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                  THE SUPREME COURT OF NEW HAMPSHIRE

                              ___________________________

Merrimack
No. 2015-0404


                        THE STATE OF NEW HAMPSHIRE

                                          v.

                                    MAX WILSON

                             Argued: June 14, 2016
                          Opinion Issued: April 25, 2017

      Joseph A. Foster, attorney general (Sean P. Gill, attorney, on the brief
and orally), for the State.


      Thomas Barnard, senior assistant appellate defender, of Concord, on the
brief and orally, for the defendant.

      HICKS, J. The defendant, Max Wilson, appeals his convictions, following
a jury trial in Superior Court (Smukler, J.), on four counts of violating RSA
632-A:10 (2016), which prohibits persons convicted of certain offenses from
providing child care services. We affirm in part, reverse in part, and remand.

      The jury could have found the following facts. The defendant is a New
Hampshire registered sex offender. At trial, the State and the defendant
stipulated that the defendant had been convicted of a sexual assault, which is a
qualifying conviction under RSA 632-A:10, I. He registered at least seven times
between October 4, 2012, and December 27, 2013, each time acknowledging
that he could not “undertake employment or volunteer service involving the
care, instruction or guidance of minor children.” (Quotation omitted.)

       Around 2012, the defendant moved in with a family with whom the
victim’s parents were friends. The victim was a friend of one of that family’s
children and became familiar with the defendant through spending time at
their home. In addition, the victim’s father attended Bible studies that the
defendant taught at that family’s home. The victim’s father testified that the
defendant “had mentioned that he had counseled boys in the past from church
activities,” and, in particular, had spoken of “previous encounters where he
counseled troubled youngsters.”

       In January 2014, the victim was fourteen years old. The 2013 holiday
season had been difficult, following the death of the victim’s grandfather earlier
in the year. When the victim’s mother resumed homeschooling her children
after the holiday break, she found the victim to be challenging and disruptive.
The victim’s parents discussed having the defendant help with the victim
because he respected and looked up to the defendant.

      The victim’s father testified that he called the defendant on January 6,
“and asked him if he would help [the victim] out and would do some [Bible]
devotions with [the victim] and possibly help him with his schooling.” He also
“asked that they would be involved in different activities that would teach [his]
boy manhood type principles.”

       On the morning of January 7, the defendant and the victim discussed
the Bible over the telephone. Later that day, the defendant went to the victim’s
house in Hopkinton. They discussed ideas for woodworking projects and then
the defendant drove the victim to Concord, where they went to a restaurant
and worked on homework in the café area of a bookstore. They returned home
and worked on models in the victim’s room, after which the defendant stayed
for dinner with the victim’s family.

      The victim’s father testified that during the week following January 7, the
victim “start[ed] to withdraw from . . . family activities.” On January 9, the
victim’s father again called the defendant and shared his concern that the
victim was “drifting away.” He indicated that he and the victim’s mother
“wanted to make sure that [the victim] was being put back and pushed towards
his parents as the authority figures in his life.”

      On January 10, the defendant called the victim and again discussed the
Bible with him over the telephone. The defendant later went to the victim’s
house and worked on models with the victim in his room. That day, the
defendant also took the victim shopping in Concord.




                                        2
      Also on January 10, the victim’s mother, according to her testimony,
“had an uneasiness that [she] could not put [her] finger on” regarding the
defendant’s relationship with the victim and shared her concern with her two
older daughters. One of the daughters searched the defendant’s background
on her computer and discovered that he is a registered sex offender. The
victim’s father then terminated the defendant’s contact with the victim.

     The defendant was indicted on four counts of violating RSA 632-A:10,
which provides, in pertinent part:

      A person is guilty of a class A felony if, having been convicted in
      this or any other jurisdiction of any felonious offense involving
      child pornography, or of a felonious physical assault on a minor, or
      of any sexual assault, he knowingly undertakes employment or
      volunteer service involving the care, instruction or guidance of
      minor children, including, but not limited to, service as a teacher,
      a coach, or worker of any type in child athletics, a day care worker,
      a boy or girl scout master or leader or worker, a summer camp
      counselor or worker of any type, a guidance counselor, or a school
      administrator of any type.

RSA 632-A:10, I (emphasis added). The jury returned a guilty verdict on each
felony count. The court imposed the following sentences: on the first
conviction, seven-and-one-half to fifteen years of imprisonment; on each of the
second, third, and fourth convictions, a period of incarceration to run
consecutively to the sentence on the preceding conviction. In addition, the
record establishes that the defendant pleaded guilty to charges of sexually
assaulting the victim while volunteering to provide him care, instruction or
guidance, although it is unclear whether there were two or three such charges
and pleas.

       On appeal, the defendant argues that the trial court erred in: (1) denying
his motion to dismiss for insufficient evidence; (2) denying his motion to
dismiss on grounds that “RSA 632-A:10, I, is void for vagueness, either facially
or as applied”; and (3) “entering multiple convictions or imposing multiple
punishments.” The defendant advanced a fourth issue in an assented-to
motion to add issues, which we granted; however, because the defendant failed
to brief that issue, we deem it waived. See State v. Blackmer, 149 N.H. 47, 49
(2003).

I. Sufficiency of the Evidence

      We first address the defendant’s sufficiency of the evidence argument. “A
challenge to the sufficiency of the evidence raises a claim of legal error;
therefore, our standard of review is de novo.” State v. Collyns, 166 N.H. 514,
517 (2014). Our standard for reviewing the denial of a defendant’s motion to


                                        3
dismiss for insufficiency of the evidence is well settled. State v. Fandozzi, 159
N.H. 773, 781-82 (2010). To prevail upon his challenge to the sufficiency of the
evidence, the defendant must establish that no rational trier of fact, viewing all
of the evidence and all reasonable inferences from it in the light most favorable
to the State, could have found guilt beyond a reasonable doubt. Id. at 782.

       The defendant’s insufficiency argument is based upon his interpretation
of the phrase “volunteer service” in RSA 632-A:10, I, as “encompass[ing] only
formal services performed for a volunteer organization.” The State conceded at
trial that it had produced no evidence that the services the defendant
undertook to provide in alleged violation of RSA 632-A:10, I, were provided
through or for an organization. Accordingly, the claim of error on appeal turns
upon an issue of statutory interpretation. See Collyns, 166 N.H. at 518.

      In matters of statutory interpretation, we are the final arbiter of the
      intent of the legislature as expressed in the words of a statute
      considered as a whole. We construe provisions of the Criminal
      Code according to the fair import of their terms and to promote
      justice. We first look to the language of the statute itself, and, if
      possible, construe that language according to its plain and
      ordinary meaning. We interpret legislative intent from the statute
      as written and will not consider what the legislature might have
      said or add language that the legislature did not see fit to include.
      We must give effect to all words in a statute, and presume that the
      legislature did not enact superfluous or redundant words. Finally,
      we interpret a statute in the context of the overall statutory scheme
      and not in isolation.

Id. (quotations and citations omitted).

        The defendant argues that the plain and ordinary meaning of “volunteer
service” does not encompass all unpaid activity, but, rather, “is limited to
activity provided through an organization.” He contends that engaging in any
unpaid activity may be described as “volunteering,” but that “volunteer service”
connotes something more; namely, acting through an organization. He asserts
that “this intuitive, common-sense understanding of the word ‘volunteer’ is
confirmed by the legislature’s definition of the word in two other statutes” and
“is reflected in statutes outside of New Hampshire as well.”

