State v. Lewis , 2013 Ohio 3974 ( 2013 )


Menu:
  • [Cite as State v. Lewis, 
    2013-Ohio-3974
    .]
    IN THE COURT OF APPEALS
    ELEVENTH APPELLATE DISTRICT
    LAKE COUNTY, OHIO
    STATE OF OHIO,                                       :      OPINION
    Plaintiff-Appellee,                 :
    CASE NO. 2012-L-074
    - vs -                                       :
    RICCI R. LEWIS,                                      :
    Defendant-Appellant.                :
    Criminal Appeal from the Lake County Court of Common Pleas, Case No. 11 CR
    000736.
    Judgment: Affirmed.
    Charles E. Coulson, Lake County Prosecutor, and Karen A. Sheppert, Assistant
    Prosecutor, 105 Main Street, P.O. Box 490, Painesville, OH 44077 (For Plaintiff-
    Appellee).
    Paul A. Mancino, Jr., Mancino, Mancino & Mancino, 75 Public Square, Suite 1016,
    Cleveland, OH 44113-2098 (For Defendant-Appellant).
    THOMAS R. WRIGHT, J.
    {¶1}     This appeal is from the final judgment in a criminal proceeding before the
    Lake County Court of Common Pleas. Following a jury trial, appellant, Ricci R. Lewis,
    was found guilty on multiple counts of aggravated burglary and aggravated robbery, and
    one count of felonious assault. He contends that his conviction cannot stand because
    various prejudicial errors were committed at trial and during the sentencing hearing.
    {¶2}     This case concerns a home invasion at approximately 11:00 p.m. on the
    evening of April 5, 2011.      The home is part of a duplex on Richmond Street in
    Painesville, Ohio, and was being rented by Russell Perry and Shaquetta Page.
    Shaquetta’s three minor children were also permanent residents in the home.              In
    addition, one of Russell’s minor daughters would occasionally spend the night there.
    {¶3}    Even though the couple’s home had two entranceways, the back door was
    used as the primary means for entering the residence. The back door leads directly into
    the kitchen. Upon exiting the kitchen and moving forward are the dining room and then
    the living room. At one side of the living room is a staircase leading to the second floor,
    where three bedrooms are located.
    {¶4}    On the evening at issue, Russell and Shaquetta had a late dinner with her
    three children and one of Russell’s daughters. When the meal ended shortly before
    11:00 p.m., Shaquetta and all four children went upstairs to prepare for bed. However,
    Russell stayed downstairs to clean the kitchen. Near the end of this process, Russell
    took the trash outside to a container near the back door.
    {¶5}    As Russell was re-entering the home and beginning to shut the back door,
    two men pushed on the door and forced their way into the kitchen. Initially, the first man
    pushed Russell backward with his hands. As Russell tried to resist, the second intruder
    produced a small silver firearm and placed the barrel directly on Russell’s forehead. At
    that time, the second man said directly to Russell: “[Y]ou know what it is, we want
    everything, * * *.”
    {¶6}    Although Russell no longer tried to resist, the two intruders continued to
    push him across the room until he fell to the floor by the refrigerator. During the course
    of the confrontation, the two men struck Russell on his head a number of times, and he
    2
    sustained a number of scrapes and bruises on his face and skull.
    {¶7}   When Russell was finally subdued, he was lying on his stomach with his
    face pressed on the floor. The first man sat on top of Russell’s torso and held his head
    down. At first, Russell thought the first man was pressing the barrel of a firearm to the
    back of his head; thus, he made no attempt to get up for a short period. While lying on
    the floor, Russell saw the second man exit the kitchen and walk through the dining room
    and living room.
    {¶8}   After going through the living room, the second intruder went up the stairs
    and started down the hallway toward Shaquetta’s bedroom. As the man walked toward
    her, Shaquetta was talking on her cell phone to her sister. Initially, Shaquetta believed
    that the man entering her room was her brother; as a result, she told her sister goodbye
    and “hung up” the phone. She then turned toward the second man and quickly realized
    her mistake. However, before she could do anything, the second man again pulled out
    the small firearm, placed it against Shaquetta’s head, and said that he was going to rob
    her.
    {¶9}   Immediately after making the statement to Shaquetta, the second intruder
    heard a police siren going off in the distance. In response, he grabbed the cell phone
    from Shaquetta’s hands, ran over to her bedroom dresser, and momentarily looked for
    something else to take. When he did not see anything, he ran into the hallway and went
    down the stairs. After quickly checking upon the welfare of the four children, Shaquetta
    followed the second man to the first floor.
    {¶10} While the second man was upstairs, Russell realized that the first man did
    not have a gun, but was instead forcing Russell’s head down with his knuckles. In light
    3
    of this, Russell began to resist again, and was able to throw the first intruder off. Upon
    getting to his feet, Russell shoved the first man toward the back door, and was quickly
    able to force him out the door. The first man then ran through the back yard and leaped
    over a fence into a neighbor’s yard. Although Russell followed the first man outside and
    saw him go over the fence, he did not try to chase him any further. Rather, he ran down
    his driveway, intending to go across the road and use a phone in a local business to call
    the police.
    {¶11} After going downstairs, the second intruder ran to the kitchen and went out
    the back door. Russell never saw the second man exit the home. However, Shaquetta
    followed the second man out the back door and saw him leap over the fence on the side
    of the yard. She then walked toward the street at the front of the home and met Russell
    in the middle of the roadway. Since Russell’s daughter had used her cell phone to call
    the police while the incident was still ongoing, the police arrived at the scene within five
    minutes after the second intruder ran away.
    {¶12} Neither of the intruders was apprehended the evening of the incident. In
    speaking to the police upon their arrival at the scene, Russell stated that he previously
    had seen the first intruder, i.e., the man who held him down on the kitchen floor, at
    various places in the neighborhood, but could only recall that his first name was “Ricci.”
    This name was not sufficient to enable the police to immediately identify the first man.
    Regarding the separate intruder with the firearm, Shaquetta likewise told the police that
    she recognized him from the neighborhood. Even though she also tried to provide a
    first name for the second intruder during her initial statement to the police, that name
    was incorrect, and it was not until a few days later that Shaquetta’s friends informed her
    4
    of the second man’s correct first name.
    {¶13} Despite the fact that Shaquetta never saw the intruder who held Russell
    on the kitchen floor, she had a general idea of who he was based upon Russell’s basic
    description. Approximately three days after the incident, Shaquetta and Russell were at
    a local tavern having drinks when Shaquetta saw the first intruder enter the bar. Upon
    recognizing Shaquetta, the man came over to the couple and spoke directly to Russell.
    Specifically, the man stated that Russell should not have contacted the police about the
    incident, and that they could have settled the matter “in the streets.” When Russell did
    not respond, the man left them and went to another area of the tavern.
    {¶14} Once this confrontation was over, Shaquetta and Russell exited the tavern
    and contacted the Painesville police. After meeting the police in the bar’s parking lot,
    Shaquetta explained what had just occurred, and then accompanied an officer back into
    the bar where she identified the man in question. Based upon this, the police escorted
    the man outside and conducted a brief interview about the home invasion. Even though
    the police did not arrest the man at the time, they were able to establish that the man
    was Ricci R. Lewis, appellant.
    {¶15} After an initial complaint was filed in the Painesville Municipal Court, the
    county grand jury returned a seven-count indictment against appellant in late December
    2011. These charges included two counts of aggravated burglary, a first-degree felony
    under R.C. 2911.11(A), three counts of aggravated robbery, a first-degree felony under
    R.C. 2911.01(A), one count of felonious assault, a second-degree felony under R.C.
    2903.11(A), and one count of complicity to aggravated robbery, a first-degree felony
    under R.C. 2923.02(A). In addition to the primary offense, each of the counts also had
    5
    a firearm specification, under which it was asserted that appellant displayed or used a
    firearm while committing the underlying defense.
    {¶16} Immediately prior to trial, the state dismissed the charge of complicity to
    aggravated robbery.     As a result, appellant was tried on the identical six charges
    brought against his co-defendant, Carvell J. Fomby, who was identified as the “second
    man” during the home invasion. Given that the charges against appellant and Fomby
    were predicated upon the same facts, their trials were consolidated.
    {¶17} After an initial delay of approximately 45 days, appellant was able to post
    bond and was released during the majority of the pretrial period. Three weeks prior to
    the scheduled date of his trial, appellant had another brief encounter with Shaquetta at
    a second bar/tavern in Painesville. According to Shaquetta, appellant approached her
    and indicated that he had read her prior testimony during a preliminary hearing before
    the municipal court. Appellant then offered her money to drop the pending charges, and
    also stated that there were “girls” in the neighborhood who were looking to assault her.
    {¶18} Upon declaring appellant indigent, the trial court appointed counsel on his
    behalf. After the case was pending for three months, the appointed attorney moved to
    withdraw as counsel on the basis that appellant was not cooperating in his defense and
    was not accepting sound legal advice. Without waiting for the state to respond, the trial
    court overruled the motion to withdraw. Along the same lines, at the outset of his trial,
    appellant personally requested the trial court to appoint him a new trial attorney for the
    reason that he was not confident that his present counsel could provide adequate legal
    representation. After hearing separate statements from the state, appellant himself, and
    his present trial counsel, the trial court denied the pro se motion for new counsel.
    6
    {¶19} Appellant’s three-day jury trial was conducted in May 2012. Russell and
    Shaquetta were the primary witnesses for the state. In relation to appellant’s role in the
    home invasion, Russell testified that he was absolutely certain appellant was the person
    who pushed the back door open, helped wrestle him to the kitchen floor, and then sat
    upon him to keep him subdued. Additionally, both Russell and Shaquetta stated that a
    firearm had been held to their heads during the course of the incident. At the close of
    the evidence, the jury found appellant guilty on all six counts and firearm specifications.
    {¶20} After the county probation department prepared a presentencing report,
    the trial court held a separate sentencing hearing. First, concerning the two aggravated
    burglary counts, the court concluded that these offenses had to be merged for purposes
    of sentencing. Second, as to the remaining three counts relating solely to Russell, the
    trial court similarly held that two of the aggravated robbery counts and the sole felonious
    assault count would be merged. Accordingly, appellant was only sentenced on a single
    count of aggravated burglary, two counts of aggravated robbery, and two of the firearm
    specifications.   In addition to imposing two three-year terms for the firearm
    specifications, the court ordered appellant to serve two concurrent terms of eight years
    on the aggravated robbery counts, and a six-year term on the remaining burglary count,
    to be served consecutively to the “aggravated robbery” terms, for an aggregate term of
    twenty years.
