[Cite as Ewing v. UC Health, 2022-Ohio-2560.]
IN THE COURT OF APPEALS
FIRST APPELLATE DISTRICT OF OHIO
HAMILTON COUNTY, OHIO
TONI EWING, Individually and as : APPEAL NO. C-210390
Executrix of the Estate of Shirley TRIAL NO. A-1801959
Ewing, and as Personal Representative :
of her Next of Kin and Beneficiares,
O P I N I O N.
Plaintiff-Appellant, :
vs. :
UC HEALTH, :
and :
UNIVERSITY OF CINCINNATI :
MEDICAL CENTER, LLC,
Defendants-Appellees, :
and :
JOHN AND/OR JANE DOE #1, et al., :
Defendants. :
Civil Appeal From: Hamilton County Court of Common Pleas
Judgment Appealed From Is: Affirmed in Part and Reversed in Part, and Cause
Remanded
Date of Judgment Entry on Appeal: July 27, 2022
Marlene Penny Manes, for Plaintiff-Appellant,
Frost Brown Todd, LLC, Bill J. Paliobeis and Douglas R. Dennis, for Defendants-
Appellees.
OHIO FIRST DISTRICT COURT OF APPEALS
ZAYAS, Presiding Judge.
{¶1} Plaintiff-appellant Toni Ewing (“Ewing”), individually and as executrix
of the estate of Shirley Ewing and as personal representative of her next of kin and
beneficiaries, appeals the judgment of the Hamilton County Court of Common Pleas,
which granted the motion for judgment on the pleadings of defendants-appellees UC
Health and University of Cincinnati Medical Center, LLC, (collectively “defendants”).
For the following reasons, we affirm the judgment of the trial court in part and reverse
the judgment of the trial court in part and remand the cause for further proceedings
consistent with this opinion and the law.
Factual and Procedural History
{¶2} On April 16, 2018, Ewing, the adult daughter of Shirley Ewing, filed a
complaint against defendants, among others, alleging three causes of action: a
survivorship claim, a wrongful-death claim, and an “emotional harm” claim. The
complaint asserted that the action was filed within 180 days of the written notice given
to defendants pursuant to R.C. 2305.113, and asserted that the action was voluntarily
dismissed in the case numbered A-1504406 on April 17, 2017, and was being refiled in
the current action within one year of such dismissal. The claims were based on events
alleged to have occurred during Shirley Ewing’s inpatient stay at the University of
Cincinnati Medical Center from February 18, 2014, to March 22, 2014. The complaint
alleged:
there were deviations from accepted standards of care which
resulted in harm and compensable damages to Shirley Ewing, in
amounts later to be determined, including but not limited to a fracture
of her leg, failure to timely recognize said fracture, surgery, placement
of a rod and pins, additional pain, suffering, mental anguish, emotional
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distress, additional expenses, * * * and shortening of life expectancy * *
*.
{¶3} The complaint further asserted that Shirley passed away on March 25,
2014, and contended that her death was accelerated and wrongful as a result of such
deviations in care. The “emotional harm” claim was brought by Ewing in her
individual capacity and alleged that Ewing suffered “emotional harm” as the result of
being the one who discovered her mother’s broken leg and “other damages” during the
hospitalization.
{¶4} Defendants filed a motion for judgment on the pleadings on May 8,
2019, arguing that Ewing’s complaint was barred by the medical-claim statute of
repose set forth in R.C. 2305.113(C). Defendants also subsequently asserted that the
wrongful-death and emotional-harm claims failed as a matter of law. After responsive
briefing between the parties and delays from awaiting the Ohio Supreme Court’s
decision in Wilson v. Durrani, 164 Ohio St.3d 419, 2020-Ohio-6827, 173 N.E.3d 448,
the trial court granted the defendants’ motion for judgment on the pleadings on June
22, 2021, and dismissed Ewing’s complaint in its entirety. In doing so, the trial court
found that both the survivorship claim and the wrongful-death claim were “medical
claims” under R.C. 2305.113(E) and were thus barred by the medical-claim statute of
repose as the complaint was not filed until April of 2018. Additionally, the trial court
found that the “emotional harm” claim, interpreted to be a claim for negligent
infliction of emotional distress, failed as a matter of law.
