Court Opinion

ID: 2961337
Source: CourtListenerOpinion
Date Created: 2015-09-21 19:09:31.85886+00
Date Added: 2024-06-11T11:41:41.487940
License: Public Domain

[Cite as State v. Shalash, 2015-Ohio-3836.]

                                     IN THE COURT OF APPEALS

                            TWELFTH APPELLATE DISTRICT OF OHIO

                                              WARREN COUNTY

STATE OF OHIO,                                      :

        Plaintiff-Appellee,                         :     CASE NO. CA2014-12-146

                                                    :          OPINION
    - vs -                                                      9/21/2015
                                                    :

HAMZA SHALASH,                                      :

        Defendant-Appellant.                        :

      CRIMINAL APPEAL FROM WARREN COUNTY COURT OF COMMON PLEAS
                           Case No. 12CR28290

David P. Fornshell, Warren County Prosecuting Attorney, Michael Greer, 500 Justice Drive,
Lebanon, Ohio 45036, for plaintiff-appellee

Rion, Rion and Rion, Jon Paul Rion, Nicole L. Rutter-Hirth, 130 West Second Street, Suite
2150, P.O. Box 10126, Dayton, Ohio 45402, for defendant-appellant

        PIPER, P.J.

        {¶ 1} Defendant-appellant, Hamza Shalash, appeals his conviction in the Warren

County Court of Common Pleas on multiple counts of aggravated trafficking in controlled

substance analogs and one count of engaging in a pattern of corrupt activity, for which he

was sentenced to 11 years in prison. For the reasons that follow, we affirm the judgment of

the trial court.
                                                                            Warren CA2014-12-146

       {¶ 2} In 2012, appellant was indicted on eight counts of aggravated trafficking in a

controlled substance analog in violation of either R.C. 2925.03(A)(1) or (A)(2), which were

charged as either a first-, second-, third-, or fourth-degree felony,1 and one count of engaging

in a pattern of corrupt activity in violation of R.C. 2923.32(A)(1), a first-degree felony.

Appellant filed a motion in limine to prohibit the state from presenting expert testimony to

prove that the substances seized from his premises were controlled substance analogs, and
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requested a Daubert hearing on the matter.              The trial court denied appellant's motion in

limine, without holding a Daubert hearing. After a two-day jury trial appellant was convicted

on all nine counts, and the trial court sentenced him to an aggregate 11-year prison term.

       {¶ 3} Appellant appealed his conviction to this court, arguing the trial court erred in

denying his motion in limine to exclude the state's expert witness testimony without holding a

Daubert hearing. State v. Shalash, 12th Dist. Warren No. CA2013-06-052, 2014-Ohio-2584,

¶ 15-16. We agreed with appellant's argument, reversed his conviction, and remanded the

matter for further proceedings. Id. at ¶ 55.

       {¶ 4} On remand, the trial court held a Daubert hearing, during which both parties

presented expert testimony regarding the scientific reliability of determining whether

controlled substance analogs were "substantially similar" to controlled substances, both in

terms of composition and in the effect controlled substance analogs have on persons who

use them. Afterwards, the trial court issued a decision ruling that the state's "expert

testimony will be admitted." The trial court found that (1) the "visual assessment/comparison

method" used by the state's experts is no different than forensic methods employed by

chemists for decades; (2) the procedures used by the Miami Valley Regional Crime

1. Five of the eight counts were charged as fourth-degree felonies while the remaining three counts were
charged as felonies of either the first, second, or third degree.

2. See Daubert v. Merrell Dow Pharmaceuticals, Inc., 509 U.S. 579, 113 S. Ct. 2786 (1993).

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Laboratory (MVRCL) are objectively verifiable, are validly derived from widely accepted

principles of forensic chemistry, and are conducted in a way that will yield an accurate result;

and (3) the expert pharmacological testimony to be offered is grounded in traditional science

generally accepted in the scientific community." Additionally, the trial court determined that

"pursuant to the law that existed at the time of this offense, the question of 'substantially

similar' is a factual question for the jury to resolve."

       {¶ 5} Appellant then moved to dismiss the case on the ground that the sale of

controlled substance analogs was not criminalized at the time he sold them. The trial court

denied appellant's motion to dismiss. With the court participating in a discussion between

the parties regarding several issues including appellant's anticipated appeal, appellant pled

no contest to the charges in the indictment. The trial court accepted appellant's no contest

plea, found him guilty as charged, and sentenced him to an aggregate 11-year prison term.

