       [Cite as Ciotto v. Hinkle, 2019-Ohio-3809.]




                           IN THE COURT OF APPEALS OF OHIO
                               SIXTH APPELLATE DISTRICT
                                    HURON COUNTY


The Estate of Linda Ciotto, et al.                    Court of Appeals No. H-18-011

       Appellants                                     Trial Court No. CVC 20160644

v.

Billie A. Hinkle                                      DECISION AND JUDGMENT

       Appellee                                       Decided: September 20, 2019


                                                 *****

       Rhonda Baker Debevec and Jonathon Angarola, for appellants.

       Mark S. Maddox and Russell V. Leffler, for appellee.

                                                 *****

       ZMUDA, J.

                                            I. Introduction

       {¶ 1} This matter is before the court on appeal from a judgment of the Huron

County Court of Common Pleas, granting summary judgment and dismissing the claims

of appellants, The Estate of Linda Ciotto, Deceased, Mary Ciotto and Michael Blair,
individually and as co-administrators of the Estate, and Christopher Blair.1 For the

reasons that follow, we affirm.

                                       A. Background

         {¶ 2} On July 28, 2015, James Blair took his mother’s loaded, unsecured gun from

her bedroom, went next door, shot Linda Ciotto to death, and mutilated her body with her

lawnmower because he was enraged that she mowed her lawn after dusk. His mother,

appellee Billie Hinkle, had given Blair permission to move in with her about a year and a

half earlier, after Blair lost his job. Blair is currently serving a life sentence for the

murder.

         {¶ 3} On July 25, 2016, appellants filed their claim against appellee, seeking

damages for negligence and wrongful death, and for intentional and negligent infliction

of emotional distress.2 After the parties engaged in discovery, appellee moved for

summary judgment on January 19, 2018, arguing the absence of any legal duty owed as

to the negligence and wrongful death claims, and the lack of evidence to support the

emotional distress claims. Finding no genuine issues of fact related to the appellants’

claims, the trial court granted summary judgment, disposing of appellants’ amended

complaint in its entirety.




1
 There is nothing in the record to indicate any relation between appellants Michael and
Christopher Blair and appellee’s son, James Blair.
2
    Appellants filed an amended complaint on October 19, 2016.
2.
                                     B. Assignments of Error

         {¶ 4} This appeal followed, with appellants asserting the following assignments of

error:

                I. The trial court’s granting of summary judgment to Appellee on

         Appellant’s [sic] negligence and wrongful death claims was error since

         reasonable minds could conclude the Appellee was negligent under the

         circumstances and that harm to Appellants’ decedent was foreseeable.

                II. As a matter of law, the trial court erred in granting Appellee

         summary judgment on Appellants’ negligence and wrongful death claims

         since genuine issues of material fact exist on whether Appellee had a

         “special relationship” with James Blair, and, thus, a duty to exercise control

         over him.

                III. The trial court improperly granted summary judgment on the

         Appellants’ negligent infliction of emotional distress claim despite

         evidence from which the reasonable jury could conclude that Appellee

         failed to report the presence of the decedent’s corpse delaying its proper

         handling by hours and causing serious emotional distress to the decedent’s

         surviving adult children.

                IV. Since reasonable minds could differ on whether Appellee’s

         conduct in failing to report the shooting and presence of a corpse; and

         hiding the murder weapon and lying about [its] location was extreme and

         outrageous and caused the Appellants’ serious emotional distress, genuine

3.
       issues of material fact existed regarding Appellants’ claims for intentional

       infliction of emotional distress which prohibited the granting of summary

       judgment.3

                                 II. Summary Judgment

       {¶ 5} Appellants argue genuine issues of fact remain as to each of their claims,

challenging the trial court’s determinations relative to the duty owed by appellee and the

existence of disputed facts to support the emotional distress claims of appellants.

Therefore, they contend, the trial court erred in granting summary judgment.

       {¶ 6} The parties largely agree on the facts of this case. Appellee’s 50 year-old

son took appellee’s loaded handgun, without her permission, walked next door to the

house of appellant’s decedent, Ciotto, and shot her as she mowed her lawn, resulting in

her death. At the time of the murder, Blair lived with appellee, was unemployed, and

rarely ventured out of appellee’s house. Blair owned his own firearm, but had accessed

appellee’s handgun on two occasions a year before the murder, shooting it in the air from

appellee’s back deck after he had been drinking. Appellee ordered Blair to leave her

firearm alone, and Blair complied for about a year, up until the night of the murder.

       {¶ 7} The detailed recitation of the facts, provided by appellants, paints a picture

that is shocking and horrific. There is no dispute, moreover, that Blair murdered Ciotto,

mutilated her body, and then returned home to his bedroom, behaving as if nothing out of



3
  Appellants also asserted a negligent infliction of emotional distress claim on behalf of
Ciotto’s estate, but withdrew this claim prior to the trial court’s ruling on summary
judgment.
4.
the ordinary had occurred. Despite the fact that Blair’s criminal actions directly caused

the death, appellants filed suit against appellee, seeking to hold her liable for Blair’s

conduct. Based on existing legal precedent, the trial court determined, as a matter of law,

that appellee was entitled to summary judgment as to all claims against her.

       {¶ 8} We review the trial court’s ruling on summary judgment de novo, applying

the same standard as the trial court. Bonacorsi v. Wheeling & Lake Erie Ry. Co., 95 Ohio

St.3d 314, 2002-Ohio-2220, 767 N.E.2d 707, ¶ 24.

       {¶ 9} As provided by Civ.R. 56(C), summary judgment is appropriate if the

moving party demonstrates: “(1) that there is no genuine issue as to any material fact; (2)

that the moving party is entitled to judgment as a matter of law; and (3) that reasonable

minds can come to but one conclusion, and that conclusions is adverse to the party

against whom the motion for summary judgment is made, who is entitled to have the

evidence construed most strongly in his favor.” Harless v. Willis Day Warehousing Co.,

54 Ohio St.2d 64, 66, 375 N.E.2d 46 (1978).

       {¶ 10} In reviewing the trial court’s judgment, we examine the evidence to

determine whether a genuine issue of material fact remains in dispute. “A ‘material’ fact

is one which would affect the outcome of the suit under the applicable substantive law.”

(Citation omitted.) Noe v. Keller 6th Dist. Lucas No. L-12-1199, 2013-Ohio-2251, ¶ 27.

       {¶ 11} In this case, the parties largely agree on the material, underlying facts. The

dispute, instead, concerns the legal significance of these facts as they relate to the duty

owed in negligence, and as to the support for the emotional distress claims. Appellants’

assignments of error fall into two categories, challenging the trial court’s determinations

5.
relative to the duty owed by appellee and whether the existence of disputed facts support

the emotional distress claims of appellants. We will address each of appellants’

assignments of error accordingly.

                                          A. Duty

       {¶ 12} Appellants asserted claims against appellee that are based on negligence

and wrongful death. An action for wrongful death is a statutory claim, permitting

recovery of damages for the decedent’s estate, where “the death of a person is caused by

wrongful act, neglect, or default which would have entitled the party injured to maintain

an action and recover damages if death had not ensued[.]” R.C. 2125.01. In this case,

appellants alleged negligence as the wrongful act.

       {¶ 13} To prevail on a negligence claim, appellants must demonstrate the

existence of a duty, breach of that duty, and a resulting injury. Mussivand v. David, 45

Ohio St.3d 314, 318, 555 N.E.2d 265 (1989). “While negligence actions always involve

mixed questions of law and fact, the existence of a duty is, in the first instance a question

of law for the court.” Clemets v. Heston, 20 Ohio App.3d 132, 134-135, 485 N.E.2d 287

(6th Dist.1985).

       {¶ 14} The allegations of negligence in appellants’ amended complaint include a

mixture of averments referencing both affirmative conduct under premises liability and a

failure to act to control or prevent the criminal conduct of a third party. The allegations

include the following:




6.
            At all relevant times herein, Defendant Hinkle had a duty to use

     ordinary care in controlling and maintaining her premises.

            Despite knowing about James Blair’s mental instability and the

     danger he posed as described above, Defendant Hinkle unreasonably

     allowed James Blair to store firearms on her premises.

            At all times relevant, Defendant Hinkle had the duty to use ordinary

     care in securing and storing her firearm under the circumstances.

            Upon information and belief, Defendant Hinkle knew, or in the

     exercise of reasonable diligence should have known, that leaving her

     firearm unsecured, loaded and within easy access of her adult son, James

     Blair, presented an unreasonable risk of harm to the public including, but

     not limited to, Plaintiffs’ decedent, given James Blair’s mental instability

     and prior misconduct.

            Notwithstanding Defendant Hinkle’s knowledge of the danger

     described above, Defendant Hinkle continued to unreasonably and

     carelessly store her loaded firearm in a location known to her adult son,

     James Blair, who resided in her home.

            In addition to Defendant Hinkle generally knowing about the

     unreasonable danger this situation posed to the public, on the evening of

     July 28, 2015 in particular, defendant Hinkle knew that James Blair was




7.
       extremely agitated, unstable and, more particularly, irate with Plaintiffs’

       decedent.4

              * * * Despite Defendant Hinkle knowing about James Blair’s

       extreme anger toward Plaintiffs’ decedent, his unstable mental condition

       generally and the danger he posed to Plaintiffs’ decedent, defendant Hinkle

       unreasonably and carelessly failed to take any measures to hide, unload or

       otherwise secure her firearm that was openly stored in her bedroom.

              As a direct and proximate result of the Defendant Hinkle’s

       negligence described above, James Blair had unfettered access to, and use

       of, Defendant Hinkle’s loaded firearm which he used to fatally shoot

       Plaintiffs’ decedent in the head on the evening of July 28, 2015.

              As a proximate result of the Defendant’s negligent conduct

       described above, Plaintiffs’ decedent suffered conscious pain and suffering,

       and ultimately her premature death.

       {¶ 15} Based on the pleading, appellants argue theories of duty that lack support

under existing Ohio law, whether the alleged duty arises from affirmative conduct under

premises liability law or from appellee’s failure to act to control or prevent Blair’s

criminal conduct. In support of the claimed legal duty, the only Ohio authority cited by



4
  The amended complaint also contains allegations of a verbal altercation between Blair
and Ciotto in the hours preceding the murder. The record, however, contains no evidence
demonstrating Blair engaged in any type of altercation with Ciotto prior to the criminal
attack, and appellants do not argue such an altercation occurred with Ciotto, or with any
other neighbor during the period Blair resided with appellee.
8.
appellants pertains to liability arising from negligent entrustment of a firearm. See Byers

v. Hubbard, 107 Ohio App.3d 677, 681, 669 N.E.2d 320 (8th Dist.1995). Appellants,

however, do not claim that appellee negligently entrusted her handgun to Blair, but

instead argue appellee should have foreseen the injury to Ciotto, arising from her practice

of storing a loaded handgun near her bed.

       {¶ 16} A duty arises by law, and requires more than just foreseeability. Simpson v.

Big Bear Stores Co., 73 Ohio St.3d 130, 134, 652 N.E.2d 702 (1995). In negligence

claims, whether a defendant owes a duty depends on whether a plaintiff’s interests “are

entitled to legal protection against the defendant’s conduct.” If foreseeability alone

created a duty, then such liability could, potentially, arise without limit. Simpson at 134.

Duty and foreseeability, therefore, are separate things, with foreseeability defining “the

scope and extent of the duty.” Plank v. DePaul Cranes, 2d Dist. Montgomery No.

10486, 1988 WL 110312 (Oct. 21, 1988).

       {¶ 17} There is no simple definition of “duty,” as the notion of “duty” is

amorphous. Clemets v. Heston, 20 Ohio App.3d 132, 135, 485 N.E.2d 287 (6th

Dist.1985), fn 2. In other words, while the determination of duty is a matter of law, there

is “no formula for ascertaining whether a duty exists.” Wallace v. Ohio DOC, 96 Ohio

St.3d 266, 2002-Ohio-4210, 773 N.E.2d 1018, ¶ 24, quoting Prosser, Law of Torts, 325-

326 (4th Ed. 1971). Duty “may be established by common law, by legislative

enactment, or by the particular circumstances of a given case.” Wallace at ¶ 23.

       {¶ 18} Here, appellants do not clearly articulate the basis of the claimed duty

beyond argument of foreseeability and policy, and cite to no Ohio authority in support,

9.
relying instead on authority from other jurisdictions to support a legal duty. Despite the

allegations in their pleading of either premises liability or a duty to control a third party,

appellants now argue a broader negligence claim, arguing duty arising from the facts, and

encouraging adoption of law from other states as if this case presented an issue of first

impression in Ohio.

       {¶ 19} We shall address each basis for duty in turn, considering appellants’ claims

and all applicable law.

                                   1. Common Law Duty

       {¶ 20} The common law arises from judicial precedent, rather than statute or

constitution. Black's Law Dictionary 313 (9th Ed.2009). Accordingly, we look first to

Ohio precedent in determining the existence of a duty, but lacking contrary, controlling

precedent, may recognize a new duty as adopted by other jurisdictions, as appellants

request. “The common law is ever-evolving and we have the duty, absent action by the

General Assembly on a specific question, to be certain that the law keeps up with the

ever-changing needs of a modern society.” Gallimore v. Children's Hosp. Med. Ctr., 67

Ohio St.3d 244, 251, 617 N.E.2d 1052 (1993).

