Cruz v. English Nanny & Governess School Inc. , 92 N.E.3d 143 ( 2017 )


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  • [Cite as Cruz v. English Nanny & Governess School Inc., 2017-Ohio-4176.]
    Court of Appeals of Ohio
    EIGHTH APPELLATE DISTRICT
    COUNTY OF CUYAHOGA
    JOURNAL ENTRY AND OPINION
    No. 103714
    CHRISTINA CRUZ, ET AL.
    PLAINTIFFS-APPELLEES
    CROSS-APPELLANTS
    vs.
    ENGLISH NANNY & GOVERNESS
    SCHOOL INC., ET AL.
    DEFENDANTS-APPELLANTS
    CROSS-APPELLEES
    JUDGMENT:
    AFFIRMED IN PART, REVERSED IN PART,
    AND REMANDED
    Civil Appeal from the
    Cuyahoga County Court of Common Pleas
    Case No. CV-11-768767
    BEFORE: Keough, A.J., Blackmon, J., and Laster Mays, J.
    RELEASED AND JOURNALIZED: June 8, 2017
    ATTORNEYS FOR APPELLANTS/CROSS-APPELLEES
    John F. Hill
    Melinda Smith Yeargin
    Buckingham, Doolittle & Burroughs
    3800 Embassy Parkway, Suite 300
    Akron, Ohio 44333
    William D. Edwards
    Paul R. Harris
    Alyson Terrell
    Ulmer & Berne, L.L.P.
    1660 West 2nd Street, Suite 1100
    Cleveland, Ohio 44113
    Corey Noel Thrush
    127 Public Square, Suite 4100
    Key Tower
    Cleveland, Ohio 44114
    ATTORNEYS FOR APPELLEES/CROSS-APPELLANTS
    Peter G. Pattakos
    Subodh Chandra
    Sandhya Gupta
    Patrick Haney
    Chandra Law Firm, L.L.C.
    1265 West 6th Street, Suite 400
    Cleveland, Ohio 44113
    (Continued)
    ALSO LISTED:
    AMICI CURIAE
    ATTORNEYS FOR THE OHIO ASSOCIATION OF BROADCASTERS, THE
    OHIO NEWSPAPERS ASSOCIATION, THE OHIO COALITION FOR OPEN
    GOVERNMENT, PROGRESSOHIO EDUCATION, INC., THE ASSOCIATION
    OF ALTERNATIVE NEWS MEDIA, THE OHIO CHAPTER
    OF THE NATIONAL LAWYERS GUILD, CAIR-OHIO, AND NINE MEMBERS
    OF THE OHIO BAR
    Raymond Vasvari
    K. Ann Zimmerman
    1100 Erieview Tower
    1301 East Ninth Street
    Cleveland, Ohio 44114
    ATTORNEYS FOR AMERICAN CIVIL LIBERTIES UNION OF OHIO
    FOUNDATION
    Jonathan Peters
    Freda J. Levenson
    4506 Chester Avenue
    Cleveland, Ohio 44103-0000
    ATTORNEYS FOR FIRST AMENDMENT LAWYERS ASSOCIATION
    J. Michael Murray
    Steven D. Shafron
    Bergman, Gordon, Murray & DeVan
    55 Public Square, Suite 2200
    Cleveland, Ohio 44113-0000
    KATHLEEN ANN KEOUGH, A.J.:
    {¶1} Defendants-appellants/cross-appellees, English Nanny & Governess School
    (“the School”), English Nannies, Inc., d.b.a. English Nannies & Governess, Inc., (“the
    Placement Agency”), Sheilagh Roth (“Roth”), and Bradford Gaylord (“Gaylord”)
    (collectively “defendants” or “English Nanny”), appeal the trial court’s decision denying
    their motion for directed verdict and judgment notwithstanding the verdict on
    plaintiff-appellee/cross-appellant, Christina Cruz’s (“Cruz”), claim for intentional
    infliction of emotional distress, and plaintiff-appellee/cross-appellant, Heidi Kaiser’s
    (“Kaiser”), claim for wrongful discharge.
    {¶2} Cruz appeals the trial court’s decision granting defendants’ motion for
    remittitur on her claim for intentional infliction of emotional distress. Cruz and Kaiser
    collectively appeal the trial court’s decision reducing their attorney fee award. Finally,
    cross-appellant, attorney Peter Pattakos, appeals the trial court’s decision imposing
    sanctions against him.
    {¶3} For the reasons that follow, we affirm in part, reverse in part, and remand for
    further proceedings consistent with this opinion.
    I. Procedural History
    {¶4} The case arises from the relationship between Cruz and the defendants, and
    the demise of that relationship upon Cruz’s decision to report an allegation of child abuse.
    Cruz believed that the defendants were not supportive of her decision to report the
    alleged abuse, and the defendants believed that Cruz’s allegations were not well-founded.
    Cruz believed that she was blackballed from being placed as a nanny after she decided to
    report the abuse, and Kaiser believed she was wrongfully terminated from English Nanny
    for not participating in the alleged cover-up of the child abuse report and for disclosing
    information to Cruz regarding the defendants’ skepticism about Cruz’s allegations.
    {¶5} In November 2011, Cruz and Kaiser (collectively “the plaintiffs”) filed a
    complaint against the English Nanny defendants, Bradford Holdings, and C.F.H. Ltd. In
    the complaint, Cruz brought causes of action for wrongful termination against public
    policy, defamation, negligent and intentional infliction of emotional distress, and breach
    of contract. Kaiser raised causes of action for wrongful termination against public policy
    and defamation.     Defendants denied these claims and asserted a breach of contract
    counterclaim against Cruz.
    {¶6} In March 2012, the trial court granted, in part, English Nanny’s motion for
    partial judgment on the pleadings by dismissing the case against Bradford Holdings and
    C.F.H. Ltd. The court also dismissed Cruz’s claims for wrongful termination in violation
    of public policy and negligent infliction of emotional distress.
    {¶7} In October 2013, the trial court granted summary judgment in favor of
    Gaylord on Cruz’s claims for defamation, intentional infliction of emotional distress, and
    breach of contract, and on Kaiser’s claims of wrongful termination in violation of public
    policy and defamation. The trial court also granted summary judgment in favor of Roth
    on Cruz’s claims for breach of contract, defamation, and intentional infliction of
    emotional distress, and on Kaiser’s claim for wrongful termination. The trial court
    granted summary judgment in favor of the School and the Placement Agency on Cruz’s
    claims for defamation, breach of contract based on breach of the retail installment
    contract, and intentional infliction of emotional distress.
    {¶8} In January 2014, Cruz moved for reconsideration of the trial court’s decision
    granting summary judgment on her claim for intentional infliction of emotional distress.
    The request for reconsideration was based on the production of placement files that
    English Nanny produced after the trial court granted Cruz’s motion to compel discovery.
    The trial court found that Cruz’s introduction of this newly produced discoverable
    evidence was sufficient to withstand summary judgment on Cruz’s intentional infliction
    of emotional distress claim.
    {¶9} Accordingly, the causes of action left for trial were: Cruz’s claims against
    the remaining English Nanny defendants for intentional infliction of emotional distress,
    and her claim against the School and Placement Agency for breach of contract based on
    the exclusive placement agreement; and Kaiser’s claim for wrongful termination in
    violation of public policy against the School and the Placement Agency, and her claims
    for defamation against the School, the Placement Agency, and Roth. 1 Additionally,
    English Nanny’s counterclaim against Cruz for breach of contract remained.
    Kaiser’s defamation cause of action was dismissed with prejudice prior to the start of the first
    1
    trial on April 2, 2015.
    {¶10} On March 31, 2015, jury selection began for trial. At the end of voir dire,
    counsel for English Nanny commented that an article about the case had been published
    by Scene Magazine and was accessible on the internet. Before opening statements on
    April 2, 2015, discussion occurred about the article in Scene Magazine. The periodical
    containing the article was available on the internet and print copies were available free of
    charge in the courthouse and in a location where potential jurors could obtain a copy and
    view the article. The trial court questioned the parties about the source of the article, and
    attorney Pattakos explained that he had provided Scene Magazine with publicly available
    information about the case. The article contained only the plaintiffs’ perspective about
    the matter and revealed unfavorable information about the defendants’ case.
    Additionally, the online article had generated comments from the public that were
    unfavorable to the defendants.
    {¶11} The trial court conducted an oral hearing on whether the availability of the
    article in the periodical had tainted the jurors in the case. The court concluded that
    attorney Pattakos’s conduct was problematic, but found after questioning the jury, that the
    jury was not tainted so as to warrant a mistrial. However, the judge declared a mistrial
    days later for reasons unrelated to the Scene Magazine article, and the jurors were
    excused.
    II. Jury Trial
    {¶12} On May 19, 2015, a second jury was impaneled and the following relevant
    facts were presented; additional facts will be discussed as they pertain to each assignment
    of error.
    {¶13} English Nanny & Governess School, Inc. is a prestigious trade school that
    has been training professional nannies and governesses since 1985. Roth is the executive
    director of the school, and Gaylord is the director of operations of the Placement Agency
    that works to help match families with nannies from among the School’s qualified
    graduates. Kaiser worked briefly as a placement director at the Placement Agency in
    early 2011, while Cruz was a student at the School.
    {¶14} In the spring of 2011, Cruz enrolled as a student at the School. When she
    enrolled, she paid $2,000 and signed a Retail Installment Contract with the School to
    borrow $7,100, the balance of the original $9,100 cost of tuition and fees. Pursuant to
    the contract, Cruz agreed to repay the loan beginning in August 2011.
    A. Cruz’s Claim
    {¶15} After Cruz’s graduation in June 2011, Kaiser, as the placement director,
    arranged for Cruz to spend a weekend with a single father and his two daughters in
    Pennsylvania interviewing for a nanny position. Cruz testified that during this trip, she
    felt uncomfortable and certain events, actions, and interactions caused her alarm.
