State v. Troisi , 2021 Ohio 2678 ( 2021 )


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  • [Cite as State v. Troisi, 
    2021-Ohio-2678
    .]
    COURT OF APPEALS OF OHIO
    EIGHTH APPELLATE DISTRICT
    COUNTY OF CUYAHOGA
    STATE OF OHIO,                                     :
    Plaintiff-Appellant,              :
    Nos. 109871, 109874,
    109875, and 109876
    v.                                :
    JON TROISI, ET AL.,                                :
    Defendants-Appellees.             :
    JOURNAL ENTRY AND OPINION
    JUDGMENT: VACATED AND REMANDED
    RELEASED AND JOURNALIZED: August 5, 2021
    Criminal Appeal from the Cuyahoga County Court of Common Pleas
    Case Nos. CR-19-643493-B, CR-19-643493-C, CR-19-643493-A, CR-19-643493-D
    Appearances:
    Michael C. O’Malley, Cuyahoga County Prosecuting
    Attorney, Katherine E. Mullin, and Daniel T. Van,
    Assistant Prosecuting Attorneys, for appellant.
    Thompson Hine, L.L.P., John R. Mitchell, and Jada M.
    Colon, for appellee Jon Troisi.
    Synenberg & Associates, L.L.C., Roger M. Synenberg, and
    Matthew A. Kurz, for appellee Nicholas Troisi.
    Taft, Stettinius & Hollister, L.L.P., Charles A. Bowers,
    Kathryn S. Wallrabenstein, and David H. Thomas, for
    appellees Andrew Steck and Martek Pharmacal Company.
    SEAN C. GALLAGHER, P.J.:
    The state, under R.C. 2945.67(A), appeals as a matter of right the
    dismissal of the drug-trafficking charges against Jon Troisi, Nicholas Troisi, Andrew
    Steck, and Martek Pharmacal Company (collectively “defendants”).             For the
    following reasons, we reverse the decision of the trial court and remand for further
    proceedings.
    The defendants were indicted on seven counts of drug trafficking
    based on aggregating bulk amounts of varying concentrations per dosage of Adipex
    Phentermine, Phendimetrazine, and Diethylpropion (collectively “drugs”) under
    R.C. 2925.03(A)(1) and (2). Under those statutory provisions, no person shall
    knowingly sell or offer to sell; or prepare for shipment, ship, transport, deliver,
    prepare for distribution, or distribute a controlled substance despite knowing (or
    having cause to believe) that the controlled substance is intended for sale or resale.
    
    Id.
     The drugs are a controlled substance. The concentration level determines the
    drugs’ classification as a schedule III, IV, or V drug. Although R.C. 2925.03 applies
    to all persons in Ohio, R.C. 2925.03(B)(1) expressly exempts, in pertinent part, any
    manufacturer, licensed health professionals authorized to prescribe drugs,
    pharmacists, owners of pharmacies and any “other persons whose conduct is in
    accordance with” R.C. Chapter 4729 from prosecution under R.C. 2925.03.
    According to the indictment, the defendants violated R.C. 2925.03 by selling bulk
    amounts of the drugs “not in accordance with Chapter 4729 of the Ohio Revised
    Code.” Thus, if a defendant is acting in accordance with R.C. Chapter 4729, the state
    must disprove that as a predicate to demonstrating a violation of R.C. 2925.03(A).
    The drugs, primarily used for weight loss, can be prescribed or
    furnished only by authorized licensed health professionals.         “Licensed health
    professional authorized to prescribe drugs” or “prescriber” is defined as “an
    individual who is authorized by law to prescribe drugs or dangerous drugs or drug
    therapy related devices in the course of the individual’s professional practice.” R.C.
    4729.01(I). The exhaustive list of “prescribers” is limited to dentists, clinical nurse
    specialists, certified nurse-midwives, and certified nurse practitioners with valid
    licenses to practice nursing as an advanced practice registered nurse, licensed
    certified registered nurse anesthetists with exceptions, optometrists, physicians,
    physician assistants with a valid prescriber number and who have been granted
    physician-delegated prescriptive authority, or veterinarians.       
    Id.
       Under R.C.
    4729.291(C)(1)(a), an authorized prescriber is limited to furnishing 2,500 dosage
    units of any controlled substance in any 30-day period.
    Martek is alleged to be a pharmaceutical wholesaler with a focus on
    obesity treatments. Steck owns Martek, and the Troisis are employees of the
    corporate entity. It is undisputed that the defendants are not “licensed health
    professionals authorized to prescribe drugs” or “prescribers,” but are wholesalers,
    meaning the defendants sell controlled substances to purchasers “in which the
    purpose of the purchaser is to resell the article purchased or received by the
    purchaser.” R.C. 4729.01(K). Martek conducts business nationwide and claims to
    be a properly licensed distributor of drugs in Ohio.
