               REPORTED


  IN THE COURT OF SPECIAL APPEALS

             OF MARYLAND

                  No. 2593

         SEPTEMBER TERM, 2014



         FRANKLIN DAVID LONG


                     v.

 MARYLAND STATE DEPARTMENT OF
 PUBLIC SAFETY AND CORRECTIONAL
             SERVICES



      Graeff,
      Kehoe,
      Salomon, James P.
       Senior Judge, Specially Assigned

                            JJ.


           Opinion by Salmon, Jr.



Filed: September 28, 2016
       Franklin David Long (“Long”) filed a complaint for declaratory relief in the

Circuit Court for Montgomery County against the Maryland Department of Public Safety

and Correctional Services (“the Department”) in which he asked the court to declare:

       (1) That the Plaintiff be removed from the Maryland Sex Offender Registry
       since his original sentence required only a ten (10) year registration term
       which should have expired in 2011; or, in the alternative,

       (2) Should this Court find that the Plaintiff must remain on the Maryland
       Sex Offender Registry, that the Plaintiff only be required to register once a
       year with his supervising authority as opposed to every three months; and
       further

       (3) That the terms of his registration be in accordance with his original
       sentence and the laws in place at the time of his crime, and not pursuant to
       the retroactive application of the 2001, 2009 and 2010 amendments to the
       Maryland sex offender statute[.]

       The Department filed an answer to the complaint, after which both Long and the

Department filed motions for summary judgment. The circuit court, after hearing oral

argument, granted the Department’s motion for summary judgment and ruled: 1) that

Long’s original sentence required him to register as a sex offender for life, and 2) that

Long was required to meet the registration requirements as a sex offender as they

currently exist. The court also denied Long’s cross-motion for summary judgment and

declared, in writing, the rights of the parties. Long filed a timely appeal to this Court in

which he raises two questions that he phrases as follows:

       1. Did the [c]ircuit [c]ourt err in determining that [a]ppellant was subject to
       lifetime registration on the Maryland Sex Offender Registry when he was
       only required to register for a ten-year term at the time of his sentence?

       2. Did the [c]ircuit [c]ourt err in determining that the additional registration
       requirements imposed upon [a]ppellant by the 2009 and 2010 amendments
       to the Maryland Sex Offender Registry Act did not violate the prohibition
       against ex post facto laws under the Maryland Declaration of Rights?

       The second question presented is one of first impression. We shall answer that

question as well as the first in the negative.

                                                 I.

                                      BACKGROUND

       On October 4, 2000, when Long was 66 years old, he committed a third-degree

sexual offense. On the date this crime was committed his victim was an 11-year-old girl.

       About ten months after the commission of the aforementioned crime, on August 6,

2001, Long entered a guilty plea in which he admitted having committed a third-degree

sexual offense. The plea was entered in the Circuit Court for Montgomery County,

Maryland.    On September 6, 2001, the circuit court sentenced Long to five years’

incarceration with all but six months suspended, in favor of five years’ probation.

       At the time of Long’s sentence, the statute that prohibited third-degree sexual

offenses was set forth in Article 27 § 464B of the Annotated Code of Maryland (1987,

Repl.Vol.). In 2002, that last mentioned statutory provision was transferred, without

substantive change, to Maryland Code (2002), Criminal Law Article (“Crim. Law”) § 3-

307. When Long was convicted in 2000, Article 27 § 792(D)(2)(ii)1 provided that

anyone convicted as a third-degree child sexual offender was required to register for life

as a sexual offender. Moreover, due to the nature of Long’s crimes, he also met the

definition of a sexually violent offender; such offenders were also required to register as a

sex offender for life. See Article 27 § 792(D)(4)(ii)1.
                                                 2
       On the same date that Long was sentenced, September 6, 2001, Long

acknowledged receipt of an “order for probation upon release from incarceration.” That

order set forth various conditions of probation, one of which was that he “must register as

a sex offender.” The order did not specify for how long appellant was required to

register.

       Ten days after Long filed his acknowledgment of the conditions of his probation,

he received a document entitled “Notice to Registrant of Requirements under Article 27,

Section 792.” That document informed Long, erroneously, that he was only required to

register as a child sexual offender annually for “the next 10 years” i.e., until September

18, 2011.

       Long, on January 20, 2004, received a document entitled “Notice to Registrant [-]

Under Criminal Procedure Article 11-701-721.” That document advised Long that he

was required to register as a child sexual offender annually for life.

