State v. Standard Wellness Co., L.L.C. , 2022 Ohio 1604 ( 2022 )


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  • [Cite as State v. Standard Wellness Co., L.L.C., 
    2022-Ohio-1604
    .]
    IN THE COURT OF APPEALS OF OHIO
    TENTH APPELLATE DISTRICT
    State of Ohio,                                       :
    Board of Pharmacy,
    :
    Plaintiff-Appellee,
    :                   No. 21AP-606
    v.                                                                  (C.P.C. No. 21-MS-000127)
    :
    Standard Wellness Company, LLC,                                     (REGULAR CALENDAR)
    :
    Defendant-Appellant.
    :
    D E C I S I O N
    Rendered on May 12, 2022
    On brief: Dave Yost, Attorney General, and Henry G. Appel,
    for appellee. Argued: Henry G. Appel.
    On brief: Mayle LLC, Andrew R. Mayle, Ronald J. Mayle,
    and Benjamin G. Padanilam; Connell Foley LLP, Leo J.
    Hurley, Jr. (pro hac vice), for appellant. Argued: Leo J.
    Hurley, Jr.
    On brief: Frantz Ward LLP, Patrick F. Haggerty, Gregory R.
    Farkas, and Thomas Haren, for Amicus Curiae Ohio Medical
    Cannabis Industry Association.
    APPEAL from the Franklin County Court of Common Pleas
    NELSON, J.
    {¶ 1} Appellant Standard Wellness Company, LLC, a medical marijuana
    cultivating enterprise, appeals the decision of the trial court that granted an application
    from the State of Ohio Board of Pharmacy (the "board") to compel Standard Wellness to
    produce documents pursuant to board subpoena. Because we conclude that the trial court
    was guided in its determination by an overly expansive view of board powers, we will return
    No. 21AP-606                                                                                      2
    the matter to the trial court for full evaluation of the request in light of the particular
    authority that the statutes accord to the board.
    {¶ 2} The October 20, 2021 Decision and Entry from which Standard Wellness
    appeals recites that the board asks Standard Wellness to produce "one month of e-mails
    [March 1 through April 1, 2020] from [or to] eight [we count perhaps nine] individuals
    associated with the Company [as identified by some 11 separate e-mail accounts] * * *. The
    Board seeks the information to determine whether there has been a criminal violation of
    Ohio's Medical Marijuana Control Program ('MMCP')." Decision at 2. As we shall observe,
    the legislature's charge to the board is not quite so sweeping as that last quoted sentence
    might imply: the board has significant investigative authority in connection with the
    medical marijuana program, but only within its purview as specified by statute and
    corresponding regulation.
    {¶ 3} The trial court's Decision begins, appropriately, with a review of the
    "statutory background." Decision at 3-7. As the Decision notes, "[t]he MMCP regulates the
    activities of 'cultivators,' 'processors,' and 'dispensaries.' A cultivator is defined as an 'entity
    that has been issued a certificate of operation by [the Department of Commerce] to grow,
    harvest, package, and transport medical marijuana as permitted under [R.C.] Chapter
    3796.' See [Ohio Admin.Code] Rule 3796:1-1-01(A)(9). * * * * A dispensary is an entity
    'licensed pursuant to sections 3796.04 and 3796.10 of the Revised Code * * * to sell medical
    marijuana to qualifying patients and caregivers.' See O.A.C. Rule 3796:1-1-01(A)(14). Thus,
    cultivators grow the raw plant material, * * * while dispensaries in turn sell [marijuana]
    products to qualifying medical marijuana patients." Decision at 3.
    {¶ 4} The Decision observes that "R.C. 3796.02 provides, in part, that the MMCP
    is established 'in [the Department of Commerce] and the [Board].' R.C. 3796.02 goes on to
    provide that Commerce 'shall provide for the licensure of medical marijuana cultivators and
    processors' while the Board 'shall provide for the licensure of retail dispensaries.' " 
    Id.
    "Significantly," says the trial court, "R.C. 3796.02 goes on to provide that both Commerce
    and the Board 'shall administer the [MMCP] program.' " 
    Id.
     (emphasis in original).
