Court Opinion

ID: 6104157
Source: CourtListenerOpinion
Date Created: 2022-01-18 15:07:52.239632+00
Date Added: 2024-06-11T08:53:42.518090
License: Public Domain

NOT FOR PUBLICATION WITHOUT THE
              APPROVAL OF THE APPELLATE DIVISION

                                   SUPERIOR COURT OF NEW JERSEY
                                   APPELLATE DIVISION
                                   DOCKET NO. A-3746-20

STATE OF NEW JERSEY,

     Plaintiff-Appellant,

v.                                    APPROVED FOR PUBLICATION

                                             January 18, 2022
DIEGO ARROYO-NUNEZ, a/k/a
DIEGO ARROYO, and DIEGO                   APPELLATE DIVISION
NUNEZ,

     Defendant-Appellant.
____________________________

           Argued November 15, 2021 – Decided January 18, 2022

           Before Judges Messano, Accurso and Rose.

           On appeal from the Superior Court of New Jersey, Law
           Division, Union County, Accusation No. 19-04-0265.

           Claudia Joy Demitro, Assistant Attorney General,
           argued the cause for appellants (Andrew J. Bruck,
           Acting Attorney General, attorney for appellant State
           of New Jersey; Jeremy Feigenbaum, State Solicitor,
           Alec Schierenbeck, Deputy State Solicitor, and Claudia
           Joy Demitro, of counsel and on the joint brief).

           Joseph E. Krakora, Public Defender, attorney for
           appellant Diego Arroyo-Nunez; (Alison Perrone, First
           Assistant Deputy Public Defender, of counsel and on
           the joint brief).
            Joseph Paravecchia, Assistant Hunterdon County
            Prosecutor, argued the cause for amicus curiae County
            Prosecutors Association of New Jersey (Esther Suarez,
            President, County Prosecutors Association, Hudson
            County Prosecutor, attorney; Joseph Paravecchia, of
            counsel and on the brief).

            Alexander Shalom argued the cause for amicus curiae
            American Civil Liberties Union of New Jersey
            (American Civil Liberties Union of New Jersey,
            attorneys; Alexander Shalom and Jeanne LoCicero, on
            the brief).

            The opinion of the court was delivered by

MESSANO, P.J.A.D.

      This appeal comes to us in an unusual posture. The State of New Jersey

and defendant Diego Arroyo-Nunez both appeal from the Law Division's August

24, 2021 order that denied appellants' joint motion to vacate the mandatory

period of parole ineligibility portion of defendant's sentence. Appellants filed

that motion pursuant to former Attorney General (AG) Gurbir Grewal's Law

Enforcement Directive No. 2021-4, "Directive Revising Statewide Guidelines

Concerning the Waiver of Mandatory Minimum Sentences in Non-Violent Drug

Cases Pursuant to N.J.S.A. 2C:35-12," (April 19, 2021) (the Directive). The

Directive anticipated joint motions filed by prosecutors and defense counsel

would be cognizable pursuant to Rule 3:21-10(b)(3) (the Rule), which permits a

court to enter an order "at any time . . . changing a sentence for good cause

shown upon the joint application of the defendant and the prosecuting attorney."
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          Defendant pled guilty on April 3, 2019, to an accusation charging him

with first-degree distribution of five or more ounces of cocaine, N.J.S.A. 2C:35-

5(b)(1). Pursuant to a negotiated plea bargain, the State agreed to dismiss all

other pending charges and recommend a sentence not to exceed an eleven-year

term of imprisonment with twenty-four months of parole ineligibility.            At

sentencing on June 7, 2019, the judge imposed a sentence in conformance with

the agreement. Defendant never filed an appeal or a petition for post-conviction

relief.

          On June 28, 2021, pursuant to the Rule and the Directive, the State and

defendant filed a joint motion to change defendant's sentence by vacating the

period of parole ineligibility. Pursuant to the Supreme Court's earlier May 26,

2021 order and Notice to the Bar, 1 the joint motion, along with approximately

six hundred applications filed jointly by the State and other defendants, was

assigned to a specially designated judge.

          On August 20, 2021, while the joint motion was pending, defendant was

released on parole. Four days later, the judge denied the motion in an oral

decision memorialized in writing.          She concluded the Directive would

1
   See "Centralized Handling of Joint Motions to Reduce Mandatory Parole
Ineligibility Terms." Both the Notice to the Bar and the order are available
online at https://www.njcourts.gov/notices/2021/n210528a.pdf (last visited
Dec. 28, 2021).

                                                                     A-3746-20
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effectively "invalidate a statute," N.J.S.A. 2C:35-12 (Section 12), part of the

Comprehensive Drug Reform Act of 1987 (the CDRA), N.J.S.A. 2C:35-1 to -

36A-1, thereby invading the province of the Legislature contrary to the

separation of powers doctrine. See N.J. Const. art. III, para. 1 ("The powers of

the government shall be divided among three distinct branches, the legislative,

executive, and judicial. No person or persons belonging to or constituting one

branch shall exercise any of the powers properly belonging to either of the others

except as expressly provided in this Constitution."). This joint appeal followed.

      Appellants urge us to reverse the order, arguing the judge mistakenly

interpreted Section 12, resulting in an untenable restriction on the Directive's

implementation that negatively affects hundreds of other defendants ostensibly

eligible for reduction or elimination of the mandatory minimum aspect of their

sentences. Amici American Civil Liberties Union of New Jersey (ACLU) and

the County Prosecutors Association of New Jersey (CPA) also contend that

reversal is warranted.

      Having considered the arguments in light of the record and applicable

legal principles, we agree the judge misinterpreted Section 12, as interpreted by

the Court, and also failed to recognize subsequent amendments to the CDRA

that reflect the Legislature's changing attitude toward the criminal prosecution

of drug offenders, and its intention to ameliorate the more punitive aspects of

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the CDRA on which the judge primarily focused. We therefore reverse the order

under review. At the same time, we emphasize that whether any joint motion

brought pursuant to the Directive and Rule 3:21-10(b)(3) demonstrates "good

cause" for sentence modification is solely for the court to decide.

                                        I.

      We start by examining the genesis of the Directive and its specific

provisions that require county prosecutors to make joint applications with

defendants for sentence modifications in certain cases.

The Criminal Sentencing and Disposition Commission (the Commission)

      The Legislature created the Commission in 2009. See L. 2009, c. 81;

N.J.S.A. 2C:48A-1 to -4. The statute provides: "[I]t shall be the duty of the

[C]ommission to conduct a thorough review of the criminal sentencing

provisions of New Jersey law for consideration of possible recommendations for

revisions to the laws governing the criminal justice system." N.J.S.A. 2C:48A-

2(a). These recommendations were intended to "provid[e] a rational, just and

proportionate sentencing scheme that achieves to the greatest extent possible

public safety, offender accountability, crime reduction and prevention, and

offender rehabilitation[,] while promoting the efficient use of the State's

resources" and also "consider[ing] issues regarding disparity in the criminal

justice process." Ibid. The Commission was not constituted and did not meet

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until 2018; it issued its first report in November 2019. New Jersey Criminal

Sentencing and Disposition Commission, Annual Report (Nov. 2019)

(Commission Report).2

      The Commission found there was a "consistent increase in the percentage

of people sentenced to mandatory minimum terms" in our State, along with

"fundamentally inequitable racial and ethnic disparities" in our prison

populations. Id. at 19. To address these concerns, the Commission issued

"proposals [that] w[ould] result in meaningful sentence reductions for a large

number of state inmates who are highly unlikely to pose a risk to public safety."

