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      {
        "text": "ORR, Judge.\nDefendant argues five errors on appeal. For the following reasons, we hold that the trial court did not err and affirm the judgment of 29 March 1990.\nThis case arises from defendant\u2019s alleged breaking and entering of the Reveo Drug Store in Pinewood Shopping Center in Granite Falls. The evidence at trial tends to show that on 1 February 1988, Charlotte McCorcle, pharmacist assistant manager at Reveo, was called to the store by an activated alarm. Upon entering the store with a sheriff\u2019s deputy, she noticed that drugs on the shelves were in disarray, there were muddy shoe prints and fingerprints on the floor and the shelves, and the meter box at the back of the store had been pulled off the wall and was missing. There was also a hole in the back wall which had not been there when Ms. McCorcle had closed and locked the store the night before.\nThe activated alarm also notified patrol officers Sergeant Paul Brittain and Officer Sandra Brown of a possible break-in at Reveo. The officers received the call at 2:25 a.m. on 1 February 1988, and proceeded north on Highway 321 toward Pinewood Shopping Center. As they approached the shopping center, the only automobile they observed was a parked Ford headed in the opposite direction. This automobile was located approximately 100 yards from the shopping center through the woods. As the officers approached the parking lot of the shopping center, they observed no other cars or persons. They noticed that the lights were out at Reveo. They drove to the back of the building and noticed that the meter box was missing from the back of Reveo. They drove to where the Ford had been parked to try to obtain its license number and discovered that the car was gone. Less than two minutes later they saw the car on Highway 321, traveling in a northerly direction. Officer Brown observed a person later identified as defendant driving the car.\nOfficer Brown testified that the vehicle was traveling at an accelerated speed without its headlights on. Sergeant Brittain activated his siren and blue lights and chased defendant\u2019s car, reaching speeds between 70 and 90 miles per hour. Defendant did not stop immediately but did finally pull over and slowly moved down the right side of the road. The only occupant of the car was defendant. Both passenger and driver windows were rolled down on a cold, wet night.\nDefendant told Sergeant Brittain that he had run out of gas, although he gave no explanation for the car starting after the officers first observed him. Sergeant Brittain also observed cloth gloves on the back floorboard of the car. Defendant voluntarily returned to Reveo with the officers.\nWhen defendant returned to Reveo, another officer (Officer S eagle) observed white foam pellet insulation (which was consistent with the insulation in the hole in Revco\u2019s back wall) in defendant\u2019s hair. Additional evidence collected at the scene of the crime included, inter alia, footwear impressions containing foam bead insulation which matched defendant\u2019s footwear, foam bead insulation from defendant\u2019s clothes which matched the insulation at Reveo, foam bead insulation from the floorboard of defendant\u2019s car and brown cotton gloves found in the car, and fibers taken from the point of entry which matched the fib\u00e9rs in the toboggan defendant was wearing that night. The officers located a sledgehammer by the side of the road where defendant had slowed down before he stopped his car. The sledgehammer was dry, although it was a cold, wet night.\nAt trial, Officer Keith Powers of the Winston-Salem Police Department testified to a separate incident that occurred on 3 January 1989 when he responded to an activated alarm call at Pleasant\u2019s Hardware in Winston-Salem at approximately 3:49 a.m. When he checked the store for signs of a break-in, he noted a hole knocked in the back of the building and then discovered defendant inside the building. The evidence indicated that this hole was consistent in size and shape to the hole in the back of Reveo found during the break-in of February 1988.\nI.\nDefendant first argues that the trial court erred in allowing the prosecutor for the State to make an inappropriate remark during closing argument concerning defendant\u2019s failure to testify in his defense. We disagree.