[Cite as Allied Health & Chiropractic, L.L.C. v. State, 2024-Ohio-1976.]
COURT OF APPEALS OF OHIO
EIGHTH APPELLATE DISTRICT COUNTY OF CUYAHOGA
ALLIED HEALTH & CHIROPRACTIC, LLC, ET AL., :
Plaintiffs-Appellees, : No. 112991 v. :
STATE OF OHIO, ET AL., :
Defendants-Appellants. :
JOURNAL ENTRY AND OPINION
JUDGMENT: AFFIRMED IN PART AND VACATED IN PART RELEASED AND JOURNALIZED: May 23, 2024
Civil Appeal from the Cuyahoga County Court of Common Pleas Case No. CV-19-922186
Appearances:
Flowers & Grube, Paul W. Flowers, and Kendra N. Davitt, for appellee.
David Yost, Ohio Attorney General, and Ann Yackshaw, Michael A. Walton, and Elizabeth H. Smith, Assistant Attorneys General, for appellants State of Ohio, Ohio Governor Mike DeWine, Ohio Attorney General Dave Yost, and Ohio General Assembly.
David Yost, Ohio Attorney General, and Katherine J. Bockbrader, Assistant Attorney General, for appellant Ohio State Chiropractic Board.
David Yost, Ohio Attorney General, and Hilary R. Damaser, Assistant Attorney General, for appellant Ohio Department of Public Safety.
FRANK DANIEL CELEBREZZE, III, J.:
Defendants-appellants state of Ohio, Ohio Governor Mike DeWine,
Ohio Attorney General Dave Yost, Ohio General Assembly, Ohio State Chiropractic
Board, and the Ohio Department of Public Safety (collectively “the state” or “the
defendants”) bring the instant appeal challenging several judgments from the trial
court stemming from plaintiffs-appellees Allied Health & Chiropractic, LLC; Ty
Dahodwala, D.C.; First Choice Chiropractic, LLC; James Fonner, D.C.; Prestige
Chiropractic & Injury, LLC; Rennes Bowers, D.C.; and Schroeder Referral Systems,
Inc.’s (collectively “the plaintiffs”) claims that R.C. 149.43(A)(1)(mm) and 1349.05
(collectively “the contested sections”), as enacted by Am.Sub.H.B. 166 (“the 2020-
2021 Biennial Budget Bill” or “the Bill”) are unconstitutional. After a thorough
review of the record and law, this court affirms in part and vacates in part.
I. Factual and Procedural History
A. The Initial Complaint
In September 2019, the plaintiffs filed a complaint seeking declaratory
judgment and injunctive relief against the state of Ohio, the Ohio General Assembly,
and the Ohio State Chiropractic Board (collectively, “the initial defendants”). The
complaint sought a declaratory judgment that R.C. 149.43(A)(1)(mm) and 1349.05
were unconstitutional, preliminary and permanent injunctions prohibiting the state
from enforcing these sections, and class certification of similarly suited plaintiffs. The substance of this dispute centers around two sections of the Ohio
Revised Code that were enacted or amended by the Bill: R.C. 149.43(A)(1)(mm) (as
amended) and 1349.05 (as enacted), that went into effect on October 17, 2019. The
plaintiffs alleged that these sections were unconstitutional (1) in their enactment
because they violated the Ohio Constitution’s One-Subject Rule in Article II, Section
15(D), and (2) in substance, arguing that R.C. 1349.05 alone violated the free speech
protections of the Ohio Constitution, Article I, Section 11, and the equal protection
guarantees the Ohio Constitution, Article I, Section 2.
The contested sections pertain to a health care practitioner’s ability to
solicit business from parties to a motor vehicle accident or crime. R.C. 149.43,
“Availability of public records for inspection and copying,” was amended by the Bill
to add subsection (A)(1)(mm), which added the following definition to something
that is not a public record:
Telephone numbers for a victim, as defined in section 2930.01 of the Revised Code, a witness to a crime, or a party to a motor vehicle accident subject to the requirements of section 5502.11 of the Revised Code that are listed on any law enforcement record or report.
A record that is not a public record under division (A)(1) of this section and that, under law, is permanently retained becomes a public record on the day that is seventy-five years after the day on which the record was created, except for any record protected by the attorney-client privilege, a trial preparation record as defined in this section, a statement prohibiting the release of identifying information signed under section 3107.083 of the Revised Code, a denial of release form filed pursuant to section 3107.46 of the Revised Code, or any record that is exempt from release or disclosure under section 149.433 of the Revised Code. If the record is a birth certificate and a biological parent’s name redaction request form has been accepted under section 3107.391 of the Revised Code, the name of that parent shall be redacted from the birth certificate before it is released under this paragraph. If any other section of the Revised Code establishes a time period for disclosure of a record that conflicts with the time period specified in this section, the time period in the other section prevails.
R.C. 1349.05 was enacted by the Bill; it had not existed prior. As
enacted by the 2020-2021 Biennial Budget Bill, the full text of R.C. 1349.05
provided:
(A) As used in this section:
(1) “Agency” and “license” have the same meanings as in section 119.01 of the Revised Code.
(2) “Crime” and “victim” have the same meanings as in section 2930.01 of the Revised Code.
