Fehrman v. Ohio Department of Commerce

751 N.E.2d 1089, 141 Ohio App. 3d 503, 2001 Ohio App. LEXIS 704
CourtOhio Court of Appeals
DecidedFebruary 27, 2001
DocketNo. 00AP-217.
StatusPublished
Cited by7 cases

This text of 751 N.E.2d 1089 (Fehrman v. Ohio Department of Commerce) is published on Counsel Stack Legal Research, covering Ohio Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Fehrman v. Ohio Department of Commerce, 751 N.E.2d 1089, 141 Ohio App. 3d 503, 2001 Ohio App. LEXIS 704 (Ohio Ct. App. 2001).

Opinion

Kennedy, Judge.

Appellant, Robert Malone Fehrman, appeals from a decision and entry of the Franklin County Court of Common Pleas affirming an order of appellee, Ohio Department of Commerce, Division of Securities, denying appellant’s application for a license to sell securities in the state of Ohio.

Appellant applied for a license to sell securities in Ohio on May 8, 1998, by submitting an electronic form U-4 to the Central Records Depository (“CRD”) of the National Association of Securities Dealers (“NASD”), and the application was received by appellee on May 11, 1998. On June 11, 1998, appellee issued a division order notifying appellant of its intent to deny his application, alleging that appellant was not of “good business repute,” as provided in the version of R.C. 1707.19(A) in effect at the time and Ohio Adm.Code 1301:6-3-19(D)(7) and (9). Additionally, the order informed appellant of his right to request an adjudicative hearing pursuant to R.C. Chapter 119. Appellant requested a hearing, which was held on July 31, 1998. On October 20, 1998, the hearing examiner issued findings of fact and conclusions of law finding that appellant was not of good business repute and recommending that appellee deny his application for licensure in Ohio. Although appellant filed objections to the hearing examiner’s report and recommendation, appellee issued a division order on January 4, 1999, denying appellant’s application and informing appellant of his right to appeal pursuant to R.C. 119.12.

Appellant filed a timely notice of appeal in the Franklin County Court of Common Pleas on January 15, 1999. The trial court issued a decision and entry on January 26, 2000, affirming the order of appellee denying appellant’s application for a license. The trial court found that, although unsubstantiated and unproven allegations of professional misconduct are insufficient as a matter of law to serve as a basis for denying a license application, an independent basis existed for appellee to deny appellant’s application. The trial court rejected appellant’s argument that Ohio Adm.Code 1301:6-3-19(D)(7) violates Section 1, Article II of *506 the Ohio Constitution by allowing appellee to consider consent orders and other matters that do not contain findings of wrongdoing, finding that there were findings of wrongdoing by appellant. Additionally, while the trial court acknowledged that appellant was denied procedural due process in that appellee considered additional subparts of Ohio Adm.Code 1301:6-3-19(D) without informing appellant, the trial court found that appellant was not prejudiced. The trial court concluded that appellee had met its burden of proving that appellant was not of good business repute under Ohio Adm.Code 1301:6-3-19(D)(7), in that it was undisputed that appellant had been subject to several disciplinary actions by NASD and the Missouri Commissioner of Securities. Appellant filed a timely notice of appeal.

On appeal, appellant raises two assignments of error:

“First Assignment of Error: The trial court erred in affirming the decision of the Ohio Division of Securities in that the order of the division of securities was not supported by reliable, probative and substantial evidence[.]
“Second Assignment of Error: The trial court erred in affirming the decision of the Ohio Division of Securities in that the order of the division of securities was not in accordance with law[.]”

The trial court, as well as the hearing examiner, included an extensive listing of the facts as well as a complete listing of the disciplinary actions on which appellee based its order in the prior decisions. Because it is undisputed that these disciplinary actions against appellant exist, we will not repeat them here.

We address appellant’s two assignments of error together. Appellant argues that the decision of the trial court was not supported by reliable, probative, and substantial evidence and was not in accordance with law. We disagree.

Under R.C. 119.12, a trial court reviewing an order of an administrative agency must consider the entire record and determine whether “the order is supported by reliable, probative, and substantial evidence and is in accordance with law.” The trial court must give due deference to the agency’s resolution of evidentiary conflicts. Univ. of Cincinnati v. Conrad (1980), 63 Ohio St.2d 108, 111, 17 O.O.3d 65, 67, 407 N.E.2d 1265, 1267. If the trial court finds that the order is supported by reliable, probative, and substantial evidence and is in accordance with law, then the trial court must affirm the order. Pons v. Ohio State Med. Bd. (1993), 66 Ohio St.3d 619, 621, 614 N.E.2d 748, 750-751. In Pons, the Supreme Court of Ohio delineated the role of an appellate court in an R.C. 119.12 appeal:

“* * * The appellate court’s review is even more limited than that of the trial court. While it is incumbent on the trial court to examine the evidence, this is not a function of the appellate court. The appellate court is to determine only if *507 the trial court has abused its discretion, ie., being not merely an error of judgment, but perversity of will, passion, prejudice, partiality, or moral delinquency. Absent an abuse of discretion on the part of the trial court, a court of appeals may not substitute its judgment for [that of an administrative agency] or a trial court. Instead, the appellate court must affirm the trial court’s judgment. * * *. ” Id.

However, on questions of law, an appellate court’s review is plenary. Steinfels v. Ohio Dept. of Commerce, Div. of Securities (1998), 129 Ohio App.3d 800, 803, 719 N.E.2d 76, 78-79.

The Division of Securities of the Ohio Department of Commerce may refuse a license to sell securities in Ohio if it determines that the individual is not of good business repute. R.C. 1707.19(A). Although the definition of “good business repute” is not provided in the Ohio Revised Code, R.C. 1707.20(A) authorizes the Division of Securities to adopt rules defining terms, as long as the definitions are not inconsistent with R.C. 1707.01 to 1707.45. The Division of Securities identified factors to consider in determining whether an applicant is of good business repute in Ohio Adm.Code 1301:6-3-19(D). For example, under Ohio Adm.Code 1301:6-3-19(D)(7), the division shall consider whether an applicant “[h]as been the subject of any suspension, expulsion, revocation, fine, censure or any other disciplinary action by any state or federal agency, by any association of investment advisers, investment adviser representatives, securities salesperson or dealers, by any professional association granted disciplinary or regulatory authority by state or federal law, or by any recognized securities exchange^]” The Division of Securities bears the burden of proving that an applicant is not of good business repute. In re Scott (1990), 69 Ohio App.3d 585, 590, 591 N.E.2d 312, 314-315.

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Bluebook (online)
751 N.E.2d 1089, 141 Ohio App. 3d 503, 2001 Ohio App. LEXIS 704, Counsel Stack Legal Research, https://law.counselstack.com/opinion/fehrman-v-ohio-department-of-commerce-ohioctapp-2001.