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                               Appellate Court                          Date: 2017.06.08
                                                                        11:16:37 -05'00'




                    People v. Fretch, 2017 IL App (2d) 151107



Appellate Court    THE PEOPLE OF THE STATE OF ILLINOIS, Plaintiff-Appellee, v.
Caption            IAN F. FRETCH, Defendant-Appellant.



District & No.     Second District
                   Docket No. 2-15-1107


Filed              March 16, 2017
Rehearing denied   April 21, 2017



Decision Under     Appeal from the Circuit Court of Du Page County, No. 14-CM-2451;
Review             the Hon. James D. Orel, Judge, presiding.



Judgment           Affirmed.


Counsel on         Emily Eisner, of Law Office of Emily Eisner, of Chicago, for
Appeal             appellant.

                   Robert B. Berlin, State’s Attorney, of Wheaton (Lisa A. Hoffman and
                   Mary A. Fleming, Assistant State’s Attorneys, of counsel), for the
                   People.



Panel              JUSTICE BIRKETT delivered the judgment of the court, with
                   opinion.
                   Justices Hutchinson and Zenoff concurred in the judgment and
                   opinion.
                                               OPINION

¶1      Following a bench trial, defendant, Ian F. Fretch, was convicted of several offenses based
     on evidence that he knowingly exposed his penis and masturbated in the presence of G.G., a
     female minor. Defendant brings four main contentions on appeal: (1) the trial court erred in
     admitting other-acts evidence; (2) the evidence was insufficient to support defendant’s
     convictions; (3) defendant’s trial counsel was constitutionally ineffective in various respects;
     and (4) the trial court was not authorized to sentence defendant to a two-year period of
     probation to run consecutively to a 360-day term of imprisonment. We reject all four
     contentions and affirm.

¶2                                          I. BACKGROUND
¶3                       A. Rulings on Other-Acts Evidence and the Parties’
                                   Stipulation to a Partly Closed Trial
¶4       On July 20, 2014, the State brought a three-count misdemeanor complaint against
     defendant, charging him with sexual exploitation of a child (720 ILCS 5/11-9.1(a)(2) (West
     2014)), public indecency (720 ILCS 5/11-30(a)(2) (West 2014)), and disorderly conduct (720
     ILCS 5/26-1(a)(1) (West 2014)). The common allegation in all three counts was that, on July
     19, 2014, defendant knowingly exposed his penis to G.G. and masturbated. The disorderly
     conduct count additionally alleged that defendant waved his hand at G.G. while masturbating.
     G.G. was 14 years old at the time of the charged offenses.
¶5       In advance of trial, the State filed a motion in limine to introduce other-acts evidence. In its
     motion, the State described two incidents that occurred prior to the date of the charged
     offenses. The State submitted with its motion the police reports that were generated in
     connection with the incidents.
¶6       First, the State alleged that, on May 18, 2010, defendant, who was then 29 years old,
     approached C.K., a female minor, at the Elmhurst Public Library. Defendant began a
     conversation with C.K., who was using a library computer. At his request, C.K. added
     defendant to her MySpace account. Defendant then sat at a nearby computer and began to send
     C.K. sexually suggestive remarks through MySpace. Defendant asked C.K.’s age, and she
     replied that she was 14 years old. After learning this, defendant continued his overtures, stating
     that C.K. was “sexy” and asking if she would be his “sexy little girl.” At that point, C.K.
     terminated her MySpace contact with defendant and informed the library staff of the incident.
     The staff in turn notified the police, who arrested defendant. During a custodial interview,
     defendant admitted that he might have made a sexually suggestive remark to C.K. after he
     learned her age. Defendant was charged with disorderly conduct. He pled guilty and was
     sentenced to 30 days in jail.
¶7       The second alleged incident occurred on July 17, 2014, two days before the charged
     offenses. G.G. (the victim of the charged offenses) was walking with her 13-year-old friend,
     S.M., from G.G.’s home to a CVS store on North Avenue in Elmhurst. As they walked,
     defendant drove past and blew kisses at them. Later, while G.G. and S.M. were in the backyard
     of G.G.’s home, they observed defendant standing outside, a few houses away. Defendant
     blew kisses at G.G., thrust his hips at her in a “humping motion,” and then placed his finger on
     his lips, apparently signaling G.G. to be quiet.


                                                  -2-
¶8          The police report detailing the July 17 incident went on to describe G.G.’s complaint on
       which the State based the present charges. G.G. told police that, on July 19, 2014, she was
       walking on the sidewalk across the street from defendant’s home, which was two houses away
       from hers, when she observed defendant standing in his doorway. His left hand was on his
       exposed penis as he waved G.G. over with his right hand.
¶9          The State argued in its motion that the May 2010 incident was relevant as showing
       modus operandi. The State also contended that the May 2010 incident would have the further
       purpose, shared by the July 17, 2014, incident, of showing intent or absence of mistake.
       Elaborating, the State noted that it would present evidence at trial that defendant told police
       that “it was just a coincidence [that] he was masturbating as G.G. walked by.” The State
       contended that the other-acts evidence would rebut the claim of coincidence.
¶ 10        The court heard the motion in limine on the first day of trial. Defense counsel submitted
       that the May 2010 incident was too dissimilar to the charged offenses to show modus operandi.
       Counsel also suggested that it was premature for the court to decide whether the other-acts
       evidence had bearing on intent or absence of mistake because the defense had not yet decided
       whether to make intent an issue in the case. Counsel explained:
                “[W]e don’t know quite frankly yet, based on the evidence that the State has submitted
                in its brief, whether or not the defendant is admitting to the conduct that’s [sic] he’s
                being accused of or if he flat out denies it.”
       Accordingly, counsel asked the court to reserve ruling on whether the other-acts evidence was
       pertinent to intent or absence of mistake. Counsel also commented, however, that any of the
       other-acts evidence would “have an overly prejudicial effect as opposed to its probative
       value.”
¶ 11        The State asked for an immediate ruling. The State anticipated that intent would be an issue
       at trial, with defendant arguing that he “never even saw [G.G.]” when he was masturbating.
       The trial court granted the motion, finding that all of the other-acts evidence was relevant to
       show intent. The court further determined that the prejudicial impact of the evidence would not
       substantially outweigh its probative value.
¶ 12        Defendant signed a jury waiver. The State then presented a stipulation from the parties that,
       during the testimony of G.G. and S.M., the courtroom would be closed to spectators except for
       the parents of the two minors. The court confirmed with defense counsel that the defense was
       so stipulating. The court restricted the courtroom as agreed during G.G.’s and S.M.’s
       testimony.

¶ 13                                 B. Other-Acts Evidence at Trial
¶ 14       C.K. testified that, at about 2 p.m. on May 18, 2010, she was at the Elmhurst Public
       Library. She was 14 years old at the time. She was accessing her MySpace account on a library
       computer when she noticed defendant staring at her from about six feet away. The staring
       made C.K. somewhat uncomfortable, and she looked away after making eye contact with
       defendant. Defendant approached and sat down next to C.K. He made a comment about a
       nearby library patron who was not wearing shoes. C.K. laughed at the remark. Defendant
       noticed that C.K. was on MySpace. He wrote his email address on a slip of paper and told C.K.
       to add him to her MySpace account. After C.K. did so, she began receiving messages from
       defendant. In his first message he wrote, “[Y]ou’re sexy. You have sexy hips. I’m 22. How old


                                                   -3-
       are you?” C.K. wrote in response that she was 14. Defendant then commented that he felt that
       C.K. was older, perhaps 18 or 19. He asked if he could call C.K. “his sexy girl.” C.K. said in
       reply, “I’m 14, and you’re 22. That’s disgusting.” Defendant then wrote, “[Y]ou’re sexy.” At
       that point, C.K. felt frightened. She deleted defendant from her MySpace account, logged off
       the computer, and went to the front desk. The police were called, and defendant walked away.
       C.K. testified that no printout existed of her MySpace conversation with defendant.
¶ 15       Elmhurst police sergeant Michael Campise testified that, at about 7 p.m. on May 18, 2010,
       he interviewed defendant in the booking area of the police station. At the outset of the
       interview, defendant commented that he knew why Campise was there. Defendant then asked
       Campise if it was “wrong or unreasonable for a guy to check out a girl that’s [sic] wearing tight
       pants that shows [sic] off her figure.” Campise asked defendant his age. Defendant said that he
       was 29. Campise informed defendant that C.K. was only 14. Campise then asked defendant
       what occurred in the library. Defendant said that he sat down next to C.K. and “started some
       small talk” about some shoes that were under the table. C.K. invited defendant to join her
       MySpace account so that they could message each other. Defendant joined C.K.’s account and
       they began to exchange messages. Defendant admitted that some of the talk was “sexually
       suggestive.” For instance, defendant commented to C.K. that she had “a sexy, curvy look to
       her.” According to defendant, he and C.K. eventually broached the topic of age. She told him
       that she was 14, and he replied that they probably should not be talking. C.K. went to the front
       desk. At that point, defendant felt “terrible” about the conversation and wanted to apologize to
       C.K. He decided against it and left the library.
¶ 16       Campise testified that defendant initially denied making any sexual remark to C.K. after
       learning that she was 14. Later in the interview, however, defendant admitted that he “probably
       or might have” asked C.K. after learning her age if she “would be a sexy little girl.”
¶ 17       S.M. was 14 years old at the time of trial (March 17, 2015). She testified that, between 1
       p.m. and 2 p.m. on July 17, 2014, she arrived at her friend G.G.’s home on Columbia Avenue
       in Elmhurst. After a short while, the two became bored and decided to walk to the nearby CVS
       store to buy Silly String. The CVS was at the intersection of North Avenue and York Street. As
       they walked west on the south sidewalk along Columbia Avenue (an east-west road), a black
       Jeep with silver rims slowed down to keep pace with them. S.M. estimated that the Jeep was 10
       feet from them. S.M. observed that the driver’s window was halfway down. She did not get a
       clear look at the driver, but she saw that he was a male. There was no one else in the Jeep. S.M.
       saw the driver blow a kiss at her and G.G. and also wave at them. The gestures made S.M.
       uncomfortable and she turned her attention from the driver. After another minute and a half,
       the Jeep sped up past them. S.M. and G.G. took a diagonal shortcut to the CVS by passing
       through the parking lot of a Jersey Mike’s. As they neared the CVS, S.M. saw what looked like
       the same Jeep at a stoplight on York Street. This time, S.M. did not see the driver. The Jeep
       continued on York Street and turned into an alley. S.M. became concerned for their safety and
       urged G.G. to call her brother for advice. They ultimately did not call him.
¶ 18       S.M. testified that she and G.G. remained in the CVS for an hour and 15 minutes. They
       stayed so long to make sure that the Jeep had left. During their stay, they purchased Silly
       String. When they set out back toward G.G.’s home, they took the same route, including the
       shortcut. As they walked east on the south sidewalk along Columbia Avenue, approaching an
       intersection two houses from G.G.’s home, they noticed the same Jeep driving slowly a short
       distance behind them. S.M. sensed that the Jeep was following them. She and G.G. panicked

                                                   -4-
       and ran screaming to G.G.’s house to get the attention of her parents. The Jeep did not follow
       them to the house but turned at the intersection and “sped off.” S.M. did not see the driver at
       that time.
¶ 19       S.M. stated that, when they arrived at G.G.’s, her mother directed them to remain in the
       home as she went out to see if the Jeep had returned. Later, at about 4:30 p.m., S.M. and G.G.
       went to the backyard and had a “silly string fight.” As they were cleaning up the string, S.M.
       observed the same Jeep arrive next door or two houses down. The Jeep parked on a concrete
       slab at the back of the house. S.M. saw the driver exit the Jeep. She could not see him clearly,
       because her line of sight was partially obscured by a boat that was parked in G.G.’s driveway.
       The driver faced S.M. and G.G. and made a “kissy face or like a kiss motion with his hand,”
       similar to the gesture he made previously. The driver then put his finger to his lips as if telling
       them to keep quiet. After lighting a cigarette, the driver thrust his hips in G.G.’s direction in a
       “humping motion.” S.M. then looked away and stopped paying attention to the driver. She and
       G.G. finished cleaning up the Silly String, which took about five seconds, and then went inside
       the house. They continued to watch the Jeep from there. S.M. testified that she was not familiar
       with G.G.’s neighborhood and had not seen the Jeep before that day. S.M. identified defendant
       in court as the person she saw driving the Jeep.
¶ 20       G.G. testified that S.M. came to G.G.’s home at about 3 p.m. on July 17, 2014. They
       decided to walk to the CVS at North Avenue and York Street to buy Silly String. As the two
       walked along Columbia Avenue, G.G. saw a black Jeep with silver rims slowly following
       them. The driver’s window was partly down and the driver, a male, blew a kiss in their
       direction. G.G. did not recognize the driver at that time. After the driver made his gesture, G.G.
       and S.M. crossed Columbia Avenue and took a shortcut through a parking lot to the
       intersection of North Avenue and York Street. The Jeep did not follow them into the parking
       lot but proceeded to a stop sign on Columbia Avenue. According to G.G., she decided on the
       shortcut not because of the driver’s gesture, but because it was her normal route to walk to the
       CVS.
¶ 21       When G.G. and S.M. reached the CVS, G.G. saw the Jeep drive down a nearby alley. G.G.
       and S.M. spent two hours inside the CVS and purchased Silly String. They walked home using
       the same shortcut. When they were almost back home, G.G. saw the Jeep following them
       again. At the intersection of Columbia Avenue and Willow Road, which was near her house,
       the Jeep made a wide right turn onto Willow Road. The driver’s window was partly down, and
       the driver pointed at G.G. and S.M. This time, G.G. got a “good look” at the driver. He looked
       “very familiar” but she could not place him. After the driver made his gesture, G.G. and S.M.
       ran to G.G.’s home and told her mom that there was a stalker.
¶ 22       G.G. testified that, about 20 to 30 minutes after they arrived home, she and S.M. went into
       the backyard and had a fight with the Silly String. While they were outside, they observed the
       same Jeep pull into the driveway of the residence two houses down, at the corner of Columbia
       Avenue and Willow Road. When the driver exited the Jeep, G.G. finally recognized him as her
       neighbor from that residence, whom she had seen around the neighborhood for years. As
       before, the driver blew a kiss at G.G. and S.M. He also put his finger to his lips, motioning
       them to be quiet. Moreover, G.G. could “almost remember [the driver] doing like a humping
       motion.” After the driver made these gestures, G.G. and S.M. quickly cleaned up the Silly
       String and went inside. G.G. identified defendant in court as the driver of the Jeep and the
       neighbor she recalled seeing around the neighborhood. Defendant was typically smoking when

                                                    -5-
       she saw him. They had never interacted, nor had he waved to her, before July 17.