    The state theorizes that defendants violated R.C. 2925.03 by
    “abdicating their affirmative duties outlined in Chapter 4729 and the Ohio
    Administrative Code” through the act of selling thousands of dosages monthly to
    each of five local medical doctors who were lawfully allowed to furnish only 2,500
    dosages per any 30-day period. According to the state, the defendants failed to
    report the purchasers’ activity and instead sold dosages in excess of what the
    purchasers could lawfully furnish to patients, thereby relinquishing the protection
    from prosecution under R.C. 2925.03(B).
    Upon the defendants’ motion, the trial court dismissed each count of
    the indictment with prejudice, concluding that the state failed to specifically identify
    the particular statutory section that the defendants violated by furnishing the large
    quantity of drugs to an individual prescriber, a quantity well beyond what they could
    lawfully furnish under R.C. Chapter 4729. According to the trial court, the state is
    required to include the specific provisions of R.C. Chapter 4729, which serve as the
    predicate element of the R.C. 2925.03(A) offense, in the indictment or the bill of
    particulars in order to satisfy constitutional due process protections.
    Despite this assertion, Ohio courts have held otherwise. “The state is
    entitled to state a count in the indictment in bare statutory language.” State v.
    Armengau, 
    2017-Ohio-4452
    , 
    93 N.E.3d 284
    , ¶ 55 (10th Dist.), citing Crim.R. 7(B).
    If clarity is sought, the defendant may seek a bill of particulars “‘setting up
    specifically the nature of the offense charge and of the conduct of the defendant
    alleged to constitute the offense[,]’” the purpose of which is to “elucidate or
    particularize the conduct of the accused alleged to constitute the charged offense.”
    
    Id.,
     quoting State v. Sellards, 
    17 Ohio St.3d 169
    , 171, 
    478 N.E.2d 781
     (1985). The
    state is not required to provide the specific statutory sections in the bill of
    particulars, but instead is required to provide the specific conduct alleged to have
    constituted the offense from which the charges stem.
    In this case, the state provided each defendant with full access to
    discovery materials and provided specific dates and conduct alleged to have violated
    R.C. 2925.03(A)(1) and (2), including the conduct that satisfied the predicate
    element of the offense under R.C. 2925.03(B). Thus, the defendants’ sole complaint
    is that the state failed to provide a detailed dissection of their noncompliance with
    R.C. Chapter 4729, the predicate element of the drug-trafficking offense, either in
    advance of trial or in the complaint. Upon that argument, the trial court granted
    their motion to dismiss, dismissing the action with prejudice.1
    1 In light of our conclusion as to the error in dismissing the action, we need not
    consider the state’s secondary argument that the trial court erred by dismissing the case
    with prejudice. We are compelled to note, however, that Crim.R. 48(B) does not provide
    for a dismissal with prejudice upon the arguments presented by the defendants in this
    case. State v. Walton, 8th Dist. Cuyahoga No. 87347, 
    2006-Ohio-4771
    , ¶ 5-6, quoting
    Fairview Park v. Fleming, 8th Dist. Cuyahoga Nos. 77323 and 77324, 
    2000 Ohio App. LEXIS 5714
     (Dec. 7, 2000), State v. Dixon, 
    14 Ohio App.3d 396
    , 
    471 N.E.2d 864
     (8th
    Dist.1984); and State v. Sutton, 
    64 Ohio App.2d 105
    , 
    411 N.E.2d 818
     (9th Dist.1979).
    Although a trial court has the inherent power to dismiss with prejudice, that arises “only
    where it is apparent that the defendant has been denied a constitutional or statutory right,
    the violation of which would, in itself, bar prosecution.” 
    Id.
     The quintessential case for
    dismissing an indictment with prejudice is based on speedy-trial or double-jeopardy
    concerns — a constitutional violation that precludes future prosecution — neither of
    The decision to dismiss an indictment is reviewed de novo. State v.
    Wynn, 8th Dist. Cuyahoga No. 103824, 
    2017-Ohio-4062
    , ¶ 16. A de novo review
    requires an independent review, without any deference to the trial court’s
    determination. 
    Id.
     “When a defendant moves to dismiss an indictment, the
    threshold question is whether the trial court can determine the motion without
    reference to the general issue to be tried.” State v. Hitsman, 9th Dist. Medina No.