(3) “Health care practitioner” means any of the following:
(a) An individual licensed under Chapter 4731. of the Revised Code to practice medicine and surgery;
(b) An individual licensed under Chapter 4723. of the Revised Code to practice as an advanced practice registered nurse;
(c) An individual licensed under Chapter 4730. of the Revised Code to practice as a physician assistant;
(d) An individual licensed under Chapter 4732. of the Revised Code to practice as a psychologist;
(e) An individual licensed under Chapter 4734. of the Revised Code to practice as a chiropractor.
(B) No health care practitioner, with the intent to obtain professional employment for the health care practitioner, shall directly contact in person, by telephone, or by electronic means any party to a motor vehicle accident, any victim of a crime, or any witness to a motor vehicle accident or crime until thirty days after the date of the motor vehicle accident or crime. Any communication to obtain professional employment shall be sent via the United States postal service. (C) No person who has been paid or given, or was offered to be paid or given, money or anything of value to solicit employment on behalf of another shall directly contact in person, by telephone, or by electronic means any party to a motor vehicle accident, any victim of a crime, or any witness to a motor vehicle accident or crime until thirty days after the date of the motor vehicle accident or crime. Any communication to solicit employment on behalf of another shall be sent via the United States postal service.
(D) If the attorney general believes that a health care practitioner or a person described in division (C) of this section has violated division (B) or (C) of this section, the attorney general shall issue a notice and conduct a hearing in accordance with Chapter 119. of the Revised Code. If, after the hearing, the attorney general determines that a violation of division (B) or (C) of this section occurred, the attorney general shall impose a fine of five thousand dollars for each violation to each health care practitioner or person described in division (C) of this section who sought to financially benefit from the solicitation. If the attorney general determines that a health care practitioner or person described in division (C) of this section has subsequently violated division (B) or (C) of this section, the attorney general shall impose a fine of twenty- five thousand dollars for each violation.
(E) After determining that a health care practitioner or person described in division (C) of this section has violated division (B) or (C) of this section on three separate occasions, and if that health care practitioner or person described in division (C) of this section holds a license issued by an agency, the attorney general shall notify that agency in writing of the three violations. On receipt of that notice, the agency shall suspend the health care practitioner’s or the person’s license without a prior hearing and shall afford the health care practitioner or the person a hearing on request in accordance with section 119.06 of the Revised Code.
The complaint alleged that the contested sections would adversely
affect the plaintiffs and similarly suited plaintiffs because chiropractors, as health
care practitioners, rely on prompt and direct contact and communication with
prospective patients. The prospective patients are typically motor vehicle accident victims who are reached through the telephone numbers listed on police reports.
The plaintiffs particularly took issue with the limitation that their solicitation of
potential clients be limited to 30 days after the date of the accident or crime, and
that communication was limited to only the U.S. Postal Service. Further, the
complaint suggested that the provisions empowering the Ohio Attorney General to
oversee and control advertising and solicitation, and impose fines, improperly
undermines the State Medical Board and State Chiropractic Board from regulating
the practice of medicine.
In October 2019, the plaintiffs filed a motion for a preliminary
injunction. The trial court thereafter held a hearing on July 9, 2020, and enjoined
the enforcement of R.C. 1349.05.
Also in October 2019, the initial defendants filed a motion to dismiss
alleging that the plaintiffs had not named the proper parties. The plaintiffs opposed
the motion and filed a motion for leave to file a first amended complaint naming
new-party defendants Ohio Governor Mike DeWine, Ohio Attorney General Dave
Yost, and the Ohio Department of Public Safety. The trial court granted leave.
The parties engaged in significant briefing. In October 2020, the
parties filed a joint stipulation of facts, which notably included documentation
related to two prior bills with similar provisions to the contested sections, S.B. 148
(132nd General Assembly) and S.B. 331 (132nd General Assembly). Though these
two prior bills never passed, both underwent a more rigorous vetting process, taking significant proponent and opponent testimony, all of which were included in the
joint stipulation of facts.
Shortly thereafter, the defendants filed a second motion to dismiss, an
answer to the first amended complaint, and a motion for summary judgment.
Plaintiffs filed briefs in opposition and their own motion for summary judgment.
Before these motions were ruled upon, the contested sections were
amended and the state filed a third motion to dismiss pursuant to Civ.R. 12(B)(1),
citing mootness due to the amendments. The third motion to dismiss argued that
any complaints about the contested sections as argued in the first amended
complaint were moot because of the changes made by the amendments. In January
2021, the trial court took judicial notice that the statute had been amended and
allowed the parties to brief the issue. After considering the briefs, the trial court
allowed the plaintiffs to amend the complaint for a second time to address the
amendments, holding the motions to dismiss in abeyance until the second amended
complaint was filed.
B. The Amendments
Am.Sub.H.B. 151 went into effect on November 22, 2020, amending
R.C. 1349.05. The full text of R.C. 1349.05, as amended, provided:
(1) “Agency” and “license” have the same meanings as in section 119.01 of the Revised Code.
(2) “Crime” has the same meaning as in section 2930.01 of the Revised Code. (3) “Health care practitioner” means any of the following:
(a) An individual licensed under Chapter 4731. of the Revised Code to practice medicine and surgery;
(b) An individual licensed under Chapter 4723. of the Revised Code to practice as an advanced practice registered nurse;
(c) An individual licensed under Chapter 4730. of the Revised Code to practice as a physician assistant;
(d) An individual licensed under Chapter 4732. of the Revised Code to practice as a psychologist;
(e) An individual licensed under Chapter 4734. of the Revised Code to practice as a chiropractor.
