Burns v. Adams , 2014 Ohio 1917 ( 2014 )


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  •         [Cite as Burns v. Adams, 2014-Ohio-1917.]
    IN THE COURT OF APPEALS OF OHIO
    FOURTH APPELLATE DISTRICT
    SCIOTO COUNTY
    MICHELE BURNS,                                           :
    :
    Plaintiff-Appellee,                              :            Case No. 12CA3508
    :
    vs.                                              :
    :
    JACK ADAMS,1                                             :            DECISION AND JUDGMENT
    :            ENTRY
    Defendant-Appellant.                             :            Released: 05/02/14
    APPEARANCES:
    James H. Banks, Dublin, Ohio, for Appellant.
    Stanley C. Bender, Portsmouth, Ohio, Bruce W. MacDonald and Darya Thompson,
    McBrayer, McGinnis, Leslie, & Kirkland, Greenup, Kentucky, for Appellee.
    McFarland, J.
    {¶1} Jack Adams, (Appellant), appeals the judgment of the Scioto County
    Common Pleas Court, entered on September 12, 2012, subsequent to a jury trial
    held on damages only. Pursuant to the jury’s verdicts, judgment was entered in
    favor of plaintiff Michelle Burns, as administrator of the estate of Bobby Burns,
    and against defendant Jack Adams in the amounts of one million, two hundred
    thousand dollars ($1,200,000.00) for compensatory damages and eight million one
    hundred thousand dollars ($8,100,000.00) for punitive damages. Appellant
    1
    During the trial court proceedings, Appellant was inadvertently identified on the pleadings as “Jack Adams.” His
    correct name is “John M. Adams.” The trial court issued an entry to correct the pleadings to reflect Appellant as
    “John Adams.” However, the appellate pleadings continue to identify Appellant as “Jack Adams.”
    Scioto App. No. 12CA3508                                                           2
    submits the following assignments of error: (1) that the trial court erred in the
    admission of evidence such to adversely affect the substantial rights of the
    defendant; (2) that the trial court’s rulings at trial denied the defendant a fair trial
    and deprived him of due process, such as to require reversal of the judgment
    against him; and (3) that the punitive damage award was excessive and contrary to
    law. Having reviewed the entire record, we find the trial court did not err with
    regard to the admission of evidence. We also find Appellant was not denied a fair
    trial or deprived of due process, such as to require reversal of the judgment against
    him. Finally, we find the punitive damage award was not excessive and contrary
    to law. As such, we overrule Appellant’s three assignments of error and affirm the
    judgment of the trial court.
    FACTS
    {¶2} Appellant was convicted after a jury trial in the Scioto County Court of
    Common Pleas of one count of murder, one count of aggravated burglary, and two
    counts of kidnapping, all with firearm specifications. The facts underlying his
    convictions are set forth fully in State v. Adams, 4th Dist. Scioto Nos. 04CA2959,
    05CA2986, 2009-Ohio-6491.
    {¶3} The shorter version is Plaintiff-Appellee Michelle Burns, (“Appellee”),
    was a patient of Appellant, a doctor of psychiatry. Appellee had depression
    problems as early as age 32-33 and, later, some mental health issues ostensibly
    Scioto App. No. 12CA3508                                                      3
    associated with the fact that she was diagnosed with cancer and had subsequent
    radical surgeries. While Appellant was treating Appellee for her later mental
    health issues, prescribing her antidepressants and narcotic pain medication, they
    engaged in a sexual relationship. Sometime after Appellee ended the relationship,
    Appellant entered the Burns’ home by stealth and killed Bobby Burns, Appellee’s
    husband. After pointing a gun at Appellee, he fled the scene and kidnapped two
    females at gunpoint, forcing them to drive him across the state line into Kentucky.
    Appellant was apprehended shortly thereafter.
    {¶4} Appellant appealed his criminal convictions, raising various issues,
    and this court remanded Appellant’s case for resentencing. Appellant also appealed
    the new sentence in State v. Adams, 4th Dist. Scioto No. 10CA3391, 
    2012 WL 245893
    . An appeal to the Supreme Court of Ohio was denied in April 2010.
    {¶5} Appellee, as administrator of the estate of Bobby Burns, filed a
    wrongful death action against Appellant in June 2005. The civil case was placed
    on hold while Appellant appealed his criminal convictions. The wrongful death
    case was eventually tried to a duly empaneled and sworn jury on August 14, 2012.
    Appellee testified as to the events preceding her husband’s murder, which occurred
    over a period of several years. Appellee also presented deposition testimony from
    an economist, David Boyd, on the issue of economic damage as a result of Bobby
    Scioto App. No. 12CA3508                                                                                  4
    Burns’ death.2 Appellant did not testify nor did he present any evidence in defense
    of the wrongful death complaint or on his counter-claim.3 As indicated above, at
    the conclusion of the one-day trial, the jury awarded large verdicts for
    compensatory damages and punitive damages. This appeal followed.
    {¶6} Where relevant, additional facts are set forth below.
    ASSIGNMENTS OF ERROR
    I. THE TRIAL COURT ERRED IN THE ADMISSION OF
    EVIDENCE SUCH TO ADVERSELY AFFECT THE
    SUBSTANTIAL RIGHTS OF THE DEFENDANT.
    A. STANDARD OF REVIEW
    {¶7} The admission or exclusion of evidence is within the sound discretion
    of the trial court, and the trial court’s decision to admit or exclude such evidence
    cannot be reversed absent an abuse of discretion. State v. Craft, 4th Dist. Athens
    No. 97 CA 53, 
    1998 WL 255442
    , * 7; State v. Combs, 
    62 Ohio St. 3d 278
    , 
    581 N.E.2d 1071
    (1991); State v. Finnerty, 
    45 Ohio St. 3d 104
    , 
    543 N.E.2d 1233
    (1989); State v. Sage, 
    31 Ohio St. 3d 173
    , 
    510 N.E.2d 343
    (1987); Evid.R. 402. We
    note that the term “abuse of discretion” connotes more than an error of law or
    judgment; it implies that the court’s attitude is unreasonable, arbitrary or
    2
    David Boyd, PhD., testified that the projected loss to the estate for Bobby Burns’ death at age 43,
    was $594, 528.22. After reviewing Bobby Burns’ work history, earnings prior to death, fringe benefits
    received prior to death, age at death, life expectancy, personal consumption of benefits, and educational
    back ground, Dr. Boyd gave his testimony to a reasonable degree of economic certainty.
    3
    The substance of Appellant’s counterclaim was the allegation that Appellee shot and killed her husband
    and caused Appellant to be wrongfully convicted. Appellant also alleged malicious prosecution and abuse of
    process, and intentional infliction of emotional distress.
    Scioto App. No. 12CA3508                                                            5
    unconscionable. 
    Craft, supra
    , citing State v. Xie, 
    62 Ohio St. 3d 521
    , 
    584 N.E.2d 715
    (1992); State v. Montgomery, 
    61 Ohio St. 3d 410
    , 
    575 N.E.2d 167
    (1991).
    When applying the abuse of discretion standard of review, an appellate court is not
    free to merely substitutes its judgment for that of the trial court. 
    Craft, supra
    ,
    citing In re Jane Doe 1, 
    57 Ohio St. 3d 135
    , 
    566 N.E.2d 1181
    (1991).
    B. LEGAL ANALYSIS
    {¶8} Under the first assignment of error, Appellant first sets forth this issue:
    whether the trial court’s refusal to permit Defendant-Appellant Adams to present
    evidence as to liability constitutes reversible error? Appellant argues the trial court
    twice denied Appellee’s motion for summary judgment on the issue of liability and
    then refused to permit Appellant to submit any evidence as to liability, finding that
    the trial was being held only to consider damages. In response to Appellant’s first
    issue, Appellee contends the trial court did not err in its discretion when it
    determined that the evidence of Appellant’s murder conviction was sufficient to
    meet the liability element in the case at bar based on R.C. 2307.60. R.C. 2307.60,
    civil action for damages for criminal act, provides in pertinent part:
    “(B) A final judgment of a trial court that has not been reversed on
    appeal or otherwise nullified, set aside, or vacated, entered after a trial
    or upon a plea of guilty, but not upon a plea of no contest or the
    equivalent plea from another jurisdiction, that adjudges an offender
    guilty of an offense of violence punishable by death or imprisonment
    in excess of one year, when entered as evidence in any subsequent
    civil proceeding based on the criminal act, shall preclude the offender
    from denying in the subsequent civil proceeding any fact essential to
    Scioto App. No. 12CA3508                                                             6
    sustaining that judgment, unless the offender can demonstrate that
    extraordinary circumstances prevented the offender from having a full
    and fair opportunity to litigate the issue in the criminal proceeding, or
    other extraordinary circumstances justify affording the offender the
    opportunity to relitigate the issue. The offender may introduce
    evidence of the offender’s pending appeal of the final judgment of the
    trial court, if applicable, and the court may consider that evidence in
    determining the liability of the offender.”
    {¶9} To clearly address Appellant’s argument, we must point out the
    context. The trial transcript reflects defense counsel brought up, just prior to the
    commencement of trial, these issues: (1) questioning Appellee as to her medical
    treatment for multiple personality disorder and (2) questioning her as to a
    settlement received from Marshall University. Eventually in the discussion, the
    trial court stated: “We’re not going to get into retrying the case. So the case has
    been tried by a jury of his peers and so we’re not going to get into the facts.” He’s
    not allowed to get up and say “He didn’t do it” now. Appellant’s counsel
    responded: “Well, Your Honor, in your entry for summary judgment your ruling
    was a little different, so I’m just saying - -.” The transcript reflects counsel’s voice
    trailed off. Appellant did not lodge and objection to the trial court’s implicit ruling
    that Appellant could not deny liability for Bobby Burns’ death during the damages
    trial.
    {¶10} The trial court then read the relevant statute, R.C. 2307.60 and
    questioned whether the criminal conviction had been appealed. Appellant’s
    counsel responded that it had been appealed all the way to the Supreme Court of
    Scioto App. No. 12CA3508                                                                                  7
    Ohio. At this point, the transcript does not reveal further discussion with the trial
    court or argument or objection by Appellant’s counsel as to the issue of the
    admission of evidence of liability. There are also three instances during voir dire
    and one instance during opening statement when Appellee’s counsel states the trial
    was only on damages. At no time did Appellant lodge an objection.
    {¶11} The transcript further reveals when Appellee rested, counsel offered
    into evidence the nunc pro tunc sentencing entry, certified by the Scioto County
    Clerk of Courts, evidencing Appellant’s multiple convictions and multiple prison
    terms. Appellant’s counsel objected on the basis that there was no person to testify
    as to authentication. Appellee argued the entry was self-authenticating and also
    admissible under R.C. 2307.60. The trial court admitted the entry of conviction.
    There was no further objection by Appellant as to the issue of presentation of
    liability evidence. Counsel objected to the admission of the entry of conviction
    solely on the basis of authentication.4 As such, we will review Appellant’s
    argument that he was not permitted to present evidence as to liability under a plain
    error standard of review.
    {¶12} It is well-established that where no timely objection was made, plain
    error is recognized in a civil case is not favored and may only be applied in an
    “extremely rare case involving exceptional circumstances where error, to which no
    4
    In his brief, Appellant makes no argument with regard to authentication of the entry of conviction.
    Scioto App. No. 12CA3508                                                         8
    objection was made at the trial court, seriously affects the basic fairness, integrity,
    or public reputation of the judicial process, thereby challenging the legitimacy of
    the underlying judicial process itself.” West v. Curtis, 7th Dist. Belmont No. 08
    BE 28, 2009-Ohio-3050, ¶ 86, quoting Gable v. Gates Mills, 
    103 Ohio St. 3d 449
    ,
    2004-Ohio-5719, 
    816 N.E.2d 1049
    , ¶ 43, quoting Goldfuss v. Davidson, 79 Ohio
    St.3d 116, 122-123, 
    679 N.E.2d 1099
    (1997). See, also, Werden v. Children’s
    Hospital Medical Center, 1st Dist. Hamilton No. C-040889, 2006-Ohio-4600, ¶ 17.
    {¶13} However, while the judge has discretion to admit or exclude evidence
    based upon the factual circumstances presented, his application of those facts to the
    rules of evidence is a question of law we review de novo. State v. Cody, 8th Dist.
    Cuyahoga No. 77427, 2002-Ohio-7055, ¶ 10. See Calderon v. Sharkey, 70 Ohio
    St.2d 218, 222-223, 
    436 N.E.2d 1008
    (1982); Rohde v. Farmer, 
    23 Ohio St. 2d 82
    ,
    