¶ 23                                        C. The Charged Incident
¶ 24        G.G. also testified to an incident that occurred two days later, on July 19, 2014. About 1
       p.m. on that date, G.G. was walking on the sidewalk on Columbia Avenue near her home. She
       was on a FaceTime video call with S.M., who was on a camping trip. G.G.’s neighbor was
       having a garage sale and other people were walking on the sidewalk. G.G. paced as she talked.
       She began by walking east from her house (away from defendant’s home). After she walked
       down about two homes, she crossed the street and walked back west, toward the intersection of
       Columbia Avenue and Willow Road. She passed her home on the opposite side of Columbia
       Avenue. When she was across from defendant’s home, she saw him on the front porch
       smoking. She then walked back east, crossed Columbia Avenue, and walked west to her home.
       She then repeated the route, walking east on Columbia Avenue. This time, when she was
       across Columbia Avenue from defendant’s home, she saw defendant inside his home. She saw
       him through the screen door, which was screened at the top but solid on the bottom. G.G. was
       “pretty sure” that defendant was removing his clothes. They made eye contact. G.G. did not tell
       anyone, because she was still on the phone with S.M. Also, she had not “put *** it together ***
       what [defendant] was doing.”
¶ 25        G.G. testified that, after seeing defendant undressing, she turned back east and walked the
       same route again. When she was across the street from defendant’s home the third time, she
       heard someone say, “Hey.” She turned and saw that it was defendant who was trying to get her
       attention. He was standing behind the screen door. The screened portion of the door was
       “below [defendant’s] waist level,” and G.G. could see that he was naked and masturbating.
       They made eye contact, and defendant “waved for [her] to come in.” He masturbated with his
       left hand and waved with his right. G.G. decided to take a photograph to prove what defendant
       was doing. Since the camera phone she was carrying was out of storage, she went back to her
       home and found an older camera phone with storage. G.G.’s mother was home but G.G. did
       not tell her what she saw. G.G. crossed the street and returned to her earlier vantage point.
       Defendant was still masturbating. G.G. did not want defendant to know that she was
       photographing him, so she pretended she was still on FaceTime when she took two or three
       photographs. When G.G. took the photos, defendant opened the screen door and thrust his
       penis through the doorway. He then shut the door and continued to masturbate. Frightened,
       G.G. ran home and told her mother that defendant was masturbating.
¶ 26        The State introduced two photographs, which G.G. identified as the photographs she took
       of defendant’s home while he was masturbating. The first photograph shows the front of the
       home, but the screened portion of the door is dark and no one is visible behind the door. The
       second photograph is a close-up image of the front porch and the screen door. G.G. testified
       that she took this image by using the zoom function of the camera phone. Behind the screen
       door is the figure of a person, who defense counsel admitted in closing argument is defendant.
       The image is grainy; defendant is visible as a flesh-colored silhouette of a head and a torso. His
       individual features are not visible. We describe the photo in greater detail below. Infra ¶ 93.
       G.G. noted that the photographs were taken before defendant opened the door and thrust his
       penis through the doorway.
¶ 27        The State’s next witness was Elmhurst police detective Steven Mandat. He testified that he
       spoke with defendant in the lock-up area of the police station on the afternoon of July 19, 2014.

                                                   -6-
       Defendant asked what was going on with the investigation. Mandat told him that the matter
       involved G.G. Defendant waived his Miranda rights and agreed to speak with Mandat, who
       then led defendant to an interview room. Mandat’s video and audio recording of the interview
       was introduced into evidence and played for the trial court.
¶ 28       The recording is 90 minutes, more than half of which shows defendant by himself in the
       interview room. The remainder of the recording is defendant’s interview with Mandat and
       another police officer. At the beginning of the interview, Mandat told defendant that the matter
       involved G.G. Defendant replied that G.G. was too young for him to be interested. Mandat
       asked defendant if he waved to G.G. two days ago while driving his Jeep. Defendant claimed
       that he did not recall seeing G.G. on that date but admitted that he might have previously
       waved to her in a “neighborly” way. Defendant denied that he is a pedophile or that he would
       ever try to lure G.G. into his Jeep. Defendant further denied that he exposed his penis to G.G.
       on July 19. Defendant admitted that he might have gone to his front door earlier that day while
       “topless.” Defendant later admitted that he was actually fully nude when he went to the front
       door. He explained that he took a bath earlier that day after finishing a plumbing project and
       was naked as he walked through the house. He admitted that, while still naked, he went to the
       front door to check whether any mail was stuck in the slot of the screen door. This involved
       opening the screen door to check the front of the door. Defendant initially stated that, as he
       checked the mail, he touched his genital area because he was itchy. Defendant later admitted
       that he was naked and masturbating to pornography while inside the house. Still naked and
       continuing to masturbate, he opened the screen door to check for stuck mail. Defendant denied
       that he saw G.G. outside while he checked the mail slot. He acknowledged that, if G.G. were
       outside unbeknownst to him, she might have misinterpreted his actions as a wave with his
       hand. Defendant denied that he found G.G. attractive.
¶ 29       On cross-examination, Mandat acknowledged that one of the interrogation tactics he used
       in the interview was to state questions or observations that assumed facts that defendant had
       yet to accept. For instance, Mandat asked defendant at one point, “What about when you were
       masturbating by your front door?” In this way, Mandat was asking defendant to “[a]ccept
       certain details of what happened.”
¶ 30       After the State rested its case, defendant testified in his own defense. Asked about the
       incident at the Elmhurst library in May 2010, defendant claimed that C.K.’s MySpace page
       reported her age as 18. Defendant claimed that he found out only after their interaction that
       C.K. was 14. Defendant also admitted, however, that C.K. “may have” told him during their
       MySpace exchange that she was 14. Defendant also “may have” found C.K. attractive.
¶ 31       Defendant further testified that, on July 17, 2014, he was residing with his parents and
       working full-time delivering appliances. He drove a Jeep when not at work. After finishing
       work at 3 p.m. on July 17, he ran errands in the Jeep. Defendant knew on July 17 that G.G. was
       his neighbor, but he did not recall seeing her or S.M. that day.
¶ 32       Defendant testified that, on July 19, he and a friend completed a plumbing project at his
       home. Defendant took his parents to the train station at 12:30 p.m. and his friend left at 2:30
       p.m. Afterward, defendant was in the house alone. He took a bath, wrapped himself in a towel
       from the waist down, and phoned for a pizza delivery to his friend’s home, where he planned to
       join him later. Still wearing just the towel, he went to the front of the house to close the inner
       door, which had been left open to let air through the screen door. He did not open the screen
       door. He did not see G.G. outside when he was at the door. Defendant denied that he was naked

                                                   -7-
       from the waist down or masturbating while at the door. Defendant claimed that G.G. was too
       young to be attractive to him. Defendant denied that he has a “thing” for 14-year-old girls or an
       interest in public masturbation.
¶ 33       Defendant was shown the two photographs taken by G.G. Defendant claimed that he could
       not tell from the close-up photograph of the door and the porch whether he was facing outside.
       According to defendant, he would have faced the inner door while preparing to close it.
¶ 34       As to the interview with Mandat, defendant denied that he said that he masturbated at his
       front door on July 19. He testified that his references to masturbation were in the nature of a
       hypothetical. Mandat was offering hypotheticals and defendant was “giving him hypotheticals
       back.” Defendant was “flustered” and “very confused” by Mandat’s rapid questions. Because
       of the “suggestive nature” of those questions, defendant “didn’t think [he] was free.”
¶ 35       In closing argument, defense counsel asserted, consistently with defendant’s testimony,
       that at no time on the afternoon of July 19 was defendant nude or masturbating at his front
       door. Counsel acknowledged that the close-up photo of defendant’s home showed him inside
       the screen door, but counsel denied that the photo corroborated G.G.’s account in any further
       respect. Counsel further argued that defendant’s confession to Mandat was not truthful but
       rather was defendant’s adoption of a false narrative suggested by Mandat.

¶ 36                                     D. The Trial Court’s Ruling
¶ 37       The trial court found defendant guilty on all three counts. The court considered the case
       one of “credibility” and found G.G. and S.M. “extremely credible with great recall of the
       events.” The court accepted their accounts of July 17 as well as G.G.’s account of July 19. The
       court considered defendant’s statement to Mandat that, on the afternoon of July 19, he was
       naked and masturbating when he opened his screen door to check for mail. The court rejected
       defendant’s suggestion at trial that he was only addressing hypotheticals in the interview with
       Mandat. Thus, the court found that defendant was speaking truthfully when he admitted that he
       went to the front door while naked and masturbating. The court found that the May 2010
       library incident involving C.K. and the July 17 incidents involving G.G. and S.M. were
       pertinent to the issue of intent, specifically, to whether defendant knowingly exposed his penis
       and masturbated in G.G.’s presence. The court further found that G.G.’s close-up photograph
       of the front door, albeit “not specifically clear,” showed a “total[ly] naked man” behind the
       screen door. As such, the photo corroborated G.G.’s account of the events on July 19 as well as
       defendant’s admission to Mandat that he went to his front door while naked and masturbating.
¶ 38       On the sexual-exploitation and public-indecency counts, both Class A misdemeanors (see
       720 ILCS 5/11-9.1(a)(2), 11-30(a)(2) (West 2014)), the court sentenced defendant to 360 days
       in jail and two years of probation. The court imposed a 30-day concurrent jail term on the
       disorderly conduct count. The court granted credit against both sentences for the 188 days
       defendant had spent in custody.

¶ 39                                        E. Posttrial Motions
¶ 40       Defendant, by new counsel, filed two posttrial motions. The first was a motion for
       judgment notwithstanding the verdict or for a new trial. The motion brought multiple
       allegations of error, including a claim of ineffective assistance of trial counsel. After hearing
       argument on the motion, the trial court denied it except for the claim that one of defendant’s


                                                   -8-
       convictions violated the one-act, one-crime doctrine. See People v. Johnson, 368 Ill. App. 3d
       1146, 1163 (2006) (“The one-act, one-crime doctrine prohibits multiple convictions when (1)
       the convictions are carved from precisely the same physical act or (2) one of the offenses is a
       lesser-included offense of the other.”). The court determined that the sexual-exploitation and
       public-indecency convictions were based on the same act. Consequently, the court vacated the
       public-indecency conviction. We discuss other aspects of the motion in our analysis below.
       Infra ¶¶ 116-41.
¶ 41       The second posttrial motion was a motion to reduce the sentence. Defendant construed the
       applicable sentencing provisions to mean that, for a Class A misdemeanor, any combination of
       imprisonment and probation must not in the aggregate exceed the maximum term of
       imprisonment allowable for such a misdemeanor, which is 364 days. See 730 ILCS
       5/5-4.5-55(a) (West 2014) (for a Class A misdemeanor, “[t]he sentence of imprisonment shall
       be a determinate sentence of less than one year”); 730 ILCS 5/5-6-2(f) (West 2014) (“The
       court may impose a term of probation that is concurrent or consecutive to a term of
       imprisonment so long as the maximum term imposed does not exceed the maximum term
       provided under Article 4.5 of Chapter V [(730 ILCS 5/5-4.5-5 et seq. (West 2014))] or Article
       8 of this Chapter [(730 ILCS 5/5-8-1 et seq. (West 2014))].”). Defendant submitted that, since
       he had already served 360 days in jail (given good-time credit), a term of probation would
       exceed the statutory limit of 364 days. The trial court rejected defendant’s interpretation of the
       sentencing statutes. The court retained the sentence of probation but reduced the term of
       imprisonment to 180 days to reflect time served.
¶ 42       Defendant filed this timely appeal.

¶ 43                                       II. ANALYSIS
¶ 44      Defendant raises several contentions on appeal. We address them as follows.