      We are not persuaded. First, the term “volunteer” in RSA 632-A:10, I,
modifies the term “service.” Thus, definitions of the term “volunteer,” standing
alone, are inapposite. Additionally, while “[i]t is a general rule,” in construing
our own statutes, that “different statutes relative to the same subject[] are to be
construed together,” Sloan v. Bryant, 28 N.H. 67, 71 (1853), we decline to
import into RSA 632-A:10, I, a definition of “volunteer” contained in a statute
dealing with different subject matter. Thus, we find the defendant’s citations to


                                          4
RSA 508:17 (2010) (providing immunity from civil liability to volunteers of
nonprofit organizations and government entities) and RSA 161-F:49 (2014)
(establishing a registry for founded reports of abuse, neglect, or exploitation
against certain adults eligible for services on the bases of, among other things,
mental illness or physical or developmental disability) unavailing. We are even
less inclined to look to inapposite statutes from other jurisdictions.

      The defendant next relies upon three canons of statutory construction to
support his interpretation. The first is the principle of ejusdem generis, which
we have stated “provides that, where specific words in a statute follow general
ones, the general words are construed to embrace only objects similar in
nature to those enumerated by the specific words.” State v. Meaney, 134 N.H.
741, 744 (1991).

       The State questions our expression of the ejusdem generis principle in
Meaney and similar cases, observing that the doctrine has been “traditionally
understood and applied” in the opposite presentation; that is, where general
words follow a specific enumeration. See, e.g., In the Matter of Preston and
Preston, 147 N.H. 48, 51 (2001). The State also argues that the legislature’s
“use of the phrase ‘including, but not limited to,’ in RSA 632-A:10, I,
demonstrates that the terms that follow are offered in illustration, not
limitation.” The State’s contentions have some support in case law outside
New Hampshire. See, e.g., NISH v. Rumsfeld, 348 F.3d 1263, 1268 (10th Cir.
2003) (“Because ejusdem generis is only to be applied to determine the scope of
a general word that follows a specific term, that canon has no relevance here.”);
People v. Roggow, 318 P.3d 446, 450-51 (Colo. 2013) (noting, in interpreting
statute criminalizing child sexual assault by persons “in a ‘position of trust’
includ[ing], but . . . not limited to” certain defined categories of persons, that
the “[t]he phrase ‘includes, but is not limited to’ suggests an expansion or
enlargement and a broader interpretation” and concluding that “the statutory
definition makes plain that the examples listed are only illustrative.”
(quotations omitted)). Nevertheless, we need not reexamine our ejusdem
generis jurisprudence to decide this case, and we decline, at this juncture, to
do so. We will assume the defendant’s contention — that the doctrine may be
applied where, as here, the statutory language progresses from a general
description to a specific enumeration and where the legislature has used the
phrase “including, but not limited to.” RSA 632-A:10, I.

       The defendant asserts that all of the specific examples of persons
included within the prohibition of RSA 632-A:10, I, are “persons who engage in
activity either (a) for pay, or (b) as . . . volunteer[s] for an organization.” He
notes that “[t]he statute even lists several types of organizations[:] the Boy
Scouts and Girl Scouts, ‘a summer camp’ and ‘a school.’” He then argues that,
“[u]nder the principle of ejusdem generis, this Court should thus construe
‘volunteer service’ as encompassing only activity that is similar to the



                                        5
enumerated roles, specifically activity that is either (a) paid or (b) conducted
through an organization.”

       We reject the premise that the relevant similarity of the services
specifically enumerated in RSA 632-A:10, I, is that the services describe
“persons who engage in activity either (a) for pay, or (b) as . . . volunteer[s] for
an organization.”

      The basis of the ejusdem generis rule is that the mention of one
      thing followed by a general descriptive term gives color and
      meaning to the class covered by the latter and limits that class to
      the things having a likeness to the specified thing. The likeness
      contemplated by the rule, however, is as to characteristics material
      to the purpose of the classification.

State v. New Hampshire Gas & Electric Co., 86 N.H. 16, 25 (1932) (emphasis
added); see also State v. Small, 99 N.H. 349, 351 (1955) (noting that “the rule
of ejusdem generis is neither final nor exclusive and is always subject to the
qualification that general words will not be used in a restricted sense if the act
as a whole indicates a different legislative purpose in view of the objectives to
be attained”). Thus, even assuming, without deciding, that the specific
examples enumerated in RSA 632-A:10, I, describe only “persons who engage
in activity either (a) for pay, or (b) as . . . volunteer[s] for an organization,” we
cannot mechanically use that characteristic under the ejusdem generis
doctrine without examining the purposes of the classification and of the statute
itself. See State v. Beckert, 144 N.H. 315, 318-19 (1999) (refusing to apply
ejusdem generis so as to “read [a] statute with blinders” and rejecting
contention “that the specific weapons enumerated in RSA 159:3 represent
instruments of combat per se and that the catch-all category of ‘other
dangerous weapon’ must be similarly limited,” where “RSA 159:3 was expressly
intended to protect the public from felons who would possess instruments
capable of causing serious injury or death” and the hunting knife at issue was
such an instrument).

       The legislature stated the purpose of RSA 632-A:10 in the enacting
legislation:

      The general court recognizes that those who seek to exploit and
      abuse children often attempt to create opportunities for themselves
      to do so by seeking to perform services of one type or another in a
      field involving the care or training of children. The public policy of
      the state demands that these people be denied such opportunities.

Laws 1988, 257:1; see Flood Control Dist. v. Paloma Inv. Ltd., 350 P.3d 826,
831 (Ariz. Ct. App. 2015) (“When the legislature specifies the statute’s
applicability or purpose in the session law that contains the statute, it is


                                          6
appropriate to interpret the statutory provisions in light of that enacted
provision.”); Carter v. Dept. of Veterans Affairs, 135 P.3d 637, 644 (Cal. 2006)
(“Although . . . statements [of intent] in an uncodified section [of statute] do not
confer power, determine rights, or enlarge the scope of a measure, they
properly may be utilized as an aid in construing a statute.”); cf. Velishka v.
Nashua, 99 N.H. 161, 165 (1954) (noting, with respect to statute empowering
housing authorities to acquire property for redevelopment projects by eminent
domain, that while “legislative findings and declarations [of purpose] have no
magical quality to make valid that which is invalid[,] . . . they are entitled to
weight in construing the statute and in determining whether the statute
promotes a public purpose under the Constitution”). This stated purpose does
not use the terms “employment” or “volunteer service,” RSA 632-A:10, I, and
evinces no intent to restrict the type of entity through which the covered
services must be performed. It does, however, describe the subject services as
those “involving the care or training of children.” Laws 1988, 257:1; cf. RSA
630-A:10, I (using phrase “involving the care, instruction or guidance of minor
children”). We find the use of the phrase “involving the care . . . of . . .
children,” RSA 630-A:10, I, Laws 1988, 257:1, to be indicative of a legislative
focus upon services that by their nature provide access to children. The
service providers listed in RSA 630-A:10, I — “a teacher, a coach, or worker of
any type in child athletics, a day care worker, a boy or girl scout master or
leader or worker, a summer camp counselor or worker of any type, a guidance
counselor, or a school administrator of any type,” RSA 630-A:10, I — all share
the characteristic of providing such access. Cf. Roggow, 318 P.3d at 450
(concluding that categories enumerated in sexual assault statute “reflect the
General Assembly’s overarching intent to target those offenders who are
entrusted with special access to a child victim and who exploit that access to
commit an offense against the child”). Moreover, that characteristic directly
relates to the legislative purpose of denying persons “who seek to exploit and
abuse children . . . opportunities . . . to do so.” Laws 1988, 257:1.

