. State, 234 Ark. 421, 352 S.W.2d 582 (1962) (decision under prior law).

After plaintiff yelled a two-word expletive at the trooper from a moving vehicle, the trooper lacked even arguable probable cause for a disorderly conduct arrest under subdivision (a)(2) of this section (“unreasonable or excessive noise”) and thus violated plaintiff's Fourth Amendment right to be free from unreasonable seizure; cases where shouting was part of the scenario that resulted in a finding of disorderly conduct involved extended loud shouting and disruptive behavior or amplified sound, and in no case has a two-word unamplified outburst constituted disorderly conduct. Thurairajah v. City of Fort Smith, 925 F.3d 979 (8th Cir. 2019).

Cited: Hawksley v. State, 276 Ark. 504, 637 S.W.2d 573 (1982); Perkins v. Cross, 562 F. Supp. 85 (E.D. Ark. 1983); McIntosh v. White, 582 F. Supp. 1244 (E.D. Ark. 1984); McIntosh v. White, 676 F. Supp. 912 (E.D. Ark. 1987); Williams v. State, 327 Ark. 97, 938 S.W.2d 547 (1997); Giron v. City of Alexander, 693 F. Supp. 2d 904 (E.D. Ark. 2010).

5-71-208. Harassment.

  1. A person commits the offense of harassment if, with purpose to harass, annoy, or alarm another person, without good cause, he or she:
    1. Strikes, shoves, kicks, or otherwise touches a person, subjects that person to offensive physical contact or attempts or threatens to do so;
    2. In a public place, directs obscene language or makes an obscene gesture to or at another person in a manner likely to provoke a violent or disorderly response;
    3. Follows a person in or about a public place;
    4. In a public place repeatedly insults, taunts, or challenges another person in a manner likely to provoke a violent or disorderly response;
    5. Engages in conduct or repeatedly commits an act that alarms or seriously annoys another person and that serves no legitimate purpose; or
    6. Places a person under surveillance by remaining present outside that person's school, place of employment, vehicle, other place occupied by that person, or residence, other than the residence of the defendant, for no purpose other than to harass, alarm, or annoy.
  2. Harassment is a Class A misdemeanor.
  3. It is an affirmative defense to prosecution under this section if the actor is a law enforcement officer, licensed private investigator, attorney, process server, licensed bail bondsman, or a store detective acting within the reasonable scope of his or her duty while conducting surveillance on an official work assignment.
    1. Upon pretrial release of the defendant, a judicial officer shall enter a no contact order in writing consistent with Rules 9.3 and 9.4 of the Arkansas Rules of Criminal Procedure and shall give notice to the defendant of penalties contained in Rule 9.5 of the Arkansas Rules of Criminal Procedure.
    2. This no contact order remains in effect during the pendency of any appeal of a conviction under this section.
    3. The judicial officer or prosecuting attorney shall provide a copy of this no contact order to the victim and arresting agency without unnecessary delay.
  4. If the judicial officer has reason to believe that mental disease or defect of the defendant will or has become an issue in the case, the judicial officer shall enter orders consistent with § 5-2-327 or § 5-2-328, or both.

History. Acts 1975, No. 280, § 2909; 1985, No. 711, § 1; A.S.A. 1947, § 41-2909; Acts 1993, No. 379, § 5; 1993, No. 388, § 5; 1995, No. 1302, § 3; 2017, No. 472, § 20.

Amendments. The 2017 amendment, in (e), substituted “case” for “cause” and “orders consistent with § 5-2-327 or § 5-2-328, or both” for “such orders as are consistent with § 5-2-305”.

Cross References. Terroristic threatening, § 5-13-301.

Research References

U. Ark. Little Rock L.J.

Notes, Constitutional Law — The Domestic Abuse Act of 1989 — An Impermissible Expansion of Chancery Jurisdiction. Bates v. Bates, 303 Ark. 89, 793 S.W.2d 788 (1990), 13 U. Ark. Little Rock L.J. 537.

Case Notes

In General.

Language in this section did not require the State to prove that a defendant's activities served no good purpose, but required the State to prove that, with purpose to harass, annoy, or alarm another person, without good cause, the defendant followed that person in or about a public place or engaged in conduct or repeatedly committed an act that alarmed or seriously annoyed another person and that served no legitimate purpose. Fennell v. State, 2016 Ark. App. 142 (2016).

Civil Remedies.

A plaintiff who alleged that her neighbors harassed her had a criminal remedy under this section and thus was not entitled to injunctive relief against her neighbors. Maxwell v. Sutton, 2 Ark. App. 359, 621 S.W.2d 239 (1981).

Evidence.

Where a juvenile directed comments at another student on the school bus without making any gestures, the evidence did not support his delinquency adjudication for harassment as the comment was not made in a manner likely to provoke a violent or disorderly response. Hunt v. State, 92 Ark. App. 342, 213 S.W.3d 667 (2005).

Evidence was sufficient to support a conviction for first-degree stalking because there was a course of conduct of harassment based on the threats made to the victim. Weeks before the incident at issue, defendant forced the victim to have oral sex with him by threatening to tell her probation officers about prescriptions, and he threatened her that she would never see her son again. Van Winkle v. State, 2014 Ark. App. 591, 445 S.W.3d 542 (2014).

Evidence was sufficient to sustain defendant's harassment conviction under this section where the victims' testimony described their interactions with defendant, and the jury, based on that testimony, clearly thought that defendant did not have good cause or a legitimate purpose for his actions. Fennell v. State, 2016 Ark. App. 142 (2016).

Evidence was sufficient to support defendant's harassment conviction where the victim testified that defendant had grabbed her breast and she was upset about it, another witness testified that the victim was upset, and the jury was entitled to believe that testimony over defendant's self-serving testimony that he had meant no offense by touching the victim's breast. Rose v. State, 2018 Ark. App. 446, 558 S.W.3d 415 (2018).

Obscene Language.

Conviction for use of profane, violent or abusive language was improper where there was no determination by the trier of fact that the words spoken by the defendant were likely to arouse to immediate and violent anger the person to whom the words were addressed. Hammond v. Adkisson, 536 F.2d 237 (8th Cir. 1976) (decision under prior law).

Preservation for Review.

Challenge to the sufficiency of the evidence supporting a juvenile delinquency adjudication was not preserved for review where the dismissal motion did not address subdivision (a)(4) of this section, which was referenced in the State's petition, and defense counsel argued below that defendant had not committed harassment pursuant to subdivision (a)(1) or (a)(2) of this section, but counsel did not argue any deficiency with respect to the elements of either of those subdivisions or subdivision (a)(4). K.O. v. State, 2019 Ark. App. 5, 569 S.W.3d 344 (2019).

Separate Offenses.

Uttering vulgar or profane language at the domicile of another and making violent threats against him there with an intent to insult or terrify him were distinct offenses and could not be joined in the same indictment. State v. Lancaster, 36 Ark. 55 (1880) (decision under prior law).

Cited: Bates v. Bates, 303 Ark. 89, 793 S.W.2d 788 (1990); Kirkendoll v. State, 57 Ark. App. 321, 945 S.W.2d 400 (1997); Lemmond v. State, 2012 Ark. App. 390 (2012).

5-71-209. Harassing communications.

  1. As used in this section, “electronic device” includes a computer, cell phone, tablet, smartphone, or any other device that connects to the internet or is used in the electronic transmission of communication or information.
  2. A person commits the offense of harassing communications if:
    1. With the purpose to harass, annoy, or alarm another person, the person:
      1. Communicates with a person, anonymously or otherwise, by telephone, telegraph, mail, email, message delivered to an electronic device, or any other form of written or electronic communication, in a manner likely to harass, annoy, or cause alarm;
      2. Makes a telephone call or causes a telephone to ring repeatedly, with no purpose of legitimate communication, regardless of whether a conversation ensues;
      3. Knowingly permits any telephone or electronic device under his or her control to be used for any purpose prohibited by this section;
      4. Threatens by telephone, in writing, or by electronic communication, including without limitation by text message, social media post, facsimile transmission, email, and internet service to take an action against another person that is known by the person to be unlawful; or
      5. Places two (2) or more telephone calls anonymously, at an hour or hours known by the person to be inconvenient to another person, in an offensively repetitious manner or without a legitimate purpose of communication, and by this action knowingly annoys or alarms the other person; or
    2. With the purpose to frighten, intimidate, or distress emotionally another person, the person:
      1. Communicates by telephone to another person that a person has been injured, killed, or is ill when the communication is known by the person to be false; or
      2. Communicates with another person by any method described in subdivision (b)(1) of this section, without legitimate purpose in a manner the person knows, or reasonably should know, would frighten, intimidate, or cause emotional distress to a similarly situated person of reasonable sensibilities.
  3. An offense involving use of a telephone or electronic device may be prosecuted in the county where the defendant was located when he or she used the telephone or electronic device, or in the county where the telephone made to ring by the defendant or the electronic device that received a message or email from the defendant was located.
  4. Harassing communications is a Class A misdemeanor.
    1. Upon the pretrial release of the defendant, a judicial officer shall enter a no contact order in writing consistent with Rule 9.3 and Rule 9.4 of the Arkansas Rules of Criminal Procedure and shall give notice to the defendant of penalties contained in Rule 9.5 of the Arkansas Rules of Criminal Procedure.
    2. The no contact order under subdivision (e)(1) of this section remains in effect during the pendency of any appeal of a conviction under this section.
    3. The judicial officer or prosecuting attorney shall provide a copy of the no contact order under subdivision (e)(1) of this section to the victim and arresting agency without unnecessary delay.
  5. If the judicial officer has reason to believe that mental disease or defect of the defendant will or has become an issue in the case, the judicial officer shall enter orders consistent with § 5-2-327 or § 5-2-328, or both.

History. Acts 1975, No. 280, § 2910; A.S.A. 1947, § 41-2910; Acts 1993, No. 379, § 6; 1993, No. 388, § 6; 1995, No. 1302, § 4; 2017, No. 130, § 1; 2017, No. 472, § 21; 2019, No. 1049, § 1.

A.C.R.C. Notes. Pursuant to § 1-2-207(b), subsection (f) of this section is set out as amended by Acts 2017, No. 472, § 21. Acts 2017, No. 130, § 1, amended subsection (f) of this section to read: “(f) If a judicial officer has reason to believe that mental disease or defect of the defendant will or has become an issue in a prosecution under this section, the judicial officer shall enter such orders as are consistent with § 5-2-305.”

Amendments. The 2017 amendment by No. 130 added (a) and redesignated the remaining subsections accordingly; inserted “or electronic device” throughout the section; in (b)(1), inserted “email, message delivered to an electronic device” and “or electronic”; inserted “or the electronic device that received a message or email from the defendant” in (c); inserted “under subdivision (e)(1) of this section” in (e)(2) and (3); in (f), substituted “a” for “the” preceding “judicial officer” and “a prosecution under this section” for “the cause”; and made stylistic changes.

The 2017 amendment by No. 472, in (e) [now (f)], substituted “case” for “cause” and “orders consistent with § 5-2-327 or § 5-2-328, or both” for “such orders as are consistent with § 5-2-305”.

The 2019 amendment redesignated existing provisions of (b) as (b)(1); added (b)(1)(D) and (E); added (b)(2); and made stylistic changes.

Research References

U. Ark. Little Rock L.J.

Notes, Constitutional Law — The Domestic Abuse Act of 1989 — An Impermissible Expansion of Chancery Jurisdiction. Bates v. Bates, 303 Ark. 89, 793 S.W.2d 788 (1990), 13 U. Ark. Little Rock L.J. 537.

Case Notes

Cited: Clay v. State, 290 Ark. 54, 716 S.W.2d 751 (1986); Bates v. Bates, 303 Ark. 89, 793 S.W.2d 788 (1990).

5-71-210. Communicating a false alarm.

  1. A person commits the offense of communicating a false alarm if he or she purposely initiates or circulates a report of a present, past, or impending bombing, fire, offense, catastrophe, or other emergency while knowing that the report is false or baseless and knowing that it is likely to:
    1. Cause action of any sort by an official or volunteer agency organized to deal with emergencies;
    2. Place any person in fear of physical injury to himself or herself or another person or of damage to his or her property or that of another person; or
    3. Cause total or partial evacuation of any occupiable structure, vehicle, or vital public facility.
      1. Communicating a false alarm is a Class C felony if physical injury to a person results.
      2. Communicating a false alarm is a Class D felony if:
        1. Damage to property results; or
        2. The false alarm communicates a present or impending bombing and is made to or about a public or private educational institution.
      1. If there is no resulting physical injury or damage to property, communicating a false alarm is a Class A misdemeanor.
      2. A second or subsequent offense that would otherwise be a Class A misdemeanor is a Class D felony.
  2. In addition to any other restitution ordered under § 5-4-205, the court may order that a person who violates this section make restitution to the State of Arkansas or any of its political subdivisions for any cleanup costs associated with the commission of the offense.

History. Acts 1975, No. 280, § 2911; A.S.A. 1947, § 41-2911; Acts 2001, No. 567, § 1; 2003, No. 1342, § 4.

A.C.R.C. Notes. Acts 2003, No. 1342, § 4, did not accurately engross the amendments to this section. Certain language was inadvertently deleted during the amendment process and added back by the Arkansas Code Revision Commission pursuant to a review.

Amendments. The 2001 amendment redesignated the former (b) as present (b)(1) and (b)(2) and made related changes; added (b)(1)(B); substituted “communicating a false alarm” for “it” in (b)(2); and made minor stylistic and gender neutral changes throughout.

The 2003 amendment substituted “Class C felony” for “Class D felony” in (b)(1)(A); deleted former (b)(1)(B); and added present (b)(1)(B), (b)(2) and (c).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

5-71-211. Threatening a fire or bombing.

  1. A person commits the offense of threatening a fire or bombing if he or she purposely threatens damage or injury to the person or property of another person by bombing, fire, or other means, in a manner likely to:
    1. Place another person in reasonable apprehension of:
      1. Physical injury to that person or another person; or
      2. Damage to that person's property or to the property of another person; or
    2. Create public alarm.
    1. Threatening a fire or bombing is a Class D felony if physical injury to a person results.
    2. Otherwise, threatening a fire or bombing is a Class A misdemeanor.

History. Acts 1975, No. 280, § 2912; A.S.A. 1947, § 41-2912.

5-71-212. Public intoxication — Drinking in public.

  1. A person commits the offense of public intoxication if he or she appears in a public place manifestly under the influence of alcohol or a controlled substance to the degree and under circumstances such that:
    1. The person is likely to endanger himself or herself or another person or property; or
    2. The person unreasonably annoys a person in his or her vicinity.
    1. Public intoxication is a Class C misdemeanor.
      1. Public intoxication is an unclassified misdemeanor if the person has been convicted of public intoxication two (2) or more times within five (5) years of the date of the current offense.
      2. If convicted of the unclassified misdemeanor of public intoxication for a third or subsequent offense of public intoxication occurring within a five-year period, in addition to a fine of no more than five hundred dollars ($500), the person may be sentenced to:
        1. Probation not to exceed one (1) year, with a condition that the defendant enroll in a program of treatment or counseling for alcohol abuse or alcohol dependency;
        2. A term not to exceed thirty (30) days in a county jail, with an additional probationary period to include as a condition of probation that the defendant enroll in a program of treatment or counseling for alcohol abuse or alcohol dependency, with the total time of jail and probation not to exceed one (1) year; and
        3. Provided that with regard to any revocation of probation under subdivision (b)(2)(B)(i) or subdivision (b)(2)(B)(ii) of this section, that any jail sentence imposed for revocation of probation not exceed thirty (30) days in the county jail.
  2. A person commits the offense of drinking in public if the person, other than in a place of business licensed to sell alcoholic beverages for consumption on the premises, consumes any alcoholic beverage:
    1. In any public place;
    2. On any highway or street;
    3. Upon any passenger coach, streetcar, or in or upon any vehicle commonly used for the transportation of passengers; or
    4. In or about any depot, platform, waiting station or room, or other public place.
  3. Drinking in public is a Class C misdemeanor.
  4. This section does not prohibit or restrict the consumption of an alcoholic beverage when consumed:
    1. As a part of a recognized religious ceremony or ritual; or
    2. Within the physical boundaries of a designated entertainment district as defined in § 14-54-1412.

History. Acts 1975, No. 280, § 2913; 1975 (Extended Sess. 1976), No. 1155, §§ 1, 2; A.S.A. 1947, §§ 41-2913, 41-2913.1; reen. Acts 1987, No. 877, § 1; 2019, No. 781, § 2; 2019, No. 812, § 2.

A.C.R.C. Notes. Part of this section was reenacted by Acts 1987, No. 877, § 1. Acts 1987, No. 834, provided that 1987 legislation reenacting acts passed in the 1976 Extended Session should not repeal any other 1987 legislation and that such other legislation would be controlling in the event of conflict.

Acts 2019, No. 781, § 1, provided: “Legislative intent.

“(a) It is the intent of the General Assembly to increase the available penalty for repeat offenders of the offense of public intoxication, not to necessarily punish those persons who may have demonstrated a problem with or a dependency on alcohol, but to provide the judiciary with a longer time frame during which a sentencing court may sentence a person to probation or a diversionary program and during which the person may be ordered to seek treatment for an alcohol problem or alcohol dependency.

“(b) The General Assembly further intends that this act not be used to unnecessarily fine or incarcerate a person with a demonstrated alcohol problem or alcohol dependency who is not committing any other criminal act when he or she commits the offense of public intoxication and that sentencing courts use discretion and consider alternative sanctions or available probationary or diversionary programs when sentencing repeat offenders under this act”.

Amendments. The 2019 amendment by No. 781 added (b)(2) and redesignated former (b) as (b)(1); and substituted “This section does not” for “The provisions of this section shall not be construed to” in (e).

The 2019 amendment by No. 812 added (b)(2) and redesignated former (b) as (b)(1); redesignated part of (e) as (e)(1); substituted “This section does not” for “The provisions of this section shall not be construed to” in the introductory language of (e); added (e)(2); and made a stylistic change.

Cross References. Beer festival permit, § 3-5-105.

Beer, malt beverage, and hard cider education, § 3-5-1409.

Wine tasting events, § 3-5-104.

Case Notes

Purpose.

While the primary purpose of former statute against public drunkenness was to prevent annoyance to other members of the general public, the statute also served as a protection to the offender. Berry v. City of Springdale, 238 Ark. 328, 381 S.W.2d 745 (1964) (decision under prior law).

Evidence.

A conviction of appearing in drunken or intoxicated condition on a public highway was sustained by proof tending to show that the defendant was in an intoxicated condition on a certain road leading from a church which was being traveled by the public and also on a street in a certain town. Simmons v. State, 149 Ark. 348, 232 S.W. 597 (1921) (decision under prior law).

Evidence was sufficient to establish that defendant, charged with public drunkenness, was intoxicated. Berry v. City of Springdale, 238 Ark. 328, 381 S.W.2d 745 (1964) (decision under prior law).

Evidence sufficient to find that defendant was properly arrested for drinking in public. Taylor v. State, 254 Ark. 620, 495 S.W.2d 532 (1973) (decision under prior law).

Evidence held sufficient, notwithstanding the absence of any tests to confirm the defendant's intoxication, where the defendant admitted that he had 2 drinks on the night of his arrest and the arresting officer testified that the defendant was “extremely intoxicated.” Bailey v. State, 334 Ark. 43, 972 S.W.2d 239 (1998).

Grounds for Arrest.

Where the defendant fitted the description of a prowler, was found in the area in which the prowler was last seen, was unable to produce any identification and smelled strongly of alcohol, a police officer was justified in arresting him for intoxication. Holmes v. State, 262 Ark. 683, 561 S.W.2d 56 (1978).

Intoxication.

Instruction that one does not have to be under the influence of whiskey to such an extent as to become boisterous or stagger or be down drunk; that whenever the whiskey causes a man to be out of the ordinary in his general demeanor, it is sufficient under what the law terms in this case as intoxicated held proper. Simmons v. State, 149 Ark. 348, 232 S.W. 597 (1921) (decision under prior law).

Public Place.

One sitting in a motor vehicle near traveled portion of a highway was in a “public place.” Berry v. City of Springdale, 238 Ark. 328, 381 S.W.2d 745 (1964) (decision under prior law).

Police officers who made an arrest for public intoxication in a private home were entitled to qualified immunity from the arrestee's subsequent civil rights action based on a charge of wrongful arrest, even though the arrestee was subsequently acquitted on the charge of public intoxication, where the officers had probable cause to make the arrest when the drunken arrestee refused the homeowner's request to leave her home, and where the Arkansas law concerning what constituted a “public place” in connection with a public intoxication offense was not well established at the time of the arrest so that the officers could not have known that their actions were improper. Heslip v. Lobbs, 554 F. Supp. 694 (E.D. Ark. 1982).

The definition of “public place” speaks only to accessibility, not visibility. Weaver v. State, 326 Ark. 82, 928 S.W.2d 798 (1996).

Where defendant was attending a private party and was drinking on the tailgate of a pickup parked in the side yard of the residence, defendant was not drinking in a “public place” as that term is used in subsection (c) of this section. Weaver v. State, 326 Ark. 82, 928 S.W.2d 798 (1996).

Venue.

It was proper to prove venue by evidence that the defendant while intoxicated was seen driving an automobile on the highway near the county line and that he was apparently going toward the county seat where he resided and where he occupied an official position. McClain v. State, 151 Ark. 266, 236 S.W. 263 (1922) (decision under prior law).

Cited: Anable v. Ford, 653 F. Supp. 22 (W.D. Ark. 1985); Giron v. City of Alexander, 693 F. Supp. 2d 904 (E.D. Ark. 2010).

5-71-213. Loitering.

  1. A person commits the offense of loitering if he or she:
    1. Lingers, remains, or prowls in a public place or the premises of another person without apparent reason and under circumstances that warrant alarm or concern for the safety of persons or property in the vicinity and, upon inquiry by a law enforcement officer, refuses to identify himself or herself and give a reasonably credible account of his or her presence and purpose;
    2. Lingers, remains, or prowls in or near a school building, not having any reason or relationship involving custody of or responsibility for a student and not having written permission from anyone authorized to grant permission;
    3. Lingers or remains on a sidewalk, roadway, or public right-of-way, in a public parking lot or public transportation vehicle or facility, or on private property, for the purpose of asking for anything as charity or a gift:
      1. In a harassing or threatening manner;
      2. In a way likely to cause alarm to another person; or
      3. Under circumstances that create a traffic hazard or impediment;
    4. Lingers or remains in a public place for the purpose of unlawful gambling;
    5. Lingers or remains in a public place for the purpose of engaging or soliciting another person to engage in prostitution or deviate sexual activity;
    6. Lingers or remains in a public place for the purpose of unlawfully buying, distributing, or using a controlled substance;
    7. Lingers or remains in a public place for the purpose of unlawfully buying, distributing, or consuming an alcoholic beverage;
    8. Lingers or remains on or about the premises of another person for the purpose of spying upon or invading the privacy of another person; or
    9. Lingers or remains on or about the premises of any off-site customer-bank communication terminal without any legitimate purpose.
  2. Among the circumstances that may be considered in determining whether a person is loitering are that the person:
    1. Takes flight upon the appearance of a law enforcement officer;
    2. Refuses to identify himself or herself;
    3. Manifestly endeavors to conceal himself or herself or any object; or
    4. Has acted in a harassing or threatening manner or in a way likely to cause alarm to another person after sunset or before sunrise.
  3. Unless flight by the actor or another circumstance makes it impracticable, prior to an arrest for an offense under subdivision (a)(1) of this section a law enforcement officer shall afford the actor an opportunity to dispel any alarm that would otherwise be warranted by requesting the actor to identify himself or herself and explain his or her presence and conduct.
  4. It is a defense to a prosecution under subdivision (a)(1) of this section if:
    1. The law enforcement officer did not afford the defendant an opportunity to identify himself or herself and explain his or her presence and conduct; or
    2. It appears at trial that an explanation given by the defendant to the law enforcement officer was true and, if believed by the law enforcement officer at that time, would have dispelled the alarm.
  5. Loitering is a Class C misdemeanor.

History. Acts 1975, No. 280, § 2914; A.S.A. 1947, § 41-2914; Acts 1995, No. 557, § 1; 1995, No. 1107, § 1; 2017, No. 847, § 1; 2019, No. 380, § 2.

Amendments. The 2017 amendment rewrote (a)(3); and added (b)(4).

The 2019 amendment inserted “person” in (a)(1) and twice in (a)(8); and substituted “another” for “the other” in (a)(3)(B) and (b)(4).

Case Notes

Constitutionality.

Subdivision (a)(3) of this section is a content-based restriction of constitutionally-protected speech as it restricts only a certain species of speech (asking for gifts or charity); therefore, strict scrutiny applies. Rodgers v. Bryant, 301 F. Supp. 3d 928 (E.D. Ark. 2017).

The State’s asserted compelling interest for subdivision (a)(3) of this section — public safety and motor vehicle safety — is addressed by other laws (e.g., criminal trespass; harassment; assault; stopping, standing, or parking prohibited in specified places; highway solicitation; coercion; disorderly conduct; obstructing a highway or other public passage; soliciting rides prohibited; and impeding flow of traffic); also, nothing in the record suggests that a wide variety of other speech would be less likely than begging to cause a traffic hazard or impediment. Rodgers v. Bryant, 301 F. Supp. 3d 928 (E.D. Ark. 2017).

Subdivision (a)(3) of this section is a content-based restriction on speech that is not narrowly tailored to promote a compelling governmental interest; therefore, plaintiffs’ motion for preliminary injunction against enforcement of subdivision (a)(3) was granted. Rodgers v. Bryant, 301 F. Supp. 3d 928 (E.D. Ark. 2017).

Statewide preliminary injunction was properly granted on a First Amendment challenge to subdivision (a)(3) of this section concerning the offense of loitering because beggars sufficiently alleged an injury-in-fact for standing purposes where there was a credible threat of prosecution; strict scrutiny applied; and, even if the state's interest in public safety through the prevention of aggressive conduct and traffic hazards was “compelling”, the state did not show that the law was narrowly tailored to achieve that interest. Rodgers v. Bryant, 942 F.3d 451 (8th Cir. 2019).

Construction With Other Law.

Defendant's motion to suppress evidence should have been granted because the stop and detention of defendant was impermissible under Ark. R. Crim. P. 3.1 where an officer only suspected defendant of the crime of loitering at the time he approached defendant; pursuant to subdivision (a)(6), the misdemeanor crime of loitering does not involve a danger of forcible injury to persons or of appropriation of or damage to property. Brazwell v. State, 354 Ark. 281, 119 S.W.3d 499 (2003).

Elements.

Subdivision (a)(1) of this section requires that a person must both identify himself and give a reasonably credible account of his presence and purpose; failing to identify oneself is a separate element of the offense of loitering. Johnson v. State, 313 Ark. 308, 854 S.W.2d 336 (1993).

Cited: Stufflebeam v. Harris, 521 F.3d 884 (8th Cir. 2008).

5-71-214. Obstructing a highway or other public passage.

  1. A person commits the offense of obstructing a highway or other public passage if, having no legal privilege to do so and acting alone or with another person, he or she renders any highway or other public passage impassable to pedestrian or vehicular traffic.
  2. It is a defense to a prosecution under this section that:
    1. The highway or other public passage was rendered impassable solely because of a gathering of persons to hear the defendant speak or otherwise communicate;
    2. The defendant was a member of a gathering contemplated by subdivision (b)(1) of this section; or
    3. The highway or public passage obstructed has not been established as a city street, county road, or state or federal highway under the laws of this state and no civil court has established a right of passage by prescription for the highway or public passage.
  3. Obstructing a highway or other public passage is a Class C misdemeanor.

History. Acts 1975, No. 280, § 2915; A.S.A. 1947, § 41-2915; Acts 1999, No. 1105, § 1.

Cross References. Obstruction of private road, § 27-66-404.

Throwing injurious materials upon highways, § 27-51-1405.

Research References

U. Ark. Little Rock L.J.

Survey — Criminal Law, 12 U. Ark. Little Rock L.J. 183.

Case Notes

In General.

Obstruction of a public road is illegal. Ark. Game & Fish Comm'n v. Lindsey, 292 Ark. 314, 730 S.W.2d 474 (1987).

Highway or Public Passage.

Former section penalizing the obstruction of public roads was applicable only to county roads and not to public streets in a municipal corporation. St. Louis, Iron Mountain & S. Ry. v. State, 85 Ark. 131, 107 S.W. 668 (1908) (decision under prior law).

Evidence that a road which passed over the accused's land had been used by the public for many years and that for more than seven years the accused had constructed gates obstructing the road, that there was no dedication of the road and that it was never recognized as being part of any road district, failed to establish that the road was a “public road” so as to warrant a conviction under former section penalizing the obstruction of any public road. Simpson v. State, 210 Ark. 309, 195 S.W.2d 545 (1946) (decision under prior law).

Legal Privilege.

One who purchased lands over which a public road had been dedicated by the former owners by a bill of assurance on file in the recorder's office was held to have notice thereof and to be liable for its obstruction. Finney v. State, 172 Ark. 115, 287 S.W. 744 (1926) (decision under prior law).

Obstructions.

It was error to permit a landowner to maintain three gates across a roadway and require users to close two of such gates without requiring the landowner to construct cattle guards to permit the passages of automobiles or trucks without opening the gates. Hatchett v. Currier, 249 Ark. 829, 461 S.W.2d 934 (1971) (decision under prior law).

Cited: Britt v. State, 261 Ark. 488, 549 S.W.2d 84 (1977); Madewell v. State, 290 Ark. 580, 720 S.W.2d 913 (1986); Smith v. State, 296 Ark. 451, 757 S.W.2d 554 (1988); Hagen v. State, 318 Ark. 139, 883 S.W.2d 832 (1994).

5-71-215. Defacing objects of public respect.

  1. A person commits the offense of defacing objects of public respect if he or she purposely:
    1. Defaces, mars, or otherwise damages any public monument;
    2. Defaces, mars, or otherwise damages a work of art on display in any public place;
    3. Defaces, mars, desecrates, or otherwise damages any place of worship, cemetery, or burial monument; or
    4. Removes a broken or unbroken, commercial or rock, grave marker for any reason except for cleaning or repair by a family member, caretaker, or preservation organization.
      1. Except as provided in subdivision (b)(1)(B) of this section, defacing objects of public respect is a Class A misdemeanor if the value of repairing or replacing the damaged object does not exceed five hundred dollars ($500).
      2. Defacing objects of public respect is a Class D felony if the value of repairing or replacing the damaged object does not exceed five hundred dollars ($500) and if the object that is defaced, marred, desecrated, or otherwise damaged is a cemetery or burial monument.
      1. Except as provided in subdivision (b)(2)(B) of this section, defacing objects of public respect is a Class D felony if the value of repairing or replacing the damaged object exceeds five hundred dollars ($500), but does not exceed two thousand five hundred dollars ($2,500).
      2. Defacing objects of public respect is a Class C felony if the value of repairing or replacing the damaged object exceeds five hundred dollars ($500) but does not exceed two thousand five hundred dollars ($2,500) and if the object that is defaced, marred, desecrated, or otherwise damaged is a cemetery or burial monument.
      1. Except as provided in subdivision (b)(3)(B) of this section, defacing objects of public respect is a Class C felony if the value of repairing or replacing the damaged object exceeds two thousand five hundred dollars ($2,500).
      2. Defacing objects of public respect is a Class B felony if the value of repairing or replacing the damaged object exceeds two thousand five hundred dollars ($2,500) and if the object that is defaced, marred, desecrated, or otherwise damaged is a cemetery or burial monument.

History. Acts 1975, No. 280, § 2916; A.S.A. 1947, § 41-2916; Acts 1993, No. 169, § 1; 2005, No. 2232, § 4; 2007, No. 266, § 1.

Case Notes

Evidence.

Evidence held insufficient to sustain a conviction. Mitchell v. State, 187 Ark. 1163, 58 S.W.2d 205 (1933); Giles v. State, 190 Ark. 218, 78 S.W.2d 70 (1935) (preceding decisions under prior law).

Intent.

An intent to injure someone was not an ingredient of this crime. Saffell v. State, 113 Ark. 97, 167 S.W. 483 (1914) (decision under prior law).

A malicious act within the meaning of former section concerning injury to graves or monuments was an unlawful and wrongful act intentionally, willfully and purposefully done without legal justification or excuse, evidence of which could have been inferred from the acts committed or words spoken. Cooper v. State, 246 Ark. 368, 438 S.W.2d 681 (1969) (decision under prior law).

Mistake.

Persons acting in good faith in tearing down a schoolhouse were not guilty of the misdemeanor defined in former section penalizing anyone who willfully injured any church, lodge or other property used for public purposes. Thompson v. State, 151 Ark. 369, 236 S.W. 608 (1922) (decision under prior law).

Ownership and Use.

It was not necessary to name the owners of the property, and a person could have been held guilty of damaging church property although the building was also used as a schoolhouse. Saffell v. State, 113 Ark. 97, 167 S.W. 483 (1914) (decision under prior law).

5-71-216. [Repealed.]

Publisher's Notes. This section, concerning defacing public buildings, was repealed by Acts 2013, No. 1348, § 17. The section was derived from Acts 1975, No. 280, § 2917; A.S.A. 1947, § 41-2917.

5-71-217. Cyberbullying.

  1. As used in this section:
    1. “Communication” means the electronic communication of information of a person's choosing between or among points specified by the person without change in the form or content of the information as sent and received;
    2. “Electronic means” means any textual, visual, written, or oral communication of any kind made through the use of a computer online service, Internet service, telephone, or any other means of electronic communication, including without limitation to a local bulletin board service, an Internet chat room, electronic mail, a social networking site, or an online messaging service; and
    3. “School employee” means a person who is employed full time or part time at a school that serves students in any of the grades kindergarten through grade twelve (K-12), including without limitation a:
      1. Public school operated by a school district;
      2. Public school operated by a state agency or institution of higher education;
      3. Public charter school; or
      4. Private school.
  2. A person commits the offense of cyberbullying if:
    1. He or she transmits, sends, or posts a communication by electronic means with the purpose to frighten, coerce, intimidate, threaten, abuse, or harass another person; and
    2. The transmission was in furtherance of severe, repeated, or hostile behavior toward the other person.
  3. The offense of cyberbullying may be prosecuted in the county where the defendant was located when he or she transmitted, sent, or posted a communication by electronic means, in the county where the communication by electronic means was received by the person, or in the county where the person targeted by the electronic communications resides.
    1. Cyberbullying is a Class B misdemeanor.
    2. Cyberbullying is a Class A misdemeanor if the victim is a school employee.

History. Acts 2011, No. 905, § 1; 2013, No. 1431, § 2; 2013, No. 1492, § 1; 2015, No. 1155, § 13.

A.C.R.C. Notes. Acts 2013, No. 1431, § 1, provided:

“The General Assembly finds that:

“(1) The successful recruitment and retention of school employees is essential to maintaining the state's constitutional obligation to provide a free and efficient system of public education;

“(2) A safe and civil environment in any school is necessary for school employees to meet the objective of providing opportunities for students to learn and achieve high academic standards;

“(3) Cyberbullying of school employees has become a national problem, subjecting school employees to many forms of intentional harassment that can be emotionally and professionally devastating;

“(4) Because of the nature of online communications, students may feel they can act with anonymity and detachment when they are engaging in cyberbullying of a school employee;

“(5) Some examples of the means used by students are:

“(A) Building a fake profile or website;

“(B) Posting or encouraging others to post on the Internet private, personal, or sexual information pertaining to a school employee;

“(C) Posting an original or edited image of the school employee on the Internet;

“(D) Accessing, altering, or erasing any computer network, computer data, computer program, or computer software, including breaking into a password-protected account or stealing or otherwise accessing passwords of a school employee;

“(E) Making repeated, continuing, or sustained electronic communications, including electronic mail or other transmissions, to a school employee;

“(F) Making, or causing to be made, and disseminating an unauthorized copy of data pertaining to a school employee in any form, including without limitation the printed or electronic form of computer data, computer programs, or computer software residing in, communicated by, or produced by a computer or computer network;

“(G) Signing up a school employee for a pornographic Internet site; or

“(H) Without authorization of the school employee, signing up a school employee for electronic mailing lists or to receive junk electronic messages and instant messages; and

“(6) This act is intended to heighten public attention to this crime and further protect an Arkansas public school employee from cyberbullying.”

Amendments. The 2013 amendment by No. 1431 added (d)(2).

The 2013 amendment by No. 1492, in (b)(1), substituted “electronic” for “electonic” and “or harass” for “harass, or alarm”.

The 2015 amendment added (a)(3); redesignated (d)(2)(A) as (d)(2); in (d)(2), deleted “of a school employee” following “Cyberbullying” and added “if the victim is a school employee”; and deleted (d)(2)(B).

Research References

ALR.

Validity, Construction, and Application of State and Municipal Criminal and Civil Cyberbullying Laws, 26 A.L.R.7th Art. 4 (2018).

Ark. L. Rev.

S. Cal Rose, Legislative Note: From LOL to Three Months in Jail: Examining the Validity and Constitutional Boundaries of the Arkansas Cyberbullying Act of 2011, 65 Ark. L. Rev. 1001 (2012).

5-71-218. Possession of open container containing alcohol in a motor vehicle.

  1. It is unlawful for a person to possess an open alcoholic beverage container within an area of a motor vehicle if the area of the motor vehicle is:
    1. Designated to seat the driver or a passenger in the motor vehicle; or
    2. Readily accessible to the driver or a passenger in the motor vehicle while in a seated position and the motor vehicle is located on a public highway or the right-of-way of a public highway.
  2. It is not an offense under this section if the open alcoholic beverage container is possessed:
    1. Outside of the passenger area of the motor vehicle or other area of the motor vehicle commonly used for the transportation of passengers, such as in the trunk or cargo area of the motor vehicle;
    2. In a locked area of the motor vehicle, including without limitation a glove compartment or center console of the motor vehicle;
    3. Behind the last upright seat or in an area not normally occupied by the driver or a passenger, in a motor vehicle that is not equipped with a trunk; or
    4. By a passenger in the motor vehicle, but not the driver, as long as the open alcoholic beverage container is possessed within the living quarters of the motor vehicle or the area of the motor vehicle that is designated for passengers only, the open alcoholic beverage container is not readily accessible to the driver of the motor vehicle, and the motor vehicle is:
      1. Designed, maintained, or used primarily for the transportation of persons for compensation; or
      2. A recreational vehicle, motor home, or house trailer.
  3. A violation of this section is a Class C misdemeanor.

History. Acts 2017, No. 849, § 1; 2018 (2nd Ex. Sess.), No. 4, § 2; 2018 (2nd Ex. Sess.), No. 7, § 2.

Amendments. The 2018 (2nd Ex. Sess.) amendment by identical acts Nos. 4 and 7 substituted “if the area of the motor vehicle” for “that” in the introductory language of (a); deleted “and the motor vehicle is in operation” following “vehicle” in (a)(1); and rewrote (b)(3).

5-71-219 — 5-71-224. [Reserved.]

Publisher's Notes. This section, concerning picketing or demonstrating before a private residence, was repealed by Acts 2005, No. 1994, § 523. The section was derived from Acts 1969, No. 160, §§ 1-3; A.S.A. 1947, §§ 41-2966 — 41-2968; Acts 1989, No. 840, § 1.

5-71-226. Disruption of campus activities.

    1. It is unlawful for any group composed of two (2) or more persons to act jointly with one another or attempt any action in conjunction with one another at a public, private, or parochial school or college of this state, to:
      1. Obstruct or bar any hallway or door of any campus building or facility;
      2. Seize control of a campus building or facility;
      3. Prevent the meeting of or cause the disruption of any class; or
      4. Erect any type of barricade aimed at obstructing the orderly passage of a person or vehicle onto or off of a campus ground.
    2. However, nothing stated in this section applies to an activity of any labor organization or teachers' organization.
  1. Any person convicted of violating any provision of this section is guilty of a Class A misdemeanor.

History. Acts 1969, No. 345, §§ 1, 2; A.S.A. 1947, §§ 41-2969, 41-2970; Acts 2005, No. 1994, § 352.

Amendments. The 2005 amendment substituted “Class A misdemeanor” for “misdemeanor and, in addition to any lawful penalty imposed by the institution on any student participating in conduct prohibited by this section, shall be subject to a fine of not less than two hundred dollars ($200) or imprisonment in the county jail for a period of not less than six (6) months, or both” in (b).

5-71-227. [Repealed.]

Publisher's Notes. This section, concerning the possession of a paging device by students, was repealed by Acts 2001, No. 252, § 1. The section was derived from Acts 1989, No. 146, § 2.

5-71-228. Obstruction of shooting, hunting, fishing, or trapping activities.

    1. It is unlawful for any person to willfully obstruct or impede the participation of any individual in the lawful activity of shooting, hunting, fishing, or trapping in this state.
    2. Nothing in this section prohibits a landowner or lessee from exercising his or her lawful right to prohibit hunting, fishing, or trapping on his or her land, or from exercising any other legal right.
    1. A court of general jurisdiction may enjoin conduct that would be in violation of subsection (a) of this section upon petition by a person affected or who reasonably may be affected by the conduct upon a showing that the conduct is threatened or that it has occurred on a particular premises in the past and that it is not unreasonable to expect that under similar circumstances the conduct will be repeated.
      1. A court of general jurisdiction may award damages, that may include an award for punitive damages, to any person adversely affected by a violation of subsection (a) of this section.
      2. In addition to any other item of special damages, the measure of damages may include expenditures of the affected person for license and permit fees, travel, guides, special equipment, and supplies, to the extent that the expenditures were rendered futile by prevention of taking of a wild animal or fish.
      1. Any person violating a provision of this section and in possession of a firearm is guilty of a Class A misdemeanor.
      2. Otherwise, a violation of this section is a Class B misdemeanor.
    1. If the person violating this section holds an Arkansas hunting, fishing, or trapping license at the time of conviction, the license is revoked.
  1. This section does not prevent any wildlife officer or other law enforcement officer from performing his or her duties.

History. Acts 1991, No. 149, §§ 1-4; 2005, No. 1994, § 483.

Amendments. The 2005 amendment redesignated former (c) as present (c)(1) and (c)(2); in (c)(1), inserted “and in possession of a firearm” and substituted “Class A misdemeanor, otherwise it is a Class B misdemeanor” for “and, upon conviction thereof, shall be punished by a fine of not less than one hundred dollars ($100) nor more than five hundred dollars ($500), or imprisonment for not to exceed thirty (30) days, or both, and if”; and, in present (c)(2), substituted “If such a person” for “such person,” and “the license” for “such license.”

Case Notes

Appeals.

Defendant, who harassed hunters and scared game by blowing a whistle and firing shots, was prevented from appealing his conviction of obstruction of shooting, hunting, fishing, or trapping activities because he failed to preserve for review his claims as to the constitutionality of this section. Raymond v. State, 354 Ark. 157, 118 S.W.3d 567 (2003).

5-71-229. Stalking.

