[Cite as State v. Brown, 2011-Ohio-1461.]




                      IN THE COURT OF APPEALS OF OHIO
                          THIRD APPELLATE DISTRICT
                               ALLEN COUNTY




STATE OF OHIO,

        PLAINTIFF-APPELLEE,                              CASE NO. 1-10-31

        v.

NEAL D. BROWN,                                           OPINION

        DEFENDANT-APPELLANT.




                  Appeal from Allen County Common Pleas Court
                           Trial Court No. CR 2009 0076

                                     Judgment Affirmed

                            Date of Decision:   March 28, 2011




APPEARANCES:

        Kenneth J. Rexford for Appellant

        Jana E. Emerick for Appellee
Case No. 1-10-31


PRESTON, J.

        {¶1} Defendant-appellant, Neal D. Brown (hereinafter “Brown”), appeals

the judgment of conviction and sentence entered against him in the Allen County

Court of Common Pleas following a jury trial in which Brown was found guilty of

multiple counts of possession of cocaine and crack cocaine. For the reasons that

follow, we affirm.

        {¶2} On March 9, 2009, the Allen County Grand Jury returned an

indictment against Brown charging him with the following four counts: count one

of possession of crack cocaine in an amount equal to or exceeding ten grams but

not exceeding twenty-five grams in violation of R.C. 2925.11(A)&(C)(4)(d), a

felony of the second degree; count two of possession of cocaine in an amount

equal    to   or   exceeding   one     thousand   grams   in   violation   of   R.C.

2925.11(A)&(C)(4)(f), a major drug offender felony of the first degree; count

three of possession of crack cocaine in an amount equal to or exceeding one gram

but not exceeding five grams in violation of R.C. 2925.11(A)&(C)(4)(b), a felony

of the fourth degree; and count four of possession of cocaine in an amount equal to

or exceeding five grams but not exceeding twenty-five grams in violation of R.C.

2925.11(A)&(C)(4)(b), a felony of the fourth degree. Counts one and three also

contained forfeiture specifications.




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       {¶3} On March 16, 2009, Brown entered a plea of not guilty to all the

charges in the indictment.

       {¶4} On June 16, 2009, Brown filed a motion to suppress evidence that

had been seized pursuant to a search warrant served at 110 East 14th Street in

Allen County, Ohio, on September 3, 2008.           On July 21, 2009, a hearing

commenced on Brown’s motion to suppress, which was concluded on July 28,

2009. Afterwards, on August 24, 2009, the trial court filed its judgment entry

overruling Brown’s motion to suppress.

       {¶5} Subsequently, on March 22-24, 2010, a jury trial was held on the

case, and after the presentation of evidence, the jury returned verdicts of guilty as

to each of the four counts in the indictment. The jury only found that one vehicle

possessed by Brown was subject to forfeiture.

       {¶6} On April 6, 2010, a forfeiture and sentencing hearing was held.

With respect to the forfeiture issue, after giving the parties the opportunity to be

heard, the trial court ordered that a 1996 Chevrolet Tahoe be criminally forfeited.

Finally, with respect to sentencing, after both parties presented their respective

arguments, the trial court sentenced Brown as follows: seven (7) years in prison on

count one; eighteen (18) years in prison on count two; one (1) year in prison on

count three; and one (1) year in prison on count four. Additionally, the trial court

ordered that the sentences imposed in counts one and three run concurrently to one



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Case No. 1-10-31


another, and that the sentences imposed in counts two and four also run

concurrently to one another, but that the sentences imposed in counts one and

three were to run consecutive to the sentences imposed in counts two and four, for

a total sentence of twenty-five (25) years in prison.

         {¶7} Brown now appeals and raises the following seven assignments of

error.

                        ASSIGNMENT OF ERROR NO. I

         THE TRIAL COURT [SIC] DENIAL OF THE DEFENSE
         MOTION TO SUPPRESS ERRANTLY VIOLATED MR.
         BROWN’S RIGHTS TO BE FREE FROM UNREASONABLE
         SEARCHES AND SEIZURES, AS PROTECTED BY BOTH
         THE OHIO CONSTITUTION AND THE UNITED STATES
         CONSTITUTION.

         {¶8} In his first assignment of error, Brown argues that the trial court

erred in denying his motion to suppress. In particular, Brown claims that there

were the following problems with the information contained in the affidavit for the

original search warrant issued in this particular case: (1) that the trial judge had

been misled by information in the affidavit that the affiant had known was false or

would have known was false but for the affiant’s reckless disregard for the truth;

(2) that the affiant did not have personal knowledge of all of the information put

into the affidavit; (3) that officers had not observed an actual drug transaction take

place at 110 E. 14th Street, Lima, Ohio; and (4) that the scope of the warrant had




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been limited to only the residence at 110 East 14th Street, Lima, Ohio, and did not

include any outbuildings or vehicles at that location.

       {¶9} We note that an appellate court’s review of a decision on a motion to

suppress evidence involves mixed questions of law and fact. State v. Burnside,

100 Ohio St.3d 152, 2003-Ohio-5372, 797 N.E.2d 71, ¶8.              At a suppression

hearing, the trial court assumes the role of trier of fact and, as such, is in the best

position to evaluate the evidence and the credibility of witnesses. See State v.

Carter (1995), 72 Ohio St.3d 545, 552, 651 N.E.2d 965. When reviewing a ruling

on a motion to suppress, deference is given to the trial court’s findings of fact so

long as they are supported by competent, credible evidence. Burnside, 2003-Ohio-

5372, at ¶8. With respect to the trial court’s conclusions of law, however, our

standard of review is de novo and we must decide whether the facts satisfy the

applicable legal standard. State v. McNamara (1997), 124 Ohio App.3d 706, 710,

707 N.E.2d 539.

       {¶10} In reviewing the affidavit in this case, we are guided by the

following instruction by the Ohio Supreme Court:

       [i]n determining the sufficiency of probable cause in an affidavit
       submitted in support of a search warrant, “[t]he task of the
       issuing magistrate is simply to make a practical, common-sense
       decision whether, given all the circumstances set forth in the
       affidavit before him * * * there is a fair probability that
       contraband or evidence of a crime will be found in a particular
       place.”



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State v. George (1989), 45 Ohio St.3d 325, 544 N.E.2d 640, paragraph one of the

syllabus, quoting Illinois v. Gates (1983), 462 U.S. 213, 238-39, 103 S.Ct. 2317,

76 L.Ed.2d 527. Probable cause is defined as “‘less than evidence which would

justify condemnation * * *. It imports a seizure made under circumstances which

warrant suspicion.’” Gates, 462 U.S. at 235, quoting Locke v. United States

(1813), 11 U.S. (7 Cranch) 339, 348, 3 L.Ed. 364. Consequently, “[f]inely-tuned

standards such as proof beyond a reasonable doubt or by a preponderance of the

evidence, useful in formal trial, have no place in the magistrate’s decision. * * * it

is clear that ‘only the probability, and not a prima facie showing, of criminal

activity is the standard of probable cause.’” Gates, 462 U.S. at 235, quoting

Spinelli v. United States (1969), 393 U.S. 410, 419, 89 S.Ct. 584, 21 L.Ed.2d 637,

abrogated by Gates, 462 U.S. at 235-36.

