Fultz v. Fultz , 2014 Ohio 3344 ( 2014 )


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  • [Cite as Fultz v. Fultz, 
    2014-Ohio-3344
    .]
    IN THE COURT OF APPEALS OF OHIO
    FOURTH APPELLATE DISTRICT
    PICKAWAY COUNTY
    BARBARA FULTZ, EXECUTOR OF
    THE ESTATE OF DARWIN FULTZ,                       :
    Plaintiff-Appellee,                        :      Case No. 13CA9
    vs.                                        :
    RANDALL E. FULTZ,                                  :      DECISION AND JUDGMENT ENTRY
    Defendant-Appellant.          :
    _________________________________________________________________
    APPEARANCES:
    COUNSEL FOR APPELLANT:                      Sherrille D. Akin and Julia R. Baxter, Two Miranova Place,
    Suite 700, Columbus, Ohio 43215
    COUNSEL FOR APPELLEE:         Robert J. Judkins, 303 West Jefferson Street, P.O. Box 33,
    Greenfield, Ohio 45123
    _________________________________________________________________
    CIVIL CASE FROM COMMON PLEAS COURT
    DATE JOURNALIZED: 7-25-14
    ABELE, P.J.
    {¶ 1} This is an appeal from a Pickaway County Common Pleas Court judgment that set
    aside a deed and awarded Barbara Fultz, executor of the Estate of Darwin Fultz, plaintiff below
    and appellee herein, $9,400 in compensatory damages and $16,479.29 in attorney fees. Randall
    E. Fultz, defendant below and appellant assigns the following errors for review:
    FIRST ASSIGNMENT OF ERROR:
    “THE TRIAL COURT ERRED AND ABUSED ITS
    DISCRETION IN REFUSING TO GRANT APPELLANT’S
    TIMELY FILED MOTION TO CONTINUE FOR THE PURPOSE
    OF OBTAINING NEW LEGAL COUNSEL WHERE THE
    MOTION WAS FILED PROMPTLY UPON THE
    PICKAWAY, 13CA9                                                                                2
    WITHDRAWAL OF APPELLANT’S COUNSEL, APPELLANT
    WAS PREJUDICED BY THE DENIAL, AND THE
    CONTINUANCE WOULD NOT HAVE INCONVENIENCED
    OR PREJUDICED ANY PARTY, COUNSEL OR THE COURT.”
    SECOND ASSIGNMENT OF ERROR:
    “THE TRIAL COURT ERRED IN FAILING TO IMPANEL A
    JURY BECAUSE APPELLANT’S JURY INSTRUCTIONS DID
    NOT COMPLY WITH THE CIVIL RULES WHERE
    APPELLANT HAD PROPERLY REQUESTED A JURY, WAS
    PROCEEDING PRO SE DUE TO THE DENIAL OF HIS
    MOTION TO CONTINUE AND HAD NO NOTICE OF THE
    CONSEQUENCES OF HIS NON-CONFORMING JURY
    INSTRUCTIONS, AND WHERE THE OPPOSING PARTY HAD
    FILED PROPERTY [SIC] JURY INSTRUCTIONS.”
    THIRD ASSIGNMENT OF ERROR:
    “THE TRIAL COURT ERRED AND RULED AGAINST THE
    MANIFEST WEIGHT OF THE EVIDENCE IN FINDING THAT
    APPELLANT COMMITTED FRAUD BECAUSE THERE WERE
    INSUFFICIENT FINDINGS OF FACT TO SUPPORT SUCH A
    CONCLUSION.”
    FOURTH ASSIGNMENT OF ERROR:
    “THE TRIAL COURT ERRED WHEN IT ORDERED
    APPELLANT TO PAY ATTORNEY FEES BECAUSE NO
    PUNITIVE DAMAGES WERE AWARDED IN THIS CASE.”
    {¶ 2} In March 2011, Darwin Fultz was nearing death and living at a nursing home.
    According to his wife, Darwin was paralyzed and completely dependent upon others to care for
    him.
    {¶ 3} Around March 21, 2011, appellant presented a quit claim deed that he claimed
    Darwin had signed to a notary. The notary notarized the deed, although she had not seen
    Darwin sign it.
    [Cite as Fultz v. Fultz, 
    2014-Ohio-3344
    .]
    {¶ 4} On March 25, 2011, appellant filed the quit claim deed in the Pickaway County
    recorder’s Office. Four days later, Darwin died.
    {¶ 5} On August 2, 2011, appellee filed a complaint against appellant and (1) requested
    the trial court to set aside the deed, and (2) asserted a claim for fraud. Appellee sought
    compensatory and punitive damages and attorney fees.
    {¶ 6} On January 2, 2013, appellant’s counsel filed a notice of withdrawal of counsel.
    In it, appellant’s counsel stated:
    “Counsel have advised [appellant] of his options regarding settlement and
    trial in this matter. Opposing counsel made discovery requests which needed to
    be answered by December 8, 2012. Counsel contacted [appellant] December 1,
    2012 and asked him to come in to counsel’s office by December 5, 2012 to make
    such responses. [Appellant] did not come in to the office and Counsel have not
    heard from [appellant] since the December 1, 2012 telephone call. Counsel have
    advised [appellant] in writing that they are withdrawing and that [appellant] will
    have to find other representation herein.”
    {¶ 7} Appellant’s counsel also attached a letter dated December 31, 2012 that they sent
    to appellant. That letter specifically advised appellant that he would need “to proceed without
    counsel or find other counsel to represent you.”
    {¶ 8} On January 23, 2013, the trial court scheduled the trial for March 18, 2013.
    {¶ 9} On February 7, 2013, appellant filed a motion to continue the trial to allow
    additional time to obtain counsel. Appellant stated that he “need[ed] additional time to secure
    the services of an attorney to represent me in this case.” Appellant’s motion, however, did not
    indicate what efforts he had made to secure new counsel since prior counsel’s withdrawal.
    {¶ 10} On February 8, 2013, the trial court denied appellant’s motion to continue the
    trial.
    PICKAWAY, 13CA9                                                                                     4
    {¶ 11} On March 11, 2013, appellant filed a document that bore the caption “Jury
    Instructions.” Appellant’s document further contained a “Notice of Self-Representation.”
    Appellant’s purported “Jury Instructions” did not, however, contain any actual jury instructions.
    Instead, the document presented a “factual background,” “claims and defenses,” “defendants [sic]
    counterclaim,” “counterclaim measures,” and “verification.”