¶ 45                                      A. Other-Acts Evidence
¶ 46       Defendant challenges the admission of the State’s other-acts evidence, which consist of (1)
       defendant’s interaction with C.K. in May 2010, in which he persisted with his sexually charged
       overture even after learning that she was 14 years old and (2) defendant’s conduct on July 17,
       2014 (two days before the charged offenses), where he followed G.G. and S.M. in his Jeep and
       blew kisses and made a “humping” motion at them. Defendant argues that this evidence was
       inadmissible because it was relevant only to show that he had a propensity to target underage
       girls. Defendant is incorrect.
¶ 47       Illinois Rule of Evidence 404(b) (eff. Jan. 1, 2011) provides that, with certain exceptions
       not pertinent here, “[e]vidence of other crimes, wrongs, or acts is not admissible to prove the
       character of a person in order to show action in conformity therewith.” However, such
       evidence “may *** be admissible for other purposes, such as proof of motive, opportunity,
       intent, preparation, plan, knowledge, identity, or absence of mistake or accident.” Id. Rule
       404(b) codifies the common-law rule that “[e]vidence of a crime or other bad acts for which a
       defendant is not on trial is inadmissible if relevant merely to establish the defendant’s
       propensity to commit crime.” People v. McGee, 2015 IL App (1st) 122000, ¶ 25. “Evidence of
       other crimes [or bad acts] is objectionable not because it has little probative value, but rather
       because it has too much.” People v. Manning, 182 Ill. 2d 193, 213 (1998). The danger is that
       the fact finder will “convict the defendant only because it feels that defendant is a bad person

                                                   -9-
       who deserves punishment.” Id. at 213-14. “[T]he law distrusts the inference that, because a
       person committed other crimes or bad conduct, he is more likely to have committed the crime
       charged.” People v. Brown, 319 Ill. App. 3d 89, 99 (2001). Thus, where the other-acts evidence
       “has no value beyond that inference, it is excluded.” (Internal quotation marks omitted.)
       Manning, 182 Ill. 2d at 214. Even other-acts evidence that is relevant for a proper purpose will
       be excluded if its probative value is substantially outweighed by the danger of unfair prejudice.
       People v. Pikes, 2013 IL 115171, ¶ 11; see also Ill. R. Evid. 405 (eff. Jan. 1, 2011). The trial
       court’s admission of other-acts evidence will be upheld on appeal unless the court abused its
       discretion. People v. Donoho, 204 Ill. 2d 159, 182 (2003). A trial court abuses its discretion
       when no reasonable person would take the view adopted by the trial court. Lake
       Environmental, Inc. v. Arnold, 2015 IL 118110, ¶ 16.
¶ 48        The trial court here found that the other-acts evidence was pertinent to defendant’s intent in
       the alleged act of exposing his penis to G.G. and masturbating in his front doorway. Count I of
       the complaint charged sexual exploitation of a child, which occurs when a person “in the
       presence or virtual presence, or both, of a child and with knowledge that a child *** would
       view [his] acts, *** exposes [his] sex organs *** for the purpose of sexual arousal or
       gratification of such person or the child.” 720 ILCS 5/11-9.1(a)(2) (West 2014). Count II, the
       conviction of which was later vacated pursuant to the one-act, one-crime rule, charged public
       indecency. That offense occurs when a person “performs *** in a public place *** [a] lewd
       exposure of the body done with intent to arouse or to satisfy the sexual desire of the person.”
       720 ILCS 5/11-30(a)(2) (West 2014). Count III charged disorderly conduct, which occurs
       when a person “knowingly *** [d]oes any act in such unreasonable manner as to alarm or
       disturb another and to provoke a breach of the peace.” 720 ILCS 5/26-1(a)(1) (West 2014). All
       three counts alleged that defendant was aware of G.G.’s presence across the street when he
       exposed his penis and masturbated. The trial court specifically found that the evidence of
       defendant’s prior lewd conduct toward G.G. and other underage girls challenged defendant’s
       statement to Mandat that he had no intent to expose himself to G.G. or anyone else when he
       was naked and masturbated at his front door on the afternoon of July 19.
¶ 49        We address first defendant’s contention that, because he did not make intent an issue at
       trial, the trial court could not properly admit the other-acts evidence as to intent. Defendant
       observes that, in closing argument, defense counsel’s position was not that defendant
       masturbated at his door without the requisite intent, but that he simply did not masturbate at his
       door. Thus, according to defendant, he presented no theory on intent at all. Defendant
       compares this case on the facts to People v. Illgen, 145 Ill. 2d 353 (1991), where the admission
       of other-acts evidence was upheld, and to People v. Hansen, 313 Ill. App. 3d 491 (2000),
       People v. Bobo, 278 Ill. App. 3d 130 (1996), and People v. Gibbs, 226 Ill. App. 3d 1068
       (1992), where the admission of other-acts evidence was reversed. Defendant claims that this
       case is closer factually to Hansen, Bobo, and Gibbs than to Illgen.
¶ 50        We begin our discussion with a more recent supreme court case, People v. Wilson, 214 Ill.
       2d 127 (2005), where the court addressed whether other-acts evidence was properly admitted
       in the defendant’s prosecution for aggravated criminal sexual abuse. The information alleged
       that the defendant, a school teacher, touched the breasts of two female students for sexual
       gratification. The trial court granted the State’s motion to introduce the testimony of other
       students who claimed that the defendant touched them in a sexual way. The supreme court



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       affirmed the admission of the other-acts evidence. The court began its discussion by noting a
       split in the case law over the grounds for admission of other-acts evidence as to intent:
                    “Aggravated criminal sexual abuse, as it was charged here, is a specific-intent
                crime—the State must show defendant intentionally or knowingly touched the victim
                on the breast for purposes of sexual gratification. In cases involving specific-intent
                crimes, some courts hold that intent is automatically at issue for purposes of deciding
                whether to admit other-crimes evidence, regardless of whether the defendant has made
                intent an issue in the case. [Citations.] Other courts have taken the opposite approach.
                [Citation.]” Id. at 137.
       Thus, the court attempted to stake out the divergent positions on a threshold requirement for
       admission of other-acts evidence on intent: that intent be “at issue” in the case. This basic
       requirement has a long pedigree in Illinois. See People v. Lane, 300 Ill. 422, 424 (1921)
       (“[W]here the intent with which an alleged offense has been committed is a material element of
       the charge and becomes an issue on the trial, proof of former similar offenses within certain
       reasonable limits, may be received *** for the purpose of showing [the defendant’s]
       knowledge and guilty intent.” (Emphasis added.)); People v. Davis, 248 Ill. App. 3d 886, 892
       (1993) (“Other crimes evidence may not be used to show intent or motive when intent or
       motive is not an issue in the case.” (Emphasis added.)). The Wilson court noted the following
       two opposing positions on when intent is at issue in a case: (1) intent is automatically at issue
       whenever the charged offense is a specific-intent crime, and (2) intent is at issue only where the
       defendant makes intent an issue.
¶ 51       The Wilson court cited a case from this district, People v. Deenadayalu, 331 Ill. App. 3d
       442 (2002), as standing for the position that intent is automatically at issue, for purposes of
       other-acts evidence, where the alleged offense is a specific-intent crime. Interestingly, the
       Wilson court did not cite any Illinois decision for the “opposite approach”; the court cited only
       a Vermont decision, State v. Lipka, 817 A.2d 27 (Vt. 2002). The court in Lipka subscribed to
       the general proposition that, “[t]o be admissible, *** prior bad act evidence must be relevant to
       ‘an element of the offense or the defense that is genuinely in issue.’ ” (Emphasis added.) Id. at
       38 (quoting State v. Winter, 648 A.2d 624, 627 (Vt. 1994)). The court in Lipka held that intent
       was not genuinely at issue in that case, a prosecution for sex offenses against a child, because
       the defendant did not claim accident or lack of criminal intent as a defense, but rather denied
       that the alleged contact occurred at all. Id. at 40.
¶ 52       The Wilson court did not decide between the two positions it acknowledged. The court did
       not say why it was abstaining, but evidently the court believed that it did not have to take a
       position. Immediately after citing Lipka, the court made these comments:
                    “Defendant is mistaken that his intent was not at issue simply because he
                maintained that he had never actually touched the victims’ breasts. Defendant’s
                argument ignores the inferences that can be drawn from the testimony of the witnesses
                and the statements made by his counsel during opening and closing argument.
                Defendant testified that he liked to touch students. There was evidence presented that
                he was a ‘touchy feely type person,’ who often placed his hands on students. The
                victims’ testimony indicated that defendant’s sexual touching was subtle. Defendant
                himself testified that one of the victims ‘misinterpreted’ his actions in touching her
                breasts. The jury could have believed that defendant was either mistaken or lying about
                his touching of female students in a sexual manner. Apparently aware of this

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                possibility, defense counsel acknowledged that defendant is the kind of person that
                touches people, but even if there was contact with the victims, it was merely incidental
                contact and not for sexual arousal. Thus, defense counsel raised motive, intent and the
                possibility that any of the complained-of touching was inadvertent in such a way that
                the jury could acquit defendant even if it believed that he actually touched the victims’
                breasts. A defendant may not use ambiguity by denying commission of the act that
                comprises the offense, thereby seeking to bar other-crimes evidence, while at the same
                time leaving room to argue lack of intent to the jury. [Citation.] Under the
                circumstances presented here, we find that defendant’s intent was a genuine issue in the
                case.” Wilson, 214 Ill. 2d at 137-38.
       Thus, the Wilson court determined that intent was at issue because the defendant made intent
       an issue. Evidently because the facts in the case met the criteria of both approaches—the
       alleged crime was a specific-intent crime and the defendant made intent an issue—the court
       felt that it was unnecessary to decide which approach to adopt and therefore decided to remain
       neutral.
¶ 53        While at least two of the three charged offenses in this case were specific-intent crimes, we
       hesitate to find that intent was at issue simply on that basis. The reason is that, as we examine
       Deenadayalu, we do not find that our decision suggested that “[i]n cases involving
       specific-intent crimes ***, intent is automatically at issue for purposes of deciding whether to
       admit other-crimes evidence, regardless of whether the defendant has made intent an issue in
       the case.” Id. at 137. We also do not find any such suggestion in the cases on which we relied in
       Deenadayalu.
¶ 54        The defendant in Deenadayalu was charged with criminal sexual abuse and battery. The
       victim testified that the defendant touched her inappropriately during a medical exam. The
       court granted the State’s motion to introduce the testimony of other patients who claimed that
       the defendant touched them inappropriately during exams. Upholding the admission of this
       other-acts evidence, we observed that “Illinois courts have held that other-crimes evidence is
       relevant in a sexual assault prosecution to prove the defendant’s intent or lack of an innocent
       frame of mind.” Deenadayalu, 331 Ill. App. 3d at 448. We cited three cases for this
       proposition: People v. Luczak, 306 Ill. App. 3d 319 (1999), People v. Harris, 297 Ill. App. 3d
       1073 (1998), and People v. Johnson, 239 Ill. App. 3d 1064 (1992). In all three cases, the First
       District Appellate Court upheld the admission of other-acts evidence on intent. The court’s
       holdings, however, were based not on whether the charged offenses were specific-intent
       crimes, but on whether the defendant made intent an issue.
¶ 55        In Harris and Johnson, the court upheld the admission of other-acts evidence because in
       each case the defendant admitted that he had sex with the victim but claimed that the sex was
       consensual. See Harris, 297 Ill. App. 3d at 1086 (“The defense suggests that N.G. consented to
       have sexual intercourse with defendant. Because this evidence of prior conduct tends to show
       that defendant did not act with an innocent intent, the trial court did not abuse its discretion in
       its admission.”); Johnson, 239 Ill. App. 3d at 1075 (“Since defendant claims that complainant
       consented to his advances, it was appropriate *** to admit the prior crime evidence and allow
       the jury to determine if he acted with an innocent frame of mind.”).
¶ 56        By contrast, in Luczak, the defendant did not admit to having sex with the victim, S.S., who
       testified that the defendant raped her in his car. The defendant did admit that S.S. accepted his
       offer of a ride on the night in question. The trial court allowed the State to present testimony

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       from another woman who claimed that the defendant offered her a ride and then raped her in
       his car. The appellate court affirmed, holding that the evidence of the prior assault was
       pertinent to the defendant’s intent in offering S.S. a ride on the night in question:
                    “Although defendant contended no sexual conduct occurred between him and S.S.,
                he did claim that he and S.S. were together in his car. Defendant’s testimony and S.S.’s
                testimony agreed that defendant offered her a ride, drove her to her house, and that they
                both left S.S.’s house in defendant’s car. From there, the testimony substantially
                differed. S.S. testified that defendant drove to the southeast side of Chicago, threatened
                her, and eventually attacked her. Defendant, however, testified that he only possessed
                an intent to assist S.S. in purchasing cocaine and stated he briefly drove her to a friend’s
                house and to a McDonald’s restaurant. Clearly, defendant’s intent was a central issue
                for the jury to decide. Therefore, evidence of defendant’s prior crime was relevant to
                show defendant’s intent at the time he was with the victim, specifically that defendant’s
                intent was to sexually assault the victim.
                                                      ***
                    In this case, defendant’s intent for offering and giving S.S. a ride was in dispute.
                Defendant did not deny that S.S. was with him on the date of the alleged crime and at
                the place of the alleged crime, defendant’s vehicle. Therefore, evidence of defendant’s
                other crime was not only relevant to prove defendant’s criminal intent to commit a
                forced sexual assault on S.S. but to show defendant’s intent for seeking out the victim
                and being with the victim, a contested issue at trial.” Luczak, 306 Ill. App. 3d at 325-26.
¶ 57       In Deenadayalu, 331 Ill. App. 3d at 448, after setting forth the facts and holdings of the
       foregoing three cases, we said:
                    “In the present case, the trial court found that the evidence of the defendant’s other
                acts of sexual misconduct was relevant to establish intent and the absence of mistake.
                On the basis of the principles outlined above, we cannot say that such a determination
                constituted an abuse of discretion.”
       Explaining this conclusion, we first noted the similarities between the abuse alleged by the
       victim and the abuse alleged by the other patients. Id. at 448-49. We followed those
       observations with these remarks:
                    “Additionally, as in Luczak, the other-crimes evidence in this case [is] particularly
                relevant because the defendant denied that any sexual conduct occurred between him
                and the victim. The defendant testified that the victim mistook the nature and the
                location of his touching during the examination. The defendant also asserted that the
                victim mistook the wallet in his pocket for an erection. In light of the conflicting
                testimony between the victim and the defendant, intent and the absence of mistake
                were crucial issues for the trial court to decide.” Id. at 449.
       Thus, like the First District in Luczak, Harris, and Johnson, we looked to the nature of the
       defense to determine if intent was at issue.
¶ 58       We now return to the cases defendant cites: Illgen, Hansen, Bobo, and Gibbs. We begin
       with Hansen and Gibbs since they clearly provide no guidance on the present question.
¶ 59       In Hansen, the defendant was charged with the October 1955 murder of three teenage boys
       whose bodies were found naked in a forest preserve. The State presented witnesses who
       testified that the defendant told them that he picked up the boys while they were hitchhiking,

