Court Opinion

ID: 5141965
Source: CourtListenerOpinion
Date Created: 2021-12-31 01:02:36.252305+00
Date Added: 2024-06-11T08:24:31.969330
License: Public Domain

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            IN THE COURT OF APPEALS OF THE STATE OF ALASKA

ROCKY N. SEAMAN,
                                                       Court of Appeals No. A-13555
                            Appellant,                Trial Court No. 3KN-19-00198 CI

                     v.
                                                                 OPINION
STATE OF ALASKA,

                            Appellee.                 No. 2708 — September 24, 2021

             Appeal from the Superior Court, Third Judicial District, Kenai,
             Jason M. Gist, Judge.

             Appearances: Rocky N. Seaman, in propria persona, Wasilla,
             Appellant. Matthias R. Cicotte, Assistant Attorney General,
             Department of Law, Anchorage, and Clyde “Ed” Sniffen Jr.,
             Acting Attorney General, Juneau, for the Appellee.

             Before: Allard, Chief Judge, and Wollenberg and Terrell,
             Judges.

             Judge ALLARD.

             In this appeal, we are asked to interpret the term “active term of
imprisonment” as it applies to a defendant’s eligibility for discretionary parole under
AS 33.16.090. The Department of Corrections interprets this term to include a
defendant’s total term of imprisonment without any deductions for statutory good time
credit. The appellant in this case, Rocky N. Seaman, asserts that the term “active term
of imprisonment” includes the deduction for statutory good time credit, and Seaman
argues that Alaska’s truth-in-sentencing statute, AS 12.55.015(g), requires the
Department of Corrections to subtract a defendant’s statutory good time from the total
term of imprisonment before calculating a defendant’s eligibility for discretionary parole.
              For the reasons explained in this opinion, we reject Seaman’s interpretation
of the term, and we affirm the judgment of the superior court dismissing Seaman’s
application for post-conviction relief.

       Factual and procedural background
              Seaman was convicted, following a jury trial, of conspiracy to kidnap and
murder his brother’s girlfriend.1 He received a sentence of 70 years to serve.
              In 2019, Seaman filed a pro se application for post-conviction relief
alleging that the Department of Corrections had miscalculated the date on which he
would become eligible for discretionary parole. According to the application, the
Department of Corrections had calculated Seaman’s discretionary parole eligibility date
as November 10, 2028. But, according to Seaman, his discretionary parole eligibility
date should have been February 18, 2018.
              Seaman attributed the difference in the eligibility dates to the Department
of Corrections’ interpretation of the term “active term of imprisonment.”             The
Department of Corrections interpreted the term “active term of imprisonment” as
including the total term of imprisonment that Seaman had been sentenced to serve
without any deductions for statutory good time credit. Seaman argued that this was an

   1
      Seaman v. State, 2016 WL 5956639, at *1-2 (Alaska App. Oct. 12, 2016)
(unpublished).

                                           –2–                                        2708
erroneous interpretation of Alaska law, and he asserted that AS 12.55.015(g) — one of
the provisions of Alaska’s truth-in-sentencing statute — required the Department of
Corrections to subtract a defendant’s statutory good time credit when calculating a
defendant’s “active term of imprisonment” for purposes of determining the defendant’s
eligibility for discretionary parole.
              Seaman acknowledged that a similar argument had been rejected by this
Court in a 2008 unpublished decision, Perotti v. State.2 But Seaman argued that this
unpublished case should not be treated as persuasive authority because it was wrongly
decided.3 Seaman also argued that there had been developments in the law since Perotti
was issued — namely, a 2016 amendment to the discretionary parole statute4 and a 2011
decision by the Minnesota Supreme Court5 — that showed that Perotti was wrongly
decided.
              The superior court rejected Seaman’s legal arguments, concluding that
Perotti remained persuasive authority and that the Department of Corrections’
interpretation of “active term of imprisonment” was correct. The court then dismissed
Seaman’s application for post-conviction relief.
              This appeal followed.