       In 2009 and 2010, the Maryland Sex Offender Registration Act (“the Act”) was

amended. The amendments, insofar as here pertinent, are set forth in Maryland Code

(2008 Repl.Vol., 2015 Supp.), Criminal Procedure Article (“Crim. Proc.”) § 11-

701(q)(1)(ii). The amendments to the Act, reclassified persons in Mr. Long’s situation

from a “child sexual offender” and “sexually violent offender” to a “Tier III sex

offender.” As amended, the Act defined a “Tier III sex offender” as a “person who has

been convicted of . . . committing a violation of § 3-307(a)(3) . . . of the Criminal Law

Article[.]” See Crim. Proc. § 11-701(q)(2). Although the amendments did not change the

                                              3
time period for which an offender was required to register, it did require that the offender

“register in person every 3 months with a local law enforcement unit” for the life of the

registrant. See Crim. Proc. § 11-707(a)(2)(i) and (a)(4)(iii). The 2010 amendment made

additional changes, which are discussed infra.

       In his complaint requesting declaratory relief, Long asserted that by requiring him

to continue to register as a sex offender after September 18, 2011, the statute violated the

prohibition against ex post facto laws set forth in Article 17 of the Maryland Declaration

of Rights. This is true, according to Long, because he was “originally required to register

for ten (10) years and now must register for life.”

       Long asserts, in the alternative, that in the event that this Court should determine

that he must remain on the Maryland Sex Offender Registry for life, we should,

nevertheless, decide that he should only have to meet the reporting requirements that

were in place in 2000 and not the more stringent requirements currently imposed upon

third-degree sex offenders.

       The circuit court, in a written opinion, declared:

              Pursuant to the 1999 amendment to the Maryland Sex Offender
       Registration Act (the “Maryland Act”), Mr. Long was required to register
       as a child sexual offender for life. 1999 Md. Laws ch. 317.

             As a result of a 2010 amendment to the Maryland Act, Mr. Long is
       now classified as a “[T]ier III” sex offender in Maryland which has not
       changed the requirement that he register for life. See Md. Code Ann.,
       Crim. Proc. § 11-701(q)(1)(ii) (2013 Supp.).

              The Maryland Act has not been applied, and is not now being
       applied, to Mr. Long in any way so as to violate either the federal or state
       ex post facto clauses. Mr. Long is therefore obligated to continue to
                                              4
      register as a [T]ier III sex offender for life in accordance with the
      requirements of the Maryland Act.


                                            II.

                             FIRST ISSUE PRESENTED

      Long’s first argument is phrased as follows “[t]he [c]ircuit [c]ourt erred in

determining that [a]ppellant should not be removed from the MSOR [Maryland Sex

Offender Registry] because the ten-year registration term to which he was obligated has

expired.” The key phrase in this argument is “the ten-year registration term to which he

was obligated has expired.” Actually, in 2001, when Long was sentenced, as a collateral

consequence to pleading guilty to a third-degree sex offense involving a female under the

age of 14 years, Long was “obligated” to register as a sex offender for life - not ten (10)

years. In his brief, Long admits that this is what the law provided in 2001, the year that

he entered his guilty plea. Long argues, however, that “lifetime registration was never a

condition of” his sentence and, as a consequence, he “is entitled to the benefit of the

bargain in his plea agreement, and [the Department] cannot unilaterally decide to increase

[his] registration term to something other than what was agreed to, understood, and

voluntarily accepted by [him] at the time of sentencing.” Later in his brief, Long makes

much the same point when he argues that when he “received his sentence, his plea

agreement included a requirement to register on the MSOR for ten years.”

      There are two major problems with the above arguments. First, in the circuit

court, Long never argued that at the time he pleaded guilty, he and the State agreed that

                                            5
he would only be required to register as a sex offender for ten years. Therefore, the

circuit court did not address that argument. See Md. Rule 8-131(a) (except for certain

jurisdictional issues, an appellate court will ordinarily not decide any issue neither raised

nor decided in the circuit court). Second, there is nothing whatsoever in the record to

suggest that, at the time the plea agreement was put on the record, the State, the plea

judge, or anyone else, agreed with appellant that he would only have to register as a sex

offender for ten years.

       In his brief, Long argues the fact that his plea agreement “included a requirement

to register on the MSOR for ten years” is supported by the “Notice to Registrant of

Requirements under Article 27, Section 792” that he received. The content of the notice

to registrant tells us nothing whatsoever as to appellant’s understanding of the registration

requirements when he entered his guilty plea. That notice was received ten days after he

received his sentence and 43 days after he pled guilty. In other words, at the time in 2001

when Long pled guilty, he could not possibly have relied upon the Notice to Registrant

because that document was not supplied to him until more than one month afterwards.

