Court Opinion

ID: 2785219
Source: CourtListenerOpinion
Date Created: 2015-03-10 21:15:34.522951+00
Date Added: 2024-06-11T11:28:35.235603
License: Public Domain

IN THE COURT OF CRIMINAL APPEALS OF TENNESSEE
                          AT JACKSON
                          Assigned on Briefs October 7, 2014

              STATE OF TENNESSEE v. DONNELL TUNSTALL

                  Appeal from the Criminal Court for Shelby County
                          No. 11-01466  Chris Craft, Judge

                No. W2014-00257-CCA-R3-CD - Filed March 10, 2015

Defendant, Donnell Tunstall, was convicted of attempted second degree murder, employing
a firearm during the commission of a dangerous felony, and aggravated assault. He received
an effective sentence of thirty-two years for these crimes. Defendant now appeals his
convictions, claiming insufficient evidence and improper admission of unfairly prejudicial
evidence regarding his previous arrest for the murder of the victim’s brother. After careful
review, we conclude that the evidence was sufficient to support all of the convictions but that
the admission of specific pieces evidence was improper and not harmless. Accordingly, the
convictions are reversed and remanded for a new trial.

 Tenn. R. App. P. 3 Appeal as of Right; Judgments of the Criminal Court Reversed
                                  and Remanded

T IMOTHY L. E ASTER, J., delivered the opinion of the court, in which N ORMA M CG EE O GLE
and C AMILLE R. M CM ULLEN, JJ., joined.

Stephen Bush, Shelby County Public Defender; Phyllis Aluko, Assistant Public Defender (on
appeal); and William Yonkowski, Assistant Public Defender (at trial), for the appellant,
Donnell Tunstall.

Robert E. Cooper, Jr., Attorney General and Reporter; Rachel E. Willis, Senior Counsel;
Amy Weirich, District Attorney General; and Marianne Bell, Assistant District Attorney
General, for the appellee, State of Tennessee.

                                         OPINION
                                     Factual Background
        After a three-day trial, a Shelby County jury found Defendant guilty of attempted
second degree murder, employing a firearm during the commission of a dangerous felony,
and aggravated assault. Before the trial began, the court held a hearing on the State’s
potential introduction of evidence of other acts, under Tennessee Rule of Evidence 404(b),
specifically evidence regarding the previous arrest of Defendant for the murder of the
victim’s brother. The State argued that this evidence was relevant for identification of
Defendant and for Defendant’s intent. The State also argued that evidence of the victim’s
state of mind regarding the prosecution of Defendant for the homicide was relevant to rebut
any defense suggesting that the victim fabricated the entire incident for retribution against
Defendant. Defendant argued that the State should not be allowed to introduce any evidence
that Defendant was previously charged with the murder of the victim’s brother because this
evidence was impermissible other act evidence and unfairly prejudicial. After much
discussion, the court ruled that the State could introduce evidence limited to the fact that
Defendant was previously arrested for the homicide of the victim’s brother. The court also
decided that it would require a limiting instruction, informing the jury that the charge was
dismissed by the State and not presented to the grand jury for indictment. The court would
not allow the State to introduce any additional details of the homicide.

        The State began its case-in-chief with the testimony of the victim, Lawyer Carter. Mr.
Carter was an unmarried, thirty-three year-old line operator who lived with his four minor
children in Shelby County. He admitted that he was previously convicted of unlawful
possession of marijuana with intent to manufacture, sell, or deliver. He was also convicted
of theft of property valued over $1,000. In October 2010, during the events that follow, Mr.
Carter was also living with his fiancée, who died prior to the trial.

       Mr. Carter testified that on October 8, 2010, he left work and drove home before 6:00
p.m., while it was still light outside. On his way home, at the intersection of Pillow and
Ethlyn streets, Mr. Carter saw Defendant and “a few more guys” standing in a group. Mr.
Carter observed the group and kept driving home. He denied speaking to or making any
gestures to Defendant. Mr. Carter and Defendant had grown up in the same neighborhood.
Further, Mr. Carter told the jury during his direct examination that he was familiar with the
Defendant because Defendant “was locked up for killing [Mr. Carter’s] brother back in ‘07.”

        When Mr. Carter got home, his fiancée asked him to go to the store to buy milk and
drinks for dinner. He left for the store by himself. While driving down Ethlyn Street, he
stopped and spoke to a friend. At mention of Defendant during the conversation, Mr. Carter
said, “F-- that n--. I ain’t worried about him. He’s about to get indicted.” He then proceeded
to the store. After completing his purchase, he drove around a few corners in the
neighborhood before returning home.

                                             -2-
        According to Mr. Carter, he was driving on Silver Street between 6:30 p.m. and 7:00
p.m., while the sun was going down. During this time, he saw Defendant walking toward
the driveway of the place where Defendant’s cousin lived. Defendant and his cousin met
briefly in the backyard, and then Defendant started walking toward the street. Mr. Carter
saw Defendant carrying “a big black automatic gun” in his hand. Mr. Carter could not
identify the exact model of the handgun but “it was like a .45 or something.” Defendant
approached Mr. Carter’s vehicle, which was in the middle of the street because there were
vehicles parked on both sides of the road that prevented Mr. Carter’s vehicle from being
completely in one lane at a time. Mr. Carter stopped his vehicle because he did not want to
hit Defendant in the street. Defendant cocked the gun and began threatening the victim.
Defendant said something to the effect of, “I’ll shoot you in the head,” to which the Mr.
Carter replied, “If you’re that tough, go on and shoot me then.” Mr. Carter testified that he
was scared. Defendant pulled the trigger, but the gun did not fire, and Mr. Carter drove off.

        Expounding on the encounter, Mr. Carter said that when Defendant approached his
vehicle, he came within about one and a half feet of the driver’s side window. He stated that
Defendant “had cocked the gun[,] talking about he ought to shoot me in the head like he did
my brother and all this stuff.” Shortly thereafter, Mr. Carter recalled, “He talking about, ‘I
ought to shoot your bitch ass in the head like I did your brother,’ and he was talking a lot.
So I said, ‘Well, if you’re that tough go on and do it.’” Mr. Carter denied threatening
Defendant in any way. Defendant pointed the gun at Mr. Carter’s head from approximately
eight inches away. The car’s window was rolled halfway down. He acknowledged that he
was scared and afraid for his life. Defendant had a medium afro hairstyle, glasses, and gold
teeth and was wearing a white t-shirt and black pants, the same outfit that Mr. Carter had
seen Defendant wearing earlier on his way home from work. Defendant pulled the trigger
three or four times before the victim drove away. As he left, Mr. Carter heard Defendant say,
“Don’t bring your bitch ass around here no more.”

       After the incident, Mr. Carter drove straight to his house. He first called to speak with
the detective who investigated his brother’s homicide, but the detective was no longer in that
law enforcement division. He then called his aunt, who had adopted him when his mother
died. After speaking for three or four minutes, he then called 911 as urged by his aunt. The
police went to his house, and he described the incident and Defendant’s appearance. The
following Monday, Mr. Carter identified Defendant out of a six-photo lineup, which was
introduced at trial.