   2
       Perotti v. State, 2008 WL 2469147 (Alaska App. June 18, 2008) (unpublished).
   3
       Cf. McCoy v. State, 80 P.3d 757, 764 (Alaska App. 2002) (holding that unpublished
decisions of the Court of Appeals may not be cited as binding authority for any proposition
of law, although they may be cited for whatever persuasive value they may have).
   4
       See former AS 33.16.090(b)(8) (2017).
   5
       State v. Leathers, 799 N.W.2d 606 (Minn. 2011).

                                           –3–                                        2708
              Seaman’s argument regarding AS 12.55.015(g) and his eligibility
              for discretionary parole
              Under AS 33.20.010(a), most prisoners who are sentenced to a term of
imprisonment that exceeds 3 days are “entitled to a deduction of one-third of the term of
imprisonment . . . if the prisoner follows the rules of the correctional facility in which the
prisoner is confined.”6 This is commonly referred to as “good time credit.” A prisoner
who is eligible for good time credit can still lose all or part of that credit if the prisoner
does not follow the Department of Corrections’ rules.7
              When a prisoner has served their term of imprisonment minus the deduction
for good time credit, the prisoner is released from prison.8 If the prisoner’s term of
imprisonment is 2 years or more, the prisoner is released on supervised mandatory parole
“until the expiration of the maximum term to which the prisoner was sentenced.”9 In
other words, if a prisoner’s term of imprisonment is 2 years or more, the prisoner serves
their good time on supervised mandatory parole release under the custody and
jurisdiction of the Alaska Parole Board.10
              Mandatory parole is different than discretionary parole, which is provided
only at the discretion of the parole board.11 As a general matter, a defendant becomes

   6
       Some prisoners are statutorily ineligible for good time credit based on their crime. See
AS 33.20.010(a)(1)-(4); see also State v. McCallion, 875 P.2d 93, 95-97 (Alaska App. 1994)
(describing the history of good time credit under both federal and Alaska law).
   7
        See AS 33.20.050.
   8
        AS 33.20.030.
   9
        AS 33.20.040(a).
   10
        Id.; see also AS 33.16.020.
   11
        See Thomas v. State, 413 P.3d 1207, 1212 (Alaska App. 2018).

                                            –4–                                           2708
eligible for discretionary parole after they have served a specified portion of their
sentence, which is often significantly earlier than their release date for mandatory
parole.12 In the current case, the parties agree that Seaman’s eligibility for discretionary
parole is governed by the pre-2019 version of AS 33.16.090(b)(1). This provision
provides, in relevant part, that a prisoner “may not be released on discretionary parole
until the prisoner has served . . . one-third of the active term of imprisonment imposed.”13
              Alaska Statute 33.16.090(c)(1) further provides that, as used in this section,
“active term of imprisonment” has the meaning given in AS 12.55.127. That statute
defines “active term of imprisonment” as “the total term of imprisonment imposed for
a crime, minus suspended imprisonment.”14 The parties agree that “suspended time” is
the portion of a defendant’s sentence that the defendant does not serve but that can be
imposed in the future if the defendant violates their conditions of probation.15 (In
Seaman’s case, there is no suspended time because he received a flat sentence of 70 years
to serve without a probationary term.)
              Where the parties disagree is whether the term “active term of
imprisonment” includes a deduction for the defendant’s statutory good time credit when
calculating Seaman’s eligibility date for discretionary parole.16
              The Department of Corrections’ position is that the term “active term of
imprisonment” does not include any deductions for statutory good time credit. The

   12
       See AS 33.16.090(b). Some prisoners are statutorily ineligible for discretionary
parole. See, e.g., AS 33.16.090(a).
   13
        Former AS 33.16.090(b)(1) (2018).
   14
        AS 12.55.127(e)(1).
   15
        See AS 12.55.080.
   16
        See former AS 33.16.090(b)(1) (2018).