Id. at 21.   The Commission unanimously endorsed nine recommendations,

including the following four:

             1. Eliminate mandatory minimum sentences for non-
                violent drug crimes.

             2. Eliminate mandatory minimum sentences for non-
                violent property crimes.

             3. Reduce the mandatory minimum sentence for two
                crimes — second[-]degree robbery and second[-]
                degree burglary — that previously have been subject
                to penalties associated with far more serious
                offenses.

             4. Apply Recommendations #1, #2, and #3
                retroactively so that current inmates may seek early
                release.

2
  Available at https://www.njleg.state.nj.us/legislativepub/reports/CSDC
_2019_Annual_Report1114C2.pdf (last visited Dec. 28, 2021).
                                                                       A-3746-20
                                       6
           [See id. at 21–34.]
We focus primarily on Recommendations #1 and #4.

      The Commission urged elimination of mandatory minimum parole

ineligibility terms for the following seven "non-violent drug crimes":

            1. N.J.S.A. 2C:35-3: Leader of narcotics trafficking
               network

            2. N.J.S.A. 2C:35-4: Maintaining or operating a CDS
               production facility

            3. N.J.S.A. 2C:35-5: Manufacturing, distributing, or
               dispensing CDS

            4. N.J.S.A. 2C:35-6: Employing a juvenile in a drug
               distribution scheme

            5. N.J.S.A. 2C:35-7: Distributing, dispensing, or
               possessing CDS within 1000 feet of a school

            6. N.J.S.A. 2C:35-8: Distribution of CDS to persons
               under age 18

            7. N.J.S.A. 2C:43-6(f): Recidivist CDS offenders3

            [Commission Report at 22.]

All but one of these provisions were part of the CDRA when enacted.4

3
  With respect to N.J.S.A. 2C:43-6(f), the Commission recommended retaining
enhanced penalties for recidivist offenders, including mandatory extended
terms, but not mandatory periods of parole ineligibility. Commission Report at
22.
4
   N.J.S.A. 2C:35-7 was enacted simultaneously with the CDRA, but was a
separate chapter of the session laws.
                                                                    A-3746-20
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      The Commission explained the CDRA had "fundamentally shifted the

sentencing paradigm undergirding Title 2C by providing judges with no

sentencing recourse from the imposition of mandatory minimum sentences,

regardless of the circumstances of the offense, the culpability of the offender, or

the length of the applicable mandatory minimum term." Commission Report at

15. With respect to Recommendation #4, the Commission recommended the

Legislature "creat[e] a mechanism to ensure that" the amendments to the

mandatory minimum parole ineligibility terms discussed in Recommendations

#1, 2, and 3 "apply retroactively to inmates currently incarcerated." Id. at 24.

      Recognizing that "inmates' Judgments of Conviction w[ould] need to be

modified by judicial order, the Commission recommend[ed] a [thirty]-day

window before these modifications became effective, which would provide an

opportunity for the State to file a notice of objection," providing that, if no

objection were filed, "then all eligible inmates [would] receive retroactive

relief." Id. at 24. The Commission recommended that those inmates receiving

retroactive relief "would be resentenced as if they had not been subject to a

mandatory minimum term . . . . As a result, these inmates would be subject to

the default period of parole ineligibility of [thirty-three] percent." 5 Id. at 25.

5
   See N.J.S.A. 30:4-123.51(a) ("Each adult inmate sentenced to a term of
incarceration . . . shall become primarily eligible for parole after having served

                                                                      A-3746-20
                                        8
The Commission further "recommend[ed] that the Attorney General exercise his

authority to oversee the filing of any notices of objection and promulgate

statewide guidelines to direct prosecutorial decision making in such filings." Id.

at 24–25.

      The Legislature introduced several bills designed to implement many of

the Commission's recommendations.           We need not trace the complicated

legislative history of those various measures; it suffices for our purposes to say

that the Legislature has failed, or the Governor has vetoed the Legislature's

efforts to date, to enact Recommendations #1, #2, #3, and #4, the latter referring

to the Commission's framework for retroactively modifying extant sentences.

The Directive

      The AG issued the Directive on April 19, 2021, the same day Governor

Murphy vetoed S. 3456 (2021). See Governor's Conditional Veto Statement to

S. 3456 (April 19, 2021) (noting the bill would eliminate mandatory minimum

sentences for elected officials convicted of official misconduct and went "far

beyond the Commission’s recommendations").

any judicial or statutory mandatory minimum term, or one-third of the sentence
imposed where no mandatory minimum term has been imposed less
commutation time for good behavior . . . and credits for diligent application to
work and other institutional assignments . . . .").
                                                                     A-3746-20
                                        9
        The Directive seeks to implement Recommendation #1 "to end the

imposition of mandatory parole ineligibility for [non-violent drug] crimes," and

Recommendation #4, by "creat[ing] a mechanism to retroactively modify the

sentences of individuals currently incarcerated under mandatory minimum

terms."     Directive at 4.   To effectuate Recommendation #1, the Directive

"instructs prosecutors statewide to use existing statutory authority to waive the

imposition of . . . mandatory minimum sentences" with respect to the seven drug

offenses for which the Commission recommended elimination of mandatory

minimum terms. Id. at 1–2 (emphasis added). The AG noted, "These drug

crimes differ from the State's other mandatory minimum offenses in one key

respect," i.e., "the period of mandatory parole ineligibility can be waived

pursuant to a 'negotiated agreement' between the defendant and the State." Id.

at 2.

        The "existing statutory authority" cited by the AG is Section 12, which

provides:

              Whenever an offense defined in this chapter specifies a
              mandatory sentence of imprisonment which includes a
              minimum term during which the defendant shall be
              ineligible for parole . . . the court upon conviction shall
              impose the mandatory sentence . . . unless the defendant
              has pleaded guilty pursuant to a negotiated agreement
              or, in cases resulting in trial, the defendant and the
              prosecution have entered into a post-conviction
              agreement, which provides for a lesser sentence, [or]
              period of parole ineligibility . . . . The negotiated plea
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                                          10
            or post-conviction agreement may provide for a
            specified term of imprisonment . . . , a specified period
            of parole ineligibility . . . or other disposition. In that
            event, the court at sentencing shall not impose a lesser
            term of imprisonment, [or] lesser period of parole
            ineligibility . . . than that expressly provided for under
            the terms of the plea or post-conviction agreement.