    {¶ 12} Before the trial began, the trial court noted that it did not summon a jury because
    appellant’s purported jury instructions stated “notice of self representation.” The court indicated
    that it would try the matter and asked appellant if he understood. Appellant responded:
    “Yes, your honor. And that’s—this morning I had mentioned that I
    wanted to waive that right for a jury trial and to have just a judge trial, seeing that
    I lost my counsel and did not get any representation in such short notice. I did try
    to seek out representation, but I would have needed a further continuance in order
    for anyone to be interested in the case. So, therefore, I’m held to the Court to just
    show up, and I am here today with whatever representation I do have.”
    {¶ 13} At the trial, multiple witnesses, including Darwin’s caretakers, stated that Darwin
    could not have been able to sign his name to the quit claim deed. They explained that Darwin
    lacked the ability to hold a pen and could not even hold eating utensils or a television remote
    control.
    {¶ 14} Appellant testified that he brought the deed to Darwin around March 20 or 21,
    2011, and that Darwin signed the deed. He admitted that he took the deed to a notary who
    notarized the deed without witnessing Darwin sign it.
    {¶ 15} On April 4, 2013, the trial court entered a decision and found that Darwin “never
    acknowledged his signature before any notary public or other official * * * for the deed
    [appellant] caused to be filed with the Pickaway County Recorder on March 21, 2011.” The
    PICKAWAY, 13CA9                                                                                          5
    court found that the deed is not valid and that the real estate must pass through Darwin’s estate.
    The court determined that appellee established that Darwin “lacked the capacity to execute the
    document on March 21, 2011 and that [appellant] either executed or attempted to execute undue
    influence.” The court further determined that appellant’s conduct was fraudulent in that he
    knowingly caused “an invalid deed to be recorded to obtain sole ownership of the land for
    himself.”
    {¶ 16} In the trial court’s April 11, 2013 judgment, the court stated that “[b]oth parties on
    the record waived their right to Trial by jury and consented to Trial by Court.” The court also
    entered the following findings: (1) the deed recorded on March 25, 2011 is not valid; (2)
    appellant “either executed or attempted to execute undue influence upon Darwin Fultz”; (3)
    appellant’s conduct “was fraudulent by knowingly causing an invalid deed to be recorded in an
    attempt to obtain sole ownership of land for himself.” The court declared the deed void, set it
    aside and awarded appellee $9,400 in compensatory damages and $16,479.29 in attorney fees.
    This appeal followed.
    I
    {¶ 17} In his first assignment of error, appellant asserts that the trial court's denial of his
    motion to continue constitutes an abuse of discretion. Appellant argues that the court failed to
    consider the six factors outlined in State v. Unger, 
    67 Ohio St.2d 65
    , 
    423 N.E.2d 1078
     (1981).
    {¶ 18} The decision regarding a motion to continue is left to the “broad, sound
    discretion” of the trial court. Unger, syllabus; Snyder v. Waldron, 4th Dist. Athens No. 12CA9,
    
    2013-Ohio-3416
    , ¶41; State v. Dickess, 4th Dist. Scioto No. 09CA3272, 
    2009-Ohio-4541
    , ¶9.
    PICKAWAY, 13CA9                                                                                       6
    Consequently, absent an abuse of discretion, a reviewing court will not disturb a trial court’s
    decision. “’The term “abuse of discretion” connotes more than an error of law or judgment; it
    implies that the court’s attitude is unreasonable, unconscionable, or arbitrary.’” Blakemore v.
    Blakemore, 
    5 Ohio St.3d 217
    , 
    450 N.E.2d 1140
     (1983), quoting State v. Adams, 
    62 Ohio St.2d 151
    , 157, 
    404 N.E.2d 144
     (1980). In order to find an abuse of discretion, “’the result must be so
    palpably and grossly violative of fact and logic that it evidences not the exercise of will but the
    perversity of will, not the exercise of judgment but the defiance of judgment, not the exercise of
    reason but instead passion or bias.’” Vaught v. Cleveland Clinic Found., 
    98 Ohio St.3d 485
    ,
    
    2003-Ohio-2181
    , 
    787 N.E.2d 631
    , ¶13, quoting Nakoff v. Fairview Gen. Hosp., 
    75 Ohio St.3d 254
    , 256, 
    662 N.E.2d 1
     (1996); accord Freshwater v. Mt. Vernon City School Dist. Bd. of Edn.,
    
    137 Ohio St.3d 469
    , 
    2013-Ohio-5000
    , 
    1 N.E.3d 335
    , ¶77; Pons v. Ohio State Med. Bd., 
    66 Ohio St.3d 619
    , 621, 
    614 N.E.2d 748
     (1993) (“The appellate court is to determine only if the trial court
    has abused its discretion, i.e., being not merely an error of judgment, but perversity of will,
    passion, prejudice, partiality, or moral delinquency.”). Furthermore, when applying the abuse of
    discretion standard, a reviewing court may not substitute its judgment for that of the trial court.
    E.g., Savage v. Correlated Health Serv., Ltd., 
    64 Ohio St.3d 42
    , 55, 
    591 N.E.2d 1216
     (1992);
    Freshwater at ¶77, quoting Graziano, 32 Ohio St.3d at 294, 
    513 N.E.2d 282
     (“’Absent an abuse
    of discretion on the part of the trial court, the court of appeals may not engage in what amounts to
    a substitution of judgment of the trial court.’”).
    {¶ 19} “‘There are no mechanical tests for deciding when a denial of a continuance is so
    arbitrary as to violate due process. The answer must be found in the circumstances present in
    every case, particularly in the reasons presented to the trial judge at the time the request is
    PICKAWAY, 13CA9                                                                                     7
    denied.’” Unger, 67 Ohio St.2d at 67, quoting Ungar v. Sarafite, 
    376 U.S. 575
    , 589, 
    84 S.Ct. 841
    , 
    11 L.Ed.2d 921
     (1964); accord Snyder at ¶42. The Ohio Supreme Court has adopted a
    balancing approach that recognizes “all the competing considerations” to determine whether a
    trial court’s denial of a motion to continue constitutes an abuse of discretion.1 Unger, 67 Ohio
    St.2d at 67. In exercising its discretion, a trial court should “[w]eigh[] against any potential
    prejudice to a defendant * * * concerns such as a court’s right to control its own docket against
    the public’s interest in the prompt and efficient dispatch of justice.” Id. A court should also
    consider: (1) the length of the delay requested; (2) whether other continuances have been
    requested and received; (3) the inconvenience to litigants, witnesses, opposing counsel and the
    court; (4) whether the requested delay is for legitimate reasons or whether it is dilatory,
    purposeful, or contrived; (5) whether the defendant contributed to the circumstance which gives
    rise to the request for a continuance; and (6) other relevant factors, depending on the unique
    circumstances of the case. Id.; State v. Conway, 
    108 Ohio St.3d 214
    , 
    2006-Ohio-791
    , 
    842 N.E.2d 996
    , ¶147.