       It is of course true, as Long argues, that when a defendant pleads guilty he or she

is entitled to the benefit of his/her bargain. But, nothing in this record shows that Long

ever made such a “bargain” when he pled guilty. In short, there is nothing in the record

to support Long’s argument that when he pled guilty, he was promised that he would only

have to register for ten years.



                                             6
       For the foregoing reasons, we hold that the circuit court did not err when, in

declaring the rights of the parties, the court said that Long was required to register as a

sex offender for life.

                                            III.

                             SECOND ISSUE PRESENTED

       In October of 2000, when Long committed the third-degree sexual offense against

an 11-year-old victim and, at the time he was sentenced, sex offenders with such

convictions were required to register annually, in person, with a local law enforcement

agency and provide the following information:

       (i)     The registrant’s name, address and place of employment;
       (ii)    A description of the crime for which the registrant was convicted . .
               .;
       (iii)   The date that the registrant was convicted . . .;
       (iv)    The jurisdiction in which the registrant was convicted . . .;
       (v)     A list of any aliases that have been used by the registrant; and
       (vi)    The registrant’s Social Security number.

Md. Code Ann., Article 27, Section 792(e) (2000).

       After the law was changed by the 2009 and 2010 amendments, Long was required

to register with a local law enforcement agency authority every three months (rather than

every six months)1 and to file a registration statement that included:


       1
        Long incorrectly asserts that the 2010 amendments to the Maryland Act increased
his in person registration obligation from once annually. In 2006, the Maryland Act was
amended to require that “child sexual offenders” and “sexually violent offenders” register
in person every six months. Md. Code Ann., Crim. Proc. § 11-707(a) (2015 Supp.). The
2010 amendments increased the frequency from twice annually to quarterly. For our

(Continued…)
                                             7
       (1)    the registrant’s full name, including any suffix, and all addresses and
              places where the registrant resides or habitually lives;
       (2)    the name and address of each of the registrant’s employers and a
              description of each location where the registrant performs
              employment duties, if that location differs from the address of the
              employer;
       (3)    the name of the registrant’s educational institution or place of school
              enrollment and the registrant’s educational institution or school
              address;
       (4)    a description of the crime for which the registrant was convicted;
       (5)    the date that the registrant was convicted;
       (6)    the jurisdiction and the name of the court in which the registrant was
              convicted;
       (7)    a list of any aliases, former names, names by which the registrant
              legally has been known, traditional names given by family or clan
              under ethnic or tribal tradition, electronic mail addresses, computer
              log-in or screen names or identities, instant-messaging identities, and
              electronic chat room identities that the registrant has used;
       (8)    the registrant’s Social Security number and any purported Social
              Security numbers, the registrant’s date of birth, purported dates of
              birth, and place of birth;
       (9)    all identifying factors, including a physical description;
       (10)   a copy of the registrant’s passport or immigration papers;
       (11)   information regarding any professional licenses the registrant holds;
       (12)   the license plate number, registration number, and description of any
              vehicle, including all motor vehicles, boats, and aircraft, owned or
              regularly operated by the registrant;
       (13)   the permanent or frequent addresses or locations where all vehicles
              are kept;
       (14)   all landline and cellular telephone numbers and any other
              designations used by the sex offender for the purposes of routing or
              self-identification in telephonic communications;
       (15)   a copy of the registrant’s valid driver’s license or identification card;
       (16)   the registrant’s fingerprints and palm prints;

(…continued)
purposes, however, this erroneous assertion does not matter because from the time
appellant committed the sexual offense to the time he filed suit, the reporting requirement
increased from once per year to once every three months.



                                              8
       (17)   the criminal history of the sex offender, including the dates of all
              arrests and convictions, the status of parole, probation, or supervised
              release, and the existence of any outstanding arrest warrants; and
       (18)   the registrant’s signature and date signed.

Md. Code Ann., Crim. Proc. § 11-706(a) (2014).

       Several appellate cases in Maryland have discussed, in considerable detail,

whether the Maryland Sex Offenders Registration Act (“the Act”) as amended violates

the ex post facto provisions in Article 17 of the Declaration of Rights and/or Article I, §

10 of the United States Constitution. Those cases include: Doe v. Dept. of Public Safety

and Correctional Services (“Doe I”), 430 Md. 535 (2013); Dept. of Public Safety and

Correctional Services v. Doe (“Doe II”), 439 Md. 201 (2014); In Re: Nick H., 224 Md.

