[Cite as State v. Clark, 2014-Ohio-4873.]
IN THE COURT OF APPEALS OF OHIO
THIRD APPELLATE DISTRICT
HANCOCK COUNTY
STATE OF OHIO,
PLAINTIFF-APPELLEE, CASE NO. 5-13-34
v.
JOHN M. CLARK, OPINION
DEFENDANT-APPELLANT.
Appeal from Findlay Municipal Court
Trial Court No. 11-TRC-09384
Judgment Affirmed in Part, Reversed in Part and Cause Remanded
Date of Decision: November 3, 2014
APPEARANCES:
Kenneth J. Rexford for Appellant
Alan D. Hackenberg for Appellee
Case No. 5-13-34
WILLAMOWSKI, P.J.
{¶1} Defendant-appellant, John Clark (“Clark”), brings this appeal from the
judgment of the Findlay Municipal Court in Hancock County, Ohio, finding him
guilty of OVI (operation of a vehicle while under the influence of alcohol) in
violation of R.C. 4511.19(A)(1)(a), and sentencing him accordingly. On appeal,
Clark challenges the trial court’s entries denying his motion to suppress and his
motion to dismiss for speedy trial violations. For the reasons that follow, we
reverse in part and affirm in part the trial court’s judgment.
{¶2} The facts relevant to this appeal, as stipulated by the parties, are as
follows.
1) On October 13, 2011, Defendant John Clark was found off of
South River Road in Findlay, Ohio underneath his motorcycle
having crashed as a result of a deer crossing his path unexpectedly.1
The Hancock County Sheriff’s Office first received a report of this
crash at 1:47 A.M.
2) As a result of the accident, Defendant Clark was transported to
the Blanchard Valley Hospital and then later by Life Flight t[o]
Mercy St. Vincent’s Medical Center in Toledo, Ohio.
3) On October 13, 2011 at 3:30 AM, St. Vincent’s Medical Center
drew Defendant Clark’s blood, apparently for medical purposes, and
tested same, discovering a blood alcohol content of 0.174 %.
Defendant was discharged from the medical center the next day.
1
We note that a journal entry from October 3, 2012, states that the parties agreed upon the facts of the case,
as presented in Clark’s motion, except for the cause of the crash. (R. at 23.) The parties do not challenge
the trial court’s finding that the crash was “a result of a deer crossing his path unexpectedly”; therefore, for
the purpose of this opinion, we presume this finding is correct.
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4) On December 20, 2011, Deputy Thomas Miller of the Hancock
County Sheriff’s Office sent a request to the St. Vincent’s Medical
Center pursuant to Ohio Rev. Code 2317.02 and 2317.022
requesting Defendant’s Clark [sic] medical records for the date of
the accident. Although the form utilized by Deputy Miller was not
identical to that contained in R.C. 2317.022, it was substantially
similar.
5) St. Vincent’s Medical Center complied with Deputy Miller’s
request and provided the medical records of the Defendant from the
date of the accident. Based in part upon those medical records,
Deputy Miller issued a citation to Defendant Clark for the offense of
Operating a Motor Vehicle Impaired with a blood alcohol content of
.174% in violation of R.C. 4511.19(A)(l)(a)(c).
(R. at 25, J. Entry, June 5, 2013.)
{¶3} Deputy Miller did not obtain a warrant prior to obtaining Clark’s
medical records from St. Vincent’s Medical Center. Instead, he utilized R.C.
2317.02(B)(2)(a) and R.C. 2317.022. R.C. 2317.02(B)(2)(a) states, in relevant
part:
If any law enforcement officer submits a written statement to a
health care provider that states that an official criminal investigation
has begun regarding a specified person or that a criminal action or
proceeding has been commenced against a specified person, that
requests the provider to supply to the officer copies of any records
the provider possesses that pertain to any test or the results of any
test administered to the specified person to determine the presence or
concentration of alcohol, a drug of abuse, a combination of them, a
controlled substance, or a metabolite of a controlled substance in the
person’s whole blood, blood serum or plasma, breath, or urine at any
time relevant to the criminal offense in question, and that conforms
to section 2317.022 of the Revised Code, the provider, except to the
extent specifically prohibited by any law of this state or of the
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United States, shall supply to the officer a copy of any of the
requested records the provider possesses. If the health care provider
does not possess any of the requested records, the provider shall give
the officer a written statement that indicates that the provider does
not possess any of the requested records.
R.C. 2317.02(B)(2)(a).
{¶4} Revised Code 2317.022, which is referenced in R.C.
2317.02(B)(2)(a), contains the following language detailing how the request for
medical records should be made.
If an official criminal investigation has begun regarding a person or
if a criminal action or proceeding is commenced against a person,
any law enforcement officer who wishes to obtain from any health
care provider a copy of any records the provider possesses that
pertain to any test or the result of any test administered to the person
to determine the presence or concentration of alcohol, a drug of
abuse, or alcohol and a drug of abuse in the person’s blood, breath,
or urine at any time relevant to the criminal offense in question shall
submit to the health care facility a written statement in the following
form:
“WRITTEN STATEMENT REQUESTING THE RELEASE OF
RECORDS
To: .................... (insert name of the health care provider in
question).
I hereby state that an official criminal investigation has begun
regarding, or a criminal action or proceeding has been commenced
against .................... (insert the name of the person in question), and
that I believe that one or more tests has been administered to that
person by this health care provider to determine the presence or
concentration of alcohol, a drug of abuse, a combination of them, a
controlled substance, or a metabolite of a controlled substance in that
person’s whole blood, blood serum or plasma, breath, or urine at a
time relevant to the criminal offense in question. Therefore, I hereby
request that, pursuant to division (B)(2) of section 2317.02 of the
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Revised Code, this health care provider supply me with copies of
any records the provider possesses that pertain to any test or the
results of any test administered to the person specified above to
determine the presence or concentration of alcohol, a drug of abuse,
a combination of them, a controlled substance, or a metabolite of a
controlled substance in that person’s whole blood, blood serum or
plasma, breath, or urine at any time relevant to the criminal offense
in question.[”]2
R.C. 2317.022(B).
{¶5} Subsequently, Clark was charged with OVI, in violation of R.C.
4511.19(A)(1)(a), and failure to maintain control, in violation of R.C. 4511.202.
(R. at 1.) On December 27, 2011, Clark appeared in the trial court for arraignment
and requested a continuance. (R. at 3.) He was released on his own recognizance
and the matter was continued until January 10, 2012, with the delay charged
against Clark pursuant to R.C. 2945.72(C). (Id.) Prior to the next arraignment,
attorney Kenneth J. Rexford entered an appearance on behalf of Clark and filed a
Demand for Discovery and Inspection, Motion for a Bill of Particulars, Request
for Intention To Use Evidence, Demand for Exculpatory Material, Demand for
Preservation of Evidence, Motion Pursuant to Rule 801(D)(2), Motion for
Production of 404(B) Information, and a Reciprocal Discovery Notice. (R. at 5.)