                                    a. Premises Liability

       {¶ 21} First, appellants argue that the trial court erred in finding appellee owed no

duty to Ciotto, because harm was foreseeable due to appellee’s practice of keeping a

loaded weapon unsecured and accessible to Blair, an allegedly mentally unstable

alcoholic. This theory of duty arises from allegations that appellee failed to secure her

weapon around Blair, exposing Ciotto to danger. In other words, appellants first argue

10.
negligence based on premises liability, contending appellee owed Ciotto a duty to protect

her from the unsecured firearm.

       {¶ 22} In support of this type of duty, appellants reference no Ohio law, presenting

the issue as one of first impression. However, Ohio courts have addressed this issue, and

determined that a failure to secure a dangerous instrumentality could support a premises

liability claim, but only where the law imposed a special relationship between the owner

of the premises and the third party who accessed and used that dangerous instrumentality

to inflict injury. In Hall v. Watson, 7th Dist. Mahoning No. 01 CA 55, 2002-Ohio-3176,

the Seventh District Court of Appeals found a duty existed where a gun owner failed to

secure his loaded firearm, and left it accessible to young guests in the home. The youths

snuck the firearm out of the home, and a week later, negligently shot and killed their

cousin. Hall at ¶ 17. Based on the adult-child relationship, a duty arose to secure the

firearm, based on premises liability law. Id., citing Bridges v. Dahl, 108 F.2d 228 (6th

Cir.1939).

       {¶ 23} The same law was applied by the Eleventh District Court of Appeals in

Reddick v. Said, 11th Dist. Lake No. 2011-L-067, 2012-Ohio-1885. Virginia and

Nicholas Gates, a mother and son, kept an unsecured firearm on their property, and

granted Leroy Strickland free access to the property to do odd jobs. On the day of the

shooting, Virginia asked Strickland to take care of the premises while she was away on

business. Id. at ¶ 11. Nicholas, who owned the firearm, was in jail the date of the

shooting. Id. at ¶ 20.



11.
       {¶ 24} At the time, Nicholas’ girlfriend, Stephanie Said, was also living at the

home. Id. On the date of the shooting, Said’s friend, Megan Price, came to the home to

“hang out,” and called James Reddick to pick her up. Id. at ¶ 10. Strickland arrived at

the house, saw Reddick, an African-American man, talking to Said and Price in the yard,

went into the garage where he had placed Nicholas’s firearm, and returned and shot

Reddick four times. Id. at ¶ 12. Said and Strickland were friendly and had attended

Alcoholics Anonymous meetings together, and Said acknowledged that Strickland was a

convicted sex offender and a racist. Id. at ¶ 13. Nicholas, also, was aware of Strickland’s

criminal history and substance abuse issues, and believed Strickland had “anger issues.”

Id. at ¶ 20.

       {¶ 25} Unlike the finding in Hall, the court found no special relationship between

Virginia and Nicholas Gates and either Reddick or Strickland. Id. at ¶ 44. The court also

determined that Said owed no duty based on a special relationship, because, despite her

knowledge that Strickland was a racist, “[t]here was no evidence that Said knew

Strickland was coming to the property to shoot Reddick or to harm Reddick in any way.”

Id. at ¶ 46.

       {¶ 26} Ohio courts have also considered claims of negligent storage of a firearm

without directly referencing premises liability law, reaching the same conclusion

regarding the need for a special relationship. For example, in Blevins v. Hartman, 5th

Dist. Richland Nos. 12CA115 and 12CA116, 2013-Ohio-3297, the Fifth District Court of

Appeals found that, lacking any special relationship, parents owed no duty to a shooting

victim arising from a failure to secure their firearms. In that case, their adult son, who

12.
suffered from mental illness, took an unsecured gun from their home and shot his ex-

girlfriend. Id. at ¶ 47. The court noted that the son had no violent criminal history, and

refused to equate mental illness with violent behavior. Id.

       {¶ 27} While we have not previously addressed the issue of liability arising from

an unsecured firearm, we have considered criminal conduct and premises liability,

applying a totality of the circumstances standard. Krause v. Spartan Stores, Inc., 158

Ohio App.3d 304, 2004-Ohio-4365, 815 N.E.2d 696, ¶ 7 (6th Dist.). In a premises

liability case, “there is no common-law duty to anticipate or foresee criminal activity.”

Federal Steel & Wire Corp. v. Ruhlin Const. Co., 45 Ohio St.3d 171, 174, 543 N.E.2d

769 (1989), citing Prosser & Keeton, Law of Torts, 201-203, Section 33 (5 Ed.1979). A

special relationship may arise based on the foreseeability of the harm, however, to

impose a duty where a third party uses the property to inflict harm “similar in nature to

that already experienced or initiated” from the premises. Id. at 178.

       {¶ 28} In making this determination, “[b]ecause criminal acts are largely

unpredictable, the totality of the circumstances must be ‘somewhat overwhelming’ in

order to create a duty.” Krause at ¶ 7, citing Reitz v. May Co. Dept. Stores, 66 Ohio

App.3d 188, 193-194, 583 N.E.2d 1071 (8th Dist.1990). While there is no exact

definition for “somewhat overwhelming,” the standard requires circumstances in which

“a reasonably prudent person would have anticipated that an injury was likely to result

from the performance or nonperformance of an act.” (Emphasis added.) Fed. Steel at 174.

       {¶ 29} In applying this standard, we previously found that an assault behind a bar

was not foreseeable, “[d]espite bad stares and one or two insulting comments” between

13.
the assailant and the victim, and claims of the bar’s “reputation for violence.” Stoner v.

Montpelier Tavern Co., 98 N.E.3d 1092, 2017-Ohio-7995, ¶ 43 (6th Dist.). Even where

“an occasional fight may have occurred” on the premises, lacking “a reputation for

regular outbreaks of violent behavior,” a “sudden” and “out of the blue” fight was not

deemed foreseeable. Shadler v. Double D. Ventures, Inc., 6th Dist. Lucas No. L-03-

1278, 2004-Ohio-4802, ¶ 31. “The test for foreseeability is one of likelihood, not mere

possibility.” Id.

       {¶ 30} Lacking knowledge that an injury is likely, there is no duty to prevent the

criminal act of a third party under premises liability law. See e.g. Philon v. Knerr, 6th

Dist. Erie No. E-11-011, 2012-Ohio-2342, ¶ 6-8 (where two customers engaged in verbal

altercation inside the store, and after exiting the building, one of the customers purposely

ran the other down with his car, no duty to prevent the assault as attack not foreseeable);

but see Warner v. Uptown-Downtown Bar, 6th Dist. Wood No. WD-97-051, 1998 WL

123087 (Mar. 13, 1998) (bar patron’s assault was foreseeable based on the frequency of

fights on the premises).

       {¶ 31} In support of their allegations that appellee failed to secure her firearm,

appellants do not claim Blair previously used appellee’s handgun to inflict harm “similar

in nature,” and the evidence fails to demonstrate facts that “somewhat overwhelmingly”

demonstrate that appellee could have anticipated Blair would use appellee’s firearm to

murder her neighbor. In her deposition, appellee indicated that Blair had no violent

criminal history, had never engaged in physical fights or confrontations with others, and



14.
never displayed anger toward her or made her fearful of him. By the time of the murder,

furthermore, Blair had become a recluse, and had not left the home in many months.

       {¶ 32} While appellee acknowledged Blair seemed depressed, threatened suicide,

and heard voices on at least one occasion, she did not believe Blair needed immediate

treatment, and she did not believe he was mentally unstable, prior to the murder. She

also indicated that, on the two occasions Blair shot her handgun from the back deck, he

had been drinking but was not intoxicated, and he was not upset. All appellee knew, the

night of the murder, was that Blair’s reclusiveness and drinking had worsened by that

time, he was intoxicated, and he was upset with Ciotto, calling her a “she-bitch” out of

her hearing, and flipping her off, out of her view, before disappearing to his bedroom for

about an hour.

       {¶ 33} In arguing foreseeability, appellants rely heavily on appellee’s admissions

she should have secured her firearm, based on hindsight, as well as embellishments to

appellee’s deposition testimony. For example, appellants argue that appellee knew Blair

“should seek mental help with a psychologist or psychiatrist,” despite her testimony that

she urged him to see a doctor, but did not consider him unstable. Appellants also argue

Blair suffered from “hallucinations involving appellee’s neighbors including the decedent

allegedly threatening Blair,” but the evidence indicates appellee understood Blair

harbored false beliefs, or delusions, and believed the neighbors were watching him, with

no indication Blair had any actual hallucinations or any physical interactions with the

neighbors, or that Blair ever exhibited violent tendencies. Finally, appellants argue that

Blair previously shot the firearm from appellee’s back deck, “endangering appellee’s

15.
neighbors,” with no evidence of danger beyond an inference that firing a gun off the back

deck is the equivalent of firing a gun at other people. Based on the limited testimony

regarding the surroundings, Ciotto’s back yard was quite large and a row of trees created

a barrier between appellee’s and Ciotto’s property. There is also no evidence indicating

any neighbor was even aware of, or reported the prior shooting from the back deck,

neutralizing any inference of danger based solely on the proximity between the

residences and the fact Blair fired a gun.5

       {¶ 34} Applying Ohio premises liability law to the facts of this case, the totality of

the circumstances created no duty owed to Ciotto, arising from appellee’s failure to

secure her handgun. Based on the evidence, appellee could not have foreseen that Blair,

an entrenched recluse who had no prior violent history and spent a quiet hour before the

shooting, would decide to disobey his mother after a year of compliance and take her

handgun, leave the house, and commit a heinous murder as his first physical interaction

with Ciotto. Such criminal conduct, moreover, represented an extreme departure from

his prior conduct, notwithstanding his use of the handgun about a year prior.

Additionally, while Blair’s later diagnosis indicated a potential for homicidal violence,



5
  Admittedly, a loaded firearm is a dangerous instrumentality, and use of a loaded firearm
“requires extreme caution at all times to avoid the discharge of the gun and injury to
another.” Huber v. Collins, 50 N.E.2d 906, 908 (2d Dist.1942). Furthermore, in criminal
proceedings, the fact an offender used a firearm to commit a murder may be dispositive
of the offender’s intent. State v. Seiber, 56 Ohio St.3d 4, 14, 564 N.E.2d 408 (1990),
quoting State v. Widner, 69 Ohio St.2d 267, 270, 431 N.E.2d 1025 (1982); see also State
v. Dunlap, 73 Ohio St.3d 308, 316, 652 N.E.2d 988 (1995). There is no Ohio authority,
however, that imposes strict liability for unsafe or unsecured storage, based on the
inherent danger of a loaded firearm.
16.
this subsequent diagnosis did not constitute prior knowledge on the part of appellee. At

most, appellee acknowledged Blair’s depression and anger with her neighbor, although

she never witnessed any interactions between Blair and any neighbor, and she knew Blair

to be a recluse in her home, and her only fear was that he might harm himself. In arguing

a legal duty, appellants failed to demonstrate sufficient facts to support “somewhat

overwhelming” circumstances, sufficient to indicate the murder was likely, and therefore

foreseeable, as required under Ohio premises liability law.

       {¶ 35} Despite the existence of Ohio authority regarding liability for unsecured

firearms, or premises liability more generally, appellants rely on precedent of other states

in seeking to demonstrate an affirmative common law duty under Ohio law. Notably,

appellants avoid mention of Ohio authority, and rather than acknowledge and distinguish

this precedent, proceed directly to the law of other states as persuasive and appropriate.

Appellants’ authority, however, does not support their argument, as each case cited

includes facts demonstrating prior violence or a legal disability to possess a firearm,

neither of which is present in the facts of this case. Most importantly, if these facts were

present, they would more likely support appellants’ claims under Ohio law.

       {¶ 36} Appellants first argue that we should adopt the rule in Jupin v. Kask, 849

N.E.2d 829 (Mass.2006), in which the Supreme Court of Massachusetts determined a

duty existed, despite the general rule that a landowner has no duty to protect another from

a third party’s intentional criminal act, as “one of a number of limited exceptions to that




17.
general rule, where both the doctrine of foreseeability and sound public policy counsel an

alternative conclusion.” Jupin at 156. In Jupin, parents permitted their adult son to have

a key to their home, knowing of the son’s history of criminal violence and mental health

issues. The son used his key to enter the home, break into a poorly secured gun safe, and

steal a weapon later used to shoot a police officer as he attempted to arrest the son on an

outstanding warrant. While rejecting strict liability for failing to properly secure firearms

within a home, the court found the harm caused by permitting unsupervised access to

someone with a history of criminal violence and mental instability was foreseeable harm,

considering “emerging social customs and values, as well as appropriate social policy[.]”

Id. at 156.

       {¶ 37} Similarly, in Estate of Heck v. Stoffer, 786 N.E.2d 265 (Ind.2003), the

Supreme Court of Indiana determined a duty existed based upon nearly identical facts. In

that case, the homeowners’ adult son had a violent criminal history and was a fugitive at

the time he entered the home with his own key, took a handgun, and later shot and killed

a police officer to avoid arrest. As in Jupin, the Court determined the harm was

foreseeable, based on awareness that the son was “a mentally disturbed, habitual and

violent offender [with] free access to the premises.” Heck at 268-269. The parents in

Heck, furthermore, were aware that their son was a fugitive from the law, and they

assisted him in avoiding arrest by permitting him to hide out at their lake cottage. Id. at

267.