       On cross-examination, Mr. Carter admitted that he was a “small time weed seller.”
At the time of the incident, he was not driving straight back to his house from the store
because he was “making blocks” around the neighborhood. He was not looking to sell any
marijuana at that time, but he was simply looking to see who all was around the

                                              -3-
neighborhood. He said he did not think that Defendant would be at the house when he drove
by because Defendant was somewhere else when the victim saw him on the way home from
work. His cruising speed was between ten and fifteen miles per hour.

        When asked why he did not drive away from Defendant immediately when he saw the
gun, Mr. Carter said that he did not know what Defendant was going to do with it. Once
Defendant approached him on the street, Mr. Carter stopped the vehicle because he “was
going to let him shoot” while Defendant’s cousin, his cousin’s grandmother, and his sisters
were all watching. He said that he would rather have Defendant “shoot me face to face” than
in the back of the head while driving away.

       Mr. Carter testified that, prior to the incident, the detective investigating his brother’s
death told him that Defendant would be indicted for murder. He denied that he was lying
about the incident as his “way of getting even” with Defendant for his brother’s murder
because “that come with life[.] [P]eople die.” Mr. Carter said, “I was mad, but I couldn’t
do nothing about it because you let the Lord and the law deal with it.”

       After several rounds of re-direct and re-cross examinations of the victim, the State
next called Joyce Flynn, who was Mr. Carter’s aunt and adoptive mother. She testified that
on the evening of October 8, 2010, Mr. Carter called her on the phone and said, “You
remember the guy that killed [my brother][?] [H]e just put a gun to the side of my head. The
gun didn’t go off. He clicked it a few times and it didn’t go off.” Ms. Flynn told Mr. Carter,
“You know, you’re blessed, and you need to call the police.” The trial court admitted this
testimony, over the objection of defense counsel, as a prior consistent statement of the victim.
The trial court gave a limiting instruction to the jury that this testimony could not be used as
substantive evidence.

      The State then called Officer Ryan Thompson of the Memphis Police Department,
who went to Mr. Carter’s home at 7:15 p.m. after the 911 call. He recalled the following
information from the victim:

       He advised he was driving on Silver Street en route to his house. He made it
       to around the 1500 block and was approached by a male black known to him
       as Donnell Tunstall. And, Mr. Tunstall was wielding a black handgun and
       approached his driver’s side and advised Mr. Carter that he was going to shoot
       him like he shot his brother.

Officer Thompson stated that Mr. Carter told Defendant “to go ahead and do it.” Mr. Carter
also reported that Defendant “attempted to cock the handgun and pulled the trigger, but the
handgun didn’t fire.” Mr. Carter told Officer Thompson that Defendant brandished the

                                               -4-
handgun “around a foot away . . . from his head” and that he drove away after the gun did not
fire. Mr. Carter described Defendant’s race, height, weight, appearance, and clothing to
Officer Thompson, all of which was consistent with Mr. Carter’s testimony at trial. Mr.
Carter also gave a description of Defendant’s vehicle to Officer Thompson. On cross-
examination, Officer Thompson testified that, after interviewing Mr. Carter, he drove to
Silver Street but did not find any bullets, shell casings, or a gun in the vicinity.

       The State then called Marvin Pender, the 911 records custodian for Memphis Police
Communications. Mr. Pender authenticated the recording of the 911 call from Mr. Carter
on October 8, 2010, which was then played in its entirety for the jury. During this call, Mr.
Carter identified Defendant in connection with the murder of Mr. Carter’s brother.

       The defense began its case-in-chief with testimony from Defendant’s cousin, Gerron
Dockery. At the time of trial, Mr. Dockery was serving a twelve-year sentence with the
Tennessee Department of Correction for facilitation of aggravated arson. Mr. Dockery also
pled guilty to a Class B felony in 2006 for unlawful possession of cocaine with intent to sell.
Mr. Dockery said he was outside of his aunt’s house on the evening of the incident, along
with Defendant, his cousin, some other family members, and kids. He had known Mr. Carter
for his entire life because they were from the same neighborhood. Mr. Dockery saw Mr.
Carter on the evening of October 8th. He saw Mr. Carter drive by the house slowly without
stopping. No words were exchanged. According to Mr. Dockery, Defendant did not pull a
gun or get in front of Mr. Carter’s vehicle. Mr. Dockery remained at the house until 7:00 or
8:00 p.m. Defendant left the house an hour or two before him. Mr. Dockery stated that he
remembered that evening because Mr. Carter did not often drive by the house; the event was
unusual.

        Defendant did not testify. The jury found him guilty as charged of all counts. The
trial court merged the aggravated assault conviction with the attempted second degree murder
conviction. After a hearing, the trial court sentenced Defendant to twenty-two years as a
persistent offender and sentenced him to ten years for the firearm conviction as a violent
offender. The sentences were ordered to be served consecutively. Defendant’s subsequent
motion for a new trial was denied after a hearing on August 15, 2013. Defendant then timely
appealed to this Court.

                                            Analysis
       On appeal, Defendant contends that there is insufficient evidence to support the jury’s
verdicts and that the trial court erred by admitting evidence of Defendant’s prior arrest for
the murder of the victim’s brother.
                                A. Sufficiency of the Evidence
       Defendant argues that the evidence presented at trial is legally insufficient to support

                                              -5-
any of his convictions. Specifically, Defendant asserts, without citing any supporting
authority, that there was not enough evidence for a rational jury to find that the object pointed
at the victim was actually a functional handgun—and not merely a toy gun or an unloaded
handgun—beyond a reasonable doubt. The State argues that the evidence, when viewed in
the light most favorable to the State, is sufficient to support a finding that the object was in
fact a real gun.

       When a defendant challenges the sufficiency of the evidence, this Court is obliged to
review that claim according to certain well-settled principles. A guilty verdict removes the
presumption of innocence and replaces it with a presumption of guilt. State v. Evans, 838
S.W.2d 185, 191 (Tenn. 1992). The burden is then shifted to the defendant on appeal to
demonstrate why the evidence is insufficient to support the conviction. State v. Tuggle, 639
S.W.2d 913, 914 (Tenn. 1982). The relevant question the reviewing court must answer is
whether any rational trier of fact could have found the accused guilty of every element of the
offense beyond a reasonable doubt. See Tenn. R. App. P. 13(e); Jackson v. Virginia, 443
U.S. 307, 319 (1979). On appeal, “the State is entitled to the strongest legitimate view of the
evidence and to all reasonable and legitimate inferences that may be drawn therefrom.” State
v. Elkins, 102 S.W.3d 578, 581 (2003). As such, this Court is precluded from re-weighing
or reconsidering the evidence when evaluating the convicting proof. State v. Morgan, 929
S.W.2d 380, 383 (Tenn. Crim. App. 1996); State v. Matthews, 805 S.W.2d 776, 779 (Tenn.
Crim. App. 1990). Moreover, we may not substitute our own “inferences for those drawn
by the trier of fact from circumstantial evidence.” Matthews, 805 S.W.2d at 779. Further,
questions concerning the credibility of the witnesses and the weight and value to be given
to evidence, as well as all factual issues raised by such evidence, are resolved by the trier of
fact and not the appellate courts. State v. Pruett, 788 S.W.2d 559, 561 (Tenn. 1990). “The
standard of review ‘is the same whether the conviction is based upon direct or circumstantial
evidence.’” State v. Dorantes, 331 S.W.3d 370, 379 (Tenn. 2011) (quoting State v. Hanson,
279 S.W.3d 265, 275 (Tenn. 2009)).

