Court Opinion

ID: 2697332
Source: CourtListenerOpinion
Date Created: 2014-08-04 17:08:52.320545+00
Date Added: 2024-06-11T09:14:31.319591
License: Public Domain

[Cite as State v. Clay, 2013-Ohio-4649.]

                         IN THE COURT OF APPEALS OF OHIO
                            FOURTH APPELLATE DISTRICT
                                 LAWRENCE COUNTY

STATE OF OHIO,                  :
                                :
     Plaintiff-Appellee,        :     Case No. 11CA23
                                :
     v.                         :
                                :
DANA K. CLAY,                   : DECISION AND JUDGMENT ENTRY
                                :
     Defendant-Appellant.       : RELEASED: 10/09/13
                                :
________________________________________________________________
                          APPEARANCES:

David A. Sams, West Jefferson, Ohio, for Appellant.

Brigham M. Anderson1, Lawrence County Prosecuting Attorney, and Robert C.
Anderson, Lawrence County Assistant Prosecuting Attorney, Ironton, Ohio, for
Appellee.
________________________________________________________________
Harsha, J.

        {¶1}     Dana K. Clay appeals his convictions for three counts of felonious

assault, each with a firearm specification, and the resulting sentence of a fifteen-

year prison term. Clay raises six assignments of error.

        {¶2}     First, Clay argues that the prosecutor engaged in misconduct by

eliciting speculative testimony from a witness regarding Clay’s motive for the

crimes. However, the state presented substantial other evidence to prove Clay’s

guilt. Absent the improper questions or remarks, the jury still would have found

Clay guilty, and thus, any alleged misconduct did not deprive Clay of a fair trial.

        {¶3}     Clay next asserts that the trial court deprived him of his right to

1
 Pursuant to Civ.R. 25(D)(1) we have substituted current Prosecuting Attorney Brigham M.
Anderson as lead counsel for the Appellee.
Lawrence App. No. 11CA23                                                              2

present a defense when it prohibited him from introducing testimony that one of

the victims routinely carried a gun and had “engaged in unauthorized killings”

while in the Army. Because Clay did not raise self-defense, the victim’s

character had no relevancy to his trial. Thus, the trial court did not abuse its

discretion by excluding irrelevant evidence. Likewise, Clay had no constitutional

right to present a defense based upon irrelevant evidence.

       {¶4}   Clay further argues that the trial court plainly erred by failing to give

the jury instructions on accident and self-defense. Because the court’s general

charge instructed the jury regarding the proper mental state of “knowingly,” the

jury necessarily concluded that Clay did not act accidentally. Thus, the court did

not commit plain error by omitting an accident instruction because the omission

did not affect the outcome of the trial. Nor did the court commit plain error by

failing to give the jury a self-defense instruction. Clay defended the felonious

assault charges by claiming that his dog made the weapon accidentally

discharge. Clay did not testify that he discharged the weapon in self-defense.

Thus, the facts did not warrant a self-defense instruction.

       {¶5}   Next, Clay contends that his trial counsel’s ineffectiveness in failing

to object to “the state’s assertion of a baseless motive” and in failing to request

accident and self-defense instructions deprived him of a fair trial. Even if counsel

performed deficiently in any of these respects, the alleged deficiencies did not

affect the outcome of the trial. Consequently, any alleged deficiencies did not

prejudice Clay’s defense, and Clay cannot establish that trial counsel rendered

ineffective assistance of counsel.
Lawrence App. No. 11CA23                                                             3

       {¶6}   Clay further argues that the trial court erred when sentencing him.

He contends that the trial court failed to give reasons for imposing more than the

minimum term. However, the record reflects that the court imposed only the

minimum term of two years for each felonious assault charge. Thus, even if the

court was required to state reasons for imposing more than the minimum, this

argument is meritless. Clay also asserts that the trial court’s decision to impose

consecutive sentences is contrary to law. Because the trial court cited

appropriate reasons for imposing consecutive sentences, and correctly applied

the law, its judgment is not contrary to law. Clay additionally argues that the trial

court should have merged the three felonious assault convictions because each

conviction arose from a single act. Because the single act, i.e., shooting a

weapon, injured three individuals, R.C. 2941.25 authorized the trial court to

punish Clay for each felonious assault conviction. However, we sua sponte

recognize that part of the trial court’s judgment is void. Because the indictment

did not comply with R.C. 2941.145, that statute did not authorize the court to

impose three-year prison terms upon Clay. Without a statutory basis to authorize

the three-year prison terms, the court’s judgment imposing those terms is void.

We therefore vacate that part of the trial court’s judgment and remand for

resentencing.

       {¶7}   Finally, Clay argues that the cumulative errors deprived him of a fair

trial. Because the record fails to show that multiple errors occurred, the

cumulative error doctrine is not applicable.
Lawrence App. No. 11CA23                                                            4

       {¶8}   Accordingly, we overrule Clay’s six assignments of error. We sua

sponte recognize the court’s error in sentencing Clay to three-year prison terms

for the firearm specifications, vacate that part of the court’s judgment, and

remand for resentencing. Therefore, we affirm in part, vacate in part, and

remand in part the trial court’s judgment.

                                     I. FACTS

       {¶9}   Curtis and Sarah Mahan, (husband and wife), along with Michelle

Jeter’s two-year old child, suffered injuries after Dana Clay discharged his

muzzle loader into the front windshield of the Mahans’ vehicle. A grand jury

subsequently indicted Clay and charged him with three counts of felonious

assault, each with a firearm specification.

       {¶10} At trial Clay’s defense was that he accidentally injured the three

victims when his dog tripped him and caused the weapon to discharge. The jury

rejected Clay’s defense and found him guilty of all three felonious offenses and

the accompanying firearm specifications.

       {¶11} The trial court sentenced appellant to a total of fifteen years in

prison: three years for each firearm specification, to be served consecutively to

one another; and two years for each felonious assault conviction, to be served

consecutively to one another and consecutively to the firearm specification

sentences.

                         II. ASSIGNMENTS OF ERROR

       {¶12} Appellant raises six assignments of error:

       First Assignment of Error:
Lawrence App. No. 11CA23                                                            5

      “Appellant was denied a fair trial by prosecutorial misconduct
      contrary to the state and federal constitutions.”

      Second Assignment of Error:

      “Appellant was prejudicially denied the right to present a defense
      contrary to the state and federal constitutions.”

      Third Assignment of Error:

      “The jury instructions were prejudicially insufficient contrary to Ohio
      law and the state and federal constitutions.”

      Fourth Assignment of Error:

      “Appellant was prejudicially denied the effective assistance of
      counsel contrary to the state and federal constitutions.”

      Fifth Assignment of Error:

      “Appellant was sentenced contrary to Ohio law and the state and
      federal constitutions.”

      Sixth Assignment of Error:

      “Appellant was denied due process by cumulative error contrary to
      Ohio law and the state and federal constitutions.”

                                        III.

                       PROSECUTORIAL MISCONDUCT

      {¶13} In his first assignment of error, Clay argues that the prosecutor

engaged in misconduct by eliciting speculative testimony from Curtis Mahan

concerning Clay’s motive. Clay claims that Mahan’s speculation undermined

Clay’s defense of accidental discharge of the gun. Clay specifically asserts that

the prosecutor engaged in misconduct through the following line of questioning:

     “Q. And did you have, and the Court will instruct the jury that motive
  doesn’t have to be proven in a case but do you, cause we don’t know
  sometimes why people do things, but do you have some belief about why he
  would shoot into the car?
Lawrence App. No. 11CA23                                                              6

         A. Jealously [sic].”

         {¶14} Clay’s counsel objected. The court overruled his objection, and the

prosecutor continued:

         “Q. So is it your testimony that, that the fact that the bullet was fired
  into the gun [sic] may have been that you and Sarah were taking the baby and
  Michelle to Columbus?
      A. That’s the only thing I can figure because we’ve never had a problem.”

         {¶15} “The test for prosecutorial misconduct is whether the remarks were

improper and, if so, whether they prejudicially affected the accused’s substantial

rights.” State v. Drummond, 111 Ohio St.3d 14, 2006-Ohio-5084, 854 N.E.2d

1038, ¶226, citing State v. Smith (1984), 14 Ohio St.3d 13, 14–15, 14 OBR 317,

470 N.E.2d 883. “The touchstone of [the] analysis ‘is the fairness of the trial, not

the culpability of the prosecutor.’” Id., quoting Smith v. Phillips, 455 U.S. 209,

219, 102 S.Ct. 940, 71 L.Ed.2d 78 (1982). Thus, “[t]he conduct of a prosecuting

attorney during trial cannot be grounds for error unless the conduct deprives the

defendant of a fair trial.” State v. Apanovitch, 33 Ohio St.3d 19, 24, 514 N.E.2d

394 (1987); accord State v. Givens, 4th Dist. No. 07CA19, 2008-Ohio-1202, ¶28.