{¶5} Ewing timely filed a notice of appeal on July 20, 2021. She now raises a
single assignment of error for our review, arguing that the trial court erred in granting
defendants’ motion for judgment on the pleadings and dismissing all her claims.
Law and Analysis
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Standard of Review
{¶6} “Appellate review of a judgment on the pleadings involves only
questions of law and is therefore de novo.” New Riegel Local School Dist. Bd. of Edn.
v. Buehrer Group Architecture & Eng., Inc., 157 Ohio St.3d 164, 2019-Ohio-2851, 133
N.E.3d 482, ¶ 8, citing Rayess v. Educational Comm. for Foreign Med. Graduates,
134 Ohio St.3d 509, 2012-Ohio-5676, 983 N.E.2d 1267, ¶ 18. “Dismissal is appropriate
under Civ.R. 12(C) when a court construes as true all material allegations in the
complaint, along with all reasonable inferences to be drawn therefrom, and finds,
beyond doubt, that the plaintiff can prove no set of facts that would entitle him to
relief.” Id., citing State ex rel. Midwest Pride IV, Inc. v. Pontious, 75 Ohio St.3d 565,
570, 664 N.E.2d 937 (1996). “Similarly, questions of statutory construction constitute
legal issues that we decide de novo.” Id., citing New York Frozen Foods, Inc. v.
Bedford Hts. Income Tax Bd. of Rev., 150 Ohio St.3d 386, 2016-Ohio-7582, 82 N.E.3d
1105, ¶ 8.
“Emotional Harm” Claim
{¶7} “[A] cause of action for the negligent infliction of serious emotional
distress may be stated where the plaintiff-bystander reasonably appreciated the peril
which took place, whether or not the victim suffered actual physical harm, and, * * *
as a result of this cognizance or fear of peril, the plaintiff suffered serious emotional
distress.” Paugh v. Hanks, 6 Ohio St.3d 72, 451 N.E.2d 759 (1983), paragraph four of
the syllabus. The element of “seriousness” is a necessary component required for a
plaintiff-bystander to sufficiently state a claim for relief when the plaintiff did not
suffer a contemporaneous physical injury. Id. at 78; see Binns v. Fredendall, 32 Ohio
St.3d 244, 513 N.E.2d 278 (1987). “Serious” emotional distress must be “beyond
trifling mental disturbance” or “mere upset or hurt feelings.” Paugh at 78. It must be
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“emotional injury which is both severe and debilitating.” Id. “Thus, serious emotional
distress may be found where a reasonable person, normally constituted, would be
unable to cope adequately with the mental distress engendered by the circumstances
of the case.” Id. “A court may decide whether a plaintiff-bystander has stated a cause
of action by ruling on whether the emotional distress alleged is serious as a matter of
law.” Id.
{¶8} Here, Ewing’s claim merely alleges “emotional harm.” Emotional harm
is insufficient to establish severe and debilitating emotional distress. Thus, the
allegations in the complaint fail as a matter of law to assert the level of harm required
to sustain a cause of action for negligent infliction of serious emotional distress.
Therefore, the trial court properly granted judgment in favor of defendants and
dismissed this claim. Accordingly, we overrule this part of the assignment of error as
to this cause of action.
Survivorship Claim
{¶9} Ewing does not contest that her survivorship claim is a “medical claim”
under R.C. 2305.113(E). Instead, she argues that the trial court erred by
“retroactively” applying R.C. 2305.113(C), the medical-claim statute of repose, to
refiled cases and failing to recognize that savings statutes convey vested rights to
plaintiffs to refile their claims, which cannot constitutionally be extinguished by such
retroactive application.
{¶10} Section I, Article 16 of the Ohio Constitution provides, “All courts shall
be open, and every person, for any 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 I, Section 16. “A plain reading of
Article 1, Section 16 reveals that it does not provide for remedies without limitation or
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OHIO FIRST DISTRICT COURT OF APPEALS
for any perceived injury.” Ruther v. Kaiser, 134 Ohio St.3d 408, 2012-Ohio-5686, 983
N.E.2d 291, ¶ 12. “Rather, the right-to-remedy clause provides that the court shall be
open for those to seek remedy ‘by due course of law.” (Emphasis sic.) Id. “Article 1,
Section 16 does not prevent the General Assembly from defining a cause of action.” Id.
