Wednesday, December 30, 2009

Summary 2009 WY 155

Summary of Decision issued December 30, 2009

Summaries are prepared by Law Librarians and are not official statements of the Wyoming Supreme Court.

Case Name: State, Dept of Family Services v. TWE, III

Citation: 2009 WY 155

Docket Number: S-09-0123

Appeal from the District Court of Campbell County, the Honorable John R. Perry, Judge.

Representing Appellant State: Bruce A. Salzburg, Attorney General; Robin Sessions Cooley, Deputy Attorney General; Jill E. Kucera, Senior Assistant Attorney General.

Representing Appellee TWE,III: Kenneth Bert DeCock, Plains Law Offices, LLP, Gillette, Wyoming.

Facts/Discussion: DFS appealed the district court denial of a petition to terminate Father’s parental rights.
Father argued the case had become moot and bore the burden of bringing to the reviewing court a sufficient record on which to base its decision. The affidavit of his counsel which was attached to his brief on appeal was not properly part of the record on review. Because the record contained no proper support the Court did not consider it further. The case was not moot because the Court’s decision could have a practical impact on DFS’s subsequent actions, Father’s parental rights and the children’s futures.
The evidence showed the case began as one about ensuring that the children had a clean, safe environment with appropriate medical, dental and other care that became a case about whether Father wanted to be with his children enough to stop using marijuana. Termination of parental rights requires clear and convincing evidence that the child’s health and safety would be seriously jeopardized by remaining with or returning to the parent. The Court deferred to the district court’s findings of fact.

Conclusion: Under the applicable standard of review, the district court’s decision was subject to strict scrutiny. The Court defers to the district court’s findings if they are supported by evidence in the record. In the instant case, the district court correctly applied the law and there was evidence in the record sufficient to support its findings of fact.

Affirmed.

J. Burke delivered the decision.

Link: http://tinyurl.com/ydza9pu .

[SPECIAL NOTE: This opinion uses the "Universal Citation." It was given an "official" citation when it was issued. You should use this citation whenever you cite the opinion, with a P.3d parallel citation. Please note when you look at the opinion that all of the paragraphs are numbered. When you pinpoint cite to a quote, you should cite to this paragraph number rather than to any page number. If you need assistance in putting together a citation using the Universal Citation form, please contact the Wyoming State Law Library.]

Monday, December 28, 2009

Final Collection Update

We have received the last load of boxes from storage! These are historical and rare treatises.

The collection is now complete (though it is not completely on the shelves): treatises, Wyoming legislative information, reporters, current and historic federal and state statutes, ALRs, digests, CFRs, Federal Registers and other miscellaneous federal government publications.

Friday, December 18, 2009

Summary 2009 WY 154

Summary of Decision issued December 17, 2009

Summaries are prepared by Law Librarians and are not official statements of the Wyoming Supreme Court.

Case Name: Cross v. State

Citation: 2009 WY 154

Docket Number: S-09-0066

Appeal from the District Court of Campbell County, the Honorable Dan R. Price II, Judge.

Representing Appellant Cross: Donna D. Domonkos of Burg, Simpson, Eldredge, Hersh & Jardine, PC, Cheyenne, Wyoming.

Representing Appellee State: Bruce A. Salzburg, Attorney General; Terry L. Armitage, Deputy Attorney General; D. Michael Pauling, Senior Assistant Attorney General; Justin Daraie, Prosecution Assistance Clinic Student Director and Intern.

Facts/Discussion: Cross appealed from several related convictions for forgery and uttering a forgery. Contending that the district court erred in denying his motion for a new trial, and that his trial counsel was ineffective for failing to interview a potential witness.
Motion for new trial: The record is clear that Cross and his attorney were aware of the witness before trial. At the motion hearing, Cross did not testify that the witness was not called because they did not know that he could or should be a witness. In addition, the Court agreed with the district court that the testimony was not likely to have affected the outcome of the trial because the witness’s memory was sketchy and tended to corroborate the State’s theory that shortly before filing bankruptcy, Cross went to extraordinary lengths to get the overriding royalty interests out of his name and into his daughter’s.
Ineffectiveness of trial counsel: Cross alleged that his attorney was ineffective because he did not adequately investigate the case and call the witness. Because the Court decided that at best, the witness would have been a neutral witness, the Court could not conclude that defense counsel’s actions exhibited deficient performance.

Conclusion: The district court did not abuse its discretion in denying Cross’s motion for a new trial. The identity of the witness was not newly discovered. Cross was not prejudiced by the witness’s absence given the highly questionable value of his testimony. For the same reasons, counsel was not ineffective in failing to call the witness.

Affirmed.

J. Voigt delivered the decision.

Link: http://tinyurl.com/y8mqdyb.

[SPECIAL NOTE: This opinion uses the "Universal Citation." It was given an "official" citation when it was issued. You should use this citation whenever you cite the opinion, with a P.3d parallel citation. Please note when you look at the opinion that all of the paragraphs are numbered. When you pinpoint cite to a quote, you should cite to this paragraph number rather than to any page number. If you need assistance in putting together a citation using the Universal Citation form, please contact the Wyoming State Law Library.]

Summary 2009 WY 153

Summary of Decision issued December 14, 2009

Summaries are prepared by Law Librarians and are not official statements of the Wyoming Supreme Court.

Case Name: Crescent H Homeowners Assoc., Inc. v. Crescent H Assoc. of Homeowners, Inc.

Citation: 2009 WY 153

Docket Number: S-07-0275

Appeal from the District Court of Teton County, the Honorable Nancy J. Guthrie, Judge.

Representing Appellant Crescent H Homeowners Assoc., Inc.: Brent R. Cohen, Rothgerber Johnson & Lyons, LLP, Casper, Wyoming; William Phillip Schwartz, Ranck & Schwartz, Jackson, Wyoming.

Representing Appellee Crescent H. Assoc. of Homeowners, Inc.: Jessica Rutzick, Jessica Rutzick Law Offices, Jackson, Wyoming.

Representing Appellee, Jones Holdings, LLC: Jennifer Ann Golden and Andrea L. Richard, the Richard Law Firm, PC, Jackson, Wyoming.

Facts/Discussion: The appeal involved a dispute between two homeowner associations regarding regulation of fishing and land use activities within the Crescent H Ranch. Crescent H Homeowners Assoc., Inc. (First Filing Assoc.) contended that it and Crescent H Assoc. of Homeowners, Inc. (Fourth Filing Assoc.) formed a contract that made them jointly responsible for creating and enforcing rules governing recreational activities on the Ranch. The Fourth Filing Assoc. and Intervenor, Jones Holdings, assert that the Fourth Filing Assoc. has the sole right to regulate these activities.
The Fishing License and Use Agreements at issue resulted from settlement of an adversarial bankruptcy proceeding initiated by First Filing Association. With regard to the fishing licenses, the parties specifically agreed that upon entry of an order approving the bankruptcy settlement, the Licensor would sell, grant and convey to each of the Homeowners a fishing license which was to be an interest in real property and have provisions for appropriate recording in the real property records. In addition, it was undisputed that the Fishing License Agreement identified the Licensor as the regulating authority. The First Filing Association has never been designated as a Licensor or been assigned any rights as a Licensor as required by the new Fishing License and Use Agreements. First Filing bases its claim of joint regulatory authority upon a 1997 document entitled Crescent H Ranch Rules and Regulations. However, First Filing was ignoring the language of the Bankruptcy Settlement which specifically stated that the New Fishing Licenses and New Use Agreements were to supersede and replace all existing fishing licenses, access rights, and amenity use agreements rendering all such existing agreements null and void.

Conclusion: The district court correctly determined that regulatory authority is governed by the new Fishing and Use Agreements and that regulatory authority has been assigned to the Fourth Filing Association. The First Filing Association failed to establish any genuine issue of material fact entitling it to joint regulatory authority. In light of that, the Court did not need to address other issues raised by the First Filing Assoc.

Affirmed.

J. Burke delivered the decision.

Link: http://tinyurl.com/ye8pgzw.

[SPECIAL NOTE: This opinion uses the "Universal Citation." It was given an "official" citation when it was issued. You should use this citation whenever you cite the opinion, with a P.3d parallel citation. Please note when you look at the opinion that all of the paragraphs are numbered. When you pinpoint cite to a quote, you should cite to this paragraph number rather than to any page number. If you need assistance in putting together a citation using the Universal Citation form, please contact the Wyoming State Law Library.]

Summary 2009 WY 152

Summary of Decision issued December 14, 2009

Summaries are prepared by Law Librarians and are not official statements of the Wyoming Supreme Court.

Case Name: Wallace v. State

Citation: 2009 WY 152

Docket Number: S-09-0060

Appeal from the District Court of Campbell County, the Honorable Michael N. Deegan, Judge.

Representing Wallace: Diane Lozano, State Public Defender; Tina Kerin, Appellate Counsel; and Kirk A. Morgan, Senior Assistant Appellate Counsel, Wyoming Public Defender Program.

Representing State: Bruce A. Salzburg, Wyoming Attorney General; Terry L. Armitage, Deputy Attorney General; D. Michael Pauling, Senio0r Assistant Attorney General; and Graham M. Smith, Assistant Attorney General.

Facts/Discussion: Wallace appealed the district court’s finding that a deputy did not lack reasonable suspicion to detain him and his vehicle for a dog sniff. Wallace contended that the deputy impermissibly expanded the scope of an otherwise lawful stop by requesting the narcotic detection dog.
The Court may sustain a decision of the lower court on any basis found in the record. Although the district court found reasonable suspicion in the case, the Court affirmed on the basis argued by the State that the initial stop was not prolonged beyond the time reasonably required by the officer to write the citations and that an exterior dog sniff does not constitute a search. As the Court noted in Lindsay v. State, the basis for and the circumstances surrounding the stop rather than an arbitrary time limit govern a stop’s permissible length. The district court concluded that the detention lasted no longer than was necessary to achieve the purpose of the stop inasmuch as the sniff was concluded before the deputy had finished issuing the citations.