“In analyzing whether an appellant was deprived of a fair trial, an appellate court

must determine whether, absent the improper questions or remarks, the jury still

would have found the appellant guilty.” State v. Curry, 8th Dist. Cuyahoga No.

89075, 2007-Ohio-5721, ¶15, citing State v. Maurer, 15 Ohio St.3d 239, 266, 473

N.E.2d 768 (1984); State v. Dixon, 8th Dist. Cuyahoga No. 68338 (Mar. 13,

1997).

         {¶16} Even if we assume it amounted to improper conduct, the

prosecutor’s questioning did not prejudicially affect Clay’s substantial rights.
Lawrence App. No. 11CA23                                                            7

Absent Mahan’s testimony regarding Clay’s alleged motive, the state presented

more than enough evidence to establish the elements of the crime beyond a

reasonable doubt and the jury still would have found Clay guilty.

       {¶17} To establish felonious assault, the state was required to show,

beyond a reasonable doubt, that Clay knowingly caused serious physical harm to

another. R.C. 2903.11(A)(1). Clay never challenged whether he caused serious

physical harm to another. Instead, he challenged whether he did so knowingly.

He claimed that serious physical harm to the victims occurred by accident.

       {¶18} “A person acts knowingly, regardless of his purpose, when he is

aware that his conduct will probably cause a certain result or will probably be of a

certain nature.” R.C. 2901.22(B).

       {¶19} When a defendant raises an accident defense, ‘”the defendant

denies any intent * * *. He denies that he committed an unlawful act and says

that the result is accidental.”’ State v. Poole, 33 Ohio St.2d 18, 20, 294 N.E.2d

888 (1973), quoting 4 Ohio Jury Instructions 177, Section 411.01 (1970). “[T]he

defense of accident is ‘tantamount to a denial that an unlawful act was

committed; it is not a justification for the defendant’s admitted conduct. * * *

Accident is an argument that supports a conclusion that the state has failed to

prove the intent element of the crime beyond a reasonable doubt.’” State v.

Atterberry, 119 Ohio App.3d 443, 447, 695 N.E.2d 789 (1997).

              “An accident is defined as an unfortunate event occurring casually
       or by chance. State v. Brady, 48 Ohio App.3d 41, 42, 548 N.E.2d 278
       (1988). Accident is defined as a ‘mere physical happening or event, out of
       the usual order of things and not reasonably (anticipated) (foreseen) as a
       natural or probable result of a lawful act.’ 4 Ohio Jury Instructions 75,
Lawrence App. No. 11CA23                                                                8

       Section 411.01(2). Moreover, ‘[a]n accidental result is one that occurs
       unintentionally and without any design or purpose to bring it about.’ Id.”

State v. Chambers, 4th Dist. Adams No. 10CA902, 2011-Ohio-4352, ¶ 45.

       {¶20} Here, the record contains ample evidence to show that Clay acted

knowingly, even without Mahan’s comments regarding Clay’s potential motive,

and that the shooting was not an accident. Mahan stated that he observed Clay

“cock[ the weapon], raise it and fire through the front windshield of the vehicle.”

Mahan testified that he believed Clay acted intentionally and explained: “From

my vantage point he turned, raised [the weapon], boom.” A person, such as

Clay, who points a weapon towards a vehicle containing three people and

discharges the weapon certainly is aware that such conduct will probably cause

harm to another. Mahan’s testimony thus allowed the jury to conclude that Clay

created the victims' harm knowingly.

       {¶21} Furthermore, the state presented other circumstantial evidence that

tended to prove Clay’s guilt. For instance, the state presented evidence that

Clay fled after the shooting and avoided apprehension by escaping to West

Virginia. Law enforcement officials did not apprehend Clay until six or seven

weeks after the shooting.

       {¶22} One of the investigating deputies testified that the muzzle loader

used in the shooting did not have a safety feature but that if the weapon “was

loaded and the hammer cocked,” the weapon would fire if the trigger was pulled.

The deputy explained: “The trigger has certain amount of poundage or what we

call poundage to pull it to activate it to make it fire. So if you pull that trigger with

that amount of pressure, it will make it fire.” The state asked another deputy
Lawrence App. No. 11CA23                                                           9

whether it would “be pretty hard to accidentally cock [the weapon].” The deputy

responded, “Yes sir,” and the following line of questioning ensued:

            “Q. I mean couldn’t could you accidentally cock the weapon?
            A. I don’t see how you could, no I’m * * *
            Q. Then you have to pull the trigger for it to still fire?
            A. Yes sir.
            Q. But you can pull the trigger all day long and if you haven’t
      cocked it, it won’t fire?
            A. No sir.”

      {¶23} The prosecutor also questioned the defense witnesses’ credibility.

The prosecutor asked Clay’s fiancée, Nancy Ross, about the statement she

made to 9-1-1 after the shooting:

             “Q. I want to give you a chance to clear it up. This is the narrative,
      says ‘She then put Nancy on the phone who stated that she wasn’t sure
      what set him off. But that all parties were outside the residence beginning
      to leave when he fired one shot out of the trailer into the windshield of the
      car where Sarah Mahan, Curtis, Michelle, and infant Jordan were.’”

      {¶24} The prosecutor asked Ross if her statement was accurate, to which

she replied:

             “A. Well Curtis said that he shot, he shot the muzzle loader and I
      know that Dana had a muzzle loader when the woman asked me, I told
      her that I, he shot a muzzle loader, he shot into a windshield I guess
      cause that’s what Curtis said. But no I never seen a gun in his hand.”

      {¶25} The prosecutor then inquired why the narrative to the 9-1-1

operator did not indicate that Ross had relayed to the operator what Curtis told

her had happened:

             “Q. This little statement here we’re reading from the Dispatcher on
      the narrative, doesn’t say that you said well Curtis told me, that happened,
      put Nancy on the phone who stated that she wasn’t sure what set him off.
      I’m assum[ing] you’re referring to Dana?
             A. Yea.
             Q. Did you say that part?
Lawrence App. No. 11CA23                                                           10

              A. I guess I did.”

       {¶26} Clay testified in his defense and stated that on the night of the

shooting, he and Ross were fighting about rumors Ross had heard that Clay was

“doing drugs.” After he and Ross finished their discussion, Ross walked over to

a truck with the intention of going to Wal-Mart. Clay stated that he thought

Mahan waved a gun so Clay went into the house to retrieve his “muzzle loader

cause I feared for my life and the life of my family.” Clay stated that he intended

to ask Mahan why he was pointing a gun at him. Clay explained that before the

shooting, he already had filled his muzzle loader and that he simply had to put a

percussion cap in it. Clay testified that when he stepped out the door, “the dog

tripped [him].”

       {¶27} On cross-examination, the prosecutor asked Clay whether he had

to cock the weapon before shooting it, and Clay responded “[y]es.” The

prosecutor continued:

               “Q. And it takes some degree of pressure to cock it?
               A. Yes.
               Q. And then if it’s cocked back, then if the triggers [sic] pulled,
       which it takes some degree of pressure to pull the trigger?
               A. Yea.
               Q. Then it will fire?
               A. Yea.
               Q. So . . .
               A. But if you got your finger on the trigger . . .
               Q. I understand. That’s what you’re saying. That a dog hit ya.
       [sic] And did you fall to the ground?
               A. No. He just staggered me around like that.
               Q. And so that triggered a chain reaction of your thumb pulling the
       trigger or the cocking down and your index finger . . .
               A. And my thumb flied [sic] off of it. Yea.
               Q. Pulling the trigger?
               A. Yea accidental shooting.
Lawrence App. No. 11CA23                                                          11

              Q. As [o]pposed to some shoot guns [sic], you the automatics, it’d
       just be the trigger, but here two things has to happen to for [sic] an
       accidental shooting to happen doesn’t it?
              A. Yes. But it’s still accidental.”

       {¶28} The jury rationally could have determined that Clay’s claim that the

dog accidentally caused the weapon to discharge was not believable and that

Clay was lying. The jury could have rationally decided to reject Clay’s testimony

in its entirety—including his claim of accident—and conclude that the only logical

explanation was that Clay knowingly fired the weapon. Clay’s assertion that it

was the prosecutor’s “improper insinuation” that “undermined” his claim of

accident is not persuasive. It is much more likely that Clay’s incredible

explanation, i.e., that his dog made him do it, “undermined” his claim of accident

and caused the jury to reject it.

