State v. Jones , 2014 Ohio 1634 ( 2014 )


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  • [Cite as State v. Jones, 
    2014-Ohio-1634
    .]
    [Please see vacated opinion at 
    2014-Ohio-382
    .]
    Court of Appeals of Ohio
    EIGHTH APPELLATE DISTRICT
    COUNTY OF CUYAHOGA
    JOURNAL ENTRY AND OPINION
    No. 99703
    STATE OF OHIO
    PLAINTIFF-APPELLEE
    vs.
    LISA JONES
    DEFENDANT-APPELLANT
    JUDGMENT:
    AFFIRMED IN PART, REVERSED IN PART,
    AND REMANDED
    Criminal Appeal from the
    Cuyahoga County Court of Common Pleas
    Case Nos. CR-12-568908 and CR-12-568910
    BEFORE: Stewart, J., Jones, P.J., and E.A. Gallagher, J.
    RELEASED AND JOURNALIZED:                     April 17, 2014
    ATTORNEY FOR APPELLANT
    Joseph V. Pagano
    P.O. Box 16869
    Rocky River, OH 44116
    ATTORNEYS FOR APPELLEE
    Timothy J. McGinty
    Cuyahoga County Prosecutor
    BY: Adrienne E. Linnick
    Daniel T. Van
    Assistant County Prosecutors
    The Justice Center
    1200 Ontario Street, 8th Floor
    Cleveland, OH 44113
    ON RECONSIDERATION1
    MELODY J. STEWART, J.:
    {¶1} Defendant-appellant Lisa Jones entered guilty pleas in two separate cases: in
    CR-568908, she pleaded guilty to a second-degree felony count of aggravated arson and
    four, fourth-degree felony counts of arson; in CR-568910, she pleaded guilty to one count
    of menacing by stalking. The cases arose from Jones’s harassment of, and threats made
    to, her ex-boyfriend and setting fire to his house that, in turn, burned four houses that
    surrounded it. In this appeal, she complains that the court should have transferred her
    cases to the mental health docket; that her guilty pleas were involuntary; that the court
    should have merged the arson counts for sentencing; and that the court abused its
    discretion by prohibiting her from participating in prison programs that might entitle her
    to an early release.
    I
    {¶2} Jones first argues that her cases should have been transferred to the court’s
    mental health docket in light of an assessment performed by the court psychiatric clinic
    that declared that Jones “meets criteria for transfer to the Mental Health Court.”
    A
    The original announcement of decision, State v. Jones, 8th Dist. Cuyahoga No. 99703,
    1
    
    2014-Ohio-382
    , released February 6, 2014, is hereby vacated. This opinion, issued upon
    reconsideration, is the court’s journalized decision in this appeal. See App.R. 22(C); see also
    S.Ct.Prac.R. 7.01.
    {¶3} Rule 30.1(A) of the Local Rules of the General Division of the Common
    Pleas Court of Cuyahoga County establishes a mental health docket for cases “where the
    defendant has a confirmed serious mental illness” — defined in the rule as “within the
    previous six months prior to arraignment, there is a clinical diagnosis of a severe mental
    illness with a psychotic feature.” In a case where the mental health of the defendant is
    not determined until after arraignment, assignment to the mental health docket is
    discretionary. See Loc.R. 30.1(C)(2); State v. Ellis, 8th Dist. Cuyahoga No. 98538,
    
    2013-Ohio-1184
    , ¶ 30.
    {¶4} Jones’s mental health evaluations were performed after her arraignment. A
    sanity evaluation concluded that Jones suffered from bipolar disorder at the time of her
    offense, but that her mental disease “did not prevent her from knowing the wrongfulness
    of the alleged behavior.” A competency evaluation conducted at the same time found
    her competent to stand trial and found also that, although Jones was not at that time
    presenting with symptoms of psychosis, she was a candidate for transfer to the mental
    health docket. During sentencing, defense counsel told the court that Jones had been
    placed on medication while in jail and that her condition had been stabilized, giving her
    “a very sound grasp of her situation and the problems that she’s experienced.” Defense
    counsel also told the court that while he believed Jones was a “prime candidate” for the
    mental health docket, the court “has the discretion to do a lot of things.”