Conclusion: The Court held that the initial stop was not prolonged by the exterior dog sniff.

Affirmed.

J. Hill delivered the decision.

Link: http://tinyurl.com/y9ky4sj.

[SPECIAL NOTE: This opinion uses the "Universal Citation." It was given an "official" citation when it was issued. You should use this citation whenever you cite the opinion, with a P.3d parallel citation. Please note when you look at the opinion that all of the paragraphs are numbered. When you pinpoint cite to a quote, you should cite to this paragraph number rather than to any page number. If you need assistance in putting together a citation using the Universal Citation form, please contact the Wyoming State Law Library.]

Summary 2009 WY 151

Summary of Decision issued December 11, 2009

Summaries are prepared by Law Librarians and are not official statements of the Wyoming Supreme Court.

Case Name: Cheek, II v. Jackson Wax Museum

Citation: 2009 WY 151

Docket Number: S-09-0063

Appeal from the District Court of Teton County, the Honorable Nancy J. Guthrie, Judge.

Representing Cheek, II: Christopher S. Leigh, Jackson, Wyoming; Leonard R. Carlman of Hess, Carlman & D’Amours, LLC, Jackson, Wyoming.

Representing Jackson Wax Museum: Vonde M. Smith of Law Offices of Vonde M. Smith, PC, Jackson, Wyoming.

Facts/Discussion: The Museum and Cheek entered into a brokerage agreement whereby Cheek agreed to act as the Museum’s exclusive broker for leasing property owned by the Museum. Cheek found a tenant which entered into a lease with the Museum and the Museum paid Cheek the commission due. After the term of the initial lease, the Museum and the tenant renegotiated the lease but Cheek was not paid a commission.

Cheek contends the district court erred in concluding the First Amendment to Lease Agreement was an entirely new lease rather than a renewal or extension of the original lease. In their analysis, the Court applied the rules governing contract interpretation. In reviewing the Lease and the Amendment to the Lease, the Court noted language that supported Cheek’s contention that the amendment was only an amendment and not a new agreement. In portions of the agreement where fixed rent and percentage rent provisions of the original lease were amended, the lease years were identified as 11-12, 13-15 and 16-20 and not as 1-2, 3-5 and 6-10 as would have been done in an entirely new lease. The Court also reviewed the brokerage agreement to determine the parties’ intent with respect to modifications or extensions of the lease. The plain meaning of the language indicated that Cheek and the Museum intended a commission to be paid if the original lease was extended or renewed.

Conclusion: The language of the brokerage agreement clearly and unambiguously provided for payment of a commission upon renewal of the lease. The language of the First Amendment to Lease Agreement clearly and unambiguously modified and extended or renewed the original lease.

Reversed and remanded.

J. Kite delivered the decision.

Link: http://tinyurl.com/yel24bd.

[SPECIAL NOTE: This opinion uses the "Universal Citation." It was given an "official" citation when it was issued. You should use this citation whenever you cite the opinion, with a P.3d parallel citation. Please note when you look at the opinion that all of the paragraphs are numbered. When you pinpoint cite to a quote, you should cite to this paragraph number rather than to any page number. If you need assistance in putting together a citation using the Universal Citation form, please contact the Wyoming State Law Library.]

Summary 2009 WY 150

Summary of Decision issued December 10, 2009

Summaries are prepared by Law Librarians and are not official statements of the Wyoming Supreme Court.

Case Name: Grommet v. Newman

Citation: 2009 WY 150

Docket Number: S-08-0148, S-08-0149

Appeal from the District Court of Platte County, the Honorable John C. Brooks, Judge.

Representing Grommet: Patrick J. Murphy of Williams, Porter, Day & Neville, PC, Casper, Wyoming and Thomas S. Peters of Peters Associates, LLC, Teton Village, Wyoming.

Representing Newman: Michael E. Warren of Sawyer & Warren, PC, Torrington, Wyoming.

Facts/Discussion: Newman asserted that he was owed a real estate commission and an award of attorney’s fees by Grommet, in accordance with the terms of a real estate listing agreement between them. The real estate sale affected a large ranch property owned by Grommet and the Wyoming National Guard (WNG) was the purchaser. Newman’s appeal hinged on the contention that the district court resolved the issues in the case on perceived equities rather than the four corners of the contract.

The Contract: Grommet and Newman disputed which contract was in force at the times crucial to the outcome of the case. The Court noted the existence of a contract that ran from 2003 through 2005. Another agreement was signed in August 2005 which interrupted the 2003 agreement and was in fact an extension of the original agreement with an increased sales price. Newman made a disclosure pursuant to § 33-28-306 at the time the 2003 agreement went into effect. The Court concluded it was sufficient to fully advise Grommet and to comply with the statute.
The Court stated the facts pointed clearly and convincingly to the conclusion that an oral extension of the listing contract existed after it expired in February 2006 which continued the contract until the end of March 2006 when Grommet sent the letter to Newman terminating his services.
Newman contended that he was due the commission for the sale since the word “earned” in the agreements meant “procuring cause” of the sale. The Court disagreed stating that earned meant only that a subsequent broker did whatever he was required to do under his contract to earn a commission.
Bad Faith: Newman alternatively alleged that Grommet acted in bad faith and the he was therefore responsible to pay the commission regardless of the listing agreement. The facts showed that up until he was terminated in March 2006, Newman was doing all he could to facilitate the sale including advertising and lobbying the legislature and the governor. His efforts were ongoing through requests by, the knowledge of and the acquiescence of Grommet. The district court found bad faith did exist on the part of Grommet believing that the termination letter from Grommet was an after-the-fact document prepared to serve as a paper trail for dismissing Newman and that the termination was designed solely to lower the real estate commission and get Brockman’s assistance in raising the sale price. Brockman’s assistance was primarily that of appraiser.

Case No. S-08-0148
Special contract of employment: The Court held that whether the contract at issue was a “special” or “general”: contract was simply not an issue of significance in the case and declined to embrace the reasoning offered by Grommet.
Application of “procuring cause of sale”: Grommet did not associate the discussion with any particular portion of the district court’s findings, so the Court concluded that it need not further address the issue.
New broker extinguishes Newman’s claims: Grommet contended that the hiring of Brockman extinguished any right Newman had to earn a commission because their contract protected him from paying “dual commissions.” The record supported the district court’s findings that Grommet breached the covenant of good faith and fair dealings.
Oral extension of contract: When the Court considered all the testimony offered by Newman and disregarded the contradictory testimony offered by Grommet, the Court concluded that the district court’s findings were not clearly erroneous.
Denial of due process: The matter was thoroughly discussed and resolved during the trial. When the district court made its decision to reverse its initial grant of partial summary judgment it was made clear that Grommet could recall witnesses that had already testified and been excused. The district court’s decision to consult more recent cases that enlarged upon previous precedents pertinent to the implied covenant of good faith and fair dealing did not unfairly surprise Grommet or alter the landscape of the case.
Grommet did not breach the implied covenants: Grommet’s arguments depended almost entirely on the testimony and actions of Grommet and his witnesses. The district court accorded no credibility to them. In addition, the Court noted that the WNG and the State must operate transparently. The record strongly suggested that the price of the ranch was raised only because WNG had $10M appropriated for the purchase of lands to enlarge the military training area around Guernsey. There were no authentic competing buyers.
Filing of lis pendens by Newman: Grommet contended that the filing with the intent of blocking the sale of the ranch was a tort. The filing did not delay the sale. The Court deemed the matter to have been resolved by the parties and that it played no role in the resolution of the issues raised in the instant case.
Extension void under brokerage disclosure statute: Grommet claimed that the listing agreement and any extension thereof was void under § 33-28-306 because his broker’s disclosure had not been acknowledge by all sellers. The Court agreed the extended contract was enforceable based upon the ongoing relationship of Newman and Grommet in buying, selling and swapping real property.
Newman’s fraud on the Wyoming Real Estate Commission: Grommet claimed that Newman defrauded the real estate commission when he submitted evidence to the commission in connection with his assertion that Newman violated Wyoming Statutes and the ethics of his profession. Grommet claims to have been damaged when the Commission dismissed Grommet’s complaint. The Court examined the evidence produced at trial and state the claims were not supported by the evidence.
Newman’s breach of fiduciary duties owed to Grommet: The Court found no credible evidence in the record to support Grommet’s assertions that Newman breached the contract first by failing to tell of offers made on the ranch by other buyers.
Attorney’s fees for Grommet: The district court’s findings were fully supported by the evidence adduced at trial and the district court faithfully applied the correct rules of law to those facts, therefore, the Court would not consider an award of attorney’s fees for Grommet.

Case No. S-08-0149
The Court was comfortable in sustaining the district court’s explicit and implicit findings that Newman was the “procuring cause” of the sale. The Court was also comfortable in concluding that Newman sold the ranch and that he earned the commission provided for in the governing contract. The Court also noted that it was comfortable that Brockman was not the procuring cause of the sale, did not sell the ranch and did not earn a commission. The Court disagreed with the district court’s finding/conclusion that Grommet only violated the implied covenants of good faith and fair dealing and not the contract itself. By the terms of the contract, Newman was entitled to a reasonable attorney’s fees award.

Conclusion
: The judgment of the district court awarding Newman his commission was affirmed. That part of the district court’s judgment which determined that an attorney’s fee award would be inequitable under the circumstances of the case was reversed and the matter remanded for ascertaining a reasonable attorney’s fee to award to Newman.