       {¶ 6} Appellant now appeals, assigning the following as error:

       {¶ 7} Assignment of Error No. 1:

       {¶ 8} THE TRIAL COURT ERRED IN FAILING TO GRANT SHALASH'S MOTION

TO DISMISS BECAUSE CONTROLLED SUBSTANCE ANALOGS WERE NOT

CRIMINALIZED AT THE TIME SHALASH WAS ALLEGED TO HAVE COMMITTED THESE

OFFENSES.

       {¶ 9} Assignment of Error No. 2:

       {¶ 10} THE TRIAL COURT ERRED IN HOLDING THE STATE COULD PRESENT

EXPERT TESTIMONY AT TRIAL THAT THE SUBSTANCES AT ISSUE WERE

SUBSTANTIALLY SIMILAR TO CONTROLLED SUBSTANCES BECAUSE THIS EVIDENCE

WAS UNRELIABLE.

       {¶ 11} In his first assignment of error, Shalash argues the trial court erred in denying

his motion to dismiss the charges against him, because controlled substance analogs were
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not criminalized at the time he allegedly committed the offense of aggravated trafficking of

such substances. Specifically, Shalash contends that, at the time he was alleged to have

sold controlled substance analogs, which was from January 2012 to February 2012, R.C.

2925.03(A) criminalized selling or offering to sell controlled substances, but did not

criminalize selling or offering to sell controlled substance analogs. He notes that at the time

of his alleged offenses, the term "controlled substance analog" did not appear in R.C.

Chapter 2925, and that it was not until December 2012 that "controlled substance analog"

was added to R.C. 2925.03(A) and 2925.01(A). He asserts that since controlled substance

analogs were not criminalized until ten months after he was indicted for trafficking in such

substances, the indictment against him should have been dismissed.

       {¶ 12} In support of his argument, appellant relies on State v. Smith, 10th Dist.

Franklin Nos. 14AP-154 and 14AP-155, 2014-Ohio-5303. In that case, Smith was indicted

on five counts of aggravated possession of controlled substance analogs and five counts of

aggravated trafficking in controlled substance analogs. Id. at ¶ 2. Smith moved to dismiss

the indictment, asserting that controlled substance analogs were not criminalized at the time

his alleged offenses occurred, and therefore he could not be convicted of the offenses for

which he had been indicted. Id. at ¶ 3. The trial court agreed with Smith's arguments and

granted his motion to dismiss the indictments and charges against him. Id. The state

appealed the trial court's decision to the Tenth District Court of Appeals, which upheld the

trial court's decision. Id. at ¶ 1, 22.

       {¶ 13} The Tenth District observed that, in 2011, the General Assembly enacted

House Bill 64, which became effective on October 17, 2011.            Id. at ¶ 7. The court

acknowledged that House Bill 64 created a definition of "controlled substance analog" in R.C.

3719.01(HH). House Bill 64 also provided that "[a] controlled substance analog, to the extent

intended for human consumption, shall be treated for purposes of any provision of the
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Revised Code as a controlled substance in schedule I." Id., citing 2011 Sub.H.B. No. 64.

This latter provision in H.B. 64 was codified in R.C. 3719.013.

       {¶ 14} The Tenth District noted in Smith that "[c]ourts apply the 'rule of lenity' when

faced with ambiguity in a criminal statute[,]" id. at ¶ 9, and that under the rule of lenity,

"'ambiguity in a criminal statute is construed strictly so as to apply the statute only to conduct

that is clearly proscribed.'" (Emphasis added by the Tenth District.) Id., quoting State v.

Straley, 139 Ohio St. 3d 339, 2014-Ohio-2139, ¶ 10.

       {¶ 15} The Tenth District observed that at the time of Smith's alleged acts, R.C.

Chapter 2925, which governs criminal drug offenses, defined certain terms by incorporating

the definitions contained in R.C. Chapter 3719. Id. at ¶ 12. However, the court observed that

"[n]otably, the list of definitions contained in R.C. 2925.01(A) * * * did not expressly

incorporate the definition of 'controlled substance analog' created in House Bill 64 and

codified as R.C. 3719.01(HH)."        Id.   After citing the canon of statutory construction,

"expressio unius est exclusio alterius," i.e., "the express inclusion of one thing implies the

exclusion of the other[,]" the Tenth District stated that "arguably, by creating a definition of

'controlled substance analog' in R.C. 3719.01(HH) under House Bill 64 but failing to

incorporate that definition into R.C. 2925.01, the General Assembly excluded that definition

from applying in the context of the criminal drug offense statutes." Id. (Emphasis sic.)

