17AP-145 , 2018 Ohio 3028 ( 2018 )


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  • [Cite as 17AP-145, 
    2018-Ohio-3028
    .]
    IN THE COURT OF APPEALS OF OHIO
    TENTH APPELLATE DISTRICT
    American Water Management                              :
    Services, LLC, n.k.a. AWMS Water
    Solutions, LLC,                                        :
    Appellant-Appellee,                   :
    No. 17AP-145
    v.                                                     :                      (C.P.C. No. 16CV-6218)
    Division of Oil & Gas Resources                        :                  (REGULAR CALENDAR)
    Management,
    :
    Appellee-Appellant.
    :
    D E C I S I O N
    Rendered on July 31, 2018
    On brief: Comstock, Springer & Wilson Co., LPA, and
    Thomas J. Wilson, for appellant-appellee. Argued:
    Thomas J. Wilson.
    On brief: Michael DeWine, Attorney General, Brett A.
    Kravitz, and Brian Becker, for appellee-appellant. Argued:
    Brett A. Kravitz.
    APPEAL from the Franklin County Court of Common Pleas
    BRUNNER, J.
    {¶ 1} Appellee-appellant1, Division of Oil & Gas Resources Management of the
    Ohio Department of Natural Resources (separately "ODNR Oil & Gas" or "division" or
    "ODNR"), appeals a December 23, 2016 decision and a February 21, 2017 entry of the
    Franklin County Court of Common Pleas, acting as an appellate court for ODNR and
    reversing a decision of the Oil & Gas commission ("commission") that affirmed an order of
    1Because this is an appeal pursuant to R.C. 119.01 et seq. the parties are listed first by their status as appellant
    or appellee before the common pleas court on administrative appeal and second by the status as appellant or
    appellee before this court of appeals.
    No. 17AP-145                                                                                                 2
    the Chief of ODNR Oil & Gas ("Chief") instructing appellant-appellee, AWMS Water
    Solutions, LLC ("AWMS") to shut-in their No. 2 injection well at AWMS' wastewater
    injection site in Weathersfield Township, Trumbull County, Ohio. Following its decision
    on administrative appeal, the common pleas court entered a judgment that included a plan
    for the resumption of wastewater injection activities at the AWMS site. Because we find
    that the common pleas court did not account for the mandate of R.C. 1509.022 to the Chief
    of the division and the scientific possibility for seismic events to increase suddenly in
    magnitude and spread beyond the drilling site, the common pleas court's judgment is
    unreasonable and unlawful and must be reversed.
    I. FACTS AND PROCEDURAL HISTORY
    {¶ 2} Following approximately ten minor earthquakes in 2011, the most significant
    of which were of magnitude 2.7, ODNR ordered a waste injection well3 known as "Northstar
    1" to cease operation. (Admin. Record at 1171, 1192, filed August 1, 2016.) At 5:00 p.m. on
    December 30, 2011, a representative of ODNR witnessed the well shutdown. Id. at 1171.
    The following day, the area around Youngstown, Ohio (near the Northstar 1 well)
    experienced a 4.0 earthquake. Id. at 1172, 1192. Following that event, ODNR Oil & Gas
    declared a one-year moratorium on waste-water injection permits to study the issue of
    induced seismicity (earthquakes caused by human activities). Id. at 900-02.
    {¶ 3} One week before the shutdown of Northstar 1, on December 23, 2011, AWMS
    had applied for a permit to drill a class 2 waste injection well at a site known as AWMS No.
    2 in Trumbull County, Ohio, approximately seven miles from Northstar 1. Id. at 641-43,
    969, 1026. Because of the moratorium, it took approximately 19 months for the permit to
    be granted and 27 months before the AWMS No. 2 well became operational. Id. at 616-17.
    When the permits to drill and operate issued, they did so with a considerable volume of
    conditions and specifications, including a catch-all provision requiring the operation of
    2  R.C. 1509.02 has provided since before December 23, 2011 "[t]he regulation of oil and gas activities is a
    matter of general statewide interest that requires uniform statewide regulation, and this chapter and rules
    adopted under it constitute a comprehensive plan with respect to all aspects of the locating, drilling, well
    stimulation, completing, and operating of oil and gas wells within this state, including site construction and
    restoration, permitting related to those activities, and the disposal of wastes from those wells." R.C. 1509.02
    (2011 amendment notes, noting that "[t]he 2011 amendment * * * inserted 'well stimulation,' 'completing,'
    'construction and,' " into the quoted text); see 2010 Am.Sub.S.B. No. 165 (archived online at 2009 Ohio SB
    165).
    3 An injection well as used in this context is a well designed to pump fluid underground into porous geologic
    formations as a means of disposal.
    No. 17AP-145                                                                                 3
    AWMS No. 2 well to be in compliance with all requirements of R.C. Chapter 1509 and Ohio
    Adm.Code 1501:9-3. Id. at 962-63, 1028-30. But the conditions and specifications of the
    permits did not address what would happen if more earthquakes, including human-
    induced earthquakes, transpired.
    {¶ 4} In May and June 2014, AWMS began to use its No. 2 well to commercially
    dispose of drilling waste water. Id. at 617-18. On July 28, 2014, seismic activity of
    magnitude 1.7 occurred in Weathersfield Township near the AWMS No. 2 site. Id. at 280-
    81. Another tremblor, this one of magnitude 2.1, occurred in roughly the same location on
    August 31, 2014. Id. Three days later, on September 3, 2014, the Chief of ODNR Oil & Gas
    issued an order (No. 2014-372) requiring a suspension of all well operations (also known
    as a "shut-in") until ODNR Oil & Gas "c[ould] further evaluate the well." Id. AWMS
    immediately complied. Id. at 618-19. Two days later, the Chief issued a second order (No.
    2014-374) concluding that the seismic events were not certain to be related to AWMS' well
    operations but that they "may" have been. Id. at 283. The No. 2014-372 order also required
    AWMS to "submit a written plan to the Division for evaluating the seismic concerns
    associated with the operation of the AWMS #2 saltwater injection well." Id. at 281.
    {¶ 5} By way of background, we note that the byproducts of drilling are loosely
    referred to in the record as "saltwater" or "brine." "Brine" is legally defined as "all saline
    geological formation water resulting from, obtained from, or produced in connection with
    exploration, drilling, well stimulation, production of oil or gas, or plugging of a well." R.C.
    1509.01(U). But "saline geological formation water" is legally distinct in Ohio from the
    "fluids" used in the "drilling of a well, flowback from the stimulation of a well, and other
    fluids used to treat a well." R.C. 1509.226(B)(10). According to the U.S. Geological Survey
    ("USGS"):
    In general, hydraulic fracturing fluid is composed of water,
    proppant (typically sand), and chemicals. A public Web site
    known as FracFocus has been established by industry that lists
    specific materials used in many, but not all, hydraulically
    fractured wells. Individual companies select a few chemicals to
    be used from hundreds that are available and the fluids are
    tailored to the rocks they are being injected into as well as the
    conditions at the well site. Reporting to the FracFocus Web site
    is mandatory in some states and voluntary in the rest. The
    No. 17AP-145                                                                               4
    specific formulation of some chemicals may be trade secrets
    that may be exempt from reporting on the site.