{¶11} Thus, the Ohio Supreme Court has determined that “a party need not be
granted an unlimited amount of time to bring a vested cause of action, but must receive
only a ‘reasonable’ amount of time in order for a law to pass constitutional muster.”
(Citations omitted.) Antoon v. Cleveland Clinic Found., 148 Ohio St.3d 483, 2016-
Ohio-7432, 71 N.E.3d 974, ¶ 27. Further, the Ohio Supreme Court held that the statute
of repose, “in compliance with the right-to-remedy clause, does not ‘completely
foreclose a cause of action for injured plaintiffs or otherwise eliminate their ability to
receive a meaningful remedy.’ ” Id. at ¶ 29, quoting Flagstar Bank, F.S.B. v. Airline
Union’s Mtge. Co., 128 Ohio St.3d 529, 2011-Ohio-1961, 947 N.E.2d 672, ¶ 29.
Accordingly, it held that the medical-claim statute of repose is constitutional “both
when it extinguishes a vested and a nonvested cause of action.” Id. Thus, the statute
of repose is a “true statute of repose that applies to both vested and nonvested claims.”
Id. at ¶ 35; see Wilson, 164 Ohio St.3d 419, 2020-Ohio-6827, 173 N.E.3d 448, at ¶ 16.
Therefore, even if Ewing had a vested right under the saving statute as she asserts, it
was not unconstitutional for her claim to be extinguished by the statute of repose as
she was provided with a reasonable amount of time within which to bring her claim.
{¶12} Because R.C. 2305.113—which relocated the medical-claim statute of
repose from R.C. 2305.11(B)—was enacted in 2002, well before the hospitalization in
question and well before Ewing brought her claims, we interpret Ewing’s retroactive
application argument to be that the Ohio Supreme Court’s decision in Wilson should
not be applied retroactively. However, it is a well-settled principle in Ohio that “ ‘[i]n
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the absence of a specific provision in a decision declaring its application to be
prospective only, the decision shall be applied retroactively as well.’ ” Martin v.
Taylor, 11th Dist. Lake No. 2021-L-046, 2021-Ohio-4614, ¶ 42, citing State ex rel.
Bosch v. Indus. Comm. of Ohio, 1 Ohio St.3d 94, 98, 438 N.E.2d 415 (1982). The Ohio
Supreme Court did not announce prospective-only application in Wilson. Id.; see
Wilson. In fact, “it specifically denied a request for prospective-only application when
it ruled on the motion for reconsideration of [Wilson].” Id., citing Wilson v. Durrani,
161 Ohio St.3d 1453, 2021-Ohio-534, 163 N.E.3d 580 (granting motion for
reconsideration in part and denying request that decision be applied prospectively
only). Therefore, we find no error in the trial court’s application of the statute of
repose to bar this claim. Accordingly, we overrule this part of the assignment of error
as to this cause of action.
Wrongful-Death Claim
{¶13} “[W] hen a person is injured by the tortious conduct of another and the
person later dies from the injury, two claims arise.” Thompson v. Wing, 70 Ohio St.3d
176, 183, 637 N.E.2d 917 (1994). “The first is a claim for malpractice or personal injury,
enforced either by the injured person herself or her representative in a survival action.”
Id. “The second is a wrongful death [sic] claim, enforced by the decedent’s personal
representative on behalf of the decedent’s beneficiaries.” Id. Although prosecuted by
the same personal representative, the two actions are not derivative of the same right
and are instead two separate and independent causes of action. Id. at 182-183; Klema
v. St. Elizabeth’s Hosp., 170 Ohio St. 519, 521, 166 N.E.2d 765 (1960); Koler v. St.
Joseph Hosp., 69 Ohio St.2d 477, 479, 432 N.E.2d 821 (1982). The cause of action
held by the injured party is “ ‘confined to his [or her] personal loss and suffering before
he [or she] died.’ ” Klema at 521, quoting St. Louis, Iron Mountain & S. Ry. Co. v.
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OHIO FIRST DISTRICT COURT OF APPEALS
Craft, 237 U.S. 648, 658, 35 S.Ct. 704, 59 L.Ed. 1160 (1915). Whereas the cause of
action held by decedent’s beneficiaries is “ ‘confined to their pecuniary loss
through his [or her] death.’ ” Id. “ ‘One begins where the other ends, and a
recovery upon both in the same action is not a double recovery for a single wrong but
a single recovery for a double wrong.’ ” (Emphasis added.) Id. Because each action is
separate and independent from the other, the right to bring a wrongful-death action is
not dependent on the existence of a separate cause of action held by the injured person
prior to his or her death. Thompson at 183; Klema at 521. A wrongful-death action
requires only that the decedent “at one time” had a cause of action against the
defendant. Id.
