J-S59032-16


NON-PRECEDENTIAL DECISION - SEE SUPERIOR COURT I.O.P. 65.37

COMMONWEALTH OF PENNSYLVANIA                      IN THE SUPERIOR COURT OF
                                                        PENNSYLVANIA
                      v.

ISHAQ IBRAHIM

                              Appellant               No. 1150 EDA 2015


             Appeal from the Judgment of Sentence March 26, 2015
     in the Court of Common Pleas of Montgomery County Criminal Division
                       at No(s): CP-46-CR-0005642-2013

BEFORE: BENDER, P.J.E., OLSON, J., and FITZGERALD,* J.

MEMORANDUM BY FITZGERALD, J.:                      FILED JANUARY 25, 2017

          Appellant, Ishaq Ibrahim, appeals from the judgment of sentence

entered in the Montgomery County Court of Common Pleas after the trial

court found him guilty of, inter alia, four counts of robbery at a nonjury

trial.1    Appellant claims the trial court erred by (1) appointing standby

counsel to represent him at trial and denying counsel’s motion for a

continuance, (2) admitting the conclusions of a forensic biologist regarding

DNA evidence, and (3) failing to merge several counts of robbery.

Additionally, Appellant challenges the discretionary aspects of his sentence,

asserting the court (1) erred in applying the deadly weapons enhancement

of the Sentencing Guidelines, (2) imposed a sentence disproportionate to his

codefendants, his prior record, and his involvement in the crimes, and (3)

*
    Former Justice specially assigned to the Superior Court.
1
    See 18 Pa.C.S. § 3701(a)(ii), (vi).
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impermissibly punished his political beliefs as a “sovereign citizen.” 2        We

affirm.

        On June 19, 2013, at approximately 2:50 p.m., two individuals

entered the National Penn Bank in Lower Pottsgrove and brandished

weapons, which appeared to be revolvers.              One of the individuals, later

identified as codefendant Wesley Davis, was wearing a camouflage hat,

sunglasses, a dark rugby shirt, dark pants, tan boots, and a blue bandana

covering the lower part of his face.        The other individual, alleged to be

Appellant, was dressed in a black baseball cap, sunglasses, a white button-

down shirt, blue jeans, grey sneakers, and a leopard print scarf covering the

lower part of his face.




2
    A tenet of the sovereign citizen theory is that

           when a person is born, that person’s birth certificate (or
           Social Security card application) creates a corresponding
           legal fiction, or “strawman,” in that person's name.[ ] This
           means that every person has a kind of dual personality;
           there is the “flesh-and-blood” person on one hand and the
           fictional strawman on the other.[ ] . . . [T]hey believe that
           only the strawman really operates in the modern
           commercial world (engaging in transactions, collecting
           debts, and contracting with others); accordingly, they
           believe the government has power over the strawman
           only, and completely lacks authority over the flesh-and-
           blood person.[ ]

Joshua P. Weir, Sovereign Citizens: A Reasoned Response to the Madness,
19 Lewis & Clark L. Rev. 829 (2015).




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      During the robbery, Davis, the individual in the blue bandana, stood in

the lobby and pointed his weapon at one of the tellers, Jean Gresko, who

was at a desk making phone calls. The individual in the leopard print scarf,

allegedly Appellant, pointed his weapon at the teller behind the counter,

Ashley McHone.     The individual in the leopard print scarf jumped over the

counter, ordered McHone to open the drawers, placed the weapon against

her side, took the money from the drawers, and placed it into a bag.

      As the two individuals were leaving, a customer, Charles Fulmer,

entered the bank carrying two bags of coins.         The individual in the blue

bandana pointed his weapon at Fulmer and ordered Fulmer to get on the

ground. Each robber picked up a bag of Fulmer’s coins as they left the bank.

The robbers fled in a silver sedan with an out-of-state license plate. Bank

personnel alerted police, as did the occupants of a nearby business.

      Approximately ten minutes after the robbery, a police officer on Route

422 observed a vehicle that was occupied by three individuals and that

matched the description of the vehicle leaving the scene of the robbery. A

vehicle chase ensued on Route 76 and onto Route 320.             Police officers

momentarily lost sight of the vehicle after it turned into a side street, but

they backtracked and discovered the vehicle abandoned in the cul-de-sac

shortly thereafter. All four doors and the trunk of the car were left open.

      Appellant,   Davis,   and   a   third   codefendant,   James   Byrd,   were

apprehended on or near the grounds of the Haas Estate shortly thereafter.



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Davis indicated that a fourth individual was on the property. That same day,

police officers recovered a bag containing the shirts, blue bandana, and

leopard print scarf worn by the robbers, as well as a bag containing coins

and a bag containing U.S. currency. Police officers placed all of the clothing

into a single bag and then hung the items in a garage to dry before

conducting forensic testing. A fourth individual was not found.

        The following day, a semiautomatic pistol was found near the site of

the defendants’ arrest. Five months later, in November, groundskeepers at

the Haas Estate found a revolver and reported it to police. The revolver was

loaded but rusted, and the cylinder was inoperable.