(4) “Victim” has the same meaning as in section 2930.01 of the Revised Code, except that it excludes any party to a motor vehicle accident.
(B) No health care practitioner, with the intent to obtain professional employment for the health care practitioner, shall directly contact in person, by telephone, or by electronic means any victim of a crime, or any witness to a motor vehicle accident or crime, other than a witness that was a party to a motor vehicle accident, until thirty days after the date of the motor vehicle accident or crime.
(C) No person who has been paid or given, or was offered to be paid or given, money or anything of value to solicit employment on behalf of another shall directly contact in person, by telephone, or by electronic means any victim of a crime, or any witness to a motor vehicle accident or crime, other than a witness that was a party to a motor vehicle accident, until thirty days after the date of the motor vehicle accident or crime.
(D)(1) Except as provided in division (D)(3) of this section, all of the following apply to a health care practitioner who, for the purpose of obtaining professional employment, contacts any party to a motor vehicle accident:
(a) The health care practitioner shall not contact the party in person at any time for the purpose of obtaining professional employment. (b) Beginning twenty-four hours after the time of the accident, the health care practitioner may initiate contact with the party for the purpose of obtaining professional employment as follows:
(i) Through telephone, but not more than once in any forty-eight hour period;
(ii) Once through electronic mail;
(iii) Once through a text message;
(iv) Once in writing delivered through the United States postal service.
(2) Except as provided in division (D)(3) of this section, all of the following apply to a person who has been paid or given, or was offered to be paid or given, money or anything of value to contact, for the purpose of obtaining professional employment on behalf of another, any party to a motor vehicle accident:
(a) The person shall not contact the party in person at any time for the purpose of obtaining professional employment on behalf of another.
(b) Beginning twenty-four hours after the time of the accident, the person may initiate contact with the party for the purpose of obtaining professional employment on behalf of another as follows:
(i) Through telephone, but not more than once in any forty-eight hour period;
(iv) Once in writing delivered through the United States postal service.
(3) Divisions (D)(1) and (2) of this section do not apply to any person who solicits professional services to any party to a motor vehicle accident if the party being solicited was a previous purchaser of services from the person soliciting employment, or from the person on whose behalf employment is being solicited, and if both of the following apply: (a) The solicitation is made under the same business or professional name that was previously used to sell services to the party to the motor vehicle accident.
(b) The person who will be providing the services has, for a period of not less than three years, operated a business or professional occupation under the same business or professional name as the name used in the solicitation.
(E) If an agency that has issued a license to a person believes that the person has violated this section, the agency shall issue a notice and conduct a hearing in accordance with Chapter 119. of the Revised Code. After determining that a person has violated this section on three separate occasions, the agency shall suspend the person’s license.
These changes removed several of the limitations that the plaintiffs
disputed in the complaint, including (1) limiting contact with prospective clients
until 30 days after the motor vehicle accident or crime, (2) mandating that the
United States Postal Service shall be the only method of communication, and (3)
removing the Attorney General’s ability to impose fines upon those found in
violation of the statute.
R.C. 149.43(A)(1)(mm) was amended and went into effect on
March 24, 2021, by Am.Sub.S.B. 284. This amendment retained the full text that
was previously amended by the Bill but added the emphasized portion of the
sentence.
Telephone numbers for a victim, as defined in section 2930.01 of the Revised Code, a witness to a crime, or a party to a motor vehicle accident subject to the requirements of section 5502.11 of the Revised Code that are listed on any law enforcement record or report, other than when requested by an insurer or insurance agent investigating an insurance claim resulting from a motor vehicle accident.
(Emphasis added.) C. The Second Amended Complaint
The plaintiffs filed a second amended complaint in March 2021. The
second amended complaint reasserted all the initial counts from the first amended
complaint and now added that the contested sections, and the sections as amended,
were unconstitutional. Several weeks later, the plaintiffs filed a motion to modify
the preliminary injunction order.
On April 20, 2021, the plaintiffs filed a motion for class certification.
On April 23, 2021, the defendants filed a fourth motion to dismiss
premised on mootness, arguing that the plaintiffs’ new complaint did not adequately
address the new portions of the statute and instead kept in the arguments pertaining
to sections that had since been repealed, and argued that the complaint was
insufficient to provide the trial court with subject-matter jurisdiction over the issues.
On April 29, 2021, defendants filed a motion to stay discovery and the
briefing schedule relating to plaintiffs’ class certification motion, arguing that the
fourth motion to dismiss remained pending and could be determinative of this
matter before reaching the class-certification issues. The court granted this motion
and suspended discovery and the issuance of a briefing schedule relating to
plaintiffs’ motion for class certification.
R.C. 149.43(A)(1)(mm) was amended again on September 30, 2021,
by Am.Sub.H.B. 110. This amendment provided: Except as otherwise provided in division (A)(1)(oo)[1] of this section, telephone numbers for a victim, as defined in section 2930.01 of the Revised Code or a witness to a crime that are listed on any law enforcement record or report.