                                            –5–                                        2708
Department of Corrections bases its interpretation on the plain language of
AS 12.55.127, which divides a defendant’s sentence into two parts — the “active” term
of imprisonment and any “suspended” term of imprisonment.17 Because statutory good
time credit is not a “suspended” term of imprisonment, the Department of Corrections
reasons that a defendant’s statutory good time credit must be included in the calculation
of a defendant’s active term of imprisonment for purposes of determining the defendant’s
eligibility for discretionary parole. For example, in Seaman’s case, his “active term of
imprisonment” is 70 years, so according to the Department of Corrections’ calculations,
Seaman will not be eligible for discretionary parole until he serves one-third of that time
— i.e., until he serves roughly 23.3 years.
              In contrast, Seaman argues that a defendant’s “active term of
imprisonment” should include a deduction for the defendant’s statutory good time
credit.18 Thus, under Seaman’s interpretation of the statute, his “active term of
imprisonment” is 46.7 years (70 years minus Seaman’s statutory good time credit of 23.3
years), and he should be eligible for discretionary parole once he has served one-third
of the 46.7 years — i.e., after he has served roughly 15.6 years.
              Seaman’s interpretation of “active term of imprisonment” is based on a
statutory provision, AS 12.55.015(g), that does not directly address a defendant’s
eligibility for discretionary parole. This provision was enacted in 1997 as part of

   17
      See AS 12.55.127(e)(1) (“[A]ctive term of imprisonment” means “the total term of
imprisonment imposed for a crime, minus suspended imprisonment[.]”); see also
AS 33.16.090(c)(1) (“‘[A]ctive term of imprisonment’ has the meaning given in
AS 12.55.127[.]”).
   18
        See AS 33.20.010(a).

                                           –6–                                        2708
Alaska’s Truth in Sentencing Act.19 The purpose of the provision was to allow Alaska
to take advantage of a federal government incentive program that provided funds for
states that were able to show that their prisoners were incarcerated for eighty-five percent
of their sentences. The provision was modeled after what was called the “Minnesota
exception,” which allowed states to reach this benchmark by excluding any periods of
statutorily required supervised release — i.e., by excluding statutory good time credit.20
              Alaska Statute 12.55.015(g) provides that:
              Unless a defendant is ineligible for a deduction under
              AS 33.20, when a defendant is sentenced to a term of
              imprisonment of two years or more, the sentence consists of
              two parts: (1) a minimum term of imprisonment that is equal
              to not less than two-thirds of the total term of imprisonment;
              and (2) a maximum term of supervised release on mandatory
              parole that is equal to not more than one-third of the total
              term of imprisonment; the amount of time that the inmate
              actually serves in imprisonment and on supervised release is
              subject to the provisions of AS 33.20.010-33.20.060.
In other words, for purposes of Alaska’s compliance with the federal truth-in-sentencing
program, unless a defendant is ineligible for statutory good time credit under AS 33.20,
a defendant’s sentence is considered to be divided into two parts — (1) the portion that
a defendant must serve in prison before becoming eligible for mandatory parole (two­
thirds of the total term of imprisonment); and (2) the portion that constitutes a
defendant’s statutory good time (one-third of the total term of imprisonment), which a
defendant serves on supervised release under the jurisdiction of the parole board. By
dividing a defendant’s sentence in this manner, Alaska was able to meet the federal

   19
      SLA 1997, ch. 37, §2; see also Perotti v. State, 2008 WL 2469147, at *2 (Alaska App.
June 18, 2008) (unpublished).
   20
        Perotti, 2008 WL 2469147, at *2-3.