    {¶ 20} In the case sub judice, we initially observe that appellant suggests that the trial
    court failed to use the Unger analysis when it evaluated his motion to continue. Even though the
    trial court’s decision to deny appellant’s motion does not outline its analysis of the Unger factors,
    1
    Although Unger was a criminal case, Ohio appellate courts routinely
    apply the analysis to trial court continuance decisions in civil
    cases. E.g., Frodyma v. Frodyma, 2nd Dist. Greene No. 2013-CA-40,
    
    2014-Ohio-953
    , ¶¶26-27; Jacobs v. Jones, 10th Dist. Franklin No.
    10AP-930, 
    2010-Ohio-3313
    , ¶¶16-17; Snyder, 
    supra, at ¶¶41-42
    .
    Moreover, the Ohio Supreme Court has applied it in a civil case
    involving an appeal from the Ohio Power Sitting Board. In re
    Application of Am. Transm. Sys., Inc., 
    125 Ohio St.3d 333
    ,
    
    2010-Ohio-1841
    , 
    928 N.E.2d 427
    , ¶32.
    PICKAWAY, 13CA9                                                                                     8
    we have recognized that nothing requires trial courts to specifically articulate an analysis of each
    Unger factor. Dickens, supra, at ¶13. Thus, to the extent appellant contends that the trial court
    erred by failing to outline the Unger factors, we reject the contention.
    {¶ 21} Appellant further asserts that had the trial court properly considered the Unger
    factors, it would have found that they weighed in favor of granting a continuance. Appellant
    observes that he did not specify the length of delay requested, but argues that the trial court could
    have granted a “reasonable continuance” and his failure to specify the amount of time requested
    “is not fatal to his request.” Appellant also asserts that he requested a continuance for a
    legitimate reason—to obtain new counsel—and not for a dilatory purpose. Appellant argues that
    the case had been continued only one other time in order to allow the parties to mediate the
    matter.
    {¶ 22} Appellant further contends that the record does not contain any evidence to
    suggest that a continuance would have inconvenienced anyone. He points out that he filed his
    motion to continue shortly after the court set the trial date, and before appellee subpoenaed any
    witnesses. Appellant asserts that because an adverse outcome would deprive him of property
    ownership, the court should have determined that the potential adverse outcome to appellant
    trumped any minor inconvenience resulting from a continuance.
    {¶ 23} Appellant also argues that he cannot be deemed to have contributed to the
    circumstance leading to his request for a continuance simply because he failed to cooperate with
    his counsel, which then led counsel to withdraw. Appellant then argues that the trial court’s
    denial of his motion to continue “demonstrably prejudice[d]” him. Appellant asserts:
    PICKAWAY, 13CA9                                                                                      9
    “He was unprepared and failed to provide key evidence to opposing counsel prior
    to the hearing, which resulting in the trial court denying him the ability to present
    evidence at trial. He failed to object to a considerable amount of hearsay
    evidence, and was unable to respond to opposing counsel’s regular objections to
    his questioning or testimony. Appellant was sometimes confused by the process;
    he did not respond to objections, even when prompted to do so by the trial judge.”
    {¶ 24} Appellant bases much of his argument upon Swanson v. Swanson, 8th Dist.
    Cuyahoga No. 90472, 
    2008-Ohio-4865
    . In Swanson, a mother appealed the trial court’s
    judgment that designated the father the residential parent of the parties’ child. Twenty days
    before trial, the mother’s counsel filed a motion to withdraw, asserting that the mother had fired
    him. Twelve days before trial, the court permitted the mother’s counsel to withdraw. Six days
    before trial, the mother filed a motion to continue because she was unable to obtain substitute
    counsel. The mother stated in her motion to continue that “she had made numerous attempts to
    hire counsel but her phone calls were not returned.” Id. at ¶6. The trial court denied her motion
    “and forced the mother to proceed pro se.” Id. The mother appealed and asserted that the trial
    court abused its discretion by denying her motion to continue.
    {¶ 25} The appellate court agreed with the mother that the trial court abused its discretion
    and found that “numerous factors weighed in favor of granting a short continuance to allow the
    mother to obtain new counsel.” Id. at ¶15. The court first observed that the case had been
    pending for approximately eight months, the court had set the trial only three months before the
    mother requested her continuance, and the mother had not requested a prior continuance. The
    court concluded that “any urgency in adjudicating the [case] stemmed more from the trial court’s
    scheduling methods.” Id.      The court noted that “the mother requested the continuance solely
    to obtain new counsel” and not “to delay the proceedings.” Id. at ¶16. Additionally, the court
    PICKAWAY, 13CA9                                                                                     10
    determined that a short continuance would not have inconvenienced the parties, except for
    rescheduling. The court further emphasized “the nature of the proceedings and the ramifications
    of an adverse outcome, i.e., losing designation as the residential and custodial parent.” Id. at
    ¶17. Consequently, the court found that permitting the mother to have counsel represent her at a
    hearing concerning parental rights “trump[ed] any minor inconvenience associated with a short
    delay.” Id.
    {¶ 26} The Swanson court further recognized that “the mother’s conduct of firing her
    attorney contributed to the need for the continuance,” but stated that “this alone does not warrant
    the denial of her motion.” Id. at ¶18. The court thus determined that “the Unger factors
    weighed strongly toward granting the mother’s motion for a continuance.” Id. at ¶19. The
    court also considered other factors. The court observed that allowing the mother to have counsel
    represent her better served the child’s best interest “by ensuring the integrity of the proceedings.”
    Id. at ¶20. The court additionally found that the mother suffered prejudice as a result of
    proceeding pro se. The court further noted that the mother filed her motion “within days from
    the court’s order allowing her previous attorney to withdraw.” Id. at ¶24.
    {¶ 27} While Swanson bears some similarities to the case at bar, we believe that other
    factors in the case sub judice distinguish it and lead us to conclude that the trial court's denial of
    appellant's motion to continue does not constitute an abuse of discretion. First, unlike Swanson
    where the mother had approximately twenty days to locate substitute counsel, in the case at bar
    appellant knew on January 2, 2013, the date his attorneys filed their notice of withdrawal, that he
    would need to find substitute counsel. Thus, appellant had two and one-half months between
    PICKAWAY, 13CA9                                                                                    11
    counsel’s withdrawal and the trial date to obtain new counsel. When appellant filed his
    February 7, 2013 motion to continue—over one month after counsel’s notice of withdrawal—he
    also offered no explanation as to what efforts he had made up to that point to secure new counsel.