       Thus, even assuming that the services listed in RSA 630-A:10, I, also
happen to share the characteristic of being provided through organizations, we
do not find that characteristic to be “material to the purpose of the
classification” in the statute. New Hampshire Gas & Electric Co., 86 N.H. at
25. Rather, we conclude that the restrictive interpretation of “volunteer
service” urged by the defendant would frustrate the legislature’s expressed
intent by allowing to “slip through the cracks” some child predators who create
opportunities to abuse or exploit children by engaging in unpaid service
involving the care, instruction or guidance of minor children. The defendant
would have us conclude that the legislature intended to prevent abuse by a
registered sex offender who volunteers as a church choir director, but not by
an offender who offers to give free piano lessons to the child next door, or to
deter exploitation by an offender who has unsupervised access to a child
through the Big Brother/Big Sister organization, but not by an offender who
periodically babysits a neighbor’s child without pay. Such an intent is


                                         7
inconsistent with the statute’s broadly stated purpose. See Laws 1988, 257:1.
Thus, because the characteristic urged by the defendant — that the services be
provided through an organization — is not “material to the purpose of the
classification,” New Hampshire Gas & Electric Co., 86 N.H. at 25, we conclude
that the doctrine of ejusdem generis does not support the defendant’s
interpretation.

      The defendant next argues that the trial court’s interpretation violates
the interpretive canon that the “legislature is not presumed to waste words or
enact redundant provisions and whenever possible, every word of a statute
should be given effect.” In re Search Warrant (Med. Records of C.T.), 160 N.H.
214, 221 (2010) (quotation omitted). Specifically, the defendant contends that,
under the trial court’s interpretation, the statutory language, “undertakes
employment or volunteer service involving,” RSA 632-A:10, I, is superfluous.
Asserting that “[a]ll activity is either paid or unpaid,” the defendant argues that
the meaning of the statute, as interpreted by the trial court, “is exactly the
same as if [it] read ‘A person is guilty of a class A felony if, having been
convicted [of a qualifying offense], he knowingly provides care, instruction or
guidance to minor children.’” He thus argues that the trial court’s
interpretation impermissibly changed the meaning of the statute. We disagree.

       We explain our reasoning by reference to an argument the defendant
makes elsewhere in his brief. The defendant asserts that the “prohibition in
RSA 632-A:10, I, is broad” and notes, “for instance, [that it] does not exclude
from its reach the parent of the child who is provided care, instruction or
guidance.” He then argues that a parent with a qualifying conviction “would be
legally required to limit the care, instruction and guidance to that required
under their [parental] duty of care” because “[a]ny care, instruction or guidance
beyond that legally required [of the parent] would constitute ‘volunteer service’
and thus would run afoul of the statute.”

       The statute, however, cannot be as broadly interpreted as the defendant
asserts, in part, because the very language he contends is superfluous
prevents it from being so interpreted. Continuing with the defendant’s parent-
child example, we note that only a strained and unnatural construction of
“volunteer service,” RSA 632-A:10, I, would permit that term to describe a
parent’s provision of care, instruction, or guidance to his own child.

      [P]arents generally have the right, coupled with the high duty, to
      recognize and prepare their children for additional obligations. The
      law’s concept of the family rests on a presumption that parents
      possess what a child lacks in maturity, experience, and capacity
      for judgment required for making life’s difficult decisions. More
      important, historically it has recognized that natural bonds of
      affection lead parents to act in the best interests of their children.



                                         8
Troxel v. Granville, 530 U.S. 57, 68 (2000) (plurality opinion) (quotations,
brackets, and ellipsis omitted). Even were it possible to discern at what point
the “high duty” of parental care is satisfied, such that any provision of care,
instruction, or guidance beyond it could be considered something over and
above that duty, we would still presume such action to spring from the parent’s
“natural bonds of affection” for the child, id., and, therefore, would not consider
it to be “volunteer service,” RSA 632-A:10, I. Thus, as this example
demonstrates, the phrase “volunteer service” acts to limit the activities that fall
within the statutory prohibition and is not superfluous. RSA 632-A:10, I.
Accordingly, we reject the defendant’s superfluous language argument.

       The defendant next contends that “this Court will not interpret a statute
to create absurd results.” The defendant begins with the premise, noted above,
that the “prohibition in RSA 632-A:10, I, is broad,” and he then posits a
number of hypothetical examples to which application of the trial court’s
interpretation of RSA 632-A:10, I, would lead, in the defendant’s view, to
absurd results. The defendant concludes that “the plain language of the
phrase ‘volunteer service’ as used in RSA 632-A:10, I, includes only activity
that is volunteered through an organization.” We disagree.

       “It is a fundamental principle of statutory construction that whenever
possible, a statute will not be construed so as to lead to absurd consequences.
Thus, as between a reasonable and unreasonable meaning of the language
used, the reasonable meaning is to be adopted.” Appeal of Marti, 169 N.H.
185, 190 (2016) (quotations omitted). This fundamental principle does not
avail the defendant, however, because the interpretation he proffers is itself
unreasonable. See Bovaird v. N.H. Dep’t of Admin. Servs., 166 N.H. 755, 763
(2014) (declining to construe legislation as urged by petitioner, where “it is the
petitioner’s interpretation that could lead to absurd results”). To be sure, the
defendant’s construction would narrow the scope of a statute he believes to be
too “broad,” but, as noted previously, it would render the statute
underinclusive of the perils the legislature sought to remedy — the creation, by
persons “who seek to exploit and abuse children[,] . . . [of] opportunities . . . to
do so by seeking to perform services of one type or another in a field involving
the care or training of children.” Laws 1988, 257:1.

       The defendant appears to suggest that, unless the term “volunteer
service” is construed to apply only to services provided through an
organization, the statute could conceivably criminalize every interaction
between a person with a qualified conviction and a child. We disagree. As
indicated by the foregoing discussion of the defendant’s “‘service’ by parents”
argument, other terms in the statute act to limit such an application. Thus, it
is by no means either an obvious or foregone conclusion that the statute would
apply to innocuous, chance encounters between a person with a qualifying
conviction and a child. We note that, although the defendant bases his
argument upon the premise that the “prohibition in RSA 632-A:10, I, is broad,”


                                         9
he has not brought a constitutional overbreadth challenge and does not claim
to fall within any of the hypothetical scenarios that he asserts would be
absurd. We leave for another day, and a properly brought challenge, the
question of whether the statute is in any respect unconstitutionally overbroad.
Accordingly, we reject the defendant’s absurd results argument.

       The defendant further contends that: (1) “the legislative history [of RSA
632-A:10] demonstrates that the legislature intended the statute to apply only
to either (a) employment, or (b) unpaid activity provided through an
organization”; and (2) we should apply the rule of lenity to restrict the meaning
of the term “volunteer service” to service through an organization. The
applicability of both theories, however, is contingent upon the ambiguity of the
statute in question. See ATV Watch v. N.H. Dep’t of Transp., 161 N.H. 746,
752 (2011) (noting that we “will consider legislative history only if the statutory
language is ambiguous” (quotation omitted)); State v. Jennings, 155 N.H. 768,
777 (2007) (noting that “the rule of lenity is applicable only where statutory
ambiguity has been found” (quotation omitted)). Because the defendant has
failed to show ambiguity in the statute, we reject his legislative history and rule
of lenity arguments.

       For the foregoing reasons, we reject the defendant’s interpretation
limiting “volunteer service” under RSA 632-A:10, I, to service provided through
an organization. Because the statutory construction premise underlying the
defendant’s sufficiency of the evidence challenge fails, we conclude that he has
failed to establish “that no rational trier of fact, viewing all of the evidence and
all reasonable inferences from it in the light most favorable to the State, could
have found guilt beyond a reasonable doubt.” Fandozzi, 159 N.H. at 782
(quotation omitted).