    United States Geological Survey, What is in the fluid injected into the ground during
    hydraulic fracturing?, www.usgs.gov/faqs/what-fluid-injected-ground-during-hydraulic-
    fracturing? (Accessed June 7, 2018).
    {¶ 6} On September 17, 2014, AWMS submitted a nine-page letter detailing the
    history of induced seismicity, AWMS' use of No. 2 well, comparing it to other wells that are
    associated with induced seismicity. (Admin. Record at 1037-45.) Among other points,
    AWMS noted that Northstar 1 had been permitted to inject at greater depth and higher
    pressure than AWMS No. 2 well. Id. at 1038. AWMS described an approach to induced
    seismicity gaining acceptance in the industry known as the traffic light approach wherein
    low magnitude seismic events would not trigger a response, slightly higher-level events
    would trigger a cut-back in the rates and pressures of pumping, and a significant event
    would lead to a cessation of activities. Id. at 1042-43. AWMS suggested following the traffic
    light approach. Specifically, AWMS suggested continuous monitoring while cutting back
    the volume and pressure by 20 percent for 20 days then slowly increasing it if no further
    seismic events occurred. Id. at 1043-45. The plan provided for again reducing the flow and
    pressures if minor events occurred and ceasing operations immediately if an imminent
    threat to safety, health, or the environment appeared. Id. at 1045.
    {¶ 7} No one from the division contacted AWMS to collaborate on the plan or
    critique what AWMS had submitted. Id. at 621-23, 898-99. On October 2, 2014, AWMS
    appealed the Chief's orders to the Oil & Gas commission. Id. at 275.
    {¶ 8} In a meeting on February 24, 2015, shortly before the March 11, 2015 hearing
    on the appeal, ODNR Oil & Gas provided AWMS with a "demonstrative" list of 14 criteria
    they were planning to use in creating a policy on how to treat earthquakes caused by human
    activity or induced seismicity. Id. at 623-24, 1046. AWMS responded on March 4, 2015,
    addressing each of the 14 criteria stating whether and when AWMS had already addressed
    it or how AWMS could address it. Id. at 624-25, 1048-51. Concerning two criteria having
    to do with modeling the underground topography and pressure front growth, AWMS noted
    it would need more detail about the objectives and purposes of this modeling before it could
    engage a firm to complete it. Id. at 1050. With respect to some criteria, AWMS also noted
    No. 17AP-145                                                                               5
    that it would only be possible to collect responsive data if the well were operating. Id. at
    1049-50. Once again, the division did not respond to AWMS. Id. at 624-27.
    {¶ 9} At the hearing on the appeal on March 11, 2015, the Chief of ODNR Oil & Gas
    testified that although the division initially intended to deal with AWMS' well on an
    individual basis, ODNR Oil & Gas had instead decided to work with interstate commissions
    to develop and implement a policy on induced seismicity and that the Chief was not
    intending to consider AWMS' well until that work was done. Id. at 883-87, 890-95. When
    asked, the Chief could give no answer as to when that policy might be in place. Id. at 892-
    95. He admitted that no one from ODNR Oil & Gas contacted AWMS to work with it on the
    plan it submitted but said he might consider a plan from AWMS if it were a "very
    comprehensive plan." Id. at 895-96, 903-04. The Chief also stated that, although ODNR
    Oil & Gas staff developed a letter giving AWMS permission to operate at less than 50
    percent of their originally permitted capacity under a series of other conditions, he never
    signed it because he felt it was not comprehensive enough. Id. at 896-98. He admitted that
    one barrel of injected material per day would be extremely unlikely to cause any problems
    but declined to speculate as what level of operation would be appropriate. Id. at 903. He
    stated that AWMS had fully complied with all permits and orders and that there has been
    no allegation that AWMS misled the division or acted negligently. Id. at 899-900.
    {¶ 10} The vice president of AWMS also testified. He explained that while AWMS is
    a subsidiary of a larger company and while AWMS maintains another well (Northstar 1),
    AWMS No. 2 well is approximately 95 percent of AWMS' business. Id. at 614-15, 649-50.
    He testified that if No. 2 well is not reactivated, AWMS will go out of business. Id. at 627.
    AWMS' vice president also testified that meetings with ODNR Oil & Gas had led AWMS to
    believe that No. 2 well would be allowed to reopen. Id. at 628-30. But, he said, he
    understood that the division had changed its approach at some juncture and refused to
    consider the matter further until the State of Ohio had completed some final policy-making
    on induced seismicity. Id. at 630.
    {¶ 11} Two expert witnesses also testified on behalf of AWMS. Id. at 593. Both
    acknowledged that the two "microseismic" events in July and August near the AWMS wells
    were likely caused by AWMS' activities with No. 2 well. Id. at 745-47, 793-94. However,
    based on their decades of experience and analysis of other wells in Ohio, both testified that
    No. 17AP-145                                                                               6
    the traffic light approach could allow AWMS' No. 2 well to operate safely. Id. at 697-701,
    788-89; see also id. at 1064, 1088. Both declined to conclude that the shut-in of the AWMS
    well was "unreasonable," as that was a legal conclusion for the commission rather than a
    scientific opinion. Id. at 744, 805. But both expressed the belief that a complete shut-in
    was unnecessary and that the well had not produced any seismicity that would have had
    any impact on public health or safety. Id. at 744, 788-90, 797-98. One expert laid out the
    general ranges of magnitudes stating that quakes below 2.5 magnitude are usually not felt
    by humans and even minor damage to structures typically does not occur until the 3.5 to
    3.8 range. Id. at 774-76.
    {¶ 12} On August 12, 2015, the commission affirmed the shut-in order of the
    division's Chief. Id. at 331. It recognized that the Chief did not intend to allow resumption
    of injection operations at AWMS No. 2 well until a state policy on injection-induced
    seismicity was in place. Id. at 338. The commission recognized that AWMS had not
    violated any terms of its injection permit nor did anything that could constitute a "material
    and substantial violation" as defined in R.C. 1509.01(EE). Id. The commission recognized
    that it was the opinion of both experts who testified in the hearing on behalf of AWMS that
    although the small seismic events were likely associated with injections into AWMS No. 2
    well, resumption of activities at AWMS No. 2 well could be accomplished safely at lower
    volumes and pressures with monitoring as contemplated by the traffic light system. Id. at
    339. The commission stated, however, that neither expert "could state that the Chief's
    issuance of the Suspension Order was unreasonable given the specific facts of this matter."
    Id. at 340. The commission recognized that nowhere in R.C. Chapter 1509 or implementing
    sections of the Ohio Administrative Code is a chief specifically empowered to suspend
    operations or to revoke a permit based on induced seismicity where there is no
    accompanying "material and substantial violation" by the operator.              Id. at 344.