       {¶29} Consequently, we conclude absent the questioning about motive,

the jury still would have found Clay guilty. Because there was no prejudice to

any of Clay’s substantial rights, we overrule his first assignment of error.

                                         IV.

                        RIGHT TO PRESENT A DEFENSE

       {¶30} In his second assignment of error, Clay asserts that he was denied

the right to present a defense. Specifically, he contends that the trial court erred

by prohibiting him from presenting evidence regarding Mahan’s alleged violent

reputation in order to support a self-defense claim. Clay argues that the court

should have permitted him to testify regarding Clay’s “knowledge that Mahan

routinely carried a gun” and his “knowledge that Mahan saw action in the Balkans

with the Army and was reputed to have engaged in unauthorized killings.”
Lawrence App. No. 11CA23                                                            12

       {¶31} At trial, Clay testified, without objection, that he has seen Mahan

carry a firearm on “[s]everal different occasions.” He further testified that he

knew Mahan “was in the Army. Talked about killing kids and stuff in Kosovo.”

The state objected, and the trial court sustained the objection. Clay asserts that

if the court had overruled the state’s objection, then the jury would have

concluded that Clay’s fear of Mahan was justified and that he acted in self-

defense.

       {¶32} “[T]he Constitution guarantees criminal defendants ‘a meaningful

opportunity to present a complete defense.’” Crane v. Kentucky, 476 U.S. 683,

690, 106 S.Ct. 2142, 90 L.Ed.2d 636 (1986), quoting California v. Trombetta, 467

U.S. 479, 485, 104 S.Ct. 2528, 81 L.Ed.2d 413 (1984). Although the right to

present a defense is a fundamental element of due process of law, the right is

not without limits. Washington v. Texas, 388 U.S. 14, 19-21, 87 S.Ct. 1920, 18

L.Ed.2d 1019 (1967); State v. Swann, 119 Ohio St.3d 552, 2008-Ohio-4837, 895

N.E.2d 821, ¶13. The right has only been applied to “testimony [that] would have

been relevant and material, and * * * vital to the defense.” United States v.

Valenzuela-Bernal, 458 U.S. 858, 867, 102 S.Ct. 3440, 73 L.Ed.2d 1193 (1982),

quoting Washington, 388 U.S. at 16. Moreover, the testimony or evidence must

otherwise be admissible under the rules of evidence. Taylor v. Illinois, 484 U.S.

400, 411, 108 S.Ct. 646, 98 L.Ed. 2. 798 (1987); accord State v. Schuler, 4th Dist.

Pickaway No. 02CA7, 2002-Ohio-6607, ¶16. Because the testimony Clay sought

to introduce was not relevant, material, and vital to his defense, the trial court did
Lawrence App. No. 11CA23                                                             13

not deprive Clay of his right to present a defense. Moreover, it was not

admissible under the Rules of Evidence.

       {¶33} “A trial court has broad discretion in the admission or exclusion of

evidence, and so long as such discretion is exercised in line with the rules of

procedure and evidence, its judgment will not be reversed absent a clear

showing of an abuse of discretion with attendant material prejudice to defendant.”

State v. Green, 184 Ohio App.3d 406, 2009-Ohio-5199, 921 N.E.2d 276, ¶14 (4th

Dist.). The term abuse of discretion means more than an error of judgment; it

implies that the court’s attitude is unreasonable, arbitrary, or unconscionable.

E.g., State v. Lester, 4th Dist. Vinton No. 12CA689, ¶6, citing State v. Adams, 62

Ohio St.2d 151, 157, 404 N.E.2d 144 (1980). “A review under the abuse-of-

discretion standard is a deferential review. It is not sufficient for an appellate

court to determine that a trial court abused its discretion simply because the

appellate court might not have reached the same conclusion or is, itself, less

persuaded by the trial court’s reasoning process than by the countervailing

arguments.” State v. Morris, 132 Ohio St.3d 337, 2012-Ohio-2407, 972 N.E.2d

528, ¶14.

       {¶34} Generally, all relevant evidence is admissible. See Evid.R. 402.

Evid.R. 401 defines relevant evidence as “evidence having any tendency to

make the existence of any fact that is of consequence to the determination of the

action more probable or less probable than it would be without the evidence.”

The trial court must deem relevant evidence inadmissible, however, if the

introduction of the evidence violates the United States or the Ohio Constitutions,
Lawrence App. No. 11CA23                                                            14

an Ohio statute, the Ohio Rules of Evidence, or “other rules prescribed by the

Supreme Court of Ohio.” Evid.R. 402. Additionally, relevant “evidence is not

admissible if its probative value is substantially outweighed by the danger of

unfair prejudice, of confusion of the issues, or of misleading the jury.” Evid.R.

403(A).

       {¶35} Evid.R. 404, which governs the admission of character evidence,

provides:

               (A) Character evidence generally. Evidence of a person’s
       character or a trait of character is not admissible for the purpose of
       proving action in conformity therewith on a particular occasion, subject to
       the following exceptions:
               ***
               (2) Character of victim. Evidence of a pertinent trait of character of
       the victim of the crime offered by an accused, or by the prosecution to
       rebut the same, or evidence of a character trait of peacefulness of the
       victim offered by the prosecution in a homicide case to rebut evidence that
       the victim was the first aggressor is admissible; however, in prosecutions
       for rape, gross sexual imposition, and prostitution, the exceptions provided
       by statute enacted by the General Assembly are applicable.

       {¶36} Evid.R. 405 governs methods of proving character and provides:

              (A) Reputation or opinion
              In all cases in which evidence of character or a trait of character of
       a person is admissible, proof may be made by testimony as to reputation
       or by testimony in the form of an opinion. On cross-examination, inquiry is
       allowable into relevant specific instances of conduct.
              (B) Specific instances of conduct
              In cases in which character or a trait of character of a person is an
       essential element of a charge, claim, or defense, proof may also be made
       of specific instances of his conduct.

       {¶37} Thus, Evid.R. 404(A) generally limits evidence of a person’s

character, or certain character traits, subject to certain exceptions. Accordingly,
Lawrence App. No. 11CA23                                                                 15

Evid.R. 404(A)(2) permits evidence of “a pertinent trait of character of the victim *

* * ”.

         {¶38} Clay argues that Mahan’s character for violence was pertinent to

his self-defense theory. “[A] defendant claiming self-defense concedes he had

the purpose to commit the act, but asserts that he was justified in his actions.”

State v. Barnd, 85 Ohio App.3d 254, 260, 619 N.E.2d 518 (3rd Dist. 1993). “Self-

defense is an affirmative defense that, if proved, relieves a defendant of criminal

liability for the force that the defendant used.” State v. Kozlosky, 195 Ohio

App.3d 343, 2011-Ohio-4814, 959 N.E.2d 1097, ¶22 (8th Dist.).

         {¶39} But even if Mahan had a character trait of engaging in

“unauthorized killings,” this trait fails to be “pertinent” or “relevant” here. Clay’s

counsel did not argue that Clay acted in self-defense, and counsel did not

request a self-defense instruction. Instead, Clay’s theory at trial was that the

shooting was accidental, not done in self-defense. Clay cannot argue in one

breath that he did not intend to shoot anyone and then claim in another that he

did. Barnd, supra. Because Clay’s theory at trial did not involve self-defense,

Mahan’s alleged reputation for violence was not a pertinent character trait. State

v. Jacobs, 4th Dist. Highland No. 11CA26, 2013-Ohio-1502, ¶42, (concluding that

trial court did not abuse its discretion by excluding testimony regarding victim’s

alleged “engaging in uprovoked acts of violence” when self-defense not in issue).

         {¶40} The evidence was not relevant, material, and vital to Clay’s

defense. Consequently, the trial court did not abuse its discretion by sustaining

the state’s objection to Clay’s testimony about Mahan’s military experience and
Lawrence App. No. 11CA23                                                              16

did not deprive Clay of his constitutional right to present a defense. Accordingly,

we overrule Clay’s second assignment of error.

                                           V.

                               JURY INSTRUCTIONS

       {¶41} In his third assignment of error, Clay argues that the trial court

created plain error by failing to give the jury an accident or self-defense

instruction. Under Crim.R. 30(A) “a party may not assign as error the giving or

failure to give any instruction unless the party objects before the jury retires to

consider its verdict, stating specifically the matter objected to and the grounds of

the objection.” When a party fails to properly object, then the party waives all but

plain error. State v. Conway, 109 Ohio St.3d 412, 2006-Ohio-2815, 848 N.E.2d

810, ¶51; State v. Underwood (1983), 3 Ohio St.3d 12, 444 N.E.2d 1332,

syllabus.