App. 668 (2015); Connor v. State, 223 Md. App. 1 (2015); Quispe del Pino v. Maryland

Department of Public Safety and Correctional Services, 222 Md. App. 44 (2015);

Rodriguez v. State, 221 Md. App. 26 (2015); Sanchez v. State, 215 Md. App. 42 (2013).

See also Timothy J. Gilbert, Retroactivity and the Future of Sex Offender Registration in

Maryland, 45 U. Balt. L.F. 164, 166-77 (2015).

       In large measure, the reason for the 2009 and 2010 changes to the Act was that the

United States Congress, in 2006, passed the Sex Offender Registration and Notification

Act (“SORNA”). See Doe I, 430 Md. at 588 (Barbera, J., dissenting). SORNA required

states to set up a sex offender registry and specified what information must be contained

in the registry. In addition, SORNA authorized the United States Attorney General to

issue guidelines to the states specifying additional information about sex offenders that

should be compiled and contained in the registry. Id. On July 2, 2008, the Attorney
                                             9
General issued such guidelines. See 73 Fed. Reg. 38030-38070. States that did not

comply with SORNA and the guidelines, risked losing 10% of the Byrne Justice

Assistant grants that would have otherwise been allowed. See 42 U.S.C. § 16925.2 A

review of SORNA, together with the Attorney General’s guidelines, show that many of

the 2009-2010 changes to the Act were required by either SORNA or the guidelines.3

       Appellant contends that the registration requirement set forth in the amendments

to the Act should not apply to him because, if so applied, the amended statute would

violate his rights as guaranteed by Article 17 of the Maryland Declaration of Rights,

which reads:

       That retrospective Laws, punishing acts committed before the existence of
       such Laws, and by them only declared criminal are oppressive, unjust and
       incompatible with liberty; wherefore no ex post facto law ought to be made;
       nor any retrospective oath or restriction be imposed, or required.

       Article I, § 10 of the Constitution of the United States contains a similar provision

that provides, in pertinent part: “No State shall . . . pass any . . . ex post facto Law . . . .”

       Until our recent decision in the case of In Re: Nick H., there was confusion in

Maryland as to what test should be used in determining whether the amended Act


       2
          On July 19, 2011, the United States Department of Justice SMART (Sexual
Offender Sentencing, Monitoring, Apprehending, Registering, and Tracking) Office
certified Maryland as one of the 17 states that had substantially implemented SORNA.
See Doe II, 439 Md. at 224.
       3
        Admittedly, some of the new requirements as set forth in the 2010 amendment to
the Act are unique to Maryland. See Doe I, supra.



                                                10
violated Article 17 of the Maryland Declaration of Rights. The competing tests were the

“intent-effects test” discussed by the Supreme Court in Smith v. Doe, 538 U.S. 84 (2003)

(“Smith”) and the “disadvantage” test, which was utilized by a plurality of the Court of

Appeals in Doe I. Doe I, 430 Md. at 551-52, 557.

       In Smith, the United States Supreme Court examined an Alaskan sex registration

statute that went into effect in 1994 and required sex offenders and child kidnappers to

register as sex offenders and to re-register every three months thereafter. 538 U.S. at 89-

90. Under the Alaskan statute, such offenders were required to:

       provide his name, aliases, identifying features, address, place of
       employment, date of birth, conviction information, driver’s license number,
       information about vehicles to which he has access, and post-conviction
       treatment history. [Alaska Stat.] § 12.63.010(b)(1). He must permit the
       authorities to photograph and fingerprint him. [Alaska Stat.] §
       12.63.010(b)(2).

Id. at 90.

       Because the Alaskan Act went into effect after the respondents were convicted, the

Supreme Court was called upon to decide whether the ex post facto prohibition found in

Article I, § 10 of our federal constitution prohibited Alaska from requiring the

respondents to abide by the provisions of the statute. The Smith Court held that the rights

of the respondents were not violated and in reaching that conclusion applied the intent-

effects test, which involved a two-step process. The Court explained the first step as

follows:

       We must ascertain whether the legislature meant the statute to establish
       civil proceedings. If the intention of the legislature was to impose
       punishment, that ends the inquiry. If, however, the intention was to enact a
                                            11
       regulatory scheme that is civil and nonpunitive, we must further examine
       whether the statutory scheme is so punitive either in purpose or effect as to
       negate [the State’s] intention to deem it civil.

Id. at 92 (alteration in original) (citations and internal quotation marks omitted).