    {¶21} In appealing his entire conviction and sentence, appellant has asserted
    twenty assignments of error for review:
    {¶22} “[1.] Defendant was denied his Sixth Amendment right to counsel when
    the court refused to allow court-appointed counsel to withdraw because of a breakdown
    7
    in the attorney-client relationship.
    {¶23} “[2.] Defendant was denied due process of law when the court refused to
    grant a continuance to defendant to obtain counsel after defendant was remanded to jail
    because of a failure to appear at a hearing before a different judge for which he had no
    notice.
    {¶24} “[3.] Defendant was denied due process of law when the court amended
    the indictment as to Ricci Lewis.
    {¶25} “[4.] Defendant was denied due process of law when the court instructed
    that a meeting between defendant and Shaquetta Page gave rise to an inference of
    consciousness of guilt.
    {¶26} “[5.] Defendant was denied due process of law when the court improperly
    singled out the ‘one witness’ rule.
    {¶27} “[6.] Defendant was denied due process of law when the court improperly
    referenced defendant as an accomplice.
    {¶28} “[7.] Defendant was denied due process of law when the court lessened
    the burden of proof by instructing on the gist of the offense.
    {¶29} “[8.] Defendant was denied due process of law when the court failed to
    inform the jury that it must unanimously agree on theory in order to find defendant guilty.
    {¶30} “[9.] Defendant was denied due process of law when the court imposed
    consecutive sentences which were contrary to law.
    {¶31} “[10.] Defendant was denied due process of law when the court rotely
    recited the statutory criteria for imposing consecutive sentences.
    {¶32} “[11.] Defendant was denied due process of law and subjected to
    8
    unconstitutional multiple punishments when he was set to be sentenced on two firearm
    specifications arising out of the same transaction.
    {¶33} “[12.] Defendant was denied due process of law and equal protection of
    the law when he received a greater sentence than the co-defendant.
    {¶34} “[13.] Defendant was subjected to unconstitutional multiple punishments
    when the court failed to merge all offenses into one offense of aggravated burglary.
    {¶35} “[14.] Defendant was denied due process of law when the court sentenced
    defendant for merged offenses.
    {¶36} “[15.] Defendant was denied due process of law when he was convicted
    and sentenced under a multiplicitious (sic) indictment.
    {¶37} “[16.] Defendant was denied due process of law when the court overruled
    his motion for judgment of acquittal.
    {¶38} “[17.] Defendant is entitled to a new trial as the verdicts are against the
    manifest weight of the evidence.
    {¶39} “[18.] Defendant was denied due process of law when the court improperly
    imposed court costs.
    {¶40} “[19.] Defendant was denied due process of law when this case was
    improperly transferred from the original assigned judge to a new judge.
    {¶41} “[20.] Defendant was denied effective assistance of counsel.”
    {¶42} Since appellant’s first two assignments raise interrelated issues, they will
    be addressed together. Under both assignments, he contends that the trial court erred
    in requiring his original court-appointed counsel to represent him at trial. First, appellant
    maintains that his pro se motion for the appointment of new counsel should have been
    9
    granted because he was able to show that there had been a breakdown in his ability to
    communicate with his trial attorney. Second, he submits that the trial court failed to give
    proper consideration to counsel’s written request to withdraw from the case.
    {¶43} As previously noted, trial counsel’s pretrial motion to withdraw was based
    upon his perceived inability to communicate with his client. In this regard, counsel
    stated that he not only found it difficult to physically locate appellant to schedule
    meetings, but he could not get appellant to cooperate in the formulation of trial strategy.
    Similarly, appellant’s oral request for a continuance and appointment of new counsel
    was also based upon an allegation of a lack of communication.             Specifically, he
    asserted that trial counsel had failed to keep him properly informed as to when he was
    required to appear before the trial court. In addition, appellant asserted that he did not
    have full confidence in his counsel because counsel failed to understand the
    significance of a misstatement in a police report.
    {¶44} In reviewing a decision on a motion for a change of appointed counsel, an
    appellate court will only reverse the trial court if there has been an abuse of discretion.
    State v. Sanders, 11th Dist. Lake No. 2007-L-062, 
    2008-Ohio-1126
    , ¶9. In this exact
    context, an abuse of discretion connotes an attitude on the part of the trial court that is
    arbitrary, unreasonable or unconscionable. 
    Id.
    {¶45} As to the standard to be employed in ruling upon a motion for a change of
    appointed counsel, this court has stated:
    {¶46} “As a general proposition, an indigent criminal defendant does not have a
    constitutional right to choose the attorney who will represent him at the expense of the
    state; rather, he is only entitled to competent legal representation. State v. Horn, 6th
    10
    Dist. No. OT-03-016, 
    2005 Ohio 5257
    , at ¶11. As a result, the request of a defendant to
    discharge his court-appointed counsel will be granted only if he can ‘show a breakdown
    in the attorney-client relationship of such a magnitude as to jeopardize the defendant’s
    right to effective assistance of counsel.’ State v. Coleman (1988), 
    37 Ohio St.3d 286
    ,
    * * *, paragraph four of the syllabus. See, also, State v. Henness (1997), 
    79 Ohio St.3d 53
    , 65, 
    1997 Ohio 405
    , * * *.
    {¶47} “In applying the foregoing basic standard, the courts of this state have
    recognized three examples of good cause which would warrant the discharge of court-
    appointed counsel: (1) a conflict of interest; (2) a complete breakdown of
    communication; and (3) an irreconcilable conflict which could cause an apparent unjust
    result. Horn, 
    2005 Ohio 5257
    , at ¶11, quoting State v. Blankenship (1995), 
    102 Ohio App.3d 534
    , 558, * * *. In light of the nature of the three examples, it has been further
    held that the substitution of counsel should be allowed only if extreme circumstances
    exist. State v. Glasure (1999), 
    132 Ohio App.3d 227
    , 239, * * *.
    {¶48} “In regard to a possible breakdown of the attorney-client relationship due
    to a lack of communication, the Supreme Court of Ohio has expressly said that the Sixth
    Amendment right to counsel was not intended to guarantee that a criminal defendant
    will have a ‘rapport’ with his attorney. Henness, 70 Ohio St.3d at 65, citing Morris v.
    Slappy (1983), 
    461 U.S. 1
    , * * *. Accordingly, the existence of hostility or a personal
    conflict between the attorney and the defendant does not constitute a total breakdown
    so long as it does not inhibit the attorney from both preparing and presenting a
    competent defense. State v. Meridy, 12th Dist. No. CA2003-11-091, 
    2005 Ohio 241
    ;
    State v. Mayes, 4th Dist. No. 03CA9, 
    2004 Ohio 2027
    .               Moreover, the lack of
    11
    communication must be permanent in nature before a finding of a complete breakdown
    can be made. State v. Evans, 
    153 Ohio App.3d 226
    , 
    2003 Ohio 3475
    , at ¶32, * * *.
    Finally, a dispute over the trial tactics or strategy of the attorney is not sufficient to
    establish the requisite breakdown. Id.” State v. Jackson, 11th Dist. Trumbull No. 2004-
    T-0089, 
    2006-Ohio-2651
    , ¶43-45.
    {¶49} In this case, appellant initially argued before the trial court that he wanted
    to discharge his court-appointed counsel because he had sufficient funding to hire his
    own private attorney. In support of this point, he told the trial court that he had already
    contacted a specific attorney and had a preliminary discussion about his case. Yet, the
    trial record shows that, as of the first day of appellant’s trial, no new counsel had made
    an appearance on his behalf. This was despite the fact that appellant was released on
    bond approximately three months before the date of his trial, and thus had considerable
    time in which to hire new counsel. In light of this, the trial court could justifiably find that
    appellant was still indigent and had not been able to accumulate enough funding to hire
    his own counsel.
    {¶50} As to the alleged breakdown of communication between appellant and his
    court-appointed counsel, appellant told the trial court that, even though he had given his
    cell phone number to counsel when he was released on bond, counsel had not given
    him timely notice of upcoming events in this case. According to appellant, this was the
    reason he had not been present at a mandatory court hearing, leading to the issuance
    of a warrant for his arrest. In response, trial counsel indicated that, despite the fact that
    he had tried two distinct phone numbers and had left messages for appellant, it always
    was extremely difficult to contact his client. Trial counsel also stated that whenever he
    12
    was able to meet with appellant, his client was argumentative and would not accept any
    legal advice.
    {¶51} In denying appellant’s motion for a change of counsel, the trial court noted
    that, as a condition of appellant’s bond, he was specifically required to keep in contact
    with his trial counsel. Based upon this and the statements of trial counsel, the trial court
    could justifiably conclude that the lack of communication between the attorney and his
    client was solely attributable to appellant, and that appellant’s actions were simply a
    means of delaying the beginning of his trial while he was out on bail. To this extent, the
    statements before the trial court warranted the conclusion that there had actually been
    no breakdown of communication due to incompatibility, but solely because appellant’s
    desire to obtain a third continuance of his trial.
    {¶52} Regarding appellant’s assertion that he was uncomfortable with the legal
    adequacy of trial counsel’s representation, appellant could only cite one example of
    counsel’s alleged failure to protect his rights. He stated that, in reviewing a copy of a
    police report provided to him by trial counsel, he noticed that the report stated that
    Russell and Shaquetta had described their assailants in the home invasion as both
    having facial tattoos. Supposedly, when appellant brought to his trial counsel’s attention
    that he did not have any tattoos on his face, counsel admitted that he had not noted the
    statement in the police report.
    {¶53} As to this point, during the trial proceedings, there was no dispute
    concerning appellant’s identity as one of the two men who entered Russell’s home on
    the night in question. Thus, it cannot be said that counsel was unable to discern an
    important issue in the case. To this extent, appellant’s assertions before the trial court
    13
    were not sufficient to demonstrate that trial counsel had failed to provide adequate
    representation for appellant, especially in light of the fact that appellant was not
    assisting in his own defense.