    Nonetheless, based on what the commission characterized as the Chief's "exclusive
    jurisdiction over injection operations," the commission inferred that the Chief had such a
    power by implication. Id. at 345-47. Then, with respect to whether the Chief's order was
    reasonable, the commission concluded:
    The Commission must defer to the expertise of the Division. If
    the Division has identified a problem, or a lack of adequate
    information to evaluate seismic concerns associated with the
    No. 17AP-145                                                                               7
    AWMS #2 Well, the Commission must respect that agency's
    position. The Commission finds that the suspension of
    injection operations at the AWMS #2 Well is appropriate under
    the facts of this specific case.
    Id. at 349.
    {¶ 13} On September 8, 2015, AWMS filed a notice of appeal with the Franklin
    County Court of Common Pleas. Am. Water Mgmt. Servs., LLC v. Div. of Oil & Gas
    Resources Mgmt., 10th Dist. No. 16AP-4, 
    2016-Ohio-2860
    , ¶ 4. The common pleas court
    dismissed the appeal because AWMS did not file the notice of appeal with the commission
    as required by R.C. 1509.37 and AWMS appealed to this Court. 
    Id.
     We found that the
    commission had not properly given notice of its decision to the parties and remanded to the
    commission for it to comply with R.C. 1509.36. AWMS thereby received a second chance
    to appeal the commission's decision with the common pleas court and timely appealed it
    when it was re-issued on June 21, 2016. Id. at ¶ 13-15. (June 30, 2016 Notice of Appeal; Ex.
    A, June 21, 2016 Order after Remand, attached to June 30, 2016 Notice of Appeal.)
    {¶ 14} In the common pleas court, the parties engaged in briefing on the merits and
    AWMS submitted, but subsequently withdrew, a motion to include additional evidence.
    (July 22, 2016 AWMS Mot. to Include Additional Evidence; Aug. 12, 2016 AWMS' Brief;
    Sept. 22, 2016 Division's Brief; Sept. 29, 2016 AWMS' Reply Brief; Nov. 1, 2016 Hearing Tr.
    at 4, filed Jan. 27, 2017.) The trial court also held oral argument on the merits on November
    1, 2016.
    {¶ 15} On December 23, 2016, the court of common pleas issued a decision on the
    appeal. (Dec. 23, 2016 Decision & Order.) The common pleas court concluded that the
    Chief of ODNR Oil & Gas had legal authority to suspend the operation of the AWMS No. 2
    well, notwithstanding the lack of any violation on the part of AWMS. Id. at 9. However,
    the common pleas court found that the Chief's decision was unreasonable. The court noted
    that both experts who evaluated AWMS' plan found it was a reasonable and responsible
    method for reinstating operations at the well and that the division had not responded to the
    plan or evaluated the well, rather, using the AWMS No. 2 well situation as a catalyst to
    justify developing a statewide policy. Id. at 11, 13. The common pleas court found that
    ODNR Oil & Gas had "stalled" for over 26 months, denying AWMS a site-specific evaluation
    and plan to restart its well despite AWMS' full cooperation. Id. at 14. It concluded that
    No. 17AP-145                                                                                8
    there was "no factual basis for [the division] to continue the suspension of the operation of
    the AWMS #2 Well." Id. at 15. The common pleas court observed that it would prefer for
    the parties to work together in developing a comprehensive plan for restarting the well, but,
    given the history of the delays, it instead ordered each party to submit a proposed entry
    "setting forth the order that the Commission should have made to restart the AWMS #2
    Well that would initially limit the amount of volume, the amount of saltwater and brine that
    is being put into the well; initially limit the amount of pressure used; and then
    incrementally increase the volume and pressure while simultaneously providing constant
    monitoring for seismicity; and address the concerns of public health and safety." Id. at 16.
    {¶ 16} ODNR Oil & Gas filed a notice of appeal from the common pleas court's
    decision and order on January 19, 2017. (Jan. 19, 2017 Notice of Appeal.) This Court
    dismissed that appeal on February 22, 2017 as not having been taken from a final
    appealable order. Am. Water Mgmt. Servs., LLC v. Div. of Oil & Gas Resources Mgmt.,
    10th Dist. No. 17AP-45 (Feb. 22, 2017) (Entry).
    {¶ 17} The day before, on February 21, 2017, having reviewed proposed entries
    submitted by both parties, the trial court issued an entry ordering AWMS No. 2 well to
    restart under a number of restrictive conditions. (Feb. 21, 2017 Jgmt. Entry.) Principally,
    these conditions consisted of reduced pressures and volumes, constant monitoring, and
    adjustments depending on observed levels of earthquakes. Id. at 2-5. However, there was
    also a provision that "if at any time an imminent threat to safety, health, or the environment
    is experienced at or near the facility for any reason, injection operations will immediately
    cease and will not resume until two representatives of AWMS and two representatives from
    the Commission determine that the threat has passed and it is safe to resume operations."
    Id. at 5.
    {¶ 18} ODNR Oil & Gas timely appealed to this Court. (Feb. 22, 2017 Notice of
    Appeal.)
    {¶ 19} On March 21, 2017, this Court stayed the common pleas court's entry during
    the pendency of this appeal. Am. Water Mgmt. Servs., LLC v. Div. of Oil & Gas Resources
    Mgmt., 10th Dist. No. 17AP-145 (Mar. 21, 2017) (Entry). As a consequence, and because
    the Chief's original order requiring the well to be shut-in has never been stayed, AWMS No.
    No. 17AP-145                                                                             9
    2 well has been shut-in since the original order on September 3, 2014 and continues to in
    effect remain dormant as of the date of this decision. See Admin. Record at 618-19.
    II. ASSIGNMENTS OF ERROR
    {¶ 20} The division assigns four alleged errors for our review:
    [1.] The Court of Common Pleas erred by vacating the Oil & Gas
    Commission's order and establishing a plan for resuming
    AWMS #2 Well operations because it lacked the authority and
    jurisdiction to issue a plan that (1) creates a new board not
    authorized by statute to determine imminent seismic threat
    issues; (2) infringes upon the sole and exclusive authority of the
    Chief to regulate injection operations as mandated by the
    General Assembly; (3) bypasses the Chief's statutorily required
    technical review; and (4) modifies an operating permit not
    under appeal.
    [2.] The Court of Common Pleas erred by requiring the Chief to
    develop his own plan for restarting the AWMS #2 Well
    operations when the Common Pleas Court lacks the authority
    and jurisdiction to order the Chief to develop an operator's plan
    to address a chief's order.
    [3.] The Court of Common Pleas erred in vacating the Oil & Gas
    Commission's decision and establishing a plan for resuming
    AWMS #2 Well operations because it abused its discretion in
    reaching a conclusion concerning seismic risk outside the
    AWMS site with no evidentiary support from the record.
    [4.] The Court of Common Pleas erred in vacating the Oil & Gas
    Commission's order and establishing a plan for resuming
    AWMS #2 Well operations because it unlawfully relied on
    evidence that was not newly discovered evidence under R.C.
    1509.37.