                                           –7–                                         2708
requirement that prisoners serve at least eighty-five percent of their sentence once their
good time credit has been excluded.21
               The legislative history behind AS 12.55.015(g) makes clear that this
statutory apportionment of a defendant’s sentence into two component parts was
intended only to ensure that Alaska could be in compliance with this federal requirement.
The legislature was otherwise assured that this provision would not affect how sentences
were imposed or how eligibility for discretionary and mandatory parole was
determined.22
               Notwithstanding this legislative history, Seaman argues that, by enacting
AS 12.55.015(g), the legislature was changing the way that discretionary parole
eligibility was determined. In essence, Seaman argues that AS 12.55.015(g) converted
a defendant’s sentence into two parts: (1) an “active” term of imprisonment that is
served in prison and does not include statutory good time credit; and (2) a “supervised”
term of imprisonment that is served on mandatory parole supervised release and
constitutes a defendant’s good time credit. Therefore, according to Seaman, the
Department of Corrections must deduct a defendant’s statutory good time credit when
it calculates a defendant’s “active term of imprisonment” for purposes of determining the
defendant’s eligibility for discretionary parole under AS 33.16.090.
               There are a number of problems with this argument, as we explained in our
prior unpublished decision in Perotti. First, it is inconsistent with the applicable
regulations. The Alaska Administrative Code sets out a rule regarding the effect of

   21
        Id. at *3-4.
   22
        Id.; Minutes of House Judiciary Comm., Senate Bill 67, testimony of Brett Huber,
legislative assistant to Senator Rick Halford (the prime sponsor) and testimony of Margot
Knuth, Assistant Attorney General, Criminal Division, Department of Law (Apr. 16, 1997).

                                          –8–                                        2708
accrued good time credit on the calculation of eligibility for discretionary parole.
22 AAC 20.085(b) states:
              Good time credited under AS 33.20.010 does not reduce the
              term of imprisonment to be served before a prisoner is
              eligible for discretionary parole, except as provided for in
              AS 33.16.090(b).
This regulation is consistent with the Department of Corrections’ practice of not
deducting statutory good time from the calculation of a defendant’s eligibility for
discretionary parole unless expressly required to do so by AS 33.16.090(b).23
              Second, Seaman’s interpretation is inconsistent with the history and practice
of discretionary parole in Alaska. In Hampel v. State, we held that a defendant’s
mandatory minimum term of imprisonment for purposes of determining a defendant’s
eligibility for discretionary parole is calculated without applying any deductions for good
time credit.24 We based our decision, in part, on the fact that Alaska’s discretionary and
mandatory parole statutes were intended to be consistent with the federal statutes on
which they were modeled, and we noted that the federal approach had always treated the
two systems — mandatory and discretionary parole — differently. As we explained,
“Under the federal good time system, the Bureau of Prisons applies good time credits to
the prisoner’s maximum sentence which moves the mandatory release date forward, but
does not affect the minimum term required to be served before an inmate becomes

   23
        See AS 33.16.090(b)(3) (expressly requiring good time credits to be deducted prior
to the calculation of discretionary parole eligibility for defendants sentenced to an aggravated
sentence above the presumptive range).
   24
       Hampel v. State, 911 P.2d 517, 522-23 (Alaska App.1996). We did not reach the
specific legal question presented here and in Perotti — whether a deduction for good time
credit was otherwise necessary in determining discretionary parole eligibility. Id. at 523, n.5.

                                             –9–                                           2708
eligible for parole.”25 We also noted in Perotti that Alaska’s appellate courts have
always assumed, without directly addressing the question, that good time credit was not
deducted from a defendant’s term of imprisonment when calculating the defendant’s
eligibility for discretionary parole.26
              Lastly, Seaman’s interpretation is inconsistent with the plain language of
AS 12.55.015(g) and the underlying legislative intent. Alaska has “rejected a mechanical
application of the plain meaning rule in favor of a sliding scale approach” to statutory
interpretation.27 Under the sliding scale approach, when legislative intent conflicts with
plain meaning, we seek a balance between the two: “the plainer the language of the
statute, the more convincing contrary legislative history must be.”28
              Here, the legislative intent is aligned with the plain language of the statute.
When the legislature enacted AS 12.55.015(g), they were told that the purpose of the
provision was to create compliance with the federal truth-in-sentencing grant program.29
And they were also told that the provision would not alter any existing law regarding
how sentences are imposed or how eligibility for discretionary and mandatory parole is
determined.30