\nDuring his closing argument, the prosecutor discussed the intent element of larceny, and the following exchange occurred.\n[The STATE]: And the final element of the crime of felonious breaking or entering is that the breaking or entering was done with the intent to commit larceny. Now ladies and gentlemen, intent, as Judge Owens is going to tell you in a little while, is a process of the mind. It\u2019s right up here. It\u2019s not susceptible to direct proof. What must come from circumstantial evidence and things that can be inferred.\nNow the defendant hasn\u2019t taken the stand in this case\u2014\nMr. BURKHEIMER: Objection to his remarks about that, Your Honor.\nTHE COURT: Overruled.\nMr. BURKHEIMER: Exception.\n[THE STATE]: The defendant hasn\u2019t taken the stand in this case. He has that right. You\u2019re not to hold that against him. But ladies and gentlemen, we have to look at the other evidence to look at intent in this case. What do we have? Well, we\u2019ve got a hole in the back wall. Why would anybody do that? Just for the heck of it? Is this vandalism? The State contends that it\u2019s not. We\u2019ve got an entry into the building. Just wanted to go in there, do something, take a look around? State contends that\u2019s preposterous. But the most damning of all evidence is that set of shoe tracks going right to the drug counter.\nThe State contends that it may argue the applicable law and all reasonable inferences, and that its argument to the jury was not an \u201cextended reference\u201d to defendant\u2019s failure to take the witness stand in his own defense which would require a new trial. Defendant maintains that the State\u2019s comments were grossly improper and unconstitutional because it drew the jury\u2019s attention to his choice not to testify.\nIt is well-settled law that in a criminal prosecution, a defendant has the right not to testify and that such failure to testify shall not create a presumption of guilt against him. N.C. Const, art. I \u00a7 23; N.C. Gen. Stat. \u00a7 8-54 (1986). Further, the general rule is that counsel may not make an improper comment on defendant\u2019s failure to testify. State v. Monk, 286 N.C. 509, 516, 212 S.E.2d 125, 131 (1975) (citations omitted). The purpose of this rule is that \u201cextended reference\u201d by counsel or the court \u201cwould nullify the policy that the failure to testify should not create a presumption against the defendant.\u201d State v. Styles, 93 N.C. App. 596, 610, 379 S.E.2d 255, 264 (1989), quoting, State v. Randolph, 312 N.C. 198, 206, 321 S.E.2d 864, 869 (1984). However, it is not reversible error if the State makes a \u201cveiled reference\u201d to a defendant\u2019s failure to testify which is \u201cso brief and indirect as to make improbable any contention that the jury inferred guilt from the failure of the defendant to testify.\u201d Id.\nMoreover, in State v. Banks, 322 N.C. 753, 370 S.E.2d 398 (1988), our Supreme Court stated,\n[t]he reason for the rule is that extended comment from the court or from counsel for the state or defendant would tend to nullify the declared policy of the law that the failure of one charged with crime to testify in his own behalf should not create a presumption against him or be regarded as a circumstance indicative of guilt or unduly accentuate the significance of his silence.\nWhile the mere statement by defendants\u2019 counsel that the law says no man has to take the witness stand would seem unobjectionable, it is obvious that further comment or explanation might have been violative of the rule established by the decisions of this Court.\nId. at 763, 370 S.E.2d at 405, quoting, State v. Bovender, 233 N.C. 683, 689-90, 65 S.E.2d 323, 329-30 (1951).\nApplying the above principles to the State\u2019s comments in the case sub judice, we hold that the comments do not rise to the level of \u201cextended comments\u201d prohibited by the law of this state. The thrust of that portion of the State\u2019s argument to the jury was to explain to the jury what evidence it could use to determine defendant\u2019s intent to commit larceny. The State made reference to defendant\u2019s failure to testify, his right to do so, the jury\u2019s duty not to hold that against defendant, and then the evidence that may be considered to determine defendant\u2019s intent.