Court Opinion

ID: 4708432
Source: CourtListenerOpinion
Date Created: 2021-08-02 19:15:38.550682+00
Date Added: 2024-06-11T09:16:24.867510
License: Public Domain

[Cite as Stewart v. Solutions Community Counseling & Recovery Ctrs., Inc., 2021-Ohio-2635.]

                                     IN THE COURT OF APPEALS

                           TWELFTH APPELLATE DISTRICT OF OHIO

                                           WARREN COUNTY

 BONITA STEWART,                                        :

        Appellee,                                       :          CASE NO. CA2021-01-008

                                                        :                   OPINION
     - vs -                                                                  8/2/2021
                                                        :

 SOLUTIONS COMMUNITY                                    :
 COUNSELING AND RECOVERY
 CENTERS, INC., et al.,                                 :

        Appellants.

         CIVIL APPEAL FROM WARREN COUNTY COURT OF COMMON PLEAS
                            Case No. 19CV092967

Rittgers & Rittgers, and Konrad Kircher and Ryan J. McGraw, for appellee.

Reminger Co., LPA, and Robert W. Hojnoski and Jennifer J. Jandes, for appellants.

        HENDRICKSON, J.

        {¶ 1} Appellant, Solutions Community Counseling and Recovery Centers, Inc.

("Solutions"), as well as its employee, Jenny Epling, appeal the Warren County Court of

Common Pleas decision denying their motion to dismiss pursuant to Civ.R. 12(B)(6).1 For

the reasons detailed below, we affirm the trial court's decision.

1. We will refer to Solutions and Epling in the singular.
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       {¶ 2} According to the complaint, on August 30, 2016, Bonita Stewart's adult son,

Justin, died by suicide while an inmate at the Warren County Jail. At the time of Justin's

death, Solutions was under contract with the Warren County Commissioners to provide

mental health treatment to inmates. Jenny Epling is a licensed professional mental health

counselor and former Solutions employee.

       {¶ 3} Bonita sued Solutions and Epling in the United Stated District Court for the

Southern District of Ohio for constitutional violations pursuant to 42 U.S.C. 1983, as well as

claims for wrongful death, negligence, and malpractice.2 Following discovery, the Southern

District granted summary judgment dismissing Bonita's 42 U.S.C. 1983 claims but declined

to exercise jurisdiction over her state law claims. Bonita appealed to the Sixth Circuit Court

of Appeals, which affirmed the Southern District's decision granting summary judgment.

Stewart v. Warren Cty. Bd. of Commrs., 821 F.Appx. 564, 566 (6th Cir. 2020).

       {¶ 4} The instant action was filed while the case was pending in the Sixth Circuit

and consists of the refiling of Bonita's state law claims for wrongful death, negligence, and

malpractice. The complaint alleged that Justin had been sentenced to three years of

community control and was required to undergo anger management and mental health

treatment. Justin failed to comply with his mental health treatment and was arrested on

April 19, 2016. While in jail, Justin refused to be medically screened and was sent to

Summit Behavioral Health.          While at Summit, Justin was diagnosed with narcissistic

personality disorder.

       {¶ 5} Upon receipt of the report from Summit, the trial court ordered a forensic

evaluation by Dr. Kara Marciani. Following an evaluation, Dr. Marciani concluded that

Justin suffered from "serious and chronic mental illness, [was] mentally ill, and need[ed] to

2. Another former Solutions employee was also named in the federal lawsuit but has since been dismissed
in the instant state action.

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undergo a period of hospital-based treatment." Specifically, Dr. Marciani diagnosed Justin

with Delusional Disorder, Persecutory Type because he exhibited "delusions for more than

one month involving beliefs that he [was] being conspired against, spied on, maliciously

maligned, harassed, or obstructed in the pursuit of long term [sic] goals" and concluded that

he posed a threat. The complaint alleged that Solutions and its employees had access to

Dr. Marciani's report but did not review it in its entirety during their treatment of Justin at the

jail.

        {¶ 6} The complaint further alleged that Justin displayed bizarre and troubling

behavior, including screaming in his cell, refusing most recreation time, refusing meals, and

making what jail officials concluded were false medical reports. Jail staff documented these

behaviors, but the complaint alleges that Solutions and its employees failed to review the

claims. On August 8, 2016, Justin was found guilty of violating his probation. Four days

later, Justin was moved to administrative segregation because staff deemed him unsafe in

the general population.

        {¶ 7} For inmates in administrative segregation, the complaint states that the jail's

policy requires daily interaction. From August 15, 2016, until his death on August 30, 2016,

Solutions and its employees allegedly only visited Justin on a single occasion. During this

occasion, Epling approached Justin's cell and asked if he had any mental health needs.

According to Epling, Justin said "no" and her interaction concluded with him, consistent with

the training she received from her supervisor. The complaint states that Epling had not

reviewed any medical or jail records about Justin.             Throughout the period, Justin

experienced hopelessness and decompensation until he died by suicide.

        {¶ 8} After being served with the complaint, Solutions promptly filed a motion to

dismiss pursuant to Civ.R. 12(B)(6) on the basis that it is statutorily immune from liability

under R.C. 2305.51. As a result, Solutions argued that Bonita's state law claims must fail

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and be dismissed with prejudice as a matter of law.