    18CA0015-M, 
    2018-Ohio-5315
    , ¶ 15, citing State v. Palmer, 
    131 Ohio St.3d 278
    ,
    
    2012-Ohio-580
    , 
    964 N.E.2d 406
    , ¶ 22, and State v. Brady, 
    199 Ohio St.3d 375
    ,
    
    2008-Ohio-4493
    , 
    894 N.E.2d 671
    , ¶ 18.            “‘If the allegations contained in the
    indictment constitute offenses under Ohio criminal law, it is premature to
    determine, in advance of trial, whether the state could satisfy its burden of proof
    with respect to those charges, and thus, a motion to dismiss must be denied.’” State
    v. Swanson, 11th Dist. Ashtabula No. 2015-A-0006, 
    2015-Ohio-4027
    , ¶ 17, quoting
    State v. Kolat, 11th Dist. Lake No. 2001-L-117, 
    2002-Ohio-4699
    , ¶ 16, and State v.
    Medinger, 11th Dist. Portage No. 2011-P-0046, 
    2012-Ohio-982
    , ¶ 11. Thus, “a
    motion to dismiss based on a defect in the indictment ‘must not entail a
    determination of the sufficiency of the evidence to support the indictment’”; the
    earliest point that such concerns can be raised is at the conclusion of the state’s case
    which is relevant herein. Sutton at 108. Under Crim.R. 7(B), the state is entitled to assert
    offenses in the indictment in the bare statutory language. That procedure violates no
    constitutional safeguards, and any failure of specificity is not grounds to declare a
    constitutional preclusion to retrial.
    in chief through a properly supported Crim.R. 29 motion. 
    Id.,
     citing Kolat and State
    v. Rode, 11th Dist. Portage No. 2010-P-0015, 
    2011-Ohio-2455
    , ¶ 14.
    The allegations in this case constitute an offense under Ohio law.
    Under R.C. 2925.03(A)(1) and (2), it is a criminal offense to knowingly sell or offer
    to sell controlled substances or to knowingly prepare for shipment, ship, transport,
    deliver, prepare for distribution, or distribute controlled substances. There is no
    dispute that the drugs at issue are controlled substances that fall under the ambit of
    R.C. 2925.03(A) in general. Further, there is no dispute that R.C. 2925.03 applies
    to the defendants. No person or organization is immune from being charged with
    drug trafficking after causing controlled substances to be distributed throughout the
    state regardless of their status under the controlled-substance laws. The issue
    generally advanced by the defendants is that the state will be unable to demonstrate
    the inapplicability of R.C. Chapter 4729, which controls and regulates the sale and
    distribution of controlled substances in Ohio and is the predicate element to the
    drug-trafficking charges against the defendants in this case.
    Under R.C. 2925.03(B)(1), the drug-trafficking section is inapplicable
    to licensed health professionals or any other person whose conduct is in accordance
    with R.C. Chapters 3719, 4715, 4723, 4729, 4730, 4731, and 4741. The burden of
    proving the inapplicability of this exclusion falls on the state. In order to convict a
    wholesaler of controlled substances of trafficking under R.C. 2925.03(A), “the state
    bears the burden of proving beyond a reasonable doubt the inapplicability of the
    licensed-health-professional exception in R.C. 2925.03(B)(1) by submitting
    evidence that the licensed health professional violated statutes or regulations that
    define the standard of care for dispensing controlled substances.” State v. Nucklos,
    
    121 Ohio St.3d 332
    , 
    2009-Ohio-792
    , 
    904 N.E.2d 512
    , ¶ 22. Thus, R.C. 2925.03(B)
    is a predicate element to proving a violation of the drug-trafficking laws against a
    certain class of persons. That burden arises at trial, not during the pretrial stages of
    the proceedings. Swanson at ¶ 22 (by dismissing an indictment during pretrial
    states “of the proceedings, the trial court violated the express language of Criminal
    Rule 12 and usurped the jury’s prerogative of determining the general issues for
    trial.”); Hitsman. The defendants have cited no authority requiring the state to
    provide specific details or evidence in support of its theory to prove a violation of
    R.C. 2925.03. App.R. 16(A)(7).
    There is no dispute that the indictment recites the language of R.C.
    2925.03(A)-(B). Generally, that is sufficient to survive a motion to dismiss a
    criminal indictment. State v. Jackson, 
    134 Ohio St.3d 184
    , 
    2012-Ohio-5561
    , 
    980 N.E.2d 1032
    , ¶ 13, quoting State v. Childs, 
    88 Ohio St.3d 558
    , 565, 
    728 N.E.2d 379
    (2000), and Hamling v. United States, 
    418 U.S. 87
    , 117, 
    94 S.Ct. 2887
    , 
    41 L.Ed.2d 590
     (1974). Further, an indictment that tracks statutory language “is not defective
    for failing to identify the elements of a predicate offense.” 