On January 10, 2012, Clark appeared before the trial court, entered a plea of Not
Guilty, and requested a pretrial conference, which was scheduled for January 31,
2012. (R. at 6-8.) The delay was again charged against Clark pursuant to R.C.
2
The segment concludes with various lines for the Officer’s contact information.
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Case No. 5-13-34
2945.72(E). On January 31, 2012, at the pretrial conference, Clark “requested
additional time to consider the Prosecutor’s Recommendation.” (R. at 9.) The
Pre-trial Report, signed by the prosecutor and Clark’s attorney, stated that “time
limits pursuant to ORC 2945.71-73 are hereby waived without limitation.” (Id.)
{¶6} On February 1, 2012, Clark filed his Motion to Suppress and to
Declare R.C. § 2317.02 in Part Unconstitutional. (R. at 10.) Clark requested the
suppression of “physical and testimonial evidence resulting from an unlawful and
warrantless search of Mr. Clark’s personal medical records, which violated his
rights to privacy.” (Id.) He further requested that the court declare
unconstitutional the part of R.C. 2317.02 that permits such a warrantless search.
(Id.) There was a handwritten annotation on this filing stating “2/9/12 Set for
Hearing Speedy Trial Tolled pursuant to R.C. 2945.72(E).” (Id.)
{¶7} The motion to suppress was scheduled to be heard on May 15, 2012,
but prior to that hearing, on May 11, 2012, the trial court denied the part of the
motion that requested to declare R.C. 2317.02 unconstitutional. (R. at 13.) The
denial was based on the trial court’s determination that it had no jurisdiction to
rule upon the constitutionality of the statute due to Clark’s failure to serve a copy
of the motion upon the Attorney General, as required by R.C. 2721.12. (Id.) The
rest of the motion remained scheduled for the May 15, 2012 hearing. On May 14,
2012, Clark filed a motion to reconsider the trial court’s judgment entry
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dismissing the challenge to the constitutionality of R.C. 2317.02, asserting that
service upon the Attorney General was not required under the circumstances of
this case.
{¶8} On May 15, 2012, the date scheduled for a hearing on the motion to
suppress, the trial court held a conference at which both parties “requested
additional time to respond to the issue.” (R. at 15.) The suppression hearing was
then rescheduled to a later date, which was July 25, 2012. (R. at 16.) On May 22,
2012, Clark filed Supplemental Memorandum Re: Motion to Suppress. (R. at 17.)
On July 23, 2012, the State requested a continuance of the hearing date, stating
that Clark’s attorney was aware of the motion and had no objection, and
requesting that the delay not be charged against the State under R.C. 2945.71. (R.
at 19.) The hearing was continued, and the time from July 25, 2012, to the next
suppression hearing date of October 3, 2012, was not charged against the State.
(R. at 20-21.)
{¶9} On October 3, 2012, the parties appeared before the trial court and
agreed upon the facts of the case, except for the cause of the crash. (R. at 23.)
The parties requested that the trial court rule on Clark’s motion to reconsider,
which had been filed in May 2012. (Id.) The issue of the suppression was then
deemed heard and submitted. (Id.) Yet, on January 28, 2013, Clark filed his
Second Supplemental Memorandum Re: Motion to Suppress. (R. at 24.)
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{¶10} Over four months later, on June 5, 2013, the trial court issued a
ruling on the motion to suppress, finding R.C. 2317.02 constitutional and denying
the motion. (R. at 25.) Clark’s case was then scheduled for a pretrial on July 31,
2013. (R. at 26.) On August 1, 2013, Clark advised the trial court that he was
going to file a motion to dismiss on speedy trial grounds. (R. at 27.)
{¶11} On August 6, 2013, Clark filed a motion to dismiss for speedy trial
violations, stemming from the trial court’s delay in ruling on the motion to
suppress. (R. at 28.) The trial court denied the motion on September 5, 2013. (R.
at 30.) Clark then withdrew his plea of not guilty and pled no contest. He was
found guilty of the OVI charge, but the remaining charge, failure to maintain
reasonable control, was dismissed. (R. at 35.) Clark now appeals raising three
assignments of error for our review.
I. THE TRIAL COURT ERRED BY DENYING MR.
CLARK’S MOTION TO SUPPRESS, IN VIOLATION OF HIS
RIGHT TO PRIVACY AND OF THE PRINCIPLE OF
SEPARATION OF POWERS.
II. THE TRIAL COURT ERRED BY RULING THE R.C.
§2317.02 AND §2317.022 ARE CONSTITUTIONAL.
III. THE TRIAL COURT VIOLATED MR. CLARK’S
RIGHTS UNDER THE OHIO CONSTITUTION AND THE
UNITED STATES CONSTITUTION TO A SPEEDY TRIAL.
{¶12} Before addressing the assignments of error, we note that Clark chose
to disregard the rules of appellate procedure, which require him to argue each
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assignment of error separately in his brief (see App.R. 16(A); App.R. 12(A)(2)),
and combined the arguments related to his first two assignments of error under one
section of his brief. We discourage this practice as contrary to the rules and
disorderly. If Clark felt that one argument supported his contentions, one
assignment of error should have been sufficient. He expects the State and this
court to pick and choose which of the statements in his discussion support the first
assignment of error and which ones support the second assignment of error.
Instead of doing so, this court may simply “disregard an assignment of error
presented for review if the party raising it * * * fails to argue the assignment
separately in the brief, as required under App.R. 16(A).” App.R. 12(A)(2). In the
interest of justice, we nonetheless elect to consider Clark’s arguments at this time.
First and Second Assignments of Error—
Warrantless Search of Clark’s Medical Records Pursuant to
R.C. 2317.02(B)(2)(a) and 2317.022
{¶13} Clark challenges the use of R.C. 2317.02(B)(2)(a) and 2317.022 to
obtain his medical records as unconstitutional. He claims that the statutory
scheme allows the government to access an individual’s private medical records
without a warrant, probable cause, or even a reasonable and articulable suspicion
and without any “procedural safeguards,” where no exigent circumstances exist to
justify such actions. (App’t Br. at 4, 6, 10.) He further contends that the statute
“has absolutely no substantial procedural safeguards to ensure against abuse by the
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government agents taking advantage of that statute,” does not prohibit
dissemination of the medical records, and does not provide for a notification to the
citizen that the intrusion occurred. (Id. at 10-11.)
{¶14} Although Clark discusses multiple legal concepts in his brief, mixing
them together, he cites two United States Supreme Court cases, Whalen v. Roe,
429 U.S. 589, 97 S.Ct. 869, 51 L.Ed.2d 64 (1977), and Ferguson v. City of
Charleston, 532 U.S. 67, 121 S.Ct. 1281, 149 L.Ed.2d 205 (2001), which focus on
the right to privacy and the Fourth Amendment protection against unreasonable
search and seizure, and which seem to be relevant to the constitutional challenges
brought herein. We discuss these two cases and address the legal concepts that
stem from them in detail. The other concepts that are mentioned, but not briefed
by Clark, are not addressed in this opinion because of Clark’s failure to support his
other contentions with “reasons,” “citations to the authorities,” and “statutes,” as
required by App.R. 16(A)(7).