       {¶ 16} The Tenth District further found that the ambiguity under the law as amended

by House Bill 64 is also demonstrated by comparing the treatment of controlled substance

analogs with the treatment of certain chemical compounds referred to as 'spice.'" Id. at ¶ 13.

The court noted that unlike the amendments it made to Chapter 2925 in order to criminalize

spice, the General Assembly "did not amend R.C. 2925.03 or 2925.11 to expressly prohibit

the sale or possession of controlled substance analogs and did not amend any part of

Chapter 2925 to explicitly refer to controlled substance analogs[.]" Id.
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       {¶ 17} The Tenth District rejected the state's argument that R.C. 3719.013, which

provides that a controlled substance analog "shall be treated for purposes of any provision of

the Revised Code as a controlled substance in schedule I," "necessarily incorporated

controlled substance analogs into all parts of the Revised Code addressing schedule I

controlled substances[.]" Id. at ¶ 14. The court noted that Chapter 3719 "generally relates to

the civil regulation of controlled substances, not to criminal enforcement[,]" and that at the

time Smith allegedly committed his offenses, "there were no cross-references or any other

indicators in Chapter 2925 to provide notice that the treatment of controlled substance

analogs under Chapter 3719 also applied to Chapter 2925." Id. The court added that "[a]lso

confusing is R.C. 3719.01(HH)(2)(a), which states that '"controlled substance analog" does

not include any of the following: (a) A controlled substance,' seemingly contradicting R.C.

3719.013." Id.

       {¶ 18} The Tenth District further found that "the placement of the relevant provisions

within the overall statutory structure [of House Bill 64] also demonstrates a notable distinction

between [that measure and the federal Controlled Substance Analogue Enforcement Act

(CSAEA) of 1986]." Id. at ¶ 15. The court observed that under the CSAEA of 1986, "all of

the relevant provisions, including the definition of 'controlled substance analogue' and the

requirement that such analogues be treated as controlled substances, were placed into the

same portion of federal law that contained the prohibitions on possession and sale of

controlled substances[.]" Id. The court noted that "[b]y contrast, House Bill 64 placed the

controlled substance analog provisions in Chapter 3719 separate from the prohibitions and

penalties set forth in Chapter 2925, and failed to incorporate any explicit cross-references in

Chapter 2925 to the controlled substance analog provisions." Id.

       {¶ 19} "Applying the rule of lenity," the Tenth District concluded that, at the time Smith

committed his offenses, i.e., from February 2012 through July 2012, "R.C. 2925.03 and
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2925.11 did not adequately 'state a positive prohibition * * * and provide a penalty for

violation of such prohibition' on the sale or possession of controlled substance analogs [as

required by R.C. 2901.03(B),]" and therefore the acts Smith allegedly committed "were not

clearly defined as criminal offenses under the law as it existed at the time." Id. at ¶ 16.

Consequently, the Tenth District found that the trial court did not err by granting Smith's

motion to dismiss the indictments against him. Id.3

        {¶ 20} Appellant requests that we follow Smith in this case. We decline to do so.

        {¶ 21} When reviewing a trial court's decision regarding a motion to dismiss, this court

applies a de novo standard of review, meaning that we give no deference to the trial court's

decision. State v. Hubbard, 12th Dist. Preble No. CA2004-12-018, 2005-Ohio-6425, ¶ 6.

        {¶ 22} The primary goal of statutory construction is to determine the General

Assembly's intent. State v. Kormos, 12th Dist. Clermont No. CA2011-08-059, 2012-Ohio-

3128, ¶ 14. The first step in determining legislative intent is to look at the language of the

statute. Id. If the meaning of the statute is clear and definite, then the statute must be

applied as written. Id. However, if the language of the statute is ambiguous and subject to

more than one meaning, then further interpretation is needed. Id.

        {¶ 23} In House Bill 64, which became effective on October 11, 2011, the General

Assembly amended R.C. 3719.01 by adding subsection (HH), which defines "controlled

substance analog." House Bill 64 also added R.C. 3719.013, which provides that "[a]

controlled substance analog, to the extent intended for human consumption, shall be treated

for purposes of any provision of the Revised Code as a controlled substance in schedule I."