       {¶ 9} On December 30, 2020, following briefing, the trial court issued a decision

overruling Solutions' motion to dismiss and denying immunity under R.C. 2305.51. In a

separate entry, the trial court determined that the December 30, 2020 decision was a final

appealable order and there was no just reason for delay for purposes of Civ.R. 54.

Solutions timely appealed, raising a single assignment of error for review:

       {¶ 10} THE TRIAL COURT ERRED BY DENYING DEFENDANTS STATUTORY

IMMUNITY UNDER R.C 2305.51.

       {¶ 11} In its sole assignment of error, Solutions argues the trial court erred by finding

that it was not entitled to statutory immunity pursuant to R.C. 2305.51. We find Solutions'

argument is without merit.

       {¶ 12} A Civ.R. 12(B)(6) motion to dismiss for failure to state a claim upon which

relief can be granted tests the sufficiency of the complaint. Klan v. Med. Radiologists, Inc.,

12th Dist. Warren No. CA2014-01-007, 2014-Ohio-2344, ¶ 12. "[W]hen a party files a

motion to dismiss for failure to state a claim, all the factual allegations of the complaint must

be taken as true and all reasonable inferences must be drawn in favor of the nonmoving

party." Tankersley v. Ohio Fair Plan Underwriting Assn., 12th Dist. Clermont No. CA2018-

01-003, 2018-Ohio-4386, ¶ 20. For a trial court to dismiss a complaint under Civ.R.

12(B)(6), it must appear beyond a reasonable doubt from the complaint that the plaintiff can

prove no set of facts entitling him to recovery. LeRoy v. Allen, Yurasek & Merklin, 114 Ohio

St.3d 323, 2007-Ohio-3608, ¶ 14. The court may look only to the complaint to determine

whether the allegations are legally sufficient to state a claim. Klan at ¶ 12. A reviewing

court conducts a de novo review of a trial court's decision on a motion to dismiss.

Perrysburg Twp. v. Rossford, 103 Ohio St.3d 79, 2004-Ohio-4362, ¶ 5.

       {¶ 13} "To maintain a wrongful death action on a theory of negligence, a plaintiff must

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show (1) the existence of a duty owing to plaintiff's decedent, (2) a breach of that duty, and

(3) proximate causation between the breach of duty and the death." Estate of Ridley v.

Hamilton Cty. Bd. of Mental Retardation & Dev. Disabilities, 102 Ohio St.3d 230, 2004-Ohio-

2629, citing Littleton v. Good Samaritan Hosp. & Health Ctr., 39 Ohio St.3d 86, 92 (1988).

        {¶ 14} Solutions presents a novel argument that R.C. 2305.51 operates to shield

them from any liability stemming from Justin's death by suicide.3 That statute provides

immunity to mental health professionals and organizations with respect to the violent

behavior of a mental health client or patient, absent special circumstances. In pertinent

part:

                A mental health professional or mental health organization may
                be held liable in damages in a civil action * * * for serious
                physical harm or death resulting from failing to predict, warn of,
                or take precautions to provide protection from the violent
                behavior of a mental health client or patient, only if the client or
                patient or a knowledgeable person has communicated to the
                professional or organization an explicit threat of inflicting
                imminent and serious physical harm to or causing the death of
                one or more clearly identifiable potential victims, the
                professional or organization has reason to believe that the client
                or patient has the intent and ability to carry out the threat, and
                the professional or organization fails to take one or more of the
                following actions in a timely manner: * * *

(Emphasis added.) R.C. 2305.51(B). The statute then provides four actions the mental

health professional or organization may take in response to such a threat.                               R.C.

2305.51(B)(1)-(4).

        {¶ 15} According to its reading of the statute, Solutions alleges that "R.C. 2305.51

3. Solutions acknowledges that "appellate courts interpreting R.C. 2305.51 have primarily dealt with claims
brought against mental health professionals by injured third parties or their estates," but argues that Johnson
v. Patel, 5th Dist. Tuscarawas No. 2006 AP 10 0058, 2008-Ohio-596, "suggests the immunity afforded to
mental health providers applied when a patient commits self-harm." However, that case was decided based
upon application of R.C. 5122.34 and involved a grant of summary judgment, as opposed to a dismissal under
Civ.R. 12. Id. at ¶ 26. Furthermore, summary judgment was granted in that case not based on broad immunity
held by the provider, but because there was no genuine issue of fact concerning whether the doctors acted
in good faith. Id. at ¶ 48.

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provides absolute immunity to mental health professionals and organizations with respect

to the violent behavior of a mental health client or patient absent exceptional

circumstances." Solutions goes on to assert that "[w]hen a mental health patient or client

commits suicide, that person becomes a suicide victim." (Emphasis in original). It further

contends that the unambiguous statutory language supports this position and there is no

case law that suggests that, for purposes of R.C. 2305.51, a patient cannot also be the

victim.

          {¶ 16} Before turning to the specific circumstances of this case, it is useful to

consider the case law and legislative enactment that give rise to Solutions' argument. First,

it is well established that, ordinarily, there is no duty to control the conduct of another person

to prevent that individual from causing harm to another. Gelbman v. Second Natl. Bank of

Warren, 9 Ohio St. 3d 77, 79 (1984). One exception to this rule, however, is when a "special

relation" exists such as "when one takes charge of a person whom he knows or should

know is likely to cause bodily harm to others if not controlled." Littleton, 39 Ohio St.3d at

92.