A. Whalen v. Roe
{¶15} Among his other arguments, Clark cites Whalen for the proposition
that the government must “establish administrative procedures—procedural
safeguards—to protect [the privacy right] whenever government legitimately has a
need for medical records.” (App’t Br. at 6; accord id. at 9-12, 18.) As explained
by the Ohio Supreme Court, the concerns addressed in Whalen “related to the
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disclosure of information to the general public.” (Emphasis sic.) Stone v. City of
Stow, 64 Ohio St.3d 156, 160-161, 162, 593 N.E.2d 294 (1992) (explaining and
following Whalen). Both the United States Supreme Court and the Ohio Supreme
Court held that a mere “threat of unauthorized disclosure” is not sufficient to
declare a statute unconstitutional. Id. at 162-163, citing Whalen 429 U.S. 589.
The threat of unauthorized disclosure must be “significant” and inevitable in order
“to cause [a statute] to be declared unconstitutional.” Id.; see also Whalen, 429
U.S. at 600, 603-604 (holding that the challenged government program did not,
“on its face, pose a sufficiently grievous threat” to amount to a constitutional
violation) (emphasis added). Therefore, Whalen does not prohibit disclosure of
medical records per se, but merely limits disclosure of the information to the
general public to ensure no “significant” threat of unauthorized disclosure to the
public.
{¶16} Clark seems to argue that the statutory provisions at issue in this case
infringe upon his interest in avoiding disclosure of personal matters. (App’t Br. at
4, 11.) But he fails to establish a significant and inevitable threat of unauthorized
disclosure of protected personal information to the general public. The statutes
restrict the individuals who can make a request for medical records to “law
enforcement officers,” alleviating Clark’s concern that his protected personal
information will be disclosed by the hospital directly to the general public. R.C.
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2317.02(B)(2)(a). As discussed above, the concern addressed by procedural
safeguards in Whalen was the disclosure of the patients’ information to the general
public and not disclosure to the law enforcement officers in a criminal
investigation.3
{¶17} Relying on the United States Supreme Court and the Ohio Supreme
Court’s holdings that a mere threat of disclosure to the general public does not
make a statute unconstitutional, but that the threat must be significant and
inevitable, we do not find that Clark has satisfied his burden of proving that this
statutory scheme is unconstitutional under Whalen.
B. Ferguson v. City of Charleston
{¶18} Relying on Ferguson, Clark asserts that the statutory scheme at issue,
which allows the police officer to request and review Clark’s medical records
without a warrant, violates his Fourth Amendment interest in privacy, i.e., the
protection against unreasonable searches and seizures.
The Fourth Amendment protects persons from “unreasonable
searches and seizures” by the government. Section 14, Article I of
the Ohio Constitution is interpreted to provide the same protections
as the Fourth Amendment. Evidence seized in violation of the Fourth
Amendment will be suppressed pursuant to the exclusionary rule.
However, the defendant must have a reasonable expectation of
3
The parties in Whalen did not request suppression of the evidence. There were no “suspects,” because
that case did not involve prosecution of the patients who used Schedule II drugs, and the records were
disclosed to the state health department rather than to the prosecution. Moreover, in light of our further
discussion and holding that R.C. 2317.02 and R.C. 2317.022 do not authorize a warrantless disclosure of
medical records to the law enforcement officers, there is no direct threat that the medical information will
become public.
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Case No. 5-13-34
privacy in the evidence seized for standing to challenge the search or
seizure.
City of Marion v. Brewer, 3d Dist. Marion No. 9-08-12, 2008-Ohio-5401, ¶ 7,
citing State v. Jackson, 102 Ohio St.3d 380, 2004-Ohio-3206, 811 N.E.2d 68, ¶ 8,
and State v. Robinette, 80 Ohio St.3d 234, 238, 685 N.E.2d 762 (1997). Clark
cites Ferguson in support of the federally recognized reasonable expectation of
privacy in medical records.4
{¶19} Ferguson is relevant to the issue before us in that it concerned the
criminal prosecution of patients whose medical records were obtained by law
enforcement without a warrant. In Ferguson, a state hospital performed drug
screens on maternity patients who were suspected of using cocaine. Ferguson,
532 U.S. at 71-72. That policy was implemented in conjunction with the police
and local officials, and relied on a “threat of law enforcement intervention that
‘provided the necessary “leverage” to make the policy effective.’ ” Id. The
United States Supreme Court, reviewing the hospital’s action under the Fourth
Amendment challenge, held that
[t]he reasonable expectation of privacy enjoyed by the typical patient
undergoing diagnostic tests in a hospital is that the results of those
4
Although Clark attempts to use Whalen in support of his argument that the statutory scheme at issue
violates the Fourth Amendment’s protection against unreasonable search and seizure, it is important to note
that the Whalen decision did not concern a Fourth Amendment right. Rather, the patients and physicians in
Whalen were concerned with the possibility of public disclosure of their medical records and the stigma
that would attach from it. There was no discussion of arrest or prosecution that would trigger the Fourth
Amendment challenge, and the Whalen court expressly declined to resolve that case within the scope of the
Fourth Amendment’s interest in privacy. Whalen, 429 U.S. at 604, fn. 32.
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Case No. 5-13-34
tests will not be shared with nonmedical personnel without her
consent.
Id. at 78.
{¶20} The highest court noted that the policy implemented by the state
hospital, which was a state actor, allowed for a search without a warrant, or even
probable cause or any reasonable suspicion. Id. at 76-77. The Supreme Court
disagreed with the “majority of the appellate panel[, which] held that the searches
were reasonable as a matter of law under [a] line of cases recognizing that ‘special
needs’ may, in certain exceptional circumstances, justify a search policy designed
to serve non-law-enforcement ends.” Id. at 74. Finding that no special needs that
were unrelated to law enforcement were advanced by the hospital’s policy, the
Ferguson court invalidated the policy as unconstitutional, notwithstanding the fact
that the hospital’s “motive was benign rather than punitive.” Id. at 79, 85.
{¶21} Clark points to Ferguson’s recognition of “an individual’s federally
protected expectation of privacy in his medical records” and urges us to invalidate
the Ohio statutory scheme that seemingly allows search and seizure of an
individual’s medical records without a warrant, in contravention of this
expectation of privacy. (App’t Br. at 11.)
{¶22} Clark recognizes that “the constitutional proscriptions of the Fourth
Amendment and the exclusionary rule apply only to government action and not to
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the actions of private persons.” State v. Meyers, 146 Ohio App.3d 563, 575, 767
N.E.2d 739 (3d Dist.2001). Therefore, he does not challenge the hospital’s action
of drawing his blood and performing the medical tests. As such, Meyers, where
we reviewed the issue of “whether the conduct of the hospital constituted state
action” and held that “the hospital’s blood test did not constitute state action
necessary to implicate Fourth Amendment protections,” does not apply to our
analysis herein. See id. at 575-578.