        The jury convicted Defendant of attempted second degree murder. “A knowing
killing of another” is second degree murder. T.C.A. § 39-13-210(a)(1). Criminal attempt
of an offense may be proven in one of three ways, where an individual:

       (1) Intentionally engages in action or causes a result that would constitute an
       offense, if the circumstances surrounding the conduct were as the person
       believes them to be;

       (2) Acts with intent to cause a result that is an element of the offense, and
       believes the conduct will cause the result without further conduct on the
       person’s part; or

                                               -6-
       (3) Acts with intent to complete a course of action or cause a result that would
       constitute the offense, under the circumstances surrounding the conduct as the
       person believes them to be, and the conduct constitutes a substantial step
       toward the commission of the offense.

T.C.A. § 39-12-101(a). “Whether the appellant ‘knowingly’ attempted to kill his victim is
a question of fact for the jury.” State v. Inlow, 52 S.W.3d 101, 104-05 (Tenn. Crim. App.
2000).

       Defendant was also convicted of aggravated assault and employing a firearm during
the commission of a dangerous felony. Although the trial court merged Defendant’s
attempted second degree murder and aggravated assault, we will consider the sufficiency of
the evidence as to all convictions in order to facilitate potential further appellate review. See
State v. Devin Torquin Watkins, No. E2013-00420-CCA-R3-CD, 2014 WL 1329278, at *5
(Tenn. Crim. App. Apr. 3, 2014), perm. app. denied (Tenn. July 15, 2014). Intentionally or
knowingly causing another to reasonably fear imminent bodily injury is an assault. T.C.A.
§ 39-13-101(a)(2). An assault is aggravated if it “involved the use or display of a deadly
weapon.” T.C.A. § 39-13-102(a)(1)(A)(iii). A “deadly weapon” is defined as: “(A) A
firearm or anything manifestly designed, made or adapted for the purpose of inflicting death
or serious bodily injury; or (B) Anything that in the manner of its use or intended use is
capable of causing death or serious bodily injury.” T.C.A. § 39-11-106(a)(5). “It is an
offense to employ a firearm during the . . . [a]ttempt to commit a dangerous felony.” T.C.A.
§ 39-17-1324(b)(2). Attempted second degree murder is a “dangerous felony.” T.C.A. § 39-
17-1324(i)(1)(B). A “firearm” is “any weapon designed, made or adapted to expel a
projectile by the action of an explosive or any device readily convertible to that use.” T.C.A.
§ 39-11-106(a)(11).

        The jury was presented with the following evidence at trial. Mr. Carter testified that
Defendant displayed and cocked a “a big black automatic gun” before stepping into the street
in front of Mr. Carter’s vehicle. Defendant then moved to the driver’s side window of the
vehicle and pointed the handgun at Mr. Carter’s head from less than a foot away. Mr. Carter
testified that the object with which Defendant threatened his life was an actual pistol.
Defendant threatened to shoot the victim in the head and pulled the trigger multiple times.
Defense counsel thoroughly cross-examined Mr. Carter about the entire incident.
Defendant’s cousin, currently in the custody of the Tennessee Department of Corrections,
testified that he was present at the time of the alleged incident and represented that the
encounter never occurred.

       In spite of the testimony of Defendant’s cousin, the jury found Mr. Carter credible and

                                               -7-
accredited his testimony over that of Defendant’s cousin. As the trier of fact, this
determination is within the province of the jury. We find that a rational jury could find that
the victim’s testimony established Defendant’s guilt of all three crimes beyond a reasonable
doubt. “It is well-settled law in Tennessee that ‘the testimony of a victim, by itself, is
sufficient to support a conviction.’” State v. Bonds, 189 S.W.3d 249, 256 (Tenn. Crim. App.
2005) (quoting State v. Strickland, 885 S.W.2d 85, 87 (Tenn. Crim. App. 1993)); see also
United States v. Beverly, 99 F.3d 570, 573 (3d. Cir. 1996) (analyzing cases accepting only
eye witness testimony to establish use of a real firearm). While reviewing a challenge to the
sufficiency of the evidence for attempted second degree murder in Inlow, this Court noted
that “[i]ntent, which can seldom be proven by direct evidence, may be deduced or inferred
by the trier of fact from the character of the assault, the nature of the act and from all the
circumstances of the case in evidence.” 52 S.W.3d at 104-05 (quoting State v. Holland, 860
S.W.2d 53, 59 (Tenn. Crim. App. 1993)).

       However, Defendant contends that the evidence was insufficient, as a matter of law,
to prove that Defendant used a real handgun that was loaded and operational. The State
argues that the victim’s testimony was sufficient and that the functionality of the gun is
immaterial. We agree with the State. The circumstantial evidence presented in this case was
enough to allow the jury to make a reasonable inference that Defendant employed what he
believed to be an actual, loaded handgun. See T.C.A. § 39-12-101(a)(1). Although there was
no direct evidence of a bullet in the chamber, there was testimony from Mr. Carter that
Defendant wielded a real gun and evidence from Defendant’s own affirmative conduct
suggesting that the handgun was in fact real and that Defendant intended to use it to kill Mr.
Carter. Defendant handled the gun, made verbal threats about using the gun to shoot Mr.
Carter’s head from close range, and repeatedly pulled the trigger. This is sufficient
circumstantial evidence from which a rational jury could infer beyond a reasonable doubt that
Defendant employed what he believed was an actual loaded handgun, while attempting and
intending to take the victim’s life.              See State v. Christopher Osborne, No.
M2000-00802-CCA-R8-CD, 2001 WL 252083, at *4 (Tenn. Crim. App. Mar. 14, 2001)
(finding sufficient evidence of attempted first degree murder where the defendant threatened
the victim within thirty minutes of the attack, attempted to gain entry into the victim’s
residence while the victim was inside, and thrust the barrel of a shotgun inside victim’s home
but where the defendant never fired the weapon and the weapon was never recovered).
While it is possible that Defendant could have knowingly used a gun that was unloaded and
only intended to frighten the victim, proof beyond a reasonable doubt does not require that
there be no other conceivable explanation for a defendant’s conduct. See State v. Wagner,
382 S.W.3d 289, 297 (Tenn. 2012) (“Circumstantial evidence alone is sufficient to support
a conviction, and the circumstantial evidence need not exclude every reasonable hypothesis
except that of guilt.”); see also State v. Hester, 324 S.W.3d 1, 57-58 (Tenn. 2010) (reviewing
jury instructions on reasonable doubt).

                                             -8-
      After careful review of the record, we conclude that the evidence was sufficient to
support Defendant’s convictions.

                        B. Evidence of Previous Arrest for Murder
       Defendant also argues that the trial court abused its discretion by admitting testimony
about Defendant’s previous arrest for the alleged murder of Mr. Carter’s brother.
Specifically, Defendant asserts that the testimony was impermissible propensity evidence.
Alternatively, Defendant contends that, under Rule 404(b) of the Tennessee Rules of
Evidence, the State should have had to prove that Defendant committed the murder by clear
and convincing evidence and that the danger of unfair prejudice outweighed the evidence’s
probative value. The State argues that the evidence was relevant, not offered for propensity
purposes, and not unfairly prejudicial; otherwise, any error was harmless. We conclude that
most of this evidence was improperly admitted.