   25
        Id. at 523 (quoting Moss v. Clark, 886 F.2d 686, 688 (4th Cir. 1989)).
   26
        Perotti, 2008 WL 2469147, at *2 (citations omitted).
   27
        Hampel, 911 P.2d at 522.
   28
        Id.
   29
       See Minutes of House Judiciary Comm., Senate Bill 67, testimony of Brett Huber,
legislative assistant to Senator Rick Halford (the prime sponsor) and testimony of Margot
Knuth, Assistant Attorney General, Criminal Division, Department of Law (Apr. 16, 1997).
   30
        Id.

                                           – 10 –                                       2708
              In keeping with that legislative intent, AS 12.55.015(g) does not use the
term “active term of imprisonment,” the term used in the discretionary parole statute,
AS 33.16.090. Instead, AS 12.55.015(g) uses different statutory terms — referring to
a defendant’s “minimum term of imprisonment,” a defendant’s “total term of
imprisonment,” and a defendant’s “maximum term of supervised release on mandatory
parole.”
              As already mentioned, the term “active term of imprisonment” has a
specialized statutory meaning. It means “the total term of imprisonment imposed for a
crime, minus suspended imprisonment.”31 In other words, as the Department of
Corrections has always interpreted it, a defendant’s “active term of imprisonment” for
purposes of determining discretionary parole is all of the non-suspended time imposed
in the defendant’s sentence, which includes both the time that the defendant will serve
in prison as well as any time the defendant may serve on supervised mandatory parole
based on statutory good time credits.
              There are other sentencing statutes that use “active term of imprisonment”
in this manner. For example, AS 12.55.155(a)(2), which governs aggravators and
mitigators in presumptive sentencing, provides, in relevant part,
              Except as provided in (e) of this section, if a defendant is
              convicted of an offense and is subject to sentencing under
              AS 12.55.125(c), (d), (e), or (i) and . . . the low end of the
              presumptive range is more than four years, the court may
              impose a sentence below the presumptive range as long as the
              active term of imprisonment is not less than 50 percent of the
              low end of the presumptive range for factors in mitigation or
              may increase the active term of imprisonment up to the
              maximum term of imprisonment for factors in aggravation.

   31
        AS 12.55.127(e)(1).

                                          – 11 –                                   2708
In this provision, it is clear that “active term of imprisonment” includes the full amount
of non-suspended imprisonment, without any deductions for good time credit. Thus, if
a defendant’s presumptive range is 6 to 8 years with a maximum sentence of 10 years,
and there is a statutory mitigating factor that applies to their case, the sentencing court
is authorized to impose a sentence of 3 years or more. Conversely, if a statutory
aggravator applies, the sentencing court is authorized to impose up to 10 years. In either
case, however, the “active term of imprisonment” refers to the full term of non-
suspended imprisonment prior to any deductions for good time credit.
              Moreover, a review of the discretionary parole statutes demonstrates that
when the legislature intends for statutory good time credits to be deducted from the
calculation of a defendant’s eligibility for discretionary parole, the legislature does so in
a clear and unambiguous manner. For example, a different rule applies to defendants
who have been sentenced to enhanced — i.e., aggravated — sentences under
AS 12.55.155(a). Under AS 33.16.090(b)(3), a defendant who is sentenced to a single
enhanced sentence under AS 12.55.155(a) that is above the applicable presumptive range
may not be released on discretionary parole until the defendant has served the greater of
the following:
              (A) an amount of time, less good time earned under
              AS 33.20.010, equal to the upper end of the presumptive
              range plus one-fourth of the amount of time above the
              presumptive range; or
              (B) any term set under AS 12.55.115.[32]
The legislature’s inclusion of the language “less good time earned under AS 33.20.010”
in AS 33.16.090(b)(3) and the absence of that language in former AS 33.16.090(b)(1)