{¶14} A wrongful-death action is a special statutory action which did not exist
at common law. Klema at 524. R.C. 2125.01 establishes a wrongful-death claim in
Ohio. Peters v. Columbus Steel Castings Co., 115 Ohio St.3d 134, 2007-Ohio-4787,
873 N.E.2d 1258, ¶ 9. It provides, “When the death of a person is caused by wrongful
act, neglect, or default which would have entitled the party injured to maintain an
action and recover damages if death had not ensued, the person who would have been
liable if death had not ensued * * * shall be liable in an action for damages.” R.C.
2125.01. Pursuant to R.C. 2125.02(D):
(1) Except as provided in division (D)(2) of this section, a civil
action for wrongful death shall be commenced within two years after the
decedent’s death.
(2)
(a) Except as provided in divisions (D)(2)(b), (c), (d), (e), (f), and
(g) of this section or in section 2125.04 of the Revised Code, no
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OHIO FIRST DISTRICT COURT OF APPEALS
cause of action for wrongful death involving a product liability
claim shall accrue against the manufacturer or supplier of a
product later than ten years from the date that the product was
delivered to its first purchaser or first lessee who was not
engaged in a business in which the product was used as a
component in the production, construction, creation, assembly,
or rebuilding of another product.
(Emphasis added.)
{¶15} Divisions (D)(2)(b), (c), (d), (e), (f), and (g) provide exceptions to the
products-liability statute of repose set forth in R.C. 2125.02(D)(2)(a), and R.C.
2125.04 provides a saving statute for wrongful-death actions, which allows the actions
to be refiled when certain situations occur. Thus, R.C. 2305.02(D) expressly provides
only one exception to the commencement period provided in R.C. 2305.02(D)(1) for
wrongful-death claims and that exception is only applicable to wrongful-death claims
related to products liability.
{¶16} Here, the trial court found that Ewing’s wrongful-death claim was
additionally subject to the medical-claim statute of repose contained in R.C.
2305.113(C). Ewing argues that this was in error as her wrongful-death claim was not
subject to the medical-claim statute of repose.
{¶17} R.C. 2305.113 establishes, among other things, the periods of limitation
for a “medical claim,” which is defined as:
[A]ny claim that is asserted in any civil action against a physician,
podiatrist, hospital, home, or residential facility, against any employee
or agent of a physician, podiatrist, hospital, home, or residential facility,
or against a licensed practical nurse, registered nurse, advanced
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OHIO FIRST DISTRICT COURT OF APPEALS
practice registered nurse, physical therapist, physician assistant,
emergency medical technician-basic, emergency medical technician-
intermediate, or emergency medical technician-paramedic, and that
arises out of the medical diagnosis, care, or treatment of any person.
R.C. 2305.113(E)(3). R.C. 2305.113(A) provides a one-year statute of limitation for
medical claims and R.C. 2305.113(C) provides a four-year statute of repose for medical
claims.
{¶18} While the Ohio Supreme has made it clear that wrongful-death claims
are separate and distinct causes of action from medical-malpractice claims—meaning
that one is not interdependent upon the other to survive, and a wrongful-death claim
begins where a medical-malpractice claim ends—this is not determinative of whether
the wrongful-death claim is subject to the statute of repose under R.C. 2305.113(C).
See generally Lombard v. Good Samaritan Med. Ctr., 69 Ohio St.2d 471, 474, 433
N.E.2d 162 (1982) (recognizing that the common-law definition of malpractice is
distinguishable from the definition of a medical claim);1 Couch v. Durrani, 1st Dist.
Hamilton Nos. C-190703, 190704, C-190705, C-190706 and C-190707, 2021-Ohio-
726, ¶ 9-19, appeal not accepted, 164 Ohio St.3d 1420, 2021-Ohio-2923, 172 N.E.3d
1048 (recognizing that a cause of action independent from that of medical malpractice
may still constitute a medical claim).
{¶19} We begin by looking to the statutory language and its plain meaning.