       The second step of the intent-effects test requires the court to consider several

factors, including, but not limited to, the following:

       [1] [w]hether the sanction involves an affirmative disability or restraint, [2]
       whether it has historically been regarded as a punishment[, 3] whether it
       comes into play only on a finding of scienter, [4] whether its operation will
       promote the traditional aims of punishment–retribution and deterrence, [5]
       whether the behavior to which it applies is already a crime, [6] whether an
       alternative purpose to which it may rationally be connected is assignable
       for it, and [7] whether it appears excessive in relation to the alternative
       purpose assigned . . . .

In Re: Nick H., 224 Md. App. at 691 (quoting from Kennedy v. Mendoza-Martinez, 372

U.S. 144, 168-69 (1963)).

       Appellant contends that we should not use the intent-effects test but use instead

the disadvantage test, which, as already mentioned, was espoused by the plurality opinion

in Doe I. Under that test, the “two critical elements that must be present for a law to be

unconstitutional under the ex post facto prohibition are that the law is retroactively

applied and the application disadvantages the offender.” Doe I, 430 Md. at 551-52.

       In the In Re: Nick H. case, before concluding that the intent-effects test must be

used, the Doe I case was thoroughly analyzed, as follows:

       In 2006, Doe pled guilty to and was convicted . . . of a single count of child
       sexual abuse arising out of an incident involving inappropriate contact with
       a thirteen-year-old student that occurred during the 1983-84 school year
       when Doe was a junior high school teacher. Doe was sentenced to ten
       years’ incarceration, with all but four and one half years suspended, and
                                              12
three years’ supervised probation upon his release. Although Doe’s plea
agreement did not address registration as a sex offender as one of the
conditions of probation, Doe was ordered at sentencing to “register as a
child sex offender.” He was also ordered to pay a $500 fine. Following his
sentencing, Doe filed a Motion to Correct an Illegal Sentence challenging
both the fine and the requirement that he register as a child sex offender.
The [c]ircuit [c]ourt agreed with Doe and issued an order striking the fine
and the registration requirement. Doe was released from prison in
December 2008. On October 1, 2009, Doe’s probation officer directed him
to register as a child sex offender. Doe maintained that he did not agree
with the requirement, but, against the advice of counsel, he registered as a
child sex offender in early October 2009.

   The requirement that Doe register as a sex offender was a result of the
2009 amendment to MSORA retroactively requiring offenders who were
convicted on or after October 1, 1995, but committed a sexual offense
before that date, to register for the first time. In October 2009, Doe brought
a declaratory judgment suit in the circuit court, seeking an order that he was
not required to register as a sex offender. Doe argued that a registration
requirement would make his plea invalid as involuntary, because he was
not informed that he would have to register as a sex offender when he
entered into the plea agreement in 2006. The State argued that the
requirement did not violate the prohibition against ex post facto laws. The
trial court agreed with the State and ordered that Doe “shall not be removed
from the sex offender registry.”

  After this Court affirmed the circuit court, the Court of Appeals granted
certiorari and reversed our decision. In a plurality opinion, the Court of
Appeals held that “requiring [Doe] to register as a result of the 2009 and
2010 amendments violates the prohibition against ex post facto laws
contained in Article 17 of the Maryland Declaration of Rights.” The three-
judge plurality explained that “in many contexts,” the Maryland
Declaration of Rights offers broader protections than the United States
Constitution. The plurality further determine that ex post facto claims
under Article 17 should be analyzed by using the “disadvantage” standard,
under which “any law passed after the commission of an offense which . . .
in relation to that offense, or its consequences, alters the situation of a party
to his [or her] disadvantage” violates Article 17.

  Specifically, under the disadvantage standard, “Article 17 prohibits the
retroactive application of laws that have the effect on an offender that is the
equivalent of imposing a new criminal sanction or punishment.” The
                                       13
      plurality determined that requiring Doe to register had “essentially the same
      effect” as placing him on probation, that “probation is a form of a criminal
      sanction,” and that “applying the statute to [Doe] effectively imposes on
      him an additional criminal sanction” for a crime committed in the 1980s.
      The plurality also concluded that the dissemination of Doe’s information
      pursuant to MSORA was “tantamount to the historical punishment of
      shaming,” and thus imposed an additional sanction for Doe’s crime.
      Therefore, according to the plurality, the retroactive application of MSORA
      to Doe, which had the effect of imposing the additional sanction of
      probation and shaming, violated the ex post facto prohibition contained in
      Article 17 of the Maryland Declaration of Rights.