    1. A person commits stalking in the first degree if he or she knowingly engages in a course of conduct that would place a reasonable person in the victim's position under emotional distress and in fear for his or her safety or a third person's safety, and the actor:
      1. Does so in contravention of an order of protection consistent with the Domestic Abuse Act of 1991, § 9-15-101 et seq., or a no contact order as set out in subdivision (a)(2)(A) of this section, protecting the same victim, or any other order issued by any court protecting the same victim;
      2. Has been convicted within the previous ten (10) years of:
        1. Stalking in the second degree;
        2. Terroristic threatening, § 5-13-301, or terroristic act, § 5-13-310; or
        3. Stalking or threats against another person's safety under the statutory provisions of any other state jurisdiction; or
      3. Is armed with a deadly weapon or represents by word or conduct that he or she is armed with a deadly weapon.
      1. Upon pretrial release of the defendant, a judicial officer shall enter a no contact order in writing consistent with Rules 9.3 and 9.4 of the Arkansas Rules of Criminal Procedure and shall give notice to the defendant of penalties contained in Rule 9.5 of the Arkansas Rules of Criminal Procedure.
      2. The no contact order remains in effect during the pendency of any appeal of a conviction under this subsection.
      3. The judicial officer or prosecuting attorney shall provide a copy of the no contact order to the victim and the arresting law enforcement agency without unnecessary delay.
      4. If the judicial officer has reason to believe that mental disease or defect of the defendant will or has become an issue in the case, the judicial officer shall enter orders consistent with § 5-2-327 or § 5-2-328, or both.
    2. Stalking in the first degree is a Class C felony.
    1. A person commits stalking in the second degree if he or she knowingly engages in a course of conduct that harasses another person and makes a terroristic threat with the purpose of placing that person in imminent fear of death or serious bodily injury or placing that person in imminent fear of the death or serious bodily injury of his or her immediate family.
      1. Upon pretrial release of the defendant, a judicial officer shall enter a no contact order in writing consistent with Rules 9.3 and 9.4 of the Arkansas Rules of Criminal Procedure and shall give notice to the defendant of penalties contained in Rule 9.5 of the Arkansas Rules of Criminal Procedure.
      2. The no contact order remains in effect during the pendency of any appeal of a conviction under this subsection.
      3. The judicial officer or prosecuting attorney shall provide a copy of the no contact order to the victim and arresting law enforcement agency without unnecessary delay.
      4. If the judicial officer has reason to believe that mental disease or defect of the defendant will or has become an issue in the case, the judicial officer shall enter orders consistent with § 5-2-327 or § 5-2-328, or both.
    2. Stalking in the second degree is a Class D felony.
    1. A person commits stalking in the third degree if he or she knowingly commits an act that would place a reasonable person in the victim's position under emotional distress and in fear for his or her safety or a third person's safety.
      1. Upon pretrial release of the defendant, a judicial officer shall enter a no contact order in writing consistent with Rules 9.3 and 9.4 of the Arkansas Rules of Criminal Procedure and shall give notice to the defendant of penalties contained in Rule 9.5 of the Arkansas Rules of Criminal Procedure.
      2. The no contact order remains in effect during the pendency of any appeal of a conviction under this subsection.
      3. The judicial officer or prosecuting attorney shall provide a copy of the no contact order to the victim and arresting law enforcement agency without unnecessary delay.
      4. If the judicial officer has reason to believe that mental disease or defect of the defendant will or has become an issue in the case, the judicial officer shall enter orders consistent with § 5-2-327 or § 5-2-328, or both.
    2. Stalking in the third degree is a Class A misdemeanor.
  1. It is an affirmative defense to prosecution under this section if the actor is a law enforcement officer, licensed private investigator, attorney, process server, licensed bail bondsman, or a store detective acting within the reasonable scope of his or her duty while conducting surveillance on an official work assignment.
  2. It is not a defense to a prosecution under this section that the actor was not given actual notice by the victim that the actor's conduct was not wanted.
  3. As used in this section:
      1. “Course of conduct” means a pattern of conduct composed of two (2) or more acts, separated by at least thirty-six (36) hours, but occurring within one (1) year, including without limitation an act in which the actor directly, indirectly, or through a third party by any action, method, device, or means follows, monitors, observes, places under surveillance, threatens, or communicates to or about a person or interferes with a person's property.
        1. “Course of conduct” does not include constitutionally protected activity.
        2. If the defendant claims that he or she was engaged in a constitutionally protected activity, the court shall determine the validity of that claim as a matter of law and, if found valid, shall exclude that activity from evidence;
      1. “Emotional distress” means significant mental suffering or distress.
      2. “Emotional distress” does not require that the victim sought or received medical or other professional treatment or counseling; and
    1. “Harasses” means an act of harassment as prohibited by § 5-71-208.

History. Acts 1993, No. 379, §§ 1-3; 1993, No. 388, §§ 1-3; 1995, No. 1302, § 1; 2007, No. 827, § 94; 2013, No. 1014, § 1; 2017, No. 472, §§ 22-24.

A.C.R.C. Notes. Acts 2013, No. 1014, § 1, amended subdivision (a)(3) of this section to read “Stalking in the first degree is a Class B C felony.” The apparent legislative intent was to make stalking in the first degree a Class C felony.

Amendments. The 2013 amendment rewrote the introductory language in (a)(1); rewrote (a)(1)(b)(ii); substituted “Class C” for “Class B” in (a)(3); substituted “Class D” for “Class C” in (b)(3); added (c) and (e), redesignating subsections accordingly; in (f), added the language beginning “including without” to the end of (1)(A), inserted (2), and, in current (3), deleted the definition for “Immediate family” and added the definition for “Harasses”.

The 2017 amendment, in (a)(2)(D), (b)(2)(D), and (c)(2)(D), substituted “case” for “cause” and “orders consistent with § 5-2-327 or § 5-2-328, or both” for “such orders as are consistent with § 5-2-305”.

Research References

ALR.

Validity of State Stalking Statutes. 6 A.L.R.7th Art. 6 (2015).

U. Ark. Little Rock L.J.

Legislative Survey, Criminal Law, 16 U. Ark. Little Rock L.J. 91.

Case Notes

Course of Conduct.

“Course of conduct” as used in this section means a pattern of conduct composed of two or more acts separated by at least 36 hours but occurring within one year. Wesson v. State, 320 Ark. 380, 896 S.W.2d 874 (1995).

This section does not require that a person first be subjected to conduct warranting an order of protection or an order of no contact and then endure at least two more acts separated by at least 36 hours before charges of stalking in the first degree can be filed. Moses v. State, 72 Ark. App. 357, 39 S.W.3d 459 (2001).

Evidence was sufficient to support a conviction for first-degree stalking because there was a course of conduct of harassment based on the threats made to the victim. Weeks before the incident at issue, defendant forced the victim to have oral sex with him by threatening to tell her probation officers about prescriptions, and he threatened her that she would never see her son again. Van Winkle v. State, 2014 Ark. App. 591, 445 S.W.3d 542 (2014).

Evidence.

Where the trial judge, in hearing the defendant's several answering machine messages to the victim, reasonably found that the defendant intended to terrorize the victim with threats of harm, substantial evidence existed to support defendant's conviction for second degree stalking. Wesson v. State, 320 Ark. 380, 896 S.W.2d 874 (1995).

Evidence established that the defendant threatened physical injury to the victim or her immediate family where the victim testified that the defendant called her repeatedly and persistently after she tried to terminate her relationship with him, that he threatened to find her husband and kill him, and that he told her, “You can get me arrested but that'll be the last thing you do.” Dye v. State, 70 Ark. App. 329, 17 S.W.3d 505 (2000).

Where a witness testified that defendant chased the victim in his car, and the victim testified that defendant followed her in his car on several occasions, blocked the victim's car in her drive, and threatened to kill the victim, the evidence of defendant's guilt on the stalking charge was overwhelming and the improper admission of the unavailable officer's testimony was harmless as to the offense of second-degree stalking. Proctor v. State, 349 Ark. 648, 79 S.W.3d 370 (2002).

Three threats defendant made against the victim and her family constituted sufficient evidence of a terroristic threat; thus, defendant's conviction for first-degree stalking was affirmed. Lowry v. State, 364 Ark. 6, 216 S.W.3d 101 (2005).

Evidence was sufficient to support a conviction for stalking and a violation of an order of protection because the content and timing of text messages connected them to defendant through circumstantial evidence; the messages contained a daughter's nickname, names of people of whom defendant was jealous, and references to reconciliation with defendant's former wife. Moreover, one message was sent immediately after defendant was served with an order of protection. Brawner v. State, 2013 Ark. App. 413, 428 S.W.3d 600 (2013).

Harasses.

The term “harasses” employed in subdivision (b)(1) means acts of harassment as defined in § 5-71-208. Wesson v. State, 320 Ark. 380, 896 S.W.2d 874 (1995).

Terroristic Threat.

The use of the term “terroristic threat” when defining the crime of stalking does not require that it be shown that the accused has the immediate ability to carry out the threats. Wesson v. State, 320 Ark. 380, 896 S.W.2d 874 (1995).

Cited: Kirkendoll v. State, 57 Ark. App. 321, 945 S.W.2d 400 (1997).

5-71-230. Violation of the protection of peace for mourning at a funeral.

  1. As used in this section:
      1. “Funeral” means a ceremony or memorial service held in connection with the burial or cremation of a person who has died in which the family of the deceased has a personal stake in memorializing and honoring the deceased and the desire to be able to mourn in peace during the ceremony or memorial service.
      2. “Funeral” does not include a procession related to the funeral; and
    1. “Picket” means to engage in the activity of protesting or demonstrating to target a funeral without authorization from the family of the deceased.
  2. A person commits the offense of violation of the protection of peace for mourning at a funeral if the person:
    1. Knowingly pickets a funeral;
    2. Has a purpose to interfere with the funeral; and
    3. Pickets:
      1. Within three hundred feet (300') of any ingress or egress of the funeral; and
      2. Either:
        1. During the funeral;
        2. Within thirty (30) minutes immediately before the scheduled commencement of the funeral; or
        3. Within thirty (30) minutes immediately following the completion of the funeral.
    1. Violation of the protection of the peace for mourning at a funeral is a Class C misdemeanor.
    2. A person commits a separate offense for each funeral that the person pickets in violation of this section.

History. Acts 2006 (1st Ex. Sess.), No. 1, § 1; 2011, No. 142, § 1; 2013, No. 1125, § 17.

Amendments. The 2011 amendment added “in which the family of the deceased ... ceremony or memorial service” at the end of (a)(1)(A); added “without authorization from the family of the deceased” at the end of (a)(2); and substituted “three hundred feet (300') of any ingress or egress” for “one hundred fifty feet (150')” in (b)(3)(A).

The 2013 amendment substituted “Has a purpose” for “Intends” in (b)(2).

Research References

ALR.

Actions by or Against Individuals or Groups Protesting or Picketing at Funerals. 40 A.L.R.6th 375.

Subchapter 3 — Promoting Civil Disorder

Research References

U. Ark. Little Rock L.J.

Legislative Survey, Criminal Law, 8 U. Ark. Little Rock L.J. 559.

5-71-301. Definitions.

As used in this subchapter:

  1. “Civil disorder” means any public disturbance involving an act of violence by an assemblage of three (3) or more persons that causes an immediate danger of or results in damage or injury to the property or person of any other individual;
  2. “Explosive or incendiary device” includes:
    1. Dynamite and any other form of a high explosive;
    2. Any explosive bomb, grenade, missile, or similar device;
    3. An explosive material, meaning:
      1. An explosive;
      2. A blasting agent; and
      3. A detonator; and
    4. Any incendiary bomb or grenade, fire bomb, or similar device, and including any device that consists of or includes a breakable container containing a flammable liquid or compound and a wick composed of any material that when ignited is capable of igniting the flammable liquid or compound, and can be carried or thrown by one (1) individual acting alone; and
  3. “Firearm” means the same as defined in § 5-1-102.

History. Acts 1985, No. 903, § 1; A.S.A. 1947, § 41-2926; Acts 1995, No. 989, § 1.

5-71-302. Promoting civil disorder in the first degree.

  1. Any person who teaches or demonstrates to any other person the use, application, or construction of any firearm or explosive or incendiary device capable of causing injury or death to any person, knowing or intending that the firearm or explosive or incendiary device be used in furtherance of a civil disorder is guilty of the crime of promoting civil disorder in the first degree.
  2. Promoting civil disorder in the first degree is a Class C felony.

History. Acts 1985, No. 903, § 2; A.S.A. 1947, § 41-2927.

5-71-303. Unaffected lawful uses of weapons.

Nothing in this subchapter shall be construed to prohibit the training or teaching of the use of a weapon for:

  1. A law enforcement purpose;
  2. Hunting;
  3. Recreation;
  4. Competition; or
  5. Any other lawful use or activity.

History. Acts 1985, No. 903, § 3; A.S.A. 1947, § 41-2928.

5-71-225. [Repealed.]

Chapter 72 Water and Watercourses

Cross References. Criminal mischief, §§ 5-38-203, 5-38-204.

Preambles. Acts 1971, No. 142, contained a preamble which read:

“Whereas, the natural environment is rapidly deteriorating in many areas of the State; and

“Whereas, this deterioration is especially severe in the alluvial areas adjacent to navigable rivers and streams; and

“Whereas, in certain areas of the State the only trees of any size that are still standing are those cypress trees and other water tolerant trees below the normal high water mark on navigable rivers and streams; and

“Whereas, the beds of navigable rivers and streams and all land lying below the normal high water mark of such streams belong to the State of Arkansas;

“Now, therefore …”

Effective Dates. Acts 1873, No. 118, § 6: effective on passage.

Acts 1875, No. 93, § 2: effective 90 days after passage.

Acts 1899, No. 76, § 2: effective 30 days after passage.

Acts 1905, No. 320, § 4: effective on passage.

Acts 1909, No. 296, § 3: effective on passage.

Acts 1927, No. 158, § 3: effective on passage.

Research References

Ark. L. Rev.

Lex Aquae Arkansas, 27 Ark. L. Rev. 429.

Land Use — Wetlands Regulation, 27 Ark. L. Rev. 527.

5-72-101. [Repealed.]

Publisher's Notes. This section, concerning poisoning a lake or stream, was repealed by Acts 2005, No. 1994, § 524. The section was derived from Acts 1861, No. 115, § 1, p. 242; C. & M. Dig., § 2540; Pope's Dig., § 3187; A.S.A. 1947, § 41-4055.

5-72-102. Removal of trees growing on navigable rivers or streams.

    1. It is unlawful to remove any tree growing below the ordinary high watermark, as defined in § 15-22-202, on any river or stream in this state that has been designated as a navigable river or stream by a legislative act.
    2. However, an authorized representative of the United States Government or of this state that is charged with the responsibility of maintaining navigation and flood control on navigable rivers and streams may remove a tree growing below the ordinary high watermark of a navigable river or stream as the authorized representative deems necessary to properly carry out the authorized representative's duties.
  1. Any person violating a provision of this section is guilty of a violation and upon conviction shall be punished by a fine of not less than one hundred dollars ($100) nor more than one thousand dollars ($1,000).

History. Acts 1971, No. 142, §§ 1, 2; A.S.A. 1947, §§ 41-4068, 41-4069; Acts 2005, No. 1994, § 468.

Amendments. The 2005 amendment, in (b), substituted “violation” for “misdemeanor” and “one hundred dollars ($100)” for “ten dollars ($10.00).”

Cross References. Removal of timber from beds or bars of navigable streams without permit, § 22-5-803.

5-72-103. Cutting timber on swamp and overflowed lands.

  1. Any person who cuts, destroys, or removes any timber standing on any of the swamp and overflowed lands granted by the United States Congress to this state is subject to indictment and upon conviction is guilty of a Class B misdemeanor.
  2. Additionally, restitution is set at the full value of the timber cut, destroyed, or carried away.

History. Acts 1853, § 35, p. 161; C. & M. Dig., § 2547; Pope's Dig., § 3194; A.S.A. 1947, § 10-301; Acts 2005, No. 1994, § 468.

Amendments. The 2005 amendment deleted the subsection (a) designation; substituted “guilty of a Class B misdemeanor. Additionally, restitution shall be set at full value of the timber cut, destroyed, or carried away” for “fined the full value of the timber cut, destroyed, or carried away and be imprisoned not less than two (2) nor more than twenty (20) days”; and deleted former (b).

Cross References. Actions by state for trespass, § 16-106-105.

5-72-104. Leaving timber in navigable stream, drainage ditch, or stream bed.

  1. It is unlawful for any person, partnership, company, or corporation cutting any timber or tree in this state to leave any tree top, tree trunk, or tree limb in any navigable stream, drainage ditch, or stream bed of any improved drainage project.
    1. Any person, partnership, company, or corporation violating a provision of this section is guilty of a Class B misdemeanor.
    2. Each violation of this section constitutes a separate offense.

History. Acts 1965, No. 91, §§ 1, 2; A.S.A. 1947, §§ 41-4066, 41-4067; Acts 2005, No. 1994, § 383.

Amendments. The 2005 amendment substituted “Class B misdemeanor” for “misdemeanor and upon conviction shall be subject to a fine of not less than twenty-five dollars ($25.00) nor more than two hundred fifty dollars ($250) or imprisonment for not less than ten (10) days nor more than ninety (90) days, or both fine and imprisonment” in (b).

5-72-105. Obstruction of drains by timber or material — Floating logs or boom.

    1. It is unlawful for any person or corporation to cause any timber, tree, or material to be felled or thrown into any ditch, drain, stream, or canal, whether natural or artificial, that tends to obstruct the free flow of water in the ditch, drain, stream, or canal.
    2. However, this subsection does not prevent any person from floating a log or having a boom in any natural stream in this state if the floating of the log or use of the boom does not tend to overflow the land adjacent to the boom.
    1. Any person, levee district, or drainage district interested in the maintenance of the free flow of water through any stream, drain, ditch, or canal, may remove any timber, tree, or material in the stream, ditch, drain, or canal that tends to obstruct the free flow of water.
    2. The person, levee district, or drainage district has a cause of action against any person or corporation that may have felled or thrown, or caused to be felled or thrown timber, a tree, or material into a stream, drain, ditch, or canal, for the reasonable cost of removing the timber, tree, or material.
  1. Any person or corporation that violates subsection (a) of this section is guilty of a violation and upon conviction shall be fined in any sum not less than one hundred dollars ($100) nor more than one thousand dollars ($1,000).

History. Acts 1905, No. 320, §§ 1-3, p. 764; C. & M. Dig., §§ 3662-3664; Pope's Dig., §§ 4513-4515; A.S.A. 1947, §§ 21-406 — 21-408; Acts 2005, No. 1994, § 469; 2007, No. 827, § 95.

Cross References. Penalty for obstructing drains, § 14-121-105.

Case Notes

Cause of Action.

The right conferred by subsection (b) is a continuing one. Beck v. State ex rel. Att'y Gen., 179 Ark. 102, 14 S.W.2d 1101 (1929).

Injunctions.

The pollution of a stream will be enjoined. Meriwether Sand & Gravel Co. v. State ex rel. Att'y Gen., 181 Ark. 216, 26 S.W.2d 57 (1930).

One whose land was drained by a slough flowing thence across the land of another was entitled to a mandatory injunction to compel such other landowner to remove a levee which he built across the slough in such a way that it obstructed the drainage of plaintiff's land. Solomon v. Congleton, 245 Ark. 487, 432 S.W.2d 865 (1968).

Cited: Lee-Phillips Drainage Dist. v. Beaver Bayou Drainage Dist., 226 Ark. 105, 289 S.W.2d 192 (1956).

5-72-106. Obstructing natural drains.

  1. It is unlawful for any person to obstruct in any manner any natural drain in this state.
  2. Any person that obstructs in violation of subsection (a) of this section any natural drain is guilty of a violation and upon conviction shall be fined in any sum not less than one hundred dollars ($100) nor more than one thousand dollars ($1,000).
  3. This section does not apply to the following counties:
    1. Craighead County;
    2. Lee County;
    3. Phillips County; and
    4. Woodruff County.

History. Acts 1909, No. 296, §§ 1, 2, p. 897; C. & M. Dig., § 2758; Pope's Dig., § 3440; Acts 1971, No. 43, § 1; A.S.A. 1947, §§ 41-4051, 41-4052; Acts 2005, No. 1994, § 469.

Amendments. The 2005 amendment, in (b), substituted “violation” for “misdemeanor,” “one hundred dollars ($100)” for “ten dollars ($10.00)” and “one thousand dollars ($1,000)” for “one hundred dollars ($100).”

Case Notes

Levee.

Where the city's proposed levee would not block a natural watercourse, the increased water elevation on the plaintiffs' properties caused by the proposed levee would be de minimis, and where the city had sufficient funds to compensate the plaintiffs for any damage to their property and to maintain the levee, construction of the levee was not enjoined. Scroggin v. City of Grubbs, 318 Ark. 648, 887 S.W.2d 283 (1994).

Cited: St. Louis, Iron Mountain & S. Ry. v. Board of Dirs., 103 Ark. 127, 145 S.W. 892 (1912).

5-72-107. Keeping dams sufficiently open.

  1. Any person owning, operating, or controlling any dam or other obstruction across any river, creek, or other stream in this state shall at all times keep the dam or other obstruction open so as to permit a flow of water sufficient to maintain fish life in the stream below the dam or other obstruction.
  2. Any person violating a provision of this section is guilty of a violation and upon conviction shall be fined in any sum not less than one hundred dollars ($100) nor more than one thousand dollars ($1,000).

History. Acts 1927, No. 158, §§ 1, 2; Pope's Dig., §§ 3667, 3668, 5975, 5976, 14491, 14492; A.S.A. 1947, §§ 41-4053, 41-4054; Acts 2005, No. 1994, § 469.

Amendments. The 2005 amendment, in (b), substituted “violation” for “misdemeanor” and “one thousand dollars ($1,000)” for “five hundred dollars ($500).”

Cross References. Preventing passage of fish prohibited, § 15-44-110.

5-72-108. Injuring or destroying bridges, dams, levees, or embankments.

Any person who willfully and maliciously cuts down, breaks, injures, or destroys any bridge, mill-dam or other dam, or levee erected or constructed to create hydraulic power or to prevent the overflow of lands or any embankment necessary to support the dam or levee or makes or causes to be made any aperture in the dam or embankment with intent to destroy or injure the dam or embankment is guilty of a violation and upon conviction shall be fined in any sum not exceeding five thousand dollars ($5,000).

History. Rev. Stat., ch. 44, div. 4, art. 9, § 4; C. & M. Dig., § 2530; Pope's Dig., § 3180; A.S.A. 1947, § 41-4056; Acts 2005, No. 1994, § 57.

Amendments. The 2005 amendment substituted “violation” for “misdemeanor.”

5-72-109. Injuring levees.

  1. Should any person cut, break, or in any way damage any public levee constructed or to be constructed, by authority of this state, or paid for or to be paid for, out of any funds of this state, or out of the funds of any county or public corporation, in whole or in part, that person is guilty of a Class D felony.
    1. Any person who enters upon the premises of another and willfully and maliciously cuts down, breaks, or destroys any levee erected or constructed to prevent the overflow of lands, or any embankment necessary to support the levee, with intent to destroy or injure the levee or embankment, is guilty of a felony.
    2. However, nothing in this section shall be construed to protect any levee or embankment obstructing or damming a running stream or natural outlet for the water so as to injure another person, unless the levee or embankment has been condemned to public use in the manner provided by the Arkansas Constitution and laws of the state.

History. Acts 1874 (Spec. Sess.), No. 27, §§ 1-3, p. 37; C. & M. Dig., §§ 2747-2749; Pope's Dig., §§ 3430-3432; A.S.A. 1947, §§ 41-4057 — 41-4059; Acts 2005, No. 1994, § 431.

Amendments. The 2005 amendment substituted “that person shall be guilty of a Class D felony” for “he so offending shall be deemed guilty of a felony” in (a); and deleted former (c).

5-72-110. Driving on levees — Destruction of barricades.

  1. If any public levee or any private levee is constructed and maintained for the purpose of protection against overflow, any person who drives any vehicle or rides on the levee without the consent of the owner, using the levee as a road bed, or who cuts, tears down, destroys, or injures a barricade, fence, or other construction erected or built for the protection of the levee, is guilty of a Class B misdemeanor.
  2. The provisions of this section do not apply to an instance in which:
    1. A road has been laid out by a lawful authority upon a levee that has ceased to be of any practical use to the county in the rear of the levee; or
    2. A lawful authority has established a crossing over the levee.

History. Acts 1873, No. 118, §§ 1-4, p. 282; 1875, No. 93, § 1, p. 210; 1893, No. 74, § 1, p. 118; 1899, No. 76, § 1, p. 130; C. & M. Dig., § 2750; Pope's Dig., § 3433; A.S.A. 1947, §§ 41-4060 — 41-4063; Acts 2005, No. 1994, § 470.

Amendments. The 2005 amendment substituted “Class B misdemeanor” for “misdemeanor and on conviction shall be fined any sum not less than five dollars ($5.00) nor more than fifty dollars ($50.00) or imprisonment in the county jail not less than five (5) nor more than thirty (30) days, or both, at the discretion of the court having jurisdiction” in (a); deleted former (b) and (c); redesignated former (d) as present (b); in present (b)(1), substituted “lawful” for “properly constituted” and added “or” at the end; and substituted “lawful” for “proper” in present (b)(2).

5-72-111. [Repealed.]

Publisher's Notes. This section, concerning making cutoffs on the Mississippi River, was repealed by Acts 2005, No. 1994, § 546. The section was derived from Acts 1857, §§ 1, 2, p. 166; C. & M. Dig., §§ 3665½, 3666; Pope's Dig., §§ 4517, 4518; A.S.A. 1947, §§ 41-4064, 41-4065.

Chapter 73 Weapons

Research References

Am. Jur. 79 Am. Jur. 2d, Weapons, § 8 et seq.

C.J.S. 94 C.J.S., Weapons, § 24 et seq.

U. Ark. Little Rock L.J.

Survey of Arkansas Law: Criminal Law, 4 U. Ark. Little Rock L.J. 189.

Subchapter 1 — Possession and Use Generally

Cross References. Confiscation and destruction of deadly weapons, § 16-90-119.

Disorderly conduct, § 5-71-207.

Fines, § 5-4-201.

Term of imprisonment, § 5-4-401.

Preambles. Acts 1969, No. 159, contained a preamble which read:

“Whereas, the Secretary of the Treasury of the United States of America is charged with the administration of the Federal Gun Control Act of 1968; and

“Whereas, regulations issued pursuant to said Act provide with respect to the sale of ammunition to out-of-state residents and sales of shotguns and rifles; and

“Whereas, preliminary regulations indicated that the sale of ammunition to residents of bordering states would not be prohibited. However, the regulation promulgated recently would prohibit the sale of ammunition and shotguns and rifles to residents of adjacent states unless the state in which such ammunition or shotgun or rifle is sold indicates its assent to such sales; and

“Whereas, there are many sportsmen from the states of Missouri, Tennessee, Mississippi, Louisiana, Texas and Oklahoma who frequently visit the State of Arkansas to hunt the game which abounds in this State; and

“Whereas, it would be a great inconvenience to those persons and an economic detriment to this State, if they were prohibited from purchasing ammunition and shotguns and rifles in the State of Arkansas; and

“Whereas, it is the intent of the General Assembly to authorize the sale of ammunition and shotguns and rifles to residents of adjacent states;

“Now, therefore … .”

Effective Dates. Acts 1949, No. 338, § 4: approved Mar. 21, 1949. Emergency clause provided: “It is hereby found and declared that the promiscuous possession, use and discharge of tear gas constitutes a serious hazard to the health and well-being of the people of this State; it is therefore declared that an emergency exists and this Act being necessary for the preservation of the public peace, health and safety shall take effect and be in force from and after its passage.”

Acts 1969, No. 159, § 3: Mar. 4, 1969. Emergency clause provided: “It is hereby found and determined by the General Assembly of the State of Arkansas that under administrative regulations issued by the Secretary of the Treasury of the United States, charged with administration and enforcement of the Federal Gun Control Act of 1968, affirmative State action must be taken to authorize the sale of ammunition, shotguns and rifles in the State to residents of adjacent states, and that, unless appropriate State action is taken, such sales are illegal. Therefore, an emergency is hereby declared to exist, and this Act being necessary for the immediate preservation of the public peace, health and safety, is declared to be in full force and effect from and after the date of its passage and approval.”

Acts 1985, Nos. 243 and 399, § 3: Mar. 4, 1985. Emergency clause provided: “It is hereby found and determined by the General Assembly that law enforcement officers are with increasing frequency locating booby traps designed to injure people and thereby deter the investigation of unlawful activities, especially those relating to illegal drugs; that there presently is no law prohibiting the installation of booby traps, and that this Act is immediately necessary to protect the public as well as law enforcement officers from injury caused by booby traps. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1987, No. 74, § 3: Feb. 19, 1987. Emergency clause provided: “It is hereby found and determined by the General Assembly that any person who has been convicted of a felony or adjudicated a mental defective or involuntarily committed to a mental institution may not possess or own any firearms; that this language is unfairly broad and that a mechanism should be devised whereby persons who constitute no danger to themselves or others should not be restricted for the duration of their lives from owning or possessing firearms; that this Act establishes a mechanism to allow the Governor or the Bureau of Alcohol, Tobacco and Firearms to determine which such persons should be relieved of such restriction; that the inequity of the present law will continue until this Act becomes effective. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1989, No. 649, § 7: Mar. 17, 1989. Emergency clause provided: It is found and determined by the General Assembly that the possession of handguns by young Arkansans contributes substantially to the commission of crimes and injuries to innocent persons, and that the possession of such weapons by persons on school property has resulted in numerous recent injuries and deaths. Therefore, an emergency is hereby declared to exist and this Act being immediately necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage.

Acts 1993, No. 264, § 7: Feb. 26, 1993. Emergency clause provided: “It is hereby found and determined by the General Assembly that additional enforcement mechanisms are urgently needed to deter persons under nineteen (19) years of age from illegally using or possessing prohibited weapons upon the property of the public schools or in or upon any school bus; that this act provides an additional enforcement mechanism; and that this act should go into effect immediately in order to grant law enforcement officers and courts greater flexibility in dealing with the illegal use or possession of prohibited weapons in the public schools. Therefore, an emergency is hereby declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall be in full force and effect from and after its passage and approval.”

Acts 1993, No. 781, § 7: Mar. 29, 1993. Emergency clause provided: “It is hereby found and determined by the General Assembly of the State of Arkansas that additional enforcement mechanisms are urgently needed to deter persons under nineteen (19) years of age from illegally using or possessing prohibited weapons upon the property of the public schools or in or upon any school bus; and this Act provides an additional enforcement mechanism; and that this Act should go into effect immediately in order to grant law enforcement officers and courts greater flexibility in dealing with the illegal use or possession of prohibited weapons in the public schools. Therefore, an emergency is hereby declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety, shall be in full force and effect from and after its passage and approval.”

Acts 1994 (2nd Ex. Sess.), Nos. 41 and 42, § 5: Aug. 25, 1994. Emergency clause provided: “It is hereby found and determined by the General Assembly that felons commit many serious criminal offenses by the use of handguns or by the use of prohibited weapons; that the criminal penalties for furnishing handguns and prohibited weapons to felons must be increased in order to decrease the availability of such weapons. Therefore in order to immediately enhance the penalties for furnishing handguns or prohibited weapons to a felon, an emergency is hereby declared to exist and this act being necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1994 (2nd Ex. Sess.), No. 45, § 6: Aug. 25, 1994. Emergency clause provided: “It is hereby found and determined by the Seventy-Ninth General Assembly of the State of Arkansas, meeting in the Second Extraordinary Session of 1994, that minors commit many serious criminal offenses by the use of deadly weapons or by the use of prohibited weapons. The criminal penalties for furnishing deadly weapons to minors and for furnishing prohibited weapons, must be increased in order to decrease the availability of such weapons. Therefore, in order to immediately enhance the penalties for furnishing a deadly weapon to a minor and for furnishing a prohibited weapon, an emergency is hereby declared to exist and this act being necessary for the preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1994 (2nd Ex. Sess.), Nos. 55 and 56, § 7: Aug. 26, 1994. Emergency clause provided: “It is hereby found and determined by the Seventy-Ninth General Assembly of the State of Arkansas, meeting in the Second Extraordinary Session of 1994, that a serious shortage of juvenile detention facilities exists and that there is an urgent need to provide for a longer permissible period during which a juvenile may be held in an adult jail; that in order to enable counties to detain larger numbers of juveniles during the time necessary for such counties to construct additional juvenile detention facilities, the Governor needs authority to grant temporary waivers of certain restrictions on the manner of detaining juveniles; that possession of handguns and other unlawful weapons by juveniles is widespread and such possession contributes greatly to the incidence of violent crimes committed by juveniles; that serious measures are needed to remove handguns and other unlawful weapons from the hands of juveniles and to stop such possession; and that the authority of law enforcement officers to take juveniles into custody needs to be clarified. Therefore, in order to extend the time juveniles may be held in an adult jail; to invest the Governor with authority to grant temporary waivers of certain restrictions on the detention of juveniles; to immediately authorize the seizure, forfeiture, and destruction of unlawful weapons possessed by juveniles; to authorize the seizure and forfeiture of any vehicle in which a minor unlawfully possesses a weapon; to require detention of any juvenile who possesses a handgun or machine gun; and to clarify the authority of law enforcement officers to take juveniles into custody, an emergency is hereby declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall be in full force and effect from and after its passage and approval.”

Acts 1994 (2nd Ex. Sess.), Nos. 57 and 58, § 6: Aug. 26, 1994. Emergency clause provided: “It is hereby found and determined by the Seventy-Ninth General Assembly of the State of Arkansas, meeting in the Second Extraordinary Session of 1994, that many juveniles who have previously been declared delinquent for having committed serious offenses possess handguns and that handgun possession by such juveniles poses a great risk of harm to them and to others. Therefore, in order to immediately increase the penalty for possession of a handgun by juveniles who have previously been found delinquent for having committed certain serious offenses, an emergency is hereby declared to exist and this act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1994 (2nd Ex. Sess.), No. 63, § 5: Aug. 26, 1994. Emergency clause provided: “It is hereby found and determined by the Seventy-Ninth General Assembly of the State of Arkansas, meeting in the Second Extraordinary Session of 1994, that many crimes are committed by felons who unlawfully possess firearms and that the penalty for unlawful possession of a firearm by a felon should be increased in order to discourage such unlawful possession. Therefore, in order to immediately increase the penalty for unlawful possession of a firearm by a felon, an emergency is hereby declared to exist and this act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 1995, No. 595, § 5: Mar. 13, 1995. Emergency clause provided: “It is hereby found and determined by the General Assembly that confusion has arisen with regard to the legality of possession of a firearm by persons who, upon pleading guilty or nolo contendere or being found guilty of a felony in circuit court, have been placed on probation, received a suspended sentence, had their conviction expunged, or are authorized to have their conviction expunged. Further, the opinion of the Arkansas Supreme Court in Irvin v. State, 301 Ark. 416, 784 S.W.2d 763 (1990), is at odds with the intent of the General Assembly with regard to the status of those whose felony convictions are subject to being expunged, even though they have not been actually expunged. It is the intent of this Act to legislatively overrule Irvin v. State, supra. Therefore, in order to immediately clarify the intent of the General Assembly with regard to the status of those persons who, upon pleading guilty or nolo contendere or being found guilty of felony in circuit court, have been placed on probation, received a suspended sentence, had their conviction expunged, or are authorized to have their conviction expunged, an emergency is hereby declared to exist and this act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after its passage and approval.”

Acts 2006 (1st Ex. Sess.), No. 14, § 2: Apr. 10, 2006. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that many companies in the state have contracts with the Bureau of Alcohol, Tobacco, Firearms, and Explosives of the United States Department of Justice or the United States Department of Defense; that numerous employees of the companies have been or will be terminated from their positions because they cannot be granted relief from federal explosives disabilities under current Arkansas law; and that this act is immediately necessary in order to preserve jobs for the citizens of the State of Arkansas. Therefore, an emergency is declared to exist and this act being necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2013, No. 539, § 5: Mar. 28, 2013. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that a prosecuting attorney and his or her deputy prosecuting attorneys perform a vital public function and often are in dangerous situations due to the nature of the crimes they prosecute; and that this act is immediately necessary because allowing a prosecuting attorney and his or her deputy prosecuting attorneys to carry a firearm or concealed handgun is essential to the safe operation of criminal justice in this state. Therefore, an emergency is declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2017, No. 562, § 8: Sept. 1, 2017.

Acts 2017, No. 859, § 10: Sept. 1, 2017.

Acts 2019, No. 472, § 7: Mar. 15, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that public safety is increased when trained law enforcement officers are able to carry their handguns in public even when they are off-duty and that this act is immediately necessary because increasing public safety is one of the most important responsibilities of the General Assembly. Therefore, an emergency is declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto”.

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

Research References

ALR.

What constitutes “dangerous weapon” under statutes prohibiting the carrying of dangerous weapons in motor vehicles. 2 A.L.R.4th 1342.

“Bludgeon,” “blackjack,” or “billy” within meaning of criminal possession statute. 11 A.L.R.4th 1272.

Fact that weapon was acquired for self-defense or to prevent its use against defendant as defense in prosecution for violation of state statute prohibiting persons under indictment for, or convicted of, crime from acquiring, having, carrying, or using firearms or weapons. 39 A.L.R.4th 967.

Sufficiency of evidence of possession in prosecution under statute prohibiting persons under indictment for or convicted of crime from acquiring, having, carrying or using firearms or weapons. 43 A.L.R.4th 788.

Validity of state statute proscribing possession or carrying of knife. 47 A.L.R.4th 651.

U. Ark. Little Rock L.J.

Oliver, Rejecting the “Whipping-Boy” Approach to Tort Law: Well-Made Handguns are not Defective Products, 14 U. Ark. Little Rock L.J. 1.

5-73-101. Definitions.

As used in this chapter:

  1. “Blasting agent” means any material or mixture consisting of fuel and oxidizer intended for blasting if the finished product as mixed for use or shipment cannot be detonated by means of a No. 8 test blasting cap when unconfined;
  2. “Collegiate athletic event” means a sporting or athletic contest, event, or practice of an individual or team of individuals in which one (1) or more individuals or a team of individuals sponsored by, funded by, represented by, or associated with a public or private university, college, or community college competes against themselves or another individual or team of individuals;
  3. “Contraband” means any explosive material that was used with the knowledge and consent of the owner to facilitate a violation of this subchapter, as well as any explosive material possessed under circumstances prohibited by law;
  4. “Destructive device” means:
    1. Any of the following:
      1. Any explosive, incendiary, or poison gas;
      2. Bomb;
      3. Grenade;
      4. Rocket having a propellant charge of more than four ounces (4 oz.);
      5. Missile having an explosive or incendiary charge of more than one-quarter ounce (.25 oz.);
      6. Mine; or
      7. Similar device; and
    2. Any combination of parts either designed or intended for use in converting any device into a destructive device as defined in subdivision (4)(A) of this section and from which a destructive device may be readily assembled for use as a weapon;
    1. “Detonator” means any device containing any initiating or primary explosive that is used for initiating detonation.
    2. A detonator may not contain more than ten grams (10g) of total explosives by weight, excluding ignition or delay charges, and may include, without limitation, electric blasting caps of instantaneous and delay types, blasting caps for use with safety fuses, detonating cord delay connectors, and noninstantaneous and delay blasting caps that use detonating cord, shock tube, or any other replacement for electric leg wires;
  5. “Distribute” means to sell, issue, give, transfer, or otherwise dispose of explosive material;
    1. “Explosive” means any chemical compound mixture or device, the primary or common purpose of which is to function by explosion.
    2. “Explosive” includes, without limitation:
      1. Dynamite and any other high explosive;
      2. Black powder;
      3. Pellet powder;
      4. An initiating explosive;
      5. A detonator;
      6. A safety fuse;
      7. A squib;
      8. A detonating cord;
      9. An igniter cord;
      10. An igniter;
      11. Any material determined to be within the scope of 18 U.S.C. § 841 et seq.; and
      12. Any material classified as an explosive other than consumer fireworks, 1.4 (Class C, Common), by the hazardous materials regulations of the United States Department of Transportation;
  6. “Explosive material” means an explosive, blasting agent, or detonator;
  7. “Instrument of crime” means anything manifestly designed, made, adapted, or commonly used for a criminal purpose;
  8. “Minor” means any person under eighteen (18) years of age; and
  9. “Violent felony conviction” means a conviction for any felony offense against the person which is codified in § 5-10-101 et seq., § 5-11-101 et seq., § 5-12-101 et seq., § 5-13-201 et seq., § 5-13-301 et seq., § 5-14-101 et seq., and § 5-14-201 et seq., or any other offense containing as an element of the offense one (1) of the following:
    1. The use of physical force;
    2. The use or threatened use of serious physical force;
    3. The infliction of physical harm; or
    4. The creation of a substantial risk of serious physical harm.

History. Acts 1975, No. 280, § 3101; A.S.A. 1947, § 41-3101; Acts 2001, No. 1430, § 1; 2005, No. 1226, § 1; 2017, No. 859, § 1.

Amendments. The 2001 amendment added present (10).

The 2005 amendment inserted present (1)-(7); and redesignated former (1)-(3) as present (8)-(10).

The 2017 amendment added the definition for “Collegiate athletic event”.

Effective Dates. Acts 2017, No. 859, § 10: Sept. 1, 2017.

Research References

Ark. L. Notes.

Leflar, Lawyers, Guns and Money: Some Practical Advice about Taking Security Interests in Firearms, 1998 Ark. L. Notes 55.

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Survey of Legislation, 2005 Arkansas General Assembly, Criminal Law, 28 U. Ark. Little Rock L. Rev. 335.

Case Notes

Violent Felony Conviction.

Circuit court properly sentenced defendant as a habitual offender to 12 years' imprisonment for possession of a firearm by certain persons, Class B felony, because defendant's prior federal conviction for aggravated assault qualified as a “prior violent felony conviction” under this section and § 5-73-103; assault with a dangerous weapon in the federal statute, 18 U.S.C. § 113, met the “serious physical force” requirement in subdivision (11)(B) of this section because the threat of bodily impact, restraint, or confinement when committed with a dangerous weapon is a threat of serious force. Seyller v. State, 2019 Ark. App. 423, 586 S.W.3d 685 (2019).

5-73-102. Possessing instrument of crime.

  1. A person commits the offense of possessing an instrument of crime if he or she possesses any instrument of crime with a purpose to employ it criminally.
  2. Possessing an instrument of crime is a Class A misdemeanor.

History. Acts 1975, No. 280, § 3102; A.S.A. 1947, § 41-3102.

Research References

ALR.

Construction and Application of United States Supreme Court Holdings in District of Columbia v. Heller, 554 U.S. 570, 128 S. Ct. 2783, 171 L. Ed. 2d 637 (2008) and McDonald v. City of Chicago, Ill., 561 U.S. 742, 130 S. Ct. 3020, 177 L. Ed. 2d 894 (2010) Respecting Second Amendment Right to Keep and Bear Arms, to State or Local Laws Regulating Firearms or Other Weapons. 64 A.L.R.6th 131.

5-73-103. Possession of firearms by certain persons.

  1. Except as provided in subsection (d) of this section or unless authorized by and subject to such conditions as prescribed by the Governor, or his or her designee, or the United States Bureau of Alcohol, Tobacco, Firearms, and Explosives, or other bureau or office designated by the United States Department of Justice, no person shall possess or own any firearm who has been:
    1. Convicted of a felony;
    2. Adjudicated mentally ill; or
    3. Committed involuntarily to any mental institution.
    1. Except as provided in subdivisions (b)(2) and (3) of this section, a determination by a jury or a court that a person committed a felony constitutes a conviction for purposes of subsection (a) of this section even though the court suspended imposition of sentence or placed the defendant on probation.
    2. Subdivision (b)(1) of this section does not apply to a person whose case was dismissed and expunged under § 16-93-301 et seq. or § 16-98-303(g).
    3. The determination by the jury or court that the person committed a felony does not constitute a conviction for purposes of subsection (a) of this section if the person is subsequently granted a pardon explicitly restoring the ability to possess a firearm.
    1. A person who violates this section commits a Class B felony if:
      1. The person has a prior violent felony conviction;
      2. The person's current possession of a firearm involves the commission of another crime; or
      3. The person has been previously convicted under this section or a similar provision from another jurisdiction.
    2. A person who violates this section commits a Class D felony if he or she has been previously convicted of a felony and his or her present conduct or the prior felony conviction does not fall within subdivision (c)(1) of this section.
    3. Otherwise, the person commits a Class A misdemeanor.
  2. The Governor may restore without granting a pardon the right of a convicted felon or an adjudicated delinquent to own and possess a firearm upon the recommendation of the chief law enforcement officer in the jurisdiction in which the person resides, so long as the underlying felony or delinquency adjudication:
    1. Did not involve the use of a weapon; and
    2. Occurred more than eight (8) years ago.

History. Acts 1975, No. 280, § 3103; 1977, No. 360, § 18; A.S.A. 1947, § 41-3103; Acts 1987, No. 74, § 1; 1994 (2nd Ex. Sess.), No. 63, § 1; 1995, No. 595, § 1; 1995, No. 1325, § 1; 2001, No. 1429, § 1; 2009, No. 1491, § 1.