{¶23} Similarly, the Ferguson dicta about the hospital’s ability to draw
blood from its patient and independently report it to the law enforcement “under
rules of law or ethics”5 does not apply here. See Ferguson, 532 U.S. at 80-81
(distinguishing the case “from circumstances in which physicians or psychologists,
in the course of ordinary medical procedures aimed at helping the patient herself,
come across information that under rules of law or ethics is subject to reporting
requirements, which no one has challenged here”).
5
The United States Supreme Court recognized,
There are some circumstances in which state hospital employees, like other citizens, may
have a duty to provide law enforcement officials with evidence of criminal conduct
acquired in the course of routine treatment, see, e.g., S.C.Code Ann. § 20–7–510 (2000)
(physicians and nurses required to report to child welfare agency or law enforcement
authority “when in the person’s professional capacity the person” receives information
that a child has been abused or neglected).
Ferguson, 532 U.S. at 78, fn. 13. “We do not address a case in which doctors independently complied with
reporting requirements.” Id at 85, fn. 24.
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{¶24} Here, at issue is not the hospital’s action of testing Clark’s blood or
of independently forwarding his medical records to the police “under rules of law
or ethics.” See id. Rather, the focus is on the action of the police—a state actor,
searching and seizing Clark’s medical records without a warrant. (See App’t Br.
at 16, 19.) This distinction is very important because the Supreme Court
recognized that the existence of laws requiring the hospital to independently report
evidence of criminal conduct to law enforcement, “might lead a patient to expect
that members of the hospital staff might turn over evidence acquired in the course
of treatment to which the patient had consented,” thus possibly lowering the
patient’s expectation of privacy. (Emphasis added.) Ferguson, 532 U.S. at 78, fn.
13. Yet, the Supreme Court has not held that a patient would have a lowered
expectation of privacy and subject himself or herself to a warrantless search by the
police in absence of such laws.
{¶25} Therefore, this case is about the power of the police to perform a
warrantless search of a patient’s medical records; in particular, the results of
medical tests that have been previously properly performed by the hospital and
that show a concentration of alcohol or drugs of abuse at the time of a suspected
criminal offense.
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C. OVI Suspect’s Expectation of Privacy in Medical Records
{¶26} Although the United States Supreme Court in Ferguson held that a
citizen has a reasonable expectation of privacy in medical records, some state
courts have since held that the society does not recognize a suspect’s expectation
of privacy in medical records as reasonable in situations involving an investigation
for operating a vehicle under the influence of alcohol or drugs of abuse. For
example, the New Hampshire Supreme Court, reviewing the constitutionality of a
New Hampshire statute that was similar to the Ohio statutory scheme at issue,
held,
To the extent that the defendant may have a reasonable expectation
of privacy in his medical records generally * * *, we conclude that
society does not recognize a reasonable expectation of privacy in
blood alcohol test results obtained and recorded by a hospital as part
of its consensual treatment of a patient, where those results are
requested by law enforcement for law enforcement purposes in
connection with an incident giving rise to an investigation for
driving while under the influence of intoxicating liquors or
controlled drugs. See RSA 329:26.
State v. Davis, 161 N.H. 292, 298, 12 A.3d 1271 (2010).
{¶27} The New Hampshire Court arrived at this conclusion after reviewing
decisions of courts in other jurisdictions:
Courts in other jurisdictions addressing whether a reasonable
expectation of privacy exists in blood test results in the DWI context
have reached different conclusions. Several courts have found that
society does not recognize a reasonable expectation of privacy under
the Fourth Amendment in “blood alcohol test results obtained and
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recorded by a hospital as part of its consensual treatment of a patient,
where those results are requested by law enforcement for law
enforcement purposes only in the investigation of an automobile
accident.” Hannoy v. State, 789 N.E.2d 977, 991 (Ind.Ct.App.2003);
see also Tims v. State, 711 So.2d 1118, 1122–24
(Ala.Crim.App.1997); People v. Perlos, 436 Mich. 305, 462 N.W.2d
310, 319–21 (1990); State v. Guido, 698 A.2d 729, 733–34
(R.I.1997); State v. Hardy, 963 S.W.2d 516, 523–27
(Tex.Crim.App.1997); State v. Jenkins, 80 Wis.2d 426, 259 N.W.2d
109, 113 (1977). Others have held that the government’s acquisition
of medical records under circumstances similar to those in this case
violates the defendant’s rights under state constitutional provisions
prohibiting unreasonable searches and seizures, see, e.g., Com. v.
Shaw, 564 Pa. 617, 770 A.2d 295, 299 (2001), or state constitutional
provisions that guarantee a right to privacy, see, e.g., King v. State,
272 Ga. 788, 535 S.E.2d 492, 494–97 (2000); State v. Nelson, 283
Mont. 231, 941 P.2d 441, 446–50 (1997).
While the decisions of courts in other jurisdictions are not binding
upon us, we find persuasive the reasoning of those cases that focused
upon the unique circumstances presented when the government
requests and acquires the results of blood tests administered for the
purpose of diagnosis and treatment of injuries sustained in an
automobile accident. See Tims, 711 So.2d at 1122–24; Hannoy, 789
N.E.2d at 990–92; Perlos, 462 N.W.2d at 315–21; Hardy, 963
S.W.2d at 523–27. We also agree that, “although not determinative,
one source in analyzing the reasonableness of an expectation is to
look to the Legislature,” Perlos, 462 N.W.2d at 319, and that
whether a privilege exists may be some evidence of societal
expectations, Hardy, 963 S.W.2d at 524.
***
By its plain language, the statute now exempts from the physician-
patient privilege blood alcohol test results of a person being
investigated for driving under the influence of intoxicating liquor or
controlled drugs where the blood alcohol tests were administered for
the purpose of diagnosis and treatment. See State v. Nickerson, 147
N.H. 12, 13, 780 A.2d 1257 (2001).
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By carving out an exception to the physician-patient privilege under
this narrow set of circumstances, the legislature has reflected the
societal “belief that when people drive, they encounter a diminished
expectation of privacy.” Perlos, 462 N.W.2d at 320. The existence
of the Implied Consent law further supports this conclusion.
***
Indeed, if a person refuses the request of a law enforcement officer
to submit to physical tests or to a test of blood, urine or breath, the
person’s license to drive will be suspended. See RSA 265–A:14
(Supp.2010).
Id. at 296-298.
{¶28} We disagree with the line of reasoning adopted by the Supreme
Court of New Hampshire in Davis, which would require us to strip from an OVI
suspect the reasonable expectation of privacy in medical records, as recognized in
Ferguson. First, we note that many of the cases on which the New Hampshire
Court relied were decided prior to Ferguson. The New Hampshire Court in Davis
distinguished Ferguson “because the testing [in Ferguson] was done for, and in
conjunction with, law enforcement,” while “there was no law enforcement
involvement in the taking or testing of the defendant’s blood sample in this case.”
Id. at 298-299. Nevertheless, as we explained above, it is not “the taking or
testing of the defendant’s blood sample” that we are reviewing in cases concerning
the search of a patient’s medical records by the law enforcement. Therefore, the
distinction noted in Davis is not relevant to the case at hand.