        Testing revealed that Appellant could not be excluded as a contributor

to DNA on the leopard print scarf.     Additionally, at the time of his arrest,

Appellant was wearing bright orange underwear, which was consistent with

the bank’s surveillance camera images of the robber who jumped over the

counter and later bent over to pick up a bag of Fulmer’s coins. Lastly, at the

time of his arrest, Appellant was wearing blue jeans and grey sneakers that

matched the images of pants and shoes the robber was wearing inside the

bank.

        Appellant was charged with ninety-nine offenses, and his bail was set

at $1,000,000. Appellant initially proceeded with privately retained counsel.

In February 2014, the Public Defender’s Office entered its appearance, and




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the court granted private counsel leave to withdraw. On July 8, 2014, the

trial court filed a letter from Appellant “firing” the Public Defender.

      On July 10, 2014, the trial court, with the Honorable William J. Furber

presiding, convened a hearing. Appellant insisted on proceeding pro se and

raised sovereign citizen claims challenging, inter alia, (1) the propriety of the

charging documents because they allegedly misspelled his name by using all

capital letters, (2) the jurisdiction of the court, and (3) the competence of

the court and Commonwealth to proceed without taking an oath and

affirmation.   The court denied Appellant’s motions and reminded Appellant

that it would give Appellant an opportunity to assert his right to proceed pro

se, but that Appellant did not have a right to disrupt the proceedings. N.T.,

7/10/14, at 16.

      The court questioned the public defender, Heidi Kranzel, Esq.,

regarding her representation of Appellant to date. Attorney Kranzel stated

that she entered her appearance on behalf of Appellant in February 2014,

after private counsel withdrew.     According to Attorney Kranzel, one week

earlier, Appellant advised her that he “no longer want[ed] her services.”

Id., at 28-29. When asked about her preparation for trial, Attorney Kranzel

replied that she reviewed the discovery, prepared pretrial motions, met with

Appellant, had numerous phone conversations with him, and conducted an

independent investigation.    Id. at 30.    Attorney Kranzel asserted she was

prepared to try the case but for Appellant’s desire not to be represented by



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counsel and a scheduling conflict with the anticipated trial date.           Id.   The

court granted Appellant leave to proceed pro se.

      On July 14, 2014, the trial court convened a hearing.                 Appellant

appeared with Carol Ann Sweeney, Esq., acting as standby counsel.                  The

court granted the codefendants’ motions to sever their cases from

Appellant’s case.    Additionally, the court granted the Commonwealth leave

to amend the information against Appellant to reduce the number of charges

and remove language triggering a mandatory minimum sentence. The court

indicated   that    Appellant   would   not   be   entitled   to    discharge   under

Pa.R.Crim.P. 600 and denied his pro se motions based on the Uniform

Commercial Code, admiralty law, and common law.                The court reserved

ruling on a suppression claim challenging the validity of a search warrant to

obtain Appellant’s DNA.

      Appellant moved for a reduction of bail because of the reduced number

of charges in the amended information and the amount hampered the

preparation of his defense.      N.T., 7/14/14, at 71-72.      On the latter point,

Appellant noted that he did not have an opportunity to access the law

library. Id. at 72. Appellant requested that bail be set at $99,000 to permit

him access to the prison population and the library. Id. at 75.

      The trial court denied the motion to reduce bail.            Id.   However, the

court directed standby counsel to discuss Appellant’s access to the law

library with prison officials and advise the court as to a possible remedy. Id.



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The court granted Appellant a continuance for trial preparation. A separate

order granting Appellant access to the law library was not issued.

      During the continuance, Appellant filed numerous pro se motions but

did not complain of a lack of access to the law library or an investigator.

Appellant appeared pro se at a pretrial hearing on January 12, 2015, with

Attorney Kranzel as standby counsel. The trial court denied Appellant’s pro

se pretrial motions, which again challenged the trial court’s jurisdiction, the

Commonwealth’s competence to prosecute him, the court’s ability to hear

the case without taking an oath, and the validity of the charges against an

alleged corporate entity.    N.T., 1/12/15, at 63-93.   The court also heard

arguments on Appellant’s motion to suppress and ruled that the warrant to

obtain a DNA sample from Appellant was valid.

      Appellant averred that he did not have access to the prison library and

that prison officials failed to honor a prior ruling by the court.   Id. at 95.

Appellant also asserted the bail amount was an attempt to hamper his

defense.   Id. at 107.   Attorney Kranzel suggested that Appellant did not

have physical access to the library due to the amount of his bail, but could

request legal materials and have them brought to his cell. Id. at 110. The

trial court determined there was no prior order granting Appellant physical

access to the library.      The court, however, entered an order granting

Appellant access to the library during trial. Appellant continued to assert he




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was unprepared for trial, but the court directed that a jury be selected.

Appellant objected, claiming he did not consent to a jury trial.

        The trial court declared a short recess, after which the court indicated

that Appellant signed a form waiving his right to a jury trial.             Appellant

continually interrupted the court’s attempts to conduct a colloquy.            When

asked     standard   yes-or-no      questions   during   this   colloquy,   Appellant

responded that he did not want a jury. The trial court determined Appellant

waived his right to a jury trial.