            [N.J.S.A. 2C:35-12 (emphasis added).]

Section 12 both "limits judicial discretion over sentencing," while also

"substantially expanding prosecutorial discretion in drug prosecution plea

agreements."   State v. Courtney, 243 N.J. 77, 86–87 (2020).          And, as the

Commission observed, Section 12's delegation of sentencing power to

prosecutors led to "recurring litigation about the constitutionality of . . . the

CDRA's provisions." Commission Report at 15–16. We discuss that "recurring

litigation" below.

      The Directive guides the exercise of prosecutorial discretion under

Section 12 at four points — (1) the extension of plea offers; (2) post-trial

agreements; (3) violations of probation; and (4) joint applications for sentence

modification — by "establish[ing] statewide rules that require prosecutors to

seek the waiver of mandatory parole disqualifiers for non-violent drug crimes"

at each point to "achieve to the greatest extent possible . . . the Commission's

recommendation to eliminate . . . mandatory minimum sentences for non-violent

drug crimes." Id. at 5. We focus only on the issue before us — joint applications

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                                        11
to modify sentences already imposed on those defendants convicted of the

enumerated offenses under Chapter 35 of the New Jersey Criminal Code.

      The AG chose the Rule as the means to this end, and the Directive instructs

prosecutors to "agree to file a joint motion to . . . to rescind a mandatory period

of parole ineligibility for a Chapter 35 offense" whenever an incarcerated

defendant requests the prosecutor to do so. Directive at 8. The defendant must

be "[c]urrently serving a sentence for a qualifying Chapter 35 offense that

includes a mandatory period of parole ineligibility . . . and . . . ineligible for

parole solely on account of the parole disqualifier." Ibid. When filing a joint

motion, the prosecutor "shall state that good cause for the modification exists as

a result of" the Commission's "recommendation in favor of retroactive

modification of mandatory periods of parole ineligibility imposed for qualifying

Chapter 35 offenses . . . ."     Id. at 9.   Additionally, given the Directive's

requirement to "waive mandatory periods of parole ineligibility for all current

and future defendants pursuant to Section 12," good cause for filing a joint

motion was established by "[t]he need to ensure sentencing uniformity for

defendants convicted of qualifying Chapter 35 offenses." Id. at 10. Through

these joint motions, the parties would seek modification of a defendant's

sentence by reducing the period of parole ineligibility from the mandatory

minimum imposed for the Chapter 35 offense to the presumptive one-third of

                                                                      A-3746-20
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the original sentence, with credits, under N.J.S.A. 30:4-123.51(a), "as if the

individual had not been subject to a mandatory minimum term." Id. at 8.

      "The Directive also establishe[d] protocols to ensure that the modification

of inmates' sentences d[id] not create undue public safety risks." Id. at 5. It

permitted the prosecutor to seek a discretionary term of parole ineligibility under

traditional "grounds that the aggravating factors associated with the defendant's

offense of conviction substantially outweigh the mitigating factors," so long as

the parole ineligibility term sought did not exceed the mandatory one imposed

as part of the original sentence. Id. at 6, 9. If the prosecutor "conclude[d], in

consultation with the Director of the Division of Criminal Justice ( 'DCJ

Director'), that the aggravating factors associated with the defendant's offense

substantially outweigh the mitigating factors," the prosecutor must nevertheless

offer the defendant the opportunity to file a joint motion under the Rule;

however, the joint motion would preserve for the prosecutor "the right to ar gue

that, as part of the sentence modification, the court should impose an additional,

discretionary period of parole ineligibility, consistent with N.J.S.A. 2C:43 -6(b),

on the grounds that the aggravating factors associated with the defendant 's

offense of conviction substantially outweigh the mitigating factors." Id. at 9.

      The AG "anticipated" there would be few motions seeking discretionary

parole disqualifiers because consultation with the DCJ Director would "ensure

                                                                      A-3746-20
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that prosecutors request discretionary parole disqualifiers rarely and in a

consistent manner." Id. at 6. In those cases, the only acceptable terms of the

joint motion are agreements to reduce the mandatory period of parole

ineligibility to a term equal to the presumptive term under N.J.S.A. 30:4-

123.51(a), with the prosecutor remaining free to argue for "an additional,

discretionary period of parole ineligibility." Id. at 9. Any other sentence

modification must be jointly opposed. Ibid.

Section 12 of the CDRA

      Challenges to the constitutionality of Section 12 and other provisions of

the CDRA began shortly after its enactment. In State v. Lagares, the Court

considered the constitutionality of N.J.S.A. 2C:43-6(f), which gave prosecutors

unilateral authority to seek a mandatory extended term of imprisonment with a

mandatory period of parole ineligibility.     127 N.J. 20 (1992).    The Court

concluded the statute was unconstitutional as written, and only guidelines to

"promote uniformity and provide a means for prosecutors to avoid arbitrary or

abusive exercises of discretionary power" could save the statute. Id. at 31–32.

The AG issued the so-called Lagares Guidelines to all prosecutors shortly

thereafter. See Directive Implementing Guidelines for Determining Whether to

Apply For an Extended Term Pursuant to N.J.S.A. 2C:43-6(f) (Apr. 20, 1992).

                                                                    A-3746-20
                                      14
      Against a separation of powers challenge to the prosecutor's sole authority

to waive mandatory minimum sentences in plea and post-conviction agreements,

the Court in State v. Vasquez upheld the constitutionality of Section 12 by

preserving "[j]udicial oversight . . . to protect against arbitrary and capricious

prosecutorial decisions." 129 N.J. 189, 196 (1992). The Court held that when

resentencing a defendant for a violation of probation (VOP) on an underlying

conviction for violating N.J.S.A. 2C:35-7, the school-zone offense mandating a

minimum term of imprisonment and minimum period of parole ineligibility, "the

Legislature did not intend to require the imposition of a mandatory term of

parole ineligibility or to authorize the prosecutor to demand or waive the

imposition of a term of parole ineligibility." Id. at 205. In short, the judge was

free to impose any legal sentence on the VOP.

      After Vasquez, the Attorney General issued plea agreement guidelines

that the Court deemed inadequate because of intercounty disparity in their

implementation, thereby falling short of the Legislature's intended uniformity in

sentencing.   State v. Brimage, 153 N.J. 1, 13, 22–23 (1998).             To pass

constitutional muster, the Court held, "the plea guidelines for N.J.S.A. 2C:35-

12 must be consistent throughout the State." Id. at 23.

      Following Brimage, in 1998, "Attorney General Peter Verniero issued

what became known as the Brimage Guidelines, which had statewide application

                                                                      A-3746-20
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and limited the range of available plea offers, specifying more explicitly the

permissible bases for upward and downward departures and restricting the

factors that can be considered during plea negotiations." Commission Report at

16 (footnote omitted). Six years later, in 2004, Attorney General Peter C.