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{¶29} Second, the New Hampshire Supreme Court’s reliance on an
exception to the physician-patient privilege to find a lack of reasonable
expectation of privacy is misplaced because this testimonial privilege applies to
testimony at trial and does not apply to search warrants. See State v. Fairfield, 8th
Dist. Cuyahoga No. 97466, 2012-Ohio-5060, ¶ 16, appeal not accepted, 134 Ohio
St.3d 1486, 2013-Ohio-902, 984 N.E.2d 30 (holding that a prohibition against
“testifying” applied “to trials and not search warrants because warrants are used to
aid in the investigation process and are ancillary to the criminal proceedings”).
“Proceedings for a search warrant differ from a trial in that the rules of evidence
do not apply.” State v. Jaschik, 85 Ohio App.3d 589, 598, 620 N.E.2d 883 (11th
Dist.1993). Therefore, the fact that the statutory scheme at issue waives the
physician-patient privilege for the purpose of testifying at trial cannot be used to
circumvent the Fourth Amendment protections against unreasonable searches and
seizures.
{¶30} Furthermore, it cannot be argued that the existence of a physician-
patient privilege waiver, “might lead a patient to expect that members of the
hospital staff might turn over evidence acquired in the course of treatment to
which the patient had consented,” thus lowering the patient’s expectation of
privacy. (Emphasis added.) See Hannoy v. State, 789 N.E.2d 977, 991
(Ind.App.2003), quoting Ferguson, 532 U.S. at 78, fn. 13. As explained above,
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Case No. 5-13-34
the dicta in Ferguson referred to the requirement of independently reporting
evidence of criminal conduct to law enforcement “under rules of law or ethics.”
Ferguson, 532 U.S. at 80-81. The statutory scheme at issue does not mandate
independent reporting of evidence of the crime. Rather, it mandates responding to
a law enforcement request to provide any evidence “of any test administered” to
the suspect, regardless of whether it shows criminal conduct or not. See R.C.
2317.02(B)(2)(a). Here, at issue is not the independent reporting requirement but
rather, the police action of searching and seizing a patient’s medical records.
{¶31} Third, the use by the New Hampshire Supreme Court of the implied
consent statute to support obtaining medical records without a warrant overlooks
several important distinctions between the implied consent statute and the
situations covered by Davis and by the Ohio statutory scheme at issue. The
implied consent statute operates only after the driver has been arrested for OVI.
State v. Hoover, 123 Ohio St.3d 418, 2009-Ohio-4993, 916 N.E.2d 1056, ¶ 14, 23-
24; R.C. 4511.191(A)(2). Conversely, the method adopted by New Hampshire
and advanced by the State in this case would allow for a warrantless search of the
medical records without the requirement that the person is first arrested. As such,
unlike in the implied consent cases, these situations would not even require
probable cause prior to performing the search. See id. at ¶ 19, 23-24. Such a low
threshold for a warrantless search goes beyond the recognized exceptions to the
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warrant requirement.6 Furthermore, the warrantless search of a driver’s body for
evidence of intoxication in situations where the driver is arrested for OVI has been
justified by an exigency, which is a risk of losing evidence because of the
diminishing alcohol concentration level in the driver’s blood. See id. at ¶ 19,
citing Schmerber v. California, 384 U.S. 757, 770-771, 86 S.Ct. 1826, 16 L.Ed.2d
908 (1966).7 No such exigency exists in circumstances where, as here, the tests
have already been performed and their results are safely stored by the hospital.
Finally, the implied consent statutes provide the driver with an opportunity to limit
or withdraw the consent, thus avoiding the warrantless search, although the refusal
to consent results in certain consequences. Id., at ¶ 20; State v. Brown, 158 Ohio
App.3d 21, 2004-Ohio-3364, 813 N.E.2d 956, ¶ 13 (7th Dist.). Conversely, the
statutory scheme at issue here does not provide for any possibility for the
defendant to prevent the disclosure of his medical records to the law enforcement
officials. In fact, it does not even include any notification to the defendant that his
or her medical records are being searched. Thus, the situations addressed by the
New Hampshire Supreme Court in Davis, as well as the situations covered by R.C.
2317.02(B)(2)(a) and 2317.022, are entirely distinct from the situations involving
6
See list of recognized exceptions to the warrant requirement in part D. below.
7
But see Missouri v. McNeely, 133 S.Ct. 1552, 185 L.Ed.2d 696 (2013) (limiting Schmerber and mandating
a case-by-case approach to the OVI cases to determine whether sufficient exigency exists to allow a
warrantless search).
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implied consent to a test for alcohol concentration level of an impaired driver
arrested for OVI.
{¶32} In addition, we note that even under the reasoning of the New
Hampshire Supreme Court in Davis, the Ohio statutory scheme could not function
to authorize warrantless searches of a driver’s medical records because of an
important distinction between the Ohio statutory scheme and the statute upheld in
Davis. The New Hampshire law permitted law enforcement to obtain medical
records without a warrant only in connection with “the incident giving rise to the
investigation for driving a motor vehicle while such person was under the
influence of intoxicating liquors or controlled drugs.” Davis, 161 N.H. at 297.
The Ohio statutes would allow obtaining test results whenever there is any
“criminal investigation,” not limited to only OVI investigations. R.C.
2317.02(B)(2)(a); R.C. 2317.022(B). In an Indiana case on which the Davis court
relied, the Indiana court excluded “fishing expeditions” related to “any criminal
investigation” from the scope of its statute. Hannoy, 789 N.E.2d at 992. The
Indiana court held:
We do not want to be misunderstood as holding that Indiana Code
Section 9–30–6–6(a) authorizes the release of toxicological test
results or bodily fluid samples to law enforcement anytime it is
requested in relation to any criminal investigation. We do not
believe Section 9–30–6–6 authorizes broad “fishing expeditions” by
law enforcement searching for evidence that some person has
committed some crime. First, the placement of Section 9–30–6–6 in
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Case No. 5-13-34
the Traffic Code clearly indicates that it applies only to criminal
investigations concerning operating while intoxicated and its related
crimes. Second, Hannoy was one of two drivers involved in a fatal
motor vehicle accident, and we assume that law enforcement officers
will limit their requests for toxicological test results specifically to
drivers who have been hospitalized following an accident rather than
requesting test results from patients at random for no reason
whatsoever. This makes the request reasonable under the Fourth
Amendment.
(Emphasis added.) Id.
{¶33} Unlike the statute in Hannoy, R.C. 2317.02(B)(2)(a) and R.C.
2317.022 are not included in Chapter 4511—“Traffic laws,” in contrast to the
implied consent statute, R.C. 4511.191, which appears immediately after R.C.
4511.19—“Driving while under the influence of alcohol or drugs; tests;
presumptions; penalties; immunity for those withdrawing blood.” These sections
are contained within the Revised Code sections for competency of witnesses, and
Section R.C. 2317.02 is entitled “Privileged communications and acts.” As
already discussed above, the physician-patient privilege does not apply to the
search proceedings, and the fact that the statutory scheme at issue waives the
physician-patient privilege for the purpose of testifying at trial, cannot be used to
circumvent the Fourth Amendment protections against unreasonable searches and
seizures.