A.C.R.C. Notes. Pursuant to § 1-2-207, this section is set out above as amended by Acts 1995, No. 1325. This section was also amended by Acts 1995, No. 595, to read as follows:

“(a) Except as provided in subsection (d) of this section or unless authorized by and subject to such conditions as prescribed by the Governor, or his designee, or the Bureau of Alcohol, Tobacco and Firearms of the United States Treasury Department, or other bureau or office designated by the Treasury Department, no person shall possess or own any firearm who has been:

“(1) Convicted of a felony; or

“(2) Adjudicated mentally ill; or

“(3) Committed involuntarily to any mental institution.

“(b) A determination by a jury or a court in circuit court that a person committed a felony shall constitute a conviction even though the person was placed on probation, received suspension of imposition or execution of sentence, had his conviction expunged pursuant to any act, or was entitled to have his conviction expunged pursuant to any act, except that a person who pleads guilty or nolo contendere or is found guilty of a felony in circuit court may lawfully possess a firearm only if his right to do so is subsequently restored by the Governor pursuant to either subsection (d)(1) or subsection (d)(2) of this section or is otherwise authorized pursuant to subsection (a) of this section.

“(c)(1) A person who violates this section commits a Class B felony if he has been convicted of a felony.

“(2) Otherwise, he commits a Class A misdemeanor.

“(d) The Governor shall have authority to restore the right of a convicted felon to own and possess a firearm:

“(1) by granting a pardon explicitly restoring the right of the person to possess a firearm; or

“(2) without granting a pardon, upon the recommendation of the chief law enforcement officer in the jurisdiction in which the person resides, so long as the underlying felony did not involve the use of a weapon and occurred more than three (3) years ago.”

Publisher's Notes. Acts 1995, No. 1325, became law without the Governor's signature.

Amendments. The 2001 amendment deleted “he has been convicted of a felony, unless the prior felony was for a nonviolent offense and the possession of the firearm did not involve the commission of another crime; then it is a Class D Felony” following “if” in (c)(1); added (c)(1)(A)-(C); inserted present (c)(2); redesignated former (c)(2) as present (c)(3); and inserted “or she” following “he” in (c)(3).

The 2009 amendment inserted “Except as provided in subdivisions (b)(2) and (3) of this section” in (b)(1), inserted (b)(2), redesignated the subsequent subdivision accordingly, and made related and minor stylistic changes.

Research References

ALR.

Construction and Application of United States Supreme Court Holdings in District of Columbia v. Heller, 554 U.S. 570, 128 S. Ct. 2783, 171 L. Ed. 2d 637 (2008) and McDonald v. City of Chicago, Ill., 130 S. Ct. 3020, 177 L. Ed. 2d 894 (2010) Respecting Second Amendment Right to Keep and Bear Arms, to State or Local Laws Regulating Firearms or Other Weapons. 64 A.L.R.6th 131.

Validity of State Gun Control Legislation Under State Constitutional Provisions Securing Right to Bear Arms — Convicted Felons. 85 A.L.R.6th 641.

What Constitutes “Possession” of Firearm for Purposes of 18 U.S.C. § 924(c)(1), Providing Penalty for Possession of Firearm in Furtherance of Drug Trafficking Crime or Crime of Violence. 89 A.L.R. Fed. 2d 37 (2014).

U. Ark. Little Rock L.J.

DeSimone, Survey of Criminal Law, 3 U. Ark. Little Rock L.J. 191.

Survey of Arkansas Law, Evidence, 5 U. Ark. Little Rock L.J. 139.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

U. Ark. Little Rock. L. Rev.

Annual Survey of Case Law, Criminal Law, 28 U. Ark. Little Rock L. Rev. 677.

Case Notes

Constitutionality.

This section is not an unconstitutional statute based on status since it does not punish the status of being a felon but rather punishes the act of carrying a firearm by one who has been convicted of a felony. Crafton v. State, 274 Ark. 319, 624 S.W.2d 440 (1981).

The legislature could constitutionally provide that any person who had previously been convicted of a felony as defined by this section could not thereafter possess or own a firearm, and this section did not operate as an ex-post facto law when applied to a felon convicted prior to passage of the section. Finley v. State, 282 Ark. 146, 666 S.W.2d 701 (1984).

Apprendi v. New Jersey, 530 U.S. 466, 120 S. Ct. 2348, 147 L. Ed. 2d 435 (2000), does not compel the reversal of Ferguson v. State, 362 Ark. 547, 210 S.W.3d 53 (2003), because whether a prior felony was violent in nature is a matter of law for the trial court; moreover, the jury did not have to determine the fact of a prior conviction. Austin v. State, 98 Ark. App. 380, 255 S.W.3d 888 (2007).

Purpose.

The purpose of this section is to keep firearms out of the hands of persons who have been formally adjudicated as irresponsible or dangerous. Reynolds v. State, 18 Ark. App. 193, 712 S.W.2d 329 (1986).

Applicability.

Specifics of defendant's ex post facto arguments regarding his 2014 charge were not considered as he lacked standing to challenge the constitutionality of the retroactive application of the amendment to this section. Even though defendant completed his earlier probation, he failed to fulfill the terms and conditions of the probation by using marijuana, and as a result his 1995 disposition was not expunged; and the amendment to subsection (b) did not apply to offenders whose cases were not dismissed and expunged. Kimbrell v. State, 2017 Ark. App. 555, 533 S.W.3d 114 (2017).

Arrest.

Regardless of whether the information or warrant were defective, a warrant was not required for the defendant's arrest on charges of being a felon in possession of a firearm, a Class D felony under this section, since Ark. R. Crim. P. 4.1 provides that a law enforcement officer may arrest a person without a warrant if he has reasonable cause to believe that that person has committed a felony. Van Daley v. State, 20 Ark. App. 127, 725 S.W.2d 574 (1987).

Authorization.

The “authorization” clause in subsection (a), permitting a felon to possess a firearm if authorized by the Governor, his designee, or the Treasury Department, creates a defense, as defined by § 5-1-111, rather than an element to be proved by the state. Fendley v. State, 314 Ark. 435, 863 S.W.2d 284 (1993).

Constructive Possession.

Actual physical possession is not necessary for conviction, nor is ownership; the evidence is sufficient if it is shown, by either direct or circumstantial evidence, that the defendant had the right to exercise control over the object. Harper v. State, 17 Ark. App. 237, 707 S.W.2d 332 (1986).

Where the gun was found in the defendant's bedroom, directly under a window in which the police officers had observed the defendant looking out when they drove up, the officers saw no other person in that room, and one of the officers testified that he saw the defendant fumbling around with something that could have been a gun, there was substantial evidence from which a jury could infer that the defendant had knowledge of the gun's presence and a right to control it. Harper v. State, 17 Ark. App. 237, 707 S.W.2d 332 (1986).

Where there is joint occupancy of premises, mere occupancy is insufficient to convict one of possession of contraband, unless there are additional factors linking the defendant with the contraband. Kandur v. State, 20 Ark. App. 194, 726 S.W.2d 682 (1987).

Evidence held insufficient to convict. Kandur v. State, 20 Ark. App. 194, 726 S.W.2d 682 (1987).

Where defendant occupied the truck with the driver, and the shotgun was located in plain view between the seats, which made it immediately accessible to her and subject to her control, this was sufficient to constitute constructive possession. Banks v. State, 315 Ark. 666, 869 S.W.2d 700 (1994).

When possession of contraband is an element of an offense, the State need not prove literal, physical possession; constructive possession can be implied when the contraband is in the joint control of the accused and another person. Kilpatrick v. State, 322 Ark. 728, 912 S.W.2d 917 (1995).

Joint occupancy of the vehicle, standing alone, is not sufficient to establish possession of contraband; there must be some other factor linking the accused to the contraband. Kilpatrick v. State, 322 Ark. 728, 912 S.W.2d 917 (1995).

Among the “linking” factors this court has considered in cases involving vehicles occupied by more than one person are: (1) whether the contraband is in plain view; (2) whether the contraband is found with accused's personal effects; (3) whether the contraband is found on the same side of the car seat as the accused was sitting or in near proximity to it; (4) whether the accused is the owner of the automobile, or exercises dominion and control over it; (5) whether the accused acted suspiciously before or during the arrest. Courts have also considered the improbability that anyone other than the occupants of the vehicle placed the contraband in the vehicle; and the improbable nature of the accused's explanation for his journey. Kilpatrick v. State, 322 Ark. 728, 912 S.W.2d 917 (1995).

When there is joint occupancy of a residence, additional factors must be proven linking the accused to the firearm. Killian v. State, 60 Ark. App. 127, 959 S.W.2d 432 (1998).

Where gun owned by defendant's girlfriend was found in the girlfriend's house, where defendant also lived, defendant's remark to police that the gun should have been hidden better was a sufficient additional factor to link the defendant to the gun. Killian v. State, 60 Ark. App. 127, 959 S.W.2d 432 (1998).

Front passenger's conviction for constructive possession of gun was reversed where, although the gun was under his seat, it was more readily available to driver; however, the rear passenger's conviction was upheld because he was in close proximity to the gun that was found under the rear seat and he had behaved suspiciously by giving the police different dates of birth and repeatedly identifying himself as someone else. Gamble v. State, 82 Ark. App. 216, 105 S.W.3d 801 (2003).

Evidence showed that defendant signed the ticket to pawn a gun, which constituted circumstantial evidence that defendant constructively possessed the firearm; the pawn ticket indicated that defendant had given a security interest in the gun, and the pawn shop owner's testimony made it clear that only defendant could have redeemed the pawn ticket and retrieved the gun. Loar v. State, 368 Ark. 171, 243 S.W.3d 923 (2006).

Conviction for being a felon in possession of a firearm was reversed as, although defendant was a felon, the state failed to show constructive possession; despite the fact that a gun was found in a jointly occupied apartment, nothing showed that defendant had care, control, and management over the contraband. Williams v. State, 95 Ark. App. 307, 236 S.W.3d 519 (2006).

Defendant was properly convicted of being a felon in possession of a firearm because there was sufficient evidence that he constructively possessed a gun where he consented to a search of his house and anything on the property, the gun was in his aunt's truck in plain view, located in close proximity to defendant's personal effects, he exercised regular control over the truck, and, although he was not in it at the time the gun was discovered, he had driven it on the morning that the gun was found. White v. State, 2014 Ark. App. 587, 446 S.W.3d 193 (2014).

Motion for a directed verdict was properly denied because the State presented sufficient evidence that defendant constructively possessed a firearm; although there was joint occupancy of a vehicle, the State presented other evidence linking defendant to the gun. The gun was found in the backseat, where defendant was the sole passenger, the compartment where the gun was found was immediately and exclusively accessible to defendant, and defendant behaved suspiciously before and during the traffic stop. Lambert v. State, 2017 Ark. 31, 509 S.W.3d 637 (2017).

State did not sufficiently prove that defendant constructively possessed a semi-automatic 9-mm pistol because defendant was not particularly close to the gun when he was arrested, and multiple people had access to the backyard and the shed areas where the gun was found; the State presented no forensic evidence, like a fingerprint analysis, to link him to either the gun or the ammunition. Bradley v. State, 2018 Ark. App. 586, 564 S.W.3d 569 (2018).

Substantial evidence supported defendant's conviction for felon in possession of a firearm where constructive possession could be implied given that the firearm was under the driver's seat, so it was immediately and exclusively accessible by defendant and subject to his control, and the jury was not required to believe defendant's self-serving testimony that he had no knowledge that the firearm was in the vehicle, especially given that the evidence showed that the gun case in which the firearm had been kept was open and empty on the passenger's seat; defendant's mother owned the vehicle, his fiancée testified that it was her gun, and defendant was the sole occupant of the vehicle at the time of arrest. Bens v. State, 2020 Ark. App. 6, 593 S.W.3d 495 (2020).

Conviction.

—In General.

A prior Supreme Court ruling on a completely different statute did not justify the defendant's reliance on alleged “mistake of law” in assuming his suspended sentence did not constitute a “conviction” under this section prohibiting felons from carrying firearms. Finley v. State, 282 Ark. 146, 666 S.W.2d 701 (1984).

A prior felony offense of aggravated assault was properly used to establish the defendant's previous felony conviction in a later prosecution for felon in possession of a firearm, notwithstanding that, at the time the defendant was placed on probation for aggravated assault, the court stated that he would be eligible for expungement of his conviction upon successful completion of his probationary period and that the defendant completed his sentence without violating any condition of his probation, since, at the time he was placed on probation. Edwards v. State, 70 Ark. App. 127, 15 S.W.3d 358 (2000).

—Proof.

As a prior felony conviction was an element of the offense, it was certainly not improper for the prosecutor to refer to the previous conviction prior to the introduction of direct proof so long as competent evidence was later presented to support the statement. Plummer v. State, 270 Ark. 11, 603 S.W.2d 402 (1980).

Where the defendant was charged with being a felon in possession of a firearm, the very nature of the crime charged necessarily placed the defendant on notice that the state would be required to prove that he was a felon, and therefore, the trial court did not abuse its discretion when it allowed the state to introduce documents concerning the defendant's prior felony convictions. Terry v. State, 9 Ark. App. 38, 652 S.W.2d 634 (1983).

A prior felony conviction was relevant evidence in a prosecution for possession of a firearm by a felon in that it was an element of the crime, and the trial court's decision that the State could elect to introduce evidence of one prior conviction rather than another was not an abuse of discretion; the defendant's contention that he should be permitted to select the prior conviction to be introduced by the State was not tenable. Clinkscale v. State, 15 Ark. App. 166, 690 S.W.2d 740 (1985).

Where defendant was charged with being a felon in possession of a firearm, proof of one prior felony conviction would have been sufficient. Tatum v. State, 21 Ark. App. 237, 731 S.W.2d 227 (1987).

Proof of a prior felony is an element of the crime of felon in possession of a firearm and must be proven beyond a reasonable doubt by the state. To require an accused to prove expungement of his record after completion of his sentence under the Youthful Offender Alternative Service Act would be to require an affirmative defense when none is required by the section. Irvin v. State, 301 Ark. 416, 784 S.W.2d 763 (1990) (decision under prior law).

Several convictions, including one for being a violent felon in possession of a firearm under this section, were reversed because a trial court erred by refusing to accept defendant's stipulation to having a prior felony; the court should not have informed the jury that the prior conviction was violent and allowed publication to the jury. Austin v. State, 98 Ark. App. 380, 255 S.W.3d 888 (2007).

Evidence.

Impeachment of defendant with remarks made by defendant's attorney during opening statement held not abuse of discretion. Fisher v. State, 290 Ark. 490, 720 S.W.2d 900 (1986).

Evidence held sufficient to uphold conviction. Holbird v. State, 301 Ark. 382, 784 S.W.2d 171 (1990); Moore v. State, 304 Ark. 257, 801 S.W.2d 638 (1990).

Evidence held sufficient to support the jury's determination that the appellant was in possession of the controlled substance and a firearm. Kilpatrick v. State, 322 Ark. 728, 912 S.W.2d 917 (1995).

Evidence was sufficient to show that the defendant was the same person who had a felony conviction from Texas and, therefore, was sufficient to support a conviction for being a felon in possession of a firearm. Leatherwood v. State, 69 Ark. App. 233, 11 S.W.3d 571 (2000).

Where police seized a rifle in defendant's home during the execution of a search warrant, defendant was properly convicted of one count of felon in possession of a firearm. McDonald v. State, 354 Ark. 216, 119 S.W.3d 41 (2003).

Where appellant was convicted of two hotel robberies, the trial court properly convicted him of aggravated robbery, rape, being a felon in possession of a firearm, and being a habitual offender. The State alleged that appellant had prior felony convictions. Townsend v. State, 355 Ark. 248, 134 S.W.3d 545 (2003).

In defendant's trial for aggravated assault on a family member and felon in possession of a firearm, defendant challenged the State's proof only as to actual possession of the gun and, despite the fact that defendant's parents' later recanted their written statements that defendant was the one with the gun, that credibility determination was for the fact finder and the evidence was sufficient to support defendant's conviction. Nelson v. State, 84 Ark. App. 373, 141 S.W.3d 900 (2004).

Although defendant admitted at trial that she possessed the two firearms because they were evidence to prove that she did not commit arson in another criminal case in which the charges against her had been dismissed the year before, she argued that she should not be convicted pursuant to § 5-2-604(a) since her possession of the firearms was justifiable; however, there was no proof of extraordinary attendant circumstances in defendant's case requiring emergency measures to avoid any sort of imminent public or private injury, as required under § 5-2-604 and, thus, there was no reason for giving a jury instruction on the choice-of-evils defense. Whisenant v. State, 85 Ark. App. 111, 146 S.W.3d 359 (2004).

Defendant's convictions for first-degree murder, a terroristic act, and possession of firearms by certain persons were proper where the jury believed the witnesses's testimony that defendant fired the only shots and fired toward the group where the victim was standing and toward the nightclub. Jackson v. State, 363 Ark. 311, 214 S.W.3d 232 (2005).

Evidence was sufficient to sustain a conviction for possession of firearms by certain persons and to corroborate the accomplice's testimony where witnesses testified as to the role defendant played in the robbery and described his clothing and weapon, which were collected at the scene; further, defendant's jacket had blood stains on it and a hole corresponding to the location of a gunshot wound he received, and defendant was found hiding inside a dumpster near the site where his car became stuck in the mud. Flowers v. State, 92 Ark. App. 29, 210 S.W.3d 907 (2005).

Sufficient evidence supported the conclusion that a defendant was in possession of a gun and that defendant was a convicted felon: a witness testified that the witness gave defendant a gun, other witnesses testified that defendant shot a victim with that gun, and the record showed that defendant had been convicted of three prior felonies. Hawkins v. State, 2009 Ark. App. 675 (2009).

Defendant found guilty on three counts of attempted first-degree murder, of being a felon in possession of a firearm, and three counts of committing a terroristic act unsuccessfully argued that substantial evidence did not support his convictions; while the evidence was circumstantial, substantial evidence supported the conclusion that defendant committed the crimes in question. Moments after the shooting, a dark-colored car was observed speeding away from the area without its lights on even though it was dark outside, that car crashed into another vehicle five blocks from the shooting, a witness positively identified defendant as the person who emerged from the driver's side of the car carrying a long rifle, shell casings from a rifle were recovered from the scene of the shooting, defendant's DNA was found on the driver's side airbag of the car, and the car contained a letter addressed to defendant. Smith v. State, 2010 Ark. App. 216 (2010).

When a rape victim testified at defendant's probation revocation hearing that he had a gun at the time of the rape, that testimony was sufficient for the court to find that he had possessed a firearm within the meaning of this section and the definition of “possess” in § 5-1-102. Craig v. State, 2010 Ark. App. 309 (2010).

Evidence was sufficient to support defendant's conviction for possession of a firearm by certain persons, in violation of this section, as a firearm was observed in plain view next to defendant in a truck that he was riding in; the evidence showed that defendant was in constructive possession, if not actual possession, of the weapon. Hancock v. State, 2012 Ark. App. 338 (2012).

Defendant's conviction for possession of a firearm by a convicted felon under this section was sufficiently supported by evidence from a friend that he had seen defendant shoot the rifle although the rifle belonged to defendant's father and it was at his friend's house for shooting a raccoon. Fraser v. State, 2012 Ark. App. 598 (2012).

Defendant's conviction for possession of a firearm by a felon, in violation of this section, was supported by the evidence because defendant lived alone in a cabin for a week in which there was a gun in plain sight right in front of the door; although defendant denied being aware of the gun, the jury was not required to believe defendant's testimony. Magness v. State, 2012 Ark. App. 609, 424 S.W.3d 395 (2012).

Evidence was sufficient to convict defendant of possession of firearms by certain persons because defendant was stopped in close proximity to where there was a report of shots fired; moreover, he was driving a silver vehicle and wearing jeans with no shirt, which matched the description given. When confronted with the prospect of being tested for gunshot residue, defendant exhibited aggressive behavior and was observed wiping his hands, which could have interfered with the testing. Moore v. State, 2013 Ark. App. 582 (2013).

Substantial evidence supported defendant's conviction of being a felon in possession of a firearm, given that a certified copy of his felony robbery conviction had been entered into evidence and he admitted to being in possession of a firearm and that he shot the victim. Toombs v. State, 2015 Ark. App. 71, appeal dismissed, 2015 Ark. 471 (2015).

Circuit court did not err in denying defendant's motions for directed verdict because there was sufficient evidence to find that defendant, a convicted felon, possessed a firearm; the testimony of two witnesses indicated that defendant brought a gun to a residence where the victim used it to shoot himself. McCormick v. State, 2016 Ark. App. 330 (2016).

Sufficient evidence supported defendant's conviction for being a felon in possession of a firearm as (1) defendant stipulated to a prior felony conviction, (2) a jury could conclude from an undated photo of defendant that defendant possessed a firearm after his brother-in-law moved to the county, (3) the jury could accept the officer's testimony that the firearm in the photo was a rifle, rather than the brother-in-law's testimony that it was a BB gun, and (4) shotgun shells were found in defendant's car. Coger v. State, 2017 Ark. App. 466, 529 S.W.3d 640 (2017).

Evidence was sufficient to convict defendant of possession of a firearm by a felon because another individual's testimony that the gun had been in his possession and he had thrown it on the ground did not explain the gun being found on the ground in front of the officer's patrol car after defendant made a tossing motion in that direction; the other individual was not in the area when the officer drove up and observed defendant tossing something; and the officer more than once on a video stated that he had seen defendant throw something, that he had found the gun on the ground in that area, and that the condition of the gun indicated that it had been thrown on the ground. McNeely v. State, 2017 Ark. App. 483, 530 S.W.3d 876 (2017).

Sufficient evidence supported defendant's conviction under this section for possession of a firearm because (1) a witness said she saw defendant shoot the victim, (2) another witness said defendant approached the victim with a gun, and (3) any inconsistency in testimony went to weight rather than admissibility. Green v. State, 2018 Ark. App. 145, 544 S.W.3d 574 (2018).

In a bench trial resulting in defendant's convictions for possession of a firearm by certain persons and criminal use of prohibited weapons, the evidence before the trial court, though circumstantial, showed that defendant took a picture holding a gun on the same day that he attempted to retrieve an apparently temporarily discarded and illegally cutdown rifle. Accordingly, the appellate court found no error with the circuit court's finding that the State's circumstantial evidence proved its case nor with the circuit court's finding that the circumstantial evidence was inconsistent with any other reasonable alternative. Caple v. State, 2019 Ark. App. 41, 569 S.W.3d 353 (2019).

State did not present sufficient evidence on which a fact finder could have convicted defendant of being a felon in possession of a firearm. A firearm was never recovered and presented as being one that defendant had possessed, and there was no video or photographic evidence that defendant had possessed a gun. Holmes v. State, 2019 Ark. App. 384, 586 S.W.3d 183 (2019).

Expungement of Prior Felony.

A count charging the defendant with being a felon in possession of a firearm was properly dismissed since the underlying felony could not be used by the state because that felony had been lawfully sealed and expunged. State v. Ross, 344 Ark. 364, 39 S.W.3d 789 (2001).

Defendant could not be convicted of being a felon in possession of a firearm when his only felony conviction had been properly expunged. State v. Warren, 345 Ark. 508, 49 S.W.3d 103 (2001).

Trial court did not err by admitting defendant's prior conviction for felony possession of drug paraphernalia into evidence as proof on a charge of possession of a firearm by a felon (FIP) because defendant's expunged felony conviction could be used as proof on his FIP charge under former version of section; although still uncodified, 1995 Act No. 595, § 1 indicated legislative intent for an expunged felony conviction to remain a conviction for the purposes of possession of a firearm by a felon. Smith v. State, 2011 Ark. App. 539 (2011) (decision under prior law).

Intent.

In prosecution for the offense of felon in possession of a firearm, whether the defendant believed that it was legal for a felon to possess a firearm after the completion of his parole was irrelevant. Fisher v. State, 290 Ark. 490, 720 S.W.2d 900 (1986).

Involuntary Commitment.

Although appellant argued that the circuit court erred in denying his motion to dismiss because appellant had not been adjudicated mentally ill or involuntarily committed to a mental institution within the meaning of subsection (a) of this section, this point was not properly before the Supreme Court on appeal from a conditional plea. Gooch v. State, 2015 Ark. 227, 463 S.W.3d 296 (2015).

Lesser-Included Offenses.

Since the offense of possession of a firearm by a felon requires proof that the person possessing the firearm has been convicted of a felony and that fact is not an element in the proof of aggravated robbery, the lesser offense is not included in aggravated robbery. Allen v. State, 281 Ark. 1, 660 S.W.2d 922 (1983), cert. denied, 472 U.S. 1019, 105 S. Ct. 3482, 87 L. Ed. 2d 617 (1985).

Preservation for Review.

Although appellant argued that subdivision (a)(3) of this section was void for vagueness, deprived him of due process, and violated the Second Amendment and Ark. Const. art. 2, § 5, these points were not raised below and ruled on by the circuit court, and the Supreme Court did not reach the merits of appellant's arguments. Gooch v. State, 2015 Ark. 227, 463 S.W.3d 296 (2015).

Defendant did not challenge the sufficiency of the evidence concerning his conviction under this section in his motion for dismissal as required, and thus his argument was not preserved for review and his conviction was affirmed. Oliver v. State, 2016 Ark. App. 332, 498 S.W.3d 320 (2016).

Defendant's argument that the evidence was insufficient to sustain his conviction for felon in possession of a firearm was preserved for review despite the State's argument concerning defendant's failure to use the word “constructive” in his directed verdict motion at the close of the State's case; the broad term “possession” encompassed the more precise term “constructive possession” because defendant essentially argued constructive possession in his initial directed verdict motion. Bens v. State, 2020 Ark. App. 6, 593 S.W.3d 495 (2020).

Sentencing.

The nature of the prior felony and the facts surrounding the incident leading to defendant's arrest do reflect on the seriousness of the crime and are relevant in the determination of sentence, and if these factors were not meant to be considered in sentencing, the General Assembly could have provided for imprisonment for a definite term upon conviction of a felon for possession of a firearm rather than allowing the jury to impose any sentence not in excess of five years. Combs v. State, 270 Ark. 496, 606 S.W.2d 61 (1980).

The state can use the defendant's prior felony convictions to convict him of felon in possession of a firearm and then use the same prior felony convictions to enhance the penalty for that conviction. The defendant was not convicted of two offenses which share the same elements, and thus he was not twice put in jeopardy for the same offense. Traylor v. State, 304 Ark. 174, 801 S.W.2d 267 (1990).

State v. Lawson, 295 Ark. 37, 746 S.W.2d 544 (1988), prohibits “stacking” of specific subsequent-offense penalty enhancements like the one in the driving while impaired statute, which operates to convert a misdemeanor to a felony because of multiple recurrences of the same underlying offense within a specified period of time; the Court of Appeals of Arkansas, Division One, declines to expand Lawson past that boundary. Therefore, there was no impermissible stacking of a specific firearm enhancement statute for a felon in possession of a firearm under subdivision (c)(1) of this section with the general habitual-offender enhancement statute under § 5-4-501(b)(2)(C); subdivision (c)(1) did not contain an enhancement for recidivism, there was no greater sentence than if either statute was applied singly, and the designation of the possession offense as a Class B felony was not an enhancement. Moore v. State, 2012 Ark. App. 662 (2012).

Because defendant's sentence for felon-in-possession/using firearm to commit another felony under subdivision (c)(1)(B) of this section was not enhanced by the statute defining the crime, the trial court did not err by applying the enhancement in § 16-90-120(a) for using a firearm to commit a felony. Stubblefield v. State, 2013 Ark. App. 734 (2013).

Under Arkansas law, possession of a firearm by a felon is at most a class B felony, punishable by no more than 20 years. Unless the flight causes serious physical injury to another, fleeing by vehicle is at most a class D felony, punishable by up to six years. United States v. Thomas, 790 F.3d 784 (8th Cir. 2015).

Defendant's 10-year sentence for possession of a firearm by a felon was within the statutory range of punishment for a Class D felony committed by a defendant previously convicted of four or more felonies, and the circuit court's decision to run the sentence consecutively to defendant's other sentence was within the court's discretion. McNeely v. State, 2017 Ark. App. 483, 530 S.W.3d 876 (2017).

Circuit court properly sentenced defendant as a habitual offender to 12 years' imprisonment for possession of a firearm by certain persons, Class B felony, because defendant's prior federal conviction for aggravated assault qualified as a “prior violent felony conviction” under this section and § 5-73-101; assault with a dangerous weapon in the federal statute, 18 U.S.C. § 113, met the “serious physical force” requirement in § 5-73-101(11)(B) because the threat of bodily impact, restraint, or confinement when committed with a dangerous weapon is a threat of serious force. Seyller v. State, 2019 Ark. App. 423, 586 S.W.3d 685 (2019).

Trial Proceedings.

Where during closing arguments the prosecuting attorney pled with the jurors to enforce the law and send a message out to other drug-traffickers in the county that that kind of conduct is not going to be tolerated, the defendant objected but did not ask for a mistrial, and the trial court sustained the objection and admonished the jury that arguments of counsel were not evidence and that they should disregard any statements by counsel which were not supported by the evidence, there was no error. Reynolds v. State, 18 Ark. App. 193, 712 S.W.2d 329 (1986).

The trial judge erred in refusing to sever a firearm/felon count from a murder count for trial; an offense based in part on a prior conviction is not part of a single scheme or plan with first degree murder, as Ark. R. Crim. P. 22.2(a) requires, nor do the two offenses require the same evidence, which would be an alternative reason for upholding the trial judge's decision to deny severance. Ferrell v. State, 305 Ark. 511, 810 S.W.2d 29 (1991).

Where the trial of a felon/firearm charge with a murder charge was prejudicial error, the circuit court abused its discretion in denying a motion to sever; accordingly, defendant was prejudiced by the joinder and was entitled to a new trial. Sutton v. State, 311 Ark. 435, 844 S.W.2d 350 (1993).

Where defendant offered to stipulate to the convicted-felon element of the felon-in-possession-of-a-firearm charge, the state's introduction of the certified copy of defendant's conviction was unfairly prejudicial and should have been excluded; the right of the state to prove its case had to be balanced against the right of a defendant to a trial free from unfair prejudice. Ferguson v. State, 362 Ark. 547, 210 S.W.3d 53 (2005).

Cited: Shelton v. State, 271 Ark. 342, 609 S.W.2d 18 (1980); Terry v. State, 271 Ark. 715, 610 S.W.2d 272 (1981); Scott v. State, 272 Ark. 88, 612 S.W.2d 110 (1981); Bradley v. Bureau of Alcohol, Tobacco & Firearms, 736 F.2d 1238 (8th Cir. 1984); Henderson v. State, 16 Ark. App. 225, 699 S.W.2d 419 (1985); Beasley v. State, 29 Ark. App. 104, 777 S.W.2d 865 (1989); Ussery v. State, 308 Ark. 67, 822 S.W.2d 848 (1992); State v. Mosley, 313 Ark. 616, 856 S.W.2d 623 (1993); Kanig v. State, 321 Ark. 515, 905 S.W.2d 847 (1995); Polk v. State, 329 Ark. 174, 947 S.W.2d 758 (1997); Travis v. State, 331 Ark. 7, 959 S.W.2d 32 (1998); Timmons v. State, 81 Ark. App. 219, 100 S.W.3d 52 (2003); Smith v. State, 85 Ark. App. 475, 157 S.W.3d 566 (2004); Butler v. State, 2011 Ark. App. 708 (2011); Mosley v. State, 2016 Ark. App. 353, 499 S.W.3d 226 (2016).

5-73-104. Criminal use of prohibited weapons.

  1. A person commits the offense of criminal use of prohibited weapons if, except as authorized by law, he or she knowingly uses, possesses, makes, repairs, sells, or otherwise deals in any:
    1. Bomb;
    2. Metal knuckles; or
    3. Other implement for the infliction of serious physical injury or death that serves no lawful purpose.
  2. This section does not apply if the person uses, possesses, makes, repairs, sells, or otherwise deals in an item described in this section that is in compliance with the National Firearms Act, 26 U.S.C. §§ 5801 — 5861, or other applicable federal law, as either existed on January 1, 2019.
  3. It is a defense to prosecution under this section that:
    1. The defendant was a law enforcement officer, prosecuting attorney, deputy prosecuting attorney, prison guard, or member of the United States Armed Forces acting in the course and scope of his or her duty at the time he or she used or possessed the prohibited weapon; or
    2. The defendant used, possessed, made, repaired, sold, or otherwise dealt in any article enumerated in subsection (a) of this section under circumstances negating any likelihood that the weapon could be used as a weapon.
    1. Criminal use of prohibited weapons is a Class B felony if the weapon is a bomb.
    2. Criminal use of prohibited weapons is a Class A misdemeanor if the offense is possession of metal knuckles.
    3. Otherwise, criminal use of prohibited weapons is a Class D felony.

History. Acts 1975, No. 280, § 3104; A.S.A. 1947, § 41-3104; Acts 1993, No. 1189, § 7; 2005, No. 1994, § 438; 2011, No. 161, § 1; 2013, No. 539, § 1; 2019, No. 495, § 1; 2019, No. 1051, § 1.

A.C.R.C. Notes. Acts 1993, No. 1189, § 1, provided:

“(a) The General Assembly of the State of Arkansas finds that the State of Arkansas is experiencing an increase in violent crime committed by school age juveniles and the growth of street gangs made up largely of school age juveniles. The General Assembly of the State of Arkansas further finds that the number of school related crimes is increasing.

“(b) It is the intent of the General Assembly of the State of Arkansas to insure the safest possible learning environment for our students, teachers and other school employees.”

Pursuant to § 1-2-207(b), this section is set out as amended by Acts 2019, No. 1051, § 1. Acts 2019, No. 495, § 1, amended this section to read as follows:

“(a) A person commits the offense of criminal use of prohibited weapons if, except as authorized by law, he or she knowingly uses, possesses, makes, repairs, sells, or otherwise deals in any:

“(1) Bomb;

“(2) Machine gun;

“(3) Sawed-off shotgun or rifle;

“(4) Metal knuckles; or

“(5) Other implement for the infliction of serious physical injury or death that serves no lawful purpose.

“(b) It is an exception to this section that the person uses, possesses, makes, repairs, sells, or otherwise deals in an item under this section that is in compliance with the National Firearms Act, 26 U.S.C. §§ 5801 — § 5861, or other applicable federal law, as they existed on January 1, 2019.

“(c) It is a defense to prosecution under this section that:

“(1) The defendant was a law enforcement officer, prosecuting attorney, deputy prosecuting attorney, prison guard, or member of the armed forces acting in the course and scope of his or her duty at the time he or she used or possessed the prohibited weapon; or

“(2) The defendant used, possessed, made, repaired, sold, or otherwise dealt in any article enumerated in subsection (a) of this section under circumstances negating any likelihood that the weapon could be used as a weapon.

“(d)(1) Criminal use of prohibited weapons is a Class B felony if the weapon is a bomb or machine gun.

“(2) Criminal use of prohibited weapons is a Class A misdemeanor if the offense is possession of metal knuckles.

“(3) Otherwise, criminal use of prohibited weapons is a Class D felony.”

Amendments. The 2005 amendment inserted “or she” in (a) and (b); deleted “which serves no common lawful purpose” following “injury or death” in (a); inserted “or her” and “or she” in (b); and substituted “as a weapon” for “unlawfully” in (b)(2).

The 2011 amendment inserted (c)(2) and redesignated former (c)(2) as (c)(3).

The 2013 amendment inserted “prosecuting attorney, deputy prosecuting attorney” in (b)(1).

The 2019 amendment by No. 495 inserted “knowingly” in the introductory language of (a); deleted former (a)(4) and redesignated former (a)(5) and (a)(6) as (a)(4) and (a)(5); added “that serves no lawful purpose” at the end of (a)(5); inserted (b); redesignated former (b) and (c) as (c) and (d); and deleted “or firearm specially made or specially adapted for silent discharge” from the end of (d)(1).

The 2019 amendment by No. 1051 inserted “knowingly” in the introductory language of (a); deleted former (a)(2) through (a)(4); redesignated former (a)(5) and (a)(6) as (a)(2) and (a)(3); added “that serves no lawful purpose” at the end of present (a)(3); inserted (b); redesignated former (b) and (c) as (c) and (d); substituted “United States Armed Forces” for “armed forces” in (c)(1); and deleted “machine gun, or firearm specially made or specially adapted for silent discharge” from the end of (d)(1).

Case Notes

Constitutionality.

This section is not unconstitutionally vague. Moore v. State, 304 Ark. 257, 801 S.W.2d 638 (1990); Bridges v. State, 327 Ark. 392, 938 S.W.2d 561 (1997).

Construction.

This section does not create a strict liability offense; under § 5-2-203(b), if a statute defining an offense does not prescribe a culpable mental state, culpability is nonetheless required and is established only if a person acts purposely, knowingly, or recklessly. Yocum v. State, 325 Ark. 180, 925 S.W.2d 385 (1996).

Defendant may be guilty of criminal use of a prohibited weapon under this section but innocent of possession of a defaced firearm under § 5-73-107. Bridges v. State, 327 Ark. 392, 938 S.W.2d 561 (1997).

District court misapplied the categorical approach to determining whether defendant's prior adjudication of juvenile delinquency involved a “violent felony” within the meaning of 18 U.S.C. § 924(e)(2)(B)(ii). Defendant was adjudicated a delinquent for violating this section, but it could not be determined from the record whether defendant violated this section by possessing a sawed-off rifle or some “other implement” such as a knife; while possession of a sawed-off rifle was a violent felony, it did not necessarily follow that possession of every weapon prohibited by this section would qualify. United States v. King, 598 F.3d 1043 (8th Cir. 2010).

Evidence.

Evidence held sufficient to support conviction. Shells v. State, 22 Ark. App. 62, 733 S.W.2d 743 (1987); Moore v. State, 304 Ark. 257, 801 S.W.2d 638 (1990).

Evidence held sufficient to support the conviction for criminal use of a prohibited weapon and aggravated assault. Robinson v. State, 49 Ark. App. 58, 896 S.W.2d 442 (1995).

In a case in which defendant was found guilty of possession of a firearm by certain persons and criminal use of prohibited weapons, the evidence before the trial court, though circumstantial, showed that defendant took a picture holding a gun on the same day that he attempted to retrieve an apparently temporarily discarded and illegally cutdown rifle. Accordingly, the appellate court found no error with the circuit court's finding that the State's circumstantial evidence proved its case nor did the appellate court find any error with the circuit court's finding that the circumstantial evidence was inconsistent with any other reasonable alternative. Caple v. State, 2019 Ark. App. 41, 569 S.W.3d 353 (2019).

Grenade.

Although the information described the device found in defendant's possession as a grenade, the prosecutor argued that the device was a bomb, and the witnesses identified the object variously as a bomb and a grenade, conviction for a violation of this section was upheld where the testimony also clearly established the object fell under the umbrella of “other implement” as that term is used in subsection (a) of this section. Yocum v. State, 325 Ark. 180, 925 S.W.2d 385 (1996).

Proof.

The “Use of Prohibited Weapons” section does not create a strict liability offense. It requires proof of a culpable mental state. State v. Setzer, 302 Ark. 593, 791 S.W.2d 365 (1990).

Sawed-off Shotgun.

A shotgun with a barrel shortened by cutting off a portion thereof constitutes a “sawed-off shotgun.” Moore v. State, 304 Ark. 257, 801 S.W.2d 638 (1990).

Possession of a sawed-off shotgun was similar, in kind as well as degree of risk posed, to the offenses listed in 18 U.S.C. § 924(e); thus, the district court did not err by finding that defendant's 1994 conviction for possession of a sawed-off shotgun was an Armed Career Criminal Act-qualifying felony. United States v. Vincent, 575 F.3d 820 (8th Cir. 2009), cert. denied, 560 U.S. 927, 130 S. Ct. 3320, 176 L. Ed. 2d 1225 (2010).

Cited: White v. State, 298 Ark. 163, 765 S.W.2d 949 (1989).

5-73-105. Legitimate manufacture, repair, and transportation of prohibited weapons.

Section 5-73-104 shall not be construed to prohibit the manufacture, repair, transportation, or sale of the weapons enumerated in § 5-73-104 to or for an authorized representative of:

  1. The armed forces; or
  2. Any law enforcement agency.

History. Acts 1975, No. 280, § 3105; A.S.A. 1947, § 41-3105.

5-73-106. Defacing a firearm.

  1. A person commits the offense of defacing a firearm if he or she knowingly removes, defaces, mars, covers, alters, or destroys the manufacturer's serial number or identification mark of a firearm.
  2. Defacing a firearm is a Class D felony.

History. Acts 1975, No. 280, § 3106; A.S.A. 1947, § 41-3106.

5-73-107. Possession of a defaced firearm.

  1. A person commits the offense of possession of a defaced firearm if he or she knowingly possesses a firearm with a manufacturer's serial number or other identification mark required by law that has been removed, defaced, marred, altered, or destroyed.
  2. It is a defense to a prosecution under this section that:
    1. The person reported the possession to the police or other governmental agency prior to arrest or the issuance of an arrest warrant or summons; or
    2. The firearm was manufactured prior to January 1, 1968.
    1. Possession of a defaced firearm is a Class D felony.
    2. However, possession of a defaced firearm is a Class A misdemeanor if the manufacturer's serial number or other identification mark required by law is merely covered or obstructed, but still retrievable.

History. Acts 1975, No. 280, § 3107; A.S.A. 1947, § 41-3107; Acts 1995, No. 1202, § 1; 2017, No. 73, § 1.

Amendments. The 2017 amendment redesignated part of former (b) as (b)(1); and added (b)(2).

Case Notes

Construction.

Defendant may be guilty of criminal use of a prohibited weapon under § 5-73-104 but innocent of possession of a defaced firearm under this section. Bridges v. State, 327 Ark. 392, 938 S.W.2d 561 (1997).

Evidence Sufficient.

Sufficient evidence supported defendant's conviction of felony, rather than misdemeanor, possession of a defaced firearm; it was irrelevant that there was another retrievable serial number on the gun because the outer serial number was defaced, it was not “merely covered or obstructed”, and furthermore, defendant admitted he possessed a firearm with a defaced outer serial number. Jimmerson v. State, 2019 Ark. App. 578, 590 S.W.3d 764 (2019).

Firearm Enhancement.

Firearm enhancement, pursuant to subsection (a) of § 16-90-120, of defendant's conviction under this section for possessing a defaced firearm was not an illegal sentence, even though the underlying conviction necessarily involved the possession of a firearm. Hinton v. State, 2015 Ark. 479, 477 S.W.3d 517 (2015).

5-73-108. Criminal acts involving explosives.

