[Cite as State v. Bodyke, 126 Ohio St.3d 266, 2010-Ohio-2424.]




     THE STATE OF OHIO, APPELLEE, v. BODYKE ET AL., APPELLANTS.
         [Cite as State v. Bodyke, 126 Ohio St.3d 266, 2010-Ohio-2424.]
Criminal law — R.C. Chapter 2950 — Sex offenders — R.C. 2950.031 and
        2950.032 violate separation of powers by requiring executive branch to
        reclassify sex offenders already classified by court order — Only appellate
        courts are constitutionally permitted to review or modify court judgments
        — Executive branch may not reopen final judgments — Stare decisis —
        Doctrine not controlling in cases presenting constitutional question —
        R.C. 2950.031 and 2950.032 severed.
   (No. 2008-2502 — Submitted November 4, 2009 — Decided June 3, 2010.)
APPEAL from the Court of Appeals for Huron County, Nos. H-07-040, H-07-041,
                            and H-07-042, 2008-Ohio-6387.
                                 ___________________
                               SYLLABUS OF THE COURT
1. The power to review and affirm, modify, or reverse other courts’ judgments is
        strictly limited to appellate courts. (Section 3(B)(2), Article IV, Ohio
        Constitution, applied.)
2. R.C. 2950.031 and 2950.032, which require the attorney general to reclassify
        sex offenders who have already been classified by court order under
        former law, impermissibly instruct the executive branch to review past
        decisions of the judicial branch and thereby violate the separation-of-
        powers doctrine.
3. R.C. 2950.031 and 2950.032, which require the attorney general to reclassify
        sex offenders whose classifications have already been adjudicated by a
        court and made the subject of a final order, violate the separation-of-
        powers doctrine by requiring the opening of final judgments.
                                 SUPREME COURT OF OHIO




                                  ___________________
        O’CONNOR, J.
        {¶ 1} In this appeal,1 we decide the constitutionality of the current version
of R.C. Chapter 2950, as amended by 2007 Am.Sub.S.B. No. 10 (“the Adam
Walsh Act” or “the AWA”), as those provisions apply to sex offenders whose
cases were adjudicated prior to its enactment.
        {¶ 2} Although we discharge our duty with great respect for the role of the
legislature, Kennedy v. Mendoza-Martinez (1963), 372 U.S. 144, 159, 83 S.Ct.
554, 9 L.Ed.2d 644, for the reasons that follow we are compelled to find that R.C.
2950.031 and 2950.032, the reclassification provisions in the AWA, are
unconstitutional because they violate the separation-of-powers doctrine. As a
remedy, we strike R.C. 2950.031 and 2950.032, hold that the reclassifications of
sex offenders by the attorney general are invalid, and reinstate the prior judicial
classifications of sex offenders.
                                 I. Relevant Background
                                   A. R.C. Chapter 2950
        {¶ 3} R.C. Chapter 2950, Ohio’s law governing the registration and
classification of sex offenders and the ensuing community-notification
requirements, has evolved substantially since its inception in 1963. See former
R.C. Chapter 2950, 130 Ohio Laws 669. The original version of the statute was


1. Christian N. Bodyke is an appellant in one of three appeals consolidated by the Sixth District.
Bodyke was convicted of sexual battery in 1999. The others, David Schwab and Gerald Phillips,
were found guilty of attempted rape in 1999 and gross sexual imposition and sexual battery in
1993, respectively. All of the appellants were classified initially under Megan’s Law and
reclassified according to the AWA. Bodyke, Schwab, and Phillips assert six propositions of law.
Those propositions aver that the application of the AWA to offenders whose crimes were
committed before the AWA’s effective dates violates (1) the Ex Post Facto Clause of the federal
constitution, (2) the Retroactivity Clause of the Ohio Constitution, (3) the separation-of-powers
doctrine embodied in the Ohio Constitution, and (4) the Double Jeopardy Clause of the state and
federal constitutions. They also assert that the AWA, as applied to sex offenders whose cases
were adjudicated under the provisions of Megan’s Law, violates due process and constitutional
protections against cruel and unusual punishment and against impairment of contracts.




                                                2
                                    January Term, 2010




seldom used, Sears v. State, Clermont App. No. CA2008-07-068, 2009-Ohio-
3541, ¶23, and it existed without amendment for three decades.
        {¶ 4} In 1994, however, a convicted sex offender in New Jersey abducted,
raped, and killed a neighbor’s young child, Megan Kanka. See State v. Williams
(2000), 88 Ohio St.3d 513, 516, 728 N.E.2d 342; State v. Cook (1998), 83 Ohio
St.3d 404, 405, 700 N.E.2d 570. In the wake of that notorious crime, New Jersey
gained national recognition by enacting a law requiring registration of sex
offenders and notification to the community of the offender’s presence. The law
became known as “Megan’s Law.” Wallace v. State (Ind.2009), 905 N.E.2d 371,
374. The constitutionality of the New Jersey legislation was upheld by the New
Jersey Supreme Court in Doe v. Poritz (1995), 142 N.J. 1, 662 A.2d 367.
        {¶ 5} Federal legislation followed later that year when Congress enacted
the Jacob Wetterling Crimes Against Children and Sexually Violent Offender
Registration Act, Section 14071, Title 42, U.S.Code (“the Jacob Wetterling Act”).
The Jacob Wetterling Act focused on requiring states to implement a registry of
sex offenders and those who commit crimes against children. People v. Cintron
(2006), 13 Misc.3d 833, 836, 827 N.Y.S.2d 445, fn. 6. Two years after its
enactment, the Act was amended to require that states add community-notification
provisions. Id. The Jacob Wetterling Act then became better known as the
federal “Megan’s Law.” Id.
        {¶ 6} The federal Megan’s Law mandates that the states adopt registration
and community-notification provisions governing sex offenders or face the loss of
federal crime-control funds. Section 14071, Title 42, U.S.Code. The General
Assembly enacted Ohio’s version of Megan’s Law in 1996. Am.Sub.H.B. No.
180, 146 Ohio Laws, Part II, 2560, 2601.2

2. Although all of the states enacted some form of sex-offender legislation in order to comply
with the federal Megan’s Law, the breadth of the registration and notification provisions varied
from state to state. Sex Offender Treatment in the United States: The Current Climate and an
Unexpected Opportunity for Change (2010), 84 Tulane L.Rev. 729, 731.