(Emphasis added.) We emphasize the word "any" because "any" means "all" or "without

limitation." See Wachendorf v. Shaver, 149 Ohio St. 231, 239-240 (1948). See, also, United

3. The Tenth District has followed Smith in State v. Mohammad, 10th Dist. Franklin No. 14AP-662, 2015-Ohio-
1234; and State v. Mobarak, 10th Dist. Franklin No. 14AP-517, 2015-Ohio-3007.

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States v. Gonazales, 520 U.S. 1, 5, 117 S. Ct. 1032 (1997) ("Read naturally, the word 'any'

has an expansive meaning, that is, 'one or some indiscriminately of whatever kind.' Webster's

Third New International Dictionary 97 [1976]").

       {¶ 24} The plain and clear language of R.C. 3719.013 incorporated controlled

substance analogs into every other chapter of the Revised Code, including R.C. Chapter

2925. Therefore, the sale or possession of controlled substance analogs was criminalized as

of October 11, 2011, the date House Bill 64 became effective, and thus controlled substance

analogs were criminalized at the time appellant committed the offenses with which he was

charged.

       {¶ 25} Additionally, since the words in R.C. 3719.013 are unambiguous, there is no

need to resort to the canons of statutory construction, as the Tenth District did in Smith. The

Ohio Supreme Court has made it clear that the rule of lenity applies only when the criminal

statute in question is ambiguous. State v. Elmore, 122 Ohio St. 3d 472, 2009-Ohio-3478, ¶

40. We do not, nor did the court in Smith, find R.C. 3719.013 to be ambiguous. The court in

Smith found that the ambiguity arose because the reference to analogs was placed in

Chapter 3719, rather than Chapter 2925. Id. at ¶ 14. The court in Smith noted that Chapter

3719 generally pertains to the civil regulation of controlled substances while Chapter 2925

governs criminal offenses. However, there is frequent interplay and integration for purposes

of implementation between Chapters 3719 and 2925 as schedule I is mentioned in various

places in Chapter 3719. Indeed, the court in Smith acknowledged this frequent interplay and

integration by noting that R.C. Chapter 2925 defines certain terms by incorporating the

definitions contained in R.C. Chapter 3719. Id. at ¶ 12.

       {¶ 26} Ironically, the court in Smith cited the interplay and integration between

Chapters 3719 and 2925 and the canon of statutory construction, espressio unius est

exclusio alterius, in support of its observation that, by creating a definition of "controlled
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substance analog" in R.C. 3719.01(HH) and then failing to incorporate that definition into

R.C. 2925.01, the General Assembly "arguably" excluded that definition from applying in the

context of criminal drug offenses. Id. However, the maxim does not apply to every statutory

list or group; rather, it applies only when the items expressed in the list or group are members

of an associated group or series that would justify an inference that the items not mentioned

were intentionally excluded by the legislature. Summerville v. Forest Park, 128 Ohio St. 3d
221, 2010-Ohio-6280, ¶ 35. Here, the frequent interplay and integration for purposes of

implementation between Chapters 3719 and 2925, which the court in Smith acknowledged,

undermines any suggested inference that by placing the definition of "controlled substance

analog" in R.C. 3719.01(HH), the General Assembly deliberately intended to exclude that

definition from applying in the context of the criminal drug offense statutes.

       {¶ 27} Additionally, it has also long been held that the maxim "[l]ike other canons of

statutory construction[,] * * * is only an aid in the ascertainment of the meaning of the law,

and must yield whenever a contrary intention on the part of the lawmaker is apparent."

Wachendorf, 149 Ohio St. at 239-240. Here, a contrary intention on the part of the General

Assembly is apparent from R.C. 3719.013, which provides that a controlled substance analog

"shall be treated for purposes of any provision of the Revised Code as a controlled substance

in schedule I." (Emphasis added.)

       {¶ 28} As R.C. 3719.013 is clear and unambiguous on its face, appellant's first

assignment of error is overruled.

       {¶ 29} In his second assignment of error, appellant argues the trial court erred in

denying his motion in limine to prohibit the state from presenting expert testimony showing

that the alleged controlled substance analogs were "substantially similar" to controlled

substances. Specifically, he contends that the expert testimony is unreliable under Daubert.

However, before addressing the substantive arguments raised by appellant in his second
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assignment of error, we must first consider whether appellant's no contest plea preserved for

appellate review the trial court's ruling on his motion in limine.