        Relevant evidence is that “having any tendency to make the existence of any fact that
is of consequence to the determination of the action more probable or less probable than it
would be without the evidence.” Tenn. R. Evid. 401. Where the probative value of relevant
evidence is substantially outweighed by the danger of unfair prejudice, it may be
inadmissible. Tenn. R. Evid. 403. However, “[e]vidence of other crimes, wrongs, or acts”
is inadmissible character evidence if offered to show a defendant’s “action in conformity
with [a] character trait.” Tenn. R. Evid. 404(b); State v. Parton, 694 S.W.2d 299, 654 (Tenn.
1997). “The terms of this rule establish that character evidence cannot be used to prove that
a person has a propensity to commit a crime.” State v. McCary, 119 S.W.3d 226, 243 (Tenn.
Crim. App. 2003) (citing State v. Adkisson, 899 S.W.2d 626 (Tenn. Crim. App. 1994)). Yet,
such evidence of other acts may be admissible for other non-propensity purposes, such as “to
establish motive, intent, identity, absence of mistake, or common plan or scheme” or
“contextual background.” State v. Little, 402 S.W.3d 202, 210 (Tenn. 2013). Other act
evidence may be admitted for these purposes only after the following requirements have been
met:

       (1) The court upon request must hold a hearing outside the jury’s presence;

       (2) The court must determine that a material issue exists other than conduct
       conforming with a character trait and must upon request state on the record the
       material issue, the ruling, and the reasons for admitting the evidence;

       (3) The court must find proof of the other crime, wrong, or act to be clear and
       convincing; and

       (4) The court must exclude the evidence if its probative value is outweighed

                                             -9-
       by the danger of unfair prejudice.

Tenn. R. Evid. 404(b) (2013).

        Tennessee’s Rule 404(b) establishes more stringent safeguards for ensuring proper
introduction of this kind of evidence than its federal counterpart. State v. James, 81 S.W.3d
751, 759 (Tenn. 2002) (citing State v. McCary, 922 S.W.2d 511, 514 (Tenn. 1996)).
Compare Tenn. R. Evid. 404(b) with Fed. R. Evid. 404(b). Our rule has been aptly described
as one of “exclusion” rather than inclusion. State v. Henry Lee Jones, No. W2009-01655-
SC-DDT-DD, ___ S.W.3d ___, 2014 WL 4748118, at *21 (Tenn. Sept. 25, 2014) (citing
State v. Dotson, 254 S.W.3d 378, 387 (Tenn. 2008)). Consequently, “[t]rial courts have been
encouraged to take a restrictive approach of Rule 404(b) because ‘other act’ evidence carries
a significant potential for unfairly influencing a jury.” Id. (internal quotation and citation
omitted). This is particularly true where the other act sought to be introduced is substantially
similar to the crime for which a defendant is being tried. McCary, 119 S.W.3d at 243.

        A trial court’s decision to admit or exclude evidence under Rule 404(b) is reviewed
by an abuse of discretion standard, if the trial court has substantially complied with the
procedure mandated by the Rule. State v. DuBose, 953 S.W.2d 649, 652 (Tenn. 1997).
Where the trial court has failed to substantially comply with the procedural dictates of Rule
404(b), the standard of review is de novo. State v. Mallard, 40 S.W.3d 473, 486 n.13 (Tenn.
2001) (citing DuBose, 953 S.W.2d at 652-653)); “A court abuses its discretion when it
applies an incorrect legal standard or its decision is illogical or unreasonable, is based on a
clearly erroneous assessment of the evidence, or utilizes reasoning that results in injustice to
the complaining party.” Henry Lee Jones, 2014 WL 4748118, at *22 (internal quotation and
citation omitted). Appellate court review of the issue of admissibility is confined to the
evidence presented to the trial court during the jury-out hearing. DuBose, 953 S.W.2d at 653.

        Before the trial began, the trial court held a hearing on the admissibility of certain
other act evidence that the State gave advance notice of its intent to introduce during its case-
in-chief. From the transcript of the hearing, it appears that the following different pieces of
evidence were considered by the court and the parties to be potential Rule 404(b) evidence
relating to Defendant’s previous arrest: (1) previous statements of identification made by Mr.
Carter to his aunt, to Officer Thompson, and to the 911 dispatcher in which Mr. Carter
referred to Defendant as his brother’s killer; (2) expected testimony from Mr. Carter that he
knew Defendant because he was previously arrested for murdering Mr. Carter’s brother; (3)
expected testimony from Mr. Carter that Defendant made a threat to Mr. Carter, which
referenced the killing of Mr. Carter’s brother; and (4) Mr. Carter’s subjective belief that, at
the time of the incident, Defendant was going to be indicted and prosecuted for the alleged
murder of his brother. The State argued that these pieces of evidence, collectively, were

                                              -10-
admissible to establish intent, identification of the defendant, and the victim’s state of mind.
To supplement these pieces of evidence, the State also sought to introduce “simply the fact
that the defendant was . . . arrested and charged with first degree murder, that he was, in fact
arrested, [and] that there was a preliminary hearing scheduled in the matter.”

       After hearing extensive argument from the parties, the trial court issued its evidentiary
ruling. In doing so, the trial court made inconsistent statements about whether it was
proceeding under Rule 403 or Rule 404(b). At one point, the court said:

        The State’s really not putting on proof of a crime. They’re putting on proof
        that at one time [Defendant] was charged and those charges were dismissed at
        a preliminary hearing. So, really this is a 403 test, but even using the stricter
        approach of 404(b), the Rule of Exclusion, I think the State would have a right
        to put on the victim’s statement.

At another point, the court said, “I think the fact that he was charged is not a bad act, so it’s
not strictly a 404(b) issue . . . [I]t is not the letter of the law but in the meaning of the law.”
Ultimately, however, the trial court ruled under Rule 404(b):

        On 404(b)(3), . . . [the rule says that] “the Court must find proof of the other
        crime, wrong, or act to be clear and convincing.” I find that the act in this case
        is not of the [D]efendant; [it is] the act of the State in charging the [D]efendant
        with a homicide. The proof of that is clear and convincing and [the parties]
        agree that it happened. . . . I’m going to allow the State to put on the fact that
        at one point the [D]efendant was charged with the homicide of [Mr. Carter]’s
        brother to show the relationship between the parties, their identification, and
        also . . . to show the rationale behind the [D]efendant’s statement. And, I find
        that, if we give the proper curative instructions that he was not charged with
        [the murder], that probative value is not outweighed by the danger of unfair
        prejudice because [Defendant] was not prosecuted for [the murder]. And, I
        also find that it is somewhat probative that . . . the alleged victim then called
        the homicide investigator and that’s how he called him and everything.
        Because the 911 tape, which I think the State has a right to put on 1 because of
        the defense of this [D]efendant [which will be that] this victim is making it up.

(Footnote added).

        1
         The court decided to reserve ruling on the admissibility of the 911 recording until the prosecutor
sought to introduce it and instructed the attorneys not to mention the recording in opening arguments.