    262 N.E.2d 685
    (1970), paragraphs one and two of the syllabus. As such, we must
    review the trial court’s application of the facts to the rules of evidence, via the
    implicit ruling that Appellant’s conviction precluded denial of liability. Again, we
    will review the ruling under a plain error standard of review since Appellant did
    not voice objection.
    {¶14} Appellee points out Appellant was convicted under R.C. 2903.02
    which provides “No person shall purposely cause the death of another….”
    Appellant argues “causing the death of” may be construed in various ways and no
    Scioto App. No. 12CA3508                                                            9
    evidence was presented as to the manner of means by which the defendant
    “caused” the death of Bobby Burns because Appellant was not permitted to rebut
    Appellee’s testimony. Appellant further argues that the case at bar presents
    “extraordinary circumstances” which prevented the offender from having a full and
    fair opportunity to litigate the issue in the criminal proceeding.
    {¶15} The issue raised here has necessitated a look at the principles of res
    judicata and issue preclusion, as well as the law of other jurisdictions. The
    collateral-estoppel effect of a criminal federal conviction was discussed by the
    Franklin County Common Pleas Court in Blackwell v. Gorman, 
    142 Ohio Misc. 2d
    50, 
    870 N.E.2d 1238
    , 2007-Ohio-3504. The court stated:
    {¶16} “The finality that ought to attach to a judgment of conviction in a
    criminal case was recognized in State v. Szefcyf, 
    77 Ohio St. 3d 93
    , 
    671 N.E.2d 233
    (1996). The syllabus paragraph prepared by the court ruled:
    ‘Under the doctrine of res judicata, a final judgment of conviction bars
    a convicted defendant who was represented by counsel from raising
    and litigating in any proceeding, except an appeal from that judgment,
    any defense or claimed lack of due process that was raised or could
    have been raised by the defendant at the trial, which resulted in that
    judgment of conviction, or on an appeal from that judgment.’”
    {¶17} The doctrine of issue preclusion, also known as collateral
    estoppel, holds that a fact or a point that was actually and directly at issue in
    a previous action, and was passed upon and determined by a court of
    competent jurisdiction, may not be draw into question in a subsequent action
    Scioto App. No. 12CA3508                                                        10
    between the same parties or their privies, whether the cause of action in the
    two actions be identical or different. Fort Frye Teachers Assoc. v. SERB,
    
    81 Ohio St. 3d 392
    , 1998-Ohio435, 
    692 N.E.2d 140
    , ¶¶ 3 and 4.
    {¶19} This court declined to hold that a criminal conviction had
    collateral estoppel effect in a tort action in Phillips v. Rayburn, 113 Ohio
    App.3d 374, 
    680 N.E.2d 1279
    (4th Dist.1996). There we reviewed the
    parties’ arguments and found that the advantages gained by preclusion did
    not outweigh the risks inherent in allowing a criminal conviction to bind a
    defendant in a subsequent civil suit based on the same conduct. 
    Id. at 10.
    While recognizing that our position was somewhat contrary to the trend in
    federal court, we further observed:
    “Procedural and discovery differences between the criminal and civil
    forums coupled with the defendant’s dilemma over whether to testify
    in his own behalf or present any defense at the criminal trial make
    preclusion in this instance a precarious, and we believe, unwise
    practice. The conviction is, of course, valuable probative evidence to
    an aggrieved plaintiff and should be admissible….In the interest of
    fairness, however, we feel the defendant to the tort must be afforded
    an opportunity to present evidence rebutting or explaining the
    criminal conviction.” 
    Id. at 10.
    {¶20} The trend we then recognized in federal court seems to have been
    adopted in some other state court decisions as well. In Hanover Insurance
    Company v. Hayward, 
    464 A.2d 156
    , 1983 Me, LEXIS 776, the Supreme Judicial
    Court of Maine denied the cross-appeal of the defendant which challenged the
    Scioto App. No. 12CA3508                                                         11
    Superior Court’s ruling that for purposes of the subsequent civil action, his prior
    conviction for arson was conclusive proof of all facts necessarily adjudicated in the
    earlier criminal conviction. The Supreme Judicial Court noted:
    “[T]he jury must have concluded beyond a reasonable doubt that the
    Defendant burned his house with the intent to collect insurance
    proceeds for the loss caused by the fire. There is no reason that a
    defendant, having vigorously asserted a defense and been adjudicated
    guilty on a beyond-a-reasonable-doubt standard, should be allowed to
    relitigate the issues previously determined. ‘Principles of finality,
    certainty, and the proper administration of justice suggest that a
    decision once rendered should stand…’ Hossler, 
    403 A.2d 762
    , 769
    (Me. 1979). We find no error in the Superior Court’s ruling that the
    Defendant’s prior criminal conviction conclusively established the
    Defendant’s burning of the structure with the intent to collect
    insurance proceeds.”
    {¶21} In its holding, the Superior Judicial Court noted the Hayward case
    was distinguishable from another decision involving insurance, Patrons-Oxford
    Mutual Insurance Co. v. Dodge, 426 A.2d 888(Me 1981), because in the Hayward
    case, there was a complete identity between an issue adjudicated at the prior
    criminal proceedings—the Defendant’s intentional burning of his house to collect
    insurance thereon—and an issue sought to be established in the subsequent civil
    trial. In Patrons-Oxford, in the defendant’s criminal trial, the defendant was
    convicted of aggravated assault. Under the relevant statute, the jury could have
    found the defendant guilty if he “recklessly” caused bodily injury. In the
    subsequent civil action, the insurance company sought a declaratory judgment that
    the defendant’s conduct was not covered by its insurance policy. The policy’s
    Scioto App. No. 12CA3508                                                          12
    bodily injury exclusion only excluded conduct that was intended or expected. It
    did not exclude injury caused recklessly. Because the issue the insurance company
    sought to establish in the civil action differed from the issue actually adjudicated in
    the earlier criminal prosecution, the Superior Court declined to allow the insurance
    company to use collateral estoppel offensively against the defendant. Hanover v.
    