   32
        AS 33.16.090(b)(3)(A) & (B) (emphasis added).

                                           – 12 –                                       2708
indicates that the legislature did not intend statutory good time credits to be deducted
from a defendant’s “active term of imprisonment” unless it expressly said so.
                Ultimately, the proper interpretation of a criminal statute is a question of
law that we review de novo using our independent judgment.33 When interpreting a
statute using our independent judgment, we will adopt the rule of law that is most
persuasive in light of precedent, reason, and policy, after considering: (1) the plain
meaning of the statute; (2) the legislative purpose of the statute; and (3) the intent of the
statute.34 Here, the plain meaning of the relevant statutes, the associated legislative
history, and the history and practice of discretionary parole all support the Department
of Corrections’ position that a defendant’s “active term of imprisonment” for purposes
of determining a defendant’s discretionary parole eligibility does not include a deduction
for statutory good time credit unless otherwise specified by statute.35
                Accordingly, we conclude that our decision in Perotti is correct and
Seaman’s interpretation of the statute is incorrect, and that the superior court therefore
did not err when it relied on Perotti to dismiss Seaman’s application for post-conviction
relief.
                We now turn to Seaman’s additional arguments that there have been
developments in the law since Perotti that should alter this conclusion.

   33
       See Callan v. State, 904 P.2d 856, 857 (Alaska App. 1995); Hillman v. State, 382 P.3d
1198, 1200 (Alaska App. 2016).
   34
          Rubey v. Alaska Comm’n on Postsecondary Educ., 217 P.3d 413, 415 (Alaska 2009).
   35
       See 22 AAC 20.085; Hampel v. State, 911 P.2d 517, 522-23 (Alaska App. 1996);
Perotti v. State, 2008 WL 2469147, at *1-4 (Alaska App. June 18, 2008) (unpublished).

                                            – 13 –                                      2708
        Seaman’s arguments regarding former AS 33.16.090(b)(8) and the
        Minnesota Supreme Court case State v. Leathers
              Seaman points to two developments in the law that have occurred since
Perotti was decided, and he asserts that these developments show that Perotti was
wrongly decided.
              One development in the law that Seaman points to is the enactment of
former AS 33.16.090(b)(8) in 2016.36 (This provision was later repealed by the
legislature in 2019.37) Former AS 33.16.090(b)(8) provided, in pertinent part, that a
defendant
              sentenced . . . to a single sentence under AS 12.55.125(i)(3)
              and (4), and has not been allowed by the three-judge panel
              under AS 12.55.175 to be considered for discretionary parole
              release, may not be released on discretionary parole until the
              prisoner has served, after a deduction for good time earned
              under AS 33.20.010, one-half of the active term of
              imprisonment imposed.
In other words, a defendant sentenced for certain lower-level sex offenses such as
second-degree sexual assault or third-degree sexual assault, who has not been made
eligible for discretionary parole through the three-judge panel, is eligible to be released
on discretionary parole after serving one-half of the defendant’s active term of
imprisonment from which the defendant’s statutory good time credit has been deducted.
              Seaman acknowledges that this provision does not apply to him, and he also
acknowledges that it has since been repealed. However, he argues that, by enacting
AS 33.16.090(b)(8), the legislature created ambiguity in the discretionary parole statute
regarding the meaning of “active term of imprisonment.” Because the meaning of the