    Id.,
     citing State v.
    Murphy, 
    65 Ohio St.3d 554
    , 583, 
    605 N.E.2d 884
     (1992). And even if the state failed
    to include the numerical designation of the applicable statutory section, that is not
    a basis to dismiss the indictment unless the defendants can demonstrate that they
    were prejudicially misled by the omission. Crim.R. 7(B). Similar to a charging
    document alleging a crime that contains a predicate offense, the exception to
    application of the drug-trafficking statute under R.C. 2925.03(B) must be alleged in
    general terms and proven at trial, but there is no constitutional mandate that the
    state present the specific provisions implicated by the predicate element under R.C.
    2925.03(B) within the indictment itself. Jackson at ¶ 14.
    The defendants claim that R.C. 2925.03 is not applicable to them
    because they are or work for a controlled-substance wholesaler, which is immune
    from prosecution for drug trafficking because R.C. Chapter 4729 provides no
    criminal penalties for violations of the civil regulatory provisions. According to the
    defendants, no provision of R.C. Chapter 4729 applies to them such that dismissal
    is appropriate because the “accused is not subject to the violations of law set forth in
    the indictment.” Appellees’ brief, p. 9, citing State v. Palmer, 
    131 Ohio St.3d 278
    ,
    2012-Ohio-58o, 
    964 N.E.2d 406
    . Under well-settled Ohio law, no person or entity
    is immune from prosecution for drug trafficking under R.C. 2925.03, even if that
    entity is licensed to sell or furnish controlled substances. All persons furnishing,
    selling, or distributing controlled substances in Ohio are subject to R.C. 2925.03.
    The primary question in these situations is whether the state can demonstrate, as a
    predicate element to the drug-trafficking offense, that the defendants’ conduct was
    not in accordance with the statutory or regulatory provisions that authorize the
    defendants to distribute, sell, or furnish controlled substances in Ohio. This is not a
    case in which the statute proscribing the conduct does not apply to the particular
    defendant. See, e.g., Palmer (the new revisions creating the Adam Walsh Act and
    the reporting requirements thereunder did not apply to the defendant who was
    convicted and sentenced under Megan’s Law, and therefore, the indictment for
    violation of the Adam Walsh Act reporting requirements was appropriate).
    The defendants’ challenge, therefore, is not actually against the
    indictment, which complies with Crim.R. 7(B) by reciting the precise statutory
    section under which the violation arose, but rather, the defendants are essentially
    asserting that the bill of particulars failed to provide the specific statutory or
    regulatory provisions that implicated R.C. 2925.03(B). We reach this conclusion
    because “an indictment serves to commence the criminal prosecution of a defendant
    by averring the essential elements of the indicted offense, while a bill of particulars
    serves to inform the defendant of the specific conduct alleged to constitute the
    indicted offense.” State v. Hall, 8th Dist. Cuyahoga No. 90365, 
    2009-Ohio-461
    ,
    ¶ 61. Thus, the indictment itself was in full compliance with Ohio due process
    requirements.     “‘An indictment meets constitutional requirements if it “first,
    contains the elements of the offense charged and fairly informs a defendant of the
    charge against which he must defend, and, second, enables him to plead an acquittal
    or conviction in bar of future prosecutions for the same offense.”’” Jackson, 
    134 Ohio St.3d 184
    , 
    2012-Ohio-5561
    , 
    980 N.E.2d 1032
    , at ¶ 13, quoting Childs, 
    88 Ohio St.3d 558
    , 565, 
    728 N.E.2d 379
    , and Hamling.
    An indictment, under Crim.R. 7(B), may simply provide a recitation
    of the particular statutory language implicated by the alleged criminal conduct and
    need not even provide the relevant statutory sections, but instead must simply put
    the defendant on notice of the crime charged and the elements necessary to proving
    the crime. 
    Id.
     Instead of challenging the indictment directly, the defendants claim
    that the bill of particulars failed to provide the express provision under R.C. Chapter
    4729 divesting them of the exception to drug trafficking. The failure to provide
    specificity within the bill of particulars is generally not grounds for dismissal. In
    order to prevail on the lack of specificity in the bill of particulars, the defendant must
    show prejudice, “i.e., the lack of specificity prevented the defendant from adequately
    preparing or presenting a defense.” Hall at ¶ 62, citing State v. Lewis, 
    85 Ohio App.3d 29
    , 
    619 N.E.2d 57
     (3d Dist.1993), and State v. O’Donnell, 4th Dist. Scioto
    No. 00 CA2724, 
    2001 Ohio App. LEXIS 2297
     (May 21, 2001). Until trial, it is purely
    speculation as to whether the defendants would be prejudiced by the alleged lack of
    specificity in the bill of particulars.