On December 10, 2021, the trial court denied the defendants’ fourth
motion to dismiss, reasoning that “a live justiciable controversy continues to exist
between the parties.”
On August 5, 2022, defendants filed a supplemental motion for
summary judgment. The plaintiffs responded, and in the opposition to summary
judgment, requested that the court grant their pending summary judgment motion,
filed prior to the second amended complaint, in essence renewing their motion for
summary judgment even after the second amended complaint had been filed. In
their responsive motion, the plaintiffs maintained that the amendments were
immaterial and did not act to moot the complaint. The plaintiffs maintained that
because the original enactment of the contested sections violated the one-subject
rule pursuant to Article II, Section 15(D) of the Ohio Constitution, those enactments
were nullities in and of themselves and therefore, any amendments to them were
invalid because it is impossible to “amend” something that does not properly exist.
1 Though this section is not disputed in the instant matter, (A)(1)(oo), as amended
on September 30, 2021, provided that the following is not a public record:
Telephone numbers for a party to a motor vehicle accident subject to the requirements of section 5502.11 of the Revised Code that are listed on any law enforcement record or report, except that the telephone numbers described in this division are not excluded from the definition of “public record” under this division on and after the thirtieth day after the occurrence of the motor vehicle accident. In June 2023, the court granted the plaintiffs’ motion for summary
judgment and denied the defendants’ motion for summary judgment. The court
found that R.C. 149.43(A)(1)(mm) and 1349.05 were unenforceable under the Ohio
Constitution and granted a permanent injunction. The trial court also granted the
motion for class certification.
The defendants appealed, assigning four errors for our review:
I. The trial court erred by denying appellants’ second motion to dismiss for mootness.[2]
II. The trial court erred by granting the appellees’ motion for class certification.
III. The trial court erred by granting the appellees’ motion for summary judgment and denying the appellants’ motion for summary judgment.
IV. The trial court erred by granting appellees’ motion for preliminary injunction, in part.
II. Law and Analysis
For ease of discussion, we discuss defendants’ assignments of error
out of order.
2 This assignment of error is premised on the motion filed on April 23, 2021,
captioned by appellants as “second motion to dismiss for mootness” but, temporally, was the fourth motion to dismiss filed in this matter. We therefore refer to it as the fourth motion to dismiss for ease of discussion throughout. A. Motion to Dismiss
In the first assignment of error, the defendants challenge the trial
court’s denial of their fourth motion to dismiss.
The standard of review for a motion to dismiss pursuant to Civ.R.
12(B)(1) is “whether any cause of action cognizable by the forum has been raised in
the complaint.” State ex rel. Bush v. Spurlock, 42 Ohio St.3d 77, 80, 537 N.E.2d 641
(1989). A trial court’s decision on a Civ.R. 12(B)(1) motion to dismiss for lack of
subject-matter jurisdiction is reviewed de novo. Rheinhold v. Reichek, 8th Dist.
Cuyahoga No. 99973, 2014-Ohio-31, ¶ 7, citing Bank of Am. v. Macho, 8th Dist.
Cuyahoga No. 96124, 2011-Ohio-5495, ¶ 7.
Article IV, Section 4(B) of the Ohio Constitution provides that “the
courts of common pleas and divisions thereof shall have such original jurisdiction
over all justiciable matters.” The power and duty of the judiciary to determine a
legislative enactment’s constitutionality is firmly established in Ohio law. UAW,
Local Union 1112 v. Brunner, 182 Ohio App.3d 1, 2009-Ohio-1750, 911 N.E.2d 327,
¶ 12 (10th Dist.), citing State ex rel. Ohio Academy of Trial Lawyers v. Sheward, 86
Ohio St.3d 451, 462, 715 N.E.2d 1062 (1999).
Thus, the question before us is whether the second amended
complaint alleged a “justiciable matter.” The Ohio Supreme Court instructs that
justiciable questions require a concrete danger or dilemma to the plaintiff, not a
possibility that hypothetical future events may cause danger or dilemma to the plaintiff. Mid-American Fire & Cas. Co. v. Heasley, 113 Ohio St.3d 133, 2007-Ohio-
1248, 863 N.E.2d 142, ¶ 9.
Recently, the Ohio Supreme Court instructed that “[a]lthough a case
may present a live dispute at the time it is filed, subsequent events may transform it
into one involving only a hypothetical dispute.” (Emphasis added.) Highland
Tavern, L.L.C. v. DeWine, 173 Ohio St.3d 59, 2023-Ohio-2577, 227 N.E.3d 1148,
¶ 28. The Highland Tavern Court proceeded to cite, as an example, “when a party
alleges that a law is unconstitutional and the law at issue is repealed or materially
amended while the case is underway.” Id., citing Hill v. Snyder, 878 F.3d 193, 203-
204 (6th Cir.2017). The court continued that “[i]n that situation the case is no longer
‘live’ and the case is ordinarily moot.” (Emphasis added.) Id., citing Hill at 203.
The Highland Tavern Court’s use of the words “may” and “ordinarily” indicate that
a situation could exist where a legislative enactment could still be challenged as
unconstitutional, even after it is repealed or materially amended.
Here, the plaintiffs’ second amended complaint disputed the
constitutionality of the pertinent sections on two grounds: (1) the enactment of the
sections was unconstitutional because the enactments violated the Ohio
Constitution’s one-subject rule, therefore rendering all later amendments void ab initio, and (2) the substance of the contested sections violates the Ohio
Constitution’s free speech and equal protection3 clauses.