       {¶ 30} A trial court's ruling on a motion in limine, including a motion to exclude expert

testimony, is a tentative, interlocutory, and precautionary ruling that reflects the trial court's

anticipated treatment of an evidentiary issue that may arise at trial. State v. Harris, 12th Dist.

Butler No. CA2007-11-280, 2008-Ohio-4504, ¶ 27. A motion in limine is directed to the trial

court's discretion on an evidentiary issue that might arise at trial but that has not yet been

presented in full context. Id. Generally, a trial court's ruling on a motion in limine does not

preserve for review any error the trial court may have made in ruling on the motion; rather,

any claimed error "must be preserved at trial by an objection, proffer, or ruling on the

record[,]" and "[f]ailing to object to the admissibility of the evidence at trial waives any error

except plain error." Id. However, not all motions in limine are alike. See State v. Johnston,

2d Dist. Montgomery No. 26016, 2015-Ohio-450, ¶ 14-16; State v. Echard, 9th Dist. Summit

No. 24643, 2009-Ohio-6616, ¶ 14-31, Dickson, J., dissenting.

       {¶ 31} A definitive or exclusionary motion in limine has been called "the functional

equivalent" of a motion to suppress. State v. Johnston, 2015-Ohio-450 at ¶ 16, citing State v.

French, 72 Ohio St. 3d 446, 450 (1995). A motion in limine may be used "as the functional

equivalent of a motion to suppress evidence that is either not competent or improper due to

some unusual circumstance not rising to the level of a constitutional violation." (Emphasis

sic.) Id. "'The essential difference between a Crim.R. 12[(C)] motion [e.g., a pretrial motion

to suppress] and a motion in limine is that the former is capable of resolution without a full

trial, while the latter requires consideration of the issue in the context of the other evidence.'

(Emphasis deleted.)" Johnston at ¶ 17, quoting State v. Hall, 57 Ohio App. 3d 144, 146 (8th

Dist.1989).

       {¶ 32} In Johnston, the appellant, Johnston, was charged with a number of crimes,
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including kidnapping, rape, sexual battery, and aggravated menacing. Id. at ¶ 2. Johnston

pled not guilty by reason of insanity. Id. at ¶ 3. When the state's psychologist determined

that Johnston was competent to stand trial, Johnston sought a second evaluation by another

psychologist who found that Johnston was legally insane at the time of the alleged offenses

due to an amphetamine-induced psychotic disorder and a chronic mood disorder not

otherwise specified. Id. at ¶ 4. The state filed a motion in limine to exclude any testimony or

evidence at trial as to Johnston's alleged psychiatric or psychological conditions that are

related to his voluntary ingestion of drugs and requested a Daubert hearing to determine

whether the expert opinion of Johnston's psychologist was admissible. Id. at ¶ 5.

       {¶ 33} After holding a hearing, the trial court granted the state's motion in limine and

issued an order excluding the testimony of Johnston's psychologist on the ground that it was

improper under R.C. 2901.21(C), which precludes using voluntary intoxication as a defense.

Id. at ¶ 8. Johnston then pled no contest to the charges in the indictment. Id. at ¶ 9.

Defense counsel represented that Johnston entered the plea because the trial court's ruling

excluding the testimony of his psychologist destroyed his sole defense and Johnston wanted

the opportunity to appeal the ruling." Id. The trial court accepted defense counsel's

representation, without any comment. The trial court then accepted Johnston's no contest

plea, found him guilty, and sentenced him to an aggregate ten-year prison term. Id.

       {¶ 34} On appeal, Johnston argued the trial court "erred and abused its discretion" in

granting the state's motion in limine and excluding the testimony of his expert psychologist

and that his psychologist's opinion on the issues of insanity and involuntary intoxication

should have been permitted. Id. at ¶ 12. The state argued the trial court's ruling on the

motion in limine was a preliminary, interlocutory order, and therefore, was not reviewable on

appeal. Id.

       {¶ 35} The Second District Court of Appeals rejected the state's argument, finding that
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the trial court's "ruling on the State's motion in limine was the functional equivalent of a

suppression ruling[,]" since "[t]he trial court's ruling on the motion was not akin to a

preliminary, anticipatory ruling that needed to be finalized at trial[,] * * * rather, the trial court

conclusively determined that [Johnston's psychologist] would not be allowed to testify at trial

because his testimony was improper under R.C. 2901.21(C)." Id. at ¶ 23.