    Specifically, she stated that during the final evening she was with the family, she
    witnessed an inappropriate sexual act between the father and the oldest daughter. Cruz
    testified that she was shocked and nervous and did not know what she should do
    considering she was alone in the house with the family. She decided she would seek
    guidance from English Nanny on how to proceed with reporting the abuse.
    {¶16} On July 9, 2011, after returning to Ohio, she told Kaiser what she had seen
    between the father and his daughter. On July 14, Cruz told Barbara Francis, director of
    operations for the Placement Agency, about the incident and that she was “getting the
    feeling that [Gaylord was] not happy about [what happened], that it’s going to affect [her]
    placement.” (Tr. 793.) Cruz disclosed to Francis that Kaiser told her that Gaylord was
    “annoyed” and that if she reported, it would “cause a big mess.” (Tr. 794.)
    {¶17} According to Cruz, Francis told her that whether she decided to report the
    abuse was up to Cruz, and that English Nanny was not getting involved. Additionally,
    Francis told Cruz that she was not a mandated reporter of child abuse and therefore, it
    was not her responsibility to report. (Tr. 792.) Based on this conversation, Cruz felt
    discouraged and was afraid her placement would be affected if she reported the abuse.
    Francis told Cruz to speak with Angel Chapin, the instructor of the class on child abuse at
    the School.
    {¶18} Cruz testified that she spoke with Chapin and told her in detail about the
    events and what she witnessed. She testified her purpose was to see if there was enough
    or sufficient reasoning to report the abuse. According to Cruz, Chapin seemed like she
    did not believe her and kept questioning each detail. Despite Cruz telling Chapin that the
    entire weekend dynamic and the incident warranted a report, Chapin told her that she did
    not think it was child abuse and that she needed proof. Nevertheless, Chapin told Cruz
    that it was ultimately up to Cruz to report the incident, but that in her opinion it was not
    child abuse and not to report it because it could ruin families. (Tr. 801-806.)
    {¶19} As a result of this conversation, Cruz attempted to contact both Roth and
    Gaylord about the incident. Neither were available to talk to her, but Kaiser indicated to
    Cruz that they were upset and did not take the allegation seriously. (Tr. 806.)
    {¶20} Cruz testified that when she finally spoke with Gaylord about the incident,
    she felt he was not supportive because he told her to “forget about it,” and “don’t get
    involved,” “the father could sue the school,” “it could be a mess.” (Tr. 808.) According
    to Cruz, she felt Gaylord kept changing the topic to her placement as a nanny to deter her
    from reporting the abuse.
    {¶21} Cruz learned of Kaiser’s termination after speaking with Gaylord.
    According to Cruz, she felt that Kaiser was terminated because of her, which caused her
    to get scared, nervous, and sick because she felt that she was being blackballed.
    Accordingly, Cruz told Gaylord that she could not keep the incident a secret and that she
    was going to report the abuse. Cruz testified that this prompted Gaylord to agree that she
    should talk with Roth about the incident.
    {¶22} Cruz stated that when she spoke with Roth, Roth was irritated and annoyed
    that Cruz was causing a problem. When Cruz told Roth that she was reporting the abuse,
    Roth told her “no you’re not.” (Tr. 819.) After explaining her position and that she
    needed help writing the report, Roth referred Cruz to Shari Nacson, a social worker whom
    the School had recently hired to teach a class on recognizing and reporting child abuse.
    {¶23} Cruz testified that Nacson was supportive of her decision to report and
    based on what Cruz told her, Nacson indicated that the report needed to be made
    immediately. The two of the them worked together to create a thorough and detailed
    report. Although she met with Nacson in early August, Cruz did not file her formal
    report of child abuse until August 11, 2011.
    {¶24} Cruz admitted that at the same time she was reporting the allegation of
    abuse, her loan with the School was due. She stated this caused her more anxiety and to
    have panic attacks because she was getting the feeling that her report was affecting her
    placement as a nanny. According to Cruz, she received permission from Gaylord to seek
    nanny placements outside the Placement Agency and the Exclusive Placement
    Agreement.
    {¶25} Cruz testified that after Roth and Gaylord knew she was making the formal
    report, things changed between her and the Placement Agency. Cruz stated that there
    was little communication, interviews were cancelled, and she received a request for a
    medication list and to sign a release to obtain medical information.          She was
    subsequently told that she could not be placed with a family because documentation was
    missing from her file. On August 19, 2011, a week after the formal report was made,
    Cruz received a letter from Roth releasing Cruz from the Exclusive Placement
    Agreement.
    B. Kaiser’s Termination
    {¶26} Kaiser testified that on July 11th, she told Gaylord what Cruz had witnessed.
    According to Kaiser, Gaylord “became extremely agitated, very upset.” (Tr. 1851.)
    She testified that Gaylord stated that Cruz “doesn’t know what she saw; she’s crazy; [the
    father is] going to sue us. Tell her not to report. No more interviews for Christina.”
    (Tr. 1851.) Kaiser stated that moments later, Roth came into the office and Gaylord
    ordered Kaiser to “get [Roth] in here.” (Tr. 1853.) Kaiser went into Roth’s office and
    briefly told her what had occurred with Cruz. According to Kaiser, Roth responded
    similarly to Gaylord by stating that “she didn’t know what she saw and this kind of thing
    ruins families. ‘Tell her not to report.’” (Tr. 1853.) Both Roth and Gaylord denied that
    Kaiser ever told them about Cruz’s allegation. However, Cheryl McNulty, who worked
    in the Placement Agency from June to September 2011, testified that Gaylord was upset
    that day, and although she did not know why, she knew it involved Cruz and Kaiser. (Tr.
    1668.)
    {¶27} Kaiser told the jury that Gaylord did not want Cruz to receive any more
    interviews if she reported the alleged abuse and told her to dissuade Cruz from reporting.
    (Tr. 1855.) Kaiser interpreted this conduct as “[h]e wanted me to blackball her.” (Tr.
    1855.) Nevertheless, Kaiser continued to encourage Cruz to report the allegations, but
    told her she would be met with opposition from Roth and Gaylord if she reported.
    {¶28} Kaiser testified that she told Cruz how Gaylord had reacted and what was
    being said. Kaiser stated that despite being ordered to not send Cruz on any more
    interviews, Kaiser continued submitting Cruz’s information to potential families.
    Additionally, Kaiser stated that based on the allegation, she did not want to send the
    Pennsylvania father any additional nanny candidates, so she only referred individuals who
    she knew would be unacceptable to him. Ultimately, the father asked for a refund due to
    the lack of service. (Tr. 1860.)
    {¶29} Kaiser testified that prior to the incident with Cruz, she had no problems
    with her job and had not received any complaints about her job performance. In fact,
    three weeks prior to her termination, Roth wrote letters to two separate individuals
    praising Kaiser as a “great asset” and “wonderful asset” to English Nanny, noting in one
    of the letters that, “we love having Heidi here.” (Tr. 458-459.)
    {¶30} On July 12, Kaiser received an email from Barbara Francis advising her
    about the workbook she wanted Kaiser to use. The email asked Kaiser to meet with her
    to go over the training on how to use it. Kaiser admitted that this was not the first time
    the use of the workbook was discussed, but that it was the first time she saw the
    workbook template. Based on her experience with spreadsheet-type documents, Kaiser
    believed the workbook could be improved upon; however, after meeting with Francis, she
    concluded it was best to do it the way Francis wanted.
    {¶31} The following day, Kaiser received another email from Francis reminding
    her about their July 6 conversation that Gaylord wanted a list of current clients and all
    student graduates seeking positions. It was apparent from the email, that both Gaylord
    and Francis were unhappy that Kaiser had not compiled the list. Kaiser responded to the
    email, explaining that other agency tasks, including tasks for Gaylord that were not part
    of her job description, had taken her away from this task, but that she would make it a
    priority to compile the information.        Instead, on July 18, Francis handed her a
    termination letter, explaining that Kaiser was being fired for no improvement in her job
    performance.
    {¶32} Lynn Behrman, Kaiser’s successor, testified that she does not use any
    workbook spreadsheet to track the work done matching clients with student graduates and
    that no one has ever asked her to create such a document. (Tr. 2111-2112.)
    C. The Defense
    {¶33} Roth denied that she ever tried to discourage Cruz from reporting the
    suspected abuse, and in fact, that she believed Cruz had a duty to report the abuse and
    even provided Cruz with the father’s address in Pennsylvania. Roth testified repeatedly
    that neither she, Gaylord, nor any other employee had an obligation to report the abuse,
    but that only Cruz had a duty to report the abuse. Roth stated that she could not
    understand why, despite this duty, Cruz did not report the abuse until August 11, 2011,
    which coincidentally was after Cruz defaulted on her School loan. She testified that she
    was not made aware of Cruz’s allegations until she personally spoke with her on July 26,
    2011. At that time, she referred Cruz with Nacson due to her expertise in the field. She
    testified that she assumed Nacson would help Cruz with her report; however, she was
    quite surprised that the formal report, which she characterized as “embellished,” was not
    filed until over a month after the incident occurred.
    {¶34} Roth testified that she became concerned about Cruz based on Cruz’s
    conduct and erratic behavior after the abuse allegation, specifically, the constant phone
    calls and lengthy emails that Roth classified as “gobbledygook.” She stated that this
    caused her serious concern about “what was going on with her.” Based on this behavior,
    Roth reviewed Cruz’s application file from 2008.          In it, Roth found information
    regarding psychiatric symptoms and the name of Cruz’s treating physician.             Roth
    testified that in light of this information, and despite Cruz’s subsequent 2011 application
    where she indicated that she had no past or present emotional conditions, Roth felt
    compelled to further inquire into Cruz’s psychiatric history. Additionally, when Roth
    reviewed Cruz’s 2011 application again, she realized that Cruz’s file was incomplete.