    III. DISCUSSION
    A. Standards of Appellate Review
    {¶ 21} In an appeal to the commission from an order of the Chief of ODNR Oil &
    Gas, "[i]f * * * the commission finds that the order appealed from was lawful and
    reasonable, it shall make a written order affirming the order appealed from; if the
    commission finds that the order was unreasonable or unlawful, it shall make a written order
    vacating the order appealed from and making the order that it finds the chief should have
    made." R.C. 1509.36. In an appeal from the commission to the Franklin County Court of
    Common Pleas, "if the court finds that the order of the commission appealed from was
    No. 17AP-145                                                                              10
    lawful and reasonable, it shall affirm the order." R.C. 1509.37. If the court of common pleas
    "finds that the order was unreasonable or unlawful, it shall vacate the order and make the
    order that it finds the commission should have made." Id. Recently, we reiterated this
    standard involving appeals of decisions from the Oil & Gas commission in Simmers v. N.
    Royalton, 10th Dist. No. 15AP-900, 
    2016-Ohio-3036
    , ¶ 21-24.
    The standard of review on an appeal for the common pleas
    court from the commission is whether the commission's order
    was reasonable and lawful. Martz v. Div. of Mineral Resources
    Mgt., 10th Dist. No. 08AP-12, 
    2008-Ohio-4003
    , P 13; Johnson
    v. Kell, 
    89 Ohio App.3d 623
    , 625, 
    626 N.E.2d 1002
     (10th
    Dist.1993).
    "If the court finds that the order of the commission appealed
    from was lawful and reasonable, it shall affirm the order. If the
    court finds that the order was unreasonable or unlawful, it shall
    vacate the order and make the order that it finds the
    commission should have made. The judgment of the court is
    final unless reversed, vacated, or modified on appeal." R.C.
    1509.37.
    "Unlawful" is defined as that which is not in accordance with
    law, while "unreasonable" is defined as that which is not in
    accordance with reason or that which has no factual
    foundation. Johnson, citing Citizens Commt. to Reserve Lake
    Logan v. Williams, 
    56 Ohio App.2d 61
    , 70, 
    381 N.E.2d 661
    (10th Dist.1977).
    Upon appeal to this court from the court of common pleas,
    however, our standard of review is more restrictive. Childs v.
    Oil & Gas Comm., 10th Dist. No. 99AP-626, 
    2000 Ohio App. LEXIS 1242
     (Mar. 28, 2000), citing Lorain City Bd. of Edn. v.
    State Emp. Relations Bd., 
    40 Ohio St.3d 257
    , 260-61, 
    533 N.E.2d 264
     (1988). This court determines if the common pleas
    court abused its discretion. 
    Id.
     However, on questions of law,
    the common pleas court does not exercise discretion, and this
    court's review is plenary. Childs, citing Univ. Hosp., Univ. of
    Cincinnati College of Med. v. State Emp. Relations Bd., 
    63 Ohio St.3d 339
    , 
    587 N.E.2d 835
     (1992); B & D Drilling v. State,
    10th Dist. No. 02AP-52, 
    2002-Ohio-5010
    , ¶ 12.
    
    Id.
     Thus, as to factual issues, our review is limited to a determination of whether the trial
    court abused its discretion. Ohio Dept. of Job & Family Servs. v. Delphi Automotive Sys.,
    Inc., 10th Dist. No. 14AP-971, 
    2017-Ohio-809
    , ¶ 14, citing Miracle Home Health Care, LLC
    No. 17AP-145                                                                                               11
    v. Ohio Dept. of Job & Family Servs., 10th Dist. No. 12AP-318, 
    2012-Ohio-5669
    , ¶ 18 (citing
    numerous cases).         And although an abuse of discretion is typically defined as an
    unreasonable, arbitrary, or unconscionable decision, no court has the authority, within its
    discretion, to commit an error of law. Delphi Automotive Sys., Inc. at ¶ 14, citing State v.
    Jones, 10th Dist. No. 15AP-596, 
    2016-Ohio-4766
    , ¶ 15, citing State v. Moncrief, 10th Dist.
    No. 13AP-391, 
    2013-Ohio-4571
    , ¶ 7; see also JPMorgan Chase Bank, N.A. v. Liggins, 10th
    Dist. No. 15AP-242, 
    2016-Ohio-3528
    , ¶ 18, quoting State v. Akbari, 10th Dist. No. 13AP-
    319, 
    2013-Ohio-5709
    , ¶ 7. Statutorily, the final result of our review of the common pleas
    court's decision is that we may either affirm, reverse, or modify the common pleas court's
    decision on review. R.C. 1509.37
    B. First Assignment of Error - Whether the Trial Court Exceeded its
    Jurisdiction or Authority in Issuing the Decision and Entry in this Case
    {¶ 22} ODNR Oil & Gas argues that the common pleas court lacked jurisdiction and
    authority to "(1) create[] a new board * * * to determine imminent seismic threat issues;
    (2) infringe[] upon the sole and exclusive authority of the Chief to regulate injection
    operations * * *; (3) bypass[] the Chief's * * * technical review; * * * and (4) modif[y] an
    operating permit not under appeal." (Division's Brief at vii.) Specifically, the division
    argues that, under R.C. Chapter 1509, it has " 'sole and exclusive authority' to regulate the
    oil and gas permitting and production operations within the state of Ohio." (Division's Brief
    at 32, quoting R.C. 1509.02, citing State ex rel. Morrison v. Beck Energy Corp., 
    143 Ohio St.3d 271
    , 
    2015-Ohio-485
    , ¶ 1.) ODNR Oil & Gas argues that it, and not the court of
    common pleas, is the sole enforcement authority in Ohio with respect to injection wells as
    designated by the federal Environmental Protection Agency. (Division's Brief at 34, citing
    42 U.S.C. 300h-4; 48 Fed.Reg. 38238 (Sept. 22, 1983)4.) ODNR Oil & Gas also argues that
    the Chief is tasked with issuing permits and ensuring that permit terms and conditions have
    been complied with; such that, as a consequence only the Chief, and not the common pleas
    court, has the power to set conditions for a well to reinitialize. (Division's Brief at 35-39.)
    Accordingly, ODNR Oil & Gas concludes that the common pleas court was without
    jurisdiction or authority to order the division to permit the reopening of AWMS No. 2 well.
    4The division actually cites 48 Fed.Reg. 38328 (Aug. 23, 1983). (Division's Brief at 34.) However, as there is
    no such document, we assume that the citation was a clerical error and have stated the accurate citation.
    No. 17AP-145                                                                              12
    {¶ 23} On February 3, 1983, ODNR applied for approval of its Underground
    Injection Control program and sought a delegation of "primacy" in administering and
    enforcing that program. 48 Fed.Reg. 6564 (Feb. 14, 1983). The application was presented
    according to 42 U.S.C. 300h-1 and 42 U.S.C. 300h-4, which addresses a delegation of
    "primary enforcement responsibility" to state governments by application and rule
    promulgation. In due course, Ohio's application was granted by the federal government.