                                               3
                                 SUPREME COURT OF OHIO




                               1.       Ohio’s Megan’s Law
        {¶ 7} Megan’s Law repealed prior versions of R.C. Chapter 2950 and
created Ohio’s first comprehensive registration and classification system for sex
offenders. 146 Ohio Laws, Part II, 2560. In order to accomplish its goals, Ohio’s
Megan’s Law provided for offender registration, classification, and community
notification. Cook, 83 Ohio St.3d at 407, 700 N.E.2d 570.
        {¶ 8} In 1997, we unanimously upheld the application of Megan’s Law
over retroactivity and ex post facto claims.3 State v. Cook , 83 Ohio St.3d 404,
700 N.E.2d 570.
        {¶ 9} After Cook, we addressed constitutional challenges to Megan’s Law
based on theories other than ex post facto and retroactivity.                    We rejected,
unanimously, the suggestions that Megan’s Law impermissibly intruded on the
individual’s rights to maintain privacy, to acquire property, to pursue an
occupation, and to maintain a favorable reputation. Williams, 88 Ohio St.3d at
524-527, 728 N.E.2d 342. We also rejected arguments based on double jeopardy,
bill of attainder, equal protection, and vagueness. Id. at 528-534.
        {¶ 10} The following year, we were confronted with a separation-of-
powers argument in State v. Thompson (2001), 92 Ohio St.3d 584, 752 N.E.2d
276. We rejected it unanimously.
        {¶ 11} Thompson addressed whether former R.C. 2950.09(B)(2) violated
“the separation-of-powers doctrine because it encroache[d] upon the judiciary’s
fact-finding authority.” Id. at 585. More specifically, we addressed the language

3. In 2003, the United States Supreme Court confronted an Alaskan statutory scheme very similar
to Megan’s Law. The high court concluded that the Alaskan law did not violate the Ex Post Facto
Clause. Smith v. Doe (2003), 538 U.S. 84, 123 S.Ct. 1140, 155 L.Ed.2d 164. In so holding, the
court applied the factors from Kennedy v. Mendoza-Martinez, 372 U.S. at 159, 83 S.Ct. 554, 9
L.Ed.2d 644, as we did in Cook, and drew the same conclusion – that the Ex Post Facto Clause
does not prohibit states from retroactively requiring sex offenders to register periodically with
local law enforcement or from disseminating to the community the offender’s name, address,
photograph, and other personal information.




                                               4
                               January Term, 2010




in former R.C. 2950.09(B)(2) that required a judge to consider certain factors
before determining whether an offender was a sexual predator.
       {¶ 12} Our conclusion that the separation-of-powers doctrine was not
violated turned on our view that the statute did not divest the court of its fact-
finding powers. Id., 92 Ohio St.3d at 587-588, 752 N.E.2d 276. We observed
that the statutory factors provided an important framework that assisted judges in
making the sexual-predator determination and that the factors, as guidelines,
“provide consistency in the reasoning process.” Id. at 587. But more importantly,
we recognized that the guidelines did not control the judge’s discretion or require
a judge to assign a particular weight to certain factors. Thus, we found no
improper interference with the judge’s fact-finding powers.
       {¶ 13} We further held that the factors themselves were nonexhaustive,
because the statute directed the judge to “consider all relevant factors, including,
but not limited to,” the statutory factors. (Emphasis deleted.) Id. at 588. Thus,
we concluded, the statute did not violate the separation-of-powers doctrine,
because the judge retained discretion to consider any relevant evidence and to
determine what weight, if any, to assign to that evidence. Id.
       {¶ 14} Ten years after our decision in Cook, we again addressed Megan’s
Law in State v. Ferguson, 120 Ohio St.3d 7, 2008-Ohio-4824, 896 N.E.2d 110. In
that case, a convicted rapist classified as a sexual predator challenged the
constitutionality of the amendments enacted in Am.Sub.S.B. No. 5 (“S.B. 5”), 150
Ohio Laws, Part IV, 6558, 6687-6702 (eff. July 31, 2003).           The claims in
Ferguson renewed the challenge against the retroactive application of the
amended requirements.
       {¶ 15} Despite the significant changes wrought by S.B. 5, we upheld the
S.B. 5 amendments. In so doing, we rejected Ferguson’s assertions that the
amendments violated the Ex Post Facto Clause of the United States Constitution
(Section 10, Article I) and the retroactivity provision in Section 28, Article II of