    Roth testified that after contacting Cruz’s former physician, Dr. Anna Burkey, she
    determined that she could no longer recommend Cruz for placement due to Cruz’s
    ongoing mental health needs. Accordingly, on August 19, 2011, Roth wrote Cruz a letter
    releasing her from any obligation to the Placement Agency under the Exclusive
    Placement Agreement, focusing on the downturn of the economy and not Roth’s concerns
    about Cruz’s psychiatric conditions.
    {¶35} Bradford Gaylord also testified that he never dissuaded Cruz from reporting
    the abuse. He also denied that Kaiser spoke to him about Cruz’s allegations on July 11,
    stating that the first time he heard about the allegations was when Cruz called him in the
    late evening of July 25. Gaylord said he did not understand why Cruz waited two weeks
    to tell him about the alleged abuse, and that if she had told him immediately, he would
    have definitely supported her. Gaylord testified that after he spoke with Cruz on July 25
    about the alleged abuse, he went to work the following day and told Roth that “Christina
    has an issue, you need to deal with it.” (Tr. 2650.) According to Gaylord, that was “all
    his responsibility was” because Roth was the appropriate authority to address the issue.
    (Tr. id.).
    {¶36} When asked about Cruz’s performance at the school, Gaylord told the jury
    that Cruz was a “great con artist” who “didn’t learn much” attending the School, despite
    achieving high marks in all of her classes. (Tr. 2597.) Additionally, he denied telling
    Cruz that she could seek out nanny positions on her own because she was still under the
    Exclusive Placement Agreement.
    {¶37} Additionally, Gaylord denied that he excluded Cruz from any interviews or
    potential placements after the allegation of abuse surfaced. Despite Kaiser testifying that
    Gaylord told her not to give Cruz any more interviews, Lynn Behrman, Kaiser’s
    replacement, testified that she attempted to place Cruz as a nanny with families between
    July and August 2011. She stated that she was never advised not to place to Cruz with a
    family or to stop all interviews for Cruz until it was discovered that Cruz’s file was
    incomplete.    Additionally, Behrman stated that at no time was she reprimanded for
    attempting to place Cruz with a family.
    {¶38} In their defense to Cruz’s tort claims for emotional distress, the defendants
    focused on Cruz’s history of emotional and psychological distress.          The jury was
    presented with Cruz’s medical history and her own testimony that she has suffered her
    entire life with emotional problems, including anxiety and depression. Cruz admitted
    that the episodes of panic attacks, depression, and anxiety continued in her adult life,
    which she attributed to financial strain. She testified extensively about her financial
    difficulties and bouts of unemployment prior to attending the School, but said that despite
    these prior issues and the subsequent emotional distress caused by English Nanny, she
    was able to attend school, obtain high grades, and obtain and perform nanny-type
    employment.
    D. The Verdict
    {¶39} After a 26-day, bifurcated-jury trial, the jury found in favor of Cruz and
    against all defendants on her claim for intentional infliction of emotional distress. The
    jury award Cruz $150,000 ($75,000 in economic damages and $75,000 in non-economic
    damages) against each defendant. Additionally, the jury awarded Cruz punitive damages
    against (1) the Placement Agency in the amount of $50,000, (2) Sheilagh Roth in the
    amount of $68,750, and (3) Bradford Gaylord in the amount of $50,000. The jury also
    found these defendants liable for Cruz’s reasonable attorney fees. The jury found in
    favor of Cruz on her breach of contract claim and awarded her nominal damages of $10.
    {¶40} The jury also found in favor of Kaiser and against the School on her claim
    of wrongful discharge in violation of public policy, awarding her $20,000 in damages.
    Additionally, the jury awarded her punitive damages against the School and the Agency
    in the amount of $54,000, plus reasonable attorney fees.
    {¶41} The jury found in favor of the School against Cruz on the School’s
    counterclaim for breach of contract and awarded the School $8,262.24.
    III. Post-Trial Motions
    {¶42} Following the trial, the parties filed several post-trial motions, including
    motions for judgment notwithstanding the verdict (“JNOV”), new trial, remittitur, and to
    cap the punitive damages award.
    {¶43} The trial court denied defendants’ motions for JNOV challenging both
    verdicts in favor of Cruz and Kaiser; however, the trial court granted defendants’ motion
    for remittitur, which reduced Cruz’s economic damages award from $75,000 to zero.
    The court also applied the statutory punitive-damages caps to reduce the total damages
    award to $194,066.76. After a subsequent hearing on attorney fees, the trial court award
    the plaintiffs $125,504.45 in fees and expenses.
    {¶44} In a separate but related matter, defendants filed a motion for sanctions
    against attorney Pattakos for his involvement in the creation and publication of the Scene
    Magazine article that was published during the first trial.        The defendants sought
    sanctions in an amount equal to the defendants’ attorney fees expended during the hearing
    regarding the publication, in addition to fees expended for seeking sanctions. After a
    hearing, the trial court issued a written opinion finding that attorney Pattakos had engaged
    in “frivolous conduct” in violation of R.C. 2323.51, thus warranting the imposition of
    sanctions. The parties stipulated that the fee award against attorney Pattakos would, if
    affirmed on appeal, be in the amount of $10,961.75.
    {¶45} This appeal and cross-appeal follow.
    IV. Appeal
    {¶46} In their first and second assignments of error, the defendants contend that
    the trial court erred in denying their motions for directed verdict and JNOV on Cruz’s
    claim for intentional infliction of emotional distress and Kaiser’s claim for wrongful
    discharge in violation of public policy.
    {¶47} Under Civ.R. 50(A)(4), a court may properly grant a motion for directed
    verdict when, after construing the evidence most strongly in favor of the party against
    whom the motion is directed, it finds that reasonable minds could come to but one
    conclusion on a determinative issue, and the conclusion is adverse to the nonmoving
    party.    Review of the grant or denial of a motion for directed verdict is de novo.
    Kanjuka v. Metrohealth Med. Ctr., 
    151 Ohio App. 3d 183
    , 2002-Ohio-6803, 
    783 N.E.2d 920
    , ¶ 14 (8th Dist.), citing Grau v. Kleinschmidt, 
    31 Ohio St. 3d 84
    , 90, 
    509 N.E.2d 399
    (1987). In evaluating the grant or denial of a Civ.R. 50(B) motion for JNOV made after
    all the evidence is presented at trial, a reviewing court applies the same test as that
    applied in reviewing a motion for a directed verdict. Id.; Chem. Bank of New York v.
    Neman, 
    52 Ohio St. 3d 204
    , 206-207, 
    556 N.E.2d 490
    (1990). With these standards in
    mind, we now turn to the defendants’ arguments.
    A. Cruz’s Claim for Intentional Infliction of Emotional Distress
    {¶48} Under Ohio law, to recover on a claim for intentional infliction of emotional
    distress, a plaintiff must prove:
    1. [T]hat the [defendant] either intended to cause emotional distress or
    knew or should have known that actions taken would result in serious
    emotional distress to the plaintiff;
    2. [T]hat [defendant’s] conduct was extreme and outrageous, that it went
    beyond all possible bounds of decency and that it can be considered as
    utterly intolerable in a civilized community;
    3. [T]hat [defendant’s] actions were the proximate cause of the plaintiff’s
    psychic injury; and
    4. [T]hat the mental anguish suffered by plaintiff is serious and of a nature
    that no reasonable person could be expected to endure it.
    Pyle v. Pyle, 
    11 Ohio App. 3d 31
    , 
    463 N.E.2d 98
    (8th Dist.1983), paragraph two of the
    syllabus; Phung v. Waste Mgt., Inc., 
    71 Ohio St. 3d 408
    , 410, 
    644 N.E.2d 286
    (1994).
    {¶49} When the Ohio Supreme Court first recognized the tort of intentional
    infliction of emotional distress, it adopted the standard set forth in the Restatement as,
    “‘[O]ne who by extreme and outrageous conduct intentionally or recklessly causes severe
    emotional distress to another is subject to liability for such emotional distress, and if
    bodily harm to the other results from it, for such bodily harm.” Yeager v. Local Union
    20, Teamsters, Chauffeurs, Warehousement, & Helpers of Am., 
    6 Ohio St. 3d 369
    , 374,
    
    453 N.E.2d 666
    (1983), quoting Restatement of the Law 2d, Torts 71, Section 46(1)
    (1965).
    {¶50} “In order to state a claim alleging the intentional infliction of emotional
    distress, the emotional distress alleged must be serious.” Yeager at 
    id. Although the
    Yeager court did not define or explain the requirement of “serious emotional distress,” the
    court referred to its decision in Paugh v. Hanks, 
    6 Ohio St. 3d 72
    , 
    451 N.E.2d 759
    (1983).
    In Paugh, the court stated that “serious emotional distress describes emotional injury
    which is both severe and debilitating. Thus, serious emotional distress may be found
    where a reasonable person, normally constituted, would be unable to cope adequately
    with the mental distress engendered by the circumstances of the case.”              Paugh at
    paragraph 3a of the syllabus; Banford v Aldrich Chem. Co., 
    126 Ohio St. 3d 210
    ,
    2010-Ohio-2470, 
    932 N.E.2d 313
    , ¶ 29 (“serious emotional distress” means that which is
    “both severe and debilitating”); Stancik v. Deutsche Natl. Bank, 8th Dist. Cuyahoga No.
    102019, 2015-Ohio-2517, ¶ 44 (“serious emotional distress” defined as “emotional injury
    which is both severe and debilitating”). Thus, the distress goes “beyond trifling mental
    disturbance, mere upset or hurt feelings.” Paugh at 78. In fact, the Paugh court noted
    that a “non-exhaustive litany of some examples of serious emotional distress should
    include traumatically induced neurosis, psychosis, chronic depression, or phobia.” 