    {¶ 5} Although the Decision does not directly then refer to R.C. 3796.03, which
    empowers the Department of Commerce to promulgate its rules regarding the medical
    marijuana program, including "rules establishing standards and procedures for the
    No. 21AP-606                                                                                  3
    licensure of cultivators," see R.C. 3796.03(A)(2), the Decision continues by reciting that
    "R.C. 3796.04 authorizes the Board to promulgate rules that establish 'standards and
    procedures' for the MMCP." Decision at 4. "These rules shall 'do all of the following,'
    including but not limited to: (1) establishing licensing procedures [but only, we are
    constrained to note, with regard to 'licenses and registrations it issues under this chapter,'
    see R.C. 3796.04((B)(1) (emphasis added)]; (2) establishing the number of dispensaries to
    be licensed; * * * (4) establishing training requirements for dispensary employees; and
    (5) specifying the criminal offenses for which a person 'will be disqualified from
    employment with a license holder.' In addition, the Board has the authority to issue rules
    necessary for the 'administration and the implementation and enforcement of' the MMCP.
    Finally, the Board has the authority to issue rules that consider[] the 'standards and
    procedures' that have been found to be 'best practices' relative to the use of medical
    marijuana." Decision at 4.
    {¶ 6} The Decision further notes that "[p]atients and caregivers who seek licensure
    under the MMCP are required to submit their applications for licensure to the Board. R.C.
    3796.08. * * * * R.C. 3796.10 provides that the Board shall issue licenses to dispensaries if
    all the conditions in paragraph (B) are met. * * * * R.C. 3796.11 provides that upon the
    request of either the Board or Commerce, the Ohio Department of Taxation shall provide
    information describing [the tax status of licensure applicants]. * * * * R.C. 3796.12
    authorizes the Board to conduct a criminal background check into any applicant for a
    dispensary license." Id. at 5.
    {¶ 7} The Decision then turns to powers at issue here. "R.C. 3796.15 gives the
    Board wide enforcement discretion," the trial court observes. Decision at 6. "For example,
    paragraph (A) provides, in part, that if the Board has information that 'any rule adopted
    under this chapter has been violated, it shall investigate the matter and take any action as
    it considers appropriate.' " Id. at 6 (with emphasis supplied by the trial court). We pause
    in our description of the trial court's Decision here to note that its phrase "in part" is doing
    some heavy lifting. This part of the trial court's Decision omits the introductory sentence
    of that Revised Code subsection, which reads: "The state board of pharmacy shall enforce,
    or cause to be enforced, sections 3796.08 [regarding patient and caregiver registration],
    3796.10 [dispensary license applications], 3796.20 [dispensary activities], 3796.22 [patient
    No. 21AP-606                                                                                4
    activities] and 3796.23 [caregiver activities] of the Revised Code." As we will discuss below,
    the first sentence of the statutory subsection sheds light on the import of the second.
    {¶ 8} "Also," the Decision continues (in reference, we think, to R.C. 3796.15(C)), "if
    the Board has 'clear and convincing evidence of a danger of immediate and serious harm to
    any person, [it] may place under seal all medical marijuana owned by or in the possession,
    custody, or control of the affected license holder or registrant.' " Decision at 6 (emphasis
    in original). We pause again to note that R.C. 3796.15(C) begins with the phrase "[i]f the
    board suspends, revokes, or refuses to renew any license or registration issued under this
    chapter and [determines clear and convincing evidence of danger] * * *." We read that
    language to refer to licenses and registrations that the board itself issues—to patients and
    caregivers, pursuant to R.C. 3796.08, and to dispensaries, pursuant to R.C. 3796.10, but
    not, for example, to cultivators (as licensed by the Department of Commerce pursuant to
    R.C. 3796.09). That is, we understand the first sentence of R.C. 3796.15(C) to run roughly
    parallel to the first sentence in R.C. 3796.15(A).
    {¶ 9} The Decision then reasons: "Thus, this Section [3796.15] gives the Board the
    authority to enforce 'any rule' against an 'affected license holder' under the MMCP, not just
    against dispensaries." Decision at 6.
    {¶ 10} Having determined that "[c]learly, the Board has extensive statutory
    authority to regulate medical marijuana under the MMCP," the Decision notes that the
    board "also has its own inherent powers and duties proscribed by Chapter 4729." Id. at 6-
    7 (with examples). Under R.C. 4729.24(A), the board has investigatory authority that
    includes the power to issue subpoenas and to seek enforcement of its subpoenas through
    application to the Franklin County Court of Common Pleas for orders compelling
    production pursuant to the Rules of Civil Procedure. Decision at 7.