    1. A person commits the offense of criminal possession of explosive material or a destructive device if the person:
      1. Sells, possesses, manufactures, transfers, or transports explosive material or a destructive device; and
      2. Either:
        1. Has the purpose of using that explosive material or destructive device to commit an offense; or
        2. Knows or should know that another person intends to use that explosive material or destructive device to commit an offense.
    2. Criminal possession of explosive material or a destructive device is a Class B felony.
    1. A person commits the offense of criminal distribution of explosive material if he or she knowingly distributes explosive material to any individual who:
      1. Has pleaded guilty or nolo contendere to or been found guilty of a crime in state or federal court punishable by imprisonment for a term exceeding one (1) year;
      2. Is a fugitive from justice;
      3. Is an unlawful user of or addicted to any controlled substance;
      4. Has been adjudicated as having a mental disease or defect or has been committed to an institution or residential treatment facility because of a mental disease or defect;
      5. Is under twenty-one (21) years of age;
      6. Is an alien, other than an alien who is:
        1. Lawfully admitted for permanent residence as defined in 8 U.S.C. § 1101(a)(20), as it existed on January 1, 2009;
        2. In lawful nonimmigrant status, a refugee admitted under 8 U.S.C. § 1157, as it existed on January 1, 2009, or in asylum status under 8 U.S.C. § 1158, as it existed on January 1, 2009, and either:
          1. A foreign law enforcement officer of a friendly foreign government, as determined by the United States Secretary of State under 18 U.S.C. § 842, entering the United States on official law enforcement business, and the distribution of explosive material is in furtherance of this official law enforcement business; or
          2. A person having the power to direct or cause the direction of the management and policies of a corporation, partnership, or association licensed under 18 U.S.C. § 843, as it existed on January 1, 2009, and the distribution of explosive material is in furtherance of the person's power;
        3. A member of a North Atlantic Treaty Organization or other friendly foreign military force, as determined by the United States Attorney General in consultation with the United States Secretary of Defense under 18 U.S.C. § 842, who is present in the United States under military orders for training or other military purpose authorized by the United States, and the distribution of explosive material is in furtherance of the military orders for training or authorized military purpose; or
        4. Lawfully present in the United States in cooperation with the Director of the Central Intelligence Agency, and the distribution of explosive material is in furtherance of the cooperation;
      7. Has been dishonorably discharged from any branch of the United States Armed Forces; or
      8. Has renounced his or her United States citizenship.
    2. Criminal distribution of explosive material is a Class C felony.
    1. A person commits the offense of possession of stolen explosive material if he or she:
      1. Receives, possesses, transports, ships, conceals, stores, barters, sells, disposes of, or pledges or accepts as security for a loan any stolen explosive materials; and
      2. Knows or has reasonable cause to believe that the explosive material was stolen.
    2. Possession of stolen explosive material is a Class C felony.
    1. A person commits the offense of unlawful receipt or possession of an explosive material if the person receives or possesses explosive material and:
      1. Has pleaded guilty or nolo contendere to or has been found guilty in any state or federal court of a crime punishable by imprisonment for a term exceeding one (1) year;
      2. Is a fugitive from justice;
      3. Is an unlawful user of or addicted to any controlled substance;
      4. Has been adjudicated to have a mental disease or defect or has been committed to an institution or residential treatment facility because of a mental disease or defect;
      5. Is under twenty-one (21) years of age;
      6. Is an alien, other than an alien who is:
        1. Lawfully admitted for permanent residence as defined in 8 U.S.C. § 1101(a)(20), as it existed on January 1, 2009; or
        2. In lawful nonimmigrant status, a refugee admitted under 8 U.S.C. § 1157, as it existed on January 1, 2009, or in asylum status under 8 U.S.C. § 1158, as it existed on January 1, 2009, and either:
          1. A foreign law enforcement officer of a friendly foreign government, as determined by the United States Secretary of State under 18 U.S.C. § 842, entering the United States on official law enforcement business, and the receipt or possession of the explosive material is in furtherance of this official law enforcement business; or
          2. A person having the power to direct or cause the direction of the management and policies of a corporation, partnership, or association licensed under 18 U.S.C. § 843, as it existed on January 1, 2009, and the receipt or possession of the explosive material is in furtherance of the person's power;
        3. A member of a North Atlantic Treaty Organization or other friendly foreign military force, as determined by the United States Attorney General in consultation with the United States Secretary of Defense under 18 U.S.C. § 842, who is present in the United States under military orders for training or other military purpose authorized by the United States, and the receipt or possession of the explosive material is in furtherance of the military orders for training or authorized military purpose; or
        4. Lawfully present in the United States in cooperation with the Director of the Central Intelligence Agency, and the receipt or possession of the explosive material is in furtherance of the cooperation;
      7. Has been dishonorably discharged from any branch of the United States Armed Forces; or
      8. Has renounced his or her United States citizenship.
    2. Unlawful receipt or possession of explosive material is a Class C felony.
    3. It is a defense to prosecution under this subsection if at the time of the receiving or possessing the explosive material the person was acting within the scope of his or her employment with a business authorized to use explosive material.
  1. It is a Class A misdemeanor for any person to store any explosive material in a manner not in conformity with the Arkansas Fire Prevention Code.
  2. A person who commits theft of any explosive material with the purpose to cause harm to a person or property is guilty of a Class B felony.
  3. Any explosive material determined to be contraband is subject to seizure by a law enforcement officer and to being destroyed in conformity with the Arkansas Fire Prevention Code.
  4. As used in this section, “alien” means a person who is not a citizen or national of the United States.

History. Acts 1975, No. 280, § 3108; A.S.A. 1947, § 41-3108; Acts 2005, No. 1226, § 2; 2006 (1st Ex. Sess.), No. 14, § 1; 2009, No. 339, § 1; 2011, No. 1120, § 14.

Amendments. The 2005 amendment redesignated former (a), (a)(1), (a)(2) and (b) as present (a)(1), (a)(1)(A), (a)(1)(B) and (a)(2); rewrote present (a)(1); substituted “explosive material or destructive device” for “substance or device” in present (a)(1)(A) and (a)(1)(B); substituted “explosive material or a destructive device” for “explosives” in (a)(2); and added present (b)-(g).

The 2006 (1st Ex. Sess.) amendment deleted former (d) and redesignated the remaining subsections accordingly.

The 2009 amendment rewrote (b)(1); inserted (d) and redesignated the subsequent subsections accordingly; added (h); and made a minor stylistic change.

The 2011 amendment inserted “who is” in (h).

Cross References. Arson, § 5-38-301.

Duties of State Fire Marshal Enforcement Section, § 12-13-105.

RESEARCH REFERENCES

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2005 Arkansas General Assembly, Criminal Law, 28 U. Ark. Little Rock L. Rev. 335.

Case Notes

Conviction.

Conviction upheld. Mock v. State, 20 Ark. App. 117, 725 S.W.2d 1 (1987).

Evidence.

Evidence sufficient to support conviction. Moore v. State, 304 Ark. 257, 801 S.W.2d 638 (1990).

5-73-109. Furnishing a deadly weapon to a minor.

  1. A person commits the offense of furnishing a deadly weapon to a minor if he or she sells, barters, leases, gives, rents, or otherwise furnishes a firearm or other deadly weapon to a minor without the consent of a parent, guardian, or other person responsible for general supervision of the minor's welfare.
    1. Furnishing a deadly weapon to a minor is a Class A misdemeanor.
    2. However, furnishing a deadly weapon to a minor is a Class B felony if the deadly weapon is:
      1. A handgun;
      2. An explosive or incendiary device, as defined in § 5-71-301;
      3. Metal knuckles;
      4. A defaced firearm, as described in § 5-73-107; or
      5. Another implement for the infliction of serious physical injury or death that serves no lawful purpose.

History. Acts 1975, No. 280, § 3109; A.S.A., 1947, § 41-3109; Acts 1994 (2nd Ex. Sess.), No. 45, § 1; 2019, No. 495, § 2; 2019, No. 1051, § 2.

A.C.R.C. Notes. Pursuant to § 1-2-207(b), subsection (b) of this section is set out as amended by Acts 2019, No. 1051, § 2. Acts 2019, No. 495, § 2, amended subsection (b) of this section to read as follows:

“(b)(1) Furnishing a deadly weapon to a minor is a Class A misdemeanor.

“(2) However, furnishing a deadly weapon to a minor is a Class B felony if the deadly weapon is:

“(A) A handgun;

“(B) A sawed-off or short-barrelled shotgun, as defined in § 5-1-102;

“(C) A sawed-off or short-barrelled rifle, as defined in § 5-1-102;

“(D) A machine gun;

“(E) An explosive or incendiary device, as defined in § 5-71-301;

“(F) Metal knuckles;

“(G) A defaced firearm, as defined in § 5-73-107; or

“(H) Another implement for the infliction of serious physical injury or death that serves no lawful purpose.”

Amendments. The 2019 amendment by No. 495 deleted former (b)(2)(D) and redesignated the remaining subdivisions accordingly; and deleted “common” preceding “lawful” in (b)(2)(H).

The 2019 amendment by No. 1051 deleted former (b)(2)(B) through (b)(2)(E) and redesignated the remaining subdivisions accordingly; substituted “described” for “defined” in (b)(2)(D); and deleted “common” preceding “lawful” in (b)(2)(E).

Cross References. Contributing to delinquency of a minor, § 5-27-209.

Case Notes

Applicability.

This section applies to adults and minors; a minor is a “person” within the meaning of this section. Allstate Ins. Co. v. Burrough, 120 F.3d 834 (8th Cir. 1997).

Cited: Allstate Ins. Co. v. Burrough, 914 F. Supp. 308 (W.D. Ark. 1996).

5-73-110. Disarming minors and mentally defective or mentally irresponsible persons — Disposition of property seized.

  1. Subject to constitutional limitation, nothing in this section and §§ 5-73-101 — 5-73-109 shall be construed to prohibit a law enforcement officer from disarming, without arresting, a minor or person who reasonably appears to be mentally defective or otherwise mentally irresponsible when that person is in possession of a deadly weapon.
  2. Property seized under subsection (a) of this section shall be:
    1. Held for seventy-two (72) hours by the law enforcement agency employing the law enforcement officer who seized the property; and
    2. After the seventy-two-hour hold and upon request and presentation of valid proof of ownership, returned to the:
      1. Owner, if he or she is eighteen (18) years of age or older and may lawfully possess the property; or
      2. Parent or legal guardian of the owner, if the owner is a minor and the parent or legal guardian may lawfully possess the property.

History. Acts 1975, No. 280, § 3110; A.S.A. 1947, § 41-3110; Acts 2015, No. 688, § 1.

Amendments. The 2015 amendment rewrote (b).

5-73-111. Unlawful procurement of a firearm.

  1. As used in this section:
    1. “Ammunition” means any cartridge, shell, or projectile designed for use in a firearm;
    2. “False information” means information that portrays an unlawful transaction as lawful or a lawful transaction as unlawful;
    3. “Licensed dealer” means a person who is licensed under 18 U.S.C. § 923, as it existed on January 1, 2013, to engage in the business of dealing in firearms; and
    4. “Private seller” means a person other than a licensed dealer who sells or offers for sale a firearm or ammunition.
  2. A person commits the offense of unlawful procurement of a firearm or ammunition if he or she knowingly:
    1. Solicits, persuades, encourages, or entices a licensed dealer or private seller to transfer a firearm or ammunition under unlawful circumstances; or
    2. Provides false information to a licensed dealer or private seller with a purpose to deceive the licensed dealer or private seller concerning the lawfulness of a transfer of a firearm or ammunition.
  3. It is a defense to prosecution under this section if the person is:
    1. A law enforcement officer acting in his or her official capacity; or
    2. Acting at the direction of a law enforcement officer.
  4. Unlawful procurement of a firearm or ammunition is a Class D felony.

History. Acts 2013, No. 507, § 1.

5-73-112. Certification by a chief law enforcement officer regarding receipt or manufacture of a firearm.

  1. As used in this section:
    1. “Certification” means the participation and assent of the chief law enforcement officer or his or her designee necessary under federal law for the approval of an application to transfer or manufacture a firearm; and
    2. “Firearm” means the same as defined in § 5845(a) of the National Firearms Act, 26 U.S.C. § 5801 et seq. as it existed on January 1, 2015.
    1. When certification by the chief law enforcement officer of a jurisdiction is required by federal law or regulation for the transfer or manufacture of a firearm within fifteen (15) days of receipt of a request for certification, the chief law enforcement officer or his or her designee shall provide the certification if the applicant is not prohibited by law from receiving or manufacturing the firearm or is not the subject of a proceeding that could result in the applicant's being prohibited by law from receiving or manufacturing the firearm.
    2. If the applicant is prohibited by law from receiving or manufacturing the firearm or is the subject of a proceeding that could result in a prohibition against his or her receiving or manufacturing the firearm, the chief law enforcement officer or his or her designee shall provide written notification to the applicant that states the reasons for his or her findings and that the certification is denied.
    1. An applicant whose request for certification is denied may appeal the denial to the circuit court where the applicant resides.
    2. The circuit court shall review the denial de novo.
    3. If the circuit court finds that the applicant is not prohibited by law from receiving or manufacturing the firearm or is not the subject of a proceeding that could result in a prohibition against his or her receiving or manufacturing the firearm, the circuit court shall order the chief law enforcement officer to issue the certification to the applicant.
  2. Except as provided in subdivision (c)(3) of this section, the chief law enforcement officer of a jurisdiction and his or her employees who act in good faith are immune from civil liability arising from any act or omission in making a certification under this section.

History. Acts 2015, No. 720, § 1.

5-73-113 — 5-73-118. [Reserved.]

    1. No person in this state under eighteen (18) years of age shall possess a handgun.
      1. A violation of subdivision (a)(1) of this section is a Class A misdemeanor.
      2. A violation of subdivision (a)(1) of this section is a Class D felony if the person has previously:
        1. Been adjudicated delinquent for a violation of subdivision (a)(1) of this section;
        2. Been adjudicated delinquent for any offense that would be a felony if committed by an adult; or
        3. Pleaded guilty or nolo contendere to or been found guilty of a felony in circuit court while under eighteen (18) years of age.
    1. No person in this state shall possess a firearm:
      1. Upon the developed property of a public or private school, kindergarten through grade twelve (K-12);
      2. In or upon any school bus; or
      3. At a designated bus stop as identified on the route list published by a school district each year.
      1. A violation of subdivision (b)(1) of this section is a Class D felony.
      2. No sentence imposed for a violation of subdivision (b)(1) of this section shall be suspended or probated or treated as a first offense under § 16-93-301 et seq.
    1. Except as provided in § 5-73-322, a person in this state shall not possess a handgun upon the property of any private institution of higher education or a publicly supported institution of higher education in this state on or about his or her person, in a vehicle occupied by him or her, or otherwise readily available for use with a purpose to employ the handgun as a weapon against a person.
    2. A violation of subdivision (c)(1) of this section is a Class D felony.
  1. “Handgun” means a firearm capable of firing rimfire ammunition or centerfire ammunition and designed or constructed to be fired with one (1) hand.
  2. It is permissible to carry a handgun under this section if at the time of the act of possessing a handgun or firearm:
    1. The person is in his or her own dwelling or place of business or on property in which he or she has a possessory or proprietary interest, except upon the property of a public or private institution of higher learning;
    2. The person is a law enforcement officer, correctional officer, or member of the armed forces acting in the course and scope of his or her official duties;
    3. The person is assisting a law enforcement officer, correctional officer, or member of the armed forces acting in the course and scope of his or her official duties pursuant to the direction or request of the law enforcement officer, correctional officer, or member of the armed forces;
    4. The person is a registered commissioned security guard acting in the course and scope of his or her duties;
    5. The person is hunting game with a handgun or firearm that may be hunted with a handgun or firearm under the rules and regulations of the Arkansas State Game and Fish Commission or is en route to or from a hunting area for the purpose of hunting game with a handgun or firearm;
      1. The person is a certified law enforcement officer, either on-duty or off-duty.
      2. If the person is an off-duty law enforcement officer, he or she may be required by a public school or publicly supported institution of higher education to be in physical possession of a valid identification identifying the person as a law enforcement officer;
    6. The person is on a journey beyond the county in which the person lives, unless the person is eighteen (18) years of age or less;
    7. The person is participating in a certified hunting safety course sponsored by the commission or a firearm safety course recognized and approved by the commission or by a state or national nonprofit organization qualified and experienced in firearm safety;
    8. The person is participating in a school-approved educational course or sporting activity involving the use of firearms;
    9. The person is a minor engaged in lawful marksmanship competition or practice or other lawful recreational shooting under the supervision of his or her parent, legal guardian, or other person twenty-one (21) years of age or older standing in loco parentis or is traveling to or from a lawful marksmanship competition or practice or other lawful recreational shooting with an unloaded handgun or firearm accompanied by his or her parent, legal guardian, or other person twenty-one (21) years of age or older standing in loco parentis;
    10. The person has a license to carry a concealed handgun under § 5-73-301 et seq. and is carrying a concealed handgun on the developed property of:
      1. A kindergarten through grade twelve (K-12) private school operated by a church or other place of worship that:
        1. Is located on the developed property of the kindergarten through grade twelve (K-12) private school;
        2. Allows the person to carry a concealed handgun into the church or other place of worship under § 5-73-306; and
        3. Allows the person to possess a concealed handgun on the developed property of the kindergarten through grade twelve (K-12) private school; or
      2. A kindergarten through grade twelve (K-12) private school or a prekindergarten private school that through its governing board or director has set forth the rules and circumstances under which the licensee may carry a concealed handgun into a building or event of the kindergarten through grade twelve (K-12) private school or the prekindergarten private school; or
      1. The person has a license to carry a concealed handgun under § 5-73-301 et seq. and is carrying a concealed handgun in his or her motor vehicle or has left the concealed handgun in his or her locked and unattended motor vehicle in a publicly owned and maintained parking lot.
        1. As used in this subdivision (e)(12), “parking lot” means a designated area or structure or part of a structure intended for the parking of motor vehicles or a designated drop-off zone for children at a school.
        2. “Parking lot” does not include a parking lot owned, maintained, or otherwise controlled by the Division of Correction or Division of Community Correction.

History. Acts 1989, No. 649, §§ 1-4; 1993, No. 1166, § 1; 1993, No. 1189, § 4; 1994 (2nd Ex. Sess.), No. 57, § 1; 1994 (2nd Ex. Sess.), No. 58, § 1; 1999, No. 1282, § 1; 2001, No. 592, § 1; 2005, No. 1994, § 476; 2013, No. 226, § 1; 2013, No. 746, § 1; 2013, No. 1390, § 1; 2015, No. 933, § 1; 2015, No. 1078, § 1; 2019, No. 472, § 1; 2019, No. 910, § 679.

A.C.R.C. Notes. Acts 1993, No. 1189, § 1, provided:

“(a) The General Assembly of the State of Arkansas finds that the State of Arkansas is experiencing an increase in violent crime committed by school age juveniles and the growth of street gangs made up largely of school age juveniles. The General Assembly of the State of Arkansas further finds that the number of school related crimes is increasing.

“(b) It is the intent of the General Assembly of the State of Arkansas to insure the safest possible learning environment for our students, teachers and other school employees.”

Acts 2019, No. 472, § 6, provided:

“Policy required.

“(a) A state institution shall develop a policy consistent with this act concerning the lawful open or concealed carry of a handgun by an off-duty law enforcement officer at a state institution affected by this act.

“(b) The promulgation of a policy under this section is exempt from the Arkansas Administrative Procedure Act, § 25-15-201 et seq”.

Amendments. The 2001 amendment substituted “the commission” for “the Arkansas State Game and Fish Commission” in present (e)(8); and inserted “or other person twenty-one (21) years of age or older standing in loco parentis” in present (e)(10).

The 2005 amendment deleted “or” at the end of present (a)(2)(B)(i), (b)(1)(A), and (e)(2) through (e)(8); inserted “except upon the property of a public or private institution of higher learning” in present (e)(1) and made a related change; and substituted “correctional officer” for “prison guard” in present (e)(2) and twice in present (e)(3).

The 2013 amendment by No. 226 added “Except as provided in § 5-73-322” at the beginning of (c)(1).

The 2013 amendment by No. 746 substituted “It is permissible to carry a handgun under this section if” for “It is a defense to prosecution under this section that” in the introductory language of (e); substituted “registered commissioned security guard” for “licensed security guard” in (e)(4); inserted “beyond the county in which the person lives” in (e)(7); and substituted “a lawful marksmanship competition or practice or other lawful recreational shooting” for “this activity” in (e)(10).

The 2013 amendment by No. 1390 added (e)(11).

The 2015 amendment by No. 933, in (e)(11), added designation (A) and redesignated (e)(11)(A)-(C) as (e)(11)(A)(i)-(iii); and added (e)(11)(B).

The 2015 amendment by No. 1078 added (e)(12).

The 2019 amendment by No. 472 redesignated (e)(6) as (e)(6)(A); added “either on-duty or off-duty” in (e)(6)(A); and added (e)(6)(B).

The 2019 amendment by No. 910 substituted “Division of Correction” for “Department of Correction” and “Division of Community Correction” for “Department of Community Correction” in (e)(12)(B)(ii).

Research References

Ark. L. Rev.

John Thomas Shepherd, Comment: Who Is the Arkansas Traveler?: Analyzing Arkansas's “Journey” Exception to the Offense of Carrying a Weapon, 66 Ark. L. Rev. 463 (2013).

Thomas Christoph Keller, Comment: ABC's and AR-15's: Arming Arkansas's Teachers, 67 Ark. L. Rev. 687 (2014).

U. Ark. Little Rock L.J.

Survey, Criminal Law, 12 U. Ark. Little Rock L.J. 617.

Case Notes

Purpose.

The intent behind this section is to insure safety at our public schools. S.T. v. State, 318 Ark. 499, 885 S.W.2d 885 (1994); Cole v. State, 323 Ark. 136, 913 S.W.2d 779 (1996).

Defenses.

In enacting present subdivision (e)(1), the General Assembly availed the affirmative defense, possessory interest in dwellings, to all persons, including juveniles, who violated this section. Lucas v. State, 319 Ark. 752, 894 S.W.2d 891 (1995).

Evidence.

Evidence failed to link defendant to constructive possession of handgun. Knight v. State, 51 Ark. App. 60, 908 S.W.2d 664 (1995).

Handgun.

The definition of handgun in present subsection (d) of this section uses the phrase “capable of firing rimfire ammunition or centerfire ammunition” in its first clause, but does not read, “capable of firing at time of possession,” nor does it merely read “capable of firing” without reference to certain ammunition; the fact that a weapon is inoperable does not prevent it from being a “handgun” as defined by this section. S.T. v. State, 318 Ark. 499, 885 S.W.2d 885 (1994).

The General Assembly used the phrase “capable of firing” and “designed or constructed to be fired” synonymously and interchangeably; thus, if the firearm was designed to fire that particular ammunition, it would qualify as a handgun. S.T. v. State, 318 Ark. 499, 885 S.W.2d 885 (1994).

Jurisdiction.

Construction of minor in possession of a handgun in violation of present subdivision (a)(1) of this section in tandem with the grant of jurisdiction to juvenile court in § 9-27-306(a)(1) and the definition of “delinquent juvenile” in § 9-27-303 provides the juvenile court with jurisdiction of the handgun charge. Jones v. State, 319 Ark. 762, 894 S.W.2d 591 (1995).

The juvenile court had jurisdiction of delinquency adjudication because it was grounded on possession of a handgun by a person under age 18 years; the intent of the General Assembly was to include violations of this section as delinquent acts, and the omission of the language “or who has violated § 5-73-119” in the definition of “delinquent juvenile” in § 9-27-303, which was enacted in 1989, was a drafting error which was corrected by 1994 legislation. Rosario v. State, 319 Ark. 764, 894 S.W.2d 888 (1995).

5-73-120. Carrying a weapon.

  1. A person commits the offense of carrying a weapon if he or she possesses a handgun, knife, or club on or about his or her person, in a vehicle occupied by him or her, or otherwise readily available for use with a purpose to attempt to unlawfully employ the handgun, knife, or club as a weapon against a person.
  2. As used in this section:
    1. “Club” means any instrument that is specially designed, made, or adapted for the purpose of inflicting serious physical injury or death by striking, including a blackjack, billie, and sap;
    2. “Handgun” means any firearm with a barrel length of less than twelve inches (12") that is designed, made, or adapted to be fired with one (1) hand;
    3. “Journey” means travel beyond the county in which a person lives; and
    4. “Knife” means any bladed hand instrument three inches (3") or longer that is capable of inflicting serious physical injury or death by cutting or stabbing, including a dirk, a sword or spear in a cane, a razor, an ice pick, a throwing star, a switchblade, and a butterfly knife.
  3. It is permissible to carry a weapon under this section if at the time of the act of carrying the weapon:
    1. The person is in his or her own dwelling or place of business or on property in which he or she has a possessory or proprietary interest;
    2. The person is a law enforcement officer, correctional officer, or member of the armed forces acting in the course and scope of his or her official duties;
    3. The person is assisting a law enforcement officer, correctional officer, or member of the armed forces acting in the course and scope of his or her official duties pursuant to the direction or request of the law enforcement officer, correctional officer, or member of the armed forces;
    4. The person is carrying a weapon when upon a journey, unless the journey is through a commercial airport when presenting at the security checkpoint in the airport or is in the person's checked baggage and is not a lawfully declared weapon;
    5. The person is a registered commissioned security guard acting in the course and scope of his or her duties;
    6. The person is hunting game with a handgun that may be hunted with a handgun under rules and regulations of the Arkansas State Game and Fish Commission or is en route to or from a hunting area for the purpose of hunting game with a handgun;
      1. The person is a certified law enforcement officer, either on-duty or off-duty.
      2. If the person is an off-duty law enforcement officer, he or she may be required by a public school or publicly supported institution of higher education to be in physical possession of a valid identification identifying the person as a law enforcement officer;
    7. The person is in possession of a concealed handgun and has a valid license to carry a concealed handgun under § 5-73-301 et seq., or recognized under § 5-73-321 and is not in a prohibited place as defined by § 5-73-306;
    8. The person is a prosecuting attorney or deputy prosecuting attorney carrying a firearm under § 16-21-147; or
    9. The person is in possession of a handgun and is a retired law enforcement officer with a valid concealed carry authorization issued under federal or state law.
  4. Carrying a weapon is a Class A misdemeanor.

History. Acts 1975, No. 696, § 1; 1981, No. 813, § 1; A.S.A. 1947, § 41-3151; Acts 1987, No. 266, § 1; 1987, No. 556, § 1; 1987, No. 734, § 1; 1995, No. 832, § 1; 2003, No. 1267, § 2; 2005, No. 1994, § 293; 2013; No. 539, § 2; 2013, No. 746, § 2; 2015, No. 1155, § 14; 2019, No. 472, § 2.

A.C.R.C. Notes. Acts 2019, No. 472, § 6, provided:

“Policy required.

“(a) A state institution shall develop a policy consistent with this act concerning the lawful open or concealed carry of a handgun by an off-duty law enforcement officer at a state institution affected by this act.

“(b) The promulgation of a policy under this section is exempt from the Arkansas Administrative Procedure Act, § 25-15-201 et seq”.

Publisher's Notes. Acts 1995, No. 832, became law without the Governor's signature.

Amendments. The 2003 amendment added “unless the journey … lawfully declared weapon” to the end of (c)(4).

The 2005 amendment, in (a), inserted “or her” twice and “or she”; and substituted “correctional officer” for “prison guard” in (c)(2) and twice in (c)(3).

The 2013 amendment by No. 539 added (c)(9).

The 2013 amendment by No. 746 substituted “to attempt to unlawfully employ” for “to employ” in (a); inserted (b)(3); redesignated former (b)(3)(A) and (3)(B) as (b)(4) and inserted “three inches (3") or longer”; substituted “It is permissible to carry a handgun under this section if” for “It is a defense to a prosecution under this section that” in the introductory language of (c); substituted “registered commissioned security guard” for “licensed security guard” in (c)(5); rewrote (c)(8); added (c)(9) (now (c)(10)); and substituted “Carrying a weapon is a Class A misdemeanor” for “(1) Any person who carries a weapon into an establishment that sells alcoholic beverages is guilty of a misdemeanor and subject to a fine of not more than two thousand five hundred dollars ($2,500) or imprisonment for not more than one (1) year, or both. (2) Otherwise, carrying a weapon is a Class A misdemeanor.” in (d).

The 2015 amendment, in the introductory language of (c), substituted “weapon” for “handgun” and substituted “the weapon” for “a weapon”.

The 2019 amendment redesignated (c)(7) as (c)(7)(A); added “either on-duty or off-duty” in (c)(7)(A); and added (c)(7)(B).

Research References

ALR.

Validity of airport security measures. 125 A.L.R.5th 281.

Validity, Construction, and Application of State Laws Allowing or Proscribing Openly Carrying Firearms, 25 A.L.R.7th Art. 5 (2018).

Ark. L. Notes.

Laurent Sacharoff & Jacob Worlow, Open Carry in Arkansas – An Ambiguous Statute, 2014 Ark. L. Notes 1548.

Ark. L. Rev.

Act 696: Robbing the Hunter, or Hunting the Robber? 29 Ark. L. Rev. 570.

John Thomas Shepherd, Comment: Who Is the Arkansas Traveler?: Analyzing Arkansas's “Journey” Exception to the Offense of Carrying a Weapon, 66 Ark. L. Rev. 463 (2013).

J.H. Berry, Arkansas Open Carry: Understanding Law Enforcement’s Legal Capability Under a Difficult Statute, 70 Ark. L. Rev. 139 (2017).

Case Notes

Constitutionality.

The state may, as a matter of its police power, place appropriate restriction on one's right to bear arms. Jones v. State, 314 Ark. 383, 862 S.W.2d 273 (1993), cert. denied, 512 U.S. 1237, 114 S. Ct. 2743, 129 L. Ed. 2d 863 (1994).

The simultaneous possession statute, § 5-74-106, does not unconstitutionally overlap or conflict with this section. Johnson v. State, 333 Ark. 673, 972 S.W.2d 935 (1998).

Construction.

The primary differences between this section and § 5-73-121 (now repealed) are (1) § 5-73-121 (now repealed) contains no specific element of purpose to use the knife as a weapon against another person; (2) § 5-73-121 (now repealed) carries a three-month maximum term in jail as compared to one year for violation of this section; and (3) § 5-73-121 (now repealed) includes a presumption of guilt if the knife's blade is three-and-one-half inches in length. Garcia v. State, 333 Ark. 26, 969 S.W.2d 591 (1998) (decision under prior law).

Purpose.

Former section prohibiting the wearing or carrying of certain weapons was intended to prevent the carrying of a pistol with a view of being armed and ready for offense or defense in case of conflict with a person or wantonly going armed. Allison v. State, 161 Ark. 304, 256 S.W. 42 (1923) (decision under prior law).

Assisting Law Enforcement Officers, Etc.

For cases discussing the use of armed services weapons, see McDonald v. State, 83 Ark. 26, 102 S.W. 703 (1907); Blacknall v. State, 90 Ark. 570, 119 S.W. 1119 (1909); Henderson v. State, 91 Ark. 224, 120 S.W. 966 (1909) (preceding decisions under prior law).

Evidence that the defendant was deputized by the town marshal to assist in preventing an expected disturbance which did not occur did not bring his act of carrying a pistol within the exception, as the marshal was not engaged in guarding prisoners. Allison v. State, 161 Ark. 304, 256 S.W. 42 (1923) (decision under prior law).

Evidence and Proof.

It was not necessary to prove that the pistol was loaded. State v. Wardlaw, 43 Ark. 73 (1884) (decision under prior law).

Evidence held sufficient to support conviction. Clark v. State, 253 Ark. 454, 486 S.W.2d 677 (1972) (decision under prior law).

Where defendant possessed a knife bearing a double-edged, nearly five-inch blade which was concealed under his shirt and in the small part of his back, the knife was described as a gang-type weapon, and defendant offered no explanation for having the knife concealed on his person, evidence of violation of this section held sufficient. Nesdahl v. State, 319 Ark. 277, 890 S.W.2d 596 (1995).

Arrest of driver for violation of this section, after being stopped and searched because the car had no license plates, upheld. United States v. Peyton, 108 F.3d 876 (8th Cir. 1997).

Evidence was sufficient to support a conviction for carrying a weapon where the defendant, without a permit, had in her vehicle and in her possession a handgun, and she pointed the gun at another person, which was evidence that the purpose of the handgun was for use against a person. Dillehay v. State, 74 Ark. App. 100, 46 S.W.3d 545 (2001).

In a case in which a youth was adjudicated a juvenile delinquent upon a finding that he had committed the criminal offense of carrying a weapon, in violation of this section, he unsuccessfully argued that the state did not prove that he knew the knife was there because he was driving a borrowed car, his sending the officer to retrieve his cell phone was inconsistent with such knowledge, and merely being in the car with the knife—what he referred to as joint occupancy—was insufficient evidence to sustain his adjudication. The issue on appeal was not one of joint occupancy since the youth was alone in the vehicle; therefore, the question was whether there was sufficient evidence to find that he constructively possessed the knife, and, while trial counsel seemed to have made some argument with regard to the purpose element, such argument was conspicuously absent on appeal. M.S. v. State, 2010 Ark. App. 254 (2010).

In a case in which a youth was adjudicated a juvenile delinquent upon a finding that he had committed the criminal offense of carrying a weapon, in violation of this section, he unsuccessfully argued that the search of the car that yielded the weapon should have been suppressed. The intrusion into the vehicle was not a search, but an errand undertaken at the youth's request to retrieve his cell phone, and the knife, or at least the handle, was found in plain sight by a police officer. M.S. v. State, 2010 Ark. App. 254 (2010).

Stipulated facts were insufficient to prove that defendant unlawfully carried a weapon because the State failed to present substantial evidence that defendant possessed the gun with the purpose to unlawfully employ it against a person, as it showed that he appeared intoxicated and unsteady and he told the officers he had a pistol, which was removed from his pocket without incident. Defendant had not brandished his gun at anyone, he did not announce to anyone that he possessed a gun, and he never threatened anyone. Pettry v. State, 2020 Ark. App. 162, 595 S.W.3d 442 (2020).

Indictment.

Indictment held sufficient. State v. Masner, 150 Ark. 469, 234 S.W. 474 (1921) (decision under prior law).

Lawful Use.

Carrying a pistol to kill hogs was not a violation of former section prohibiting the wearing or carrying of certain weapons. Cornwell v. State, 68 Ark. 447, 60 S.W. 28 (1900) (decision under prior law).

Length of Time Carried.

The weapon need not have been carried for any particular length of time. Henderson v. State, 91 Ark. 224, 120 S.W. 966 (1909); Thompson v. City of Little Rock, 194 Ark. 78, 105 S.W.2d 537 (1937) (preceding decisions under prior law).

Mail Carriers.

A mail carrier was not by reason of his occupation exempted from former section prohibiting the wearing or carrying of certain weapons. Hathcote v. State, 55 Ark. 181, 17 S.W. 721 (1891) (decision under prior law).

Occupied Vehicle.

Having a pistol in a glove compartment of an automobile was carrying a pistol. Stephens v. City of Ft. Smith, 227 Ark. 609, 300 S.W.2d 14 (1957) (decision under prior law).

There was probable cause to search a car's dashboard compartment where the ammunition in the car, the currency in the vents, and the configuration of the dashboard indicated a fair probability that guns, or other contraband or evidence of a crime, would be found in the dashboard compartment; defendant was held to possess the weapon found in the dashboard compartment. United States v. Sample, 136 F.3d 562 (8th Cir. 1998).

Own Dwelling, Property, Etc.

The exception in regard to carrying weapons upon one's own premises only protected such as have an estate or interest in the premises. Kinkead v. State, 45 Ark. 536 (1885) (decision under prior law).

A tenant in possession of leased premises had such an interest that would have included him in the exception; however, a lodger or renter who used premises in common with others did not have such an interest that would bring him within the exception. Clark v. State, 49 Ark. 174, 4 S.W. 658 (1887) (decision under prior law).

A landlord had no right to carry weapons upon premises in possession of a tenant, although the tenant was wrongfully detaining the same after the termination of his lease. Jones v. State, 55 Ark. 186, 17 S.W. 719 (1891) (decision under prior law).

A mere license to enter certain premises gave no right to carry weapons there. Lemmons v. State, 56 Ark. 559, 20 S.W. 404 (1892) (decision under prior law).

Owner of fee in a highway was not entitled to carry weapons thereon. Moss v. State, 65 Ark. 368, 45 S.W. 987 (1898) (decision under prior law).

The word “business” in subsection (c)(1) does not include vehicular businesses, such as a taxi cab or other motor vehicles used for commercial purposes. Boston v. State, 330 Ark. 99, 952 S.W.2d 671 (1997).

Persons Upon a Journey.

One who was going from home to a definite point distant enough to convey him beyond the circle of his neighbors, and to detain him throughout the day, and not within the routine of his daily business, was upon a journey within the meaning of the former exception. Davis v. State, 45 Ark. 359 (1885) (decision under prior law).

The exception to former statute prohibiting the wearing or carrying of certain weapons was designed as a protection against the perils of the highway to which strangers were exposed, and which were not supposed to exist among one's neighbors. Hathcote v. State, 55 Ark. 181, 17 S.W. 721 (1891) (decision under prior law).

Whether a mail carrier on his daily trip was making a journey within the meaning of the law was a question of fact for a jury. Hathcote v. State, 55 Ark. 181, 17 S.W. 721 (1891) (decision under prior law).

One who has been on a journey could not, after his return to his accustomed haunts, continue to carry his pistol. Holland v. State, 73 Ark. 425, 84 S.W. 468 (1904) (decision under prior law).

A person, upon completing a journey, could not continue to carry a pistol upon stopping an hour or so at the home of his relative. Ackerson v. State, 76 Ark. 301, 89 S.W. 550 (1905) (decision under prior law).

One returning home from a town some miles distant where he knew only one person was upon a journey. Ellington v. Town of Denning, 99 Ark. 236, 138 S.W. 453 (1911) (decision under prior law).

Whether or not the accused was on a journey was a question for the jury. Collins v. State, 183 Ark. 425, 36 S.W.2d 75 (1931) (decision under prior law).

Where defendant was merely going from North Little Rock to Little Rock, the defendant, who was charged with carrying a gun illegally, was not entitled to the defense of carrying a weapon when upon a journey. Woodall v. State, 260 Ark. 786, 543 S.W.2d 957 (1976) (decision under prior law).

Where there was no evidence in the record which indicated that by driving to a certain city and back, defendant had traveled beyond the circle of his neighbors and general acquaintances, making it necessary to defend against the perils of the highway, the court's failure to give an instruction that being on a “journey” was a defense to the charge of carrying a prohibited weapon did not constitute reversible error. Riggins v. State, 17 Ark. App. 68, 703 S.W.2d 463 (1986).

Possession.

Police officers did not have a reasonable suspicion to stop and search defendant where no crime was being investigated at the time the blue lights were engaged, nothing indicated that defendant had an unlawful intent in possessing the weapon while at a store, and defendant had walked two miles away from the store at the time of the encounter. Merely possessing a weapon is not a crime in Arkansas; under the clear language of this section, the possessor of a handgun must have an unlawful intent to employ it as a weapon against a person in order to make that possession a criminal act. Taff v. State, 2018 Ark. App. 488, 562 S.W.3d 877 (2018).

Use as a Weapon.

To sustain a conviction it was essential to show that the pistol was carried as a weapon and whether it was so carried was a question for the jury. Wylie v. State, 131 Ark. 572, 199 S.W. 905 (1917) (decision under prior law).

Where pistol was loaded it could be presumed that it was placed in the glove compartment of automobile as a weapon. Stephens v. City of Ft. Smith, 227 Ark. 609, 300 S.W.2d 14 (1957) (decision under prior law).

There was a presumption of fact that the loaded pistol found by sheriff's officers under the front seat of the car driven by appellant was placed there as a weapon, and while that presumption may have been removed by proof offered by appellant, it was a question of fact for the jury to resolve the truth and determine whether the pistol was carried as a weapon. Clark v. State, 253 Ark. 454, 486 S.W.2d 677 (1972) (decision under prior law).

There is a presumption that a loaded pistol is placed in a car as a weapon. McGuire v. State, 265 Ark. 621, 580 S.W.2d 198 (1979).

Cited: Duckins v. State, 271 Ark. 658, 609 S.W.2d 674 (Ct. App. 1980); Hutcherson v. State, 34 Ark. App. 113, 806 S.W.2d 29 (1991); Ark. Game & Fish Comm'n v. Murders, 327 Ark. 426, 327 Ark. 426, 938 S.W.2d 854 (1997).

5-73-121. [Repealed.]

Publisher's Notes. This section, concerning carrying a knife as a weapon, was repealed by Acts 2007, No. 83, § 1. The section was derived from Acts 1961, No. 457, §§ 1-3; A.S.A. 1947, §§ 41-3171 — 41-3173.

5-73-122. Carrying a firearm in publicly owned buildings or facilities.

    1. Except as provided in § 5-73-322, § 5-73-306(5), § 16-21-147, and this section, it is unlawful for a person other than a law enforcement officer, either on-duty or off-duty, a security guard in the employ of the state or an agency of the state or any city or county, or any state or federal military personnel, to knowingly carry or possess a loaded firearm or other deadly weapon in any publicly owned building or facility or on the State Capitol grounds.
    2. It is unlawful for any person other than a law enforcement officer, either on-duty or off-duty, a security guard in the employ of the state or an agency of the state or any city or county, or any state or federal military personnel, to knowingly carry or possess a firearm, whether loaded or unloaded, in the State Capitol Building or the Arkansas Justice Building in Little Rock.
    3. However, this subsection does not apply to a person carrying or possessing a firearm or other deadly weapon in a publicly owned building or facility or on the State Capitol grounds:
      1. For the purpose of participating in a shooting match or target practice under the auspices of the agency responsible for the publicly owned building or facility or State Capitol grounds;
      2. If necessary to participate in a trade show, exhibit, or educational course conducted in the publicly owned building or facility or on the State Capitol grounds;
        1. If the person has a license to carry a concealed handgun under § 5-73-301 et seq. and is carrying a concealed handgun in his or her motor vehicle or has left the concealed handgun in his or her locked and unattended motor vehicle in a publicly owned and maintained parking lot.
          1. As used in this subdivision (a)(3)(C), “parking lot” means a designated area or structure or part of a structure intended for the parking of motor vehicles or a designated drop-off zone for children at school.
          2. “Parking lot” does not include a parking lot owned, maintained, or otherwise controlled by:
            1. The Division of Correction;
            2. The Division of Community Correction; or
            3. A residential treatment facility owned or operated by the Division of Youth Services;
      3. If the person has completed the required training and received a concealed carry endorsement under § 5-73-322(g) and the place is not:
        1. A courtroom or the location of an administrative hearing conducted by a state agency, except as permitted by § 5-73-306(5) or § 5-73-306(6);
        2. A public school kindergarten through grade twelve (K-12), a public prekindergarten, or a public daycare facility, except as permitted under subdivision (a)(3)(C) of this section;
        3. A facility operated by the Division of Correction or the Division of Community Correction; or
        4. A posted firearm-sensitive area, as approved by the Division of Arkansas State Police under § 5-73-325, located at:
          1. The Arkansas State Hospital;
          2. The University of Arkansas for Medical Sciences; or
          3. A collegiate athletic event; or
      4. If the person has a license to carry a concealed handgun under § 5-73-301 et seq., is a justice of the Supreme Court or a judge on the Court of Appeals, and is carrying a concealed handgun in the Arkansas Justice Building.
    4. As used in this section, “facility” means a municipally owned or maintained park, football field, baseball field, soccer field, or another similar municipally owned or maintained recreational structure or property.
  1. However, a law enforcement officer, either on-duty or off-duty, officer of the court, bailiff, or other person authorized by the court is permitted to possess a handgun in the courtroom of any court or a courthouse of this state.
  2. A person violating this section upon conviction is guilty of a Class C misdemeanor.
  3. An off-duty law enforcement officer carrying a firearm in a publicly owned building or facility may be required to be in physical possession of a valid identification identifying the person as a law enforcement officer.
  4. An off-duty law enforcement officer may not carry a firearm into a courtroom if the off-duty law enforcement officer is a party to or a witness in a civil or criminal matter unless the law provides otherwise.

History. Acts 1977, No. 549, §§ 1, 2; A.S.A. 1947, §§ 41-3113, 41-3114; Acts 1991, No. 1044, § 1; 1995, No. 1223, § 1; 1997, No. 910, § 1; 2013, No. 226, § 2; 2015, No. 1078, § 2; 2015, No. 1259, § 1; 2017, No. 562, § 1; 2017, No. 859, § 2; 2017, No. 1087, § 1; 2019, No. 431, § 1; 2019, No. 472, §§ 3-5; 2019, No. 910, §§ 680, 681.

A.C.R.C. Notes. Acts 2017, No. 562, § 7, provided: “Training program. The Department of Arkansas State Police shall promulgate rules to design a training program described under Section 1 of this act within one hundred twenty (120) days of the effective date of this act [Sept. 1, 2017].”

Acts 2019, No. 472, § 6, provided:

“Policy required.

“(a) A state institution shall develop a policy consistent with this act concerning the lawful open or concealed carry of a handgun by an off-duty law enforcement officer at a state institution affected by this act.

“(b) The promulgation of a policy under this section is exempt from the Arkansas Administrative Procedure Act, § 25-15-201 et seq”.

Publisher's Notes. Acts 2017, No. 859, § 2 specifically amended this section as amended by Acts 2017, No. 562.

Amendments. The 2013 amendment added “Except as provided in § 5-73-322,” in (a)(1).

The 2015 amendment by No. 1078 substituted “this subsection does not” for “the provisions of this subsection do not” in the introductory language of (a)(3); inserted designations (a)(3)(A) and (a)(3)(B); inserted “publicly owned” and “State Capitol” in (a)(3)(A) and (a)(3)(B); and added (a)(3)(C).

The 2015 amendment by No. 1259 inserted “and § 5-73-306(5)” in (a)(1).