       {¶42} For a reviewing court to find plain error (1) there must be an error,

i.e., “a deviation from a legal rule,” (2) the error must be plain, i.e., “an ‘obvious’

defect in the trial proceedings,” and (3) the error must have affected “substantial

rights,” i.e., it “must have affected the outcome of the trial.” State v. Barnes, 94

Ohio St.3d 21, 27, 759 N.E.2d 1240 (2002). Furthermore, the Supreme Court of

Ohio has stated that “[n]otice of plain error under Crim.R. 52(B) is to be taken

with the utmost caution, under exceptional circumstances and only to prevent a

manifest miscarriage of justice.” State v. Long, 53 Ohio St.2d 91, 372 N.E.2d

804 (1978), paragraph three of the syllabus; accord State v. Gardner, 118 Ohio

St.3d 420, 2008-Ohio-2787, 889 N.E.2d 995, ¶78. A reviewing court should
Lawrence App. No. 11CA23                                                               17

consider noticing plain error only if the error “‘“seriously affect[s] the fairness,

integrity or public reputation of judicial proceedings.”’” Barnes, 94 Ohio St.3d at

27, quoting United States v. Olano, 507 U.S. 725, 736, 113 S.Ct. 1770, 123

L.Ed.2d 508 (1993), quoting United States v. Atkinson, 297 U.S. 157, 160, 56

S.Ct. 391, 80 L.Ed. 555 (1936). Here, there is no plain error.

       {¶43} A trial court has broad discretion to decide how to fashion jury

instructions. However, the trial court must “fully and completely give the jury all

instructions which are relevant and necessary for the jury to weigh the evidence

and discharge its duty as the fact finder.” State v. Comen, 50 Ohio St.3d 206,

553 N.E.2d 640 (1990), paragraph two of the syllabus. Additionally, a trial court

may not omit a requested instruction, if it is “‘a correct, pertinent statement of the

law and [is] appropriate to the facts * * *.’” State v. Lessin, 67 Ohio St.3d 487,

493, 620 N.E.2d 72 (1993), quoting State v. Nelson, 36 Ohio St.2d 79, 303

N.E.2d 865 (1973), paragraph one of the syllabus.

       {¶44} In general, a trial court errs by failing to provide a jury instruction on

the accident defense when the facts of a case warrant such an instruction. State

v. Smiley, 8th Dist. Cuyahoga No. 03853, 2010–Ohio–4349, ¶16. The facts

ordinarily warrant an “accident instruction when there is evidence presented at

trial that the party acted lawfully and the result was unintended.” Id. at ¶13.

However,

       “‘if the trial court’s general charge was otherwise correct, it is doubtful that
       this error of omission would ever satisfy the tests for plain error or
       ineffective assistance of counsel.’ [State v. Stubblefield (Feb. 13, 1991),
       Hamilton App. No. C–890597], citing State v. Sims (1982), 3 Ohio App.3d
       331, 335, 445 N.E.2d 245. This is so ‘”[b]ecause the accident defense is
       not an excuse or justification for the admitted act,” and the effect of such
Lawrence App. No. 11CA23                                                             18

       an instruction “would simply * * * remind the jury that the defendant
       presented evidence to negate the requisite mental element,” such as
       purpose. In this regard, “[i]f the jury had credited [the defendant’s]
       argument, it would have been required to find [the defendant] not guilty * *
       * pursuant to the court’s general instructions. State v. Johnson, Franklin
       App. No. 06AP–878, 2007–Ohio–2792, ¶63 (internal citations omitted).”’”

Id.; accord State v. Hubbard, 10th Dist. Franklin No. 11AP-945, 2013-Ohio-2735,

¶61.

       {¶45} For example, in Smiley, the court held that in a felonious assault

prosecution trial counsel’s failure to request an accident instruction did not

prejudice the defendant when the trial court properly instructed the jury regarding

the requisite mental state of knowingly. The court reasoned that the knowingly

instruction clearly informed the jurors that “knowing conduct * * * goes beyond

that considered to be an accident” and that “an accident instruction would not

have added anything to the general instructions.” Id. at ¶19. The court stated

that if the jury had believed the defendant’s accident claim, then it would have

returned a not guilty verdict in accordance with the general instructions that the

trial court did provide. Id.; accord State v. Juntunen, 10th Dist. Franklin Nos.

09AP–1108 and 09AP–1109, 2010–Ohio–5625, ¶16 (concluding that jury’s

finding that defendant acted knowingly when he caused physical harm to the

victim negated any potential for finding that defendant acted unintentionally or

unknowingly in causing such harm so as to warrant an accident instruction);

State v. Johnson, 10th Dist. Franklin No. 06AP-878, 2007-Ohio-2792, ¶64,

(finding no plain error when the defendant was charged with murder, and the trial

court instructed the jury that the state bore the burden of proof beyond a

reasonable doubt on every element of the offense, including the “purposely”
Lawrence App. No. 11CA23                                                            19

mental element, and then defined “purposely”); State v. Martin, 10th Dist. Franklin

No. 07AP–362, 2007-Ohio-7152, ¶ 53 (stating that “accident defense instruction

would not have added anything to the general instruction in regards to appellant’s

reckless homicide charge” when court otherwise properly instructed jury

regarding burden of proof and elements of offense, including mental element of

reckless).

       {¶46} We applied these principles in State v. Chambers, supra, and

concluded that the trial court did not commit plain error by failing to give the jury

an accident instruction. We explained:

              “ ***, the trial court properly instructed the jury regarding the
       applicable mental state, knowingly. By definition, the term “knowingly”
       means that the defendant’s conduct was not an accident. By finding that
       appellant acted knowingly, the jury necessarily concluded that he was
       aware of his conduct and thus, that his conduct could not have simply
       been accidental. Thus, the court’s knowingly instruction adequately
       conveyed to the jury the requisite mental state, and had the jury believed
       appellant’s claimed accident theory at trial, it could not have found that he
       acted knowingly. We therefore see no danger that the jury wrongly
       convicted appellant due to the absence of an accident instruction.”

Id. at ¶48.

       {¶47} Likewise we see no danger here that the jury wrongly convicted

Clay due to the absence of an accident instruction. The trial court properly

instructed the jury regarding the “knowingly” element. By finding that Clay acted

knowingly, the jury necessarily concluded that Clay was aware of his conduct

and that his conduct in shooting the weapon was not accidental. Thus, the trial

court did not commit plain error by failing to give the jury an accident instruction.

       {¶48} Nor did the trial court commit plain error by failing to give the jury a

self-defense instruction. “Accident and self-defense are generally ‘inconsistent
Lawrence App. No. 11CA23                                                              20

by definition,’ as self-defense presumes intentional, willful use of force to repel

force or escape force, while accident is ‘exactly the contrary, wholly unintentional

and unwillful.’” State v. Hubbard, 10th Dist. Franklin No. 11AP-945, 2013-Ohio-

2735, ¶59, quoting Barnd, 85 Ohio App.3d at 260, quoting State v. Champion,

109 Ohio St. 281, 286–87, 142 N.E.2d 141 (1924). A defendant claiming self-

defense “concedes he had the purpose to commit the act, but asserts that he

was justified in his actions.” Barnd, 85 Ohio App.3d at 260. “Thus, when an

individual testifies that they did not intend to cause harm, such testimony

prevents the individual from claiming self-defense.” Hubbard at ¶54, citing State

v. Johnson, 10th Dist. Franklin No. 06AP-878, 2007-Ohio-2792, ¶42–43 (where

the defendant claimed that “the firearm discharged as a result of a struggle for

the firearm and not as a result of appellant’s intentional and willful act of

discharging the firearm” the defendant’s “own testimony * * * belie[d] the

application of self-defense to the shooting of [the victim]”), and State v.

Herrington, 9th Dist. Summit No. 25150, 2010-Ohio-6455, ¶13 (because the

defendant testified that “he did not have the intent to shoot or kill during the

incident,” such testimony “was inconsistent with a claim of self-defense”).

       {¶49} Clay’s defense was that he accidentally discharged the weapon

when his dog tripped him. We acknowledge that he also claimed he thought

Mahan waved a gun at him and stated he grabbed the weapon because he

feared for his life. However, Clay did not testify at trial that he intended to shoot

Mahan because he feared for his life. Rather, he continued to maintain that he

did not intend to discharge the weapon and that the dog caused the weapon to
Lawrence App. No. 11CA23                                                             21

discharge. He apparently testified that he feared for his life in order to justify his

initial conduct of going into the house to retrieve the gun—not to justify his

ultimate act of shooting it. Consequently, the trial court did not commit plain error

by failing to give the jury a self-defense instruction. We overrule Clay’s third

assignment of error.