        The following day, January 13, 2015, the court convened for the first

day of trial, and Appellant appeared with Benjamin Cooper, Esq., and

Attorney Kranzel as standby counsel. Appellant again challenged the court’s

jurisdiction. N.T., 1/13/15, at 6-8. He asserted that with the opportunity to

access the library the previous night, he discovered federal regulations

supporting his jurisdiction claims. The court directed the Commonwealth to

call its first witness, but Appellant interrupted.              The court reminded

Appellant that it denied his jurisdictional claims and instructed him that

further outbursts would result in the appointment of standby counsel to act

as his counsel.      The court called a recess in an attempt to calm the

proceedings.

        Following the recess, Appellant continued to interrupt the trial court’s

explanation of the rules of decorum.              The court again directed the




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Commonwealth to call its first witness, at which time Appellant objected, and

the following exchange occurred:

          THE COURT: If you disrupt me again, I will appoint the
        Public Defenders.

           [Appellant]: Objection. I do not accept your offer. You
        do not have my permission.

           THE COURT: The Public Defenders are hereby
        appointed. Mr. Cooper and Ms. Kranzel, you are hereby
        ordered to represent [Appellant]. If you disrupt me, I will
        remove you to Video Room 2.

           [Appellant]: You do not have the permission, any
        authority over me.

             THE COURT: If you disrupt this courtroom again—

          [Appellant]: Objection.    I do not agree to your offer.
        Objection.

N.T., 1/13/15, at 19. The trial court ordered Appellant’s removal from the

courtroom.

     Following a brief recess, the trial court reconvened, at which time

Appellant’s counsel requested a continuance.       Id. at 20-21.      Counsel

indicated that they did not have contact with Appellant for several months to

prepare a defense strategy, review witness testimony, or discuss whether

Appellant intended to testify. Id. at 21. The court denied counsel’s request

for a continuance and reasoned that the facts of the case were relatively

straightforward, both counsel were both seasoned litigators, and counsel

would have time to prepare during what was expected to be a four-day trial.

Id. at 21-23.


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       Trial commenced that same day. The two tellers, McHone and Gresko,

as well as the customer with the bags of coins, Fulmer, testified regarding

the robbery. Numerous police officer testified about the vehicle chase, the

apprehension of Appellant and the codefendants, and the collection, storage,

and processing of the physical evidence, including the leopard print scarf

worn by one of the robbers.

       Jennifer Sears, a forensic biologist with NMS Labs, was qualified as an

expert in forensic biology and the analysis of DNA by stipulation.        Sears

tested numerous samples for DNA and authored several reports, which were

admitted into evidence over Appellant’s counsel’s objection that the

Commonwealth failed to establish a proper chain of custody of the items

tested. Sears testified she tested a sample of Appellant’s DNA and the DNA

taken from the leopard print scarf and concluded “the probability of selecting

an unrelated individual from random from the general population with the

same alleles as the major source of this profile” was “one in over one trillion,

two hundred and forty-nine billion U.S. African Americans.” N.T., 1/14/15,

at 179.

       On   cross-examination,   Sears   testified   that   she   generated   the

probability statistics using an in-house program developed and validated by

NMS.      Although other organizations did not use the program, it was

previously used in court and subject to audits.         Id. at 186-87.    Sears

described the program as “a pretty straightforward Excel-based program



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basically that is just used to take statistical calculations and perform the

mathematics behind them for you so you don’t have to do them out by

hand.” Id. at 187.

      The defense called one witness, codefendant Wesley Davis,3 who

testified that Appellant was not involved in the robbery.    Id. at 213.   On

cross-examination, the Commonwealth asked who the other robber was, and

Davis testified, “That’s Ish—that’s my man that got away.”       Id. at 220.

Davis denied that he was beginning to say “Ishaq” and testified the other

robber was “Mark Block,” who Davis called “Ish.” Id. at 220, 223.

      On January 15, 2015, the trial court found Appellant guilty of three

counts of robbery—fear of serious bodily injury relating to McHone, Gresko,

and Fulmer, and one count each of robbery—demanding money from a

financial institution, criminal conspiracy to commit robbery—fear of serious

bodily injury, and criminal conspiracy to commit robbery—demanding money

from a financial institution. The court acquitted Appellant of six additional

charges of robbery—fear of serious bodily injury regarding six other

individuals in the bank who did not testify at trial.

      On March 25, 2015, the trial court sentenced Appellant to the following

terms of imprisonment: (1) five to ten years for robbery—fear of serious

bodily injury involving McHone; (2) a consecutive five to ten years for

3
 By the time of Appellant’s trial, Davis already pleaded guilty to robbery and
conspiracy. Davis, during his testimony at Appellant’s trial, wavered when
answering whether he possessed a real or a toy firearm during the robbery.



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robbery—fear of serious bodily injury involving Gresko; (3) a consecutive

four to eight years for robbery—fear of serious bodily injury involving

Fulmer; (4) a concurrent one to two years for the conspiracy to commit

robbery—fear of serious bodily injury; and (5) a concurrent one to two years

for robbery—demanding money from a financial institution.        The court

merged the second count of conspiracy to commit robbery.      The resulting

aggregate sentence was fourteen to twenty-eight years’ imprisonment.