The 2017 amendment by No. 562 substituted “5-73-306” for “5-73-306(5)” in (a)(1); added (a)(3)(D) and (a)(3)(E); and added “except as permitted under § 5-73-306(5), § 5-73-306(6), or this section” at the end of (b)(1).

The 2017 amendment by No. 859 included the amendments by No. 562; inserted “Arkansas” in (a)(2); inserted “or a public daycare facility” in (a)(3)(D)(ii); added (a)(3)(D)(iv); inserted “Arkansas” in (a)(3)(E); and made stylistic changes.

The 2017 amendment by No. 1087 substituted “§ 5-73-322, § 5-73-306(5), § 16-21-147, and this section” for “§ 5-73-322 and § 5-73-306(5)” in (a)(1); rewrote (b); and added (c).

The 2019 amendment by No. 431 added the (a)(3)(C)(ii) (b)(1) and (a)(3)(C)(ii) (b)(2) designations and added (a)(3)(C)(ii) (b)(3)

The 2019 amendment by No. 472 substituted “either on-duty or off-duty a security guard” for “or a security guard” in (a)(1) and (a)(2); in (b), inserted “either on-duty or off-duty” and deleted “any” preceding “other person”; and added (d) and (e).

The 2019 amendment by No. 910 substituted “Division of Correction” for “Department of Correction” and “Division of Community Correction” for “Department of Community Correction” in (a)(3)(C)(ii) (b) and (a)(3)(D)(iii).

Effective Dates. Acts 2017, No. 562, § 8: Sept. 1, 2017.

Acts 2017, No. 859, § 10: Sept. 1, 2017.

Research References

ALR.

Validity, Construction, and Application of State Laws Allowing or Proscribing Openly Carrying Firearms, 25 A.L.R.7th Art. 5 (2018).

5-73-123. [Repealed.]

Publisher's Notes. This section, concerning disposition of metal knuckles or canes containing weapons, was repealed by Acts 2005, No. 1994, § 547. The section was derived from Acts 1881, No. 96, §§ 3-7, p. 191; 1907, No. 132, § 1, p. 323; C. & M. Dig., §§ 2805-2809; Pope's Dig., §§ 3509-3513; Acts 1953, No. 43, § 1; 1973, No. 54, § 2; A.S.A. 1947, §§ 41-3152 — 41-3156.

5-73-124. Tear gas — Pepper spray.

    1. Except as otherwise provided in this section, any person who knowingly carries or has in his or her possession any tear gas or pepper spray in any form, or any person who knowingly carries or has in his or her possession any gun, bomb, grenade, cartridge, or other weapon designed for the discharge of tear gas or pepper spray, upon conviction is guilty of a Class A misdemeanor.
      1. It is lawful for a person to possess or carry, and use, a container of tear gas or pepper spray to be used for self-defense purposes only.
      2. However, the capacity of the container shall not exceed one hundred fifty cubic centimeters (150 cc).
  1. The provisions of this section do not apply to any:
    1. Law enforcement officer while engaged in the discharge of his or her official duties; or
    2. Banking institution desiring to have possession of tear gas or pepper spray in any form for the purpose of securing funds in its custody from theft or robbery.

History. Acts 1949, No. 338, §§ 1-3; 1977, No. 329, §§ 1, 2; A.S.A. 1947, §§ 41-3168 — 41-3170; Acts 1993, No. 674, § 1; 1995, No. 1201, § 1; 2011, No. 1168, § 2; 2013, No. 1125, §§ 18, 19.

Amendments. The 2011 amendment, in (a)(1), inserted “knowingly” and substituted “upon conviction is guilty of a Class A misdemeanor” for “is guilty of a misdemeanor”; deleted “small” preceding “container” in (a)(2)(A); deleted “cartridge or” preceding “container” in (a)(2)(B); and deleted (c).

The 2013 amendment inserted the first occurrence of “knowingly” in (a)(1); and substituted “Law enforcement” for “Peace” in (b)(1).

5-73-125. Interstate sale and purchase of shotguns, rifles, and ammunition.

  1. The sale of shotguns and rifles and ammunition in this state to residents of other states is authorized under regulations issued by the United States Attorney General under the Gun Control Act of 1968, 18 U.S.C. § 921 et seq., as in effect on January 1, 2009.
  2. A resident of this state may purchase a rifle, shotgun, or ammunition in another state as expressly authorized under the regulations issued under the Gun Control Act of 1968, 18 U.S.C. § 921 et seq., as in effect on January 1, 2009.

History. Acts 1969, No. 159, §§ 1, 2; A.S.A. 1947, §§ 41-3174, 41-3175; Acts 2009, No. 487, § 1.

Amendments. The 2009 amendment substituted “other states” for “adjacent states” and “January 1, 2009” for “March 4, 1969” in (a) and (b); substituted “Attorney General of the United States” for “Secretary of the Treasury” in (a); and made minor stylistic changes.

Research References

ALR.

Preemption of State Regulation of Weapons and Other Laws by Federal Gun Control Act. 65 A.L.R.6th 329.

5-73-126. Booby traps.

  1. It is unlawful for any person to install or maintain a booby trap upon his or her own property or any other person's property.
  2. As used in this section, “booby trap” means a device designed to cause death or serious physical injury to a person.
  3. Any person who pleads guilty or nolo contendere or who is found guilty of violating this section is guilty of a Class D felony.

History. Acts 1985, No. 243, §§ 1, 2; 1985, No. 399, §§ 1, 2; A.S.A. 1947, §§ 41-1660, 41-1661.

Cross References. Owner's duty to keep premises safe, §§ 18-11-304, 18-11-305, 18-11-307.

Research References

U. Ark. Little Rock L.J.

Legislative Survey, Criminal Law, 8 U. Ark. Little Rock L.J. 559.

5-73-127. Possession of loaded center-fire weapons in certain areas.

  1. It is unlawful to possess a loaded center-fire weapon, other than a shotgun and other than in a residence or business of the owner, in the following areas:
    1. Baxter County:
      1. That part bounded on the south by Highway 178, on the west and north by Bull Shoals Lake, and on the east by the Central Electric Power Corporation transmission line from Howard Creek to Highway 178;
      2. That part of Bidwell Point lying south of the east-west road which crosses Highway 101 at the Presbyterian Church;
      3. That part of Bidwell Point lying west of Bennett's Bayou and north of the east-west road which crosses Highway 101 at the Presbyterian Church;
      4. That part of Baxter County between:
        1. County Road 139 and Lake Norfork to the north and west;
        2. County Road 151 and Lake Norfork to the north, west, and south in the Diamond Bay area;
        3. The Bluff Road and Lake Norfork to the west;
        4. John Lewis Road (Timber Lake Manor) and Lake Norfork to the west and south;
        5. The south end of County Road 91 south of its intersection with John Lewis Road and Lake Norfork to the south and east; and
        6. County Road 150 from its intersection with County Road 93 south and Lake Norfork to the south and east but not east of County Road 93;
    2. Benton County:
      1. That part of the Hobbs Estate north of State Highway 12, west of Rambo Road, and south and east of Van Hollow Creek and the Van Hollow Creek arm of Beaver Lake;
      2. All of Bella Vista Village; and
      3. That part bounded on the north by Beaver Lake, on the east by Beaver Lake, on the south by the Hobbs State Management Area boundary from the intersection of State Highway 12 eastward along the boundary to its intersection with the Van Hollow Creek arm of Beaver Lake;
    3. Benton and Carroll Counties: That part bounded on the north by Highway 62, on the east by Highway 187 and Henry Hollow Creek, and the south and west by Beaver Lake and the road from Beaver Dam north to Highway 62;
    4. Conway County: That part lying above the rimrock of Petit Jean Mountain;
    5. Garland County: All of Hot Springs Village and Diamondhead;
    6. Marion County:
      1. That part known as Bull Shoals Peninsula, bounded on the east and north by White River and Lake Bull Shoals, on the west by the Jimmie Creek arm of Lake Bull Shoals, and on the south by the municipal boundaries of the City of Bull Shoals;
      2. That part of Marion County bounded on the north, west, and south by Bull Shoals Lake and on the east by County Roads 355 and 322 from their intersections with State Highway 202 to the points where they respectively dead-end at arms of Bull Shoals Lake;
      3. The Yocum Bend Peninsula of Bull Shoals Lake bounded on the north and east by Bull Shoals Lake, on the west by Pine Mountain and Bull Shoals Lake, and on the south by County Road 30; and
      4. Those lands situated in Marion County known as the Frost Point Peninsula, not inundated by the waters of Bull Shoals Lake, being more particularly described as follows:
        1. Section Six, Township Twenty North, Range Fifteen West, (Sec. 6 — T.20 N. — R.15 W.), lying south of the White River channel;
        2. Section One, Township Twenty North, Range Sixteen West, (Sec. 1 — T.20 N. — R.16 W.); and
        3. East Half of Section Two, Township Twenty North, Range Sixteen West, (E ½ Sec. 2 — T.20 N. — R.16 W.); North Half of the Northeast Quarter of Section Eleven, Township Twenty North, Range Sixteen West (N ½ — NE ¼ Sec. 11 — T.20 N. — R.16 W.); and
    7. A platted subdivision located in an unincorporated area.
  2. Nothing contained in this section shall be construed to limit or restrict or to make unlawful the discharge of a firearm in defense of a person or property within the areas described in this section.
  3. A person who is found guilty or who pleads guilty or nolo contendere to violating this section is guilty of a violation and shall be fined no less than twenty-five dollars ($25.00) nor more than five hundred dollars ($500).
  4. This section does not apply to a:
    1. Law enforcement officer in the performance of his or her duties;
    2. Discharge of a center-fire weapon at a firing range maintained for the discharging of a center-fire weapon; or
    3. Person possessing a valid concealed handgun license under § 5-73-301 et seq.

History. Acts 1985, No. 515, §§ 1-3; 1987, No. 829, § 1; 1989, No. 63, § 1; 1991, No. 148, § 1; 1991, No. 731, § 1; 1993, No. 1099, § 1; 2007, No. 52, § 1; 2009, No. 748, § 40.

A.C.R.C. Notes. Though the amendment by Acts 1987, No. 829, to Acts 1985, No. 515, omitted subsections (b)-(d) of this section, it does not appear that the General Assembly intended to repeal those subsections by the enactment of Acts 1987, No. 829.

Amendments. The 2009 amendment inserted “is guilty of a violation and” in (c), and made a minor stylistic change.

5-73-128. Offenses upon property of public schools.

    1. The court shall prepare and transmit to the Department of Finance and Administration an order of denial of driving privileges for a person within twenty-four (24) hours after the plea or finding, if a person who is less than nineteen (19) years of age at the time of the commission of the offense:
      1. Pleads guilty or nolo contendere to any criminal offense under § 5-73-101 et seq. or the Uniform Machine Gun Act, § 5-73-201 et seq., and the plea is accepted by the court, or is found guilty of any criminal offense under § 5-73-101 et seq. or the Uniform Machine Gun Act, § 5-73-201 et seq., if the state proves that the offense was committed upon the property of a public school or in or upon any school bus; or
      2. Is found by a juvenile division of circuit court to have committed an offense described in subdivision (a)(1)(A) of this section.
    2. In a case of extreme and unusual hardship, the order may provide for the issuance of a restricted driving permit to allow driving to and from a place of employment or driving to and from school.
  1. Upon receipt of an order of denial of driving privileges under this section, the department shall suspend the motor vehicle operator's license of the person for not less than twelve (12) months nor more than thirty-six (36) months.
  2. A penalty prescribed in this section is in addition to any other penalty prescribed by law for an offense covered by this section.

History. Acts 1993, No. 264 §§ 1-3; 1993, No. 781, §§ 1-3.

5-73-129. Furnishing a handgun or a prohibited weapon to a felon.

  1. A person commits the offense of furnishing a handgun to a felon if he or she sells, barters, leases, gives, rents, or otherwise furnishes a handgun to a person whom he or she knows has been found guilty of or pleaded guilty or nolo contendere to a felony.
  2. A person commits the offense of furnishing a prohibited weapon to a felon if he or she sells, barters, leases, gives, rents, or otherwise furnishes:
    1. A bomb;
    2. Metal knuckles;
    3. A defaced firearm, as described in § 5-73-107; or
    4. Other implement for the infliction of serious physical injury or death that serves no lawful purpose,
  3. Furnishing a handgun or a prohibited weapon to a felon is a Class B felony.

to a person he or she knows has been found guilty of or who has pleaded guilty or nolo contendere to a felony.

History. Acts 1994 (2nd Ex. Sess.), No. 41, § 1; 1994 (2nd Ex. Sess.), No. 42, § 1; 2019, No. 495, § 3; 2019, No. 1051, § 3.

A.C.R.C. Notes. Pursuant to § 1-2-207(b), subsection (b) of this section is set out as amended by Acts 2019, No. 1051, § 3. Acts 2019, No. 495, § 3, amended subsection (b) of this section to read as follows:

“(b) A person commits the offense of furnishing a prohibited weapon to a felon if he or she sells, barters, leases, gives, rents, or otherwise furnishes:

“(1) A sawed-off shotgun or rifle;

“(2) A machine gun;

“(3) A bomb;

“(4) Metal knuckles;

“(5) A defaced firearm, as defined in § 5-73-107; or

“(6) Other implement for the infliction of serious physical injury or death that serves no lawful purpose,“to a person he or she knows has been found guilty of or who has pleaded guilty or nolo contendere to a felony.”

Amendments. The 2019 amendment by No. 495 deleted former (b)(2) and redesignated the remaining subdivisions accordingly; and, in (b)(6), deleted “common” preceding “lawful” and substituted “he or she knows” for “who”.

The 2019 amendment by No. 1051 deleted former (b)(1) through (b)(3) and redesignated the remaining subdivisions accordingly; substituted “described” for “defined” in (b)(3); and in (b)(4), deleted “common” preceding “lawful” and substituted “he or she knows” for “who”.

Research References

ALR.

Validity of State Gun Control Legislation Under State Constitutional Provisions Securing Right to Bear Arms — Convicted Felons. 85 A.L.R.6th 641.

5-73-130. Seizure and forfeiture of firearm — Seizure and forfeiture of motor vehicle — Disposition of property seized.

  1. If a person under eighteen (18) years of age is unlawfully in possession of a firearm, the firearm shall be seized and, after an adjudication of delinquency or a conviction, is subject to forfeiture.
  2. If a felon or a person under eighteen (18) years of age is unlawfully in possession of a firearm in a motor vehicle, the motor vehicle is subject to seizure and, after an adjudication of delinquency or a conviction, subject to forfeiture.
  3. As used in this section, “unlawfully in possession of a firearm” does not include any act of possession of a firearm that is prohibited only by:
    1. Section 5-73-127, unlawful to possess loaded center-fire weapons in certain areas; or
    2. A regulation or rule of the Arkansas State Game and Fish Commission.
  4. The procedures for forfeiture and disposition of the seized property are as follows:
    1. The prosecuting attorney of the judicial district within whose jurisdiction the property is seized that is sought to be forfeited shall promptly proceed against the property by filing in the circuit court a petition for an order to show cause why the circuit court should not order forfeiture of the property; and
    2. The petition shall be verified and shall set forth:
      1. A statement that the action is brought pursuant to this section;
      2. The law enforcement agency bringing the action;
      3. A description of the property sought to be forfeited;
      4. A statement that on or about a date certain there was an adjudication of delinquency or a conviction and a finding that the property seized is subject to forfeiture;
      5. A statement detailing the facts in support of subdivision (d)(1) of this section; and
      6. A list of all persons known to the law enforcement agency, after diligent search and inquiry, who may claim an ownership interest in the property by title or registration or by virtue of a lien allegedly perfected in the manner prescribed by law.
    1. Upon receipt of a petition complying with the requirements of subdivision (d)(1) of this section, the circuit court judge having jurisdiction shall issue an order to show cause setting forth a statement that this subchapter is the controlling law.
    2. In addition, the order shall set a date at least forty-one (41) days from the date of first publication of the order pursuant to subsection (f) of this section for all persons claiming an interest in the property to file such pleadings as they desire as to why the circuit court should not order the forfeiture of the property for use, sale, or other disposition by the law enforcement agency seeking forfeiture of the property.
    3. The circuit court shall further order that any person who does not appear on that date is deemed to have defaulted and waived any claim to the subject property.
    1. The prosecuting attorney shall give notice of the forfeiture proceedings by:
      1. Causing a copy of the order to show cause to be published two (2) times each week for two (2) consecutive weeks in a newspaper having general circulation in the county where the property is located with the last publication being not less than five (5) days before the show cause hearing; and
      2. Sending a copy of the petition and order to show cause by certified mail, return receipt requested, to each person having ownership of or a security interest in the property or in the manner provided in Rule 4 of the Arkansas Rules of Civil Procedure if:
        1. The property is of a type for which title or registration is required by law;
        2. The owner of the property is known in fact to the law enforcement agency at the time of seizure; or
        3. The property is subject to a security interest perfected in accordance with the Uniform Commercial Code, § 4-1-101 et seq.
    2. The law enforcement agency is only obligated to make diligent search and inquiry as to the owner of the property, and if, after diligent search and inquiry, the law enforcement agency is unable to ascertain the owner, the requirement of actual notice by mail with respect to a person having a perfected security interest in the property is not applicable.
  5. At the hearing on the matter, the petitioner has the burden to establish that the property is subject to forfeiture by a preponderance of the evidence.
  6. In determining whether or not a motor vehicle should be ordered forfeited, the circuit court may take into consideration the following factors:
    1. Any prior criminal conviction or delinquency adjudication of the felon or juvenile;
    2. Whether or not the firearm was used in connection with any other criminal act;
    3. Whether or not the motor vehicle was used in connection with any other criminal act;
    4. Whether or not the juvenile or felon was the lawful owner of the motor vehicle in question;
    5. If the juvenile or felon is not the lawful owner of the motor vehicle in question, whether or not the lawful owner knew of the unlawful act being committed that gives rise to the forfeiture penalty; and
    6. Any other factor the circuit court deems relevant.
  7. The final order of forfeiture by the circuit court shall perfect in the law enforcement agency right, title, and interest in and to the property and shall relate back to the date of the seizure.
  8. Physical seizure of property is not necessary in order to allege in a petition under this section that the property is forfeitable.
  9. Upon filing the petition, the prosecuting attorney for the judicial district may also seek a protective order to prevent the transfer, encumbrance, or other disposal of any property named in the petition.
  10. The law enforcement agency to which a motor vehicle is forfeited shall either:
    1. Sell the motor vehicle in accordance with subsection (m) of this section; or
    2. If the motor vehicle is not subject to a lien that has been preserved by the circuit court, retain the motor vehicle for official use.
    1. If a law enforcement agency desires to sell a forfeited motor vehicle, the law enforcement agency shall first cause notice of the sale to be made by publication at least two (2) times a week for two (2) consecutive weeks in a newspaper having general circulation in the county and by sending a copy of the notice of the sale by certified mail, return receipt requested, to each person having ownership of or a security interest in the property or in the manner provided in Rule 4 of the Arkansas Rules of Civil Procedure if:
      1. The property is of a type for which title or registration is required by law;
      2. The owner of the property is known in fact to the law enforcement agency at the time of seizure; or
      3. The property is subject to a security interest perfected in accordance with the Uniform Commercial Code, § 4-1-101 et seq.
    2. The notice of the sale shall include the time, place, and conditions of the sale and a description of the property to be sold.
    3. The property shall then be disposed of at public auction to the highest bidder for cash without appraisal.
  11. The proceeds of any sale and any moneys forfeited shall be applied to the payment of:
    1. The balance due on any lien preserved by the circuit court in the forfeiture proceedings;
    2. The cost incurred by the seizing law enforcement agency in connection with the storage, maintenance, security, and forfeiture of the property;
    3. The costs incurred by the prosecuting attorney or attorney for the law enforcement agency, approved by the prosecuting attorney, to which the property is forfeited; and
    4. Costs incurred by the circuit court.
  12. The remaining proceeds or moneys shall be deposited into a special county fund to be titled the “Juvenile Crime Prevention Fund”, and the moneys in the fund shall be used solely for making grants to community-based nonprofit organizations that work with juvenile crime prevention and rehabilitation.
    1. The law enforcement agency to which a firearm is forfeited may trade the firearm to a federally licensed firearms dealer for credit toward future purchases by the law enforcement agency.
    2. If the firearm is unable to be traded to a federally licensed firearms dealer, the law enforcement agency may dispose of the firearm as the law enforcement agency deems appropriate.

History. Acts 1994 (2nd Ex. Sess.), No. 55, § 1; 1994 (2nd Ex. Sess.), No. 56, § 1; 2005, No. 1994, § 260; 2007, No. 827, § 96; 2019, No. 315, § 171; 2019, No. 630, §§ 1, 2.

Amendments. The 2005 amendment deleted “or the juvenile division of chancery court” following “circuit court” throughout this section; deleted “or the juvenile division of chancery court having jurisdiction of such person” following “circuit court” in (d)(1); and substituted “two (2) times” for “twice” in (f)(1)(A) and (m)(1).

The 2019 amendment by No. 315 inserted “or rule” in (c)(2).

The 2019 amendment by No. 630 substituted “a protective order” for “such protective orders as are necessary” in (k); in the introductory language of (l), substituted “a motor vehicle” for “the property” and added “either”; deleted former (l)(1) and (l)(2); redesignated (l)(1)(A) and (l)(1)(B) as (l)(1) and (l)(2); and added (p).

5-73-131. Possession or use of weapons by incarcerated persons.

  1. A person commits the offense of possession or use of weapons by incarcerated persons if, without approval of custodial authority he or she uses, possesses, makes, repairs, sells, or otherwise deals in any weapon, including, but not limited to, any bomb, firearm, knife, or other implement for the infliction of serious physical injury or death and that serves no common lawful purpose, while incarcerated in the Division of Correction, the Division of Community Correction, or a county or municipal jail or detention facility.
  2. Possession or use of weapons by incarcerated persons is a Class D felony.
  3. This section is not applicable to possession of a weapon by an incarcerated person before he or she completes the standard booking and search procedures in a jail facility after arrest.

History. Acts 1995, No. 443, § 1; 1995, No. 453, § 1; 2019, No. 910, § 682.

Amendments. The 2019 amendment substituted “Division of Correction” for “Department of Correction” and “Division of Community Correction” for “Department of Community Correction” in (a).

Case Notes

In General.

Where a deputy found that defendant had an improvised weapon hidden in his sock while incarcerated at the county jail, the state was not required to show how defendant intended to use the weapon in order to convict him of possession of a weapon by an incarcerated person. Owens v. State, 92 Ark. App. 480, 215 S.W.3d 681 (2005).

Construction.

The phrase, “or other implement for the infliction of serious physical injury or death and which serves no common lawful purpose,” is plainly intended to include the wide variety of objects that can be fashioned into dangerous weapons in an incarcerated setting without attempting to set them forth in an exhaustive list; a length of sharpened wire with a cloth handle is obviously a weapon that could potentially cause serious physical injury and is the sort of object intended by the catch-all phrase. Owens v. State, 92 Ark. App. 480, 215 S.W.3d 681 (2005).

Mental State.

Although there is no specified culpable mental state mentioned, this section does not create a strict liability offense; knowing possession is plainly all that is necessary to violate the statute. Owens v. State, 92 Ark. App. 480, 215 S.W.3d 681 (2005).

5-73-132. Sale, rental, or transfer of firearm to person prohibited from possessing firearms.

  1. A person shall not sell, rent, or transfer a firearm to any person whom he or she knows is prohibited by state or federal law from possessing the firearm.
    1. Violation of this section is a Class A misdemeanor, unless the firearm is:
      1. A handgun;
      2. An explosive or incendiary device, as defined in § 5-71-301;
      3. A defaced firearm, as described in § 5-73-107; or
      4. Other implement for the infliction of serious physical injury or death that serves no lawful purpose.
    2. If the firearm is listed in subdivision (b)(1) of this section, a violation of this section is a Class B felony.

History. Acts 1999, No. 1558, § 3; 2019, No. 495, § 4; 2019, No. 1051, § 4.

A.C.R.C. Notes. Pursuant to § 1-2-207(b), subsection (b) of this section is set out as amended by Acts 2019, No. 1051, § 4. Acts 2019, No. 495, § 4, amended subsection (b) of this section to read as follows:

“(b)(1) Violation of this section is a Class A misdemeanor, unless the firearm is:

“(A) A handgun;

“(B) A sawed-off or short-barrelled shotgun, as defined in § 5-1-102;

“(C) A sawed-off or short-barrelled rifle, as defined in § 5-1-102;

“(D) A machine gun;

“(E) An explosive or incendiary device, as defined in § 5-71-301;

“(F) A defaced firearm, as defined in § 5-73-107; or

“(G) Other implement for the infliction of serious physical injury or death that serves no lawful purpose.

“(2) If the firearm is listed in subdivision (b)(1) of this section, a violation of this section is a Class B felony.”

Amendments. The 2019 amendment by No. 495 deleted former (b)(1)(D) and redesignated the remaining subdivisions accordingly; and deleted “common” preceding “lawful” in (b)(1)(G).

The 2019 amendment by No. 1051 deleted former (b)(1)(B) through (b)(1)(E) and redesignated the remaining subdivisions accordingly; substituted “described” for “defined” in (b)(1)(C); and deleted “common” preceding “lawful” in (b)(1)(D).

5-73-133. Possession of a taser stun gun.

  1. As used in this section, “taser stun gun” means any device that:
    1. Is powered by an electrical charging unit such as a battery; and
    2. Either:
      1. Emits an electrical charge in excess of twenty thousand (20,000) volts; or
      2. Is otherwise capable of incapacitating a person by an electrical charge.
    1. No person who is eighteen (18) years of age or under may purchase or possess a taser stun gun.
    2. No person shall sell, barter, lease, give, rent, or otherwise furnish a taser stun gun to a person who is eighteen (18) years of age or under.
  2. Any law enforcement officer using a taser stun gun shall be properly trained in the use of the taser stun gun and informed of any danger or risk of serious harm and injury that may be caused by the use of the taser stun gun on a person.
    1. A person who violates subdivision (b)(1) of this section is deemed guilty of an unclassified misdemeanor punishable by a fine of not less than five hundred dollars ($500) nor more than one thousand dollars ($1,000).
    2. A person who violates subdivision (b)(2) of this section is deemed guilty of a Class B felony.

History. Acts 2005, No. 2153, § 1.

Subchapter 2 — Uniform Machine Gun Act

Effective Dates. Acts 1935, No. 80, § 14: Feb. 26, 1935. Emergency clause provided: “Whereas, under the present law of the state of Arkansas the officers of the state are powerless to effectively combat crime, therefore, it being necessary for the preservation of the public peace, health and safety, an emergency is hereby declared, and this act shall take effect and be in force from and after its passage and approval.”

Research References

U. Ark. Little Rock L.J.

Oliver, Rejecting the “Whipping-Boy” Approach to Tort Law: Well-Made Handguns are not Defective Products, 14 U. Ark. Little Rock L.J. 1.

5-73-201. Title.

This subchapter may be cited as the “Uniform Machine Gun Act”.

History. Acts 1935, No. 80, § 12; Pope's Dig., § 3525; A.S.A. 1947, § 41-3167.

5-73-202. Definitions.

As used in this subchapter:

  1. “Crime of violence” means any of the following crimes or an attempt to commit any of them:
    1. Murder;
    2. Manslaughter;
    3. Kidnapping;
    4. Rape;
    5. Mayhem;
    6. Assault to do great bodily harm;
    7. Robbery;
    8. Burglary;
    9. Housebreaking;
    10. Breaking and entering; and
    11. Larceny;
  2. “Machine gun” means a weapon of any description by whatever name known, loaded or unloaded, from which more than five (5) shots or bullets may be rapidly, or automatically, or semi-automatically, discharged from a magazine, by a single function of the firing device; and
  3. “Person” includes a firm, partnership, association, or corporation.

History. Acts 1935, No. 80, § 1; Pope's Dig., § 3514; A.S.A. 1947, § 41-3157.

Case Notes

Machine Gun.

Expert testimony concerning the weapon and why it would not fire more than once established a fact question for the jury concerning whether the seized weapon was a machine gun. Beck v. State, 12 Ark. App. 341, 676 S.W.2d 740 (1984).

5-73-203. Uniformity of interpretation.

This subchapter shall be so interpreted and construed as to effectuate its general purpose to make uniform the law of those states which enact it.

History. Acts 1935, No. 80, § 11; Pope's Dig., § 3524; A.S.A. 1947, § 41-3166.

5-73-204. Possession or use for offensive or aggressive purposes unlawful.

Possession or use of a machine gun for offensive or aggressive purpose is declared to be a crime punishable by imprisonment in the state penitentiary for a term of not less than ten (10) years.

History. Acts 1935, No. 80, § 3; Pope's Dig., § 3516; A.S.A. 1947, § 41-3159.

Case Notes

Cited: Beck v. State, 12 Ark. App. 341, 676 S.W.2d 740 (1984).

5-73-205. Presumption of offensive or aggressive purpose.

  1. Possession or use of a machine gun is presumed to be for an offensive or aggressive purpose:
    1. When the machine gun is on premises not owned or rented for bona fide permanent residence or business occupancy by the person in whose possession the machine gun may be found;
    2. When in the possession of or used by an unnaturalized foreign-born person or a person who has been convicted of a crime of violence in any court of record, state or federal, of the United States of America, its territories or insular possessions;
    3. [Repealed.]
    4. When empty or loaded pistol shells of 30 (.30 in. or 7.63 mm.) or larger caliber which have been or are susceptible of use in the machine gun are found in the immediate vicinity of the machine gun.
  2. A machine gun is exempt from the presumption of offensive or aggressive purpose if:
    1. The machine gun has been registered to a corporation in the business of manufacturing ammunition or a representative of the corporation under the National Firearms Act, 26 U.S.C. § 5801 et seq., or the Gun Control Act of 1968, 18 U.S.C. § 921 et seq.;
    2. The machine gun is being used primarily to test ammunition in a nonoffensive and nonaggressive manner by the corporation or the corporation's representative that the machine gun is registered to; and
    3. The corporation or the corporation's representative is not prohibited from the possession of a firearm by any state or federal law.

History. Acts 1935, No. 80, § 4; Pope's Dig., § 3517; A.S.A. 1947, § 41-3160; Acts 2003, No. 1352, § 1; 2007, No. 827, § 97.

Amendments. The 2003 amendment added (b).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Weapons, 26 U. Ark. Little Rock L. Rev. 370.

5-73-206. Evidence of possession or use.

The presence of a machine gun in any room, boat, or vehicle is evidence of the possession or use of the machine gun by each person occupying the room, boat, or vehicle where the machine gun is found.

History. Acts 1935, No. 80, § 5; Pope's Dig., § 3518; A.S.A. 1947, § 41-3161.

5-73-207. Manufacture for military, nonaggressive, or nonoffensive use.

Nothing contained in this subchapter prohibits or interferes with:

  1. The manufacture for and sale of machine guns to the military forces or the peace officers of the United States or of any political subdivision of the United States, or the transportation required for that purpose;
  2. The possession of a machine gun for scientific purpose, or the possession of a machine gun not usable as a weapon and possessed as a curiosity, ornament, or keepsake; or
  3. The possession of a machine gun other than one adapted to use pistol cartridges of 30 (.30 in. or 7.63 mm.) or larger caliber, for a purpose manifestly not aggressive or offensive.

History. Acts 1935, No. 80, § 6; Pope's Dig., § 3519; A.S.A. 1947, § 41-3162.

5-73-208. Registration by manufacturers.

  1. Every manufacturer shall keep a register of all machine guns manufactured or handled by the manufacturer.
  2. This register shall show:
    1. The model and serial number, date of manufacture, sale, loan, gift, delivery, or receipt, of every machine gun, the name, address, and occupation of the person to whom the machine gun was sold, loaned, given, or delivered, or from whom it was received; and
    2. The purpose for which it was acquired by the person to whom the machine gun was sold, loaned, given, or delivered, or from whom received.
  3. Upon demand every manufacturer shall permit any marshal, sheriff, or police officer to inspect the manufacturer's entire stock of machine guns, parts, and supplies therefor, and shall produce the register, required by this section, for inspection.
  4. A violation of this section is a violation punishable by a fine of not less than one hundred dollars ($100).

History. Acts 1935, No. 80, § 7; Pope's Dig., § 3520; A.S.A. 1947, § 41-3163; Acts 2009, No. 748, § 41.

Amendments. The 2009 amendment in (d), inserted the second instance of “a violation,” “one,” and “($100),” and made a minor stylistic change.

5-73-209. [Repealed.]

Publisher's Notes. This section, concerning the registration of machine guns by users and owners, was repealed by Acts 2001, No. 1181, § 1. The section was derived from Acts 1935, No. 80, § 8; Pope's Dig., § 3521; A.S.A. 1947, § 41-3164; Acts 1989, No. 373, § 1.

5-73-210. [Repealed.]

Publisher's Notes. This section, concerning search warrants, was repealed by Acts 2013, No. 1348, § 18. The section was derived from Acts 1935, No. 80, § 9; Pope's Dig., § 3522; A.S.A. 1947, § 41-3165; Acts 2005, No. 1994, § 247.

5-73-211. Perpetrating or attempting crime.

Possession or use of a machine gun in the course of a criminal offense is a Class A felony.

History. Acts 1935, No. 80, § 2; Pope's Dig., § 3515; A.S.A. 1947, § 41-3158; Acts 2005, No. 1994, § 414.

Amendments. The 2005 amendment substituted “course of a criminal offense is a Class A felony” for “perpetration or attempted perpetration of a crime of violence is deemed to be a crime punishable by imprisonment in the State Penitentiary for a term of not less than twnety (20) years.”

Subchapter 3 — Concealed Handguns

Publisher's Notes. Acts 1999, No. 786, § 2, provided:

“(a) A license to carry a concealed handgun under Arkansas Code 5-73-308, issued prior to the effective date of this act, shall not be restricted to the handguns for which the person was licensed. If one (1) or more of the handguns for which the person was licensed is a semiautomatic handgun then the person may carry any handgun he or she chooses. If a semiautomatic handgun was not included then the person may carry any handgun other than a semiautomatic handgun.

“(b) As used in this section, ‘handgun’ has the same meaning as provided in Arkansas Code 5-73-301.”

Effective Dates. Acts 1999, No. 51, § 5: Feb. 11, 1999. Emergency clause provided: “It is hereby found and determined by the Eighty-second General Assembly that the Brady Handgun Violence Prevention Act will allow concealed handgun licensees in qualifying states to avoid the instant background checks required by federal law; that these background checks place an unnecessary and costly burden on responsible citizens to wait for the completion of the background check and to pay the cost of the system; and that by modifying the Arkansas law it will eliminate a costly and duplicative background check for these responsible citizens when purchasing firearms in Arkansas. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health and safety shall become effective on the date of its approval by the Governor. If the bill is neither approved nor vetoed by the Governor, it shall become effective on the expiration of the period of time during which the Governor may veto the bill. If the bill is vetoed by the Governor and the veto is overridden, it shall become effective on the date the last house overrides the veto.”

Acts 1999, No. 1508, § 19: Apr. 15, 1999. Emergency clause provided: “It is hereby found and determined by the Eighty-second General Assembly that this act makes various technical corrections in the Arkansas Code; that this act further clarifies the law to provide that the Arkansas Code Revision Commission may correct errors resulting from enactments of prior sessions; and that this act should go into effect immediately in order to be applicable during the codification process of the enactments of this regular session. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health and safety shall become effective on the date of its approval by the Governor. If the bill is neither approved nor vetoed by the Governor, it shall become effective on the expiration of the period of time during which the Governor may veto the bill. If the bill is vetoed by the Governor and the veto is overridden, it shall become effective on the date the last house overrides the veto.”

Acts 2009, No. 294, § 30: Mar. 3, 2009. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that on-premises consumption outlets in the State of Arkansas are not able to compete on an equal and similar basis with outlets located in states surrounding the State of Arkansas; that the State of Arkansas is in need of additional revenues; that only minor adjustments to the violation fine schedule have been made since its passage in 1981; and that this act is immediately necessary to raise additional revenues and to better address violations committed by Alcoholic Beverage Control Division permit holders. Therefore, an emergency is declared to exist and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2013, No. 67, § 2: Feb. 11, 2013. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that personal security is increasingly important; that the Second Amendment of the Constitution of the United States ensures a person's right to bear arms; and that this act is immediately necessary because a person should be allowed to carry a firearm in a church that permits the carrying of a firearm for personal security. Therefore, an emergency is declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2013, No. 1271, § 3: Apr. 16, 2013. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that a concealed handgun can be used to protect oneself from harm; that certain persons are more susceptible to harm from other persons; and that this act is immediately necessary because a reduced fee for a concealed carry license will make it easier for certain persons to protect themselves. Therefore, an emergency is declared to exist, and this act being immediately necessary for the preservation of the public peace, health, and safety shall become effective on: (1) The date of its approval by the Governor; (2) If the bill is neither approved nor vetoed by the Governor, the expiration of the period of time during which the Governor may veto the bill; or (3) If the bill is vetoed by the Governor and the veto is overridden, the date the last house overrides the veto.”

Acts 2017, No. 562, § 8: Sept. 1, 2017.

Acts 2017, No. 859, § 10: Sept. 1, 2017.

Acts 2019, No. 910, § 6346(b): July 1, 2019. Emergency clause provided: “It is found and determined by the General Assembly of the State of Arkansas that this act revises the duties of certain state entities; that this act establishes new departments of the state; that these revisions impact the expenses and operations of state government; and that the sections of this act other than the two uncodified sections of this act preceding the emergency clause titled ‘Funding and classification of cabinet-level department secretaries’ and ‘Transformation and Efficiencies Act transition team’ should become effective at the beginning of the fiscal year to allow for implementation of the new provisions at the beginning of the fiscal year. Therefore, an emergency is declared to exist, and Sections 1 through 6343 of this act being necessary for the preservation of the public peace, health, and safety shall become effective on July 1, 2019”.

Acts 2020, No. 97, § 49: July 1, 2020. Emergency clause provided: “It is found and determined by the General Assembly, that the Constitution of the State of Arkansas prohibits the appropriation of funds for more than a one (1) year period; that the effectiveness of this Act on July 1, 2020 is essential to the operation of the agency for which the appropriations in this Act are provided, and that in the event of an extension of the legislative session, the delay in the effective date of this Act beyond July 1, 2020 could work irreparable harm upon the proper administration and provision of essential governmental programs. Therefore, an emergency is hereby declared to exist and this Act being necessary for the immediate preservation of the public peace, health and safety shall be in full force and effect from and after July 1, 2020”.

Research References

ALR.

Construction and Application of State Statutes and Local Ordinances Regulating Licenses or Permits to Carry Concealed Weapons. 12 A.L.R.7th Art. 4 (2015).

Ark. L. Notes.

Laurent Sacharoff & Jacob Worlow, Open Carry in Arkansas – An Ambiguous Statute, 2014 Ark. L. Notes 1548.

5-73-301. Definitions.

As used in this subchapter:

  1. “Acceptable electronic format” means an electronic image produced on the person's own cellular phone or other type of portable electronic device that displays all of the information on a concealed handgun license as clearly as an original concealed handgun license;
  2. “Concealed” means to cover from observation so as to prevent public view;
  3. “Convicted” means that a person pleaded guilty or nolo contendere to or was found guilty of a criminal offense;
  4. “Handgun” means any firearm, other than a fully automatic firearm, with a barrel length of less than twelve inches (12") that is designed, made, or adapted to be fired with one (1) hand;
  5. “Licensee” means a person granted a valid license to carry a concealed handgun pursuant to this subchapter;
  6. “Parking lot” means an area, structure, or part of a structure designated for the parking of motor vehicles or a designated drop-off zone for children at a school;
  7. “Private university or private college” means an institution of higher education that is not a public university, public college, or community college as defined in § 5-73-322; and
  8. “Retired law enforcement officer” means a person who retired as a certified law enforcement officer from a local or state law enforcement agency with at least ten (10) years of experience as a law enforcement officer.

History. Acts 1995, No. 411, § 1; 1995, No. 419, § 1; 1997, No. 1239, § 1; 2007, No. 664, § 1; 2007, No. 827, §§ 98, 99; 2013, No. 419, § 1; 2015, No. 1078, § 3; 2017, No. 859, § 3; 2017, No. 957, § 1.

Amendments. The 2013 amendment added present (1).

The 2015 amendment added (6).

The 2017 amendment by No. 859 added the definition for “Private university or private college”.

The 2017 amendment by No. 957 added the definition for “Retired law enforcement officer”.

Effective Dates. Acts 2017, No. 859, § 10: Sept. 1, 2017.

Research References

ALR.

Constitutionality of State Statutes and Local Ordinances Regulating Concealed Weapons. 33 A.L.R.6th 407.

5-73-302. Authority to issue license.

  1. The Director of the Division of Arkansas State Police may issue a license to carry a concealed handgun to a person qualified as provided in this subchapter.
    1. For new licenses issued after July 31, 2007, the license to carry a concealed handgun is valid throughout the state for a period of five (5) years from the date of issuance.
    2. After July 31, 2007, upon renewal, an existing valid license to carry a concealed handgun shall be issued for a period of five (5) years.
      1. After July 31, 2007, a license or renewal of a license issued to a former elected or appointed sheriff of any county of this state shall be issued for a period of five (5) years.
      2. The license issued to a former elected or appointed sheriff is revocable on the same grounds as other licenses.
      1. The former elected or appointed sheriff shall meet the same qualifications as all other applicants.
      2. However, the former elected or appointed sheriff is exempt from the fee prescribed by § 5-73-311(a)(2) and from the training requirements of § 5-73-309(13) for issuance.

History. Acts 1995, No. 411, § 2; 1995, No. 419, § 2; 1997, No. 389, § 1; 2007, No. 1014, §§ 1, 3; 2019, No. 910, § 5736.

Amendments. The 2019 amendment substituted “Division of Arkansas State Police” for “Department of Arkansas State Police” in (a).

Research References

ALR.

Constitutionality of State Statutes and Local Ordinances Regulating Concealed Weapons. 33 A.L.R.6th 407.

5-73-303. Immunity from civil damages.

The state, a county or city, or any employee of the state, county, or city is not liable for any civil damages resulting from the issuance of a license pursuant to a provision of this subchapter.

History. Acts 1995, No. 411, § 3; 1995, No. 419, § 3.

5-73-304. Exemptions.

      1. A current or former certified law enforcement officer, chief of police, court bailiff, county sheriff, or retired law enforcement officer is exempt from the licensing requirements of this subchapter if otherwise authorized to carry a concealed handgun.
      2. A former certified law enforcement officer whose employment was terminated by a law enforcement agency due to disciplinary reasons or because he or she committed a disqualifying criminal offense is not exempt from the licensing requirements of this subchapter.
    1. Solely for purposes of this subchapter, an auxiliary law enforcement officer certified by the Arkansas Commission on Law Enforcement Standards and Training and approved by the county sheriff of the county where he or she is acting as an auxiliary law enforcement officer is deemed to be a certified law enforcement officer.
  1. An employee of a local detention facility is exempt from the licensing requirements of this subchapter if the employee of a local detention facility is authorized in writing as exempt from the licensing requirements of this subchapter by the chief of police or county sheriff that employs the employee of a local detention facility.
  2. The authorization prescribed in subsection (b) of this section shall be carried on the person of the employee of a local detention facility and be produced upon demand at the request of any law enforcement officer or owner or operator of any of the prohibited places as set out in § 5-73-306.
  3. A retired law enforcement officer is exempt from the licensing requirements of this subchapter if the retired law enforcement officer is permitted to carry a concealed handgun under § 12-15-202(b).
  4. As used in this section, “employee of a local detention facility” means a person who:
    1. Is employed by a county sheriff or municipality that operates a local detention facility and whose job duties include:
      1. Securing a local detention facility;
      2. Monitoring inmates in a local detention facility; and
      3. Administering the daily operation of the local detention facility; and
    2. Has completed the minimum training requirements for his or her position.

History. Acts 1995, No. 411, § 2; 1995, No. 419, § 2; 1997, No. 696, § 1; 1997, No. 1239, § 8; 1999, No. 1508, §§ 1, 7; 2013, No. 415, § 1; 2013, No. 1220, § 1; 2017, No. 957, § 2.