                                                   -11-
        As an initial matter, we feel compelled to point out that the trial court should have
conducted a separate analysis for each specific piece of evidence, rather than issue a blanket
ruling covering all evidence related to Defendant’s arrest for the murder of Mr. Carter’s
brother.2 Such treatment was necessary for proper individualized consideration of the
admissibility of each specific piece of evidence because the nature, purpose, probative value,
and prejudicial effect differed among each. See, e.g., DuBose, 953 S.W.2d at 653 (stating
that “[t]he admissibility of the evidence of prior injuries to the victim’s abdominal area, and
the evidence of prior injuries to the victim’s hand and head, must be considered separately”
and proceeding to analyze both sets of injuries separately). We will proceed in such a
manner.

                             1. Victim’s Statements of Identification
         We first note that, on the ground of relevance alone, identity was an inadequate basis
for the admission of any of the evidence relating to Defendant’s prior arrest. While the State
bears the burden of proving a defendant’s identity as the perpetrator of the crimes for which
he or she is charged, identity was never at issue in this case and therefore was not a “fact .
. . of consequence to the determination of the action.” Tenn. R. Evid. 401; see DuBose, 953
S.W.2d at 653 (“The relevance of proffered evidence is determined by the issues presented
for resolution in the trial, which, in turn, are determined by the elements of the offense
charged and the defense asserted by the accused.”); see also Parton, 694 S.W.2d at 302
(“[E]vidence that the defendant committed another crime is admissible only if the ground for
relevance is actually being contested in the case on trial.”) (quoting Bunch v. State, 605
S.W.2d 227, 230 (Tenn. 1980))). Defendant did not dispute his identity as Mr. Carter’s
alleged attacker, and Mr. Carter would testify that he had known Defendant for a long time
from having grown up in the same neighborhood. This much was made aware to the trial
court by the parties during the hearing. Consequently, all of Mr. Carter’s statements that
identified Defendant merely on the basis of his association or involvement with the death of
Mr. Carter’s brother were superfluous and should have been redacted to exclude any
reference to this subject. Similarly, Mr. Carter should not have been allowed to testify that
Defendant “was locked up for killing [Mr. Carter’s] brother back in ‘07” as a means of
explaining how Mr. Carter knew Defendant. All of this evidence was irrelevant to the issue
of identity because the identity of Mr. Carter’s attacker was not at issue.

                            2. Defendant’s Threatening Statement
        Mr. Carter testified that Defendant threatened him with two different versions of a

        2
         However, the State’s argument was presented in such an all-encompassing fashion, without
distinguishing between all of the evidence, that it may have caused the trial court’s blanket ruling. If each
separate piece of evidence relating to the previous arrest had been presented individually, it would have
significantly clarified the evidentiary issues and ensuing arguments that materialized during the hearing.

                                                    -12-
particular statement that referred to Mr. Carter’s deceased brother. During the hearing, the
prosecutor repeatedly represented to the trial court that Mr. Carter would testify that, during
the encounter, Defendant threatened, “I ought to shoot you in the head like your brother.”
On the stand, however, Mr. Carter also testified to a second version of the threat, which
included an admission to the killing of Mr. Carter’s brother: “I ought to shoot you in the head
like I did your brother.”

       Although we did not find any analogous Tennessee cases, other jurisdictions have
found similar threats by a defendant to be admissible, despite including an admission or
reference to separate other acts of the defendant. Some courts hold that Rule 404(b) controls
the admissibility of such statements. For example, in Commonwealth v. Claypool, 495 A.2d
176, 177-78 (Pa. 1985), the court held as admissible a rape victim’s testimony that she had
been frightened into having sex with the defendant because he described to her a prior
instance of rape for which he had gone to jail.3 Considering the evidence to fall under the
scope of Rule 404(b), the court explained:

        In a case such as this, in which the defendant himself has made his prior
        criminal activity or conviction—whether or not the defendant actually did
        engage in such criminal activity or actually did have such a conviction—an
        element of the crime with which he is now charged, our failure to allow this
        evidence to be admitted would grant to a whole class of criminals immunity
        from their crimes. If such evidence were not admissible, a criminal would
        only need to make sure that the fear needed for the commission of his crime
        emanated from a threat which only embodied a claim of prior criminal activity
        in order to be “excused” for his activity. If there were other threats of fear
        accompanying a defendant’s claim that he had engaged in prior criminal
        activity, the exclusion of evidence of the defendant’s statement would present
        a much weaker case. We hold, therefore, that when there is evidence that a
        statement about prior criminal activity was made by the defendant in order to
        threaten and intimidate his victim, and when force or threat of harm is an
        element of the crime for which the defendant is being tried, such evidence is
        admissible.

Id. at 179 (footnote omitted); cf. Couch v. State, 566 S.W.2d 288, 290 (Tenn. Crim. App.

        3
          The victim testified, “[The defendant] told me that him and another fellow were at his cousin’s
house and they had been drinking and they tied up his cousin and then they took the cousin’s wife upstairs
and that he was in jail for that.” Claypool, 495 A.2d at 177. The victim “was scared to death because then
I know that that’s what he was going to do to me.” Id. at 178. Additionally, the victim testified, “[The
defendant] told me that I better do it and he said I better not scream and holler because ever since he’s been
in jail any loud noises like that, if I screamed would make him go crazy.” Id.

                                                    -13-
1978) (concluding that rape victim’s testimony that the defendant referenced the rape of
another girl during the charged incident, without admitting to the other crime, was relevant
and properly admitted).

       Adopting the rule set forth in Claypool, the court in Weber v. State, 547 A.2d 948, 956
(Del. 1988), reasoned:

       [W]e find that [the defendant]’s statements to [the victim and the witness]
       were properly admissible into evidence under Rule 404(b). To obtain a
       conviction for intimidation and aggravated intimidation, the State had to show
       that [the defendant] acted knowingly and with malice. Malice is defined as
       “an intent to vex, annoy, harm or injure in any way another person, or to thwart
       or interfere in any manner with the orderly administration of justice.” In
       addition, [the defendant] was charged, in the context of the aggravated
       intimidation count, with making an express threat of force or violence against
       [the victim]. [The defendant]’s statements to [the victim and the witness] that
       he had killed before and that he had bribed a judge were not being admitted to
       show a criminal disposition on his part or even that he had, in fact, committed
       a prior criminal act. Indeed, [the defendant]’s allegation of bribery was
       completely untrue. However, these statements were admissible because they
       were made as a part of the threats communicated by [the defendant] to [the
       victim]. These statements constituted the act of intimidation that was an
       element of the offenses with which [the defendant] was charged.

(Internal citations omitted).

       In Reay v. State, 176 P.3d 647, 651 (Wyo. 2008), the court held that the victim’s
testimony as to a statement made by the defendant—“if I thought that [the defendant] abused
me before, he didn’t abuse me before; this was abuse”—as he assaulted her was admissible.
The court held that, under the circumstances, the victim’s testimony was not Rule 404(b)
evidence:

       The phrase “if I thought that [the defendant] abused me before, he didn’t abuse
       me before” was conditional, not a positive assertion that [the defendant] had
       abused [the victim] before. To the extent it implied past abuse, it gave no
       details about any particular instance of abuse, and no mention of when, where,
       or how it may have occurred. [The victim]’s testimony was simply too
       ambiguous to constitute evidence of uncharged misconduct . . . .