II. Vagueness

      The defendant next argues that the trial court erred in denying his
motion to dismiss based upon his assertion that RSA 632-A:10, I, is void for
vagueness under the State and Federal Constitutions. The constitutionality of
a statute is a question of law, which we review de novo. State v. Lamarche,
157 N.H. 337, 340 (2008).

      “A party challenging a statute as void for vagueness bears a heavy
burden of proof in view of the strong presumption favoring a statute’s
constitutionality.” State v. White, 164 N.H. 418, 423 (2012). On appeal, the
defendant advances both facial and as-applied challenges to the statute. The
State argues, however, that the defendant failed to preserve a facial challenge
for appeal. The State asserts that the defendant never argued before the trial
court that RSA 632-A:10, I, was facially invalid, and that “[h]e told the trial
court that he was challenging the statute as void for vagueness as applied.”
The defendant counters that he did assert a facial challenge, and that the State


                                         10
relies upon transcript passages in which he was not “discussing his
constitutional vagueness challenge.”

       “[W]e will not review any issue that the defendant did not raise before the
trial court.” Blackmer, 149 N.H. at 48. This preservation requirement,
expressed in both our case law and Supreme Court Rule 16(3)(b), “reflects the
general policy that trial forums should have an opportunity to rule on issues
and to correct errors before they are presented to the appellate court.” Holt v.
Keer, 167 N.H. 232, 238 (2015) (quotation omitted). Thus, to resolve the
State’s preservation challenge, we examine how the vagueness issue was
presented to the trial court.

       At the close of the State’s case, the defendant moved to dismiss, and
submitted to the court a memorandum of law “regarding the scope of RSA 632-
A:10.” He set forth the same proposed interpretation urged here — that the
term “volunteer services” means only services through an organization — and
asserted both that “a broader construction of the term . . . would render the
statute void for vagueness, and [that] the court must favor a constitutional
limiting construction if it may reasonably do so.” In the memorandum, he
further stated that “[t]he phrase ‘volunteer service’ saves the statute from
vagueness by limiting the statute’s scope to formal volunteering for an
organization. Without that limitation, the statute makes any sex offender a
target for arrest if he or she so much as talks to a child.” As examples of
circumstances inviting such targeting, the defendant offered: “Helping a child
cross the street is care of a minor child. Answering a question at a retail
establishment is instruction. Giving directions is guidance.”

      On appeal, the defendant appears to contend that these examples
demonstrate a facial challenge to the statute. We find the examples ambiguous
at best, however, particularly in light of other portions of the defendant’s
memorandum. For instance, he noted that “the New Hampshire Supreme
Court entertains facial challenges to a statute only where the statute implicates
a fundamental right,” yet he made no assertion that any fundamental right is
implicated by the statute at issue.

       The defendant also argues that “the [trial] court’s order demonstrates
that it considered and rejected [his] facial vagueness challenge.” Specifically,
he points to the following language in the order: “Unless a statute implicates a
fundamental right, a defendant can only launch a vagueness attack as the
statute is applied to him. . . . RSA 632:A:10 does not implicate a fundamental
right. Thus, the defendant can only prevail on his vagueness claim as the
statute applies to him.”

      We decline to read the trial court’s order in the manner urged by the
defendant. An equally plausible interpretation is that the trial court took the
defendant’s failure to allege an implicated fundamental right as a concession


                                       11
that none existed. Further indication that the trial court did not consider a
facial challenge is provided by the defendant’s own declarations that his void
for vagueness challenge was as applied, not facial. In arguing the motion to
dismiss, the defendant’s counsel stated: “And finally, I make a void -- on as
applied, void for vagueness challenge . . . .” Even if this statement, taken
alone, could be read consistently with the defendant’s assertion that he also
raised a facial challenge, that interpretation is foreclosed by counsel’s
statement that “[t]his statute has been construed by one Superior Court Judge,
and that was a facial challenge to the statute, which we are not making.”
(Emphasis added.)

      The defendant now asserts that his counsel was not “discussing his
constitutional vagueness challenge” when he made the second quoted
statement, and, therefore, it “do[es] not indicate that [he] waived his facial
vagueness challenge.” We are not persuaded. Although the defendant
attempts on appeal to distinguish his counsel’s statutory interpretation
argument from his constitutional argument, we are unable to conclude from
the record that the trial court could not have reasonably understood the
defendant to be disclaiming a facial challenge. The defendant will not now be
heard to complain “of the fact that the court ruled consistently with defense
counsel’s representations at” trial. State v. Gay, 169 N.H. 232, 248 (2016).

        The defendant nevertheless urges that, even if he failed to preserve a
facial challenge, we “should still address it under the exception to the
preservation requirement set forth in State v. Brown, 138 N.H. 649 (1994).” In
Brown, we stated, citing State v. Nelson, 105 N.H. 184, 190 (1963), that we had
“recognized a limited exception to the preservation rule . . . when it would have
been futile for the defendant to object under the law in effect at the time of
trial.” Brown, 138 N.H. at 652 (quotation and brackets omitted). The
defendant here asserts that, although “under the law in effect at the time of
trial, a facial vagueness challenge would have been futile,” the United States
Supreme Court subsequently altered the law of unconstitutional vagueness in
Johnson v. United States, 135 S. Ct. 2551 (2015).

      We decline to apply an “exception” to the preservation rule here. We note
that although we have described Nelson as “recogniz[ing] a limited exception to
the preservation rule,” Brown, 138 N.H. at 652, in fact, Nelson merely reflects
the discretionary nature of our preservation rule. See State v. Mouser, 168
N.H. 19, 28 (2015); Nelson, 105 N.H. at 190 (treating objections claimed to be
not preserved at trial for murder “as if seasonably” made “[i]n view of the
seriousness of the charges against these defendants” in addition to counsel’s
“understandable” failure to object in light of the law then existing). We decline
to waive our preservation rule in this case.

     Because we hold that the defendant failed to preserve his argument that
RSA 632-A:10, I, is unconstitutionally vague on its face, we consider only his


                                       12
as-applied challenge. We first address the defendant’s claim under the State
Constitution and rely upon federal law only to aid our analysis. State v. Ball,
124 N.H. 226, 231-33 (1983).

      “A statute can be impermissibly vague for either of two independent
reasons: (1) it fails to provide people of ordinary intelligence a reasonable
opportunity to understand the conduct it prohibits; or (2) it authorizes or even
encourages arbitrary and discriminatory enforcement.” State v. Hynes, 159
N.H. 187, 200 (2009). The defendant contends that RSA 632-A:10, I, is
unconstitutionally vague on both grounds. He first contends that even if he
“understood the statute to prohibit some unpaid activity outside the scope of
an organization, he had no way of knowing whether the victim’s father’s
requests — helping [the victim] with Bible devotions and school work,
counseling [the victim] and teaching [the victim] ‘manhood type principles’ —
were among the prohibited activities.” We disagree. The defendant’s own
description of his activities as comprising, among other things, “teaching” and
“counseling” the victim demonstrates that they plainly “involv[ed] the care,
instruction or guidance of [a] minor child[].” RSA 632-A:10, I. In other words,
regardless of whether the terms “care, instruction or guidance” may arguably
be vague in an abstract sense or hypothetical application, the defendant’s as-
applied challenge fails because his activities “fit[] within any reasonable
understanding of th[ose] term[s].” Farrell v. Burke, 449 F.3d 470, 490 (2d Cir.
2006). Accordingly, we reject the defendant’s claim that the statute is
unconstitutionally vague on the ground that “it fails to provide people of
ordinary intelligence a reasonable opportunity to understand the conduct it
prohibits.” Hynes, 159 N.H. at 200.