18.
       {¶ 38} Unlike the facts in Jupin and Heck, Blair had no violent, criminal history,

he was not a fugitive, and his mental illness was undiagnosed prior to the murder.6

Furthermore, while the Indiana Supreme Court imposed a policy-based duty on a gun

owner, the Indiana legislature enacted a law to negate the court’s ruling, providing

statutory immunity for gun owners for “an act or omission related to the use of a firearm”

by another person, if the firearm was wrongfully procured without the owners’ consent.

See Nicholson v. Lee, Ind. Ct. App. No. 18A-CT-1949, 2019 WL 613227 (Feb. 14, 2019),

citing I.C. § 34-30-20-1.

       {¶ 39} Appellants also rely on the Rhode Island case of Volpe v. Gallagher, 821

A.2d 699 (R.I.2003), arguing the facts and circumstances mostly align with those in the

present case. In Volpe, however, the facts did not concern an allegation of a gun owner’s

failure to secure their own firearm. Instead, the issue was one of premises liability, based

on the homeowner permitting her mentally ill, adult son to amass a cache of weapons in

her home.

       {¶ 40} The adult son in Volpe had lived with his mother all 34 years of his life, a

“jobless and practically friendless loner who was plagued by hallucinations, imaginary



6
  Blair’s mental health was at issue, initially, in his criminal proceeding. Blair first
entered an NGRI plea and his competency to stand trial was raised. After referral for
mental health evaluations, Blair was diagnosed as suffering from a mood disorder with
psychosis, with a history of depression, anger issues, and “suicidal and homicidal
ideations,” but was otherwise prevented from pursuing his NGRI plea and deemed
competent to stand trial. Appellants obtained the records from the criminal proceedings
through subpoena, and submitted the records as evidence in opposing summary
judgment. The deposition of appellee, however, demonstrated appellee had no
knowledge of Blair’s mental health history and diagnosis prior to the murder.
19.
conversants, and a paranoid distrust of others[.]” Volpe at 702. The son “had suffered for

many years from an increasingly severe and delusional mental illness[,]” and was

permitted, by his mother, to keep a gun collection in his basement quarters. Id.

       {¶ 41} On July 3, 1994, the son emerged from the basement with a loaded shotgun

and shot his next-door neighbor as he trimmed the hedgerow between the two houses.

Volpe at 703. After a jury found the mother liable in negligence, she appealed, arguing

no duty to “disarm her son or otherwise control his arms-bearing activity on her

property.” Id. at 704. The evidence did not indicate whether the son was on his mother’s

property or the neighbor’s when he fired the weapon. Id. at 703.

       {¶ 42} In determining a duty existed, the Supreme Court of Rhode Island

considered the relationship of the parties, the mother’s obligation, “public policy

considerations, and notions of fairness.” Volpe at 705. Relying on Section 318 of

Restatement of the Law, 2d, Torts, the Court in Volpe determined the issue as one of

premises liability, and found that the mother knew, or had reason to know, of her son’s

dangerous gun hobby on her property, as well as her son’s severe mental illness, a

condition that had worsened despite institutionalization and two years of outpatient

treatment. Id. at 708-709.

       {¶ 43} While the facts in Volpe and the present case both involve an adult son

killing a neighbor over an imagined yardwork dispute, there are significant facts in this

case which differ from those in Volpe, diminishing its value as persuasive authority.

First, the son in Volpe had a documented history of severe mental illness, including

institutionalization. Under Ohio law, the son in Volpe would not have been eligible to

20.
legally possess weapons, as R.C. 2923.13(A)(5) prohibits weapon possession by a person

who has been committed to a mental institution, unless relived from that disability by

law. In addition to appellee’s handgun, Blair owned his own firearm, with no evidence

he illegally obtained or possessed that firearm.

       {¶ 44} Also unlike the son in Volpe, doctors diagnosed Blair’s mental illness as

part of the mental health evaluations ordered by the trial court in his criminal case, after

the murder, and Blair had no history of institutionalization. Appellee, herself, offered no

testimony to support any knowledge of severe mental illness, prior to the murder, but

instead indicated only that Blair was odd, reclusive, and paranoid, and appellee feared he

might harm himself.

       {¶ 45} Finally, the son in Volpe could not live independently, and was under his

mother’s care and supervision. Blair, in contrast, demonstrated an ability to live on his

own for 30 years, and even lived with his father for a time to provide for his father’s care.

At the time of the murder, Blair stayed with his mother, not because he needed her

supervision, but because he lost his job and did not seek new employment, and she was

willing to provide him with financial support and a place to live.

       {¶ 46} While appellants’ foreign case law is distinguishable based on evidence of

prior violence or a known mental disability not demonstrated in this case, other states,

citing facts more similar to the present case, have declined to find a duty owed for

negligent storage of firearms without a special relationship, consistent with Ohio law. In

Bridges v. Parrish, 742 S.E.2d 794 (N.Car.2013), considering nearly identical facts, the

Supreme Court of North Carolina found no duty to secure a firearm to prevent their 52-

21.
year-old son from taking it and shooting his ex-girlfriend. In Brisco v. Fuller, 623 So.2d

196, 199 (La.App.1993), a Louisiana appellate court found no duty owed by parents to

conceal or hide guns from an adult child, alleged to be dangerous, where there was no

indication of any mental illness or emotional derangement, and the parents were not

alleged to be custodians. In Thomas v. Bokelman, 462 P.2d 1020, 1022 (Nev.1970), the

Nevada Supreme Court declined to find a duty where homeowners kept firearms in

proximity of a 35-year old man “who had 13 years before been convicted for an act of

rape.” The court found the homeowners could not have foreseen the shooting, as “[t]he

risk, if any, was that [the man] might again rape someone.”

       {¶ 47} In arguing that appellee is liable for failing to secure her firearm, appellants

ignore Ohio premises liability law, and seek to impose a duty to secure weapons based on

the law of other jurisdictions that includes facts more strongly indicating the

foreseeability of gun violence. However, we must first look to Ohio law, and controlling

Ohio precedent requires either a special relationship, or previous conduct, “similar in

nature,” that demonstrated “somewhat overwhelmingly” that appellee could have

anticipated Blair would likely use the firearm to commit a violent crime. Lacking these

types of facts, appellants’ claim arising from premises liability lacks support. Therefore,

no duty arose as a matter of law, based on application of Ohio premises liability law.

                             b. Duty to Act/ Duty to Control

       {¶ 48} Appellants also allege that appellee failed to act to protect Ciotto, and had a

duty to control Blair’s conduct. This allegation arises from a failure to act, or

nonfeasance, as opposed to any affirmative wrongful conduct, constituting either

22.
misfeasance or malfeasance. “Nonfeasance is the omission of an act which a person

ought to do; misfeasance is the improper doing of an act which a person might lawfully

do; and malfeasance is the doing of an act which a person ought not to do at all.”

(Citation omitted.) State ex rel. Neal v. State Civ. Serv. Commission, 147 Ohio St. 430,

434, 72 N.E.2d 69 (1947).7

         {¶ 49} Appellants argue that, because it was possible and perhaps even foreseeable

that Blair would take her loaded gun and use it, appellee owed a duty to Ciotto and the

public at large to prevent Blair’s access to her gun. To find such a duty, however, this

court must also find, for the first time in Ohio jurisprudence, that a duty exists to control

the actions of a third person without any special relationship, to prevent that person from

harming others, contradicting existing, controlling precedent. Simpson, 73 Ohio St.3d at

134, quoting Restatement of the Law 2d, Torts, Section 315 (1965).8 Appellants ask this

court to extend the law, “to provide a remedy where none exists.” Id. at 134.




7
  Appellants’ premises liability claim would arguably fall under the category of
misfeasance, as appellee legally owned her weapon and violated no statute in keeping it
in her bedside table for her protection.
8
    Restatement of the Law 2d, Torts, Section 315 provides:

         There is no duty so to control the conduct of a third person as to prevent him from
         causing physical harm to another unless

         (a) a special relation exists between the actor and the third person which
         imposes a duty upon the actor to control the third person's conduct, or

         (b) a special relation exists between the actor and the other which gives to
         the other a right to protection.
23.
       {¶ 50} Even if “the actor realizes or should realize that action on his part is

necessary for another’s aid or protection” that realization will not, standing alone, impose

such a duty. Id. at 134, quoting Restatement of the Law 2d, Torts, Section 314; see also

Hill v. Sonitrol of Southwestern Ohio, Inc., 36 Ohio St.3d 36, 521 N.E.2d 780 (1988).

Simply put, a duty must exist prior to imposing any legal liability for nonfeasance.

Clemets, 20 Ohio App.3d at 135; see also Restatement of the Law 2d, Torts, Section

302(b), Comment a (1965). The kind of duty contemplated, moreover, is “one obligating

the defendant to act toward the plaintiff in some affirmative manner in a situation where a

‘definite relation’ exists between them.” Clemets at 135, citing Prosser & Keaton, Torts,

Section 37, 236 (5 Ed. 1984); see also Noe, 6th Dist. Lucas No. L-12-1199, 2013-Ohio-

2251 at ¶ 42.

       {¶ 51} In arguing that the foreseeability of Blair’s conduct created the duty,

appellants rely on Restatement of the Law 2d, Torts, Section 302(b), which provides:

                A negligent act or omission may be one which involves an

       unreasonable risk of harm to another through * * * the foreseeable action of

       the other, a third person, an animal, or a force of nature.

Ohio courts applying Section 302(b), note that “[t]his Section is concerned only with the

negligent character of the actor’s conduct, and not with his duty to avoid the

unreasonable risk.” Schneider v. Kumpf, 2016-Ohio-5161, 58 N.E.3d 1220, ¶ 94 (2d

Dist.), quoting Section 302, Comment a. In other words, this Section addresses




24.
foreseeability, and not duty. Furthermore, “there is no common-law duty to anticipate or

foresee criminal activity” as appellants contend. Fed. Steel, 45 Ohio St.3d 171 at 174,

543 N.E.2d 769. Appellants fail to cite any Ohio authority applying Section 302(b) to

demonstrate duty based only on foreseeability, construing facts similar to this case.

       {¶ 52} Instead, Ohio authority provides for no common law duty to secure a

firearm, to prevent access and use by an emancipated adult. The only Ohio authority

appellants cite, to the contrary, relates to a common law duty arising from an affirmative

act, to wit, the negligent entrustment of a firearm. See e.g. Byers, 107 Ohio App.3d at

683, 669 N.E.2d 320 (8th Dist.1995) (the act of negligently entrusting a weapon to a third

party, knowing of the danger of harm to others, created a “special duty” to protect against

the conduct that third party). There is no allegation, in this case, that appellee entrusted

her handgun to Blair.

       {¶ 53} Appellants’ argument, accordingly, appears to center on the appellee’s

failure to secure her handgun from Blair, an adult who committed an affirmative,

criminal act, with no legal basis offered in support. As previously stated, however, a

common law duty predicated on nonfeasance, or failure to act, requires a special

relationship. Clemets, 20 Ohio App.3d at 135. Therefore, common law precedent does

not support the existence of a legal duty owed, based on these facts.

                                     2. Statutory duty

       {¶ 54} There is also no duty established by statute. The Ohio General Assembly

has not legislated any standard for storing or securing firearms in the home, to prevent



25.
other adults from accessing those firearms.9 There are prohibitions against furnishing a

firearm to a juvenile, R.C. 2923.21, but even where a child is concerned, courts have

required an actual, affirmative act to constitute “furnishing” a firearm. See e.g. State v.

Skaggs, 97 Ohio App.3d 15, 19, 646 N.E.2d 190 (11th Dist.1994) (implicit in the

definition of “supplying” a firearm “is the requirement of some type of positive act by

which a firearm is supplied, provided, or equipped.”). The law also prohibits improperly

storing a firearm in a vehicle. R.C. 2923.16. However, gun ownership, alone, does not

create a heightened duty to others relative to securing or safeguarding that gun in the

home. The only duty to secure weapons, established by statute, is the duty to secure

dangerous ordnance. See R.C. 2923.19 (“No person * * * shall negligently fail to take

proper precautions [t]o secure the dangerous ordnance * * * against is acquisition of use

by any unauthorized or incompetent person.”).

       {¶ 55} The firearm at issue in this case, however, is not a “dangerous ordnance” as

defined by Ohio statute. See e.g. Reddick, 11th Dist. Lake No. 2011-L-067, 2012-Ohio-

1885, ¶ 59-60; see also R.C. 2923.11(L)(2) (“Dangerous ordnance” does not include

“Any pistol, rifle, or shotgun, designed or suitable for sporting purposes * * * unless the



9
 Other states have enacted safe storage laws to prevent child access to firearms. For
example, a Florida statute requires a premises owner to store a loaded firearm “in a
securely locked box or container or in a location which a reasonable person would
believe to be secure” or use a trigger lock to prevent child access. Fla. Stat. 790.174(1).
Likewise, Maryland law prohibits unsecured, loaded firearms “where the person knew or
should have known that an unsupervised child would gain access to the firearm.” Md.
Code. Ann. Crim. Law 4-104(c). Violation of the Maryland statute, however, “may not
be considered evidence of negligence” in a civil suit. Md. Code. Ann. Crim. Law 4-
104(e)(1).
26.
firearm is an automatic or sawed-off firearm”). Therefore, appellee’s practice of keeping

a loaded handgun in an unlocked, bedside table drawer violated no duty imposed by

statute.