                                          VI.

                   INEFFECTIVE ASSISTANCE OF COUNSEL

       {¶50} In his fourth assignment of error, Clay asserts that trial counsel was

ineffective for failing to object “to the state’s assertion of a baseless motive” and

for failing to request the trial court to provide the jury with accident and self-

defense instructions.

       {¶51} To prevail on an ineffective assistance of counsel claim, the

appellant must show (1) counsel’s performance was deficient and (2) the

deficient performance prejudiced his defense so as to deprive him of a fair trial.

State v. Drummond, 111 Ohio St.3d 14, 2006–Ohio–5084, 854 N.E.2d 1038,

¶205, citing Strickland v. Washington, 466 U . S. 668, 687, 104 S.Ct. 2052, 80

L.Ed.2d 674 (1984). To establish deficient performance, an appellant must show

that counsel’s performance fell below an objective level of reasonable

representation. State v. Conway, 109 Ohio St.3d 412, 2006–Ohio–2815, 848

N.E.2d 810, ¶95. To establish prejudice, an appellant must show a reasonable

probability exists that, but for the alleged errors, the result of the proceeding

would have been different. Id. “A defendant’s failure to establish one prong of
Lawrence App. No. 11CA23                                                               22

the Strickland test negates a court’s need to consider the other.” State v.

Madrigal, 87 Ohio St.3d 378, 389, 721 N.E.2d 52 (2000).

       {¶52} We already determined that evidence regarding Clay’s alleged

motive did not affect the outcome of the trial. Thus, any alleged deficient

performance in failing to object to it did not affect the outcome of the trial.

Consequently, we reject Clay’s argument that trial counsel was ineffective in that

regard.

       {¶53} Additionally, we already determined that an accident instruction

would not have affected the outcome of the trial in our plain error discussion.

Thus, Clay cannot show that counsel’s alleged deficiency in failing to request an

accident instruction affected the outcome of the trial.

       {¶54} Moreover, trial counsel’s decision on whether to request a self-

defense instruction ordinarily is a matter of trial strategy that an appellate court

will not second-guess. State v. Carlisle, 2nd Dist. Montgomery No. 22970, 2009-

Ohio-2004, ¶40 (determining that trial counsel made tactical decision to withdraw

self-defense instruction request and instead proceed with accident theory); State

v. Johnson, 10th Dist. Franklin No. 08AP-652, 2009-Ohio-3383, ¶62 (concluding

that “trial counsel’s decision to forgo self-defense and instead present an

accident defense to the jury was a sound, strategic decision” when defendant’s

testimony is inconsistent with self-defense); State v. Branche, 10th Dist. Franklin

No. 01AP-523 (Mar. 28, 2002). In Branche, for instance, the court determined

that trial counsel’s decision to forgo a self-defense instruction was a matter of

sound trial strategy. The court explained:
Lawrence App. No. 11CA23                                                              23

               “In the present case, defendant’s theory at trial was that the
       shooting was accidental. Ohio courts have held that the defenses of
       accident and self-defense are mutually exclusive. State v. Burns (Aug. 3,
       2000), Cuyahoga App. No. 69676, unreported. In State v. Barnd (1993),
       85 Ohio App.3d 254, 260, 619 N.E.2d 518, the court noted that the
       defenses of accident and self-defense are ‘inconsistent by definition,’ as
       accident involves ‘the denial of a culpable mental state and is tantamount
       to the defendant not committing an unlawful act,’ whereas a defendant
       claiming self-defense ‘concedes he had the purpose to commit the act, but
       asserts that he was justified in his actions.’ Here, while defendant testified
       that she reached for the gun to hit [the victim], defendant maintained
       throughout her testimony that the killing was an accident, based upon her
       claim that the gun inadvertently fired when [the victim] grabbed at her
       hand. Defendant specifically denied any intent to fire the weapon at [the
       victim] to protect herself. Thus, even if trial counsel had requested an
       instruction on self-defense, the trial court could have concluded, under the
       facts, that such an instruction was not warranted.”

       {¶55} Similarly, Clay continually maintained throughout the trial that he

did not intend to shoot any of the victims but that the dog made the weapon

accidentally discharge. Trial counsel apparently made a tactical decision to

proceed with an accident theory instead of self-defense. Thus, trial counsel’s

decision not to request a self-defense instruction did not amount to deficient

performance. State v. Shepherd, 8th Dist. Cuyahoga App. No. 97962, 2012-

Ohio-5415, ¶48 (concluding that trial counsel not ineffective for failing to request

self-defense instruction when self-defense inconsistent with defendant’s theory

that he did not shoot victim).

       {¶56} Furthermore, even if Clay’s trial counsel had requested a self-

defense instruction, the trial court would have been fully justified in refusing to

give the instruction due to Clay’s assertion that he had no intent to shoot anyone

and that the shooting was an accident. Thus, any alleged deficiency in failing to
Lawrence App. No. 11CA23                                                                        24

request the instruction did not affect the outcome of the trial. Accordingly, we

overrule Clay’s fourth assignment of error.

                                               VII.

                                          SENTENCE

        {¶57} In his fifth assignment of error, Clay argues that his sentence is

contrary to law. In particular, he asserts that the trial court erred by failing to set

forth the reasons for imposing more than the minimum sentence, by imposing

consecutive sentences, and by failing to merge his convictions.

                                                A.

                                 STANDARD OF REVIEW

        {¶58} This Court has continued to follow the Ohio Supreme Court’s

analysis set forth in State v. Kalish, 120 Ohio St.3d 23, 2008–Ohio–4912, 896

N.E.2d 124, when reviewing felony sentences, despite the enactment of H.B. 86,

effective September 30, 2011.2 State v. Black, 4th Dist. Ross No. 12CA3327,

2013-Ohio-2105, ¶52. In Kalish, a plurality of the court stated:

               “[A]ppellate courts must apply a two-step approach when reviewing
        felony sentences. First, they must examine the sentencing court’s
        compliance with all applicable rules and statutes in imposing the sentence
        to determine whether the sentence is clearly and convincingly contrary to
        law. If this first prong is satisfied, the trial court’s decision in imposing the
        term of imprisonment is reviewed under the abuse-of-discretion standard.”

Kalish at ¶26.

        {¶59} However, the Eighth District has rejected the Kalish analysis when

reviewing felony sentences imposed under H.B. 86. State v. Brown, 8th Dist.

2
 Neither party disputes that H.B. 86 applied to Clay’s sentencing. State v. Wilson, 10th Dist. No.
12AP-551, 2013-Ohio-1520, ¶17 (stating that “by operation of R.C. 1.58(B), H.B. 86 applies” to a
Lawrence App. No. 11CA23                                                                        25

Cuyahoga No. 99024, 2013-Ohio-3134, ¶67; State v. A.H., 8th Dist. No. 98622,

2013-Ohio-2525, ¶ 7; State v. Venes, 8th Dist. Cuyahoga No. 98682, 2013-Ohio-

1891, 10. As the Brown court explained:

                “This court no longer applies the abuse of discretion standard of
        State v. Kalish, 120 Ohio St.3d 23, 2008–Ohio–4912, 896 N.E.2d 124 * *
        *, when reviewing a felony sentence. State v. A.H., 8th Dist. No. 98622,
        2613–Ohio–2525, ¶7. Instead, we follow the standard of review set forth
        in R.C. 2953.08(G)(2), which provides in relevant part:
                       The court hearing an appeal under division (A), (B), or (C) of
                this section shall review the record, including the findings
                underlying the sentence or modification given by the sentencing
                court.
                       The appellate court may increase, reduce, or otherwise
                modify a sentence that is appealed under this section or may
                vacate the sentence and remand the matter to the sentencing court
                for resentencing. The appellate court's standard for review is not
                whether the sentencing court abused its discretion. The appellate
                court may take any action authorized by this division if it clearly and
                convincingly finds either of the following:
                       (a) That the record does not support the sentencing court's
                findings under division (B) or (D) of section 2929.13, division
                (B)(2)(e) or (C)(4) of section 2929.14, or division (I) of section
                2929.20 of the Revised Code, whichever, if any, is relevant;
                       (b) That the sentence is otherwise contrary to law.
                A sentence is not clearly and convincingly contrary to law where the
        trial court considers the purposes and principles of sentencing under R.C.
        2929.11 as well as the seriousness and recidivism factors listed in R.C.
        2929.12, properly applies postrelease control and sentences a defendant
        within the permissible statutory range. A.H. at ¶ 10, citing Kalish at ¶ 18.