    Appellant offered no explanation why he was unable to secure new counsel between January 2,
    2013 and February 7, 2013, when he filed his motion to continue. Appellant also does not
    explain why he was unable to secure new counsel between February 8, 2013 and March 18,
    2013–the trial date. The trial court could rationally determine that appellant’s failure to seek
    substitute counsel in a timely manner is a primary reason appellant sought a continuance and that
    he could have obtained substitute counsel between the time the court denied his motion to
    continue—February 8, 2013—and the trial date—March 18, 2013. Other Ohio courts have
    concluded that a trial court does not abuse its discretion by denying a motion to continue when a
    party fails to seek new counsel in a timely manner. Graham v. Audio Clinic, 3rd Dist. Hancock
    No. 5-04-35, 
    2005-Ohio-1088
    , ¶27 (determining that trial court did not abuse its discretion by
    overruling motion to continue when appellant had one month to obtain substitute counsel but
    failed to do so); Swedlow v. Riegler, 9th Dist. Summit No. 26710, 
    2013-Ohio-5562
    , ¶11
    (determining trial court did not abuse its discretion by denying motion to continue when
    appellant offered no evidence that he attempted to “secure the services of alternate counsel”);
    Henderson v. Henderson, 11th Dist. Geauga No. 2012-G-3118, 
    2013-Ohio-2820
    , ¶45 (concluding
    trial court did not abuse its discretion by denying appellant’s motion to continue when appellant
    had over one month to obtain new counsel before hearing in divorce action).
    {¶ 28} In the case sub judice, appellant had more than two and one-half months between
    counsel’s withdrawal and the trial date to locate substitute counsel. He offers no evidence that
    PICKAWAY, 13CA9                                                                                    12
    he sought substitute counsel in the interim or made any effort to do so. Before the trial began,
    appellant claimed that he was unable to find counsel who would take the case unless the court
    granted a continuance. Appellant did not, however, reveal when he had attempted to obtain
    substitute counsel. To the extent appellant implies that he was unable to find counsel who could
    have prepared for trial within the five weeks between the court’s denial of his motion to continue
    and the trial date, appellant fails to recognize that he could have sought new counsel as early as
    January 2, 2013, and did not need to wait file a motion to continue before seeking new counsel.
    If appellant had retained new counsel in early January, then counsel would have had two and
    one-half months to prepare. This length of time has even been deemed sufficient preparation in
    capital cases. State v. Bryan, 
    101 Ohio St.3d 272
    , 
    2004-Ohio-971
    , 
    804 N.E.2d 433
    , ¶64, citing
    State v. Beuke, 
    38 Ohio St.3d 29
    , 37, 
    526 N.E.2d 274
     (1988) (two and one-half months’ trial
    preparation); State v. Benner, 
    40 Ohio St.3d 301
    , 303, 
    533 N.E.2d 701
     (1988) (two and one-half
    months’ trial preparation). Thus, it appears to be a reasonably sufficient time to prepare for a
    typical civil trial.
    {¶ 29} Additionally, in Swanson, the case had been pending for a mere eight months
    when the mother sought a continuance. Here, appellee filed her complaint in August 2011.
    Thus, when appellant filed his motion to continue, the case had been pending for over seventeen
    months—twice as long as Swanson. The trial court could have reasonably and rationally
    determined that the public’s, and indeed the appellee’s, right to the efficient and prompt dispatch
    of justice outweighed any potential prejudice to appellant, especially when appellant had over
    one month after the court denied his motion to continue to obtain substitute counsel.
    [Cite as Fultz v. Fultz, 
    2014-Ohio-3344
    .]
    {¶ 30} Moreover, in Swanson the court determined that the mother sought a continuance
    for the legitimate reason of obtaining new counsel, not for a dilatory purpose. In the case at bar,
    the trial court could have rationally determined, based upon all of the circumstances present, that
    appellant acted in a dilatory manner by failing to timely respond to counsel’s requests, which led
    to counsel’s withdrawal, and by failing to seek substitute counsel in a timely manner. Swanson
    appeared to involve a simple act of a mother firing her attorney and then being in need of
    substitute counsel. The mother asserted that she had contacted potential substitute counsel, but
    her calls were not returned. By contrast, in the case sub judice appellant did not fire his
    attorneys. Instead, appellant’s counsel withdrew due to appellant's lack of cooperation. And
    we reiterate: appellant had plenty of notice that he needed to obtain substitute counsel even
    before the trial court set the trial date. He offers no rational reason why he was unable to do so
    either before or after the court set the trial date.
    {¶ 31} Although in the case at bar, any inconvenience to the parties, the court, and any
    witnesses may have arguably been minimal, the other factors discussed herein weigh against a
    continuance. Likewise, even though appellant did not specify the length of the continuance
    required to secure new counsel, we do not find that this factor weighs heavily against him. We
    observe, however, that appellant did not explain how much additional time he needed to secure
    new counsel or why the time he already had was inadequate.
    {¶ 32} In the case sub judice, appellant’s conduct contributed to the circumstances that
    necessitated his motion for a continuance. While the Swanson court did not believe that the
    mother’s termination of her counsel weighed against granting the mother a continuance, in the
    case at bar we believe that appellant’s uncooperative attitude with his counsel and his failure to
    PICKAWAY, 13CA9                                                                                     14
    timely seek substitute counsel were major contributing factors to his request for a continuance.
    Appellant did more than terminate his counsel. In fact, counsel withdrew due to appellant’s lack
    of cooperation. Additionally, appellant offered no evidence that he timely sought substitute
    counsel once he learned of counsel’s withdrawal. Thus, these facts distinguish the case sub
    judice from Swanson. Consequently, based upon a consideration of all competing concerns, we
    do not believe that the trial court acted unreasonably, arbitrarily, or unconscionably by denying
    appellant’s motion to continue.
    {¶ 33} Accordingly, based upon the foregoing reasons, we hereby overrule appellant’s
    first assignment of error.
    II
    {¶ 34} In his second assignment of error, appellant argues that the trial court deprived
    him of his right to a jury trial. Appellant contends that the court wrongly refused to summon a
    jury simply because appellant failed to file proper jury instructions. Appellee, however,
    contends that appellant simply waived his right to a jury trial.
    {¶ 35} Appellant counters that even though the transcript reveals that he verbally agreed
    to a bench trial, his agreement was not voluntary. Appellant claims that he did not voluntarily
    waive his right to a jury when that was his "only" option. Appellant claims that the trial court
    left him without any options by failing to summon a jury and by failing to continue the trial to
    allow appellant to obtain substitute counsel. Appellant, in essence, asserts that the trial court
    forced him to proceed pro se and without a jury.