{¶34} Neither the Ohio Supreme Court nor the United States Supreme
Court have thus far held that an OVI suspect does not enjoy a reasonable
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Case No. 5-13-34
expectation of privacy in his or her medical records that show an alcohol or drug
concentration level in the suspect’s blood or urine. But the Ohio Fourth District
Court of Appeals has recognized that an OVI suspect had a reasonable expectation
of privacy in a urine sample obtained by a hospital as part of its routine treatment
and later requested by a law enforcement officer. State v. Funk, 177 Ohio App.3d
814, 2008-Ohio-4086, 896 N.E.2d 203, ¶ 13 (4th Dist.).
{¶35} The recent decision of the United States Supreme Court in Missouri
v. McNeely, 133 S.Ct. 1552, 185 L.Ed.2d 696 (2013), supports a holding that an
OVI suspect’s expectation of privacy should not be diminished easily. In
McNeely, the United States Supreme Court limited situations in which a police
officer can request a blood test of an OVI suspect without a warrant to only those
individual instances in which obtaining a warrant would be “impractical.” Id. at
1561. The Supreme Court mandated a case-by-case approach, rejecting the state’s
contention “that exigent circumstances necessarily exist when an officer has
probable cause to believe a person has been driving under the influence of alcohol
because BAC evidence is inherently evanescent.” Id. at 1554, 1561.
In those drunk-driving investigations where police officers can
reasonably obtain a warrant before a blood sample can be drawn
without significantly undermining the efficacy of the search, the
Fourth Amendment mandates that they do so. See McDonald v.
United States, 335 U.S. 451, 456, 69 S.Ct. 191, 93 L.Ed. 153 (1948)
(“We cannot ... excuse the absence of a search warrant without a
showing by those who seek exemption from the constitutional
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Case No. 5-13-34
mandate that the exigencies of the situation made [the search]
imperative”).
Id. at 1561.
{¶36} Although the McNeely decision focused on the exception to the
warrant requirement rather than on the expectation of privacy, we find it relevant
to the case at issue that the Supreme Court refused to allow warrantless searches
even though “the privacy interest implicated by blood draws of drunk-driving
suspects is relatively minimal” and the “governmental interest in combating drunk
driving” compelling. Id. at 1564-1565. In spite of the recognized importance of
preventing “drunk driving,” the Supreme Court declined to depart from the
warrant requirement absent exigent circumstances:
“No one can seriously dispute the magnitude of the drunken driving
problem or the States’ interest in eradicating it.” Michigan Dept. of
State Police v. Sitz, 496 U.S. 444, 451, 110 S.Ct. 2481, 110 L.Ed.2d
412 (1990). Certainly we do not. While some progress has been
made, drunk driving continues to exact a terrible toll on our society.
See NHTSA, Traffic Safety Facts, 2011 Data 1 (No. 811700, Dec.
2012) (reporting that 9,878 people were killed in alcohol-impaired
driving crashes in 2011, an average of one fatality every 53
minutes).
But the general importance of the government’s interest in this area
does not justify departing from the warrant requirement without
showing exigent circumstances that make securing a warrant
impractical in a particular case.
Id. at 1565-1566. The Supreme Court added that “the Fourth Amendment will not
tolerate adoption of an overly broad categorical approach that would dilute the
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warrant requirement in a context where significant privacy interests are at stake.”
Id. at 1564.
{¶37} This holding is very instructive in the case at issue. It directs us to
prevent the dilution of the warrant requirement in cases where a patient’s federally
recognized privacy interest in his or her medical records is at stake and no reasons
exist to diminish that privacy interest. While we recognize the threat that impaired
drivers pose on Ohio roads and the important interest of preventing impaired
driving, we must also acknowledge that “the requirements of the Fourth
Amendment cannot be lowered based upon the heinousness of the particular crime
police are investigating.” Hannoy, 789 N.E.2d at 988. Here, the State failed to
point to any reason that would justify diminishing a patient’s privacy interest, so
firmly protected by the United States Supreme Court, in securely-stored medical
records.
{¶38} We are mindful of Ohio cases that have previously addressed
obtaining medical records pursuant to R.C. 2317.02(B)(2)(a) and R.C. 2317.022,
and found no constitutional violations. For example, in State v. Tomkalski, 11th
Dist. Lake No. 2003-L-097, 2004-Ohio-5624, the defendant alleged that his
“constitutional right of privacy” was violated. Id. at ¶ 27. The Eleventh District
Court of Appeals rejected the defendant’s challenge, without discussing Ferguson
or the expectation of privacy. The court only noted that the medical records in
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Case No. 5-13-34
Ohio were not protected by the constitutional right of privacy, but by the
physician-patient privilege, which did not apply “ ‘[i]n any criminal action
concerning * * * the results of any test that determines the presence or
concentration of alcohol * * * in the patient’s blood.’ ” Id. at ¶ 26-27, quoting R.C.
2317.02(B)(1)(c). In so far as the physician-patient privilege protects the medical
records from unauthorized disclosure, the issues relevant here do not concern the
Whalen right to privacy, which protects the medical records from unauthorized
disclosure, as we noted in our discussion in section A. above. Instead, we are
focusing on the Ferguson-recognized expectation of privacy in medical records as
it relates to the warrantless search and seizure, and criminal prosecution that stems
from it. The Eleventh District Court of Appeals did not address this issue.
{¶39} In City of Cleveland v. Rollins, 8th Dist. Cuyahoga No. 79614, 2002
WL 490040 (Mar. 14, 2002), the defendant raised the issue of expectation of
privacy in medical records. The Eighth District Court of Appeals recognized that
R.C. 2317.02(B)(2)(a) serves “merely” to “protect the health care provider from
potential civil liability arising out of the release of arguably privileged
information,” rather than to control admissibility of evidence. Id. at *2. Yet, in
spite of this recognition of the statute’s limited purpose, the Eighth District Court
of Appeals did not address the defendant’s concerns regarding a violation of his
expectation of privacy in his medical records. Instead, the court implied that R.C.
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Case No. 5-13-34
2317.02(B)(2)(a) waives the “due process protections” of criminal defendants
“who are suspected of drunk driving or other criminal activity.” Id. The court
thus held that a constitutional violation did not occur where the defendant’s
medical records were obtained pursuant to the statute because “any physician-
patient privilege had already been waived per the terms of R.C. 2317.02(B)(1)(c),”
and “the health care provider in question may have chosen to relinquish the test
results without first receiving a written statement from the investigating officer.”
Id. Relying on the physician-patient privilege, the Eighth District Court of
Appeals ignored the defendant’s concerns over his expectation of privacy in
medical records. The Ferguson opinion was not mentioned either.
{¶40} We find it necessary to re-emphasize the difference between
physician-patient privilege, which applies to admissibility of (properly obtained)
evidence at trial, and the Fourth Amendment protection against the government’s
unauthorized invasion into the patient’s medical records, which applies to the
government’s ability to obtain the evidence. See State v. Fairfield, 8th Dist.