Id. at ¶¶67-68.

        {¶60} Clay does not allege that the trial court abused its discretion but

instead asserts that his sentence is contrary to law. Therefore, we have no

present need to decide whether to abandon the Kalish two-pronged approach in

favor of the review adopted in Brown. Instead, because Clay limits his argument

to whether his sentence is contrary to law, we limit our review likewise.

defendant sentenced after H.B. No. 86’s effective date, even if the events giving rise to the
Lawrence App. No. 11CA23                                                          26

                                           B.

                                  MORE THAN THE MINIMUM

        {¶61} We readily reject Clay’s argument that the trial court erred by failing

to set forth the reasons for imposing more than the minimum sentence for each

felonious assault conviction. Contrary to Clay’s suggestion that the court

imposed more than the minimum sentence, the record shows that the trial court

did not do that. Instead, the court imposed the minimum sentence of two years

for each conviction. R.C. 2929.14(A)(2). Consequently, even if Clay is correct

that a trial court must give reasons for imposing more than the minimum

sentence, where the court here imposes only the minimum, that requirement

cannot apply.

                                           C.

                                 CONSECUTIVE SENTENCES

        {¶62} Clay next asserts that the trial court erred by imposing consecutive

sentences and presents “three challenges here to consecutive terms.” They are:

1) a general statutory prohibition against consecutive sentences, 2) merger under

RC 2941.25, and 3) double jeopardy. However, his argument does not clarify

whether he challenges the consecutive sentences that the trial court imposed for

the felonious assault convictions, the consecutive sentences that the court

imposed for the firearm specifications, or the court’s order that he serve the

felonious assault sentences consecutively to the firearm specification sentences.

He simply states that the court erred by imposing consecutive sentences for

conviction occurred before that date).
Lawrence App. No. 11CA23                                                        27

“three identical counts * * * predicated on a single gunshot.” In an abundance of

caution, we address all three issues.

                                        1.

                         Felonious Assault Convictions

      {¶63} R.C. 2929.14(C)(4), which governs the trial court’s imposition of

consecutive sentences reads:

             (4) If multiple prison terms are imposed on an offender for
      convictions of multiple offenses, the court may require the offender to
      serve the prison terms consecutively if the court finds that the consecutive
      service is necessary to protect the public from future crime or to punish
      the offender and that consecutive sentences are not disproportionate to
      the seriousness of the offender’s conduct and to the danger the offender
      poses to the public, and if the court also finds any of the following:
             (a) The offender committed one or more of the multiple offenses
      while the offender was awaiting trial or sentencing, was under a sanction
      imposed pursuant to section 2929.16, 2929.17, or 2929.18 of the Revised
      Code, or was under post-release control for a prior offense.
             (b) At least two of the multiple offenses were committed as part of
      one or more courses of conduct, and the harm caused by two or more of
      the multiple offenses so committed was so great or unusual that no single
      prison term for any of the offenses committed as part of any of the courses
      of conduct adequately reflects the seriousness of the offender’s conduct.
             (c) The offender’s history of criminal conduct demonstrates that
      consecutive sentences are necessary to protect the public from future
      crime by the offender.

      {¶64} R.C. 2929.14(C)(4) thus requires that a trial court engage in a

three-step analysis in order to impose consecutive sentences. State v.

Alexander, 1st Dist. Hamilton Nos. C-110828 and C-10829, 2012-Ohio-3349, ¶15.

The Alexander court explained the analysis:

             “First, the trial court must ‘find’ that consecutive sentencing is
      necessary to protect the public from future crime or to punish the offender.
      Next, the trial court must ‘find’ that consecutive sentences are not
      disproportionate to the seriousness of the offender's conduct and to the
      danger the offender poses to the public. Finally, the trial court must ‘find’
Lawrence App. No. 11CA23                                                            28

       that at least one of the following applies: (1) the offender committed one or
       more of the multiple offenses while awaiting trial or sentencing, while
       under a sanction imposed pursuant to R.C. 2929.16, R.C. 2929.17, or
       R.C. 2929.18, or while under postrelease control for a prior offense; (2) at
       least two of the multiple offenses were committed as part of one or more
       courses of conduct, and the harm caused by two or more of the offenses
       was so great or unusual that no single prison term for any of the offenses
       committed as part of any of the courses of conduct adequately reflects the
       seriousness of the offender's conduct; or (3) the offender’s history of
       criminal conduct demonstrates that consecutive sentences are necessary
       to protect the public from future crime by the offender.
               In each step of this analysis, the statutory language directs that the
       trial court must “find” the relevant sentencing factors before imposing
       consecutive sentences. R.C. 2929.14(C)(4). A trial court is not required to
       use “talismanic words to comply with the guidelines and factors for
       sentencing.” State v. Brewer, 1st Dist. No. C000148, 2000 Ohio App.
       LEXIS 5455 *10, 2000 WL 1732335 (Nov. 24, 2000). But it must be clear
       from the record that the trial court actually made the findings required by
       statute. See State v. Pierson, 1st Dist. No. C–970935, 1998 Ohio App.
       LEXIS 3812, 1998 WL 515962 (Aug. 21, 1998). A trial court satisfies this
       statutory requirement when the record reflects that the court has engaged
       in the required analysis and has selected the appropriate statutory criteria.
       See State v. Edmonson, 86 Ohio St.3d 324, 326, 715 N.E.2d 131 (1999);
       see also State v. Brewer, 1st Dist. No. C–000148, 2000 Ohio App. LEXIS
       5455 *11, 2000 WL 1732335 (Nov. 24, 2000).”

Id. at ¶15-16.

       {¶65} Although the trial court referred to the statute in effect before H.B.

86, it nonetheless cited factors specified under R.C. 2929.14(C)(4). The record

shows that the court engaged in an appropriate analysis and cited appropriate

statutory criteria, even if it cited the wrong statutory provision. The court stated:

“I’m going to find that it’s, when it’s necessary under 2929.14(E)(3) to protect the

publish and punish the offender and that’s is not [sic] disproportionate to the

conduct and the danger the offender posed and that the harm was so great or

unusual that a single term does not adequately reflect the seriousness of the

conduct that these must be run consecutively * * *.” The court’s statement refers
Lawrence App. No. 11CA23                                                           29

to all three required findings contained in R.C. 2929.14(C)(4), even though the

court improperly referenced R.C. 2929.14(E)(3), which the Supreme Court of

Ohio's severed from Ohio sentencing scheme in State v. Foster, 109 Ohio St.3d

1, 2006-Ohio-856, 845 N.E.2d 470. The court found that (1) consecutive

sentencing is necessary to protect the public from future crime or to punish the

offender, (2) consecutive sentences are not disproportionate to the seriousness

of the offender’s conduct and to the danger the offender poses to the public, and

(3) the harm caused by two or more of the multiple offenses so committed was

so great or unusual that no single prison term for any of the offenses committed

as part of any of the courses of conduct adequately reflects the seriousness of

the offender’s conduct. Thus, the court’s statement sufficiently fulfills the

“finding” requirement under R.C. 2929.14(C)(4).

       {¶66} Clay nevertheless asserts that under R.C. 2929.41(A), a trial court

must impose sentences concurrently. We do not agree. R.C. 2929.41(A) states:

              Except as provided in division (B) of this section, division (C) of
       section 2929.14, or division (D) or (E) of section 2971.03 of the Revised
       Code, a prison term, jail term, or sentence of imprisonment shall be
       served concurrently with any other prison term, jail term, or sentence of
       imprisonment imposed by a court of this state, another state, or the United
       States. * * * *.

       {¶67} The statute clearly creates exceptions to the general rule that a

sentence of imprisonment shall be served concurrently with any other term of

imprisonment. Nothing in R.C. 2929.41 prohibits a court from applying one of the

exceptions. One of those exceptions states that a sentence shall be served

concurrently except as provided in R.C. 2929.14(C). See State v. Bolton, 8th

Dist. Cuyahoga No. 99137, 2013-Ohio-2467, ¶¶10-11 (discussing apparent
Lawrence App. No. 11CA23                                                            30

typographical error in H.B. 86 version of R.C. 2929.41(A) that referred to R.C.

2929.14(E) instead of 2929.14(C) and noting that legislature corrected the

typographical error by amendment effective September 28, 2012). We discussed

R.C. 2929.14(C) above and concluded that the trial court complied with the

substantive requirements of that statute to impose consecutive—as opposed to

concurrent—sentences. Thus, we reject Clay’s argument that R.C. 2929.41

required the trial court to impose concurrent sentences.

                                         2.