See, e.g., In re P.R., 1st Dist. Hamilton Nos. C-180166 and C-180167, 2019-Ohio-4751,
¶ 9, citing In re J.F., 2017-Ohio-7675, 97 N.E.3d 999, ¶ 18 (1st Dist.). In doing so, we
1We note that this case was decided based upon the former definition of a medical claim under R.C.
2305.11. The definition of a medical claim has since been expanded and relocated to R.C.
2305.113(E).
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OHIO FIRST DISTRICT COURT OF APPEALS
should not look solely to the plain language of R.C. 2305.113 as we cannot ignore R.C.
Chapter 2125, which governs wrongful-death claims. In determining that the medical-
claim statute of repose applied, the trial court relied on its determination that this
wrongful-death claim was also a medical claim. We hold that whether this wrongful-
death claim meets the definition of a medical claim under R.C. 2305.113(E) is not
dispositive of the issue before us. The question presented by this appeal is one
concerning the interplay between the two statutes when a wrongful-death claim is
related to the medical diagnosis, care, or treatment of the decedent. In other words,
we are asked to decide whether, despite the clear and unambiguous language of R.C.
2125.02(D)(1), the medical-claim statute of repose in R.C. 2305.113(C) further limits
the time for commencing a wrongful-death claim where such claim arises from the
diagnosis, care, or treatment of the decedent.
{¶20} This issue is one that has recently been addressed in several other
districts and has created a conflict among those districts. The Tenth and Sixth
Districts have both recently held that a wrongful-death claim related to the medical
diagnosis, care, or treatment of a decedent was not subject to the medical-claim statute
of repose contained in R.C. 2305.113(C). See Everhart v. Coshocton Cty. Mem. Hosp.,
10th Dist. Franklin No. 21AP-74, 2022-Ohio-629, ¶ 21, 51, appeal accepted, ___ Ohio
St.3d ___, 2022-Ohio-2162, ___ N.E.3d ___; Davis v. Mercy St. Vincent Med. Ctr.,
6th Dist. Lucas No. L-21-1095, 2022-Ohio-1266, ¶ 63; see also Daniel v. United States,
977 F. Supp.2d 777 (N.D.Ohio 2013). In doing so, both courts focused on the statutory
language of R.C. 2125.02(D). See Everhart at ¶ 20-21; Davis at ¶ 58-59.
{¶21} Conversely, the Third, Fifth, and Eleventh Districts have held that a
wrongful-death claim related to the medical care, diagnosis or treatment of the
decedent was subject to the medical-claim statute of repose. See Smith v. Wyandot
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Mem. Hosp., 2018-Ohio-2441, 114 N.E.3d 1224, ¶ 22 (3d Dist.), appeal not accepted,
153 Ohio St.3d 1505, 2018-Ohio-4285, 109 N.E.3d 1260; Mercer v. Keane, 2021-Ohio-
1576, 172 N.E.3d 1101, ¶ 40 (5th Dist.), appeal not accepted, 164 Ohio St.3d 1420,
2021-Ohio-2923, 172 N.E.3d 1047; Martin, 11th Dist. Lake No. 2021-L-046, 2021-
Ohio-4614, at ¶ 46, citing Wilson v. Mercy Health, 11th Dist. Trumbull No. 2021-T-
0004, 2021-Ohio-2470, ¶ 23-24.
{¶22} Mercer, however, did not directly address the issue currently before this
court. In Mercer, the medical-malpractice action was initially filed in 2016 before the
decedent’s death. Id. at ¶ 2, 4. The executor of the decedent’s estate then filed an
amended complaint in 2020 after the decedent passed away, which was beyond the
repose period. Id. at ¶ 4-7. The only issue presented to the court was whether the
wrongful-death action related back to the malpractice action, thereby making the
action timely filed under the statute of repose. Id. at ¶ 36-38. Thus, there was no
argument presented to the court that the wrongful-death claim was not subject to the
medical-claim statute of repose and the court did not directly consider the issue.
{¶23} On the other hand, Smith and Martin both directly held that wrongful-
death claims arising from the medical diagnosis, care, or treatment of a decedent were
subject to the medical-claim statute of repose. Smith at ¶ 22; Martin at ¶ 46. Both
courts acknowledged that wrongful-death claims were subject to their own statute of
limitations outside of R.C. 2305.113(A) but still found that the claims were subject to
the medical-claim statute of repose based on the language of R.C. 2305.113. Smith at
¶ 25; Martin at ¶46. In doing so, each court’s focus was the fact that the claims met
the definition of a medical claim. Smith at ¶ 22, 28-30; Martin at ¶ 45-46.