    Id., citing Molien
    v. Kaiser Found. Hosps., 
    27 Cal. 3d 916
    , 933, 
    616 P.2d 813
    (1980).
    {¶51} The severity of a plaintiff’s alleged emotional distress may be determined
    by the court as a matter of law. Paugh at 78. “The intensity and the duration of the
    distress are factors to be considered in determining its severity. * * * It is for the court to
    determine whether on the evidence severe emotional distress can be found; it is for the
    jury to determine whether, on the evidence, it has in fact existed.” (Emphasis added.)
    Comment j to Restatement of the Law 2d, Torts 77, Section 46 (1965).
    {¶52} The crux of defendants’ arguments raised during its request for directed
    verdict, in its motion for JNOV, and now here on appeal is that insufficient evidence was
    presented that Cruz’s emotional distress was both severe and debilitating, specifically
    focusing on “debilitating.”       Cruz, on the other hand, contends that the word
    “debilitating” does not require complete and total debilitation. Therefore, this issue
    hinges on what constitutes “debilitating” in the realm of an intentional infliction of
    emotional distress claim and whether the evidence was sufficient to submit this issue to
    the jury.
    {¶53} In Binns v. Fredendall, 10th Dist. Franklin No. 85AP-259, 1986 Ohio App.
    LEXIS 6568 (Apr. 22, 1986), the court stated that the word “debilitating” does not require
    that the emotional distress be of extreme gravity in order for the injured party to be
    entitled to recovery. Binns at *15. “Debilitating does not suggest one so feeble as to
    require a straight jacket or nursing care * * * but rather, to debilitate means only to impair
    the strength or to weaken.”      
    Id. “Debilitating” does
    not require that a person be
    permanently incapacitated, disabled, or forever unable to cope. See Dayton Bar Assn. v.
    Corbin, 
    109 Ohio St. 3d 241
    , 2006-Ohio-2289, 
    846 N.E.2d 1249
    (using the word
    “debilitating” to describe a disease that required a year-long hospitalization).
    {¶54} The relevant case law surrounding the tort of intentional infliction of
    emotional distress seems to focus on whether the plaintiff sought medical or
    psychological treatment for the alleged emotional distress. Plikerd v. Mongeluzzo, 
    73 Ohio App. 3d 115
    , 126, 
    596 N.E.2d 601
    (3d Dist.1992) (evidence of serious emotional
    distress was insufficient where plaintiffs “neither sought or received any medical,
    psychiatric, or psychological treatment, missed any work or incurred any expense for
    treatment of emotional distress”); Paige v. Youngstown Bd. of Edn., 7th Dist. Mahoning
    No. 93 C.A. 212, 1994 Ohio App. LEXIS 5942 (Dec. 23, 1994) (an emotional injury will
    not be found to be severe and debilitating where plaintiff fails to show that he sought
    medical or psychological help or was unable to work or otherwise function in his daily
    life).
    {¶55} The defendants direct this court to consider portions of Cruz’s testimony
    where she indicated that she was able to cope adequately; including, Cruz’s assertion that
    at all relevant times, she was able to function as a nanny; that at the time of trial, she was
    employed full-time at a daycare center; and immediately following the report of abuse,
    she was advertising and interviewing for nanny positions on her own. The defendants
    also place much emphasis on the fact that Cruz has suffered from mental health issues all
    her life and been under the constant care of a physician for her symptoms and conditions.
    {¶56} However, the defendants ignore portions of Cruz’s testimony where she
    indicated that she was unable to cope with the mental distress caused by the defendants’
    actions. She characterized this event as “one of the worst events that I’ve experienced”
    where she felt powerless and awful “because people she trusted treated her like garbage.”
    (Tr. 864.) She explained that during this time, she suffered sustained depression, with
    constant emotional issues, panic attacks, anxiety attacks, and nightmares.          (Tr. 864,
    1351.) Additionally, she stated that “[t]his stress that I had to go through, basically
    making me have to choose between my livelihood and finishing the goals for my life, or
    reporting this about a little girl. It was awful.” (Tr. 865.)
    {¶57} Cruz testified that her sense of self-esteem is not the same, she has had
    trouble sleeping, “alternat[ing] between being unable to eat and stuffing [her] feelings,
    and that [appellants’] abusive conduct has affected how [she] feel[s] about [her]self and
    affected her relationships to the point that she feels unable to even be in a relationship.”
    (Tr. 867; 1352.) She stated that she “experience[s] anxiety on the job and that the
    depression is something that [she’s] had to hide,” and she has been able to control those
    symptoms so they do not interfere with work. (Tr. 1357.) Cruz explained how she felt
    about Roth’s misrepresentation about her mental health:
    They made me think I was crazy. * * * I literally thought maybe I was
    schizophrenic. * * * Thinking irrational thoughts about myself because I
    thought that maybe if all these people are saying you’re crazy, what’s the
    common denominator? * * * They made me feel like I’m not even human
    because I’m — I was on antidepressants; * * * that I had no right to be
    around children * * * You shouldn’t have to always go around feeling
    ashamed of yourself because people basically used that as an excuse for
    getting rid of you.
    (Tr. 1354-1355.)
    {¶58}   Dr. Monifa Seawell, Cruz’s expert, opined to a reasonable degree of
    medical certainty that “Cruz had a preexisting major depressive disorder and panic
    disorder, but that she experienced a significant worsening of both of these conditions as a
    proximate result of [the defendants’] actions,” and was left “severely impaired after and
    as a result of these incidents” with “ongoing symptoms of significant depression and
    anxiety * * * likely [to] continue.” (Tr. 1444; 1469.) According to Dr. Seawell, Cruz
    was substantially unimpaired by her pre-existing anxiety and depression disorders prior to
    her involvement with the defendants. However, immediately after Cruz’s experiences
    with the defendants, Cruz’s conditions worsened.        She testified that the severity of
    Cruz’s symptoms never subsided and that her depression symptoms were so severe that
    they impacted her academic performance, and that “her feelings of depression, low
    energy, and fatigue also made it difficult for her to concentrate on her work, causing her
    with withdraw from school.” (Tr. 1466.)
    {¶59} Conversely, the defendants’ expert, Dr. Joel Steinberg testified to a
    reasonable degree of medical certainty that Cruz’s pre-existing psychological problems do
    not appear to have been exacerbated or aggravated by any action taken by the defendants.
    However, Dr. Steinberg did testify that if the events Cruz disclosed to him and testified
    to at trial were in fact true, it would cause worsening of anxiety and depression
    symptoms.
    {¶60} Finally, Dr. Fabio Urresta, Cruz’s treating physician, testified about his
    treatment of Cruz since July 2011. He stated that since her involvement with English
    Nanny, Cruz’s depressive symptoms have increased, and with the way her symptoms have
    manifested over time, there was a discrete cause or an event or series of events that were
    traumatic to Cruz and caused the worsening of any prior conditions she may have had.
    Further, because Cruz did not show any typical pattern in her life when it came to
    sleeping, eating, or enjoying certain aspects in her life, Dr. Urresta characterized Cruz as
    having a typical major depressive disorder. Finally, Dr. Urresta concurred with Dr.
    Seawell’s expert opinion about Cruz’s conditions, finding that her conclusions were
    consistent with his experience in treating Cruz.
    {¶61} In this case, the evidence was sufficient to survive defendants’ motion for
    directed verdict and subsequent motion for JNOV.          Whether Cruz’s mental health
    condition that existed prior to her involvement with English Nanny was unchanged or
    exacerbated by English Nanny’s conduct was a question for the jury; testimony and
    evidence were presented supporting a finding of both. Therefore, reasonable minds
    could find that the evidence was sufficient to support the claim for intentional infliction
    of emotional distress. Whether the evidence proved that the defendants’ outrageous
    conduct actually caused Cruz severe and debilitating emotional distress was for the jury to
    determine.
    {¶62} Accordingly, viewing the evidence most strongly in favor of Cruz, we find
    that the trial court did not err in denying the defendants’ motion for directed verdict and
    subsequent motion for JNOV. The defendants’ first assignment of error is overruled.
    B. Kaiser’s Claim for Wrongful Discharge
    {¶63} In their second assignment of error, the defendants contend that the trial
    court erred in denying their motions for directed verdict and JNOV on Kaiser’s claim for
    wrongful discharge in violation of public policy.
    {¶64} In the absence of an employment contract, employees work on an at-will
    basis, which means that the employee or the employer may terminate the employment
    relationship for any reason that is not contrary to law. Mers v. Dispatch Printing Co., 
    19 Ohio St. 3d 100
    , 
    483 N.E.2d 150
    (1985), paragraph one of the syllabus. However, the
    Ohio Supreme Court has recognized a narrow public-policy exception to Ohio’s
    employment-at-will doctrine. Greeley v. Miami Valley Maintenance Contrs., Inc., 
    49 Ohio St. 3d 228
    , 235, 
    551 N.E.2d 981
    (1990), Painter v. Graley, 
    70 Ohio St. 3d 377
    , 384,
    
    639 N.E.2d 51
    (1994).
    {¶65} The elements of the tort of wrongful discharge in violation of public policy
    (“Greeley claim”) are,
    “1. That clear public policy existed and was manifested in a state or federal
    constitution, statute[,] or administrative regulation, or in the common law
    (the clarity element).
    2. That dismissing employees under circumstances like those involved in
    the plaintiff’s dismissal would jeopardize the public policy (the jeopardy
    element).
    3. The plaintiff’s dismissal was motivated by conduct related to the public
    policy (the causation element).
    4. The employer lacked overriding legitimate business justification for the
    dismissal (the overriding justification element).”
    Painter at 385, fn. 8, quoting Professor Henry H. Perritt, The Future of Wrongful
    Dismissal Claims:       Where Does Employer Self Interest Lie?, 58 U.Cin.L.Rev. 397,
    398-399 (1989); Collins v. Rizkana, 
    73 Ohio St. 3d 65
    , 
    652 N.E.2d 652
    (1995). Greeley
    claims survive only under limited circumstances when all four elements are satisfied.