    {¶ 36} “The right of trial by jury shall be inviolate.” Ohio Constitution, Article I,
    Section 5; Civ.R. 38(A). However, “the right to a jury trial may be waived. ‘“‘Section 5 of
    PICKAWAY, 13CA9                                                                                     15
    Article I of the Ohio Constitution does not prevent a court from giving effect to a waiver of a jury
    trial by a party who has a right to a jury trial.’”’” State ex rel. Russo v. McDonnell, 
    110 Ohio St.3d 144
    , 
    2006-Ohio-3459
    , 
    852 N.E.2d 145
    , ¶53, quoting Shimko v. Lobe, 
    103 Ohio St.3d 59
    ,
    
    2004-Ohio-4202
    , 
    813 N.E.2d 669
    , ¶29, quoting Cassidy v. Glossip, 
    12 Ohio St.2d 17
    , 
    41 O.O.2d 153
    , 
    231 N.E.2d 64
     (1967), paragraph one of the syllabus.
    {¶ 37} “Civ.R. 38(D) states that once a party has demanded a jury trial, the demand
    cannot be withdrawn without the consent of the parties.” Soler v. Evans, St. Clair & Kelsey, 
    94 Ohio St.3d 432
    , 438, 
    763 N.E.2d 1169
     (2002). Additionally, Civ.R. 39(A) sets forth the
    “general methods” by which a party may waive a properly-demanded jury trial. 
    Id.
     The rule
    states:
    The trial of all issues so demanded shall be by jury, unless (1) the parties
    or their attorneys of record, by written stipulation filed with the court or by an oral
    stipulation made in open court and entered in the record, consent to trial by the
    court sitting without a jury or (2) the court upon motion or of its own initiative
    finds that a right of trial by jury of some or all of those issues does not exist. The
    failure of a party or his attorney of record either to answer or appear for trial
    constitutes a waiver of trial by jury by such party and authorizes submission of all
    issues to the court.
    {¶ 38} In Soler, the court determined that the dismissal of a complaint containing a
    general jury demand does not waive the right to a jury trial on “issues raised in a compulsory
    counterclaim.” 
    Id.
     at paragraph two of the syllabus. The court observed that Civ.R. 39(A) does
    not specify the dismissal of a complaint as a means of waiving a jury demand.
    {¶ 39} In the sub judice, the trial court did not summon a jury due to appellant’s
    non-conforming jury instructions. The trial court apparently determined that appellant’s
    non-conforming jury instructions waived his jury demand. However, the Soler court stated that
    PICKAWAY, 13CA9                                                                                      16
    Civ.R. 39(A) outlines the ways to waive a jury once properly demanded. Just as the dismissal of
    a complaint containing a jury demand is not one of the methods specified as one of the methods
    to waive a jury trial, filing non-conforming jury instructions is also not one of those methods.
    The rule does not authorize a trial court to construe non-conforming jury instructions as a waiver
    of a party’s properly filed jury demand. Furthermore, appellee has not cited any authority that
    appears to approve of the trial court’s conduct. Thus, we believe that the trial court erred by
    construing appellant's non-conforming jury instructions as a waiver of jury.
    {¶ 40} However, after our review of the record, we believe that the trial court’s error was
    cured when appellant orally waived his right to a jury trial in accordance with Civ.R. 39(A).
    Appellant stated in open court that he “wanted to waive [his] right for a jury trial and to have just
    a judge trial,” because he did not have counsel and would need a continuance in order to find
    new counsel. Appellant stated: “I’m held to the Court to just show up, and I am here today
    with whatever representation I do have.” While appellant may not have been entirely pleased
    with the circumstances, he nevertheless orally stated that he waived his right to a jury trial and
    fully participated in the bench trial. Appellant did not clearly object to the proceeding in the
    absence of a jury. Instead, he stated that he “wanted to waive [his] right for a jury trial.”
    {¶ 41} Additionally, appellant did not object once the trial court decided to proceed
    without a jury. The Ohio Supreme Court has stated that “‘[a] party may waive his right to a jury
    trial by acts, as well as by words.’” State ex rel. Russo v. McDonnell, supra, ¶53, quoting
    Bonewitz v. Bonewitz, 
    50 Ohio St. 373
    , 
    34 N.E. 332
     (1893), paragraph one of the syllabus.
    Furthermore, this court previously held that “a party may not stand idly by while the court
    PICKAWAY, 13CA9                                                                                     17
    conducts a bench trial and then complain on appeal that the court should have held a jury trial.”
    Goddard v. Goddard, 
    192 Ohio App.3d 718
    , 
    2011-Ohio-680
    , 
    950 N.E.2d 567
    , ¶19 (4th Dist.);
    accord Abbe Family Found. & Trust v. Portage Cty. Sheriff, 11th Dist. Portage No.
    2005–P–0060, 
    2006-Ohio-2497
    , ¶47 (“A party may waive his or her right to a jury trial, even
    after filing a jury demand, by participating in a trial before the court without objecting to the lack
    of a jury.”); Toma v. Toma, 8th Dist. Cuyahoga No. 82118, 
    2003-Ohio-4344
    ; Cavanaugh Bldg.
    Corp. v. Liberty Elec. Co., Summit App. No. 19146 (Apr. 28, 1999); Foremost Ins. Co. v.
    Gimbel Agency, Inc., 11th Dist. Portage No. 96–P–0203 (Aug. 29, 1997); Nenadal v.
    Landerwood Co., Cuyahoga App. No. 65428 (May 12, 1994), quoting Royal American
    Managers, Inc. v. IRC Holding Corp., 
    885 F.2d 1011
    , 1018 (C.A.2, 1989) (explaining that it
    “would be ‘patently unfair’ and, ‘in effect, [an] “ambush [of the] trial judge” on appeal’ if
    appellant were allowed ‘to lodge an early demand for a jury,’ participate in a bench trial without
    objection, and then assign as error the failure to honor the jury demand”); Henning v. Steiner, 9th
    Dist. Wayne No. 2725 (Oct. 7, 1992). But see Carl Sectional Home, Inc. v. Key Corp., 
    1 Ohio App.3d 101
    , 1 OBR 403, 
    439 N.E.2d 915
     (1981) (holding that a properly demanded jury trial
    cannot be waived by silence).
    {¶ 42} In the case at bar, appellant participated, without objection, in a bench trial and
    never once complained about the lack of a jury. In fact, he stated that he waived his right to a
    jury trial. Appellant could have objected, but did not. Therefore, he is estopped from arguing
    on appeal that the trial court should have held a jury trial. Goddard at ¶22.
    {¶ 43} Appellant argues that under our holding in State v. Tackett, 4th Dist. Jackson No.
    04CA12, 
    2005-Ohio-1437
    , we must determine that the trial court committed reversible error by
    PICKAWAY, 13CA9                                                                                   18
    denying appellant a jury trial. Tackett, however, is readily distinguishable. Tackett is a
    criminal matter. Specific criminal rules govern the right to a jury trial in a criminal matter and
    how that right may be waived. E.g., Crim.R. 23; R.C. 2945.05; State v. Bays, 
    87 Ohio St.3d 15
    ,
    
    716 N.E.2d 1126
     (1999). The Ohio Supreme Court has not incorporated those same
    requirements into the rules governing jury trial waivers in civil trials.