Case No. S-08-0148: Affirmed.
Case No. S-08-0149: Reversed and remanded.

J. Hill delivered the decision.

Link: http://tinyurl.com/yhwd3am.

[SPECIAL NOTE: This opinion uses the "Universal Citation." It was given an "official" citation when it was issued. You should use this citation whenever you cite the opinion, with a P.3d parallel citation. Please note when you look at the opinion that all of the paragraphs are numbered. When you pinpoint cite to a quote, you should cite to this paragraph number rather than to any page number. If you need assistance in putting together a citation using the Universal Citation form, please contact the Wyoming State Law Library.]

Summary 2009 WY 149

Summary of Decision issued December 9, 2009

Summaries are prepared by Law Librarians and are not official statements of the Wyoming Supreme Court

Case Name: Leyva v. State

Citation: 2009 WY 149

Docket Number: S-09-0034

Appeal from the District Court of Converse County, Honorable John C. Brooks, Judge

Representing Appellant (Defendant): Diane M. Lozano, Wyoming State Public Defender; Tina N. Kerin, Appellate Counsel; Wyoming Public Defender Program

Representing Appellee (Plaintiff): Bruce A. Salzburg, Wyoming Attorney General; Terry L. Armitage, Deputy Attorney General; D. Michael Pauling, Senior Assistant Attorney General; Paul S. Rehurek, Senior Assistant Attorney General

Date of Decision: December 9, 2009

Appellant entered a conditional plea of no contest to one count of possessing methamphetamine with intent to deliver, reserving the right to appeal the district court's denial of his motion to suppress. Appellant maintains the evidence should have been suppressed because no reasonable suspicion existed to detain him for a dog sniff of his vehicle following the conclusion of a traffic stop.

Issues: Whether the trial court erred in denying Appellant's motion to suppress evidence obtained from the detention of Appellant and search of Appellant's car.

Holdings: Initially, Appellant's challenge to the district court's suppression ruling is premised on both Article 1, § 4 of the Wyoming Constitution and the Fourth Amendment to the United States Constitution. However, the state constitutional argument presented by Appellant does not constitute the "precise, analytically sound approach" required for the Court to undertake an independent state constitutional analysis. Appellant's argument is disjointed and consists of little more than a recitation and summary of passages of prior decisions. The court will not consider an assertion, unsupported by any cogent analysis.

The law is well settled that a law enforcement officer may detain a motorist if the officer has an objectively reasonable suspicion that the person is engaged in criminal activity. The existence of objectively reasonable suspicion of criminal activity is determined by evaluating the totality of the circumstances. The whole picture must be considered; common sense and ordinary human experience are to be employed, and deference is to be accorded a law enforcement officer's ability to distinguish between innocent and suspicious actions. In the present case, looking at the whole picture, along with rational inferences, the trooper possessed reasonable suspicion to detain Appellant. The factors supporting the trooper's reasonable suspicion included: Appellant's reluctance to pass the patrol car even though the trooper slowed his traveling speed to well below the posted speed limit; the strong odor of air freshener; the inability of Appellant and the passenger to provide the name of the uncle whose funeral they supposedly attended; the inconsistent answers provided by Appellant and his passenger concerning when they departed from Casper for the uncle's funeral, their dating history, and Appellant's place of residence; and Appellant's visible nervousness during the stop. Although any of these factors alone may not have justified the detention, in the aggregate they provided the trooper with an objectively reasonable basis for suspecting that criminal activity was afoot, thus warranting Appellant's further detention pending the arrival of the canine unit.

Accordingly, the detention did not violate the Fourth Amendment to the United States Constitution and, consequently, the district court properly denied Appellant's motion to suppress.

Affirmed.

J. Golden delivered the opinion for the court.

Link to the case: http://bit.ly/8njJ6Q

[SPECIAL NOTE: This opinion uses the "Universal Citation." It was given an "official" citation when it is issued. You should use this citation whenever you cite the opinion, with a P.3d parallel citation. You will also note when you look at the opinion that all of the paragraphs are numbered. When you need to provide a pinpoint citation to a quote the universal portion of the citation will use that paragraph number. The pinpoint citation in the P.3d portion will need to have the reporter page number. If you need assistance in putting together a citation from this, or any future opinion using the Universal Citation form, please contact the Wyoming State Law Library and we will provide any needed assistance]

Summary 2009 WY 148

Summary of Decision issued December 9, 2009

Summaries are prepared by Law Librarians and are not official statements of the Wyoming Supreme Court

Case Name: Sutton v. State

Citation: 2009 WY 148

Docket Number: S-09-0072

Appeal from the District Court of Laramie County, Honorable Edward L. Grant, Judge

Representing Appellant (Defendant): Diane Lozano, State Public Defender, PDP; Tina Kerin, Appellate Counsel; Eric M. Alden, Senior Assistant Appellate Counsel.

Representing Appellee (Plaintiff): Bruce A. Salzburg, Wyoming Attorney General; Terry L. Armitage, Deputy Attorney General; D. Michael Pauling, Senior Assistant Attorney General; Leda M. Pojman, Senior Assistant Attorney General.

Date of Decision: December 9, 2009

After conditionally pleading guilty to a controlled substance offense, Appellant challenges the district court's denial of his motion to suppress evidence discovered during a search of the vehicle he was driving. He maintains that he was unconstitutionally detained for a canine drug sniff.

Issues: Whether the continued detention of Appellant after he refused to consent to a search was supported by reasonable suspicion.

Holdings: There are three tiers of interaction between police and citizens under the Fourth Amendment-consensual encounter, investigatory detention and arrest. A traffic stop is analogous to a second tier investigatory detention. An investigative detention must be temporary, lasting no longer than necessary to effectuate the purpose of the stop. The officer may expand the investigative detention beyond the scope of the initial stop only if the traveler consents to the expanded detention or if there exists an objectively reasonable suspicion that criminal activity has occurred or is occurring. In determining whether an officer had a reasonable suspicion under the Fourth Amendment, the court looks to the totality of the circumstances and how those circumstances developed during the officer's encounter with the occupant of the vehicle. In considering the totality of the circumstances, common sense and ordinary human experience are to be employed, and deference is to be acco rded a law enforcement officer's ability to distinguish between innocent and suspicious actions.

In the present action, the officer found a car rental agreement that contradicted and was inconsistent with the Appellant's stated travel plans; the fact that the rental agreement indicated that Appellant had only rented the car for one day and it should have been returned the day before the stop was a legitimate factor in the reasonable suspicion analysis.

Additionally, Appellant's explanation of his trip was strange. Appellant told the trooper that he had begun his trip in San Francisco, where he had been staying for approximately one month, and he was traveling to Denver. He had, however, passed the exit to Denver by several miles. Appellant stated that his girlfriend was living and attending school in Denver and he had made a last minute decision to travel to Denver to attend the birth of his child, although he was already one day past the due date. He also stated that he did not know how long he would stay in Denver. Further, when the trooper attempted to clarify whether Appellant's Illinois driver's license correctly stated a Chicago address since he had come from California, Appellant explained that the Illinois address was correct and he had been in California for about a month because he was "taking a break" from Chicago and wanted to see if he would like to live there. However, later in the stop, Appellant stated that he had just started a new job in Illinois before he left to go to California, but he was allowed to take a month off because business was slow. The trooper was certainly entitled to rely on the unusual nature of this story in making his reasonable suspicion determination.

The presence of the cooking bags on the front passenger seat was also suspicious. The trooper, who was specially trained in drug interdiction, testified that he was aware that such bags are used by drug couriers to package marijuana because they mask the smell and do not crush the controlled substance. The presence of a potential odor masking agent is an appropriate factor for consideration in the reasonable suspicion analysis.

The trooper also testified that he considered Appellant's unusual level of nervousness as a factor in his reasonable suspicion analysis. Generic nervousness has little weight in establishing reasonable suspicion because a citizen may be expected to be somewhat nervous when stopped by law enforcement for a traffic violation. However, extreme and continued nervousness is entitled to more weight. Moreover, factors such as acting evasive or breaking eye contact when asked certain questions can also form the basis for reasonable suspicion. There is nothing in the record to contradict the trooper's testimony that Appellant was unusually nervous throughout their encounter and reacted suspiciously when asked whether he was transporting marijuana. Consequently, Appellant's nervousness is a factor that may be given some weight in the reasonable suspicion analysis.

These factors, the past due rental agreement, the unusual travel plans, the oven cooking bags and the unusual nervousness, when viewed individually could be seen as innocuous. Nevertheless, when they are all considered together and in relation to one another, they justify the trooper's suspicion that Appellant was engaging in illegal activities. Appellant's constitutional rights were not violated when the trooper detained him for the canine drug sniff.

Affirmed.

J. Kite delivered the opinion for the court.

Link to the case: http://bit.ly/6h3VIf

[SPECIAL NOTE: This opinion uses the "Universal Citation." It was given an "official" citation when it is issued. You should use this citation whenever you cite the opinion, with a P.3d parallel citation. You will also note when you look at the opinion that all of the paragraphs are numbered. When you need to provide a pinpoint citation to a quote the universal portion of the citation will use that paragraph number. The pinpoint citation in the P.3d portion will need to have the reporter page number. If you need assistance in putting together a citation from this, or any future opinion using the Universal Citation form, please contact the Wyoming State Law Library and we will provide any needed assistance]

Thursday, December 03, 2009

Summary 2009 WY 147

Summary of Decision issued December 3, 2009

Summaries are prepared by Law Librarians and are not official statements of the Wyoming Supreme Court.