Id. However, the court also noted that, had the statement been more definite, “the fact that

                                             -14-
this evidence involved [the defendant]’s own statement, made to the victim while committing
the actions for which he was charged, does not exempt it from [Rule] 404(b).” Id.

       Other courts have held that such statements are not governed by Rule 404(b). In State
v. Martin, 643 A.2d 946, 951 (N.H. 1994), the court held that the testimony of a child rape
victim about the defendant’s threat to kill her like her dead pets if she refused him or told
anyone about his actions was not other act evidence under Rule 404(b).4

                The defendant first contends that the trial court should have required the
        State to establish these threats without referring to the victim’s pets at all. We
        disagree. It would have been impossible as a practical matter for the State to
        introduce evidence of the victim’s fear without also introducing some evidence
        of the basis for that fear. The defendant’s threats were a material part of the
        entire course of conduct surrounding the commission of the alleged crimes.
        By incorporating statements about his past misdeeds into a criminal threat, the
        defendant is not shielded from the use of the substance of that threat in a
        subsequent prosecution. As the references in these threats to the death of the
        victim’s pets were not offered for their truth, but rather for the limited purpose
        of substantiating the victim’s fear and explaining her delay in reporting the
        abuse, the trial court was well within its discretion to allow their introduction.

                 ....

               Rule of Evidence 404(b) and its requisite test are not applicable here
        because evidence establishing the very threat that coerced the victim to comply
        with the defendant’s demands is not evidence of other crimes, wrongs, or acts.
        The appropriate test for admissibility in this instance, therefore, is contained
        in Rule of Evidence 403, which permits the exclusion of relevant evidence if
        its probative value is substantially outweighed by the danger of unfair
        prejudice.

Id. at 951-52 (citations omitted).

        4
          At the jury-out hearing, the trial court ruled that the State would only be permitted “to elicit
testimony that the animals had died and that the defendant had seized upon the occasion of those deaths to
threaten the victim, but . . . the State [would not be allowed] to show that the defendant had taken credit for
killing the animals.” Martin, 643 A.2d at 951. The victim violated this ruling during the trial, but the
reviewing court declined to “comment on the admissibility of the victim’s statement that the defendant told
her that he had killed her dog.” Id. at 952.

                                                     -15-
        In United States v. Mare, 668 F.3d 35 (1st Cir. 2012), where the defendant was
convicted of arson for the burning of the beauty salon that he owned for insurance benefits,
the court held that the testimony of a former stylist at the salon about a conversation with the
defendant prior to the fire was not controlled by Rule 404(b). At trial, the stylist testified
that, prior to the incident at issue, the defendant told the stylist that he was going to burn the
salon to receive insurance money that would finance a move to a new city. Id. at 37. To
dispel the stylist’s apparent skepticism, the defendant “retorted that arson was in fact nothing
new to him . . . . [because,] in May of 2000, [the defendant] was responsible for another fire
at the salon that had led to an insurance payout large enough to cover not only the cost of
repairs, but also several other outstanding debts.” Id. Thus, the defendant boasted to the
effect that “he was not only capable of, but successful at, using arson to his financial
benefit.” Id.

       The court provided the following explanation:

               The district court initially suggested that [the witness’s] testimony was
       admissible for several of Rule 404(b)’s permissible purposes, but ultimately
       admitted the testimony for a different reason. The court held that the
       testimony concerned matters intrinsic to the crime charged and therefore did
       not trigger Rule 404(b)’s limitation on the use of evidence of other crimes,
       wrongs or acts. The court’s theory was that relevant inferences could be
       drawn from [the defendant]’s account of his own state of mind, rather than
       from the fact of a prior bad act. In its written order, the court singled out [the
       defendant]’s fraudulent intent as one such inference. It relied on our decision
       in United States v. Fazal-Ur-Raheman-Fazal, 355 F.3d 40, 50 (1st Cir. 2004),
       where we held that intrinsic evidence that would satisfy the charged crime’s
       specific intent element is not governed by Rule 404(b).

              This was not an abuse of discretion. In the typical 404(b) scenario, the
       evidentiary focal point is the existence of some bad conduct other than the
       charged offense. The concern is that, upon learning of that prior conduct, the
       jury might think worse of the defendant’s character out of some “rel[iance] on
       the aphorism ‘once a criminal, always a criminal.’” Here, by contrast, the
       focal point was the defendant’s own statement concerning the charged offense
       itself—“I am going to do it the way I did it the last time.” The fact that [the
       defendant] identified his plot with the uncharged offense sheds relevant light
       on his mindset in committing the charged offense. For example, as the district
       court suggested, it supported the government’s case that he specifically
       intended to commit the charged arson in order to defraud, an element of the
       mail fraud statute under which he was charged. That reasoning does not

                                              -16-
       depend on an inference regarding [the defendant]’s character for acting in
       conformity with a prior bad act. Indeed, it does not even depend on [the
       defendant]’s having actually committed the prior bad act at all. It depends
       only on [the defendant]’s having made the statement. Reasonable jurors could
       have made pertinent inferences based solely on [the defendant]’s bark,
       regardless of whether they believed that he had ever previously backed it up
       with his bite. [The defendant]’s words were therefore relevant for a reason
       other than, to borrow a familiar phrase from another evidentiary canon, the
       truth of the matter asserted.

Id. at 38-39 (citations and footnote omitted).

        In light of these cases, we believe that both versions of the threat were admissible.
The threat itself was part of Defendant’s underlying conduct in perpetrating the charged
offense of aggravated assault. A conviction for assault in this case required proof “that the
defendant intentionally or knowingly caused Lawyer Carter to reasonably fear imminent
bodily injury,” as stated in the trial court’s jury charge. Defendant’s threat, in either form,
constituted part of the act that caused the victim to reasonably fear imminent bodily injury.
See also Neil P. Cohen, Sarah Y. Sheppeard & Donald F. Paine, Tennessee Law of Evidence
§ 4.04[12][a], at 4-115 (6th ed. 2013) (explaining that conduct that is part of the basis for the
crime of conspiracy is not governed by Rule 404(b) because “evidence covered by Rule
404(b) . . . is used to infer that someone did an act rather than to prove the act itself”).
Additionally, Defendant’s threat was independent, direct proof of his mens rea for both the
attempted murder and the aggravated assault regardless of whether he was actually involved
in the murder of Mr. Carter’s brother. The victim’s testimony was not being offered to prove
that Defendant actually committed that uncharged crime but to prove that he made the
statement as part of the assault and attempt to kill the victim. Cf. State v. Terry Stewart
Moore, No. E2001-00153-CCA-R3-CD, 2002 WL 1787947, at *9 (Tenn. Crim. App. Aug.
2, 2002), perm. app. denied (Tenn. Dec. 9, 2002) (stating that the defendant’s acts of abuse
and mistreatment to the victim’s body while she was unconscious “were part and parcel of
the crime of voluntary manslaughter” and “part of the same criminal transaction” such that
the conduct was “not a prior bad act but a concurrent bad act inseparable from the
commission of the crime”).