Although the trial court suggested Appellant was pro se for the purposes of

the sentencing hearing, Attorney Kranzel was present and successfully

reduced Appellant’s prior record score from two to one and presented

arguments on his behalf before allocution.    Neither Attorney Kranzel nor

Appellant objected to the use of the deadly weapons enhancement to

determine the suggested standard minimum sentence range.

     Appellant’s counsel filed a timely post-sentence motion, asserting that

the sentence was excessive based on his codefendants’ sentences and his

involvement in the crimes. Counsel noted that codefendant Davis, the other

robber, was sentenced to four to ten years’ imprisonment, with a

consecutive eight years’ probation, and Byrd, who was in the vehicle during

the chase, was sentenced to eleven to twenty-two years imprisonment. Post

Sentence Mot. for Recons., 3/13/15, at 2. On April 1, 2015, the trial court

formally appointed the Public Defender to represent Appellant, and denied

the counseled post-sentence motion on April 3, 2015.



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     On April 9, 2015, the trial court received and filed Appellant’s pro se

notice of appeal.4 On April 20, 2015, the court filed Appellant’s pro se post-

sentence motion, which was hand-dated April 5, 2015, and sent in an

enveloped postmarked April 9, 2015.5

     On April 22, 2015, counsel filed a timely notice of appeal.          The trial

court ordered a Pa.R.A.P. 1925(b) statement, and counsel timely filed a

statement challenging the discretionary aspects of Appellant’s sentence. The

court prepared a responsive opinion. This Court remanded this matter for

the filing of a supplemental Rule 1925(b) statement to include the issues

raised in Appellant’s “hybrid” pro se post-sentence motion, and the trial

court submitted a supplemental opinion.

     Appellant presents the following questions, which we reorder for

review:

          The trial court erred in refusing to give the Defenders
          Office of Montgomery County time to prepare for trial,
          confer with the defendant and the witnesses and prepare
          to litigate the matter and the various motions pertinent to
          the case. The Trial court erred in forcing Appellant to trial
          even though Appellant was never allowed to go to the law
          library to prepare his case as had been ordered by a judge
          of coordinate jurisdiction. Finally, the Trial Court erred in
          failing to provide Appellant with resources needed to
          defend himself i.e., no money to make phone calls with or


4
 The pro se notice of appeal was sent in an envelope postmarked March 30,
2015.
5
  Appellant also filed a second pro se notice of appeal, which this Court
received on May, 1, 2015.



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         to hire an investigator. Appellant had no assets, income or
         resources.

         The trial court erred in admitting the DNA reports into
         evidence. The trial court erred in overruling the objections
         to the DNA reports and to the conclusions of the expert.
         The trial court also erred in admitting the supplemental
         report where the program used by the expert for the
         purposes of testimony and completion of the report had no
         scientific validity.

         Appellant also asserts that charges should have merged for
         sentencing purposes, i.e., the substantive robbery charges
         of Fulmer, McHone and Gresko should have merged for
         sentencing purposes with the one substantive count of
         robbing a financial institution.

         Appellant asserts that the trial court erred in applying the
         deadly weapon enhancement three times at his sentencing
         for each complainant and should only have been employed
         once.

         Appellant challenges the discretionary aspects of the
         sentence. The sentence imposed was harsh and excessive,
         in view of the defendant's lack of a significant criminal
         history. Appellant’s co-defendants received significantly
         lesser sentences.     Therefore, [Appellant] contends his
         sentence was unduly harsh and excessive when compared
         to the other defendants and their roles in the offense.
         [Appellant] contends he was sentenced excessively for his
         political views expressed throughout these proceedings of
         being a sovereign citizen.

Appellant’s Brief at 8.

      Appellant first contends that the trial court erred in compelling him to

proceed to trial with counsel despite his lack of physical access to the prison

law library and without providing him resources to defend himself pro se.

Id. at 29. He also argues that the court erred in appointing counsel when

he raised good-faith objections to his lack of access of the law library and


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other resources, the denial of his request to proceed pro se, and the

appointment of counsel for trial.    Id. at 25.   Appellant maintains that the

trial court issued a prior order directing that he have access to the prison law

library.   Id. at 25-26.   Appellant further contends the denial of counsel’s

request for a continuance of trial constitutes an abuse of discretion because

the court provided counsel inadequate time to “refamiliarize themselves with

the case, do an investigation and prepare witnesses for court.” Id. at 28.

In sum, Appellant argues that the trial court’s decisions to appoint standby

counsel to represent him and denying counsel’s motion for a continuance

“failed to scrupulously protect Appellant’s Sixth Amendment right to

represent himself and his right to a fair trial.” Id. at 30. No relief is due.