Case Name: Motley v. Platte County, WY

Citation: 2009 WY 147

Docket Number: S-08-0171

Appeal from the District Court of Platte County, the Honorable Keith G. Kautz, Judge.

Representing Appellant Motley: H. Michael Bennett of H. Michael Bennet, PC, Cheyenne, Wyoming.

Representing Appellee Platte County: Bruce A. Salzburg, Wyoming Attorney General; Thomas W. Rumpke, Senior Assistant Attorney General; Richard Rideout, Law Offices of Richard Rideout, PC, Cheyenne, Wyoming.

Facts/Discussion: Motley worked for the Platte County Sheriff’s Department as a deputy sheriff. In 2006, he filed a complaint against the county, the Sheriff’s Department and Sheriff Steve Keigley alleging he was suspended and later terminated without cause and without notice and opportunity for a hearing in violation of § 18-3-611.
In Beaulieu II, the Court held that the failure of the complaint in a governmental claims action to allege compliance with both the statutory filing requirements of § 1-39-113 and the constitutional signature and certification requirements of Art. 16, § 7 precludes the district court from acquiring subject matter jurisdiction over the claim. The Court noted it had regularly upheld the strictness of the rule over the intervening years and stated that stare decisis dictated adherence to the rule in the instant case.

Conclusion: Because Motley’s complaint failed to allege the requisite constitutional compliance under Beaulieu II, the district court never acquired subject matter jurisdiction over the action. Since the Court was also without jurisdiction, the appeal was dismissed.

Dismissed.

J. Golden delivered the decision.

C.J. Voigt concurred: W.R.C.P. 8(a)(1) requires a civil complaint to contain a short and plain statement of the grounds upon which the court’s jurisdiction depends. The district court’s jurisdiction over a governmental claim depends upon the plaintiff’s compliance with Art. 16, § 7 of the Wyoming Constitution and with the Wyoming Governmental Claims Act (WGCA).
J. Burke joined by J. Kite dissented: The Justices dissented for the same reasons they identified in the dissent in the July 2009 McCann decision. The Justices disagreed with the application of stare decisis in the instant case. They noted that McCann was the first case in which a litigant lost the right to have a case determined on the merits solely on the basis that the complaint failed to meet the judicially created pleading requirements announced in Beaulieu II. Left unanswered in McCann and Beaulieu II are questions relating to the applicability of the Wyoming Rules of Civil Procedure to governmental claims litigation. The judicially created pleading rules relating to governmental claims should either be eliminated or applied in accordance with the W.R.C.P. As they are being applied now, they conflict with the W.G.C.A. and constitute an over-reaching by the judicial branch.

Link: http://tinyurl.com/yc8hpm7 .

[SPECIAL NOTE: This opinion uses the "Universal Citation." It was given an "official" citation when it was issued. You should use this citation whenever you cite the opinion, with a P.3d parallel citation. Please note when you look at the opinion that all of the paragraphs are numbered. When you pinpoint cite to a quote, you should cite to this paragraph number rather than to any page number. If you need assistance in putting together a citation using the Universal Citation form, please contact the Wyoming State Law Library.]

Tuesday, December 01, 2009

Summary 2009 WY 146

Summary of Decision issued December 1, 2009

Summaries are prepared by Law Librarians and are not official statements of the Wyoming Supreme Court.

Case Name: Forbes v. State

Citation: 2009 WY 146

Docket Number: S-08-0278

Appeal from the District Court of Laramie County, the Honorable Edward L. Grant, Judge.

Representing Appellant Forbes: Diane M. Lozano, State Public Defender; Tina N. Kerin, Appellate Counsel.

Representing Appellee State: Bruce A. Salzburg, Wyoming Attorney General; Terry L. Armitage, Deputy Attorney General; D. Michael Pauling, Senior Assistant Attorney General; Eric Alan Johnson, Director, Prosecution Assistance Program; Justin A. Daraie, Student Intern; Christopher J. King, Student Intern.

Facts/Discussion: Forbes pled guilty to two counts of third-degree sexual abuse of a minor. The district court imposed concurrent sentences of six to eight years, but suspended those sentences and placed Forbes on supervised probation. Subsequently, the State moved to revoke the probation. The district court, after a hearing, revoked probation and imposed the underlying sentence.

Probation revocation proceedings are governed by W.R.Cr.P. 39. A probation violation will not justify revocation unless the violation was willful. The Court reviewed the district court’s finding that Forbes willfully violated a condition of his probation by having a woman and her minor son in his hotel room (his home.) As a condition of his probation, Forbes was ordered not to “initiate, maintain or establish contact” with any minor child. Although it was unclear how contact with the minor was initiated, the district court found Forbes did not terminate contact as required. According to testimony, Forbes was instructed that having the child in the room was a violation. Despite that, the mother and child were again in the room when the probation officer returned with law enforcement.
Forbes contended his actions were justified because they were necessary to prevent the woman and child from spending the night on the street. The Court stated it was unclear whether the defense of necessity was available to defend a violation of probation. In the instant case, there was insufficient evidence to establish the defense. The record showed the district court considered the circumstances of the incident in determining the consequences for the violation.
The Court considered whether the trial court committed reversible error when it did not permit Forbes to allocate at the probation revocation hearing. Although Wyoming has long recognized the right of a defendant to speak in mitigation at sentencing, it has not faced the question of whether a probationer has a right to allocute at a probation revocation hearing. W.R.Cr.P. 39 is silent regarding a defendant’s right to allocute. Forbes cited Anderson to support his claim that the allocution provision of W.R.Cr.P. 32(c)(1)(C) should apply in probation revocation proceedings. In Anderson, the defendant was not sentenced until her probation was revoked; in the instant case, Forbes was challenging a probation revocation proceeding governed by W.R.Cr.P. 39. The Court noted the split of authority on the issue and recommended the Advisory Committee for the Wyoming Rules of Criminal Procedure address the question.

Conclusion: In the instant case and in light of W.R.Cr.P. 39’s silence, the Court could not find that the district court erred in failing to offer allocution to Forbes.

Affirmed.

J. Burke delivered the decision.

Link: http://tinyurl.com/yjejypd .

[SPECIAL NOTE: This opinion uses the "Universal Citation." It was given an "official" citation when it was issued. You should use this citation whenever you cite the opinion, with a P.3d parallel citation. Please note when you look at the opinion that all of the paragraphs are numbered. When you pinpoint cite to a quote, you should cite to this paragraph number rather than to any page number. If you need assistance in putting together a citation using the Universal Citation form, please contact the Wyoming State Law Library.]

Tuesday, November 24, 2009

Summary 2009 WY 145

Summary of Order issued November 24, 2009

Summaries are prepared by Law Librarians and are not official statements of the Wyoming Supreme Court.

Case Name: Eaton v. State

Citation: 2009 WY 145

Docket Number: S-08-0235

Order Lifting Stay of Execution and Order Closing Case

The matter came before the Court upon a “Petitioner’s Status Report” which was e-filed November 16, 2009, pursuant to the terms of the Court’s November 14, 2008 “Order Granting Petition for Writ of Review, Order Vacating Warrant of Execution, Order Setting Date of Execution and Order Staying Execution.” In the Status Report, Mr. Eaton’s counsel informed the Court that the state district court denied the petition for post-conviction relief. In the Court’s docket S-09-0220, Mr. Eaton filed a petition seeking review of the district court’s denial of post-conviction relief. Today, the Court denied that petition and remanded the matter to the district court for issuance of a new warrant of execution. Given the Court’s disposition of the petition Mr. Eaton filed in S-09-0220, the Court found it was no longer appropriate for the Court to continue the stay of execution of Mr. Eaton’s sentence. Instead the Court found that any request for a stay should first be directed to the district court, or any tribunal that Mr. Eaton deems appropriate.

The Court ordered the stay of execution of sentence under the Court’s order of November 14, 2008 was lifted and the captioned case was closed.

C.J. Voigt delivered the order for the court.

Summary 2009 WY 144

Summary of Order issued November 24, 2009

Summaries are prepared by Law Librarians and are not official statements of the Wyoming Supreme Court.

Case Name: Eaton v. State

Citation: 2009 WY 144

Docket Number: S-09-0220

Order Denying Petition for Writ of Certiorari/Review

The matter came before the Court upon a “Petition for a Writ of Certiorari or Writ of Review” filed October 30, 2009. In his petition, Mr. Eaton sought review of the district court’s denial of post-conviction relief. After a careful review of the petition, the materials attached and the file, the Court found that the petition should be denied.

The Court ordered Mr. Eaton be allowed to proceed in the matter in forma pauperis; the Petition for a Writ of Certiorari or Writ of Review was denied; and the case was remanded to the district court for issuance of a new warrant directed to the director of the department of corrections to carry out the execution of the sentence as provided by law.

C.J. Voigt delivered the order for the court.

Monday, November 23, 2009

Summary 2009 WY 143

Summary of Decision issued November 23, 2009

Summaries are prepared by Law Librarians and are not official statements of the Wyoming Supreme Court.

Case Name: Horse Creek Conservation District and Phase 23, LLC v. State

Citation: 2009 WY 143

Docket Number: S-08-0200

Appeal from the District Court of Goshen County, the Honorable John C. Brackley, Judge.

Representing Appellant Horse Creek: Curtis B. Buchhammer, Buchhammer & Kehl, PC, Cheyenne, Wyoming.

Representing Appellee State: Bruce A. Salzburg, Wyoming Attorney General; Michael L. Hubbard, Deputy Attorney General; Ryan T. Schelhaas, Senior Assistant Attorney General; Brandi Lee Monger, Assistant Attorney General.

