DAY, P.J.
In this case, Kyle Pruitt (defendant) appeals his conviction under R.C. 2925.11 for possession of Preludin, a narcotic. For the reasons adduced below the judgment is reversed and the cause remanded for further proceedings in accordance with this opinion.
I
A
In response to a report of a prior robbery, two Cleveland policemen went to 1675 Ansel Road, a CMHA housing
project. The policemen were directed to apartment No. 1033, the residence of Alfred Bryant. He allowed them to enter. The apartment was only one room and the police were able to see into the open bathroom. They saw the defendant sitting on the closed toilet seat, and a woman kneeling in front of him. On the floor were a paper bag, pill bottles, and syringes. A metal cap with a powdery residue and matches were on the sink. The residue was later analyzed and determined to be Preludin.
B
The defendant was represented at the preliminary hearing by the public defender. Later, for some unknown reason, new counsel was assigned. From the outset, there was a failure of communication and cooperation between counsel and the defendant. Twice before trial the defendant requested the public defender be reappointed. These requests were in writing and were among thirty-three nearly unintelligible documents and motions the defendant filed pro
se.
Counsel joined in the defendant’s request, because, as he told the court, communication had broken down to the point that it was impossible for him to obtain information to fulfill his duties. What conversation counsel did get from the defendant he found incomprehensible, indicating the defendant did not understand the nature of his defense. The motion for new counsel was denied, but recognizing the suggestion that the defendant might not be competent to stand trial, the court referred the defendant to the court psychiatric clinic.
Two weeks after a hearing at which the defendant was found competent, the defendant renewed his motion for new counsel; this time for the appointment of any counsel, not the public defender in particular. The court overruled the motion and presented the defendant with two alternatives: either accept his appointed counsel or represent himself. No explanation of the charges against the defendant, or risks upon conviction, or the relative merits and dangers of the choices was attempted. The defendant opted to try his own case.
His appointed counsel was assigned to sit at the .trial table as a representative of the court, but the defendant chose not to accept his offers of assistance. In a trial to the court, the defendant was found guilty and sentenced. Six errors are assigned.
II
Assignment of Error No. I
“The trial court erred in denying the defendant a speedy trial pursuant to R.C. 2945.71.”
R.C. 2945.71 provides in part:
“(C) A person against whom a charge of felony is pending:
<<* * *
‘ ‘(2) Shall be brought to trial within two hundred seventy days after his arrest.”
Under Section (E) of the statute, each day spent in jail is counted as three. There is no question that from the day of his arrest to the day of trial the defendant was jailed. Thus subject to any exception that may apply, the statute mandated a ninety-day period within which the defendant should have been tried. The record reveals the important dates and the tolling or non-tolling status of intervals between them:
August 18,1982 Defendant arrested
October 15,1982 Defendant filed affidavit of prejudice
November 3, 1982 Defendant withdraws affidavit of prejudice
November 19, 1982 Motion to discharge
November 29, 1982 Defendant referred for psychiatric examination
January 4, 1983 Second motion to discharge
January 19, 1983 Motion to discharge denied
January 20, 1983 Defendant found competent to stand trial
Trial continued on court’s motion
February 9, 1983 Trial on one hundred seventy-fifth day after arrest
R.C. 2945.72(B) and (E)
tolled the statute for the delays occasioned by the affidavit of prejudice (nineteen days), motions to discharge and psychiatric referral (sixty-two days), respectively. Thus, the one hundred seventy-five days were reduced by eighty-one to ninety-four days, or four days over the limit.
The state seeks to offset this by tolling the statute for the twenty-day
sua sponte
continuance from January 20 to February 9 under the provenance of R.C. 2945.72(H). That section provides the speedy trial period may be extended by:
“The period of any continuance granted on the accused’s own motion, and the period of any
reasonable continuance granted other than upon the accused’s own motion;”
(Emphasis added.)
The cases have repeatedly made it clear that the speedy trial statutes are to be strictly enforced.
State
v.
Pachay
(1980), 64 Ohio St. 2d 218, 221 [18 O.O.3d 427], and cases cited there. Otherwise, an overbroad construction of R.C. 2945.72(H) “would render meaningless, and thwart the direction of the speedy-trial statutes.”
State
v.