       {¶ 36} The court also observed that this was not a situation where the admissibility of

the expert testimony could have been determined only in the context of the other evidence

presented at trial and that the admission of the expert evidence was not dependent on a

foundation being laid at trial; instead, "[l]ike a suppression hearing, all the evidence and

testimony necessary to make this decision was presented at the evidentiary hearing where

[Johnston's psychologist] was fully questioned and cross-examined by the parties." Id. at ¶

24.     Therefore, the court found that "the motion was assessed in its full

evidentiary/testimonial context and a conclusive ruling was thereafter made." Id.

       {¶ 37} Additionally, the court noted that "during Johnston's plea hearing, the trial court

indirectly indicated that Johnston would be able to appeal the evidentiary ruling excluding [his

psychologist's] testimony and the State did not disagree." Id. at ¶ 25. The court concluded

that "Johnston's challenge to the trial court's evidentiary ruling excluding [his psychologist's]

testimony was preserved for appeal despite being labeled in limine, as it is the equivalent of a

suppression ruling that was fully developed and ripe for determination." Id. at ¶ 26.

       {¶ 38} Having examined the case law on this issue, we conclude that a trial court's

ruling on a motion in limine may be preserved for review by a no contest plea if (1) the motion

in limine is being used as the "functional equivalent" of a motion to suppress evidence that is

either improper or not competent due to some circumstance not rising to the level of a

constitutional violation, (2) there is a clear understanding between the trial court and the

parties that the trial court's ruling on the evidentiary issue presented will be preserved for
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review, (3) the evidentiary issue has been contested and fully developed in the record, and

(4) the evidentiary issue was conclusively determined without a trial and is ripe for appellate

review.

       {¶ 39} Applying this rule to the case before us, we conclude that all of these

requirements have been met. Therefore, the trial court's refusal to grant appellant's motion in

limine, which was the "functional equivalent" of a motion to suppress, to prohibit the state

from presenting expert testimony on whether controlled substance analogs were substantially

similar to controlled substances was preserved for review. We now turn to the issue of

whether the trial court erred in denying appellant's motion in limine.

       {¶ 40} The specific issue at the Daubert hearing was whether the state should be

prohibited from presenting expert testimony regarding the controlled substance analogs

being substantially similar to controlled substances. The proposed testimony involved both

the substances' chemical and molecular structure and the effect the substances have on the

central nervous systems of the persons using them. The trial court, applying the factors

listed in Daubert, determined that the expert testimony that the state wanted to present on

this issue was reliable, and thus denied appellant's request to prohibit the state from

presenting the expert testimony.

       {¶ 41} Appellant argues the trial court erred or abused its discretion when it refused to

prohibit the state from presenting this expert testimony at trial. Specifically, appellant argues

(1) the term "substantially similar" has no commonly accepted definition, (2) the scientific

technique or methodology used to determine whether a controlled substance analog is

substantially similar to a controlled substance is not generally accepted, and (3) there was

insufficient evidence to prove that the controlled substance analogs have the same or greater

effect on the central nervous system of persons who use them as a controlled substance

would have.
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       {¶ 42} While appellate courts generally review a trial court's ruling on a motion in

limine under an abuse-of-discretion standard, this is an improper standard of appellate

review to use where the motion in limine is the functional equivalent of motion to suppress.

Johnston, 2015-Ohio-450 at ¶ 27. In that instance, an appellate court uses the standard of

review applicable to a motion to suppress. Id. In reviewing a trial court's decision on a

motion to suppress, an appellate court must accept as true the trial court's findings of fact if

they are supported by competent, credible evidence, and then independently determine,

without deference to the trial court's decision, whether the facts satisfy the applicable legal

standard. Id. at ¶ 28.

       {¶ 43} The issue raised by appellant in his motion in limine involved whether to admit

or exclude expert testimony. Therefore, the "applicable legal standard" in this case is Evid.R.

702, which governs the admission of expert testimony.