                                         5
                            SUPREME COURT OF OHIO




the Ohio Constitution. We relied on our decision in Cook, the Supreme Court’s
decision in Smith v. Doe (2003), 538 U.S. 84, 123 S.Ct. 1140, 155 L.Ed.2d 164,
and other state courts’ decisions to find that Megan’s Law remained a remedial
statute. Ferguson at ¶ 29-40. Ferguson, however, was not unanimous. See also
State v. Wilson, 113 Ohio St.3d 382, 2007-Ohio-2202, 865 N.E.2d 1264 (holding
that an appellate court must review a trial court’s determination in a sex-offender-
classification hearing under the civil manifest-weight-of-the-evidence standard).
       {¶ 16} The dissent in Ferguson criticized the majority’s reliance on Cook:
“R.C. Chapter 2950 has been amended [since Cook]. The simple registration
process and notification procedures are now different from those considered in
Cook and in [Williams, 88 Ohio St.3d 513, 2000-Ohio-428, 728 N.E.2d 342].
R.C. Chapter 2950 has been transformed from remedial to punitive * * *.”
Ferguson, 120 Ohio St.3d 7, 2008-Ohio-4824, 896 N.E.2d 110, ¶ 45 (Lanzinger,
J., dissenting). More specifically, the dissent explained that, since Cook, the
“sexual predator” label became permanent, the registration requirements were
made more demanding, the community-notification and residency-restriction
provisions were made more extensive, and sheriffs’ authority was expanded to
include the power to obtain landlord verification that the offender lived at a
registered address. Ferguson at ¶ 46.
       {¶ 17} Even as debate over the S.B. 5 amendments was taking place here,
however, the General Assembly was reviewing the law and enacting a new
scheme, the Adam Walsh Act, R.C. Chapter 2950. That act, not Megan’s Law
and its amendments, forms the basis of this appeal.
                           2. Ohio’s Adam Walsh Act
       {¶ 18} In 2006, Congress passed the Adam Walsh Child Protection and
Safety Act (“Adam Walsh Act”), P.L. No. 109-248, 120 Stat. 587, codified at
Section 16901 et seq., Title 42, U.S.Code. The Act created national standards for
sex-offender registration, community notification, and classification. It divides




                                         6
                                      January Term, 2010




sex offenders into three categories or “tiers” – Tier I, Tier II, and Tier III – based
solely on the crime committed. Section 16911. The duration of the offender’s
obligation to update his personal information for the registry depends on his tier
classification. Section 16915.
         {¶ 19} Section 16912(a) directs every jurisdiction to maintain a sex-
offender registry conforming to the requirements of the Act. And to ensure
compliance, Congress directed that states that did not adopt the Adam Walsh Act
risked losing ten percent of certain federal crime-control funds that would
otherwise be allocated to them. Section 16925(a).
         {¶ 20} The following year, the General Assembly enacted 2007
Am.Sub.S.B. No. 10.4 S.B. 10 repealed Megan’s Law and replaced it with a new,
retroactive scheme that includes the tier system required by Congress. R.C.
Chapter 2950.
         {¶ 21} The former categories of sexually oriented offender, habitual sex
offender, and sexual predator no longer exist, nor is the court required to hold
classification hearings as before. Instead, offenders are classified as Tier I, Tier
II, or Tier III sex offenders (or child-victim offenders) based solely on the
offender’s offense.        R.C. 2950.01.        Specified officials are required to notify
existing offenders of their duties and new tier classification.                     R.C. 2950.03,
2950.031, and 2950.032.
         {¶ 22} Significantly for our purposes here, under the AWA judges no
longer have discretion to determine which classification best fits the offender. Id.

4. Ohio is the only state to have complied with the mandate, however. Greg Bluestein (December
1, 2009), “Ohio lone state to adopt sex-offender rules,” in Canton Rep.com, available at
http://www.cantonrep.com/ohio/x2072228737/Ohio-lone-state-to-adopt-sex-offender-rules             (last
visited Mar. 22, 2010). The deadline for compliance has been extended from July 2009 to July
2010, but it appears that many states will still be unable, or unwilling, to comply. Id. For many
states, the costs of compliance with the Act will far outweigh the ten percent reduction in funding.
For example, it has been estimated that the cost for Illinois to comply with the Act in the first year
would be $21,000,000 but that it will lose less than $1,000,000 if it does not. See Liz Winiarski,
Facing the Compliance Deadline for the Adam Walsh Child Protection and Safety Act, States are
Weighing all the Costs (2009), 14 Pub.Interest L.Rep. 192, 193.




                                                  7
                                SUPREME COURT OF OHIO




Instead, a few months before the AWA’s effective date, the General Assembly
directed the attorney general to reclassify existing offenders. R.C. 2950.031(A)
and 2950.032(A)(1). Offenders who had registered before December 1, 2007,
were to be reclassified as Tier I, II, or III sex offenders according to the new
statutes. Id. Tiers are assigned solely by reference to the offense. See R.C.
2950.01(E), (F), and (G). The entire reclassification process is administered by
the attorney general, with no involvement by any court.                         There is no
individualized assessment. No consideration is given to any of the other factors
employed previously in classification hearings held pursuant to Megan’s Law. Id.
As a result, the trial court is stripped of any power to engage in independent fact-
finding to determine an offender’s likelihood of recidivism. Expert testimony is
no longer presented; the offender’s criminal and social history are no longer
relevant.5
        {¶ 23} After tier classification is completed, the offender is required to
register according to the classification. R.C. 2950.04(A)(1). The registration
requirements under the AWA vary depending on the tier in which the offender is
classified. R.C. 2950.06(B) (frequency of duty to verify personal information
differs depending on tier); R.C. 2950.07 (duration of duty to comply with
registration/verification requirements depends on tier).



5. {¶ a} In State v. Eppinger (2001), 91 Ohio St.3d 158, 743 N.E.2d 881, we emphasized the
importance of the classification hearing in assessing each offender on an individualized basis,
avoiding wholesale labeling of offenders as sexual predators based only on a conviction, and
advancing the purpose of the legislation, which was to protect the public:
    {¶ b} “If we were to adjudicate all sexual offenders as sexual predators, we run the risk of
‘being flooded with a number of persons who may or may not deserve to be classified as high-risk
individuals, with the consequence of diluting both the purpose behind and the credibility of the
law.’” Id. at 165, quoting State v. Thompson (1999), 140 Ohio App.3d 638, 647, 748 N.E.2d
1144.
    {¶ c} We further opined that “[o]ne sexually oriented offense is not a clear predictor of
whether that person is likely to engage in the future in one or more sexually oriented offenses,
particularly if the offender is not a pedophile. Thus, we recognize that one sexually oriented
conviction, without more, may not predict future behavior.” Id. at 162.