    Rebello v. Lender Processing Servs., Inc., 2015-Ohio-1380, 
    30 N.E.3d 999
    , ¶ 28 (8th
    Dist.).
    {¶66} The clarity and the jeopardy elements are questions of law and policy to be
    determined by the court. Kulch v. Structural Fibers, Inc., 
    78 Ohio St. 3d 134
    , 151, 
    677 N.E.2d 308
    (1997), citing Collins at 70.        The causation and overriding-justification
    elements are questions of fact to be determined by the trier of fact. 
    Id. {¶67} In
    this case, Kaiser alleged that she suffered retaliatory termination for not
    participating in the cover up of a child abuse report. Specifically, she alleged at trial that
    she was terminated for failing to discourage Cruz from reporting the child abuse, and for
    resisting or undermining the defendants’ efforts to discourage Cruz from reporting the
    child abuse.
    {¶68} The defendants maintained at trial, and on appeal, that Kaiser could not and
    did not satisfy the “jeopardy element” of the public policy exception to the “at-will
    employment” doctrine. Specifically, defendants contend that Kaiser’s termination cannot
    jeopardize public policies relating to child abuse reporting and prevention because she did
    not witness or report child abuse, did not owe any duty to report child abuse, and had no
    job responsibilities or expertise that would place her in a position to report child abuse.
    Additionally, the defendants contend the public policy of reporting child abuse is already
    adequately protected by statutes and regulatory schemes; thus, recognizing a public policy
    exception is not necessary to protect society’s interests. According to the defendants, the
    proper focus is on protecting the public policy, not protecting the employee’s right to a
    civil remedy.
    {¶69} Professor Perritt explained that proving jeopardy involves proving several
    subordinate factual propositions:
    1. That the plaintiff engaged in particular conduct, such as an act while off
    duty, a protest of an employer’s policy, or a refusal of an employer’s order;
    2. That the conduct proves in step 1 furthers the public policy asserted,
    either because the public policy directly promotes the conduct (as in the
    public policy in favor of jury service) or because the conduct is necessary to
    effective enforcement of the public policy (as in a public policy against
    excess consumer loan charges, which depends on vigilance by bank
    employees); and
    3. That threat of dismissal will discourage the conduct.
    2 Perritt, Employee Dismissal Law and Practice, Section 7.17, at 43 (4th Ed.1998).
    {¶70} In the plurality opinion of Wiles v. Medina Auto Parts, 
    96 Ohio St. 3d 240
    ,
    2002-Ohio-3994, 
    773 N.E.2d 526
    , the Ohio Supreme Court discussed the jeopardy
    element. “An analysis of the jeopardy element necessarily involves inquiring into the
    existence of any alternative means of promoting the particular public policy to be
    vindicated by a common-law wrongful discharge claim.” 
    Id. at ¶
    15, citing 2 Perritt at
    44, Section 7.17. In Wiles, the employee brought a common law cause of action for
    wrongful discharge in violation of public policy based on an employer’s violation of the
    Family Medical Leave Act (“FMLA”).
    {¶71} The Wiles court interpreted Professor Perritt’s framework regarding the
    jeopardy analysis by stating that,    “‘If the statute that establishes the public policy
    contains its own remedies, it is less likely that tort liability is necessary to prevent
    dismissals from interfering with realizing the statutory policy.’” 
    Id. at ¶
    15, quoting 2
    Perritt at 71, Section 7.26. “Simply put, there is no need to recognize a common-law
    action for wrongful discharge if there already exists a statutory remedy that adequately
    protects society’s interests.” 
    Id. at ¶
    15, citing Ross v. Stouffer Hotel Co. (Hawaii) Ltd.,
    Inc., 
    76 Haw. 454
    , 464, 
    879 P.2d 1037
    (1994); Erickson v. Marsh & McLennan Co., Inc.,
    
    117 N.J. 539
    , 562, 
    569 A.2d 793
    (1990); Kofoid v. Woodard Hotels, Inc., 78 Ore.App.
    283, 286-287, 
    716 P.2d 771
    (1986), citing Walsh v. Consol. Freightways, 278 Ore. 347,
    
    563 P.2d 1205
    (1977).
    {¶72} “In that situation, the public policy expressed in the statute would not be
    jeopardized by the absence of a common-law wrongful-discharge action in tort because
    an aggrieved employee has an alternate means of vindicating his or her statutory rights
    and thereby discouraging an employer from engaging in the unlawful conduct.” Wiles at
    ¶ 15. Accordingly, the court declined to recognize a common law cause of action for
    wrongful termination because allowing the claim is unnecessary to vindicate the policy
    goals of the FMLA; a statutory remedy exists within the act that protects society’s interest
    and an employee’s right against termination in violation of the FMLA.
    {¶73} The Ohio Supreme Court again discussed the jeopardy element in Leininger
    v. Pioneer Natl. Latex, 
    115 Ohio St. 3d 311
    , 2007-Ohio-4921, 
    875 N.E.2d 36
    .               In
    Leininger, the court was asked to recognize a common-law tort claim for wrongful
    discharge based on age. The court stated that in proving the jeopardy element, the
    plaintiff must prove that “without a common-law tort claim for wrongful discharge based
    on age, Ohio’s clear public policy against age discrimination would be compromised.”
    
    Id. at ¶
    21. The court stated, “[i]n Greeley, the statute involved [that expressed the
    public policy] did not provide any private remedies to the employee, and so a claim at
    common law was recognized.” (Emphasis added.) 
    Id. at ¶
    22.
    {¶74} The court in Leininger reconciled the holdings in Wiles and Kulch, 78 Ohio
    St.3d 134, 
    677 N.E.2d 308
    , when considering what should happen if the statutory scheme
    upon which the public policy is based offers remedies that do not equate to complete
    relief. The court concluded “it is unnecessary to recognize a common-law claim when
    remedy provisions are an essential part of the statutes upon which the plaintiff depends
    for the public policy claim and when those remedies adequately protect society’s interest
    by discouraging the wrongful conduct.” 
    Id. at ¶
    27. “The jeopardy element necessary to
    support a common-law claim is not satisfied, because [the statute] adequately protects the
    state’s policy against age discrimination in employment through the remedies it offers to
    aggrieved employees.” (Emphasis added.) 
    Id. at ¶
    33.
    {¶75} Therefore, contrary to the defendants’ interpretation of the “jeopardy
    element,” the focus is on whether the employee has a proper and adequate remedy for
    wrongful termination when an employer discharges the employee in violation of the
    recognized public policy. Only when a remedy does not already exist, or is inadequate,
    will a court allow a common-law tort claim for wrongful discharge in violation of public
    policy.
    {¶76} There is no doubt that a clear public policy exists expressed in R.C.
    2151.421 in favor of reporting suspected child abuse.         Powers v. Springfield City
    Schools, 2d Dist. Clark. No. 98-CA-10, 1998 Ohio App.LEXIS 2827 (June 26, 1998).
    This fact has not been disputed by the defendants.         Under Ohio law, anyone who
    suspects child abuse may report such abuse. See R.C. 2151.421(A)(1)(b) (persons with a
    mandatory duty to report child abuse); R.C. 2151.421(B) (allows any person to report
    suspected child abuse).2 A party that owes a mandatory duty to report child abuse and
    fails to do so, is subject to criminal prosecution and penalties under R.C. 2151.99, and in
    some cases, is subject to civil liability. However, a nonmandatory reporter is not subject
    to criminal penalty. Based on the language of R.C. 2151.421, neither the defendants nor
    Kaiser have an affirmative duty to report abuse.
    {¶77} Applying the reasoning in Wiles and Leininger to the facts in this case, R.C.
    2151.421 does not provide a remedy to adequately compensate an aggrieved employee
    who is discharged, disciplined, or otherwise retaliated against in violation of the public
    policy to report child abuse. Allowing a common law cause of action for wrongful
    termination would serve to further the public policy of reporting child abuse.
    {¶78} We recognize that Kaiser’s own actions do not support her public policy
    claim. She did not report the abuse. And instead of helping to prevent any further abuse
    to the child by placing a watchful eye in the home, she sabotaged any nanny placement
    with the father, knowing that the placements she referred to him would be unsuitable.
    Kaiser, however, claims that she was terminated because she resisted or undermined the
    defendants’ efforts to discourage Cruz from reporting the abuse. Therefore, it is the
    A review of R.C. 2151.421 does not appear to mandate that in-home private
    2
    child-care providers, like Cruz, have a mandatory duty to report child abuse.
    However, under Pennsylvania law, Cruz would have a mandatory duty to report the
    abuse. See 23 PaC.S. Section 6311(a) “((7) An individual paid or unpaid, who, on
    the basis of the individual’s role as an integral part of a regularly scheduled
    program, activity or service, is a person responsible for the child’s welfare or has
    direct contact with children;” (13) “an independent contractor”).
    defendants’ own actions that support Kaiser’s public policy claim.          The evidence
    suggested that the defendants were trying to prevent Cruz from fulfilling her statutory
    obligation to report the suspected child abuse. Discharging Kaiser because she resisted
    and undermined the defendants’ efforts to discourage Cruz from reporting child sex abuse
    jeopardizes the public policy in favor of reporting child abuse.
    {¶79} The defendants’ own argument that they have no duty to report child abuse
    proves that Kaiser satisfied the jeopardy argument because the public policy of reporting
    child abuse was not adequately protected in this instance. Accordingly, no alternative
    means were in place to promote the public policy of reporting child abuse when the abuse
    is witnessed and reported by a nonmandatory reporter. While Kaiser and the defendants
    may not have had a mandatory duty to report the abuse Cruz witnessed, Cruz had a duty
    under Pennsylvania law, and by attempting to dissuade her from fulfilling that obligation,
    the defendants’ actions violated public policy.