       {¶11} Moreover, because of this totality-of-the-circumstances approach, an

appellate court’s role is limited to simply “ensur[ing] that the magistrate had a

substantial basis for concluding that probable cause existed.” George, 45 Ohio

St.3d at paragraph two of the syllabus. The issuing judge or magistrate should be

accorded great deference, “‘and doubtful or marginal cases in this area should be

resolved in favor of upholding the warrant.’” State v. Gipson, 3d Dist. No. 5-09-

19, 2009-Ohio-6234, ¶17, quoting George, 45 Ohio St.3d at 229-30, citing Gates,

462 U.S. at 235.



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Case No. 1-10-31


      {¶12} In this case, the affidavit at issue on appeal is the Affidavit for the

Search Warrant sworn to by Investigator Dan Howard on September 3, 2008,

which consisted of the following information:

      1. Investigator Dan Howard, an officer with the Allen County
      Sheriff’s Department, has 12 years of law enforcement experience
      and is currently assigned to the West Central Ohio Crime Task Force
      (“W.C.O.C.T.F.”) where he has received specialized narcotics
      training and worked numerous controlled drug buy cases;
      2. On September 2, 2008, officers from the West Central Ohio
      Crime Task Force had been involved in the controlled purchase of
      crack cocaine from David Doyle during which time Doyle drove to a
      location where Lindsay Gamble was at and spoke to Gamble;
      Gamble then drove to 110 E. 14th Street, Lima, Allen County, Ohio
      and was observed to walk behind the residence there, be out of sight
      for 15-20 seconds before leaving the area and driving back to Doyle;
      after this meeting with Gamble, Doyle then drove to his original
      location and sold crack cocaine to a confidential informant;
      3. Both Lindsay Gamble and David Doyle are known crack
      dealers, and Lindsay Gamble goes by the nickname of “Snook”;
      4. Investigator Howard checked the West Central Ohio Crime
      Task Force tip sheets and found the following:
             a. On September 25, 2007 – DEA received information that
              Neal Brown is a main supplier, lives at the corner of 14th and
              Main Street, and has Snook selling for him
              b. On November 27, 2007 – DEA received information that
              Lindsay Gamble, aka Snook, was dealing heavily and getting
              drugs from Neal Brown at 14th and Main Street
              c. On August 20, 2008 – DEA received information that
              Neal Brown was dealing heavily from an address on 15th
              Street
      5. On September 3, 2008, Investigator Howard determined that
      110 E. 14th Street, Lima, Allen County, Ohio is owned by Ruby
      Brown and is believed to be occupied by Neal Brown;
      6. A confidential informant who has been proven credible and
      reliable confirmed that Neal Brown lives at 110 E. 14th Street, Lima,
      Allen County, Ohio and is a well known drug trafficker and that he
      is known to carry a firearm on his person, and has several at his


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Case No. 1-10-31


      disposal inside his residence, and has the potential for violence
      towards law enforcement personnel;
      7. A different confidential informant who has been proven
      credible and reliable confirmed that Neal Brown lives at 110 E. 14th
      Street, Lima, Allen County, Ohio and is a well known drug
      trafficker;
      8. A computerized criminal history (“C.C.H.”) was run and
      revealed that a Neal Brown has numerous violent felony convictions
      in the State of Florida in 1989 and 1993 as well as an instance of
      resisting an officer with violence;
      9. On September 3, 2008, Investigator Howard observed Lindsay
      Gamble arrive at 110 E. 14th Street, Lima, Allen County, Ohio, and
      again walk to the rear of the house during which time a black male
      fitting the description of Neal Brown walked out the front door of
      the residence and watched as officers drove past

(See State’s Ex. 1, Suppression Hearing).

      {¶13} In addition to submitting the affidavit, the trial judge and

Investigator Howard engaged in a conversation regarding the search warrant for

purposes of establishing the reasons why the officers were asking for a no-knock

and nighttime search warrant.     (State’s Ex. 13, Suppression Hearing).     The

transcript of this conversation reveals that Investigator Howard based the

information in his affidavit on his own independent knowledge and observations,

as well as those of other officers and agents of the Allen County Sheriff’s

Department, and two different confidential informants, both of whom had proven

credible and reliable. (Id.). Based on this affidavit, the trial judge issued and

executed the requested search warrant for 110 E. 14th Street, Lima, Allen County,

Ohio. (State’s Ex. 2, Suppression Hearing). As a result of the execution of the



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Case No. 1-10-31


search warrant for 110 E. 14th Street, law enforcement discovered and ultimately

seized several packages of cocaine and crack cocaine, related drug paraphernalia,

firearms, and ammunition.

      {¶14} Consequently, Brown challenged the evidence obtained as a result of

the search warrant mostly on the basis that the information regarding William Neal

Brown of Florida in the affidavit for the search warrant had been false, and, as a

result, that the judiciary had been misled by law enforcement officers in the

issuance of the warrant.

      {¶15} At the suppression hearing, Investigator Howard acknowledged that,

at the time of the suppression hearing, there was still some confusion as to the

actual identity of the defendant. (July 21, 2009 Tr. at 7). Investigator Howard

stated that prior to requesting the search warrant they had run “Neal D. Brown”

through the OHLEG computer program, and then had run the social security

number through the LEADS computer program and obtained an FBI number.

(July 21, 2009 Tr. at 14). He then said that they had used that FBI number to run a

criminal history (“CCH”) check through LEADS, which resulted in a “William

Neal Brown” out of Florida that used an alias of “Neal D. Brown.” (July 21, 2009

Tr. at 46).   While Investigator Howard acknowledged that the William Neal

Brown in Florida had a different social security number and a similar but different

birth date than the defendant, he said that it was not uncommon for drug



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traffickers to use an alias that has different marks of identification. (Id. at 47).

Nevertheless, at the second day of the suppression hearing, Investigator Howard

testified he had since discovered that the Neal Brown in this particular matter was

not the same Neal Brown whose prior record from Florida was used in the search

warrant affidavit. (July 28, 2009 Tr. at 6). However, Investigator Howard made it

clear that prior to obtaining the search warrant, he had had no reason to believe

that the information he included regarding the prior record of Neal Brown of

Florida belonged to someone other than the defendant.         (Id. at 5).   Further,

Investigator Howard indicated that the only reason he had listed the prior record

was to demonstrate “the safety of the officers serving the warrant” since they were

requesting a no-knock search warrant. (Id. at 6).

      {¶16} In addition to Investigator Howard’s testimony, Investigator Brian

McKinney with the Allen County Sheriff’s Department, who was also assigned to

the West Central Ohio Crime Task Force, testified at the suppression hearing.