    {¶ 11} The Decision further states that R.C. 4729.24(B) "provides, in part, that
    before a subpoena is issued, the Board 'and the office of the attorney general' shall
    determine whether 'probable cause exists to believe that' the investigation has revealed 'a
    violation of this chapter or Chapters * * * 3796 of the Revised Code or any rule adopted by
    the' Board." Decision at 7 (emphasis in original). Here, too, the trial court's phrase "in
    part" is significant. R.C. 4729.24(B) begins by explaining the sorts of subpoenas to which
    it applies, and reads in full:
    No. 21AP-606                                                                                5
    (B) A subpoena for patient record information may be issued
    only on approval by the board’s executive director and the
    president or another board member designated by the
    president, in consultation with the office of the attorney
    general. Before issuing the subpoena, the executive director
    and the office of the attorney general shall determine whether
    probable cause exists to believe that the complaint filed alleges,
    or an investigation has revealed, a violation of this chapter or
    Chapters 2925., 3715., 3719., or 3796. of the Revised Code or
    any rule adopted by the board, that the records sought are
    relevant to the alleged violation and material to the
    investigation, and that the records cover a reasonable period of
    time surrounding the alleged violation.
    {¶ 12} After noting the board's statutory power to investigate potential violations of
    Chapter 4729 (providing primarily for pharmacy regulation), the Decision finishes its
    statutory overview by concluding: "Clearly, the Board has the authority to issue a subpoena
    pursuant to an investigation into alleged violations of R.C. Chapter 3796." Decision at 7.
    "With this statutory framework in mind," the Decision turns to the board's enforcement
    application. Id.
    {¶ 13} The Decision recites that the board "argues * * * that it is 'currently
    investigating potential violations of' the MMCP and the regulations adopted thereunder.
    The Board alleges that these violations have occurred 'in medical marijuana dispensaries'
    and resulted from 'marijuana that was not grown in Ohio [and] was transported to medical
    marijuana dispensaries licensed by the Board.' To perform this investigation, the Board
    claims 'it will need' " the subpoenaed e-mails involving the nine specified individuals.
    Decision at 8. Citing Ohio Elections Comm. v. Ohio Chamber of Commerce, 
    158 Ohio App.3d 557
    , 
    2004-Ohio-5253
    , ¶ 19 (10th Dist.), the Decision states that an administrative
    subpoena "will be judicially enforced so long as: (1) the inquiry is permitted by law; (2) the
    records sought are relevant to the matter in issue; and (3) the records' disclosure will not
    cause unreasonable costs and difficulty." Decision at 8. The trial court "finds that the Board
    has satisfied all of these elements." 
    Id.
    {¶ 14} Reprising its previous statutory analysis, the Decision says that:
    R.C. 3796.15 gives the Board wide enforcement discretion. For
    example, paragraph (A) provides, in part, that if the Board has
    information that "any rule adopted under this chapter has
    been violated, it shall investigate the matter and take any
    No. 21AP-606                                                                                  6
    action it considers appropriate." * * * Also, if the Board has
    "clear and convincing evidence of a danger of immediate and
    serious harm to any person, [it] may place under seal all
    medical marijuana owned by * * * the affected license holder or
    registrant." * * * Thus, R.C. 3796.15 gives the Board the
    authority to enforce "any rule" against an "affected license
    holder" under the MMCP, not just against dispensaries. In
    addition, R.C. 3796.02 provides that the MMCP is established
    "in [the Department of Commerce] and the [Board]." Finally,
    R.C. 3796.02 provides that both Commerce and the Board
    "shall administer the [MMCP] program." Consequently, the
    Court finds that the Board's inquiry is allowed by law.
    Decision at 8-9 (emphasis in original).
    {¶ 15} The Decision finds the second prong of the test met because the affidavit of
    board investigator David Gonzales "states that the Board has 'evidence that gives [it] a good
    faith reason to believe that a truck drove from Utah to Ohio, delivering marijuana plants to
    [Standard Wellness] and that marijuana harvested from those plants has been sold in
    dispensaries.' * * * This Affidavit has not been rebutted[.]" Id. at 9.
    {¶ 16} As to the third prong, the Decision finds that Standard Wellness has not
    established that compliance would create an undue burden, and that trade secret issues will
    be addressed by having documents filed under seal. Id. at 9-10.
    {¶ 17} On that rationale, the trial court granted enforcement of the board's
    subpoena. The following month, the trial court granted a motion by Standard Wellness to
    stay its order pending appeal. November 19, 2021 Order Granting Stay. In its stay order,
    the trial court underscored that it had construed the board's statutory authorization very
    broadly:
    [A]lthough the board now claims on page 1 of its Memo Contra
    that the "primary focus" is to investigate individuals personally
    licensed by the Board as dispensary associated key employees
    and whether any medical marijuana dispensaries knowingly
    sold marijuana sourced from outside Ohio's medical marijuana
    program, this Court characterized the Board's investigation as
    the pursuit of "information to determine whether there has
    been a criminal violation of Ohio's [MMCP]."