Lee
(1976), 48 Ohio St. 2d 208, 209 [2 O.O.3d 392]. To ensure that only
reasonable
court-initiated continuances toll the statute:
“The record of the trial court must in some manner affirmatively demonstrate that a
sua sponte
continuance by the court was reasonable in light of its necessity or purpose.
Mere entries by the trial court will ordinarily not suffice, except when the reasonableness of the continuance cannot be seriously questioned.
Although this burden is contrary to the presumption of regularity generally accorded to trial proceedings, it appears necessary to carry out the purpose of the speedy-trial statutes.”
Id.
(Emphasis added.)
The entry setting the trial date in this case stated only:
“Psychiatric hearing. Defendant found competent to stand trial. Continued for trial to February 9, 1983.”
If the record in this case did not reflect some extraordinary features, the quoted entry would be faulted by the “mere entry” teaching in Lee. However, the record does reflect some extraordinary features with respect to defense motions. There were more than thirty motions filed and all of them may or may not have been determined by the trial court. The record does not reflect the dispositions clearly or at all on many of the motions.
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DAY, P.J.
In this case, Kyle Pruitt (defendant) appeals his conviction under R.C. 2925.11 for possession of Preludin, a narcotic. For the reasons adduced below the judgment is reversed and the cause remanded for further proceedings in accordance with this opinion.
I
A
In response to a report of a prior robbery, two Cleveland policemen went to 1675 Ansel Road, a CMHA housing
project. The policemen were directed to apartment No. 1033, the residence of Alfred Bryant. He allowed them to enter. The apartment was only one room and the police were able to see into the open bathroom. They saw the defendant sitting on the closed toilet seat, and a woman kneeling in front of him. On the floor were a paper bag, pill bottles, and syringes. A metal cap with a powdery residue and matches were on the sink. The residue was later analyzed and determined to be Preludin.
B
The defendant was represented at the preliminary hearing by the public defender. Later, for some unknown reason, new counsel was assigned. From the outset, there was a failure of communication and cooperation between counsel and the defendant. Twice before trial the defendant requested the public defender be reappointed. These requests were in writing and were among thirty-three nearly unintelligible documents and motions the defendant filed pro
se.
Counsel joined in the defendant’s request, because, as he told the court, communication had broken down to the point that it was impossible for him to obtain information to fulfill his duties. What conversation counsel did get from the defendant he found incomprehensible, indicating the defendant did not understand the nature of his defense. The motion for new counsel was denied, but recognizing the suggestion that the defendant might not be competent to stand trial, the court referred the defendant to the court psychiatric clinic.
Two weeks after a hearing at which the defendant was found competent, the defendant renewed his motion for new counsel; this time for the appointment of any counsel, not the public defender in particular. The court overruled the motion and presented the defendant with two alternatives: either accept his appointed counsel or represent himself. No explanation of the charges against the defendant, or risks upon conviction, or the relative merits and dangers of the choices was attempted. The defendant opted to try his own case.
His appointed counsel was assigned to sit at the .trial table as a representative of the court, but the defendant chose not to accept his offers of assistance. In a trial to the court, the defendant was found guilty and sentenced. Six errors are assigned.
II
Assignment of Error No. I
“The trial court erred in denying the defendant a speedy trial pursuant to R.C. 2945.71.”
R.C. 2945.71 provides in part:
“(C) A person against whom a charge of felony is pending:
<<* * *
‘ ‘(2) Shall be brought to trial within two hundred seventy days after his arrest.”
Under Section (E) of the statute, each day spent in jail is counted as three. There is no question that from the day of his arrest to the day of trial the defendant was jailed. Thus subject to any exception that may apply, the statute mandated a ninety-day period within which the defendant should have been tried. The record reveals the important dates and the tolling or non-tolling status of intervals between them:
August 18,1982 Defendant arrested
October 15,1982 Defendant filed affidavit of prejudice
November 3, 1982 Defendant withdraws affidavit of prejudice
November 19, 1982 Motion to discharge
November 29, 1982 Defendant referred for psychiatric examination
January 4, 1983 Second motion to discharge
January 19, 1983 Motion to discharge denied
January 20, 1983 Defendant found competent to stand trial
Trial continued on court’s motion
February 9, 1983 Trial on one hundred seventy-fifth day after arrest
R.C. 2945.72(B) and (E)
tolled the statute for the delays occasioned by the affidavit of prejudice (nineteen days), motions to discharge and psychiatric referral (sixty-two days), respectively. Thus, the one hundred seventy-five days were reduced by eighty-one to ninety-four days, or four days over the limit.