          {¶ 17} In Littleton, the supreme court determined that, under certain circumstances,

a psychiatrist can be held liable for the violent acts of a voluntarily hospitalized patient

following the patient's release from the hospital. Id. at syllabus. That case involved a

parent, Theresa Pearson, who exhibited signs of severe depression shortly after giving birth

to her second child, Carly. Id. at 87. Theresa experienced feelings of rejections toward

Carly and expressed impulses of harming her. Id. Theresa was hospitalized twice and,

during her second hospitalization, made an explicit threat to a nurse about her plan to inject

Carly with something to kill her. Id. Prior to her discharge, there was a family meeting

where it was agreed that Carly would be primarily cared for by her grandparents and that

Theresa was not to be left alone with her for long periods of time. Id. 88-89. Despite the

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prior threat, the family was not told of Theresa's specific threat to kill Carly. Id. After her

discharge, Theresa did have contact with Carly but only in the presence of others. Id. at

90. However, approximately 14 days after her discharge, Theresa was asked to watch

Carly for a short period of time. Id. While alone with Carly, Theresa administered a lethal

dose of medication to Carly, killing her. Id.

       {¶ 18} In its decision, the supreme court determined that a "special relation" existed,

and the psychologist had a duty to take reasonable precautions to protect Carly from the

patient exhibiting violent propensities. Id. at 92. Otherwise, there would be no legal claim

for negligence because there would not be a duty owed. In so doing, the court adopted a

standard of care for mental health practitioners that included a subjective element, referred

to as the "professional judgment rule." Id. at 97. In adopting this standard of care, the court

stated:

              Though a psychiatrist's ability to predict violent behavior is
              probably better than a layperson's, and there does appear to be
              some consensus within the mental health community on the
              factors relevant to a diagnosis of violent propensities,
              diagnosing both the existence of violent propensities and their
              severity is still a highly subjective undertaking. Psychiatric
              evaluations of any given fact pattern are bound to vary widely.
              And once a determination is made that a patient possesses a
              propensity for violent behavior, deciding upon a course of
              treatment poses difficult questions. The patient's right to good
              medical care, including freedom from unnecessary confinement
              and unwarranted breaches of confidentiality, must be balanced
              against the need to protect potential victims. Courts, with the
              benefit of hindsight, should not be allowed to second-guess a
              psychiatrist's professional judgment.

Id. 97-98.

       {¶ 19} As a result, the supreme court adopted the following holding that a psychiatrist

will not be held liable for the violent acts of a voluntarily hospitalized mental health patient

subsequent to the patient's discharge if:

              (1) the patient did not manifest violent propensities while being

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                 hospitalized and there was no reason to suspect the patient
                 would become violent after discharge, or (2) a thorough
                 evaluation of the patient's propensity for violence was
                 conducted, taking into account all relevant factors, and a good
                 faith decision was made by the psychiatrist that the patient had
                 no violent propensity, or (3) the patient was diagnosed as having
                 violent propensities and, after a thorough evaluation of the
                 severity of the propensities and a balancing of the patient's
                 interests and the interests of potential victims, a treatment plan
                 was formulated in good faith which included discharge of the
                 patient.

Id. at 99.

       {¶ 20} The supreme court expanded the duty of psychotherapists to protect third

parties from the violent propensities of their outpatients in Estate of Morgan v. Fairfield

Family Counseling Ctr., 77 Ohio St.3d 284. In so doing, the supreme court issued a four-

part syllabus:

                 1. Generally, a defendant has no duty to control the violent
                 conduct of a third person as to prevent that person from causing
                 physical harm to another unless a "special relation" exists
                 between the defendant and the third person or between the
                 defendant and the other. In order for a special relation to exist
                 between the defendant and the third person, the defendant must
                 have the ability to control the third person's conduct.

                 2. R.C. 5122.34 does not preclude the finding that a special
                 relation exists between the psychotherapist and the outpatient
                 which imposes a common-law duty on the therapist to take
                 affirmative steps to control the patient's violent conduct.

                 3. The relationship between the psychotherapist and the patient
                 in the outpatient setting constitutes a special relation justifying
                 the imposition of a duty upon the psychotherapist to protect
                 against and/or control the patient's violent propensities.

                 4. When a psychotherapist knows or should know that his or her
                 outpatient represents a substantial risk of harm to others, the
                 therapist is under a duty to exercise his or her best professional
                 judgment to prevent such harm from occurring.

Id. at syllabus.

       {¶ 21} Although a psychotherapist has less control in an outpatient setting, the

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supreme court determined that the psychotherapist/outpatient relationship embodied

sufficient elements of control to warrant a corresponding duty with the ability to control. Id.

at 299. The court offered several measures that a psychotherapist could employ, such as

the use of medication, family intervention, and the threat of involuntary commitment to

prevent an outpatient's violent propensities. Id. at 300.

       {¶ 22} Following the supreme court's decision in Estate of Morgan, the General

Assembly enacted new legislation, the statute at issue in this case, R.C. 2305.51, which

specifically superseded that decision.

              SECTION 3. In amending section 5122.34 and in enacting
              section 2305.51 of the Revised Code, it is the intent of the
              General Assembly to respectfully disagree with and supersede
              the statutory construction holdings of the Ohio Supreme Court
              relative to section 5122.34 of the Revised Code as set forth in
              Estate of Morgan v. Fairfield Family Counseling Center, 77 Ohio
              St.3d 284, under heading G of Section I at 304-305, and,
              thereby to supersede the second, third, and fourth syllabus
              paragraph holdings of the Court in that case.