Investigator McKinney testified that he had been involved in the investigation of

Neal Brown and 110 E. 14th Street, and had assisted in obtaining the additional

search warrants executed for 110 E. 14th Street and Neal Brown. (July 28, 2009

Tr. at 27).      On cross-examination, Investigator McKinney corroborated

Investigator Howard’s testimony that when they had run Neal Brown’s

information in the computer programs, they discovered a William Neal Brown



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Case No. 1-10-31


who had a substantial criminal record down in Florida. (Id. at 42). Investigator

McKinney stated that he became concerned for officers’ safety in light of this

information, and that while the information on William Neal Brown did not

exactly match up with the information on Neal Brown in Ohio, he said that “[i]t

was similar enough for me to believe that it was a good chance that it was the

same person.” (Id. at 42-43). Nevertheless, Investigator McKinney explicitly

stated that at the time they obtained the information on William Neal Brown from

Florida, he “believed one hundred percent of the time that it was the same

individual.” (Id. at 44). Moreover, he said that he “had absolutely no reason to

believe that it was anyone different.” (Id. at 49). In fact, concerning the different

birth dates and social security numbers, Investigator McKinney said “that’s not

uncommon for uh, some people affiliated with the drug trade.” (Id. at 52).

       {¶17} After the presentation of evidence at the suppression hearing, the

trial court denied Brown’s motion to suppress, and in its judgment entry, held as

follows:

       Much time and effort has been set forth dealing with the fact
       that a William Neal Brown in Florida showed an extensive
       criminal record, some being acts of violence. While this
       information proved to be mistaken as it concerns the defendant
       herein, this had little if anything to do with the basis of probable
       cause for the search warrant. There was sufficient probable
       cause without any information concerning the Florida William
       Neal Brown. The only real reason for inclusion of said
       information dealt with the “no knock” provision to protect the
       safety of law enforcement.


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(Aug. 24, 2009 JE).

       {¶18} Brown first claims that the trial court erred in denying his motion to

suppress because it was clear that law enforcement officers had intentionally

misled the judiciary in material facts that were used to support the issuance of the

warrant.   In particular, Brown claims that the information in Investigator

Howard’s affidavit regarding the alleged prior record of Neal Brown in Florida

was incorrect – that the William Neal Brown in Florida who had all of the violent

felony convictions was not the Neal Brown involved in this particular case. As a

result, Brown claims that the trial court erred in finding that the information about

William Neal Brown of Florida was irrelevant to the probable cause determination

for the search warrant, and finding that even without this information probable

cause existed. We disagree.

       {¶19} First of all, the information on William Neal Brown was from back

in 1989 and 1993, and therefore given the significant lapse in time, the

information would have been stale for purposes of a probable cause determination.

Second, the information regarding William Neal Brown’s prior criminal record

was irrelevant to the determination of whether there was a fair probability that

contraband or evidence of a crime will be found at 110 E. 14th Street, Lima, Allen

County, Ohio. In fact, both Investigator Howard and Investigator McKinney

testified at the suppression hearing that the sole reason the information regarding a


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Case No. 1-10-31


prior record for Neal Brown was included in the affidavit was to demonstrate one

of the bases for the officers’ belief that officer safety would be in jeopardy absent

a no-knock provision in the warrant. Thus, the only purpose for putting the

information regarding a prior criminal record of Neal Brown in the affidavit was

to justify the law enforcement officer’s request for a no-knock warrant due to the

concern for officer safety.1

         {¶20} Furthermore, we believe that there was sufficient information

contained in the affidavit that established a fair probability that contraband would

be found at 110 E. 14th Street, even absent the information about the prior record

of William Neal Brown from Florida. There was the indication that the crack

cocaine purchased during a controlled drug buy on September 2, 2008 came from

110 E. 14th Street, Lima, Allen County, Ohio and was obtained by Lindsay

Gamble. Two known, credible and reliable confidential informants indicated that

Neal Brown was known to live at that address, was believed to be trafficking in

drugs, and was known to be associated with Lindsay Gamble. Moreover, law

enforcement officers had driven by the 110 E. 14th Street residence prior to

requesting a search warrant, and observed Lindsay Gamble for a second time at


1
  We note that despite the incorrect information regarding Brown’s alleged prior violent felony record,
there was additional information in the affidavit that would have supported the officers’ belief that officer
safety would be in jeopardy absent a no-knock warrant. In particular, Investigator Howard averred that a
confidential informant who had been proven credible and reliable confirmed that Neal Brown was “known
also to carry a firearm on his person, and has several at his disposal inside his residence. * * * [and] warned
investigators of Neal Brown’s potential violence toward law enforcement personnel.” (State’s Ex. 1,
Suppression Hearing).


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Case No. 1-10-31


the residence along with a black male fitting the description of Neal Brown, who

walked out of the door of the residence and watched as the officers drove past the

house. Finally, these observations and the collection of this information came

from law enforcement officers who had specialized training in the field of

narcotics and who had a number of years of experience doing these types of

investigations. Again, it is only the “probability, and not a prima facie showing, of

criminal activity [that] is the standard of probable cause.’” Gates, 462 U.S. at 235,

quoting Spinelli, 393 U.S. at 419, abrogated by Gates, supra. Based on the above,

we believe that the affidavit contained sufficient information that established a fair

probability that contraband would be found at 110 E. 14th Street, even without the

incorrect information concerning William Brown’s prior criminal record.

       {¶21} Nevertheless, we acknowledge that deference to the judge issuing a

warrant is not boundless. Notwithstanding the reasonable reliance on a search

warrant exception to the Fourth Amendment exclusionary rule, otherwise known

as the good faith exception, suppression is an appropriate remedy if the magistrate

or judge in issuing the warrant was misled by information in an affidavit that the

affiant knew was false or would have known was false except for his reckless

disregard of the truth. United States v. Leon (1984), 468 U.S. 897, 914, 104 S.Ct.

3405, 82 L.Ed.2d 677. See, also, George, 45 Ohio St.3d at 331. Brown claims

that Investigator Howard knew or at least acted with reckless disregard for the



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Case No. 1-10-31


truth when he put the information about William Neal Brown’s prior violent

felony record in his affidavit.     In particular, Brown points to Investigator

Howard’s testimony at the suppression hearing where he acknowledged the fact

that William Neal Brown’s birth date and social security number were not the

same as the corresponding information on Neal Brown from Ohio. Based on this

knowledge, Brown claims that Investigator Howard had at least recklessly

disregarded the truth of the information.

       {¶22} However, “[t]o successfully attack the veracity of a facially

sufficient search-warrant affidavit, a defendant must show by a preponderance of

the evidence that the affiant made a false statement, either ‘intentionally, or with

reckless disregard for the truth.’” State v. McKnight, 107 Ohio St.3d 101, 2005-

Ohio-6046, 837 N.E.2d 315, ¶31, quoting Franks v. Delaware (1978), 438 U.S.

154, 155-56, 98 S.Ct. 2674, 57 L.Ed.2d 667. Here, there is no evidence that at the

time he filled out the affidavit Investigator Howard knew the information about

William Neal Brown in Florida was false. While it is true that false information

concerning Brown’s alleged prior criminal record was included in the affidavit, the

evidence in the record indicates that this information was not known to be false

until well after the warrant had been executed.      Moreover, there is similarly

nothing in the record that would support the argument that Investigator Howard

had acted in reckless disregard of the truth. “Reckless disregard” has been defined



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Case No. 1-10-31


as that about which the affiant had serious doubts about the truth of an allegation.