The state seeks to offset this by tolling the statute for the twenty-day
sua sponte
continuance from January 20 to February 9 under the provenance of R.C. 2945.72(H). That section provides the speedy trial period may be extended by:
“The period of any continuance granted on the accused’s own motion, and the period of any
reasonable continuance granted other than upon the accused’s own motion;”
(Emphasis added.)
The cases have repeatedly made it clear that the speedy trial statutes are to be strictly enforced.
State
v.
Pachay
(1980), 64 Ohio St. 2d 218, 221 [18 O.O.3d 427], and cases cited there. Otherwise, an overbroad construction of R.C. 2945.72(H) “would render meaningless, and thwart the direction of the speedy-trial statutes.”
State
v.
Lee
(1976), 48 Ohio St. 2d 208, 209 [2 O.O.3d 392]. To ensure that only
reasonable
court-initiated continuances toll the statute:
“The record of the trial court must in some manner affirmatively demonstrate that a
sua sponte
continuance by the court was reasonable in light of its necessity or purpose.
Mere entries by the trial court will ordinarily not suffice, except when the reasonableness of the continuance cannot be seriously questioned.
Although this burden is contrary to the presumption of regularity generally accorded to trial proceedings, it appears necessary to carry out the purpose of the speedy-trial statutes.”
Id.
(Emphasis added.)
The entry setting the trial date in this case stated only:
“Psychiatric hearing. Defendant found competent to stand trial. Continued for trial to February 9, 1983.”
If the record in this case did not reflect some extraordinary features, the quoted entry would be faulted by the “mere entry” teaching in Lee. However, the record does reflect some extraordinary features with respect to defense motions. There were more than thirty motions filed and all of them may or may not have been determined by the trial court. The record does not reflect the dispositions clearly or at all on many of the motions. It is defendant’s duty through counsel to establish the clarity of record necessary to exemplify the claimed errors. This was not done because the dispositions or lack of them were insufficiently established. Therefore, it is assumed that the processing of the multiplicity of motions not reaching a resolution on the record reasonably consumed as many or more than four days. With the record in this condition the four days can logically be charged off under either the defendant’s action or the “reasonable continuance” provisions of R.C. 2945.72(H). Thus, the trial date was not out of rule and the entry setting it was not flawed. The record does not show the defendant pressed for rulings or did not get them within a reasonable time. Under these special circumstances it cannot be presumed that the presumption of the regularity of trial court actions has been overcome.
Assignment of Error No. I is without merit.
Ill
Assignment of Error No. II
“The trial court violated appellant’s Fourteenth Amendment due process rights when it entered a finding that he was competent to stand trial.”
The defendant makes two arguments under this assignment of error: first, that the court applied the standard for insanity rather than incompetency; and second, that the court failed to order the production of relevant evidence. The arguments are interrelated as posed. But the interrelation is not immediately apparent. For the first proposition clearly cannot be demonstrated. The court did not announce its standard and the references in the record to the defendant’s lack of mental disease or defect do not require the conclusion that the court necessarily included such defects as elements of incompetency. The real question is whether, applying the proper standard, the evidence supports the ultimate finding. With the first argument recast in these terms, the second argument inevitably raises the question of who bears the burden of persuasion in a competency hearing. However, wherever the burden of proving incompetency lies, the court’s failure to compel production of evidence tending to prove the defendant incompetent will be prejudicial to him.
The evidence at the competency hearing consisted almost entirely of the testimony of Dr. Willie Williams, a psychologist with the court psychiatric clinic. A summary of Williams’ testimony supporting the competency finding is: the defendant was drug dependent in remission, but suffered no mental disease or defect; and he understood the respective roles of the cast of characters at the trial, and the nature of the charges against him. This latter testimony was conclusory only. Williams never indicated, on either direct or cross- examination, what the defendant actually understood.
On the other hand, Williams testified that he had never seen anyone who filed as many
pro se
documents as did the defendant. He also said that there was “no question” that the defendant had difficulty assisting counsel and that he had a distrust of counsel. Williams in
dicated that before his examination of the defendant he reviewed a history prepared by a psychiatric social worker. After completing the examination and report, he spoke with the defendant’s Y.A. counselor, Anthony Dunn. Although that conversation was brief, Williams admitted it raised matters which, if explored more deeply, might cause his opinion of the defendant’s competency to change. In particular, Williams noted that he did not have the V.A. “assessment” of the defendant. His suggestion was, that had the V.A. records shown a history or pattern of distrust indicating paranoia, his opinion would be different. When the defense moved to order the production of the V.A. records, the motion was impliedly denied.