    Order Granting Stay at 8. Its enforcement decision, the trial court said, "did not address
    whether the Board's investigation remained within the realm of an administrative
    inspection or fell beneath the umbrella of an investigation of crime." Id. at 9; see also id. at
    No. 21AP-606                                                                                 7
    8 (referring to a "probable cause prerequisite" set forth in R.C. 4729.24(B)). And "[p]erhaps
    most important to the likelihood of success on the merits on appeal * * * is the fact that this
    case brought before the Court novel issues of first impression regarding the Board's
    authority to regulate Ohio's MMCP." Id. at 9.
    {¶ 18} We credit the trial court's candor in its description of the earlier Decision.
    That description is fully consistent with the stated rationale of the Decision itself, which
    does appear to rest on reading the board's authority as extending to any potential violation
    of the medical marijuana program by any state licensee.
    {¶ 19} Standard Wellness submits four assignments of error:
    I. The trial court erred in granting the Board's Motion to
    Compel pursuant to R.C. 4729.24 since the Board failed to
    present any evidence the Board and the office of the attorney
    general determined that [for?] the Board's investigation
    probable cause existed to show that any individual or entity had
    violated Chapters 4729, 2925, 3715, 3719, or 3796 of the
    Revised Code or any Rule adopted by the Board.
    II. The trial court erred when it found that the Board's
    investigation and accompanying Subpoena did not exceed the
    bounds of its legal authority under R.C. 3796 and the
    regulations adopted thereunder as part of the State of Ohio's
    Medical Marijuana Control Program, under R.C. 4729, or
    under 2925, requiring the court to deny the Board's motion and
    to quash the Subpoena.
    III. The trial court erred when it refused to consider whether
    the investigation leading to the subpoena was criminal in
    nature rather than administrative, which would have
    independently required a finding of probable cause related to
    the issuance of the Subpoena and would have required the
    court to deny the Board's motion and to quash the Subpoena.
    IV. The trial court erred when it failed to meaningfully assess
    whether the scope of the documents sought by the Subpoena
    were relevant to the investigation, requiring the court to deny
    the Board's motion and to quash the Subpoena.
    Appellant's Brief at 1-2.
    {¶ 20} The first assignment of error is based on, and partially mirrors, the language
    of R.C. 4729.24(B). That subsection reads in full:
    No. 21AP-606                                                                                 8
    A subpoena for patient record information may be issued only
    on approval by the board’s executive director and the president
    or another board member designated by the president, in
    consultation with the office of the attorney general. Before
    issuing the subpoena, the executive director and the office of
    the attorney general shall determine whether probable cause
    exists to believe that the complaint filed alleges, or an
    investigation has revealed, a violation of this chapter or
    Chapters 2925., 3715., 3719., or 3796. of the Revised Code or
    any rule adopted by the board, that the records sought are
    relevant to the alleged violation and material to the
    investigation, and that the records cover a reasonable period of
    time surrounding the alleged violation.
    {¶ 21} The trial court's gloss on this subsection was that it "provides, in part, that
    before a subpoena is issued, the Board 'and the office of the attorney general' shall
    determine whether 'probable cause exists to believe that' the investigation has revealed 'a
    violation of this chapter or Chapter[] * * * 3796 of the Revised Code or any rule adopted
    by the' Board." Decision at 7. (emphasis in original). That was one of the statutory
    provisions cited by the trial court in its lead up to the conclusion that "[c]learly, the Board
    has the authority to issue a subpoena pursuant to an investigation into alleged violations of
    R.C. Chapter 3796." Id. Consistent with the language of its Decision, the trial court later
    characterized R.C. 4729.24(B) as establishing a "probable cause prerequisite." Order
    Granting Stay at 8.
    {¶ 22} Standard Wellness submits under its first assignment of error that because
    the trial court did not find and the record does not show that the board's executive director
    and the attorney general's office jointly reached a probable cause determination, R.C.
    4729.24(B) was not satisfied and the trial court therefore should not have enforced the
    subpoena. See, e.g., Appellant's Brief at 20 ("the trial court admittedly ignored these
    statutory burdens in issuing its Decision and Entry"); Reply Brief at 15-17.
    {¶ 23} Quite understandably, Standard Wellness did not make this statutory
    argument to the trial court in opposing the board's enforcement application. See June 4,
    2021 Respondent's Brief in Opposition to Motion to Compel Compliance (advancing no
    such argument or citation to R.C. 4729.24(B)). The text of the introductory sentence to
    R.C. 4729.24(B) reflects that the subsection relates to "[a] subpoena for patient record
    information," and there is no indication either on the face of the subpoena or in the record
    No. 21AP-606                                                                                   9
    that the board subpoena seeking e-mails to and from various individuals associated with
    marijuana cultivator Standard Wellness contained patient record information.