Harvey issued what became known as the Brimage Guidelines 2. See Revised

Attorney General Guidelines for Negotiating Cases under N.J.S.A. 2C:35-12

(July 15, 2004). 6 These revised guidelines "came in response . . . to ongoing

concerns that the 1998 Guidelines directly contributed to the disproportionate

impact of the school zone law on low-level offenders, many of whom were

minority residents of New Jersey's inner cities." Commission Report at 16.

                                      II.

      Appellants' joint motion to change defendant's sentence in this case

proffered four grounds establishing "good cause" to vacate the period of parole

ineligibility: (1) the findings from the Commission Report and the Directive

concerning inequities wrought by mandatory minimum parole terms for

nonviolent drug offenses; (2) the Commission's recommendation to retroactively

modify mandatory minimum terms for qualifying offenses; (3) the need for

sentencing uniformity required by Brimage by applying the Directive to all

6
   Available at https://www.state.nj.us/lps/dcj/agguide/directives/section_1.pdf
(last visited Dec. 28, 2021).
                                                                    A-3746-20
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current and future defendants whose sentences are subject to modification under

Section 12; and (4) the interests of justice.

      The judge agreed the motion satisfied the "good cause" threshold of the

Rule, finding it would be unfair for the State to waive the mandatory minimum

terms for all criminal defendants charged with specified drug offenses

prospectively, while at the same time denying defendants serving sentences for

the same offenses to benefit from the Directive. However, the judge found

"troubling" appellants' and the Directive's reliance on Section 12 to achieve a

goal at odds with the overall purpose of the CDRA. Acknowledging that "a

plain reading of [Section 12] leaves the door open for cases other than those in

which defendants cooperate" with law enforcement, the judge nonetheless found

it "simply unreasonable" and "absurd" to permit use of the Directive to thwart

"the strong legislative intent to address the pervasive drug crisis pending in

society at the time the statute was enacted."

      The judge, therefore, found it necessary to consider extrinsic interpretive

aids. Relying on legislative history surrounding the CDRA and other sources,

she held that resentencing defendant and those similarly situated to eliminate or

reduce mandatory minimum parole ineligibility terms under Section 12 would

improperly "vitiate the statute."     The judge concluded such a change was

"clearly the responsibility of the Legislature," to which the Commission directed

                                                                     A-3746-20
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its reform recommendations.

      The judge said the expressed goal of the CDRA, "incorporated directly

into the statute itself" in N.J.S.A. 2C:35-1.1(b) and (c), was "to eradicate the

drug problem by imposing severe punishment." Quoting Brimage, 153 N.J. at

9, the judge found the "primary purpose" of Section 12 was twofold: first, "to

provide an incentive for defendants[,] especially lower and middle level drug

offenders[,] to cooperate with law enforcement agencies in the war against

drugs"; second, to unburden the system by encouraging plea bargaining . In

addition, the judge referenced the same 1987 legislative committee report

regarding Section 12 cited by the Court in Vasquez, 129 N.J. at 198, State v.

Bridges, 131 N.J. 402, 408 (1993), and Brimage, 153 N.J. at 9 (citing Assembly

Judiciary Comm., Commentary to the Comprehensive Drug Reform Act at 26–

27 (Nov. 23, 1987) (Commentary)).

      The judge also referenced the 1990 report of the Department of Law and

Public Safety, which stated that the CDRA was designed "to encourage

prosecutors to offer defendants an attractive option (avoiding . . . an otherwise

prescribed period of parole ineligibility) in exchange either for cooperation or

else simply in exchange for agreeing to plead guilty, thereby sparing prosecutors

and the entire criminal justice system the expense and burdens of trial." Dep't

of Law & Pub. Safety, Div. of Crim. Justice, A Law Enforcement Response to

                                                                     A-3746-20
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Certain Criticisms of the Comprehensive Drug Reform Act, at 31 (Sept. 17,

1990). The report added "the Legislature may have found the only means

possible to achieve what would ordinarily appear to be two competing if not

irreconcilable objectives: to 'toughen' drug sentences . . . and at the same time

increase the percentage of convictions achieved by guilty pleas." Id. at 32.

      The judge determined these sources emphasized the primary purposes of

Section 12 were to encourage defendants to cooperate with law enforcement and

incentivize guilty pleas. She concluded the Directive's use of Section 12 and

the Rule to change defendant's sentence deviated from the Legislature's intent

and constituted a "retroactive abandonment of the mandatory minimum

sentences" for drug offenses.

      Citing the separation of powers provision of the Constitution, the judge

said she was unaware of any case in which a statute was "essentially nullif[ied]"

despite the Legislature's clear intent. Because the Commission "directed the

Legislature to make these changes" rather than the Attorney General, the judge

found "clearly and convincingly . . . that . . . grant[ing] the parties' petition would

lead to an absurd and unreasonable result."

      Although observing that denying defendant and similarly situated inmates

a retroactive modification of sentence might "result in certain inequities"

because future defendants would "reap the benefit" of Section 12 waivers, the

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judge determined "this [did] not automatically mandate a different response."

The judge concluded that modification of mandatory minimum terms should not

occur "until the Commission's proposed changes receive the imprimatur of the

Legislature."

                                      III.

      Appellants contend the judge's reasoning misconstrues the plain text of

Section 12, which grants broad discretion to the prosecutor, and contains no

requirement of "cooperation" by a defendant, nor that the prosecutor

demonstrate a direct reduction in burdens on the court system. They argue the

judge improperly imposed her interpretation of Section 12's principal purpose

over the statute's "clear text."

      Appellants further note that although the Brimage Guidelines were

intended to advance the twin aims of incentivizing cooperation and reducing the

burden on trial courts, the Guidelines require prosecutors to consider numerous

factors in negotiating agreements with defendants. See Brimage Guidelines, at

63–66. In short, appellants contend prosecutors have never relied exclusively

on a defendant's cooperation or easing of the administrative burden on the courts

in exercising discretion under Section 12.

      Appellants also note the same Legislature that imposed mandatory

minimum terms for certain drug offenses gave "the State . . . expansive statutory

                                                                     A-3746-20
                                       20
authority to waive those disqualifiers," recognizing "that broad prosecutorial

discretion would . . . mitigate the harsh impacts of the mandatory minimum

regime for non-violent drug offenses."       They argue that if the Legislature

disapproved of the AG's statewide guidelines issued over the past three decades,

it could have amended Section 12 at some point, but "the Legislature has never

acted to curtail [that] broad delegation of authority."

      Amici essentially echo these arguments.         The ACLU adds that the

Directive's universal waiver policy promotes uniformity in sentencing, the same

goal endorsed by the Court in Vasquez, Brimage, and their progeny. The CPA

similarly contends that because Section 12 "plainly grants the State . . . the

unconditional power to waive a mandatory . . . prison term through either a

negotiated plea agreement or post-conviction agreement," consistent with the

separation of powers doctrine, the judiciary's only check on the exercise of

prosecutorial discretion is whether the prosecutor acted arbitrarily or

capriciously.   The CPA posits that a joint motion "in harmony with the

instructions in and objectives of [the] Directive . . . cannot be characterized as

arbitrary or capricious."7

7
   As noted, defendant was paroled prior to the judge's decision on appellants'
joint motion, thereby rendering this appeal moot. See, e.g., Redd v. Bowman,
223 N.J. 87, 104 (2015) ("An issue is 'moot when our decision sought in a matter,
when rendered, can have no practical effect on the existing controversy.'"