    {¶5} Jones never made a formal motion to have her case transferred to the mental
    health docket.   And when she did raise that forum as an alternative to the regular
    criminal docket, she did so only at the time of sentencing after having entered guilty pleas
    as part of a plea bargain. By that point, transfer was admittedly discretionary with the
    court.
    {¶6} Nothing in the record shows that the court abused its discretion by not
    transferring the case to the mental health docket.           Although Jones’s evaluations
    determined that she was a candidate for transfer to the mental health docket, the
    evaluation determined also that she was competent to stand trial and her mental health
    issues did not prevent her from knowing that her conduct was wrong. Additionally, the
    court appeared unconvinced that Jones would benefit from having her case transferred to
    the mental health docket, saying that it did not sympathize with “people who don’t take
    the medication they’re given * * *.” The court noted that Jones made a “conscious
    choice to not follow the doctor’s direction, to drink, to not take your medication.”
    Reasonable people might disagree with the court’s decision after considering the mental
    health evaluations, but that kind of disagreement does not amount to an abuse of
    discretion.
    B
    {¶7} Jones next argues that if we find that counsel’s failure to file a formal motion
    to have the case transferred to the mental health docket constitutes a waiver of that
    request, we should find that counsel was ineffective.
    {¶8} An ineffective assistance of counsel claim will lie only when it has shown
    that both (1) the performance of defense counsel was seriously flawed and deficient, and
    (2) the result of the defendant’s trial or legal proceeding would have been different had
    defense counsel provided proper representation. Strickland v. Washington, 
    466 U.S. 668
    ,
    
    104 S.Ct. 2052
    , 
    80 L.Ed.2d 674
     (1984).
    {¶9} We have no basis for concluding that defense counsel’s failure to file a
    motion to transfer the case to the mental health docket was the direct cause of the court’s
    refusal to order the transfer. The psychiatric report was prepared after arraignment, so at
    all events a transfer request based on the contents of that report would have been
    discretionary with the court. The report showed that Jones’s mental health stabilized
    considerably once she began taking her medication. Defense counsel noted the same
    thing based on his own interaction with Jones. To the court, this appeared to mean that
    Jones could have avoided criminal involvement had she been compliant with her
    medication, but that Jones made a “conscious choice” to not take her medication and
    instead consume alcohol. Given the court’s statements, we cannot say that it would have
    been predisposed to order transfer to the mental health docket had a formal motion for
    transfer been filed, so there is no showing that but for defense counsel’s failure to file a
    motion, Jones’s case would have been transferred to the mental health docket.
    II
    {¶10} We next consider Jones’s argument that her guilty plea was involuntary
    because she was not clearly advised of the elements of proof required for aggravated
    arson, it being her belief that the structure she set fire to was not an occupied house but
    more of a “tool shed.”
    {¶11} “Crim.R. 11(C)(2)(a) requires the court to determine whether a defendant
    has an ‘understanding of the nature of the charges,’ but that requirement does not require
    the court to inform the accused of the actual elements of the charged offense during the
    plea colloquy.”    State v. Woodard, 8th Dist. Cuyahoga Nos. 94672 and 94673,
    
    2011-Ohio-104
    , ¶ 4. Instead, the court must look to the circumstances of the case to
    determine whether the defendant understands the charges to which she is pleading. See
    State v. Esner, 8th Dist. Cuyahoga No. 90740, 
    2008-Ohio-6654
    , ¶ 3.
    {¶12} Jones pleaded guilty to a single count of aggravated arson in violation of
    R.C. 2909.02(A)(2). That section charged that she, by means of fire, knowingly caused
    physical harm to an occupied structure. Jones maintains that she did not set fire to an
    occupied structure as evidenced in the sentencing transcript where she states that the
    victim “had gutted the house * * *. The plumbing was gone, the kitchen was gone and
    everything. There was nothing in that house. It was a tool shed.” Jones argues that
    these statements show that she could not have understood that she was pleading guilty to
    burning down an occupied structure. Jones apparently believes that the term “occupied
    structure” means a habitation or where someone currently lives. Such is not necessarily
    the case.