    This federal grant of regulatory authority to ODNR with respect to class 2 injection wells is
    codified in 40 C.F.R. 147.1800 as announced in 48 Fed.Reg. 38238. Though the enabling
    federal regulation does not expressly adopt or endorse any particular appeals process,
    neither does it divest Ohio courts of jurisdiction, or deem invalid the statutory appeals
    process, or determine that the grant of "primary enforcement responsibility" to ODNR does
    away with state provided processes before a court of this state for relief from state
    administrative adjudications and determinations. See Ohio Constitution, Article I, Section
    16 ("All courts shall be open, and every person, for an injury done him in his land, goods,
    person, or reputation, shall have remedy by due course of law, and shall have justice
    administered without denial or delay.").
    {¶ 24} Thus, to determine the jurisdictional propriety of the Franklin County Court
    of Common Pleas' orders upon appeal from an administrative decision such as this, we look
    to the Ohio Constitution and Ohio statutes.
    {¶ 25} "The courts of common pleas * * * shall have * * * such powers of review of
    proceedings of administrative officers and agencies as may be provided by law."
    (Emphasis added.) Ohio Constitution, Article IV, Section 4(B). Accordingly, the Ohio
    legislature has provided that if a court of common pleas finds that an order of the
    commission "was unreasonable or unlawful, it shall vacate the order and make the order
    that it finds the commission should have made." (Emphasis added.) R.C. 1509.37. In short,
    when a court of common pleas reverses an order of the commission it is empowered to
    make any order that the commission would be empowered to make and that it finds should
    have been made.
    {¶ 26} The Oil & Gas commission is created by statute. R.C. 1509.35(A). Because of
    that, "its powers and duties extend only so far as the statutes grant authority, while being
    constrained by whatever limits the statutes impose." Chesapeake Exploration, L.L.C. v. Oil
    No. 17AP-145                                                                              13
    & Gas Comm., 
    135 Ohio St.3d 204
    , 
    2013-Ohio-224
    , ¶ 13. As a matter of explicit statutory
    authorization, if the commission finds that an order from the Chief of ODNR Oil & Gas "was
    unreasonable or unlawful, it shall make a written order vacating the order appealed from
    and making the order that it finds the chief should have made." (Emphasis added.) R.C.
    1509.36.
    {¶ 27} When R.C. 1509.36 and 1509.37 are considered together, notwithstanding
    the fact that ODNR Oil & Gas has "sole and exclusive authority" to regulate oil and gas, a
    common pleas court, sitting in an appellate capacity, is essentially empowered to make any
    order the Chief could have made. R.C. 1509.02; R.C. 1509.36, 1509.37. Hence, the proper
    question for analyzing each of AWMS' arguments is whether the Chief of ODNR Oil & Gas
    or the commission could have ordered the action of the common pleas court now under
    review on appeal.
    1. Creation of an Imminent Threat Board
    {¶ 28} The division argues that the common pleas court's order created a new
    "board" to address imminent threats and that such a creation is rather the sole purview of
    the General Assembly. (Division's Brief at 29-32.) Specifically, the court of common pleas'
    entry setting forth conditions under which the AWMS No. 2 well could return to operation
    contains the following provision:
    Independent of the above provisions, if at any time an
    imminent threat to safety, health, or the environment is
    experienced at or near the facility for any reason, injection
    operations will immediately cease and will not resume until
    two representatives of AWMS and two representatives from the
    [c]ommission determine that the threat has passed and it is
    safe to resume operations.
    (Feb. 21, 2017 Jgmt. Entry at 5.)
    {¶ 29} R.C. 1509.04(A) provides that the "chief of the division of oil and gas
    resources management * * * shall enforce this chapter and the rules, terms and conditions
    of permits and registration certificates, and orders adopted or issued pursuant thereto."
    R.C. 1509.03(D) provides that the "chief may issue orders to enforce this chapter, rules
    adopted thereunder, and terms or conditions of permits issued thereunder." One of the
    provisions of the chapter provides that "no person shall place or cause to be placed * * * in
    or on the land * * * brine, crude oil, natural gas, or other fluids associated with the
    No. 17AP-145                                                                                14
    exploration, development, well stimulation, production operations, or plugging of oil and
    gas resources that causes or could reasonably be anticipated to cause damage or injury to
    public health or safety or the environment." R.C. 1509.22(A). Read together, those sections
    provide the Chief with broad latitude to craft orders related to the disposal of brine in order
    to protect the environment and public health and safety.
    {¶ 30} But although the Chief has (and therefore the commission and common pleas
    court also have) broad latitude in crafting orders regarding the disposal of brine to protect
    the environment and public health and safety, we agree that this portion of the common
    pleas court's order would have been beyond the Chief's authority and the commission's
    authority. Nothing in R.C. 1509.35 (which creates and defines the commission) renders it
    subordinate to the Chief's authority and nothing elsewhere in R.C. Chapter 1509 purports
    to give the Chief authority to issue orders to members of the commission. In fact, R.C.
    1509.36 makes clear that far from being subordinate to the Chief, the commission is the
    immediate appellate authority with jurisdiction to overrule actions proposed or taken by
    the division and its Chief. And even if the Chief could have ordered the commission to act,
    the commission cannot act as a body without a quorum of at least three of its five members.
    R.C. 1509.35(B). Just two of the commission's members, as contemplated in the common
    pleas court in its entry, has no power to make any decisions on behalf of the commission.
    
    Id.
     We find no basis for the Chief to order commission members to do anything. Were it
    otherwise, a ridiculous result could ensue such as the Chief being empowered to order the
    members of the commission not to find the Chief's order unlawful or unreasonable.
    {¶ 31} And the Chief cannot lawfully order two members of the commission to
    undertake the responsibility of evaluating "imminent threat[s] to safety, health, or the
    environment" in connection with the AWMS No. 2 well. (Feb. 21, 2017 Jgmt. Entry at 5.)
    Actions of two members of the commission, even if voluntarily undertaken, are not the
    action of a quorum. If the commission cannot do it, neither can the common pleas court.
    R.C. 1509.36; R.C. 1509.35(B), 1509.37. Clearly, this portion of the common pleas court's
    entry cannot be given effect.
    2. The Sole and Exclusive Authority of the Chief to Regulate Injection
    Operations
    {¶ 32} As previously described and cited, neither the federal grant of regulatory and
    enforcement authority to the division, nor R.C. Chapter 1509, denies or abrogates appellate
    No. 17AP-145                                                                               15
    rights otherwise enjoyed by persons or entities affected by administrative decisions. See
    Ohio Constitution, Article I, Section 16 ("All courts shall be open, and every person, for an
    injury done him in his land, goods, person, or reputation, shall have remedy by due course
    of law, and shall have justice administered without denial or delay."); Ohio Constitution,
    Article IV, Section 4(B) ("The courts of common pleas * * * shall have * * * such powers of
    review of proceedings of administrative officers and agencies as may be provided by law.")
    Far from abrogating appellate rights, R.C. 1509.36 and 1509.37 specifically determine the
    appeal process and explicitly provide that the commission enjoys the ability to make any
    order the Chief could have made and that the common pleas court can make any order the
    commission could have made (which by transitive deduction, includes any order the Chief
    could have made). Thus, we do not agree that the grant of "sole and exclusive authority" in
    R.C. 1509.02 is intended to exclude the appellate bodies sitting in direct appeal of the
    division and its Chief pursuant to R.C. 1509.37.