                                                    - 13 -
       had sex with them at a horse stable, and killed them after they threatened to disclose the
       incident. The State introduced other-acts evidence that, from the 1950s through the 1970s, it
       was the defendant’s practice to pick up young male hitchhikers and have sex with them. On
       appeal, the State suggested that the evidence was “relevant to the issues of motive and intent.”
       Hansen, 313 Ill. App. 3d at 501. Specifically, the State contended that the defendant’s practice
       of picking up young male hitchhikers for sex corroborated the witnesses’ testimony that the
       defendant told them that his motive for killing the victims was to conceal his sexual activity
       with them. The appellate court rejected this claim of relevancy. Id. at 501-02.
¶ 60       Hansen is inapposite. We are concerned here with what makes intent an issue in a case.
       Apparently there was no question that intent was at issue in Hansen. The court addressed only
       whether the State’s other-acts evidence was relevant to the issue of intent.
¶ 61       In Gibbs, the defendant was tried for aggravated battery involving a police officer. The
       officer testified that the defendant attempted to punch and kick him during a traffic stop. The
       officer partly blocked the blows. During the skirmish, the two fell to the ground. The defendant
       presented three witnesses who testified that the officer and the defendant fell to the ground
       because they both slipped on ice after the officer attempted to pull the defendant toward him.
       The trial court permitted the State to introduce evidence that the defendant was violent with
       another officer during a prior arrest. On appeal, the State defended the admission of the
       other-acts evidence, asserting that “the defense presented was that the incident resulted from
       an innocent frame of mind on the defendant’s part and that given the conflicting evidence
       presented in the case, the defendant’s intent became the controlling issue.” Gibbs, 226 Ill. App.
       3d at 1072. The appellate court disagreed that the defense presented was one of accident, and it
       held that the other-acts evidence was erroneously admitted. Id. at 1072-73.
¶ 62       Gibbs is of no help here because the court did not explain its conclusion that a defense of
       accident was not presented. The court might have believed that the testimony of the three
       witnesses, which concerned the mechanics of the fall itself, did not in strict terms constitute a
       defense to the officer’s allegation of blows that preceded the fall. Since we can only speculate
       as to the court’s reasons, Gibbs is not illuminating.
¶ 63       We turn to Illgen and Bobo. In Illgen, the defendant was charged with the intentional
       shooting death of his wife. The supreme court affirmed the trial court’s admission of evidence
       that the defendant had abused the victim in the past. The court found that this other-acts
       evidence was relevant to intent, as the defendant claimed at trial that the shooting was
       accidental. Illgen, 145 Ill. 2d at 366.
¶ 64       In Bobo, the defendant, a high school teacher, was tried for sexually abusing a student. The
       victim testified that, when she went to the defendant’s office on the day in question to get
       aspirin for a headache, the defendant touched her inappropriately. The trial court permitted the
       State to introduce “evidence of other wrongful acts, allegedly committed by defendant against
       several other female students, to show intent and/or motive and/or knowledge.” Bobo, 278 Ill.
       App. 3d at 132-33. The appellate court held that this was error. The court explained that the
       defendant “denied that the entire incident with [the victim] ever occurred; he did not claim he
       accidentally touched her, nor did he give some other type of excuse.” Id. at 133.
¶ 65       Bobo, we note, was distinguished by the court in Luczak. The defendant in Luczak argued
       that Bobo governed because, like the defendant in Bobo, he did not make an issue of his intent
       in having sexual contact with the victim but rather denied such contact altogether. The court in
       Luczak rejected the comparison. The critical difference, said the court, was that the defendant

                                                  - 14 -
       in Luczak admitted that he was with the victim on the night in question, but the defendant in
       Bobo denied being with the victim when the alleged offense occurred. Luczak, 306 Ill. App. 3d
       at 325. The question of intent in Luczak was specifically about the defendant’s intent in
       initiating his interaction with the victim. Id. at 325-26.
¶ 66        We can place into two groups the cases we have discussed in which the reviewing court
       found that the defense made intent an issue at trial: (1) cases in which the defendant admitted in
       some part to the acts underlying the offense (the actus reus) but denied that he had the requisite
       intent for the offense (Illgen, Harris, Johnson) and (2) cases in which the defendant did not
       admit to the acts underlying the offense but did admit at least that he was with the victim at the
       time in question and the evidence raised questions about the defendant’s conduct and intent
       toward the victim during that time (Wilson, Deenadayalu, Luczak). Where the defense at trial
       involves no admissions or acknowledgements consistent with scenario (1) or (2), then the
       defense has not made intent an issue (Bobo).
¶ 67        The present case is closer to group (2) than group (1). The defense employed at trial was
       not analogous to the defenses employed in Illgen, Harris, and Johnson. That is, the defense
       was not that defendant masturbated in the nude in his doorway on the afternoon of July 19 but
       lacked the necessary criminal intent. Rather, defendant denied that he masturbated at all in his
       doorway on the afternoon of July 19 (thus defendant contradicted his statement to Mandat).
       Nonetheless, defendant made intent an issue at trial. He claimed that he took a bath on the
       afternoon of July 19 and, while wrapped in a towel from the waist down, went to shut the inner
       door. Defendant denied that he went to the front door in order to expose himself. In closing
       argument, defense counsel acknowledged that G.G.’s close-up photo of the house showed
       defendant behind the screen door, but counsel denied that it showed him masturbating. Thus,
       while the defense did not admit that defendant masturbated at his front door on the afternoon of
       July 19, the defense did admit that defendant was at his front door during that period and was
       photographed by G.G. Defendant’s and G.G.’s conflicting accounts of what defendant did at
       his door raised a question of his intent in being at the door. Like the defendant in Luczak,
       defendant’s testimony at trial placed him where the crime allegedly took place and disputed the
       State’s theory as to the intent behind his presence.
¶ 68        We reject defendant’s assertion that the other-acts evidence lacked probative value
       because, in offering it, the State simply assumed that defendant was aware that G.G. was
       outside—a point he consistently disputed not only at trial but also in his statement to Mandat.
       Without knowledge, defendant asserts, there can be no intent. Defendant’s point lacks merit.
       The State offered independent evidence that defendant was aware that G.G. was outside. For
       instance, G.G. testified that defendant waved and called to her as she was walking across the
       street. Defendant cites no authority to suggest that the other-acts evidence had to pertain to
       both intent and knowledge.
¶ 69        Defendant’s other objections to the other-acts evidence are specific to the particular facts
       of the prior acts. The State adduced evidence that, on May 18, 2010 (four years prior to the
       charged offenses), defendant approached C.K. at the public library and made sexually
       suggestive remarks to her after he was added to her MySpace account. After C.K. revealed that
       she was 14 years old, defendant continued with remarks of the same tenor, stating that C.K.
       was “sexy” and asking if she would be his “sexy girl.” The State also introduced evidence that,
       on July 17, 2014 (two days before the charged incident), defendant followed G.G. and S.M. in
       his Jeep, waved at them, blew kisses at them, and later made a “humping” motion toward them.

                                                   - 15 -
¶ 70        Defendant claims that none of the incidents were similar enough to the charged incident.
       Other-acts evidence must “bear[ ] some threshold similarity to the crime charged.” Wilson, 214
       Ill. 2d at 136. However, except where the evidence is offered to show modus operandi, “mere
       general areas of similarity will be sufficient to allow the evidence to be admitted in such
       cases.” Id. at 141.
¶ 71        As to the May 18, 2010, incident, defendant states:
                “[C.K.] was a stranger; [G.G.] was a neighbor. [On May 18], [defendant] had been
                making small-talk; the present charges were devoid of conversation. [On May 18], the
                engagement was a computer chat with unwanted flirtation; the present allegations were
                nothing of the kind. [On May 18], [defendant] approached [C.K.] in a library; [G.G.]
                was the party who initiated the alleged encounter from across the street of [defendant’s]
                home. Even the age of the minors was less a similarity than a happenstance, because
                [defendant’s] awareness of [C.K.’s age] was disputed, in contrast to the current case,
                where [defendant] knew the youth of [G.G.] whom he simply never saw that day at all.”
¶ 72        As to the July 17, 2014, incident, he states:
                “[It] was not the same day. It was different conduct. It had a different manner; there
                was no [J]eep or [S.M.] on Saturday [July 19]. *** On these facts, blowing kisses on
                Thursday [July 17] showed nothing more than an inclination to blow kisses on
                Thursday. ‘Intent’ was a ruse to show an immoral propensity to be ‘bad’ on Thursday
                and Saturday alike.”
¶ 73        Defendant’s claims of dissimilarity are without merit. First, the incidents on July 17 and
       July 19 both involved G.G. Defendant futilely attempts to draw a distinction by noting that
       S.M. was with G.G. on July 17 but was absent on July 19. But defendant’s conduct on July 19
       confirmed his prurient interest in G.G., whether or not he was also interested in S.M. A
       defendant’s prior conduct toward the victim can be relevant to intent and other proper
       considerations. See Illgen, 145 Ill. 2d at 366 (evidence of the defendant’s prior abuse of the
       victim was relevant to whether he killed her intentionally); People v. Kissinger, 116 Ill. App.
       3d 826, 831 (1983) (the defendant’s harassment of the victim, who was Jewish, by sending him
       magazine subscriptions falsely addressed to a German war criminal and other German military
       figures was relevant to show the defendant’s involvement in a scheme to fraudulently charge
       mailgrams to the victim). Defendant’s unseemly gestures toward G.G. on July 17 made it more
       likely that his exposure of his penis in her presence on July 19 was intentional and not
       accidental.
¶ 74        Moreover, it is reasonable to infer, as did the trial court, that defendant’s gestures on July
       17 were directed toward S.M. as well as G.G. Defendant’s conduct on July 17 and 19, together
       with his conduct toward C.K. in May 2010, manifested not only a prurient interest in female
       minors but a willingness to act on that interest in a brazen, persistent manner. In May 2010, he
       made sexual overtures to C.K. and continued them even after she told him her age. On July 17,
       defendant followed S.M. and G.G. in his Jeep and made suggestive gestures two separate
       times. On July 19, he escalated his deviance toward G.G. by masturbating in her presence.
       There was adequate similarity between the prior acts and the charged incident.
¶ 75        Defendant claims, however, that to base an inference regarding his conduct of July 19 on
       defendant’s sexual interest in female minors is to rely inappropriately on propensity. First, as
       noted, the State’s evidence did not show simply a general deviant interest in female minors.
       The State presented evidence that defendant expressed a prior interest specifically in G.G., the

                                                   - 16 -
       victim of the charged offenses. As noted, prior acts toward the victim are relevant in their own
       right. See Illgen, 145 Ill. 2d at 366; Kissinger, 116 Ill. App. 3d at 831.
¶ 76       Moreover, evidence of defendant’s general interest in female minors was proper as well.
       Defendant misunderstands the parameters on other-acts evidence. Certainly, the law does not
       permit the inference that because the defendant has committed some bad act or crime, he must
       have committed the charged offense. Just the same, the law does not shield a defendant from
       proof of his particular tendencies or patterns of conduct as they might bear logically on
       whether he acted in conformity with them in committing the charged offense. “The case law
       fully establishes that the State may adduce evidence of the defendant’s proclivities or past
       conduct in order to prove intent or knowledge in the case sub judice.” People v. Gumila, 2012
       IL App (2d) 110761, ¶ 54 (the internal records in the defendant’s computer showing prior
       visits to websites with child pornography were admissible as other-acts evidence to show that
       the defendant knowingly and voluntarily possessed images of child pornography found on his
       computer’s hard drive). More specific to the present case, a defendant’s prior conduct toward
       “the victim or persons in the same class of the victim” is admissible to show intent. (Emphasis
       added.) Illgen, 145 Ill. 2d at 367.
¶ 77       We note several cases illustrating this point. For example, in People v. Patterson, 2013 IL
       App (4th) 120287, ¶ 85, the defendant’s acts of domestic abuse against prior girlfriends were
       held to be relevant to whether his current girlfriend’s injuries were inflicted by him with intent
       to kill or instead were accidentally aggravated and ultimately fatal when he dragged her away
       after the assault.
¶ 78       In People v. Dewey, 42 Ill. 2d 148 (1969), the defendant was charged with the murder of an
       11-year-old girl. The defendant admitted that he struck the victim with his car, but he claimed
       that the death was accidental. The supreme court upheld the admission of other-acts evidence
       that the defendant attempted to pick up girls of “the same age,” ages 12 to 13, on prior
       occasions. Id. at 157. The court held that the evidence was relevant to whether the victim’s
       death was accidental, as the defendant claimed. Id.
¶ 79       In People v. Rachel, 123 Ill. App. 3d 600 (1984), the defendant was tried for home
       invasion, battery, and indecent liberties with a child. The State presented testimony that four
       sisters, ages 8 through 16, were home alone when the defendant approached a bedroom
       window and asked two of the sisters if their mother was home. When the two sisters said that
       the mother was out, the defendant walked around the house, entered through the front door,
       and assaulted one of the other sisters who was sleeping on the living room couch. The
       defendant then fled. At trial, the defendant gave an innocent explanation for entering the home
       and denied that he assaulted anyone inside. Id. at 601-02. The State introduced evidence that,
       earlier on the evening of the charged offense, the defendant followed and approached two girls,
       both 13, who were walking near the victims’ home. Id. at 605-06. The appellate court upheld
       the admission of the evidence, finding that the defendant’s “conduct towards the first two
       young girls *** was probative of his intent and motivation when he entered the [victims’]
       home.” Id. at 606.
¶ 80       Likewise, in the present case, defendant’s prior unseemly demonstrations of a sexual
       interest in a particular class of victim, namely female minors, was probative as to whether he
       intended to expose his penis to G.G.
¶ 81       Defendant makes several other points, but they all fail. First, although it was, as defendant
       notes, “disputed” at trial whether he was aware when he made his advances toward C.K. that