The trial court had before it the defendant’s numerous
pro se
motions and apparently found many of these quite incomprehensible. Williams, however, considered them nothing more than typical legal “boilerplate” and a logical response to the defendant’s belief in his own innocence. Although some were sensible, others clearly suggested the defendant understood himself to be charged with drug use, rather than possession. He requested urinalysis to show he had not taken any drugs, and went so far as to file an affidavit of prejudice against the presiding judge of the court of common pleas in the belief that the judge was responsible for denying the tests.
On this state of the record, the evidence both for and against competency was equivocal at best; neither was very convincing. It is impossible to say on which side the balance lay. Thus, only on the theory that the presumption of competence was not rebutted by a preponderance of the evidence can the finding of the trial court be sustained.
This condition raises a serious question of first impression in Ohio — the constitutionality of R.C. 2945.37 on its face and the constitutionality of its application in this case. These questions are raised by defendant only obliquely or by implication. Nonetheless, they are reached in this case as plain error. Crim. R. 52(B) (if plain error reach is necessary).
C
Competency hearings are governed by statute. The first two paragraphs of R.C. 2945.37 provide:
“(A) In a criminal action in a court of common pleas or municipal court, the court, prosecutor, or defense
may raise the issue of the defendant’s competence to stand trial.
If the issue is raised before trial, the court shall hold a hearing on the issue as provided in this section. If the issue is raised after trial has begun, the court shall hold a hearing on the issue only for good cause shown.
“A defendant is presumed competent to stand trial,
unless it is proved by a preponderance of the evidence in a hearing under this section that because of his present mental condition he is incapable of understanding the nature and objective of the proceedings against him or of presently assisting in his defense.
” (Emphasis added.)
At the outset, a serious problem of interpretation is evident: on whom does the burden of overcoming the “presumption” of competence by a preponderance of the evidence rest? Or, rather, who bears the burden of persuasion on the issue. The question is important, assuming the V.A. records would have made a difference, because it helps determine who was charged with bringing evidence of the defendant’s incompetency before the court. The result reached
(i.e.,
competence) can be supported by a reasonable assessment of the evidence here only if the burden was
placed on the defendant. There does not appear to be any Ohio decisional law on this placement.
At first blush the statute seems to indicate the defendant must prove himself incompetent (cf. fn. 3,
swpra).
But this solution leads to immediate difficulties. For it may often be the case, especially where only minor offenses are involved, that an arguably incompetent defendant would rather go to trial and risk only minimal punishment, than risk prolonged institutionalization as an incompetent (see R.C. 2945.38[C]). Also, as noted by the court in
United States
v.
DiGilio
(C.A. 3, 1976), 538 F. 2d 972, 988, “it is * * * contradictory to argue that a defendant who may be incompetent should be presumed to possess sufficient intelligence that he will be able to adduce evidence of his incompetency which might otherwise be within his grasp.” Cf.
Pate
v.
Robinson
(1966), 383 U.S. 375, 384, “it is contradictory to argue that a defendant may be incompetent, and yet knowingly or intelligently ‘waive’ his right to have the court determine his capacity to stand trial.”
On the other hand, to put the burden of proving the defendant’s incompetence on the state would almost always lead to a paradoxical situation in which the trial participant with the least interest in meeting the burden is charged with doing so. The issue may be clouded still further by the statutory provision that the question of the defendant’s incompetency may be raised by the defendant, the state or the court. Must the court prove the defendant’s incompetency by a preponderance of the evidence when neither the defendant nor the state want such a finding? No matter how apportioned, the requirement of proving the defendant’s incompetency gives rise to incongruous results.
Putting this problem aside for the moment, the more fundamental question arises — given the statutory burden of proof (preponderance) what must actually be proved? Here the statute is unambiguous and for that very reason inconsistent with the Due Process Clause. For it requires that
incompetency
must be proved. Many courts agree that this is impermissible.
The starting points are these:
“[CJonviction of an accused person while he is legally incompetent violates due process,
Bishop
v.