    {¶54} As a separate issue, appellant contends that his right to due process was
    violated when the trial court overruled trial counsel’s motion to withdraw without holding
    an oral hearing on the matter. Even though no hearing was conducted at the time
    counsel’s motion was filed, the trial court held a full hearing on the “representation”
    issue at the time appellant made his pro se motion at the beginning of his trial. During
    that hearing, both appellant and counsel were accorded a full opportunity to state the
    grounds for their respective motions. Accordingly, any initial procedural error by the trial
    court was not ultimately prejudicial to appellant.
    {¶55} Considered as a whole, the record does not indicate the existence of an
    extreme situation in which appellant and trial counsel were no longer able to
    communicate as a result of a serious disagreement regarding the type of defense which
    should be used at trial. Instead, the lack of full communication was due to appellant’s
    choice not to cooperate with his court-appointed counsel. Under such circumstances,
    the trial court did not abuse its sound discretion in refusing to grant a continuance or not
    appointing new trial counsel for appellant. Appellant’s first and second assignments of
    error do not have merit.
    {¶56} Under his third assignment, appellant maintains the trial court improperly
    amended the indictment by not instructing the jury on the third count of the indictment.
    He contends that the lack of reference to the third count rendered the remainder of the
    jury instructions so confusing that he was denied a fair trial.
    14
    {¶57} Prior to trial, the state orally moved to dismiss the third count of the
    indictment against appellant, and the trial court granted this motion. As a result, the
    remaining counts in appellant’s indictment corresponded to the charges in the co-
    defendant’s indictment. Therefore, there is no merit to appellant’s contention that the
    jury instructions were confusing to the jury, or that the trial court improperly amended
    the indictment.
    {¶58} As part of this assignment, appellant claims that the trial court erred in not
    instructing the jury on the elements of the underlying offenses in the various charges of
    aggravated burglary and aggravated robbery. Specifically, he submits that the court
    was obligated to define the offenses of theft, robbery, and assault. But, in addressing
    this issue in relation to the crime of burglary, the Supreme Court of Ohio has held that
    jury instructions covering the underlying offenses of such a crime is not necessary
    because the underlying offenses are not viewed as actual elements of the crime. State
    v. Gardner, 
    118 Ohio St.3d 420
    , 
    2008-Ohio-2787
    , ¶71.               Accordingly, the jury
    instructions were not legally flawed. Appellant’s third assignment is not well taken.
    {¶59} Under his next assignment, appellant argues that the trial court erred in
    allowing Shaquetta to testify as to the encounter she had with appellant approximately
    three weeks prior to trial. As previously noted, Shaquetta testified that, in confronting
    her alone in a local bar, appellant offered to pay her money to dropped the charges in
    the pending criminal case. Although appellant’s trial counsel objected to the testimony,
    the trial court admitted it as evidence of a guilty conscious. Appellant contends that her
    testimony should have been excluded as evidence of a prior bad act under Evid.R.
    404(B).
    15
    {¶60} Under Ohio law, it is well-settled that “[e]vidence of conduct designed to
    impede or prevent a witness from testifying is admissible as showing consciousness of
    guilt.”    State v. Williams, 
    79 Ohio St.3d 1
    , 11, 
    1997-Ohio-407
     (1997).         Appellant’s
    conduct shows consciousness of guilt.
    {¶61} As the trial court acted in compliance with the governing case law when it
    allowed Shaquetta’s testimony and then instructed as to the relevancy of the evidence,
    appellant’s fourth assignment is without merit.
    {¶62} Under his fifth assignment, appellant asserts that he was denied a fair trial
    because, in instructing the jury, the trial court placed too much emphasis upon a specific
    rule governing the determination of witness credibility. That is, he argues that the court
    should not have expressly told the jury that proof of a specific fact can be based upon
    the testimony of one witness. It is appellant’s position that, because his conviction was
    predicated solely upon the testimony of Russell Perry, the “one witness” instruction had
    the effect of placing undue importance on Russell’s testimony.
    {¶63} As the state correctly notes, the instruction given by the trial court was
    consistent with the standard instruction for the “one witness” rule.         See Ohio Jury
    Instructions, Section CR409.05, at 73, (2012). Furthermore, in providing the disputed
    instruction, the trial court did not make any express reference to Russell or Shaquetta,
    thereby indicating that the rule could be applied to either. Rather, the rule was set forth
    in a group of standard instructions regarding the role of the jury in judging witness
    credibility.
    {¶64} Except for Shaquetta’s testimony concerning appellant’s alleged offer to
    pay her and Russell off, the state’s case against appellant was predicated entirely upon
    16
    Russell’s testimony.     Thus, the disputed instruction was appropriate; i.e., the jury
    needed to know that a finding of guilt could be based upon the testimony of one
    witness. In addition, the instruction was not stated in such way as to give it any greater
    weight than the other “credibility” instructions.
    {¶65} Therefore, appellant’s fifth assignment is not well taken.
    {¶66} Under his sixth assignment, appellant maintains that he was denied a fair
    trial in light of certain statements the trial court made to the jury as part of its preliminary
    instructions regarding the consideration of the evidence. Specifically, he notes that the
    court informed the jury that even if an accomplice did not possess a firearm during the
    execution of a crime, he could still be found guilty of a firearm specification if the main
    offender had a firearm. Appellant asserts this instruction placed too much emphasis on
    his role as an accomplice in the underlying incident.
    {¶67} The decision to employ a particular jury instruction in a given criminal case
    lies within the sound discretion of the trial court, and cannot form the grounds to reverse
    a conviction unless an abuse of discretion took place. State v. Nichols, 11th Dist. Lake
    No. 2005-L-017, 
    2006-Ohio-2934
    , ¶28. As a general proposition, a jury instruction is
    proper if it sets forth a plain and unambiguous statement of the law that is pertinent to
    the case in light of the pleadings and the evidence presented at trial. Id. at ¶30.
    {¶68} The disputed instruction concerning complicity as to a firearm specification
    was clearly relevant to appellant’s role in the home invasion and set forth a proper
    statement of the governing case law. In State v. Fitzgerald, 11th Dist. Lake No. 2003-L-
    084, 
    2004-Ohio-6173
    , ¶62, fn. 3, this court held that “where the state proves beyond a
    reasonable doubt that a party acted in complicity to aggravated robbery and the
    17
    principal offenders possessed firearms, that party may be ‘prosecuted and punished as
    if he were a principal offender.’” To the extent that it was necessary for the jury to know
    that appellant could be found guilty under the firearm specifications even if he did not
    have actual possession of the handgun during the incident, the trial court’s preliminary
    “complicity” instruction was a correct statement of law. Accordingly, appellant’s sixth
    assignment is without merit.
    {¶69} Under his seventh assignment, appellant submits that the trial court erred
    in instructing the jury on the mens rea of “purposefully.” This argument is based upon
    the following sentence from the jury instructions:
    {¶70} “When the central idea, essence, or gist of the offense is a prohibition
    against or forbidding of conduct of a certain nature, a person acts purposely if his
    specific intention was to engage in conduct of that nature, regardless of what he may
    have intended to accomplish by his conduct.”
    {¶71} Citing the “gist of the offense” language, appellant asserts the instruction
    was needlessly confusing and had the effect of lessening the burden of proof the state
    had to carry in order to establish the mens rea.
    {¶72} In support of his argument, appellant relies upon the decision of the Ohio
    Supreme Court in State v. Wilson, 
    74 Ohio St.3d 381
    , 
    1996-Ohio-103
     (1996).                  In
    Wilson, the disputed instruction provided:
    {¶73} “‘A person acts purposely, when the gist of the offense is a prohibition
    against conduct of a certain nature, regardless of what the offender intends to
    accomplish thereby, if it is his specific intention to engage in conduct of that nature.’” Id.
    at 392.
    18
    {¶74} In analyzing the foregoing instruction, the Wilson court first concluded that
    the inclusion of the “gist of the offense” language did create some confusion regarding
    what constituted “purposeful” behavior. Id., at 393. However, upon reviewing the “gist”
    language in the context of the entire instruction, the Wilson court held that no plain error
    had occurred because the entire instruction had been adequate to properly define the
    element of specific intent. Id.
    {¶75} In applying the Wilson precedent, the Eighth Appellate District has held
    that the trial court’s use of the “gist of the offense” language does not have the effect of
    diluting the state’s burden of proof when the term “purposefully” is otherwise properly
    defined in the instructions. State v. Hamilton, 8th Dist. Cuyahoga No 86520, 2006-
    Ohio-1949, ¶46.
    {¶76} In this case, the trial court used the “gist” language twice in its instructions
    to the jury. In the first instance, the “gist” language was included as part of the following
    discussion of the definition of purposeful behavior:
    {¶77} “A person acts purposely when it is his specific intention to cause a certain
    result. It must be established in this case that at the time in question there was present
    in the mind of the Defendant a specific intention to commit a criminal offense in the
    occupied structure.    When the central idea, essence, or gist of the offense is a
    prohibition against or forbidding of conduct of a certain nature, a person acts purposely
    if his specific intention was to engage in conduct of that nature, regardless of what he
    may have intended to accomplish by his conduct. Purpose is a decision of the mind to
    do an act with a conscious objective of producing a specific result or engaging in
    specific conduct. To do an act purposely is to do it intentionally and not accidentally.
    19
    Purpose and intent mean the same thing.”
    {¶78} When the trial court used the “gist” language the second time, it was
    included in a discussion which was virtually identical to the foregoing quote.
    {¶79} The term “purposely” is defined in R.C 2901.22(A):
    {¶80} “(A) A person acts purposely 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.”
    {¶81} When considered as a whole, the definition of the term “purposely” in the
    trial court’s jury instructions was sufficiently consistent with the statutory definition to
    adequately instruct the jury. Therefore, the use of the “gist” language did not have the
    effect of diluting the state’s burden of proof on the “purposely” element. Hamilton. For
    this reason, appellant’s seventh assignment is not well taken.
    {¶82} Under his next assignment, appellant maintains that the trial court erred
    when it failed to instruct the jury that it was required to reach a unanimous verdict as to
    whether he had been the principal offender or an aider and abettor in the commission of
    the various offenses. He states that complicity constitutes a separate theory regarding
    the role he played in the incident, and that the jury had to agree as to the nature of that
    role before he could be found guilty.