                                                   - 17 -
       she was 14 years old, the trial court believed C.K. over defendant on that question. We will not
       disturb that credibility determination. See Lake County Grading Co. of Libertyville, Inc. v.
       Advance Mechanical Contractors, Inc., 275 Ill. App. 3d 452, 463-64 (1995) (“In a bench trial,
       as the finder of fact, the trial judge is in a superior position to observe the demeanor of the
       witnesses while testifying, to judge their credibility, and to determine the weight their
       testimony should receive.”). Therefore, for purposes of judging the admissibility of the May
       2010 incident, we take it as a fact that defendant continued his sexually charged remarks to
       C.K. after she disclosed that she was underage.
¶ 82        We also disagree that the May 2010 incident was too remote in time from the July 2014
       charged conduct. The governing principles are as follows:
                    “As a general rule, other offenses which are close in time to the charged offense
                will have more probative value than those which are remote. Nevertheless, the
                admissibility of other-crimes evidence should not, and indeed cannot, be controlled
                solely by the number of years that have elapsed between the prior offense and the crime
                charged. The decision whether to admit or exclude such evidence must be made on a
                case-by-case basis by the trial judge responsible for evaluating the probative value of
                the evidence.” Illgen, 145 Ill. 2d at 370.
       The probative value of the May 2010 incident was not lessened by the four-year gap.
       Admission of other-acts evidence of far greater remoteness has been upheld. See id. (16 years);
       People v. Davis, 260 Ill. App. 3d 176, 192 (1994) (20 years).
¶ 83        Also without merit is defendant’s insinuation that his blowing of kisses at G.G. and S.M.
       was a capricious act that signaled no underlying sinister interest. Defendant fails to
       acknowledge that G.G. and S.M. testified that defendant later made a sexually suggestive
       “humping” motion toward them. If this did not of itself eliminate the possibility of an innocent
       explanation for the kiss-blowing, it certainly did in combination with the obscene display
       directed at G.G. on July 19. The similarity of defendant’s conduct on July 17 to his conduct on
       July 19 was apparent on its face: his gestures on both days were various expressions of a
       prurient interest in G.G.
¶ 84        We reject, too, as bordering on the absurd, defendant’s suggestion that G.G. “initiated the
       alleged encounter” on July 19 by walking on the sidewalk across the street from defendant’s
       home. The evidence clearly showed defendant as the initiator or, more aptly, the provocateur,
       just as he had been with respect to C.K. While there are undeniable differences between the
       library incident and the charged occurrence, they do not obscure the critical fact that in both
       instances defendant manifested, through unwelcome conduct, a sexual interest in a 14-year-old
       girl.
¶ 85        Next, defendant claims that, even if the other-acts evidence was properly admitted, he is
       still entitled to relief because the State exceeded its boundaries in presenting and arguing the
       evidence. First, defendant claims that the State created a “trial within a trial” in presenting the
       other-acts evidence. See People v. Robinson, 167 Ill. 2d 53, 66-67 (1995) (“[A] trial court
       should carefully limit evidence of other crimes to that which is relevant for the purpose it was
       admitted. [Citation.] In this way, the trial court can limit prejudice to the defendant and prevent
       a ‘mini-trial’ on collateral issues.”). Defendant submits that the State’s presentation was
       excessive not only in terms of sheer volume (three witnesses—C.K., S.M., and Campise—in
       addition to G.G.) but also in detail. Second, defendant asserts that, in closing argument, the
       State used the other-acts evidence for the improper purposes of stressing defendant’s

                                                   - 18 -
       propensity to target 14-year-old girls and bolstering G.G.’s credibility. See People v.
       Thingvold, 145 Ill. 2d 441, 459 (1991) (“[E]vidence of other crimes is not admissible to bolster
       the credibility of a prosecution witness.”).
¶ 86        Defendant procedurally defaulted these claims by failing to raise them in a timely fashion,
       if it all, below. Defendant’s objection to the admission of the other-acts evidence did not
       relieve him of the responsibility of further objecting when he believed that the State was
       making improper use of the evidence. See Robinson, 167 Ill. 2d at 66-67 (the defendant, who
       had objected to the admission of other-acts evidence, forfeited his objection that the State
       created a “mini-trial”). Defendant does not identify any objection, during the State’s
       presentation of the other-acts evidence, that the State was creating a mini-trial. We note that
       defendant did object, during the State’s cross-examination of defendant, that the State was
       belaboring the May 2010 incident, and the court sustained the objection. By that time in the
       trial, however, the court had already received the testimony of the State’s witnesses as to the
       prior acts. Defendant also fails to identify, and our review of the record has not disclosed, any
       objection that the State was making improper use of the other-acts evidence in closing
       argument. “A defendant is not entitled to review of a claimed error unless he has made a timely
       objection at trial and raised the issue in a posttrial motion.” People v. Leach, 2012 IL 111534,
       ¶ 60 (citing People v. Enoch, 122 Ill. 2d 176, 186 (1988)).
¶ 87        Defendant does not ask us to review his contentions under the plain-error doctrine, which
       provides a limited avenue for reaching an otherwise forfeited claim. See People v. Hillier, 237
       Ill. 2d 539, 545 (2010). The defendant has the burden of establishing that the doctrine applies,
       but when, as here, he fails even to invoke the doctrine, he obviously has failed to meet his
       burden. Id. at 545-46. Consequently, the forfeiture stands.
¶ 88        For the foregoing reasons, we hold that the trial court did not abuse its discretion in
       admitting the other-acts evidence.

¶ 89                                  B. Sufficiency of the Evidence
¶ 90       Defendant challenges the sufficiency of the State’s evidence. When considering such a
       challenge, the function of the reviewing court is not to retry the defendant. People v. Lloyd,
       2013 IL 113510, ¶ 42. Viewing the evidence in the light most favorable to the prosecution, we
       determine whether any rational trier of fact could have found the essential elements of the
       offense beyond a reasonable doubt. Id. We allow all reasonable inferences from the record in
       favor of the prosecution. Id. “ ‘We will not reverse a conviction unless the evidence is so
       improbable, unsatisfactory, or inconclusive that it creates a reasonable doubt of defendant’s
       guilt.’ ” Id. (quoting People v. Collins, 214 Ill. 2d 206, 217 (2005)).
¶ 91       Defendant makes several points. First, he contends that the close-up photograph of him
       behind the screen door does not depict him as totally naked. He claims that the solid portion of
       the door blocks his body from the waist down, undermining G.G.’s claim that she could tell he
       was totally naked behind the door. Thus, according to defendant, the photo is not inconsistent
       with his testimony that, following his bath on the afternoon of July 19, he placed a towel
       around his waist and went to the front of the house in order to close the inner door.
¶ 92       The trial court, however, found that the photo, though “not specifically clear,” shows a
       “total[ly] naked man.” Thus, the court found that the photo supported not only G.G.’s account
       that defendant deliberately exposed himself to her at the front door but also defendant’s


                                                  - 19 -
       admission to Mandat that he went to the front door while entirely naked and masturbating,
       albeit without the intent to expose himself to another.
¶ 93        We review the photograph de novo, without deference to the trial court’s interpretation.
       See People v. Lamborn, 185 Ill. 2d 585, 590 (1999). The photo is grainy. Defendant appears as
       a silhouette of a head and a torso. His individual features are not discernible. The silhouette is
       flesh-colored, indicating that defendant’s torso is bare. The screened portion of the door
       extends below defendant’s waist—or at least where we gather his waist would be. The flesh
       color shades off into darkness at or just below where defendant’s waist would be; whether this
       is from shadow or a covering (such as a towel) is unclear. Thus, we are unable to tell from the
       picture whether defendant is naked from the waist down.
¶ 94        The State, however, never claimed that the photo was an exact representation of what G.G.
       claimed to have seen with her naked eye: defendant fully nude and masturbating behind the
       screen door. The photo corroborates G.G.’s testimony that defendant was behind the screen
       door and was nude at least down to the waist. While the photo does not confirm her claim that
       defendant was also naked below the waist, neither does it disconfirm it, due to the poor
       resolution of the image.
¶ 95        Moreover, the photo was purported to memorialize only part of G.G.’s observations. She
       testified that she observed defendant not only when he was behind the screen door but also
       when he opened the door and thrust his penis through the doorway. “A conviction may be
       upheld based on the positive and credible testimony of a single witness, even if this testimony
       is contradicted by the defendant.” Deenadayalu, 331 Ill. App. 3d at 450. Although defendant’s
       trial testimony substantially contradicted G.G.’s account, his statement to Mandat aligned with
       her account in that he admitted that he went to the front door to check the mail while fully nude
       and masturbating. At trial, defendant disavowed this admission. The court specifically found
       defendant’s admission to be credible (and supportive of G.G.’s testimony) and rejected
       defendant’s testimony that he was merely discussing a hypothetical masturbation scenario
       posed by Mandat. The court, as the finder of fact, was in a superior position to judge the
       credibility of the witnesses and resolve conflicts in their testimony (People v. Vaughn, 2011 IL
       App (1st) 092834, ¶ 24), and we will not substitute our judgment on such matters (People v.
       Jackson, 232 Ill. 2d 246, 280-81 (2009)). There is sufficient evidence in the record, apart from
       G.G.’s photographs, from which the trial court could find that defendant was naked and
       masturbating at his front door and also that he opened the door and thrust his penis through the
       doorway.
¶ 96        Specific to the disorderly conduct conviction, defendant contends that, even accepting that
       he exposed his penis and masturbated at his front door as G.G. described, he was not guilty of
       disorderly conduct because “[a]n act of sexual indiscretion is not per se a breach of the peace.”
       Defendant claims to derive this principle from City of Chicago v. Murray, 333 Ill. App. 233
       (1947), where the defendant, a married woman, was charged under a city ordinance with
       disorderly conduct for having sex with her paramour in a hotel room. When her husband
       entered the room and observed the sexual act, he shot the paramour. The defendant was
       convicted, but the appellate court reversed. The court noted that, although the defendant’s
       conduct was contrary to public morals, it did not tend to create a breach of the peace, an
       element under the ordinance, because “[o]nly the parties immediately concerned were
       disturbed thereby.” Id. at 237.


                                                   - 20 -
¶ 97        Murray is distinguishable. “Disorderly conduct is loosely defined. As a highly fact-specific
        inquiry, it ‘embraces a wide variety of conduct serving to destroy or menace the public order
        and tranquility.’ ” People v. McLennon, 2011 IL App (2d) 091299, ¶ 30 (quoting In re B.C.,
        176 Ill. 2d 536, 552 (1997)). Conduct need not occur in public in order to constitute a breach of
        the peace. Id. ¶ 31; see also People v. Davis, 82 Ill. 2d 534, 538 (1980) (“A breach of the peace
        may as easily occur between two persons fighting in a deserted alleyway as it can on a crowded
        public street.”). Context controls, however (McLennon, 2011 IL App (2d) 091299, ¶ 31), and
        logically, acts performed in public are more likely to disturb the public order. What sets this
        case apart from Murray is that, according to G.G., defendant deliberately positioned himself so
        that his nakedness and act of masturbation were visible to her and, necessarily, to other
        passersby. The evidence supports the court’s finding that defendant committed a breach of the
        peace.
¶ 98        We next address defendant’s specific challenges to the evidence supporting his conviction
        of sexual exploitation of a child. That offense, as charged by the State, occurs when a person
        “in the presence *** of a child, and with knowledge that a child *** would view [his] acts, ***
        exposes [his] sex organs *** for the purpose of sexual arousal or gratification of such person or
        the child.” 720 ILCS 5/11-9.1(a)(2) (West 2014). Defendant focuses his challenge on the
        “presence” and “knowledge” elements of the offense.
¶ 99        Defendant asserts that, as a matter of law, G.G. was not in his “presence” when she was
        across the street from his house, from which vantage point she claimed to have seen him naked
        and masturbating. We note that, at trial, the State did not introduce evidence of the distance
        between defendant’s front door and the sidewalk across the street. Defendant attached to his
        posttrial motion an affidavit from his father, Thomas Fretch (Fretch), who averred that he
        measured the distance as 80 feet. The State has not disputed the accuracy of this figure, and we
        accept it for purposes of defendant’s argument. Defendant contends that, “[u]nder the law, the
        element of ‘presence’ connotes an occupation of the same space” and that, when G.G. was
        across the street, she was not within the “same space” as defendant. We review de novo a
        question about the meaning of a statutory term. People v. Campa, 217 Ill. 2d 243, 252 (2005).
¶ 100       For his suggestion that “presence” means “occupation of the same space,” defendant cites
        five cases and a dictionary definition. Two cases, People v. Ricky E.T., 405 Ill. App. 3d 98
        (2010), and In re Donald R., 343 Ill. App. 3d 237 (2003), involved prosecutions for sexual
        exploitation of a child, but in neither case was the element of “presence” at issue or discussed.
        Therefore, they provide no guidance. Another case, People v. Bergeson, 255 Ill. App. 3d 601
        (1994), involved a challenge to a conviction of disorderly conduct. The challenge focused on
        whether the defendant knowingly acted unreasonably in looking at the victim’s window from
        10 feet away outside. Defendant’s parenthetical reference to the holding in Bergeson reads:
        “wherein a distance of ten-twelve feet separated by a sidewalk and a residential window was
        not presence.” Defendant misrepresents the holding in the case. Presence was not an issue in
        Bergeson, nor was presence or a comparable concept an element of the offense of disorderly
        conduct. See Ill. Rev. Stat. 1991, ch. 38, ¶ 26-1(a)(1).
¶ 101       The remaining two cases, People v. Robinson, 383 Ill. App. 3d 1065 (2008), and People v.
        Ortiz, 156 Ill. App. 3d 170 (1987), address, respectively, the element of “immediate presence”
        in the vehicular-hijacking statute (720 ILCS 5/18-3(a) (West 2004)) and the element of
        “presence” in the robbery statute (Ill. Rev. Stat. 1985, ch. 38, ¶ 18-1).