1999 Ohio H.B. 71, Section 3. Notably, the General Assembly did not express any intention

to supersede the first paragraph of the syllabus, which, again, states:

              1. Generally, a defendant has no duty to control the violent
              conduct of a third person as to prevent that person from causing
              physical harm to another unless a "special relation" exists
              between the defendant and the third person or between the
              defendant and the other. In order for a special relation to exist
              between the defendant and the third person, the defendant must
              have the ability to control the third person's conduct.

(Emphasis added.)

       {¶ 23} The supreme court has construed this statute only one time. Campbell v.

Ohio State Univ. Med. Ctr., 108 Ohio St.3d 376, 2006-Ohio-1192. In Campbell, a patient

of a mental health institution physically attacked and injured another patient in the hospital.

Id. at ¶ 2. The victim filed a complaint in the Court of Claims, alleging that the medical

center violated R.C. 5122.29 (B)(2) by failing to provide her with reasonable protection from

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the violent conduct of others. Id. The supreme court considered the victim's complaint in

light of R.C. 2305.51 and held that "[w]hen a patient of a mental-health institution is

assaulted or battered by another patient, the institution may be held liable for harm that

results only if the patient establishes liability under R.C. 2305.51." Id. at syllabus. Since

there was no evidence that an explicit threat of an attack was communicated to the hospital,

the supreme court found that summary judgment was properly granted in favor of the

medical center. Id. at ¶ 16. In so doing, the supreme court specifically noted that the

"General Assembly has made R.C. 2305.51 the exclusive means by which a mental-health

patient may establish liability for harm caused by another patient." (Emphasis added.) Id.

at ¶ 19.

       {¶ 24} Similar cases construing R.C. 2305.51 have likewise involved actions by third

parties for harm caused by a mental health patient. See Stewart v. N. Coast Ctr., 11th Dist.

Ashtabula No. 2005-A-0042, 2006-Ohio-2392, ¶ 57 (since no explicit threat of imminent

harm was made to the mental healthcare provider, the victim of assault by a patient was

precluded from filing suit); Cogswell v. Brook, 11th Dist. Geauga No. 2003-G-2511, 2004-

Ohio-5639, ¶ 34 (mental health organization immune from liability where there was no

evidence that organization had any reason to believe its patient had the intent and ability to

carry out the violence inflicted on the third parties).

       {¶ 25} Thus, according to the legislative history, applicable case law from the

supreme court, as well as cases from our sister district, we understand that R.C. 2305.51

is a legislative response to the "special relation" duty to third parties as discussed in

Littleton. With that background in mind, we now turn to the specific issue raised by

Solutions, i.e., whether R.C. 2305.51 affords immunity to mental health providers when a

client or patient dies by suicide.

       {¶ 26} In construing a statute, the primary goal "is to ascertain and give effect to the

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intent of the legislature as expressed in the statute." Stewart v. Vivian, 12th Dist. Clermont

No. CA2015-05-039, 2016-Ohio-2892, ¶ 44. A basic rule of statutory construction is that

the words and phrases must be read in context and interpreted as a whole, giving effect to

all the words in the statute. D.A.B.E., Inc. v. Toledo-Lucas Cty. Bd. of Health, 96 Ohio St.3d

250, 2002-Ohio-4172 ¶ 19.

       {¶ 27} In this case, R.C. 2305.51 provides, in pertinent part:

              (B) A mental health professional or mental health organization
              may be held liable in damages in a civil action * * * for serious
              physical harm or death resulting from failing to predict, warn of,
              or take precautions to provide protection from the violent
              behavior of a mental health client or patient, only if the client or
              patient or a knowledgeable person has communicated to the
              professional or organization an explicit threat of inflicting
              imminent and serious physical harm to or causing the death of
              one or more clearly identifiable potential victims, the
              professional or organization has reason to believe that the client
              or patient has the intent and ability to carry out the threat, and
              the professional or organization fails to take one or more of the
              following actions in a timely manner:

              (1) Exercise any authority the professional or organization
              possesses to hospitalize the client or patient on an emergency
              basis pursuant to section 5122.10 of the Revised Code;

              (2) Exercise any authority the professional or organization
              possesses to have the client or patient involuntarily or voluntarily
              hospitalized under Chapter 5122. of the Revised Code;

              (3) Establish and undertake a documented treatment plan that
              is reasonably calculated, according to appropriate standards of
              professional practice, to eliminate the possibility that the client
              or patient will carry out the threat, and, concurrent with
              establishing and undertaking the treatment plan, initiate
              arrangements for a second opinion risk assessment through a
              management consultation about the treatment plan with, in the
              case of a mental health organization, the clinical director of the
              organization, or, in the case of a mental health professional who
              is not acting as part of a mental health organization, any mental
              health professional who is licensed to engage in independent
              practice;

              (4) Communicate to a law enforcement agency with jurisdiction
              in the area where each potential victim resides, where a

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                 structure threatened by a mental health client or patient is
                 located, or where the mental health client or patient resides, and
                 if feasible, communicate to each potential victim or a potential
                 victim's parent or guardian if the potential victim is a minor or
                 has been adjudicated incompetent, all of the following
                 information:

                 (a) The nature of the threat;

                 (b) The identity of the mental health client or patient making the
                 threat;

                 (c) The identity of each potential victim of the threat.