       {¶ 44} Evid.R. 702 states as follows:

            A witness may testify as an expert if all of the following apply:

            (A) The witness' testimony either relates to matters beyond the
            knowledge or experience possessed by lay persons or dispels a
            misconception common among lay persons;

            (B) The witness is qualified as an expert by specialized knowledge,
            skill, experience, training, or education regarding the subject matter
            of the testimony;

            (C) The witness' testimony is based on reliable scientific, technical,
            or other specialized information. To the extent that the testimony
            reports the result of a procedure, test, or experiment, the testimony
            is reliable only if all of the following apply:

            (1) The theory upon which the procedure, test, or experiment is
            based is objectively verifiable or is validly derived from widely
            accepted knowledge, facts, or principles;

            (2) The design of the procedure, test, or experiment reliably
            implements the theory;

            (3) The particular procedure, test, or experiment was conducted in a
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             way that will yield an accurate result.

       {¶ 45} The Ohio Supreme Court has held that "[c]ourts should favor the admissibility of

expert testimony whenever it is relevant and the criteria of Evid.R. 702 are met." State v.

Nemeth, 82 Ohio St. 3d 202, 207 (1998), quoting State v. Williams, 4 Ohio St. 3d 53, 57-58

(1983). Evid.R. 702(C) requires a trial court to find that "[t]he witness' testimony is based on

reliable scientific, technical, or other specialized information" and "[t]o the extent that the

testimony reports the result of a procedure, test, or experiment, the testimony is reliable only

if all of [conditions listed in Evid.R. 702(C)(1)-(3)] apply[.]" However, "Evid.R. 702 does not

define 'reliability' in the context of admitting expert testimony." Nemeth at 209.

       {¶ 46} The Ohio Supreme Court has set forth four factors to be considered by courts

"in evaluating the reliability of scientific evidence: (1) whether the theory or technique has

been tested, (2) whether it has been subjected to peer review, (3) whether there is a known

or potential rate of error, and (4) whether the methodology has gained general acceptance."

Id. at 211, citing Miller v. Bike Athletic Co., 80 Ohio St. 3d 607 (1998), citing Daubert v. Merrell

Dow Pharmaceuticals, Inc., 509 U.S. 579, 593-594, 113 S. Ct. 2786 (1993). "[N]one of these

factors is a determinative prerequisite to admissibility." Nemeth, citing Miller at 612-613 and

Daubert at 593.

       {¶ 47} The Ohio Supreme Court also stated in Nemeth as follows:

             Relevant evidence based on valid principles will satisfy the
             threshold reliability standard for the admission of expert testimony.
             The credibility to be afforded these principles and the expert's
             conclusions remain a matter for the trier of fact. The reliability
             requirement in Evid.R. 702 is a threshold determination that should
             focus on a particular type of scientific evidence, not the truth or
             falsity of an alleged scientific fact or truth. "'In other words, the
             court need not make the initial determination that the expert
             testimony or the evidence proffered is true before submitting the
             information to the jury.'" State v. Pierce, 64 Ohio St. 3d at 501, 597
             N.E.2d at 115, quoting United States v. Jakobetz (C.A.2, 1992), 955
F.2d 786, 796-797.

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       {¶ 48} In the present case, the state presented the expert testimony of Brook Ehlers, a

forensic chemist with MVRCL, who testified about the procedure that she and other chemists

at MVRCL use in examining substances that are suspected of being controlled substance

analogs. Ehlers testified that after a chemist determines that the substance in question is not

a controlled substance, the chemist then determines whether or not the substance is

"structurally similar" to a controlled substance. The definition MVRCL uses in determining

whether a substance is structurally similar to a controlled substance is whether the "vast

majority" of a molecule of the substance in question is the same as a molecule of a schedule

I or II controlled substance. This determination is made by the chemists at MVRCL using 2-D

models of both substances. Ehlers defines the term "vast majority" or "vast amount" as

meaning that the molecule of the substance in question and the molecule of the controlled

substance have more in common than not. Ehlers testified that other forensic scientists use

a similar definition.

       {¶ 49} The state also presented the expert testimony of Dr. Jon Sprague, who has a

PhD in pharmacology and toxicology. Dr. Sprague testified that for 25 years, he has

researched controlled substance analogs such as synthetic cannabinoids, synthetic

cathinones, ecstasy, and bath salts. Dr. Sprague testified as to both the molecular structure

of controlled substance analogs and the effects that the controlled substance analogs have

on the central nervous system of persons who use them and whether these controlled

substance analogs have the same or greater effect on a person's central nervous system that

a controlled substance would have.