We first address whether the General Assembly’s amendments
rendered plaintiffs’ claims of unconstitutional enactment moot or if the second
amended complaint presented a justiciable controversy. In Brunner, 182 Ohio
App.3d 1, 2009-Ohio-1750, 911 N.E.2d 327, at ¶ 33, the Tenth District recognized
that “the clear precedent set by the Supreme Court of Ohio addressing the effect of
amendments to those statutes that are invalid in their entirety from the outset due
to the circumstances of enactment” is found in Stevens v. Ackman, 91 Ohio St.3d
182, 743 N.E.2d 901 (2001). In Stevens, the Ohio Supreme Court observed that
“even if [the General Assembly] intends the ordinary text in an otherwise-amending
statute to be a recognition of existing prior law, any infirmity in enacting that prior
law is not remedied by the subsequent amending statute.” Brunner at ¶ 34, citing
Stevens at 194. In their unconstitutionality-in-the-enactment argument, the
plaintiffs dispute the constitutional validity of the contested sections in their entirety
and argue that because these sections were merely amended by subsequent
amendments rather than reenacted by subsequent enactments, they are void ab
initio and any amendments thereto are a nullity.
3 Plaintiffs formally abandoned their equal protection claims in their motion for
summary judgment dated October 9, 2020. However, the plaintiffs reasserted violations of equal protection in their second amended complaint. Nonetheless, we find that plaintiffs’ response to defendants’ amended motion for summary judgment adopted all of their arguments in the plaintiffs’ original summary judgment motion and thus, again abandoned the equal protection claims. Accordingly, we do not consider any arguments pertaining to equal protection. There is no dispute that the contested sections were originally enacted
by the Bill; in other words, prior to the Bill, these contested sections did not exist at
all. They have since been amended, but, pursuant to Stevens and Brunner, these
amendments do not necessarily cure an infirmity from the enactment. The
provisions, though later amended, were not repealed and pertain to the same topic
and are substantively similar to the original enactments; plaintiffs’ allegations that
the contested sections violate the one-subject rule survive the amendments because
they apply to the enactment of the statute in its entirety. See also Middletown v.
Ferguson, 25 Ohio St.3d 71, 80, 495 N.E.2d 380 (1986) (suggesting that if a
legislative enactment is “unconstitutional at the time of its passage, it was void from
its inception.”). Thus, plaintiffs’ ability to challenge the contested statutes as
violating the one-subject rule remains justiciable, despite the amendments.
We next address whether the General Assembly’s amendments
rendered plaintiffs’ challenges to the constitutionality of R.C. 1349.05 on free speech
grounds moot. Plaintiffs maintain that because the substance of the amendments
remained the same as the contested sections and still purportedly restricted the
speech of health practitioners, the amendments did not cure the alleged
unconstitutionality of the statute.
In Toledo v. State, 6th Dist. Lucas Nos. L-21-1031 and L-21-1032,
2022-Ohio-1192, ¶ 30, the Sixth District relied on this distinction, finding that “[i]f
the General Assembly were to repeal the contested provisions of [the contested bill
in Toledo], we would find * * * that the city’s claims are no longer justiciable.” In Toledo, the court relied on a Sixth Circuit Court of Appeals decision that instructs
“when a challenged provision is repealed or amended during the pendency of the
litigation[,] * * * courts must determine whether a statute has been ‘sufficiently
altered so as to present a substantially different controversy.’” Hill v. Snyder, 878
F.3d 193, 204 (6th Cir.2017), quoting Green Party v. Hargett, 700 F.3d 816, 823
(6th Cir.2012). Here, the second amended complaint specifically incorporated R.C.
1349.05 as amended and blanketly stated that “R.C. 1349.05, both as originally
enacted and subsequently amended, imposes an unconstitutional prohibition upon
lawful and accurate commercial speech in an arbitrary, indiscriminate, and
overbroad manner.” And that “R.C. 1349.05, both as originally enacted and
subsequently amended, prohibits the free exchange of all types of advice between a
health-care practitioner and potential patient, and is thus irreconcilable with the
State Constitution.”
In moving to dismiss plaintiffs’ second amended complaint pursuant
to Civ.R. 12(B)(1), the only issue before the trial court was whether the second
amended complaint raised a cause of action that is cognizable by the forum. Based
on the foregoing, we determine that the second amended complaint sufficiently
raised claims that were justiciable by the trial court. Accordingly, we affirm the trial
court’s judgment denying the defendants’ fourth motion to dismiss. B. Summary Judgment
In the third assignment of error, defendants argue that the trial court
erred by granting plaintiffs’ motion for summary judgment and denying defendants’
motion for summary judgment.
In the supplemental motion for summary judgment, the defendants
argued that all of plaintiffs’ claims were moot as a result of the amendments. In
response, the plaintiffs maintained that because the initial enactment of the
contested sections violated Ohio’s one-subject rule, all amendments were null and
void.