    {¶ 44} Moreover, we do not agree with appellant that his status as a pro se defendant
    during the trial court proceedings required the trial court to be lenient. Appellant correctly notes
    that this court has “a policy of affording considerable leniency to pro se litigants.” Cooke v.
    Bowen, 4th Dist. Scioto No. 12CA3497, 
    2013-Ohio-4771
    , ¶7. We have applied this leniency
    policy, however, to pro se appellants, and not necessarily to parties appearing pro se during trial
    court proceedings. E.g., In re Estate of Pallay, 4th Dist. Washington No. 05CA45,
    2006–Ohio–3528, ¶10; Robb v. Smallwood, 
    165 Ohio App.3d 385
    , 2005–Ohio–5863, 
    846 N.E.2d 878
    , ¶5 (4th Dist.). Moreover, the Ohio Supreme Court has stated that “pro se litigants *
    * * must follow the same procedures as litigants represented by counsel.” State ex rel. Gessner
    v. Vore, 
    123 Ohio St.3d 96
    , 
    2009-Ohio-4150
    , 
    914 N.E.2d 376
    , ¶5. As we explained in St.
    Joseph’s Hosp. v. Hoyt, 4th Dist. Washington No. 04CA20, 
    2005-Ohio-480
    , ¶27:
    “[T]he pro se litigant is to be treated the same as one trained in the law as far as
    the requirement to follow procedural law and the adherence to court rules. If the
    courts treat pro se litigants differently, the court begins to depart from its duty of
    impartiality and prejudices the handling of the case as it relates to other litigants
    represented by counsel.”
    
    Id.,
     quoting Justice v. Lutheran Social Servs., Franklin App. No. 92AP-1153 (Apr. 8, 1993).
    Consequently, although the trial court erred by determining that appellant’s non-conforming jury
    PICKAWAY, 13CA9                                                                                      19
    instructions constituted a waiver of his jury demand, the court’s error was cured when appellant
    waived his right to a jury trial in accordance with Civ.R. 39(A).
    {¶ 45} Accordingly, based upon the foregoing reasons, we hereby overrule appellant’s
    second assignment of error.
    III
    {¶ 46} In his third assignment of error, appellant argues that the trial court’s finding that
    appellant committed fraud is against the manifest weight of the evidence. Appellant contends
    that the facts do not support a finding that he recorded an invalid deed with knowledge of its
    falsity, or with the intent of misleading another. Appellant further asserts that the trial court
    failed to set forth the factual findings to support its conclusion that appellant committed fraud.
    {¶ 47} Appellee counters that appellant’s failure to request Civ.R. 52 findings of fact and
    conclusions of law forfeits the right to argue that the trial court erred by failing to set forth
    specific factual findings regarding its fraud finding.
    {¶ 48} Appellant agrees that “[n]ormally,” his failure to request Civ.R. 52 factual
    findings and conclusions of law means that “this Court should automatically affirm the trial
    court’s finding of fraud.” He contends, however, that this rule does not apply because he acted
    “pro se and did not know the civil rules of procedure.”
    {¶ 49} Civ.R. 52 provides:
    When questions of fact are tried by the court without a jury, judgment may
    be general for the prevailing party unless one of the parties in writing requests
    otherwise * * * in which case, the court shall state in writing the conclusions of
    fact found separately from the conclusions of law.
    PICKAWAY, 13CA9                                                                                  20
    The purpose of Civ.R. 52 findings of fact and conclusions of law is “‘to aid the appellate court in
    reviewing the record and determining the validity of the basis of the trial court’s judgment.’” In
    re Adoption of Gibson, 
    23 Ohio St.3d 170
    , 172, 
    492 N.E.2d 146
     (1986), quoting Werden v.
    Crawford, 
    70 Ohio St.2d 122
    , 124, 
    435 N.E.2d 424
     (1982). Thus, a party may file a Civ.R. 52
    request in order “to ensure the fullest possible review” Cherry v. Cherry, 
    66 Ohio St.3d 348
    ,
    356, 
    421 N.E.2d 1293
     (1981).
    {¶ 50} When a party has not requested Civ.R. 52 findings of fact and conclusions of law,
    appellate review is limited. Pettet v. Pettet, 
    55 Ohio App.3d 128
    , 130, 
    562 N.E.2d 929
    (1988); Yocum v. Means, Darke App. No. 1576, 
    2002-Ohio-3803
    , 
    2002 WL 1729892
    , ¶7 (“The
    lack of findings obviously circumscribes our review”). When a party fails to request findings of
    fact and conclusions of law, we ordinarily presume the regularity of the trial court proceedings.
    E.g., Bugg v. Fancher, Highland App. No. 06CA12, 
    2007-Ohio-2019
    , ¶10. This means that “the
    reviewing court must presume that the trial court applied the law correctly and must affirm if
    there is some evidence to support the judgment.” Ratliff v. Ohio Dept. of Rehab. & Corr., 
    133 Ohio App.3d 304
    , 311-312, 
    727 N.E.2d 960
     (10th Dist. 1999). “It is difficult, if not impossible,
    to determine the basis of the trial court’s ruling without findings of fact and conclusions of law *
    * * .” Leikin Oldsmobile, Inc. v. Spofford Auto Sales, 11th Dist. Lake No. 2000-L-202,
    
    2002-Ohio-2441
    , ¶17. Thus, in the absence of a request for findings of fact and conclusions of
    law “[w]e must presume that the trial court heard the evidence” and that the trial court used the
    proper legal standard when evaluating the evidence. 
    Id.
     As the court explained in Pettet v.
    Pettet (1988), 
    55 Ohio App.3d 128
    , 130, 
    562 N.E.2d 929
    :
    PICKAWAY, 13CA9                                                                                      21
    “[W]hen separate facts are not requested by counsel and/or supplied by the court
    the challenger is not entitled to be elevated to a position superior to that he would
    have enjoyed had he made his request. Thus, if from an examination of the
    record as a whole in the trial court there is some evidence from which the court
    could have reached the ultimate conclusions of fact which are consistent with [its]
    judgment the appellate court is bound to affirm on the weight and sufficiency of
    the evidence.
    The message is clear: If a party wishes to challenge the * * * judgment as
    being against the manifest weight of the evidence he had best secure separate
    findings of fact and conclusions of law. Otherwise his already ‘uphill’ burden of
    demonstrating error becomes an almost insurmountable ‘mountain.’”
    Accord Bugg; McCarty v. Hayner, 4th Dist. Jackson No. 08CA8, 
    2009-Ohio-4540
    , fn. 1.