                                  3. Circumstantial Duty

       {¶ 56} Appellants also advocate for the creation of a duty, tailored for these

specific circumstances, arguing what may only be construed as policy considerations. As

previously noted, a duty may arise based on considerations “which lead the law to say

that a particular plaintiff is entitled to protection.” Toledo Edison Co. v. Ohio Bell Tel.

Co., 6th Dist. Wood No. WD-14-063, 2015-Ohio-2448, ¶ 9, citing Wallace, 96 Ohio

St.3d 266, 2002-Ohio-4210, 773 N.E.2d 1018 at ¶ 23. In support of their policy

argument, appellants look to the law of other jurisdictions, finding a duty not otherwise

recognized by Ohio common law, based on specific circumstances related to firearms

and/or mental illness. Appellants’ authority, however, is not controlling precedent, is

distinguishable from the facts in the present case, and is not persuasive.

       {¶ 57} In Jupin and Heck, a duty to protect from a third party’s criminal conduct

arose based on foreseeability and public policy, despite the common law rule to the

contrary. Jupin, 849 N.E.2d at 841; Heck, 786 N.E.2d at 268-269. The court in Volpe

relied, in part, on public policy and “notions of fairness” in determining a duty existed to

protect the public. As previously noted, appellants argue Blair’s conduct created a duty,

based on the Restatement of the Law 2d, Torts, Section 302(b) (1965), because

“unreasonable risk of harm” could impose a duty where the harm is foreseeable. Other



27.
jurisdictions, however, have weighed similar policy considerations and Section 302(b),

and reached a different conclusion consistent with current Ohio law.

       {¶ 58} For example, in Knight v. Merhige, 133 So.3d 1140 (Fla.App.2014), the

Fourth District Court of Appeals of Florida construed Section 302(b) with public policy

considerations in determining parents owed no legal duty to protect against the conduct

of a mentally ill adult child, absent a legally recognized “special relationship.” In Knight,

the Merhiges’ 35-year-old son, Paul, had exhibited signs of violent, aggressive behavior

and social dysfunction from the age of twenty. Between 1994 and 2006, Paul lived with

his parents, relied on them financially, and was deemed “legally disabled” due to his

continual “violent and aggressive behavior.” Knight at 1142. Much of Paul’s aggression

focused on his family members, and one of his sisters obtained a restraining order against

him. Id. Despite Paul’s violent tendencies and a prior suicide attempt, the Merhiges did

not prevent Paul from purchasing firearms with money they gave him. Id.

       {¶ 59} In 2009, the Merhiges rented a condominium for Paul and excluded him

from their home. Id. at 1142. Paul became increasingly reclusive, and ceased his mental

health treatment. Id. Despite Paul’s deterioration and history of violence directed toward

his family, the Merhiges invited Paul to attend the family Thanksgiving dinner with them.

Id. at 1142-1143. Many family members expressed surprise at Paul’s attendance, as they

had excluded Paul from previous family functions out of fear of his aggressive tendencies

toward them. Id. at 1143. The extended family permitted Paul to join them, however, and

the dinner proceeded without incident. Id.



28.
         {¶ 60} Immediately after dinner, Paul slipped out to get something from his car.

Knight at 1143. He returned with a firearm and opened fire on his relatives, killing both

of his sisters, his aunt, and his cousin’s six-year-old daughter, and wounding his brother-

in-law. Id. at 1143. Paul was criminally charged, entered a plea, and received a life

sentence. Id. The estates of the decedents filed suit against the Merhiges, seeking to hold

them liable in negligence based on their creation of a “foreseeable zone of risk,” and

based on their assumption of a duty to serve as Paul’s custodian, creating a special

relationship. Id.

         {¶ 61} The court found dismissal of the negligence claims proper, as the Merhiges

owed no legal duty based on the foreseeable risk theory of liability. Id. at 1143-1144.

This finding is consistent with Ohio law, which construes Section 302(b) as “concerned

only with the negligent character of the actor’s conduct, and not with his duty to avoid

unreasonable risk.” Schneider, 2016-Ohio-5161, 58 N.E.3d 1220 at ¶ 94, quoting Section

302, Comment a. In refusing to adopt foreseeable risk as “the sole trigger of a legal

duty[,]” the court in Mehrige noted that a duty for nonfeasance only arises where there is

a special relationship or the person who failed to act also exerted control over the

premises, the instrumentality, or the person causing the injury. Knight at 1143-1144,

1147. While the facts in Mehrige are distinguishable, both cases invoke the danger of

enabling access to firearms by a mentally unstable individual. The Mehrige court’s

reasoning, despite the factual differences, is nonetheless persuasive. As noted by that

court:



29.
              Here, a public policy reason militates for a finding of no legal duty

       even assuming that a [Section 302(b)] foreseeability analysis leads to the

       conclusion that the shootings were a foreseeable result of the Merhiges’

       conduct. * * * Here, the essence of the negligence claim is that the

       Merhiges invited their deeply troubled child to a family gathering, knowing

       of his difficulties with family members. Family members with

       psychological or behavioral problems are a common occurrence in Florida

       and elsewhere. Families should be encouraged to include a troubled family

       member in the family circle. A holding that the Merhiges owed a legal

       duty to the members of their family and extended family in this case would

       discourage families from providing a haven to troubled relatives for fear of

       civil liability. The result would be to foist those most in need of family

       interaction on the governmental and charitable social service networks,

       thereby thrusting a family problem into the hands of society at large, where

       unhappy outcomes are all too common. Difficult and tragic cases such as

       this one should not set the standard for the entire universe of family

       interaction. * * * .” Knight at 1150-1151.

       {¶ 62} Under Ohio law, policy considerations play a part in determining whether a

legal duty exists. As noted by the Ohio Supreme Court, “[a]ny number of considerations

may justify the imposition of duty in particular circumstances, including the guidance of

history, our continually refined concepts of morals and justice, the convenience of the

rule, and social judgment as to where the loss should fall.” (Citation omitted.) Mussivand,

30.
45 Ohio St.3d 314 at 318, 544 N.E.2d 265. Before abandoning existing precedent,

however, we must weigh policy considerations, not based on a single incident, but based

on broader concerns.

       {¶ 63} Here, appellee opened her home to her adult son after he lost his job.

While he lived with appellee, Blair exhibited signs of depression and anti-social

behaviors, and consumed alcohol to excess. There is no evidence, however, that Blair

had a violent criminal history, demonstrated an immediate need for mental health

treatment for his issues, or accessed appellee’s handgun during the one-year period

leading up to the murder. Furthermore, prior to learning of the murder, appellee’s

concern, once she learned her handgun was missing, was that Blair would harm himself,

rather than others.

       {¶ 64} In weighing policy considerations regarding firearm ownership, we note

that the right to bear arms is a fundamental right, pursuant to the United States and Ohio

constitutions. Arnold v. Cleveland, 67 Ohio St.3d 35, 616 N.E.2d 163 (1993), at

paragraph two of the syllabus; State v. Smith, 10th Dist. Franklin No. 18AP-124, 2018-

Ohio-4297, ¶ 9-10. The right to bear arms, however, is subject to limitations, but it is

“the province of the legislature to regulate” in this area. Runions v. Burchett, 2d Dist.

Clark No. 2017-CA-62, 2018-Ohio-2754, ¶ 33, citing Klein v. Leis, 99 Ohio St.3d 537,

2003-Ohio-4779, 795 N.E.2d 633, ¶ 8; State v. Hogan, 63 Ohio St. 202, 58 N.E. 572

(1900).

       {¶ 65} As previously noted, the General Assembly has not regulated the storage of

firearms in the home, relative to access by other adults. Ohio courts, furthermore, have

31.
rejected a per se duty, arising under common law, based on the failure to secure firearms,

even where a special relationship exists. See e.g. Nearor v. Davis, 118 Ohio App.3d 806,

813, 694 N.E.2d 120 (1st Dist.1997), citing Bilicic v. Brake, 64 Ohio App.3d 304, 309,

581 N.E.2d 586 (11th Dist.1989) (“We are unwilling to adopt the doctrine that the owner

of a gun ‘should be held absolutely liable for any injury that occurs when he permits or

leaves the firearm accessible to children.’”) Likewise, other jurisdictions have rejected

this view, finding policy decisions to extend liability are properly made by the legislature,

and not the courts. See Bridges, 742 S.E.2d at 798; McGrane v. Cline, 973 P.2d 1092,

1094-95 (Wash.App.1999); Resteiner v. Sturm, Ruger & Co., 566 N.W.2d 53, 56

(Mich.App.1997).

       {¶ 66} In weighing policy considerations regarding gun ownership and the

conduct of third parties, imposing liability without a special relationship would amount to

strict liability for gun owners, without any corresponding legislative enactment. Current

law imposes liability only where a claimant demonstrates a special relationship, either

through premises liability law based on prior, similar incidents and “somewhat

overwhelming” circumstances, or based on an actual, special relationship of the type

recognized under common law.

       {¶ 67} In weighing policy considerations regarding mental illness, we find

appellants’ argument, in favor of abandoning precedent and imposing a new duty in these

types of circumstances, equally unpersuasive. The new duty appellants propose would

require this court to create a rational rule to address a range of irrational behaviors,

forcing guardianship responsibilities on an individual who has not accepted such a legal

32.
responsibility over another. See e.g. Frederic v. Willougby, 11th Dist. Portage No. 2007-

P-0084, 2008-Ohio-3259, ¶ 30 (requiring a guardianship, or circumstances in which the

parent overtly accepts legal responsibility for an adult child, to impose a special

relationship).

       {¶ 68} Furthermore, appellants’ argument fails to clearly identify the specific

circumstances such a new duty would address, in either case. If it were the firearm, or

the instrumentality, the new duty would essentially create strict liability for gun owners,

based on facts that also indicated Blair owned and could have used his own gun. Such

analysis ignores the fact that, in this case, Blair also used a lawn mower in his attack on

Ciotto. If it is the mental illness, the new duty could create liability based on the very

difficulties that cause adult children to move back home, influencing parents to turn their

children away rather than provide a safe haven during difficult times. The

instrumentality, additionally, would be irrelevant if mental illness created this new duty,

with a duty to act to prevent use of every conceivable kind of weapon, including

everyday items such as kitchen knives, tools, baseball bats, and even automobiles.

       {¶ 69} In considering appellants’ argument, they do not clearly focus on firearm

ownership or mental illness, but argue liability for the tragic death of their decedent,

relative to both. We must consider the broader consequences of creating such a new

duty, unmoored from any clear focus. Additionally, appellants seek to hold appellee

liable based mainly on the undisputedly horrific crime committed by Blair, not based on

existing law. Despite Blair’s reprehensible conduct, appellee had no basis to foresee the

murder, and therefore, existing law imposed no duty on appellee to secure her firearm in

33.
her own home to prevent Blair’s access, lacking some special relationship. As

considered by the court in Knight, policy considerations related to the care of the

mentally ill and a de facto “special relationship” based on these circumstances, weigh

against such a policy-based duty.

       {¶ 70} Additionally, imposing liability in this instance, based on these facts, could

set a dangerous precedent with unintended consequences. If family members must exert

control over each other to safely associate, they might hesitate to care for each other if

doing so subjected them to liability based on odd behavior, reclusiveness, or alcohol

abuse. For this reason, duty founded in policy considerations requires broader analysis

than a single, albeit tragic, incident. More importantly, we must resist the temptation to

address the tragedy in this case by fashioning new law that punishes appellee, but

disregards any future implications. Instead, appellants’ concerns are more properly the

subject of a legislative response, where the forum encourages, and indeed requires,

vigorous debate of the broad considerations, eliciting and weighing the societal factors,

and only then creating new law that imposes new duties on the community at large.

       {¶ 71} Therefore, after considering the policy argument, and finding no duty

applicable to appellee’s conduct, we decline to make new law with this case.

Accordingly, we reject appellants’ argument in favor of applying current law. Despite

the tragedy that resulted in this instance, claims predicated on premises liability or

nonfeasance still require a special relationship in order to impose liability, with public

policy considerations, combined with argument of foreseeability, insufficient to create a

new and separate legal duty.

34.
       {¶ 72} Accordingly, we find the trial court did not err in granting summary

judgment as to this issue, and appellants’ first assignment of error is overruled.

                                   B. Special relationship

       {¶ 73} Appellants next argue that a special relationship did exist between appellee

and Blair based on appellee’s permitted use of her premises and/or based on appellee’s

custodial relationship with her mentally ill son.

                                     1. Use of premises

       {¶ 74} First, appellants contend that appellee owed a duty to others like Ciotto as a

possessor of property, because she permitted Blair to “use the premises,” and could have

exerted control over Blair to protect Ciotto. As provided by Restatement of the Law, 2d,

Torts, Section 318:

               If the actor permits a third person to use land or chattels in his

       possession otherwise than as a servant, he is, if present, under a duty to

       exercise reasonable care so to control the conduct of the third person as to

       prevent him from intentionally harming others or from so conducting

       himself as to create an unreasonable risk of bodily harm to them, if the

       actor

               (a) knows or has reason to know that he has the ability to control the

       third person, and

               (b) knows or should know of the necessity and opportunity for

       exercising such control.



35.
       {¶ 75} In support of this special relationship, appellants again compare this case to

the facts in Volpe, arguing appellee permitted Blair to use her premises, and failed to

control her mentally ill, adult son’s actions after providing him access to her firearm.

However, appellants misstate the facts upon which the Volpe court relied.