    3. Bypassing the Chief's Technical Review and Modifying a Permit not
    Under Appeal
    {¶ 33} The division argues that the common pleas court issued a new operating
    permit with different conditions without following the required legal process to impose an
    order. (Division's Brief at 35-39.) But a review of the common pleas court's entry shows
    that this is not what occurred. Rather, the common pleas court ordered additional
    operating conditions for an existing permit in response to one or more circumstances
    unforeseen at the time the original permit was issued. (Feb. 21, 2017 Jgmt. Entry in
    passim.)
    {¶ 34} The division has argued throughout this litigation that the Chief has the
    inherent power to issue orders related to the disposal of brine in order to protect the
    environment and public health and safety. See, e.g., Sept. 22, 2016 Division's Brief at 17.
    Our review of R.C. Chapter 1509 causes us to agree with that conclusion. R.C. 1509.03(D);
    R.C. 1509.04(A); R.C. 1509.22(A). But the division cannot have it both ways. If the Chief
    has such power, then the appellate authorities over the Chief also have that power because
    in reversing the Chief, they may make any order he could have made. R.C. 1509.36; R.C.
    1509.37.
    {¶ 35} We sustain the division's first assignment of error insofar as we agree that the
    common pleas court lacked authority to issue an order requiring two members of the
    No. 17AP-145                                                                               16
    commission to participate in oversight of AWMS No. 2 well. In all other respects, we
    overrule ODNR Oil & Gas' first assignment of error.
    C. Second Assignment of Error – Whether the Trial Court Prejudicially
    Erred in Ordering the Division to Submit a Proposed Entry
    {¶ 36} The division argues that the common pleas court lacked the authority to order
    the Chief to propose a plan for dealing with AWMS' human-activity-related earthquakes.
    (Division's Brief at 40-42.) We agree for reasons explained in discussing the division's third
    assignment of error.
    {¶ 37} Regardless, the division argues that the common pleas court "rejected" the
    division's (forced) submission and "largely adopted" the proposed entry submitted by
    AWMS. (Division's Brief at 6.) Since the common pleas court's error did not affect the
    ultimate result or any "substantial right[]" of any party, its error was harmless. Civ.R. 61.
    {¶ 38} The division's second assignment of error is overruled as harmless.
    D. Third Assignment of Error – Whether the Common Pleas Court Drew
    Conclusions About Seismic Risk Without Evidentiary Support
    {¶ 39} The division argues that the common pleas court improperly decided that
    AWMS No. 2 well could be restarted with little risk to the public and decided so without
    appropriate deference to the commission and the Chief, all without evidence to support the
    court's conclusions. (Division's Brief at 43-47.) For the reasons that follow, we find that
    argument to be well-taken. While the common pleas court had no duty to defer to the
    commission and Chief to an extent not contemplated in R.C. 1509.37, its findings had to
    have a basis in the record.
    {¶ 40} When a court of common pleas finds an order of the commission to be
    "unreasonable or unlawful," it must "vacate the order and make the order that it finds the
    commission should have made." R.C. 1509.37. In discussing our standard of review, we
    previously defined "unreasonable" as being not in accordance with reason or having no
    factual foundation. Simmers at ¶ 23, citing Johnson v. Kell, 
    89 Ohio App.3d 623
    , 625 (10th
    Dist.1993); Citizens Commt. to Reserve Lake Logan v. Williams, 
    56 Ohio App.2d 61
    , 70
    (10th Dist.1977). If the common pleas court is empowered to "make the order that it finds
    the commission should have made," it follows that its order must be reasonable and have a
    factual foundation. Simmers at ¶ 22.
    No. 17AP-145                                                                                   17
    {¶ 41} The division relies on cases involving statutory construction by courts in
    arguing that the common pleas court was required to observe more deference than is
    inherent in the legal construction of the statutory use of "unreasonable" for the purposes of
    appellate review. The cases the division would have us rely on in our appellate review of
    what the common pleas court did are inapposite because they stand for the proposition that
    "courts, when interpreting statutes, must give due deference to an administrative
    interpretation formulated by an agency which has accumulated substantial expertise, and
    to which the legislature has delegated the responsibility of implementing the legislative
    command." (Emphasis added.) State ex rel. McLean v. Indus. Comm., 
    25 Ohio St.3d 90
    ,
    92 (1986); see also Buckeye Power, Inc. v. Korleski, 
    183 Ohio App.3d 179
    , 2009-Ohio-
    2232, ¶ 15-16 (10th Dist.).       But our review of this appeal is less one of statutory
    interpretation, but rather, of whether what the Chief decided to do or not do under specific,
    factual circumstances was unreasonable, separate from the concept of unlawful. Thus, we
    do not look to these cases in reaching our decision to sustain the division's third assignment
    of error.
    {¶ 42} All experts (including the Chief) who testified agreed that the seismic events
    (measuring 1.7 and 2.1 magnitude respectively) were likely related to AWMS' injection
    activities. (Admin. Record at 745-47, 793-94, 1088, 1229.) But no expert suggested that
    seismic events at such levels posed a danger to public health, safety, or the environment.
    Id. at 797-98. All experts also consistently testified that some level of injection could take
    place without putting public safety or the environment in significant jeopardy. Id. at 697-
    701, 788-89, 903; see also id. at 1064, 1088. AWMS' two experts opined that a substantial
    percentage of the well's original operating volume and pressure would be safe with
    monitoring along with the proffered traffic light approach. Id. at 697-701, 788-89; see also
    id. at 1063-64, 1088. The Chief admitted that one barrel per day would likely not create
    seismic activity of any danger, but he declined to speculate on what is an appropriate, safe
    level of operation. Id. at 903-04. Nor are we certain he would have been able to testify to
    this without undertaking the work necessary to put a statewide policy in place. This is, in
    fact, the basis for the Chief's decision, which is the subject of this appeal. Despite the Chief's
    opinion held in common with AWMS' experts, he decided not to allow AWMS No. 2 well to
    No. 17AP-145                                                                                 18
    resume unless and until a statewide policy could be adopted and applied. Id. at 890-92,
    903-04.
    {¶ 43} Our review of the record shows that the evidence was mixed on the question
    of how much or to what degree of injection could be safely accomplished at the AWMS No.
    2 well. It was not unreasonable for the Chief to refuse to speculate without a statewide
    policy as is contemplated by R.C. 1509.02. Until that policy is developed, it is not
    unreasonable, in light of the history of the wells in question, to conclude that the only safe
    amount of injection was zero, at least for now. But while the common pleas court
    characterized the Chief's decision to prevent any injection activities as being motivated by
    the division's preference to first allow some policy-making process of indeterminate
    duration to be completed, see Dec. 23, 2016 Decision & Order at 13-15, it concluded that
    the Chief acted unreasonably in "stalling for over twenty-six (26) months, * * * [and]
    denying A[WMS] a site-specific evaluation and plan to restart its well." Id. at 14. We find
    that the common pleas court abused its discretion as a matter of law in reaching this
    conclusion.