\nWe note additionally that pursuant to the North Carolina Pattern Jury Instructions, the trial court either in its discretion or upon request can instruct the jury that the defendant has not testified; that the law of North Carolina gives him that privilege and assures the defendant that his decision not to testify creates no presumption against him; and therefore his silence is not to influence their decision. N.C.P.I. \u2014 Crim., 101.30. The comments made by the prosecutor essentially track these instructions.\nThe statement in the present case was not comparable to those statements made in other cases in which our courts have held them to be improper statements. See, e.g., State v. McCall, 286 N.C. 472, 212 S.E.2d 132 (1975), vacated in part, 429 U.S. 912, 50 L.Ed.2d 278, 97 S.Ct. 301 (1976); State v. Monk, 286 N.C. 509, 212 S.E.2d 125 (1975); State v. Ferrell, 75 N.C. App. 156, 330 S.E.2d 225, disc. review denied and appeal dismissed, 314 N.C. 333, 333 S.E.2d 492 (1985); State v. Oates, 65 N.C. App. 112, 308 S.E.2d 507 (1983), disc. review denied, 315 S.E.2d 708 (1984); State v. Waddell, 11 N.C. App. 577, 181 S.E.2d 737 (1971).\nFurther, even if the statement in the instant case had been an improper statement, defendant has failed to establish that the error was so prejudicial that without it there was a reasonable possibility that the outcome of the trial would have been different. N.C. Gen. Stat. \u00a7 15A-1443(a) (1988). State v. Banks, 322 N.C. 753, 764, 370 S.E.2d 398, 406 (1988). We cannot find that had the reference not been made by the State in its closing argument concerning defendant\u2019s failure to testify, the evidence against defendant would have been minimized to such an extent that the jury probably would have found him not guilty.\nFor the foregoing reasons, we find no error in the State\u2019s closing argument to the jury, though we sound a cautionary note that such comments will be found acceptable in only the most narrow factual circumstances.\nII.\nDefendant next argues that the trial court erred in denying his motion to suppress certain evidence because it was obtained as a result of an unconstitutional stop. We find no error.\nDefendant maintains that Sergeant Brittain and Officer Brown did not have reasonable, articulable suspicion to stop defendant\u2019s car on 1 February 1988, and therefore, all evidence obtained from defendant was erroneously admitted at trial. The State argues that the facts of this case created such suspicion and the stop was therefore legal and the evidence admissible.\nIt is well-settled law that a police officer may make a brief investigative stop of a vehicle if justified by specific, articulable facts giving rise to a reasonable suspicion of illegal activity. Alabama v. White, 110 L.Ed.2d 301, 110 S.Ct. 2412, 58 U.S.L.W. 4747 (1990); United States v. Brignoni-Ponce, 422 U.S. 873, 45 L.Ed.2d 607, 95 S.Ct. 2574 (1975); Terry v. Ohio, 392 U.S. 1, 20 L.Ed.2d 889, 88 S.Ct. 1868 (1968).\nIn Alabama v. White, 110 L.Ed.2d 301, 110 S.Ct. 2412, 58 U.S.L.W. 4747 (1990), the United States Supreme Court discussed the applicable standard for reasonable suspicion for a vehicular stop.\nReasonable suspicion is a less demanding standard than probable cause not only in the sense that reasonable suspicion can be established with information that is different in quantity or content than that required to establish probable cause, but also in the sense that reasonable suspicion can arise from information that is less reliable than that required to show probable cause.Reasonable suspicion, like probable cause, is dependent upon both the content of information possessed by police and its degree of reliability. Both factors \u2014 quantity and quality \u2014 are considered in the \u201ctotality of the circumstances \u2014 the whole picture,\u201d [citation], that must be taken into account when evaluating whether there is reasonable suspicion.\nId., 110 L.Ed.2d at 309, 110 S.Ct. at 2416.\nIn State v. Morocco, 99 N.C. App. 421, 393 S.E.2d 545 (1990), this Court stated that although a police officer may not make Terry stops \u201cmerely on the pretext of a minor traffic violation,\u201d the police officer may make those stops if it is what a reasonable officer would do under the same or similar circumstances. Id. at 427, 393 S.E.2d at 548.