       {¶ 76} Appellants argue that the mother in Volpe negligently allowed her son to

access guns on her property, which he used to kill her next-door neighbor. The Volpe

court, however, considered that the mother permitted her mentally ill, adult son to use her

premises to amass and store his own gun collection. Volpe, 821 A.2d at 702-703. In

other words, the court in Volpe determined that the mother permitted her son to use her

premises to conduct a dangerous activity.

       {¶ 77} In Volpe, “the mother’s liability derived from her status as a possessor of

land.” Havel v. Chapek, 11th Dist. Geauga No. 2004-G-2609, 2006-Ohio-7014, ¶ 59. In

the present case, appellants argue that liability arises from negligence in securing the

loaded handgun, or in other words, appellee’s liability derives from her status as a

possessor of a firearm. Furthermore, appellants do not claim that appellee permitted

Blair to use her handgun. Therefore, even presuming this authority applied in this case,

the facts are easily distinguishable from the facts in Volpe.

       {¶ 78} Here, appellee only permitted Blair to use her premises as housing, and not

to amass a cache of weapons that made appellee’s premises dangerous to others. In fact,

Blair left appellee’s premises to commit the criminal act. The duty to control the conduct

of another occupying one’s premises ends once that person exits the premises, “outside

the purview of the owner’s control.” Gelbman v. Second Natl. Bank, 9 Ohio St.3d 77, 80,

36.
458 N.E.2d 1262 (1984). Based on these facts, therefore, appellee owed no duty arising

from a special relationship, based on premises liability as stated in Restatement of the

Law, 2d, Torts, Section 318.

                               2. Control over another

       {¶ 79} Appellee also owed no duty arising from her “control” over Blair.

Appellants argue that appellee had a special relationship with Blair because she had

“taken charge” of his care and permitted him to live with her, and she was therefore

required to exercise control over Blair and his dangerous propensities. As provided by

Restatement of the Law, 2d, Torts, Section 319:

              One who takes charge of a third person whom he knows or should

       know to be likely to cause bodily harm to others if not controlled is under a

       duty to exercise reasonable care to control the third person to prevent him

       from doing such harm.

       {¶ 80} There is no dispute regarding Blair’s status as an emancipated adult, and no

evidence of any court-ordered guardianship over Blair. Appellee, also, did not assert

control over Blair’s life, consistent with a guardianship. Instead, the evidence

demonstrates that appellee and Blair had a familial relationship, and appellee provided

Blair with food and shelter after he lost his job. Appellee was aware that Blair suffered

from some mental condition, but demonstrated no knowledge of any violent tendencies,

and “suffering from a mental illness does not automatically equate violent behavior.”

Blevins, 5th Dist. Richland Nos. 12CA116, 12CA115, 2013-Ohio-3297, ¶ 47. The fact

that Blair became a recluse in her home appears Blair’s own choice, and while appellee

37.
suggested Blair seek mental health treatment, the evidence demonstrates no ability, on the

part of appellee, to compel treatment or otherwise control any aspect of Blair’s life.

       {¶ 81} “While the relationship between a parent and an adult child may, under

certain circumstances, be a ‘special relationship’ that instills in the parent a duty to

protect others from the violent propensities of the adult child, such a relationship does not

exist automatically by virtue of the parent-child relationship itself.” (Emphasis sic.)

Shirdon v. Houston, 2d Dist. Montgomery No. 21529, 2006-Ohio-4521, ¶ 18. A parent

must accept such responsibility “in a legally recognized way, such as a guardianship, or

in a situation where an adult child's dependence and the parent's overt acceptance of

responsibility for the adult child establish a de facto guardianship.” Id.; accord Frederic,

11th Dist. Portage No. 2007-P-0084, 2008-Ohio-3259 at ¶ 30.

       {¶ 82} Construing the present facts, Section 319 does not apply, as this Section is

limited to circumstances in which there is both the authority and the ability to exert

control over an adult child. Blevins, 2013-Ohio-3297, ¶ 45, quoting Havel, 2006-Ohio-

7014 at ¶ 59; see also Knight, 133 So.3d at 1146-1147 (Fla.App.2014) (despite financial

support and control over some aspects of their son’s life, parents had no legal right to

assert control, and therefore, no legal liability based on a custodial relationship). Lacking

any evidence of authority, appellee owed no duty to appellants based on a special

relationship that arose through “taking control” of her son.

       {¶ 83} With no special relationship, therefore, appellants’ second assignment of

error is overruled.



38.
                                      C. Emotional Distress

         {¶ 84} Appellants’ assignments of error three and four challenge the trial court’s

ruling as to their emotional distress claims. They argue that appellee’s conduct after the

shooting demonstrates issues of fact, precluding summary judgment. Appellants asserted

claims for negligent infliction of emotional distress and for intentional infliction of

emotional distress, arguing the mishandling of a corpse as special circumstance for each

claim.

         {¶ 85} Generally, a claim for negligent infliction of emotional distress requires

evidence demonstrating: “(1) the plaintiff was a bystander; (2) the plaintiff reasonably

appreciated the peril which took place, whether or not the victim suffered actual physical

harm; and (3) the plaintiff suffered serious emotional distress as a result of this

cognizance or fear of peril.” Walker v. Firelands Cmty. Hosp., 170 Ohio App.3d 785,

2007-Ohio-871, 869 N.E.2d 66, ¶ 59 (6th Dist.), citing Paugh v. Hanks, 6 Ohio St.3d 72,

80, 451 N.E.2d 759 (1983). In special circumstances, however, damages are also

available for emotional distress that results “from the negligent mishandling of a dead

body.” Id. at ¶ 43, citing Carney v. Knollwood Cemetery Assn., 33 Ohio App.3d 31, 514

N.E.2d 430 (8th Dist.1986), paragraph two of the syllabus.

                The elements of a claim for intentional infliction of emotional distress are:

                (1) that the actor either intended to cause emotional distress or knew

         or should have known that actions taken would result in serious emotional

         distress to the plaintiff;



39.
              (2) that the actor’s conduct was so extreme and outrageous as to go

       ‘beyond all possible bounds of decency’ and was such that it can be

       considered as 'utterly intolerable in a civilized community,' * * *

              (3) that the actor's actions were the proximate cause of plaintiff's

       psychic injury; and

              (4) that the mental anguish suffered by plaintiff is serious and of a

       nature that 'no reasonable man could be expected to endure it,' *** . Rine v.

       Sabo, 113 Ohio App.3d 109, 118, 680 N.E.2d 647 (6th Dist.1996), quoting

       Pyle v. Pyle, 11 Ohio App. 3d 31, 34, 463 N.E.2d 98 (8th Dist.1983).

       {¶ 86} Appellants argue that special circumstances exist in this case, based on

appellee’s failure to report the location of Ciotto’s remains to authorities. The parties

dispute whether appellee saw a body on the lawn, but in opposing summary judgment,

appellants presented no evidence to refute appellee’s testimony that she did not see a

body. Even if appellee saw a body, moreover, a failure to call police is not the equivalent

of mishandling a corpse. “Mishandling” implies there was some kind of “handling” of

the decedent’s body to begin with, with no allegations or evidence to support this notion.

In support of their claim, appellants cite to no authority that permits a “mishandling”

claim where the wrongdoer took no action. Instead, appellants rely on authority

demonstrating affirmative mistreatment of a body. See e.g. Chesher v. Neyer, 392

F.Supp.2d 939, (S.D.Ohio 2005).

       {¶ 87} A failure to call police or report the body, furthermore, could not constitute

extreme and outrageous conduct unless appellee was first obligated to act. See e.g.

40.
Hartman v. Smith, 9th Dist. Wayne No. 04CA0079, 2005-Ohio-3299, ¶ 23 (where there

was no duty to report the location of a murder victim’s remains, the failure to disclose

was not actionable in a claim arising from emotional distress). Appellee’s initial

concealment of the murder weapon and lies, moreover, do not rise to the level of

outrageous conduct, intended to cause emotional distress. Additionally, while appellants’

reference to appellee’s criminal actions could be construed as an attempt to demonstrate a

consciousness of guilt, we find no authority that treats such conduct, related to a separate

criminal proceeding, as an admission for purposes of proving appellants’ emotional

distress claims. Evidence of appellee’s prior conviction, for conduct related to Blair’s

murder prosecution, has no relevance in this matter, and her conduct in hindering the

criminal investigation, while wrongful, “is not extreme and outrageous simply because it

is criminal[.]” Morrow v. Reminger & Reminger Co. LPA, 183 Ohio App.3d 40, 2009-

Ohio-2665, 915 N.E.2d 696, ¶ 49 (10th Dist.).

       {¶ 88} To sustain a claim for intentional infliction of emotional distress, appellants

must allege conduct that goes beyond hurtful, inconsiderate, and unkind, to meet the

threshold of conduct characterized by malice or “‘a degree of aggravation which would

entitle the plaintiff to punitive damages for another tort.’” Reamsnyder v. Jaskolski, 10

Ohio St.3d 150, 153, 462 N.E.2d 392 (1984), quoting Restatement of the Law, Second,

Torts 46, 71, 73 (1965). In this case, appellants allege appellee’s criminal conduct,

standing alone, meets this threshold, with no evidence of the type of intentional,

malicious conduct required to sustain a claim.



41.
       {¶ 89} Accordingly, having considered appellants’ claims seeking damages for

emotional distress, we find the trial court did not err in finding no issues of material fact

and granting summary judgment for appellee. Appellants’ third and fourth assignments

of error, accordingly, are overruled.

                                        III. Conclusion

       {¶ 90} Upon careful review of the proceedings, we affirm the judgment of the

Huron County Court of Common Pleas, granting summary judgment in favor of appellee

on appellants’ claims. Appellants are assessed the costs of appeal, as provided by App.R.

24.

                                                                         Judgment affirmed.



       A certified copy of this entry shall constitute the mandate pursuant to App.R. 27.
See also 6th Dist.Loc.App.R. 4.




Arlene Singer, J.                                _______________________________
                                                             JUDGE
Gene A. Zmuda, J.
CONCUR.                                          _______________________________
                                                             JUDGE
Christine E. Mayle, P.J.,
DISSENTS.



       MAYLE, P.J.

       {¶ 91} Respectfully, I dissent. I cannot agree that Hinkle owed absolutely no duty,

as a matter of law, when storing her loaded handgun—“an inherently dangerous

42.
instrumentality, the use of which is reasonably likely to produce death”10 ―under the

facts of this case. Consistent with well-established tort law, I would find that Hinkle

owed a common-law duty to exercise the degree of care that an ordinarily reasonable and

prudent person would exercise under the same or similar circumstances. In other words, I

would hold that Hinkle’s act of storing her handgun required the same amount of care

that the law requires for any other affirmative act―ordinary care that is reasonable under

the circumstances. Here, this required Hinkle to take into account what she knew about

her son, who lived with her: that he was mentally unstable, heard voices, abused alcohol,

harbored irrational anger toward neighbors, and that he was not only aware of the

location of the loaded gun, but that he had taken the gun on prior occasions―even after

she told him not to―and fired it off her back porch while intoxicated.

       {¶ 92} I would find that under the facts of this case―when viewed in a light most

favorable to the non-moving party, as required under Civ.R. 56―the question of whether

Hinkle breached her common law duty of ordinary care by storing her loaded gun where

her son could easily access it is a question of fact for a jury.

                          I. Determining Whether a Duty Exists

       {¶ 93} The majority correctly observes that the duty element of a negligence claim

may be established by common law, legislative enactment, or the particular




10
  State v. Widner, 69 Ohio St.2d 267, 270, 431 N.E.2d 1025 (1982); State v. Seiber, 56
Ohio St.3d 4, 14, 564 N.E.2d 408 (1990); State v. Dunlap, 73 Ohio St.3d 308, 316, 652
N.E.2d 988 (1995).

43.
circumstances of a case. Wallace v. Ohio DOC, 96 Ohio St.3d 266, 2002-Ohio-4210, 773

N.E.2d 1018, ¶ 23. “[A] defendant’s duty to a plaintiff depends upon the relationship

between the parties and the foreseeability of injury to someone in the plaintiff's position.”

Simmers v. Bentley Constr. Co., 64 Ohio St.3d 642, 645, 597 N.E.2d 504 (1992). The

imposition of a duty may also be justified in particular circumstances based on “the

guidance of history, our continually refined concepts of morals and justice, the

convenience of the rule, and social judgment as to where the loss should fall.” Wallace at

¶ 24.

                           A. Premises liability is not at issue.

        {¶ 94} The majority assumes that this case involves a “premises liability” claim

(rather than a common law negligence claim) because Ciotto alleges that Hinkle

negligently stored her handgun in her home. While Ciotto used the word “premises” in

her complaint—alleging that Hinkle had “a duty to use ordinary care in controlling and

maintaining her premises;” Hinkle allowed Blair “to store firearms on her premises;”

Hinkle knew that Blair “stored firearms on her premises”—her theory of negligence is

not rooted in premises liability law, which is inapplicable to this case because the injured

party, Linda Ciotto (“Linda”), was not injured upon Hinkle’s premises.

        {¶ 95} “In a premises liability case, the relationship between the owner or

occupier of the premises and the injured party determines the duty owed.” Martin v.

Lambert, 2014-Ohio-715, 8 N.E.3d 1024, ¶ 18 (4th Dist.). The duty owed varies based

on the injured party’s common-law status as either a licensee, invitee, trespasser, or

social guest on a premises that is owned or controlled by the defendant. See Combs v.