   36
        See SLA 2016, ch. 36, § 124.
   37
        See SLA 2019, ch. 4, § 107.

                                          – 14 –                                      2708
term is now ambiguous, according to Seaman, we must construe its meaning in favor of
Seaman.38
               We do not find this argument persuasive. The meaning of the term “active
term of imprisonment” was not made ambiguous by the new provision that was
subsequently repealed. Instead, we agree with the Department of Corrections that the
enactment of this provision lends further support to its position that statutory good time
credits should not be deducted from a defendant’s “active term of imprisonment” unless
a statute expressly requires such a deduction.
               The other development in the law that Seaman relies on is a 2011 decision
by the Minnesota Supreme Court, State v. Leathers.39
               The defendant in Leathers was convicted of five counts of first-degree
assault against a peace officer. The court imposed concurrent sentences totaling 189
months, with eligibility for supervised release after 126 months in prison.40 The question
before the Minnesota Supreme Court was whether Leathers was actually eligible for
supervised release under Minnesota law.41 The applicable statute provided, in pertinent
part:
               [A] person convicted of assaulting a peace officer . . . is not
               eligible for probation, parole, discharge, work release, or

   38
      See State v. Andrews, 707 P.2d 900, 908 (Alaska App. 1985) (“Where a statute is
susceptible to two or more conflicting but reasonable meanings it is ambiguous. We resolve
the ambiguity by adopting the meaning most favorable to the defendant.”).
   39
        State v. Leathers, 799 N.W.2d 606 (Minn. 2011).
   40
        Id. at 608.
   41
        Id. at 608-09.

                                           – 15 –                                    2708
               supervised release, until that person has served the full term
               of imprisonment as provided by law[.][42]
The statutory term “full term of imprisonment” is not defined under Minnesota law and
the parties disagreed about the meaning of that phrase.43 The State argued that “full term
of imprisonment” meant all the time that had been imposed, and that Leathers would
therefore never be eligible for supervised release.44 Leathers argued that “full term of
imprisonment” should be interpreted as meaning only two-thirds of the time imposed.45
               Leathers derived this argument from the statutory language of Minnesota
Statute § 244.01, subdivision 8, Minnesota’s truth-in-sentencing statute, which was
enacted prior to the assault statute under which Leathers was convicted.46 Minnesota
Statute § 244.01, subdivision 8, states that the phrase “term of imprisonment” is defined
as “the period of time equal to two-thirds of the inmate’s executed sentence.” Based on
this definition, Minnesota was in compliance with the federal truth-in-sentencing grant
program’s requirement that defendants serve at least eighty-five percent of their sentence
in order to receive federal funding.47
               Ultimately, the Minnesota Supreme Court concluded that both
interpretations of the term “full term of imprisonment” were reasonable interpretations

   42
        Id. at 608 (quoting Minn. Stat. § 609.221, subd. 2(b) (2010)).
   43
        Id. at 609.
   44
        Id.
   45
        Id.
   46
        Id.
   47
       See U.S. Gen. Acct. Off., Truth In Sentencing: Availability of Federal Grants
Influenced Laws in Some States, at 4-7 (Feb. 1998).

                                           – 16 –                                    2708
under Minnesota law and that the statute was therefore ambiguous.48 Because the statute
was ambiguous, the court applied the rule of lenity, and construed the statute in
accordance with Leathers’s interpretation.49 The court also reasoned that the statutory
interpretation doctrine of in pari materia supported this result because the two statutes
at issue shared a common purpose and subject matter and should therefore be construed
together.50
               Seaman relies on Leathers to argue that this court should interpret the term
“active term of imprisonment,” as used in the Alaska discretionary parole statute, the
same way the Minnesota Supreme Court interpreted “full term of imprisonment,” as used
in the Minnesota assault statute — i.e., as meaning only two-thirds of a defendant’s
executed sentence. According to Seaman, we are required to follow the reasoning of the
Leathers court to reach this conclusion because our truth-in-sentencing statute,
AS 12.55.015(g), is based on the “Minnesota exception” that allowed states to achieve
compliance with the federal truth-in-sentencing grant program by dividing a defendant’s
sentence into two parts — “(1) a minimum term of imprisonment that is equal to not less
than two-thirds of the total term of imprisonment; and (2) a maximum term of supervised
release on mandatory parole that is equal to not more than one-third of the total term of
imprisonment.”51

   48
        Leathers, 799 N.W.2d at 610-11.
   49
        Id. at 611.
   50
        Id.
   51
       AS 12.55.015(g); Perotti v. State, 2008 WL 2469147, at *3 (Alaska App. June 18,
2008) (unpublished); cf. Minn. Stat. § 244.101, subd. 1 (1993) (“When a felony offender is
sentenced to a fixed executed sentence for an offense committed on or after August 1, 1993,
the executed sentence consists of two parts: (1) a specified minimum term of imprisonment
                                                                              (continued...)