                                               8
                                January Term, 2010




       {¶ 24} Under Megan’s Law, if an offender was classified at the lowest risk
level, i.e., as a sexually oriented offender, he was required to register annually for
a period of ten years. Former R.C. 2950.07(B)(3) and 2950.06(B)(2), 146 Ohio
Laws, Part II, 2617, 2613. No community notification followed. Under the
AWA, although there is still no community notification for the lowest-risk
offenders, i.e., offenders classified into Tier I, those offenders must verify their
personal information annually for 15 years rather than the ten years required
under Megan’s Law. R.C. 2950.07(B)(3).
       {¶ 25} Under Megan’s Law, an offender who posed an intermediate risk,
i.e., less than a sexual predator but more than a sexually oriented offender, was
labeled a habitual sexual offender. See former R.C. 2950.01(B), 146 Ohio Laws,
Part II, 2601. Habitual sexual offenders were required to verify their personal
information annually for 20 years, former R.C. 2950.07(B)(2) and 2950.06(B)(2),
146 Ohio Laws, Part II, 2617, 2613, and community notification was required
only if the judge deemed it appropriate. Former R.C. 2950.11(A) and (F), 146
Ohio Laws, Part II, 2627, 2630. In the AWA scheme, the intermediate-risk
offender is placed in Tier II. Tier II offenders must verify every 180 days for 25
years, R.C. 2950.07(B)(2) and 2950.06(B)(2), but community notification is not
required. R.C. 2950.11(F) (community notification limited to Tier III offenders).
       {¶ 26} The sexual-predator classification was the highest-risk offender
under Megan’s Law. Sexual predators were required to register every 90 days for
life. Former R.C. 2950.06(B)(1) and 2950.07(B)(1), 146 Ohio Laws, Part II, 2613
and 2616. Community notification was required. Former R.C. 2950.11(A), 146
Ohio Laws, Part II, 2627. Under the AWA, Tier III offenders have the same
obligation to verify their personal information as sexual predators, R.C.
2950.06(B)(3) (every 90 days) and 2950.07(B)(1) (for life), and community
notification is required. R.C. 2950.11(A). However, the scope of registration is
expanded greatly.



                                          9
                                  SUPREME COURT OF OHIO




         {¶ 27} Megan’s Law required an offender to register with the sheriff in the
county in which he resided. Former R.C. 2950.04(A), 146 Ohio Laws, Part II,
2609. Pursuant to the AWA, the offender must register with the sheriff in the
county in which he lives, the county in which he attends school, the county in
which he is employed, any county in which he is domiciled temporarily for more
than three days, and even a county in another state if he works or attends school
there. R.C. 2950.04(A)(2)(a) through (e). When he registers, he must provide his
full name and any aliases as well as his date of birth, social security number,
address, the name and address of his employer and school, the license plate of any
motor vehicle he owns or operates as part of his employment, his driver’s license
number, any professional or occupational registration or license, any e-mail
address, and all Internet identifiers or telephone numbers registered to him. R.C.
2950.04(C).
         {¶ 28} Similarly, the AWA expands community-notification requirements.
In the new scheme, the sheriff gives notice of a Tier III offender’s name, address,
and conviction to all residents within 1,000 feet of the offender’s residence. R.C.
2950.11(A)(1)(a). If the offender lives in a multiple-unit building, all residents
who share a common hallway with the offender must be notified.                               R.C.
2950.11(A)(1)(b). The AWA also forbids all sex offenders, including those who
have not offended against children, from living within 1,000 feet of a school,
preschool, or child day-care facility. R.C. 2950.034(A).6
                              B. The Appeal Before the Court
         {¶ 29} On October 18, 1999, appellant Bodyke entered an agreed plea of
no contest to one count of breaking and entering in violation of R.C. 2911.13(A)
and one count of sexual battery in violation of R.C. 2907.03(A)(3). Two months


6. This court held that this prohibition cannot constitutionally be applied to an offender who
bought his home and committed his offense before the effective date of the statute. Hyle v. Porter,
117 Ohio St.3d 165, 2008-Ohio-542, 882 N.E.2d 899, syllabus.




                                                10
                                January Term, 2010




later, the trial judge sentenced him to concurrent sentences of six months’
imprisonment for breaking and entering and two years’ imprisonment for sexual
battery. In addition, relying on the version of R.C. 2950.01 that was in effect at
that time, he was classified as a sexually oriented offender, the lowest level of
offender under Megan’s Law. As a sexually oriented offender, Bodyke was
required to register with the county sheriff every year for ten years. He was not
subject to the community-notification provisions, however.
       {¶ 30} In November 2007, eight years after Bodyke’s no-contest plea and
almost five years after being released from prison, the attorney general, acting
pursuant to the reclassification provisions in the AWA, notified Bodyke that he
would be reclassified. Bodyke was automatically labeled a Tier III offender,
which requires him to personally register with the local sheriff every 90 days for
the duration of his life. Further, Bodyke is now subject to community-notification
provisions.
       {¶ 31} He appealed to the Sixth District Court of Appeals, which affirmed
unanimously. We accepted his discretionary appeal, 121 Ohio St.3d 1438, 2009-
Ohio-1638, 903 N.E.2d 1222, and now reverse.
                                   II. Analysis
                                 A. Stare Decisis
       {¶ 32} The parties and amici curiae repeatedly urge that Cook and
Ferguson compel a particular result here, and some suggest that the doctrine of
stare decisis controls the outcome. As we have described here, this court has
repeatedly upheld Megan’s Law as constitutional over an array of challenges. But
those decisions compel no particular result in the cases before us.
       {¶ 33} Initially, we reiterate an important but often overlooked aspect of
our law on stare decisis. We have held that “stare decisis applies to rulings
rendered in regard to specific statutes, [but] it is limited to circumstances ‘where
the facts of a subsequent case are substantially the same as a former case.’ ”