                                                                     A-3746-20
                                        21
                                       A.

      We review de novo the motion judge's interpretation of the law, including

applicable statutory provisions. State v. Nance, 228 N.J. 378, 393 (2017). In

construing Section 12, "[o]ur task is to ascertain the Legislature's intent,

reflecting its chosen language, and to give the words of the statute 'their

generally accepted meaning.'" State v. Bolvito, 217 N.J. 221, 228–29 (2014)

(quoting State v. Marquez, 202 N.J. 485, 499 (2010)). "When the Legislature's

chosen words lead to one clear and unambiguous result, the interpretive process

comes to a close, without the need to consider extrinsic aids." State v. Shelley,

205 N.J. 320, 323 (2011).

      "A court 'seek[s] out extrinsic evidence, such as legislative history, for

assistance when statutory language yields more than one plausible

interpretation.'" State in the Interest of D.M., 238 N.J. 2, 16 (2019) (quoting

Shelley, 205 N.J. at 323–24). "We must 'effectuat[e] the legislative plan as it

may be gathered from the enactment [when] read in full light of its history,

(quoting Deutsche Bank Nat'l Tr. Co. v. Mitchell, 422 N.J Super. 214, 221–22
(App. Div. 2011))); Cinque v. Dep't of Corr., 261 N.J. Super. 242, 244 (App.
Div. 1993) (dismissing an inmate's appeal as moot after his release from custody
while the appeal was pending). However, courts may decide such cases where
the issues "are of substantial importance and are capable of repetition while
evading review." Advance Elec. Co. v. Montgomery Twp. Bd. of Educ., 351
N.J. Super. 160, 166 (App. Div. 2002) (citing Mistrick v. Div. of Med.
Assistance & Health Servs., 154 N.J. 158, 165 (1998)). This is such a case.

                                                                    A-3746-20
                                       22
purpose and context.'" Ibid. (alterations in original) (quoting Bolvito, 217 N.J.

at 229). "If a question concerns more than one statutory provision, '[r]elated

parts of an overall statutory scheme can . . . provide relevant context.'" Id. at 17

(alteration in original) (quoting Beim v. Hulfish, 216 N.J. 484, 498 (2014)).

      Similarly, "[b]ecause interpretation of a court rule is a legal issue, our

review is de novo." State v. Anthony, 443 N.J. Super. 553, 564 (App. Div. 2016)

(citing State v. Tate, 220 N.J. 393, 405 (2015)). Generally speaking, "[t]he

approach taken in respect of the construction of court rules is the same as that

for the construction of statutes." Ibid. (quoting State v. Clark, 191 N.J. 503,

508 (2007)).

                                         B.

      Section 12 provides a sentencing court with only two alternatives "upon

conviction": 1) "the court . . . shall impose the mandatory sentence" for the

Chapter 35 crime; or, 2) if "the defendant has pleaded guilty pursuant to a

negotiated agreement or, in cases resulting in trial, the defendant and the

prosecution have entered into a post-conviction agreement, which provides for

a lesser period of parole ineligibility," the court "shall not impose a . . . lesser

period of parole ineligibility" than called for by the agreement. N.J.S.A. 2C:35-

12 (emphasis added).

                                                                       A-3746-20
                                        23
      Appellants argue the statute clearly permits a negotiated post-conviction

agreement that obviates the mandatory period of parole ineligibility. However,

the State conceded at the hearing on the joint motion that Section 12 could be

read to preclude post-conviction agreements for offenders who chose to plead

guilty rather than proceed to trial. The State argued, however, that limiting post-

conviction agreements to only those defendants who went to trial would be

patently inequitable and unfair.

      Section 12 also fails to address the court's ability to modify a sentence to

enforce a post-conviction agreement after a defendant has begun serving the

sentence. While the statute constrains a court's exercise of sentencing discretion

with respect to the sentence imposed "upon conviction," it provides no guidance

as to the entirely different judicial function regarding motions to change an

extant sentence.

      With respect to the timing of the agreement and whether post-conviction

agreements are limited only to those defendants who went to trial, any ambiguity

may be resolved by reference to Section 12's legislative history, specifically, the

Commentary. As the motion judge recognized, the Legislature emphasized

cooperation with law enforcement was one of Section 12's "key objectives."

However, the Committee also clearly stated:

                  A post-conviction agreement is also authorized
            by this section, which may be consummated at any time
                                                                      A-3746-20
                                        24
            after a guilty verdict, including after the imposition of
            sentence. An offender who is sentenced to prison, for
            example, could belatedly decide to cooperate with law
            enforcement. In such event, where the prosecutor
            consents and joins in the application, and provided that
            the court does not find that the interest of justice would
            not be served by effectuating the terms of the post-
            conviction agreement, the defendant would be entitled
            to be resentenced by the court to any term which could
            originally have been imposed pursuant to a negotiated
            plea agreement.

            [Ibid. (emphasis added).]

      Moreover, as appellants correctly argue, concluding Section 12 never

contemplated post-sentencing modifications, or that every post-sentencing

agreement without cooperation undermines Section 12's purpose, is difficult to

square with the Brimage Guidelines. As already noted, the Legislature has left

undisturbed those guidelines which were implemented to save Section 12 from

constitutional infirmity and have been cited with approval by the Court. See,

e.g., State v. A.T.C., 239 N.J. 450, 473 (2019). The Guidelines include several

potential mitigating factors, other than cooperation with law enforcement, that

prosecutors must consider, and which serve to reduce parole ineligibility terms

in plea offers and ultimately sentences. See, e.g., Brimage Guidelines 2, § 9,

Schedule of Aggravating and Mitigating Factors.

      The motion judge's focus on the punitive intent of the CDRA when

enacted blurred any recognition that from its inception, the statute provided for

                                                                         A-3746-20
                                        25
relief from its more draconian provisions through the exercise of prosecutorial

and judicial discretion. Initially, in Section 12, the Legislature provided the

prosecutor alone with unfettered discretion. The Court in Lagares and Brimage

did not limit the prosecutor's ability to ameliorate the punitive aspects of the

CDRA; it only required that the prosecutor's exercise of discretion be subject to

uniform guidelines under the AG's supervision. In Vasquez, the Court made

clear that on post-sentencing violations of probation, the prosecutor no longer

had the ability to mandate a sentence under Section 12, and the sentencing

decision was one solely for the court.