\nApplying the above principles to the facts in the case sub judice, we hold that the police officers had reasonable, articulable suspicion to stop defendant\u2019s car. The officers had checked the Reveo store at approximately 1:00 a.m. and noticed that the lights were on, although it was locked and no one was in the parking lot. After they received the radio call of the alarm at Reveo, they noticed defendant\u2019s car parked on Highway 321 with the front of the car headed in a southerly direction. When the officers checked Reveo, there were no lights on, and they noticed the meter box missing. They immediately returned to the area where defendant\u2019s car had been parked to obtain its license number and the car was gone. Within two minutes, they observed the car moving north on Highway 321 without its headlights burning, accelerating at a high rate of speed. The officers immediately began chasing defendant with their patrol car\u2019s siren and blue light engaged. Defendant\u2019s car travelled at a speed of 70 to 90 miles per hour. Defendant did not immediately stop for the officers. These are specific and articulable facts which, under the circumstances, give rise to a reasonable suspicion of illegal conduct. Further, it is reasonable that any officer would have stopped defendant under the same or similar circumstances.\nUnder the above law, it is not necessary, as defendant argues, for the officers to have reasonable suspicion that defendant committed the break-in at Reveo. It is only necessary that the police have a reasonable suspicion of some illegal conduct. The totality of the circumstances in this case presented the officers with reasonable suspicion that defendant had participated in or was participating in some illegal activity. Therefore, we hold that the trial court did not err in denying defendant\u2019s motion to suppress the evidence because the stop was a legal and constitutionally sound stop.\nIII.\nDefendant\u2019s third assignment of error is whether the trial court erred in denying his motions to dismiss based upon defendant\u2019s first attorney\u2019s dual representation in this case. We find no error.\nThe record in the present case indicates that attorney Jason Parker was defendant\u2019s attorney from February 1988 until 9 August 1988, at which time Parker joined the District Attorney\u2019s office as an Assistant District Attorney. During the time he was defendant\u2019s attorney, Parker filed a request for voluntary discovery and waived arraignment on behalf of defendant. Parker also held some conferences with defendant and the prosecutor handling the case.\nAfter Parker became an Assistant District Attorney, the Assistant District Attorney who had been handling the case, Gary Dellinger, calendared the case for several dates, appeared in court and called the case for trial. On 24 October 1988, another attorney was appointed to represent defendant. On 21 December 1988, the District Attorney requested assistance in prosecuting this case from the Special Prosecutions Section of the Attorney General\u2019s office due to a potential conflict of interest. Assistant Attorney General John Watters was assigned to prosecute the case.\nOn 23 January 1989, defendant filed a motion to bar prosecution because of dual representation by Parker and the State and argued that the State\u2019s further prosecution violated his State and Federal Constitutional rights. Defendant also filed a motion for speedy trial relief. On 10 February, the trial court denied the motion to bar prosecution and denied defendant\u2019s speedy trial motion. During the hearing on the speedy trial motion, Parker testified about his conversations and telephone calls with defendant and Dellinger testified about his actions in the case. None of the testimony concerned any confidential information obtained by either Parker or Dellinger.\nOn 25 September 1989, the trial court heard defendant\u2019s motion to dismiss (filed 15 August 1989) on the grounds that Watters\u2019 actions in subpoenaing Parker to testify at the 10 February hearing violated defendant\u2019s State and Federal Constitutional rights. The trial court summarily denied this motion and entered its order accordingly.\nNorth Carolina case law has addressed the issue that is now before us: whether a private attorney whose successive government employment as a district attorney creates a per se disqualification of all the other government attorneys on his staff from prosecuting or appearing at any time against his former client. See State v. Camacho, 329 N.C. 589, 406 S.E.2d 868 (1991). Based on the reasoning in Camacho and the following analysis of the North Carolina Rules of Professional Conduct, we hold that there is no per se disqualification rule in North Carolina.