                                         11
                             SUPREME COURT OF OHIO




Arbino v. Johnson & Johnson, 116 Ohio St.3d 468, 2007-Ohio-6948, 880 N.E.2d
420, ¶ 23, quoting Rocky River v. State Emp. Relations Bd. (1989), 43 Ohio St.3d
1, 5, 539 N.E.2d 103. Thus, as a threshold question, we must determine whether
the statute and facts presented today are the same as those presented in precedent.
We are persuaded that the AWA is substantially different from Megan’s Law.
Cook and Ferguson, the cases cited as dispositive of this appeal, did not present a
separation-of-powers challenge. And Thompson, which did, involved a statutory
provision not implicated in this appeal because Thompson was concerned only
with former R.C. 2950.09(B)(2), the provision listing factors a judge was required
to consider in determining whether an offender is a sexual predator. 92 Ohio
St.3d at 584, 752 N.E.2d 276 (“The sole issue before this court is whether R.C.
2950.09 violates the separation-of-powers doctrine because it encroaches upon the
judiciary’s fact-finding authority. We find that it does not”). Nothing like that
provision can be found in the AWA.
       {¶ 34} On those bases alone, we would not be obliged to apply those
decisions to this case. But more importantly for our purposes here, we believe
that there is a more vital and compelling limitation on the doctrine as it has
developed in Ohio: its inapplicability to constitutional claims.
       {¶ 35} Our decision in Galatis, 100 Ohio St.3d 216, 2003-Ohio-5849, 797
N.E.2d 1256, established the test for departing from precedent. But Galatis arose
in the context of insurance and contract law, not constitutional law.          That
difference is significant, as we made clear in our decision in Rocky River, 43 Ohio
St.3d at 6-10, 539 N.E.2d 103. In that case, we acknowledged that stare decisis
“does not apply with the same force and effect when constitutional interpretation
is at issue.” (Emphasis added.) Id.
       {¶ 36} We concluded in Rocky River by noting that the reconsideration of
past decisions in the constitutional realm “is not some forbidden aberration. It is,
in fact, the fulfillment of our constitutional responsibilities * * *.” Id. at 7.




                                         12
                               January Term, 2010




Nothing in our decision in Galatis suggests otherwise. Rocky River retains its
vitality, at least insofar as this principle is concerned:   “Stare decisis is not
inflexibly applicable to constitutional interpretation.” (Emphasis sic.) Id. at 10.
See also Lawrence v. Texas (2003), 539 U.S. 558, 577, 123 S.Ct. 2472, 156
L.Ed.2d 508 (“The doctrine of stare decisis is essential to the respect accorded to
the judgments of the Court and the stability of the law. It is not, however, an
inexorable command”).
       {¶ 37} Stare decisis remains a controlling doctrine in cases presenting
questions on the law of contracts, property, and torts, but it is not controlling in
cases presenting a constitutional question. Thus, in the instant appeals, stare
decisis does not compel us to reach the same result we reached in past decisions,
including Ferguson and Cook.
       {¶ 38} We now proceed with our analysis of the important constitutional
questions before us.
                        B. Separation-of-Powers Doctrine
       {¶ 39} The first, and defining, principle of a free constitutional
government is the separation of powers. Evans v. State (Del.2005), 872 A.2d 539,
543. In Kilbourn v. Thompson (1880), 103 U.S. 168, 190-191, 26 L.Ed. 377, the
United States Supreme Court stated:
       {¶ 40} “It is believed to be one of the chief merits of the American system
of written constitutional law, that all the powers intrusted to government, whether
State or national, are divided into the three grand departments, the executive, the
legislative, and the judicial. That the functions appropriate to each of these
branches of government shall be vested in a separate body of public servants, and
that the perfection of the system requires that the lines which separate and divide
these departments shall be broadly and clearly defined. It is also essential to the
successful working of this system that the persons intrusted with power in any one
of these branches shall not be permitted to encroach upon the powers confided to



                                        13
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the others, but that each shall by the law of its creation be limited to the exercise
of the powers appropriate to its own department and no other.”
       {¶ 41} As this court has observed with regard to our own state system of
government:
       {¶ 42} “While Ohio, unlike other jurisdictions, does not have a
constitutional provision specifying the concept of separation of powers, this
doctrine is implicitly embedded in the entire framework of those sections of the
Ohio Constitution that define the substance and scope of powers granted to the
three branches of state government.” S. Euclid v. Jemison (1986), 28 Ohio St.3d
157, 158-159, 28 OBR 250, 503 N.E.2d 136. It “represents the constitutional
diffusion of power within our tripartite government.          The doctrine was a
deliberate design to secure liberty by simultaneously fostering autonomy and
comity, as well as interdependence and independence, among the three branches.”
Norwood v. Horney, 110 Ohio St.3d 353, 2006-Ohio-3799, 853 N.E.2d 1115, ¶
114.
       {¶ 43} “ ‘ “[T]he people possessing all governmental power, adopted
constitutions, completely distributing it to appropriate departments.” Hale v.
State (1896), 55 Ohio St. 210, 214, 45 N.E. 199, 200. They vested the legislative
power of the state in the General Assembly (Section 1, Article II, Ohio
Constitution), the executive power in the Governor (Section 5, Article III, Ohio
Constitution), and the judicial power in the courts (Section 1, Article IV, Ohio
Constitution).’ ” Norwood at ¶ 115, quoting State ex rel. Academy of Trial
Lawyers v. Sheward (1999), 86 Ohio St.3d 451, 462, 715 N.E.2d 1062.
       {¶ 44} “The essential principle underlying the policy of the division of
powers of government into three departments is that powers properly belonging to
one of the departments ought not to be directly and completely administered by
either of the other departments, and further that none of them ought to possess
directly or indirectly an overruling influence over the others.” State ex rel. Bryant