    {¶83} Under Ohio law, the legal distinction between principal offender and aider
    and abettor is not viewed as significant. R.C. 2923.03(F) provides that a person who is
    guilty of complicity “shall be prosecuted and punished as if he were a principal offender.
    A charge of complicity may be stated in terms of this section, or in terms of the principal
    20
    offender.”
    {¶84} In light of the foregoing, the failure to require the jury to distinguish on the
    verdict forms whether the defendant was found guilty as an aider and abettor is not a
    plain error warranting the reversal of a conviction. See State v. Beshara, 7th Dist.
    Mahoning No. 07 MA 37, 
    2009-Ohio-6529
    , ¶77. The same logic would likewise apply to
    any alleged error in the trial court’s instructions as to the need for a unanimous verdict
    regarding the role of appellant in the commission of the underlying offenses.
    {¶85} In this case, appellant’s trial counsel never objected to the trial court’s jury
    instructions concerning whether he had acted as an aider and abettor; hence, a plain
    error can only be found when, inter alia, the outcome of the trial was adversely affected.
    Id. at ¶75. Here, the state’s evidence was overwhelming that appellant had acted as a
    principal offender in relation to the offenses against Russell Perry, and an aider and
    abettor as to those offenses against Shaquetta Page. That is, if the jury believed the
    testimony of Russell and Shaquetta, there would be no factual dispute concerning the
    role appellant played in each of the three remaining charges. Therefore, since appellant
    was not prejudiced by any alleged error pertaining to the complicity jury instructions, his
    eighth assignment of error lacks merit.
    {¶86} Under his ninth assignment, appellant claims that the trial court’s decision
    to impose consecutive prison terms in regard to the aggravated burglary count and the
    two aggravated robbery counts was contrary to law. Citing R.C. 2929.14(E), he asserts
    that the trial court only had the statutory authority to impose consecutive terms if he was
    convicted of a violent sex offense, a designated homicide, an assault, or a kidnapping
    offense. According to appellant, since aggravated burglary and aggravated robbery are
    21
    not cited in R.C. 2929.14(E), he could only be required to serve concurrent terms.
    {¶87} In responding to this assignment, the state aptly notes that R.C. Chapter
    2929 sets forth a number of different standards governing the imposition of consecutive
    terms by a trial court. The state further notes that the primary standard for consecutive
    terms is delineated in R.C.2929.14(C)(4):
    {¶88} “(4) If multiple prison terms are imposed on an offender for convictions of
    multiple offenses, the court may require the offender to serve the prison terms
    consecutively if the court finds that the consecutive service is necessary to protect the
    public from future crime or to punish the offender and that consecutive sentences are
    not disproportionate to the seriousness of the offender’s conduct and to the danger the
    offender poses to the public, and if the court also finds any of the following:
    {¶89} “* * *
    {¶90} “(b) At least two of the multiple offenses were committed as part of one or
    more courses of conduct, and the harm caused by two or more of the multiple offenses
    so committed was so great or unusual that no single prison term for any of the offenses
    committed as part of any of the courses of conduct adequately reflects the seriousness
    of the offender’s conduct.
    {¶91} “(c) The offender’s history of criminal conduct demonstrates that
    consecutive sentences are necessary to protect the public from future crime by the
    offender.”
    {¶92} Although the trial court in this case did not expressly refer to the foregoing
    standard during the sentencing hearing, statements made by the court at that hearing
    plainly shows that the decision to impose consecutive prison terms was predicated upon
    22
    R.C. 2929.14(C)(4).    Specifically, after the trial court allowed appellant and the co-
    defendant to address the issue of sentencing, it made the following findings as to both
    of them:
    {¶93} “The Court determines that consecutive sentences are called for here, not
    only because of the firearm specifications, which are mandatory consecutive sentences,
    but also as to the underlying crimes. The Court believes that consecutive sentences
    are necessary to protect the public and punish the offenders. Consecutive sentences
    would not be disproportionate to the conduct and to the danger the offenders pose. The
    Court finds that the harm was so great or unusual that a single term does not
    adequately reflect the seriousness of the conduct and that the offenders’ criminal
    history, particularly as to the Defendant Ricci Lewis shows that consecutive terms are
    needed to protect the public.”
    {¶94} The trial court clearly made the requisite findings to impose consecutive
    prison terms under R.C. 2929.14(C)(4). In contesting the legality of his sentence before
    this court, appellant has not challenged whether those findings were supported. Hence,
    since the decision to impose consecutive sentences was made in accordance with the
    governing statutory law, appellant’s ninth assignment lacks merit.
    {¶95} Appellant’s tenth assignment also raises a challenge to the imposition of
    consecutive prison terms on the remaining underlying offenses. He asserts that the trial
    court never made any specific factual findings that justified consecutive terms. Instead,
    according to him, the court merely made a rote statement of the statutory criteria without
    providing a substantive discussion.
    {¶96} In making this argument, appellant does not reference the standard for the
    23
    imposition of consecutive sentences under R.C. 2929.14(C)(4). Rather, his argument is
    predicated entirely upon the following statement of the trial court during the sentencing
    hearing:
    {¶97} “The Court determines that there was a separate animus in the
    commission of the robbery and the burglary. The burglary could have been committed
    entirely without committing an aggravated robbery.         And that once the individual
    invaded this household, forced their way in, they immediately took control of the
    situation by committing an aggravated robbery with firearms.           And that that’s an
    additional reason why this Court believes consecutive sentences are absolutely
    necessary here.” (Emphasis added.)
    {¶98} As previously noted in our discussion of appellant’s ninth assignment, as
    part of its sentencing analysis earlier in the sentencing hearing, the trial court had made
    express factual findings regarding the criteria for consecutive prison terms under R.C.
    2929.14(C)(4). Thus, in making the italicized statement at the end of the foregoing
    quote, the court was not stating its entire justification for consecutive terms. Instead, as
    the court readily indicated, it was merely providing an additional reason in support of its
    decision on the “consecutive terms” issue.
    {¶99} Taken as a whole, there is nothing to establish that the trial court failed to
    consider the governing statutory criteria prior to deciding to impose consecutive prison
    terms in relation to the remaining aggravated burglary count and the two aggravated
    robbery counts. For this reason, appellant’s tenth assignment does not have merit.
    {¶100} Under his eleventh assignment, appellant submits that the trial court erred
    in imposing two three-year terms under two of the firearm specifications. According to
    24
    him, the statutory provision governing the imposition of sentence for such specifications
    only allowed the trial court to order one three-year term under one specification. Citing
    R.C. 2929.14(B)(1)(b), he argues that multiple three-year terms are impermissible when
    all of the firearm specifications were committed as part of one continuous transaction.
    {¶101} Each of the six firearm specifications against appellant was brought under
    R.C. 2941.415, and essentially alleged that a firearm had been displayed or brandished
    during the commission of underlying felony offense. R.C. 2929.14(B)(1)(a)(ii) provides
    that a three-year term can be imposed when the criminal defendant is found guilty of a
    firearm specification under R.C. 2941.415.
    {¶102} As to the imposition of multiple three-year terms for firearm specifications,
    R.C. 2929.14(B)(1)(b) generally states that multiple terms are not permissible when the
    underlying felonies were “committed as part of the same act or transaction.” However,
    R.C. 2929.14(B)(1)b) also expressly provides that an exception to the foregoing general
    rule is set forth in division (B)(1)(g) of the statute:
    {¶103} “(g) If an offender is convicted of or pleads guilty to two or more felonies, if
    one or more of those felonies is aggravated murder, murder, attempted aggravated
    murder, attempted murder, aggravated robbery, felonious assault, or rape, and if the
    offender is convicted of or pleads guilty to a specification of the type described under
    division (B)(1)(a) of this section in connection with two or more of the felonies, the
    sentencing court shall impose on the offender the prison term specified under division
    (B)(1)(a) of this section for each of the two most serious specifications of which the
    offender is convicted or to which the offender pleads guilty and, in its discretion, also
    may impose on the offender the prison term specified under that division for any or all of
    25
    the remaining specifications.”
    {¶104} Appellant was convicted of two counts of aggravated robbery, one as to
    Russell and one as to Shaquetta. Given that aggravated robbery is one of the specific
    felonies listed in R.C. 2929.14(B)(1)(g), the “same act or transaction” rule under division
    (B)(1)(b) was inapplicable in this instance. Instead, the trial court was required to follow
    the exception in division (B)(1)(g), which expressly mandates that a separate prison
    term be imposed for each of the two most serious firearm specifications. To this extent,
    because each of the two remaining aggravated robbery counts contained firearm
    specifications of which appellant was convicted, the trial court simply had no discretion
    in imposing two three-year terms for the specifications. Therefore, appellant’s eleventh
    assignment is not well-taken.
    {¶105} Under his twelfth assignment, appellant claims that the trial court violated
    his constitutional right to equal protection by imposing an aggregate sentence which is
    longer than the total sentence given to his co-defendant, Carvell Fomby. Specifically,
    he notes that he was ordered to serve an aggregate term of twenty years, while Fomby
    is only required to serve seventeen years. Appellant submits that this result was unjust
    because it was Fomby who wielded the firearm during the alleged incident.
    {¶106} R.C. 2929.11(B) expressly requires that Ohio’s sentencing guidelines are
    to be applied consistently by trial courts. In relation to the goal of consistency, “[w]e
    have held that sentencing consistency is not derived from the trial court’s comparison of
    the current case to other sentences given to similar offenders for similar offenses. * * *
    Rather, it is the trial court’s proper application of the statutory sentencing guidelines that
    ensures consistency.     * * *   Thus, in order to show a sentence is inconsistent, a
    26
    defendant must show the trial court failed to properly consider the statutory factors and
    guidelines.” State v. Greitzer, 11th Dist. Portage No. 2006-P-0090, 
    2007-Ohio-6721
    ,
    ¶24.
    {¶107} In summarizing the guidelines for felony sentencing under Ohio’s statutory
    scheme, this court has stated:
    {¶108} “R.C. 2929.11(A) provides that a trial court that sentences an offender for
    a felony conviction must be guided by the ‘overriding purposes of felony sentencing.’