    Hayward, supra
    , at fn. 8.
    {¶22} More recently, in Stewart v. Bader, 
    154 N.H. 75
    , 
    907 A.2d 931
    (2006), the defendant appealed the judgment in favor of the plaintiff, administrator
    of the estate in the plaintiff’s wrongful death action. In 1998, a jury convicted the
    defendant of first-degree murder. The jury found the defendant purposely caused
    the death of his former wife by shooting her in the head. The defendant was
    sentenced to life in prison without the possibility of parole.
    {¶23} On appeal, the defendant intended the trial court erred when it ruled
    that under the doctrine of collateral estoppel, his murder conviction precluded him
    from arguing that he did not murder his wife. Regarding the collateral estoppel
    argument, the Supreme Court of New Hampshire held:
    “ ‘Spurred by considerations of judicial economy and a policy of
    certainty and finality in our legal system, the doctrines of res judicata
    and collateral estoppel have been established to avoid repetitive
    litigation so that at some point litigation over a particular controversy
    must come to an end.’ Cook v. Sullivan, 
    149 N.H. 774
    , 777, 829
    A.D.2d 1059(2003) (quotation omitted). The doctrine of collateral
    estoppel bars a party to a prior action, or a person in privity with such
    Scioto App. No. 12CA3508                                                          13
    a party, from relitigating any issue or fact actually litigated and
    determined in the prior action. 
    Id. at 778.
    ***
    For collateral estoppel to apply, three basic conditions must be
    satisfied: (1) the issue subject to estoppel must be identical in each
    action; (2) the first action must have resolved the issue finally on the
    merits; and (3) the party to be estopped must have appeared [ * **11]
    as a party in the first [*81] action, or have been in privity with
    someone who did so. 
    Id. ‘These conditions
    must be understood, in
    turn, as particular elements of the more general requirement, that a
    party against whom estoppel is pleaded must have had a full and fair
    prior opportunity to litigate the issue or fact in question.’ 
    Id. (quotation omitted).”
    {¶24} In the Stewart case, the defendant argued his conviction had no
    preclusive effect because he did not testify at his criminal trial. He argued because
    he chose not to testify, he was deprived of a full and fair opportunity to litigate his
    guilt or innocence. The New Hampshire Supreme Court, citing an earlier case,
    stated:
    “In Hopps v. Utica Mutual Insurance Co., 
    127 N.H. 508
    , 511, 
    506 A.2d 294
    (1985), we held that given modern concepts of collateral
    estoppel:
    ‘[T]here is no reason in principle why an earlier criminal judgment
    should not preclude a party to the criminal prosecution from
    relitigating an issue of fact in a later civil proceeding, if that party
    enjoyed a full and fair opportunity to litigate the issue [ ***12] in the
    first instance. In fact, there is a stronger rationale for applying
    collateral estoppel against a former criminal defendant that for
    applying it against a party to a prior civil case, since the criminal
    defendant has had the benefit of the presumption of innocence and the
    State’s obligation to prove any fact essential to the conviction beyond
    a reasonable doubt.’ ”
    Scioto App. No. 12CA3508                                                         14
    {¶25} In addressing the defendant’s argument about his lack of opportunity
    to fully litigate the case, based on his failure to testify at trial, the New Hampshire
    Supreme Court looked to an Iowa case, Dettman v. Kruckenberg, 
    613 N.W.2d 238
    , 2000 Iowa Sup. LEXIS 127. There, Dettman, as executor of his wife’s estate,
    brought a wrongful death action after his wife died when her vehicle was struck by
    an intoxicated driver, Kruckenberg. A co-defendant in the case filed a pre-trial
    motion under Iowa Rule of Evidence 104(a) asking the court to exclude at trial any
    evidence offered by the defendant that another person was driving the
    Kruckenberg’s vehicle. Specifically, the motion cited Iowa Code 707.6(A)(1), that
    Kruckenberg’s criminal case conviction of vehicular homicide precluded litigation
    of the identity of the driver in the wrongful death action. The trial court sustained
    the motion. The district court also concluded that issue preclusion principles
    applied.
    {¶26} On appeal to the Supreme Court of Iowa, Kruckenberg raised the
    issue of whether a criminal case conviction was preclusive as to issues raised in a
    subsequent civil action brought against the criminal defendant. The Court first
    noted that evidence of Kruckenberg’s conviction would probably have been
    admissible at the civil trial over a hearsay objection as an exception to the hearsay
    rule.
    Scioto App. No. 12CA3508                                                                                     15
    {¶27} The Supreme Court also looked to the writings of Professor Allan D.
    Vestal, a well- respected authority on issue preclusion principles.5 Referencing
    Professor Vestal’s work, the Supreme Court noted:
    “The primary inquiry is whether there was an opportunity and
    incentive to fully litigate the issue. If so, it follows that preclusive
    effect can be given to the earlier decision. Second, the precise issue
    faced and settled in the first proceeding must be identified…Third, the
    courts must recognize the different standards of proof required in civil
    and criminal proceedings…Fourth, certain overriding societal
    considerations apply in some situations. When such interests are
    involved, the doctrine of preclusion may be forced to give way. Fifth,
    in the application of preclusion, the rights of individuals must be
    protected…”
    {¶28} The New Hampshire Supreme Court ultimately held that the
    district court properly decided that the requirements of issue preclusion were
    satisfied.6 “In addition to these requirement [of issue preclusion], ‘either (1) the
    parties in both actions must be the same (mutuality of parties), or (2) there must be
    privity between the party against whom issue preclusion is invoked and against
    whom the issue was decided in the first litigation.’” 
    Kruckenberg, supra
    , quoting
    
    Brown, 558 N.W.2d at 163
    . A “privy” means “one who, after rendition of the
    judgment, has acquired an interest in the subject matter affected by the judgment
    5
    Professor Vestal’s work was discussed by Ruth Bader Ginsburg, The Work of Professor Allan Delker Vestal, 
    70 Iowa L
    . Rev. 13 91984). Professor Vestal also served as an adviser throughout preparation of the Restatement
    (Second) of Judgments. See David L. Shapiro, Should a Guilty Plea Have a Preclusive Effect? 
    70 Iowa L
    . Rev. 27,
    27, n.1 (1984).
    6
    The principle of the application of the doctrine of issue preclusion in a similar context was recently reaffirmed in
    Traudt v. Roberts, 2013 DNH 94, 
    2013 U.S. Dist. LEXIS 98363
    .
    Scioto App. No. 12CA3508                                                                                    16
    through or under one of the parties, as by inheritance, succession, or purchase.” 
    Id. (quoting Goodby
    v. Derby, 
    189 N.W.2d 909
    , 914 (Iowa 1971)).7
    {¶29} The New Hampshire Supreme Court held:
    “First, the jury in the criminal case found [Kruckenberg] guilty
    beyond a reasonable doubt of the charge of vehicular homicide.
    Implicit in the jury’s finding was that Michael was driving the
    Kruckenberg vehicle at the time it collided with [Laurie] Dettman’s
    vehicle. Second, Michael’s criminal conviction was only used in the
    present civil action for purposes of conclusively establishing that
    Michael was driving the Kruckenberg vehicle at the time of the
    accident. Additionally, the driver issue was raised and litigated in the
    criminal trial and on appeal, it was material and relevant to the
    disposition of the criminal action as an essential element of the crime,
    and determination of the issue was necessary and essential to the
    judgment entered in the criminal case. We also agree with the trial
    court that Michael had a full and fair opportunity to litigate the driver
    issue in the criminal case and had every incentive to do so. In fact,
    Michael was serving his prison term at the time of the civil case trial.
    Additionally, Michael’s decision not to testify in the criminal case
    was presumably made on the assumption that he would benefit
    thereby. Any error in this trial strategy, however, no more defeats the
    preclusive effect of his criminal conviction in the civil case than the
    failure of a litigant to introduce relevant available evidence in any
    other situation.”
    {¶30} We decided Phillips v. Rayburn in August, 1996. The version of
    R.C. 2307.60 in effect at that time read as follows:
    “Anyone injured in person or property by a criminal act has, and may
    recover, full damages in a civil action unless specifically excepted by
    law, may recover the costs of maintaining the civil action and
    attorney’s fees if authorized by any provision of the Rules of Civil
    Procedure or another section of the Revised Code or under the
    common law of this state, and may recover punitive or exemplary
    7
    This definition of “privy” is also contained in Black’s Law Dictionary, Abridged Sixth Edition, 1991.
    Scioto App. No. 12CA3508                                                         17
    damages if authorized by section 2315.21 or another section of the
    Revised Code. No record of a conviction, unless obtained by
    confession in open court, shall be used as evidence in a civil action
    brought pursuant to this section.” (Emphasis added.).
    {¶31} The language of R.C. 2307.60 has since been revised, as we have
    indicated above, to allow that “a final judgment of a trial court… entered after a
    trial or upon a plea of guilty, but not upon a plea of no contest…” shall preclude
    the offender from denying in a subsequent civil proceeding any fact essential to
    sustaining that judgment. This is a significant difference.
    {¶32} In the case at bar, Appellee introduced the evidence of Appellant’s
    conviction. Appellant was convicted beyond a reasonable doubt of “purposely”
    causing the death of another. Pursuant to R.C. 2901.22, a person acts “purposely”
    when it is his intention to cause a specific result. In the wrongful death trial, the
    jury was instructed they had to determine if Appellant intentionally caused or
    contributed to the death of Bobby Burns before they could proceed to consider
    damages. The issue in the criminal trial was identical to that presented in the civil
    trial. The issue was relevant and material to disposition of the prior proceeding.
    {¶33} And, although Appellee was not a party to the criminal trial, the Ohio
    Supreme Court has suggested that strict mutuality of parties may be relaxed in the
    interest of justice. Phillips v. 
    Rayburn, supra
    , at ¶8, citing In re Gilbraith, 32 Ohio
    St.3d 127, 131, 
    512 N.E.2d 956
    , 961 (1987). However, we conclude that Appellee
    Scioto App. No. 12CA3508                                                        18
    functioned as a privy in that she acquired an interest in the subject matter affected
    by the criminal judgment.
    {¶34} We further observe that the first action has been resolved on the
    merits. Appellant was convicted of murder and has exhausted the appeals process.
    Despite his argument to the contrary, Appellant had the opportunity to fully and
    fairly litigate his conviction. The strategic choice not to testify does not
    automatically mean a litigant has not had a fair and full opportunity. In Dettman v.
    