                 ***

                 (C) All of the following apply when a mental health professional
                 or organization takes one or more of the actions set forth in
                 divisions (B)(1) to (4) of this section:

                 ***

                 (3) The mental health professional or organization is not
                 required to take an action that, in the exercise of reasonable
                 professional judgment, would physically endanger the
                 professional or organization, increase the danger to a potential
                 victim, or increase the danger to the mental health client or
                 patient.

(Emphasis added.) R.C. 2305.51(B)-(C).             The statute defines "mental health client or

patient" as "an individual who is receiving mental health services from a mental health

professional or organization." R.C. 2305.51(A)(1)(b). Likewise, a "knowledgeable person"

is defined as:

                 an individual who has reason to believe that a mental health
                 client or patient has the intent and ability to carry out an explicit
                 threat of inflicting imminent and serious physical harm to or
                 causing the death of a clearly identifiable potential victim or
                 victims and who is either an immediate family member of the
                 client or patient or an individual who otherwise personally knows
                 the client or patient.

R.C. 2305.51(A)(1)(f).

       {¶ 28} Following review, we conclude that R.C. 2305.51 does not provide for the

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immunity that Solutions argues for on appeal – i.e., broad immunity from liability in the event

its client or patient dies by suicide. Rather, R.C. 2305.51 provides immunity to mental health

professionals and mental health organizations when their client or patient causes physical

harm or death to third parties. To hold otherwise would send a conflicting message to

mental health providers regarding the duties owed to their own clients or patients.4 As a

result, Bonita's state law claims for wrongful death, negligence, and malpractice may

proceed, as Solutions is not entitled to immunity pursuant to R.C. 2305.51.

        {¶ 29} As discussed, the duties owed by a mental health professional or mental

health organization to third parties has been developed over several decades before

codification in the Revised Code. In conjunction with the development of the "special

relation" duty, when reading R.C. 2305.51 in its entirety and interpreting the plain language,

it is clear that the General Assembly did not intend to extend immunity to cases of self-harm

by patients. When read in context, the statute refers clearly to harm inflicted on third parties

by the mental health patient. For example, with respect to reporting to law enforcement,

the mental health professional or organization is required to identify two separately listed

individuals: (1) the singular person making the threat, and (2) the potential victim or victims

of that threat, differentiating the victim and the client or patient. See R.C. 2305.51 (B)(4).5

4. For example, Solutions' reading of R.C. 2305.51 could have unintended consequences in cases of medical
malpractice where a patient dies by suicide. See, e.g., Stewart v. Vivian, 12th Dist. Clermont No. CA2015-
05-039, 2016-Ohio-2892 (medical malpractice and wrongful death claims following former patient's suicide).
To establish a claim of medical malpractice, a plaintiff must prove by a preponderance of the evidence that
the injury complained of was caused by the doing of some particular thing or things that a physician of ordinary
skill, care, and diligence would not have done under like or similar conditions, or was caused by the failure or
omission to do some particular thing or things that such a physician would have done under like or similar
conditions, and that the injury complained of was the direct and proximate result of the physician's doing or
failing to do such particular thing or things. Id. at ¶ 93. If Solutions' theory was adopted, mental health
professionals and mental health organizations could claim immunity from liability under R.C.2305.51 for even
gross abuses of malpractice if the provider simply reported its suicidal client or patient to authorities consistent
with R.C. 2305.51(B)(4), irrespective of the relevant standard of care.

5. Likewise, R.C. 2305.51(A)(1)(f) specifically requires that a "knowledgeable person" be someone who is
"either an immediate family member of the client or patient or an individual who otherwise personally knows
the client or patient." However, the statute makes no similar reference to the "potential victim or victims," who
only need to be "clearly identifiable."

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In that same section, "if feasible," the professional or organization should communicate to

the victim or the victim's parent or guardian: (a) the nature of the threat, (b) the identity of

the mental health client or patient making the threat, and (c) the identity of each potential

victim of the threat – separately identifying the "client or patient" and the "potential victim."

Furthermore, in R.C. 2305.51(C)(3), the mental health professional or organization is not

required to take an action that would "increase the danger to a potential victim or increase

the danger to the mental health client or patient," once again distinguishing the two. As

correctly found by the trial court, this deliberate, repeated, and disjunctive use of the phrase

constitutes strong legislative intent that the "victim" and "client or patient" are different

individuals. Thus, contrary to Solutions argument otherwise, we find that the plain language

of R.C. 2305.51 does not provide absolute immunity to them in this circumstance.

       {¶ 30} This decision is consistent with the lengthy history in Ohio concerning the

exception to the general rule where there is no duty to control the conduct of another to

prevent that person from causing harm to another, absent an exception such as the "special

relation" recognized by the supreme court in Littleton. While we note that Solutions is

correct that R.C. 2305.51 was enacted in response to the supreme court's decision in Estate

of Morgan, it fails to note that the statute specifically sought only to supersede the second,

third, and fourth syllabus paragraph holdings. 1999 Ohio H.B. 71, Section 3. The General

Assembly did not seek to supersede the first paragraph of the syllabus, which reflects the

duty owed to third parties owed due to a "special relation." If the General Assembly had

intended to confer immunity upon mental health professionals or organizations in cases

involving self-harm, it could have easily done so by including it in the statute. That omission,

in conjunction with the plain language of the statute and the legislative history, leads to one

logical conclusion: the General Assembly intended to limit immunity to cases in which third

parties are injured.