      The defendant next contends that “[a]llowing the police, the prosecutor or
the jury to determine whether [the defendant’s] activity constitutes ‘volunteer
service’ would only authorize or encourage discriminatory enforcement of the
statute.” We find instructive the approach set forth by the Second Circuit
Court of Appeals in Farrell. Applying that approach here, the defendant’s claim
that RSA 632-A:10, I, “authorizes or even encourages arbitrary and
discriminatory enforcement,” id. at 200, will fail if we conclude either:

      (1) that [the] statute as a general matter provides sufficiently clear
      standards to eliminate the risk of arbitrary enforcement or (2) that,
      even in the absence of such standards, the conduct at issue falls
      within the core of the statute’s prohibition, so that the enforcement
      before the court was not the result of the unfettered latitude that
      law enforcement officers and factfinders might have in other,
      hypothetical applications of the statute.

Farrell, 449 F.3d at 494.




                                       13
       We need not address the first prong because we conclude that the
defendant’s conduct “falls within the core of the statute’s prohibition.” Id. The
defendant engaged in Bible devotions with the victim, helped him with his
homework, helped him build models, and took him on excursions away from
his home unaccompanied by his parents — all activities that we have
concluded above plainly “involv[ed] the care, instruction or guidance of [a]
minor child[].” RSA 632-A:10, I. These activities also plainly implicated the
policy concerns underlying the enactment of RSA 632-A:10, I. As the trial
court noted, in companion informations to the charges here at issue, “the
defendant was accused of sexually assaulting [the victim] . . . while he was
volunteering to provide care, instruction or guidance.” The defendant pleaded
guilty to those charges. We conclude that the defendant’s conduct “falls so
squarely in the core of what is prohibited by the law that there is no
substantial concern about arbitrary enforcement because no reasonable
enforcing officer could doubt the law’s application in the circumstances.”
Farrell, 449 F.3d at 494. Accordingly, we reject the defendant’s argument that
RSA 632-A:10, I, is unconstitutionally vague on the ground that “it authorizes
or even encourages arbitrary and discriminatory enforcement.” Hynes, 159
N.H. at 200.

      The Federal Constitution offers the defendant no greater protection than
does the State Constitution under these circumstances. See Hynes, 159 N.H.
at 200; Lamarche, 157 N.H. at 340-41; Farrell, 449 F.3d at 490, 494.
Accordingly, we reach the same result under the Federal Constitution as we do
under the State Constitution.

III. Double Jeopardy

      Finally, the defendant argues that the trial court “erred by entering
multiple convictions or imposing multiple punishments” in violation of the
double jeopardy provisions of the State and Federal Constitutions. See N.H.
CONST. pt. I, art. 16; U.S. CONST. amends. V, XIV. “The issue of double
jeopardy presents a question of constitutional law, which we review de novo.”
State v. Carr, 167 N.H. 264, 273 (2015).

       The trial court rejected the defendant’s double jeopardy claim both on
procedural grounds and on the merits. The court first ruled that “[b]y failing to
raise this argument at the appropriate stage of litigation and delaying the issue
until well after the verdicts, the defendant has effectively waived his double
jeopardy rights.” It then determined, on the merits, that “[t]he defendant
undertook volunteer services with respect to the victim on separate dates and
in separate locations, each of which constitutes a separate offense under the
plain language of the statute.” The defendant challenges both rulings.

      For ease of analysis, we begin by considering the double jeopardy claim
on the merits. This court and the United States Supreme Court have said that


                                       14
the double jeopardy clauses of our respective constitutions provide three
double jeopardy protections: (1) protection against subsequent prosecution for
the same offense after acquittal; (2) protection against subsequent prosecution
for the same offense after conviction; and (3) protection against multiple
punishments for the same offense. See id.; Ohio v. Johnson, 467 U.S. 493,
497-98 (1984); N.H. CONST. pt. I, art. 16; U.S. CONST. amends. V, XIV. The
defendant raises a multiple punishments claim, arguing that his “activities
with [the victim] . . . constituted, at most, one offense.”

            Multiple punishment cases come in two varieties. First,
      there are the so-called “double-description” cases, in which the
      issue is whether two statutes describe two separate offenses or are
      merely different descriptions of the same offense. Second, there
      are “unit of prosecution” cases in which the problem is not that the
      same course of conduct is proscribed by more than one statute but
      that a defendant’s continuing course of conduct is fragmented into
      more than one violation of a single statutory provision.

State v. Ramsey, 166 N.H. 45, 51 (2014) (quotations, citations, brackets, and
ellipsis omitted). This case is of the second variety, involving the proper “unit
of prosecution.”

       Ordinarily, we would first address the defendant’s claim under the State
Constitution. Ball, 124 N.H. at 231. Here, however, the defendant does not
address the test we have generally applied to double jeopardy claims under our
State Constitution. See Ramsey, 166 N.H. at 51 (noting that “[i]n both ‘double
description’ and ‘unit of prosecution’ cases, we examine whether proof of the
elements of the crime as charged will require a difference in evidence”); see also
State v. Locke, 166 N.H. 344, 351, 353 (2014) (noting that our cases have not
consistently applied our “same evidence” test and “invit[ing] parties in future
cases to ask us to reconsider our double jeopardy jurisprudence”); cf. State v.
Balch, 167 N.H. 329, 331-32 (2015) (“unit of prosecution” issue presented
solely as a statutory construction claim); State v. Ayotte, 146 N.H. 544, 549
(2001) (same). Rather, both parties’ arguments, and the trial court’s analysis
on this issue, focus upon the unit of prosecution intended by the legislature,
“an inquiry that we have often utilized when addressing a federal double
jeopardy challenge.” State v. Lynch, 169 N.H. ___, ___ (decided March 10,
2017) (slip. op. at 16). Accordingly, we confine our review to analysis of the
unit of prosecution intended by the legislature, cf. id. at ___ (slip op. at 16-17),
and consider the defendant’s double jeopardy challenge to be solely a federal
constitutional claim. Cf. State v. Rodney Portigue, 125 N.H. 352, 361 (1984)
(finding “no reviewable State constitutional claim presented” where “the
defendant in his appeal relating to [a certain] issue wholly failed to raise
anything but a federal constitutional claim and propositions in State case law
relying entirely on federal law”).



                                        15
       “[O]ur review of the defendant’s double jeopardy claim under the United
States Constitution requires us to consider the legislature’s articulated intent.”
State v. Stratton, 132 N.H. 451, 455 (1989); see Ohio v. Johnson, 467 U.S. at
499 (noting that “[b]ecause the substantive power to prescribe crimes and
determine punishments is vested with the legislature, the question under the
Double Jeopardy Clause whether punishments are ‘multiple’ is essentially one
of legislative intent” (citations omitted)); Sanabria v. United States, 437 U.S. 54,
70 (1978) (noting that “[w]hether a particular course of conduct involves one or
more distinct ‘offenses’ under the statute depends on th[e] congressional
choice” in defining the offense). Specifically, “we must determine the unit of
prosecution intended by the legislature.” Jennings, 155 N.H. at 777
(addressing federal constitutional challenge). “The issue is therefore one of
statutory construction.” United States v. Yazzie, 743 F.3d 1278, 1294 (9th Cir.
2014).

       The defendant argues that “[u]nder the plain language of [RSA 632-A:10,
I], ‘undertak[ing]’ is the unit of prosecution,” and that his “agreement to help
[the victim] with Bible devotions and school work and to counsel [the victim]
and teach him ‘manhood type principles’ was a single ‘undertaking.’” He
contends that “even if an individual provides multiple acts of care, instruction
or guidance, and even if those acts take place over a period of time and in
different towns, as long as they take place pursuant to a single ‘undertak[ing]’
of ‘employment or volunteer service,’ they constitute a single offense.”