Amendments. The 2013 amendment by No. 415 rewrote (a) and (b).

The 2013 amendment by No. 1220 inserted “or employee of a local detention facility” twice in (b); added “If an auxiliary law enforcement officer” to the beginning of (b)(1); rewrote (b)(2); inserted “or employee of a local detention facility” in (c); and added (d).

The 2017 amendment inserted “or retired law enforcement officer” in (a)(1)(A); rewrote (b); deleted “auxiliary law enforcement officer or” preceding “employee” in (c); inserted (d); and redesignated former (d) as (e).

5-73-305. Criminal penalty.

Any person who knowingly submits a false answer to any question on an application for a license issued pursuant to this subchapter, or who knowingly submits a false document when applying for a license issued pursuant to this subchapter upon conviction is guilty of a Class B misdemeanor.

History. Acts 1995, No. 411, § 2; 1995, No. 419, § 2.

Research References

ALR.

Constitutionality of State Statutes and Local Ordinances Regulating Concealed Weapons. 33 A.L.R.6th 407.

5-73-306. Prohibited places.

Except as permitted under § 5-73-322(g), a license to carry a concealed handgun issued under this subchapter does not authorize a person to carry a concealed handgun into:

  1. Any police station, sheriff's station, or Division of Arkansas State Police station;
  2. An Arkansas Highway Police Division of the Arkansas Department of Transportation facility;
    1. A building of the Arkansas Department of Transportation or onto grounds adjacent to a building of the Arkansas Department of Transportation.
    2. However, subdivision (3)(A) of this section does not apply to:
      1. A rest area or weigh station of the Arkansas Department of Transportation; or
      2. A publicly owned and maintained parking lot that is a publicly accessible parking lot if the licensee is carrying a concealed handgun in his or her motor vehicle or has left the concealed handgun in his or her locked and unattended motor vehicle in the publicly owned and maintained parking lot;
  3. Any part of a detention facility, prison, jail, or residential treatment facility owned or operated by the Division of Youth Services, including without limitation a parking lot owned, maintained, or otherwise controlled by:
    1. The Division of Correction;
    2. The Division of Community Correction; or
    3. A residential treatment facility owned or operated by the Division of Youth Services;
  4. Any courthouse, courthouse annex, or other building owned, leased, or regularly used by a county for conducting court proceedings or housing a county office unless:
    1. The licensee is:
      1. Employed by the county;
      2. A countywide elected official;
      3. A justice of the peace; or
        1. Employed by a governmental entity other than the county with an office or place of employment inside the courthouse, the courthouse annex, or other building owned, leased, or regularly used by the county for conducting court proceedings or housing a county office.
        2. A licensee is limited to carrying a concealed handgun under subdivision (5)(A)(iv)(a) of this section into the courthouse, courthouse annex, or other building owned, leased, or regularly used by the county for conducting court proceedings or housing a county office where the office or place of employment of the governmental entity that employs him or her is located;
    2. The licensee's principal place of employment is within the courthouse, the courthouse annex, or other building owned, leased, or regularly used by the county for conducting court proceedings or housing a county office; and
    3. The quorum court by ordinance approves a plan that allows licensees permitted under this subdivision (5) to carry a concealed handgun into the courthouse, courthouse annex, or other building owned, leased, or regularly used by a county for conducting court proceedings as set out by the local security and emergency preparedness plan;
    1. Any courtroom.
    2. However, nothing in this subchapter precludes a judge from carrying a concealed weapon or determining who will carry a concealed weapon into his or her courtroom;
  5. Any meeting place of the governing body of any governmental entity;
  6. Any meeting of the General Assembly or a committee of the General Assembly;
  7. Any state office;
  8. Any athletic event not related to firearms;
    1. A portion of an establishment, except a restaurant as defined in § 3-5-1202, licensed to dispense alcoholic beverages for consumption on the premises.
    2. A person with a concealed carry endorsement under § 5-73-322(g) and who is carrying a concealed handgun may not enter an establishment under this section if the establishment either places a written notice as permitted under subdivision (18) of this section or provides notice under subdivision (19) of this section prohibiting a person with a license to possess a concealed handgun at the physical location;
    1. A portion of an establishment, except a restaurant as defined in § 3-5-1202, where beer or light wine is consumed on the premises.
    2. A person with a concealed carry endorsement under § 5-73-322(g) and who is carrying a concealed handgun may not enter an establishment under this section if the establishment either places a written notice as permitted under subdivision (18) of this section or provides notice under subdivision (19) of this section prohibiting a person with a license to possess a concealed handgun at the physical location;
    1. A school, college, community college, or university campus building or event.
    2. However, subdivision (13)(A) of this section does not apply to:
      1. A kindergarten through grade twelve (K-12) private school operated by a church or other place of worship that:
        1. Is located on the developed property of the kindergarten through grade twelve (K-12) private school;
        2. Allows the licensee to carry a concealed handgun into the church or other place of worship under this section; and
        3. Allows the licensee to possess a concealed handgun on the developed property of the kindergarten through grade twelve (K-12) private school under § 5-73-119(e);
      2. A kindergarten through grade twelve (K-12) private school or a prekindergarten private school that through its governing board or director has set forth the rules and circumstances under which the licensee may carry a concealed handgun into a building or event of the kindergarten through grade twelve (K-12) private school or the prekindergarten private school;
      3. Participation in an authorized firearms-related activity;
      4. Carrying a concealed handgun as authorized under § 5-73-322; or
      5. A publicly owned and maintained parking lot of a college, community college, or university if the licensee is carrying a concealed handgun in his or her motor vehicle or has left the concealed handgun in his or her locked and unattended motor vehicle;
  9. Inside the passenger terminal of any airport, except that no person is prohibited from carrying any legal firearm into the passenger terminal if the firearm is encased for shipment for purposes of checking the firearm as baggage to be lawfully transported on any aircraft;
    1. Any church or other place of worship.
    2. However, this subchapter does not preclude a church or other place of worship from determining who may carry a concealed handgun into the church or other place of worship.
    3. A person with a concealed carry endorsement under § 5-73-322(g) and who is carrying a concealed handgun may not enter a church or other place of worship under this section if the church or other place of worship either places a written notice as permitted under subdivision (18) of this section or provides notice under subdivision (19) of this section prohibiting a person with a license to possess a concealed handgun at the physical location;
  10. Any place where the carrying of a firearm is prohibited by federal law;
  11. Any place where a parade or demonstration requiring a permit is being held, and the licensee is a participant in the parade or demonstration;
      1. Any place at the discretion of the person or entity exercising control over the physical location of the place by placing at each entrance to the place a written notice clearly readable at a distance of not less than ten feet (10') that “carrying a handgun is prohibited”.
        1. If the place does not have a roadway entrance, there shall be a written notice placed anywhere upon the premises of the place.
        2. In addition to the requirement of subdivision (18)(A)(ii)(a) of this section, there shall be at least one (1) written notice posted within every three (3) acres of a place with no roadway entrance.
      2. A written notice as described in subdivision (18)(A)(i) of this section is not required for a private home.
      3. Any licensee entering a private home shall notify the occupant that the licensee is carrying a concealed handgun.
    1. Subdivision (18)(A) of this section does not apply if the place is:
      1. A public university, public college, or community college, as defined in § 5-73-322, and the licensee is carrying a concealed handgun as provided under § 5-73-322;
      2. A publicly owned and maintained parking lot if the licensee is carrying a concealed handgun in his or her motor vehicle or has left the concealed handgun in his or her locked and unattended motor vehicle; or
      3. A parking lot of a private employer and the licensee is carrying a concealed handgun as provided under § 5-73-326.
    2. The person or entity exercising control over the physical location of a place that does not use his, her, or its authority under this subdivision (18) to prohibit a person from possessing a concealed handgun is immune from a claim for monetary damages arising from or related to the decision not to place at each entrance to the place a written notice under this subdivision (18);
      1. A place owned or operated by a private entity that prohibits the carrying of a concealed handgun that posts a written notice as described under subdivision (18)(A) of this section.
        1. A place owned or operated by a private entity that chooses not to post a written notice as described under subdivision (18)(A) of this section may provide written or verbal notification to a licensee who is carrying a concealed handgun at the place owned or operated by a private entity that carrying of a concealed handgun is prohibited.
        2. A licensee who receives written or verbal notification under subdivision (19)(A)(ii)(a) of this section is deemed to have violated this subdivision (19) if the licensee while carrying a concealed handgun either remains at or returns to the place owned or operated by the private entity.
    1. A place owned or operated by a private entity under this subdivision (19) includes without limitation:
      1. A private university or private college;
      2. A church or other place of worship;
      3. An establishment, except a restaurant as defined in § 3-5-1202, licensed to dispense alcoholic beverages for consumption on the premises; and
      4. An establishment, except a restaurant as defined in § 3-5-1202, where beer or light wine is consumed on the premises; or
  12. A posted firearm-sensitive area, as approved by the Division of Arkansas State Police under § 5-73-325, located at:
    1. The Arkansas State Hospital;
    2. The University of Arkansas for Medical Sciences; or
    3. A collegiate athletic event.

History. Acts 1995, No. 411, § 2; 1995, No. 419, § 2; 1997, No. 1239, § 2; 2003, No. 1110, § 1; 2007, No. 664, § 2; 2009, No. 294, § 28; 2011, No. 758, § 1; 2013, No. 67, § 1; 2013, No. 226, §§ 3, 4; 2013, No. 1390, § 2; 2015, No. 933, § 2; 2015, No. 1078, §§ 4-7; 2015, No. 1175, § 1; 2015, No. 1259, § 2; 2017, No. 562, §§ 2-5; 2017, No. 707, § 5; 2017, No. 859, §§ 4-6; 2017, No. 1071, § 2; 2017, No. 1090, § 1; 2019, No. 431, § 2; 2019, No. 910, § 683.

A.C.R.C. Notes. Acts 2017, No. 1071, § 1, provided: “Legislative intent. It is the intent of this act to reinforce and protect the right of each citizen to lawfully transport and store a handgun within his or her private motor vehicle for lawful purposes in any place where the private motor vehicle is otherwise permitted to be located.”

Publisher's Notes. Acts 2017, No. 859, §§ 4-6, specifically amended this section as amended by Acts 2017, No. 562.

Amendments. The 2003 amendment deleted (a)(11) and redesignated the remaining subdivisions accordingly; inserted “except a restaurant as defined in § 3-9-402” in (a)(12) and (a)(13); redesignated (b)(1) as (b)(1)(A) and added “at each entrance to the location”; added (b)(1)(B); and made a minor stylistic change.

The 2009 amendment substituted “§ 3-9-202” for “§ 3-9-402” in (11) and (12).

The 2011 amendment substituted “§ 3-5-1202” for “§ 3-9-202” in present (11) and (12).

The 2013 amendment by No. 67 redesignated former (16) as (16)(A), and added (16)(B) (now subdivision (15)).

The 2013 amendment by No. 226 redesignated former (19)(A) as (19)(A)(i); redesignated former (19)(B) through (19)(D) as (19)(A)(ii) through (19)(A)(iv); and added (19)(B) (now subdivision (18)).

The 2013 amendment by No. 1390 redesignated former (14) as (14)(A); and inserted (14)(B) and redesignated the remaining subdivisions accordingly (now subdivision (13)).

The 2015 amendment by No. 933 inserted designation (14)(B)(i) and redesignated former (14)(B)(i)-(iii) as (14)(B)(i) (a)-(c) ; and added (14)(B)(ii) (now subdivision (13)).

The 2015 amendment by No. 1078 inserted designation (3)(B)(i); added “or” at the end of (3)(B)(i); added (3)(B)(ii); rewrote (4); deleted “unless for the purpose of participating in an authorized firearms-related activity or otherwise provided for in § 5-73-322” at the end of (14)(A) (now (13)(A)); inserted designation (14)(B)(i) and redesignated former (14)(B)(i)-(iii) as (14)(B)(i) (a)-(c) (now (13)(B)(i) and (13)(B)(i) (a)-(c) ); added (14)(B)(ii) through (14)(B)(iv) (now (13)(B)(iii) through (13)(B)(v)); inserted designation (19)(B)(i) (now (18)(B)(i)); added “or” at the end of (19)(B)(i) (now (18)(B)(i)); and added (19)(B)(ii) (now (18)(B)(ii)).

The 2015 amendment by No. 1175 repealed former (7) and redesignated the remaining sections accordingly.

The 2015 amendment by No. 1259 rewrote (5).

The 2017 amendment by No. 562 substituted “Except as permitted under § 5-73-322(g), a license to carry a concealed handgun issued under this subchapter does not authorize a” for “No license to carry a concealed handgun issued pursuant to this subchapter authorizes any” in the introductory language; redesignated (11) as (11)(A) and (12) as (12)(A); substituted “A” for “Any” in (11)(A) and (12)(A); and added (11)(B), (12)(B), (15)(C), and (18)(C).

The 2017 amendment by No. 707 substituted “Department of Transportation” for “State Highway and Transportation Department” throughout (2) and (3); and made stylistic changes.

The 2017 amendment by No. 859, in (11)(B) and (12)(B), inserted “either” and “or provides notice under subdivision (19) of this section”; in (15)(C), inserted “and who is carrying a concealed handgun”, “either”, and “or provides notice under subdivision (19) of this section”; added (19) and (20); and made stylistic changes.

The 2017 amendment by No. 1071 substituted “place” for “physical location” in the introductory language of (18)(B); and added (18)(B)(iii).

The 2017 amendment by No. 1090 added (5)(A)(iii) and (iv); and inserted “courthouse annex, or other building owned, leased, or regularly used by a county for conducting court proceedings” in (5)(C).

The 2019 amendment by No. 431 added the (4)(A) and (4)(B) designations and added (4)(C); and inserted “residential treatment facility owned or operated by the Division of Youth Services” in the introductory language of (4).

The 2019 amendment by No. 910 substituted “Division of Correction” for “Department of Correction” and “Division of Community Correction” for “Department of Community Correction” in (4).

Effective Dates. Acts 2017, No. 562, § 8: Sept. 1, 2017.

Acts 2017, No. 859, § 10: Sept. 1, 2017.

Research References

Ark. L. Rev.

Thomas Christoph Keller, Comment: ABC's and AR-15's: Arming Arkansas's Teachers, 67 Ark. L. Rev. 687 (2014).

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Weapons, 26 U. Ark. Little Rock L. Rev. 370.

5-73-307. List of license holders.

  1. The Department of Arkansas State Police shall maintain an automated listing of license holders, and this information shall be available online, upon request, at any time, to any law enforcement agency through the Arkansas Crime Information Center.
  2. Nothing in this subchapter shall be construed to require or allow the registration, documentation, or providing of a serial number with regard to any firearm.

History. Acts 1995, No. 411, § 2; 1995, No. 419, § 2; 1997, No. 1239, § 3; 2007, No. 827, § 100.

5-73-308. License — Issuance or denial.

      1. The Director of the Division of Arkansas State Police may deny a license if within the preceding five (5) years the applicant has been found guilty of one (1) or more crimes of violence constituting a misdemeanor or for the offense of carrying a weapon.
      2. The director may revoke a license if the licensee has been found guilty of one (1) or more crimes of violence within the preceding three (3) years.
    1. Subdivision (a)(1) of this section does not apply to a misdemeanor that has been expunged or for which the imposition of sentence was suspended.
    2. Upon notification by any law enforcement agency or a court and subsequent written verification, the director shall suspend a license or the processing of an application for a license if the licensee or applicant is arrested or formally charged with a crime that would disqualify the licensee or applicant from having a license under this subchapter until final disposition of the case.
    1. The director may deny a license to carry a concealed handgun if the county sheriff or chief of police, if applicable, of the applicant's place of residence or the director or the director's designee submits an affidavit that the applicant has been or is reasonably likely to be a danger to himself or herself or others or to the community at large, as demonstrated by past patterns of behavior or participation in an incident involving unlawful violence or threats of unlawful violence, or if the applicant is under a criminal investigation at the time of applying for a license to carry a concealed handgun.
    2. Within one hundred twenty (120) days after the date of receipt of the items listed in § 5-73-311(a), the director shall:
      1. Issue the license; or
      2. Deny the application based solely on the ground that the applicant fails to qualify under the criteria listed in this subchapter.
      1. If the director denies the application, the director shall notify the applicant in writing, stating the grounds for denial.
      2. The decision of the director is subject to appeal under the Arkansas Administrative Procedure Act, § 25-15-201 et seq.

History. Acts 1995, No. 411, § 2; 1995, No. 419, § 2; 1997, No. 1239, § 4; 2011, No. 758, § 2; 2013, No. 1328, § 1; 2019, No. 910, § 5737.

Amendments. The 2011 amendment, in (b)(1), inserted “to carry a concealed handgun” twice, inserted “county” preceding “sheriff”, and deleted “as the result of the applicant's mental or psychological state” following “at large”.

The 2013 amendment inserted “or the director or the director's designee” in (b)(1); and substituted “subject to appeal under the Arkansas Administrative Procedure Act, § 25-15-201 et seq.” for “final” in (b)(3)(B).

The 2019 amendment substituted “Division of Arkansas State Police” for “Department of Arkansas State Police” in (a)(1)(A).

5-73-309. License — Requirements.

The Director of the Division of Arkansas State Police shall issue a license to carry a concealed handgun if the applicant:

  1. Is a citizen of the United States or a permanent legal resident;
    1. Is a resident of the state and has been a resident continuously for ninety (90) days or longer immediately preceding the filing of the application.
    2. However, subdivision (2)(A) of this section does not apply to any:
      1. Active duty member of the United States Armed Forces who submits documentation of his or her active duty status; or
      2. Spouse of an active duty member of the United States Armed Forces who submits documentation of his or her spouse's active duty status;
  2. Is at least:
    1. Twenty-one (21) years of age; or
    2. Eighteen (18) years of age and is:
      1. Currently a federally recognized commissioned or noncommissioned officer or an enlisted member on active duty in the United States Armed Forces;
      2. In the National Guard or a reserve component of the United States Armed Forces; or
      3. A former member of the United States Armed Forces who has been honorably discharged;
  3. Does not suffer from a mental or physical infirmity that prevents the safe handling of a handgun and has not threatened or attempted suicide;
  4. Has not been convicted of a felony in a court of this state, of any other state, or of the United States unless:
    1. The applicant is subsequently granted a pardon by the Governor or the President of the United States explicitly restoring his or her ability to possess a firearm;
    2. The applicant was sentenced prior to March 13, 1995, and the record of conviction has been sealed or expunged under Arkansas law; or
    3. The applicant's offense was dismissed and sealed or expunged under § 16-93-301 et seq. or § 16-98-303(g);
  5. Is not subject to any federal, state, or local law that makes it unlawful to receive, possess, or transport any firearm, and has had his or her background check successfully completed through the Division of Arkansas State Police and the Federal Bureau of Investigation's National Instant Criminal Background Check System;
    1. Does not chronically or habitually abuse a controlled substance to the extent that his or her normal faculties are impaired.
    2. It is presumed that an applicant chronically and habitually uses a controlled substance to the extent that his or her faculties are impaired if the applicant has been voluntarily or involuntarily committed to a treatment facility for the abuse of a controlled substance or has been found guilty of a crime under the provisions of the Uniform Controlled Substances Act, § 5-64-101 et seq., or a similar law of any other state or the United States relating to a controlled substance within the three-year period immediately preceding the date on which the application is submitted;
    1. Does not chronically or habitually use an alcoholic beverage to the extent that his or her normal faculties are impaired.
    2. It is presumed that an applicant chronically and habitually uses an alcoholic beverage to the extent that his or her normal faculties are impaired if the applicant has been voluntarily or involuntarily committed as an alcoholic to a treatment facility or has been convicted of two (2) or more offenses related to the use of alcohol under a law of this state or similar law of any other state or the United States within the three-year period immediately preceding the date on which the application is submitted;
  6. Desires a legal means to carry a concealed handgun to defend himself or herself;
  7. Has not been adjudicated mentally incompetent;
    1. Has not been voluntarily or involuntarily committed to a mental institution or mental health treatment facility.
    2. An applicant who is a veteran who voluntarily sought mental health treatment at a mental health institution or mental health treatment facility may obtain a license under this subchapter if a circuit court grants his or her petition under § 5-73-327;
  8. Is not a fugitive from justice or does not have an active warrant for his or her arrest;
  9. Has satisfactorily completed a training course as prescribed and approved by the director; and
  10. Signs a statement of allegiance to the United States Constitution and the Arkansas Constitution.

History. Acts 1995, No. 411, § 2; 1995, No. 419, § 2; 1997, No. 368, § 1; 1997, No. 1239, § 10; 1999, No. 51, § 1; 2003, No. 545, §§ 1, 5; 2007, No. 198, § 1; 2007, No. 664, § 3; 2013, No. 989, § 1; 2015, No. 105, § 1; 2015, No. 649, § 1; 2019, No. 910, §§ 5738, 5739; 2019, No. 917, § 1; 2019, No. 1038, § 1.

A.C.R.C. Notes. Acts 2013, No. 1460, § 6, repealed § 16-90-605 referenced in subdivision (5)(B)(ii) of this section. For current law, see the Comprehensive Criminal Record Sealing Act of 2013, § 16-90-1401 et seq.

Amendments. The 2003 amendment inserted present (1)(A)(i)(a) and (1)(A)(ii)(b) and made related changes; and deleted “without requiring the person to meet the eligibility or fee requirements” following “director determines” in the introductory paragraph of (2).

The 2013 amendment substituted “member of the United States armed forces” for “military personnel” in (2)(B)(ii) and added (2)(B)(iii).

The 2015 amendment by No. 105 substituted “at least” for “twenty-one (21) years of age or older” in (3); and added (3)(A) and (B).

The 2015 amendment by No. 649 added “or a permanent legal resident” in (1); and deleted former (2)(B)(i) and redesignated the remaining subdivisions accordingly.

The 2019 amendment by No. 910 substituted “Division of Arkansas State Police” for “Department of Arkansas State Police” in the introductory language and in (6).

The 2019 amendment by No. 917 added the (11)(A) designation; and added (11)(B).

The 2019 amendment by No. 1038 rewrote (5).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Weapons, 26 U. Ark. Little Rock L. Rev. 370.

5-73-310. Application form.

The application for a license to carry a concealed handgun shall be completed, under oath, on a form promulgated by the Director of the Division of Arkansas State Police and shall include only:

  1. The name, address, place and date of birth, race, and sex of the applicant;
  2. The driver's license number or Social Security number of the applicant;
  3. Any previous address of the applicant for the two (2) years preceding the date of the application;
  4. A statement that the applicant is in compliance with criteria contained within §§ 5-73-308(a) and 5-73-309;
  5. A statement that the applicant has been furnished a copy of this subchapter and is acquainted with the truth and understanding of this subchapter;
  6. A conspicuous warning that the application is executed under oath, and that a knowingly false answer to any question or the knowing submission of any false document by the applicant subjects the applicant to:
    1. Criminal prosecution and precludes any future license's being issued to the applicant; and
    2. Immediate revocation if the license has already been issued;
  7. A statement that the applicant desires a legal means to carry a concealed handgun to defend himself or herself;
    1. A statement of whether the applicant is applying for:
      1. An unrestricted license, that allows the person to carry any handgun; or
      2. A restricted license, that allows the person to carry any handgun other than a semiautomatic handgun.
      1. An applicant requesting an unrestricted license shall establish proficiency in the use of a semiautomatic handgun.
      2. An applicant requesting a restricted license shall establish proficiency in the use of a handgun and may use any kind of handgun when establishing proficiency; and
  8. A statement of whether or not the applicant has been found guilty of a crime of violence or domestic abuse.

History. Acts 1995, No. 411, § 2; 1995, No. 419, § 2; 1997, No. 1239, § 5; 1999, No. 786, § 1; 2019, No. 910, § 5740.

Amendments. The 2019 amendment substituted “Division of Arkansas State Police” for “Department of Arkansas State Police” in the introductory language.

5-73-311. Application procedure.

  1. The applicant for a license to carry a concealed handgun shall submit the following to the Division of Arkansas State Police:
    1. A completed application, as described in § 5-73-310;
    2. A nonrefundable license fee of fifty dollars ($50.00), except that the nonrefundable license fee is twenty-five dollars ($25.00) if the applicant is sixty-five (65) years of age or older;
      1. A full set of fingerprints of the applicant.
      2. In the event a legible set of fingerprints, as determined by the division and the Federal Bureau of Investigation, cannot be obtained after a minimum of two (2) attempts, the Director of the Division of Arkansas State Police shall determine eligibility in accordance with criteria that the division shall establish by promulgating rules.
      3. Costs for processing the set of fingerprints as required in subdivision (a)(3)(A) of this section shall be borne by the applicant;
      1. A waiver authorizing the division access to any medical, criminal, or other records concerning the applicant and permitting access to all of the applicant's criminal records.
      2. If a check of the applicant's criminal records uncovers any unresolved felony arrests over ten (10) years old, then the applicant shall obtain a letter of reference from the county sheriff, prosecuting attorney, or circuit judge of the county where the applicant resides that states that to the best of the county sheriff's, prosecuting attorney's, or circuit judge's knowledge that the applicant is of good character and free of any felony convictions.
      3. The division shall maintain the confidentiality of the medical, criminal, or other records; and
    3. A digital photograph of the applicant or a release authorization to obtain a digital photograph of the applicant from another source.
    1. Upon receipt of the items listed in subsection (a) of this section, the division shall forward the full set of fingerprints of the applicant to the appropriate agencies for state and federal processing.
      1. The division shall forward a notice of the applicant's application to the sheriff of the applicant's county of residence and, if applicable, the police chief of the applicant's municipality of residence.
        1. The sheriff of the applicant's county of residence and, if applicable, the police chief of the applicant's municipality of residence may participate, at his or her discretion, in the process by submitting a voluntary report to the division containing any readily discoverable information that he or she feels may be pertinent to the licensing of any applicant.
        2. The reporting under subdivision (b)(2)(B)(i) of this section shall be made within thirty (30) days after the date the notice of the application was sent by the division.
  2. A concealed handgun license issued, renewed, or obtained under § 5-73-314 or § 5-73-319 after December 31, 2007, shall bear a digital photograph of the licensee.

History. Acts 1995, No. 411, § 2; 1995, No. 419, § 2; 1997, No. 1239, § 9; 1997, No. 1251, § 1; 1999, No. 487, § 1; 2007, No. 664, § 4; 2009, No. 748, § 42; 2013, No. 1271, § 1; 2019, No. 61, § 1; 2019, No. 188, § 1; 2019, No. 910, §§ 5741-5745.

Amendments. The 2009 amendment inserted “under subdivision (b)(2)(B)(i) of this section” in (b)(2)(B)(ii).

The 2013 amendment added “except that the nonrefundable license fee is fifty dollars ($50.00) if the applicant is sixty-five (65) years of age or older” in (a)(2).

The 2019 amendment by identical acts Nos. 61 and 188, in (a)(2), substituted “fifty dollars ($50.00)” for “one hundred dollars ($100)” and “twenty-five dollars ($25.00)” for “fifty dollars ($50.00)”.

The 2019 amendment by No. 910 substituted “Division of Arkansas State Police” for “Department of Arkansas State Police” in the introductory language of (a) and in (a)(3)(B); and substituted “division” for “department” twice in (a)(3)(B), and in (a)(4)(A), (a)(4)(C), (b)(2)(A), (b)(2)(B)(i), and (b)(2)(B)(ii).

5-73-312. Revocation.

    1. A license to carry a concealed handgun issued under this subchapter shall be revoked if the licensee becomes ineligible under the criteria set forth in § 5-73-308(a) or § 5-73-309.
      1. Any law enforcement officer making an arrest of a licensee for a violation of this subchapter or any other statutory violation that requires revocation of a license to carry a concealed handgun shall confiscate the license and forward it to the Director of the Division of Arkansas State Police.
      2. The license shall be held until a determination of the charge is finalized, with the appropriate disposition of the license after the determination.
  1. When the Division of Arkansas State Police receives notification from any law enforcement agency or court that a licensee has been found guilty or has pleaded guilty or nolo contendere to any crime involving the use of a weapon, the license issued under this subchapter is immediately revoked.
  2. The director shall revoke the license of any licensee who has pleaded guilty or nolo contendere to or been found guilty of an alcohol-related offense committed while carrying a handgun.

History. Acts 1995, No. 411, §§ 2, 4, 5; 1995, No. 419, §§ 2, 4, 5; 1997, No. 1239, § 11; 2003, No. 545, § 4; 2007, No. 827, § 101; 2019, No. 910, §§ 5746, 5747.

Amendments. The 2003 amendment rewrote (c).

The 2019 amendment substituted “Division of Arkansas State Police” for “Department of Arkansas State Police” in (a)(2)(A) and (b).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Weapons, 26 U. Ark. Little Rock L. Rev. 370.

5-73-313. Expiration and renewal.

  1. Except as provided in subdivision (f)(1) of this section, the licensee may renew his or her license no more than ninety (90) days prior to the expiration date by submitting to the Division of Arkansas State Police:
    1. A renewal form prescribed by the division;
    2. A verified statement that the licensee remains qualified pursuant to the criteria specified in §§ 5-73-308(a) and 5-73-309;
    3. A renewal fee of twenty-five dollars ($25.00);
    4. A certification or training form properly completed by the licensee's training instructor reflecting that the licensee's training was conducted; and
    5. A digital photograph of the licensee or a release authorization to obtain a digital photograph of the licensee from another source.
  2. The license shall be renewed upon receipt of the completed renewal application, a digital photograph of the licensee, and appropriate payment of fees subject to a background investigation conducted pursuant to this subchapter that did not reveal any disqualifying offense or unresolved arrest that would disqualify a licensee under this subchapter.
  3. Additionally, a licensee who fails to file a renewal application on or before the expiration date shall renew his or her license by paying a late fee of fifteen dollars ($15.00).
    1. No license shall be renewed six (6) months or more after its expiration date, and the license is deemed to be permanently expired.
      1. A person whose license has been permanently expired may reapply for licensure.
      2. An application for licensure and fees pursuant to §§ 5-73-308(a), 5-73-309, and 5-73-311(a) shall be submitted, and a new background investigation shall be conducted.
  4. A new criminal background investigation shall be conducted when an applicant applies for renewal of a license. Costs for processing a new background check shall be paid by the applicant.
    1. An active duty member of the United States Armed Forces, a member of the National Guard, or a member of a reserve component of the United States Armed Forces, who is on active duty outside this state may renew his or her license within thirty (30) days after the person returns to this state by submitting to the division:
      1. Proof of assignment outside of this state on the expiration date of the license; and
      2. The items listed in subdivisions (a)(1)-(5) of this section.
    2. Subsections (c) and (d) of this section shall not apply to a person who renews his or her license under subdivision (f)(1) of this section.

History. Acts 1995, No. 411, § 2; 1995, No. 419, § 2; 1997, No. 1239, §§ 6, 12; 1999, No. 487, § 2; 2003, No. 545, § 2; 2005, No. 881, § 1; 2007, No. 664, § 5; 2019, No. 61, § 2; 2019, No. 188, § 2.

Amendments. The 2003 amendment added (g).

The 2019 amendments by identical Acts Nos. 61 and 188 substituted “twenty-five dollars ($25.00)” for “thirty-five dollars ($35.00)” in (a)(3).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Weapons, 26 U. Ark. Little Rock L. Rev. 370.

5-73-314. Lost, destroyed, or duplicate license — Change of address.

  1. Within thirty (30) days after the changing of a permanent address, or within thirty (30) days after having a license to carry a concealed handgun lost, the licensee shall notify the Director of the Division of Arkansas State Police in writing of the change or loss.
  2. If a license to carry a concealed handgun is lost or destroyed, or a duplicate is requested, the person to whom the license to carry a concealed handgun was issued shall comply with the provisions of subsection (a) of this section and may obtain a duplicate license or replacement license upon:
    1. Paying the Division of Arkansas State Police a fee established by the director under the Arkansas Administrative Procedure Act, § 25-15-201 et seq.; and
    2. Furnishing a notarized statement to the division that the license to carry a concealed handgun has been lost or destroyed or that a duplicate is requested.
  3. The fee described in subdivision (b)(1) of this section shall be reduced by fifty percent (50%) if a person sixty-five (65) years of age or older is requesting a replacement or duplicate license under this section.

History. Acts 1995, No. 411, § 2; 1995, No. 419, § 2; 2011, No. 758, § 3; 2013, No. 1271, § 2; 2015, No. 1155, § 15; 2019, No. 910, §§ 5748, 5749.

Amendments. The 2011 amendment, in (a), substituted “having a license to carry a concealed handgun lost” for “having a license or handgun lost or disposed of” and deleted “or disposition” at the end; in the introductory paragraph of (b), deleted “concealed handgun” following “If a” and inserted “to carry a concealed handgun” twice; and, in (b)(2), deleted “handgun or” preceding “license” and “or disposed of” at the end.

The 2013 amendment inserted “or duplicate” following “destroyed” in the section heading; inserted “or a duplicate is requested” in (b); substituted “Paying” for “Payment to” in (b)(1); added “or that a duplicate is requested” in (b)(2); and added (c).

The 2015 amendment inserted “destroyed or” in (b)(2); and substituted “sixty-five (65) years of age or older” for “described in § 5-73-311 (a)(2)” in (c).

The 2019 amendment substituted “Division of Arkansas State Police” for “Department of Arkansas State Police” in (a) and (b)(1); and substituted “division” for “department” in (b)(2).

5-73-315. Authority to carry concealed handgun — Identification of licensee.

  1. Any licensee possessing a valid license issued pursuant to this subchapter may carry a concealed handgun.
  2. The licensee shall:
    1. Carry the license, or an electronic copy of the license in an acceptable electronic format, together with valid identification, at any time when the licensee is carrying a concealed handgun; and
    2. Display both the license, or an electronic copy of the license in an acceptable electronic format, and proper identification upon demand by a law enforcement officer.
  3. The presentment of proof of a license to carry a concealed handgun in electronic form does not:
    1. Authorize a search of any other content of an electronic device without a search warrant or probable cause; or
    2. Expand or restrict the authority of a law enforcement officer to conduct a search or investigation.

History. Acts 1995, No. 411, § 2; 1995, No. 419, § 2; 2007, No. 827, § 102; 2013, No. 419, § 2.

Amendments. The 2013 amendment added “or an electronic copy of the license in an acceptable electronic format” in (b)(1) and (b)(2); and added (c).

5-73-316. Fees.

Any fee collected by the Department of Arkansas State Police pursuant to this subchapter shall be deposited into the Department of Arkansas State Police Fund.

History. Acts 1995, No. 411, § 2; 1995, No. 419, § 2.

5-73-317. Rules.

The Director of the Division of Arkansas State Police may promulgate rules to permit the efficient administration of this subchapter.

History. Acts 1995, No. 411, § 8; 1995, No. 419, § 8; 2019, No. 315, § 172; 2019, No. 910, § 5750.

Amendments. The 2019 amendment by No. 315 deleted “and regulations” following “Rules” in the section heading; and deleted “and regulations” following “rules” in the text.

The 2019 amendment by No. 910 substituted “Division of Arkansas State Police” for “Department of Arkansas State Police”.

5-73-318. Instructor review of applications.

  1. An instructor authorized to conduct a training course required by this subchapter shall check the application of a student for completeness, accuracy, and legibility.
  2. An instructor who repeatedly fails to comply with subsection (a) of this section may have his or her license to conduct a training course revoked.

History. Acts 1997, No. 1239, § 7.

5-73-319. Transfer of a license to Arkansas.

  1. Any person who becomes a resident of Arkansas who has a valid license to carry a concealed handgun issued by a reciprocal state may apply to transfer his or her license to Arkansas by submitting the following to the Division of Arkansas State Police:
    1. The person's current reciprocal state license;
    2. Two (2) properly completed fingerprint cards;
    3. A nonrefundable license fee of thirty-five dollars ($35.00);
    4. Any fee charged by a state or federal agency for a criminal history check; and
    5. A digital photograph of the person or a release authorization to obtain a digital photograph of the person from another source.
  2. After July 31, 2007, the newly transferred license is valid for a period of five (5) years from the date of issuance and binds the holder to all Arkansas laws and rules regarding the carrying of the concealed handgun.

History. Acts 2003, No. 545, § 3; 2007, No. 664, § 26; 2007, No. 1014, § 2; 2019, No. 315, § 173.

Amendments. The 2019 amendment substituted “rules” for “regulations” in (b).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2003 Arkansas General Assembly, Criminal Law, Weapons, 26 U. Ark. Little Rock L. Rev. 370.

5-73-320. License for certain members of the Arkansas National Guard or a reserve component or active duty military personnel.

  1. The Division of Arkansas State Police may issue a license under this subchapter to a person who:
    1. Is currently serving as an active duty member of, or has recently been honorably discharged from, the United States Armed Forces, the National Guard, or a reserve component of the United States Armed Forces;
    2. Submits the following documents:
      1. A completed concealed handgun license application as prescribed by the division;
      2. A form specified by the Director of the Division of Arkansas State Police reflecting the fingerprints of the applicant;
      3. A properly completed and dated certificate from a concealed handgun carry training instructor who is registered with the division;
      4. A letter dated and personally signed by a commanding officer or his or her designee stating that the applicant is of good character and sound judgment;
      5. A form, as designated by the division, showing that the applicant has met the military qualification requirements for issuance and operation of a handgun within one (1) year of the application date;
      6. A copy of the face or photograph side of a current uniformed services of the United States identification card, if the applicant is a member of the United States Armed Forces; and
      7. An electronic passport-style photo of the applicant, if the applicant does not hold an Arkansas driver's license or identification card; and
    3. Submits any required fees.
  2. Except as otherwise specifically stated in this section, the license issued under this section is subject to the provisions of this subchapter and any rules promulgated under § 5-73-317.

History. Acts 2005, No. 1868, § 1; 2007, No. 664, § 7; 2007, No. 1014, § 3; 2013, No. 989, § 2; 2017, No. 1017, § 1; 2019, No. 910, § 5751.

Amendments. The 2013 amendment inserted (a)(2)(C) and redesignated former (C) as (D) and added “A live-fire qualification issued or granted by a branch of the United States armed forces or, in lieu of a live fire qualification” to present (D) and deleted former (iii), (v), and redesignated the remaining subdivisions accordingly; deleted former (D) and added (F); deleted (b) and redesignated former (c) as (b).

The 2017 amendment rewrote (a)(1); rewrote and redesignated former (a)(2)(D) as (a)(2)(D) and (E); and redesignated former (a)(2)(E) and (F) as (a)(2)(F) and (G).

The 2019 amendment substituted “Division of Arkansas State Police” for “Department of Arkansas State Police” in the introductory language of (a) and in (a)(2)(B); and substituted “division” for “department” in (a)(2)(A), (a)(2)(C), and (a)(2)(E).

5-73-321. Recognition of other states' licenses.

A person in possession of a valid license to carry a concealed handgun issued to the person by another state is entitled to the privileges and subject to the restrictions prescribed by this subchapter.

History. Acts 2009, No. 748, § 43; 2013, No. 1089, § 1.

Amendments. The 2013 amendment rewrote the section.

5-73-322. Concealed handguns in a university, college, or community college building.

    1. As used in this section, “public university, public college, or community college” means an institution that:
      1. Regularly receives budgetary support from the state government;
      2. Is part of the University of Arkansas or Arkansas State University systems; or
      3. Is required to report to the Arkansas Higher Education Coordinating Board.
    2. “Public university, public college, or community college” includes without limitation a public technical institute.
    3. “Public university, public college, or community college” does not include a private university or private college solely because:
      1. Students attending the private university or private college receive state-supported scholarships; or
      2. The private university or private college voluntarily reports to the board.
  1. A licensee who has completed the training required under subsection (g) of this section may possess a concealed handgun in the buildings and on the grounds of a public university, public college, or community college, whether owned or leased by the public university, public college, or community college, unless otherwise prohibited by this section or § 5-73-306.
    1. A licensee may possess a concealed handgun in the buildings and on the grounds of a private university or private college unless otherwise prohibited by this section or § 5-73-306 if the private university or private college does not adopt a policy expressly disallowing the carrying of a concealed handgun in the buildings and on the grounds of the private university or private college.
      1. A private university or private college that adopts a policy expressly disallowing the carrying of a concealed handgun in the buildings and on the grounds of the private university or private college shall post notices as described in § 5-73-306(18).
      2. A private university or private college that adopts a policy only allowing carrying of a concealed handgun under this section shall post notices as described in § 5-73-306(18) and subdivision (c)(2)(C) of this section.
      3. If a private university or private college permits carrying a concealed handgun under this section, the private university or private college may revise any sign or notice required to be posted under § 5-73-306(18) to indicate that carrying a concealed handgun under this section is permitted.
  2. The storage of a handgun in a university or college-operated student dormitory or residence hall is prohibited under § 5-73-119(c).
    1. A licensee who may carry a concealed handgun in the buildings and on the grounds of a public university, public college, or community college under this section may not carry a concealed handgun into a location in which an official meeting lasting no more than nine (9) hours is being conducted in accordance with documented grievance and disciplinary procedures as established by the public university, public college, or community college if:
      1. At least twenty-four (24) hours' notice is given to participants of the official meeting;
      2. Notice is posted on the door of or each entryway into the location in which the official meeting is being conducted that possession of a concealed handgun by a licensee under this section is prohibited during the official meeting; and
      3. The area of a building prohibited under this subdivision (e)(1) is no larger than necessary to complete the grievance or disciplinary meeting.
    2. A person who knowingly violates subdivision (e)(1) of this section upon conviction is guilty of:
      1. A violation for a first offense and subject to a fine not exceeding one hundred dollars ($100); and
      2. A Class C misdemeanor for a second or subsequent offense.
  3. This section does not affect a licensee's ability to store a concealed handgun in his or her vehicle under § 5-73-306(13)(B)(v).
    1. A licensee who intends to carry a concealed handgun in the buildings and on the grounds of a public university, public college, or community college is required to complete a training course approved by the Director of the Division of Arkansas State Police.
      1. Training required under this subsection shall:
        1. Not be required to be renewed;
        2. Consist of a course of up to eight (8) hours;
        3. Be offered at the training instructor's option at concealed carry training courses; and
        4. Cost no more than a nominal amount.
      2. The director may waive up to four (4) hours of the training required under this subsection for a licensee based on the licensee's prior training attended within ten (10) years of applying for the endorsement provided for under subdivision (g)(3) of this section on appropriate topics.
    2. A licensee who completes a training course under this subsection shall be given a concealed carry endorsement by the Division of Arkansas State Police on his or her license to carry a concealed handgun indicating that the person is permitted to possess and carry a concealed handgun in the buildings and on the grounds of a public university, public college, or community college.
  4. A licensee who completes a training course and obtains a concealed carry endorsement under subsection (g) of this section is exempted from the prohibitions and restrictions on:
    1. Carrying a firearm in a publicly owned building or facility under § 5-73-122, if the firearm is a concealed handgun; and
    2. Carrying a concealed handgun in a prohibited place listed under § 5-73-306(7)-(12), (14), (15), and (17), unless otherwise prohibited under § 5-73-306(19) or § 5-73-306(20).
  5. The division shall maintain a list of licensees who have successfully completed a training course under subsection (g) of this section.
    1. Unless possession of a concealed handgun is a requirement of a licensee's job description, the possession of a concealed handgun under this section is a personal choice made by the licensee and not a requirement of the employing public university, public college, or community college.
    2. A licensee who possesses a concealed handgun in the buildings and on the grounds of a public university, public college, or community college at which the licensee is employed is not:
      1. Acting in the course of or scope of his or her employment when possessing or using a concealed handgun;
      2. Entitled to worker's compensation benefits for injuries arising from his or her own negligent acts in possessing or using a concealed handgun;
      3. Immune from personal liability with respect to possession or use of a concealed handgun; or
      4. Permitted to carry a concealed handgun openly or in any other manner in which the concealed handgun is visible to ordinary observation.
    3. A public university, public college, or community college is immune from a claim for monetary damages arising from or related to a licensee's use of, or failure to use, a concealed handgun if the licensee elects to possess a concealed handgun under this section.

History. Acts 2013, No. 226, § 5; 2015, No. 1155, § 16; 2017, No. 562, § 6; 2017, No. 859, §§ 7, 8; 2019, No. 910, §§ 5752-5755; 2020, No. 97, § 46.