    Those purposes are to ‘protect the public from future crimes by the offender and others
    and to punish the offender.’ R.C. 2929.11(B) provides that a felony sentence must be
    reasonably calculated to achieve the purposes set forth under R.C. 2929.11(A),
    commensurate with and not demeaning to the seriousness of the crime and its impact
    on the victim, and consistent with sentences imposed for similar crimes committed by
    similar offenders. Finally, R.C. 2929.12 sets forth factors concerning the seriousness of
    the offense and recidivism factors.” State v. Cross, 11th Dist. Lake No. 2006-L-135,
    2007- Ohio-3847, ¶23.
    {¶109} The trial court’s decision to give appellant a longer aggregate sentence
    was clearly based upon recidivism factors. During the sentencing hearing, the state
    established that appellant had a substantial criminal record which included more than
    ten previous convictions. Given that appellant’s past record was significantly worse
    than that of the co-defendant, the trial court could reasonably conclude that appellant
    posed a greater risk to the general public, and thus should be incarcerated for a longer
    time period.
    {¶110} Taken as a whole, the decision to impose three additional years of
    27
    incarceration was predicated upon a proper application of the statutory sentencing
    factors.   Therefore, since appellant’s right to equal protection of the law was not
    violated, his twelfth assignment is not well-taken.
    {¶111} Under his thirteenth assignment, appellant asserts that the trial court erred
    in not merging the two remaining counts of aggravated robbery into the sole remaining
    count of aggravated burglary. Without addressing the question of whether foregoing
    crimes are allied offenses of similar import, appellant maintains that separate sentences
    could not be imposed for all three remaining offenses because the evidence established
    that the aggravated burglary and the two aggravated robberies were committed as part
    of one continuous criminal act.
    {¶112} The legal effect of a defendant’s conviction on multiple crimes is governed
    by R.C. 2941.25:
    {¶113} “(A) Where the same conduct by defendant can be construed to constitute
    two or more allied offenses of similar import, the indictment or information may contain
    counts for all such offenses, but the defendant may be convicted of only one.
    {¶114} “(B) Where the defendant’s conduct constitutes two or more offenses of
    dissimilar import, or where his conduct results in two or more offenses of the same or
    similar kind committed separately or with a separate animus as to each, the indictment
    or information may contain counts for all such offenses, and the defendant may be
    convicted of all of them.”
    {¶115} In its most recent pronouncement on the “allied offenses” issue, a plurality
    of the Supreme Court of Ohio summarized its general application of R.C. 2941.25:
    {¶116} “In determining whether offenses are allied offenses of similar import
    28
    under R.C. 2941.25(A), the question is whether it is possible to commit one offense and
    commit the other with the same conduct. * * *. If the offenses correspond to such a
    degree that the conduct of the defendant constituting the commission of one offense
    constitutes commission of the other, then the offenses are of similar import.
    {¶117} “If the multiple offenses can be committed by the same conduct, then the
    court must determine whether the offenses were committed by the same conduct, i.e.,
    ‘a single act, committed with a single state of mind.’ * * *.
    {¶118} “If the answer to both questions is yes, then the offenses are allied
    offenses of similar import and will be merged.
    {¶119} “Conversely, if the court determines that the commission of one offense
    will never result in the commission of the other, or if the offenses are committed
    separately, or if the defendant has separate animus for each offense, then, according to
    R.C. 2941.25(B), the offenses will not merge.” (Citations omitted and emphasis sic.)
    State v. Johnson, 
    128 Ohio St.3d 153
    , 
    2010-Ohio-6314
    , ¶48-51.
    {¶120} Although the foregoing analysis was only followed by a plurality of the
    Supreme Court, this court expressly adopted the Johnson analysis in State v. Muncy,
    11th Dist. Ashtabula No. 2011-A-0066, 
    2012-Ohio-2830
    .
    {¶121} At the outset of our analysis in this case, it must be noted that appellant
    was only sentenced on the first, second and fourth counts of the indictment, as
    amended after the state dismissed the charge of complicity to aggravated robbery.
    Consistent with the trial court’s instructions to the jury, the fourth count of the indictment
    charged appellant with aggravated robbery pertaining solely to Shaquetta. In contrast,
    the first and second counts of the indictment, under which appellant was charged with
    29
    aggravated burglary and aggravated robbery, respectively, related solely to Russell.
    {¶122} When the same offense is committed against different victims during the
    same course of conduct, there is a separate animus as to each victim; therefore, under
    such circumstances, the multiple offenses are not deemed “allied” for purposes of R.C.
    2941.25, and a separate sentence can be imposed for each offense. State v. Chaney,
    8th Dist. Cuyahoga No. 97872, 
    2012-Ohio-4933
    , ¶26-28. In light of this, the aggravated
    robbery count as to Shaquetta could never be merged with either of the remaining two
    counts as to Russell. Accordingly, our analysis under this assignment must focus upon
    whether the trial court should have merged the two “Russell” counts together. As part of
    its oral discussion during the sentencing hearing, the trial court determined that the
    aggravated burglary charge under count one could not be merged with the remaining
    aggravated robbery count as to Russell because appellant had a separate animus for
    each offense.
    {¶123} Under the first count, appellant was charged with aggravated burglary
    under R.C. 2911.11(A)(1), which provides:
    {¶124} “(A) No person, by force, stealth, or deception, shall trespass in an
    occupied structure * * *, when another person other than an accomplice of the offender
    is present, with purpose to commit in the structure * * * any criminal offense, if any of the
    following apply:
    {¶125} “(1) The offender inflicts, or attempts or threatens to inflict physical harm
    on another; * * *.”
    {¶126} Under the second count of the indictment, appellant was charged with
    aggravated robbery pursuant to R.C. 2911.01(A)(1), which states:
    30
    {¶127} “(A) No person, in attempting or committing a theft offense, as defined in
    section 2913.01 of the Revised Code, or in fleeing immediately after the attempt or
    offense, shall do any of the following:
    {¶128} “(1) Have a deadly weapon on or about the offender’s person or under the
    offender’s control and either display the weapon, brandish it, indicate that the offender
    possesses it, or use it; * * *.”
    {¶129} It is possible to commit aggravated burglary and aggravated robbery with
    the same conduct. However, a trial court can still impose separate prison terms for the
    two offenses if, pursuant to R.C. 2941.25(B), the crimes were not committed by the
    same conduct. The two offenses are allied and must be merged for sentencing only
    when “the offenses were committed by the same conduct, i.e., ‘a single act, committed
    with a single state of mind.’” Johnson, 
    2010-Ohio-6314
    , at ¶49, quoting State v. Brown,
    
    119 Ohio St.3d 447
    , 
    2008-Ohio-4569
    , ¶50.
    {¶130} The remaining aggravated robbery count relating to Russell was based
    upon the allegation that the co-defendant, Carvell Fomby, had a deadly weapon in his
    possession and displayed or brandished it. Fomby first displayed the firearm when he
    placed it on Russell’s head immediately after the initial intrusion into the home. It was
    also at that point that Fomby told Russell that he and appellant wanted “everything”
    Russell had, thereby stating the intent to commit a theft offense against him. That
    conduct alone, in which appellant was complicit, satisfied all elements of aggravated
    robbery under R.C. 2911.01(A)(1).
    {¶131} Under R.C. 2911.11(A)(1), the aggravated burglary as to Russell was
    fulfilled when appellant inflicted physical harm to Russell in the ensuing scuffle ending
    31
    by the refrigerator. Given that the physical harm element for aggravated burglary was
    committed by additional subsequent conduct that was not needed to prove the
    aggravated robbery, the counts do not merge.
    {¶132} In other words, separate sentences are permitted for the two offenses
    against Russell because the commission of the two crimes were not based upon the
    exact same conduct; i.e., an additional act was performed which, although unnecessary
    for the commission of aggravated robbery, completed the offense of aggravated
    burglary. If a separate penalty could not be imposed for the aggravated burglary, it
    would essentially mean that appellant and Formby would be free to inflict physical harm
    upon Russell without having to face additional penalty. Such a result was clearly not
    intended by the General Assembly in enacting R.C. 2941.25(B). See State v. Frazier,
    
    58 Ohio St.2d 253
     (1979); State v. Monroe, 
    105 Ohio St.3d 384
    , 
    2005-Ohio-2282
    , ¶68;
    State v. ONeil, 11th Dist. Portage No. 2010-P-0041, 
    2011-Ohio-2202
    , ¶46-51.
    {¶133} The trial court correctly imposed separate sentences regarding the
    aggravated burglary count and the aggravated robbery count relating to Russell Perry,
    as well as the separate aggravated robbery count pertaining to Shaquetta Page. Thus,
    appellant’s thirteenth assignment lacks merit.
    {¶134} Under his fourteenth assignment, appellant states that the trial court erred
    in imposing two concurrent eight-year terms on the two remaining counts of aggravated
    robbery. Essentially, he maintains that the two aggravated robbery counts should have
    been merged for purposes of sentencing because, under the facts of this case, he could
    not be convicted of both offenses. Appellant submits that the imposition of concurrent
    terms is impermissible when separate convictions were not feasible.
    32
    {¶135} In instructing the jury on these two counts, the trial court indicated that the
    first charge of aggravated robbery, as set forth in the second count of the indictment,
    related solely to Russell, and that the other remaining charge of aggravated robbery, as
    set forth under the fourth count of the indictment, pertained solely to Shaquetta.
    Furthermore, there was sufficient evidence to prove that appellant aided and abetted his
    co-defendant in the commission of separate offenses of aggravated robbery in relation
    to both victims.
    {¶136} Since there were separate victims as to each of the two remaining counts
    of aggravated robbery, those charges were not “allied” offenses that had to be merged
    under R.C. 2941.25. Chaney, 
    2012-Ohio-4933
    , ¶26-28. Thus, because appellant could
    be convicted and sentenced on both counts, the imposition of concurrent prison terms
    was permissible. Appellant’s fourteenth assignment is without merit.
    {¶137} Under his next assignment, appellant contends that his entire conviction
    must be reversed because the indictment against him was multiplicitous in nature. He
    asserts that the six counts in the indictment were needlessly repetitive because Russell
    Perry was the sole victim under the charges.