    Kruckenberg, supra
    , the court noted that the decision not to testify was presumably
    made on the assumption that he would benefit thereby. Any error in the trial
    strategy did not defeat the preclusive effect of the criminal conviction. See also,
    Stewart v. 
    Bader, supra
    . The Blackwell court also commented:
    “A full and fair opportunity to be heard was plainly afforded
    Blackwell in federal court. The mere fact that it might have been
    fuller or fairer from Blackwell’s personal vantage point, using
    hindsight, simply is not the test.”
    {¶35} We are not convinced by Appellant’s argument that extraordinary
    circumstances prevented him from having full and fair opportunity to litigate his
    claim of innocence. Appellant bases this claim on his decision not to testify in the
    criminal trial. That was a strategic choice on his part. He was found to be proven
    Scioto App. No. 12CA3508                                                                    19
    guilty beyond a reasonable doubt. This court affirmed his convictions, finding the
    evidence of guilt to be overwhelming.8
    {¶36} In summary, we find no plain error occurred with regard to the trial
    court’s implicit ruling that Appellant was precluded from denying liability. The
    trial court’s decision did not affect the basic fairness and integrity of Appellant’s
    civil trial. As such, the trial court did not err and abuse its discretion by refusing
    Appellant to present evidence of liability.
    {¶37} Under the first assignment of error, Appellant also argues he was not
    permitted to cross-examine Appellee as to Appellee’s mental health history,
    association with defendant, and facts concerning the murder. He contends these
    rulings substantially prejudiced him.
    {¶38} We note the trial transcript reflects just prior to the start of trial,
    Appellant’s counsel requested to ask her about medical conditions, specifically
    regarding her treatment for multiple personality disorder, and the judgment she
    received from Marshall University. As indicated in our discussion above,
    however, those requests spiraled into a discussion about whether or not evidence
    regarding liability would be permitted. Appellant’s counsel did not request a
    definitive ruling on any of his requests at that time.
    8
    See State v. Adams, 4th Dist. Scioto No. 04CA2959, 05CA2986, 2009-Ohio-6491, ¶¶42-43.
    Scioto App. No. 12CA3508                                                            20
    {¶39} During direct examination, Burns testified she worked
    consistently, but took off at times due to depression. She also testified as to
    her physical and mental health issues. Burns testified Appellee placed her
    on psychiatric medicines and pain medication for multiple surgeries. Burns
    acknowledged that she and Appellant had an inappropriate relationship.
    Burns also testified as to the events which occurred on the night in July 2003
    when her husband was killed. The following are excerpts from the cross-
    examination:
    Q.    Did you file against Marshall University?
    A.    I believe Marshall, and Cabell Huntington, and your client.
    Q.    And did you receive a settlement for that?
    {¶40} At this point, Appellee’s counsel objected. Counsel engaged in
    sidebar discussion. Appellant’s attorney argued that Appellee had talked about her
    mental issues, depression, and had opened the door, yet he was precluded. He
    argued the jury had the right to know how extensive she was suffering. The parties
    further discussed the various issues, with the trial court eventually ruling that
    Appellant could question her as to her funds she had to live on immediately after
    the murder. Counsel did not further argue about cross-examination as to mental
    issues. Cross-examination resumed. Eventually, Appellant inquired:
    Q.    There wasn’t, so you didn’t receive a significant amount of money
    from Marshall University?
    Scioto App. No. 12CA3508                                                          21
    Mr. Bender: Objection.
    The Court: Sustained.
    {¶41} In sidebar conference, Appellant’s counsel argued that the jury was
    going to be sympathetic about her and the incidents she had testified to. His
    objective was to give the jury evidence by which they could consider that she
    contributed to her husband’s death. Appellant’s counsel submitted that if the jury
    knew of her involvement, it might affect her credibility and cause the jury not to
    make such large awards.
    {¶42} When questioning resumed, Appellant then questioned Appellee about
    her treatment for depression, the length of treatment, the fact that the relationship
    became intimate. He also asked her if she was being treated for multiple
    personalities and if she sent Appellant emails using names of the various
    personalities. The trial court allowed this cross-examination.
    {¶43} Appellant declined to present any evidence. Counsel made an
    objection as follows at page 109 of the transcript:
    “I just want to clear that- - my objections for the record that I weren’t
    going to be able to question her about any emails, about her medical
    conditions or treatment from the doctor or put on any evidence to that
    effect. So with that, I have no evidence. So I would rest.”
    {¶44} The Supreme Court of Ohio has stated that the standard of review
    Scioto App. No. 12CA3508                                                        22
    when considering evidentiary rulings, including rulings limiting the scope of cross-
    examination, is whether the trial court abused its discretion. Kleinman v. Chrysler
    Motor Corp. 4th Dist. Scioto No. 94 CA 2234, 
    1995 WL 329578
    , citing Ede v.
    Atrium South OB-GYN, Inc., 
    71 Ohio St. 3d 124
    , 
    642 N.E.2d 365
    (1994). A
    reviewing court should not reverse the trial court’s ruling unless the trial court’s
    attitude is unreasonable, arbitrary or unconscionable. 
    Id. See, also,
    Calderon v.
    Sharkey, 
    70 Ohio St. 2d 218
    , 
    436 N.E.2d 1008
    (1982); O’Brien v. Angley, 63 Ohio
    St.2d 159, 
    407 N.E.2d 490
    (1980).
    {¶45} Appellant now argues the trial court denied him the right to
    effectively cross-examine Appellee at trial in that it could not use her medical
    records and information obtained in the patient/physician relationship. Appellant
    contends the excluded medical records would show she was the person who
    actually killed her husband. We do not see any place in the trial transcript where
    Appellant proffered the medical records. Evid.R. 103(A)(2) provides:
    (A) Effect of erroneous ruling. Error may not be predicated upon a
    ruling which admits or excludes evidence unless a substantial right of
    the party is affected, and
    (2) Offer of proof. In case the ruling is one excluding evidence, the
    substance of the evidence was made known to the court by offer or
    was apparent from the context within which questions were asked. * *
    *
    {¶46} An offer of proof serves the salutary purpose of assisting the appellate
    tribunal in determining whether the lower court’s exclusion of certain evidence
    Scioto App. No. 12CA3508                                                          23
    was prejudicial to a ‘substantial right’ of the complaining party. Berneal
    Properties, Inc. v. Loft Painting Co., Inc., 4th Dist. Scioto No. 96 CA 2432, 
    1997 WL 147533
    , *4, citing State v. Gilmore, 
    28 Ohio St. 3d 190
    , 
    503 N.E.2d 147
    (1986), syllabus. Inasmuch as Appellant did not proffer the medical records at the
    civil trial, we do not find abuse of discretion on the part of the trial court.
    {¶47} Frankly, Appellant’s argument that the trial court did not allow him to
    cross-examine Appellee as to her medical/mental health history is simply not
    completely accurate. The trial transcript reveals that Appellant actually did inquire
    as to whether or not she was diagnosed with multiple personality disorder.
    Appellant also inquired about the sexual relationship between Appellant and
    Appellee. Counsel may not have inquired extensively about her medical health
    history, but the transcript reveals counsel’s questioning was not interrupted by
    objections at this point. We will not second-guess counsel’s strategic choice not to
    question Appellee in a more in-depth manner. Furthermore, the transcript reveals
    cross-examination as to the sexual relationship was vigorous. Appellant was able
    to place Appellee’s credibility at issue. We find no abuse of discretion with regard
    to the trial court’s limitation of the scope of cross-examination of Appellee on
    these topics.
    {¶48} Appellant also argues he was not allowed to cross-examine Appellee
    regarding facts concerning the murder. However, based on our resolution of