A.C.R.C. Notes. Acts 2017, No. 562, § 7, provided: “Training program. The Department of Arkansas State Police shall promulgate rules to design a training program described under Section 1 of this act within one hundred twenty (120) days of the effective date of this act [Sept. 1, 2017]”.

Publisher's Notes. Acts 2017, No. 859, §§ 7, 8, specifically amended this section as amended by Acts 2017, No. 562.

Amendments. The 2015 amendment deleted “public” preceding “community college” throughout (b).

The 2017 amendment by No. 562 rewrote (a) through (c); and added (e) through (j).

The 2017 amendment by No. 859 substituted “a concealed carry endorsement” for “an endorsement” in the introductory language of (h); added “unless otherwise prohibited under § 5-73-306(19) or § 5-73-306(20)” in (h)(2); and, in (j)(3), deleted “the licensee is employed by the public university, public college, or community college against whom the claim is filed and” following “if” and substituted “a” for “the” following “possess”.

The 2019 amendment substituted “Division of Arkansas State Police” for “Department of Arkansas State Police” in (g)(1), (g)(2)(B), and (g)(3); and substituted “division” for “department” in (i).

The 2020 amendment rewrote (g)(2)(A)(iii); substituted “director” for “Director of the Division of Arkansas State Police” in (g)(2)(B); inserted “indicating” in (g)(3); and made a stylistic change.

Effective Dates. Acts 2017, No. 562, § 8: Sept. 1, 2017.

Acts 2017, No. 859, § 10: Sept. 1, 2017.

Research References

Ark. L. Rev.

Thomas Christoph Keller, Comment: ABC's and AR-15's: Arming Arkansas's Teachers, 67 Ark. L. Rev. 687 (2014).

5-73-323. Parole board exemptions.

A member of the Parole Board, a board investigator, or a parole revocation judge who has been issued a license to carry a concealed handgun by the Department of Arkansas State Police under this subchapter may carry his or her concealed handgun into a building in which or a location on which a law enforcement officer may carry a handgun if the board member, board investigator, or parole revocation judge is on official business of the board.

History. Acts 2013, No. 320, § 2.

5-73-324. Firearm rights shall not be infringed.

  1. A license to carry a concealed handgun issued under this subchapter shall not be denied, suspended, or revoked because a person was lawfully exercising his or her rights to carry a firearm under the United States Constitution, Amendment 2, the Arkansas Constitution, Article 2, § 5, or the Arkansas Code.
  2. The Division of Arkansas State Police shall not promulgate any rule and shall amend any existing rule that would result in a licensee having his or her license to carry a concealed handgun suspended or revoked solely because he or she possessed a handgun and the possession was not in violation of any criminal offense or § 5-73-306.

History. Acts 2017, No. 486, § 1.

5-73-325. Firearm-sensitive areas — Security plan approval.

    1. The following entities may submit a security plan to the Division of Arkansas State Police for approval that designates certain areas as a firearm-sensitive area where possession of a concealed handgun by a licensee under this subchapter is prohibited:
      1. The Arkansas State Hospital;
      2. The University of Arkansas for Medical Sciences; and
        1. An institution of higher education that hosts or sponsors a collegiate athletic event.
        2. A firearm-sensitive area under subdivision (a)(1)(C)(i) of this section is limited to an area where a collegiate athletic event is held.
    2. A security plan submitted under this section shall include the following information and corresponding security measures:
      1. Total projected attendance;
      2. Number of entrances and exits;
      3. Number of on-site private security personnel;
      4. Number of on-site law enforcement officers;
      5. Number of on-site first responders;
      6. Location of parking areas and number of motor vehicles projected to use the parking areas;
      7. Routes for emergency vehicles;
      8. Locations of all restrooms, stairs, and elevators;
      9. Evacuation procedures;
      10. Security communication protocol;
      11. Location of emergency vehicles;
      12. Public communication protocol; and
      13. Bomb threat and active shooter procedures.
  1. Security measures under this section shall include without limitation:
    1. Security personnel or law enforcement officers on-site;
    2. Use of a magnetometer or other metal-detecting device designed to detect a weapon;
    3. Barricades; or
    4. Other measures or devices designed to protect the public from a security threat.
    1. An entity shall submit a security plan to the division under this section annually or no later than five (5) days before a scheduled collegiate athletic event.
    2. The division shall approve or disapprove a security plan for a scheduled collegiate athletic event within seventy-two (72) hours of the receipt of the security plan.
    3. Otherwise the division shall approve or disapprove a security plan within ten (10) business days.
  2. Upon approval of a security plan, an entity shall post a notification at all firearm-sensitive areas that possession of a concealed handgun is prohibited.
  3. A security plan submitted under this section is exempt from public disclosure under the Freedom of Information Act of 1967, § 25-19-101 et seq.

History. Acts 2017, No. 859, § 9.

Effective Dates. Acts 2017, No. 859, § 10: Sept. 1, 2017.

5-73-326. Licensee rights — Private employer parking lot.

  1. A private employer shall not prohibit an employee who is a licensee from transporting or storing a legally owned handgun in the employee's private motor vehicle in the private employer's parking lot when:
    1. The handgun:
      1. Is lawfully possessed;
      2. Is stored out of sight inside a locked private motor vehicle in the private employer's parking lot; and
        1. Is stored inside a locked personal handgun storage container that is designed for the safe storage of a handgun.
        2. An employee is not required to store the handgun in the personal handgun storage container as required in subdivision (a)(1)(C)(i) of this section until he or she is exiting his or her private motor vehicle; and
    2. The employee has in his or her possession the key to the personal handgun storage container as required by subdivision (a)(1)(C)(i) of this section.
  2. A private employer shall not prohibit or attempt to prevent an employee who is a licensee from entering the parking lot of the private employer's place of business because the employee's private motor vehicle contains a handgun if:
    1. The handgun is kept for lawful purposes;
    2. The handgun is concealed within the employee's private motor vehicle; and
    3. The employee stores the handgun in his or her motor vehicle in accordance with subdivisions (a)(1)(A)-(C) of this section.
  3. An employer has the right to:
    1. Prohibit a person who is not an employee from storing a handgun in the employee's motor vehicle in the private employer's parking lot; and
    2. Prohibit a licensee's entry onto the private employer's place of business or parking lot because the person's private motor vehicle contains a handgun in the following circumstances:
      1. The parking lot is a prohibited place specifically listed in § 5-73-306;
      2. The parking lot is on the grounds of an owner-occupied single-family detached residence or a tenant-occupied single-family detached residence and the single-family detached residence or tenant-occupied single-family detached residence is being used as a residence;
      3. The private employer reasonably believes that the employee is in illegal possession of the handgun;
      4. The employee is operating a private employer-owned motor vehicle during and in the course of the employee's duties on behalf of the private employer, except when the employee is required to transport or store a firearm as part of the employee's duties;
      5. The private motor vehicle is not permitted in the parking lot for reasons unrelated to the employee's transportation, storage, or possession of a handgun;
      6. The employee is the subject of an active or pending employment disciplinary proceeding; or
      7. The employee, at any time after being issued a license to carry a concealed handgun, has been adjudicated mentally incompetent or not guilty in a legal proceeding by reason of mental disease or defect.
  4. This section does not prevent a private employer from prohibiting a person who is not licensed or who fails to transport or store the handgun in accordance with subdivisions (a)(1)(A)-(C) of this section from transporting or storing a handgun in the parking lot or from entering onto the private employer's place of business or the private employer's parking lot.
  5. A former employee who possesses a handgun in his or her private motor vehicle under this section is not criminally liable for possessing the handgun in his or her private motor vehicle in his or her former private employer's parking lot while the former employee is physically leaving the private employer's parking lot immediately following his or her termination or other reason for ceasing employment with the former private employer.

History. Acts 2017, No. 1071, § 3.

A.C.R.C. Notes. Acts 2017, No. 1071, § 1, provided: “Legislative intent. It is the intent of this act to reinforce and protect the right of each citizen to lawfully transport and store a handgun within his or her private motor vehicle for lawful purposes in any place where the private motor vehicle is otherwise permitted to be located.”

5-73-327. Discharged veterans.

  1. As used in this section:
    1. “Mental health institution or mental health treatment facility” means a public or private facility where a person may voluntarily admit himself or herself for mental health treatment; and
    2. “Veteran” means a person who:
      1. Served on active duty in the United States Armed Forces for a period of more than one hundred eighty (180) days and was discharged or released from active duty with other than a dishonorable discharge;
      2. Was discharged or released from active duty in the United States Armed Forces because of a service-connected disability; or
      3. As a member of a reserve component of the United States Armed Forces under an order to active duty, not to include training, was discharged or released from duty with other than a dishonorable discharge.
    1. A veteran who voluntarily seeks and completes mental health treatment in a mental health institution or mental health treatment facility may obtain a license to carry a concealed handgun under this subchapter by filing a petition in the circuit court where the veteran resides.
    2. However, the veteran may not obtain a license to carry a concealed handgun under this subchapter until at least two (2) years after he or she completed mental health treatment in a mental health institution or mental health treatment facility.
    1. A petition under this section shall request a judicial determination that the petitioner is mentally fit and that his or her past voluntary commitment to a mental institution or mental health treatment facility would currently not have a negative impact on the petitioner's ability to responsibly possess a license to carry a concealed handgun.
    2. A petitioner shall also provide the circuit court with a limited medical waiver that would allow the circuit court and the prosecuting attorney access to and the ability to request any medical record that concerns the petitioner's mental health treatment at issue.
    1. A copy of a petition under this section shall be served on the prosecuting attorney within thirty (30) days of the filing of the petition.
    2. The prosecuting attorney may appear, support, object to, or present evidence relevant to the petition.
  2. The circuit court shall consider evidence in an open proceeding, including evidence offered by the petitioner concerning:
    1. The circumstances that led to the petitioner voluntarily seeking mental health treatment;
    2. The petitioner's certified mental health records;
    3. The petitioner's certified criminal history;
    4. The petitioner's reputation; and
    5. Changes in the petitioner's condition or circumstances relevant to the petition.
  3. The circuit court shall grant the petition if the circuit court finds by a preponderance of the evidence the following:
    1. The petitioner is not likely to act in a manner that is dangerous to public safety; and
    2. Granting the petition would not be contrary to the public interest.
  4. The petitioner may appeal a final order denying the petition and the review on appeal shall be de novo.
  5. A veteran may file a petition under this section no more than one (1) time every two (2) years.
  6. When the circuit court issues an order granting a petition under this section, as soon as practicable but no later than thirty (30) days after issuance of the order, the circuit clerk shall forward a copy of the order to the Division of Arkansas State Police.

History. Acts 2019, No. 917, § 2.

Subchapter 4 — Concealed Handgun License Reciprocity

5-73-401. [Repealed.]

Publisher's Notes. This section, concerning handgun license reciprocity, was repealed by Acts 2007, No. 198, § 2, and No. 827, § 104. The section was derived from Acts 1997, No. 789, § 1.

For current law, see § 5-73-321.

5-73-402. [Repealed.]

Publisher's Notes. This section, concerning recognition of other states' permits, was repealed by Acts 2009, No. 748, § 44. The section was derived from Acts 1997, No. 1239, § 13; 2007, No. 198, § 3; 2007, No. 827, § 104.

For current law, see § 5-73-321.

5-73-119. Handguns — Possession by minor or possession on school property.

Chapter 74 Gangs

Subchapter 1 — Arkansas Criminal Gang, Organization, or Enterprise Act

A.C.R.C. Notes. Acts 1993, No. 1002, § 4, provided:

“All laws and parts of laws in conflict with this act are hereby repealed. However, there is not intent by enactment of the ‘Arkansas Criminal Gang, Organization or Enterprise Act’ to repeal existing state law governing substantive criminal offenses, including those mentioned herein, or enhancement of penalties relating to those offenses, and this act is designed to provide alternative remedies to those which exist under current state law.”

Research References

U. Ark. Little Rock L.J.

Legislative Survey, Criminal Law, 16 U. Ark. Little Rock L.J. 91.

5-74-101. Title.

This subchapter shall be known and may be cited as the “Arkansas Criminal Gang, Organization, or Enterprise Act”.

History. Acts 1993, No. 1002, § 1.

Research References

ALR.

Validity of Criminal State Racketeer Influenced and Corrupt Organizations Acts and Similar Acts Related to Gang Activity and the Like. 58 A.L.R.6th 385.

5-74-102. General legislative findings, declarations, and intent.

    1. The General Assembly finds and declares that it is the right of every person, regardless of race, color, creed, religion, national origin, sex, age, or handicap, to be secure and protected from fear, intimidation, and physical harm caused by the activities of groups engaging in random crimes of violence, and committing crimes for profit and violent crimes committed to protect or control market areas or “turf ”.
    2. It is not the intent of this subchapter to interfere with the constitutional exercise of the protected rights and freedoms of expression and association.
    3. The General Assembly recognizes the right of every citizen to harbor and constitutionally express beliefs on any lawful subject whatsoever, to associate lawfully with others who share similar beliefs, to petition lawfully constituted authority for a redress of perceived grievances, and to participate in the electoral process.
    1. The General Assembly further finds that the State of Arkansas is experiencing an increase in crime committed by criminal gangs, organizations, or enterprises.
    2. These criminal gangs, organizations, or enterprises support themselves by engaging in criminal activity for profit, most commonly through the distribution of controlled substances and theft of property.
    3. These criminal gangs, organizations, or enterprises are becoming increasingly sophisticated at avoiding arrest and prosecution.
    4. With increasing frequency, criminals are using the property of another person which has been stolen, borrowed, leased, or maintained in another person's name to avoid detection and identification.
    5. This is particularly common among members and associates of criminal gangs, organizations, and enterprises.
    6. There is strong evidence that this increased sophistication is due largely to contact with other criminal gangs, organizations, or enterprises from other states.
    1. The General Assembly further finds that criminal gangs, organizations, and enterprises control their market areas by terrorizing the peaceful citizens in their neighborhoods with deliberate and random acts of violence.
    2. “Drive-by” shootings are becoming all too common in many Arkansas cities.
    3. One of the primary reasons for the increased homicide rate is the use of firearms by criminal gangs, organizations, or enterprises to control the crack cocaine market within their geographical “turf ”.
    1. The General Assembly further finds that in addition to the activity of street gangs, there are also other types of criminal organizations or enterprises operating in Arkansas.
    2. Some examples are garages that take parts from stolen automobiles, burglary or retail theft rings, and narcotics distribution organizations.
    3. The number of crimes committed by criminal organizations of all types is increasing.
    4. These ongoing organized criminal activities present a clear and present danger to public order and safety and are not constitutionally protected.
    1. It is the intent of the General Assembly to use as a model the federal continuing criminal enterprise statute, 21 U.S.C. § 848.
    2. This should provide law enforcement officers, prosecutors, and our courts with ample case law to guide in the interpretation of the language and the legislative intent.
    3. It is furthermore the intent of the General Assembly to focus the state's law enforcement agencies and prosecutors on investigating and prosecuting all ongoing organized criminal activity and to provide for penalties that will punish and deter organized ongoing criminal activity.

History. Acts 1993, No. 1002, § 1; 1995, No. 1296, § 9.

Research References

Ark. L. Notes.

Brian Gallini & Britta Stamps, Does Proving Predicate Offenses in Arkansas Require Proof Beyond a Reasonable Doubt?, 2013 Ark. L. Notes 1520.

Case Notes

In General.

The General Assembly intended to address violence in the drug trade by making laws tougher on drug dealers who use firearms. Manning v. State, 330 Ark. 699, 956 S.W.2d 184 (1997).

Cited: Curtis v. State, 76 Ark. App. 458, 68 S.W.3d 305 (2002).

5-74-103. Definitions.

As used in this subchapter:

  1. “Crime of pecuniary gain” means any violation of Arkansas law that results, or was intended to result, in the defendant receiving income, benefit, property, money, or anything of value;
  2. “Crime of violence” means any violation of Arkansas law if a person purposely or knowingly causes, or threatens to cause, death or physical injury to another person, specifically including rape;
  3. “Criminal gang, organization, or enterprise” means any group of three (3) or more individuals who commit a continuing series of two (2) or more predicate criminal offenses that are undertaken in concert with each other; and
  4. “Predicate criminal offense” means any violation of Arkansas law that is a crime of violence or a crime of pecuniary gain.

History. Acts 1993, No. 1002, § 1.

Research References

Ark. L. Notes.

Brian Gallini & Britta Stamps, Does Proving Predicate Offenses in Arkansas Require Proof Beyond a Reasonable Doubt?, 2013 Ark. L. Notes 1520.

Case Notes

Crime of Violence.

Allowing defendant's release on a bed-space bond under § 16-90-122 was erroneous because the release of offenders was only allowed if they were nonviolent in nature; defendant pled guilty to two counts of unlawful discharge of a firearm from a vehicle, which was a crime of violence under this section. State v. Britt, 368 Ark. 273, 244 S.W.3d 665 (2006).

Cited: Jones v. State, 333 Ark. 208, 969 S.W.2d 618 (1998).

5-74-104. Engaging in a continuing criminal gang, organization, or enterprise.

    1. A person commits the offense of engaging in a continuing criminal gang, organization, or enterprise in the first degree if he or she:
      1. Commits or attempts to commit or solicits to commit a felony predicate criminal offense; and
      2. That offense is part of a continuing series of two (2) or more predicate criminal offenses that are undertaken by that person in concert with two (2) or more other persons with respect to whom that person occupies a position of organizer, a supervisory position, or any other position of management.
    2. A person who engages in a continuing criminal gang, organization, or enterprise in the first degree is guilty of a felony two (2) classifications higher than the classification of the highest underlying predicate criminal offense referenced in subdivision (a)(1)(A) of this section.
    1. A person commits the offense of engaging in a continuing criminal gang, organization, or enterprise in the second degree if he or she:
      1. Commits or attempts to commit or solicits to commit a felony predicate criminal offense; and
      2. That offense is part of a continuing series of two (2) or more predicate criminal offenses that are undertaken by that person in concert with two (2) or more other persons, but with respect to whom that person does not occupy the position of organizer, a supervisory position, or any other position of management.
    2. A person who engages in a continuing criminal gang, organization, or enterprise in the second degree is guilty of a felony one (1) classification higher than the classification of the highest underlying predicate criminal offense referenced in subdivision (b)(1)(A) of this section.
  1. A person who engages in a continuing criminal gang, organization, or enterprise when the underlying predicate criminal offense is a Class A felony or a Class Y felony is guilty of a Class Y felony.
  2. Any sentence of imprisonment imposed pursuant to this section is in addition to any sentence imposed for the violation of a predicate criminal offense.

History. Acts 1993, No. 1002, § 1.

Research References

ALR.

Validity of Criminal State Racketeer Influenced and Corrupt Organizations Acts and Similar Acts Related to Gang Activity and the Like. 58 A.L.R.6th 385.

Ark. L. Notes.

Brian Gallini & Britta Stamps, Does Proving Predicate Offenses in Arkansas Require Proof Beyond a Reasonable Doubt?, 2013 Ark. L. Notes 1520.

Case Notes

In Concert.

Defendant's conviction for first-degree continuing-criminal-enterprise in connection with the possession and uttering of counterfeit money was reversed and dismissed as defendant did not act in concert with two other individuals; evidence established that defendant had the first individual pass a counterfeit one-hundred-dollar bill at a store, but the first individual testified that defendant had assured her that the bill was real and, while the second individual was visiting defendant, defendant offered him a one-hundred-dollar bill in exchange for twenty dollars, but the second individual refused that offer. Taylor v. State, 94 Ark. App. 21, 223 S.W.3d 80 (2006).

Predicate Criminal Offense.

A predicate criminal offense for the purposes of this section need not be proved by a conviction or even a formal charge. Garling v. State, 334 Ark. 368, 975 S.W.2d 435 (1998).

5-74-105. Unauthorized use of another person's property to facilitate certain crimes.

    1. A person commits the offense of unauthorized use of another person's property to facilitate a crime if he or she knowingly uses the property of another person to facilitate in any way the violation of a predicate criminal offense without the owner's knowledge.
    2. A violation of this section is a Class B felony.
  1. The State of Arkansas is the victim in any violation of this section.

History. Acts 1993, No. 1002, § 1.

Research References

Ark. L. Notes.

Brian Gallini & Britta Stamps, Does Proving Predicate Offenses in Arkansas Require Proof Beyond a Reasonable Doubt?, 2013 Ark. L. Notes 1520.

Case Notes

Constitutionality.

—Federal Law.

The Supreme Court did not allow the State an Ark. R. Crim. P. 36.10 appeal because no substantial question of former jeopardy existed when federal and state offenses and proceedings were involved; since the state offense involving interpretation of subdivision (a)(1) of this section and § 5-74-107(b)(1) would not come into issue in the same manner due to a decision concerning the unconstitutionality of a federal law, Arkansas's correct and uniform administration of the criminal law was not in issue. State v. Banks, 322 Ark. 344, 909 S.W.2d 634 (1995).

Evidence Sufficient.

Evidence was sufficient to sustain a conviction for unauthorized use of another person's property to facilitate a crime, where the State presented proof that defendant used another person's property to facilitate the delivery of methamphetamine, and substantial evidence supported the conviction for delivery of methamphetamine. Childers v. State, 2016 Ark. App. 371, 498 S.W.3d 742 (2016).

Elements.

Elements.

This section does not require an element of gang activity. Morgan v. State, 2016 Ark. App. 31 (2016).

5-74-106. Simultaneous possession of drugs and firearms.

  1. A person shall not unlawfully commit a felony violation of §§ 5-64-419 — 5-64-442 or unlawfully attempt, solicit, or conspire to commit a felony violation of §§ 5-64-419 — 5-64-442 while in possession of:
    1. A firearm; or
    2. Any implement or weapon that may be used to inflict serious physical injury or death, and that under the circumstances serves no apparent lawful purpose.
  2. Any person who violates this section is guilty of a Class Y felony.
  3. This section does not apply to a misdemeanor drug offense.
  4. It is a defense to this section that the defendant was in his or her home and the firearm or other implement or weapon was not readily accessible for use.

History. Acts 1993, No. 1002, § 1; 2007, No. 827, § 105; 2011, No. 570, § 70.

A.C.R.C. Notes. Acts 2011, No. 570, § 1, provided: “The intent of this act is to implement comprehensive measures designed to reduce recidivism, hold offenders accountable, and contain correction costs.”

Amendments. The 2011 amendment, in the introductory language of (a), substituted “§ 5-64-419 — § 5-64-442” for “§ 5-64-401” twice.

Cross References. Uniform Controlled Substances Act — Prohibitions and Penalties, § 5-64-401 et seq.

Case Notes

Constitutionality.

This section does not unconstitutionally overlap or conflict with § 5-73-120. Johnson v. State, 333 Ark. 673, 972 S.W.2d 935 (1998).

This section does not violate the federal constitutional right to bear arms. Johnson v. State, 333 Ark. 673, 972 S.W.2d 935 (1998).

Purpose.

This section not only serves the purpose of deterring organized gang and criminal activities, but also serves the broader purpose of curtailing any person's use of a firearm when he or she is involved in the illegal possession or trafficking of controlled substances. McGhee v. State, 330 Ark. 38, 954 S.W.2d 206 (1997).

Constructive Possession.

State did not have to show that defendant physically possessed the handgun in order to sustain a conviction under this section for its possession if the gun's location was such that it was under defendant's dominion and control; the gun in defendant's kitchen next to items used to manufacture methamphetamine sufficiently met that burden. Cherry v. State, 80 Ark. App. 222, 95 S.W.3d 5 (2003) (decided under former § 5-64-401).

Evidence of drugs and firearms, both found in defendant's locked bedroom, provided sufficient evidence for a conviction of simultaneous possession under this section because defendant had the only key to the bedroom, which was deemed to give him constructive possession, and defendant did not qualify for the exemption under subsection (d) of this section because he was not home at the time of the search and the firearms were easily accessible. Ibarra v. State, 2009 Ark. App. 707 (2009).

For purposes of defendant's convictions, his absence at the time of the search did not eliminate a conclusion of constructive possession based on the fact that the drugs and firearm were found in a bedroom closet in close proximity, the bedroom was shared by defendant and another, defendant was at the house prior to the search, and he admitted purchasing the marijuana and possessing the firearm, which inferred more than mere knowledge of the contraband, but also ownership and control over them. Dotson v. State, 2013 Ark. App. 550 (2013).

There was sufficient evidence to support convictions for possession of marijuana with intent to deliver and the simultaneous possession of drugs and firearms based on drugs that were discovered behind a shed; defendant emerged from behind the shed, in close proximity to the drugs, there was no possibility that the drugs could have been tossed from a road, and the bag of drugs was clean and dry, despite the rain. Defendant began acting nervous and making spontaneous statements when it was obvious that officers were going to search behind the shed, defendant had a large amount of cash when he was arrested, and he admitted to having a gun. Block v. State, 2015 Ark. App. 83, 455 S.W.3d 336 (2015).

Sufficient evidence supported defendant's conviction for simultaneous possession of drugs and a firearm because a jury could find defendant constructively possessed a gun found in a vehicle in which defendant was arrested, which defendant drove and solely occupied, as the gun was in plain view of an occupant of the driver's seat. Robinson v. State, 2017 Ark. App. 689, 537 S.W.3d 765 (2017).

Circuit court did not err in denying defendant's motion to dismiss the possession of methamphetamine and simultaneous possession of methamphetamine and a firearm charges where a deputy, while pursuing defendant, observed him throw a black object out of the window, the deputy discovered a bag of narcotics and a firearm in the location, and the deputy did not observe any other traffic in the area; thus, substantial circumstantial evidence supported defendant's constructive possession of the drugs and firearm. Terry v. State, 2018 Ark. App. 435, 559 S.W.3d 301 (2018).

State failed to prove that defendant constructively possessed the firearms that were found in the trailer house where defendant lived because the State did not show that the guns were in defendant's care, control, or management as defendant was found hiding under a couch in the living room, and the firearms were found in the bedroom, under a bed, within arm's reach of another individual hiding under the bed. There was no additional factor that allowed an inference that defendant had control or knowledge of the firearms. McCarley v. State, 2019 Ark. App. 222, 575 S.W.3d 603 (2019).

Defense.

Defendant, who waited outside his residence during a police search of his residence during which officers found a nine millimeter pistol in a sock along with methamphetamine, could not avail himself of the defense to the charge of simultaneous possession of a firearm contained in subsection (d) of this section; the defense requires that defendant be in the home when the handgun is being discovered. Vergara-Soto v. State, 77 Ark. App. 280, 74 S.W.3d 683 (2002).

To the extent defendant argued that he could not be found guilty of simultaneous possession of drugs and a firearm because he was not present when the gun and drugs were found and the gun was not readily accessible to him, that defense was not available to him, as he was not in his home during the search. Dotson v. State, 2013 Ark. App. 550 (2013).

Trial court did not abuse its discretion in refusing to give an affirmative-defense instruction under subsection (d) of this section where the testimony and evidence at trial left no fact question as to whether the multiple loaded firearms found in appellant's bedroom were readily accessible for use, and thus, there was no basis from which the jury could conclude that appellant did not have firearms readily accessible for his use. Cogburn v. State, 2016 Ark. App. 543 (2016).

Trial court did not abuse its discretion in refusing to submit an affirmative-defense jury instruction under subsection (d) of this section with respect to a charge of simultaneous possession of drugs and firearms. Because defendant was not inside his residence but was either in a detached garage or immediately outside the garage, there was no basis to conclude that defendant was in his home when the firearms were found. House v. State, 2020 Ark. App. 240 (2020).

Double Jeopardy.

There was no double jeopardy violation where defendant was sentenced for both possession with intent to deliver a controlled substance and simultaneous possession of drugs and firearms; the legislature made it clear that it wished to assess an additional penalty for simultaneously possessing drugs and a firearm. Rowbottom v. State, 341 Ark. 33, 13 S.W.3d 904 (2000).

Elements of Offense.

Evidence of gang-related activity is not required to establish a violation of this section. State v. Zawodniak, 329 Ark. 179, 946 S.W.2d 936 (1997), cert. denied, 522 U.S. 1125, 118 S. Ct. 1072, 140 L. Ed. 2d 131 (1998); McGhee v. State, 330 Ark. 38, 954 S.W.2d 206 (1997).

Evidence.

Evidence held sufficient to support simultaneous possession. Mitchell v. State, 321 Ark. 570, 906 S.W.2d 307 (1995).

There was substantial evidence that defendant knew of and had control of contraband, possessed it with the intent to deliver, had simultaneous possession of cocaine and firearm, and that he was a felon in possession of a firearm. Darrough v. State, 322 Ark. 251, 908 S.W.2d 325 (1995).

Evidence held sufficient where (1) while most of the controlled substance was found in a car's rear fender well, some was found in the front passenger seat, (2) a pistol was found on the floor behind the driver's seat, and (3) the defendant was the sole occupant of the car. Johnson v. State, 333 Ark. 673, 972 S.W.2d 935 (1998).

Evidence was sufficient to support a conviction where, upon executing a search warrant at the defendant's house, the police found (1) 10 grams of pure methamphetamine in the defendant's pants pocket, (2) drug paraphernalia throughout the house, (3) an unloaded handgun in the living room, with a bag with ammunition in a nearby paper bag, and (4) bills and receipts with the defendant's name on them in close proximity to the handgun. Gilbert v. State, 341 Ark. 601, 19 S.W.3d 595 (2000).

Stop was not justified where there was no testimony that the officer was investigating or preventing a crime when she encountered defendant, therefore, the search was illegal and defendant's motion to suppress the evidence of the cocaine and the firearm should have been granted. Jennings v. State, 69 Ark. App. 50, 10 S.W.3d 105 (2000).

Evidence was insufficient to support a conviction for simultaneous possession of a controlled substance and a firearm where (1) after stopping a vehicle operated by the defendant and a vehicle operated by his cousin's boyfriend, the defendant was not allowed to continue driving because of his level of intoxication and his vehicle was subjected to an inventory search in preparation for towing, and (2) during the search, a suitcase containing marijuana was found in the trunk, but (3) the cousin's boyfriend asked the defendant to carry the suitcase in his trunk, the suitcase was found with other items belonging to the cousin and her boyfriend, (4) the marijuana was well-wrapped inside several bags and no odor emanated from the suitcase, (5) the cousin's boyfriend's fingerprint was found on one of the plastic bags, whereas the defendant's fingerprints were not found on any of the items seized by the state, and (6) the reason for the defendant's trip was to visit his sick brother, who died during the pendency of the trial. Boston v. State, 69 Ark. App. 155, 12 S.W.3d 245 (2000).

Evidence was sufficient to support a conviction where (1) the defendant's girlfriend testified that she observed the defendant asleep with his gun either laying on his chest or in his hand, that the gun had a laser sight on it, and that she also observed a bag of drugs near him, and (2) a police officer testified that he found the gun on the floor in the room where the defendant had fallen asleep and described the general connection between firearms and drugs, testifying that of the 50 methamphetamine labs he had seen in the last three years, he could not recall one in which a firearm was not found. Stanton v. State, 344 Ark. 589, 42 S.W.3d 474 (2001).

Evidence was sufficient to support a conviction, notwithstanding the defendant's assertion that she did not possess a useable amount of the controlled substance, where she was convicted of manufacture of methamphetamine and she abandoned her argument that there was insufficient evidence presented by the state to prove that she possessed a firearm. Harris v. State, 73 Ark. App. 185, 44 S.W.3d 347 (2001).

Evidence was sufficient to convict defendant of simultaneous possession of drugs and firearms, in violation of this section, because the police discovered loaded weapons in the same out-building where methamphetamine had recently been manufactured. Aydelotte v. State, 85 Ark. App. 67, 146 S.W.3d 392 (2004).

Evidence was sufficient to convict defendant of drug possession charges given that a crack house was rented to him, a confidential informant testified that he purchased drugs from defendant a day earlier, the serial numbers of money found on defendant matched the money used in the controlled buy, and drugs were in plain view in the home. Carter v. State, 2010 Ark. 293, 367 S.W.3d 544 (2010).

There was substantial evidence that defendant exercised care, control, and management over the contraband, where (1) he lived at the house where the contraband was discovered, (2) a police officer found several illegal items lying in close proximity to defendant, and (3) there was no evidence that there were other suspects in the home at the time of the raid that may have also lived there. Allen v. State, 2010 Ark. App. 266 (2010).

When defendant was convicted of simultaneously possessing drugs and firearms, in violation of this section, sufficient evidence supported a jury's finding that defendant possessed a firearm because (1) defendant told police a gun found in defendant's wife's purse belonged to defendant, (2) defendant and defendant's wife were in defendant's car, in which the purse was found, together when police pulled up behind the car, and (3) defendant fled when police tried to arrest defendant, after finding a marijuana cigarette in the car. Patton v. State, 2010 Ark. App. 453 (2010).

Defendant's conviction for simultaneous possession of drugs and firearms was proper because the evidence to support the conviction was overwhelming and confirmed by testimony of a woman who was living with defendant in the motel room where the evidence was found; inside the motel room, investigators discovered defendant's personal identification and other personal paperwork, substantial amounts of marijuana and other drugs, two firearms, drug paraphernalia, and a ledger of drug transactions. Mathis v. State, 2010 Ark. App. 665 (2010).

Evidence was sufficient to convict defendant of possession of cocaine and simultaneous possession of drugs and firearms, because the jury could reasonably conclude that defendant had knowledge of the cocaine and exercised care, control, and management of the cocaine, and defendant constructively possessed the cocaine and he did so while in possession of a firearm; the cocaine was found at a location that was level with the driver's knee and defendant was in close proximity to the drugs, and the handgun was located inside the vehicle. Boykin v. State, 2012 Ark. App. 274, 409 S.W.3d 321 (2012).

In a case involving drugs and weapons offenses, it was error to allow a video of law enforcement officers firing a weapon found in the search of the home to be played for the jury and admitted into evidence because it was not relevant to any of the specific offenses charged as the offenses did not require that the weapon be fireable; however, the error was harmless because the evidence against defendant was overwhelming and defendant's sentences fell within the statutory sentence ranges. Gutierrez v. State, 2015 Ark. App. 516, 472 S.W.3d 147 (2015).

There was no abuse of discretion in allowing a police officer to testify about the test-firing of the weapons seized from defendant because defendant knew about the weapons and could have conducted his own tests, the prosecutor notified defendant's counsel of the test-fires, there were no written reports prepared, and the State did not intend to use the video of the testing when it was found to exist. Jones v. State, 2016 Ark. App. 354, 498 S.W.3d 309 (2016).

Preservation for Review.

When defendant was convicted of simultaneously possessing drugs and firearms, in violation of this section, defendant did not waive, for appellate review, the issue of whether sufficient evidence showed defendant possessed a firearm by not renewing a directed verdict motion at the close of all evidence because defendant moved for a directed verdict at the close of the state's evidence, and defendant did not present any evidence. Patton v. State, 2010 Ark. App. 453 (2010).

Defendant did not preserve an appellate argument that his truck was his home on the road, permitting the defense under this section that defendant was in his home and his gun was not readily accessible; even if defendant sufficiently articulated the argument at the close of the State's case, defendant did not renew the argument at the close of all the evidence, as required by Ark. R. Crim. P. 33.1. Steen v. State, 2018 Ark. App. 156, 545 S.W.3d 789 (2018).

Readily Accessible.

A loaded handgun, although wrapped in a ski mask in a closet in a different room, was within defendant's easy reach and was therefore “readily accessible for use.” Manning v. State, 330 Ark. 699, 956 S.W.2d 184 (1997).

The defendant's conviction for simultaneous possession of a controlled substance and a firearm was reversed where a .22 caliber rifle was recovered from the kitchen of her residence, but the rifle was not readily accessible for use because it was not loaded, and no ammunition was recovered. Rabb v. State, 72 Ark. App. 396, 39 S.W.3d 11 (2001).

Evidence was sufficient to convict defendant of simultaneous possession of drugs and firearms under this section and defendant could not avail himself of the defense in subsection (d) as he possessed methamphetamine and a gun was accessible for use because it was in plain sight on a night stand with an ammunition clip nearby and the gun could have easily been loaded. Arroyo v. State, 2011 Ark. App. 523 (2011).

Sufficient evidence supported defendant's conviction for simultaneous possession of drugs and firearms because (1) ammunition found at the scene of defendant's arrest did not have to be introduced, (2) a detective testified a loaded gun was found, and (3) a photo of ammunition taken from the gun's chamber was introduced, so there was substantial evidence that at least one gun was “readily accessible for use.” Kourakis v. State, 2015 Ark. App. 612, 474 S.W.3d 536 (2015).

Sentence.

Sentencing may not be other than in accordance with the statute in effect at the time of the commission of the crime, and where the law does not authorize the particular sentence pronounced by a trial court, that sentence is unauthorized and illegal. State v. Stephenson, 340 Ark. 229, 9 S.W.3d 495 (2000).

When a defendant is convicted of a Class Y felony, the General Assembly has specifically provided that a trial court shall not suspend imposition of sentence as to a term of imprisonment or place the defendant on probation. State v. Stephenson, 340 Ark. 229, 9 S.W.3d 495 (2000).

—Suspension Prohibited.

The trial court had no statutory authority to suspend the imposition of sentence or to suspend execution of the 10-year sentence on the Class Y felony charge of simultaneous possession of drugs and firearms. State v. Stephenson, 340 Ark. 229, 9 S.W.3d 495 (2000).

Defendant's conviction for simultaneous possession of drugs and firearms was a violation of this section and a Class Y felony, and under § 5-4-401(a)(1), a defendant convicted of a Class Y felony was to be sentenced to not less than 10 years; consequently, the trial court erred in suspending 4 years of the 10-year sentence imposed upon defendant. State v. Fountain, 350 Ark. 437, 88 S.W.3d 411 (2002).

Cited: Ray v. State, 328 Ark. 176, 941 S.W.2d 427 (1997); Curtis v. State, 76 Ark. App. 458, 68 S.W.3d 305 (2002).

5-74-107. Unlawful discharge of a firearm from a vehicle.

    1. A person commits unlawful discharge of a firearm from a vehicle in the first degree if he or she knowingly discharges a firearm from a vehicle and by the discharge of the firearm causes death or serious physical injury to another person.
    2. Unlawful discharge of a firearm from a vehicle in the first degree is a Class Y felony.
    1. A person commits unlawful discharge of a firearm from a vehicle in the second degree if he or she recklessly discharges a firearm from a vehicle in a manner that creates a substantial risk of physical injury to another person or property damage to a home, residence, or other occupiable structure.
    2. Unlawful discharge of a firearm from a vehicle in the second degree is a Class B felony.
      1. Any vehicle or property used by the owner, or anyone acting with the knowledge and consent of the owner, to facilitate a violation of this section is subject to forfeiture.
      2. Subdivision (c)(1)(A) of this section is a new and independent ground for forfeiture.
      1. Property that is forfeitable based on this section is forfeited pursuant to and in accordance with the procedures for forfeiture in § 5-64-505.
      2. The reference in subdivision (c)(2)(A) of this section to § 5-64-505 is procedural only, and it is not a defense to forfeiture under this section that the discharge of a firearm did not involve a controlled substance.

History. Acts 1993, No. 1002, § 1; 2017, No. 333, § 6.

Amendments. The 2017 amendment substituted “Unlawful discharge of a firearm from a vehicle in the first degree is” for “Any person who is guilty of unlawfully discharging a firearm from a vehicle in the first degree commits” in (a)(2); substituted “Unlawful discharge of a firearm from a vehicle in the second degree is” for “Any person who is guilty of unlawfully discharging a firearm from a vehicle in the second degree commits” in (b)(2); substituted “Subdivision (c)(1)(A) of this section” for “This” in (c)(1)(B); substituted “§ 5-64-505” for “§§ 5-64-505 and 5-64-509” in (c)(2)(A); and, in (c)(2)(B), substituted “in subdivision (c)(2)(A) of this section to § 5-64-505” for “to §§ 5-64-505 and 5-64-509” and “discharge of a firearm” for “shooting”.

Cross References. Terroristic act, § 5-13-310.

Case Notes

Constitutionality.

—Federal Law.

The Supreme Court did not allow the State an Ark. R. Crim. P. 36.10 appeal because no substantial question of former jeopardy existed when federal and state offenses and proceedings were involved; since the state offense involving interpretation of § 5-74-105(a)(1) and subdivision (b)(1) of this section would not come into issue in the same manner due to a decision concerning the unconstitutionality of a federal law, Arkansas's correct and uniform administration of the criminal law was not in issue. State v. Banks, 322 Ark. 344, 909 S.W.2d 634 (1995).

Crime of Violence.

Allowing defendant's release on a bed-space bond under § 16-90-122 was erroneous because the release of offenders was only allowed if they were nonviolent in nature; defendant pled guilty to two counts of unlawful discharge of a firearm from a vehicle, which was a crime of violence under § 5-74-103. State v. Britt, 368 Ark. 273, 244 S.W.3d 665 (2006).

Evidence Sufficient.

Evidence supported defendant's convictions for second-degree unlawful discharge of a firearm from a vehicle under this section because (1) an employee at a fast food restaurant that was located in a gas station testified that she saw defendant shooting toward the gas station; (2) a gas station employee and a third witness testified that they witnessed gunfire from a black vehicle toward the gas station; (3) while the gas station employee and the third witness did not actually see defendant shooting the gun from the black vehicle, there was substantial evidence that defendant was the only person in the vehicle at the time of the shooting; (4) not one witness at the gas station testified that they saw another individual in the vehicle; (5) the third witness pursued defendant from the gas station until just a couple of minutes before he was arrested; and (6) when defendant was arrested, the vehicle was searched, no other individual was found, and a gun casing (that matched the gun that defendant threw out of the window of his vehicle after the shooting) fell out of his lap. McBride v. State, 99 Ark. App. 146, 257 S.W.3d 914 (2007).

At trial for capital murder and unlawful discharge of a firearm from a vehicle, witnesses' in-court identifications of defendant were not so unreliable that his conviction should be overturned because: (1) the jury clearly found the witnesses and their identifications of defendant credible; (2) defendant did not challenge or object to the witnesses' in-court identifications when they were made, but instead attempted to discredit their testimony on cross-examination; and (3) he merely challenged the in-court identifications in the context of his challenge to the sufficiency of the evidence. Davenport v. State, 373 Ark. 71, 281 S.W.3d 268 (2008).

Substantial evidence supported defendant's convictions for aggravated robbery, kidnapping, aggravated assault, theft of property, unlawful discharge of a firearm from a vehicle, and fleeing because while the state did not prove that defendant actually entered a bank, it did provide substantial evidence that he was the driver of the getaway car and thus was an accomplice of the two men who committed the aggravated robbery, kidnapping, and theft of property; while defendant did not personally shoot at an officer's vehicle, his conduct of driving the fleeing vehicle while another person in the car fired the shots sufficiently implicated him as an accomplice to unlawfully discharging a firearm from a vehicle. Barber v. State, 2010 Ark. App. 210, 374 S.W.3d 709 (2010).

There was testimony that the gun discharge occurred at a busy intersection, that other drivers were present at the time, and that several businesses were located nearby, and firing a gun into the air was reckless and created a substantial risk of physical injury and/or property damage; thus, there was substantial evidence to support defendant's unlawful-discharge conviction under this section. Oliver v. State, 2016 Ark. App. 332, 498 S.W.3d 320 (2016).

Evidence was sufficient to convict defendant of unlawful discharge of a firearm from a motor vehicle and battery as the victim suffered a serious physical injury. The victim testified that he received three gunshot wounds, was hospitalized, lost a kidney, and suffered further infections as a result of the wound; and the victim's injury caused protracted impairment of his health as the victim testified about the complications that resulted in infection and required him to return to the hospital, receive antibiotics, and have drainage tubes placed in his body. Johnson v. State, 2017 Ark. App. 71, 510 S.W.3d 298 (2017).

Circuit court properly sentenced defendant for capital murder, unlawful discharge of a firearm from a vehicle, terroristic act, and employing a firearm in the commission of a felony because nothing in the capital-murder statute required the State to prove anything regarding the weapon alleged to have been used, the evidence was sufficient for the jury to conclude that defendant shot at an occupiable structure (the victim's home) in an attempt to cause injury to the people standing in front of it, defendant was not prejudiced by the hearsay testimony of a detective regarding a witness's statements to him and the court's failure to give the limiting instruction, and the findings of guilt sufficiently triggered the sentence enhancement. Martinez v. State, 2019 Ark. 85, 569 S.W.3d 333 (2019).