      We review the denial of a request to proceed pro se and for

continuance for an abuse of discretion.        See Commonwealth v. El, 977

A.2d 1158, 1165-67 (Pa. 2009); Commonwealth v. Sandusky, 77 A.3d

663, 671 (Pa. Super. 2013).           The Pennsylvania Supreme Court has

recognized:

           Potentially disruptive defendants, like all defendants, have
           the right to represent themselves if counsel is validly
           waived.     Whenever a defendant seeks to represent
           himself, and particularly when he may be disruptive,
           standby counsel should be appointed. The court should
           explain to the defendant the standards of conduct he will
           be expected to observe. If the defendant misbehaves, he
           should be warned that he will be removed from the court,
           his right to represent himself will be considered waived,
           and the trial will continue in his absence with standby
           counsel conducting the defense. If the defendant again
           misbehaves, these measures should be taken.              The


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         defendant must be made to realize that his disruptive
         tactics will result only in his exclusion from the courtroom.
         His case will be tried according to law, in an attempt to do
         justice, whether he cooperates or not.

Commonwealth v. Africa, 353 A.2d 855, 864 (Pa. 1976) (footnotes

omitted); accord Commonwealth v. Abu-Jamal, 720 A.2d 79, 109 (Pa.

1998).

     As to requests for continuances, this Court has noted:

         “[A] myopic insistence upon expeditiousness in the face of
         a justifiable request for delay can render the right to
         defend . . . an empty formality.” However, “[n]ot every
         restriction on . . . time or opportunity to investigate or to
         consult with his client or otherwise to prepare for trial
         violates a defendant’s Sixth Amendment right to counsel.”

Sandusky, 77 A.3d at 671.

     We also find persuasive the following discussion of the United States

Seventh Circuit Court of Appeals when affirming a trial court’s decision to

remove defendants from the courtroom for misconduct:

         Our intention is not to quash the presentation of creative
         legal arguments or novel legal theories asserted in good
         faith. But the arguments raised by these defendants were
         not in good faith. We have repeatedly rejected their
         theories of individual sovereignty, immunity from
         prosecution, and their ilk. Regardless of an individual’s
         claimed status of descent, be it as a “sovereign citizen,” a
         “secured-party creditor,” or a “flesh-and-blood human
         being,” that person is not beyond the jurisdiction of the
         courts.   These theories should be rejected summarily,
         however they are presented. These defendants raised
         their immunity arguments with the trial court, which
         properly dismissed them. But for these defendants,
         once was not enough. Rather than acknowledging
         the court’s ruling (and, if they wished, saving their
         arguments for appeal), these defendants continued


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         to interrupt the proceedings in a campaign to
         obstruct the trial. In doing so, they crossed the line,
         entering the territory of abuse of the judicial
         process.

United States v. Benabe, 654 F.3d 753, 767 (7th Cir. 2011) (citation

omitted) (emphasis added).

      As to Appellant’s challenge to the decision of the court to appoint

counsel for trial, the record supports the trial court’s determination that

Appellant’s disruptive behavior was not a good-faith objection to the lack of

access to the prison library. There was no order providing Appellant physical

access to the prison library following the July 2014 hearings. Rather, after

denying Appellant’s pro se motions raising sovereign citizen claims, the court

directed standby counsel to determine how to grant Appellant access to the

law library. Appellant refused to cooperate with standby counsel. Moreover,

although Appellant did not have physical access to the library, legal

materials were delivered to his cell.    Appellant continued to file numerous

motions raising sovereign citizen claims throughout the continuance, but

there is no indication in the record that he requested additional access to the

law library or other resources until the day of trial.

      Appellant appeared at the January 12, 2015 pretrial hearing and

continued to raise variations on the sovereign citizen claims denied at the

July 2014 hearing, and the trial court again denied his pro se motions.

Appellant persisted on January 13, 2015, the first day of trial, and trial court

took several measures to attempt to calm Appellant.         The court warned


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Appellant that additional disruptions would result in the appointment of

counsel. The court attempted to explain the rules of conduct in the court,

but Appellant continued to object. The court then appointed counsel.

     Thus, our review reveals no abuse of discretion in the trial court’s

conclusion that Appellant was engaging in intentionally disruptive behavior

following the repeated denials of his sovereign citizen claims. Cf. Benabe,

654 F.3d at 767. Similarly, the record belies Appellant’s contention that he

was merely advancing good-faith arguments to proceed pro se. Accordingly,

no relief is due on Appellant’s assertions that the trial court failed to

scrupulously honor his right to proceed pro se.    See Commonwealth v.

Africa, 353 A.2d at 864; accord Abu-Jamal, 720 A.2d at 109.

     As to counsel’s request for a continuance, the record adequately

supports the trial court’s suggestion that further delay was unnecessary. As

noted by the court, Attorney Kranzel asserted she was ready for trial on July

10, 2014.     Counsel was appointed as standby counsel while Appellant

proceeded pro se.       The Commonwealth’s allegations were relatively

straightforward. Appellant’s defense that there was a fourth person in the

car who committed the robbery in the leopard print scarf was not complex

and did not require extensive investigation or preparation.   The facts that

Wesley Davis initially indicated he was carrying a toy weapon and the

Commonwealth effectively cross-examined him do not evince Appellant’s

counsel’s lack of preparation or an opportunity to prepare. In light of the



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foregoing, we discern no basis to reverse the trial court’s denial of

Appellant’s counsel’s request for a continuance.