McKnight, 107 Ohio St.3d at 105-06, citing United States v. Williams (C.A.7,

1984), 737 F.2d 594, 602.        Here, both Investigator Howard and Investigator

McKinney testified that they had had no reason to doubt that the William Neal

Brown in Florida was the same Neal Brown in Ohio.                 Even in light of the

discrepancies between the birth dates and social security numbers, both

Investigator Howard and Investigator McKinney testified that those were not

significant concerns considering that drug traffickers will use aliases with similar,

but different personal information. Overall, despite Brown’s arguments to the

contrary, there is just nothing in the record that indicates that Investigator Howard

knew that the information concerning William Neal Brown of Florida was false, or

that he would have known it was false except for his reckless disregard of the truth

at the time he filled out the affidavit for the search warrant.

       {¶23} Nonetheless, even if this Court were to find that Investigator Howard

had known or had at least been reckless as to the truth of the information about

William Neal Brown’s prior criminal record and, thus, had misled the trial judge

who had issued the search warrant, we would then next have to find that the false

information was necessary to the finding of probable cause.             See Franks v.

Delaware (1978), 438 U.S. 154, 155-56, 171-72, 98 S.Ct. 2674, 57 L.Ed.2d 667.

“[A] search warrant is still valid even though it is based on an affidavit containing



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Case No. 1-10-31


false statements or omissions, unless, after including the omissions, ‘the affidavit’s

remaining content is insufficient to establish probable cause.’” State v. Bell, 12th

Dist. No. CA2008-05-044, 2009-Ohio-2335, ¶9, quoting State v. Sells, 2nd Dist.

No. 2005-CA-8, 2006-Ohio-1859, ¶11, citing State v. Waddy (1992), 63 Ohio

St.3d 424, 411, 588 N.E.2d 819, superseded on other grounds by constitutional

amendment as stated in State v. Smith (1997), 80 Ohio St.3d 89, 103, fn.4, 684

N.E.2d 668 (citations omitted). See, also, State v. Underwood, 4th Dist. No.

03CA2930, 2005-Ohio-2309, ¶¶29-32.          As we stated above, not only do we

believe that the incorrect information was irrelevant to the probable cause

determination, even disregarding the information concerning the prior violent

felony convictions from William Neal Brown in Florida, we believe that there was

still enough information in the affidavit to have provided a substantial basis for the

judge’s conclusion that there was a fair probability that illegal drugs would be

found at 110 E. 14th Street, Lima, Ohio.

       {¶24} Though not to the same extent, next Brown also briefly argues that

the affidavit for the search warrant was also problematic in that Investigator

Howard did not have personal knowledge as to all of the information he had put in

his affidavit. However, as this Court has previously stated:

       [S]tatements made to fellow police officers in the same
       investigation are an inherently reliable basis for another police
       officer to create an affidavit for a search warrant. So long as the
       officer reasonably believes the information to be true, hearsay


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Case No. 1-10-31


       information may be relied upon by an affiant, especially since
       practical considerations often require reliance on information
       provided by other sources.

State v. Bradley (Dec. 5, 1996), 3d Dist. No. 8-95-15, at *6, citing State v.

Henderson (1990), 51 Ohio St.3d 54, 57, 554 N.E.2d 104, and Franks v. Delaware

(1978), 438 U.S. 154, 98 S.Ct. 2674, 57 L.Ed.2d 667. Here, it is clear that

Investigator Howard either had personal knowledge of the information in the

affidavit or received the information from fellow investigators who were also

involved in the investigation. In addition, Brown claims that the information

about the controlled drug buy in the affidavit did not contain adequate details since

the law enforcement officer who had followed Gamble to 110 E. 14th Street saw

Gamble disappear for 15-20 seconds behind the house, but did not observe any

direct exchange of the crack cocaine at the residence. Nevertheless, we believe

that given all of the facts and circumstances surrounding the controlled drug buy

that were specified in the affidavit, especially the fact that it was only after

Gamble came back from his brief visit to 110 E. 14th Street that the confidential

informant was sold the crack cocaine, it was reasonable for law enforcement

officers to conclude that the crack cocaine came from 110 E. 14th Street.

       {¶25} Finally, Brown argues that even if the original search warrant was

supported by probable cause, that it only did so for the dwelling located at 110 E.

14th Street, Lima, Allen County, Ohio, and not for any outbuildings or vehicles



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that may have been located on that property as well. Specifically, he claims that

even though law enforcement had asked for a search of the entire premises, the

actual scope of the search warrant was limited in nature and did not encompass the

surrounding curtilage of the property.

       {¶26} However, contrary to Brown’s argument, the actual search warrant

signed by the trial judge on September 3, 2008, clearly stated that:

       Affidavit having been made before me by Investigator Howard
       that he has reason to believe that on the premises located at 110
       East Fourteenth Street, Perry Township, Allen County, Ohio
       more specifically described as a one story single family dwelling
       that sits on the southeast corner of Main Street and Fourteenth
       Street the residence is light grey in color with black trim and a
       black shingled roof the numbers 110 are not clearly visible,
       however after confirming the address with the Allen County
       Auditors web sight [sic] Affiant was able to positively confirm
       that the address is 110 East Fourteenth Street, as well as any
       vehicles or outbuildings on said curtillage [sic] there is now being
       concealed certain property, namely Crack/Cocaine, Cocaine,
       Marijuana, any other controlled substances, drug paraphernalia
       * * * YOU ARE HEREBY COMMANDED to search forthwith
       the place named for the property specified.

(State’s Ex. 2, Suppression Hearing)(emphasis added). While the trial judge did

not restate the specific location again in his command portion of the search

warrant, he specifically incorporated the description of the property listed above in

the search warrant, which clearly included “any vehicles or outbuildings on said

curtillage [sic].” Therefore, we find Brown’s argument that the scope of the

search warrant was limited to just the residence meritless.



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       {¶27} Overall, we believe that the trial court did not err in denying

Brown’s motion to suppress the evidence obtained through the execution of the

search warrant at 110 E. 14th Street, Lima, Ohio, or any of the additional

subsequent evidence obtained as a result of the execution of the original search

warrant.

       {¶28} Brown’s first assignment of error is, therefore, overruled.

                       ASSIGNMENT OF ERROR NO. II

       MR. BROWN WAS DENIED A FAIR TRIAL, IN VIOLATION
       OF THE OHIO CONSTITUTION AND THE UNITED
       STATES CONSTITUTION, WHEN THE PROSECUTOR WAS
       ALLOWED TO COMMENT NEGATIVELY UPON THE
       ASSERTION BY MR. BROWN OF HIS RIGHT TO
       COUNSEL AND OF HIS RIGHT TO BE FREE FROM
       UNWARRANTED AND UNREASONABLE SEARCHES AND
       SEIZURES OF HIS BODY.

       {¶29} In his second assignment of error, Brown argues that reversible error

occurred when testimony concerning Brown’s refusal to consent to a DNA sample

was introduced during the trial. Brown claims that because he has a constitutional

right to refuse to consent to a search under the Fourth Amendment that evidence of

his refusal to consent to a search should not have been used against him at trial.

       {¶30} Comments relating to a defendant’s silence “penalize a defendant for

choosing to exercise a constitutional right,” and as such, it is improper for

evidence to be admitted at trial that a defendant had previously invoked his right to

counsel. State v. Thompson (1987), 33 Ohio St.3d 1, 4, 514 N.E.2d 407; Doyle v.