       Previous cases from our supreme court suggest that such evidence should be properly
considered evidence of other acts subject to Rule 404(b) under a broad view of the rule, as
in the former cases identified above. In DuBose, our supreme court gave the following
direction for potential Rule 404(b) evidence:

       Where the evidence of other crimes, wrongs, and acts may reflect upon the

                                              -17-
       character of the accused, the procedure set forth in Rule 404(b) should be
       followed, even though the evidence is offered to prove a material fact not
       necessarily related directly to the accused. If, after hearing the evidence, the
       trial court finds that the evidence does not implicate the accused, the weighing
       of probative value against unfair prejudice will be made pursuant to Rule 403.
       If the court finds that the evidence reflects upon the character of the accused,
       the weighing will be made pursuant to Rule 404(b).
953 S.W.2d at 655; accord State v. Mallard, 40 S.W.3d 473, 486 (Tenn. 2001). Assuming
that the vague reference to Mr. Carter’s brother in the former version of the threat (without
the admission “I did”) could be understood by a jury that Mr. Carter’s brother was shot in the
head or otherwise murdered on a previous occasion, the reference alone, without more, does
not imply that Defendant was the one who committed that crime. Cf. DuBose, 953 S.W.2d
at 653-54 (determining that evidence of prior injury to infant’s stomach was not subject to
Rule 404(b) because the evidence did not suggest that the defendant caused the prior injury).
Accordingly, that version of the threat does not seem to constitute other act evidence that is
subject to Rule 404(b). But the latter version of the threat seems plainly to implicate
Defendant in the murder of Mr. Carter’s brother, and therefore, under the rule of DuBose,
would constitute other act evidence that must be assessed under Rule 404(b), notwithstanding
that the evidence was not offered to establish that Defendant did in fact commit the murder.
However, we need not determine whether this evidence constitutes other act evidence within
the meaning of Rule 404(b) because we believe that its probative value outweighs its
prejudicial effect nonetheless.

        Defendant’s reference to the death or murder of Mr. Carter’s brother in the same
breath that he used to threaten Mr. Carter’s life with a handgun was highly probative
evidence as to the mens rea element for both attempted murder and aggravated assault, and
this element, unlike identity, was at issue in this case. The Mare court reasoned:

       [The defendant’s] invocation of a prior [uncharged crime] makes his threat
       more credible. One who expresses a desire to commit a crime may merit some
       suspicion, but one who expresses that desire while recounting in some detail
       a prior commission of the same crime merits a full-scale intervention. The
       second of these individuals, far less ambiguously than the first, sounds like
       someone who says what he means and means what he says. Thus, whatever
       doubt might have existed about the sincerity of [the defendant’s] intention to
       strike in the future was minimized by the specificity with which he described
       how he had struck in the past.
668 F.3d at 40. We agree. Defendant’s threat was an articulation of his internalized

                                             -18-
intention to kill Mr. Carter in the same manner in which Mr. Carter’s brother had been killed.
Although not described in great detail, a threat of this nature—one alluding to a specific
crime committed in a similar fashion—gives more credence to the conclusion that Defendant
was acting with deliberate intention, rather than simply in jest, as may more readily be
suggested by a vaguer, less-detailed threat.

       While it is true that the State could have proven Defendant’s intent to kill simply with
a redacted version of Defendant’s threat—“I ought to shoot you in the head”—this sanitized
version of the threat does not carry the same weight as it does in its unedited form with its
menacing, personal reference to the previous murder of Mr. Carter’s brother. This is
especially true in the context of the aggravated assault charge, which requires intent to cause
fear. Defendant’s calculated reference to killing Mr. Carter’s brother was obviously intended
to sound a unique chord of personal fear within Mr. Carter beyond empty threats. Given the
lack of other evidence, in this instance, the State should be forced to rely on anything but
Defendant’s entire threat. See Claypool, 495 A.2d at 180.5

        On the other side of the evidentiary balance, Defendant’s purported admission to
killing Mr. Carter’s brother, whether true or not, undoubtedly carried a risk of unfair
prejudice. See State v. Sexton, 368 S.W.3d 371, 405 (Tenn. 2012) (“The term ‘unfair
prejudice’ has been defined as ‘an undue tendency to suggest decision on an improper basis,
commonly, though not necessarily, an emotional one.’” (quoting DuBose, 953 S.W.2d at
654)). Any suggestion that he may have actually committed the similar, uncharged crime
risked the jury’s misusing that evidence for an improper purpose. However, the risk that the
jury might draw an improper inference from Defendant’s character was reduced because the
State was not putting on detailed evidence in an attempt to establish that Defendant actually
did murder Mr. Carter’s brother, unlike typical evidence of other uncharged crimes. See
Mare, 668 F.3d at 41 (reasoning that “the [trial] court minimized the chances that the jury
would convict for an uncharged offense rather than the charged one” by “keeping the focus
away from the prior bad act” through its exclusion of proof of the occurrence of the other fire

        5
            The Claypool court explained:

        Our conclusion is not altered by the fact that there was other evidence of force against the
        victim. The Commonwealth was not required to omit portions of its case to accommodate
        appellee. A jury is free to believe all, part or none of the evidence presented. For this
        reason, the Commonwealth can never be certain which, if any, of its evidence will be
        believed by the jury and regarded as proving a particular fact beyond a reasonable doubt.
        We will not hamper the Commonwealth’s ability to present all of its relevant evidence to
        the jury to prove each and every element of the crimes charged.
495 A.2d at 180 (internal citation omitted).

                                                   -19-
in the salon). Additionally, the prejudice can be minimized by a proper limiting instruction
from the judge, which the jury is presumed to follow.6 State v. Brewer, 932 S.W.2d 1, 27
(Tenn. 1996) (citing State v. Johnson, 762 S.W.2d 110, 116 (Tenn. 1988)).

       Moreover, we cannot help but take notice of the following view endorsed by several
of the Claypool court’s members:

        [A] threat, fortified with an example from the actor’s criminal past, as proof
        of a present intention to gain a criminal purpose, is as admissible as a gun,
        knife, bomb or any other threat. If he chooses to use his criminal past as a
        token of his sincerity, he is no more prejudiced than was his victim.

        A “threat” can be as palpable as a steel blade, the muzzle of a gun, or a ticking
        bomb. If the tool one uses to accomplish a criminal purpose prejudices him,
        so much the worse for him.

Id. at 180 (concurring opinion). Consequently, under the circumstances of this case, we do
not believe that the risk of unfair prejudice outweighed the threat’s high probative value. See
Tennessee Law of Evidence § 4.04[8][e], at 4-105 (“If the [other act and charged act] are
quite similar, the prejudicial effect may be great[;] [o]n the other hand, similarity may make
the probative value quite high as well.”).

        Lastly, we note that, even if Mr. Carter’s testimony as to Defendant’s threat was
properly considered to be other act evidence, the State is not required to prove by clear and
convincing evidence that Defendant did in fact kill Mr. Carter’s brother. Where evidence
of another act of a defendant is not being offered to prove that the other act actually occurred
as the basis for an inference as to a defendant’s guilt of the charged offense, the other act is
not subject to the proof requirement of Rule 404(b)(3). In State v. Smith, 868 S.W.2d 561,
578 (Tenn. 1993), our supreme court upheld the trial court’s admission of “evidence that the
Defendant had been charged with the aggravated assaults of two of the victims” under Rule
404(b). However, the court rejected the defendant’s claim that the State should have been
required to prove the charged aggravated assaults by clear and convincing evidence. Id. The
court reasoned:

        6
          Defendant was entitled to a limiting instruction upon request, but use of this remedy may be a
double-edged sword. See Mare, 668 F.3d at 40-41 (observing that the defendant “could reasonably have
gambled that a limiting instruction geared toward an extrinsic-evidence purpose would have done more harm
than good” by drawing the jury’s attention to the referenced uncharged crime). We also note the importance
of the trial court including within the instruction the proper purpose(s) for which the jury may use the
evidence. In this case, the trial court identified several purposes for which the evidence was being offered
but only instructed the jury as to one of them.