Facts/Discussion: The district court granted summary judgment in favor of the State ruling that pursuant to an agreement between Horse Creek Conservation District (HCCD) and the State, the public has a perpetual right of recreational use access to HCCD property adjacent to the Hawk Springs Reservoir.

Statutory Provisions Pertaining to Public Access: Wyo. Stat. Ann. §§ 41-2-216 through -218 provided State funding for the reconstruction of Hawk Springs Reservoir. It included a provision expressly pertaining to public access to the reservoir and adjacent lands for recreational purposes. The Court interpreted whether public access to HCCD land adjacent to the reservoir was required. On its face, the clear language of the statute requires HCCD to grant public access to all adjacent lands. HCCD and Phase 23 argue that the public access provision was ambiguous. The Court noted the term “or” follows the phrase “all adjacent lands.” Considering the entire act pertaining to the Hawk Springs Reservoir, it was obvious to the Court that the legislature appropriated a large sum of money and in order to get full public benefit in exchange for the funding, required public access for recreational purposes. By focusing on the public recreation potential and expressly identifying “hunting, fishing, and general recreation” as the purposes of the public access, the legislature clearly intended for HCCD to grant broad, as opposed to narrow or limited, public access to the area.
Contractual Provisions Pertaining to Public Access: The Court’s case law is clear that in interpreting contracts, the Court must take into account relevant statutes. The statutory agreement expressly referred to the statutes providing funding for the rehabilitation of the Hawk Springs Reservoir making the rationale for interpreting the agreement in the context of the statutes even stronger. Section 41-2-218(b)(ii)(G) required HCCD as a condition of receiving funding for the project to provide public access to all of its lands adjacent to the reservoir. The statutes had the practical effect of making HCCD lands adjacent to the reservoir “public lands” at least for recreation purposes. Thus the clear language of the agreement, when interpreted in accordance with the relevant statutes, provided that HCCD was required to grant public access to its lands adjacent to the reservoir. The Court recognized the potential for future problems resulting from the project agreement’s failure to mirror the statutory language. It therefore remanded to the district court for reformation of the project agreement language to conform more closely to the statutory language.
Legal Description: HCCD argued next that the public access provision was void because the area encumbered was not delineated by a specific legal description. The Court’s question was whether the description of the lands “adjacent” to the reservoir was sufficient to locate property encumbered by the public access interest. The plain and ordinary meaning of the words controls. The Court concluded that the plain meaning of “adjacent” was sufficiently definite to allow the encumbered property to be located. In addition, the Court noted that a basic tenet of statutory construction is that a specific statute will control over a general statute covering the same subject. In the instant case, if the Court were not to rule so, it would be undermining the legislature’s clear intent that by appropriating substantial funds for the rehabilitation of the Hawk Springs Reservoir, it required perpetual public access to all HCCD land adjacent to the reservoir.
Rule Against Perpetuities: The Rule does not apply when the interest has already vested as in the instant case. The public access interest vested upon adoption of the statutes and the project agreement.
Bona Fide Purchaser: Phase 23 claimed it should not be bound by the public access interest because the interest was not a matter of public record and it was a bona fide purchaser. The Court noted their decision in Bentley where it stated that § 34-1-120 does not apply to executory contracts because they do not fall within the applicable definition of a “conveyance” in § 34-1-120. Phase 23 simply has an equity interest in the property and will not receive a conveyance of the property from HCCD until the contract is fully performed. Because the contract was executory, there has been no conveyance of the property and § 34-1-120 provides no remedy to Phase 23.

Conclusion: The statutes providing for rehabilitation of the Hawk Springs Reservoir specifically required HCCD to grant public access to its lands adjacent to the reservoir. When the project agreement is interpreted in the context of the Statutes it unambiguously provides for public access. However, because the contractual language does not mirror the statutory language, the Court remanded for application of the equitable power of reformation to conform the contractual language to the statutes. The Court further concluded that as a matter of law, the rule against perpetuities did not apply to the public access interest because it was fully vested.
Phase 23 was also bound by the public access interest even though it was not recorded in the public record. Phase 23 is not entitled to relief under the recording statute because it had not received a conveyance of property from HCCD and it had actual notice of the public’s access interest precluding it from being a bona fide purchaser.

Affirmed and remanded.

J. Burke delivered the decision.

Link: Access is currently limited to the Judiciary website link here: http://www.courts.state.wy.us/Opinions.aspx .

[SPECIAL NOTE: This opinion uses the "Universal Citation." It was given an "official" citation when it was issued. You should use this citation whenever you cite the opinion, with a P.3d parallel citation. Please note when you look at the opinion that all of the paragraphs are numbered. When you pinpoint cite to a quote, you should cite to this paragraph number rather than to any page number. If you need assistance in putting together a citation using the Universal Citation form, please contact the Wyoming State Law Library.]

Thursday, November 19, 2009

Summary 2009 WY 142

Summary of Decision issued November 19, 2009

Summaries are prepared by Law Librarians and are not official statements of the Wyoming Supreme Court.

Case Name: Swain v. State

Citation: 2009 WY 142

Docket Number: S-08-0280

Appeal from the District Court of Laramie County, the Honorable Michael K. Davis, Judge.

Representing Appellant Swain: Diane M. Lozano, Wyoming State Public Defender; Tina N. Kerin, Appellate Counsel; David E. Westling, Senior Assistant Appellate Counsel, Wyoming Public Defender Program.

Representing Appellee State: Bruce A. Salzburg, Wyoming Attorney General; Terry L. Armitage, Deputy Attorney General; D. Michael Pauling, Senior Assistant Attorney General; Graham M. Smith, Assistant Attorney General.

Facts/Discussion: Swain appealed the district court’s order denying him credit for time served on three separate probation revocation actions. He also appealed his conviction for indirect criminal contempt arising from his failure to comply with the district court’s order requiring him as a condition of probation to attend and complete an inpatient substance abuse treatment program.

Sentencing credit: Swain contended that his sentence was illegal because the district court did not give him credit for the time he served on the three probation revocation actions. The Court relied on Jackson v. State where it held that time spent in custody awaiting disposition of probation revocation proceedings must be credited against the probationer’s underlying sentence if the incarceration is directly attributable to the underlying criminal conviction. Like Jackson, the sole basis for Swain’s detention in each of the revocation proceedings was the accusation he had violated one or more conditions of his probation. No additional criminal charges were filed against Swain based on the alleged violations, and the justification for revoking probation was basically that Swain absconded from supervision and failed to report to and complete the Cheyenne Transitional Center’s program and the Cheyenne Transitions Residential Program. The Court also concluded that the time spent in custody pending resolution of the three revocation proceedings was directly attributable to his underlying battery conviction and consequently, he was entitled to credit against the underlying three-five year prison sentence.
Criminal contempt conviction: The Court focused on a procedural error in the contempt proceeding. Wyoming endorsed the Gompers “independent and separate proceeding” rule for indirect criminal contempt actions in Garber v. United Mine Workers of America. Proceedings in criminal contempts are independent criminal actions and should be conducted accordingly. The criminal contempt against Swain was not pursued as an independent criminal action. It proceeded as an aspect of the underlying criminal case in which the contempt arose bearing the same docket number as that case. This procedural misstep mandated the conclusion that the jurisdiction of the district court was never properly invoked.

Conclusion: The Court held that Swain was entitled to credit against his penitentiary sentence for the time he was detained pending resolution of the three probation revocation proceedings. The Court also held that his conviction for indirect criminal contempt cannot be sustained because the district court lacked jurisdiction over the contempt action.

Reversed and remanded.

J. Golden delivered the decision.

Link: Access is currently limited to the Judiciary website link located here: http://www.courts.state.wy.us/Opinions.aspx .

[SPECIAL NOTE: This opinion uses the "Universal Citation." It was given an "official" citation when it was issued. You should use this citation whenever you cite the opinion, with a P.3d parallel citation. Please note when you look at the opinion that all of the paragraphs are numbered. When you pinpoint cite to a quote, you should cite to this paragraph number rather than to any page number. If you need assistance in putting together a citation using the Universal Citation form, please contact the Wyoming State Law Library.]

Google Provides Legal Research!

On Tuesday Google officially entered the world of legal resources. You can now access full text legal opinions from U.S. federal and state district, appellate and supreme courts using Google Scholar. If you click on the Advanced Scholar Search link, you can choose to search only Wyoming cases. There are Pacific Reporter page numbers listed next to the corresponding case text and your search terms are highlighted throughout. In addition to being able to view the case, you can choose the "How Cited" tab and see "How this document has been cited", "Cited by", and "Related documents".

This blog post by Robert J. Ambrogi for the Law.com Legal Blog Watch provides an excellent overview and thoughts on how Google's entrance into the provision of legal research may or may not impact LexisNexis and Westlaw.

Tuesday, November 17, 2009

Summary 2009 WY 141

Summary of Decision issued November 17, 2009

Summaries are prepared by Law Librarians and are not official statements of the Wyoming Supreme Court.

Case Name: Asherman v. Asherman

Citation: 2009 WY 141

Docket Number: S-09-0050

Appeal from the District Court of Park County, the Honorable Steven R. Cranfill, Judge.

Representing Appellant Richard Asherman: Michael A. LaBazzo of Law Offices of Michael A. LaBazzo, LLC, Cody, Wyoming.

Representing Appellee Robin Asherman: Jill Deann LaRance of LaRance & Syth, PC, Billings, Montana.