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        {¶ 31} As a result, we agree with the trial court that R.C. 2305.51 does not apply in

this specific context and they are not afforded immunity on that basis.6 In making this

determination, we take no position on the merits of Bonita's claims. We merely find that

Solutions' motion to dismiss based on application of R.C. 2305.51 was properly denied.

Solutions' sole assignment of error is therefore without merit and is hereby overruled.

        {¶ 32} Judgment affirmed.

        S. POWELL, J., concurs.

        PIPER, P.J., dissents

        PIPER, P.J., dissenting

        {¶ 33} I dissent from the opinion of my colleagues because if the legislature wanted

to give immunity to mental health providers only when a patient or client caused serious

injury or death to another person, it could have expressly included such wording in R.C.

6. {¶a} The dissent suggests this court's interpretation creates an illogical and absurd result, positing two
hypotheticals where a deranged person under the care of a mental health provider could shoot and kill a police
officer or a number of children, die by suicide, and then potentially enjoy a financial windfall, while leaving the
murder victims without any redress. This is simply not the case.

  {¶b} Take the first hypothetical where a deranged person under the care of a mental health provider murders
a police officer and then commits suicide. Consistent with R.C. 2305.51, if the "suicide victim"/murderer or a
"knowledgeable person" communicated an explicit threat on the life of the police officer to the mental health
provider, the provider would be liable to the police officer's estate if it failed to act in accordance with R.C.
2305.51(B)(1)-(4). We agree, however, that the mental health provider would not be immune from a claim
made by the "suicide victim"/murderer because R.C. 2305.51, as in this case, simply does not apply.
Theoretically, the "suicide victim"/murderer could attempt a medical malpractice action against the mental
health provider, provided the facts and circumstances of the case, but those claims would need to be proven
by the preponderance of the evidence. See, e.g., Stewart, 2016-Ohio-2892 (medical malpractice and wrongful
death claims following former patient's suicide).

   {¶c} In the second hypothetical, the dissent presents a scenario where a delusional person, under the care
of a mental health provider, enters a school, kills a number of children, then dies by suicide. The dissent
claims that the mental health provider could assert immunity against the estates of the children, but not against
the estate of the murdering decedent. Again, as in the hypothetical above, the children's estates would have
a claim against the mental health provider if the provider received an explicit threat on the children's lives, as
defined in R.C. 2305.51, and the provider failed to act in accordance with R.C. 2305.51(B)(1)(4). Likewise,
the "suicide victim"/murderer could assert a theoretical claim for medical malpractice against his provider and
not be barred by application of this statute. For that matter, the victims in both hypotheticals would have
potential claims against their murderer. These are not absurd or illogical results.

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2305.51(B).       However, it chose not to.               My colleagues accept Stewart's twisted

reconstruction of the statute declaring that a patient or client cannot be a victim of their own

mental illness. The statute as written disagrees. "We do not have the authority to dig

deeper than the plain meaning of an unambiguous statute under the guise of either statutory

interpretation or the liberal construction." State ex rel. Clay v. Cuyahoga County Med.

Examiner's Office, 152 Ohio St.3d 163, 166, 2017-Ohio-8714, ¶ 15.

                               Immunity for Mental Health Providers

        {¶ 34} The detection of mental health illness involves few absolutes and little

certainty. The line is not distinct between anti-social behavior or poor judgment and mental

illness involving derangement, distorted thinking, or aberrant behavior. Emotional disorders

and psychological issues are frequently masked making them undetectable. The client or

patient disassociated from reality often deceives themselves as well as those attempting to

help them. Mental health professionals are not confined within an exact science, as obscure

illnesses of the mind involve infinite complexity.7

        {¶ 35} Thus, it naturally follows that the general assembly enacted R.C. 2305.51(B),

granting mental health providers immunity from civil suit unless specific and enumerated

circumstances create an exception to the general grant of immunity.                           Only if those

statutorily-specific circumstances exist will immunity become unavailable to protect such

professionals from civil liability. Appellate review must be restrained from enacting policy

and impeding legislative intent when a statute is unambiguous.

                                     Plain and Ordinary Meaning

7. "The undisputed facts of this case indicate that everyone tried to provide Justin with mental health
treatment, except Justin himself. Mental illness can be exceedingly difficult to treat effectively because the
diagnosis and treatment of such illnesses rely in least in part on the cooperation and participation of the very
person who is mentally ill and may not fully understand the issues that others identify." Stewart v. Warren
Cty. Bd. of Commrs., S.D.Ohio No. 1:17-cv-84, 2019 U.S. Dist. LEXIS 150488, * 26 (Sep. 4, 2019), affirmed
by Stewart v. Warren Cty. Bd. of Commrs., 821 F.App'x 564, 566 (6th Cir. 2020)

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       {¶ 36} The intent to give a general immunity is undisputable because a client or

patient can also become a victim. Chapter 2305 is titled Jurisdiction; Limitation of Actions.