                                        - 20 -
Case No. 1-10-31


Ohio (1976), 426 U.S. 610, 618-19, 96 S.Ct. 2240, 49 L.Ed.2d 91. Brown asks

that this Court apply the principles established for dealing with prosecution’s

comments on a defendant’s right to remain silent to situations where the

prosecution comments on a defendant’s failure to consent to a search. While

generally “courts disapprove of penalties imposed for exercising constitutional

rights,” after reviewing the record, we ultimately find that no reversible error

occurred in this particular instance. State v. Landrum (1990), 53 Ohio St.3d 107,

110, 559 N.E.2d 710.

      {¶31} Here, during the trial, the State presented DNA evidence that was

found on the packaging that contained some of the cocaine.       Testing of that

packaging revealed the presence of DNA, including Brown’s DNA. At trial, the

State had to establish how the DNA evidence found on the packaging was linked

to Brown’s DNA, and to do so, it introduced the following testimony from

Investigator McKinney:

      Q [State]: Okay. And it’s my understanding that you – there
      has been some evidence preserved from the narcotics that were
      seized from 110 E. 14th Street, is that correct?
      A: Correct.
      Q: Okay. And based upon that did you ask the defendant if he
      would provide a DNA sample?
      A: Yes, Ma’am.
      Q: Okay. And did he agree to do that?
      A: He did not agree to it.
      Q: Okay.
      A: At which time I prepared a search warrant and presented it
      to the judge up here in Allen County Common Pleas Court and


                                     - 21 -
Case No. 1-10-31


       they did sign that we had probable cause to obtain DNA from
       Mr. Brown.
       Q: Okay. And then was the DNA sample subsequently taken
       from this defendant?
       A: Yes, Ma’am.

(Mar. 22-24, 2010 Tr. at 263-64, Vol. I). At this point, defense counsel asked for

the jury to be excused, and then objected to the testimony that had been presented,

and moved for a mistrial, or in the alternative, requested a limiting instruction.

(Id. at 271-73). The trial court responded as follows:

       The Court: Very well. The Court will allow the witness to come
       back. We’re going to take – we’ll take a break now. And I think
       that would be fair that the State ask question [sic], had
       Defendant at that time lawyered up, so to speak, or –
       Mr. Rexford [Defense Counsel]: Sure.
       The Court: -- Go into that and is it true that he had the right to
       – not to give the DNA sample so it can be – if there’s any type of
       error want to make sure that the jury – and I’ll instruct the jury
       accordingly.
       Mr. Rexford [Defense Counsel]: Thank you very much, your
       honor.

(Id. at 273).   After which time, defense counsel cross-examined the witness,

Investigator McKinney, who acknowledged that Brown had a Fourth Amendment

right to refuse to consent to the search for DNA, and that a warrant was obtained

after Brown had refused. (Id. at 289). In fact, Investigator McKinney responded

to defense counsel’s inquiry by saying, “I just asked him and he said, ‘no.’ It was

no big deal. * * * I wasn’t upset about it or anything.” (Id. at 290). Investigator

McKinney then again acknowledged that Brown had a constitutional right and that



                                       - 22 -
Case No. 1-10-31


there was a particular process and procedure to follow in situations like these in

order to protect a defendant’s constitutional rights. (Id.).

       {¶32} Furthermore, after the witness was cross-examined by defense

counsel, upon further request for a limiting instruction, the trial court instructed

the jury that Brown “had the right to not to incriminate himself and that once he

asserted that right the State had the right to get a search warrant.” (Id. at 295).

       {¶33} A review of the testimony above indicates that Investigator

McKinney’s remark did not amount to reversible error. The remark was only

made in an effort to establish the sequence of events regarding how Brown’s DNA

evidence was used for comparison purposes to the DNA evidence found on the

packaging of drugs found at the house. Moreover, defense counsel was given an

opportunity to cross-examine Investigator McKinney about the issue. Importantly,

as a result of defense counsel’s cross-examination, it was made abundantly clear to

the jury that Brown had a Fourth Amendment right to refuse to consent to the

search, and that obtaining a warrant was just a part of the process in ensuring the

protection of his constitutional right. As Investigator McKinney stated, refusing to

consent to the DNA search and getting a warrant as a response “was no big deal.”

In addition, the trial court even issued a limiting instruction to the jury in which it

re-iterated to the jury that Brown had the right not to incriminate himself and to

require the State to get a warrant for obtaining his DNA. Furthermore, we note



                                         - 23 -
Case No. 1-10-31


that the State did not make any additional comments regarding Brown’s refusal to

consent to the DNA search throughout the remainder of the trial, and that overall

Brown received a fair trial.

       {¶34} Therefore, Brown’s second assignment of error is overruled.

                   ASSIGNMENT OF ERROR NO. III

ALL FOUR COUNTS (I, II, III, AND IV) SHOULD HAVE MERGED
INTO ONE (1) CONVICTION AND SHOULD HAVE BEEN
SENTENCED AS SUCH.

       {¶35} In his third assignment of error, Brown argues that the four counts of

possession of drugs should have been merged into one conviction prior to

sentencing.

       {¶36} R.C. 2941.25 is Ohio’s multiple-count statute, and provides:

       (A) Where the same conduct by defendant can be construed to
       constitute two or more allied offenses of similar import, the
       indictment or information may contain counts for all such
       offenses, but the defendant may be convicted of only one.

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

In order to determine whether the trial court should have merged any of the

offenses, we must apply the two-step analysis established by the Ohio Supreme

Court. State v. Harris, 122 Ohio St.3d 373, 2009-Ohio-3323, 911 N.E.2d 882,



                                      - 24 -
Case No. 1-10-31


¶¶10-13, citing State v. Blankenship (1988), 38 Ohio St.3d 116, 117, 526 N.E.2d

816. See, also, State v. Brown, 119 Ohio St.3d 447, 2008-Ohio-4569, 895 N.E.2d

149, ¶18. This two-step analysis was recently modified by the Ohio Supreme

Court in State v. Johnson, __ Ohio St.3d __, 2010-Ohio-6314, __ N.E.2d __.

First, instead of comparing the elements of the crimes, the Ohio Supreme Court

stated in Johnson that “[w]hen determining whether two offenses are allied

offenses of similar import subject to merger statute, the conduct of the accused

must be considered.” Johnson, 2010-Ohio-6314, at syllabus (overruling State v.

Rance (1999), 85 Ohio St.3d 632, 710 N.E.2d 699). The question now is “whether

it is possible to commit one offense and commit the other with the same conduct,

not whether it is possible to commit one without committing the other.” Id. at ¶48,

citing Blankenship, 38 Ohio St.3d at 119 (Whiteside, J., concurring) (emphasis in

original). “If the offenses correspond to such a degree that the conduct of the

defendant constituting commission of one offense constitutes commission of the

other, then the offenses are of similar import.” Id. Consequently, if the offenses

are found to be allied offenses of similar import, then the court must proceed to the

second step, in which it will consider “whether the offenses were committed by

the same conduct, i.e., ‘a single act, committed with a single state of mind.’” Id. at

¶49, quoting Brown, 2008-Ohio-4569, at ¶50 (Lanzinger, J., dissenting). “If the

court finds either that the crimes were committed separately or that there was a



                                        - 25 -
Case No. 1-10-31


separate animus for each crime, the defendant may be convicted of both offenses.”