Cuyahoga No. 97466, 2012-Ohio-5060, ¶ 16, appeal not accepted, 134 Ohio St.3d
1486, 2013-Ohio-902, 984 N.E.2d 30; State v. Jaschik, 85 Ohio App.3d 589, 598,
620 N.E.2d 883 (11th Dist.1993). While R.C. 2317.02(B)(2)(a) and R.C.
2317.022 waive the physician-patient privilege, they do not strip an OVI
defendant of his or her expectation of privacy in his medical records.
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Case No. 5-13-34
{¶41} The Ohio Supreme Court noted that “R.C. 2317.02(B)(2) simply
waives patient-physician privilege when law enforcement seeks to obtain certain
test results.” (Emphasis added.) State v. Mayl, 106 Ohio St.3d 207, 2005-Ohio-
4629, 833 N.E.2d 1216, ¶ 55. We have recognized in Meyers, 146 Ohio App.3d
563 at 575, 767 N.E.2d 739, that “R.C. 2317.02(B)(2)(a) excluded related records
from the privilege.” “The clear intent of the legislature was to abrogate the
physician-patient privilege and provide the state access to blood-alcohol tests in
criminal cases,” “ ‘except to the extent specifically prohibited by any law of this
state or of the United States.’ ” Id. at 577, quoting R.C. 2317.02(B)(2)(a). We
went even further to call R.C. 2317.02(B)(2)(a) a “mere[] * * * discovery tool
through which the state may request and receive the medical records described
herein.” Id. at 578. We did not, however, exclude R.C. 2317.02(B)(2)(a) from the
scope of the Fourth Amendment and we did not hold that an OVI suspect does not
have a reasonable expectation of privacy in medical records. Rather, in response
to the defendant’s arguments that the hospital was a state actor (id. at 576), we
reviewed the case under the search and seizure principles, holding that “the
hospital’s blood test did not constitute state action necessary to implicate Fourth
Amendment protections.” Id. at 575-578. Other Ohio courts similarly recognize
the statute’s purpose as a waiver of a physician-patient privilege. See, e.g.,
Rollins, 2002 WL 490040, at *2.
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Case No. 5-13-34
{¶42} Therefore, we hold that an OVI suspect in Ohio enjoys a reasonable
expectation of privacy in his or her medical records “that pertain to any test or the
result of any test administered to the person to determine the presence or
concentration of alcohol, a drug of abuse, or alcohol and a drug of abuse in the
person’s blood, breath, or urine at any time relevant to the criminal offense in
question,” which are stored securely in a hospital. R.C. 2317.022(B). It follows
that, prior to obtaining such medical records a law enforcement officer must
comply with the warrant requirement of the Fourth Amendment.
D. The State’s Practice of Obtaining Medical Records
Pursuant to R.C. 2317.02(B)(2)(a) and R.C. 2317.022
{¶43} Here, the law enforcement officer did not obtain a warrant prior to
searching and seizing Clark’s medical records. Warrantless searches are per se
unreasonable unless one of the enumerated exceptions to the warrant requirement
applies. McNeely, 133 S.Ct. at 1558; State v. Kessler, 53 Ohio St.2d 204, 207, 373
N.E.2d 1252 (1978). The burden is on the state to establish that a warrantless
search is valid under one of those exceptions. City of Xenia v. Wallace, 37 Ohio
St.3d 216, 218, 524 N.E.2d 889 (1988).
{¶44} The Ohio Supreme Court has explicitly recognized the following
seven exceptions to the requirement that a warrant be obtained prior to a search:
(a) a search incident to a lawful arrest;
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Case No. 5-13-34
(b) consent signifying waiver of constitutional rights;
(c) the stop-and-frisk doctrine;
(d) hot pursuit;
(e) probable cause to search, and the presence of exigent circumstances;
(f) the plain view doctrine; and
(g) administrative search.
Stone v. City of Stow, 64 Ohio St.3d 156, 165, 593 N.E.2d 294 (1992). The parties
do not argue that any of these enumerated exceptions applied in this case.
Therefore, we will not attempt to determine at this point whether Clark’s particular
situation would fit within one of those exceptions. Focusing on the statutory
scheme at issue, we recognize that the seven exceptions above do not include a
police officer requesting and searching records of medical tests, previously
properly performed by the hospital, where no arrest, consent, hot pursuit, or
probable cause and exigent circumstances exist.
{¶45} This conclusion does not, however, mean that the statutory scheme at
issue is unconstitutional. We merely hold that R.C. 2317.02(B)(2)(a) and R.C.
2317.022 do not authorize a warrantless search and seizure of the patient’s
medical records where no recognized warrant exception exists. Accordingly, the
use of R.C. 2317.02(B)(2)(a) and R.C. 2317.022 without a warrant to obtain
Clark’s medical records violated his constitutional protection against unreasonable
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Case No. 5-13-34
search and seizure. This conclusion means that on the basis presented to us,
Clark’s motion to suppress was not properly denied8 by the trial court and that
Clark’s first assignment of error is sustained.
{¶46} But because statutes enjoy a strong presumption of constitutionality
and Clark failed to sustain his burden of establishing beyond a reasonable doubt
that R.C. 2317.02 and R.C. 2317.022 are unconstitutional, we overrule the second
assignment of error. See Hoover, 123 Ohio St.3d 418, 2009-Ohio-4993, 916
N.E.2d 1056, at ¶ 8.
Third Assignment of Error—Speedy Trial
{¶47} Clark contends that his suppression motion was pending for four
times the time that is expected under Sup.R. 40(A)(3),9 making the delay
unreasonable and entitling him to dismissal for a violation of his right to a speedy
trial. See State v. O’Brien, 34 Ohio St.3d 7, 8, 516 N.E.2d 218 (1987), quoting
State v. Ladd, 56 Ohio St.2d 197, 199, 383 N.E.2d 579, 581 (1978) (“The Sixth
and Fourteenth Amendments to the United States Constitution guarantee a
criminal defendant the right to a speedy trial by the state. This same right is
assured an accused party by Section 10, Article 1 of the Ohio Constitution.”).
Clark urges us to apply a balancing test established by the United States Supreme
8
We do not determine whether the exclusion of evidence is necessary herein, or if a good faith exception
applies in this case.
9
Sup.R. 40(A)(3) states that “[a]ll motions shall be ruled upon within one hundred twenty days from the
date the motion was filed, except as otherwise noted on the report forms.”
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Case No. 5-13-34
Court and adopted by the Ohio Supreme Court to determine whether the right to a
speedy trial has been violated:
The [United States Supreme Court] identified four factors which
courts should assess in determining whether the right to a speedy
trial has been violated: (1) the length of the delay; (2) the reason for
the delay; (3) the defendant’s assertion of his right; and (4) prejudice
to the defendant. Although the court stated that no one factor is
controlling, it noted that the length of the delay is a particularly
important factor:
“The length of delay is to some extent a triggering mechanism. Until
there is some delay which is presumptively prejudicial, there is no
necessity for inquiry into the other factors that go into the balance.”