       The State, on the other hand, argues that “[t]he appropriate unit of
prosecution should be each separate instance in which the defendant engaged
in the care, instruction, or guidance of the victim.” Although the State also
considers “undertakes” to be “[t]he operative word” in RSA 632-A:10, I,” it
argues that “[t]he legislature’s use of the word ‘undertakes’ . . . should be
viewed in the context of surrounding statutory text.” Specifically, the State
asserts that “[t]he direct object of ‘undertakes’ is ‘volunteer service,’ which is
further described by the object complements ‘care, instruction or guidance.’
Use of the disjunctive conjunction ‘or’ signals that the legislature is prohibiting
participation in three distinct fields of volunteer service.” The State concludes
that “[t]he appropriate unit of prosecution should be each separate instance in
which the defendant engaged in the care, instruction, or guidance of the
victim.”

       The State’s argument suggests that the term “undertakes” essentially
means “performs” or “provides,” so that the unit of prosecution is each
performance or provision of any “service involving the care, instruction or
guidance of minor children,” RSA 632-A:10, I. The plain meaning of
“undertakes,” however, contravenes the State’s assertion. The dictionary
definition of “undertake” includes such phrases as “to take in hand,” “enter
upon,” “set about,” “to take upon oneself solemnly or expressly,” and “put
oneself under obligation to perform.” Webster’s Third New International


                                        16
Dictionary 2491 (unabridged ed. 2002). Thus, we conclude that the term, as
used in RSA 632-A:10, I, connotes an arrangement or placement of oneself in a
position to provide or perform the prohibited services. Said another way, the
act criminalized by the statute is not the provision of “service involving the
care, instruction or guidance of minor children,” RSA 632-A:10, I, but, rather,
the making of an arrangement, or the placing of oneself in a position, to do so.
This conclusion is reinforced by the statute’s stated purpose of thwarting the
attempts of “those who seek to exploit and abuse children . . . to create
opportunities for themselves to do so.” Laws 1988, 257:1 (emphasis added).
Accordingly, we conclude that, as applicable to this case, the unit of
prosecution intended by the legislature is each separate arrangement made for
the provision or performance of “service involving the care, instruction or
guidance of minor children.” RSA 632-A:10, I.

       Having so construed the statute, we agree with the defendant that his
“agreement to help [the victim] with Bible devotions and school work and to
counsel [the victim] and teach him ‘manhood type principles’ was a single
‘undertaking.’” The victim’s father testified that following the difficult 2013
holiday season, he and the victim’s mother “were searching for some way to
help [the victim] out” including “getting some kind of biblical counsel.” The
father testified that when he and his wife “attended the Bible studies with [the
defendant], we had thought that he was a good resource as far as getting some
good biblical counsel for our boy.” The defendant, according to the father’s
testimony, “had mentioned that he had counseled boys in the past from church
activities,” and in particular, had “spoke[n] of previous encounters where he
counseled troubled youngsters.” The victim’s father testified that he called the
defendant on January 6, “and asked him if he would help [the victim] out” by
doing Bible devotions with him, possibly helping him with his schooling, and
“help[ing] [him] out with counseling.” Thus, the evidence showed that the
defendant portrayed himself as a teacher of Bible studies with experience in
counseling children, and that he made an arrangement with the victim’s
parents to provide those services to their child. We conclude, therefore, that an
“undertak[ing]” within the meaning of RSA 632-A:10, I, resulted from the
father’s telephone call with the defendant on January 6.

       We also conclude that this was a single “undertak[ing],” RSA 632-A:10, I,
that encompassed all of the defendant’s volunteer service related to the victim
from January 6 through January 10. We agree with the defendant that the
father’s contact with him on January 9 did “not [constitute] a separate
undertaking.” The father testified that in a telephone call to the defendant on
January 9, he “voiced [his] concern” that the victim was withdrawing from the
family and conveyed to the defendant that he and the victim’s mother “wanted
to make sure that [the victim] was being put back and pushed towards his
parents as the authority figures in his life.” According to the father’s testimony,
the defendant “agreed wholeheartedly that he was doing everything he could do
[to] put [the victim] back, put him towards his parents as the authority figures


                                        17
in his life.” (Emphasis added.) We conclude that this communication can best
be seen as ongoing feedback regarding an established arrangement and did not
constitute a new arrangement or “undertak[ing]” pursuant to RSA 632-A:10, I.
Although the victim’s father indicated that he wanted a certain aspect of the
agreed-upon services emphasized or prioritized over others, the nature and
scope of the arrangement did not change so as to create a new, separate
“undertak[ing].” RSA 632-A:10, I. Because the evidence at trial established
only one “undertak[ing],” the defendant’s four separate convictions, and the
sentences therefor, constitute multiple punishments for the same offense in
violation of the double jeopardy provision of the Federal Constitution. See Ohio
v. Johnson, 467 U.S. at 499; Sanabria, 437 U.S. at 70-71.

       We now turn to the dismissal of the defendant’s double jeopardy claim on
procedural grounds. On November 20, 2014, the defendant filed a “double
jeopardy [objection] to multiple convictions.” (Bolding, underlining and
capitalization omitted.) The trial court treated this objection — and we refer to
it likewise — as a “motion to dismiss three of his four convictions.” The trial
court ruled that the defendant “effectively waived his double jeopardy rights” by
failing to raise them “at the appropriate stage of litigation.” On appeal, the
defendant asserts that his double jeopardy challenge was timely brought.

       In addressing the defendant’s double jeopardy claim on the merits, we
noted that it falls under the category of so-called “‘unit of prosecution’ cases[,]
in which the problem is not that the same course of conduct is proscribed by
more than one statute but that a defendant’s continuing course of conduct is
fragmented into more than one violation of a single statutory provision.”
Ramsey, 166 N.H. at 51 (quotation and brackets omitted). To address the
timeliness of the defendant’s double jeopardy motion, it is now useful to also
note that “[w]hether a particular course of conduct constitutes one or more
violations of a single statutory offense affects an accused in three distinct,
albeit related, ways: multiplicity in the indictment or information, multiple
convictions for the same offense, and multiple sentences for the same offense.”
Brown v. State, 535 A.2d 485, 487-88 (Md. 1988).

      “Multiplicity occurs when a single crime is separated into two or more
indictments.” United States v. Carrasco, 968 F. Supp. 948, 949 (S.D.N.Y.
1997). Here, the State brought four indictments against the defendant
charging him with separate violations of RSA 632-A:10, I, on or about: (1)
January 7, 2014, in Hopkinton; (2) January 7, 2014, in Concord; (3) January
10, 2014, in Hopkinton; and (4) January 10, 2014, in Concord. We concluded
above that all of the defendant’s volunteer service related to the victim and
occurring from January 6 through January 10 constituted only one
“undertak[ing]” in violation of RSA 632-A:10, I. Accordingly, the indictments
against the defendant were multiplicitous.




                                        18
       The trial court did not explicitly cite the authority upon which it based its
untimeliness ruling. Nevertheless, the court’s narrative and analysis indicate
that the order was premised upon former Superior Court Criminal Rule 98(G),
governing pretrial motions. See Super. Ct. Crim. R. 98(G) (deleted by Sup. Ct.
Order of January 20, 2016). Specifically, the court’s order states that the
defendant’s counsel “failed to disclose the anticipated motion at the pretrial
conference.” In addition, the only “unit of prosecution” multiplicity case cited
in support of the court’s untimeliness ruling, United States v. Herzog, 644 F.2d
713 (8th Cir. 1981), was decided, in part, based upon the federal rule of
criminal procedure requiring certain issues to be raised by pretrial motion.
Herzog, 644 F.2d. at 716. Accordingly, we interpret the trial court’s
untimeliness ruling to be an enforcement of Rule 98(G), see In the Matter of
Sheys & Blackburn, 168 N.H. at 39 (noting that “interpretation of a court order
is a question of law, which we review de novo”), and we now determine whether
it is sustainable on that basis. “We review the trial court’s decision to deny a
motion . . . as untimely [under Rule 98(G)] for an unsustainable exercise of
discretion.” State v. Knight, 161 N.H. 338, 341 (2011) (reviewing denial of
motion to suppress under former Superior Court Rule 98(F)).