      Appellant next contends the trial court erred in admitting into evidence

the DNA report and Jennifer Sears’ expert opinion linking him to the leopard

print scarf found shortly after his arrest. Appellant presents two theories in

support of his claim.       First, he claims the “chain of custody” was

compromised when the police officers placed all of the clothes recovered

from the estate and from Appellant into a single bag, then hung the items in

a garage to dry.    Appellant’s Brief at 34.    Second, he contends that the

expert’s testimony and conclusion that there was a one in over one trillion,

two hundred and forty-nine billion chance that a random African American

could have contributed to the DNA on the scarf did not reflect generally

accepted methods.      Specifically, Appellant assails the expert’s use of a

spreadsheet to calculate the probabilities. Id. at 35.

      We preliminarily note that although Appellant objected based on the

“chain of custody” at trial, he did not preserve this challenge in his initial or

supplemental Pa.R.A.P. 1925(b) statement. Therefore, this claim is waived.

See Pa.R.A.P. 1925(b)(4)(vii); Commonwealth v. Elia, 83 A.3d 254, 263

(Pa. Super. 2013).      Moreover, although Appellant cross-examined the

forensic biologist regarding her methods to calculate the probability that a

person would match the sample, Appellant did not object or move to strike




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the expert opinion on that basis.    Thus, this claim is also waived.    See

Pa.R.A.P. 302(a).

      Appellant next argues that the trial court erred in not merging two

counts of robbery—fear of serious bodily injury into the single count of

robbery—demanding money from a financial institution.       Appellant asserts

that the robbery of the bank was the principal offense and the two counts of

robbery—fear of serious bodily injury against the tellers were constituent

offenses. He emphasizes that he only took the bank’s property, the tellers

were agents of the bank, and he did not take the tellers’ personal property.

According to Appellant, “It cannot be a robbery from a bank and a person at

the same time unless the acts committed against each are separable.”

Appellant’s Brief at 43. In sum, he claims because his “behaviors were all

directed toward bank funds” he cannot be found guilty of, or sentenced

separately for, threatening the tellers. Id. at 45-46. We disagree.

      “A claim that crimes should have merged for sentencing purposes

raises a challenge to the legality of the sentence. Therefore, our standard of

review is de novo and our scope of review is plenary.” Commonwealth v.

Quintua, 56 A.3d 399, 400 (Pa. Super. 2012) (citations omitted).

      Section 9765 of the Judicial Code states:

         No crimes shall merge for sentencing purposes unless the
         crimes arise from a single criminal act and all of the
         statutory elements of one offense are included in the
         statutory elements of the other offense. Where crimes
         merge for sentencing purposes, the court may sentence
         the defendant only on the higher graded offense.


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42 Pa.C.S. § 9765.

      A proper merger analysis under Section 9765 requires consideration of

two factors: (1) whether the crimes arise from a single criminal act, and (2)

whether the elements of one offense are included in the other offenses.

Commonwealth v. Pettersen, 49 A.3d 903, 911 (Pa. Super. 2012).

         When considering whether there is a single criminal act or
         multiple criminal acts, the question is not “whether there
         was a ‘break in the chain’ of criminal activity.” This issue
         is whether “the actor commits multiple criminal acts
         beyond that which is necessary to establish the bare
         elements of the additional crime, then the actor will be
         guilty of multiple crimes which do not merge for
         sentencing purposes.”

Id. at 912. (citations omitted).

      Additionally, the Pennsylvania Supreme Court has cautioned:

         [W]hile Section 9765 indeed focuses on an examination of
         “statutory elements,” we cannot ignore the simple
         legislative reality that individual criminal statutes often
         overlap, and proscribe in the alternative several different
         categories     of    conduct     under    a    single   banner.
         Consequently, in such cases, we caution that trial courts
         must take care to determine which particular “offenses,”
         i.e. violations of law, are at issue in a particular case.

Commonwealth v. Baldwin, 985 A.2d 830, 837 n.6 (Pa. 2009). Offenses

under different subsections of the same statute need not merge.            See

Commonwealth v. Rhoades, 8 A.32 912, 918 (Pa. Super. 2010) (holding

subsections (1) and (4) of 18 Pa.C.S. § 2702 did not merge because they did

not share identical statutory elements).




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J-S59032-16


      Section 3701 of the Crimes Code defines robbery, in relevant part, as

follows:

           (1) A person is guilty of robbery if, in the course of
           committing a theft, he:

                                        ***

                  (ii) threatens another with or intentionally puts him
              in fear of immediate serious bodily injury; [or]

                                        ***

                 (vi) takes or removes the money of a financial
              institution without the permission of the financial
              institution by making a demand of an employee of the
              financial institution orally or in writing with the intent to
              deprive the financial institution thereof.

18 Pa.C.S. § 3701(a)(1)(ii), (vi). Robbery—fear of serious bodily injury is a

felony of the first degree, and robbery—demanding money from a financial

institution is a felony of the second degree. 18 Pa.C.S. § 3701(b)(1).

      This Court has held that an overarching robbery from an enterprise

does not require merger of sentences for threatening multiple employees of

the enterprise. Commonwealth v. Rozplochi, 561 A.2d 25, 30 (Pa. Super.