    {¶13} As applicable here, R.C. 2909.01(C) defines occupied structure in pertinent
    part as any house, building, or other structure that is maintained as a permanent or
    temporary dwelling, regardless of whether it is temporarily unoccupied or whether any
    person is actually present. Other provisions in the statute reference habitation, overnight
    accommodation, and the presence or likely presence of a person. But regardless of how
    Jones characterizes the victim’s property, it is clear that the house satisfies the statutory
    requirement for aggravated arson. Jones’s argument that she did not understand that she
    was pleading guilty to setting an occupied structure on fire is without merit.
    {¶14} Jones also complains that the court misled her about the potential
    consequences of her plea by advising her that she “could receive community control for
    up to five years.” She maintains that this advisement was misleading because the court
    refused to order a presentence investigation report, so community control sanctions were
    unavailable as a sanction under authority of R.C. 2951.03(A)(1). (“No person who has
    been convicted of or pleaded guilty to a felony shall be placed under a community control
    sanction until a written presentence investigation report has been considered by the
    court.”)
    {¶15} Crim.R. 11(C)(2)(a) requires the court to inform the defendant of the
    “maximum penalty involved, and if applicable, that the defendant is not eligible for
    probation or for the imposition of community control sanctions at the sentencing
    hearing.” The court has no obligation to inform a defendant that community control is an
    available sanction. Jones was apparently eligible for community control, and the court
    took Crim.R. 11(C)(2)(a) a step further than it had to by telling Jones that she “could”
    receive a community control sanction. Although Jones argues that the court’s statement
    was false and misleading because the court had no intention of imposing a community
    control sanction because it did not order a presentence investigation report, the
    advisement did not amount to any kind of promise that community control would be
    imposed. As with other sentencing decisions, community control is discretionary with
    the court. The court’s decision to not order a presentence investigation report and, in
    turn, not sentence Jones to a community control was a decision within the court’s
    discretion and did not involve any of the advisements required under Crim.R. 11(C).
    III
    {¶16} Jones pleaded guilty to one count of aggravated arson in violation of R.C.
    2909.02(A)(2) and four counts of arson in violation of R.C. 2909.03(A)(1). Jones argues
    that these were allied offenses because the fire started with one single act — she set fire
    to one house and the fire spread to four adjacent houses.
    {¶17} When a defendant’s conduct results in the commission of two or more
    “allied” offenses of similar import, that conduct can be charged separately, but the
    defendant can be convicted and sentenced for only one offense.          R.C. 2941.25(A).
    Offenses are “allied” and must be merged for sentencing if the defendant’s conduct is
    such that a single act could lead to the commission of separately defined offenses, but
    those separate offenses were committed with a state of mind to commit only one act. See
    State v. Johnson, 
    128 Ohio St.3d 153
    , 
    2010-Ohio-6314
    , 
    942 N.E.2d 1061
    , ¶ 48-50.
    Merger is a sentencing issue, so the defendant bears the burden of establishing her
    entitlement to the protection of the Allied Offenses Statute, R.C. 2941.25. State v.
    Washington, 
    137 Ohio St.3d 427
    , 
    2013-Ohio-4982
    , 
    999 N.E.2d 661
    , ¶ 18.
    {¶18} In support of her argument, Jones cites State v. Harrison, 8th Dist.
    Cuyahoga No. 75294, 
    1999 Ohio App. LEXIS 5908
     (Dec. 9, 1999). Harrison set fire to
    two cars and those fires spread to adjacent houses. The state charged Harrison with 14
    counts of aggravated arson relating to the inhabitants of those houses under R.C.
    2909.02(A)(3).2 Employing the test set forth in State v. Blankenship, 
    38 Ohio St.3d 116
    ,
    117, 
    526 N.E.2d 816
     (1988), for determining whether offenses are allied, we held that
    Harrison acted with a single animus in creating a risk of serious harm to the occupants of
    the houses. In reaching that decision, we relied on State v. Hedrick, 8th Dist. Cuyahoga
    No. 57844, 
    1990 Ohio App. LEXIS 5647
     (Dec. 20, 1990), in which we found that four
    counts of aggravated arson relating to the burning of a single house with four inhabitants
    must merge for sentencing. As Jones notes, other precedent from this court holds to the
    same effect. See, e.g., State v. Fields, 8th Dist. Cuyahoga No. 88668, 
    2007-Ohio-3661
    (the state conceded that four counts of aggravated arson relating to the burning of
    furniture in one suite of an apartment building that spread to the other three suites in the
    building must merge for sentencing); State v. Parnell, 8th Dist. Cuyahoga No. 38756,
    
    1979 Ohio App. LEXIS 10104
     (May 24, 1979) (“firebomb” that caused damage to both
    units in a duplex constituted a single act requiring merger of two counts of aggravated
    arson under R.C. 2909.02)
    {¶19} The cases cited by Jones are distinguishable in that at least half of them
    analyze conduct relative to an occupied structure under the aggravated arson statute. But
    We note that the definition of R.C. 2909.02(A)(3), as stated in Harrison, is incorrect.