      Superior Court Criminal Rule 98(G) provided:

             The parties shall file all pretrial motions other than discovery
      related motions, including but not limited to motions to dismiss,
      motions to suppress and motions to sever charges or defendants,
      not more than sixty (60) calendar days after entry of a plea of not
      guilty or within such other time in advance of trial as the Court
      may order for good cause shown or may provide for in a pretrial
      scheduling order.

Super. Ct. Crim. R. 98(G). We have treated a motion challenging an alleged
defect in an indictment as being subject to a comparable prior rule. See State
v. Ortiz, 162 N.H. 585, 590 (2011) (applying former Superior Court Rule 98(F));
compare Super. Ct. R. 98(F) (retitled 2013) (amended 2014) (deleted 2016)
(requiring all pretrial motions other than discovery-related motions to be
brought within time specified in rule), with Super. Ct. Crim. R. 98(G). In Ortiz,
we held that the defendant’s mid-trial challenge, brought “after the State rested
its case, was untimely under [Superior Court Rule 98(F)].” Ortiz, 162 N.H. at
590. We cited cases from other jurisdictions — the majority of them federal —
for guidance, and specifically cited Federal Rule of Criminal Procedure
12(b)(3)(B). Id. We ultimately concluded that the defendant’s “failure to raise
[his] claim in a timely fashion d[id] not preclude all appellate review, but rather
confine[d] our review to plain error.” Id. We similarly now look to other
jurisdictions for guidance in determining whether the defendant’s motion in
this case was fatally untimely under Superior Court Criminal Rule 98(G).
Specifically, we find cases applying the federal rule applicable to pretrial



                                        19
motions — Federal Rule of Criminal Procedure 12(b)(3) and its predecessors —
instructive to our analysis of Superior Court Criminal Rule 98(G).

      Rule 12(b)(3) provides that certain specified “defenses, objections, and
requests must be raised by pretrial motion if the basis for the motion is then
reasonably available and the motion can be determined without a trial on the
merits.” Fed. R. Crim. P. 12(b)(3). Explicitly included in the specified list is “a
defect in the indictment or information, including . . . charging the same
offense in more than one count (multiplicity).” Fed. R. Crim. P. 12(b)(3)(B).

       Before the explicit reference to multiplicity was added to Rule 12(b)(3)(B)
in the 2014 amendments to Rule 12, see Fed. R. Crim. P. 12(b)(3) advisory
committee note (2014), federal courts grappled with whether failure to raise a
multiplicity challenge in a pretrial motion waived that claim with respect to
either the convictions, the sentences, or both. See, e.g., United States v.
Griffin, 765 F.2d 677, 680-82 (7th Cir. 1985) (affirming denial of petition to
vacate or set aside sentence in part because defendant failed to raise
multiplicity claim pretrial); United States v. Mastrangelo, 733 F.2d 793, 800
(11th Cir. 1984) (holding that defendant could “challenge his sentences,
although his failure to object to the indictment prior to trial preclude[d] him
from objecting to the multiple convictions”). In general, their approaches can
be divided into two categories. See, e.g., United States v. Harris, 959 F.2d 246,
250 (D.C. Cir. 1992) (collecting cases), abrogated on other grounds by United
States v. Stewart, 246 F.3d 728 (D.C. Cir. 2001); Griffin, 765 F.2d at 680-81
(collecting cases).

       The first line of cases, exemplified by United States v. Rosenbarger, 536
F.2d 715 (6th Cir. 1976), treats a challenge to multplicitous sentences as a
different issue than a challenge to multiplicitous indictments or convictions.
Rosenbarger, 536 F.2d at 721-22. In Rosenbarger, the United States Court of
Appeals for the Sixth Circuit started with the premise that under Rule 12, “if
the defense of multiplicity is not raised prior to trial, it is waived.” Id. at 721.
Nevertheless, it concluded:

      The argument that one waives his right to object to the imposition
      of multiple sentences by his failure to object to the multiplicitous
      nature of an indictment is a non sequitur. Rule 12 applies only to
      objections with regard to the error in the indictment itself; the
      effect of Rule 12 is that dismissal of a multiplicitous indictment is
      not required; however, if sentences are imposed on each count of
      that multiplicitous indictment the defendant is not forced to serve
      the erroneous sentence because of any waiver.

Id. at 721-22. The court noted that “Rule 35 provides that in such a case the
defendant may move that his sentence be corrected.” Id. at 722 (referencing
former Federal Rule of Criminal Procedure 35); see Fed. R. Crim. P. 35, 18


                                         20
U.S.C. Appendix–Rules of Criminal Procedure at 1461 (1976) (amended 1979,
1983, 1984, 1985, 1986, 1991, 1998, 2002, 2004, 2007, 2009). The court
chose, however, to correct the sentence in the case then before it, reasoning:

      [S]ince the defect in the sentence is apparent from the record, it is
      proper for this Court to resolve the issue on direct appeal rather
      than to wait for defendant to file a Rule 35 motion as it is more
      appropriate, whenever possible, to correct errors reachable by the
      appeal rather than remit the parties to a new collateral proceeding.

Rosenbarger, 536 F.2d at 722 (quotation and brackets omitted). The Fifth and
Eleventh Circuits adopted the Rosenbarger approach. See United States v.
Bradsby, 628 F.2d 901, 906 (5th Cir. 1980); Mastrangelo, 733 F.2d at 800.

       In the second line of cases, courts appear to recognize, at least implicitly,
that because the indictment, conviction, and sentence for an offense are
derivatively related, so too are any multiplicity problems associated with them;
in other words, multiplicitous sentences necessarily result from multiplicitous
convictions, which, in turn, result from multiplicitous indictments. Cf. Brown
v. State, 535 A.2d at 487 (noting relationship between indictments, convictions
and sentences in multiplicity cases). In Harris, the District of Columbia Circuit
rejected the argument “that a multiplicity objection is not included within the
defects contemplated by Rule 12(b)(2), because it is a defect in the sentencing,
not in the indictment.” Harris, 959 F.2d at 250 (citing former Federal Rule of
Criminal Procedure 12(b)(2)); compare Fed. R. Crim. P. 12(b)(2), 18 U.S.C.
Appendix–Rules of Criminal Procedure at 752 (1988) (amended 1993, 2002,
2014) (requiring “[d]efenses and objections based on defects in the indictment”
to be raised pretrial), with Fed. R. Crim. P. 12(b)(3). “The purpose of the rule,”
the Harris court noted, “is to compel defendants to object to technical defects
in the indictment early enough to allow the [trial] court to focus on their
pretrial objections and, of course, to permit the prosecution to accommodate
meritorious challenges, and to do so without disrupting an ongoing trial.”
Harris, 959 F.2d at 250. Accordingly, the court held that “[a] claim of
multiplicity, at least in the typical case where the defect appears on the face of
the indictment, falls clearly within the letter and spirit of the rule.” Id. at 250-
51 (emphasis added). In so doing, the court followed “[t]he majority of courts of
appeals [in] hold[ing] that if the multiplicity objection could have been raised
based on the indictment, Rule 12(b)(2) applies.” Id. at 250 (citing former
Federal Rule of Criminal Procedure 12(b)(2) and cases from 1st, 2d, 4th, 7th
and 8th Circuits).