Civ.R. 56(C) provides that summary judgment “shall” be rendered “if
the pleadings * * * show that there is no genuine issue as to any material fact and
that the moving party is entitled to judgment as a matter of law.” “A summary
judgment shall not be rendered unless it appears from the evidence or stipulation,
and only from the evidence or stipulation, that reasonable minds can come to but
one conclusion and that conclusion is adverse to the party against whom the motion
for summary judgment is made * * *[.]” Civ.R. 56(C). A trial court’s ruling on a
motion for summary judgment is reviewed de novo. Grafton v. Ohio Edison Co., 77
Ohio St.3d 102, 105, 671 N.E.2d 24 (1996).
Statutes generally enjoy a strong presumption of constitutionality.
State v. Cook, 83 Ohio St.3d 404, 409, 700 N.E.2d 570 (1998). Relevant to this case,
however, Article II, Section 15(D) of the Ohio Constitution, known as the “one-
subject rule,” provides that “[n]o bill shall contain more than one subject, which shall be clearly expressed in its title.” The rule “prevent[s] logrolling, which occurs
when legislators combine disharmonious proposals in a single bill to ensure passage
of proposals that might not have won acceptances on their own.” State ex rel. Ohio
Civ. Serv. Emps. Assn. v. State, 146 Ohio St.3d 315, 2016-Ohio-478, 56 N.E.3d 913,
¶ 15, citing State ex rel. Dix v. Celeste, 11 Ohio St.3d 141, 142-143, 464 N.E.2d 153
(1984). The judiciary has limited enforcement of the one-subject rule, and as such,
we must liberally construe the term “subject” for purposes of the rule. Ohio Civ.
Serv. Emps. Assn. at ¶ 16. The one-subject rule does not prohibit a plurality of
topics, but it does prohibit a disunity of subjects. State ex rel. Hinkle v. Franklin
Cty. Bd. of Elections, 62 Ohio St.3d 145, 148, 580 N.E.2d 767 (1991). That a bill
embraces several topics is not fatal so long as a “common purpose or relationship”
exists between the topics. Hoover v. Franklin Cty. Bd. of Commrs., 19 Ohio St.3d 1,
6, 482 N.E.2d 575 (1985). Further, “the determination of a [statute’s]
constitutionality is dependent primarily, if not exclusively, on a case-by-case,
semantic and contextual analysis.” Dix at 145.
The Ohio Supreme Court has also recognized that analysis of the one-
subject rule with respect to appropriation bills may be difficult because
appropriations bills “‘encompass many items, all bound by the thread of
appropriations.’” Rumpke Sanitary Landfill, Inc. v. Ohio, 184 Ohio App.3d 135,
2009-Ohio-4888, 919 N.E.2d 826, ¶ 16 (1st Dist.2009), quoting Simmons-Harris v.
Goff, 86 Ohio St.3d 1, 711 N.E.2d 203 (1999). An enactment’s title ‘“indicates the purpose which induced the
enactment of such law[.]’” Comtech Sys. v. Limbach, 59 Ohio St.3d 96, 102, 570
N.E.2d 1089 (1991), quoting Lexa v. Zmunt, 123 Ohio St. 510, 513, 176 N.E. 82
(1931). The full title of the Bill provides that the amendments and enactments “make
operating appropriations for the biennium beginning July 1, 2019, and ending
June 30, 2021, to levy a tax on nicotine vapor products, and to provide authorization
and conditions for the operation of state programs.” As the Ohio Supreme Court
pointed out in Civ. Serv. Emps. Assn., which considered the 2012-2013 budget bill,
the primary subject of an appropriations or budget bill is “balancing state
expenditures against state revenues to ensure continued operation of state
programs.” Id. at ¶ 23. We therefore find that the budget bill in the instant matter
pertains to the same subject as the budget bill in Civ. Serv. Emps. Assn., which is
balancing state expenditures against state revenues to ensure continued operation
of state programs.
The defendants cited to Civ. Serv. Emps. Assn., 146 Ohio St.3d 315,
2016-Ohio-478, 56 N.E.3d 913, overruling a one-subject challenge relating to prison
privatization provisions in a budget bill, finding that allowing privatization of
prisons provided for significant cost savings, the funding of continued operations of
state programs, and the sale of five correctional facilities, generating revenue. Id. at
¶ 23-35. They argue that this case is identical because violations of the contested
sections generate revenue by fining violators of the section anywhere from $5,000
to $25,000. The defendants also note that since R.C. 1349.05 (D) and (E) provided for hearings, the fees and mileage for subpoenaed witnesses shall be paid from the
fund in the state treasury pursuant to R.C. 119.09 and the payment of fees under
R.C. 119.092(D), which provides for the expenditure of state funds.
We find, however, that this case is distinct from Civ. Serv. Emps. Assn.
based on the evidence before us. In their summary judgment motion and on appeal,
the plaintiffs argue that the contested sections “were slipped into the 2,600-page
Biennial Budget Bill by a conference committee at the last moment” and that the
General Assembly, in a prior session, had considered “less extreme[4] anti-
solicitation language” in S.B. 148, which died in the Ohio Senate after numerous
opponents, many of whom were chiropractors, testified against the bill. The
defendants maintain that despite the plaintiffs’ objections to the bill, the joint
stipulation of facts demonstrates that S.B. 148, which was never enacted, actually
had several proponents, including chiropractors.