{¶24} We recognize that, when looking to the plain language of R.C.
2305.113(E)(3) and the broad definition of medical claim, a wrongful-death claim
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which is related to the medical diagnosis, care or treatment of the decedent seems to
fit into the definition of a medical claim, depending on the underlying allegations.
Notably, the definition of a medical claim is not limited to only those claims brought
by the person receiving treatment. See R.C. 2305.113(E)(3). A medical claim is any
claim against any of the listed persons that arises out of the medical diagnosis, care,
or treatment of any person. Id. The Ohio Supreme Court has found this language to
be plain and unambiguous and advised that we must give full meaning to all the
express statutory language. Estate of Stevic v. Bio-Med. Application of Ohio, Inc., 121
Ohio St.3d 488, 2009-Ohio-1525, 905 N.E.2d 635, ¶ 16, 18.
{¶25} In fact, we note the 2018 enactment of R.C. 2323.451, which implies that
a wrongful-death claim could constitute a medical claim for the purpose of requiring
an affidavit of merit. R.C. 2323.451 discusses the requirement of Civ.R. 10(D) that an
affidavit of merit be filed with any complaint that asserts a medical claim and provides
an extension of time for plaintiffs to add new medical claims or new defendants after
the complaint is filed and after discovery is conducted if certain conditions are met.
See R.C. 2323.451. The provision relevant to our purposes here, R.C. 2323.451(E),
provides:
Subject to division (F) of this section, after expiration of the one-
hundred-eighty-day period described in division (D)(2) of this section,
the plaintiff shall not join any additional medical claim or defendant to
the action unless the medical claim is for wrongful death, and
the period of limitation for the claim under R.C. 2125.02 of
the Revised Code has not expired.
(Emphasis added.)
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{¶26} We also note that R.C. 2323.43, the statute which relates solely to
medical claims and provides damage limitations for medical claims, specifically
provides an exemption from those limitations for wrongful-death actions. See R.C.
2323.43(G)(3). Both statutes seem to indicate that a wrongful-death claim could meet
the definition of a “medical claim.” However, as already noted above, we cannot look
solely to the language of R.C. 2305.113 when deciding the issue before us due to the
nature of this claim.
{¶27} The Ohio Supreme Court has already held that where the medical-
malpractice claim ends, the wrongful-death claim begins. Klema, 170 Ohio St. at 521,
166 N.E.2d 765, quoting Craft, 237 U.S. at 658, 35 S.Ct. 704, 59 L.Ed. 1160. We agree
because, regardless of any underlying malpractice, there is no cause of action for
wrongful death until the death of the decedent. The trigger for the cause of action is
the death of the patient. Thus, in addressing the issue before us, we must begin by
looking to the express statutory language of R.C. Chapter 2125, which creates and
governs a wrongful-death claim, to see what the legislature has determined regarding
the period of limitation for commencing a wrongful-death cause of action. The express
language of R.C. 2125.02(D) provides that a cause of action for wrongful death shall
be commenced within two years after the decedent’s death, except as provided in
division (D)(2) of the statute. This action is for wrongful death. The language is clear
and unambiguous. Division (D)(2) then provides that, with certain other exceptions
listed in the statute, no cause of action for wrongful death involving a product-liability
claim shall accrue against a manufacturer or supplier later than ten years from the
date the product was delivered. R.C. 2125.02(D)(2). Thus, the General Assembly
clearly provided only one exception to the period of limitation set forth in R.C. 2125.02
(D)(1) and that exception is only for wrongful-death claims related to products
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liability. The General Assembly provided such an exception even though products-
liability claims are generally subject to their own statute of repose in R.C.
2305.10(C)(1). The General Assembly provided no similar exception in R.C.
2125.02(D) for claims related to the medical diagnosis, care, or treatment of the
decedent. Therefore, when looking to the plain language of R.C. 2125.02(D),
wrongful-death claims would not be subject to an exception for the medical-claim
statute of repose.