Facts/Discussion: In 2007, the district court entered a divorce decree, incorporating the parties’ Child Custody and Property Settlement Agreement. Later, Wife filed a motion asking the court to have funds from the sale of a property disbursed in accordance with the agreement. Specifically, she stated that three debts, including the remaining balance on a $155,000 debt on her residence, were to be paid from the proceeds of the sale, after which any remaining funds were to be split equally between the parties.
Several provisions of the settlement agreement address payment of the debt resulting from the purchase of the Alpine Avenue property. The provisions clearly established that the debt was to be paid out of the proceeds from the sale of the Logan Mountain property before the remainder was split equally between the parties. Husband argued that the settlement agreement was ambiguous concerning how the Alpine Avenue debt was to be paid and that the overall intent was to divide the parties’ assets according to their origin and the relative contributions of the parties. The Court has recognized that when the parties execute a detailed property agreement, it will enforce the plain language of the agreement even if argument can be made that a particular provision was not necessarily consistent with one of the parties’ interests. The Court concluded as it did in Brockway and Wunsch that the plain language of the agreement controlled. The settlement agreement was very detailed, addressing the parties’ assets and liabilities separately and with obvious care.
Husband also argued that there was an agreement to have Wife immediately reimburse Husband for all payments that he paid on the debt including principal and interest which meant that he could have paid off the loan prior to the closing of the Logan Mountain property sale and then required Wife to pay the entire amount out of her share. The Court agreed but noted it was simply a second procedure set out in the agreement. Although the two provisions might seem inconsistent, it did not render the agreement ambiguous. The provisions were not mutually exclusive. Wife reimbursed Husband out of her share of the sale proceeds for payments he had made on the Alpine Avenue debt prior to the Logan Mountain property sale.

Conclusion: The settlement agreement clearly stated that the outstanding balance on the $155,000 debt resulting from the purchase of Wife’s Alpine Avenue property would be paid out of the joint proceeds of the sale of the Logan Mountain property.

Affirmed.

J. Kite delivered the decision.

Link: Please visit the Judiciary website to see the full context of the opinion.

[SPECIAL NOTE: This opinion uses the "Universal Citation." It was given an "official" citation when it was issued. You should use this citation whenever you cite the opinion, with a P.3d parallel citation. Please note when you look at the opinion that all of the paragraphs are numbered. When you pinpoint cite to a quote, you should cite to this paragraph number rather than to any page number. If you need assistance in putting together a citation using the Universal Citation form, please contact the Wyoming State Law Library.]

Friday, November 13, 2009

Summary 2009 WY 140

Summary of Decision Issued November 12, 2009

Summaries are prepared by Law Librarians and are not official statements of the Wyoming Supreme Court

Case Name: Zaloudek v. Zaloudek

Citation: 2009 WY 140

Docket Number: S-09-0016

Appeal from the District Court of Unita County, Honorable Nancy J. Guthrie, Judge

Representing Appellant (Defendant): William L. Combs, Combs Law Office, Evanston, Wyoming

Representing Appellee (Plaintiff): Richard J. Mulligan, Mulligan Law Office, Jackson, Wyoming; Heather Noble, Jackson, Wyoming

Issues: Whether the trial court abused its discretion in its divorce decree ordering an equitable division of the property.

Holdings: While the divorce was pending, Appellee sought permission from the district court to take some of the hay stored at the Evanston property to feed the two horses she was keeping. Appellant objected. After a hearing held by telephone, the district court denied Appellee’s request for permission to take the hay but, instead, ordered Appellant to pay for hay to be purchased from another source. Appellant filed a motion asking the district court to reconsider its ruling, claiming that the payment of money was relief that had not been sought by Appellee, and that the parties had presented no testimony or other evidence during the hearing to support the order. The district court apparently chose to deny Appellant’s motion to reconsider and, instead, issued the written order that had been prepared and submitted by Appellee. On appeal, Appellant claims that the district court’s decision was arbitrary and capricious, unsupported by the evidence, and contrary to law. The record does not support that assertion. In the motion, Appellee sought alternative forms of relief. First, she asked for permission to remove hay from the property. Alternatively, she requested payment for the costs of boarding the horses. The relief granted by the district court falls within this alternative request. Appellant had notice of this claim for relief and there was no error in the district court’s consideration of this issue.

In granting a divorce, the court shall make such disposition of the property of the parties as appears just and equitable, having regard for the respective merits of the parties and the condition in which they will be left by the divorce, the party through whom the property was acquired and the burdens imposed upon the property for the benefit of either party and children. The district court has discretion to determine what weight should be given each of these individual factors, and to divide the property as appropriate to the individual circumstances of each case. The justness and fairness of a marital property division cannot be gauged with a simple comparison of the amount of property awarded to each party. Rather, the disposition should be performed with regard to the respective merits of the parties, the condition in which they will be left by the divorce, the party through whom the property was acquired, and the burdens imposed upon the property for the benefit of either party.

Although one statutory factor to be considered in dividing property in a divorce is the party through whom the property was acquired, a party is not automatically entitled to all of that property. Under Wyoming law, all marital property is subject to equitable division upon divorce. In the present action, Appellant was not entitled to a larger portion of the couple’s retirement assets just because he had earned more money than Appellee.

Appellant also asserts that some of the retirement assets were acquired before the marriage, and therefore not part of the marital estate. This argument has merit, but the difficulty is that neither party provided any evidence of the value of the retirement assets at that earlier date. The record suggests that the parties were unsuccessful in obtaining this evidence, even though subpoenas were issued to the asset managers. Without evidence of the value of the retirement assets at the earlier date, the district court had no basis for excluding the pre-marital portion from division. The district court’s refusal to speculate was not unreasonable, and was not an abuse of discretion.

The divorce decree in the present action reflects that the district court considered the statutory factors. It found that “most of the assets have been acquired during the marriage and . . . that those assets have appreciated during the marriage.” The court determined that “an equitable distribution merits an equal distribution of the parties’ assets and liabilities.” It further found that “an equal division of the parties’ assets would adequately allow each party to have sufficient income with which to support his or her individual living expenses.” These findings and conclusions are sufficiently supported by the evidence of record, and are not so unfair or inequitable as to constitute an abuse of discretion.

Appellant also asserts that the district court did not follow proper procedure when it entered the divorce decree. He complains that the district court adopted the proposed divorce decree submitted by Appellee, without allowing Appellant an opportunity to approve the order as to form or to assert any objections. Appellant claims that this violated W.R.C.P. 58(a). W.R.C.P. 58(a) is the procedure used when the judge orally announces a decision and asks one of the parties, usually the prevailing party, to draft an order reflecting that decision. In the present action, the district court did not announce a decision at the end of the trial, and did not ask one of the parties to submit an order. Instead, it directed both parties to submit proposed divorce decrees. Both parties did so. In this way, the district court was reminded or made aware of the positions, arguments, and objections of both parties. Thus, there was no violation of W.R.C.P. 58(a).

Affirmed.

J. Burke delivered the opinion for the court.

Link: http://tinyurl.com/yavp38u .

[SPECIAL NOTE: This opinion uses the "Universal Citation." It was given an "official" citation when it was issued. You should use this citation whenever you cite the opinion, with a P.3d parallel citation. Please note when you look at the opinion that all of the paragraphs are numbered. When you pinpoint cite to a quote, you should cite to this paragraph number rather than to any page number. If you need assistance in putting together a citation using the Universal Citation form, please contact the Wyoming State Law Library.]

Summary 2009 WY 139

Summary of Decision issued November 12, 2009

Summaries are prepared by Law Librarians and are not official statements of the Wyoming Supreme Court

Case Name: Exxon Mobil Corp. v. The State of Wyoming, Dept. of Revenue

Citation: 2009 WY 139

Docket Number: S-08-0098

W.R.A.P. 12.09(b) Certification from the District Court of Sublette County, Honorable Norman E. Young, Judge

Representing Appellant (Petitioner): Patrick R. Day and Walter F. Eggers, III, Holland & Hart, Cheyenne, Wyoming; Brent R. Kunz, Hathaway & Kunz, Cheyenne, Wyoming

Representing Appellee (Respondent): Bruce A. Salzburg, Attorney General; Michael L. Hubbard, Deputy Attorney General; Martin L. Hardsocg, Senior Assistant Attorney General.

Issues: Whether the State Board of Equalization erred in determining that ExxonMobil’s Black Canyon facility is an “initial dehydrator” for point of valuation purposes under Wyo. Stat. Ann. § 39-14-203(b)(iv). Whether the State Board of Equalization correctly affirm the Department of Revenue’s method of deducting post-plant transportation costs and determination that post-plant transportation costs are not included in the direct cost ratio pursuant to Wyo. Stat. Ann. § 39-14-203(b)(vi)(D).

Holdings: The statutory terms initial dehydrator and processing facility, as used in Wyo. Stat. Ann. § 39-14-203(b)(iv), are ambiguous. Because the statute is ambiguous, the principles of statutory construction must be relied upon in order to ascertain the legislative intent.

Tax statutes are to be construed in favor of the taxpayer and are not to be extended absent clear intent of the legislature. In the interpretation of statutes levying taxes it is the established rule not to extend their provisions, by implication, beyond the clear import of the language used, or to enlarge their operations so as to embrace matters not specifically pointed out. In case of doubt they are construed most strongly against the government and in favor of the citizen. Thus, taxes may not be imposed by any means other than a clear, definite and unambiguous statement of legislative authority.

The severance tax is imposed at the point where “the production process is completed.” Wyo. Stat. 39-14-203(b)(ii). Historically, the term “production” refers to the severance of minerals from the ground. Accordingly, the severance tax was traditionally imposed on the value of the mineral at the point where it is severed from the ground. For natural gas, severance is generally considered to occur at the wellhead. The legislature may choose to adjust or clarify the precise point of valuation, and over the years it has enacted legislation to do that. But unless the statute includes a clear expression of legislative intent to shift the point of valuation away from the wellhead, the statutory language should be construed to conform as nearly as possible to the basic severance tax concept of valuation at the wellhead.