While we appreciate this argument, there is no denying that even with
multiple proponents, S.B. 148 died in the senate and then, more extreme provisions
were slipped into the Bill, the subject of the instant litigation, without collecting any
testimony either for or against the provisions. This, then, creates the appearance
that inserting the contested provisions into the Bill, a budget bill, skirted the formal
testimonial process that prevented prior, similar provisions from passage.
4 S.B. 148, as introduced, contemplated that “[n]o person shall use the information
contained in an accident report to contact any other person for commercial solicitation purposes unless that other person specified in the accident report that the person wishes to be contacted.” S.B. 148 (132nd General Assembly). When there is a strong suggestion that provisions in an act were
combined for tactical reasons, such as here where prior attempts to garner support
for substantively similar enactments were unsuccessful, “this [is] the very evil the
one-subject rule was designed to prevent” and the unrelated provisions “must
necessarily be held to be invalid in order to effectuate the purposes of the rule.” Dix,
11 Ohio St.3d at 145, 464 N.E.2d 153.
This court has previously found that where the facts giving rise to the
adoption of the contested statute as well as the nexus between the contested statute
and the budget bill are suggestive that the provisions were combined for tactical
reasons, this is “a classic instance of impermissible logrolling.” Cleveland v. State,
2013-Ohio-1186, 989 N.E.2d 1072, ¶ 45 (8th Dist.). As in Cleveland, the state cannot
point to hearings or testimony in the record related to the specific contested
legislation, only to testimony taken from proposed bills that came before the Bill.
Id. at ¶ 44. We find that the same reasoning is applicable to the contested sections
that substantially and materially alter the business practices of numerous healthcare
providers, namely chiropractors, that included potential exposure to significant
personal and financial penalties. The substance and circumstances of enactment all
point to a violation of the one-subject rule.
We further note that despite the strong presumption of
constitutionality, various Ohio and federal courts charged with addressing Ohio’s
one-subject rule have not hesitated to strike down obvious “riders” on legislative
enactments, especially those attached to budget or appropriations bills. See, e.g., Cleveland at ¶ 46 (holding that amendments relating to a city’s ability to regulate
the sale of trans fats placed in an appropriations bill violated the one-subject rule);
Simmons-Harris, 86 Ohio St.3d at 17, 711 N.E.2d 203 (holding that the inclusion of
a school voucher program in an appropriations bill violated the one-subject rule);
Kljun v. Morrison, 2016-Ohio-2939, 55 N.E.3d 10, ¶ 29 (8th Dist.) (holding that a
budget bill that included distribution of funds by the Bureau of Workers’
Compensation violated the one-subject rule); Plain Local School Dist. Bd. of Edn. v.
DeWine, 486 F.Supp.3d 1173, 1202 (S.D.Ohio 2020) (holding that a rider violated
the one-subject rule where the circumstances surrounding the addition of the
provision to a budget bill demonstrated that by slipping the matter into a budget
bill, “the proponents of the statute were able to ensure there would be no public
debate — not to mention vote — on the standalone merits of the transfer statute.”);
Gallipolis Care, L.L.C. v. Ohio Dept. of Health (In re Holzer Consol. Health Sys.),
10th Dist. Franklin No. 03AP-1020, 2004-Ohio-5533, ¶ 37 (holding that a provision
in a budget bill violated the one-subject rule where “the record indicates that the
section was inserted into the bill late in the process and for what appear to be tactical
reasons”).
We reiterate that in Stevens, 91 Ohio St.3d 182, 743 N.E.2d 901, the
Supreme Court of Ohio “observed that the legislature, even if it intends the ordinary
text in an otherwise-amending statute to be a recognition of existing prior law, any
infirmity in enacting that prior law is not remedied by the subsequent amending
statute.” Brunner, 182 Ohio App.3d 1, 2009-Ohio-1750, 911 N.E.2d 327, at ¶ 34. Here, while the defendants argue otherwise, the General Assembly, in
all of the amendments to the contested sections, merely amended the statute and
left provisions from the original enactment, challenged as violating the one-subject
rule, untouched — exactly the situation that Stevens contemplates. As the Eleventh
District observed, “Although appellants contend that the inclusion of the language
restating the provisions improperly enacted by [the contested bill] renders moot the
challenge to the constitutionality of [the contested bill], this argument has been
rejected by other courts when the statute is merely amended and the statute is not a
reenactment of the original legislation.” Living Trust v. Concord Twp., 11th Dist.
Lake No. 2011-L-068, 2012-Ohio-981, ¶ 27, citing Brunner at ¶ 35; Stevens at 194-
195. Additionally, ‘“[a]n unconstitutional act is not a law; it confers no rights; it
imposes no duties; it affords no protection; it creates no office; it is, in legal
contemplation, as inoperative as though it had never been passed.’” Middletown v.
Ferguson, 25 Ohio St.3d 71, 80, 495 N.E.2d 380 (1986), quoting Norton v. Shelby
Cty., 118 U.S. 425, 442, 6 S.Ct. 1121, 30 L.Ed. 178 (1886).
Here, the General Assembly similarly did not “reenact” the contested
sections in their entirety when the amendments were made, which would be
required for any court to find that the statutes were properly repealed and reenacted.