      In addition, the motion judge's focus on the punitive aspects of the CDRA

failed to consider another section of the statute, N.J.S.A. 2C:35-14 (Section 14),

and the numerous amendments to that provision made by the Legislature since

1987. When enacted, and notwithstanding the presumption of incarceration for

second-degree crimes contained in N.J.S.A. 2C:44-1(d), Section 14 created an

exception for certain drug-dependent defendants charged with second-degree

CDRA crimes8 to file a motion, upon notice to the prosecutor, seeking a five -

8
   These were: N.J.S.A. 2C:35-5 (distribution or possession with intent to
distribute); N.J.S.A. 2C:35-6 (employing a juvenile); N.J.S.A. 2C:35-7
(distributing, dispensing, or possessing with intent to distribute near or on school
property); N.J.S.A. 2C:35-10 (possession); N.J.S.A. 2C:35-11 (manufacturing,
distributing, or possessing imitation CDS with intent to distribute); and N.J.S.A.
2C:35-13 (acquiring or obtaining CDS by fraud). As of 1999, only those

                                                                       A-3746-20
                                         26
year probationary term conditioned on entering a drug rehabilitation program,

along with "such other reasonable terms and conditions as may be required by

the court and by law." L. 1987, c. 106, § 1. The court had discretion to grant

such a motion only upon finding "no danger to the community will result and

. . . the placement will serve to benefit the defendant by serving to correct his or

her dependency on controlled substances." Ibid. As to violations of N.J.S.A.

2C:35-6, 2C:35-7, and offenders previously convicted of N.J.S.A. 2C:35-5, as

enacted, the relief was unavailable under subsection (b) "[e]xcept upon the joint

application of the defendant and the prosecuting attorney[.]" Ibid.

      The Sponsor's Statement explained that the purpose of the CDRA

generally was to revise New Jersey's "seriously flawed" current drug laws and

sentencing practices "to provide courts with far more precise, consistent and

predictable sentencing guidelines." Sponsor's Statement to A. 3270 at 52, 55

(Feb. 5, 1987). The Assembly Judiciary Committee Statement explained the

purpose of Section 14 was to "provide for rehabilitative treatment as an

alternative to incarceration in appropriate cases" under "carefully prescribed"

standards. A. Judiciary Comm. Statement to A. 3270 at 4 (Dec. 18, 1986). In a

signing statement, Governor Kean said the bill was designed to revise the drug

charged with N.J.S.A. 2C:35-7 remain potentially eligible under the statute. L.
1999, c. 376, §2.

                                                                       A-3746-20
                                        27
laws for the twin aims of "crack[ing] down on those who deal in this despicable

business," while "provid[ing] help for those who have been hooked and become

dependent on narcotics." Governor's Signing Statement to A. 3270 at 2 (Apr.

23, 1987).

      Twelve years later, the Legislature amended Section 14. See L. 1999, c.

376, § 2. We need not detail all the changes. The Sponsor's Statement said the

amendments were "designed to break the cycle of crime and addiction by

authorizing courts to compel drug and alcohol dependent persons to submit to

the rigors of treatment," and were based on the recommendations contained

within the 1996 Report to the Governor by the Attorney General on the Need to

Update the Comprehensive Drug Reform Act of 1987 (Dec. 9, 1996) (Verniero

Report).9 Sponsor's Statement to S. 1253 at 14 (June 22, 1998).

      In the prefatory letter to the report on which the amendments were based,

Attorney General Verniero said the genesis of the report was the Governor's

request "to consult with drug enforcement and prosecution experts and to

recommend how best to update and revise the [CDRA]." Letter from Attorney

General Peter Verniero to Governor Christine Todd Whitman (Dec. 9, 1996).

The Verniero Report recommended amending Section 14 to "increase[ ] and

9
 Available online at https://dspace.njstatelib.org/xmlui/bitstream/handle/10929/
29229/n2221996i.pdf?sequence=1&isAllowed=y (last visited Dec. 28, 2021).
                                                                    A-3746-20
                                      28
enhance[ ] in appropriate cases" the "use of court-ordered treatment as a

sentencing alternative." Verniero Report, at iii. Whereas, when the CDRA was

enacted in 1987, "there was comparatively little information about the efficacy

of treatment and about how to improve the chances for rehabilitation," id. at 18,

since then, "[n]ew empirical research" had shown "clearly the efficacy of drug

rehabilitation treatment and the need to use the criminal justice system to

mandate or 'leverage' nonviolent offenders into treatment . . . [to] address their

needs before they . . . resort to violence." Id. at 3.

      The Legislature again amended Section 14 in 2008. L. 2008, c. 15, § 1.

Subsection (a) was amended to permit "[a]ny person . . . ineligible for probation

due to a conviction for a crime which is subject to a presumption of incarceration

or a mandatory minimum period of parole ineligibility" to "be sentenced to a

term of special probation." L. 2008, c. 15, § 1 (emphasis added).

      The Legislature recognized that the 2008 amendments were "substantially

similar to the bill recommended by the New Jersey Commission to Review

Criminal Sentencing (CRCS) in its report." S. Judiciary Comm. Statement to S.

233/S. 504 at 2 (Jan. 24, 2008). The CRCS Report, in turn, recognized the

efficacy of New Jersey's burgeoning Drug Court program. See "New Jersey’s

Drug Courts, Special Probation and Proposal for Reform," April 2007 at 6

                                                                      A-3746-20
                                         29
(CRCS Report);10 see also State v. Meyer, 192 N.J. 421, 428–29 (2007)

(discussing success of Drug Courts). Like the Commission Report issued twelve

years later, the CRCS Report highlighted the punitive, racially disparate impacts

of the CDRA, noting that "New Jersey imprison[ed] the highest percentage of

drug offenders in the country," and that "[seventy-three percent] of those

imprisoned drug offenders were African Americans." Id. at 25.

      The Legislature made additional changes to Section 14 in 2012, and the

legislative history of those amendments discloses an intent to provide judges

with "greater discretion to place the person on special probation even if one or

more of the enumerated discretionary factors [were] not met." S. Budget &

Approp. Comm. Statement to S. 881 at 1–2 (Apr. 3, 2012). Similarly, the

statement noted that eliminating the prosecutor's ability to veto a probationary

sentence, subject only to review for a gross and patent abuse of discretion, see,

e.g., State v. Hester, 357 N.J. Super. 428, 441 (App. Div. 2003), would "provide

the court greater discretion to make a determination of program eligibility." S.

Budget & Approp. Comm. Statement to S. 811 at 2.

      We acknowledge that even after further amendments, the current iteration

of Section 14 maintains ineligibility for special probation for all convicted of

10
  Available online at https://www.njleg.state.nj.us/OPI/Reports_to_the_
Legislature/sentencingcommission_drug_courts_2007.pdf (last visited Dec. 28,
2021).
                                                                     A-3746-20
                                       30
Chapter 35 crimes "for which a mandatory minimum period of incarceration is

prescribed," except school zone offenses (N.J.S.A. 2C:35-7). N.J.S.A. 2C:35-

14(b)(3). Nevertheless, Section 14 was part of the CDRA when enacted and

evinced the Legislature's purposeful counterbalance to the punitive provisions

elsewhere in the statute. Over the ensuing years, the universe of eligibility for

probationary sentences has expanded, with the Legislature explaining the

changes were intended, among other things, to address racial disparities in

incarceration rates that directly resulted from the CDRA's mandatory minimum

provisions.