\nUnder the North Carolina Rules of Professional Conduct, Rule 9.1(C):\nExcept as law may otherwise expressly permit, a lawyer serving as a public officer or employee shall not:\n(1) Participate in a matter in which the lawyer participated personally and substantially while in private practice or non-governmental employment, unless under applicable law no one is, or by lawful delegation may be, authorized to act in the lawyer\u2019s stead in the matter; or\n(2) Negotiate for private employment with any person who is involved as a party or as attorney for a party in a matter in which the lawyer is participating personally and substantially.\nThe Comment to this rule states, \u201c[paragraph (C) does not disqualify other lawyers in the agency with which the lawyer in question has become associated.\u201d Comment, N.C.R. Prof. Conduct, Rule 9.1. Therefore, under Rule 9.1(C) and the Comment to the Rule, Parker would have been disqualified from prosecuting defendant, but neither Dellinger nor Watters would be prohibited from prosecuting defendant\u2019s case for the State. Dellinger was clearly an \u201cother lawyer in the agency\u201d with whom Parker had become associated.\nFurther, to avoid any potential conflict at all, Watters was assigned to prosecute the case independently of the Caldwell County District Attorney\u2019s office. The information Dellinger and Watters received from Parker concerning the case was not confidential information and was a matter of public record. The trial court made appropriate findings of fact concerning this information in its order of 18 January 1990, and these findings are supported by competent evidence.\nDefendant relies on United States v. Schell, 775 F.2d 559 (4th Cir. 1985), cert. denied, 475 U.S. 1098, 89 L.Ed.2d 898, 106 S.Ct. 1498 (1986), for the proposition that it is fundamentally unfair and unconstitutional for an attorney to represent a client and then \u201cswitch sides\u201d and participate in the client\u2019s prosecution for the same offense. The Schell Court held such, basing its holding on \u201c[t]he confidentiality of the attorney-client relationship is severely compromised, if not destroyed, when, after representing a client, a lawyer joins in the criminal prosecution of that client with respect to the identical matter about which the attorney originally counseled the client. \u201d Id. at 565 (emphasis in the original). There are, however, at least two fundamental differences in Schell and the present case.\nFirst, the attorney in Schell who had \u201cswitched sides\u201d made an appearance for the United States Attorney\u2019s Office in the grand jury proceedings against his former clients in virtually the same matter for which he had been retained earlier to represent them. In our case, Parker made no appearance on behalf of the District Attorney\u2019s Office in any of the proceedings against defendant. He did testify at a motion hearing concerning his contacts with defendant and his involvement in the case, but none of that contained confidential information, and he was not appearing as an Assistant District Attorney to assist in prosecuting the case, but a critical witness in the hearing.\nSecond, it is unclear in Schell as to whether the Court based its decision on any rule of professional conduct. The Court cited none in its discussion of this issue. In the present case, the Comment to Rule 9.1(C) of the North Carolina Rules of Professional Conduct specifically states that other lawyers in the District Attorney\u2019s Office would not be disqualified from prosecuting defendant, although Parker had served for a period of time as defendant\u2019s counsel in the same matter. We again note that the prosecution by Dellinger for the District Attorney\u2019s office was limited and counsel from the Attorney General\u2019s office quickly obtained.\nFinally, we find support for our holding on this issue from many other states. The majority of states who have addressed this issue have refused to adopt a per se disqualification rule under similar circumstances. See State v. McKibben, 239 Kan. 574, 722 P.2d 518 (1986), and the cases cited therein. In those cases holding that there is not a per se disqualification rule, the courts analyze the circumstances of the particular case and determined if any confidences had been breached which would prejudice the defendant. 