State v. Selvage, 80 Ohio St.3d 465, 467, 687 N.E.2d 433 (1997), quoting Barker
v. Wingo, 407 U.S. 514, 530-531, 533, 92 S.Ct. 2182, 33 L.Ed.2d 101 (1972).
{¶48} We need not apply the balancing test, however, because “the accused
may waive his constitutional right to a speedy trial, provided such waiver is
knowingly and voluntarily made.” O’Brien, 34 Ohio St.3d at 9.
Following an express written waiver of unlimited duration by an
accused of his speedy trial rights the accused is not entitled to a
discharge for delay in bringing him to trial unless the accused files a
formal written objection to any further continuances and makes a
demand for trial, following which the state must bring him to trial
within a reasonable time.
Id. at paragraph two of the syllabus.
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Case No. 5-13-34
{¶49} As the trial court found, “defense counsel signed a waiver of speedy
time limits without limitation,”10 and “at no time has the defendant filed ‘a formal
written objection to any further continuances and a demand for trial.’ ” (R. at 30,
quoting O’Brien.) These findings are supported by the record and are not
challenged by Clark in this appeal. Therefore, Clark is not entitled to a discharge
for delay in bringing him to trial and the trial court did not err in denying his
motion to dismiss for alleged speedy trial violations.
{¶50} We further note that the trial court went to great lengths to examine
the chronology of this litigation, outlining every appearance and filing by either
party. The trial court counted “the days of delay chargeable to either side” as it
was required to do under State v. Sanchez, 110 Ohio St.3d 274, 2006-Ohio-4478,
853 N.E.2d 283, ¶ 8, and determined that the case was tried within applicable time
limits. Clark does not challenge the trial court’s factual findings and calculations
of the days of delay chargeable to either side. He argues that simply because
almost two years had passed between his charge and his conviction, and the
10
The O’Brien court acknowledged that defendant’s right to a speedy trial may be waived by his or her
counsel.
Similarly, an accused, or his counsel, may validly waive the speedy trial provisions of
R.C. 2945.71 et seq. It follows, then, that a knowing, voluntary, express written waiver of
an accused’s statutory speedy trial rights may equate with a waiver of the coextensive
constitutional rights, at least for the time period provided in the statute.
(Citations omitted.) O’Brien, 34 Ohio St.3d at 9; see also State v. Taylor, 98 Ohio St.3d 27, 2002-Ohio-
7017, 781 N.E.2d 72, ¶ 33; State v. McRae, 55 Ohio St.2d 149, 152, 378 N.E.2d 476 (1978) (“We therefore
find the [State v. McBreen, 54 Ohio St.2d 315, 376 N.E.2d 593 (1978)] holding to control the instant cause
and that appellant is bound by his attorney’s waiver of his constitutional right to a speedy trial.”).
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Case No. 5-13-34
suppression motion was pending for four times the allowed amount, his speedy
trial rights have been violated.
{¶51} Clark particularly relies on the fact that his motion was pending for
nearly sixteen months. But he conveniently ignores the filings, hearings, and
conferences that occurred in the meantime. The record shows that the trial court
denied his motion in part on May 11, 2012. Thus, the trial court’s initial ruling on
the motion to suppress was “within the time parameters imposed by
Superintendence Rule 40 A3.” (R. at 30.) On May 14, 2012, Clark filed a motion
to reconsider; on May 15, 2012, both parties “requested additional time to respond
to the issue” (R. at 15); on May 22, 2012, Clark filed a supplemental
memorandum; on July 23, 2012, the State requested a continuance with no
objections from Clark and the delay not charged against the State. On the next
scheduled date, October 3, 2012, the issue of the suppression was deemed heard
and submitted; yet, on January 28, 2013, Clark filed another supplemental
memorandum regarding his motion to suppress. Thus, Clark’s assertion that there
was a delay that lasted sixteen months is incorrect, as contradicted by the record
and by the trial court’s factual findings. Nevertheless, even if Clark were
successful in establishing that some delay occurred in his case, the waiver of
speedy time limits without limitation was effective to preclude granting of the
motion to dismiss for speedy trial violations.
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Case No. 5-13-34
{¶52} Clark’s filing of a motion to dismiss for speedy trial violations on
August 6, 2013, revoked his prior waiver. See Toledo v. Sauger, 179 Ohio App.3d
285, 2008-Ohio-5810, 901 N.E.2d 826, ¶ 19 (6th Dist.). The trial court denied the
motion on September 5, 2013, and he was brought to trial on September 24, 2013.
{¶53} For the above reasons, we do not find that Clark’s right to a speedy
trial was violated. The third assignment of error is overruled.
Conclusion
{¶54} Having reviewed the arguments, the briefs, and the record in this
case, we find error prejudicial to Appellant in the particulars assigned and argued.
The judgment of the Findlay Municipal Court in Hancock County, Ohio is
therefore reversed in part and affirmed in part, and we remand this matter for
further proceedings consistent with this opinion.
Judgment Reversed in Part,
Affirmed in Part and
Cause Remanded
ROGERS, J., concurs.
/jlr
SHAW, J., dissents.
{¶55} While I concur with the judgment of the majority that neither the
appellant’s arguments nor the cases analyzed are sufficient to demonstrate that the
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Case No. 5-13-34
statute at issue is unconstitutional, I dissent from the majority’s opinion because I
do not agree with their conclusion that the exclusionary rule might apply in this
instance without regard to the constitutionality of the statute.
{¶56} The exclusionary rule was created as a judicial remedy for
governmental violations of the Fourth Amendment. Illinois v. Krull, 480 U.S.
340, 347, 107 S.Ct. 1160 (1987) citing Weeks v. United States, 232 U.S. 383, 34
S.Ct. 341 (1914); Mapp v. Ohio, 367 U.S. 643, 81 S.Ct. 1684 (1961). The “prime
purpose” of the exclusionary rule is to deter unlawful police conduct. United
States v. Calandra, 414 U.S. 338, 94 S.Ct. 613 (1974). “[T]he [United States]
Supreme Court has held suppression is not an available remedy when police
officers conducted a search in good faith reliance on some higher authority, such
as a warrant or a statute, even if the warrant or statute were later held invalid or
unconstitutional (the ‘good faith exception’).” (Emphasis added.) United States v.
Gonzalez, 598 F.3d 1095 (9th Cir.2010), citing Illinois v. Krull, 480 U.S. 340, 347,
107 S.Ct. 1160 (1987).
{¶57} In Illinois v. Krull, the United States Supreme Court held that the
exclusionary rule does not apply where an officer is acting in a good-faith reliance
on the validity of a law, and that is exactly what happened in this case. Krull, 480
U.S. at 349. The police utilized a statute that this court has unanimously found is
not unconstitutional and there is no indication that the officer did not comply with
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Case No. 5-13-34
the statute in obtaining the evidence at issue. It is both contrary to law and an
abuse of judicial discretion for this court to remand this case to the trial court with
instructions to consider application of the exclusionary rule in this circumstance.
Accordingly, I would overrule the appellant’s assignments of error and I would
affirm the judgment of the trial court.
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