                            FIREARM SPECIFICATIONS

       {¶68} Next, we consider whether the trial court erred by requiring Clay to

serve the sentences imposed for the firearm specifications consecutively to one

another and consecutively to the sentences imposed for the underlying felonious

assault convictions. In resolving this question, several statutory provisions are

relevant to our analysis.

       {¶69} R.C. 2929.14(B)(1)(a)(ii) requires a trial court to impose a three-

year prison term upon an offender who is convicted of or pleads guilty to an R.C.

2941.145 firearm specification. R.C. 2929.14(B)(1)(b) precludes a trial court from

imposing “more than one prison term on an offender [for a firearm specification]

for felonies committed as part of the same act or transaction,” unless R.C.

2929.14(B)(1)(g) authorizes it. State v. Ayers, 12th Dist. Warren No. CA2011-11-

123, 2013-Ohio-2641, ¶22; State v. Sheffey, 8th Dist. Cuyahoga No. 98944,

2013-Ohio-2463, ¶27.

       {¶70} R.C. 2929.14(B)(1)(g) states:
Lawrence App. No. 11CA23                                                          31

               If an offender is convicted of or pleads guilty to two or more
       felonies, if one or more of those felonies are aggravated murder, murder,
       attempted aggravated murder, attempted murder, aggravated robbery,
       felonious assault, or rape, and if the offender is convicted of or pleads
       guilty to a specification of the type described under division (B)(1)(a) of
       this section in connection with two or more of the felonies, the sentencing
       court shall impose on the offender the prison term specified under division
       (B)(1)(a) of this section for each of the two most serious specifications of
       which the offender is convicted or to which the offender pleads guilty and,
       in its discretion, also may impose on the offender the prison term specified
       under that division for any or all of the remaining specifications.

       {¶71} In State v. Isreal, 12th Dist. Warren No. CA2011-11-15, 2012-Ohio-

4876, ¶73, the court recognized that R.C. 2929.14(B)(1)(g) creates an exception

to the general rule prohibiting multiple punishments for firearm specifications

arising out of a single transaction. The court explained:

               “[R.C. 2929.14(B)(1)(g)] carve[s] out an exception to the general
       rule that a trial court may not impose multiple firearm specifications for
       crimes committed within a single transaction. The mandatory language of
       the statute (“the court shall impose”) also indicates the General
       Assembly’s intention that the defendant serve multiple sentences for
       firearm specifications associated with the enumerated crimes, such as
       murder or felonious assault. Had the Legislature intended a per se rule
       that sentences for firearm specifications must be served concurrent with
       one another, it could have stated as much. Or, the Legislature could have
       chosen not to codify R.C. 2929.14(B)(1)(g), which serves as an exception
       to the rule that multiple firearm specifications must be merged for
       purposes of sentencing when the predicate offenses were committed as a
       single criminal transaction.”

       {¶72} Clay was convicted of two or more felonies that are specified in

R.C. 2929.14(B)(1)(g): felonious assault. Additionally, Clay was convicted of a

firearm specification as described in R.C. 2929.14(B)(1)(a) in connection with two

or more of those felonies. Thus, according to R.C. 2929.14(B)(1)(g), the court

was required to impose on Clay mandatory prison terms as described in
Lawrence App. No. 11CA23                                                            32

2929.14(B)(1)(a) for the two most serious specifications of which Clay was

conviction, even if the crimes resulted from a single transaction. Israel, supra;

accord Ayers at ¶24; Sheffey at 28; State v. Vanderhorst, 8th Dist. Cuyahoga No.

97242, 2013-Ohio-1785, ¶¶10-11. The statute also allowed the court to exercise

its discretion to impose any remaining firearm specification prison terms, which it

did. Consequently, the trial court did not err by requiring Clay to serve the

firearm specification prison terms consecutively to one another.

       {¶73} We further reject any argument that the trial court erred by requiring

Clay to serve the firearm specification prison terms consecutively to the felonious

assault prison terms. R.C. 2929.14(C)(1)(a) plainly requires an offender to serve

a mandatory prison term imposed for a firearm specification “consecutively to any

other mandatory prison term imposed [for a firearm specification] * * * [and]

consecutively and prior to any prison term imposed for the underlying felony.”

That is exactly what the court did in this case.

       {¶74} Having determined that the trial court did not err by requiring Clay

to serve the firearm specification prison terms consecutively to one another and

consecutively to Clay’s felonious assault prison terms, we now sua sponte

consider whether the trial court erred by imposing three-year prison terms for the

firearm specifications. Normally, we would only consider issues that were raised

on appeal; nonetheless, we have discretion to sua sponte notice plain error.

State v. Durr, 4th Dist. Scioto No. 11CA3411, 2012-Ohio-4691, ¶26 (sua sponte

recognizing plain error when trial court incorrectly stated that portion of offender’s

sentence was mandatory); State v. Lee, 4th Dist. Pickaway No. 10CA12, 2010-
Lawrence App. No. 11CA23                                                               33

Ohio-6450, ¶19, quoting State v. Slagle, 65 Ohio St.3d 597, 604, 605 N.E.2d 916

(1992) (observing that Crim.R. 52 “allows the appellate court, at the request of

appellate counsel or sua sponte, to consider a trial error that was not objected to

when that error was a ‘plain error’”).

           {¶75} As we already stated, for a reviewing court to find plain error (1)

there must be an error, i.e., “a deviation from a legal rule,” (2) the error must be

plain, i.e., “an ‘obvious’ defect in the trial proceedings,” and (3) the error must

have affected “substantial rights,” i.e., it “must have affected the outcome of the

trial.” Barnes, 94 Ohio St.3d at 27. In this case, all three circumstances exist and

justify our decision to recognize plain error.

           {¶76} The Supreme Court of Ohio has declared, “[j]udges have no

inherent power to create sentences * * * [and lack] the authority to impose a

sentence that is contrary to law.” State v. Fischer, 128 Ohio St.3d 92, 2010-

Ohio-6238, 942 N.E.2d 332, ¶¶22–23. A sentence that is not authorized by law

is void. See Fischer at ¶21-24 and State v. Billiter, 134 Ohio St.3d 103, 2012-

Ohio-5144, 980 N.E.2d 960, ¶10. “‘The effect of determining that a judgment is

void is well established. It is as though such proceedings had never occurred;

the judgment is a mere nullity and the parties are in the same position as if there

had been no judgment.’” State v. Bezak, 114 Ohio St.3d 94, 2007-Ohio-3250,

868 N.E.2d 961, ¶12, quoting Romito v. Maxwell, 10 Ohio St.2d 266, 267–268,

227 N.E.2d 223 (1967).3 An appellate court has inherent authority to vacate a

3
    Fischer modified Bezak on other grounds. Fischer at ¶28.
Lawrence App. No. 11CA23                                                            34

void judgment and remand for resentencing. State v. Pritchett, 2nd Dist.

Montgomery No. 24183, 2011-Ohio-5978, ¶29.

        {¶77} The firearm specification found in R.C. 2941.145 prohibits a trial

court from imposing the mandatory three-year prison term “unless the indictment

* * * charging the offense specifies that the offender had a firearm on or about the

offender’s person or under the offender’s control while committing the offense

and displayed the firearm, brandished the firearm, indicated that the offender

possessed the firearm, or used it to facilitate the offense.”

        {¶78} Here, the trial court imposed a mandatory three-year prison term

pursuant to R.C. 2941.145. However, neither the indictment nor the verdict

forms contained the latter part of R.C. 2941.145, i.e., “and displayed the firearm,

brandished the firearm, indicated that the offender possessed the firearm, or

used it to facilitate the offense.” Instead, the indictment and the verdict forms

contained only the first part of the statute, i.e., “the offender had a firearm on or

about the offender’s person or under the offender’s control while committing the

offense.” Thus, the indictment did not comply with R.C. 2941.145, and,

consequently, the trial court could not impose the three-year mandatory prison

term.

        {¶79} R.C. 2941.141 appears to be the firearm specification that the trial

court should have applied in this case. R.C. 2941.141 authorizes a trial court to

impose a mandatory one-year prison term if “the indictment * * * charging the

offense specifies that the offender had a firearm on or about the offender’s
Lawrence App. No. 11CA23                                                           35

person or under the offender’s control while committing the offense.” The

indictment here complied with R.C. 2941.141.

       {¶80} We recognize the sentencing error as plain error because all three

requirements for application of the doctrine exist. There is an error: the trial

court did not sentence Clay in accordance with R.C. 2941.145 because the

indictment did not contain the appropriate language. This error is obvious: the

language in the indictment plainly does not contain all of the language that R.C.