        Judge McDonald (joined by Judge Adkins) concurred with the plurality’s
      conclusion that the statute violated Article 17, but, in contrast to the
      plurality, read Article 17 in pari materia with Article I, § 10 of the United
      States Constitution. Judge McDonald’s concurrence stated further that “the
      cumulative effect of [the] 2009 and 2010 amendments of the State’s sex
      offender registration law took that law across the line from civil regulation
      to an element of the punishment of offenders.” Although his concurrence
      did not expressly state the test that was used, both the language of the
      concurrence and the two law review articles cited therein lead us to
      conclude that Judge McDonald analyzed the issue under the “intent-effects
      test.”

224 Md. App. at 681-83 (citations omitted).

      In Doe I, Judge Harrell, writing separately in a concurring opinion, stated that he

would have denied Doe’s ex post facto claim under the “intent-effects” test but,

nevertheless, believed that Doe was entitled to relief because his 2006 plea agreement did

“not indicate that sex offender registration was a term of [the] agreement.” 430 Md. at




                                           14
576. Judge Barbera, in her dissent, opined that the proper test to be utilized when a

statute is challenged on ex post facto grounds was the intent-effects test.4 Id. at 583-87.

       In Re: Nick H., we said:

         Because Doe I is a plurality decision, we employ the Marks Rule to
       determine the Court’s holding: “‘[W]hen a fragmented Court decides a case
       and no single rationale explaining the result enjoys the assent of [four
       judges], the holding of the court may be viewed as that position taken by
       those Members who concurred in the judgment on the narrowest grounds.’”
       Wilkerson v. State, 420 Md. 573, 594, 24 A3d 703 (2011) (quoting Marks v.
       United States, 430 U.S. 188, 193, 97 S.Ct. 990, 51 L.Ed.2d 260 (1977)).
       Thus the Marks Rule requires us to determine the common thread running
       through the plurality and concurring opinions of Doe I. See, e.g., Derr v.
       State, 434 Md. 88, 115, 73 A.3d 254 (2013) (concluding that, under the
       Marks Rule, the narrowest holding of the Supreme Court’s decision in
       Williams v. Illinois, ___ U.S. ____, 132 S.Ct. 2221, 183 L.Ed.2d 89 (2012),
       was the position representing the common point of agreement between the
       plurality and concurring opinions), cert denied, ____ U.S. ____, 134 S.Ct.
       2723, 189 L.Ed.2d 762 (2014).

         In Doe I, the decision that MSORA violates the Article 17 ban on ex post
       facto laws is the common denominator representing the position taken by
       five judges who agreed that Doe should be granted relief. See 430 Md. at
       568, 578, 62 A.3d 123. Because the Marks Rule directs us to the narrowest
       ground common to the plurality and the concurrence, Judge McDonald’s
       interpretation of Article 17 as read in pari materia with the less expansive
       federal ex post facto clause represents the “position taken by those
       Members who concurred in the judgment on the narrowest grounds.” See
       Wilkerson, 420 Md. at 594, 24 A.3d 703 (concluding that Justice
       Kennedy’s concurrence represented the narrowest opinion of the Supreme
       Court in Missouri v. Seibert, 542 U.S. 600, 124 S.Ct. 2601, 159 L.Ed.2d
       643 (2004)).


       4
         Of the three judges that made up the Doe I plurality, only Judge Greene is
presently an incumbent judge. The two judges who joined in the plurality opinions (Bell
and Eldridge), have retired as has Judge Harrell.



                                             15
         We recognize, however, that in reaching its holding in Doe I, three
       members of the Court applied the disadvantage test (the plurality opinion),
       while only two applied the intent-effects test (Judge McDonald’s
       concurrence). See Doe I, 430 Md. at 568, 578, 62 A.3d 123. Thus neither
       test commanded a majority of the Court. Nevertheless, we decide that the
       intent-effects test is the proper test to determine whether MSORA violates
       Article 17 as applied to appellant.

224 Md. App. at 684-86 (footnote omitted, emphasis added).

       In Re: Nick H., the appellant was a minor in 2006 when he pleaded involved to

one count of sexual abuse of a minor and two counts of second-degree sexual offense.

224 Md. App. at 673-74. At the time the offenses were committed, the appellant was 15

years old. Id. at 674. The juvenile court, after accepting his plea, placed appellant in a

residential treatment center where he stayed for about ten months. Id. Upon release,

appellant was placed on probation for three and one-half years. The juvenile court

monitored appellant’s progress in outpatient sex offender treatment while he was on

probation. After the Maryland Sex Offender Registration Act (“MSORA”) was amended

in 2009 and 2010, the juvenile court, under certain specified conditions, was allowed to

require that a juvenile register as a sex offender when he or she left the jurisdiction of the

juvenile court. Id.