                                           – 17 –                                      2708
              But Seaman’s reliance on Leathers is misplaced. Although both Minnesota
and Alaska used the “Minnesota exception” of dividing sentences into two parts, their
statutory schemes are otherwise completely different. We do not face the ambiguity that
the Leathers court faced in construing “full term of imprisonment” because the term used
in Alaska’s discretionary parole statute — “active term of imprisonment” — has a
statutory definition. Alaska Statute 33.16.090(c)(1) states that the term “active term of
imprisonment,” as used in this subsection, has the meaning defined in
AS 12.55.127(e)(1). And AS 12.55.127(e)(1) defines “active term of imprisonment” as
“the total term of imprisonment imposed for a crime, minus suspended imprisonment.”
              Alaska’s truth-in-sentencing statute also does not define “term of
imprisonment” as “two-thirds of the inmate’s executed sentence” as Minnesota law does.
Instead, AS 12.55.015(g) uses the term “total term of imprisonment” and it is clear from
the statutory language that the “total term of imprisonment” includes all of the time the
defendant is sentenced to serve before any deduction for statutory good time credit:
              Unless a defendant is ineligible for a deduction under
              AS 33.20, when a defendant is sentenced to a term of
              imprisonment of two years or more, the sentence consists of
              two parts: (1) a minimum term of imprisonment that is equal
              to not less than two-thirds of the total term of imprisonment;
              and (2) a maximum term of supervised release on mandatory
              parole that is equal to not more than one-third of the total
              term of imprisonment.[52]
              Moreover, unlike the two Minnesota statutes at issue in Leathers, former
AS 33.16.090(b)(1) (the Alaska discretionary parole statute that applies to Seaman’s

   51
         (...continued)
that is equal to two-thirds of the executed sentence; and (2) a specified maximum supervised
release term that is equal to one-third of the executed sentence.”).
   52
        AS 12.55.015(g) (emphasis added).

                                          – 18 –                                       2708
case) and AS 12.55.015(g) (Alaska’s truth-in-sentencing statute) are not meant to be
construed in pari materia. That is, they do not have a common purpose and subject
matter. It is clear that when the Alaska legislature enacted the discretionary parole
statutes, the intent was for Alaska law to follow federal law, which does not deduct a
defendant’s statutory good time credit when calculating a defendant’s eligibility for
discretionary parole.53 In contrast, when the Alaska legislature enacted AS 12.55.015(g),
the intent was solely to define a defendant’s sentence in a manner that allowed Alaska
to qualify for the federal truth-in-sentencing grant program.54 The enacted provision was
not intended to affect the way that discretionary parole was calculated.
              In sum, the Leathers case is of little value when it comes to interpreting and
implementing Alaska law. There is nothing about the reasoning or the holding of that
case that alters our view of the issue presented here.
              For all of the reasons stated here, and in our prior unpublished decision in
Perotti, we conclude that the Department of Corrections’ interpretation of “active term
of imprisonment” is correct and that the Department is not required to deduct a
defendant’s statutory good time credit when calculating a defendant’s eligibility for
discretionary parole unless the statute expressly requires such a deduction.

        Conclusion
              The judgment of the superior court is AFFIRMED.

   53
        See Hampel v. State, 911 P.2d 517, 522-23 (Alaska App. 1996).
   54
        See Perotti, 2008 WL 2469147, at *2-4.

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