    {¶ 24} Standard Wellness urges that "[t]he Board is wrong" to read the second
    sentence of the subsection as limited to the context supplied by the first, Reply Brief at 16,
    but its argument is entirely unpersuasive. The General Assembly has told us that statutory
    phrases "shall be read in context and construed according to the rules of grammar and
    common usage." R.C. 1.42. "Evaluating the context in which a word is written is essential
    to a fair reading of the text: 'The words of a governing text are of paramount concern, and
    what they convey, in their [textual] context, is what the text means.' " Great Lakes Bar
    Control, Inc. v. Testa, 
    156 Ohio St.3d 199
    , 
    2018-Ohio-5207
    , ¶ 9, quoting Scalia & Garner,
    Reading Law: The Interpretation of Legal Texts 56 (2012) (also quoting the same source
    in reciting that " 'words are given meaning by their context' ").
    {¶ 25} Here, the subsection builds upon the context provided in its topic sentence
    by referring to the same officials—the board's executive director and the office of the
    attorney general—in both (related) sentences.          Even more significantly, the second
    sentence—the one that Standard Wellness seeks to remove from the context of the first—
    refers to "the subpoena," using the definite article. Which subpoena is that? The rules of
    grammar and common usage suggest looking to the nearest referent—"[a] subpoena for
    patient record information," as discussed in the preceding sentence. The legislative choice
    to use the non-limiting indefinite article "a" in the subsection's first sentence and then to
    use the limiting definite article "the" before "subpoena" in the second sentence is of
    significance. See, e.g., Crosby-Edwards v. Ohio Bd. of Embalmers & Funeral Dirs., 10th
    Dist. No. 06AP-1220, 
    2008-Ohio-762
    , ¶ 29 (endorsing point of Black's Law Dictionary
    1477 (6 Ed.1990) that "[i]n construing statute, definite article 'the' particularizes the subject
    which it precedes and is word of limitation as opposed to indefinite or generalizing force 'a'
    or 'an' ") (other citations omitted).
    {¶ 26} Indeed, and advisedly, the Ohio Medical Cannabis Industry Association
    ("OMCIA"), writing in support of Standard Wellness as amicus, emphasizes that
    "paragraph (B) of this statute relates exclusively to subpoenas for 'patient record
    information.' " Opening Amicus Brief at 12. That position permits the amicus to argue,
    correctly, that far from implying that the board has plenary authority to launch
    No. 21AP-606                                                                                 10
    investigations relating to any "violation of * * * Chapter[] * * * 3796" (as the trial court had
    highlighted), instead "any authority granted to the Board under R.C. 4729.24(B) relates
    solely to investigations for [sic] patient record information." Opening Amicus Brief at 12;
    compare R.C. 3796.15(A) (empowering the board to enforce particularly specified statutory
    sections including R.C. 3796.22, which governs medical marijuana activities for registered
    patients).
    {¶ 27} In any event, Standard Wellness did not make its R.C. 4729.24(B) pitch to the
    trial court at the appropriate time, and cannot prevail on it here. See, e.g., Nunn v. Ohio
    Dept. of Ins., 10th Dist. No. 18AP-114, 
    2018-Ohio-4030
    , ¶ 11 ("[i]t is well-established that a
    party may not present new arguments for the first time on appeal") (citations omitted).
    That the trial court did not resolve this interpretive question in its Decision (with no party
    having raised it to that point) does not rescue the argument, such as it is, from having been
    waived (and the Decision on appeal is not affected by briefing on the stay motion).
    Compare Appellant's Reply Brief at 15 and fn. 3 (arguing otherwise).
    {¶ 28} We overrule Standard Wellness's first assignment of error.
    {¶ 29} We find that there is more to Standard Wellness's second assignment of error,
    as endorsed in part by the opening and reply briefs of the OMCIA amicus. Our reading of
    the trial court's Decision is that it was premised on a view that the board's powers in
    administering the medical marijuana control program are coextensive with the authority of
    the Department of Commerce and that the board is empowered to investigate any
    "violations of Chapter[] * * * 3796 * * * and rules adopted thereunder." See Decision at 6
    (emphasis in original); see also, e.g., id. at 7 ("Clearly, the Board has the authority to issue
    a subpoena pursuant to an investigation into alleged violations of R.C. Chapter 3796"); id.
    at 9 ("Thus, R.C. 3796.15 gives the Board the authority to enforce 'any rule' against an
    'affected license holder' under the MMCP, not just against dispensaries").