722 P.2d at 525.\nThe American Bar Association committee on professional ethics also lends its support to our holding. In Formal Opinion 342, 62 A.B.A.J. 517 (1976), the committee ruled \u201cthat it is not necessary to disqualify the entire governmental office [under these circumstances]. The individual lawyer should be screened from having direct or indirect participation in the matter and communication with colleagues concerning the prosecution . . . .\u201d 722 P.2d at 525.\nTherefore, for the above reasons, we hold that the trial court did not err in denying defendant\u2019s motion to dismiss and bar prosecution because of alleged dual representation.\nIV.\nDefendant\u2019s remaining assignments of error concern whether the trial court erred in admitting evidence of another break-in to show modus operandi, and whether it erred in instructing the jury on defendant\u2019s flight from the scene of the crime.\nA.\nDefendant contends that the trial court erred in instructing the jury on defendant\u2019s flight from the scene of the crime because there was no evidence of flight. We disagree.\nThe trial court gave the following charge on flight.\nNow members of the jury, the State contends that the defendant fled. The evidence of flight may be considered by you together with all other facts and circumstances in this case in determining whether the combined circumstances amount to an admission or show a consciousness of guilt. However, proof of this circumstance is not sufficient by itself to establish the defendant\u2019s guilt.\nIt has long been held that the trial court may not instruct the jury on a defendant\u2019s flight unless \u201cthere is some evidence in the record reasonably supporting the theory that defendant fled after commission of the crime charged. . . .\u201d State v. Irick, 291 N.C. 480, 494, 231 S.E.2d 833, 842 (1977). Accord, State v. Levan, 326 N.C. 155, 388 S.E.2d 429 (1990); State v. Moxley, 78 N.C. App. 551, 338 S.E.2d 122 (1985), disc. review denied, 316 N.C. 384, 342 S.E.2d 904 (1986). In determining whether or not a defendant fled from the scene of the crime, the relevant inquiry is whether the defendant fled and took some precautions to avoid apprehension. Levan, 326 N.C. 155, 165, 388 S.E.2d 429, 434 (1990).\nIn the case sub judice, there is ample evidence of defendant\u2019s flight. Sergeant Brittain and Officer Brown first spotted defendant\u2019s car parked in the opposite direction of the Reveo. After determining that the meter box was missing from the back of Reveo, they returned to obtain the license number from defendant\u2019s vehicle and discovered that the vehicle was gone. They next saw it moving in a northerly direction without its lights burning. As they began to chase defendant, defendant did not stop his car and attempted to flee from the officers at a high rate of speed. This is more than \u201csome evid\u00e9nce\u201d that defendant fled the scene of the crime and took steps to avoid apprehension. We find no error in the trial court\u2019s instruction on flight.\nB.\nFinally, defendant contends that he is entitled to a new trial because the trial court erred in admitting evidence of other crimes for the purpose of showing modus operandi in the present case. We find no error.\nDefendant argues that Officer Powers\u2019 testimony concerning defendant\u2019s alleged break-in of Pleasant\u2019s Hardware on 3 January 1989, was not admissible under Rule 404(b) of the North Carolina Rules of Evidence. He further argues that State v. McClain, 240 N.C. 171, 81 S.E.2d 364 (1954), excludes evidence of his subsequent crime to show modus operandi in the present crime.\nUnder N.C. Gen. Stat. \u00a7 8C-1, Rule 404(b), evidence of other crimes may be admitted so long as it is relevant to any fact or issue other than the defendant\u2019s character. State v. Bagley, 321 N.C. 201, 362 S.E.2d 244 (1987), cert. denied, 485 U.S. 1036, 99 L.Ed.2d 912, 108 S.Ct. 1598 (1988). Rule 404(b) is now considered a general rule of inclusion of relevant evidence of other crimes if it meets the test for admissibility. Id. at 206, 362 S.E.2d at 247. The test for whether such evidence is admissible is whether the incidents or crimes are sufficiently similar and not too remote in time as to be more probative than prejudicial under Rule 403. Id.; State v. Boyd, 321 N.C. 574, 364 S.E.2d 118 (1988).