    {¶138} “An indictment is multiplicitious (sic) where it charges a single offense in
    multiple counts. See e.g. State v. Ross, 9th Dist. No. 09CA009742, 
    2012 Ohio 536
    ,
    ¶69. ‘[T]he vice of a multiplicitious (sic) indictment lies in the possibility of multiple
    punishments for a single offense in violation of the cumulative punishment branch of the
    Double Jeopardy Clause of the Sixth Amendment.’ State v. Childs, 
    88 Ohio St.3d 558
    ,
    561, 
    2000 Ohio 425
    , * * * (2000). Even if counts are multiplicitious (sic), however,
    merging them for purposes of sentencing, pursuant to R.C. 2941.25, will cure any threat
    33
    of double jeopardy. Id.” State v. Hendrix, 11th Dist. Lake No. 2011-L-043, 2012-Ohio-
    2832, ¶51.
    {¶139} In this case, appellant’s “multiplicitous” claim is based upon the assertion
    that all six charges heard by the jury related solely to one alleged victim, Russell Perry.
    However, the record does not support his assertion. Specifically, the record shows that
    the state went forward on the basis that Shaquetta was the victim under one count of
    aggravated burglary and one count of aggravated robbery.
    {¶140} As to the four remaining counts pertaining solely to Russell, two of them
    charged the same offense, i.e., aggravated robbery. However, the two counts were
    predicated upon different behavior. That is, the first charge of aggravated robbery as to
    Russell, count two, was based upon the allegation that a handgun had been displayed
    or brandished during the commission of a theft offense, while the second charge, as set
    forth in count five, was predicated upon the allegation that there had been an attempt to
    inflict serious physical harm upon Russell during the commission of a theft offense.
    {¶141} In light of the foregoing discussion, the indictment did not state repetitive
    charges alleging the identical offense as to the same victim.          Hence, since the
    indictment against appellant was not multiplicitous, his fifteenth assignment does not set
    forth a meritorious reason for reversal.
    {¶142} Under his sixteenth assignment, appellant contests the sufficiency of the
    state’s evidence as it related to the aggravated robbery of Shaquetta. He contends that
    this particular charge should not have gone to the jury because there was no evidence
    that he ever directly confronted Shaquetta during the course of the incident. In support,
    he emphasizes that Shaquetta admitted that she never saw him that night.
    34
    {¶143} Appellant’s conviction as to Shaquetta was based upon the theory that he
    aided and abetted Carvell Fomby in the commission of the aggravated robbery.
    Specifically, Russell Perry testified that appellant held him down on the kitchen floor
    while Fomby went through the rest of the home, including the upstairs where Shaquetta
    was present. Hence, since Fomby would not have been able to confront Shaquetta with
    the handgun and take her cell phone unless appellant restrained Russell, there was
    evidence from which the jury could find that appellant was guilty of complicity in the
    commission of the aggravated robbery. Appellant’s sixteenth assignment lacks merit.
    {¶144} Under his next assignment, appellant maintains that his conviction on all
    three remaining charges were against the manifest weight of the evidence. However,
    although appellant’s brief cites a number of cases generally addressing the “manifest
    weight” standard, he never raises a specific argument concerning the evidence in this
    particular case.
    {¶145} The trial testimony of Russell and Shaquetta did not contain any inherent
    inconsistencies of such a magnitude that would have rendered their version of events
    totally unbelievable. Moreover, when viewed as a whole, their testimony constitutes
    some competent evidence upon which the jury could find that all elements of the six
    offenses had been satisfied. Appellant’s seventeenth assignment is without merit.
    {¶146} Under his eighteenth assignment, appellant contends that the trial court’s
    order concerning the payment of court costs must be reversed because the court failed
    to fully explain the legal ramifications of not paying such costs. Specifically, he claims
    the trial court failed to inform him that he could be subject to community service if he
    fails to pay in a timely fashion.
    35
    {¶147} R.C. 2947.23(A)(1) states that, in all criminal cases, the trial court has an
    obligation to include in the defendant’s sentence an order requiring the payment of
    costs. Although the statute has subsequently been amended, at the time of appellant’s
    sentencing, it further provided that, in imposing sentence, the court must orally notify the
    defendant of the following:
    {¶148} “(a) If the defendant fails to pay that judgment or fails to timely make
    payments towards that judgment under a payment schedule approved by the court, the
    court may order the defendant to perform community service in an amount of not more
    than forty hours per month until the judgment is paid or until the court is satisfied that
    the defendant is in compliance with the approved payment schedule; [and]
    {¶149} “(b) If the court orders the defendant to perform the community service,
    the defendant will receive credit upon the judgment at the specified hourly credit rate
    per hour of community service performed, and each hour of community service
    performed will reduce the judgment by that amount.”
    {¶150} In applying R.C. 2947.23(A)(1), this court has indicated that the statutory
    oral notification requirements are mandatory. State v. Moore, 11th Dist. Geauga No.
    2011-G-3027, 
    2012-Ohio-3885
    , ¶82-84. During the sentencing hearing, the trial court
    did not give the required oral notification. However, there was no objection to the lack
    of oral notification. Under such circumstances, a “plain error” analysis must be applied.
    See Crim.R. 52(B); State v. Jackson, 10th Dist. Franklin Nos. 12-AP-768 & 12AP-769,
    
    2013-Ohio-1152
    , ¶17.
    {¶151} “Plain error exists only where, but for the error, the outcome of the trial
    would have been different. State v. Bennett, 11th Dist. No. 2002-A-0020, 2005-Ohio-
    36
    1567, ¶55. Therefore, to warrant reversal for plain error, this court must find that: (1)
    there was an error, i.e., a deviation from a legal rule; (2) the error was plain, i.e., there
    was an ‘obvious’ defect in the trial proceeding; and (3) the error affected substantial
    rights, i.e., affected the outcome of the trial. Id. at ¶56.” State v. Sawyer, 11th Dist.
    Portage No. 2011-P-0003, 
    2012-Ohio-5199
    , ¶6
    {¶152} In its final written judgment, the trial court expressly stated that appellant
    could be subject to community service under R.C. 2947.23(A) if he did not timely satisfy
    the “court costs” order; thus, appellant was provided with written, as opposed to oral,
    notice.     Second, R.C. 2947.23(A) does not mandate the imposition of community
    service for lack of payment, but merely grants the trial court the ability to futuristically
    order community service in the event that the costs are not paid. The requirement is
    essentially an “if-maybe” notice.       As a result, the oral notification only informs the
    defendant of a possible condition that may be later imposed. To this extent, the lack of
    proper oral notification does not have immediate effect. Third, given that the state can
    collect court costs through the garnishment of an inmate’s prison account, Jackson,
    
    2013-Ohio-1152
    , ¶17, appellant’s court costs are likely to be paid before he is released
    and the “community control” provision is triggered.
    {¶153} For these reasons, the trial court’s failure to comply with the oral
    notification requirement of R.C. 2947.23(A)(1) had no adverse effect upon appellant’s
    trial, as no miscarriage of justice occurred that would warrant a finding of plain error.
    Accordingly, appellant’s eighteenth assignment is lacking in merit.
    {¶154} Under his nineteenth assignment, appellant asserts that his due process
    rights were violated when his case was transferred to a new judge for purposes of trial.
    37
    Essentially, he argues that the transfer of the case was procedurally flawed because the
    transfer order was not signed by the administrative judge of the common pleas court.
    {¶155} Appellant’s case was originally assigned to Judge Vincent A. Culotta. On
    March 14, 2012, Judge Culotta issued a judgment granting appellant a second
    continuance and rescheduling his trial for April 24, 2012. On April 17, 2012, the state
    moved Judge Culotta to join appellant’s case with Carvell Fomby’s case, since the two
    cases involved the same offenses and were based upon the same incident. The next
    day, Judge Culotta issued a new judgment granting the motion for joinder.             Since
    Fomby’s case was assigned to Judge Eugene A. Lucci and was also scheduled to go
    forward on April 24, 2012, Judge Culotta further ordered that appellant’s case be
    transferred to Judge Lucci.
    {¶156} In arguing that only the administrative judge can order the transfer of an
    assigned case, appellant cites Sup.R. 36(B), governing the use of an individual
    assignment system for Ohio trial courts. It provides for a system in which a judge is
    responsible for the disposition of all issues in a case once it has been assigned to him
    or her by lot. The rule further provides that if the assigned judge is not available to
    dispose of a pending matter, the motion or issue can be heard by the administrative
    judge of the court.
    {¶157} In interpreting a prior version of Sup.R. 36(B), the Eighth Appellate District
    has concluded that the transfer of an assigned case is only effective when the order is
    set forth in a journal entry executed by the administrative judge of the court. Berger v.
    Berger, 
    3 Ohio App.3d 125
    , 130 (1981). However, the same court has also held that
    any procedural defect in the transfer of an assigned case will be deemed waived if there
    38
    was no timely objection. Militiev v. McGee, 8th Dist. Cuyahoga No. 94779, 2010-Ohio-
    6481, ¶18.
    {¶158} Appellant did not raise a timely objection to the transfer of his case from
    Judge Culotta. Thus, the issue is waived, and appellant’s nineteenth assignment does
    not have merit.
    {¶159} Under his final assignment, appellant asserts that he was denied effective
    assistance of trial counsel. In evaluating ineffective assistance claims, an appellate
    court must apply the two-part test promulgated by the United States Supreme Court in
    Strickland v. Washington, 
    466 U.S. 668
    , 687 (1984):
    {¶160} “A convicted defendant’s claim that counsel’s assistance was so defective
    as to require reversal of a conviction * * * has two components. First, the defendant
    must show that counsel’s performance was deficient.         This requires showing that
    counsel made errors so serious that counsel was not functioning as the ‘counsel’
    guaranteed the defendant by the Sixth Amendment. Second, the defendant must show
    that the deficient performance prejudiced the defense.       This requires showing that
    counsel’s error were so serious as to deprive the defendant of a fair trial, a trial whose
    result is reliable. Unless a defendant makes both showings, it cannot be said that the
    conviction * * * resulted from a breakdown in the adversary process that renders the
    result unreliable.”
    {¶161} “* * * When a convicted defendant complains of the ineffectiveness of
    counsel’s assistance, the defendant must show that counsel’s representation fell below
    an objective standard of reasonableness.” 