{¶28} Additionally, if we go beyond the plain meaning of the statutory
language, we find that R.C. 2305.131(A)(1) and 2305.101(A), two statutes outside of
R.C. 2125.02 that provide additional exceptions to the wrongful-death period of
limitation, expressly state that the exceptions exist “notwithstanding” R.C. 2125.02.
See R.C. 2305.131 (providing that no cause of action to recover damages for bodily
injury, injury to real or personal property, or wrongful death which arises out of a
defective and unsafe condition of an improvement to real property shall accrue against
certain persons later than ten years from the date of substantial completion of the
improvement); R.C. 2305.101 (providing that a claimant who has alleged bodily injury
or wrongful death caused by the effects of the Dalkon Shield intrauterine device and
who has filed a claim in the relevant court in the eastern district of Virginia may bring
an action in Ohio against the Dalkon Sheild Claimants Trust within one year of
certification by the Virginia court providing that the claimant may proceed to litigation
or arbitration, or within six months of the effective date of R.C. 2305.101, whichever
is later). No similar language was provided in R.C. 2305.113 which would allow the
medical-claim statute of repose to apply notwithstanding R.C. 2125.02.
{¶29} The pertinent “notwithstanding” language from R.C. 2305.131(A)(1)
and the pertinent “except as provided” language from R.C. 2125.02(D)(1) was added
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within the same bill where the General Assembly enacted the statute of repose in R.C.
2305.10(C)(1) for a cause of action based on a products-liability claim and added the
express exception to the period of limitation for a wrongful-death claim in R.C.
2125.02(D)(2) for a claim based on products liability. 2004 Am.Sub.S.B. No. 80, 150
Ohio Laws, Part V. Significantly, although the General Assembly also enacted
revisions to R.C. 2305.113 within that same bill, no additions were added to either R.C.
2305.113 or 2125.02 to reference the other. Id.
{¶30} “The ‘General Assembly’s use of particular language to modify one part
of a statute but not another part demonstrates that the General Assembly knows how
to make that modification and has chosen not to make that modification in the latter
part of the statute.’ ” Wilson, 164 Ohio St.3d 419, 2020-Ohio-6827, 173 N.E.3d 448,
at ¶ 30, quoting Hulsmeyer v. Hospice of Southwest Ohio, Inc., 142 Ohio St.3d 236,
2014-Ohio-5511, 29 N.E.3d 903, ¶ 26. Additionally, “ ‘[t]he General Assembly, in
enacting a statute, is assumed to have been aware of other statutory provisions
concerning the subject matter of the enactment even if they are found in separate
sections of the Code.’ ” Hulsmeyer at ¶ 26, quoting Meeks v. Papadopulos, 62 Ohio
St.2d 187, 191-192, 404 N.E.2d 159 (1980). Finally, “if the General Assembly could
have used a particular word in a statute but did not, we will not add that word by
judicial fiat.” Id., citing In re Application of Columbus S. Power Co., 138 Ohio St.3d
448, 2014-Ohio-462, 8 N.E.3d 863, ¶ 26.
{¶31} Because the General Assembly did not provide an exception to the
period of limitation in R.C. 2125.02(D)(1) for wrongful-death claims arising from the
medical diagnosis, care or treatment of the decedent, these claims would not be subject
to the medical-claim statute of repose. Any other interpretation would require us to
ignore the plain language of R.C. 2125.02(D). Therefore, we hold that the wrongful-
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OHIO FIRST DISTRICT COURT OF APPEALS
death claim is governed solely by the period of limitation expressly set forth by the
legislature in R.C. 2125.02(D) and is not subject to the medical-claim statute of repose
in R.C. 2305.113(C). Accordingly, it was improper for the trial court to dismiss Ewing’s
wrongful-death claim based on the medical-claim statute of repose. So long as Ewing’s
claim was brought within the applicable two-year period of limitation found in R.C.
2125.02(D), the saving statute would be applicable to save this claim. This part of the
assignment of error is sustained.
Conclusion
{¶32} For the foregoing reasons, we overrule the assignment of error in part
as to the emotional-harm claim and the survivorship claim but sustain the assignment
of error in part as to the wrongful-death claim. We remand the cause for further
proceedings consistent with this opinion and the law.
Judgment affirmed in part and reversed in part, and cause remanded.
BERGERON and BOCK, JJ., concur.
Please note:
The court has recorded its own entry this date.
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