    {¶ 30} Even in its arguments to us, the board's briefing at times urges this sweeping
    interpretation:
    The statute gives very broad authority to the Board. The Board
    "shall investigate" whether "any rule adopted under this
    chapter has been violated[.]" Id. [R.C. 3796.15(A)]. By the plain
    language of the statute, the Board is at least authorized to
    investigate potential violations of "any rule adopted under this
    No. 21AP-606                                                                                11
    chapter." Id. Notably, this is not limited to rules promulgated
    by the Board.
    Appellee's Brief at 30 (emphasis in original).
    {¶ 31} That understanding reaches too far, we think, to any extent that it allows
    board investigation unrelated to entities licensed or registered by the board. Nothing
    should have relieved the trial court from examining whether the subpoena in its various
    component parts is directed to matters within the board's investigative authority. But in
    determining whether the board's subpoena is "permitted by law" and "relevant to the
    matter in issue" before the board, see id. at 8, the trial court did not seem to assess the
    subpoena in light of the board's particular responsibilities and authorities under the
    medical marijuana control program.
    {¶ 32} Evidence submitted by the board indicated that it was "investigating whether
    one or more individuals affiliated with Standard Wellness * * * improperly imported
    medical marijuana into Ohio in or about March 2020." See Gonzales Aff. (found at June 4,
    2021 Hurley Aff. Ex. K, attaching board's May 7, 2021 trial court brief and its Ex. E) at ¶ 4
    (adding at ¶ 11 that investigator has "good faith reason to believe that a truck drove from
    Utah to Ohio, delivering marijuana plants to [Standard Wellness] and that marijuana
    harvested from those plants has been sold in dispensaries"). The evidence further tied "two
    of the [nine] individuals whose e-mails were requested" to dispensary operations as
    licensed dispensary employees. March 25, 2021 Application for Order to Compel at 3;
    Gonzales Aff. at 6-10.
    {¶ 33} We emphatically do not rule here that the board is precluded from seeking to
    enforce third-party subpoenas properly related to matters within its statutory focus.
    Compare, e.g., Petro v. North Coast Villas Ltd., 
    136 Ohio App.3d 93
    , 98 (9th Dist.2000)
    (no statute "prevents the State Auditor from seeking documents in the possession of
    private, third-party entities"); OMCIA Amicus Reply Brief at 1 ("OMCIA agrees that the
    Board can issue subpoenas to third parties, but only if the subpoenas are relevant to
    misconduct the Board is statutorily authorized to regulate and enforce") (emphasis
    omitted). And we do not determine that the subpoena at issue strays outside the bounds of
    the board's investigative purview: that is a question in the first instance for the trial court
    to evaluate. But we do conclude that the evaluation must be undertaken in light of the
    No. 21AP-606                                                                             12
    particular authority that the legislature has given the board in this area—authority that is
    something less than plenary power to enforce all aspects of Ohio's medical marijuana
    control program and to oversee regulated entities that the board itself does not license.
    (Thus, for example, the mere fact that Standard Wellness is licensed by the Department of
    Commerce as a medical marijuana cultivator would not alone support investigation into its
    practices by the board.)
    {¶ 34} "[A]n administrative body * * * may exercise only the powers and authority
    which have been conferred upon it by the General Assembly." Ohio Cent. Tel. Corp. v.
    Public Utilities Comm., 
    166 Ohio St. 180
    , 182 (1957). That modest precept is essential to
    the principles of limited government designed to safeguard our liberties. An administrative
    board "has only those powers explicitly delegated by statute and must operate within the
    limitations contained within its enabling statutes." See Ohio Am. Health Care, Inc. v. Ohio
    Bd. of Nursing, 10th Dist. No. 13AP-1020, 
    2014-Ohio-2422
    , ¶ 58, citing Shell v. Ohio
    Veterinary Med. Licensing Bd., 
    105 Ohio St.3d 420
    , 
    2005-Ohio-2423
    , ¶ 32 (same) (further
    citations omitted).