    The state provided discovery documentation that included the
    specific transactions underlying the criminal allegations, thereby providing a
    corresponding time frame and the alleged conduct underlying the indictment. As
    other courts have concluded, if the bill of particulars sets forth the date of the alleged
    offense, the general nature of the alleged conduct, and the applicable criminal
    statute, then it is sufficient to fulfill its intended purpose. State v. Ericksen, 7th Dist.
    Carroll No. 18 CA 0928, 
    2019-Ohio-3644
    , ¶ 13, citing State v. Brown, 7th Dist.
    Mahoning No. 03-MA-32, 
    2005-Ohio-2939
    , ¶ 86-87. Further, when the bill of
    particulars satisfies the minimal threshold, the defendant’s access to discovery
    through Crim.R. 16(A) adequately provides the defendant with sufficient
    information to enable a constitutionally adequate defense. 
    Id.
    While the state is not required to detail its specific theory of
    prosecution, the state provided guidance as to how it intended to prove the predicate
    element of drug trafficking in this case.2 Specifically, among other claims, the state
    intended to demonstrate that the defendants failed to report the sales of the drugs
    to the Ohio Department of Pharmacy in contravention of the rules and regulations
    then in effect, which deprived the defendants of the protections under R.C.
    2925.03(B)(1).
    Under Ohio Adm.Code 4729-37-03(C),3 in effect during the date of
    the offenses but now superseded by a more specific reporting requirement, “[a]ll
    wholesalers licensed as a wholesale distributor of dangerous drugs that sell drugs
    2 The state’s theory of how the defendant’s conduct violated the law is generally an
    issue for trial. When reviewing an indictment, courts generally review the conduct
    underlying a pending prosecution, not the theories the state attaches to that conduct.
    State v. Ross, 
    2014-Ohio-2867
    , 
    15 N.E.3d 1213
    , ¶ 39 (9th Dist.), citing State v. Raber, 9th
    Dist. Wayne No. 13CA0020, 
    2014-Ohio-249
    , ¶ 14, and State v. Knoble, 9th Dist. Lorain
    No. 08CA009359, 
    2008-Ohio-5004
    , ¶ 12. For example, in order to violate an offender’s
    right to due process, “the inconsistency ‘must exist at the core’ of the prosecutor’s case.”
    State v. Lukacs, 
    188 Ohio App.3d 597
    , 
    2010-Ohio-2364
    , 
    936 N.E.2d 506
    , ¶ 47 (1st Dist.),
    citing United States v. Presbitero, 
    569 F.3d 691
    , 702 (7th Cir.2009) (string citing
    decisions from finding due process violations where the government took fundamentally
    opposite positions at different trials involving the same crime).
    3 In the state’s brief in opposition to the motion to dismiss the indictment, it was
    noted the reporting requirement existed during the time of the offenses, but was amended
    over the years. The state traced the reporting requirement to Ohio Adm.Code 4729-37-
    04(C), which provides “Wholesalers and pharmacies pursuant to paragraphs (C) and (D)
    of rule 4729-37-03 of the Administrative Code that sell drugs identified in rules 4729-37-
    02 and 4729-37-12 of the Administrative Code at wholesale must at least report the
    following information to the board of pharmacy in the format described in rule 4729-37-
    06 of the Administrative Code.”
    identified in rule 4729-37-02 of the Administrative Code at wholesale shall report
    those drug transactions.” That rule was promulgated under R.C. 4729.75 and
    4729.78, and further provides that the wholesale of all schedule III, IV, and V
    controlled substances to prescribers or terminal distributors of dangerous drugs
    “shall be submitted to the board of pharmacy pursuant to sections 4729.77, 4729.78
    and 4729.79 of the Revised Code.” The state intended to demonstrate at trial that
    the defendants failed to report the sales of the drugs to the board of pharmacy.
    Deviations of the statutory provisions or rules promulgated thereunder may be
    considered in determining whether an offender acted in accordance with R.C.
    Chapter 4729 under R.C. 2925.03(B). Nucklos, 
    121 Ohio St.3d 332
    , 
    2009-Ohio-792
    ,
    
    904 N.E.2d 512
    , at ¶ 22. Under Ohio law, the state may base the conviction of a
    licensed health professional for trafficking in drugs under R.C. 2925.03(A),
    including proving the inapplicability of the exception in R.C. 2925.03(B), “by
    submitting evidence that the licensed health professional violated statutes or
    regulations that define the standard of care for dispensing controlled substances.”