Brown, 2008-Ohio-4569, at ¶19, citing Blankenship, 38 Ohio St.3d at 117.

Additionally, because this assignment of error presents a question of law, our

standard of review is de novo. State v. Loomis, 11th Dist. No. 2002-A-0102,

2005-Ohio-1103, ¶8, citing State v. Ellenburg (July 9, 1998), 4th Dist. No.

97CA597, at *3.

        {¶37} Brown first argues that there is really only one general drug of

“cocaine,” and that there is no real distinction between crack cocaine and powder

cocaine since crack cocaine is really just a form of powder cocaine. Thus, since

all of the possession acts were committed simultaneously, he argues that he should

have only been convicted of one possession charge. We disagree.

        {¶38} R.C. 2925.11(A) states “[n]o person shall knowingly obtain, possess,

or use a controlled substance,” and depending on the particular type and quantity

of the controlled substance involved, R.C. 2925.11(C) provides the title or and

penalty for the offense.

        {¶39} Here, Brown was charged and convicted of the following: count one

of possession of crack cocaine in an amount equal to or exceeding ten grams but

not exceeding twenty-five grams in violation of R.C. 2925.11(A)&(C)(4)(d), a

felony of the second degree; count two of possession of cocaine in an amount

equal    to   or   exceeding   one   thousand   grams    in   violation   of   R.C.



                                       - 26 -
Case No. 1-10-31


2925.11(A)&(C)(4)(f), a major drug offender felony of the first degree; count

three of possession of crack cocaine in an amount equal to or exceeding one gram

but not exceeding five grams in violation of R.C. 2925.11(A)&(C)(4)(b), a felony

of the fourth degree; and count four of possession of cocaine in an amount equal to

or exceeding five grams but not exceeding twenty-five grams in violation of R.C.

2925.11(A)&(C)(4)(b), a felony of the fourth degree.

      {¶40} While each possession count was charged under the same statutory

provision, the Ohio Supreme Court has explicitly held that the simultaneous

possession of different types of controlled substances can constitute multiple

offenses. State v. Delfino (1986), 22 Ohio St.3d 270, 490 N.E.2d 884. In doing

so, the Ohio Supreme Court based its analysis on the principles set forth in the

United States Supreme Court decision in Blockburger v. United States (1932), 284

U.S. 299, 304, 52 S.Ct. 180, 76 L.Ed.2d 306:

      [E]ven though the Blockburger test cannot be applied directly to
      a situation where it is alleged that a single transaction constitutes
      separate offenses under a single statutory provision, the
      Blockburger test can be used to ascertain whether the legislature
      intended to have a single transaction constitute separate offenses
      even though they are proscribed by a single statutory provision.
      If the legislature intended to have the possession of different
      types of drugs constitute different offenses, then a second
      prosecution for possession of a different drug will not be barred
      by principles of double jeopardy.

Delfino, 22 Ohio St.3d at 273 (internal citations omitted). As a result, the Court

determined that the legislature had intended that the simultaneous possession of


                                      - 27 -
Case No. 1-10-31


certain drugs could be considered separate offenses, and when considering the

possession of cocaine and marijuana, the Court further stated:

       Applying the Blockburger test herein, we find that the legislature
       intended the simultaneous possession of certain drugs can
       constitute separate offenses. Under the provisions of R.C.
       2925.11(C)(1), possession of cocaine is a felony. Under R.C.
       2925.11(C)(2), possession of a Schedule III, IV or V controlled
       substance is a third degree misdemeanor. Under R.C.
       2925.11(C)(3), possession of less than one hundred grams of
       marijuana is a minor misdemeanor and possession of more than
       that is a fourth degree misdemeanor. Proof of possession of
       marijuana will not sustain a conviction for possession of cocaine.
       Likewise, proof of possession of cocaine will not sustain a
       conviction for possession of marijuana. Therefore, conviction of
       a felony under R.C. 2925.11(C)(1) requires proof of facts that
       R.C. 2925.11(C)(2) or 2925.11(C)(3) do not.

Id. at 274.

       {¶41} Here, Brown was ultimately found guilty of committing two separate

counts of possession of cocaine and two separate counts of possession of crack

cocaine. Brown argues that there is really only one general drug of “cocaine” and

there is no real distinction between crack cocaine and powder cocaine because

crack cocaine is really just a form of powder cocaine. However, “[t]his Court has

previously recognized that although there is no distinction between powder

cocaine and crack cocaine in the schedule definitions, the specific penalty

provisions under R.C. 2925.11(C)(4) show that the legislature clearly intended a

distinction.” State v. Blandin, 3d Dist. No. 1-06-107, 2007-Ohio-6418, ¶30, citing

State v. Crisp, 3d Dist. No. 1-05-45, 2006-Ohio-2509. See, also, State v. Ligon, 3d


                                       - 28 -
Case No. 1-10-31


Dist. No. 4-08-21, 2008-Ohio-6085, ¶¶31-36 (finding Blandin’s reasoning

persuasive and finding that convictions for trafficking in crack cocaine and

trafficking in cocaine should not have merged because the offenses are separate

and distinct and were committed with separate animus). Additionally, in Crisp,

we noted that “such harsher penalties for crack cocaine are justified because crack

cocaine ‘is more potent, because of the way it is ingested, than powder cocaine,

and therefore is more dangerous to the user, and to society in general.’” Id. at ¶22,

quoting State v. Bryant (July 17, 1998), 2nd Dist. No. 16809, at *4. As the Ohio

Supreme Court noted in Johnson, “[i]n determining whether two offenses should

be merged, the intent of the General Assembly is controlling.” Johnson, 2010-

Ohio-6314, at ¶46. Accordingly, this Court finds that the simultaneous possession

of crack cocaine and possession of powder cocaine are separate and distinct

offenses.

       {¶42} Next, Brown argues that even if the simultaneous possession of

crack cocaine and powder cocaine can be considered multiple offenses, then he

still should have been convicted only of one act of possession of crack cocaine and

one act of possession of powder cocaine since they had been committed at the

same time and with the same animus. We disagree.

       {¶43} In this particular case, we believe the two separate counts regarding

the possession of cocaine and the two separate counts regarding the possession of



                                       - 29 -
Case No. 1-10-31


crack cocaine were appropriate. The record indicates that crack cocaine forming

the basis in count one was found on the front passenger seat of the Chevy Tahoe

that was only a few feet away from the residence, and which was found wrapped

in a shop cloth and contained in a small plastic baggie. (Mar. 22-24, 2010 Tr. at

246-50, Vol. I). In addition, the crack cocaine forming the basis for the charge in

count three was found inside the house in the kitchen in three white mason jars

and in a separate plastic bag found on top of the kitchen cupboards. (Id. at 499-

516, 502, 311-12, Vols. I & II). Similarly, the powder cocaine forming the basis

for the charge in count two was found inside the trunk of the Hyundai, which was

located in the locked unattached garage on the property. (Id. at 322-25, Vol. I).