R.C. 2305.51 is specifically captioned Immunity of Mental Health Professional or

Organization as to Violent Behavior by Client or Patient. A patient exercising an act of self-

harm to the point of death is an act of violent behavior. R.C. 2305.51(B) is clear and

unambiguous. "Violence" means "the use of physical force as to injure, abuse, damage, or

destroy" and "suicide" involves "a deliberate act resulting in the death of the person who

does it." Merriam-Webster Online Dictionary, http://www.merriam-webster.com/dictionary

(accessed July 28, 2021). Suicide, being the destruction of life, is violent behavior. There

is nothing in the statute that says the violent behavior must be intended for "another." The

focus of the statute is on the violent behavior resulting from mental illness, not the recipient

of the behavior.

       {¶ 37} Similar to many statutes granting immunity, R.C. 2305.51(B) allows for

specific circumstances that lift the grant of immunity by including that immunity is

unavailable "only if" the explicit threat of inflicting imminent and serious physical harm has

been communicated to the professional and if the professional has reason to believe that

the person has the intent and ability to carry out the threat but fails to take certain steps to

protect against the threats in a timely manner.

       {¶ 38} Thus, in order to impose civil liability and avoid the application of immunity,

the mental health provider must have received information of an express threat of the

realistic possibility of serious physical harm or death, with an identifiable person being the

subject of the threat, and the mental health provider must have reason to believe the intent

and the ability to carry out the threat actually exists. The mental health provider then must

fail to timely take appropriate action. R.C. 2305.51(B)(1) thru (4)(a) thru (c).

       {¶ 39} Despite the majority's acceptance of Stewart's misguided interpretation,

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nothing in the wording of the statute excludes the patient or client from reporting the intent

of self-harm or otherwise being the victim.           Nothing in the statute excludes a

"knowledgeable person" from reporting to a mental health provider that a patient or client

has a serious intention of hurting themselves. Nothing in the statute says the threat of harm

must be to someone other than the patient or client. Instead, it is the imminent and real risk

of violent behavior that formulates a duty and necessitates a mental health provider's

response.

       {¶ 40} We are victims of our own frailties. Self-destruction and self-harm are violent

behaviors inflicted upon ourselves. The reality of some disorders is that they allow us to

self-victimize. Stewart's proposed interpretation rests upon the premise that a patient or

client cannot be a victim of his or her own mental illness. In crafting such a version of the

statute, Stewart points to R.C. 2305.51(B)(4) which uses the word "victim" as applicable to

third parties – persons other than the patient or client or mental health professional. It is a

given that a "victim" could be a third party (when other than a client or patient, or mental

health professional). However, this subsection does not eliminate in other scenarios that a

"victim" can also be clients or patients themselves. Unlike Stewart's proposition, the statute

does not limit the word "victim" to only one context or usage.

       {¶ 41} While Stewart asserts the injury caused to a victim must always be from

another person, we must apply its ordinary and plain meaning. "Victim" is defined as one

who is "injured, destroyed, or sacrificed under various conditions."        Merriam-Webster

Online, http://www.merriam-webster.com/dictionary (accessed July 28, 2021). Thus, a

suicide victim is a victim of his or her own demise. Due to the possibility of mental illness

causing self-victimization, the definition of "victim" does not require another person.

       {¶ 42} R.C. 2305.51(B)(4) is only one of several subsections articulating the

response necessary, depending on the scenario, that a mental health provider must make

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after receiving communications of an imminent threat of serious physical harm or death.

The fact that subsection (B)(4) addresses action to be taken when the victim is a third party

does not mean that a victim in other scenarios cannot be the patient or client. It is misguided

and myopic to insist that the word "victim" can only be used in one context. Such a

restrictive and obstinate application of the word denies its plain and ordinary meaning

because any person can be a victim. Subsection (B)(4) is limited to a specific scenario and

does not alter the overall ordinary meaning of "victim" as any person.

       {¶ 43} Should the legislature's intent not be clear by the words used in the statute,

we need only to look to the legislature's words in crafting the legislation.

                           Intent Behind the Words as Written

       {¶ 44} In promulgating the statute at issue, the legislature responded to Estate of

Morgan v. Fairfield Family Counseling Ctr., 77 Ohio St.3d 284 (1997). The legislature

clearly believed a mental health provider should not be held responsible for a patient's

violent behavior unless specific circumstances occurred.            The general assembly's

enactment represented an intention "to respectfully disagree with and supersede" the Ohio

Supreme Court's holding that a mental health provider had a duty to protect against, and

control, a patient's violent behavior. The recipient was not the focus of the legislation,

rather, it was the creation of a burdensome and problematic duty.

       {¶ 45} The duty announced in Estate of Morgan did not predicate itself on who was

the recipient of violent behavior. In other words, the duty the general assembly sought to

supersede included patients' conduct aimed at themselves as well as others. A suggestion

that the general assembly's intention was aimed only at violent behavior upon third parties

is skewed. The plain and ordinary usage of words as found in the statute does not require

an in-depth analysis of Estate of Morgan, as the majority attempts.

                             Unreasonable or Absurd Result

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      {¶ 46} Stewart's interpretation of R.C. 2305.51(B) creates an illogical and absurd

result the general assembly would not have intended. For example, a deranged person

under the care of a mental health provider could shoot and kill a police officer and then

commit suicide. According to Stewart, the police officer's estate could be denied redress

due to immunity, while the estate of the suicide victim who murdered the police officer could

seek financial damages from the mental health provider. Similarly, a delusional person

under the care of the mental health care provider may enter a school killing numerous

children and then commit suicide.        The person's mental health provider could assert

immunity as against the estates of the children, but not against the estate of the murdering

decedent.