Even assuming the witness was an accomplice, there was independent evidence tending to connect defendant with attempted capital murder, unlawful discharge of a firearm from a vehicle, and fleeing, as his letters and call to the witness were consistent with testimony that defendant was the shooter, and the jury could have found that defendant's alleged actions in firing the assault rifle at the officer and telling the driver to go aided and encouraged the driver in fleeing from the officer. Farmer v. State, 2019 Ark. App. 331 (2019).

Gang Activity.

Gang activity was not an element of the offense under this section, contrary to defendant's argument. Oliver v. State, 2016 Ark. App. 332, 498 S.W.3d 320 (2016).

Lesser-Included Offenses.

Trial court did not err in failing to instruct the jury on negligent homicide because it was not a lesser-included offense of unlawful discharge of a firearm from a vehicle, and defendant's proffered instruction did not meet any of the three alternative tests set out in § 5-1-110 where the culpable mental state for negligent homicide was directed at the act of causing the death of another person and the culpable mental state for first-degree unlawful discharge of a firearm from a vehicle was directed at the act of discharging the firearm. Webb v. State, 2019 Ark. App. 436, 587 S.W.3d 252 (2019).

Preservation for Review.

Although defendant argued that another person fired the shots from the vehicle, for purposes of his unlawful discharge of a firearm from a vehicle conviction, defendant did not raise this issue in his motion to dismiss, and although he did raise the issue in closing argument, that was not a substitute for a motion to dismiss; the issue was not preserved for review. Oliver v. State, 2016 Ark. App. 332, 498 S.W.3d 320 (2016).

Cited: Beck v. State, 317 Ark. 154, 876 S.W.2d 561 (1994); Nelson v. State, 324 Ark. 404, 921 S.W.2d 593 (1996); State v. Pulaski County Circuit Court, 326 Ark. 886, 934 S.W.2d 915 (1996).

5-74-108. Engaging in violent criminal group activity.

  1. Any person who violates any provision of Arkansas law that is a crime of violence while acting in concert with two (2) or more other persons is subject to enhanced penalties.
  2. Upon conviction of a crime of violence committed while acting in concert with two (2) or more other persons, the classification and penalty range is increased by one (1) classification.
  3. The fact that the group was not a criminal gang, organization, or enterprise is not a defense to prosecution under this section.

History. Acts 1993, No. 1002, § 1.

Research References

ALR.

Validity of Criminal State Racketeer Influenced and Corrupt Organizations Acts and Similar Acts Related to Gang Activity and the Like. 58 A.L.R.6th 385.

Case Notes

Constitutionality.

This section conveys fair and sufficient warning when measured by common understanding and, therefore, is not unconstitutionally vague. Jones v. State, 333 Ark. 208, 969 S.W.2d 618 (1998).

Enhanced Classification.

Engaging in violent criminal activity as enumerated in this section would not be a Class D felony in itself but rather would raise a third-degree battery Class A misdemeanor to a Class D felony. B.J. v. State, 56 Ark. App. 35, 937 S.W.2d 675 (1997).

Engaging in violent criminal activity is merely an enhancement of punishment statute, not a substantive offense. Jones v. State, 333 Ark. 208, 969 S.W.2d 618 (1998).

Evidence.

Trial court did not err in admitting photographs from defendant's Facebook page to show that she was engaging in violent, criminal group activity by violating Arkansas law while acting in concert with two or more persons in violation of this section. Williamson v. State, 2011 Ark. App. 73, 381 S.W.3d 134 (2011).

Sufficiency of Evidence.

Defendants' sentences were improperly enhanced under this section for committing assault “in concert” with two or more other persons because, even assuming that the evidence was sufficient to support a finding that three people were involved in a melee directed at the victim, the evidence was insufficient to show that any third person acted “in concert” with the two defendants. Evidence of mutual agreement in a common plan or enterprise was lacking. Johnson v. State, 2010 Ark. App. 252 (2010).

5-74-109. Premises and real property used by criminal gangs, organizations, or enterprises, or used by anyone in committing a continuing series of violations — Civil remedies.

  1. Intent. The intent of the General Assembly in this section is to enact civil remedies that eliminate the availability of any premises for use in the commission of a continuing series of criminal offenses.
  2. Common Nuisance Declared. Any premises, building, or place used to facilitate the commission of a continuing series of three (3) or more criminal violations of Arkansas law is declared to be detrimental to the law-abiding citizens of the state and may be subject to an injunction, a court-ordered eviction, or a cause of action for damages as provided for in this subchapter.
  3. Action to Abate — Permanent Injunction — Verification of Complaint.
    1. When there is reason to believe a common nuisance under subsection (b) of this section is kept or maintained, or exists in any county, the prosecuting attorney of the county in the name of the state, or the city attorney of any incorporated city, or any citizen of the state or a resident of the county in his or her own name, may enjoin permanently the person conducting or maintaining the nuisance and the owner, lessee, or agent of the building or place in or upon which the nuisance exists from directly or indirectly maintaining or permitting the nuisance.
    2. Unless filed by the prosecuting attorney, the complaint in the action shall be verified.
  4. Inspection Warrant. When there is reasonable cause to believe that any premises is being maintained in violation of this section, any judicial officer may, upon the petition of the prosecuting attorney, issue an inspection warrant for the premises.
  5. Temporary Injunction — Bond Required — Exceptions.
    1. If the existence of the nuisance is shown in the action to the satisfaction of the court, the court shall allow a temporary writ of injunction to abate and prevent the continuance or recurrence of the nuisance.
      1. On granting the temporary writ, the court shall require a bond on the part of the applicant to the effect that the applicant shall pay to the enjoined defendant such damages, not exceeding an amount to be specified, as the defendant sustains by reason of the injunction should the court finally decide that the applicant was not entitled to the injunction.
      2. No bond is required when the proceeding is instituted by the prosecuting attorney or city attorney.
  6. Precedence of Action — Exceptions. The action shall be filed in the circuit court and have precedence over all other actions except election contests and hearings on injunctions.
  7. Dismissal for Want of Prosecution. If the complaint is filed by a citizen, it shall not be dismissed by him or her or for want of prosecution except upon a sworn statement made by him or her setting forth the reasons why the action shall be dismissed, and by dismissal ordered by the court.
  8. Costs. If the action is brought by a citizen and the court finds there was reasonable ground or cause for the action, costs shall be assessed against him or her.
  9. Order of Abatement — Lien for Costs — Enforcement.
    1. If the existence of the nuisance is established in the action, an order of abatement shall be entered as part of the judgment in the case, and the plaintiff's costs in carrying out the order are a lien upon the building or place.
    2. The lien is enforceable and collectible for execution issued by order of the court.
  10. Order of Abatement — Damages.
    1. If the existence of the nuisance is established in the action, an order of abatement shall be entered as part of the judgment, and the order shall direct the removal from the building or place of all fixtures and other movable property used in conducting, maintaining, aiding, or abetting the nuisance and shall direct their sale in the manner provided for the sale of chattels under execution.
      1. The order shall provide for any appropriate equitable relief as determined by the court to be necessary to abate the nuisance and may further provide, if determined to be the least restrictive alternative available to effectively accomplish the abatement, for the effectual closing of the building or place for such period of time as determined to be necessary by the court as adequate to abate the nuisance.
      2. An alternative to closure may be considered only as provided in this section.
        1. If the court finds that any vacancy resulting from closure of the building or place may create a nuisance or that closure is otherwise harmful to the community, in lieu of ordering the building or place closed, the court may order the person who is seeking to keep the premises open to pay damages in an amount equal to the fair market rental value of the building or place, for such period of time as determined appropriate by the court, to the city attorney or county prosecutor.
        2. These funds are to be used to investigate and litigate future nuisance abatement actions, or the funds are to be used by the city or county in whose jurisdiction the nuisance is located for the purpose of carrying out its drug prevention and education programs.
        3. If awarded to a city, eligible programs may include those developed as a result of cooperative programs among schools, community agencies, and the local enforcement agency.
        4. If awarded to a county, funds shall be used for those programs that are part of any county program in place or used by the county law enforcement agency.
        5. These funds shall not be used to supplant existing city, county, state, or federal resources used for drug prevention and education programs.
        1. For purpose of this subdivision (j)(3), the actual amount of rent being received for the rent of the building or place, or the existence of any vacancy in the building or place, may be considered, but shall not be the sole determinant of the fair market rental value.
        2. Expert testimony may be used to determine the fair market rental value.
      1. In addition, the court may award damages equal to the plaintiff's cost in the investigation and litigation of the abatement action, not to exceed five thousand dollars ($5,000), against any defendant based upon the severity of the nuisance and its duration.
      2. The damages may be collected in any manner provided for the collection of any civil judgment.
  11. Custody of Building. While the order of abatement remains in effect, the building or place is in the custody of the court.
  12. Fees — Closing of Building or Place. For removing and selling the movable property, the city, county, or responsible law enforcement agency is entitled to charge and receive the same fees as could be charged and received for levying upon and selling like property on execution, and for closing the premises and keeping the premises closed, a reasonable sum shall be allowed by the court.
  13. Disposition of Sale Proceeds. The proceeds of the sale of the movable property shall be applied as follows:
    1. First, to the fees and costs of the removal and sale;
    2. Second, to the allowances and costs of closing and keeping closed the building or place;
    3. Third, to the payment of the plaintiff's costs in the action; and
    4. Fourth, the balance, if any, to the owner of the property.
  14. Release of the Building to Owner.
    1. If the owner of the building or place has not been guilty of any contempt of court in the proceedings and appears and pays all costs, fees, and allowances that are liens on the building or place and files a bond in the full value of the property conditioned that the owner shall immediately abate any nuisance that may exist at the building or place and prevent it from being a nuisance within a period of one (1) year thereafter, the court may, if satisfied of the owner's good faith, order the building or place to be delivered to the owner and the order of abatement cancelled so far as it may relate to the property.
    2. The release of property under a provision of this section does not release it from any judgment, lien, penalty, or liability to which it may be subject.
  15. Fine as Lien — Enforcement.
    1. When the owner of a building or place upon which the act or acts constituting contempt have been committed, or the owner of any interest in the building or place, has been guilty of contempt of court and fined in any proceeding under this subchapter, the fine is a lien upon the building or place to the extent of his or her interest in it.
    2. The lien is enforceable and collectible by execution issued by order of the court.
  16. Violations — Criminal Penalties. A violation of or disobedience of an injunction or order for abatement is punishable as contempt of court by a fine of not less than two hundred dollars ($200) nor more than one thousand dollars ($1,000) or by imprisonment in the county jail for not less than one (1) month nor more than six (6) months, or by both.
  17. Forfeiture.
    1. This section does not provide for the property to be forfeited to the state.
    2. However, the state may at any time amend its petition to seek forfeiture if the property is subject to forfeiture under other Arkansas law.

History. Acts 1993, No. 1002, § 1; 1995, No. 1296, § 10.

Cross References. Common nuisance declared, § 16-105-402.

Criminal nuisance abatement boards, § 14-54-1701 et seq.

Municipal corporations' powers and restrictions, § 14-54-102.

Prostitution, § 5-70-102.

Case Notes

Nuisance Not Found.

Strip mall store was not a common nuisance under subsection (b) of this section because the circuit court's finding of no facilitation or linkage was not clearly against the preponderance of the evidence, when the police detective testified that the store had not been involved either directly or indirectly with any of the shootings, and the evidence showed the store had taken extensive measures to curb the criminal activity at or near the strip mall property, including hiring security guards, installing flood lights and surveillance cameras, and building a fence to keep loiterers from going behind the building. City of Little Rock v. Jung Yul Rhee, 375 Ark. 491, 292 S.W.3d 292 (2009).

Subchapter 2 — Recruiting Gang Members

Effective Dates. Acts 1994 (2nd Ex. Sess.), Nos. 33 and 34, § 7: Aug. 25, 1994. Emergency clause provided: “It is hereby found and determined by the Seventy-Ninth General Assembly of the State of Arkansas, meeting in the Second Extraordinary Session of 1994, that street gangs have become rampant in our communities and that such gangs recruit minors to engage in criminal activity. Therefore, in order to create the crime of soliciting a minor to join a street gang, an emergency is hereby declared to exist, and this act being necessary for the immediate preservation of the public peace, health, and safety, shall be in full force and effect from and after its passage and approval.”

5-74-201. Legislative findings.

    1. The General Assembly finds and declares that it is the right of every person, regardless of race, color, creed, religion, national origin, sex, age, or handicap, to be secure and protected from fear, intimidation, and physical harm caused by the activities of groups engaging in random crimes of violence, and committing crimes for profit and violent crimes committed to protect or control market areas or “turf ”.
    2. It is not the intent of this subchapter to interfere with the constitutional exercise of the protected rights and freedoms of expression and association.
    3. The General Assembly recognizes the right of every citizen to harbor and constitutionally express beliefs on any lawful subject whatsoever, to associate lawfully with others who share similar beliefs, to petition lawfully constituted authority for a redress of perceived grievances, and to participate in the electoral process.
    1. The General Assembly further finds that the State of Arkansas is experiencing an increase in crime committed by criminal gangs, organizations, or enterprises.
    2. These criminal gangs, organizations, or enterprises support themselves by engaging in criminal activity for profit, most commonly through the distribution of controlled substances and theft of property.
    3. These criminal gangs, organizations, or enterprises are becoming increasingly sophisticated at avoiding arrest and prosecution.
    4. With increasing frequency, criminals are using the property of another person which has been stolen, borrowed, leased, or maintained in another person's name to avoid detection and identification.
    5. This is particularly common among members and associates of criminal gangs, organizations, and enterprises.
    6. There is strong evidence that this increased sophistication is due largely to contact with other criminal gangs, organizations, or enterprises from other states.
    1. The General Assembly further finds that criminal gangs, organizations, and enterprises control their market areas by terrorizing the peaceful citizens in their neighborhoods with deliberate and random acts of violence.
    2. “Drive-by” shootings are becoming all too common in many Arkansas cities.
    3. One of the primary reasons for the increased homicide rate is the use of firearms by criminal gangs, organizations, or enterprises to control the crack cocaine market within their geographical “turf ”.
    1. The General Assembly further finds that in addition to the activity of street gangs, there are also other types of criminal organizations or enterprises operating in Arkansas.
    2. Some examples are garages that take parts from stolen automobiles, burglary or retail theft rings, and narcotics distribution organizations.
    3. The number of crimes committed by criminal organizations of all types is increasing.
    4. These ongoing organized criminal activities present a clear and present danger to public order and safety and are not constitutionally protected.

History. Acts 1994 (2nd Ex. Sess.), No. 33, § 1; 1994 (2nd Ex. Sess.), No. 34, § 1; 1995, No. 1296, § 11.

5-74-202. Definitions.

As used in this subchapter:

  1. “Crime of pecuniary gain” means any violation of Arkansas law that results, or was intended to result, in the defendant's receiving income, benefit, property, money, or anything of value;
  2. “Crime of violence” means any violation of Arkansas law if a person purposely or knowingly causes, or threatens to cause, death or physical injury to another person, specifically including rape, § 5-14-103;
  3. “Criminal gang, organization, or enterprise” means any group of three (3) or more individuals who commit a continuing series of two (2) or more predicate criminal offenses that are undertaken in concert with each other; and
  4. “Predicate criminal offense” means any violation of Arkansas law that is a crime of violence or a crime of pecuniary gain.

History. Acts 1994 (2nd Ex. Sess.), No. 33, § 2; 1994 (2nd Ex. Sess.), No. 34, § 2.

5-74-203. Soliciting or recruiting a minor to join or to remain a member of a criminal gang, organization, or enterprise.

  1. Any person who by intimidation or duress causes, aids, abets, encourages, solicits, or recruits a minor to become or to remain a member of any group that the person knows to be a criminal gang, organization, or enterprise that falls into the definition and intent of this subchapter is guilty of a Class C felony.
  2. Any person who is found guilty of or who pleads guilty or nolo contendere to a second or subsequent violation of this section is guilty of a Class B felony.

History. Acts 1994 (2nd Ex. Sess.), No. 33, § 3; 1994 (2nd Ex. Sess.), No. 34, § 3.

Chapter 75 Operation of Aircraft While Intoxicated

5-75-101. Definitions.

As used in this chapter:

  1. “Aircraft” means any contrivance invented, used, or designed for the navigation of or flight in the air, and that is required to be registered under the laws of the United States;
    1. “Controlled substance” means a drug, substance, or immediate precursor in Schedules I through VI.
    2. The fact that any person charged with a violation of this chapter is or has been entitled to use that drug or controlled substance under the laws of this state does not constitute a defense against any charge of violating this chapter; and
  2. “Intoxicated” means influenced or affected by the ingestion of alcohol, a controlled substance, any intoxicant, or any combination of alcohol, a controlled substance, or an intoxicant, to such a degree that the operator's or navigator's reactions, motor skills, and judgment are substantially altered and the operator or navigator, therefore, constitutes a clear and substantial danger of physical injury or death to himself or herself and other persons.

History. Acts 1993, No. 824, § 1.

Publisher's Notes. Regarding Schedules I-VI controlled substances, see note under subchapter 2 of Chapter 64 of this title.

5-75-102. Unlawful acts.

    1. It is unlawful and punishable as provided in this chapter for any person who is intoxicated to operate, navigate, or be in actual physical control of any aircraft.
    2. It is unlawful and punishable as provided in this chapter for any person to operate, navigate, or be in actual physical control of any aircraft if at that time there was an alcohol concentration of four hundredths (0.04) or more in the person's breath or blood as determined by a chemical test of the person's blood, urine, breath, or other bodily substance.
    3. It is unlawful and punishable as provided in this chapter for any person who is at an airport to perform his or her duties as a member of the flight crew of an aircraft and who has an alcohol concentration of four hundredths (0.04) or more in the person's breath or blood as determined by a chemical test of the person's blood, urine, breath, or other bodily substance, to:
      1. Present himself or herself at:
        1. The security checkpoint at the airport;
        2. The security identification area; or
        3. An aircraft ramp; or
      2. Plan and accept flight documents at the ticket counter or gate.
    1. Any person who pleads guilty or nolo contendere to or is found guilty of violating subsection (a) of this section is guilty of a Class A misdemeanor.
    2. For a second offense occurring within one (1) year, any person who pleads guilty or nolo contendere to or is found guilty of violating subsection (a) of this section is guilty of a Class D felony.
    3. Any person who pleads guilty or nolo contendere to or is found guilty of violating subsection (a) of this section and who at the time of the offense was a flight crew member and was in possession of a weapon is guilty of a Class D felony.
      1. If a person under arrest for violating subsection (a) of this section refuses upon the request of a law enforcement officer to submit to a chemical test as provided in § 5-75-103, no chemical test shall be given.
      2. However, any person who refuses to submit to a chemical test as provided for in § 5-75-103 is guilty of a Class A misdemeanor.
    1. For a second offense occurring within one (1) year, any person who refuses to submit to a chemical test as provided for in § 5-75-103 is guilty of a Class D felony.
  1. A complete report of any arrest or conviction made under the provisions of this chapter shall be forwarded to the Federal Aviation Administration or any other agency responsible for the licensing of pilots or navigators.

History. Acts 1993, No. 824, § 2; 2001, No. 561, § 17; 2003, No. 1267, § 1.

Amendments. The 2001 amendment substituted “an alcohol concentration of … breath or blood” for “four-hundredths of one percent (0.04%) or more by weight of alcohol in the person's blood” in (b).

The 2003 amendment inserted the (a)(1) subdivision designation; redesignated former (b) as present (a)(2); added (a)(3); redesignated former (c) as present (b); deleted “or (b)” following “subsection (a)” in present (b)(1) and (b)(2); added (b)(3); redesignated former (d)(1) as present (c)(1)(A) and (c)(1)(B); deleted “or (b)” following “subsection” in present (c)(1)(A); redesignated former (e) as present (d); and made related changes.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

5-75-103. Implied consent.

  1. Any person who operates or navigates any aircraft or is in actual physical control of any aircraft in this state is deemed to have given consent, subject to the provisions of § 5-75-104, to a chemical test of his or her blood, breath, saliva, or urine for the purpose of determining the alcohol concentration or controlled substance content of his or her breath or blood, if:
    1. The operator or navigator is arrested for any offense arising out of an act alleged to have been committed while the person was operating or navigating any aircraft while intoxicated or operating or navigating any aircraft while there was an alcohol concentration of four hundredths (0.04) or more in the person's breath or blood;
    2. The person is involved in an accident while operating, navigating, or in actual physical control of any aircraft; or
    3. The person is stopped by a law enforcement officer who has reasonable cause to believe that the person, while operating, navigating, or in actual physical control of any aircraft, is intoxicated or has an alcohol concentration of four hundredths (0.04) or more in his or her breath or blood.
  2. Any person who is dead, unconscious, or otherwise in a condition rendering him or her incapable of refusal is deemed not to have withdrawn the consent provided by subsection (a) of this section, and a chemical test may be administered subject to the provisions of § 5-75-104.

History. Acts 1993, No. 824, § 3; 2001, No. 561, § 18; 2013, No. 361, § 15.

Amendments. The 2001 amendment inserted “breath or” in (a), (a)(1), and (a)(3); and substituted “an alcohol concentration … in the person's” for “four-hundredths of one percent (0.04%) or more of alcohol in the person's” in (a)(1) and (a)(3).

The 2013 amendment, in (a), inserted “saliva” and “concentration”.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

5-75-104. Administration.

  1. A chemical test shall be administered at the direction of a law enforcement officer having reasonable cause to believe the person to have been operating, navigating, or in actual physical control of any aircraft while:
    1. Intoxicated; or
    2. There was an alcohol concentration of four hundredths (0.04) or more in the person's breath or blood.
    1. The law enforcement agency by which that law enforcement officer is employed shall designate which chemical test shall be administered, and the law enforcement agency is responsible for paying any expense incurred in conducting a chemical test.
    2. If the person tested requests that an additional chemical test be made, as authorized in § 5-75-105, the cost of the additional chemical test shall be borne by the person tested.
    3. If any person shall object to the taking of his or her blood for a chemical test, as authorized in this section, the breath, saliva, or urine of the person may be used for the chemical test.

History. Acts 1993, No. 824, § 4; 2001, No. 561, § 19; 2013, No. 361, § 16.

Amendments. The 2001 amendment substituted “an alcohol concentration … breath or blood” for “four-hundredths of one percent (0.04%) or more of alcohol in the person's blood” in (a).

The 2013 amendment, in (b)(3), inserted “saliva” and substituted “for the chemical test” for “to make the analysis”.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

5-75-105. Validity — Approved methods.

    1. “Alcohol concentration” means either:
      1. Grams of alcohol per one hundred milliliters (100 ml) or one hundred cubic centimeters (100 cc) of blood; or
      2. Grams of alcohol per two hundred ten liters (210 l) of breath.
    2. The alcohol concentration of any other bodily substance shall be based upon grams of alcohol per one hundred milliliters (100 ml) or one hundred cubic centimeters (100 cc) of blood, the same being percent weight per volume or percent alcohol concentration.
    1. To be considered valid under the provisions of this chapter, a chemical analysis of a person's blood, urine, or breath shall be performed according to a method approved by the Department of Health or by an individual possessing a valid permit issued by the department for that purpose.
    2. The department may:
      1. Approve a satisfactory technique or method for the chemical analysis;
      2. Ascertain the qualifications and competence of an individual to conduct the chemical analysis; and
      3. Issue a permit to conduct the chemical analysis that is subject to termination or revocation at the discretion of the department.
  1. To be considered valid under the provisions of this section, a chemical analysis of a person's blood, urine, breath, or other bodily substance for determining the alcohol content of the breath or blood shall be performed according to a method approved by the State Board of Health.
    1. When a person submits to a blood test at the request of a law enforcement officer under the provisions of this section, blood may be drawn by a physician or a person acting under the direction and supervision of a physician.
    2. The limitation in subdivision (d)(1) of this section does not apply to the taking of a breath or urine specimen.
      1. No person, institution, or office in this state that withdraws blood for the purpose of determining alcohol or controlled substance content of the blood at the request of a law enforcement officer under a provision of this chapter shall be held liable for violating any criminal law of this state in connection with the withdrawing of the blood.
      2. No physician, institution, or person acting under the direction or supervision of a physician shall be held liable in tort for the withdrawal of the blood unless the person is negligent in connection with the withdrawal of the blood or the blood is taken over the objections of the subject.
    1. The person tested may have a physician or a qualified technician, registered nurse, or other qualified person of his or her own choice administer a complete chemical test in addition to any chemical test administered at the direction of a law enforcement officer.
    2. The law enforcement officer shall advise the person of the right provided in subdivision (e)(1) of this section.
    3. The refusal or failure of a law enforcement officer to advise the person of the right provided in subdivision (e)(1) of this section and to permit and assist the person to obtain a chemical test under subdivision (e)(1) of this section precludes the admission of evidence relating to the chemical test taken at the direction of a law enforcement officer.
  2. Upon the request of a person who submits to a chemical test at the request of a law enforcement officer, full information concerning the chemical test shall be made available to the person or his or her attorney.

History. Acts 1993, No. 824, § 5; 2001, No. 561, § 20.

Amendments. The 2001 amendment inserted “breath or” following “alcohol content of the” in (c).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

5-75-106. Criminal prosecution — Evidence.

  1. In any criminal prosecution of a person charged with the offense of operating or navigating any aircraft while intoxicated, the amount of alcohol in the defendant's breath or blood at the time or within two (2) hours of the alleged offense, as shown by chemical analysis of the defendant's blood, urine, breath, or other bodily substance gives rise to the following:
    1. If there was at that time an alcohol concentration less than four hundredths (0.04) in the defendant's blood, urine, breath, or other bodily substance, it is presumed that the defendant was not under the influence of intoxicating liquor; and
    2. If there was at the time an alcohol concentration of four hundredths (0.04) or more in the defendant's blood, urine, breath, or other bodily substance, this fact does not give rise to any presumption that the defendant was or was not under the influence of intoxicating liquor, but this fact may be considered with other competent evidence in determining the guilt or innocence of the defendant.
  2. Subsection (a) of this section shall not be construed as limiting the introduction of any other relevant evidence bearing upon the question of whether or not the defendant was intoxicated.
  3. The chemical analysis referred to in this section shall be made by a method approved by the State Board of Health.
      1. A record or report of a certification, rule, evidence, analysis, or other document pertaining to work performed by the Office of Alcohol Testing of the Department of Health under the authority of this chapter shall be received as competent evidence as to the matters contained in the record or report in a court of this state, subject to the applicable rules of criminal procedure, when duly attested to by the Director of the Office of Alcohol Testing of the Department of Health or an assistant, in the form of an original signature or by certification of a copy.
      2. A document described in subdivision (d)(1)(A) of this section is self-authenticating.
    1. However, the instrument performing the chemical analysis shall have been duly certified at least one (1) time in the last three (3) months preceding arrest, and the operator of the instrument shall have been properly trained and certified.
    2. Nothing in this section is deemed to abrogate a defendant's right of cross-examination of the person who performs the calibration test or check on the instrument, the operator of the instrument, or a representative of the office.
    3. The testimony of the appropriate analyst or official may be compelled by the issuance of a proper subpoena ten (10) days prior to the date of the hearing or trial, in which case, the record or report is admissible through the analyst or official, who is subject to cross-examination by the defendant or his or her counsel.

History. Acts 1993, No. 824, § 6; 2001, No. 561, §§ 21, 22; 2007, No. 827, § 106.

Amendments. The 2001 amendment inserted “breath or” in (a); substituted “an alcohol concentration … in the defendant's” for “less than four-hundredths of one percent (0.04%) by weight of alcohol in the defendant's” in (a)(1); in (a)(2), substituted “an alcohol concentration … in the defendant's” for “four-hundredths of one percent (0.04%) or more by weight of alcohol in the defendant's” and “this fact” for “such fact”; in (d)(1), substituted “Office of Alcohol Testing” for “blood alcohol program” and “Director of the Office of Alcohol Testing or an assistant” for “program director or his assistant”; in (d)(2), substituted “instrument performing” for “machine performing,” “one (1) time” for “once” and “of the instrument” for “thereof”; rewrote (d)(3); and inserted “ten (10) days prior to the date of the hearing or trial” in (d)(4).

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

5-75-107. Blood alcohol testing devices.

    1. Any instrument used to determine the alcohol content of the breath of any person by analysis of the breath of the person for the purpose of determining if the person was operating or navigating any aircraft while intoxicated or with an alcohol concentration of four hundredths (0.04) or more shall be so constructed that the analysis is made automatically when a sample of the person's breath is placed in the instrument and without any adjustment or other action of the person administering the analysis.
    2. The instrument shall be so constructed that the breath alcohol content is shown by visible digital display on the instrument and on an automatic readout.
  1. Any breath analysis made by or through the use of a machine or instrument that does not conform to the requirements prescribed in this section is inadmissible in any criminal or civil proceeding.
    1. The State Board of Health may adopt appropriate rules to carry out the intent and purposes of this section, and only an instrument approved by the board as meeting the requirements of this section and the rules of the board shall be used for making a breath analysis for determining breath alcohol concentration.
      1. The Department of Health specifically may limit by its rules the types or models of testing devices that may be approved for use in Arkansas for the purposes set forth in this section.
      2. The approved types or models shall be specified by manufacturer's name and model.

History. Acts 1993, No. 824, § 7; 2001, No. 561, §§ 23, 24; 2019, No. 315, § 174.

A.C.R.C. Notes. As enacted by Acts 1993, No. 824, § 7, this section contained a subsection (d) which read:

“All law enforcement agencies which conduct blood alcohol testing shall be in full compliance with the provisions of this act by July 1, 1993.” The act did not have an emergency clause.

Amendments. The 2001 amendment redesignated former (a) as present (a)(1) through (a)(2) and made related changes; deleted “machine or” preceding “instrument” in (a)(1) and (c)(1); in (a)(1), deleted “or blood” preceding “of any person” and substituted “an alcohol concentration of four-hundredths (0.04)” for “a blood alcohol content of four hundredths of one percent (0.04%)”; in (a)(2), substituted “instrument” for “machine” and “breath” for “blood”; and substituted “breath alcohol concentration” for “blood alcohol content” in (c)(1).

The 2019 amendment, in (c)(1), deleted “and regulations” following “rules” and substituted “rules of the board” for “regulations of the board”.

Research References

U. Ark. Little Rock L. Rev.

Survey of Legislation, 2001 Arkansas General Assembly, Criminal Law, 24 U. Ark. Little Rock L. Rev. 429.

Chapter 76 Operation of Motorboats While Intoxicated

5-76-101 — 5-76-108. [Repealed.]

Publisher's Notes. Former chapter 76, concerning the operation of motorboats while intoxicated, was repealed by Acts 2015, No. 299, § 16. The former chapter was derived from the following sources:

5-76-101. Acts 1995, No. 518, § 1; 2005, No. 1458, § 1; 2009, No. 693, § 1.

5-76-102. Acts 1995, No. 518, §§ 2-4, 6, 11, 12, 14; 2001, No. 561, §§ 25-27; 2005, No. 1461, § 1; 2007, No. 827, §§ 107, 108, 109.

5-76-103. Acts 1995, No. 518, § 5; 1997, No. 788, § 2; 1997, No. 1341, § 2; 2007, No. 1196, § 2; 2013, No. 1107, § 9.

5-76-104. Acts 1995, No. 518, §§ 7-10; 1997, No. 823, § 1; 2001, No. 561, §§ 28, 29; 2013, No. 361, §§ 17, 18.

5-76-105. Acts 1995, No. 518, §§ 12, 13; 2001, No. 561, §§ 30, 31.

5-76-106. Acts 1995, No. 518, § 13.

5-76-107. Acts 2005, No. 1458, § 2.

5-76-108. Acts 2005, No. 1458, § 2.

For current law, see the Omnibus DWI or BWI Act, § 5-65-101 et seq.

Chapter 77 Official Insignia

Subchapter 1 — General Provisions

[Reserved.]

Subchapter 2 — Emergency Lights and Law Enforcement Insignia Sales

5-77-201. Unlawful possession, purchase, sale, or transfer of a blue light or blue lens cap.

  1. It is unlawful for a person to:
    1. Knowingly possess or purchase a blue light or blue lens cap with a purpose to unlawfully use the blue light or blue lens cap; or
    2. Transfer a blue light or blue lens cap to another person whom the actor knows or should know has a purpose to unlawfully use the blue light or blue lens cap.
  2. Before selling a blue light or blue lens cap, the seller shall require the buyer to provide identification that legally demonstrates that the buyer is a law enforcement officer, auxiliary law enforcement officer, or a county coroner.
  3. Any sale of a blue light or blue lens cap shall be reported to the Division of Arkansas State Police on a form prescribed by the division.
  4. Upon conviction, a person who violates this section is guilty of a Class C felony.
  5. As used in this section:
    1. “Auxiliary law enforcement officer” means the same as defined in § 12-9-301;
    2. “Blue lens cap” means a lens cap designed to produce a blue color of light when light from a device designed for an emergency vehicle passes through the lens cap; and
    3. “Blue light” means any operable device that:
      1. Emits a blue color of light;
      2. Is designed for use by an emergency vehicle or is similar in appearance to a device designed for use by an emergency vehicle; and
      3. Can be operated by use of the vehicle's battery, the vehicle's electrical system, or a dry cell battery.
    4. [Repealed.]
  6. This section does not apply to the following persons if acting with a lawful purpose:
    1. An in-state or out-of-state law enforcement officer or auxiliary law enforcement officer;
    2. A county coroner;
    3. A person employed by an in-state or out-of-state or federal agency who is operating a vehicle equipped with a blue light or blue lens cap during the course and scope of his or her employment; or
    4. A legitimate seller or vendor of blue lights or blue lens caps.

History. Acts 1997, No. 1281, § 1; 2007, No. 827, § 110; 2017, No. 439, § 1; 2019, No. 380, § 3.

Amendments. The 2017 amendment rewrote the section heading; rewrote (a); inserted “auxiliary law enforcement officer” in (b); substituted “Class C” for “Class D” in (d); added (e)(1); redesignated former (e)(1) and (2) as (e)(2) and (3); added (e)(4); and added (f).

The 2019 amendment repealed (e)(4).

Cross References. Lights for emergency vehicles, § 27-36-301 et seq.

5-77-202. Law enforcement insignia sales.

    1. It is unlawful to sell official law enforcement insignia to any person other than a law enforcement officer.
    2. It is unlawful for a person other than a law enforcement officer to buy official law enforcement insignia.
  1. Before selling official law enforcement insignia, the seller shall require the buyer to provide identification that legally demonstrates that the buyer is currently employed as a law enforcement officer or is currently an appointed auxiliary law enforcement officer.
  2. A violation of this section is a Class D felony.
  3. As used in this section:
    1. “Auxiliary law enforcement officer” means the same as defined in § 12-9-301; and
    2. “Official law enforcement insignia” means those items relating to the performance of a person's duty as a law enforcement officer when the items are formally sanctioned by the law enforcement agency employing the person.

History. Acts 1997, No. 1281, § 2; 2017, No. 439, § 2.

Amendments. The 2017 amendment, in (b), inserted “currently employed as” and added “or is currently an appointed auxiliary law enforcement officer”; substituted “Class D felony” for “Class A misdemeanor” in (c); redesignated former (d) as the introductory language of (d) and (d)(2); and added (d)(1).

5-77-203. Rules.

The Division of Arkansas State Police shall promulgate rules to implement this subchapter, including rules that define the type of identification necessary to legally demonstrate that a person is a law enforcement officer or a county coroner.

History. Acts 1997, No. 1281, § 3; 2019, No. 315, § 175.

Amendments. The 2019 amendment substituted “Rules” for “Regulations” in the section heading; and substituted “rules” for “regulations” twice in the text.

5-77-204. Emergency lights and sirens — Prohibited persons.

  1. It is unlawful for a person who has pleaded guilty or nolo contendere to or has been found guilty of a felony or domestic battering in the third degree, § 5-26-305, or a person required to register as a sex offender under the Sex Offender Registration Act of 1997, § 12-12-901 et seq., to knowingly:
    1. Purchase or possess an emergency vehicle light or siren with a purpose to install or use the emergency vehicle light or siren on a motor vehicle that reasonably appears to be or that mimics a law enforcement vehicle;
    2. Install or use an emergency vehicle light or siren on a motor vehicle that reasonably appears to be or that mimics a law enforcement vehicle; or
    3. Operate a motor vehicle that reasonably appears to be or that mimics a law enforcement vehicle and the motor vehicle has an emergency vehicle light or siren installed on the motor vehicle or in use on the motor vehicle.
  2. It is a defense to prosecution under this section that the person was a certified law enforcement officer acting within the scope of his or her duty.
  3. As used in this section:
    1. “Emergency vehicle light” means a device that emits a light of any color and that is:
      1. Designed for use by an emergency vehicle; or
      2. Similar in appearance to a device designed for use by an emergency vehicle;
    2. “Law enforcement vehicle” means any vehicle owned or operated by a law enforcement agency; and
    3. “Siren” means an acoustic or electronic device producing a loud or wailing sound as a signal or warning.
  4. A violation of this section is a Class A misdemeanor.

History. Acts 2009, No. 561, § 1.

5-77-205. Resale of law enforcement vehicles.

  1. Except as provided in subsection (b) of this section, before a law enforcement vehicle is offered for sale to the public, the seller of the law enforcement vehicle shall remove from the law enforcement vehicle the:
    1. Lightbar, including any blue lights or blue lens cap;
    2. Spotlight;
    3. Siren;
    4. Law enforcement decals and signage;
    5. Radios; and
    6. Other items associated solely with law enforcement vehicles.
  2. The items required to be removed under subdivisions (a)(1)-(6) of this section are not required to be removed if the law enforcement vehicle is sold to a law enforcement agency.
  3. A violation of subsection (a) of this section is a violation and punishable by a fine of not more than one thousand dollars ($1,000).

History. Acts 2009, No. 792, § 1; 2017, No. 439, § 3.

Amendments. The 2017 amendment added “including any blue lights or blue lens cap” in (a)(1).

Subchapter 3 — Blue Light Sales

5-77-301. [Repealed.]

Publisher's Notes. This subchapter, concerning blue light sales, was repealed by Acts 2007, No. 827, § 111. The subchapter was derived from the following source:

5-77-301. Acts 1997, No. 497, § 2.

For current law, see § 5-77-201.

Chapter 78 Tobacco

Effective Dates. Acts 2019, No. 580, § 18: Sept. 1, 2019. Effective date clause provided: “Sections 2-17 of this act are effective on the first day of the second calendar month following the effective date of this act”.

5-78-101. [Repealed.]

Publisher's Notes. This section, concerning the possession, purchase and use of cigarettes by minors, was repealed by Acts 2005, No. 1962, § 121. The section was derived from Acts 1999, No. 1331, § 1.

5-78-102. Possession of cigarette or tobacco product, vapor product, alternative nicotine product, or e-liquid product by minor — Confiscation — Additional punishment.

    1. As used in this section, “minor” means a person who is under twenty-one (21) years of age.
    2. “Minor” does not include a person who:
      1. Is under twenty-one (21) years of age if the person presents a military identification card establishing that he or she is a member of the United States Armed Forces; or
      2. Has attained nineteen (19) years of age as of December 31, 2019.
  1. A cigarette or tobacco product, vapor product, alternative nicotine product, or e-liquid product found in the possession of a minor may be confiscated by a certified law enforcement officer or a school official and immediately destroyed.
  2. If a minor who is found by a court to be in violation of a criminal statute is also found to have been in possession of a cigarette or tobacco product, vapor product, alternative nicotine product, or e-liquid product at the time of the violation of the criminal statute, the court may order the minor to perform up to three (3) hours of community service and to enroll in a tobacco education program, in addition to any other punishment imposed by the court for the violation of the criminal statute.
    1. Any additional punishment ordered by the court under subsection (c) of this section is not a criminal offense and shall not be recorded as a criminal offense in the records of this state.
    2. All records of a proceeding under this section shall be permanently expunged from any record created or maintained by any agency, department, county, or municipality.

History. Acts 1999, No. 1331, § 2; 2011, No. 868, § 2; 2013, No. 1125, § 20; 2019, No. 580, § 4.

A.C.R.C. Notes. Acts 2011, No. 868, § 1, provided: “Legislative findings.

“(a) It is the public policy of this state to prohibit the sale of tobacco products to persons younger than eighteen (18) years of age and prohibit the use of tobacco by persons younger than eighteen (18) years of age.

“(b) Studies show that ninety percent (90%) of adult smokers began when they were in their teens, or earlier, and two-thirds (2/3) become regular, daily smokers before they reach nineteen (19) years of age.

“(c) Even though Arkansas retailers have a strict policy of not selling tobacco products to minors, a sizable percentage of minors do obtain and use tobacco products.

“(d) Although the use of tobacco products by minors is an unlawful act, it is only a violation and should not be treated as a criminal offense.

“(e) A stronger deterrent is needed to discourage the illegal use of tobacco products by minors.”

Amendments. The 2011 amendment added (b) and (c).

The 2013 amendment, in (b), inserted “criminal”, “at the time of the violation of the criminal statute”, and “for the violation of the criminal statute” and substituted “have been” for “be”.

The 2019 amendment, in the section heading, inserted “vapor product, alternative nicotine product, or e-liquid product” following “product” and added “Definition”; redesignated former (a) as (b) and redesignated the remaining subsections accordingly; added (a); in (b), inserted “vapor product, alternative nicotine product, or e-liquid product” and substituted “possession of a minor” for “possession of a person under eighteen (18) years of age”; inserted “vapor product, alternative nicotine product, or e-liquid product” in (c); updated an internal reference; and made stylistic changes.

Cross References. Providing minors with tobacco products, vapor products, alternative nicotine products, e-liquid products, and cigarette papers, § 5-27-227.

Effective Dates. Acts 2019, No. 580, § 18: Sept. 1, 2019. Effective date clause provided: “Sections 2-17 of this act are effective on the first day of the second calendar month following the effective date of this act”.

Chapter 79 Body Armor

5-79-101. Criminal possession of body armor.

  1. A person commits criminal possession of body armor if the person knowingly possesses body armor and he or she:
    1. Has been found guilty of or has pleaded guilty or nolo contendere to any of the following offenses:
      1. Capital murder, § 5-10-101;
      2. Murder in the first degree, § 5-10-102;
      3. Murder in the second degree, § 5-10-103;
      4. Manslaughter, § 5-10-104;
      5. Aggravated robbery, § 5-12-103;
      6. Battery in the first degree, § 5-13-201;
      7. Aggravated assault, § 5-13-204;
      8. A felony violation of § 5-64-401 et seq.; or
      9. Aggravated assault upon a law enforcement officer or an employee of a correctional facility, § 5-13-211, if a Class Y felony; or
    2. Is committing or attempts to commit:
      1. A felony involving violence as defined in § 5-4-501(d)(2);
      2. Capital murder, § 5-10-101, manslaughter, § 5-10-104, or negligent homicide, § 5-10-105;
      3. False imprisonment in the first degree, § 5-11-103, false imprisonment in the second degree, § 5-11-104, vehicular piracy, § 5-11-105, or permanent detention or restraint, § 5-11-106;
      4. Robbery, § 5-12-102;
      5. Battery in the second degree, § 5-13-202; or
      6. Trafficking of persons, § 5-18-103.
  2. As used in this section, “body armor” means any material designed to be worn on the body and to provide bullet penetration resistance.
  3. Criminal possession of body armor is a Class D felony.

History. Acts 1999, No. 1449, § 1; 2005, No. 1994, § 299; 2013, No. 542, § 1; 2017, No. 367, § 6.

Amendments. The 2005 amendment deleted “shall be deemed the criminal possession of body armor” following “violation of this section” in (c).

The 2013 amendment rewrote (a) and (c).

The 2017 amendment added (a)(1)(I).

Research References

ALR.

Validity, Construction, and Application of State Statutes Criminalizing Possession of Body Armor by Felon Convicted of Violent Crime. 31 A.L.R.6th 615.

Validity, Construction, and Application of 18 U.S.C. § 931 Criminalizing Possession of Body Armor by Felon Convicted of Violent Crime. 21 ALR Fed. 2d 361.