       {¶ 50} Appellant presented the expert testimony of Joseph P. Bono, "a forensic

science consultant in the area of forensic science laboratory operations and the issues

associated with purported controlled substance analogs." Bono holds a bachelor's degree in

chemistry and a master's degree in political science. Bono stated that the term "substantially
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similar" does not have an objective scientific definition; that as a scientist, he could not give

an opinion on whether two chemicals are substantially similar because there is no objective

standard; and that he was not aware of any scientific test to determine whether two

chemicals are substantially similar. Bono acknowledged during cross-examination that in

1991, he wrote a chapter for a chemistry book in which he used 2-D models to show the

different structures for heroin, cocaine, and methamphetamine. However, Bono explained

that that he changed his mind about the efficacy of 2-D models in 2007, because his

retirement from government work had "open[ed] [his] mind." However, Bono acknowledged

that even though he has changed his mind about 2-D models, he still has used them in all of

his reports since 2007.

       {¶ 51} Appellant also presented the expert testimony of Dr. Robert Belloto, a forensic

chemist, who testified that there is no scientific test for determining whether two substances

are "substantially similar" and that a mathematical or statistical test needs to be created to

quantify what constitutes substantial similarity. Dr. Belloto also testified that there is not a

test for determining whether two substances will have similar pharmacological effects on

persons who use them.

       {¶ 52} As to appellant's argument that the term "substantially similar" has no

commonly accepted definition, we note that courts have consistently determined that this

term is to be defined by its plain, ordinary meaning. See, e.g., United States v. Brown, 279
F. Supp. 2d 1238, 1240-1241 (S.D.Ala.2003) (since the federal controlled substance analogue

act does not indicate the term "substantially similar" is to be defined as it is used scientifically,

the words will be defined as they are used in everyday language); United States v. Bays,

N.D.Tex. No. 3:13-CR-0357-B, 2014 WL 3764876, *3 (there is no indication that Congress

intended for the words "substantially similar" in the federal controlled substance analogue act

to have a specialized or scientific meaning, and therefore the words should be given their
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ordinary meaning).

       {¶ 53} As to appellant's argument that the method MVRCL uses to determine whether

a controlled substance analog is substantially similar to a controlled substance is not

generally accepted, we note that both Ehlers and Dr. Sprague testified that the visual

comparison method, including the use of 2-D models, is generally accepted in the scientific

community. This same conclusion has been reached by a number of federal courts. See,

e.g., United States v. Brown, 415 F.3d 1257, 1267 (11th Cir.2005); Bays at *8. Dr. Sprague

also testified that his methodology for determining whether a controlled substance analog

has the same or greater effect on a user's central nervous system that a controlled substance

would have has been peer reviewed and is generally accepted in the scientific community.

       {¶ 54} As to appellant's argument that there was insufficient evidence to prove that the

controlled substance analogs have the same or greater effect on a user's central nervous

system that a controlled substance would have, we note that Dr. Sprague testified that he

considers the "binding" or "affinity" of the controlled substance analog to receptors in the

brain and how this binding or affinity is measured by the "KI value[,]" and that the lower the KI

value a substance has, the more potent the substance is. Dr. Sprague testified that he uses

the "KI value" to determine whether a controlled substance analog has the same or greater

effect on a person's central nervous system that a controlled substance would have and that

use of the "KI value" is generally accepted in the scientific community.

       {¶ 55} Dr. Sprague also testified that research has been done on the substances at

issue in this case to compare the level of "affinity," and that the levels in question have been

verified in studies on rodents. Dr. Sprague testified that this methodology is generally

accepted in the scientific community and that the results of the studies have been presented

in peer-reviewed publications. A number of federal courts have upheld the use of these

methods in determining the physiological effects of controlled substance analogues. See,
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                                                                      Warren CA2014-12-146

e.g., Bays at *8, and the cases cited therein, including United States v. McFadden, W.D.Va.

No. 3:12CR00009, 2013 WL 8339005, at *5 (May 10, 2013) (expert testimony based on

animal studies was properly admitted in a controlled substance analogue case and any

shortcomings identified by the defendant went to the weight to be given the evidence rather

than its admissibility), aff'd, 753 F.3d 432 (4th Cir.).

       {¶ 56} In light of the foregoing, the state presented sufficient evidence to show that the

expert testimony it intended to introduce at appellant's trial met the standards set forth in

Evid.R. 702 and Daubert, including that the testimony was "reliable" under Evid.R. 702(C),

and therefore, the trial court did not err in refusing appellant's request to prohibit the state

from presenting the expert testimony at trial.

       {¶ 57} Judgment affirmed.

       S. POWELL and RINGLAND, JJ., concur.

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