    {¶80} Accordingly, the Perritt jeopardy factual propositions as applied to the facts
    of this case have been proven by Kaiser; thus, proving the jeopardy element — (1) Kaiser
    refused to follow the defendants’ order of dissuading Cruz from reporting the allegation
    of abuse; (2) Kaiser’s conduct furthers the public policy because the conduct is necessary
    to effective enforcement of the reporting child abuse; and (3) the threat of dismissal will
    discourage the conduct of supporting a person to report child abuse. See 2 Perritt at 43.
    {¶81} What is most troubling, however, is that Kaiser’s fate at the Placement
    Agency rested upon her power of persuading an individual to not report the allegation of
    abuse. But even if Kaiser had acquiesced to the defendants’ request, there was no
    guarantee that Cruz would be persuaded to not report. Based on the evidence presented,
    Cruz believed she had an obligation to report the suspected abuse and despite any attempt
    to dissuade her, she was going to do so. The jury could have reasonably concluded that
    Kaiser was in a no-win situation. It makes no difference that Kaiser was terminated for
    resisting or undermining the defendants’ efforts to discourage Cruz from reporting the
    abuse rather than for actually reporting the abuse herself. Under either circumstance, the
    public policy of child abuse prevention and reporting was jeopardized by the defendants’
    actions.
    {¶82} Accordingly, the jeopardy element is satisfied because no law or authority
    adequately protects the state’s public policy to report child abuse. No remedy exists to
    employees, like Kaiser, who are terminated for supporting the reporting of alleged child
    abuse. Therefore, the trial court did not err in finding that the jeopardy element was
    satisfied when denying the defendants’ motion for directed verdict and JNOV.
    {¶83} The defendants’ second assignment of error is overruled.
    V. Cross-Appeal
    A. Remittitur — Intentional Infliction of Emotional Distress
    {¶84} In the first cross-assignment of error, Cruz contends that the trial court
    abused its discretion by granting defendants’ motion for remittitur of the jury’s $75,000
    economic damages award on her claim for intentional infliction of emotional distress
    despite the presentation of sufficient evidence to support the verdict.
    {¶85} Unlike a motion for judgment notwithstanding the verdict that challenges
    the legal sufficiency of the evidence, a motion for remittitur challenges the weight of the
    evidence. Austin v. Chukwuani, 8th Dist. Cuyahoga No. 104590, 2017-Ohio-106, ¶ 19,
    citing Brady v. Miller, 2d Dist. Montgomery No. 19723, 2003-Ohio-4582, ¶ 12.
    {¶86} We review a trial court’s ruling on motions for remittitur under an abuse of
    discretion standard.   Shepard v. Grand Trunk W. RR. Inc., 8th Dist. Cuyahoga No.
    92711, 2010-Ohio-1853, ¶ 81. Under an abuse of discretion standard, the trial court’s
    decision will be reversed only if it is unreasonable, arbitrary or unconscionable.
    Blakemore v. Blakemore, 
    5 Ohio St. 3d 217
    , 219, 
    450 N.E.2d 1140
    (1983). Additionally,
    an abuse of discretion may be found when the trial court “applies the wrong legal
    standard, misapplies the correct legal standard, or relies on clearly erroneous findings of
    fact.” Thomas v. Cleveland, 
    176 Ohio App. 3d 401
    , 2008-Ohio-1720, 
    892 N.E.2d 454
    , ¶
    15 (8th Dist.).
    {¶87} A court has the inherent authority to remit an excessive award, assuming it
    is not tainted with passion or prejudice, to an amount supported by the weight of the
    evidence. In Chester Park v. Schulte, 
    120 Ohio St. 273
    , 
    166 N.E. 186
    (1929), paragraph
    three of the syllabus, the Ohio Supreme Court set forth the specific criteria that must be
    met before a court may grant a remittitur: (1) unliquidated damages are assessed by a jury,
    (2) the verdict is not influenced by passion or prejudice, (3) the award is excessive, and
    (4) the plaintiff agrees to the reduction in damages. See Wightman v. Consol. Rail Corp.,
    
    86 Ohio St. 3d 431
    , 444, 
    715 N.E.2d 546
    (1999).
    {¶88} In this case, the trial court issued a written decision granting the defendants’
    request for remittitur. However, the trial court’s decision does not set forth any of the
    criteria that must be satisfied prior to granting remittitur, nor can we discern from the
    court’s decision that it even considered the criteria. This lack of consideration renders
    the court’s decision arbitrary.
    {¶89} Moreover, nothing in the record demonstrates that Cruz consented to
    remittitur in lieu of a new trial. Remittitur gives the plaintiff the option of accepting a
    lower damages award (as determined by the trial judge) or receiving a new trial. “‘Where
    the damages assessed by a jury are excessive, but not in a degree to necessarily imply the
    influence of passion or prejudice in their finding, the court, in the exercise of a sound
    discretion, may make the remittitur of the excess the condition of refusing to grant a new
    trial.’” Larrissey v. Norwalk Truck Lines, 
    155 Ohio St. 207
    , 219, 
    98 N.E.2d 419
    (1951).
    {¶90} Accordingly, Cruz’s first cross-assignment of error challenging the trial
    court’s grant of defendants’ request for remittitur is sustained. The trial court’s decision
    granting remittitur is reversed, and the matter is remanded for the trial court to reconsider
    the defendant’s motion for remittitur and apply the criteria set forth by the Ohio Supreme
    Court.
    B. Attorney Fees
    {¶91} In this case, the jury, in awarding punitive damages for Cruz and Kaiser
    against all defendants, determined that those defendants should pay reasonable attorney
    fees. Cruz and Kaiser originally entered into a contingent fee agreement with their
    attorney, whereby their attorney is entitled to 40% of any amount awarded to the
    plaintiffs, plus expenses.   Based on the fee agreement, expenses submitted, and the
    discounted jury award, the trial court concluded that the total amount of fees under the
    contingency agreement and covered expenses would be $125,504.45.
    {¶92} Nevertheless, plaintiffs’ counsel requested fees in the amount of
    $577,862.92 based on a “lodestar” calculation. After a hearing on counsel’s requested
    fees, the trial court issued a written opinion finding that counsel’s conservative estimate
    of the number of hours he spent on the case was a valid conservative estimate despite
    defendants’ objections. However, the court found that attorney Pattakos’s hourly rate of
    $300 was less valid because (1) it was a contingency fee case; (2) counsel did not present
    any evidence that this was his customary hourly rate; (3) based on counsel’s skill and
    experience, a reasonable hourly rate would be $150 at the start of the case in 2011, and
    increasing $25 an hour every year to $250 in 2015.
    {¶93} The court also concluded that fees should not be awarded on non-prevailing
    claims or on unnecessary time that was expended based on attorney Pattakos’s conduct.
    Additionally, the court reduced litigation expenses to only those that an attorney is
    obligated to pay to perform his work. Based on the court’s calculations, the court
    determined that under the lodestar analysis, the total compensation for attorney Pattakos’s
    hours would be $191,000 with expenses being $17,7782.87, for a total of $208,782.87.
    {¶94} However, the court concluded that because counsel was retained under a
    contingency fee contract and torts are customarily prosecuted under a contingency
    contract, the lodestar amount should be deviated downward. Thus, the court ordered that
    the defendants pay, in addition to the jury’s award of punitive and compensatory
    damages, attorney fees including litigation expenses in the amount of $125,504.45. This
    amount included the fees that counsel would have received under the contingency fee
    agreement.
    {¶95} In their second assignment of error, plaintiffs contend that the trial court
    abused its discretion by basing the attorney fee award on the existence of the
    contingency-fee agreement because it frustrates the purpose of awarding attorney fees to
    deter those who intentionally inflict serious harm by extreme and outrageous conduct and
    who put public policy at risk.
    {¶96} “Ohio has long adhered to the ‘American rule’ with respect to recovery of
    attorney fees: a prevailing party in a civil action may not recover fees as part of the cost of
    litigation.”   Wilborn v. Bank One Corp., 
    121 Ohio St. 3d 546
    , 2009-Ohio-306, 
    906 N.E.2d 396
    , ¶ 7. An exception to this rule exists where punitive damages are awarded in
    tort cases involving fraud, insult, or malice. Columbus Fin., Inc. v. Howard, 42 Ohio
    St.2d 178, 183, 327, N.E.2d 654 (1975), citing Roberts v. Mason, 
    10 Ohio St. 277
    (1859).
    If punitive damages are proper, reasonable attorney fees may be awarded as an element
    of compensatory damages. Galmish v. Cicchini, 
    90 Ohio St. 3d 22
    , 35, 
    734 N.E.2d 782
    (2000). An award of attorney fees may stem from an award of punitive damages, but “the
    attorney-fee award itself is not an element of the punitive-damages award.” Neal-Pettit
    v. Lahman, 
    125 Ohio St. 3d 327
    , 2010-Ohio-1829, 
    928 N.E.2d 421
    , ¶ 16.
    {¶97} When determining the amount of attorney fees, a trial court is guided by a
    two-step determination. The trial court first calculates the “lodestar” by multiplying the
    number of hours reasonably expended by a reasonable hourly rate, and, second, decides
    whether to adjust that amount based on the reasonableness factors listed in Prof.Cond.R.
    1.5(a). Bittner v. Tri-County Toyota, Inc., 
    58 Ohio St. 3d 143
    , 
    569 N.E.2d 464
    (1991),
    syllabus (applying the predecessor to Prof.Cond.R. 1.5(a); Am. Chem. Soc. v. Leadscope,
    Inc., 10th Dist. Franklin No. 08AP-1026, 2010-Ohio-2725, ¶ 88. Those factors include
    the time and labor required; the novelty and difficulty of the questions involved and the
    requisite skill to perform the legal service properly; the amount of time involved and the
    results obtained; the experience, reputation, and ability of the lawyer or lawyers
    performing the services; and whether the fee is fixed or contingent. Prof.Cond.R. 1.5(a).