44.
Ohio Dept. of Nat. Resources, Div. of Parks & Recreation, 146 Ohio St.3d 271, 2016-

Ohio-1565, 55 N.E.3d 1073, ¶ 14. That is, “a plaintiff’s presence on premises in the

possession and control of the defendant at the time of the injury determines whether a

negligence cause of action under a premises liability theory is applicable.” A.M. v. Miami

Univ., 2017-Ohio-8586, 88 N.E.3d 1013, ¶ 36-37 (10th Dist.). Linda was not murdered

on Hinkle’s property; she was murdered on her own property. Premises liability is not

applicable.

       {¶ 96} Although a case cited by the majority, Hall v. Watson, 7th Dist. Mahoning

No. 01 CA 55, 2002-Ohio-3176, ¶ 17, states that “[c]ourts have applied premise [sic]

liability in situations where a child has removed explosives from the property of another

and injured himself/herself with the explosives” citing Bridges v. Dahl, 108 F.2d 228 (6th

Cir.1939), there are several problems with that case. First, the Bridges court (which Hall

relies upon) did not engage in a traditional premises-liability analysis or address the

significance of the injury occurring off the premises. Rather, it recognized that an

“owner or occupant of land is bound to exercise ordinary care commensurate with the

danger, to avoid injury to children where he maintains on his property dangerous

explosives in places where they are accustomed to resort for play or other purposes and

where their presence could be anticipated by the exercise of ordinary care.” Id. at 230.

The present case does not involve any such issues.

       {¶ 97} Second, the strained application of traditional premises liability in Hall is

especially problematic given the context in which the injury arose. In that case, an 11-

year-old child took a gun from the home of the gun-owner defendant (the child’s adult

45.
cousin), who resided with his parents, and the child then brought the gun to his mother’s

house, where he and his 15-year-old brother hid it. A few weeks later, a third child (a 10-

year-old cousin of the two brothers) was visiting the two brothers, and the 15-year-old

child―whose brother stole the gun from the other property― negligently shot and killed

his 10-year-old cousin.

       {¶ 98} The Hall court incorrectly presumed that the potential liability of the gun-

owner defendant somehow depended upon whether the 11-year-old child―who was not

the injured party―was a trespasser, licensee, invitee, or social guest (under traditional

premises liability principles) when he stole the gun that was eventually used, weeks later,

by someone else (his brother) to kill another someone else (the brothers’ cousin) on yet

another someone else’s property (the brothers’ mother’s house). Hall at ¶ 17-28.

Notably, the Hall court determined that a jury should determine whether, under that fact

scenario, such injury was foreseeable to the gun-owner. Id. at ¶ 32 (“The jury is in the

best position to determine whether Brett leaving his gun in a closed, but unlocked

ammunition box in his open closet and hidden under some clothes could have anticipated

that one of the children who frequented his home would handle the gun and cause injury

or death.”). Regardless, in my view, the Hall court improperly applied premises liability

to analyze the liability of the gun-owner. Instead, I believe that premises liability would

have been applicable to determine the liability of the owner of the premises where the 10-

year-old was killed (i.e., the mother of the two brothers) and, if analyzed, the mother’s

liability would have depended upon whether the deceased child was a trespasser,

licensee, invitee, or social guest on that premises at the time of the shooting.

46.
       {¶ 99} In any event, Linda was not injured upon―and never even

entered―Hinkle’s property. This is not a premises liability case, and Hinkle concedes as

much in her brief.11 The majority’s characterization of Ciotto’s theory of negligence as

one for “premises liability” appears to stem from a misunderstanding of her alternative

argument: that Hinkle may be liable for failing to control Blair’s conduct because there

existed “a special relationship” between Hinkle and Blair arising from Hinkle’s status as

a landowner and Blair’s status as a person permitted to use her premises. Ciotto cites as

authority for this position the Restatement of the Law of Torts 2d, section 318 (1965),

which provides:

               If the actor permits a third person to use land or chattels in his

       possession otherwise than as a servant, he is, if present, under a duty to

       exercise reasonable care so to control the conduct of the third person as to

       prevent him from intentionally harming others or from so conducting

       himself as to create an unreasonable risk of bodily harm to them, if the

       actor




11
   Hinkle emphasizes that “James Blair murdered Linda Ciotto on Linda Ciotto’s
property. * * * In Simpson [v. Big Bears Stores Co., 73 Ohio St.3d 130, 652 702 (1995),
syllabus], the Supreme Court expressly states that a landowner’s ‘duty does not extend to
premises not in the possession and control of the business owner.’ * * * In this case, it is
undisputed the criminal actions of James Blair occurred off Appellant’s property and on
the property owned by Ms. Ciotto.”


47.
              (a) knows or has reason to know that he has the ability to control the

       third person, and

              (b) knows or should know of the necessity and opportunity for

       exercising such control.12

       {¶ 100} The majority acknowledges Ciotto’s “special relationship” argument

under section 318, but mistakes the “special relationship” alleged by Ciotto as Hinkle’s

“status as a possessor of a firearm,” rather than what Ciotto actually argued: Hinkle’s

status as a landowner. Ciotto’s claim is not rooted in premises liability.

       {¶ 101} As I explain below, while I agree that Ciotto does not establish a “special

relationship” that is sufficient to support the negligence claims against Hinkle that are

based upon her alleged nonfeasance (i.e., Hinkle’s failure to control her son and prevent

his criminal actions), Ciotto clearly alleges a common-law negligence claim that is based

upon Hinkle’s own purported malfeasance (i.e., Hinkle’s practice of storing her loaded




12
    The Supreme Court of Rhode Island relied on this theory in finding a legal duty in
Volpe v. Gallagher, 821 A.2d 699 (R.I. 2003). Volpe resembles the present case in many
ways, however, the perpetrator in Volpe murdered his neighbor using his own gun that he
stored at his mother’s home while living with her. His mother had allowed him to store
various firearms and ammunition in the home, despite being aware that he was mentally
ill. The court concluded that “by virtue of her ownership and possession of the property
where [her son] not only kept his guns and ammunition, but also where he resided, and by
virtue of [her] own professed ability to remove the guns herself if her son failed to abide
by her directive to do so, defendant did have control over [her son’s] ability to keep these
deadly instrumentalities on her property.” Id. at 715. For that reason, I do not believe
that Volpe is analogous to this case.


48.
handgun in her bedside table drawer) and that negligence claim does not require a

“special relationship” of any kind.

                       B. A “special relationship” is not required.

       {¶ 102} In certain types of negligence actions, such as actions based on the failure

to act for another’s protection or the failure to control the conduct of a third person, a

duty will arise only where a “special relationship” exists between the plaintiff and

defendant or the defendant and the third-party actor. Fed. Steel & Wire Corp. v. Ruhlin

Constr. Co., 45 Ohio St.3d 171, 173, 543 N.E.2d 769 (1989). A classic example is that

an expert swimmer, with a boat and rope at his disposal, is under no duty to save a

drowning man. Estates of Morgan v. Fairfield Family Counseling Ctr., 77 Ohio St.3d

284, 293, 673 N.E.2d 1311 (1997), fn. 2. The trial court focused on the absence of a

“special relationship” in concluding that Hinkle owed no duty to Linda. It observed that

no parent-minor child, master-servant, innkeeper-guest, custodian-ward, common carrier-

passenger, employer-employee, or any similar relationship existed giving rise to a duty to

act for the protection of others.

       {¶ 103} But Ciotto’s primary allegation centers on Hinkle’s own affirmative

action—i.e., her practice of storing her loaded handgun in a drawer of her bedside table—

rather than her failure to act to control her son. The majority’s discussion of Ciotto’s

affirmative conduct is constrained to a discussion of “premises liability” (which, for

reasons already discussed, I do not believe is at issue in this case) and overlooks the

allegations in the complaint that allege a common-law negligence claim. That is, Ciotto

alleges that Hinkle owed a duty to store her handgun in a manner that was reasonable

49.
under the circumstances, and, she claims, under the circumstances of this case, it was not

reasonable to store her loaded handgun in an unlocked drawer, its location well-known to

Blair.

         {¶ 104} The majority concludes that “Ohio authority provides for no common law

duty to secure a firearm, so as to prevent access and use by an emancipated adult.” It

insists that we would be creating a “new” duty if we were to hold otherwise. But it is

fundamental that “[a] person is to exercise that care necessary to avoid injury to others.”

Mussivand v. David, 45 Ohio St.3d 314, 318-319, 544 N.E.2d 265 (1989); Cameron v.

Univ. of Toledo, 2018-Ohio-979, 98 N.E.3d 305, ¶ 56 (10th Dist.). See also Drew v.

Gross, 112 Ohio St. 485, 491, 147 N.E. 757 (1925) (“[T]he law imposes upon every

person the duty of using his own property so as not to injure his neighbor.”). “Each

person has a duty to engage in her daily activities using a certain amount of care.” Boyd

v. Moore, 184 Ohio App.3d 16, 2009-Ohio-5039, 919 N.E.2d 283, ¶ 10 (2d Dist.). I see

no reason why a person should be absolved of exercising due care when the affirmative

conduct at issue is the storage of a firearm.13




13
   In Estate of Heck v. Stoffer, 786 N.E.2d 265 (Ind.2003), the defendants argued that
“recognition of a duty of reasonable and ordinary care in this case will create a ‘new and
never-before recognized cause of action.’” Id. at 270. “Not so,” the Indiana Supreme
Court responded. Id. “The cause of action is negligence, and the duty of care is well
established—that care which is reasonable under the circumstances.” Id. While it is true,
as the majority decision points out, that the Indiana legislature later enacted a statute that
limits common-law civil liability under certain circumstances involving theft of a firearm,
no conflicting statute existed at the time the case was decided. Likewise, no conflicting
Ohio statute currently limits civil liability under the circumstances of this case.

50.
       {¶ 105} This is especially true given the great potential for harm when a gun falls

into the wrong hands. The Supreme Court of Ohio has long recognized that “[t]he law

requires of persons having in their custody instruments of danger that they should keep

them with the utmost care.” Pittsburgh, C. & St. L.R. Co. v. Shields, 47 Ohio St. 387,

392, 24 N.E. 658 (1890). Although a gun may not constitute a “dangerous ordnance” as

defined by the Revised Code (as noted in the majority opinion), the Supreme Court of

Ohio has deemed it “an inherently dangerous instrumentality, the use of which is

reasonably likely to produce death.” Widner, 69 Ohio St.2d at 270, 431 N.E.2d 1025;

Seiber, 56 Ohio St.3d at 14, 564 N.E.2d 408; Dunlap, 73 Ohio St.3d at 316, 652 N.E.2d

988. See also Stoffer at 271 (“Guns are dangerous instrumentalities that in the wrong

hands have the potential to cause serious injuries.”). Given that the Supreme Court of

Ohio has affirmatively recognized that a gun is an inherently dangerous instrumentality,

reasonably likely to produce death, it seems inconsistent to conclude that a gun owner

owes no duty, as a matter of law, to safeguard this inherently dangerous instrumentality

in any manner whatsoever.

       {¶ 106} Ohio appellate courts have recognized the inherently dangerous nature of

firearms when analyzing one’s duty of care with respect to his or her own firearms in

certain situations. In Byers v. Hubbard, 107 Ohio App.3d 677, 683, 669 N.E.2d 320 (8th

Dist.1995), the appellate court recognized that “[t]he inherently dangerous nature of the

weapon imposes an obligation upon its owner to act responsibly when entrusting the gun

to another to guard against injury occurring to a third party.” Under some circumstances,

Ohio courts have recognized that negligent entrustment of a gun may also include merely

51.
allowing access to the gun. Nearor v. Davis, 118 Ohio App.3d 806, 813, 694 N.E.2d 120

(1st Dist.1997), citing McGinnis v. Kinkaid, 1 Ohio App. 3d 4, 9, 437 N.E.2d 313 (8th

Dist.1981).

       {¶ 107} The majority distinguishes these cases on the grounds that they involved

“an affirmative act.” But, in my opinion, the physical act of placing a loaded gun in a

bedside table drawer or another person’s hands—or anywhere else for that matter—is “an

affirmative act.” Moreover, as Byers expressly recognizes, negligent entrustment is

merely “[o]ne example” of a negligent act that could create an unreasonable risk of harm

to others. Byers at 683, quoting Restatement of the Law 2d, Torts, Section 302B (1965).

       {¶ 108} The majority also cites R.C. 2923.21 (“improperly furnishing firearms to

minors”), R.C. 2923.16 (“improperly handling firearms in a motor vehicle”), and R.C.

2923.19 (“failure to secure dangerous ordnance”), suggesting that these are the only

statutes creating duties relative to securing or storing weapons. But these statutes impose

criminal liability for furnishing firearms to children, improperly handling a firearm in a

motor vehicle, or failing to secure a weapon that qualifies as a “dangerous ordnance.” It

is well settled that “there are no common-law crimes in Ohio,” Toledo Disposal Co. v.

State, 89 Ohio St. 230, 236, 106 N.E. 6 (1914), and “[n]o conduct constitutes a criminal

offense against the state unless it is defined as an offense in the Revised Code.” R.C.

2901.03(A). Although an act cannot be criminal unless defined as an offense by the

legislature, it is axiomatic that an act need not be criminal before it may be actionable in

tort. See State v. Broughton, 51 Ohio App.3d 10, 553 N.E.2d 1380 (12th Dist.1988) fn.

2, citing Keeton, Dobbs, Keeton & Owen, Prosser and Keeton on the Law of Torts,

52.
Section 2, 7-8, (5 Ed.1984) (“What may be a crime need not be a tort and what is a tort

need not be a crime.”).