    Scioto App. No. 12CA3508                                                         24
    Appellant’s first issue presented for review, above, we do not find abuse of
    discretion on the part of the trial court.
    {¶49} Appellant also argues the trial court’s refusal to permit Appellant to
    question Appellee as to the judgments, settlements, and insurance proceeds she
    received as a result of her husband’s death, to challenge her credibility, was
    prejudicial. It appears, however, that Appellant did elicit responses from her
    regarding lawsuits filed against Marshall University, Cabell, and Appellant, which
    the jury heard. The jury also heard a question about a settlement from Marshall
    University. Despite sustained objections, the defense was able to implant the idea
    of other settlements or proceeds going to Appellee and to place her credibility at
    issue. We do not find the trial court abused its discretion with regard to the
    exclusion of this evidence.
    {¶50} Finally, Appellant references the emails but does not argue at
    trial or in his brief what they would have shown. And again, he never
    proffered certain ones. The trial transcript actually demonstrates he briefly
    questioned Appellee about emails between Appellant and her. We do not
    find an abuse of discretion occurred.
    {¶51} Finally, under the first assignment of error, Appellant contends that
    Appellee’s closing arguments prejudiced him such as to require reversal of the
    judgment against him. Although Appellant lists this as an issue presented for
    Scioto App. No. 12CA3508                                                            25
    review on page three of his brief, he does not separately argue this issue under his
    assignment of error one argument set forth on pages 10-18. Pursuant to App.R.
    12(A)(2), the trial court may disregard an assignment of error presented for review
    if the party raising it fails to argue the assignment separately in the brief, as
    required under App.R. 16(A). As such, we decline to address the issue presented
    at this juncture. However, we will address Appellant’s argument with regard to the
    propriety of closing arguments in assignment of error two below.
    II. THE TRIAL COURT’S RULINGS AT TRIAL DENIED THE
    DEFENDANT A FAIR TRIAL AND DEPRIVED HIM OF DUE
    PROCESS, SUCH TO REQUIRE REVERSAL OF THE
    JUDGMENT AGAINST HIM.
    A. STANDARD OF REVIEW
    {¶52} Under the second assignment of error, Appellant contends the
    trial court erred in its rulings with regard to cross-examination, provision of jury
    instructions, his motion for mistrial, and closing arguments. As set forth fully
    under assignment of error one above, we review a trial court’s rulings on the
    admission or exclusion of evidence under an “abuse of discretion” standard.
    {¶53} With regard to jury instructions, a trial court’s determination as to
    whether the evidence produced at trial warrants a particular instruction is reviewed
    for an abuse of discretion. Freedom 
    Steel, supra
    , at ¶ 10, citing Matheson v.
    Morog, 6th Dist. Erie No. E-00-017, 2001 Ohio App LEXIS 325, *19. “A party
    must demonstrate not merely that the trial court’s omission or inclusion of a jury
    Scioto App. No. 12CA3508                                                        26
    instruction was an error of law or judgment but that the court’s attitude was
    unreasonable, arbitrary or unconscionable.” Freedom 
    Steel, supra
    , ¶10, quoting
    Nails v. Perrin Asphalt, 9th Dist. Medina No. 07CA0010-M, 2007-Ohio-6147, at
    ¶10. “And while an inadequate jury instruction that misleads the jury constitutes
    reversible error, ‘misstatements and ambiguity in a portion of the instructions will
    not constitute reversible error unless the instructions are so misleading that they
    prejudicially affect a substantial right of the complaining party.’” 
    Peffer, supra
    , at
    ¶46, quoting Clements v. Lima Mem. Hosp., 3rd Dist. Allen No. 1-09-24, 2010-
    Ohio-602, ¶73, quoting Haller v. Goodyear Tire & Rubber Co., 9th Dist. Summit
    Nos. 20669 and 20670, 2002-Ohio-3187, ¶19, quoting Wozniak v. Wozniak, 
    90 Ohio App. 3d 400
    , 410, 
    629 N.E.2d 500
    (9th Dist. 1993).
    {¶54} The grant or denial of a motion for mistrial rests within the sound
    discretion of the trial court. State v. Sage, 
    31 Ohio St. 3d 173
    , 182, 
    510 N.E.2d 343
    (1987); Ockenden v. Griggs, 10th Dist. Franklin No. 07-AP-235, 2008-Ohio-2275,
    ¶11. A reviewing court may not substitute its judgment for that of the trial court
    absent an abuse of discretion. 
    Id. A mistrial
    should only be granted where the
    party seeking the same demonstrates that he or she suffered material prejudice so
    that a fair trial is no longer possible. Quellos v. Quellos, 
    96 Ohio App. 3d 31
    , 
    643 N.E.2d 1173
    (8th Dist.1994), citing State v. Franklin, 
    62 Ohio St. 3d 118
    , 
    580 N.E.2d 1
    (1991).
    Scioto App. No. 12CA3508                                                             27
    B. LEGAL ANALYSIS
    {¶55} Under Appellant’s second assignment of error, he presents as his first
    issue for review whether the trial court’s ruling demonstrates bias against the
    defendant. Here, Appellant references his arguments previously set forth under
    assignment of error one, that the trial court’s rulings as to liability and cross-
    examination of Burns substantially prejudiced Appellant and, coupled with the trial
    court’s other rulings, demonstrated bias against the defendant such that he was
    deprived of due process and is entitled to reversal of the judgment against him.
    However, having found the trial court did not abuse its discretion with regard to the
    admission and exclusion of evidence and with its rulings as to the cross-
    examination of Appellee, we reiterate our finding that the trial court did not err and
    abuse its discretion.
    {¶56} Appellant’s second issue presented for review is whether the trial
    court’s instruction that the trial below was on the issue of damages, only, such that
    the defendant could not examine plaintiff as to the facts of the death of her
    husband, demonstrate bias such to require reversal of the judgment against
    defendant Adams. In Appellant’s brief, he allows one sentence on page 20 for his
    argument. Appellant contends the trial court permitted the jury to consider
    punitive damages without evidence to support the same, or, without permitting the
    defendant to effectively cross-examine Burns to negate the malice requirement.
    Scioto App. No. 12CA3508                                                           28
    However, Appellant does not direct us to any portion of the transcript where he
    alleges error occurred with regard to the provision of the jury instructions, as
    required by App. R. 12(A)(2) or 16(A)(3).
    {¶57} We begin our analysis of the jury instructions provided herein by
    noting that jury instructions are required to state the law completely and correctly;
    instructions that are misleading constitute reversible error. Freedom Steel v.
    Rorabaugh, 11th Dist. Lake No. 2007-L-087, 
    2008 WL 754898
    , ¶10; Groob v. Key
    Bank, 108 Ohio St.3d 348,2006-Ohio-1189, 
    843 N.E.2d 1170
    , at ¶32. “A charge to
    the jury should be a plain, distinct and unambiguous statement of the law as
    applicable to the case made before the jury by the proof adduced.” Freedom 
    Steel, supra
    , quoting Marshall v. Gibson, 
    19 Ohio St. 3d 10
    , 12, 
    482 N.E.2d 583
    (1985),
    citing Parmlee v. Adolph, 
    28 Ohio St. 10
    , 
    1875 WL 219
    , paragraph two of the
    syllabus.
    {¶58} Generally, a trial court should give requested instructions “if they are
    correct statements of the law applicable to the facts of the case.” Peffer v.
    Cleveland Clinic Found., 8th Dist. Cuyahoga No. 94356, 2011-Ohio-450, ¶45,
    quoting Murphy v. Carrollton Mfg. Co., 
    61 Ohio St. 3d 585
    , 591, 
    575 N.E.2d 828
    (1991). However, jury instructions must be viewed in their totality. 
    Peffer, supra
    ,
    citing Margroff v. Cornwell Quality Tools, Inc., 
    81 Ohio App. 3d 174
    , 177, 
    610 N.E.2d 1006
    (9th Dist.1991). If the totality of the instructions clearly and fairly
    Scioto App. No. 12CA3508                                                         29
    expresses the law, a reviewing court should not reverse a judgment based upon an
    error in a portion of a charge. 
    Id. “A strong
    presumption exists in favor of the
    propriety of jury instructions.” 
    Peffer, supra
    , quoting Schnipke v. Safe- Turf
    Installation Group, LLC, 
    190 Ohio App. 3d 89
    , 2010-Ohio-4173, 94, N.E.2d 993, ¶
    30, citing Burns v. Prudential Sec., Inc., 
    167 Ohio App. 3d 809
    , 2006-Ohio-3550,
    