    (Emphasis added.) 
    Id.
     Although the state struggled with identifying the correct
    administrative code sections, the state’s theory has largely remained the same
    throughout the pretrial proceedings.      According to the state, the identified
    regulatory sections all involved some form of reporting requirement to which the
    defendants failed to adhere.
    Based on Nucklos, we decline to apply State v. Hutton, 6th Dist. Lucas
    No. L-oo-1285, 
    2002 Ohio App. LEXIS 753
    , 1 (Feb. 22, 2002), for the proposition
    that the state may not rely on administrative regulations to prove the defendants’
    conduct was not in accordance with R.C. Chapter 4729. Regardless of the conclusion
    reached in Hutton, the Ohio Supreme Court has unambiguously declared that the
    state may seek to convict a health care professional for drug trafficking when the
    conduct is not in accordance with either a “rule or regulation.” Nucklos. Even if we
    considered Hutton to be persuasive, its conclusion is contrary to binding precedent
    and cannot be followed.
    Likewise, we find State v. Simms, 4th Dist. Athens No. 01CA32, 2001-
    Ohio-2623, to be inapplicable for a similar proposition of law. In Simms, the state
    attempted to charge the defendant with a violation of R.C. 3791.04(A), a civil
    administrative statute. Id. at 2. The Fourth District concluded that the civil
    statutory provision did not criminalize the conduct, and therefore, any indictment
    solely alleging a violation of R.C. 3791.04 was defective. Id. That particular statutory
    section did not provide that the violation would constitute a felony or misdemeanor
    infraction under the criminal code. Id. at 4-5. Simms is therefore not applicable to
    the facts in this case. Here, the indictment is solely based on R.C. 2925.03(A), a
    felony-level offense.
    Beyond the regulatory aspect of the drug-trafficking violation, the
    state theorized that the defendants essentially conspired to violate R.C. 4729.291,
    which expressly limits the amount of dosages that any one prescriber can furnish to
    patients in a given 30-day period. Under that statutory section, a prescriber is
    limited to furnishing 2,500 dosages of any given controlled substance. During the
    time period alleged in the complaint, according to the information the state provided
    the defendants during discovery, the defendants sold thousands of dosages to five
    prescribers monthly, amounts that could not be legally furnished to patients. On
    this point, the defendants maintain that R.C. 4729.291 did not expressly apply to
    wholesalers, but only proscribed conduct of those licensed to furnish drugs directly
    to patients. Although that is one interpretation, that argument goes to the heart of
    the triable issues and cannot be fully adjudicated before the state has presented all
    evidence to the trier of fact. The jury or the trial court in consideration of a properly
    framed Crim.R. 29 motion for acquittal is entitled to consider that conspiracy-based
    argument at the conclusion of the state’s case.4 As it stands, the state has presented
    allegations that constitute offenses under Ohio law, and the motion to dismiss was
    an inappropriate mechanism to seek early adjudication of trial issues.
    Even if we were to find that more specificity was required with respect
    to the bill of particulars and such a deficiency could be addressed in the motion to
    dismiss the indictment, the state provided the defendants the level of detail
    necessary to provide sufficient notice of the illegal conduct to be proven at trial. That
    4 Because the issues advanced by the defendants are potentially to be considered
    in a Crim.R. 29 motion for acquittal at the close of the state’s case in chief, we refrain from
    entertaining consideration of the defendants’ arguments further and expressly render no
    conclusions as to the viability of any argument with respect to the state’s ability to prove
    that the defendants’ conduct was not in conformity with R.C. Chapter 4729. At this stage,
    any such conclusion would be premature and we do not intend for this discussion to
    foreshadow the sufficiency of the state’s case at trial should that become necessary. The
    defendants’ arguments are only being considered here in the context of a motion to
    dismiss the indictment. Nothing precludes the defendants from including any of the
    arguments advanced in this appeal when appropriate as the proceeding continues.
    there is a disagreement with the state’s theory is not grounds to seek dismissal of an
    indictment. The Criminal Rules do not provide for a motion for summary judgment
    or other summary disposition based on the sufficiency of the potential evidence or
    the inadequacy of the state’s theory of prosecution. S. Euclid v. Turner, 8th Dist.