In the present action, the Black Canyon facility is separated, physically and functionally, from the wellheads. It does not play a part in removing the gas from the ground, but instead in handling the gas after it has been removed from the ground and gathered at the facility. On this basis, it seems inappropriate to consider Black Canyon part of the production process. It seems more appropriate to consider Black Canyon to be part of the post-production operations. Based on these considerations, the construction of Wyo. Stat. 39-14-203(b)(iv) must be that the legislature’s intent was not to classify Black Canyon as an initial dehydrator as that term is used in the first sentence, but rather to consider Black Canyon a processing facility as that term is used in the second sentence of the statute.

Thus, ExxonMobil’s Black Canyon is not an “initial dehydrator,” as that term is used in the first sentence of Wyo. Stat. 39-14-203(b)(iv), and the correct point of valuation for severance taxes is not the outlet of the Black Canyon facility. Black Canyon is instead a “processing facility” as that term is used in the second sentence of the statute, and the proper point of valuation is “at the inlet to the initial transportation related compressor, custody transfer meter or processing facility, whichever occurs first.”

ExxonMobil asserts that there is a custody transfer meter located at each wellhead, so the proper point of valuation is at the inlet to these custody transfer meters. The record, however, does not establish with sufficient certainty whether those meters are custody transfer meters or volume meters. If they are volume meters, they are not the proper points of valuation. The Court is unable to resolve this issue based on the record and will remand this case to the Board to determine the correct point of valuation in accordance with this opinion.

Under Wyoming law, the fair market value of natural gas production is determined at the point when the production process has been completed. Wyo. Stat. 39-2-208(a). Severance taxes are to be levied on the “fair market value” of the mineral “after the production process is completed.” Wyo. Stat. 39-14-203(b)(ii). If it is unusually expensive to transport a mineral from the point of production to the point of sale, then that mineral has a lower fair market value at the point of production. In the present action, if the carbon dioxide component of the raw gas stream is extremely expensive to transport, then the value of the carbon dioxide at the point of production is correspondingly low. If the value of the carbon dioxide is low, that reduces the value of the entire gas stream at the point of production.

The statutory formula for the proportionate profits method explicitly includes the “direct cost of producing, processing and transporting the minerals” in the denominator of the direct cost ratio. Wyo. Stat. Ann. § 39-14-203(b)(vi)(D). The use of the plural, “minerals,” indicates that the transportation costs for all components of the raw gas stream must be included in the formula. The statute does not allow the Department to include the direct costs of some minerals and exclude the direct costs of others. While the Department may be correct that including the high costs of post-processing transportation for carbon dioxide results in a lower taxable value for the entire gas stream, that result is not absurd but rather a reflection of the true market value of the gas stream at the point of production. The result is entirely consistent with the mandate of the Wyoming Constitution that “the product of all mines shall be taxed in proportion to the value thereof.” Wyo. Const. art. 15, § 3.

Wyo. Stat. Ann. § 39-14-201(a)(xv) explicitly provides that, “For the purposes of taxation, the term natural gas includes products separated for sale or distribution during processing of the natural gas stream including, but not limited to plant condensate, natural gas liquids and sulfur.” Methane, carbon dioxide, and sulfur are all products separated from the natural gas stream, and all are included within the definition of natural gas for purposes of taxation. Because the Department levies taxes on the value of each individual product, it must also consider the costs of transporting each individual product.

The key to resolving this dispute, is to determine whether post-processing transportation costs are part of the “direct cost of producing, processing and transporting the minerals.” If so, then Wyo. Stat. Ann. § 39-14-203(b)(vi)(D) directs that they be included in the denominator of the direct cost ratio. The statutes and regulations provide no definition of the term “indirect costs” as applied to natural gas. As applied to coal, however, indirect costs are defined to include “allocations of corporate overhead, data processing costs, accounting, legal and clerical costs, and other general and administrative costs which cannot be specifically attributed to an operational function without allocation.” Wyo. Stat. 39-14-103(b)(vii)(D). Applying this statutory definition, the costs of mining permits and environmental impact statements are indirect costs because they benefit the entire operation and cannot be specifically attributed to any coal mining or processing Although this statutory definition applies directly to coal, it is helpful in defining indirect costs of producing natural gas.

The post-processing transportation costs for methane, carbon dioxide, and sulfur are not general administrative costs that benefit the entire project. They are directly attributable to the function of transporting those mineral products. Reading this statutory definition of indirect costs together with the regulatory definition of direct costs, must be concluded that post-processing transportation costs are not indirect costs, but direct costs. Accordingly, post-processing transportation costs must be included in the denominator of the statutory formula for calculating the fair market value of the minerals using the proportionate profits method.

Even if these post-processing transportation costs were indirect costs, however, the Department has provided no case law support for the approach of subtracting them from total sales. The proportionate profits method adopted by the legislature recognizes that indirect costs occur proportionately over all functions, production, processing, and transportation, in the same ratio as direct costs.” Accordingly, Wyo. Stat. 39-14-203(b)(vi)(D) requires a calculation of the ratio of direct costs of production to the direct costs of production, processing, and transportation. It does not require a calculation of indirect costs in this formula, but instead presumes that indirect costs occur in the same ratio as direct costs. The statutory formula, does not mention indirect costs, and therefore cannot be interpreted to authorize the Department’s approach of subtracting indirect costs from total sales.

The Department has cited no statutory or regulatory authority for its approach of subtracting post-processing transportation costs directly from the amount received in sales. The applicable statute, Wyo. Stat. Ann. § 39-14-203(b)(vi)(D), is explicit about what is included in this step of the formula: “The total amount received from the sale of the minerals minus exempt royalties, nonexempt royalties and production taxes.” It does not indicate, in any way, that post-processing transportation costs are also subtracted from the sales amount.

Wyo. Stat. Ann. § 39-14-203(b)(vi)(D) is unambiguous on the correct way to account for post-processing transportation costs. Post-processing transportation costs are direct costs of producing, processing and transporting the minerals. They must therefore be included in the denominator of the direct cost ratio under the proportionate profits method.

Reversed and remanded.

J. Burke delivered the opinion for the court.

Link: http://tinyurl.com/yc5ar4h .

J. Hill dissented and would affirm the BOE’s order. The majority opinion accorded neither the Department of Revenue (DOR) nor the Board of Equalization (BOE) the full benefit of the applicable standards of review. Neither did it apply a complete statement of the applicable principles of statutory construction for revenue statutes such as those at issue here.

The fair market value of natural gas for severance and ad valorem tax purposes is determined “after the production process is completed.” Wyo. Stat. 39-14-203(b)(ii) (2009). Determining the point of valuation is of particular significance because “expenses incurred by the producer prior to the point of valuation are not deductible in determining the fair market value. Thus, because certain expenses “downstream” of the point of valuation are deductible, it is to the producer’s benefit to have the point of valuation determined “upstream” as far as possible. That is the instant case in a nutshell. Here Exxon seeks an “upstream” point of valuation instead of the “downstream” point of valuation determined by the DOR and confirmed by the BOE.

Questions of law are reviewed de novo. The majority bypassed the substantial evidence part of this standard of review by characterizing the issue here as one of “statutory construction” and, thus, a pure question of law.

The Department’s valuations for state-assessed property are presumed valid, accurate, and correct. This presumption can only be overcome by credible evidence to the contrary. In the absence of evidence to the contrary, it is presumed that the officials charged with establishing value exercised honest judgment in accordance with the applicable rules, regulations, and other directives that have passed public scrutiny, either through legislative enactment or agency rule-making, or both.

The petitioner has the initial burden to present sufficient credible evidence to overcome the presumption, and a mere difference of opinion as to value is not sufficient. If the petitioner successfully overcomes the presumption, then the Board is required to equally weigh the evidence of all parties and measure it against the appropriate burden of proof. Once the presumption is successfully overcome, the burden of going forward shifts to the DOR to defend its valuation. The petitioner, however, by challenging the valuation, bears the ultimate burden of persuasion to prove by a preponderance of the evidence that the valuation was not derived in accordance with the required constitutional and statutory requirements for valuing state-assessed property. Moreover, in examining the propriety of the valuation method, the Court’s task is not to determine which of the various appraisal methods is best or most accurately estimates fair market value; rather, it is to determine whether substantial evidence exists to support usage of the chosen method of appraisal.

J. Hill rejected the majority’s conclusion that because the industry and the DOR have different views as to what an “initial dehydrator” and a “processing facility” are that the statute is, therefore, ambiguous and the Court is at liberty to resolve the difference of opinion. His examination of the findings of the BOE, convinced him that the DOR correctly identified the Black Canyon facility as an “initial dehydrator,” even though it may also perform some other miscellaneous functions.

The majority also employed a very general rule to the effect that revenue statutes must be strictly construed in favor of the taxpayer. However, the revenue legislation must also be reasonably construed so that their underlying purpose is not destroyed. Where an interpretation places undue importance on words subordinate to the plainly apparent objective of a statute in order to reward persons who resort to some unusual or not reasonably to be expected procedure, the court should not accept that interpretation.

The long range objective of all tax measures is to promote a stable social order by providing financial support to cover the expenses of the government and its programs. Although different forms of taxation may sometimes produce individual hardships, an overly biased interpretation of tax laws for the benefit of the taxpayer may result in the loss of revenue at the expense of the government and operate to the disadvantage of others contributing to its support. The better rule is that statutes imposing taxes and providing means for the collection of the same should be construed strictly in so far as they may operate to deprive the citizen of his property by summary proceedings or to impose penalties or forfeitures upon him; but otherwise tax laws ought to be given a reasonable construction, without bias or prejudice against either the taxpayer or the state, in order to carry out the intention of the legislature and further the important public interests which such statutes subserve.