    Id. at 687-688
    . “To warrant reversal, ‘(t)he
    defendant must show that there is a reasonable probability that, but for counsel’s
    39
    unprofessional errors, the result of the proceeding would have been different.              A
    reasonable probability is a probability sufficient to undermine confidence in the
    outcome.’” State v. Bradley, 
    42 Ohio St.3d 136
    , 142 (1989), quoting Strickland, 
    supra, at 694
    .
    {¶162} Without providing a specific argument, appellant claims the performance
    of his trial counsel was deficient in the following respects: (1) “Counsel failed to object to
    the host of leading questions asked by the prosecutor which contained the answers;” (2)
    “Counsel failed to object to the jury instructions which did not reflect the allegations of
    the indictment;” (3) “Counsel failed to object to the amendment of the indictment by the
    prosecutor and the court;” (4) “Counsel failed to object to the consolidation of the case
    and the transfer of the case from one judge to another;” (5) “Counsel failed to object to
    the 911 call which was made by a person who did not testify but rather the daughter of
    Shaquetta Page;” (6) “Counsel failed to object to hearsay where defendant’s name was
    obtained from Shaquetta Page speaking with friends;” (7) “Counsel failed to object to an
    improper question which assumed that defendant was the one who left the premises
    when Shaquetta Page did not see defendant at all in the home that evening;” and (8)
    “Counsel failed to object to the sentencing by the court which imposed consecutive
    three year sentences when there was only one gun and defendant had no involvement
    with Shaquetta Page.”
    {¶163} Regarding appellant’s second, third and eighth assertions, this court has
    already concluded that no prejudicial errors occurred in relation to these points. Hence,
    trial counsel did not act deficiently in failing to object.
    {¶164} As to appellant’s first assertion, the prosecutor asked the leading
    40
    questions while trying to refresh Russell Perry’s memory of his prior testimony. Even if
    an objection should have been made, the failure did not alter the outcome of the trial
    based on the entirety of the record.
    {¶165} Concerning appellant’s fifth and sixth assertions, on the two occasions in
    question, the state sought to introduce statements from other persons. But, the state
    did not seek to introduce the statements for the truth of the matter asserted.
    Accordingly, the lack of objection was appropriate.
    {¶166} As to appellant’s fourth and seventh assertions, the record does support
    the conclusion that a proper objection could have been raised as to the transfer of the
    case to another judge and the disputed question which assumed that appellant had
    been inside the home. However, the record also supports the conclusion that the lack
    of objections did not have an adverse effect upon the outcome, as the evidence against
    appellant was substantial and unrefuted.
    {¶167} Pursuant to the foregoing, appellant has failed to establish that he was
    denied effective assistance of trial counsel.    Therefore, his twentieth assignment is
    without merit.
    {¶168} Consistent with the foregoing, each of appellant’s twenty assignments of
    error is meritless. Therefore, it is the judgment and order of this court that the judgment
    of the Lake County Court of Common Pleas is affirmed.
    TIMOTHY P. CANNON, P.J., concurs in part and concurs in judgment only in part with
    Concurring Opinion,
    COLLEEN MARY O’TOOLE, J., concurs in part and dissents in part with
    Concurring/Dissenting Opinion.
    41
    ____________________
    TIMOTHY P. CANNON, P.J., concurring in part and concurring in judgment only in part.
    {¶169} I concur in judgment only as applied to appellant’s assignment of error
    number 18 involving former R.C. 2947.23(A)(1)(a). Though the majority adopts a plain-
    error analysis, the recent precedent of this court focuses on the Ohio Supreme Court’s
    emphasis on the obligatory language of the former statute in State v. Smith, 
    131 Ohio St.3d 297
    , 
    2012-Ohio-781
    . See State v. Field, 11th Dist. Geauga No. 2012-G-3082,
    
    2013-Ohio-2257
    , ¶33; State v. Fetty, 11th Dist. Portage No. 2011-P-0091, 2012-Ohio-
    6127, ¶71-72; and State v. Taylor, 11th Dist. Portage No. 2011-P-0090, 2012-Ohio-
    3890, ¶43.
    {¶170} I concur with the more straightforward approach of the Second Appellate
    District in resolving this issue: simply acknowledge the error, modify the judgment to
    eliminate any possibility that the appellant could be required to perform community
    service as an option in lieu of paying costs, and then affirm the judgment as modified.
    See State v. Veal, 2d Dist. Montgomery No. 25253, 
    2013-Ohio-1577
    , ¶20; and State v.
    Haney, 2d Dist. Montgomery No. 25344, 
    2013-Ohio-1924
    , ¶21. Only a few cases will
    require this approach given the statute’s recent amendment.
    {¶171} I concur with the majority’s judgment and reasoning as applied to all
    remaining assignments of error.
    ____________________
    COLLEEN MARY O’TOOLE, J., concurs in part and dissents in part with
    Concurring/Dissenting Opinion.
    42
    {¶172} I concur with the majority regarding the disposition of appellant Ricci
    Lewis’ assignments of error Nos. 1 through 12 and Nos. 14 through 20. I respectfully
    dissent regarding assignment of error No. 13.
    {¶173} The majority reaches the decision that appellant Ricci Lewis’ offenses of
    aggravated burglary and aggravated robbery do not merge because the two crimes
    were not committed with the exact same conduct. The majority notes that an additional
    act was performed—physical harm—that was not necessary for the commission of the
    aggravated robbery, yet completed the offense of aggravated burglary. However, in
    reaching this conclusion the majority has essentially substituted the “conduct of
    defendant” with the “elements of the offenses” in their allied-offense analysis. As such
    the majority’s decision is reminiscent of the superseded Rance allied-offense standard
    and not the current standard announced by the Supreme Court of Ohio in Johnson, 
    128 Ohio St.3d 153
    , 
    2010-Ohio-6314
    .
    {¶174} Our review of an allied offenses question is de novo. State v. Williams,
    
    134 Ohio St.3d 482
    , 
    2012-Ohio-5699
    , ¶12.
    {¶175} “R.C. 2941.25 ‘codifies the protections of the Double Jeopardy Clause of
    the Fifth Amendment to the United States Constitution and Section 10, Article I of the
    Ohio Constitution, which prohibits multiple punishments for the same offense.’ State v.
    Underwood, 
    124 Ohio St.3d 365
    , 
    2010-Ohio-1
    , * * * ¶23. At the heart of R.C. 2941.25 is
    the judicial doctrine of merger; merger is ‘the penal philosophy that a major crime often
    includes as inherent therein the component elements of other crimes and that these
    component elements, in legal effect, are merged in the major crime.’ State v. Botta, 
    27 Ohio St.2d 196
    , 201 * * * (1971).” (Parallel citations omitted.) Williams at ¶13.
    43
    {¶176} “To ensure compliance with both R.C. 2941.25 and the Double Jeopardy
    Clause, ‘a trial court is required to merge allied offenses of similar import at sentencing.
    Thus, when the issue of allied offenses is before the court, the question is not whether a
    particular sentence is justified, but whether the defendant may be sentenced upon all
    the offenses.’ Underwood at ¶27.” Williams at ¶15.
    {¶177} The Supreme Court previously established a two-part test for analyzing
    allied-offense issues in State v. Blankenship, 
    38 Ohio St.3d 116
    , 117 (1988):
    {¶178} In the first step, the elements of the two crimes are compared. If
    the elements of the offenses correspond to such a degree that the
    commission of one crime will result in the commission of the other,
    the crimes are allied offenses of similar import and the court must
    then proceed to the second step. In the second step, the
    defendant's conduct is reviewed to determine whether the
    defendant can be convicted of both offenses.        If the court finds
    either that the crimes were committed separately or that there was
    a separate animus for each crime, the defendant may be convicted
    of both offenses. (Emphasis sic.)
    {¶179} Regarding the first element of that test, there was confusion among courts
    about the role the facts of the particular case played in the analysis. The Supreme Court
    tried to resolve this issue in State v. Rance, 
    85 Ohio St.3d 632
     (1999) by employing an
    analysis that compared the statutory language of the two offenses in a vacuum to
    determine whether one necessarily included the elements of the other. The Supreme
    Court later determined that while Rance required courts to compare the elements of the
    44
    offense in the abstract, it did not require an exact alignment of elements. State v.
    Cabrales, 
    118 Ohio St.3d 54
    , 
    2008-Ohio-1625
    , ¶26-27.
    {¶180} Two years later, in Johnson, 
    supra,
     the Supreme Court abandoned the
    abstract analysis entirely, overruled Rance, and held that “[w]hen determining whether
    two offenses are allied offenses of similar import subject to merger under R.C. 2941.25,
    the conduct of the accused must be considered." Id. at ¶44. The first question to be
    asked is whether "it is possible to commit one offense and commit the other with the
    same conduct * * *.” (Emphasis sic.) Id. at ¶48. If so, then it must be determined
    whether the offenses were committed by a single act with a single state of mind. If both
    of these questions are answered affirmatively, then the offenses are allied offenses of
    similar import and will be merged. Id. at ¶49-50.
    {¶181} The Johnson court also acknowledged the results of the above analysis
    will vary on a case-by-case basis. Hence, while two crimes in one case may merge, the
    same crimes in another may not. The court observed that inconsistencies in outcome
    are both necessary and permissible “* * * given that the statute instructs courts to
    examine a defendant’s conduct – an inherently subjective determination.” Id. at ¶52.
    {¶182} Prior to Johnson, the Supreme Court consistently held the offenses of
    aggravated burglary and aggravated robbery were not allied offenses of similar import.
    See State v. Ketterer, 
    111 Ohio St.3d 70
    , 
    2006-Ohio-5283
    ; State v. Williams, 
    74 Ohio St.3d 569
    , 580 (1996); State v. Barnes, 
    25 Ohio St.3d 203
    , 207 (1986); State v. Frazier,
    
    58 Ohio St. 2d 253
    , 256 (1979). After Johnson, this court, along with other appellate
    districts has held that aggravated robbery and aggravated burglary can be merged as
    allied offenses. State v. Jarvi, 11th Dist. Ashtabula No. 2011-A-0063, 
    2012-Ohio-5590
    ,
    45
    ¶24; State v. Lacavera, 8th Dist. Cuyahoga No. 96242, 
    2012-Ohio-800
    , ¶44-48; State v.