    857 N.E.2d 621
    , ¶ 41.
    {¶59} The trial court actually gave these closing instructions before the jury
    retired to deliberate:
    “Plaintiff claims that Defendant wrongfully caused the death of
    Bobby burns, proximately causing compensatory damages to his heirs.
    Additionally, Plaintiff claims that Defendant’s conduct in causing the
    death of Bobby Burns was intentional entitling her to punitive
    damages. Later I will explain compensatory and punitive damages to
    you…If you find by a preponderance of the evidence that the
    Defendant intentionally caused or contributed to cause the death of
    Bobby Burns, you will next consider damage- - the damages to the
    heirs.”
    We observe that Appellant did not lodge any objection to the jury instructions. To
    constitute plain error, the error must be so obvious on the record, palpable, and
    fundamental, so that it should have been apparent to the trial court without
    objection. 
    Peffer, supra
    , at 61. See, State v. Tichon, 
    102 Ohio App. 3d 758
    , 767,
    
    658 N.E.2d 16
    (9th Dist.1995). Moreover, plain error does not exist unless the
    appellant establishes that the outcome of the trial clearly would have been different
    but for the allegedly improper actions. 
    Peffer, supra
    , at 61. State v. Waddell, 75
    Scioto App. No. 12CA3508                                                           
    30 Ohio St. 3d 163
    , 166, 1996-Ohio-100, 
    661 N.E.2d 1043
    . Notice of plain error is to
    be taken with utmost caution, under exceptional circumstances, and only to prevent
    a manifest miscarriage of justice. 
    Peffer, supra
    , at 61. State v. Phillips, 74 Ohio
    St.3d 72, 83, 1995-Ohio-171, 
    656 N.E.2d 643
    . We review the jury instructions,
    herein, under a “plain error” standard.
    {¶60} We have previously determined that the trial court did not err with
    regard to its evidentiary rulings. The record shows the trial court actually gave an
    instruction that stated: “If you find by a preponderance of the evidence that the
    Defendant intentionally caused or contributed to the death of Bobby Burns, you
    will next consider damages….” Although the trial court indicated in chambers at
    the beginning of the trial that “we are not retrying the [criminal] case,” the jury
    instructions provided, nevertheless, an option for the jury not to find that the
    defendant intentionally caused or contributed to the death of the Bobby Burns.
    Based on the above, we do not find plain error. We find no merit to Appellant’s
    argument regarding the provision of the jury instructions.
    {¶61} Appellant’s next issue presented for review is whether the trial
    court’s rulings as to cross-examination of Plaintiff constitute abuse of discretion
    and demonstrate bias against Defendant. However, again, having considered
    Appellant’s arguments above, and further, having found no error occurred, we
    decline to address the subject again.
    Scioto App. No. 12CA3508                                                          31
    {¶62} Appellant’s final issue presented under the second assignment of
    error is whether the trial court’s rulings as to closing arguments, coupled with the
    trial court’s other rulings in the case result in reversible error. Appellant first
    contends at the start of trial, the trial court permitted Appellee’s counsel to tell the
    jury that Dr. Adams was a “prisoner dressed in a suit” and denied Adams’ motion
    for a mistrial. During voir dire, Appellee’s counsel introduced himself and co-
    counsel. He then stated:
    “Seating with us- - or sitting with us today is Michelle Burns. And
    Michelle is the widow of her husband, Bob burns. And seated over
    here is Jack Adams. Jack- - Mr. Adams is- - or perhaps was a doctor.
    He was a psychiatrist. And he’s seated today in a suite, [sic] but he is
    here from prison, and will go back later on. So- -.”
    {¶63} Appellant immediately objected to counsel’s making reference to
    Appellant being in prison or anything related to such, and asked for a mistrial.
    The trial court then gave a cautionary instruction that opening arguments are not
    the law. Appellant argues that in permitting counsel to inform the jury that Dr.
    Adams was a “prisoner dressed in a suit” and in denying the motion for mistrial, a
    tone of prejudice was established against the defendant and permeated throughout
    the trial.
    {¶64} We have set forth above that the grant or denial of a motion for
    mistrial is reviewed for an abuse of discretion. Mistrial itself appears to apply
    almost exclusively to criminal cases. Settles v. Overpeck Trucking Co., 12th Dist.
    Scioto App. No. 12CA3508                                                                                      32
    Butler No. CA90-05-094, 
    1991 WL 164580
    , *1. The Ohio Civil Rules fails to
    offer any authority which empowers a court to grant a mistrial in a civil case. 
    Id. The standard
    of review is based upon the fact that the trial court is in the best
    position to determine whether the circumstances of the case necessitate the
    declaration of a mistrial or whether other corrective actions are sufficient. 
    Griggs, supra
    , ¶ at 11, citing 
    Quellos, supra
    .
    {¶65} Furthermore, opening and closing statements are not evidence. 
    Peffer, supra
    , citing State v. Spaqi, 8th Dist. Cuyahoga No. 69851, 
    1997 WL 83120
    , *7.
    We fail to see how counsel’s comment and the denial of the mistrial established a
    tone of prejudice or caused material prejudice to Appellant. The fact of
    Appellant’s conviction for the murder of Bobby Burns was later entered into
    evidence. The jurors would presume from that information that Appellant received
    a prison sentence. The trial court issued a cautionary instruction immediately after
    Appellant’s objection.9 We find no material prejudice occurred because of
    counsel’s remarks concerning Appellant’s attire. As such, the trial court did not
    abuse its discretion by denying the motion for mistrial.
    {¶66} Appellant next contends the trial court permitted Appellee’s counsel
    9
    Indeed, we note the court instructed the jury that the statements of counsel are not evidence at pages 15, 42, 46,
    and 126 of the trial transcript.
    Scioto App. No. 12CA3508                                                            33
    to misrepresent facts in closing, including but not limited to stating that Appellee
    was mentally ill and that Dr. Adams gave her narcotics and antidepressants and
    took advantage of her. During rebuttal, counsel for Appellee argued:
    “My friends here in this town, and this county, who are doctors have
    made me full aware of the Hippocratic oath, which among other
    things, and all doctors take this, among other things it says, first do the
    patient no harm. Now this man had a woman who was mentally ill
    come to him, not in full control of her faculties, gave her a wide
    variety, of what I can tell from the evidence, narcotic and - -.”
    {¶67} At this point, counsel objected on the basis that Appellee’s counsel
    was not allowed to give a new closing and that he was “talking about everything
    all over again.” The trial court disagreed, but nevertheless gave a cautionary
    instruction that the statements made by counsel are not evidence. Burns’ counsel
    began again:
    “Here is a man, who is a professional person, who has someone come
    to him crying out for help. And she is depressed, he’s got her on - - it
    sounds like narcotics and antidepressants. He takes advantage of her.
    She’s trusting him. There is a fiduciary relationship. It’s like
    somebody coming to me saying, you no, I want to go bankrupt, and I
    say leave me your house, I’ll take care of you. It’s a horrible thing.
    It’s a horrible thing.”
    {¶68} Appellant’s counsel objected again and argued counsel implied
    Appellant prescribed medications illegally. Appellee responded that he did not use
    the word “illegal,” but that he said Appellant “took advantage” of Burns.
    Ultimately, the trial court cautioned counsel not to use words like “illegal.”
    {¶69} Counsel generally has wide latitude in closing arguments. West v.
    Scioto App. No. 12CA3508                                                      34
    Curtis, 7th Dist. Belmont No. 08 BE 28, 2009-Ohio-3050, ¶89; Pang v. Minch, 
    53 Ohio St. 3d 186
    , 194, 
    559 N.E.2d 1313
    (1990). Moreover, counsel’s closing
    argument must be read in its entirety, and the contested statement must be read in
    context. 
    Curtis, supra
    ; see, e.g., State v. Hill, 
    75 Ohio St. 3d 195
    , 204, 
    661 N.E.2d 1068
    (1996).
    {¶70} A party may freely comment in closing argument on what the
    evidence has shown and what reasonable inferences the party believes may be
    drawn therefrom. Peffer v. Cleveland Clinic 
    Found., supra
    at ¶27, quoting State v.
    Clay, 
    181 Ohio App. 3d 563
    , 2009-Ohio-1235, 
    910 N.E.2d 14
    , ¶47. But counsel
    must refrain from making arguments not supported by the evidence and must avoid
    inappropriate and offensive remarks concerning opposing counsel and witnesses.
    Werden v. Children’s Hospital Medical Center, 1st Dist. Hamilton No. C-040889,
    2006-Ohio-4600, ¶57. “When argument spills into disparagement not based on
    any evidence, it is improper.” 
    Id., citing Clark
    v. Doe, 
    119 Ohio App. 3d 296
    , 307,
    
    695 N.E.2d 276
    (1st Dist.1997), citing Cusumano v. Pesi-Cola Bottling Co., 
    9 Ohio App. 2d 105
    , 
    223 N.E.2d 477
    (8th Dist.1967).
    {¶71} Appellee testified at trial she had multiple serious physical conditions
    which included a deformed kidney, a blood clot in the lungs, breast cancer, and
    vaginal cancer. She had mental health issues when she was approximately 32-33
    years old. She saw Dr. Adams, a psychiatrist, for professional help. She continued
    Scioto App. No. 12CA3508                                                       35
    to see him for follow-up and antidepressants. She was later diagnosed with breast
    cancer in 2001-2002. She had to have a double mastectomy and the surgeries were
    “screwed up.” She later had to have half of her vagina removed. Appellee
    testified any woman going through all that was going to have “issues” so she again
    sought professional help. Appellee testified Dr. Adams placed her on psychiatric
    meds and multiple narcotic pain medications. At one time, she was taking 21
    medications and 7 were strong narcotics. At some point in time, Dr. Adams and
    Burns engaged in an inappropriate relationship. We believe counsel’s remarks
    characterizing Appellant’s prescription of narcotic pain medication and
    antidepressants for Appellee, and that he “took advantage of her” were fair
    comments on the evidence. The trial court also gave another cautionary instruction
    regarding the comments of counsel. As such, we do not think the statements of
    counsel caused material prejudice to Appellant.
    {¶72} Finally, Appellant contends the trial court permitted Appellee’s
    counsel to state that Dr. Adams could have testified and denied Appellee’s
    testimony if it was not true and that it was “bologna” that defense counsel
    suggested the incident was “partly her fault.” The transcript reflects these
    comments in closing argument:
    “So he takes advantage of her for his own vile sexual purposes. And
    then when she threatens to say something - - and you know, he had a
    right to get up here and testify if he wanted. And his attorney had a
    Scioto App. No. 12CA3508                                                         36
    right to bring in witnesses to say this is not true if they wanted. Then
    he would tell her - -.”
    {¶73} At this point, Appellant’s counsel again objected and the parties
    argued about whether you could make statements about a person not testifying in a
    civil case. The failure of a defendant in a civil action to testify may properly be
    commented upon to the jury. Whitlatch v. Stern, 9th Dist. Summit No. 15345,
    
    1992 WL 205071
    , *8; Smith v. Lautensleger, 
    15 Ohio App. 2d 212
    , 
    240 N.E.2d 109
    , (1st Dist.1968); see, also, Reichle v. Murphy, 6th Dist. Lucas No. L-96-067,
    