    2
    even these cases are no longer viable precedent in favor of merging arson or aggravated
    arson counts as they relate to individual persons affected by a defendant’s conduct. In
    State v. Franklin, 
    97 Ohio St.3d 1
    , 
    2002-Ohio-5304
    , 
    776 N.E.2d 26
    , the Ohio Supreme
    Court refused to merge six aggravated arson counts under R.C. 2909.02(A)(1) that
    stemmed from a single fire that created a risk of harm to a separate persons. Citing State
    v. Jones, 
    18 Ohio St.3d 116
    , 117, 
    480 N.E.2d 408
     (1985), for the proposition that “this
    state’s aggravated vehicular homicide statute * * * allow[s] convictions for separate
    violations ‘for each person killed as the result of a single instance of [the defendant’s]
    reckless operation of his vehicle’” id. at ¶ 48, the court held “by analogy with Jones” that
    Franklin’s conduct “caused six offenses of dissimilar import because six different people
    were placed at risk. For this reason, appellant’s argument fails.” Id. This holding is
    now understood to mean that “when an offense is defined in terms of conduct towards
    another, then there is dissimilar import for each person affected by the conduct.” State v.
    Piscura, 
    2013-Ohio-1793
    , 
    991 N.E.2d 709
    , ¶ 17 (8th Dist.). Thus, we have recently held
    that a defendant setting one fire created a substantial risk of harm or injury to four
    children, and could be separately punished for the harm. See State v. Collins, 8th Dist.
    Cuyahoga No. 95415, 
    2011-Ohio-3241
    , ¶ 21.
    {¶20} Franklin’s “dissimilar import” analysis        controls the outcome of this
    assignment of error.     Jones, in addition to pleading guilty to the single count of
    aggravated arson under R.C. 2909.02(A)(2), also pleaded guilty to four counts of arson in
    violation of R.C. 2909.03(A)(1). That section states that no person, by means of fire or
    explosion, shall knowingly “[c]ause, or create a substantial risk of, physical harm to any
    property of another without the other person’s consent[.]”             Jones’s guilty plea
    acknowledged that her single act damaged not only the victim’s property (an occupied
    structure), but four neighboring houses that are the property of others. Because there
    were five separate houses damaged by Jones’s single act, there were five acts of harm that
    could be separately charged and punished as aggravated arson under R.C. 2909.02(A)(2)
    and arson under R.C. 2909.03(A)(1).
    IV
    {¶21} The two remaining assignments of error relate to sentencing issues.   A
    {¶22} The court sentenced Jones to an eight-year term for aggravated arson; 18
    months on each of the four arson counts; and 18 months on the menacing by stalking
    counts. All of the counts were run consecutively for a total of 15 and one-half years in
    prison.
    {¶23} R.C. 2929.14(C)(4) requires a sentencing judge to make three distinct
    findings before imposing consecutive sentences, in addition to whatever findings the
    judge makes with respect to the purposes and goals of sentencing. First, the trial court
    must find that “consecutive service is necessary to protect the public from future crime or
    to punish the offender.” R.C. 2929.14(C)(4). Second, the trial court must find that
    “consecutive sentences are not disproportionate to the seriousness of the offender’s
    conduct and to the danger the offender poses to the public.” Finally, the trial court must
    find that at least one of the following applies:
    (a) The offender committed one or more of the multiple offenses while the
    offender was awaiting trial or sentencing, was under a sanction imposed
    pursuant to section 2929.16, 2929.17, or 2929.18 of the Revised Code, or
    was under postrelease control for a prior offense.
    (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.