    Shears, 1st Dist. Hamilton No. C-120212, 
    2013-Ohio-1196
    , ¶41; State v. Roper, 9th
    Dist. Summit Nos. 26631, 26632, 
    2013-Ohio-2176
    , ¶11. And some districts have held
    that it is not possible to commit aggravated burglary and aggravated robbery with the
    same conduct. State v. Hakim, 6th Dist. Lucas No. L-10-1153, 
    2011-Ohio-5525
    , ¶43;
    State v. Turner, 2nd Dist. Montgomery No. 24421, 
    2011-Ohio-6714
    , ¶23.
    {¶183} However, as this court has held that the offenses of aggravated burglary
    and aggravated robbery can be merged, we move to the next step of determining
    whether Lewis’ offenses were committed by the same conduct, i.e., “‘a single act,
    committed with a single state of mind.’ * * *.” Johnson, supra, at ¶49, quoting State v.
    Brown, 
    119 Ohio St.3d 447
    , 
    2008-Ohio-4569
    , ¶50 (Lanzinger, J., dissenting).
    {¶184} In conducting this analysis, some of the districts also appear to be
    conflating the “conduct of the defendant” with the “elements of the offenses.” In Shears,
    
    supra,
     appellant was charged with aggravated burglary in violation of R.C.
    2911.11(A)(1) (aggravating element: offender inflicts, or attempts to inflict physical harm
    on another) and aggravated robbery in violation of R.C. 2911.01(A)(3) (aggravating
    element: offender inflicts, or attempts to inflict, serious physical harm on another).
    Shears at ¶15. In Shears the victim was struck unconscious, placed in the trunk of a
    car—still alive—only to be found dead several days later. The First District held that the
    “conduct” that provided the aggravation for both counts was the same, thus requiring
    merger. Id. at ¶41.
    {¶185} The defendant in Jarvi, supra, was charged under the same burglary and
    robbery statutes as the appellant in Shears. Jarvi at ¶17-23. The victim in Jarvi was
    46
    struck with a wooden club and subsequently died. Id. At ¶2. This court likewise held
    that the two offenses merged as “the two crimes were not committed separately or with
    a separate animus.” Id. at ¶24.
    {¶186} In this case, Lewis was charged with aggravated burglary in violation of
    R.C. 2911.11(A)(1) (aggravating element: offender inflicts, or attempts to inflict physical
    harm on another) and aggravated robbery in violation of R.C. 2911.01(A)(1)
    (aggravating element: having a deadly weapon on or about the offender’s person). The
    majority reaches the decision that Lewis’ offenses of aggravated burglary and
    aggravated robbery do not merge because an additional act was performed—physical
    harm—that was not necessary for the commission of the aggravated robbery, yet
    completed the offense of aggravated burglary. The majority refers to the “additional act”
    of causing physical harm to the victim, Russell Perry. However, causing physical harm
    is an element of aggravated burglary that is not contained in Lewis’ charge of
    aggravated robbery. As such the majority appears to be concentrating on the elements
    of the offenses (a Rance analysis) and ignoring whether these offenses were committed
    by a single act with a single state of mind as Johnson instructs. Johnson, supra, at ¶49.
    Focusing on the “elements of the offenses” rather than the “conduct of the defendant” is
    tantamount to putting old wine in new bottles.
    {¶187} It is true that the “elements of the offenses” and the “conduct of the
    defendant” will often correlate to such a degree that the resolution of the one question
    results in the resolution of the other. However, it is conduct and state of mind that is the
    focus of the second part of the Johnson test. The trial court in Roper, supra, held that
    the offenses of aggravated burglary and aggravated robbery merged even though the
    47
    “conduct” that provided the aggravation for both offenses did not correlate completely.
    Roper at ¶11.    The defendants in Roper were charged with the same aggravated
    burglary and aggravated robbery offenses as Lewis. Even though the merger of the
    aggravated burglary and aggravated robbery charges by the trial court was not an issue
    on appeal, the Ninth District noted and approved the merger. Id. at ¶9.
    {¶188} In Lacavera, 
    supra,
     the Eighth District held that it was possible to commit
    aggravated burglary, aggravated robbery, kidnapping and felonious assault with the
    same conduct. Id. at ¶46. The court held that these offenses occurred as part of the
    same transaction and therefore were committed with the same animus. Id.
    {¶189} While this writer feels that the Eighth and Ninth Districts have reached the
    correct results, neither case provides an analytical framework to be applied in future.
    Once it has been determined that it is possible to commit one offense and commit the
    other with the same conduct (the first part of the Johnson test) a framework for
    determining if the offenses comprise a single act, committed with a single state of mind,
    needs to be utilized. Such a framework was outlined by the Supreme Court when they
    defined a “transaction” as a “‘“series of continuous acts bound together by time, space
    and purpose…”’”     State v. Wills, 
    69 Ohio St.3d 690
    , 691 (1994), quoting State v.
    Caldwell, 9th Dist. Summit No. 14720, 1991 Ohio App. LEXIS, *34 (Dec. 4, 1991).
    {¶190} An application of the “time, space and purpose” analysis leads to the
    conclusion that Lewis’ offenses were part of one course of conduct.
    {¶191} As the majority has outlined, this incident occurred as Russell Perry, one
    of the victims in this case, was putting out the trash at around 11:00 p.m. As Russell
    was re-entering the home and began to shut the back door, Lewis and his accomplice
    48
    (Fomby) pushed on the door and forced their way into the kitchen. As Russell tried to
    resist, Fomby produced a small firearm and placed the barrel on Russell’s forehead.
    Lewis and Fomby pushed Russell across the room until he fell by the refrigerator.
    During the confrontation, Lewis and Fomby struck Russell on his head and he sustained
    scrapes and bruises on his face and skull. However, upon direct examination Russell
    could not recall if he was struck by the gun or by the hands of his assailants.
    {¶192} After Russell was subdued, Lewis sat on top of him as Fomby went
    through the house and to the upstairs bedroom where he confronted Shaquetta Page.
    Fomby put the same small firearm to Shaquetta’s head and stated that he was going to
    rob her. Upon hearing police sirens (Russell’s daughter had called the police on her cell
    phone) both Lewis and Fomby exited the house.
    {¶193} The aggravated burglary and aggravated robbery were both committed
    within a very brief period of time.           Both offenses were committed virtually
    simultaneously. The robbery was committed immediately after Lewis and Fomby forced
    their way into the house. Thus an analysis of the time element supports merger.
    {¶194} Apart from the fact that the two victims were located in separate parts of
    the house—this event occurred in a single location. As such an analysis of the space
    element also supports merger.
    {¶195} The evidence is that Lewis and Fomby forced their way into the house
    (burglary) in order to commit theft (robbery). The manner of their actions suggests a
    single purpose that should lead to merger.
    {¶196} The record in this case established that Lewis evidenced the same animus
    in committing both offenses. Looking to Lewis’ conduct, this was a single act committed
    49
    with a single state of mind. Lewis committed the aggravated burglary as a means of
    implementing the aggravated robbery. Stated differently, the burglary was part of Lewis’
    efforts to obtain money through robbery.
    {¶197} In Jarvi, supra, and Shears, 
    supra,
     the appellants were charged with
    aggravated burglary and aggravated robbery. But due to the absence of a firearm, the
    aggravating “conduct” for each of these cases was the same—inflicting physical harm
    on another. In these cases the offenses of aggravated burglary and aggravated robbery
    merged. And it should not be overlooked that the victims in both Jarvi and Shears died
    as a result of their injuries. Jarvi at ¶24; Shears at ¶41.
    {¶198} In the present case Lewis was likewise charged with aggravated burglary
    and aggravated robbery.       But due to the presence of a firearm, the physical harm
    caused to Russell presents a differently charged aggravating element for the burglary
    offense than for the robbery offense. In the majority’s view this difference prevents
    Lewis’ offenses from merging.
    {¶199} Lewis’ six year sentence for aggravated burglary is to run consecutively to
    his eight year sentence for his aggravated robbery charges. Lewis was also sentenced
    to an additional six years on two, three-year gun specifications: all sentences to run
    consecutively for a total of twenty years.        Yet the victim in this case only suffered
    scrapes and bruises on his face and skull while the victims in Jarvi and Shears died as
    a result of their injuries.
    {¶200} The failure to merge Lewis’ offenses cannot be reconciled in light of Jarvi
    and Shears. The majority’s opinion does not comport with the purposes and principles
    of felony sentencing as delineated by R.C. 2941.25. It is incongruent that virtually the
    50
    same offenses will merge in one case where the victim died and not merge in another
    case where the victim suffered only minor injuries—due only to the presence of a
    firearm.
    {¶201} The majority notes that if a separate penalty could not be imposed for the
    aggravated burglary, it would mean that Lewis would be free to inflict physical harm
    upon Russell without having to face additional penalty. But as the Johnson analysis
    instructs us to focus on conduct we are forced to ask: how is the conduct in this case
    distinguishable from Shears and Jarvi due to the presence of a firearm? In other words,
    how does the conduct of a physical assault imply a separate animus just because a
    firearm is present? Lewis was already sentenced to serve an additional six years due to
    the firearm specifications as applied to two victims (despite the fact that only one firearm
    was used in the commission of his offenses).         If the presence of a firearm is the
    difference between whether or not Lewis’ aggravated burglary and aggravated robbery
    offenses merge—then the majority is actually focusing on the elements of the offense
    and not the conduct of the defendant.
    {¶202} The presence of a firearm already subjected Lewis to additional penalties
    pursuant to R.C. 2929.14.      The failure of the trial court to merge the offenses of
    aggravated burglary and aggravated robbery in this case, combined with the
    consecutive sentences imposed, results in the type of shotgun conviction that Johnson
    advises against.   Such a sentence heaps on a defendant multiple punishments for
    closely related offenses arising from the same transaction without any consideration or
    evidence in the record that the sentence complies with Johnson or the overall purposes
    and principles of sentencing. Johnson, supra, at ¶43.
    51
    {¶203} Thus, I respectfully dissent as to assignment of error No.13 and concur
    with the majority’s judgment and reasoning as applied to all remaining assignments of
    error.
    52