       On October 7, 2010, the State asked the juvenile court to order Nick H. to register

as a sex offender. Id. The juvenile court did so finding “by clear and convincing

evidence” that Nick H. was “at significant risk [of re-offending] . . . .” Id. at 680. Even

though appellant was not required to register as a sex offender at the time he entered his

plea in 2006, we held, using the intent-effects test, that requiring appellant to register

                                             16
under the amendments to the Act, did not violate Article 17 of the Maryland Declaration

of Rights.

       In Re: Nick H. was filed on September 29, 2015, which was two weeks after

appellant filed his brief in this case. It is, perhaps, for this reason, that in his brief,

appellant analyzes the 2009 and 2010 amendments to the Act by assuming that the intent-

effects test would not be used and that we would use the disadvantage test set forth in the

Doe I plurality opinion. But, under the holding in Nick H., the disadvantage test is

inapplicable when construing Article 17 of the Declaration of Rights. See In Re: Nick H.,

224 Md. at 685-86.

       Before applying the intent-effects test to the facts in this case, it should be stressed

that the case sub judice is distinguishable from Smith, Doe I, and In Re: Nick H.

inasmuch as the sex offenders in those cases, at the time they committed the sex

offense(s), were not required to register as sex offenders. In contrast, at the time of

appellant’s 2001 conviction, he was already required to register as a sex offender for life

and also required to supply the State with quite a bit of personal information when he

registered. Therefore, to the extent that simply being on a registry of sexual offenders

might constitute the modern day equivalent of shaming (see Doe I plurality opinion, 430

Md. at 565), that negative consequence, because it existed prior to the statute’s

amendments, can have no effect on our decision as to whether appellant’s ex post facto

rights were violated. Thus, in applying the intent-effects test, we apply it only to the



                                              17
aspects of the amendments to the Act that are different from the registration requirements

that existed at the time of appellant’s criminal acts.

       As mentioned earlier, the first step when using the intent-effects test is to

determine whether the legislature meant the 2009 and 2010 amendments to punish the

sex offender or to simply establish civil regulatory proceedings. See Smith, 538 U.S. at

92. In this case it is clear that the General Assembly, by its 2009 and 2010 amendments,

intended the statute to be a regulatory measure needed to accomplish two public safety

regulatory objectives. See Doe I, 430 Md. at 587 (Barbera, J. dissenting). One objective

was to incorporate the provisions of SORNA and the second intended purpose was to

“further the objectives of the then-extant civil regulatory scheme [that the Maryland

Court of Appeals] previously held to be non-punitive.” Id. (citing Young v. State, 370

Md. 686 at 712 (2002)) (footnote omitted). “[W]here a legislative restriction is an

incident of the State’s power to protect the health and safety of its citizens, it will be

considered as evidencing an intent to exercise that regulatory power, and not a purpose to

add to the punishment.”       Smith, 538 U.S. at 93-94 (citations and quotation marks

omitted). Additionally, there is nothing in the language used in either the 2009 or 2010

amendments that indicates a legislative intent to punish the sex offender.

       We therefore conclude that the 2009 and 2010 amendments to the Act were

enacted with the intent of protecting the health and welfare of the public and not to

punish the offender. In other words, the General Assembly meant the amendments to be

part of a civil regulatory scheme and not punitive.

                                              18
       In applying the intent-effects test, the Supreme Court said:

       If the intention of the legislature . . . was to enact a regulatory scheme that
       is civil and nonpunitive, we must further examine whether the statutory
       scheme is “‘so punitive either in purpose or effect as to negate [the State’s]
       intention’ to deem it ‘civil.’” Ibid. (quoting United States v. Ward, 448
       U.S. 242, 248-249, 100 S.Ct. 2636, 65 L.Ed.2d 742 (1980)). Because we
       “ordinarily defer to the legislature’s stated intent,” Hendricks, [521 U.S.
       346], at 361, 117 S.Ct. 2072[(1997)], “only the clearest proof will suffice to
       override legislative intent and transform what has been denominated a civil
       remedy into a criminal penalty,” Hudson v. United States, 522 U.S. 93, 100,
       118 S.Ct. 488, 139 L. Ed.2d 450 (1997) (quoting Ward, supra. at 249, 100
       S.Ct. 2636)[.]

Smith, 538 U.S. at 90 (some citations omitted).