United States,
350 U.S. 961, 76 S. Ct. 440, 100 L.Ed. 835 (1956), and that state procedures must be adequate to protect this right.”
Pate
v.
Robinson, supra,
at 378.
Since notions of fundamental fairness are concerned, the rules of proof must be tailored to guard both against unconstitutional convictions attendant upon erroneous determinations of
competency,
and unconstitutional allocations of proof relevant to that issue. See
Santosky
v.
Kramer
(1982), 455 U.S. 745, 755, “in any given proceeding, the minimum standard of proof tolerated by the due process requirement reflects not only the weight of the private and public interests affected, but also a societal judgment about how the risk of error should be distributed between the litigants”; and
Addington
v.
Texas
(1979), 441 U.S. 418, 423. Thus, the fact-finder must be charged with finding
competency
not incompetency by a preponderance of the evidence. This is so because with the evidence in balance, the defendant may not go to trial. Once a bona-fide doubt of incompetency has been raised, due process requires that
“[e]vidence showing competency must be more persuasive than that showing incompetency. Of necessity, then, there is no room for a rule of law placing any burden of proof on the defendant.”
United, States
v.
DiGilio, supra.
Implicit is the notion that it is preferable that a competent defendant not reach trial than that an incompetent defendant be tried, unable to comprehend and participate in his own defense.
It follows that if due process requires that there is an issue of competency to be proved, the state must bear the burden. This will both insure vigorous presentation of the evidence and prevent the unfairness of calling upon the defendant, whose competency has been genuinely questioned, to disprove the doubt.
DiGilio, supra,
at 988.
Accordingly, R.C. 2945.37(A) is unconstitutional, both on its face and as applied to the defendant. The court below misallocated the burden of proof and charged the defendant with proving his own incompeteney. That bootstrap action denied the defendant due process of law.
It is my view that Assignment of Error No. II is well-taken. The majority does not agree, but this does not change the decision to reverse and remand.
IV
Assignment of Error No. Ill
“The appellant was denied his right to the assistance of counsel as guaranteed by the Sixth and Fourteenth Amendments to the United States Constitution.”
The defendant makes two argu
ments under this assignment of error: first, the court failed to appoint different counsel for the defendant upon his timely request; and second, the defendant’s waiver of his right to counsel, accepted by the court, was not knowing, intelligent and voluntary.
Although the Supreme Court has recently said that the Sixth Amendment does not guarantee a “meaningful relationship” (whatever that may be) between the accused and his counsel,
Morris
v.
Slappy
(1983), 461 U.S. 1, the concern here is with the absence of
any
attorney-client relationship.
“In order to warrant a substitution of counsel during trial, the defendant must show good cause, such as a conflict of interest, a complete breakdown in communication or an irreconcilable conflict which leads to an apparently unjust verdict. * * * If a court refuses to inquire into a seemingly substantial complaint about counsel when he has no reason to suspect the bona fides of the defendant, or if on discovering justifiable dissatisfaction a court refuses to replace the attorney, the defendant may then properly claim denial of his Sixth Amendment right. * * * In the absence of a conflict which presents such a Sixth Amendment problem, the trial court has discretion to decide whether to grant a continuance during the course of trial for the substitution of counsel, and that decision will be reversed only if the court has abused its discretion. * * *” (Citations omitted.)
United States
v.
Calabro
(C.A. 2, 1972), 467 F. 2d 973, 986.
From the record it appears there was no communication between the counsel and the accused and a total lack of cooperation and trust of counsel on the defendant’s part. In the absence of any indication that the request for other counsel was for purposes of delay or not in good faith, and there is none here, failure to honor the defendant’s timely request amounted to a denial of effective assistance of counsel. Cf.
Brown
v.
Craven
(C.A. 9, 1970), 424 F. 2d 1166, 1170; and
United States
v.
Young
(C.A. 5, 1973), 482 F. 2d 993, 995.
Once the defendant’s competency to stand trial was called into question, it fell to the state to prove the defendant competent by a preponderance of the evidence. This the state failed to do. On the present state of the record the defendant may not have been competent. It is, therefore, impossible to determine whether he made a knowing, intelligent, and voluntary waiver of his right to counsel,
Westbrook
v.
Arizona
(1966), 384 U.S. 150, 150-151; cf.
Pate
v.