      {¶ 47} Statutes must be construed to avoid, not create, unreasonable, or absurd

results. State ex rel. Clay v. Cuyahoga County Med. Examiner's Office, 152 Ohio St.3d

163, 168, 2017-Ohio-8714, ¶ 24. Contorting the statute so that it permits the estate of the

person committing violent behavior to benefit financially, while the estate of an innocent

person may not, offends public policy.

      {¶ 48} In footnote 6, the asymmetrical, preferential consequences of Stewart's

interpretation are acknowledged in the majority opinion. Yet, my colleagues do not find

such consequences to be unreasonable or absurd because while the estate of the police

officer or the estates of the children are denied the opportunity to seek liability from the

mental health care provider, those estates can seek liability from the estate of the

murderer/suicide victim (if he or she has one). This unreasonable or absurd result is lost

on my colleagues that the murderer/suicide victim is granted a source of relief and potential

financial recovery where the victims of the actual murderer are denied the same source of

potential recovery. The majority's reasoning finds this acceptable since "the victims in both

hypotheticals" can always make claims against their murderer/suicide victim. Such an

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interpretation of the statute is to be avoided. In my opinion, there is simply nothing to

support such a legislative intent which could have been easily expressed if intended.

                                         Motion to Dismiss

        {¶ 49} A motion requesting dismissal pursuant to Civ. R. 12(B)(6) tests the

sufficiency of the complaint.        Lawson v. Mahoning Cty. Mental Health Bd., 7th Dist.

Mahoning No. 10 MA 24, 2010-Ohio-6388. This requires independent appellate review of

the complaint to ascertain whether allegations of statutory circumstances exist to lift the

blanket of immunity. Doolittle v. Shook, 7th Dist. Mahoning County No. 06 MA 65, 2007-

Ohio-1412 (the complaint did not allege statutory exceptions to the application of immunity

and dismissal was appropriate); Maternal Grandmother v. Hamilton County, 1st Dist.

Hamilton No. C-180662, 2020-Ohio-1580 (factual allegations are required to survive the

assertion of immunity).

        {¶ 50} As with most statutes where immunity is possible, the disagreement usually

lies in whether the statutory exceptions strip the general grant of immunity.8 Here, however,

Stewart does not assert that enumerated circumstances exist prohibiting immunity, but

rather, that the statute itself does not apply to certain people. Yet, the statute does not

exclude a patient or a client from also being considered as the victim of violent behavior.

The statute clearly codifies immunity to mental health providers in what would have

previously been a common law negligence action. Civil liability only remains a possibility,

and immunity averted, when circumstances articulated in the statute exist. Due to the

complexities of mental health, the statute makes it clear that it is not what the mental health

professional should have had communicated, but rather, what was communicated.

8. For example, multiple statutes within the Ohio Revised Code grant immunity unless circumstances prohibit
its application. See R.C. 2744.03 (defenses or immunities of subdivision and employees); R.C.
2151.421(H)(1)(b) (immunity for providers associated with reporting child abuse and follow up procedures).

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        {¶ 51} Stewart's complaint extensively lays out factual circumstances as to why

some persons, other than the named defendants herein, may have had reason to suspect

Justin's mental health issues and the possible risk of suicide. However, the complaint never

alleges that any of this information was communicated to any of the defendants as required

by the statute.      The complaint sufficiently avers that, in hindsight, Justin may have

foreseeably been a victim of self-harm, or even self-destruction, but the complaint is absent

any allegation that the mental health providers named as defendants had this information

communicated to them. Nor does the complaint or Stewart's response to the defendant's

motion to dismiss assert the existence of statutory circumstances that lift the veil of

immunity.9

        {¶ 52} Despite the defendants' status as mental health providers as defined in R.C.

2305.51, the complaint, motion to dismiss, and Stewart's response do not allege the

statutory circumstances necessary to avoid the application of immunity.                      Specifically,

Stewart does not allege any imminent threat of self-harm or suicide was communicated to

any of the defendants.

                                              Conclusion

        {¶ 53} While Stewart's constructed interpretation of the statute is unique and

creative, it cannot avoid the plain and ordinary reading of the statute. As a parent, I

experience immense compassion for Justin and his family. Yet, plain and ordinary meaning

must be attributed to the words within R.C. 2305.51(B), unswayed no matter the tragedy or

depth of sympathy. Since the statute is applicable to defendants and Stewart failed to make

any argument as to why immunity is not to be applied, the motion to dismiss should have

9. "While Justin's mental health records indicate concerns about his treatment of others, at no time did any
of these mental health providers * * * or even loving family members believe Justin was in danger of hurting
himself. Prior to his suicide, Justin had not engaged in self-harm and had repeatedly denied contemplating
suicide." Stewart v. Warren Cty. Bd. of Commrs., S.D.Ohio No. 1:17-cv-84, 2019 U.S. Dist. LEXIS 150488, *
27 (Sep. 4, 2019), affirmed by Stewart v. Warren Cty. Bd. of Commrs., 821 F.Appx. 564, 566 (6th Cir. 2020)

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been granted. Therefore, I respectfully dissent from the majority opinion.

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