1989) (“We hold that where a defendant threatens to inflict serious bodily

injury on two employees in order to effectuate a theft of property from their

common employer, the defendant may be convicted of two counts of

robbery.”).    Moreover, in Commonwealth v. Jannett, 58 A.3d 818 (Pa.

Super. 2012), this Court addressed a related claim regarding the propriety of




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J-S59032-16


charges of robbery—fear of serious bodily when the principal act also

constituted a robbery—demanding money from a financial institution.

        [The a]ppellant argues that his crime should fall under
        Section 3701(a)(1)(vi) because that Section “mirrors the
        circumstances of the bank robberies committed by the
        [a]ppellant.” We disagree. While [the a]ppellant is correct
        that his crimes may also satisfy the elements of Section
        3701(a)(1)(vi), he offers no support for his assertion that
        if a defendant could be prosecuted under multiple
        subsections, that the defendant is entitled to proceed
        under a lesser charge or the subsection that “most closely
        aligns” with his crime.

           The Legislature recently added Section 3701(a)(1)(vi)
        to the robbery statute, effective May 15, 2010. This
        created a lesser included offense; however, the Legislature
        did not amend or delete the previous forms of robbery,
        including Section 3701(a)(1)(ii). . . .

                                    ***

        [T]he Legislature could not have intended to create a
        disparity in the severity of the crime based on the type of
        establishment robbed.

                                    ***

        [T]he addition of Section 3701(a)(1)(vi) does not “revise[ ]
        the whole subject matter of” the robbery statute, as the
        Legislature merely added an additional subsection. . . .
        [T]he two subsections of the robbery statute are not
        inconsistent with one another. The two subsections are
        comprised of different elements. Section 3701(a)(1)(ii)
        requires that, to be convicted, an individual must have
        “threaten[ed] another with or intentionally put[ ] him in
        fear of immediate serious bodily injury.” In contrast,
        Section 3701(a)(1)(vi) does not require any threat or fear
        of serious bodily injury; rather, the robbery must take
        place at a financial institution. Thus, the subsections have
        distinct aims and are not inconsistent with one another.

Jannett, 58 A.3d at 820-21 (citations and footnote omitted).


                                   - 23 -
J-S59032-16


      Although Appellant attempts to frame the relevant “act” as a singular

episode involving the theft of money of a financial institution, the record

belies his contention.    Appellant committed robbery—demanding money

from a financial institution by making a demand and taking the bank’s

money with the requisite intent.    See 18 Pa.C.S. § 3701(a)(1)(vi).      That

Appellant pointed his weapon at McHone and pressed it into her side, while

Appellant’s codefendant pointed his weapon at Gresko, exceeded the bare

elements of robbery—demanding money from a financial institution.         See

Pettersen, 49 A.3d at 912.      Those additional acts established Appellant’s

liability for the two counts of robbery—fear of serious bodily injury. See id.;

18 Pa.C.S. § 3701(a)(1)(ii). Moreover, our review reveals that each of the

offenses has an element the other does not, i.e., a threat that places

another in fear of serious bodily injury, and a taking of money from a

financial institution. See 18 Pa.C.S. § 3701(a)(1)(ii), (vi); Jannett, 58 A.3d

at 820-21.    Thus, we discern no error in the trial court’s decision not to

merge the counts of (a)(1)(ii) and (a)(1)(vi).6

      Appellant’s final two questions challenge the discretionary aspects of

the trial court’s sentence. Appellant argues the trial court erred in applying

6
  In any event, Appellant’s argument that the two felony-one counts of
robbery—fear of serious bodily injury should have merged into the felony-
two count of robbery—demanding money from a financial institution is
contradicted by the plain language of Section 9765 which requires merger of
a lower graded offense into a higher graded offense. See 42 Pa.C.S. §
9765.




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J-S59032-16


the deadly weapon enhancement of the Sentencing Guidelines.7 Appellant’s

Brief at 39. He contends that (1) there was insufficient proof that he used

an operable firearm, (2) the Commonwealth’s failure to charge him with a

“gun charge” invalidates the application of the enhancement, and (3) it was

improper to apply the enhancement to multiple counts.          Id. at 39-40.

Appellant next argues that the trial court impermissibly punished him for his

political beliefs as a sovereign citizen and imposed an aggregate sentence

that was disproportionate to his role in the crimes. We find Appellant’s first

argument is waived and his second argument merits no relief.

      This Court has stated that

         discretionary aspects of [an appellant’s] sentence [ ] are
         not appealable as of right.            Rather, an appellant
         challenging the sentencing court’s discretion must invoke
         this Court’s jurisdiction by satisfying a four-part test.

            We conduct a four-part analysis to determine: (1)
            whether appellant has filed a timely notice of appeal,
            see Pa.R.A.P. 902 and 903; (2) whether the issue
            was properly preserved at sentencing or in a motion
            to reconsider and modify sentence, see Pa.R.Crim.P.
            720; (3) whether appellant’s brief has a fatal defect,
            Pa.R.A.P. 2119(f); and (4) whether there is a
            substantial question that the sentence appealed from
            is not appropriate under the Sentencing Code, 42
            Pa.C.S.A. § 9781(b).