                                                   - 21 -
¶ 102       In Ortiz, the defendant appealed his conviction of armed robbery. The evidence showed
        that, while the victim was in an upstairs bedroom of his mother’s home, the defendant and his
        companion entered the house and took jewelry from the victim’s mother’s first-floor bedroom.
        When the victim went downstairs, the intruders threatened him with a gun and then fled. On
        appeal, the defendant argued that he did not take the jewelry from the “presence” of the victim,
        because the victim was upstairs when the items were taken from the first floor. See id. (robbery
        is the taking of “property from the person or presence of another by the use of force or by
        threatening the imminent use of force”). In rejecting this argument, the appellate court applied
        case law holding that a taking occurs in the “presence” of the victim when “ ‘the victim’s
        proximity or control over the property was so close that he could have prevented the taking if
        he had not been subjected to force or the threat of force by the robber.’ ” Ortiz, 156 Ill. App. 3d
        at 175 (quoting People v. Carpenter, 95 Ill. App. 3d 722, 726 (1981)). The court stressed that
        presence does not mean “immediate presence.” Id. The court held that, though the victim was
        upstairs, the jewelry could be considered within his care and control and, therefore, in his
        “presence.” Id.
¶ 103       In Robinson, the defendant appealed his conviction of vehicular hijacking, arguing that the
        State failed to prove that he took the victim’s vehicle from her “immediate presence.” See 720
        ILCS 5/18-3(a) (West 2004) (“A person commits vehicular hijacking when he or she takes a
        motor vehicle from the person or immediate presence of another by the use of force or by
        threatening the imminent use of force.”). The victim testified that the defendant approached
        her on the street and struck her as he tried to get her car keys. After another person intervened,
        the victim began walking to a relative’s house to phone the police. As she was en route, she
        observed the defendant driving her car away. She was three houses away from her car at the
        time of the attack. Robinson, 383 Ill. App. 3d at 1066-67.
¶ 104       In addressing the defendant’s contention, the appellate court noted several definitions of
        “immediate presence” in the case law. One court held that the motor vehicle must be “near at
        hand” to the victim (internal quotation marks omitted) (In re Ricardo A., 356 Ill. App. 3d 980,
        992 (2005) (element met when victim was 5 to 10 feet from the car)); another that the victim
        must be in the “immediate vicinity of the car” (People v. Cooksey, 309 Ill. App. 3d 839, 848
        (1999) (element not met when the victim was not less than 25 feet from the car)); and another
        that the car must be in the “immediate control” of the victim (People v. McGee, 326 Ill. App.
        3d 165, 170 (2001) (element not met when the victim was inside a house)). The Robinson court
        held that the State’s evidence did not meet any of these definitions of “immediate presence.”
        The State’s specific failure was that, while it presented evidence of how far the victim was
        from her car at the time of the physical assault, it presented no evidence of how far she was
        from the car when the defendant later seized it. Robinson, 383 Ill. App. 3d at 1070-71.
¶ 105       Ortiz and Robinson are not helpful here. The statutory element at issue in Robinson was
        “immediate presence,” and the court provided no definition of “presence” itself. The definition
        of “presence” applied in Ortiz was relative not to the perpetrator’s distance from the victim, but
        to the victim’s distance from the object taken. The definition contained concepts such as
        “control” and “ability to prevent” that have no obvious analogue in the element of “presence”
        in the offense of sexual exploitation of a child.
¶ 106       Defendant also cites the following definition of “presence” from Black’s Law Dictionary:
                “Act, fact, or state of being in a certain place and not elsewhere, or within sight or call,
                at hand, or in some place that is being thought of. [Citation.] [T]he existence of a

                                                     - 22 -
                 person in a particular place at a given time particularly with reference to some act done
                 there and then. Besides actual presence, the law recognizes constructive presence,
                 which latter may be predicated of a person who, though not on the very spot, was near
                 enough to be accounted present by the law, or who was actively co-operating with
                 another who was actually present. [Citation.]” (Emphasis in original.) Black’s Law
                 Dictionary 1346 (4th ed. 1968).
¶ 107        Even if this generalized definition were support for defendant’s suggestion that “presence”
        means “occupation of the same space,” the definition does not, obviously, limit “same space”
        to any particular physical span. Notably, the offense of sexual exploitation of a child requires
        “presence” or “virtual presence,” i.e., a video-facilitated presence. 720 ILCS 5/11-9.1(a), (a-5)
        (West 2014). This suggests openness in the concept of “presence.” Even at an 80-foot distance,
        G.G. could perceive and be impacted by defendant’s actions. We hold that the “presence”
        element was satisfied here.
¶ 108        Defendant also contends that the State failed to prove that defendant exposed his penis
        knowing that G.G. would view him. Here we grant defendant’s motion for leave to cite, as
        additional authority, People v. Nash, 282 Ill. App. 3d 982, 986 (1996) (citing 720 ILCS 5/4-5
        (West 1992)), which holds that “knowledge” as an element of a crime means conscious
        awareness.
¶ 109        According to defendant, G.G.’s testimony is consistent with her coming across defendant
        as he was already masturbating, “in a place he had a right to be, with a right to expect that no
        one would be paying attention much less watching.” We disagree. G.G. described the three
        passes she made in front of defendant’s house as she walked on the opposite sidewalk. The first
        time, she saw defendant outside the front door, smoking. The second time, she saw him behind
        the screen door, removing his clothes. They made eye contact. The third time, defendant called
        “Hey” to G.G. She looked and saw that defendant was naked and masturbating just behind the
        screen door. They made eye contact again. He waved as if to invite her inside. When she left
        and returned with a camera phone with storage, he opened the door and thrust his penis through
        the doorway. This evidence suggests not that G.G. happened upon defendant as he was
        masturbating innocently inside his home, oblivious to her presence, but rather that her presence
        was the reason he stripped naked and masturbated. The other-acts evidence that defendant
        made sexually suggestive remarks and gestures to female minors, including G.G. herself,
        supports G.G.’s testimony that defendant’s exposing himself to her was deliberate.
¶ 110        Defendant suggests that the “Hey” that G.G. claimed to hear from defendant was “not a
        yell but an utterance overheard when he was already indisposed under circumstances of never
        expecting her.” It was, he claims, a “grunted meaningless syllable” during his sex act.
        Defendant has no basis in the record for suggesting this. G.G. was unequivocal in describing
        the utterance as intelligible and as designed to get her attention.
¶ 111        Defendant also asserts that G.G. implausibly claimed that defendant waved to her with the
        same hand with which he was masturbating. Defendant misreads the record. G.G. testified that
        defendant masturbated with his left hand and waved with his right.
¶ 112        Defendant likens this case factually to Bergeson, where the State’s proof on the knowledge
        element of the defendant’s disorderly conduct charge was found insufficient. The defendant
        was charged with knowingly looking into the victim’s window in such an unreasonable
        manner as to alarm and disturb the victim. At trial, the victim testified that she was in her
        first-story apartment bedroom at about 1:20 a.m. when she heard crunching noises outside,

                                                    - 23 -
        which sounded like someone walking on the gravel strip surrounding the apartment building.
        Several seconds later, the light coming through the crack left by her window coverings was
        blocked. She got up and observed the defendant about 10 feet from her window. He was pacing
        back and forth and looking up at a second-story window. The victim testified that the
        defendant also appeared to be looking in her window, but she admitted that she did not actually
        see him look down at her window. She recognized the defendant as another resident of the
        apartment complex. Bergeson, 255 Ill. App. 3d at 602-03.
¶ 113       The appellate court reversed the defendant’s conviction. On the knowledge element, the
        court said:
                “[T]he statute requires that the defendant act knowingly, and there is no evidence that
                defendant knew who lived in the apartment. Although defendant presumably knew
                approximately what time it was, there is no evidence that he was aware that the window
                he was near looked into the apartment’s bedroom, or even that he knew anyone was at
                home. In the absence of such knowledge, defendant could not have knowingly acted
                unreasonably.” Id. at 605.
¶ 114       Defendant suggests that his behavior “was equally unknowing, where the complainant was
        even farther away, and where [defendant] had not wandered away from home.” We disagree.
        As noted, G.G. testified to a series of events from which the trial court could reasonably infer
        that defendant saw G.G. and decided to undress and expose his penis to her. While
        masturbating, he got her attention and beckoned her inside. There was no comparable evidence
        in Bergeson on the element of knowledge.
¶ 115       For these reasons, we uphold defendant’s convictions of disorderly conduct and sexual
        exploitation of a child.

¶ 116                          C. Ineffective Assistance of Trial Counsel
¶ 117      Defendant filed a posttrial motion alleging several grounds of ineffective assistance of trial
        counsel.

¶ 118                                        1. General Principles
¶ 119        Both the United States and Illinois Constitutions guarantee criminal defendants the right to
        the effective assistance of counsel. U.S. Const., amend. VI; Ill. Const. 1970, art. I, § 8. Claims
        of ineffectiveness are judged under the two-pronged test set forth in Strickland v. Washington,
        466 U.S. 668, 687-88, 694 (1984), and adopted by our supreme court in People v. Albanese,
        104 Ill. 2d 504, 526 (1984). To prevail on a claim of ineffectiveness, a defendant must
        demonstrate (1) that counsel’s performance fell below an objective standard of reasonableness
        and (2) a reasonable probability that, but for counsel’s unprofessional errors, the result of the
        proceeding would have been different. Strickland, 466 U.S. at 687, 694; People v. Ramsey, 239
        Ill. 2d 342, 433 (2010). Counsel’s performance is assessed against an objective standard of
        competence under prevailing professional norms. Ramsey, 239 Ill. 2d at 433. To establish
        deficient performance, the defendant must overcome the strong presumption that counsel’s
        action or inaction was the result of sound trial strategy. Id. As a result, counsel’s strategic
        choices made after investigation of the law and facts are virtually unassailable. Id. The failure
        to satisfy either prong of Strickland defeats an ineffectiveness claim. People v. Patterson, 217



                                                    - 24 -
        Ill. 2d 407, 438 (2005).

¶ 120                 2. Trial Counsel’s Agreement to Partial Closure of the Courtroom
¶ 121        Defendant contends that his counsel was ineffective for agreeing to the exclusion, during
        G.G.’s and S.M.’s testimony, of all spectators except the parents of G.G. and S.M. Defendant
        claims that the exclusion violated his right to a public trial, which is guaranteed by the United
        States and Illinois Constitutions (U.S. Const., amend. VI; Ill. Const. 1970, art. I, § 8).
¶ 122        The State claims that defendant forfeited this contention by failing to raise it in his posttrial
        motion. The State appears to mean that defendant did not raise ineffectiveness with regard to
        the closure, because defendant did assert in the motion that the closure violated his
        “constitutional and statutory rights to a public trial.” While defendant did not raise the issue
        below in precisely the same way he frames it on appeal, we hold that what he did raise was
        enough to preserve the issue for review. Therefore, we reject the State’s claim of forfeiture and
        consider the merits of the issue.
¶ 123        Defendant acknowledges the threshold issue of whether he is bound by his counsel’s
        waiver, on the record, of the right to a public trial. Defendant was present in court with his
        counsel when the State informed the trial court that the parties had a signed stipulation
        regarding closure of the courtroom. The State read the stipulation on the record. The
        stipulation stated that, during G.G.’s and S.M.’s testimony, the courtroom would be closed to
        all spectators except the parents of G.G. and S.M. The trial court asked defense counsel if the
        defense was so stipulating, and counsel said yes. The court neither made inquiries of defendant
        nor asked counsel if he had consulted with defendant regarding the stipulation. Defendant
        voiced no objection during the presentation of the stipulation. The record contains the written
        stipulation, which is signed by the assistant State’s Attorney and defense counsel but not by
        defendant himself.
¶ 124        Defendant asserts that a criminal defendant cannot be deemed to have waived the right to a
        public trial by remaining silent during his counsel’s waiver of the right. According to
        defendant, “[a] defendant must affirmatively state on the record his agreement to the surrender
        of his constitutional right” and display “an in-court understanding of the stakes *** before a
        court may close the courtroom.”
¶ 125        For this position, defendant cites the decision of the Seventh Circuit Court of Appeals in
        Walton v. Briley, 361 F.3d 431 (7th Cir. 2004). In Walton, the defendant brought federal
        habeas corpus litigation, claiming that his right to a public trial was violated when, on two
        separate dates, the district court conducted his trial after business hours, when the courthouse
        was closed to the public. Defense counsel did not object to the resulting closure of the
        courtroom but also did not affirmatively agree to it. In fact, the closure apparently was not
        mentioned on the record at all. The district court hearing the habeas petition held that, because
        the defendant’s counsel did not object to the closure, the defendant’s claim of error was
        waived. Id. at 433. The Seventh Circuit disagreed. The court held that the right to a public trial
        is a “fundamental trial right[ ]” (id. at 434) subject to the same “heightened standard of waiver”
        applicable to “plea agreements, the right against self-incrimination, the right to a trial, the right
        to a trial by jury, the right to an attorney, and the right to confront witnesses” (id. at 433). As
        with those other rights, the “presumption of waiver from a silent record is impermissible.” Id.
        at 434. Rather, the “right to a public trial may be relinquished only upon a showing that the
        defendant knowingly and voluntarily waived such a right.” Id. The court held that counsel’s