This cocaine was found as three individually wrapped bricks, totaling about three

kilos worth of cocaine, which were all found in a yellow bag inside the trunk.

(Id.). In addition, the powder cocaine forming the basis for count four was found

inside the house on top of the kitchen cupboards and which was being stored in a

plastic baggie and was next to the baggie of crack cocaine, a scale, and keys to the

Hyundai. (Id. at 499-516, Vol. II).

      {¶44} Essentially, law enforcement found separate quantities of the crack

cocaine and powdered cocaine in separate locations.        Moreover, the separate

quantities of the crack cocaine and the powdered cocaine were also stored in

different types of containers. Furthermore, the amount of each quantity of the



                                       - 30 -
Case No. 1-10-31


crack cocaine and powdered cocaine found inside the house differed significantly

from the other crack cocaine and powdered cocaine found outside in the vehicles.

Therefore, we find that the trial court did not err in sentencing Brown separately

for the individual possession of crack cocaine and possession of cocaine charges

since there was evidence that they had been committed separately and with

separate animus. See State v. Jones, 9th Dist. No. 25032, 2010-Ohio-4455, ¶17

(finding that the two possessions of heroin charges were committed separately

since they had been found in separate locations within the residence, had been

stored in different containers, and had been found in different quantities).

       {¶45} Accordingly, we find that the trial court did not err in sentencing

Brown on each of the four counts since crack cocaine and powdered cocaine are

separate offenses, and each count of the possessions of crack cocaine and

powdered cocaine were committed separately or with separate animus.            See

Blandin, 2007-Ohio-6418, at ¶30, citing State v. Wilder, 2nd Dist. No. 20966,

2006-Ohio-1975; Jones, 2010-Ohio-4455, at ¶17.

       {¶46} Brown’s third assignment of error is, therefore, overruled.

                      ASSIGNMENT OF ERROR NO. IV

       THE SENTENCE IMPOSED IN THIS CASE WAS
       UNLAWFUL, AS CRUEL AND UNUSUAL PUNISHMENT
       AND TO CUMULATIVE PUNISHMENTS FOR THE SAME
       OFFENSE, IN VIOLATION OF RIGHTS UNDER THE OHIO
       CONSTITUTION     AND    THE   UNITED    STATES
       CONSTITUTION TO BE FREE FROM CRUEL AND


                                        - 31 -
Case No. 1-10-31


       UNUSUAL PUNISHMENTS AND TO BE NOT TWICE
       PLACED IN JEOPARDY FOR THE SAME OFFENSE.

       {¶47} In his fourth assignment of error, Brown claims that his sentence

was cruel and unusual and also in violation of the prohibition against double

jeopardy. Specifically, Brown asserts the same argument as he put forth in his

third assignment of error, but in this assignment of error claims that there were

constitutional violations from a failure to merge all of his convictions into a single

conviction.

       {¶48} However, for the reasons as stated above, because we find that

Brown’s convictions were not required by law to be merged, we likewise find that

Brown’s sentence was not cruel or unusual nor was he placed in jeopardy for the

same crime.

       {¶49} Brown’s fourth assignment of error is, therefore, overruled.

                       ASSIGNMENT OF ERROR NO. V

       THE TRIAL COURT VIOLATED MR. BROWN’S
       CONSTITUTIONAL RIGHT UNDER BOTH THE OHIO
       CONSTITUTION    AND    THE   UNITED  STATES
       CONSTITUTION TO REMAIN SILENT BY COMMENTING
       NEGATIVELY UPON HIS CONTINUED ASSERTION OF
       THAT RIGHT AT SENTENCING.


                      ASSIGNMENT OF ERROR NO. VI

       THE OHIO REVISED CODE UNLAWFULLY AND
       UNCONSTITUTIONALLY REQUIRES THE SENTENCING
       JUDGE TO CONSIDER WHETHER THE ACCUSED


                                        - 32 -
Case No. 1-10-31


       “SHOWED GENUINE REMORSE,” THEREBY PLACING A
       PENALTY ON THE REFUSAL TO MAKE A STATEMENT
       AT SENTENCING, IN VIOLATION OF THE RIGHT UNDER
       THE OHIO CONSTITUTION AND UNDER THE UNITED
       STATES CONSTITUTION TO REMAIN SILENT.

       {¶50} In his fifth and sixth assignments of error, Brown argues that the trial

court inappropriately used his post-trial silence against him when applying the

sentencing guidelines.      In particular, Brown claims that because he was

maintaining his innocence he did not comment during the sentencing hearing, and

based on his silence, the trial court impermissibly found that he displayed a lack of

remorse for his actions.      Consequently, Brown additionally argues that the

sentencing guidelines pertaining to a defendant’s display of a lack of remorse

violate a defendant’s constitutional right to remain silent.

       {¶51} Whether a defendant shows genuine remorse is just one of several

factors the trial court may consider in assessing whether the defendant is likely to

commit a future crime.       R.C. 2929.12(D)(5) and (E)(5).       Despite Brown’s

arguments to the contrary, it has been held that “‘lack of remorse is an appropriate

consideration for sentencing, even for a convicted defendant who maintains his

innocence.’” State v. Caver, 8th Dist. No. 91443, 2009-Ohio-1272, ¶122 fn.11,

quoting State v. Farley, 2nd Dist. No. 2002-CA-2, 2002-Ohio-6192, ¶54. See,

also, State v. Russell, 8th Dist. No. 88008, 2007-Ohio-2108, ¶23; State v. Schaub,

2nd Dist. No. 20394, 2005-Ohio-3328, ¶23. Moreover, it is well settled that



                                        - 33 -
Case No. 1-10-31


credibility is for the trier of fact and that a reviewing court should give deference

to its decision where there exists competent credible evidence to support such

findings. Caver, 2009-Ohio-1272, at ¶122, citing Myers v. Garson (1993), 66

Ohio St.3d 610, 614, 614 N.E.2d 742. “[T]he trial judge is best able to view the

witnesses and observe their demeanor, gestures and voice inflections.” Seasons

Coal Co. v. Cleveland (1984), 10 Ohio St.3d 77, 80, 461 N.E.2d 1273.

Furthermore, we note that, “‘ninety percent of the total meaning of testimony is

interpreted through non-verbal behavior, such as voice inflections, hand gestures,

and the overall visual demeanor of the witness. The witness’ choice of words

accounts for only ten percent of the meaning of their testimony.’” Caver, 2009-

Ohio-1272, at ¶123, quoting State v. Evans (1993), 67 Ohio St.3d 405, 410-11,

618 N.E.2d 162.

       {¶52} Here, the sentencing judge who presided over the trial was in the

best position to assess Brown’s remorse, and therefore, we give deference to his

finding.

       {¶53} Brown’s fifth and sixth assignments of error are, therefore,

overruled.

                      ASSIGNMENT OF ERROR NO. VII

       THE SENTENCE IMPOSED IN THIS CASE WAS ALSO A
       RETALIATORY SENTENCE PUNISHING ASSERTION OF
       THE RIGHT TO A TRIAL BY JURY.