\nUsually, remoteness in time of another offense goes to the weight of the evidence and not to its admissibility to show modus operandi. State v. Schultz, 88 N.C. App. 197, 362 S.E.2d 853 (1987), aff'd, 322 N.C. 467, 368 S.E.2d 386 (1988). Remoteness in time is less important on the issue of modus operandi when evidence of the other crime is admitted because it is so similar to the modus operandi of the crime being tried; such similarities permit a reasonable inference that the same person committed both crimes. Id. at 203, 362 S.E.2d at 857.\nApplying these general principles to the present case, we hold that the trial court did not err. First, the two crimes meet the first prong of the test regarding similarity. The evidence establishes that each crime was committed in the early morning hours, a retail store was the object of the break-in, each establishment was entered through an almost identical hole in the back wall, and the same tool was used to create the hole in the wall: a sledgehammer. In the Winston-Salem case, the sledgehammer was discovered at the hardware store; in the present case, the sledgehammer was discovered along the side of the road where defendant had slowed down to stop for the officers in pursuit.\nSecond, the two crimes were within the temporal proximity prong of the test. The lapse of approximately 11 months between the two alleged crimes was not so remote in time as to render the evidence inadmissible. When the purpose for which the evidence is being admitted is the modus operandi of the crime, remoteness in time usually goes to the weight of the evidence, not its admissibility. Id. It is reasonable to conclude that a defendant who has established a particular modus operandi will continue that same pattern whether or. not there has been a long lapse of time between the crimes. State v. Riddick, 316 N.C. 127, 134, 340 S.E.2d 422, 427 (1986). \u201cIt is this latter theory which sustains the evidence\u2019s admissibility].\u201d Id. We have reviewed the cases cited by defendant on the issue of remoteness in time and find that they are not applicable to show defendant\u2019s modus operandi. All of the cases cited by defendant concerned other issues such as intent, identity or common plan or scheme.\nMoreover, we find that the probative value of the admitted evidence was not outweighed by its prejudicial effect to defendant. Therefore, for the above reasons, we hold that defendant received a fair trial free from prejudicial error.\nNo error.\nJudges COZORT and LEWIS concur.",
        "type": "majority",
        "author": "ORR, Judge."
      }
    ],
    "attorneys": [
      "Attorney General Lacy H. Thornburg, by Assistant Attorney General John H. Watters, for the State.",
      "Appellate Defender Malcolm Ray Hunter, Jr., by Assistant Appellate Defender Daniel R. Pollitt, for defendant-appellant."
    ],
    "corrections": "",
    "head_matter": "STATE OF NORTH CAROLINA v. JOSEPH KEITH REID\nNo. 9025SC1121\n(Filed 5 November 1991)\n1. Criminal Law \u00a7 427 (NCI4th)\u2014 breaking and entering-comment on failure to testify \u2014 no error\nThere was no error in a prosecution for felonious breaking and entering where the prosecutor referred in his closing argument to defendant\u2019s failure to testify. The State\u2019s comments in this case do not rise to the level of extended comments prohibited by the law of this state and, furthermore, defendant has failed to establish that the statement was so prejudicial that without it there was a reasonable possibility that the outcome of the trial would have been different.\nAm Jur 2d, Trial \u00a7 507.\nViolation of federal constitutional rule (Griffin v. California) prohibiting adverse comment by prosecutor or court upon accused\u2019s failure to testify, as constituting reversible or harmless error. 24 ALR3d 1093.