2941.145 requires in order for the trial court to impose a mandatory three-year

prison term for a firearm specification. The error affected the outcome of the

proceedings: the indictment did not sufficiently charge a firearm specification

that carries a mandatory three-year prison term but only sufficiently charged a

firearm specification that carries a mandatory one-year prison term. The error

resulted in Clay receiving three-year—as opposed to a one-year—mandatory

prison terms for the firearm specifications. Because the indictment failed to

contain the language specified in R.C. 2941.145, the statute did not authorize the

trial court to sentence Clay to mandatory three-year prison terms for the firearm

specifications. Clay’s three-year mandatory prison terms are not authorized by

law and are therefore void.

       {¶81} Accordingly, we vacate the trial court’s judgment sentencing Clay to

mandatory three-year prison terms for the firearm specifications. We remand

that portion of the trial court’s judgment for re-sentencing in accordance with this

opinion.

                                    D. MERGER
Lawrence App. No. 11CA23                                                             36

       {¶82} Clay next argues that the trial court violated double jeopardy

principles by imposing multiple punishments. He contends that because the

three criminal offenses resulted from the same conduct, then the court could

impose only one punishment.

       {¶83} R.C. 2941.25 “codifies the protections of the Double Jeopardy

Clause of the Fifth Amendment to the United States Constitution and Section 10,

Article I of the Ohio Constitution, which prohibit[ ] multiple punishments for the

same offense.” State v. Underwood, 124 Ohio St.3d 365, 2010-Ohio-1, 922

N.E.2d 923, ¶23. The statute states:

              (A) Where the same conduct by defendant can be construed to
       constitute two or more allied offenses of similar import, the indictment or
       information may contain counts for all such offenses, but the defendant
       may be convicted of only one.
              (B) Where the defendant’s conduct constitutes two or more
       offenses of dissimilar import, or where his conduct results in two or more
       offenses of the same or similar kind committed separately or with a
       separate animus as to each, the indictment or information may contain
       counts for all such offenses, and the defendant may be convicted of all of
       them.

“The question of whether offenses should merge under R.C. 2941.25 ordinarily

presents a question of law we review de novo.” State v. Delawder, 4th Dist.

Scioto App. No. 10CA3344, 2012-Ohio-1923, ¶38. In State v. Nguyen, 4th Dist.

Athens No. 12CA14, 2013-Ohio-3170, ¶103, we set forth the analysis that

applies when determining if offenses should merge under R.C. 2941.25:

               “’Through a series of opinions the Supreme Court of Ohio has
       advised and re-advised lower courts on the difficult task of applying Ohio’s
       multiple-count statute to determine which criminal convictions require
       merger.’ Delawder at ¶39. In the plurality decision of State v. Johnson,
       128 Ohio St.3d 153, 2010–Ohio–6314, 942 N.E.2d 1061, the Court
       expressly overruled its then current test for merger. Under the new test,
       the trial court must first determine ‘whether it is possible to commit one
Lawrence App. No. 11CA23                                                           37

      offense and commit the other with the same conduct, not whether it is
      possible to commit one without committing the other.’ (Emphasis sic).
      Johnson at ¶48. If the offenses are so alike that the same conduct can
      subject the accused to potential culpability for both, they are ‘of similar
      import’ and the court must proceed to the second step. The court must
      then determine whether the offenses in fact were committed by the same
      conduct, i.e., committed as a single act with a single animus. Id. at ¶49. If
      so, merger is necessary. However, if the offenses resulted from separate
      acts or were performed with a separate animus, or if the commission of
      one offense will never result in the commission of the other, the offenses
      will not merge. Id. at ¶ 51.”

      {¶84} Clay’s three felonious assault charges stemmed from the same

gunshot, but each charge involved a different victim. Ohio courts have routinely

recognized that separate convictions and sentences are permitted when the

same course of conduct affects multiple victims. State v. Franklin, 97 Ohio St.3d

1, 2002–Ohio–5304, 776 N.E.2d 26, ¶48 (finding the court could impose multiple

punishments for aggravated arson as defendant “caused six offenses of

dissimilar import because six different people were placed at risk” when

defendant set one structure on fire); State v. Jones, 18 Ohio St.3d 116, 480

N.E.2d 408 (1985) (determining that defendant could be sentenced for two

convictions of aggravated vehicular homicide, even though the convictions arose

out of the same conduct, when the conduct resulted in the death of two

individuals); State v. Crisp, 4th Dist. Scioto No. 10CA3404, 2012-Ohio-1730, ¶36

(finding that “[i]n situations where a defendant has knowledge that more than one

victim could be harmed, courts have concluded there is a separate animus for

each victim at risk”). Thus, “multiple sentences for a single act committed

against multiple victims is permissible where the offense is defined in terms of

conduct toward ‘another as such offenses are of dissimilar import; the import
Lawrence App. No. 11CA23                                                            38

being each person affected.’” State v. Tapscott, 7th Dist. Mahoning No. 11MA26,

2012-Ohio-4213, ¶41, quoting Jones, 18 Ohio St.3d at 118; accord State v.

Angus, 10th Dist. No. 05AP–1054, 2006-Ohio-4455, 2006 WL 2474512, ¶ 34

(“Where a defendant's conduct injures multiple victims, the defendant may be

convicted and sentenced for each offense involving a separate victim.”).

       {¶85} Because Clay’s three felonious assault convictions involved three

different victims, the imposition of multiple punishments does not offend double

jeopardy principles or R.C.2941.25. The offenses are of dissimilar import

because each offense involved a different victim. Consequently, the trial court

did not err by failing to merge the convictions.

       {¶86} Accordingly, we overrule Clay’s fifth assignment of error but sua

sponte vacate the trial court’s judgment imposing mandatory three-year prison

terms for the firearm specifications and remand for resentencing on that issue.

                             F. CUMULATIVE ERROR

       {¶87} In his sixth assignment of error, appellant contends that the

cumulative nature of the errors deprived him of a fair trial.

       {¶88} “Before we consider whether ‘cumulative errors’ are present, we

must first find that the trial court committed multiple errors.” State v. Harrington,

4th Dist. Scioto No. 05CA3038, 2006-Ohio-4388, ¶57, citing State v. Goff, 82

Ohio St.3d 123, 140, 694 N.E.2d 916 (1998). Because we have found that the

trial court did not commit multiple errors, the cumulative error principle is

inapplicable. State v. Wharton, 4th Dist. Ross No. 09CA3132, 2010-Ohio-4775,

¶46. Accordingly, we overrule Clay’s sixth assignment of error.
Lawrence App. No. 11CA23                                                         39

                               VIII. CONCLUSION

      {¶89} We affirm the trial court’s judgment, except that we vacate the

portion of its judgment that imposed mandatory three-year prison terms for the

firearm specifications and remand for re-sentencing on that issue.

                                              JUDGMENT AFFIRMED IN PART,
                                                        VACATED IN PART,
                                                   AND CAUSE REMANDED.
Lawrence App. No. 11CA23                                                             40

                                JUDGMENT ENTRY

       It is ordered that the JUDGMENT IS AFFIRMED IN PART, VACATED IN
PART and that the CAUSE IS REMANDED. Appellant and Appellee shall split
the costs.

       The Court finds there were reasonable grounds for this appeal.

      It is ordered that a special mandate issue out of this Court directing the
Lawrence County Common Pleas Court to carry this judgment into execution.

         IF A STAY OF EXECUTION OF SENTENCE AND RELEASE UPON BAIL
HAS BEEN PREVIOUSLY GRANTED BY THE TRIAL COURT OR THIS
COURT, it is temporarily continued for a period not to exceed sixty days upon the
bail previously posted. The purpose of a continued stay is to allow Appellant to
file with the Supreme Court of Ohio an application for a stay during the pendency
of proceedings in that court. If a stay is continued by this entry, it will terminate at
the earlier of the expiration of the sixty day period, or the failure of the Appellant
to file a notice of appeal with the Supreme Court of Ohio in the forty-five day
appeal period pursuant to Rule II, Sec. 2 of the Rules of Practice of the Supreme
Court of Ohio. Additionally, if the Supreme Court of Ohio dismisses the appeal
prior to expiration of sixty days, the stay will terminate as of the date of such
dismissal.

       A certified copy of this entry shall constitute the mandate pursuant to Rule
27 of the Rules of Appellate Procedure.

McFarland, P.J. & Abele, J.: Concur in Judgment and Opinion.

                                            For the Court

                                            BY: ________________________
                                                William H. Harsha, Judge

                               NOTICE TO COUNSEL

      Pursuant to Local Rule No. 14, this document constitutes a final
judgment entry and the time period for further appeal commences from the
date of filing with the clerk.