    {¶ 35} The text and structure of the statutory provisions establishing the medical
    marijuana control program are, we think, reasonably clear. Pursuant to R.C. 3796.02, the
    Department of Commerce is to license cultivators, processors, and testing laboratories,
    while the board licenses dispensaries and registers patients and their caregivers. Although
    both governmental entities thus "administer the program," they have distinct areas of
    responsibility. As the board explained in its briefing to the trial court, the program is
    divided into three parts:
    The Ohio Medical Marijuana Control Program is governed by
    three government agencies. The Department of Commerce is
    responsible for the regulation of medical marijuana cultivators,
    processors, testing laboratories, and employees of those
    entities; the Board is responsible for the regulation of medical
    marijuana dispensaries (and their employees), patients, and
    caregivers; the State Medical Board of Ohio is responsible for
    the regulation of physicians holding a Certificate to Recommend
    medical marijuana. However, individuals are often licensed by
    more than one agency. This is common where a vertically-
    integrated company i[s] engaged in the cultivation, processing,
    and/or dispensing of medical marijuana.
    No. 21AP-606                                                                              13
    June 11, 2021 Reply Brief of the Board at 5; see also Appellee's Brief at 32 (board "has
    authority to discipline patients and caregivers * * * dispensaries * * *, and dispensary
    employees).
    {¶ 36} Thus, for example, the Department of Commerce establishes licensing
    procedures for cultivators, R.C. 3796.03(A)(2), while the board establishes licensing
    procedures for dispensaries, R.C. 3796.04(B)(3),(4).            The board has authority to
    "[s]uspend, * * * revoke, or refuse to renew a license or registration it issued," R.C.
    3796.14(B)(1)(a) (emphasis added), while the Department of Commerce has the same
    authority with regard to "a license it issued," R.C. 3796.14(A)(1)(a) (emphasis added).
    Compare also R.C. 3796.14(A)(2) (department may inspect premises of cultivators,
    processors, and labs) with R.C. 3796.14(B)(2)(b) (board may inspect dispensary premises).
    Those authorities are parallel, and may from time to time overlap, but they are not
    coextensive.
    {¶ 37} And as the board has acknowledged in at least much of its briefing, that
    division of responsibility has significant implications for enforcement authority. See
    June 11, 2021 trial court Reply Brief of the Board at 6 ("The Board has never asserted it has
    any authority to take administrative action against Standard Wellness"); Appellee's Brief at
    32 (disclaiming intent "to discipline" a Department of Commerce licensee). Moreover, the
    General Assembly has defined and thereby limited the board's investigative power with
    reference to the scope of its defined disciplinary authority.
    {¶ 38} The General Assembly spelled out the enforcement authority of the board in
    R.C. 3796.15. The first sentence of R.C. 3796.15 authorizes the board to enforce specified
    statutory sections within its particular purview, involving dispensaries and patient and
    caregiver activities. The second sentence, which we read in the context of the first, grants
    the board power to investigate potential violations of those specified statutory sections or
    of "any rule adopted under this chapter." R.C. 3796.15(A). Consistent with the authority of
    the board from the immediately preceding statutory section to regulate a license "it issued
    under this chapter," R.C. 3796.14(B)(1), and consistent with the statutory limitations on
    board enforcement to matters implicating the specified statutory sections involving
    dispensaries, patients, and caregivers, we do not read this statutory provision to empower
    No. 21AP-606                                                                               14
    the board to investigate potential violations divorced from violations by board licensees and
    registrants.
    {¶ 39} The trial court in the analysis underlying its Decision does not appear to have
    been informed by or focused on this same understanding.              Compare Decision at 6
    (describing board's "wide" enforcement authority by reciting—with emphasis in original,
    but without reference to the immediately preceding statutory limitations—that "if the Board
    has information that 'any rule adopted under this chapter has been violated, it shall
    investigate' "); compare also Appellee's Brief at 31 (urging that "R.C. 3796.15(A) gives the
    Board the power to 'investigate' any potential rule violation * * * ").
    {¶ 40} And while the trial court also emphasized the board's authority to place under
    seal marijuana controlled by an " 'affected license holder or registrant,' " Decision at 6
    (emphasis in original), it did not acknowledge in quoting this part of R.C. 3796.15(C) that
    the phrase "affected license holder or registrant" there connotes only a license holder or
    registrant over which the board itself has regulatory control. Compare R.C. 3796.15(C)
    (board may "seal" marijuana only "[i]f the board suspends, revokes, or refuses to renew any
    license or registration" of the drug holder) with Decision at 6 ("Thus, this Section gives the
    Board the authority to enforce 'any rule' against an 'affected license holder' under the
    MMCP, not just against dispensaries").
    {¶ 41} In promulgating its rules, the board has agreed that the statutes limit its
    investigative authority under the program. Its own rule 3796:6-4-01, regarding program
    "Enforcement generally," reads:
    Pursuant to section 3796.15 of the Revised Code, the state
    board of pharmacy shall regulate activities and enforce
    compliance with activities as they relate to the dispensing of
    medical marijuana and medical marijuana products to
    registered patients and designated caregivers. The state board
    of pharmacy shall investigate all activities related to Chapter[]
    * * * 3796 of the Revised Code as they relate to dispensing
    operations.