    {¶ 51} Generally, the failure to request findings of fact and conclusions of law ordinarily
    forfeits the right to challenge the trial court’s lack of an explicit finding concerning an issue.
    Pawlus v. Bartrug, 
    109 Ohio App.3d 796
    , 801, 
    673 N.E.2d 188
     (9th Dist. 1996); Wangugi v.
    Wangugi, 4th Dist. Ross No. 2531 (Apr. 12, 2000). Furthermore, a party fails to request findings
    of fact and conclusions of law, he or she cannot complain on appeal as to a lack of specificity of
    such findings. Schmidt v. Worthington, 5th Dist. Perry No. 11CA1, 
    2011-Ohio-4088
    , ¶12.
    {¶ 52} In the instant case, appellant does not dispute the foregoing principles and does
    not dispute that he failed to file a Civ.R. 52 request for findings of fact and conclusions of law.
    He contends, however, that we should excuse his failure due to his pro se status. We disagree.
    As we stated, supra, a pro se defendant is expected to follow the same procedures as parties
    represented by counsel. State ex rel. Gessner v. Vore, 
    supra, at ¶5
    ; St. Joseph’s Hosp., supra, at
    ¶27.
    {¶ 53} Moreover, we do not agree with appellant that our holding in In re Kister, 
    194 Ohio App.3d 270
    , 
    2011-Ohio-2678
    , 
    955 N.E.2d 1029
     (4th Dist.), mandates a different result. In
    Kister, we reviewed an assignment of error using the plain error doctrine when the pro se party
    PICKAWAY, 13CA9                                                                                   22
    failed to object to a magistrate’s decision in accordance with Civ.R. 53. We observed that
    Civ.R. 53(D)(3)(b)(iv) expressly states that a party waives all but plain error by failing to
    properly object to a magistrate’s decision. We did not apply the plain error doctrine due to the
    appellant’s pro se status. Instead, this is the same rule that we would have applied even had
    counsel represented the appellant. See Babcock v. Welcome, 4th Dist. Ross No. 11CA3273,
    
    2012-Ohio-5284
    , ¶9 (applying Civ.R. 40(D)(3)(b)(iv)—the nearly identical provision contained
    in the juvenile rules); Murphy v. Murphy, 4th Dist. Lawrence No. 09CA28, 
    2010-Ohio-5037
    , ¶21.
    Thus, appellant’s pro se status does not require that we review his challenges to the trial court’s
    lack of specific factual findings. Instead, we will presume the regularity of the trial court
    proceedings and affirm if some evidence supports its judgment. Again, without specific factual
    findings or legal conclusions, our review of appellant’s assignment of error is limited.
    {¶ 54} Appellate courts generally will uphold trial court judgments so long as the
    manifest weight of the evidence supports it. When an appellate court reviews whether a trial
    court’s decision is against the manifest weight of the evidence, the court “‘”weighs the evidence
    and all reasonable inferences, considers the credibility of witnesses and determines whether in
    resolving conflicts in the evidence, the [fact-finder] clearly lost its way and created such a
    manifest miscarriage of justice that the [judgment] must be reversed * * *.”’” Eastley v.
    Volkman, 
    132 Ohio St.3d 328
    , 2012–Ohio–2179, 
    972 N.E.2d 517
    , ¶20 (clarifying that the same
    manifest-weight standard applies in civil and criminal cases), quoting Tewarson v. Simon, 
    141 Ohio App.3d 103
    , 115, 
    750 N.E.2d 176
     (9th Dist. 2001); State v. Thompkins, 
    78 Ohio St.3d 380
    ,
    387, 
    678 N.E.2d 541
     (1997). A reviewing court may find a trial court’s decision against the
    manifest weight of the evidence only in the “‘exceptional case in which the evidence weighs
    PICKAWAY, 13CA9                                                                                    23
    heavily against the [decision].’” Thompkins, 78 Ohio St.3d at 387, quoting Martin, 20 Ohio
    App.3d at 175; accord State v. Lindsey, 
    87 Ohio St.3d 479
    , 483, 
    721 N.E.2d 995
     (2000).
    Moreover, when reviewing evidence under the manifest weight of the evidence standard, an
    appellate court generally must defer to the fact-finder’s credibility determinations. Eastley at
    ¶21. As the Eastley court explained:
    “‘[I]n determining whether the judgment below is manifestly against the weight of
    the evidence, every reasonable intendment must be made in favor of the judgment
    and the finding of facts. * * *
    If the evidence is susceptible of more than one construction, the reviewing court is
    bound to give it that interpretation which is consistent with the verdict and
    judgment, most favorable to sustaining the verdict and judgment.’”
    
    Id.,
     quoting Seasons Coal Co., Inc. v. Cleveland, 
    10 Ohio St.3d 77
    , 80, 
    461 N.E.2d 1273
     (1984),
    fn.3, quoting 5 Ohio Jurisprudence 3d, Appellate Review, Section 60, at 191–192 (1978).
    {¶ 55} Additionally, we explained in State v. Murphy, 4th Dist. No. 07CA2953,
    2008–Ohio–1744, ¶31:
    “It is the trier of fact’s role to determine what evidence is the most credible and
    convincing. The fact finder is charged with the duty of choosing between two
    competing versions of events, both of which are plausible and have some factual
    support. Our role is simply to insure the decision is based upon reason and fact.
    We do not second guess a decision that has some basis in these two factors, even
    if we might see matters differently.”
    {¶ 56} In the case at bar, some evidence shows that the trial court based its fraud finding
    upon reason and fact.
    “Fraud has various elements: (1) a representation (or concealment of a fact
    when there is a duty to disclose) (2) that is material to the transaction at hand, (3)
    made falsely, with knowledge of its falsity or with such utter disregard and
    recklessness as to whether it is true or false that knowledge may be inferred, and
    (4) with intent to mislead another into relying upon it, (5) justifiable reliance, and
    (6) resulting injury proximately caused by the reliance. Burr v. Stark Cty. Bd. of
    Commrs. (1986), 
    23 Ohio St.3d 69
    , 73, 23 OBR 200, 
    491 N.E.2d 1101
    .”
    PICKAWAY, 13CA9                                                                                    24
    Volbers-Klarich v. Middletown Mgt., Inc., 
    125 Ohio St.3d 494
    , 
    2010-Ohio-2057
    , 
    929 N.E.2d 434
    , ¶27. Appellant contends that the record contains no factual support that he recorded an
    invalid deed (1) with knowledge of its falsity or with such utter disregard and recklessness as to
    whether it is true or false that knowledge may be inferred, or (2) with the intent of misleading
    another into relying upon it. We do not agree. Our review of the record reveals that some
    evidence exists that appellant either knew, or should have known, that the deed was invalid.