                                                   -20-
       Strictly speaking, the evidence of which Defendant complains is not “other
       crimes evidence.” . . . The relevant fact was that the charges were pending, and
       exposed the Defendant, who knew of them, to possible prosecution and
       punishment regardless of their validity. Proof establishing the charges’
       truthfulness might have been relevant to increase the strength of the State’s
       theory that avoiding prosecution and conviction was the Defendant’s motive
       but was unnecessary to establish the admissibility of the outstanding warrants.

Id. In this case, the relevant fact is the content of Defendant’s threat to Mr. Carter and not
the truthfulness of his admission to killing Mr. Carter’s brother; therefore the State was not
required to prove that Defendant did in fact murder Mr. Carter’s brother by clear and
convincing evidence in order for evidence of the threat to be admissible.

                            3. Fact of Defendant’s Previous Arrest
        If Defendant’s threat was properly admitted, a closely-related question remains as to
whether the fact of Defendant’s arrest was also properly admitted. The most convincing
reason for its admission would be for background or context to explain the reference to Mr.
Carter’s brother in Defendant’s threat. This was one of the purposes for which it was
admitted by the trial court at the pre-trial hearing, although the trial court ultimately
instructed the jury to consider it only for purposes of identification. As previously discussed,
identification was not a proper purpose for the admission of this evidence.

        “The rules [of evidence] generally disallow reference to other ‘charges,’ whether
credible or not,” and evidence of “mere charges or prior arrests should be avoided,” unless
“particularly probative.” State v. Bordis, 905 S.W.2d 214, 228 (Tenn. Crim. App. 1995). We
recognize that the vague reference to Mr. Carter’s brother in Defendant’s statement likely
would have confused or distracted the jury without context or explanation. Our supreme
court has held that providing such context or background can be a proper purpose for
admitting other act evidence. Little, 402 S.W.3d at 210 (citing State v. Gilliland, 22 S.W.3d
266, 271 & n.6 (Tenn. 2000)). However, in this case, the need for this evidence simply did
not outweigh the potential for unfair prejudice that resulted from its admission. After
Defendant’s threat had been introduced, the State could have elicited testimony from Mr.
Carter explaining that it was well-known in Mr. Carter’s neighborhood, where Defendant
lived nearby, that his brother had been shot and murdered. Such an explanation would have
adequately filled the gap in the jury’s understanding and enabled the jury to appreciate the
significance of the reference in Defendant’s threat to another violent murder, while also
threatening the victim with a gun. Such an explanation also would have obviated any
reference to Defendant’s arrest for that crime, thereby avoiding any need for testimony or
jury instructions about the arrest and investigation, which unfortunately became ubiquitous
during the trial. Introducing the fact of the arrest, under the circumstances of this case,

                                              -21-
created too much risk that the jury might have drawn the forbidden character inference or
might have decided to convict Defendant of the charged crime in order to do justice for the
unpunished previous crime.

                                   4. Victim’s State of Mind
        The trial court also permitted the State to elicit testimony from Mr. Carter that, at the
time of the incident, he believed that Defendant was still going to be indicted and prosecuted
for the alleged murder of Mr. Carter’s brother. The State argued that this evidence of Mr.
Carter’s subjective state of mind was admissible to rebut Defendant’s theory that Mr. Carter
was fabricating the entire encounter as a means of revenge against Defendant for murdering
Mr. Carter’s brother without being fully prosecuted. Had the fact of Defendant’s previous
arrest been properly excluded in the first place, Mr. Carter’s state of mind regarding the
status of that prosecution would have been irrelevant unless Defendant first opened the door.
Had Defendant opened the door to this evidence during cross-examination, the evidence
could have been properly admitted during the redirect of Mr. Carter or by other proof. As
it happened, it was error.

                                      C. Harmless Error
       Having determined that the evidence relating to Defendant’s previous arrest for the
murder of Mr. Carter’s brother should not have been admitted, except for the substance of
Defendant’s threat, we now consider whether the admission of that evidence was harmless.
“[T]he issue of whether an error is harmless does not turn upon the existence of properly
admitted evidence that is sufficient to affirm a conviction.” State v. Dotson, 254 S.W.3d 378,
389 (Tenn. 2008). Rather, “the question . . . is whether, applying Tenn. R. App. P. 36(b), the
admission of this evidence more probably than not affected the verdict or resulted in
prejudice to the judicial process.” State v. Rodriguez, 254 S.W.3d 361, 375 (Tenn. 2008).7
A defendant seeking to invalidate a conviction on appeal bears the burden of demonstrating
that an error was not harmless. Id. at 372.

        After careful review of the entire transcript of the trial, we conclude that admission
of the evidence of Defendant’s previous arrest for the murder of Mr. Carter’s brother was not
harmless. After the court’s ruling at the pre-trial hearing, this evidence played a prominent

       7
           Rule 36(b) of the Tennessee Rules of Appellate Procedure states in pertinent part:

       A final judgment from which relief is available and otherwise appropriate shall not be set
       aside unless, considering the whole record, error involving a substantial right more probably
       than not affected the judgment or would result in prejudice to the judicial process.

                                                    -22-
role in the State’s case-in-chief and Defendant’s cross-examination strategy.8 The trial was
so replete with references to the investigation, the arrest, Defendant’s jail time, and the
victim’s identification of Defendant as his brother’s killer that we cannot conclude that
Defendant received a fair trial, despite the trial court’s frequent and extensive limiting
instructions, which unfortunately did not adequately inform the jury of the proper purposes
for which they could consider this evidence.

                                        Conclusion
       After a thorough review of the parties briefs, the record, and the applicable law, we
conclude: (1) there was sufficient evidence to support Defendant’s convictions, but (2) the
trial court abused its discretion by admitting various pieces of evidence regarding
Defendant’s previous arrest for the murder of the victim’s brother. Accordingly, the
judgments of the criminal court are reversed, and this case is remanded for a new trial on all
three counts.

       To be clear, we have determined that, at the retrial of this matter, either version of the
threatening statements allegedly made by Defendant to Mr. Carter during the alleged incident
is admissible during the State’s case-in-chief. The testimony discussed in section four of part
B above (the victim’s state of mind) shall only be admitted if Defendant opens the door to
such. The statements discussed in sections one and three of part B above (the victim’s
statements of identification and the fact of Defendant’s previous arrest) shall not be admitted
for any purpose.

                                                         _________________________________
                                                         TIMOTHY L. EASTER, JUDGE

        8
         Transcripts of the opening and closing argument of the parties were not included in the record on
appeal; therefore, we cannot know the extent that this evidence affected those phases of the trial.

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