Every single amendment that changed the contested sections states that it amends,
rather than enacts, the language of each of the contested sections. Based on this
analysis, and taking into consideration that each case’s specific facts are
determinative of the outcome herein, we find that the initial enactment of the contested sections by the Bill was an unconstitutional violation of the one-subject
rule and that all the subsequent amendments are void because they amend
provisions that were not constitutionally enacted. See also Middletown at id. (“[A]n
unconstitutional law must be treated as having no effect whatsoever from the date
of its enactment[.]”)
Because we determine that the enactment of the contested sections
was unconstitutional, we need not reach the substantive constitutional argument
relating to plaintiffs’ free speech concerns. The Ohio Supreme Court directs that
“[w]e have long held that ‘[c]onstitutional questions will not be decided until the
necessity for a decision arises on the record before the court.’” In re Black Fork
Wind Energy, L.L.C., 156 Ohio St.3d 181, 2018-Ohio-5206, 124 N.E.3d 787, ¶ 29,
quoting State ex rel. Herbert v. Ferguson, 142 Ohio St. 496, 503, 52 N.E.2d 980
(1944). Further, “‘if it is not necessary to decide more, it is necessary not to decide
more.’” Capital Care Network of Toledo v. Ohio Dept. of Health, 153 Ohio St.3d
362, 2018-Ohio-440, 106 N.E.3d 1209, ¶ 31, quoting PDK Laboratories Inc. v.
United States DEA, 360 U.S.App.D.C. 344, 357, 362 F.3d 786 (2004) (Roberts, J.,
concurring in part and concurring in judgment).
The defendants’ third assignment of error is not well-taken. We affirm
the judgment of the trial court and note that the proper action is to sever the
offending portions herein deemed defective from the legislation. Gallipolis Care,
L.L.C., 10th Dist. Franklin No. 03AP-1020, 2004-Ohio-5533, at ¶ 38, citing State v.
Hochhausler, 76 Ohio St.3d 455, 464, 668 N.E.2d 457 (1996). C. Class Certification
In the second assignment of error, defendants argue that the trial
court erred in granting class certification. Defendants raise several reasons that the
trial court erred in granting the motion for class certification, some procedural and
some substantive. Nonetheless, based on our disposition of the third assignment of
error, we find that the issue of class-certification is moot and vacate the trial court’s
judgment granting class certification.
Unique to this case, plaintiffs did not seek monetary damages related
to the unconstitutionality of the contested section, nor is there any proof in the
record that any plaintiff or potential plaintiff incurred any fines or suffered
monetary damages as a result of the contested portion (which has since been
removed by amendment). In fact, the only relief plaintiffs sought was a declaration
that the statute was unconstitutional and injunctive relief from its enforcement. As
this court has previously acknowledged, “‘[I]t is not necessary to certify a Civ.R.
23(B)(2)[5] injunctive class where an individual judgment as to the constitutionality
of a statute or ordinance will inure to the benefit of all potential class members
because the statute or ordinance will be found either constitutional or
unconstitutional.’” Gottlieb v. S. Euclid, 157 Ohio App.3d 250, 2004-Ohio-2705,
810 N.E.2d 970, ¶ 33 (8th Dist.), quoting State ex rel. Horvath v. State Teachers
5 Civ.R. 23(B)(2) provides that a class action may be maintained if Civ.R. 23(A) is
satisfied and “[t]he party opposing the class has acted or refused to act on grounds that apply generally to the class, so that final injunctive relief or corresponding declaratory relief is appropriate respecting the class as a whole.” Retirement Bd., 10th Dist. Franklin No. 94APE07-988, 1995 Ohio App. LEXIS 1292,
20 (Mar. 31, 1995).
The circumstances contemplated in Gottlieb and Horvath are present
in the instant matter. The plaintiffs were only seeking a declaration that the
contested sections were unconstitutional and injunctive relief barring the
enforcement of the statute. All potential class members reap the benefits of the
judgment that plaintiffs sought.
We therefore vacate the trial court’s judgment granting class
certification and sustain the defendants’ second assignment of error.
D. Preliminary Injunction
In the final assignment of error, the defendants argue that the trial
court erred in granting plaintiffs’ motion for preliminary injunction. However,
because of our resolution of the third assignment of error in favor of the plaintiffs,
we overrule the final assignment of error is moot.
“When a preliminary injunction has been preempted by the issuance
of a permanent injunction, the substance of the preliminary injunction becomes
moot.” Fatica Renovations, LLC v. Bridge, 2018-Ohio-4949, 125 N.E.3d 184, ¶ 39
(11th Dist.), citing Great Plains Exploration, LLC v. Willoughby, 11th Dist. Lake No.
2006-L-022, 2006-Ohio-7009, ¶ 13; Columbiana v. J & J Car Wash, Inc., 7th Dist.
Columbiana No. 04 CO 20, 2005-Ohio-1336, ¶ 21. III. Conclusion
We affirm the trial court’s judgment as to assignment of error Nos. 1
and 3, vacate the trial court’s judgment granting class certification, and overrule
assignment of error No. 4 as moot.
It is ordered that appellees recover from appellants costs herein taxed.
The court finds there were reasonable grounds for this appeal.
It is ordered that a special mandate be sent to said court to carry this judgment
into execution.
A certified copy of this entry shall constitute the mandate pursuant to Rule 27
of the Rules of Appellate Procedure.
FRANK DANIEL CELEBREZZE, III, JUDGE
MARY EILEEN KILBANE, P.J., and LISA B. FORBES, J., CONCUR