    Appellant claimed that he was in the room when Darwin signed the deed. However, all of
    appellee’s witnesses testified that Darwin was incapable of writing his name. The hospice care
    workers testified that Darwin was totally dependent on others for care and that he could not even
    hold an eating utensil or the television remote control in his hand. Obviously, this testimony
    directly contradicts appellant’s claim that Darwin signed the deed and the trial court rejected
    appellant’s assertion that Darwin signed the deed. Furthermore, the person who notarized the
    deed admitted that she did not witness Darwin sign the deed, but, instead, appellant presented it
    to her already signed. Thus, the trial court logically could have concluded that appellant did not
    testify truthfully when he stated that Darwin signed the deed. Thus, appellant knew, or should
    have known, that the deed did not contain Darwin’s true signature.
    {¶ 57} Additionally, the evidence shows that appellant recorded the deed. Obviously, he
    intended to lead the recorder’s office to believe that the deed was valid and that he owned the
    property. This evidence could have allowed the trial court to conclude that appellant intended to
    mislead the recorder’s office into accepting the deed as valid, thus giving him sole ownership of
    the property. Consequently, the record does in fact contain some evidence to support the two
    PICKAWAY, 13CA9                                                                                     25
    fraud elements that appellant challenges. We must presume the regularity of the trial court’s
    proceedings and affirm its judgment.
    {¶ 58} Accordingly, based upon the foregoing reasons, we hereby overrule appellant’s
    third assignment of error.
    IV
    {¶ 59} In his fourth assignment of error, appellant contends that the trial court improperly
    ordered appellant to pay attorney fees. Appellant asserts that the court could not award attorney
    fees unless it awarded punitive damages, or found that appellant acted with malicious intent.
    {¶ 60} Initially, we again observe that appellant did not file a Civ.R. 52 request for
    factual findings and legal conclusions. Thus, our review is limited. We will presume the
    regularity of the trial court’s decision and affirm if some evidence supports its attorney fee
    award.
    {¶ 61} Ordinarily, a party who prevails in a civil action may not recover attorney fees.
    Wilborn v. Bank One Corp., 
    121 Ohio St.3d 546
    , 
    2009-Ohio-306
    , 
    906 N.E.2d 396
    , ¶7, citing
    Nottingdale Homeowners’ Assn., Inc. v. Darby, 
    33 Ohio St.3d 32
    , 33–34, 
    514 N.E.2d 702
    (1987); State ex rel. Beebe v. Cowley, 
    116 Ohio St. 377
    , 382, 
    156 N.E. 214
     (1927). Exceptions
    to this general rule exist, however. “Attorney fees may be awarded when a statute or an
    enforceable contract specifically provides for the losing party to pay the prevailing party’s
    attorney fees.” 
    Id.,
     citing Nottingdale, 33 Ohio St.3d at 34. Additionally, a court may award
    attorney fees “when the prevailing party demonstrates bad faith on the part of the unsuccessful
    litigant.” Id., citing Pegan v. Crawmer, 
    79 Ohio St.3d 155
    , 156, 
    679 N.E.2d 1129
     (1997);
    PICKAWAY, 13CA9                                                                                     26
    accord Schiavoni v. Roy, 9th Dist. Medina No. 11CA0108-M, 
    2012-Ohio-4435
    ; Fancher v.
    Lawrence, 4th Dist. Lawrence No. 1962 (Mar. 6, 1992).
    {¶ 62} In the case at bar, appellant asserts that none of the exceptions apply. We believe
    that the trial court rationally could have determined that appellee demonstrated that appellant
    acted in bad faith.
    {¶ 63} “Bad faith” embraces more than bad judgment or negligence. State v. Powell,
    
    132 Ohio St.3d 233
    , 
    2012-Ohio-2577
    , 
    971 N.E.2d 865
    , ¶81. Instead, “’”[i]t imports a dishonest
    purpose, moral obliquity, conscious wrongdoing, breach of a known duty through some ulterior
    motive or ill will partaking of the nature of fraud. It also embraces actual intent to mislead or
    deceive another.”’” 
    Id.,
     quoting Hoskins v. Aetna Life Ins. Co., 
    6 Ohio St.3d 272
    , 276, 
    452 N.E.2d 1315
     (1983), quoting Slater v. Motorists Mutual Ins. Co., 
    174 Ohio St. 148
    , 
    187 N.E.2d 45
     (1962), paragraph two of the syllabus; accord Casserlie v. Shell Oil Co., 
    121 Ohio St.3d 55
    ,
    
    2009-Ohio-3
    , 
    902 N.E.2d 1
    , ¶32.
    {¶ 64} In the case at bar, even though the trial court did not enter a specific finding of bad
    faith, in the absence of a Civ.R. 52 request for factual findings and legal conclusions, it was not
    required to do so. Instead, we may uphold its judgment to award attorney fees as long as some
    evidence supports a finding that appellant acted in bad faith.
    {¶ 65} Here, some evidence certainly shows that appellant acted in bad faith in his
    attempt to gain ownership of the property. Appellant presented a deed to a notary that contained
    a signature that purported to be Darwin’s. Some evidence shows, however, that Darwin could
    not have signed the deed. Thus, some evidence shows that appellant’s claim that Darwin signed
    the deed is patently false. Appellant’s motivation in attempting to record a deed with a forged
    PICKAWAY, 13CA9                                                                                 27
    signature would be to obtain title to the property by deception. His purpose was dishonest. It
    was more than bad judgment or negligence. Instead, some evidence shows that appellant was
    consciously aware of his wrongdoing. Thus, the foregoing facts constitute some evidence to
    support the trial court’s attorney fee award. We therefore disagree with appellant that the trial
    court erred by awarding appellee attorney fees.
    {¶ 66} Accordingly, based upon the foregoing reasons, we hereby overrule appellant’s
    fourth assignment of error and affirm the trial court’s judgment.
    JUDGMENT AFFIRMED.
    [Cite as Fultz v. Fultz, 
    2014-Ohio-3344
    .]
    JUDGMENT ENTRY
    It is ordered that the judgment be affirmed and that appellee recover of appellant the costs
    herein taxed.
    The Court finds there were reasonable grounds for this appeal.
    It is ordered that a special mandate issue out of this Court directing the Pickaway County
    Common Pleas Court to carry this judgment into execution.
    A certified copy of this entry shall constitute that mandate pursuant to Rule 27 of the
    Rules of Appellate Procedure.
    Hoover, J.: Concurs in Judgment & Opinion
    McFarland, J.: Dissents
    For the Court
    BY:
    Peter B. Abele
    Presiding Judge
    NOTICE TO COUNSEL
    Pursuant to Local Rule No. 14, this document constitutes a final judgment entry and the
    time period for further appeal commences from the date of filing with the clerk.