    Cuyahoga No. 106642, 
    2018-Ohio-3798
    , ¶ 13, citing State v. Kalman, 2017-Ohio-
    7548, 
    84 N.E.3d 1088
     (4th Dist.), and Katz & Giannelli, Baldwin’s Ohio Practice,
    Criminal Law, Section 47:4 (3d Ed.). Whether the defendants’ conduct was in
    accordance with R.C. Chapter 4729 and any regulation promulgated thereunder was
    not capable of determination without a trial on the general issue. The trial court’s
    decision to dismiss the indictment with prejudice for the failure to provide more
    specificity with regard to the state’s anticipated evidence and theory of prosecution
    was in error. Under Ohio law, the state need not include the specific statutory
    sections that constitute the predicate element of a criminal charge. Jackson, 
    134 Ohio St.3d 184
    , 
    2012-Ohio-5561
    , 
    980 N.E.2d 1032
    , at ¶ 13. The defendants were
    provided with sufficient descriptions of the conduct alleged to have violated R.C.
    2925.03. At the early stages of a criminal proceeding, that suffices. The decision
    dismissing the indictment is vacated and the matter remanded for further
    proceedings consistent with this opinion.
    It is ordered that appellant recover from appellees 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
    common pleas court to carry this judgment into execution.
    A certified copy of this entry shall constitute the mandate pursuant to Rule 27
    of the Rules of Appellate Procedure.
    _____
    SEAN C. GALLAGHER, PRESIDING JUDGE
    EILEEN T. GALLAGHER, J., CONCURS;
    KATHLEEN ANN KEOUGH, J., CONCURS IN PART AND DISSENTS IN PART
    WITH SEPARATE OPINION
    KATHLEEN ANN KEOUGH, J., CONCURRING IN PART AND DISSENTING IN
    PART:
    Respectfully, I concur in part and dissent in part. Although the
    majority does not address the state’s second argument that the trial court erred in
    dismissing the case with prejudice, I concur with its conclusion in footnote 1 that
    Crim.R. 48(B) does not provide for a dismissal with prejudice upon the arguments
    presented by the defendants in this case. Thus, I would find that the trial court erred
    in dismissing the indictment with prejudice.
    I dissent, however, from the majority’s conclusion that the trial court
    improperly dismissed the indictment in this case. The majority finds that the
    indictment was sufficient because it tracked the statutory language for drug
    trafficking under R.C. 2925.03(A), and the defendants were not “prejudicially
    misled” by the state’s failure to specify the specific section under R.C. Chapter 4729
    with which the defendants’ conduct was allegedly “not in accordance.” The majority
    concludes the defendants were not prejudiced by the omission because the state
    provided guidance through the bill of particulars and discovery as to how it intended
    to prove at trial that the defendants’ conduct was not in accordance with R.C.
    Chapter 4729. I disagree, and would find under the facts of this case that the state’s
    failure to specify the specific statutory section of R.C. Chapter 4729 or
    administrative code section that the defendants allegedly violated was prejudicial
    because it prevented them from adequately preparing or presenting a defense at
    trial.
    The record reflects that the state has continually changed its theory
    regarding how the defendants’ conduct was allegedly “not in accordance” with R.C.
    Chapter 4729. Initially, at the March 9, 2020 hearing regarding defendants’ motion
    to compel, the state asserted that defendants’ conduct was in violation of R.C.
    4729.291, which provides that a prescriber may not prescribe over 2,500 pills of a
    controlled substance in a one-month period.             The state’s theory was that if
    prescribers cannot prescribe more than 2,500 pills of a substance per month, it must
    be illegal for wholesalers to sell more than that amount each month to the
    prescribers. At the June 22, 2020 hearing on defendants’ motion to dismiss, the
    state abandoned that argument, however, conceding that R.C. 4729.291 does not
    apply to defendants because they are wholesalers of dangerous drugs, not
    prescribers.5 The state then argued that Ohio Adm.Code 4729:6-3-05, regarding a
    5
    I therefore disagree with the majority’s conclusion that the applicability of R.C.
    4729.291 to the defendants “goes to the heart of the triable issues and cannot be fully
    adjudicated before the state has presented all evidence to the trier of fact.” The prosecutor
    explicitly conceded at the June 22, 2020 hearing that the statute does not apply to the
    defendants. There is no triable issue regarding the application of R.C. 4729.291 to the
    defendants because the state has conceded it does not apply.
    distributor’s duty to monitor and report orders of unusual size to the Ohio Pharmacy
    Board, applied to defendants. This rule went into effect April 30, 2019, however,
    and thus cannot be applicable to defendants’ conduct, which is alleged to have
    occurred from 2013 to 2017. Consequently, in its post-hearing brief, the state cited
    other regulations and code sections that are allegedly applicable to demonstrate that
    defendants’ conduct is not in accordance with R.C. Chapter 4729.