    {¶ 44} The Chief was faced with the unenviable, if near impossible, prospect of
    predicting when an extraordinary event or circumstance such as an earthquake would occur
    when waste disposal injection reached certain, defined levels. Normally, an earthquake is
    considered an "act of God." That is, it is "so unusual and overwhelming as to do damage by
    its own power, without reference to and independently of" the actions of any particular
    person. Wright v. Ohio Dept. of Natural Resources, Ct. of Cl. No. 2003-11755-AD, 2004-
    Ohio-3581, ¶ 7, citing Piqua v. Morris, 
    98 Ohio St. 42
    , 49 (1918). In a tort liability setting,
    an "act of God" ascribes no liability. Wright at ¶ 7.
    The term "Act of God," in its legal significance, means
    irresistible disaster, the result of natural causes, such as
    earthquakes, violent storms, lightning and unprecedented
    floods. [Morris, 
    98 Ohio St. 42
    ] at 47-48.
    However, if proper care and diligence on the part of defendant
    would have avoided the act, it is not excusable as an "Act of
    God." Bier v. City of New Philadelphia (1984), 
    11 Ohio St. 3d 134
    , 
    11 Ohio B. 430
    , 
    464 N.E.2d 147
    .
    Wright at ¶ 7-8. The "force majeure" or "act of God" line of cases is relevant to these parties'
    dispute because all experts who testified agreed that it is human activity and not an "act of
    No. 17AP-145                                                                                19
    God" that has caused the seismic and earthquake activity in question. As such, questions
    about the state's liability if damage were to occur are legitimate.
    {¶ 45} It was not unreasonable for the Chief to seek and await guidance from a
    statewide policy that addressed this kind of seismic activity. In awaiting such guidance, we
    recognize that the timeline for its completion is affected by the time it takes to review other
    states' similar proposals, obtain approval from the Governor's office and achieve review and
    approval through the State's rulemaking process, including review and approval by the
    Ohio legislature's Joint Committee on Agency Rule Review. And according to statute, a
    uniform policy has been and is required. R.C. 1509.02 provides:
    The regulation of oil and gas activities is a matter of general
    statewide interest that requires uniform statewide regulation,
    and this chapter and rules adopted under it constitute a
    comprehensive plan with respect to all aspects of the locating,
    drilling, well stimulation, completing, and operating of oil and
    gas wells within this state, including site construction and
    restoration, permitting related to those activities, and the
    disposal of wastes from those wells.
    (Emphasis added.) This statute was in effect well before the first noted seismic activity
    associated with AWMS' operations at the sites in question.
    {¶ 46} The division further argues error in that the common pleas court included the
    following factual finding in its entry:
    Since all observed events have been located on the industrial
    parcel where AWMS is located (approximately 11,000-feet
    deep), it is likely that observed events will remain in the
    microseismic range and in same vicinity of those previously
    observed, thereby maintaining Seismic Risk to the public at
    near zero.
    (Feb. 21, 2017 Jgmt. Entry at 8; Division's Brief at 44.) The division does not dispute that
    all the observed events were located on AWMS' industrial parcel and at depths of
    approximately 11,000 feet, or that all the events previously observed were in the
    microseismic range. Rather the division challenges the common pleas court's conclusion
    that if the restart plan is followed that such events will "likely * * * remain in the
    microseismic range and in same vicinity of those previously observed, thereby maintaining
    Seismic Risk to the public at near zero." (Division's Brief at 44-45.)
    No. 17AP-145                                                                               20
    {¶ 47} The division essentially argues that the common pleas court's opining what
    was "likely" to happen in fashioning and implementing a restart plan was nothing more
    than speculation by the common pleas court that did not conform to the evidence in the
    record. We agree. The common pleas court's entry demonstrates that it disregarded the
    expert testimony of the Chief in favor of that of the two expert witnesses offered by AWMS.
    The Chief had testified that the Northstar 1 incident shows that it is possible for seismic
    events to increase suddenly in magnitude and spread beyond the drilling site. 
    Id.
     Although,
    the Chief expressly declined to offer an opinion on what would happen if the AWMS No. 2
    well were restarted at a reduced volume as proposed; his testimony clearly indicated that it
    would be next to impossible to say that it is "likely" for observed events to remain in the
    microseismic range and in same vicinity of those previously observed. (Admin. Record at
    928-29.) The Chief's refusal to speculate at this juncture and the commission's refusal to
    reverse the Chief are evidence that predicting what is "likely" is extremely difficult at best
    and could be dangerous at worst.
    {¶ 48} AWMS' experts both testified that they believed the well could be restarted
    safely according to the plan proposed by AWMS and this was similar to the plan eventually
    adopted by the common pleas court. 
    Id. at 697-701, 788-89, 1063-64, 1088
    ; compare id.
    at 1043-45, 1048-51 with Feb. 21, 2017 Jgmt. Entry at 2-5. But because the common pleas
    court's appellate powers of review are limited to whether the commission's decision was
    unreasonable or unlawful, the common pleas court exceeded its jurisdiction and abused its
    discretion in picking and choosing which experts to believe and drawing conclusions
    therefrom by which to fashion an order that it believed the Chief should have.
    {¶ 49} We sustain the division's third assignment of error.
    E. Fourth Assignment of Error - Whether the Trial Court Considered
    Evidence Outside the Administrative Record and Erred in so Doing
    {¶ 50} R.C. 1509.37 places limitations on the record available to the court of
    common pleas in reviewing the commission's decision:
    In the hearing of the appeal the court is confined to the record
    as certified to it by the commission. The court may grant a
    request for the admission of additional evidence when satisfied
    that the additional evidence is newly discovered and could not
    with reasonable diligence have been ascertained prior to the
    hearing before the commission.
    No. 17AP-145                                                                                            21
    Though AWMS filed a motion for the common pleas court to consider newly discovered
    evidence, it orally withdrew the motion at the outset of the common pleas court hearing.
    (Nov. 1, 2016 Hearing Tr. at 4.)
    {¶ 51} The division argues that the common pleas court erred in relying on anything
    that was not contained within the record of proceedings before the commission. (Division's
    Brief at 50-54.) The division characterizes the proposed entries submitted by the parties
    regarding restarting the well as new "evidence" and stated that a USGS report, "2016 One-
    Year Seismic Hazard Forecast for the Central and Eastern United States from Induced and
    Natural Earthquakes" was impermissible "evidence" considered by the trial court. Id. at
    50-53.
    {¶ 52} Evidence is defined as "[s]omething (including testimony, documents, and
    tangible objects) that tends to prove or disprove the existence of an alleged fact; anything
    presented to the senses and offered to prove the existence or nonexistence of a fact." Black's
    Law Dictionary 673 (10th Ed.2014); see also Ballentine's Law Dictionary (2010) ("The
    means by which any matter of fact, the truth of which is submitted to investigation, may be
    established or disproved. That which demonstrates, makes clear, or ascertains the truth of
    the very fact or point in issue, either on the one side or the other."). Proposed entries,
    solicited by a court after it has rendered a decision, are not materials submitted to establish
    the truth of any matter of fact. Rather, they are proposals by which a court's decision may
    take the force of law ("a trial court speaks through its entry"5) to efficiently carry out the
    court's decision. The trial court was free to have solicited proposed entries as an aid in
    crafting its own entry, except it should not have ordered the Chief to propose a course of
    action he could not as an expert even testify to as prudent.