Robinson, supra,
at 384; and
Drope
v.
Missouri, supra,
at 182-183.
Assignment of Error No. Ill is well-taken.
V
Assignment of Error No. IV
“The trial court erred in violation of due process as guaranteed by the Fourteenth Amendment to the United States Constitution when he allowed the defendant to represent himself without making a proper inquiry to determine that he was competent to do so and in allowing him to proceed when his actions indicated that he was not competent to conduct his own defense.”
For the reasons given in Section IV(B) it is also impossible to determine whether defendant was competent to represent himself. In any event the trial judge did not take the precautions necessary before allowing self-representation even by competent defendants. See
Faretta
v.
California
(1975), 422 U.S. 806, 835.
Assignment of Error No. IV is well-taken.
VI
Assignment of Error No. V
“The trial court erred in violation of the Due Process Clause of the Fourteenth Amendment of the United States Constitution in denying appellant’s motion for judgment of acquittal when there was no proof that the appellant knowingly possessed a controlled substance.”
The defendant challenges the sufficiency of the evidence on the element of possession. He maintains correctly that mere proof of presence in the vicinity of illicit drugs is not enough to prove that element.
Cincinnati
v.
McCartney
(1971), 30 Ohio App. 2d 45, 48 [59 O.O.2d 34]; cf.
State
v.
Haynes
(1971), 25 Ohio St. 2d 264, 269-271 [54 O.O.2d 379]. But the evidence adduced at trial goes well beyond this. The drug was found within a foot of the defendant and by reasonable inference in a form ready for injection — syringes were found on the floor between the defendant and the woman. In addition, Bryant, the lessee of the apartment, testified the drug was not his. This evidence supports the conclusion the drug was in the defendant’s constructive possession. It was within his dominion and control.
State
v.
Bradley
(1971), 26 Ohio App. 2d 229, 232 [55 O.O.2d 387].
Of course, the evidence is circumstantial. But it is wholly consistent with the state’s theory of guilt and “irreconcilable with any reasonable theory of innocence.” See
State
v.
Kulig
(1974), 37 Ohio St. 2d 157, 160 [66 O.O.2d 351]. That the defendant might have been in the bathroom for the purpose of engaging in oral sex with the woman only provides an additional explanation for the defendant’s presence there. It does not conflict with the legitimate inferences which may be drawn from the condition and location of the drug and the other evidence found. If believed, there was sufficient evidence adduced to support conviction beyond a reasonable doubt.
Assignment of Error No. V is without merit.
VII
Assignment of Error No. VI
“The trial court erred in failing to advise the appellant that he had a right to request conditional probation and in failing to hold a hearing on his eligibility therefore, pursuant to R.C. 2951.04(A) & (B).”
R.C. 2951.04(A) provides:
“If the court has
reason to believe
that an offender convicted of a felony or misdemeanor is a drug dependent person or is in danger of becoming a drug dependent person, the court may, and when the offender has been convicted,
the court shall advise the offender that he has the right to request conditional probation
for purposes of treatment and rehabilitation.” (Emphasis added.)
It has been held that it is the mandatory duty of the trial court to advise the defendant of his right to request conditional probation under R.C. 2951.04 (A).
State
v.
Lampkin
(1982), 3 Ohio App. 3d 341, 343.
The record is replete with references which ought to have given rise to the reasonable belief that the defendant was or might become drug dependent (letter of Mr. Dunn to Judge Coleman; report of Dr. Williams). That some of this evidence was adduced during the defendant’s competency hearing is immaterial. The statute places no limit on the way a reasonable belief may be engendered.
The state’s suggestion that error, if any, was harmless is off the mark. The defendant was “potentially eligible for conditional probation.”
State
v.
Gibson
(1980), 69 Ohio App. 2d 91, 98 [23 O.O.3d 130], And there is no indication that the defendant’s prior convictions for drug abuse and’breaking and entering would have directed the trial court’s exercise of discretion adversely to the defendant and barred him from condi
tional probation. See R.C. 2951.04(B)(3). It is improper to speculate how the trial court might have exercised its discretion under R.C. 2951.02(B) and (D).
Assignment of Error No. VI is well-taken.
VIII
The judgment of the trial court is reversed and the cause is remanded for further proceedings in accordance with this opinion.
Judgment reversed and cause remanded.
MARKUS and NahRA, JJ., concur.