    1998 WL 472369
    , *8. While counsel’s comment here would have obviously been
    unfair and inappropriate in the context of a criminal trial, we agree the defendant’s
    failure to testify in a civil action may be the subject of fair comment.
    {¶74} Appellee’s counsel continued as follows:
    “On the issue of punitive damages, and that’s what I’m talking about.
    When somebody who has that education and that superior status, and
    professional relationship with a poor woman like this, takes advantage
    of her in the horrible way that he has done, and then comes to Court,
    and then has an attorney who has the temerity to say, ‘Well, it’s partly
    her fault to.[ sic]’ Bologna. That is defamatory to all the other good
    doctors out there, and all the other professional people who would
    never do anything like this (inaudible).”
    {¶75} Appellant did not object to counsel’s interjection “Bologna.” Because
    no objection was raised, we review for plain error. Given this standard, and the
    evidence the jury had to consider, we cannot say the outcome of the trial would
    Scioto App. No. 12CA3508                                                             37
    have been different had counsel refrained from saying “Bologna” in his rebuttal
    argument. As such, we decline to find plain error occurred.
    {¶76} For the foregoing reasons, we find the trial court did not err and abuse
    its discretion. We overrule Appellant’s second assigned error and affirm the
    judgment of the trial court.
    III.THE PUNITIVE DAMAGE AWARD WAS EXCESSIVE AND
    CONTRARY TO LAW.
    A. STANDARD OF REVIEW
    {¶77} “[T]he assessment of damages lies ‘so thoroughly within the province
    of the [trier of fact] that a reviewing court is not at liberty to disturb the [trier of
    fact’s] assessment,’ absent an affirmative finding of passion and prejudice, or a
    finding that the award is manifestly excessive or inadequate.” Lewis v. Nease, 4th
    Dist. Scioto No. 05CA3025, 
    2006 WL 2439754
    , ¶53, quoting Musokovitz v. Mt.
    Sinai Med.Ctr., 
    69 Ohio St. 3d 638
    , 655, 
    635 N.E.2d 331
    , 1994-Ohio-324.
    {¶78} In State Farm Mut. Auto. Ins. Co. v. Campbell, 
    538 U.S. 408
    , 123 S.
    Ct. 1513 (2003), the United States Supreme Court stated a punitive damage award
    must comport with the principles set forth in BMW v. Gore, 
    517 U.S. 559
    , 116 S.
    Ct. 1589 (1996). The Supreme Court of Ohio ordered lower courts reviewing a
    punitive damage award for excessiveness to use the Gore guidelines in Barnes v.
    University Hospitals of Cleveland, 
    119 Ohio St. 3d 173
    , 2008-Ohio-3344, 
    893 N.E.2d 142
    , ¶40.
    Scioto App. No. 12CA3508                                                             38
    {¶80} “‘Low compensatory damages and high punitive damages assessed by
    a jury are not in and of themselves cause to reverse the judgment or to grant a
    remittitur, since it is the function of the jury to assess the damages and, generally,
    it is not for the trial or appellate court to substitute its judgment for that of the trier
    of fact. A large disparity, standing alone, is insufficient to justify a court’s
    interference with the province of the jury.’” T.P. v. Weiss, 
    990 N.E.2d 1098
    , 2013-
    Ohio-1402, at ¶ 46 quoting Wightman v. Consol. Rail Corp., 
    86 Ohio St. 3d 431
    ,
    438, 
    715 N.E.2d 546
    (1999), quoting Vilella v. Waikem Motors, Inc., 
    45 Ohio St. 3d 36
    , 40, 
    543 N.E.2d 464
    (1989).
    B. LEGAL ANALYSIS
    {¶81} The purpose of punitive damages is not to compensate the plaintiff,
    but to punish and deter the defendant’s conduct. 
    Weiss, supra
    , at ¶42, citing Dick
    v. Tab Tool & Die Co., Inc., 5th Dist. Licking No. 2008-CA-0013, 2008-Ohio-
    5145, ¶33, citing Dardinger v. Anthem Blue Cross & Blue Shield, 
    98 Ohio St. 3d 77
    , 2002-Ohio-7113, 
    781 N.E.2d 121
    .
    {¶82} Under Appellant’s third assignment of error, he raises this issue:
    whether punitive damages were properly awarded, and if so, whether the award
    was excessive. Appellant argues insufficient evidence was presented to justify an
    award of punitive damages. Appellant contends the fact that Appellant was
    Scioto App. No. 12CA3508                                                         39
    convicted of murder does not necessarily establish the elements required by R.C.
    2315.21, for an award of punitive damages.
    {¶83} R.C. 2315.21 provides:
    “Subject to division (E) of this section, punitive or exemplary
    damages are not recoverable from a defendant in question in a tort
    action unless both of the following apply:
    (1) the actions or omissions of that defendant demonstrate malice or
    aggravated or egregious fraud, or that the defendant as principal or
    master knowingly authorized, participated in, or ratified actions or
    omissions of an agent or servant that so demonstrate.
    (2) The trier of fact has returned a verdict or has made a determination
    pursuant to division (B)(2) or (3) of this section of the total
    compensatory damages recoverable by the plaintiff from that
    defendant.”
    {¶84} We first observe that Appellant made no objection to the submission
    of jury instructions on punitive damages. When the verdict was returned, Appellant
    made no objection at that point. Appellee points out Appellant made no post-
    verdict motion to have the punitive damage verdict reduced.
    Generally, arguments raised for the first time on appeal are waived or may be
    reviewed only for plain error. 
    Weiss, supra
    , at 28.
    {¶85} Appellee responds that R.C. 2315.21(D)(2)(a) does not apply to this
    case. Appellee points out Appellant was convicted of murder, R.C. 2903.02(A),
    which requires one to purposely cause the death of another. R.C. 2315.21(D)(6)
    provides:
    Scioto App. No. 12CA3508                                                         40
    “Division (D)(2) of this section does not apply to a tort action where
    the alleged injury, death, or loss to person or property resulted from
    the defendant acting with one or more culpable mental states of
    purposely or knowingly as described in Section 2901.22 of the
    Revised Code and when the defendant has been convicted of or
    pleaded guilty to a criminal offense that is a felony, that had as an
    element, of the offense one or more of the culpable mental states of
    purposely or knowingly as described in that section, and that is the
    basis of the tort action.”
    {¶86} Appellee argues, R.C. 2315.21(D)(6) operates so as to exempt the
    instant case from the punitive damage cap. A similar argument was recently
    addressed in T.P. v. Weiss, 
    990 N.E.2d 1098
    , 2013-Ohio-1402. In Weiss, the
    plaintiff sued the defendant for assault and battery, arising out of sexual assault, for
    which the defendant was subsequently convicted and which he committed while
    plaintiff was substantially impaired. Plaintiff and defendant had a business
    relationship and had decided to attend a concert together. At some point in the
    evening of their concert date, the defendant placed a chemical in her drink. The
    defendant eventually entered an Alford plea to a charge of sexual battery, a felony
    of the third degree. He was sentenced to six months in jail and fined $7,500.00. In
    the civil case, the trial court ordered punitive damages in the amount of
    $340,000.00. On appeal, the defendant raised the issue of the necessary mens rea.
    Citing an earlier tenth district case, the appellate court noted:
    “[S]exual battery under R.C. 2907.03(A)(2) does not require that the
    offender act with “actual knowledge.” Rather, the statute merely
    requires that the offender act “knowingly.” R.C. 2901.22(B) defines
    “knowingly” as follows:” A person acts knowingly, regardless of
    Scioto App. No. 12CA3508                                                         41
    purpose, when he is aware that his conduct will probably cause a
    certain result or will probably be of a certain nature. A person has
    knowledge of circumstances when he is aware that such
    circumstances probably exist.”
    {¶87} The Weiss court implicitly found that there was sufficient
    evidence to support a punitive damages award. The court pointed out that T.P.’s
    complaint stated a claim pursuant to R.C. 2307.60. The Weiss court held, based on
    the exception found in R.C. 2315.21(D)(6) and the basis of T.P.’s claim, the
    statutory cap to a punitive damages award did not apply. As such, the trial court
    did not err with regard to its entry of punitive damages.
    {¶88} We have found the trial court did not abuse its discretion with regard
    to its ruling that Appellant could not present evidence of liability. Appellee
    testified at trial that she found her husband lying on the floor with four bullet holes
    in him. Appellant pointed a gun at her and struck her with it and a struggle ensued.
    She testified she thinks about finding her husband and having a gun pointed at her
    every day. We find there was sufficient evidence to support a punitive damages
    award.
    {¶89} Appellant also argues the award of punitive damages herein was
    excessive. Appellant contends the compensatory damage award here is
    $1,200,000.00 and the punitive damage award is $8,100,000.00- 6.75 times the
    compensatory award. In support of his argument, Appellant asserts: (1) the trial
    court’s rulings precluded Appellant from demonstrating the lack of reprehensibility
    Scioto App. No. 12CA3508                                                           42
    of his conduct; and (2) an excessive verdict having been rendered, the trial court
    did not offer Appellant a choice between remittitur and a new trial.
    {¶90} Courts must examine whether a punitive damage award comports with
    constitutional requirements, i.e., whether the punitive damage award is not
    excessive under the Due Process Clause of the United States Constitution. 
    Weiss, supra
    , at ¶ 39. Since at least 1991, the United States Supreme Court has
    recognized that the Due Process Clause of the Fourteenth Amendment imposes a
    limit on the size of punitive damage awards. 
    Weiss, supra
    ,citing Pacific Mut. Life
    Ins. Co. v. Haslip, 
    499 U.S. 1
    , 
    111 S. Ct. 1032
    (1991). (Internal citations omitted.).
    An award of punitive damages violates due process when it can be categorized as
    “grossly excessive” in relation to the state’s legitimate interests in punishing
    unlawful conduct and deterring its repetition. 
    Weiss, supra
    , citing BMW. v. Gore,
    
    517 U.S. 559
    , 568, 
    116 S. Ct. 1589
    (1996); Barnes v. University Hospitals of
    Cleveland, 
    119 Ohio St. 3d 173
    , 2008-Ohio-3344, 
    893 N.E.2d 142
    , ¶31.
    {¶91} In BMW v. Gore, the United States Supreme Court “instructed that
    elementary notions of fairness ‘dictate that a person receive fair notice not only of
    the conduct that will subject him to punishment, but also of the severity of the
    penalty that a State may impose.” Barnes, at ¶32, citing 
    Gore, 517 U.S. at 574
    ,
    