                                         14
                               January Term, 2010




v. Akron Metro. Park Dist. of Summit Cty. (1929), 120 Ohio St. 464, 473, 166
N.E. 407. Thus, the people specified in our Constitution that “[t]he general
assembly shall [not] * * * exercise any judicial power, not herein expressly
conferred.” Section 32, Article II, Ohio Constitution. Our decisions reflect these
principles.
       {¶ 45} We have held that “[t]he administration of justice by the judicial
branch of the government cannot be impeded by the other branches of the
government in the exercise of their respective powers.” State ex rel. Johnston v.
Taulbee (1981), 66 Ohio St.2d 417, 20 O.O.3d 361, 423 N.E.2d 80, paragraph one
of the syllabus.
       {¶ 46} The judiciary has both the power and the solemn duty to determine
the constitutionality and validity of acts by other branches of the government and
to ensure that the boundaries between branches remain intact. State ex rel. Ohio
Academy of Trial Lawyers v. Sheward (1999), 86 Ohio St.3d 451, 462, 715
N.E.2d 1062. “[J]urists have long understood that they must be wary of any
usurpation of the powers conferred on the judiciary by constitutional mandate and
any intrusion upon the courts’ inherent powers * * *.” Norwood, 110 Ohio St.3d
353, 2006-Ohio-3799, 853 N.E.2d 1115, at ¶ 115. We therefore must “jealously
guard the judicial power against encroachment from the other two branches of
government and * * * conscientiously perform our constitutional duties and
continue our most precious legacy.” Sheward at 467.
       {¶ 47} Our vigilance is not born of self-reverence. Rather, we protect the
borders separating the three branches in order to ensure the security and harmony
of the government, Weaver v. Lapsley (1869), 43 Ala. 224, 1869 WL 503, *5, and
to avoid the evils that would flow from legislative encroachment on our
independence. Lawson v. Jeffries (1873), 47 Miss. 686, 1873 WL 4108, *8. As
Montesquieu warned, “ ‘[w]hen the legislative and executive powers are united in
the same person, or in the same body of magistracy, there can be then no liberty *



                                       15
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* *. [And] there is no liberty, if the power of judging be not separated from the
legislative and executive powers.’ ” Evans v. State, 872 A.2d at 544, quoting
Baron de Montesquieu, The Spirit of the Laws (Thomas Nugent trans., 1949), fn.
39. See also Clinton v. New York (1998), 524 U.S. 417, 450, 118 S.Ct. 2091, 141
L.Ed.2d 393 (the separation-of-powers doctrine guards against the threat to liberty
posed by the concentration of power in a single branch of government).
       {¶ 48} But the doctrine also recognizes that our government is composed
of equal branches that must work collectively toward a common cause. And in
doing so, the Constitution permits each branch to have some influence over the
other branches in the development of the law. For example, the legislative branch
plays an important and meaningful role in the criminal law by defining offenses
and assigning punishment, while the judicial branch has its equally important role
in interpreting those laws.
       {¶ 49} As the Supreme Court has explained, the Madisonian vision of the
separation of powers did not contemplate three branches operating in isolation,
each without influence over the others. Rather, the doctrine was designed to
protect against “ ‘the whole power of one department [being] exercised by the
same hands which possess the whole power of another department,’ ” in which
case “ ‘the fundamental principles of a free constitution, are subverted.’ ”
(Emphases sic.) Mistretta v. United States (1989), 488 U.S. 361, 380-382, 109
S.Ct. 647, 102 L.Ed.2d 714, quoting The Federalist No. 47 (J. Cooke Ed.1961)
325-326.   The court reminds us of Madison’s belief that “our constitutional
system imposes upon the Branches a degree of overlapping responsibility, a duty
of interdependence as well as independence * * *.” Mistretta, id.
       {¶ 50} Navigating      the   boundaries   between   interdependence     and
independence of the branches is not always easy. But we have guideposts to aid
us.




                                         16
                                January Term, 2010




       {¶ 51} Foremost in the analysis, we recognize that the Founders’ design of
the tripartite model was intended to serve as “ ‘a self-executing safeguard against
the encroachment or aggrandizement of one branch at the expense of the other.’ ”
Mistretta, 484 U.S. at 382, 109 S.Ct. 647, 102 L.Ed.2d 714, quoting Buckley v.
Valeo (1976), 424 U.S. 1, 122, 96 S.Ct. 612, 46 L.Ed.2d 659. The Supreme Court
counsels that “this concern of encroachment and aggrandizement” animates
judicial decisions on the separation of powers and arouses vigilance against the “
‘hydraulic pressure inherent within each of the separate Branches to exceed the
outer limits of its power.’ ” Mistretta, 488 U.S. at 382, quoting Immigration &
Naturalization Serv. v. Chadha (1983), 462 U.S. 919, 951, 103 S.Ct. 2764, 77
L.Ed.2d 317. The court has “not hesitated to strike down provisions of law that
either accrete to a single Branch powers more appropriately diffused among
separate Branches or that undermine the authority and independence of one or
another coordinate Branch.” Mistretta, id.
       {¶ 52} Thus, while we must respect the fact that the authority to legislate
is for the General Assembly alone, we must also ensure that its legislative
prerogative is not unbridled. The General Assembly cannot require the courts “to
treat as valid laws those which are unconstitutional. If this could be permitted, the
whole power of the government would at once become absorbed and taken into
itself by the Legislature.” Bartlett v. State (1905), 73 Ohio St. 54, 58, 75 N.E.
939. We must be wary that the legislature, in discharging its own duties, does not
accrete power and encroach on the province of the judiciary.
       {¶ 53} In cases specifically involving the judicial branch, the Supreme
Court advises vigilance against two dangers: “that the Judicial Branch neither be
assigned nor allowed ‘tasks that are more properly accomplished by [other]
branches,’ Morrison v. Olson [1988], 487 U.S. [654] 680-681 [108 S.Ct. 2597,
101 L.Ed.2d 569], and, second, that no provision of law ‘impermissibly threatens
the institutional integrity of the Judicial Branch.’ Commodity Futures Trading