\n2. Searches and Seizures \u00a7 9 (NCI3d)\u2014 breaking and entering-traffic stop \u2014 motion to suppress denied\nThe trial court did not err in a prosecution for felonious breaking and entering by denying defendant\u2019s motion to suppress evidence seized as a result of a traffic stop where officers had checked a Reveo store and noticed that the lights were on, although it was locked and no one was in the parking lot; they subsequently received a radio call of an alarm at Reveo; they noticed defendant\u2019s car parked facing south along the highway as they responded to the call; they found that no lights were on at the Reveo and that the meter box was missing; they immediately returned to the area where defendant\u2019s car had been parked to obtain its license number; the car was gone, but within two minutes they observed the car moving north without its headlights and accelerating at a high rate of speed; the officers immediately gave chase with their siren and blue light engaged; and defendant\u2019s car traveled at 70 to 90 miles per hour and did not immediately stop for officers. It was not necessary for the officers to have a reasonable suspicion that defendant committed the break-in at Reveo; only that the police have a reasonable suspicion of some illegal conduct.\nAm Jur 2d, Searches and Seizures \u00a7\u00a7 45, 96.\nLawfulness of search of motor vehicle following arrest for traffic violation. 10 ALR3d 314.\n3. Constitutional Law \u00a7 295 (NCI4th); District Attorneys \u00a7 4 (NCI4th)\u2014 breaking and entering \u2014 defense attorney joining district attorney\u2019s office \u2014prosecution not barred\nThe trial court did not err by denying defendant\u2019s motion to dismiss and bar a prosecution for felonious breaking and entering where defendant\u2019s first attorney joined the District Attorney\u2019s office and the District Attorney requested and received assistance in prosecuting the case from the Special Prosecutions Section of the Attorney General\u2019s office. Neither the assistant district attorney who first handled the case nor the assistant attorney general would be prohibited from prosecuting the case under the North Carolina Rules of Professional Conduct, Rule 9.1(C), and, to avoid any potential conflict, the assistant attorney general was assigned to prosecute the case independently of the district attorney\u2019s office. The information the assistant district attorney and the assistant attorney general received from defendant\u2019s former counsel was not confidential information and was a matter of public record. The trial court made appropriate findings of fact which are supported by competent evidence.\nAm Jur 2d, Prosecuting Attorneys \u00a7\u00a7 31, 32.\nDisqualification of prosecuting attorney on account of relationship with accused. 31 ALR3d 953.\n4. Evidence and Witnesses \u00a7 222 (NCI4th)\u2014 breaking and entering \u2014 flight\u2014sufficiency of evidence\nThe trial court did not err in a felonious larceny prosecution by instructing the jury on defendant\u2019s flight from the scene of the crime, a Reveo, where officers first spotted defendant\u2019s car parked in the opposite direction of the Reveo; they discovered that the vehicle was gone when they returned to obtain the license number; they next saw it moving in a northerly direction without its lights; and defendant attempted to flee from the officers at a high rate of speed.\nAm Jur 2d, Evidence \u00a7\u00a7 280, 281.\n5. Evidence and Witnesses \u00a7 312 (NCI4th)\u2014 breaking and entering \u2014 other crimes \u2014admissible for modus operandi\nThe trial court did not err in a prosecution for felonious breaking and entering by admitting evidence of other crimes for the purpose of showing modus operandi in the present case where the crime being tried and the other crimes met the similarity and temporal proximity prongs of the admissibility test. Moreover, the probative value of the evidence was not outweighed by its prejudicial effect. N.C.G.S. \u00a7 8C-1, Rule 404(b).\nAm Jur 2d, Evidence \u00a7\u00a7 321, 326.\nAPPEAL by defendant from judgment entered 29 March 1990 by Judge Hollis M. Owens, Jr., in CALDWELL County Superior Court. Heard in the Court of Appeals 27 August 1991.\nOn 13 June 1988, defendant was indicted for felonious breaking and entering in violation of N.C. Gen. Stat. \u00a7 14-54. He was tried before a jury, convicted on 29 March 1990, and sentenced to ten years active imprisonment. From the judgment and conviction of 29 March 1990, defendant appeals.\nAttorney General Lacy H. Thornburg, by Assistant Attorney General John H. Watters, for the State.\nAppellate Defender Malcolm Ray Hunter, Jr., by Assistant Appellate Defender Daniel R. Pollitt, for defendant-appellant."
  },
  "file_name": "0334-01",
  "first_page_order": 362,
  "last_page_order": 377
}