    {¶98} “These two inquiries may overlap, however, because several of the
    reasonableness factors are often subsumed within the initial lodestar calculation and
    normally will not provide an independent basis for adjusting the fee award.” Miller v.
    Grimsley, 
    197 Ohio App. 3d 167
    , 2011-Ohio-6049, 
    966 N.E.2d 932
    , ¶ 14 (10th Dist.),
    citing Blum v. Stenson, 
    465 U.S. 886
    , 900, 
    104 S. Ct. 1541
    , 
    79 L. Ed. 2d 891
    (1984);
    Freeman v. Crown City Mining, Inc., 
    90 Ohio App. 3d 546
    , 557, 
    630 N.E.2d 19
    (4th
    Dist.1993). For example, consideration of the results-obtained factor typically is already
    contained in the determination to calculate a reasonable fee and usually does not provide
    an independent basis for increasing the fee award.         Freeman at 557.      Thus, in
    determining whether hours are unreasonably expended, a trial court inevitably considers
    some of the reasonableness factors listed in Prof.Cond.R. 1.5.
    {¶99} As the United States Supreme Court stated, “[t]he most useful starting point
    for determining the amount of a reasonable fee is the number of hours reasonably
    expended on the litigation multiplied by a reasonable hourly rate.             This calculation
    provides an objective basis on which to make an initial estimate of the value of a lawyer’s
    services.” Hensley at 433. Calculation of the lodestar requires the trial court to exclude
    any hours that were unreasonably expended, e.g., hours that were redundant, unnecessary,
    or excessive in relationship to the work done. Miller at 
    id., citing Gibney
    v. Toledo Bd.
    of Edn., 
    73 Ohio App. 3d 99
    , 108, 
    596 N.E.2d 591
    (6th Dist.1991), citing Hensley v.
    Eckerhart, 
    461 U.S. 424
    , 434, 
    103 S. Ct. 1933
    , 1939, 
    76 L. Ed. 2d 40
    (1983).
    {¶100} In calculating the lodestar amount, the trial court concluded that attorney
    Pattakos’s claim that he spent 1,122 hours on the case “is, indeed, a conservative
    estimate.” However, the trial court then determined that certain hours were excluded
    from this number as unnecessary or wasteful, including the first trial that was declared a
    mistrial, the issues related to the newspaper article, and the hours spent on the
    nonprevailing claims. Thus, the trial court reduced attorney Pattakos’s hours to 1000.
    This amount only included attorney Pattakos’s hours; it did not include hours for any
    other attorney or support staff who assisted attorney Pattakos in this case.
    {¶101} However, the court determined that attorney Pattakos’s hourly rate was not
    reasonable based on his experience. Accordingly, the trial court adjusted the billable
    hourly rate to $150 at the start of the case in 2011, and increased the rate $25 an hour
    every year to $250 in 2015. Based on that calculation, the trial court determined that the
    lodestar amount was $191,000 just in attorney hours. Again, the court did not include
    fees for any other attorneys or staff.
    {¶102} After calculating the lodestar amount, the trial court was required to
    consider the relevant factors found in Prof.Cond.R. 1.5(a) in determining whether to
    deviate from the calculated lodestar figure. From the court’s written opinion, the trial
    court only mentioned two factors — (3) the fee customarily charged in the locality for
    similar legal services, and (8) whether the fee was fixed or contingent. The court stated
    that “attorney Pattakos was retained under a contingency fee contract and tort actions are
    customarily prosecuted under such contracts.” Despite mentioning two factors, the trial
    court really only considered one factor — the existence of the contingency fee agreement.
    However, a contingency-fee agreement is one of many factors that a court should
    consider in determining the reasonableness of attorney fees — not the determining factor.
    See Borror v. MarineMax of Ohio, Inc., 6th Dist. Ottawa No. OT-06-010,
    2007-Ohio-562, ¶ 56.
    {¶103} Based on this one factor, the trial court deviated downward from its
    lodestar amount of $191,000, plus expenses, to $77,626.60, plus expenses, based on the
    contingency fee contract. No consideration was given to the other six relevant factors as
    they pertained to this four-year litigation that resulted in a 26-day jury trial involving
    substantial evidence and testimony.
    {¶104} This court is mindful that “[u]nless the amount of fees determined is so
    high or so low as to shock the conscience, an appellate court will not interfere.” Brooks
    v. Hurst Buick-Pontiac-Olds-GMC, Inc., 
    23 Ohio App. 3d 85
    , 91, 
    491 N.E.2d 345
    (12th
    Dist.1985). An award of attorney fees is reviewed for an abuse of discretion. Einhorn
    v. Ford Motor Co., 
    48 Ohio St. 3d 27
    , 29, 
    548 N.E.2d 933
    (1990).
    {¶105} Based on the entire record, the trial court’s award of attorney fees as they
    would be awarded under a contingent fee agreement shocks the conscience because the
    court did not consider any fees associated with any other attorney or support staff during
    this four-year litigation. Even the defendants maintained in their brief opposing attorney
    fees that the fees incurred by other members of the Chandra Law firm were reasonable.
    Accordingly, the trial court abused its discretion when it limited the review of attorney
    fees to only those incurred by attorney Pattakos even though unrefuted documentation
    was submitted demonstrating that other members of the plaintiffs’ litigation team incurred
    fees. Additionally, the court abused its discretion in deviating from the lodestar amount
    based solely on the contingency fee agreement.
    {¶106} Plaintiffs’ second cross-assignment of error is sustained.
    C. Attorney Sanctions
    {¶107} In the third assignment of error raised in the cross-appeal, attorney Pattakos
    contends that the trial court erred as a matter of law by sanctioning him under R.C.
    2323.51 for sharing scheduling information and publicly available pleadings with a
    newspaper reporter. Attorney Pattakos maintains that his conduct was protected by the
    First Amendment and permitted by Prof.Cond.R. 3.6.
    {¶108} Defendants moved for sanctions against all of plaintiffs’ attorneys,
    including attorney Pattakos, James Rosenthal, and Joshua Cohen, and the law firm of
    Cohen, Rosenthal, & Kramer, seeking all costs and attorney fees incurred in connection
    with the March 31, 2015 trial that ultimately was declared a mistrial. Defendants noted
    five instances of conduct that allegedly warranted sanctions: (1) attorney Pattakos’s
    involvement in the publication of the Scene Magazine article and his representations to
    the court surrounding his involvement, (2) the law firm’s failure to adequately supervise
    attorney Pattakos’s conduct, (3) the law firm’s failure to ensure that its attorneys were
    sufficiently prepared to proceed with trial when attorney Pattakos became unavailable,
    and (4) that attorney Pattakos’s unavailability for trial was undermined by his possible
    presence at a social gathering and his presence on social media sites. Defendants argued
    that attorney Pattakos’s conduct constituted “frivolous conduct” as defined in R.C.
    2323.51(A), and thus, was sanctionable conduct.
    {¶109} The trial court issued a written opinion finding that neither the law firm nor
    any of its partners violated any professional obligations and that attorney Pattakos “did
    not intentionally commit any act which caused a mistrial.” However, the trial court
    concluded that attorney Pattakos may have violated Prof.Cond.R. 3.6 based on his
    involvement in the creation and publication of the Scene Magazine article. Accordingly,
    the trial court set the matter for a hearing on that basis.
    {¶110} After hearing testimony and reviewing the evidence, the trial court issued a
    written opinion concluding that “in the context of R.C. 2323.51, the sole purpose of
    [attorney] Pattakos in urging Scene on March 30 to begin coverage once the trial began
    was to harass or maliciously injur[e] the defendants outside of the litigation process —
    that soliciting news media coverage once trial began served no purpose of achieving an
    orderly or fair adjudicative process or settlement.”      The court found that attorney
    Pattakos’s actions constituted “frivolous conduct” under R.C. 2323.51. Based on the law
    and record, however, we must reach a different conclusion.
    {¶111} Pursuant to R.C. 2323.51, a party adversely affected by frivolous conduct
    may file a motion for an award of attorney fees. “Frivolous conduct” is defined in
    objective terms:
    (a) Conduct of a * * * party to a civil action * * * that satisfies any of the
    following:
    (i) It obviously serves merely to harass or maliciously injure another party
    to the civil action * * * or is for another improper purpose, including, but
    not limited to, causing unnecessary delay or a needless increase in the cost
    of litigation.
    R.C. 2323.51. Additionally,
    [A]ny party adversely affected by frivolous conduct may file a motion for
    an award of court costs, reasonable attorney’s fees, and other reasonable
    expenses incurred in connection with the civil action or appeal. The court
    may assess and make an award to any party to the civil action or appeal who
    was adversely affected by frivolous conduct.”
    R.C. 2323.51(B)(1).
    {¶112} An appellate court reviews a trial court’s decision to impose sanctions
    pursuant to R.C. 2323.51 for an abuse of discretion. Reddy v. Plain Dealer Publishing
    Co., 2103-Ohio-2329, 
    991 N.E.2d 1158
    , ¶ 37 (8th Dist.), citing 
    Bittner, 58 Ohio St. 3d at 146
    , 
    569 N.E.2d 464
    . The trial court is in the best position to appraise the conduct of the
    parties, and we must defer to the trial court’s ruling on the motion for sanctions. Reddy
    at 
    id., citing First
    Place Bank v. Stamper, 8th Dist. Cuyahoga No. 80259,
    2002-Ohio-3109, ¶ 17. However, that discretion is not unfettered, especially when the
    trial court does not give due consideration to the law regarding attorney and media
    communication in connection with the facts of the case. An abuse of discretion may be
    found when the trial court “applies the wrong legal standard, misapplies the correct legal
    standard, or relies on clearly erroneous findings of fact.” Thomas, 
    176 Ohio App. 3d 401
    ,
    2008-Ohio-1720, 
    892 N.E.2d 454
    , at ¶ 15.