                                         17
                            SUPREME COURT OF OHIO




Comm’n. v. Schor [1986], 478 U.S. [833], at 851 [106 S.Ct. 3245, 92 L.Ed.2d
675].” Mistretta, 488 U.S. at 383, 109 S.Ct. 647, 102 L.Ed.2d 714. Courts also
condemn legislative encroachments that violate the separation of powers by
vesting officials in the executive branch with the power to review judicial
decisions or by commanding that the courts reopen final judgments. Plaut v.
Spendthrift Farm, Inc. (1995), 514 U.S. 211, 218-219, 115 S.Ct. 1447, 131
L.Ed.2d 328.
       {¶ 54} With these principles in mind, we turn to a key aspect of the AWA
– the reclassification scheme.    That scheme requires the attorney general to
reclassify offenders who previously were classified by Ohio judges according to
the provisions in Megan’s Law and its precursor.
                        1. The reclassification provisions
                     violate the separation-of-powers doctrine
       {¶ 55} The AWA’s provisions governing the reclassification of sex
offenders already classified by judges under Megan’s Law violate the separation-
of-powers doctrine for two related reasons: the reclassification scheme vests the
executive branch with authority to review judicial decisions, and it interferes with
the judicial power by requiring the reopening of final judgments. It is well settled
that a legislature cannot enact laws that revisit a final judgment. We have held for
over a century that “the Legislature cannot annul, reverse, or modify a judgment
of a court already rendered.” Bartlett v. State, 73 Ohio St. at 58, 75 N.E. 939.
See also United States v. O’Grady (1874), 89 U.S. (22 Wall.) 641, 647-648, 22
L.Ed. 772 (“Judicial jurisdiction implies the power to hear and determine a cause,
and * * * Congress cannot subject the judgments of the Supreme Court to the re-
examination and revision of any other tribunal or any other department of the
government”). As the Supreme Court of California recently explained,
“judgments cannot be deprived of their ‘finality’ through statutory conditions not
in effect when the judicial branch gave its ‘last word’ in the particular case,”




                                        18
                                January Term, 2010




regardless of the policy behind the legislation. People v. King (2002), 27 Cal.4th
29, 35, 115 Cal.Rptr.2d 214, 37 P.3d 398, citing Plaut, 514 U.S. at 227, 230, 115
S.Ct. 1447, 131 L.Ed.2d 328. “A judgment which is final by the laws existing
when it is rendered cannot constitutionally be made subject to review by a statute
subsequently enacted * * *.” Gompf v. Wolfinger (1902), 67 Ohio St. 144, 65
N.E. 878, at paragraph three of the syllabus. See also Plaut, 514 U.S. at 222,
quoting The Federalist No. 81 (J. Cooke Ed.1961) 545 (“ ‘A legislature without
exceeding its province cannot reverse a determination once made, in a particular
case * * *’ ”). The reclassification provisions violate these bedrock principles.
       {¶ 56} The reclassification scheme in the AWA works to “legislatively
vacate[] the settled and journalized final judgments of the judicial branch of
government.” State v. Russell, Trumbull App. No. 2008-T-0074, 2009-Ohio-
5213, ¶ 93 (Grendell, J., concurring in judgment only). The legislative attempt to
reopen journalized final judgments imposing registration and community-
notification requirements on offenders so that new requirements may be imposed
suffers the same constitutional infirmity. “It does not matter that the legislature
has the authority to enact or amend laws requiring sex offenders to register or that
the current Sex Offender Act does not order the courts to reopen final judgments.
The fact remains that the General Assembly ‘cannot annul, reverse, or modify a
judgment of a court already rendered.’ Bartlett, 73 Ohio St. at 58, 75 N.E. 939.
[Reclassification], as a practical matter, nullifies that part of the court’s [initial
classification] Judgment [in this case] ordering [the offender] to register for a
period of ten years as a sexually oriented offender. To assert that the General
Assembly has authority to create a new system of classification does not solve the
problem that [the] original classification constituted a final judgment. There is no
exception to the rule that the final judgments may not be legislatively annuled
[sic] in situations where the Legislature has enacted new legislation.” State v.