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        failure to object to the closure of the courtroom was not an effective waiver of the right to a
        public trial because there was no indication in the record that the defendant knowingly and
        voluntarily relinquished the right. Id.
¶ 126       Decisions of federal courts, aside from those of the United States Supreme Court, are not
        binding on this court but are merely persuasive authority. People v. Jenk, 2016 IL App (1st)
        143177, ¶ 26. We further note that, unlike in Walton, there was no “silent record” here. Rather,
        the parties stipulated in defendant’s presence to a partial closure of the courtroom. We
        acknowledge that some of the language in Walton might be construed as suggesting that the
        right to a public trial cannot be waived by counsel but must be waived by the defendant
        personally. The United States Supreme Court has not ruled on whether the right to a public trial
        must be waived personally by the defendant. See Bowers v. Michigan, No. 1:13-CV-696, 2016
        WL 4571400, at *10 (W.D. Mich. Aug. 31, 2016) (noting that the Supreme Court has not
        decided whether “an attorney cannot waive his client’s right to a public trial”). To the extent
        that Walton holds that a personal waiver is required, it does not represent the position of all
        federal circuit courts. See United States v. Sorrentino, 175 F.2d 721, 723 (3d Cir. 1949)
        (personal waiver not required).
¶ 127       Defendant cites no authority besides Walton on whether the right to a public trial may be
        waived by counsel. We note that our supreme court has identified only five decisions that
        belong ultimately to the defendant: (1) what plea to enter; (2) whether to waive a jury trial; (3)
        whether the defendant will testify on his own behalf; (4) whether to submit an instruction on a
        lesser included offense; and (5) whether to appeal. People v. Clendenin, 238 Ill. 2d 302, 318
        (2010). “[A]part from these decisions ***, trial counsel has the right to make the ultimate
        decision with respect to matters of tactics and strategy after consulting with his client.” Id. at
        319. Here, defendant made no allegation in his posttrial motion that counsel failed to consult
        with him before stipulating to the partial closure of the courtroom during the testimony of G.G.
        and S.M.
¶ 128       Moreover, defendant voiced no objection when counsel agreed on the record to the closure.
        In People v. Webb, 267 Ill. App. 3d 954, 958-59 (1994), the appellate court held that the
        defendant barred himself from claiming a violation of the right to a public trial when he failed
        to object to his counsel’s waiver, in open court, of that right. We recognize that here defendant
        claims that counsel’s waiver constituted ineffectiveness, a contention not specifically made in
        Webb. This distinction makes a difference, however, only if defendant’s silence in this case
        cannot be deemed acquiescence in counsel’s waiver. Defendant cites no authority aside from
        Walton to suggest that a defendant cannot acquiesce by silence in his counsel’s implied (or, as
        here, express) waiver of the defendant’s right to a public trial. We hold that defendant, having
        remained silent when the parties stipulated to the partial closure of the courtroom, cannot now
        disavow responsibility for that waiver and lay the fault on counsel by claiming ineffectiveness.
        See People v. Cleveland, 2012 IL App (1st) 101631, ¶¶ 66-67 (defendant could not claim
        ineffectiveness with respect to counsel’s decision not to call him to testify, where defendant
        never expressed to the court during the trial his desire to testify and therefore acquiesced in
        counsel’s decision).
¶ 129       For these reasons, we reject defendant’s claim of ineffectiveness over the partial closure of
        the courtroom.




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¶ 130                  3. Trial Counsel’s Failure to Introduce Work Records at Trial
¶ 131       Defendant asserted in his posttrial motion that trial counsel “failed to present an alibi
        defense to the collateral crime, which shows that the defendant was at work” on the day that,
        according to G.G. and S.M., defendant followed them in his Jeep and made lewd gestures
        toward them. Defendant submitted with his motion two documents that purported to be work
        logs from defendant’s employer, Advance Refrigeration in Bensenville, related to defendant’s
        work activities on July 17, 2014. One document, a “Daily Route Sheet,” reflects that defendant
        was out for deliveries on July 17 until 4 p.m. The other document reflects that defendant was
        “in” at 7:15 a.m. and “out” at 4:15 p.m. on July 17. Defendant claims that this documentation,
        combined with his trial testimony that he drove a GMC truck while doing work deliveries,
        would have undercut G.G.’s and S.M.’s testimony that they saw him in a black Jeep in the
        early to mid-afternoon on July 17.
¶ 132       The trial court denied this ineffectiveness claim, apparently because the court believed that
        defendant’s posttrial motion was fatally vague on the issue since it did not specify the prior act
        for which defendant claimed to have alibi evidence. It seems to us, however, that posttrial
        counsel’s remarks at the hearing on the motion clarified which prior act defendant had in mind.
        In any case, defendant’s contention on appeal is forfeited for lack of development. Defendant’s
        argument on this issue focuses on the prejudicial impact of trial counsel’s omission. On the
        performance prong of Strickland, defendant offers only the bare assertion that “[c]ounsel’s
        failure to obtain the exculpatory time-sheets f[ell] below an objective standard of
        reasonableness.” A point consisting of such a conclusory statement is forfeited on appeal for
        lack of development. See Pilat v. Loizzo, 359 Ill. App. 3d 1062, 1063 (2005) (“[T]he appellant
        must argue the points that he or she raises, or they are waived,” and “[a] mere conclusory
        assertion, without supporting analysis, is not enough.”); see also Ill. S. Ct. R. 341(h)(7) (eff.
        Jan. 1, 2016) (“Points not argued are waived ***.”).
¶ 133       Moreover, there is a sufficient independent basis in the record for affirming the denial of
        this claim. See People v. Mujica, 2016 IL App (2d) 140435, ¶ 13 (reviewing court may affirm
        on any basis apparent in the record). Defendant had the burden of pleading and proving his
        claim of ineffectiveness. See People v. Lundy, 334 Ill. App. 3d 819, 833 (2002) (“It is
        defendant’s burden to demonstrate that he has received ineffective assistance of counsel.”). He
        had to overcome the presumption that trial counsel had good reasons for his decisions on
        matters of tactics or strategy. United States v. Lindsay, 157 F.3d 532, 535 (7th Cir. 1998).
        Defense counsel has a duty to investigate possible defenses and present exculpatory evidence
        but only those defenses and evidence of which counsel is or reasonably should be aware. See
        People v. Domagala, 2013 IL 113688, ¶ 38; People v. Wilson, 191 Ill. 2d 363, 377 (2000) (trial
        court properly dismissed, without a hearing, defendant’s postconviction claim alleging
        ineffective assistance for counsel’s failure to present a certain witness in mitigation because
        defendant failed to allege why counsel would have reason to know of the witness’s existence);
        People v. Humphries, 257 Ill. App. 3d 1034, 1043 (1994) (“An attorney cannot be said to be
        ineffective for failing to call a witness whose identity and potential testimony are, through no
        fault of the attorney, unknown to him or her.” The trial court did not err in dismissing
        defendant’s posttrial motion alleging that counsel was ineffective for failing to call witness
        who allegedly would have supported defense of compulsion, as defendant failed to allege that
        counsel knew or should have known of the witness’s existence.). Defendant did not allege in
        his motion that trial counsel knew or should have known of the work records. Defendant did

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        not present any affidavit from trial counsel as to why counsel did not introduce the work
        records at trial, nor did defendant present testimony on the subject. These are critical failures.
        We find no error in the denial of this ineffectiveness claim.

¶ 134       4. Trial Counsel’s Failure to Challenge G.G.’s Observations of Defendant on July 19
¶ 135       Defendant asserts that trial counsel was ineffective for failing to challenge G.G.’s ability to
        observe details about defendant that were critical to her testimony about the incident on July
        19. According to defendant, counsel’s performance was deficient in two respects. First,
        counsel failed to challenge G.G.’s testimony by introducing photographs Fretch took of their
        home—particularly, the front screen door—that would have undermined G.G.’s claimed
        observations. Second, even apart from the failure to use these photographs, counsel failed
        altogether to challenge G.G.’s ability to observe defendant from her vantage point across the
        street.
¶ 136       The latter part of the ineffectiveness claim is forfeited. In his posttrial motion, defendant
        (represented by new counsel) alleged that trial counsel “failed to present photographs that are
        material and exculpatory.” Defendant did not identify any other manner in which counsel
        failed to challenge G.G.’s observations. Accordingly, we address only the specific claim that
        counsel failed to use the photographs; the rest of defendant’s challenge is procedurally barred.
        See People v. Ramos, 339 Ill. App. 3d 891, 899-900 (2003) (finding forfeiture of part of
        ineffectiveness claim for failure to raise it below). Also, defendant does not ask us to review
        the contention under the plain-error doctrine. See Hillier, 237 Ill. 2d at 545.
¶ 137       We move to the preserved claim of ineffectiveness. Defendant submitted with his posttrial
        motion an affidavit from Fretch and 10 photographs of the house. Fretch averred that he took
        the photographs and that they were true and accurate depictions of the house at the time of the
        alleged offenses. Fretch noted that two of the photographs show the front of the house as seen
        from the opposite sidewalk. Fretch asserted that he measured the distance from the front door
        to the opposite sidewalk as 80 feet. Defendant appears in several of the photographs,
        presumably to demonstrate what could be seen of him from the various distances and
        perspectives. Fretch averred that, at the time of trial, he “broached with [defendant’s] former
        attorney the topic of presenting these or comparable photographs.” Trial counsel decided not to
        introduce the photographs at trial, in order to avoid “tarnish[ing] the reputation and/or
        credibility of the complaining witness.”
¶ 138       The trial court denied the ineffectiveness claim, finding that the submitted photographs
        were cumulative and not exculpatory. As the court had also presided over the bench trial, it was
        “uniquely” positioned to determine whether counsel’s failure to introduce the photographs
        prejudiced defendant; therefore, its conclusion is entitled to “substantial deference.” People v.
        Scott, 194 Ill. 2d 268, 275-76 (2000) (the judge who decided postconviction claim of
        ineffectiveness regarding counsel’s performance at sentencing, and who concluded that the
        prejudice prong of Strickland was not met, was the same judge who had presided over
        defendant’s trial and sentencing); see also People v. Kluppelberg, 257 Ill. App. 3d 516, 528
        (1993) (“Since this was a bench trial, the same judge who heard all of the evidence in the role
        of fact finder and who found defendant guilty also heard the additional evidence presented at
        the post-trial hearing [on the defendant’s ineffectiveness claim]. The trial judge was thus in a
        unique position to evaluate all of the evidence and make a determination as to the effect of the
        new evidence.”).

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¶ 139        We see no basis for upsetting the court’s determination that trial counsel’s use of the photos
        would not have changed the outcome at trial. Two of the photos are close-ups of the front door.
        The photos are clearer than G.G.’s photos. In one photo, defendant is standing in the doorway
        holding open the screen door. His torso is bare and he is wearing a towel around his waist. In
        the second photo, defendant is standing behind the screen door. Defendant’s features are more
        defined than in G.G.’s close-up photo; we can see that the solid portion of the door clearly
        obscures his lower body from just slightly below his waist (defendant’s genitals would not
        have been visible). We presume, as apparently the trial court did, that the photos accurately
        portray both the house and defendant as G.G. would have been able to observe him behind the
        screen door on the afternoon of July 19.
¶ 140        Even so presuming, we are not prepared to gainsay the trial court’s denial of defendant’s
        claim that the photos would have changed the outcome at trial. G.G. testified that she observed
        defendant not only when he was behind the screen door but also when he opened the door and
        thrust his penis through the doorway. The State introduced no corroborating proof of the latter
        act, but “[a] conviction may be upheld based on the positive and credible testimony of a single
        witness, even if this testimony is contradicted by the defendant.” Deenadayalu, 331 Ill. App.
        3d at 450. In convicting defendant, the trial court specifically found G.G. credible, and the
        court implicitly reaffirmed that finding in denying the ineffectiveness claim. We will not upset
        that finding.
¶ 141        The second set of photos purports to depict defendant’s home from across the street.
        Defendant appears to be standing behind the screen door in at least one of these photos.
        Defendant claims that these photos are not cumulative of the two photos that were taken by
        G.G. and introduced by the State because, contrary to G.G.’s claim, her photos were not
        actually taken from across the street. We are not in a position to evaluate this assertion, but we
        do note that defendant’s home appears smaller in defendant’s photos than even in G.G.’s
        un-zoomed photo of the home. However, even assuming that defendant’s photos are the more
        accurate depiction of the home from where G.G. claimed she stood, we would uphold the trial
        court’s finding of no reasonable probability of a different outcome at trial. Regardless of how
        the distance and/or the configuration of the screen door would have impacted G.G.’s ability to
        perceive defendant when the door was shut, those factors would not have prevented G.G. from
        perceiving defendant as naked when he opened the screen door. Consequently, we uphold the
        trial court’s denial of this claim of ineffectiveness.