       The second step in applying the intent-effects test requires us to analyze whether

the effect of the statute “overrides the legislative purpose [in such a way as] to render the

statute punitive.” Doe I, 430 Md. at 570 (footnote omitted). The first factor is whether

the statute imposes an “affirmative disability or restraint.” Id. at 572. Although the

additional requirements set forth in the amendments do not impose any physical restraints

upon appellant, the requirement that the appellant register once every three months rather

than once every year, together with the added information that must be provided, can be

said to amount to an affirmative disability. See generally Young v. State, 370 Md. at 713.

Therefore, that factor weighs in favor of appellant, although, as in Young, “we ultimately

conclude that the [added] burden is not so unreasonable, in light of the statute’s remedial

aims, that it converts the statute into a punitive one.” Id.

       The second factor (whether the added requirements have been historically viewed

as punishment) weighs in favor of the State. Providing detailed information to a local

                                              19
law enforcement agency coupled with the requirement that the offender appear in person

once every three months has historically not been viewed as punishment; instead, such

requirements have historically been viewed as serving a regulatory purpose, i.e., to

increase the safety of the public from known violent sex offenders. Smith, 538 U.S. at

98-99.

         The third factor also weighs in favor of the State because no finding of scienter is

required in order for the additional registration requirements to apply. All Tier III sex

offenders, without regard to the offenders’ state of mind, must comply. See Young, 370

Md. at 715.

         The fourth factor (whether the statute will promote the traditional goals of

punishment: retribution and deference), weighs in favor of appellant. Although not

retributive, the additional requirements set forth in the amendments can be said to serve a

deterrence function by continuously reminding the offender of the ever-present interest of

law enforcement in the registrant’s behavior. See In Re: Nick H., 224 Md. App. at 695

and Young, 370 Md. at 712. This factor, however, is afforded slight weight because,

before the amendments went into effect, appellant already had to provide significant

information to local law enforcement agencies once per year.

         The fifth factor (whether the behavior to which the amendment applies is already a

crime) is one that also favors the appellant because, quite obviously, in order to be

required to provide the additional information, one must be a convicted sex offender.



                                              20
That factor also is accorded limited weight. In Young, 370 Md. at 714, the Court of

Appeals said:

      There are many occasions when legislatures attach both criminal and civil
      sanctions to the same act or omission. The fact that the statute is triggered
      by a criminal conviction does not undermine the Legislature’s intent to
      create a sex offender registry to aid in the civil purpose . . . . Thus,
      although the connection between sex offender registration and past criminal
      behavior is clear, we accord only limited weight to this factor in light of the
      equally strong connection between registration and legitimate civil
      purposes.

      The sixth factor (whether an alternative purpose - other than punishment - may be

assigned for the added burden) strongly favors the State because the amendments clearly

have a purpose other than punishment. That alternative purpose was to protect the public

from the grave threat of repeat sex offenders by requiring convicted sex offenders to

supply added information and to present themselves more frequently to law enforcement

agencies so that their whereabouts can always be determined.

      The seventh factor (whether the burden appears excessive in relation to the

alternative purpose), favors the State. In light of the serious problems caused by repeat

sex offenders and the attendant need to be aware of the location and activities of the

offender, the additional requirements set forth in the 2009-2010 amendments, while

perhaps inconvenient for the offender, are not excessive.

      After balancing all relevant factors, we conclude that appellant has failed to

produce “the clearest proof” that despite the non-punitive intent of the amendments, the




                                            21
effect of the 2009 and 2010 changes in the Act are punitive. See Smith, 538 U.S. at 90.5

Because the added burdens brought about by the amendments do not constitute

punishment forcing appellant to comply with the new requirements, they did not violate

appellant’s rights as set forth in Article 17 of the Maryland Declaration of Rights.



                                                  JUDGMENT AFFIRMED; COSTS
                                                  TO BE PAID BY APPELLANT.




.



                                                  JUDGMENT AFFIRMED; COSTS

                                                  TO BE PAID BY APPELLANT.




       5
         For a comprehensive review of scores of cases involving the intent-effects test,
see William M. Howard, Validity of State Sex Offender Registration Laws Under Ex Post
Facto Prohibitions, 63 ALR 6th 351 (2013). Using that test, all federal Circuit Courts of
Appeals and a great many state appellate courts have found no ex post facto violations
when the sex offender registration law is applied retroactively. There are, however, cases
discussed in the annotation where ex post facto violations were found in the application
of state Sexual Offender Registration statutes. As far as we have been able to determine,
however, none of those cases involved offenders who, prior to the amendment of the
statute, already had to register for life but, after the amendment, had to divulge more
information and report to a law enforcement agency more frequently.



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