                                       - 34 -
Case No. 1-10-31


        {¶54} In his seventh assignment of error, Brown argues that the sentence

imposed was done in retaliation for Brown having asserted his right to a trial. In

support of this argument, Brown claims that prior to trial the trial court had

indicated that a low-to-middle range sentence (2-5 years of incarceration) would

be appropriate if Brown were to enter into a plea agreement. However, after trial,

Brown was ultimately sentenced to twenty-five (25) years incarceration. Brown

claims that given the substantial increase in his sentence, “the only plausible

conclusion is that the increase of sentence was retaliatory for assertion of the right

to remain silent, as argued earlier, and/or of the right to trial by jury.”

(Appellant’s Brief at 25).

        {¶55} While Brown claims that the trial court improperly penalized him for

taking his case to trial, instead of taking a negotiated plea, this Court cannot find

any evidence in the record to support his claim.2 Moreover, we note that the terms

imposed on each of the counts fall within the statutory ranges provided in R.C.

2929.14(A)(1), (2), (4), & (D)(3)(b), and that Brown was sentenced to a less-than-

maximum sentence on each of the four counts of which he was found guilty. Even

still, not only is there nothing in the record to support Brown’s claim that he could




2
  We note that at oral arguments, defense counsel stated that there had been a recording of the pre-trial
discussion in which the trial court had allegedly indicated that if Brown were to plead, he would receive a
“low-to-middle” range sentence; however, when it came time to supplement the record for purposes of this
appeal, defense counsel acknowledged to this Court that he had opted not to file the alleged recording of
the pre-trial discussion.


                                                  - 35 -
Case No. 1-10-31


have received a low-to-middle sentence if he had pled guilty, but there is simply

nothing in the record that would indicate that the trial court imposed the twenty-

five (25) years in prison as “‘a price for ignoring the court’s plea bargain

recommendation.’” State v. Shoe (Dec. 16, 1992), 3d Dist. No. 5-92-12, at *2-3,

quoting Columbus v. Bee (1979), 67 Ohio App.2d 65, 77, 425 N.E.2d 409. As a

result, we decline to presume such conduct occurred without any affirmative

demonstration as to how the trial court’s sentence was in retaliation for Brown’s

assertion of his right to remain silent and/or right to be tried by a jury. See State v.

Hottle (Dec. 17, 1991), 10th Dist. No. 91AP-724, at *3, citing State v. Ramey

(Nov. 23, 1979), 10th Dist. No 79AP-96, at *6.

       {¶56} Brown’s seventh assignment of error is, therefore, overruled.

       {¶57} Having found no error prejudicial to the appellant herein in the

particulars assigned and argued, we affirm the judgment of the trial court.

                                                                  Judgment Affirmed

WILLAMOWSKI, J., concurs.

/jlr



ROGERS, P.J., DISSENTS:

       {¶58} I respectfully dissent from the opinion of the majority.




                                         - 36 -
Case No. 1-10-31


       {¶59} As to the first assignment of error, my first concern is with the

underlying assumption that a man walking behind a house for 15-20 seconds

justifies issuing a search warrant for the interior of that house. Even assuming that

the individual did obtain contraband in that vicinity to complete a controlled buy,

the facts do not support a conclusion that he entered the house to obtain the

contraband, or even that he obtained contraband from someone at the residence.

He could have passed through the yard and obtained the contraband from the next

house; he could have obtained the contraband from an individual, whether a

resident of the house or from another individual with no connection to that

residence; or he could have obtained the contraband from some container near that

residence, or another, but outside either house. In fact, the time sequence clearly

indicates that he did not have time to enter the residence in question.

       {¶60} But the above observations are only the tip of the iceberg!

Investigator Howard not only wanted a search warrant for a residence he had no

knowledge the suspect had entered, but he also wanted to search the cars and

outbuildings which he knew the suspect had not entered, and permission for a no-

knock and a nighttime search.        In support of the no-knock provision, the

investigator related the Florida criminal history of some individual with a similar

name. However, he withheld from the issuing magistrate the fact that the name

was not the same and that the birth date and social security number were different,



                                        - 37 -
Case No. 1-10-31


and the investigator’s testimony to the judge specifically relied on the Florida

information. The majority rationalizes that there was sufficient evidence to justify

issuance of the warrant and for the no-knock provision without the information

about the Florida individual, and that the questions about whether it was the same

individual that now resided in the house to be searched in Ohio would not have

affected the judge’s decision to issue the search warrant. However, the point is we

will never know because the investigator withheld that information.                                   The

investigator knew full well that the difference in name, birth date, and social

security number weakened his argument, so he did not inform the judge of these

issues.

          {¶61} Next, the affidavit requesting the search warrant makes no mention

of any basis for searching the vehicles or other outbuildings and there is no

attempt to justify it in the investigator’s taped testimony; he simply includes them

in the description of the place to be searched. Finally, the search warrant itself

contained no authority for a no-knock entry, or for a nighttime search. The

warrant actually authorizes only a daytime search, and reads: “* * * making the

search at any time in the daytime * * *.”3 (State’s Ex. 2, Suppression Hearing)


3
  Interestingly, below the judge’s signature on the search warrant, there is a paragraph defining “daytime”
and stating that a search made at any other time “* * * must be specifically authorized by the judge issuing
the Search Warrant* * *.” A second paragraph refers to Crim. R. 41(B). The third paragraph below the
judge’s signature purports to aver that “[t]he statutory precondition for nonconsensual entry is hereby
waived as there is probable cause to believe * * *.” (State’s Ex. 2, Suppression Hearing) However,
because this waiver comes below the judge’s signature it cannot be interpreted as having been approved
and authorized by the judge as a part of the search warrant.


                                                  - 38 -
Case No. 1-10-31


       {¶62} For the reasons stated above I would sustain the first assignment of

error, reverse the conviction, and remand the matter back to the trial court, and

further find the remaining assignments of error to be moot.

       {¶63} However, because the majority addressed the remaining assignments

of error, I will add a comment on the second assignment. It was absolutely

unnecessary and improper for the prosecutor to inquire of Investigator McKinney

whether he had asked Brown if he would provide a DNA sample. The question

was not necessary to demonstrate how the DNA sample was obtained. The state

only needed to show that it was obtained. Further, the prosecutor knew, or should

have known, that the response would require McKinney to comment on the fact

that Brown exercised his constitutional right to refuse.

       {¶64} The objection should have been raised as soon as the question was

asked; not after a response and further discussion. Because the objection was

delayed, the response could not then be prevented. However, after the objection

was raised, both the question and the response should have been stricken and the

jury should have been instructed to disregard them.

       {¶65} Regardless, Appellant proceeded to make the objection moot by

cross-examining the witness on the issue of the refusal and the suspect’s right to

refuse. It may well have appeared to counsel to be a “Catch 22” situation. There

were two choices at that point. Either counsel tried to repair the damage by cross-



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Case No. 1-10-31


examination, or counsel allowed the objection to stand so that it might be raised on

appeal. Often times during trial, tough choices must be made on the spur of the

moment. Once made, the choice can seldom be undone. Here, the strategy chosen

of cross-examination means that any objection to the state’s improper question and

the response was waived and I would concur with the result reached by the

majority on the second assignment of error.

       {¶66} As to the remaining assignments of error, three through seven, I

would concur with the majority opinion.

/jlr




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