       {¶ 109} These criminal statutes say nothing of one’s civil, common-law liability

for harm that results when a gun owner fails to exercise the degree of care that an

ordinarily reasonable and prudent person would exercise under the same or similar

circumstances when acting to store one’s firearm.14 Importantly, it is also well-

recognized in Ohio that the legislature will not be presumed to have intended to abrogate

the common law “unless the language employed by it clearly expresses or imports such

intention.” (Internal citations and quotations omitted.) Danziger v. Luse, 103 Ohio St.3d

337, 2004-Ohio-5227, 815 N.E.2d 658, ¶ 11. The criminal statutes cited by the majority

express no such intent. While the Ohio legislature would certainly be within its

lawmaking power to enact a statute that limits, or even abrogates, the otherwise-

applicable common law duty of ordinary care under the circumstances of this case, it has

not done so. In the absence of such legislation, the common law controls.

       {¶ 110} In my view, under Ohio law, there is a common-law duty to exercise

ordinary care, reasonable under the circumstances, when storing one’s firearm―just as

there is a generally-applicable duty to exercise ordinary care, reasonable under the

circumstances, when taking any other affirmative action. Moreover, this duty to act with

ordinary, reasonable care when storing one’s firearm is not tied to any special




14
  The Florida and Maryland statutes cited by the majority also address criminal—not
civil liability.
53.
relationship requiring the protection of another or control of a third-person’s conduct.

See, e.g. Cincinnati v. Beretta U.S.A. Corp., 95 Ohio St.3d 416, 2002-Ohio-2480, 768

N.E.2d 1136, ¶ 19 (explaining that “special relationship” rule was not determinative of

duty where plaintiff alleged that defendant gun manufacturers were themselves negligent

by “manufacturing, marketing, and distributing firearms in a way that creates an illegal

firearms market that results in foreseeable injury,” and not that defendant owed a duty to

control the conduct of third parties).

       {¶ 111} Although the majority suggests that Ohio courts recognize a duty to safely

store one’s firearm only where a special relationship exists, the cases it cites fall well

short of this. In Blevins v. Hartman, 5th Dist, Richland No. 12CA116, 2013-Ohio-3297,

for instance, the gun that was used to kill the decedents was stored at the defendant-

parents’ home, but the gun belonged to the adult perpetrator. The court framed the issue

as “whether there was a duty on the parents to prevent their adult son from causing harm

to another,” and the case turned in large part on the court’s conclusion that the

perpetrator’s conduct was not foreseeable. (Emphasis added) Id. at ¶ 46. Similarly, in

Reddick v. Said, 11th Dist. Lake No. 2011-L-067, 2012-Ohio-1885, ¶ 36-47, the plaintiff

alleged that the defendants breached various common-law duties to act to protect the

victim or to control the conduct of a third party. Thus, both Blevins and Reddick

analyzed an allegedly negligent failure to act―which, I agree, requires a special

relationship―and did not analyze (or even address) the common law duty to act with

ordinary care when taking the affirmative conduct at issue here: the storage of a loaded

firearm.

54.
       {¶ 112} The majority also expresses concern that to recognize a duty to safely

store one’s gun may create a new duty “to act to prevent use of every conceivable kind of

weapon, including everyday items such as kitchen knives, tools, baseball bats, and even

automobiles.” This argument has been addressed by other courts. For instance, in Irons

v. Cole, 734 A.2d 1052, 1058 (Conn.Super.Ct.1998), the Connecticut Superior Court

explained that “[t]he duty involved is a duty to take reasonable precautions.” It

recognized that because “the primary purpose of guns is to inflict harm or kill,” a jury

may well find that what constitutes “reasonable precautions” in the handling of a gun

may well differ from what constitutes “reasonable precautions” in the handling of “items

with uses other than to inflict harm or kill.” Id.

       {¶ 113} In sum, I believe that there is a common-law duty to exercise ordinary

care, reasonable under the circumstances, when storing one’s firearm. Although such a

duty may not yet have been explicitly recognized by any Ohio court in the context of

storing firearms, I believe that this is nothing more than an application of well-established

common-law negligence principles. The Restatement of the Law 2d, Torts, Section 302B

(1965), for instance, observes that “[a]n act or an omission may be negligent if the actor

realizes or should realize that it involves an unreasonable risk of harm to another through

the conduct of the other or a third person which is intended to cause harm, even though

such conduct is criminal.” Similarly, the Restatement of the Law 3d, Torts: Liability for

Physical and Emotional Harm, Section 19 (2010) recognizes that “[t]he conduct of a

defendant can lack reasonable care insofar as it foreseeably combines with or permits the

improper conduct of the plaintiff or a third party.”

55.
          {¶ 114} This leads to the next consideration necessary in determining whether a

duty exists: foreseeability.

      C. Ohio courts consider foreseeability in determining whether a duty exists.

          {¶ 115} The Ohio Supreme Court has recognized that “[t]he concept

of foreseeability is an important part of all negligence claims, because ‘[t]he existence of

a duty depends on the foreseeability of the injury.’” Cromer v. Children’s Hosp. Med.

Ctr. of Akron, 142 Ohio St.3d 257, 2015-Ohio-229, 29 N.E.3d 921, ¶ 24, quoting Menifee

v. Ohio Welding Products, Inc., 15 Ohio St.3d 75, 77, 472 N.E.2d 707 (1984). The trial

court effectively ignored the role of foreseeability in determining the existence of a duty

here.15

          {¶ 116} As a society, we expect people to exercise reasonable precautions against

risks that a reasonably prudent person would anticipate, but not against those that a

reasonable person would not anticipate. Id. Where “a reasonably prudent person would

have anticipated that an injury was likely to result from a particular act,” the court may

find that a duty exists. Wallace, 96 Ohio St.3d 266, 2002-Ohio-4210, 773 N.E.2d 1018,

at ¶ 23. Such duty usually arises from the foreseeability of injury to someone in the

plaintiff’s “general situation.” Cromer at ¶ 24, citing Gedeon v. E. Ohio Gas Co., 128

Ohio St. 335, 339, 190 N.E. 924 (1934). Jeffers v. Olexo, 43 Ohio St.3d 140, 142, 539




15
   The trial court acknowledged some of the facts relevant to a foreseeability analysis,
but its conclusion was not that the injury was not foreseeable; its conclusion was that no
special relationship existed.

56.
N.E.2d 614 (1989) (“Whether a duty exists depends largely on the foreseeability of the

injury to one in the plaintiff’s position.”).

       {¶ 117} As a general rule, one is not expected to foresee the criminal conduct of a

third party. Ash v. R.C. Hendrick & Sons, Inc, 6th Dist. Lucas No. L-85-127, 1985 WL

8194, *1 (Oct. 11, 1985). But there are exceptions to this general rule and situations in

which an actor, as a reasonable person, “is required to anticipate and guard against the

intentional, or even criminal, misconduct of others.” Evans v. Ohio State Univ., 112 Ohio

App.3d 724, 761, 680 N.E.2d 161 (10th Dist.1996) (Lazarus, J., dissenting), citing

Restatement of the Law 2d, Torts, Section 302B, Comment e (1965). Moreover, a duty

may arise “where the actor’s own affirmative act has created or exposed the other to a

recognizable high degree of risk of harm through such misconduct, which a reasonable

man would take into account.” Id. See also Restatement of the Law 3d, Torts: Liability

for Physical and Emotional Harm, Section 7(a) (2010) (“An actor ordinarily has a duty to

exercise reasonable care when the actor’s conduct creates a risk of physical harm.”);

Parker v. L.T., 1st Dist. Hamilton No. C-160642, 2017-Ohio-7674, ¶ 20, (“[A]ctors

engaging in conduct that creates a risk to others have a duty to exercise reasonable care to

avoid causing physical harm.”).

       {¶ 118} This principle, as reflected in the Restatement of the Law 2d, Torts,

Section 302B (1965), Restatement of the Law 3d, Torts: Liability for Physical and

Emotional Harm, Sections 7(a) and 19 (2010), and various comments thereto, recognizes

the defendant’s role in creating the high risk of harm even though the ultimate injury to



57.
the plaintiff has been inflicted by the foreseeable misconduct of a third person. The Ohio

Supreme Court has found the existence of a duty under such circumstances.

       {¶ 119} For instance, in Fed. Steel & Wire Corp., 45 Ohio St.3d at 176-77, 543

N.E.2d 769, the Supreme Court of Ohio considered the question of whether a

construction company performing bridge repairs could be liable for negligence when

third parties threw construction materials from the bridge, causing damage to property

situated below. The worksite had been the repeated object of vandals. The company had

taken security measures in the past, including hiring a guard, but did not employ a guard

during the winter months when the damage to plaintiff’s property occurred. The

construction company argued that it owed no duty to the plaintiff to control the criminal

conduct of unknown third persons who were throwing construction material off the

bridge. The court disagreed. It concluded that under the facts and circumstances of the

case, it was reasonably foreseeable to expect that vandalism on the company’s job site

would ultimately affect the plaintiff. The court held that reasonable minds could have

concluded that the defendant had a special duty to provide adequate measures to protect

the plaintiff from reasonably foreseeable harm similar in nature to that already

experienced on or initiated from the job site, and it held that this was an “issue that

should have been submitted to the trier of fact.” Id. at 178.

       {¶ 120} The majority maintains that to establish foreseeability, Ciotto must point

to facts demonstrating “somewhat overwhelming circumstances, sufficient to indicate

that [Linda’s] murder was likely.” It suggests that Hinkle owed no duty absent evidence

that “Blair previously used [her] handgun to inflict harm ‘similar in nature.’” The

58.
majority concludes that Blair never engaged in conduct “similar in nature” that would

demonstrate “somewhat overwhelmingly” that he would use Hinkle’s firearm to murder

their neighbor.

       {¶ 121} Before specifically addressing the majority’s position as to whether

Hinkle could have foreseen that Blair would use her gun to shoot Linda, it should be

observed that historically, “the issue of foreseeability has been viewed as a factor in both

the duty element and proximate cause element of a negligence claim.” Wallace v. Ohio

Dept. of Commerce, Div. of State Fire Marshal, 10th Dist. Franklin No. 99AP-1303,

2003-Ohio-6935, ¶ 22. This dual consideration has led courts and commentators to

characterize the concept of foreseeability as “troublesome,” “confusing,” “redundant,” or

“murky.” Oiler v. Willke, 95 Ohio App.3d 404, 409, 642 N.E.2d 667, 671 (4th

Dist.1994); Cardi, W. Jonathan, Reconstructing Foreseeability, 46 B.C.L. Rev. 921, 932

(2005); McClurg, Andrew, Armed & Dangerous: Tort Liab. for the Negligent Storage of

Firearms, 32 Conn. L. Rev. 1189, 1226 (2000). In fact, “[t]he Third Restatement

expressly rejects reliance on unforeseeability by courts as a basis for concluding that no

duty exists,” instead reserving issues of foreseeability for analysis by the fact-finder in

determining whether a defendant’s conduct was unreasonable and whether that conduct

proximately caused the plaintiff’s injury. Cardi, W. Jonathan & Green, Michael D., Duty

Wars, 81 S. Cal. L. Rev. 671, 722 (2008), citing Restatement of Law (3d) Torts: Phys. &

Emot. Harm § 7 (2010) (“Despite widespread use of foreseeability in no-duty

determinations, this Restatement disapproves that practice and limits no-duty rulings to

articulated policy or principle in order to facilitate more transparent explanations of the

59.
reasons for a no-duty ruling and to protect the traditional function of the jury as

factfinder.”).

       {¶ 122} Setting aside any debate as to the role of foreseeability in determining

duty, the majority’s foreseeability analysis relies on premises liability cases in which

business owners—mainly store owners or bar owners—were held to have no duty to

anticipate the particular criminal conduct giving rise to the injuries sustained by invitees

on their property. In other words, the courts in those cases concluded that the business

owners owed no duty to act for the protection of their invitees or to control the conduct of

third parties. In those cases, the courts held that while prior crimes had occurred on the

premises of the defendant-business owners, there had been no conduct signaling the

potential for the type of criminal conduct that ultimately caused injury to the plaintiff-

invitees. See, e.g., Krause v. Spartan Stores, Inc., 158 Ohio App.3d 304, 2004-Ohio-

4365, 815 N.E.2d 696, ¶ 36 (6th Dist.) (defendant grocery store owed no duty to

business-invitee plaintiff assaulted in parking lot where only sufficient, relevant evidence

to show that crime was foreseeable was one incident three years earlier); Reitz v. May Co.

Dept. Stores, 66 Ohio App.3d 188, 583 N.E.2d 1071 (8th Dist.1990) (department store

defendant had no reason to foresee that business invitee-plaintiff would be stabbed in

department store parking lot where there had been only one prior similar incident three

years earlier); Stoner v. Montpelier Tavern, 2017-Ohio-7995, 98 N.E.3d 1092, ¶ 41 (6th

Dist.) (beating of business-invitee plaintiff not foreseeable to defendant bar where only

six fights had occurred at back of bar over five-year period); Philon v. Knerr, 6th Dist.

Erie No. E-11-011, 2012-Ohio-2342, ¶ 19 (despite prior incidents of arguments in

60.
parking lot, it was not foreseeable to convenience store defendant that one customer

would intentionally strike second customer with his car).