    {¶113} A review of the case law demonstrates that sanctions are typically imposed
    under R.C. 2323.51 for frivolous conduct involving pleadings and discovery. We can
    find no law supporting the award of sanctions under R.C. 2323.51 for the type of conduct
    here — communicating with the media about a pending case. Usually, this type of
    conduct is reviewed under the Professional Rules of Conduct under the exclusive
    jurisdiction of the Ohio Supreme Court. See Disciplinary Counsel v. Brockler, 145 Ohio
    St.3d 270, 2016-Ohio-657, 
    48 N.E.3d 557
    (alleged violation of Prof.Cond.R. 3.6
    reviewed by the Board of Professional Conduct of the Supreme Court), Disciplinary
    Counsel v. Pullins, 
    127 Ohio St. 3d 436
    , 2010-Ohio-6241, 
    940 N.E.2d 952
    , ¶ 32 (Section
    2(B)(1)(g), Article IV of the Ohio Constitution, vests the Ohio Supreme Court with
    exclusive original jurisdiction over “admission to the practice of law, the discipline of
    persons so admitted, and all other matters relating to the practice of law.”)
    {¶114} Prof.Cond.R. 3.6 provides, in relevant part,
    (a) A lawyer who is participating or has participated in the investigation or
    litigation of a matter shall not make an extrajudicial statement that the
    lawyer knows or reasonably should know will be disseminated by means of
    public communication and will have a substantial likelihood of materially
    prejudicing an adjudicative proceeding in the matter.
    (b) Notwithstanding division (a) of this rule and if permitted by Rule 1.6, a
    lawyer may state any of the following:
    (1) the claim, offense, or defense involved and, except when
    prohibited by law, the identity of the persons involved;
    (2) information contained in a public record;
    (3) that an investigation of a matter is in progress;
    (4) the scheduling or result of any step in litigation;
    (Emphasis sic.).
    {¶115} In Leadscope, 
    133 Ohio St. 3d 366
    , 2012-Ohio-4193, 
    978 N.E.2d 832
    , the
    court found it of importance to note that “the lawsuit was not under seal, and the
    complaint was available to the public. The public has a legitimate, constitutionally
    protected interest in judicial proceedings, and the article provided information to educate
    and inform the public about the case.” 
    Id. at ¶
    85.
    {¶116} Additionally, the Ohio Supreme Court stated:
    We make clear that Ohio law imposes no blanket prohibition on an
    attorney’s communications to the media. Attorneys and their clients retain
    a panoply of First Amendment rights and are free to speak to the public
    about their claims and defenses provided that they do not exceed the
    contours of protected speech and ethical rules that impose reasonable and
    necessary limitations on attorneys’ extrajudicial statements.         See
    Prof.Cond.R. 3.6 (“A lawyer who is participating or has participated in the
    investigation or litigation of a matter shall not make an extrajudicial
    statement that the lawyer knows or reasonably should know will be
    disseminated by means of public communication and will have a substantial
    likelihood of materially prejudicing an adjudicative proceeding in the
    matter”).
    
    Id. at ¶
    90. The court recognized, however, that this right to communicate publicly is not
    without limitations — “[t]hus, while we do not muzzle an attorney representing a party in
    a proceeding, attorneys are not given carte blanche to defame others under the guise of
    litigation.” 
    Id. Therefore, as
    long as the attorney and his or her clients stay within the
    confines of what constitutes protected speech, and the attorney does not violate any ethic
    rules or rules of conduct, i.e. Prof.Cond.R. 3.6, media communication is not prohibited
    and thus should not be sanctionable.
    {¶117} In this case, attorney Pattakos’s media communication remained within the
    confines of protected speech. The trial court accepted attorney Pattakos’s claim that the
    information he provided to Vince Grzegorek, a Cleveland Scene Magazine reporter, was a
    public record or involved scheduling. Our review of the article and the record in the case
    allow us to conclude that the information contained in the article was information found
    in the public record.    Additionally, a review of the text message communications
    between attorney Pattakos and Grzegorek reveal that attorney Pattakos only
    communicated information about the scheduling of trial.
    {¶118} The court also acknowledged that the information attorney Pattakos
    provided “may very well have been protected by Rule 3.6(b).” Nevertheless, the court
    found that attorney Pattakos’s involvement caused “a substantial likelihood of materially
    prejudicing an adjudicative proceeding.” The trial court’s reasoning in this matter is
    ambiguous.    If attorney Pattakos’s conduct was protected by Rule 3.6, then the
    communication cannot have caused “a substantial likelihood of materially prejudicing an
    adjudicative proceeding.” See Prof.Cond.R. 3.6.
    {¶119} The court specifically found that
    [Attorney] Pattakos’s involvement in publication of the Scene article was a
    malicious attempt to injure and was intended to “harass” each of the
    defendants. Mr. Pattakos had a purpose to defame defendants when he
    instructed Mr. Grzegorek on January 20, to “[g]et your reporting pants on.
    Or at least tell one of your reporters to get his reporting pants on” and on
    March 30, 2015 notif[ied] Scene that the trial was about to begin.
    The record is devoid of any evidence to support the trial court’s conclusion that Attorney
    Pattakos’s intentions were to “malicious[ly] attempt to injure” and “harass” and “defame”
    the defendants.   Furthermore, the court made these conclusions despite its express
    finding that there was “no evidence that Mr. Pattakos knew when an article would be
    published, what it would contain, or that particular adverse comments about the
    defendants would be generated.”
    {¶120} It appears that the trial court attributed the article’s content and the
    magazine’s decision to publish the article to attorney Pattakos. The testimony at the
    hearing, however, as recognized by the trial, reveals that attorney Pattakos did not know
    when it would be published, what an article would contain, or what comments would be
    generated. In fact, Grzegorek testified that he assigned the case to one of his reporters,
    Doug Brown, and provided him with the information. According to Grzegorek, he gave
    the assignment to Brown because Brown knew how to access public records on a case. It
    was Brown who chose not to include the defendants’ perspective in the article, not
    attorney Pattakos.
    {¶121} Our review of the record reveals that attorney Pattakos only provided the
    media with public information and informed an editor about the scheduling and location
    of trial. If English Nanny was concerned about any news media during the case, it could
    have requested the court to issue a gag order.          In fact, even after the article was
    discovered, English Nanny did not request a gag order. Furthermore, it must not be
    ignored that as a result of the article’s publication, defense counsel convinced the trial
    court to rescind its prior order closing the courtroom during Cruz’s testimony. Finally,
    there was no indication that the second jury was tainted by any media publication.
    Although the voir dire examination of the jurors in the second case was not provided to
    this court to review, no argument has been raised that the second jury pool — the jury that
    ultimately decided the case — was tainted or compromised by the Scene Magazine
    article.
    {¶122} The trial court found that Attorney Pattakos’s actions of “urging Scene to
    begin coverage constituted initiating harassment” and “urging Scene to begin news
    coverage during the course of the trial constituted frivolous conduct.” We disagree.
    Upholding the trial court’s decision could have numerous unintended consequences; for
    example, defendants in criminal cases potentially could ask for sanctions against
    prosecutors who provide information to the media about criminal cases. On any given
    day, newspapers show headlines of ongoing trials, recapping the evidence that was
    presented that day at trial. In fact, on April 3, 2015, around the same time that Scene
    Magazine printed the article at issue, a former Cuyahoga County Prosecutor issued a
    public statement that was published on various news media outlets about the trial of a
    Cleveland police officer that was set to begin in three days. No sanction was levied
    against the prosecutor’s officer for this public statement. There is always a substantial
    likelihood that a jury member or potential juror may read a publication or encounter a
    publication about an upcoming or pending case. However, the judicial system trusts that
    jury members abide by the instructions to consider the case on the evidence at trial, not
    the “evidence” in the news media.
    {¶123} It should not be held that merely urging a media outlet to cover a trial
    constitutes frivolous conduct. Whether attorney Pattakos violated Prof.Cond.R. 3.6 is
    not for this court to decide. Therefore, we find that the trial court abused its discretion in
    sanctioning attorney Pattakos for engaging in frivolous conduct in violation of R.C.
    2323.51 by communicating with the media.
    {¶124} Accordingly, the third assignment of error is sustained.
    VI. Conclusion
    {¶125} In conclusion, the trial court did not err in denying defendants’ motions for
    directed verdict or JNOV on Cruz’s claim for intentional infliction of emotional distress
    and Kaiser’s claim for wrongful termination in violation of public policy. The trial court
    abused its discretion in (1) granting remittitur by failing to consider the relevant factors
    and for entering judgment on remittitur prior to Cruz’s consent; (2) reducing the
    plaintiffs’ attorney fee award when its analysis focused entirely on the contingent fee
    agreement; and (3) finding that attorney Pattakos engaged in frivolous conduct and
    ordering that he pay defendants’ stipulated attorney fees.
    {¶126} Accordingly, on remand, the trial court is ordered to (1) reconsider the
    defendants’ motion for remittitur in light of the mandatory criteria; (2) reconsider
    plaintiffs’ motion for attorney fees; and (3) vacate the order of contempt against attorney
    Pattakos, including the stipulated order requiring him to pay defendants’ attorney fees.
    {¶127} Judgment affirmed in part, reversed in part, and remanded.
    It is ordered that the parties share equally the costs herein taxed.
    The court finds there were reasonable grounds for this appeal.
    It is ordered that a special mandate be sent to said court to carry this judgment into
    execution.
    A certified copy of this entry shall constitute the mandate pursuant to Rule 27 of
    the Rules of Appellate Procedure.
    KATHLEEN ANN KEOUGH, ADMINISTRATIVE JUDGE
    PATRICIA ANN BLACKMON, J., and
    ANITA LASTER MAYS, J., CONCUR