    (c) The offender’s history of criminal conduct demonstrates that
    consecutive sentences are necessary to protect the public from future crime
    by the offender.
    {¶24} Under R.C. 2953.08(A)(4), a defendant can challenge a sentence as being
    “contrary to law” if the court failed to make the findings required by R.C. 2929.14(C)(4).
    State v. Venes, 
    2013-Ohio-1891
    , 
    992 N.E.2d 453
    , ¶ 12.          We do not require literal
    compliance with R.C. 2929.14(C)(4), so the court need not state its findings
    word-for-word with the statute, although that is the preferable way of doing so. But the
    court must make separate and distinct findings to show compliance with the statute. Id.
    at ¶ 17.
    {¶25} The sentencing transcript shows that the court did not make the third finding
    under R.C. 2929.14(C)(4)(a)-(c). The court said nothing about whether Jones committed
    her offenses while awaiting trial; that the harm caused by her multiple offenses was so
    great or unusual that no single prison term could adequately reflect the seriousness of her
    conduct; or that her history of criminal conduct showed that consecutive sentences were
    necessary to protect the public from future crime by Jones. Although the court noted in
    its first finding that consecutive sentences were necessary to protect the public and to
    punish Jones, the “necessary to protect the public from future crime” finding under
    section (C)(4)(c) must be made relative to the defendant’s criminal history. We therefore
    find that the court failed to comply with R.C. 2929.14(C)(4) so the imposition of
    consecutive sentences was contrary to law.
    B
    {¶26} After the court sentenced Jones, defense counsel asked the court whether
    Jones would be “eligible for participating in programs and so on?” The court replied,
    “I’m not gonna’ oppose her participation in any programs if she’d like to take them for
    credit.” However, in the sentencing entries entered in both cases, the court stated its
    opposition to Jones being placed in any form of early release or transitional control.
    Jones complains that these sentencing entries conflict with statements the court made at
    sentencing and in any event failed to comply with R.C. 2929.19(D) that requires the court
    to state its reasons why it opposes placement.
    {¶27} R.C. 5120.032(A) authorizes the Department of Rehabilitation and
    Correction to establish intensive programs that prisons focus on, among other things,
    educational achievement, vocational training, substance abuse, and community service.
    An eligible prisoner who successfully completes an intensive program may have a prison
    sentence reduced by the department. R.C. 2929.19(A)(1)(b). The sentencing court may
    disapprove of a prisoner’s participation in an intensive program, but must make “a finding
    that gives its reasons for its recommendation or disapproval.” R.C. 2929.19(D).
    {¶28} The state argues that the court did not definitively state at sentencing that it
    would not oppose Jones’s participation in any programs that would entitle her to prison
    credit. A fair reading of the sentencing transcript tends to show that the court was not
    ambivalent about Jones going into the programs, just that it was unsure whether she
    qualified for the programs, stating: “I don’t oppose her taking them, but I can’t control
    — I don’t know for certain * * * what’s eligible or not with an F-2.”
    {¶29} In any event, we do agree with the state that regardless of any ambiguity at
    sentencing, the court did not state any reasons for opposing Jones’s participation in
    intensive programs as required by R.C. 2929.19(D). There being no other indication that
    Jones had been rendered ineligible under R.C. 5120.032(B)(2), we sustain this assignment
    of error also and remand with instructions for the trial court to reconcile any ambiguity
    between its statements and the journal entry, and for the court to make the required
    finding that gives reasons for disapproving Jones’s participation in any early release or
    transitional control programs if the court so opposes.
    {¶30} This cause is affirmed in part, reversed in part, and remanded to the trial
    court for proceedings consistent with this opinion.
    It is ordered that appellant and appellee share the costs herein taxed.
    The court finds there were reasonable grounds for this appeal.
    It is ordered that a special mandate issue out of this court directing the Cuyahoga
    County Court of Common Pleas to carry this judgment into execution. The defendant’s
    conviction having been affirmed, any bail pending appeal is terminated.   Case remanded
    to the trial court for execution of sentence.
    A certified copy of this entry shall constitute the mandate pursuant to Rule 27 of
    the Rules of Appellate Procedure.
    MELODY J. STEWART, JUDGE
    LARRY A. JONES, SR., P.J., and
    EILEEN A. GALLAGHER, J., CONCUR