      Even after the 2014 amendments to Rule 12, the reasoning embodied in
Harris has been read into Rule 12(b)(3). See United States v. Anderson, 783
F.3d 727, 740 (8th Cir. 2015). In Anderson, for example, after noting that Rule
12(b)(3) generally requires motions alleging a defect in the indictment to be
raised before trial, the court stated that “[a] double-jeopardy objection is such


                                        21
an alleged defect if it appears on the face of the indictment.” Id. (quotation
omitted) (emphasis added). The court’s citations make clear that it considered
that caveat to be implicitly contained in Rule 12(b)(3)’s language describing the
motion’s basis as being “then reasonably available” and the motion as one that
“can be determined without a trial on the merits.” Fed. R. Crim. P. 12(b)(3);
Anderson, 783 F.3d at 740; see Fed. R. Crim. P. 12(b)(3), 18 U.S.C. Appendix–
Rules of Criminal Procedure at 1104, advisory committee note (Supp. 2014)
(stating that the “‘then reasonably available’ language is intended to ensure
that a claim a party could not have raised on time is not subject to the
limitation on review imposed by [Rule 12]”).

       Under the facts of this case, the defendant could potentially prevail
under the reasoning of either Rosenbarger or Harris. We decline, however, to
apply the Rosenbarger approach in this case. Although New Hampshire has a
procedural rule somewhat analogous to former Federal Rule of Criminal
Procedure 35, see N.H. R. Crim. P. 29(i) (providing court has discretion to
correct an illegal sentence), we have not yet interpreted it. Furthermore, our
case law dealing with challenges to illegal sentences is relatively sparse. See,
e.g., State v. Kinne, 161 N.H. 41, 46 (2010) (noting that a petitioner can
collaterally challenge an illegal sentence); State v. Sideris, 157 N.H. 258, 264
(2008) (noting, in a case challenging the trial court’s statutory authority to
impose a sentence, that “[i]mposition of an illegal sentence is a serious error
routinely corrected on plain error review”). We have never directly addressed
whether a defendant in the circumstances of the defendant in this case could
challenge, under our illegal sentence jurisprudence, sentences that plainly
violate double jeopardy. Finally, the parties to this case have neither presented
nor briefed that issue. Accordingly, we leave it for another day.

       By contrast, the trial court’s ruling, and the defendant’s challenge to it,
readily lend themselves to analysis under the Harris approach. In particular,
the defendant argues that his double jeopardy “challenge only became ripe
when he faced the prospect of multiple convictions.” Thus, his argument at
least touches upon the valid observation that “multiplicity problems may
appear in various forms and may not be apparent until after the government
presents evidence at trial.” Griffin, 765 F.2d at 681. We see little logic — but
potentially great injustice — in requiring a defendant to challenge, on penalty
of waiving his claim, a defect in the indictment of which he could not
reasonably be expected to be aware. Accordingly, we find the approach taken
in the Harris line of cases — limiting the multiplicity defects that must be
raised pretrial pursuant to Federal Rule of Criminal Procedure 12(b)(3) to those
that are apparent on the face of the indictment — eminently reasonable.

       Although Superior Court Criminal Rule 98(G) does not contain limiting
language similar to the federal rule’s requirements that the motion’s basis be
“then reasonably available” and that “the motion can be determined without a
trial on the merits,” Fed. R. Crim. P. 12(b)(3), we conclude that similar


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purposes underlying the rules allow us to interpret Superior Court Criminal
Rule 98(G) in light of the Harris approach to Federal Rule of Criminal
Procedure 12(b)(3). Our previous rules of criminal procedure lacked an explicit
statement of purpose to help guide our interpretation; nevertheless, they were
undoubtedly intended to serve purposes similar to those underlying criminal
rules in other jurisdictions, such as, “to provide for orderly pretrial procedure,
mandating fair notice and an opportunity to respond.” State v. Baliban, No. 1
CA–CR 08–0263, 2009 WL 1477933 at *2 (Ariz. Ct. App. May 26, 2009)
(interpreting Rule 1.2 of the Arizona Rules of Criminal Procedure); cf. N.H. R.
Crim. P. 1(b) (providing that the New Hampshire Rules of Criminal Procedure
“shall be construed to provide for the just determination of every criminal
proceeding” and “to secure simplicity in procedure, fairness in administration
and the elimination of unjustifiable expense and delay”). Rules of criminal
procedure also “advance judicial administration by preventing a party from,
among other things, seeking to gain a tactical advantage through surprise.”
Baliban, 2009 WL 1477933 at *2; see State v. Breedlove, 999 N.E.2d 267, 274
(Ohio Ct. App. 2013) (noting that “[t]he general purpose of the criminal rules is
to eliminate any elements of gamesmanship from a criminal proceeding”); cf.
State v. Cromlish, 146 N.H. 277, 280 (2001) (“We have long recognized that
justice is best served by a system that reduces surprise at trial by giving both
parties the maximum amount of information.”). These goals closely correspond
to reasons given for the approach taken in the Harris line of cases — an
approach described as “promot[ing] fairness and efficiency by allowing courts
to assess double jeopardy defects in indictments while evidence is still fresh,
and by preventing defendants from making a tactical decision to delay raising
such a challenge.” United States v. Wilson, 962 F.2d 621, 626 (7th Cir. 1992)
(citation omitted). Accordingly, we now hold that Rule 98(G) did not require a
multiplicity issue to be raised by pretrial motion within the prescribed time
limits unless the multiplicity defect appeared on the face of the indictments.
We note that this holding does not conflict with our determination in Ortiz that
the defendant’s challenge to an alleged defect in the indictment was untimely
under former Superior Court Rule 98(F), because the alleged defect — that the
indictment failed to “include the statutory definition of the word ‘pattern’” —
would have been apparent on the indictment’s face. Ortiz, 162 N.H. at 589.

      The defendant here was charged in four separate indictments. The first
charged, in relevant part, that “[o]n or about the 7th of January, 2014 at
Hopkinton, New Hampshire,” the defendant “commit[ted] the crime of
prohibition from child care services contrary to RSA 632-A:10,” in that:

      1. [The defendant] did engage in volunteer service involving the
          care, instruction or guidance of a minor child, [specifying the
          victim’s initials and date of birth];

      2. [The defendant] is prohibited from said acts, having been
          previously convicted of an offense involving sexual assault;


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      3. [The defendant] committed said acts knowingly.

(Italics, bolding, and capitalization omitted.) The other three indictments were
identical except for the date and location of the offense.

       It is theoretically possible that a set of facts could exist such that separate
undertakings in violation of RSA 632-A:10, I, could be proved on each of the
dates and in each of the locations alleged in the four indictments. Thus, we
conclude that the multiplicitous nature of the charges was not apparent on the
face of the indictments, and, therefore, the defendant’s motion was not untimely
under Rule 98(G) as we have interpreted it herein. Accordingly, untimeliness
cannot serve as an alternative basis for the denial of the defendant’s double
jeopardy motion, which, we concluded above, was meritorious.

      For the foregoing reasons, we affirm the trial court’s denial of the
defendant’s motion to dismiss for insufficient evidence and on the alternative
ground that RSA 632-A:10, I, is unconstitutionally vague, reverse its order on
the defendant’s double jeopardy motion, and remand to the trial court with
instructions to vacate three of the defendant’s convictions and resulting
sentences.

                                                    Affirmed in part; reversed
                                                    in part; and remanded.

      DALIANIS, C.J., and CONBOY, LYNN, and BASSETT, JJ., concurred.




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