      The failure to consider Section 14 as part of the CDRA undercuts the

motion judge's reliance on other parts of the statutory scheme to conclude the

Directive was an "absurd" interpretation of the Legislature's intent. Rather, the

history of legislative amendments to Section 14, often after careful study and

analysis by various actors in the criminal justice system, demonstrates an intent

to reduce incarceration rates for certain Chapter 35 offenders, consistent with

the stated purposes of the Directive.

      In short, the motion judge misconstrued the authority of the State to enter

into post-conviction agreements with defendants under the CDRA to modify

mandatory parole ineligibility periods. Her conclusion that the CDRA generally

limited such post-conviction agreements to situations in which a defendant

                                                                     A-3746-20
                                        31
cooperated with law enforcement reflected a crabbed interpretation of the power

the Legislature bestowed upon prosecutors in Section 12 and was inconsistent

with the actual text as subsequently interpreted by the Court. And, the judge's

focus on the punitive aspects of the CDRA, evident in statements made by the

Legislature when the statute was enacted decades ago, accorded greater import

to punishment of drug offenders through mandatory periods of incarceration

than subsequent statements of legislative intent that question those original 1987

policy judgments.

                                        C.

      We acknowledge that "[a]s the State's chief law enforcement officer, the

Attorney General has broad authority over criminal justice matters that derives

from several sources." In re Att'y Gen. Law Enf't Dir. Nos. 2020-5 and 2020-6,

246 N.J. 462, 482–83 (2021). If nothing else, however, our prior discussion

demonstrates the unfettered exercise of prosecutorial discretion in sentencing,

even when acquiesced to by a defendant, is not immune from judicial review.

See Lagares, 127 N.J. at 27–28 ("Although sentencing discretion is shared to

some extent among the three branches of government, the determination of the

sentence is committed to the discretion of the judiciary."); see also R. 3:21-10(a)

(permitting the court "on its own initiative" to reduce or modify a sentence). We

turn our attention, therefore, to the Rule, and questions of first impression, i.e.,

                                                                       A-3746-20
                                        32
what is good cause for modifying a sentence upon joint application of the State

and a defendant, and what standard of review applies in reviewing the motion

court's decision?

      As to the latter, our courts have employed a discretionary standard of

review to motions made under other subsections of Rule 3:21-10(b), which

permit a court to change a sentence at any time for reasons other than on joint

application of the prosecutor and the defendant. See, e.g., State v. Davis, 68

N.J. 69, 85 (1975) (applying abuse of discretion standard to trial judge's decision

on the defendant's request for transfer to a substance abuse program pursuant to

subsection (b)(1)); State v. Chavies, 247 N.J. 245, 260 (2021) (considering

modification under subsection (b)(2) based on the defendant's medical

condition, stating, "As with sentencing, the scope of appellate review of a trial

court's decision to grant or deny a Rule 3:21-10(b)(2) motion is whether the trial

court abused its discretion." (quoting State v. Priester, 99 N.J. 123, 137 (1985))).

"A court abuses its discretion when its 'decision is made without a rational

explanation, inexplicably departed from established policies, or rested on an

impermissible basis.'" Chavies, 247 N.J. at 257 (quoting State v. R.Y., 242 N.J.

48, 65 (2020)).     We see no principled reason why a different standard of

appellate review should apply to decisions made by trial courts on joint motions

to change a sentence pursuant to the Rule.

                                                                       A-3746-20
                                        33
      We note, however, that our courts have routinely rejected motions for

change of sentence if the defendant was still serving a mandatory period of

parole ineligibility.   See, e.g., Chavies, 247 N.J. at 260 (2021) (holding a

defendant may not file the motion under (b)(2) while serving a mandatory,

minimum sentence under the No Early Release Act); State v. Mendel, 212 N.J.

Super. 110, 113–14 (App. Div. 1986) (holding a defendant may not file the

motion under (b)(1) during a mandatory period of parole ineligibility under the

Graves Act).

      The situation here is obviously different in two respects. First, because

the prosecutor may exercise post-conviction discretion under Section 12 to

modify the statutory minimum term of a Chapter 35 offense, the period of parole

ineligibility is no longer "mandatory" in the truest sense. See State v. Shaw, 131

N.J. 1, 9 (1993) ("Because the prosecutor can thus waive the parole disqualifier,

section [N.J.S.A. 2C:35-]7's sentencing is not mandatory 'at least in the typical

or conventional use of mandatory sentencing.'" (quoting Vasquez, 129 N.J. at

199)); State v. Peters, 129 N.J. 210, 219 (1992) (holding in the context of a VOP

that "[N.J.S.A. 2C:35-]7's parole disqualifier is a conditional, not a mandatory,

sentence. Once the prosecutor waives the parole disqualifier at the original

sentencing, and that sentence has been served, it is no longer mandatory in future

                                                                     A-3746-20
                                       34
proceedings."). 11   Second, and decidedly more importantly, subsection (b)(3)

requires the State's participation in the application for modification of the

sentence.

      The more difficult issue is whether a particular joint motion establishes

"good cause," a term left undefined by the Rule, for sentence modification. See

Pressler & Verniero, Current N.J. Court Rules, cmt. 2.3 on R. 3:21-10 (2022)

(noting the "provision does not undertake to either define or to illustrate 'good

cause' in this context," but suggesting an appropriate situation may be a

defendant's cooperation with law enforcement after the time limit in Rule 3:21-

10(a), sixty days after conviction, expired) (citing Report of the Committee on

Criminal Practice, 98 N.J.L.J. Index Pg. 344 (1975)).

      We have construed the phrase "good cause" on several occasions, utilizing

similar standards. See, e.g., Ghandi v. Cespedes, 390 N.J. Super. 193, 196 (App.

11
    In State v. Diggs, we held that a defendant serving a period of parole
ineligibility under N.J.S.A. 2C:35-7 was not entitled to a change of sentence to
enter a drug program. 333 N.J. Super. 7, 9–11 (App. Div. 2000). And, in State
v. McPhall, both the defendants moved for a change of sentence and admission
into the Intensive Supervision Program (ISP) under Rule 3:21-10(b)(6). 270
N.J. Super. 454, 456 (App. Div. 1994). We reversed the trial court's orders
permitting entry into the program because both the defendants were serving
periods of incarceration for the CDRA violations pursuant to negotiated
agreements under Section 12, and there was "no legislative authority permitting
a mandatory period of incarceration to be vitiated by diversion into ISP." Ibid.
As neither case involved a prosecutorial waiver of parole ineligibility under
section 12 or a joint application for a change of sentence under Rule 3:21-
10(b)(3), they do not figure into our analysis.
                                                                    A-3746-20
                                       35
Div. 2007) (explaining that "'[g]ood cause' is an amorphous term, that is, it 'is

difficult of precise delineation. Its application requires the exercise of sound

discretion in light of the facts and circumstances of the particular case

considered in the context of the purposes of the Court Rule being applied'"

(quoting Del. Valley Wholesale Florist, Inc. v. Addalia, 349 N.J. Super. 228,

232 (App. Div. 2002))). In Estate of Lagano v. Bergen County Prosecutor's

Office, we applied similar reasoning in deciding whether there was good cause

under a statute, section 17(c) of the Wiretap Act, to disclose the contents of

intercepted communications. 454 N.J. Super. 59, 79–80 (App. Div. 2018). We

noted that "[a] trial court's determination of 'good cause' . . . involves weighing

the need for disclosure against the harm disclosure is likely to cause." Id. at 80.