    Ohio Adm.Code 3796:6-4-01 (emphasis added); compare Ohio Adm.Code 3796:5-6-01(A)
    (authorizing Department of Commerce to investigate entities licensed by the department);
    Ohio Adm.Code 3796:6-4-02 (board may investigate dispensaries and associated people).
    No. 21AP-606                                                                                15
    That highlighted restriction as recognized by the board itself does not seem to have
    informed the Decision's analysis, which is phrased as predicated on far broader grounds.
    {¶ 42} Similarly, the board recognizes what the trial court did not say in citing the
    provisions of R.C. 4729.24(B) relating to subpoenas for investigations into potential
    violations of Revised Code Chapter 3796: that "R.C. 4729.24(B) only applies in a subpoena
    involving 'patient record information.' " Compare Appellee's Brief at 3 with Decision at 7;
    Appellee's Brief at 22 ("[a] medical marijuana cultivator [like Standard Wellness] does not
    have patient records because it does not sell directly to patients"). The trial court appears
    to have used the language of R.C. 4729.24(B), untethered from its board-specific patient
    focus, to bolster a far more sweeping take that "[c]learly, the Board has the authority to
    issue a subpoena pursuant to an investigation into alleged violations of R.C. Chapter 3796."
    Decision at 7.
    {¶ 43} Here, where the matter at hand does not appear to involve board-registered
    patients or caregivers, but does involve the cultivator Standard Wellness, the trial court's
    conclusion that the statutory authorization of board enforcement of "any rule" extends
    beyond "just * * * dispensaries," Decision at 6, provides just another signal that the Decision
    rests on an understanding of board authority broader than the statutes permit.
    {¶ 44} We review a trial court's grant of a motion to enforce a subpoena under an
    abuse of discretion standard, except that "when a trial court's decision is based on a specific
    construction of law [we review] the decision under a de novo standard." Ohio Elections
    Comm., 
    2004-Ohio-5253
    , at ¶ 18. The board's argument to us that it "has statutory
    authority to conduct an administrative investigation about whether dispensaries knowingly
    sold unlawfully grown marijuana" may be fair enough. See Appellee's Brief at 29
    (capitalizations and emphasis omitted). But the trial court's Decision does not suggest that
    the trial court evaluated the requested subpoena in the limiting context of the board's
    responsibilities under Ohio's medical marijuana control program. It is for the trial court in
    the first instance to assess whether all the materials sought under the subpoena fall within
    the scope of the board's lawful investigative authority. Because the trial court here does not
    appear to have engaged in that analysis under a proper understanding of the statutes, we
    are unable to conduct a meaningful review of whether it acted arbitrarily. Compare, e.g.,
    MacDonald v. Authentic Invs., LLC, 10th Dist. No. 15AP-801, 
    2016-Ohio-4640
    , ¶ 47 ("In
    No. 21AP-606                                                                                   16
    some circumstances, '[t]he trial court must set forth the basis for its decision with sufficient
    detail to allow proper appellate review' ") (citations omitted). We therefore will return the
    matter to the trial court for further evaluation within the statutory context we have
    described.
    {¶ 45} We sustain Standard Wellness's second assignment of error in part, to the
    extent that the Decision failed to evaluate the requested subpoena in light of the board's
    statutorily defined (and thus statutorily constrained) investigative authority. Because we
    are not in a position to prejudge the outcome of that trial court review, which will involve a
    match between factual submissions and the prevailing law, we overrule Standard
    Wellness's second assignment of error to the extent that it postulates that the trial court
    was required to deny the board's motion and to quash the subpoena. We will remand the
    matter to the trial court so that it may perform its analysis consistent with this decision.
    {¶ 46} Having sustained in part and overruled in part the second assignment of
    error, and having determined to remand the matter to the trial court for further analysis,
    we overrule the third and fourth assignments of error as rendered moot at this juncture.
    {¶ 47} We reverse the judgment of the Franklin County Court of Common Pleas and
    remand the matter there for further proceedings consistent with this decision that
    subpoenas issued by the board on its authority under the medical marijuana control
    program must be related to investigations within the board's statutorily specified purview.
    Judgment reversed and cause remanded.
    LUPER SCHUSTER, P.J., and JAMISON, J., concur.
    NELSON, J., retired, of the Tenth Appellate District, assigned
    to active duty under the authority of the Ohio Constitution,
    Article IV, Section 6(C).
    _________________