Finally, J. Hill did not agree with the majority’s conclusion that the DOR and the BOE applied the proportionate profits method incorrectly.

[SPECIAL NOTE: This opinion uses the "Universal Citation." It was given an "official" citation when it was issued. You should use this citation whenever you cite the opinion, with a P.3d parallel citation. Please note when you look at the opinion that all of the paragraphs are numbered. When you pinpoint cite to a quote, you should cite to this paragraph number rather than to any page number. If you need assistance in putting together a citation using the Universal Citation form, please contact the Wyoming State Law Library.]

Summary 2009 WY 138

Summary of Decision issued November 10, 2009

Summaries are prepared by Law Librarians and are not official statements of the Wyoming Supreme Court.

Case Name: Burke v. State, DOH

Citation: 2009 WY 138

Docket Number: S-09-0022

Appeal from the District Court of Laramie County, the Honorable Michael K. Davis, Judge.

Representing Appellant Burke: Frank J. Jones, Wheatland, Wyoming.

Representing Appellee State: Bruce A. Salzburg, Wyoming Attorney General; Robin Sessions Cooley, Deputy Attorney General; Douglas J. Moench, Senior Assistant Attorney General; Michael T. Kahler, Assistant Attorney General, Shaun Wilkerson, Assistant Attorney General.

Facts/Discussion: After an audit showed that Burke had been excessively reimbursed for services provided to Medicaid recipients, the Department sought reimbursement from him. Burke filed a request for an administrative hearing, but later withdrew the request and the Department dismissed the administrative action. The Department then filed an action in district court to recover the excess payments. The district court entered summary judgment against Burke finding that he was barred from disputing the claim because he failed to exhaust his administrative remedies.

Application of res judicata: Burke was entitled to an administrative hearing. The Department advised him that he was so entitled. Burke requested a hearing and then withdrew his request. His contention that the district court improperly applied res judicata when the Medicaid rules did not allow him to request an administrative hearing was without merit. The Department’s letters clearly informed Burke that the Department was seeking recovery of excess payments pursuant to Chapter 39 and that he had a right to request reconsideration of the decision to recover excess payments, and upon the Department’s issuance of a final decision, a contested case hearing.
Wyoming Medicaid rules: Burke claimed the Medicaid Rules were ambiguous and inconsistent because while the overpayment and excess payment provisions allow a provider to request an administrative hearing, both provisions also allow the Department to initiate a civil action to recover the payments even when the provider has requested a hearing. The problem with Burke’s argument was that there was no administrative proceeding at the time the civil lawsuit was filed. Consequently, there was no possibility of an administrative ruling in his favor and a simultaneous district court judgment in the Department’s favor.
Discovery: The issue before the district court was whether the Department was entitled to judgment as a matter of law on its complaint for money damages against Burke in the amount of the excess payments. The district court determined that the order dismissing the agency action was final. The district court further determined that the doctrine of res judicata applied to bar re-litigation of the claims raised in the administrative proceeding. The discovery Burke sought to pursue was not necessary to a determination of the issues before the district court.

Conclusion: The Department’s letters clearly informed Burke that the Department was seeking recovery of excess payments pursuant to Chapter 39 and that he had a right to request reconsideration of the decision to recover excess payments, and upon the Department’s issuance of a final decision, a contested case hearing. There was no administrative proceeding at the time the civil lawsuit was filed consequently; there was no possibility of an administrative ruling in his favor and a simultaneous district court judgment in the Department’s favor. The discovery Burke sought to pursue was not necessary to a determination of the issues before the district court.

Affirmed.

J. Kite delivered the decision.

Link: http://tinyurl.com/ykmvj5z .

[SPECIAL NOTE: This opinion uses the "Universal Citation." It was given an "official" citation when it was issued. You should use this citation whenever you cite the opinion, with a P.3d parallel citation. Please note when you look at the opinion that all of the paragraphs are numbered. When you pinpoint cite to a quote, you should cite to this paragraph number rather than to any page number. If you need assistance in putting together a citation using the Universal Citation form, please contact the Wyoming State Law Library.]

Summary 2009 WY 137

Summary of Decision issued November 10, 2009

Summaries are prepared by Law Librarians and are not official statements of the Wyoming Supreme Court.

Case Name: Faber v. State, DOT

Citation: 2009 WY 137

Docket Number: S-09-0099

Appeal from the District Court of Sublette County, the Honorable Marvin L. Tyler, Judge.

Representing Appellant Faber: Elizabeth Greenwood and Inga L. Parsons of Pinedale, Wyoming.

Representing Appellee State: Bruce A. Salzburg, Wyoming Attorney General; Robin Sessions Cooley, Deputy Attorney General; Douglas J. Moench, Senior Assistant Attorney General; Michael T. Kahler, Assistant Attorney General.

Facts/Discussion: Faber appealed from the district court’s Order Affirming Agency Order Upholding Implied Consent Suspension and Associate Agency Order Upholding Commercial Disqualification.
In reviewing findings of fact, the Court examines the entire record to determine whether there is substantial evidence to support the agency’s findings. In the instant case, the Court stated there was substantial evidence in the form of eye-witness testimony of Faber’s refusal to provide a breath sample for chemical analysis. In addition, Faber did not testify at the contested case hearing and he did not cite to cases or statutes supporting his contentions.

Conclusion: Substantial evidence supported the Hearing Examiner’s finding that the petitioner intentionally failed to provide the breath samples necessary for the breath test requested by the booking officer. Such intentional failure constituted a refusal to take the breath test, which refusal led to the statutory implied consent suspension of the petitioner’s driving privileges and the additional statutory disqualification from driving a commercial motor vehicle. The officer was not required to offer a blood or urine test.

Affirmed.

C.J. Voigt delivered the decision.

Link: http://tinyurl.com/yh5ju75 .

[SPECIAL NOTE: This opinion uses the "Universal Citation." It was given an "official" citation when it was issued. You should use this citation whenever you cite the opinion, with a P.3d parallel citation. Please note when you look at the opinion that all of the paragraphs are numbered. When you pinpoint cite to a quote, you should cite to this paragraph number rather than to any page number. If you need assistance in putting together a citation using the Universal Citation form, please contact the Wyoming State Law Library.]

Tuesday, November 10, 2009

Summary 2009 WY 136

Summary of Decision issued November 6, 2009

Summaries are prepared by Law Librarians and are not official statements of the Wyoming Supreme Court

Case Name: Legarda-Cornelio v. State

Citation: 2009 WY 136

Docket Number: S-09-0083

Appeal from the District Court of Natrona County, Honorable David B. Part, Judge

Representing Appellant (Defendant): Esteban Cornelio LeGarda, Pro se.

Representing Appellee (Plaintiff): Bruce A. Salzburg, Wyoming Attorney General; Terry L. Armitage, Deputy Attorney General; D. Michael Pauling, Senior Assistant Attorney General; Justin A. Daraie, Prosecution Assistance Program, Student Director and Intern.

Facts: The appellant was convicted and sentenced in state court and then in federal court for unrelated offenses. He subsequently filed a W.R.Cr.P. 35(b) motion with the state district court asking it to order that his state sentences run concurrently with his federal sentences, which motion the district court denied. The appellant appeals that denial.
Issues: Whether the district court abused its discretion in denying the appellant’s W.R.Cr.P. 35(b) motion.

Holdings: Although it appears that the district court was amenable to the appellant’s request that his state sentences run concurrently with his impending federal sentences, the district court never explicitly ordered that, nor could it. If a defendant is subject to prosecution in more than one court, the decision regarding how the sentences will run with respect to one another should be made by the last judge to impose a sentence. The underlying rationale for this theory is that a judge cannot require a sentence to be served consecutively to a sentence that has not yet been imposed. Moreover, a state district court cannot bind a federal court with such sentencing restrictions. Thus, the district court did not abuse its discretion in refusing to order the sentences to run concurrently.

With regard to the appellant’s claim that his good behavior justified a sentence reduction, it is clear from the record that the district court considered not only the appellant’s W.R.Cr.P. 35(b) motion, which included the certificates and documentation of the self-improvement courses, but it also considered additional material, such as the appellant’s Presentence Investigation Report. After considering everything as a whole, the district court denied the appellant’s motion. While it is commendable that the appellant has chosen to turn his life around and take a proactive role in completing self-improvement courses while he has been incarcerated, those facts alone do not require the district court to grant the appellant’s W.R.Cr.P. 35(b) motion. Nor do those facts alone provide grounds to find that the district court abused its discretion in denying the appellant’s motion. After reviewing the entire record and giving the required deference to the district court’s determination, it cannot be said that it abused its discretion.

The state district court did not have authority to determine whether the appellant’s state sentences were to run concurrently with or consecutive to the appellant’s impending federal sentences. The district court was not the last court to impose a sentence on the appellant. Moreover, the district court properly denied the appellant’s W.R.Cr.P. 35(b) motion because it was still without authority to issue an order that it could not have entered in the first instance. Also, the district court was not required to grant the appellant’s W.R.Cr.P. 35(b) motion simply because the appellant demonstrated commendable behavior and achievement while he had been incarcerated.

Affirmed.

C.J. Voigt delivered the opinion for the court.

Link: http://tinyurly9rehgx .

[SPECIAL NOTE: This opinion uses the "Universal Citation." It was given an "official" citation when it was issued. You should use this citation whenever you cite the opinion, with a P.3d parallel citation. Please note when you look at the opinion that all of the paragraphs are numbered. When you pinpoint cite to a quote, you should cite to this paragraph number rather than to any page number. If you need assistance in putting together a citation using the Universal Citation form, please contact the Wyoming State Law Library.]

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