    So what code section of R.C. Chapter 4729 or administrative code
    regulation promulgated pursuant to that chapter applies to this case? Did the
    defendants’ conduct involve overselling, as the state first alleged, or under-
    reporting, as it now contends? Will the state’s theory of the defendants’ alleged
    noncompliance with R.C. Chapter 4729 change yet again before the case goes to
    trial? The function of an indictment is to give adequate notice to the defendant of
    what he is being charged with and a fair chance to defend. State v. Sellards, 
    17 Ohio St.3d 169
    , 170, 
    478 N.E.2d 781
     (1985). How can the defendants in this case prepare
    and defend when the specific statute under R.C. Chapter 4729 or regulation
    promulgated thereto is not specified in the indictment, and the state’s theory as to
    which code section or statute they allegedly violated keeps changing?
    But perhaps even more importantly, has the state’s theory about
    defendants’ alleged wrongdoing changed since it asked the grand jury for an
    indictment? “[A] defendant has an inalienable right to be tried on the same essential
    facts on which the grand jury found probable cause.” State v. Parra, 8th Dist.
    Cuyahoga No. 95619, 
    2011-Ohio-3977
    , ¶ 38, citing State v. Vitale, 
    96 Ohio App.3d 695
    , 645 N.E.2d (8th Dist.1994). Under the state’s ever-evolving theory of the case,
    it is not clear that the facts now relied upon by the state to support the defendants’
    alleged violation of R.C. Chapter 4729 were those presented to the grand jury to
    obtain the indictment.
    The state argues, and the majority agrees, that the state provided
    ample guidance as to its theory of the prosecution because the state provided each
    defendant with access to discovery materials that included the specific transactions
    underlying the criminal charges. But a defendant should not have to comb through
    the state’s files to ascertain the theory of the state’s case in order to determine what
    defense he needs to prepare, especially when the state’s theory of the case keeps
    changing. This is particularly true in this case where the defendants asked for a
    more specific bill of particulars, but the state’s response merely repeated the
    indictment, without giving any specific information as to dates and alleged offenses
    pertaining to each defendant other than the three-year time span already set forth
    in the indictment, or the statutory section or administrative code regulation the
    defendants allegedly violated.
    The majority concludes that “[u]ntil trial, it is purely speculation as to
    whether the defendants would be prejudiced by the alleged lack of specificity in the
    bill of particulars.” I wholly disagree. It is not speculative to conclude that the
    defendants are prejudiced in their ability to prepare for trial or present their defense
    when the state continues to change its theory as to how the defendants’ conduct was
    allegedly “not in accordance” with R.C. Chapter 4729.
    And although the state provided the defendants with documentation
    detailing the specific transactions that the state claims violated Ohio’s drug-
    trafficking statutes, information about the dates and times of defendants’ conduct
    does nothing to advise how that conduct allegedly violated R.C. Chapter 4729. The
    defendants should not be expected to defend against an entire chapter of the Revised
    Code and all of the administrative code regulations promulgated thereto. The state
    presumably knows what code section or regulation it presented to the grand jury as
    evidence of the defendants’ alleged violation of R.C. Chapter 4729, but it did not
    provide that information in a “to wit” clause in the indictment, and when given an
    opportunity to provide the information in a more specific bill of particulars, it again
    did not do so. The only logical question is “why not”? The idea, as posited by the
    majority, that a defendant facing a felony charge may be denied the ability to defend
    against the specific allegations against him because the state complied with some
    other procedural burden (here, discovery) cannot be squared with the Ohio
    Constitution’s guarantee of due process.
    The majority concedes that the state “struggled with identifying the
    correct administrative code sections” the defendants’ conduct allegedly violated, but
    finds that the defendants’ conduct was not in accordance with R.C. Chapter 4729
    because it allegedly violated Ohio Adm.Code 4729-37-03(C). The majority then
    concludes that in light of this regulation, the state intended to demonstrate at trial
    that the defendants failed to report the drug sales to Ohio’s Board of Pharmacy. But
    the regulation cited by the majority is never mentioned in the state’s appellate brief,
    nor in any of its trial court filings, so it is impossible to know what the state intended
    to demonstrate at trial with respect to this regulation.
    Due process requires that the state give a criminal defendant fair
    notice of the charges against him to permit adequate preparation of his defense for
    trial. Although the state is entitled to state a count in an indictment in bare statutory
    language, I find that under the circumstances of this case, the defendants were
    prejudicially misled by the state’s failure to set forth in either the indictment or an
    adequate bill of particulars the applicable statutory section in R.C. Chapter 4729 or
    Ohio Administrative Code regulation with which the defendants’ conduct was
    allegedly “not in accordance.”
    Accordingly, I dissent from the majority’s decision reversing the trial
    court’s dismissal of the indictment.