¶ 142                                    D. Defendant’s Sentence
¶ 143       Defendant’s final contention on appeal is that the sentence imposed on his conviction of
        sexual exploitation of a child, a Class A misdemeanor, was unauthorized. The trial court
        sentenced defendant to 360 days of imprisonment with a consecutive two-year term of
        probation. As defendant construes the governing statute, section 5-6-2(f) of the Unified Code
        of Corrections (Code) (730 ILCS 5/5-6-2(f) (West 2014)), a combination of imprisonment and
        probation for an individual offense must not in the aggregate exceed the maximum term of
        imprisonment authorized for the offense, which, for a Class A misdemeanor, is 364 days. See
        730 ILCS 5/5-4.5-55(a) (West 2014). According to defendant, then, the court had no authority
        to impose a combined term of imprisonment and probation in excess of 364 days, and
        consequently the two-year term of probation is invalid. We disagree. In our view, section
        5-6-2(f) requires only that the prison and probation components of a combined sentence not

                                                    - 29 -
        exceed their respective statutory maximums as provided elsewhere in the Code. In this case, as
        defendant agrees, the individual components of his sentence did not exceed their respective
        maximums.
¶ 144        We begin our analysis with section 5-4.5-55 of the Code (730 ILCS 5/5-4.5-55 (West
        2014)), which sets forth the sentencing options for a Class A misdemeanor. That section
        provides in relevant part:
                    “CLASS A MISDEMEANORS; SENTENCE. For a Class A misdemeanor:
                    (a) TERM. The sentence of imprisonment shall be a determinate sentence of less
                than one year.
                                                    ***
                    (d) PROBATION; CONDITIONAL DISCHARGE. Except as provided in Section
                5-5-3 or 5-6-2 (730 ILCS 5/5-5-3 or 5/5-6-2), the period of probation or conditional
                discharge shall not exceed 2 years.” Id.
        Subsection (d), which sets the maximum period of probation, cites sections 5-5-3 and 5-6-2 of
        the Code (730 ILCS 5/5-5-3, 5-6-2 (West 2014)). Section 5-5-3 is titled “Disposition.” As
        pertinent to subsection (d) of section 5-4.5-55, section 5-5-3 specifies instances where the trial
        court must sentence a defendant to imprisonment rather than probation, periodic
        imprisonment, or conditional discharge. See 730 ILCS 5/5-5-3(c)(2) (West 2014). Section
        5-6-2 of the Code, titled “Incidents of Probation and of Conditional Discharge,” is the
        provision upon which defendant relies here. He cites specifically subsection (f), which
        provides:
                    “(f) The court may impose a term of probation that is concurrent or consecutive to a
                term of imprisonment so long as the maximum term imposed does not exceed the
                maximum term provided under Article 4.5 of Chapter V or Article 8 of this Chapter.
                The court may provide that probation may commence while an offender is on
                mandatory supervised release, participating in a day release program, or being
                monitored by an electronic monitoring device.” 730 ILCS 5/5-6-2(f) (West 2014).
        Subsection (f) cites two articles of the Code, article 4.5 of chapter V and article 8 of chapter V.
        Article 4.5 of chapter V is titled “General Sentencing Provisions” and sets forth the various
        classes of criminal offenses and the sentences authorized (imprisonment, probation, etc.) for
        each class. See 730 ILCS 5/5-4.5-5 et seq. (West 2014). As noted, section 5-4.5-55 sets forth
        the sentences available for Class A misdemeanors. Article 8 of chapter V, titled
        “Imprisonment,” addresses various subjects pertaining to the imposition of imprisonment,
        such as natural life imprisonment, impact incarceration, extended-term sentencing, and
        concurrent and consecutive terms of imprisonment. See 730 ILCS 5/5-8-1 et seq. (West 2014).
¶ 145        We are aware of only two decisions addressing section 5-6-2(f). In People v. Horrell, 381
        Ill. App. 3d 571, 575 (2008), the Third District Appellate Court held that section 5-6-2(f)
        permits a trial court “to make a term of probation consecutive to a prison term, but only if the
        total sentence would not exceed the maximum prison sentence.” (Emphasis added.) The Third
        District was of the opinion that the aggregate of the imprisonment and probation terms must be
        compared against a single term (the options being the term of imprisonment and the term of
        probation). The court, however, provided no statutory analysis to support its rendering of
        “maximum term” in section 5-6-2(f) as “maximum term of imprisonment,” as opposed to
        “maximum term of probation.” Reviewing the Third District’s decision on appeal, the supreme


                                                    - 30 -
        court held that section 5-6-2(f) was inapplicable to the case because it became effective after
        the defendant committed the charged offenses. People v. Horrell, 235 Ill. 2d 235, 242 (2009).
        The court mentioned in passing that section 5-6-2(f) “provides that a court may impose
        probation and imprisonment, concurrently or consecutively, as long as the maximum term
        does not exceed the statutory maximum.” Id. at 240 n.3. The court did not specify which
        “statutory maximum” section 5-6-2(f) contemplated.
¶ 146       The goal of statutory interpretation is to ascertain and effectuate the legislature’s intent, the
        best evidence of which is the statutory language, given its plain and ordinary meaning. People
        v. Bradford, 2016 IL 118674, ¶ 15. The phrase “maximum term” appears twice in the relevant
        language of section 5-6-2(f): “The court may impose a term of probation that is concurrent or
        consecutive to a term of imprisonment so long as the maximum term imposed does not exceed
        the maximum term provided under Article 4.5 of Chapter V or Article 8 of this Chapter.”
        (Emphases added.) 730 ILCS 5/5-6-2(f) (West 2014). We agree with defendant that the first
        instance of “maximum term” in this language means the aggregate term, or the numerical sum
        of the prison term and the probation term.
¶ 147       We are aided in this conclusion by section 5-6-4(j) of the Code (730 ILCS 5/5-6-4(j) (West
        2014)), which was part of the same public act (Pub. Act 93-1014 (eff. Jan. 1, 2005)) as section
        5-6-2(f). Section 5-6-4(j) states:
                    “(j) When an offender is re-sentenced after revocation of probation that was
                imposed in combination with a sentence of imprisonment for the same offense, the
                aggregate of the sentences may not exceed the maximum term authorized under Article
                4.5 of Chapter V.”
        “[U]nder the doctrine of in pari materia, two sections of a statute dealing with the same subject
        will be considered with reference to one another to give them harmonious effect.” People v.
        Harris, 2013 IL App (1st) 110309, ¶ 13. Sections 5-6-2(f) and 5-6-4(j) are companion
        provisions. Section 5-6-2(f) addresses the limits on combined sentences imposed as an original
        matter, while section 5-6-4(j) addresses the limits on combined sentences imposed on
        resentencing following revocation of a probation term that was imposed in the original
        combined sentence. Under these sections, any such combined sentence, imposed as an original
        matter or on resentencing, may not “exceed the maximum term” permitted under the general
        sentencing provisions. See 730 ILCS 5/5-6-2(f), 5-6-4(j) (West 2014). Section 5-6-4(j) refers
        to the combined term of such hybrid sentences not as the “maximum term imposed” (as does
        section 5-6-2(f)) but, more appropriately, as the “aggregate of the sentences.” Section 5-6-4(j)
        confirms that what the legislature means in section 5-6-2(f) by the “maximum term” of a
        combined sentence of imprisonment and probation is the aggregate term of that sentence.
¶ 148       We do not agree with defendant, however, on the meaning of the second instance of
        “maximum term” in section 5-6-2(f). He proposes that “maximum term” means a single
        maximum term against which to compare the aggregate of the terms of imprisonment and
        probation. In other words, the constituent sentences in a combined sentence of imprisonment
        and probation are not judged against their respective maximum terms (here, for a Class A
        misdemeanor, 364 days of imprisonment and two years of probation). Rather, the aggregate
        term is compared against one of the maximum terms authorized. Defendant advocates for
        reading “maximum term” to mean the maximum term of imprisonment—which, in the case of
        a Class A misdemeanor, is shorter than the maximum probation term.


                                                     - 31 -
¶ 149       We reject this interpretation. Defendant’s suggestion that “maximum term” means a single
        term against which to compare the aggregate sentence is untenable, for there is nothing in the
        statutory text that arbitrates between the two possible maximum terms: the maximum term of
        imprisonment or the maximum term of probation. Defendant claims that, in practice, the
        legislature uses “term” to refer to imprisonment and “period” to refer to probation “and does
        not use both words in the alternative.” This confident assertion is spoiled by section 5-6-2(f)
        itself, which refers to the trial court’s imposition of a “term of probation.” 730 ILCS 5/5-6-2(f)
        (West 2014). There are two additional instances of “term of probation” in section 5-6-2 (730
        ILCS 5/5-6-2(b), (g) (West 2014)) and three instances elsewhere in article 6 of chapter V (730
        ILCS 5/5-6-4(a), 5-6-3.2(c)(1), (d) (West 2014)). The phrase “term of probation” also appears
        in articles 4.5 and 5 of chapter V. See, e.g., 730 ILCS 5/5-4.5-30(d), 5-5-3(c)(2)(Z) (West
        2014). Certainly, probation is also referred to as a “period” (see, e.g., 730 ILCS 5/5-4.5-55(d)
        (West 2014)), and that indeed might be the legislature’s typical usage, but given the exceptions
        noted, particularly those within article 6, we cannot with confidence conclude from legislative
        usage alone that “maximum term” in sections 5-6-2(f) and 5-6-4(j) refers to imprisonment
        rather than probation.
¶ 150       In our view, sections 5-6-2(f) and 5-6-4(j) simply provide that, for any sentence that
        combines imprisonment and probation, neither component of the sentence may exceed the
        maximum authorized (the “maximum term”) for that component, as specified under article 4.5
        of chapter V or article 8 of chapter V.
¶ 151       Defendant contends that such a construction would render section 5-6-2(f) superfluous
        because, when that section was adopted, there was already no question that trial courts could
        not impose terms of imprisonment and probation in excess of those provided in the general
        sentencing provisions of article 4.5 of chapter V and the provisions specific to imprisonment in
        article 8 of chapter V. Hence, according to defendant, the legislature must have meant to
        impose an additional restriction on prison and probation terms. Defendant is mistaken.
        Sections 5-6-2(f) and 5-6-4(j) permitted a sentencing option that was previously not available
        under Illinois law, and they clarified how the maximums specified elsewhere in the Code
        would apply to that option. Before the adoption of sections 5-6-2(f) and 5-6-4(j) in 2005, courts
        had some authority to combine prison and probation terms in a sentence for a single offense.
        For example, imprisonment was (and still is) permitted as a condition of probation, with
        certain qualifications. See 730 ILCS 5/5-6-3(e) (West 2004). There was, however, no specific
        authorization in the Code for a term of probation to run consecutively to a term of
        imprisonment for a single offense. The supreme court said as much in 1997 in People v.
        Williams, 179 Ill. 2d 331, 335 (1997). In deciding the legality of such consecutive sentencing,
        the court found the rule of lenity applicable because “[i]mposing consecutive sentences for a
        single conviction constitutes two consecutive punishments for one offense.” Id. “[T]o sanction
        sentences of both prison and probation for one crime, without definite authorization in the
        Code, would impermissibly increase the penalty for that offense.” Id. “Where there is no clear
        indication of a legislative intent to increase a punishment, the ambiguity must be construed in
        favor of the defendant.” Id. Applying the rule of lenity, the court held that the Code did not
        permit a probation term to run consecutively to a prison term for a single offense. Id.
¶ 152       Sections 5-6-2(f) and 5-6-4(j) broke new ground by permitting consecutive terms of
        imprisonment and probation for a single offense. Necessarily, the general sentencing
        provisions in existence when those sections were passed did not suggest how the maximums

                                                    - 32 -
        they prescribed would apply in the case of consecutive terms of imprisonment and probation.
        The general sentencing provisions did not suggest, for instance, if there would be restraints
        comparable to those that long governed consecutive sentences of imprisonment. See 730 ILCS
        5/5-8-4(f) (West 2014) (placing caps on the aggregate maximum and aggregate minimum of
        consecutive sentences of imprisonment). In authorizing the new sentencing option of
        consecutive terms of imprisonment and probation, sections 5-6-2(f) and 5-6-4(j) clarified that
        the trial court has the authority to sentence up to the respective maximums for the component
        terms.
¶ 153       Defendant also suggests that our construction of section 5-6-2(f) “would subvert the
        legislative purpose of leaving some, or all, prison-time available for enforcing compliance
        with probation.” He says: “A maximum term of imprisonment as a pre-condition of a maximum
        period of probation makes no sense.” (Emphases in original.) This concern is misplaced. On
        our reading, the trial court is authorized, but not required, to impose maximum prison and
        probation terms in the initial sentence. Defendant claims that there is support for his position in
        People v. Joseph, 105 Ill. App. 3d 568, 570 (1982), which held that the trial court is not
        allowed to impose a term of probation consecutively to a prison term. Joseph was decided long
        before section 5-6-2(f) was adopted, and therefore it is inapplicable here.
¶ 154       We recognize that our interpretation sets us at odds with the Third District in Horrell. We
        are not bound by the decisions of our fellow appellate districts. People v. Johnson, 2015 IL
        App (2d) 131029, ¶ 26. Additionally, the decision in Horrell is not persuasive, as the Third
        District offered no statutory analysis to support its reading of section 5-6-2(f) as requiring that
        the aggregate term of imprisonment and probation be compared against a single maximum
        term, much less any support for its conclusion that the maximum term for comparison is the
        maximum term of imprisonment and not probation. See Horrell, 381 Ill. App. 3d at 575.
¶ 155       Applying section 5-6-2(f) as we have construed it, we hold that the terms of imprisonment
        and probation imposed in this case were valid because they did not exceed the respective
        maximums prescribed in section 5-4.5-55 of the Code.

¶ 156                                      III. CONCLUSION
¶ 157       For the foregoing reasons, we affirm the judgment of the circuit court of Du Page County.
        As part of our judgment, we grant the State’s request that defendant be assessed $50 as costs
        for this appeal. 55 ILCS 5/4-2002(a) (West 2014); see also People v. Nicholls, 71 Ill. 2d 166,
        178 (1978).

¶ 158      Affirmed.




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