    {¶ 53} On one page of its entry, the common pleas court relied on a published report
    of the USGS. (Feb. 21, 2017 Jgmt. Entry at 6, citing Mark D. Petersen, et al., U.S. Geological
    Survey, 2016 One-Year Seismic Hazard Forecast for the Central and Eastern United
    States     from     Induced      and     Natural      Earthquakes,        Ver.    1.1,   (June      2016)
    https://pubs.usgs.gov/of/2016/1035/ofr20161035ver1_1.pdf.) Because the common pleas
    court used the USGS report to provide background information to notice that Ohio is a
    5 State v. Powers, 10th Dist. No. 15AP-422, 
    2015-Ohio-5124
    , ¶ 18, citing Infinite Sec. Solutions, L.L.C. v.
    Karam Properties II, Ltd., 
    143 Ohio St.3d 346
    , 
    2015-Ohio-1101
    , ¶ 29.
    No. 17AP-145                                                                               22
    relatively placid place geologically, we view it as being used for scientific context, much as
    we used it in our decision as a lay explanation concerning the nature of "brine," which is a
    legally defined term according to rule. (Feb. 21, 2017 Jgmt. Entry at 6.) Even though the
    common pleas court did not admit the USGS report into evidence or purport to take judicial
    notice of it under Evid.R. 201, the reliability of the information in the public, published
    report of the USGS has not been disputed by any party, especially when essentially used for
    scientific context. Even if error exists in relying on it, such error is harmless. Civ.R. 61.
    We, thus, overrule the division's fourth assignment of error.
    IV. CONCLUSION
    {¶ 54} Under statutory requirements, the Franklin County Court of Common Pleas
    serves as the first appellate reviewer of decisions of the Oil & Gas commission and, thereby,
    decisions of ODNR Oil & Gas and its Chief. This common pleas court has jurisdiction and
    authority to reverse decisions of the commission (and thereby of the Chief of the division)
    and to issue any order the commission or Chief could and should have issued. This court
    of appeals has authority to affirm, reverse, or modify the decision of the common pleas
    court for an abuse of discretion in carrying out its appellate function concerning the
    commission.
    {¶ 55} Accordingly, we sustain the division's first assignment of error insofar as we
    agree that the common pleas court lacked authority to issue an order requiring two
    members of the commission to participate in oversight of the AWMS No. 2 well. In all other
    respects we overrule ODNR Oil & Gas' first assignment of error.
    {¶ 56} We overrule the division's second assignment of error because we find any
    error was harmless.
    {¶ 57} We sustain the division's third assignment of error in that the trial court
    based on its decision on impermissible evidentiary inferences made between experts who
    testified before the division and because the common pleas court drew conclusions about
    the likelihood of seismic risk without reliable evidentiary support.
    {¶ 58} We overrule the division's fourth assignment of error finding that matters
    asserted to be evidence considered that was outside the record were public, published
    reports of the USGS and were relied on for scientific context and not specifically as
    evidence.
    No. 17AP-145                                                                                 23
    {¶ 59} The judgment of the Franklin County Court of Common Pleas is affirmed in
    part and reversed in part. Accordingly, we modify the common pleas court's judgment
    pursuant to our authority in R.C. 1509.037, and we affirm the decision of the Oil & Gas
    commission.
    Judgment affirmed in part, reversed in part,
    and modified as stated herein.
    TYACK, J., concurs.
    LUPER SCHUSTER, J., concurs in part and dissents in part.
    LUPER SCHUSTER, J., concurring in part and dissenting in part.
    {¶ 60} I agree with the majority's resolution of the division's first, second, and fourth
    assignments of error. However, because I am unable to agree with the majority's resolution
    of the division's third assignment of error, I respectfully concur in part and dissent in part.
    {¶ 61} In sustaining the division's third assignment of error, the majority seems to
    conclude the trial court exceeded its authority in determining which expert witnesses to rely
    on and fashioning an order based on the recommendations of those experts. I find this
    conclusion to be inconsistent with the majority's resolution of the division's first
    assignment of error. In its resolution of the first assignment of error, the majority
    concluded that "[w]hen R.C. 1509.36 and 1509.37 are considered together, notwithstanding
    the fact that ODNR Oil & Gas has 'sole and exclusive authority' to regulate oil and gas, a
    common pleas court, sitting in an appellate capacity, is essentially empowered to make any
    order the Chief could have made." (Majority Decision at ¶ 27.) I agree with the majority's
    interpretation of R.C. 1509.36 and 1509.37.
    {¶ 62} As the majority additionally notes, an appellate court sitting in an appellate
    capacity reviews a decision of the commission to determine whether the decision was
    reasonable and lawful. Simmers v. N. Royalton, 10th Dist. No. 15AP-900, 2016-Ohio-
    3036, ¶ 21.      If the common pleas court finds the order of the commission to be
    unreasonable or unlawful, the common pleas court "shall vacate the order and make the
    order that it finds the commission should have made." R.C. 1509.37; Simmers at ¶ 22. On
    appeal to this court, then, our review is whether the common pleas court abused its
    No. 17AP-145                                                                               24
    discretion. Simmers at ¶ 24, citing Childs v. Oil & Gas Comm., 10th Dist. No. 99AP-626
    (Mar. 28, 2000).
    {¶ 63} After concluding in its discussion of the division's first assignment of error
    that the common pleas court had the authority, pursuant to R.C. 1509.37, to issue an order
    the Chief could have made, the majority then concludes in its analysis of the division's third
    assignment of error that the common pleas court abused its discretion by reviewing the
    expert testimony to fashion an order it believed the Chief should have made. I find this
    conclusion deviates from the standard of review specified in the statutes and reiterated by
    the majority.
    {¶ 64} Instead, I would conclude that the trial court did not abuse its discretion
    either in determining the order of the commission was unreasonable or in fashioning an
    order the Chief should have made. Though the majority is correct that the common pleas
    court must first review an order of the commission to determine whether it is unreasonable
    or unlawful, that review does not end the analysis. The second prong of the common pleas
    court's review is that, once it finds an order of the commission to be unlawful or
    unreasonable, the common pleas court must then fashion an order that the Chief should
    have made. The majority's resolution of the division's third assignment of error seems to
    suggest the common pleas court erred by engaging in the same two-step process that the
    statute directs the common pleas court it must engage. I cannot agree with this conclusion.
    {¶ 65} In fashioning the order, I would conclude the common pleas court acted well
    within its discretion to examine the evidence before it, including the expert testimony
    presented, and to rely on that evidence to create an order that would be within the scope of
    authority of the Chief. Because the majority reaches an opposite conclusion, I respectfully
    dissent.