       {¶ 123} But as I explained earlier in this dissent, this case is not a premises

liability case. Nor is it a case involving the mere failure to act for another’s protection or

to control the conduct of a third party. Thus, the cases cited by the majority requiring

“somewhat overwhelming” circumstances demonstrating the likelihood of criminal

conduct “similar in nature” have no applicability to the present analysis.

       {¶ 124} Rather, given Ciotto’s primary claim that Hinkle was negligent in storing

her firearm—not in failing to act for Linda’s protection or failing to control Blair—we

must be guided not by whether there were “somewhat overwhelming” circumstances

indicating that Blair would use Hinkle’s gun to murder Linda, but by “the well-settled

rule in Ohio” that a defendant will be liable where an injury was reasonably foreseeable.

Oiler, 95 Ohio App.3d at 412, 642 N.E.2d 667. He or she need not foresee the particular

harm or the severity of the injury that results from the negligent act. Id. In my view,

Hinkle did not have to foresee that the “murder was likely,” as stated by the majority.

       {¶ 125} The harm to be anticipated from unsafely storing one’s handgun is that the

handgun will be used by an unauthorized third person to shoot another person, either

negligently or intentionally. This is precisely the injury that befell Linda Ciotto. And to

the extent that Blair’s past conduct must be considered in determining the existence of a

duty, it is important to remember that this court must construe those facts in favor of the

non-moving party under Civ.R. 56. Here, construing all of the facts in Ciotto’s favor, I



61.
believe that a reasonable factfinder could conclude that Blair’s misuse of Hinkle’s easily-

accessible loaded handgun was reasonably foreseeable to Hinkle.

       {¶ 126} Blair began living in Hinkle’s home after he was laid off from his job,

approximately 18 months before he murdered Linda. Hinkle acknowledged that Blair

was an alcoholic, regularly drinking to the point of intoxication. He was not social, had

few friends, and had become reclusive. In fact, Blair had not left the house at all in the

nine months leading up to Linda’s murder. Hinkle knew her son “wasn’t quite right.” He

heard voices, he talked to himself, he believed the neighbors were watching him, and he

was convinced that Linda wanted to “take him out”—even though, as far as Hinkle knew,

her son had never interacted with Linda. Hinkle said that her son was “definitely”

depressed and had threatened suicide. She observed that his drinking and strange

behaviors were becoming worse and more noticeable. She was concerned about Blair

and encouraged him numerous times to get help from a psychologist or psychiatrist.

       {¶ 127} Hinkle kept her loaded revolver in an unlocked drawer in her nightstand.

On at least two occasions, Blair took the revolver without her permission, while drinking,

and fired shots from the deck of her home. After the first incident, Hinkle warned her

son to leave the gun alone. He did not listen. Hinkle then caught him firing the gun from

the deck at least one other time before the incident at issue. So, despite the fact that Blair

had previously disobeyed her instructions and fired the gun, while intoxicated, from the

deck of her home―in a populated residential neighborhood that included children and

pets―she nonetheless continued her practice of storing her loaded gun in the same



62.
nightstand drawer. In her deposition, she conceded that she did not restrict Blair’s access

to her gun.

       {¶ 128} Hinkle also knew that Blair had a “vendetta” against Linda. On the night

of the murder, Blair was drinking beer and whiskey and was intoxicated. He was angry

that Linda was mowing her lawn at night. He called her a “she-bitch” and flipped her off

from the patio of Hinkle’s home. Hinkle agreed that as a gun owner, she should store her

firearm safely under the circumstances and keep it out of the hands of mentally unstable

or intoxicated persons because it is foreseeable that “something bad” can happen or that

someone may be harmed by a gun in the hands of a mentally unstable or intoxicated

person. Nevertheless, despite knowing that her son was intoxicated and angry with the

neighbor, Hinkle made no effort to hide her loaded gun. It remained in the unlocked

nightstand drawer.

       {¶ 129} Given what Hinkle knew about her son’s mental condition, his alcohol

abuse, his irrational anger toward Linda, and his prior misuse of her revolver, I do not

believe that it may be said—as a matter of law—that Hinkle could not have reasonably

foreseen that Blair would again misuse the gun and that his misuse of the gun posed a

likelihood of harm to neighbors—and to Linda, in particular. See Irons, 734 A.2d at

1057 (finding that it was “certainly reasonably foreseeable that a person who is behaving

in a delusional, angry manner and using force against others and who is trained in the use

of guns will use a readily available gun to inflict harm.”).

       {¶ 130} The trial court found it important that Blair owned his own gun, which he

kept at Hinkle’s house. It is not clear from the record that Blair currently owned a gun

63.
that he kept at his mother’s house. But even assuming that he did, there is nothing in the

record indicating whether Blair’s gun was operational, whether ammunition for the gun

was readily available, or whether he ever fired his own weapon while living with Hinkle.

The record indicates that on the occasions that Blair chose to shoot firearms from his

mother’s back patio while intoxicated, it was his mother’s gun that he used. And it was

his mother’s gun that he used to kill Linda. On the record before this court, that Blair

owned his own firearm has no bearing on the issue of duty.16

                  D. Public policy counsels in favor of finding a duty.

       {¶ 131} The Supreme Court of Ohio has observed that “the concept of duty in

negligence law is at times an elusive one.” Wallace, 96 Ohio St.3d 266, 2002-Ohio-

4210, 773 N.E.2d 1018, at ¶ 24. “There is no formula for ascertaining whether a duty

exists.” Id., quoting Mussivand, 45 Ohio St.3d at 314, 544 N.E.2d 265. “Duty * * * is

the court’s expression of the sum total of those considerations of policy which lead the

law to say that the particular plaintiff is entitled to protection.” (Internal citations and

quotations omitted.). Wallace at ¶ 24.

       {¶ 132} As alluded to earlier in this dissent, the imposition of a duty may be

justified in particular circumstances based on “the guidance of history, our continually




16
   But, if Blair had used his gun to kill Linda, this would be a very different case. If that
were the case and the facts were otherwise the same, it is likely that the only negligence
at issue would be nonfeasance―i.e., the failure to control, monitor, and restrict Blair’s
use of his own firearm.
64.
refined concepts of morals and justice, the convenience of the rule, and social judgment

as to where the loss should fall.” Id. Strong public policy may justify imposition of a

legal duty. See Mussivand, 45 Ohio St.3d at 319, 544 N.E.2d 265 (concluding that strong

public policy in favor of health of the people supported imposition of legal duty of

persons with venereal diseases to abstain from sexual conduct or warn sexual partners);

McGill v. Newark Surgery Ctr., 113 Ohio Misc.2d 21, 37, 756 N.E.2d 762 (C.P.2001)

(finding that “[t]he foreseeable risk of the resulting substantial harm, when weighed with

the public policy concerns,” gave rise to a duty on behalf of community blood bank to

provide blood to persons in the community, even if those persons were not patients of the

hospital).

       {¶ 133} The Restatement of the Law 2d, Torts, Section 302B, Comment f (1965)

provides guidance as to the particular circumstances justifying the imposition of a duty to

take precautions against intentional or criminal misconduct:

              [I]t is a matter of balancing the magnitude of the risk against the

       utility of the actor’s conduct. Factors to be considered are the known

       character, past conduct, and tendencies of the person whose intentional

       conduct causes the harm, the temptation or opportunity which the situation

       may afford him for such misconduct, the gravity of the harm which may

       result, and the possibility that some other person will assume the

       responsibility for preventing the conduct or the harm, together with the

       burden of the precautions which the actor would be required to take.



65.
       Where the risk is relatively slight in comparison with the utility of the

       actor’s conduct, he may be under no obligation to protect the other against

       it.

       {¶ 134} Certainly, public policy favors preserving human life and preventing

crime. State v. Thomas, 77 Ohio St.3d 323, 328, 673 N.E.2d 1339 (1997)

(acknowledging public policy of preserving human life); Welch v. Cleveland, 97 Ohio St.

311, 316, 120 N.E. 206 (1917) (acknowledging public policy of preventing crime). And

a number of Ohio statutes evidence the legislature’s recognition of the importance of

keeping guns out of the wrong hands. See, e.g., R.C. 2923.13 (prohibiting carrying and

use of firearm while a person is a fugitive from justice, indicted or convicted of offense

of violence, drug dependent or chronic alcoholic, or mentally ill or incompetent); R.C.

2923.15 (prohibiting persons from carrying or using firearms while under the influence of

alcohol or any drug of abuse); R.C.2923.20 (prohibiting furnishing weapon to person to

whom R.C. 2929.13 or 2929.15 applies); R.C. 2923.21 (prohibiting the transfer of guns to

minors); R.C. 2923.132 (prohibiting use of firearms by “violent career criminal”).

       {¶ 135} The public policy should be balanced against the burden of the

precautions that the gun owner would be required to take. See Restatement of the Law

3d, Torts: Liability for Physical and Emotional Harm, Section 3, Comment e (2010). (“In

cases in which a gun owner is held liable for negligently storing a gun, thereby giving




66.
access to people who might use the gun improperly, the burden is the greater

inconvenience the owner incurs in storing the gun in a more secure way.”).17

       {¶ 136} In Stoffer, 786 N.E.2d at 270, the court concluded that “[b]ased upon the

significant number of gun-related crimes and the ease of securing a firearm in the home,

we find that public policy favors the safe storage of firearms.” It elaborated on the

relative ease involved in discharging the duty to safely store firearms:

              Safe firearm storage, depending on the particular circumstances, can

       be accomplished by numerous non-burdensome means. Simply locking the

       front door, thereby preventing the public’s access, may be sufficient in

       some circumstances. Where the risk of theft is greater, more safety

       measures might be required—such as placing the gun in a safe, locking the

       trigger, storing the gun and ammunition separately, taking back house keys,

       or changing locks. Different factual situations call for different methods of

       safeguarding, but most are relatively non-burdensome to gun owners.18



17
   See also Restatement the Law 3d, Torts: Liability for Physical and Emotional Harm,
Section 19, Comment d (2010) (“[F]indings of defendant negligence * * * largely depend
on consideration of the primary negligence factors[, including] * * * the foreseeable
likelihood of improper conduct on the part of the plaintiff or a third party[;] * * * the
severity of the injury that can result if a harmful episode occurs[; and] * * * the burden of
precautions available to the defendant that would protect against the prospect of improper
conduct by the plaintiff or a third party * * *.”).
18
   The National Rifle Association (NRA), which has more than five million members
and advocates for pro-Second Amendment policy and legislation on behalf of gun
owners, also acknowledges the importance—and relative ease—of safely storing guns. It
cautions: “Store guns so they are not accessible to unauthorized persons. Many factors
must be considered when deciding where and how to store guns. A person’s particular
67.
Id. at 269-270. Similarly, in Estate of Strever v. Cline, 924 P.2d 666, 670 (Mont.1996),

in concluding that a gun owner owes a duty to safely store his or her weapon, the

Montana Supreme Court reasoned that requiring safe storage of a gun “would not impose

an undue burden upon the gun owner in light of the danger involved and the necessity of

preventing thefts of firearms or accidental shootings.” Id.

       {¶ 137} Like the Stoffer and Cline courts, I would find that public policy counsels

in favor of imposing a duty upon gun owners to store their weapons in a manner that is

safe under the circumstances. The burden of doing so is relatively minor when compared

to the gravity of harm that may result when a firearm falls into the wrong hands.

                    II. Remand for Consideration by Trier of Fact

       {¶ 138} The majority misinterprets Ciotto’s argument as advocating a duty that

would “essentially create strict liability for gun owners.” In fact, Ciotto advocates for

imposing liability only where a gun owner fails to exercise reasonable care under the

circumstances. And to be clear, I do not suggest that we impose “strict” or “per se” or

“absolute” liability where a gun has been taken without the consent of its owner and used

to cause injury to another. Rather, unless “reasonable minds can come to but one

conclusion” that is adverse to the non-moving party under Civ.R. 56(C), a jury should

decide whether the gun owner has breached his or her duty to store his or her weapon in a




situation will be a major part of the consideration. Dozens of gun storage devices, as well
as locking devices that attach directly to the gun, are available.” See National Rifle
Association, Gun Safety Rules, available at https://gunsafetyrules.nra.org/ (last visited
June 12, 2019).
68.
manner that is reasonable under the circumstances. See, e.g., Mansfield R., L. & P. Co. v.

Kiner, 2 Ohio App. 82, (5th Dist.1913) (“[W]hether or not reasonable care was exercised

in a given case is a question of fact for the jury, dependent upon the surrounding

circumstances.”).

       {¶ 139} For example, it is possible that a gun owner may satisfy this duty by

“[s]imply locking the front door, thereby preventing the public’s access.” Stoffer, 786

N.E.2d at 269-270. Other factual circumstances may require the gun-owner to take

additional measures―reasonable under the circumstances―to secure their weapons. In

Stoffer, for instance, the defendants stored their handgun between the cushions of a chair

in their bedroom—hidden, but accessible. The Indiana Supreme Court held that it was a

question for the jury “whether this constituted reasonable and ordinary care in this

situation.” (Emphasis added). Id. at 271. Similarly here, having concluded that Hinkle

owed a legal duty to store her weapon in a manner that was reasonable under the

circumstances, I would remand this case to the trial court so that a jury may determine

whether it was reasonable for Hinkle to store her loaded handgun in her unlocked

nightstand drawer despite knowing that her son was mentally unstable, abused alcohol,

had misused the weapon multiple times, and harbored irrational anger toward neighbors.




69.