       Considering the phrase in the context of criminal proceedings has been a

less common occurrence. In State v. Szemple, the Court considered whether the

defendant established "good cause" for post-conviction discovery, under State

v. Marshall, 148 N.J. 89, 270 (1997). 247 N.J. 82, 107–08 (2021). The Court

concluded the defendant's delay in seeking the information, without explanation

and without any proof it would "cast doubt on the jury's verdict" did not

outweigh "the competing interests of finality and fundamental fairness." Id. at

111.

       Courts have found "good cause" to interview jurors about deliberations in

                                                                      A-3746-20
                                        36
a case pursuant to Rule 1:16-1, when there was "some event or occurrence . . .

injected into the deliberation in which the capacity for prejudice inheres." State

v. Loftin, 146 N.J. 295, 381 (1996) (quoting Pressler, Current N.J. Court Rules,

cmt. 1 on R. 1:16-1 (1996)). We have held the purpose of that "rule [was] to

'accommodate the public interest both in maintaining the secrecy of jury

deliberations and in avoiding gross injustice by permitting inquiry into the

events surrounding the jury's decision only where' a showing is made 'that

misconduct occurred which tainted the verdict.'" State v. R.D., 345 N.J. Super.

400, 405 (App. Div. 2001) (quoting Pressler, Current N.J. Court Rules, cmt. 1

on R. 1:16-1 (2002)).

      Our decision in State v. Johnson presents facts that are most similar to this

appeal, in that it involved our review of the resentencing of the defendant, not

under a court rule, but rather a statute that employed the good cause standard.

176 N.J. Super. 1 (App. Div. 1980). In Johnson, the defendant was convicted of

various crimes and sentenced before enactment of the current Criminal Code in

1979 to a thirty-three-year indeterminate term at the Adult Diagnostic and

Treatment Center. Id. at 3–4. Pursuant to N.J.S.A. 2C:1-1(d)(2), defendants

became eligible "for the reduction or modification 'for good cause shown' of

sentences of imprisonment imposed prior to the Code's effective date for

offenses which are eliminated or downgraded in the code." Id. at 2. The

                                                                      A-3746-20
                                        37
specially designated three-judge panel which heard all such motions concluded

the defendant was entitled to resentencing and reduced his sentence. Id. at 4–5.

      The State appealed, and the defendant contended he had a "statutory right

to a resentence because the maximum terms of imprisonment for the Titl e 2A

crimes . . . exceed[ed] the maximum terms of imprisonment for the equivalent

crimes under the code. According to this argument, disparity in sentence is

sufficient good cause to meet the statutory prerequisite." Id. at 7. We rejected

that argument, stating:

            We need not delineate precisely the bounds of good
            cause. Obviously the aggravating and mitigating
            factors to be taken into consideration in original
            sentencing . . . should be weighed. A persistent
            offender, as defendant has been, may be subject . . . to
            a sentence to an extended term of imprisonment beyond
            the maximum in the code. The most relevant factors in
            the determination of good cause should bear on any past
            criminal record, the nature and circumstances of the
            crime for which resentencing is applied for, its
            violence, heinousness or depravity, any parole
            violations, and the risk that the applicant for
            resentencing will commit another crime, in particular if
            the result of resentencing is that his release from
            imprisonment is advanced to an early future date.
            These criteria are negative, tending to rebut good cause
            without which a resentence may not be granted under
            N.J.S.A. 2C:1-1[(d)](2).

            [Id. at 8.]

      In this case, appellants have posited that this and every defendant for

whom a joint application has been filed established prima facie grounds for
                                                                       A-3746-20
                                      38
resentencing under the Rule. They argue that the Commission Report's findings

of mass incarceration and pernicious racial disparity in sentencing, also

recognized by the Directive, are sufficient to grant relief in every instance.

Before us, the Assistant Attorney General asserted the court's decision -making

authority only came into play in those rare instances where, pursuant to the

Directive, there was disagreement over whether a discretionary minimum term

of parole ineligibility should apply instead of the previously imposed term. We

reject those arguments.

      It is evident from our discussion that regardless of the particular context,

any determination of good cause demands the court's considered judgment, not

some rubber stamp. In State v. Tuminello, the Court provided "a word of

guidance" regarding resentencing under Rule 3:21-10(b)(2), permitting a change

in sentence to release a defendant from custody based on poor health. 70 N.J.

187, 194 (1976). Although the rule "contain[ed] no specific command that the

court set forth its reasons" as does the rule "governing the original imposition

of sentence," see Rule 3:21-4(h),

            At least some of the underlying policy considerations
            which favor the furnishing of reasons on sentencing are
            equally applicable to a change of sentence: to provide
            an appellate court with the means by which to review a
            decision on sentencing; and to contribute to uniformity
            of sentencing.

            [Ibid.]
                                                                      A-3746-20
                                       39
We do not believe the Court expected that the decisions judges would make on

joint motions brought under the Rule required no more than rote recitation of

policy judgments made by others.

      Good cause under the Rule brings into focus the tension between different

animating purposes of sentencing in our criminal justice system:         finality,

sentence uniformity and public safety on one hand; a sentence that considers

individual circumstances as to offender and offense on the other. State v.

Randolph, 210 N.J. 330, 349 (2012) ("Defendant is entitled to that

individualized consideration during sentencing. In a resentencing, a defendant

similarly is entitled to the same full review and explanation of the finding and

weighing of aggravating and mitigating factors.").        As we said in other

circumstances, specifically whether there was good cause to delay prosecution

of a defendant who invoked his rights under the Interstate Agreement on

Detainers, N.J.S.A. 2A:159A-3(a), "whether good cause exists . . . must be

resolved from a consideration of the totality of circumstances in [a] particular

case." State v. Buhl, 269 N.J. Super. 344, 356 (App. Div. 1994) (alteration in

original) (citations omitted).

      Moving forward, in considering joint motions filed pursuant to the

Directive and under the aegis of the Rule, the judge must make individualized

determinations of whether good cause exists for the requested relief. The factors

                                                                    A-3746-20
                                       40
we set out in Johnson, 176 N.J. Super. at 8, are a good starting point, but by no

means do they close the field to further inquiry by the judge.

      We reverse and vacate the order under review.

                                                                     A-3746-20
                                       41