7
   We acknowledge that Appellant asserts a claim regarding the proper
application of the deadly weapon enhancement sounds in the legality of
sentence. However, for the reasons discussed below, we conclude that
claims regarding the use of the deadly weapons enhancement go to the
discretionary aspects of the sentence.



                                    - 25 -
J-S59032-16


Commonwealth v. Leatherby, 116 A.3d 73, 83 (Pa. Super. 2015) (some

citations omitted). Moreover, it is well settled that a defendant has “no right

to file a pro se motion” when he is represented by counsel.                   See

Commonwealth v. Nischan, 928 A.2d 349, 355 (Pa. Super. 2007) (citation

omitted).

      Preliminarily, we note that “[a] legal question is distinct from [the]

legality of sentence.” Commonwealth v. Archer, 722 A.2d 203, 209 (Pa.

Super. 1998). A “misapplication of the Sentencing Guidelines constitutes a

challenge to the discretionary aspects of sentence.”        Id.   Thus, this Court

has   regarded   challenges   to   the   application   of   the   deadly   weapon

enhancement in the Sentencing Guidelines as challenges to the discretionary

aspects of the sentence.      See Rhoades, 8 A.3d at 916.          Accordingly, a

challenge to the application of the enhancement cannot be appealed as a

matter of right and is subject to waiver. See Archer, 722 A.2d at 210-11.

      Instantly, Appellant did not object to the application of the deadly

weapons enhancement at sentencing or in counsel’s post-sentence motion.

Although Appellant submitted a pro se motion challenging the deadly

weapon enhancement, that motion bears a handwritten date of Sunday,

April 5, 2015—four days after the trial court appointed counsel for the

purposes of post-sentence proceedings, and two days after the court denied




                                     - 26 -
J-S59032-16


counsel’s post-sentence motion.8        Under these circumstances, we conclude

that Appellant did not preserve his challenge to the application of the deadly

weapon enhancement for appellate review.            See Leatherby, 116 A.3d at

83; Nischan, 928 A.2d at 355.

      As to Appellant’s final challenges to the excessiveness of the sentence,

we note that Appellant preserved his arguments in counsel’s post-sentence

motions.     Moreover, Appellant included in his brief a Pa.R.A.P. 2119(f)

statement summarizing his arguments. The arguments that the trial court’s

sentence was disproportionate to his codefendants and that the court

punished him based on his sovereign citizen beliefs raise substantial

questions. See Leatherby, 116 A.3d at 83. Therefore, we consider these

claims.

      It is well settled that

           [s]entencing is a matter vested in the sound discretion of
           the sentencing judge, and a sentence will not be disturbed
           on appeal absent a manifest abuse of discretion. In this
           context, an abuse of discretion is not shown merely by an
           error in judgment. Rather, the appellant must establish,
           by reference to the record, that the sentencing court
           ignored or misapplied the law, exercised its judgment for
           reasons of partiality, prejudice, bias or ill will, or arrived at
           a manifestly unreasonable decision.




8
 Moreover, Appellant submitted a pro se notice of appeal before mailing the
court his pro se post-sentence motion. Therefore, even if Appellant could be
considered pro se following the sentencing hearing, his pro se post-sentence
motion was procedurally improper.



                                        - 27 -
J-S59032-16


Commonwealth v. Mastromarino, 2 A.3d 581, 589 (Pa. Super. 2010)

(citation omitted).

      Following our review, we discern no basis to disturb the trial court’s

determination that it did not unreasonably sentence Appellant to a greater

sentence than his codefendants. The court was apprised that Appellant did

not have as extensive a prior record as his codefendants.            See N.T.,

3/26/15, at 61.       The trial court explained that it fashioned its sentence

based on the sophistication of the robbery and the particular harms

Appellant caused McHone, as well as the vehicle chase that ensued after the

robbery.    Id. at 84-86, 90.      The court further observed that Appellant

displayed a lack of remorse, indicating that Appellant “snickered” when

McHone testified at sentencing. Id. at 87. The court found Appellant to be

a “manipulative defendant” and “a dangerous young man.” Id. at 88.

Therefore, we cannot conclude that the trial court lacked a reasoned basis to

sentence Appellant more severely than his codefendants or that the court’s

sentence was disproportionate to Appellant’s role in the robbery.

      Lastly, we discern no basis in the record to conclude that the trial court

impermissibly relied on Appellant’s political beliefs when fashioning its

sentence.    Rather, the court carefully distinguished Appellant’s political

beliefs from his actions, the latter of which evinced a lack of remorse and a

failure to take responsibility for criminal actions.   Additionally, the court

properly considered the gravity of the offenses, the impact on the



                                      - 28 -
J-S59032-16


community, and Appellant’s attempts to manipulate and disrupt the criminal

justice system.   Thus, Appellant’s claims that the court’s sentence was

excessive warrant no relief.

      Judgment of sentence affirmed.

Judgment Entered.




Joseph D. Seletyn, Esq.
Prothonotary

Date: 1/25/2017




                                  - 29 -