    116 S. Ct. 1589
    . The Court established three factors to use in “evaluating whether
    a lack of notice renders a punitive damage award grossly excessive and therefore
    Scioto App. No. 12CA3508                                                           43
    unconstitutional: (1) the degree of reprehensibility of the defendant’s misconduct,
    (2) the disparity between the harm or potential harm suffered by the plaintiff and
    the punitive damages award, and (3) the difference between the award and the civil
    penalties authorized or imposed in comparable case. 
    Id. at 575,
    116 S. Ct. 1589
    .”
    Barnes, at ¶32.
    {¶92} Of the Gore “guideposts,” the first is the degree of reprehensibility of
    the defendant’s conduct. It is “the most important indicium of the reasonableness
    of a punitive damage award.” 
    Weiss, supra
    at 43 quoting Barnes, at ¶33, citing
    Gore, at 575, 
    116 S. Ct. 1589
    .
    “A review of reprehensibility includes consideration of whether (1)
    ‘the harm caused was physical as opposed to economic,’ (2) ‘the
    tortious conduct evidence an indifference to or a reckless disregard
    for the health or safety of others,’ or (3) ‘the target of the conduct had
    financial vulnerability,’ (4) ‘the conduct involved repeated actions or
    was an isolated incident,’ and (5) ‘the harm was the result of
    intentional malice, trickery, or deceit, or mere accident.’” 
    Weiss, supra
    , at ¶ 43, quoting Barnes, at ¶ 33 citing State 
    Farm, 538 U.S. at 419
    , 
    123 S. Ct. 1513
    .
    {¶93} The second guidepost and the “‘most commonly cited indicium of an
    unreasonable or excessive punitive damages award is its ration to the actual harm
    inflicted on the plaintiff.’” 
    Weiss, supra
    , at 44, quoting Barnes at ¶34, citing 
    Gore, 517 U.S. at 580
    , 
    116 S. Ct. 1589
    . The United States Supreme Court rejected a
    mathematical formula to assess the reasonableness of punitive damage awards. 
    Id. It recognized
    that “‘low awards of compensatory damages may properly support a
    Scioto App. No. 12CA3508                                                       44
    higher ration than high compensatory awards, if, for example, a particularly
    egregious act has resulted in only a small amount of economic damages. ‘”
    Barnes, at ¶34 citing 
    Gore, 517 U.S. at 582
    , 
    116 S. Ct. 1589
    .
    {¶94} The Weiss court noted the final guidepost involves “‘comparing the
    punitive damages award and the civil or criminal penalties that could be imposed
    for comparable misconduct. 
    Id. at ¶45;
    Barnes at ¶36 citing 
    Gore, 517 U.S. at 583
    ,
    
    116 S. Ct. 1589
    .
    {¶95} We begin by reviewing the degree of reprehensibility of Appellant’s
    conduct. In doing so, and using the five factors set forth in Barnes when
    evaluating reprehensibility, we note the harm in this case was physical and
    emotional. The testimony revealed Bobby Burns died and Appellee found her
    husband lying on the floor. Appellant was pointing a gun at him and then pointed
    it at Appellee. She ran from him and he struck her with the gun and pointed it at
    her forehead. They struggled. Appellee testified she had bruises all over her.
    Appellee testified every day she thinks about seeing her husband lying with four
    bullet holes in him, Appellant pointing a pistol at her forehead.
    {¶96} Appellee also testified she had serious health problems and multiple
    surgeries in the years leading up to her husband’s murder. She had worked
    intermittently. Bobby Burns had worked steadily since graduating from high
    school. It can also be said that Appellee was financially vulnerable. Although the
    Scioto App. No. 12CA3508                                                         45
    murder of Burns was a single incident, it can be said that Appellant’s conduct
    involved repeated actions in that Appellee testified he was making calls to her
    home, showing up at Appellee’s workplace and lurking around after Appellee
    terminated her relationship with him.
    {¶97} Finally, Appellant was convicted of R.C. 2903.02 murder, which
    states: “No person shall purposely cause the death of another….” R.C. 2901.22
    defines “purposely” as “A person acts purposefully when it is his specific intention
    to cause a certain result, or, when the gist of the offense is a prohibition against
    conduct of a certain nature, regardless of what the offender intends to accomplish
    thereby, it is his specific intention to engage in conduct of that nature.” “Actual
    malice” is defined as “(1) that state of mind under which a person’s conduct is
    characterized by hatred, ill will or a spirit of revenge, or (2) a conscious disregard
    for the rights and safety of other persons that has a great probability of causing
    substantial harm.” Smith v. Redecker, 4th Dist. Athens No. 08CA33, 
    2010 WL 541355
    ,¶62, citing Muskovitz, 6
    69 Ohio St. 3d 638
    , 652, 
    635 N.E.2d 331
    (1994),
    quoting Preston v. Murty, 
    32 Ohio St. 3d 334
    , 
    512 N.E.2d 1174
    (1987), syllabus.
    Here, the act of sneaking into the Burns’ home with a loaded firearm, shooting Mr.
    Burns, and pointing the gun at Appellee demonstrates a conscious disregard for the
    rights and safety of other persons that has a great probability of causing substantial
    Scioto App. No. 12CA3508                                                          46
    harm. We think Appellant’s actions demonstrated a high degree of
    reprehensibility.
    {¶98} The second guidepost indicating an excessive punitive damages award
    is its “ratio to the actual harm inflicted on the plaintiff.’” 
    Weiss, supra
    , at 44,
    quoting Barnes, at 34, citing 
    Gore, 517 U.S. at 582
    , 
    116 S. Ct. 1589
    . In Weiss, the
    compensatory damages award was $17,313.34 and the punitive damages award
    was $340,000.00, a ratio of 20-to-one. The United States Supreme Court rejected a
    mathematical formula to assess the reasonableness of punitive damage awards. It
    recognized that “‘[L]ow awards of compensatory damages may properly support a
    higher ratio than high compensatory awards, if, for example, a particularly
    egregious act has resulted in only a small amount of economic damages.’” Barnes,
    at 34 citing 
    Gore, 517 U.S. at 582
    , 
    116 S. Ct. 1589
    . The Weiss court noted “the
    Ohio Supreme Court has allowed a punitive damage award with a ratio of 6,250-
    to-one damages ratio to stand, but the Court has invalidated a 20-to-one ratio.
    
    Weiss, supra
    ; Barnes, at 34 quoting Wightman v. Consol. Rail Corp., 86 Ohio
    St.3d 431, 1999-Ohio-119, 
    715 N.E.2d 546
    ; Dardinger v. Anthem Blue Cross &
    Blue Shield, 
    98 Ohio St. 3d 77
    , 2002-Ohio-7113, 
    781 N.E.2d 121
    . Here, the
    compensatory damages award is $1,200,000.00, and the punitive damages award is
    $8,100,000.00. The ratio is 6.75-to-one.
    Scioto App. No. 12CA3508                                                                                  47
    {¶99} The third and final guidepost involves comparing the punitive
    damages award and the civil or criminal penalties that could be imposed for
    comparable misconduct. 
    Weiss, supra
    , at 45. In the case at bar, Appellant was
    sentenced to a prison term of fifteen (15) years to life.10 He was also subject to a
    $15,000.00 fine.
    {¶100} We note the following:
    “There is no magic formula for determining the proper amount of
    punitive damages. Rather, the amount that should be awarded is the
    amount that best accomplishes the twin aims of punishment and
    deterrence as to that defendant. “We do not require, or invite, financial
    ruination of a defendant that is liable for punitive damages. While
    certainly a higher award will always yield a greater punishment and
    greater deterrent, the punitive damages award should not go beyond
    what is necessary to achieve its goals. The law requires an effective
    punishment, not a draconian one.’ Dardinger, 2002-Ohio-7113, 
    98 Ohio St. 3d 77
    , 
    781 N.E.2d 121
    at 178.” Winner Trucking, Inc. v.
    Victor L. Dowers & Assoc. 2nd Dist.Darke No. 1695, 2007 Ohio-
    3447,¶ 39. See, also, Innovative Tech. Corp., v. Advanced
    Management Tech. Inc., 2nd Dist. Montgomery No. 23819, 2011-
    Ohio-5544, ¶ 118.
    {¶101} Based on the above, we find the punitive damages in this case to be
    reasonable and proportionate.
    {¶102} Appellant urges the trial court should have offered remittitur or in
    the alternative, a new trial. We find nothing in the record to indicate Appellant
    requested a remittitur or new trial. It may not be said that failure to do so
    10
    Appellant was sentenced to an additional term of three (3) years as a mandatory and consecutive term pursuant to
    R.C. 2923.13(F)(8) and 2929.14(D0(1) to be served before any other time is served.
    Scioto App. No. 12CA3508                                                   48
    constituted an abuse of discretion. Burchfield v. Omar, 
    135 N.E.2d 703
    , 72 Ohio
    Law Abs. 467 (2nd Dist. 1954). As such, we affirm the judgment of the trial court
    and overrule the third assignment of error.
    JUDGMENT AFFIRMED.
    Scioto App. No. 12CA3508                                                       49
    JUDGMENT ENTRY
    It is ordered that the JUDGMENT BE AFFIRMED and that the Appellee
    recover of Appellant 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
    Scioto County Common Pleas Court to carry this judgment into execution.
    Any stay previously granted by this Court is hereby terminated as of the date
    of this entry.
    A certified copy of this entry shall constitute the mandate pursuant to Rule
    27 of the Rules of Appellate Procedure.
    Abele, P.J. & *Ringland, J.: Concur in Judgment and Opinion.
    For the Court,
    BY: _____________________________
    Matthew W. McFarland, 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.
    *Judge Robert P. Ringland, from the Twelfth Appellate District, sitting by
    assignment of The Supreme Court of Ohio in the Fourth Appellate District.