                                         19
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Grate, Trumbull App. No. 2008-T-0058, 2009-Ohio-4452, 2009 WL 2710100,
¶16.
       {¶ 57} Just as “Congress cannot vest review of the decisions of Article III
courts in officials of the Executive Branch” or interfere with the judiciary by
“commanding the federal courts to reopen final judgments,” Plaut, 514 U.S. at
218, 219, 115 S.Ct. 1447, 131 L.Ed.2d 328, the General Assembly cannot vest
authority in the attorney general to reopen and revise the final decision of a judge
classifying a sex offender.
       {¶ 58} Our Constitution and case law make undeniably clear that the
judicial power resides exclusively in the judicial branch. Ex parte Logan Branch
of State Bank of Ohio (1853), 1 Ohio St. 432, 434. The judicial power of the state
is vested exclusively in the courts. Section 1, Article IV, Ohio Constitution. The
power to review and affirm, modify, or reverse other courts’ judgments is strictly
limited to appellate courts. Section 3(B)(2), Article IV, Ohio Constitution. The
AWA intrudes on that exclusive role and thus violates the separation-of-powers
doctrine.
       {¶ 59} Moreover, once the final judgment has been opened, the AWA
requires that the attorney general “shall determine” the new classifications of
offenders and delinquent children who were classified by judges under the former
statutes. R.C. 2950.031(A)(1) and 2950.032(A)(1)(a) and (b). In doing so, it
violates a second prohibition by assigning to the executive branch the authority to
revisit a judicial determination.
       {¶ 60} Thus, we conclude that R.C. 2950.031 and 2950.032, which require
the attorney general to reclassify sex offenders who have already been classified
by court order under former law, impermissibly instruct the executive branch to
review past decisions of the judicial branch and thereby violate the separation-of-
powers doctrine.




                                        20
                                January Term, 2010




       {¶ 61} We further conclude that R.C. 2950.031 and 2950.032, which
require the attorney general to reclassify sex offenders whose classifications have
already been adjudicated by a court and made the subject of a final order, violate
the separation-of-powers doctrine by requiring the opening of final judgments.
       {¶ 62} In light of our conclusion that the reclassification provision is
unconstitutional, we decline to address the remaining constitutional claims at this
time. The sole remaining salient question is, Which remedy to apply? See State
v. Foster, 109 Ohio St.3d 1, 2006-Ohio-856, 845 N.E.2d 470, ¶ 84.
                        2. Severance is the proper remedy
       {¶ 63} As we did in Foster, “[w]e presume that compliance with the
United States and Ohio Constitutions is intended and that an entire statute is
intended to be effective. R.C. 1.47(A) and (B). Furthermore, R.C. 1.50 states, ‘If
any provision of a section of the Revised Code or the application thereof to any
person or circumstance is held invalid, the invalidity does not affect other
provisions or applications of the section or related sections which can be given
effect without the invalid provision or application, and to this end the provisions
are severable.’ (Emphasis added.)
       {¶ 64} “When this court holds that a statute is unconstitutional, severance
may be appropriate. * * * Severance is suitable, however, only where it satisfies
our well-established standard. * * *
       {¶ 65} “* * * Three questions are to be answered before severance is
appropriate. ‘ “ ‘(1) Are the constitutional and the unconstitutional parts capable
of separation so that each may be read and may stand by itself? (2) Is the
unconstitutional part so connected with the general scope of the whole as to make
it impossible to give effect to the apparent intention of the Legislature if the
clause or part is stricken out? (3) Is the insertion of words or terms necessary in
order to separate the constitutional part from the unconstitutional part, and to give
effect to the former only?’ ”’ Foster, 109 Ohio St.3d 1, 2006-Ohio-856, 845



                                         21
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N.E.2d 470, ¶ 93-95, quoting Geiger v. Geiger (1927), 117 Ohio St. 451, 466, 160
N.E. 28, quoting State v. Bickford (1913), 28 N.D. 36, 147 N.W. 407, paragraph
19 of the syllabus.
       {¶ 66} Applying these standards, we conclude that severance of R.C.
2950.031 and 2950.032, the reclassification provisions in the AWA, is the proper
remedy. By excising the unconstitutional component, we do not “detract from the
overriding objectives of the General Assembly,” i.e., to better protect the public
from the recidivism of sex offenders, and the remainder of the AWA, “which is
capable of being read and of standing alone, is left in place.” Foster at ¶ 98. We
therefore hold that R.C. 2950.031 and 2950.032 are severed and, that after
severance, they may not be enforced. R.C. 2950.031 and 2950.032 may not be
applied to offenders previously adjudicated by judges under Megan’s Law, and
the classifications and community-notification and registration orders imposed
previously by judges are reinstated.
                                 III. Conclusion
       {¶ 67} For the foregoing reasons, we hold that R.C. 2950.031 and
2950.032, which require the attorney general to reclassify sex offenders who have
already been classified by court order under former law, impermissibly instruct
the executive branch to review past decisions of the judicial branch and thereby
violate the separation-of-powers doctrine.     In addition, R.C. 2950.031 and
2950.032 violate the separation-of-powers doctrine by requiring the opening of
final judgments.
                                                              Judgments reversed.
       LUNDBERG STRATTON and LANZINGER, JJ., concur.
       PFEIFER, J., concurs in the syllabus and judgment.
       O’DONNELL, J., concurs in part and dissents in part.
       CUPP, J., dissents.
       BROWN, C.J., not participating.




                                         22
                                January Term, 2010




                               __________________
       O’DONNELL, J., concurring in part and dissenting in part.
       {¶ 68} I agree with the lead opinion that 2007 Am.Sub.S.B. No. 10
violates the separation-of-powers doctrine because the applicable statutes require
the attorney general, a member of the executive branch of government, to
reclassify sexual offenders who have been previously classified as either sexually
oriented offenders, habitual sexual offenders, or sexual predators in accordance
with a determination by a member of the judicial branch of government.
However, I dissent from that part of the lead opinion discussing the doctrine of
stare decisis, because it is wholly dicta and superfluous to the decision of the lead
opinion that the reclassification provisions of S.B. 10 are unconstitutional.
                              Separation of Powers
       {¶ 69} In October 1999, Christian Bodyke entered no-contest pleas to
breaking and entering and sexual battery. The trial court sentenced him to an
aggregate two-year term of imprisonment and declared him a sexually oriented
offender pursuant to statutes in effect at that time.       As a sexually oriented
offender, Bodyke had the duty to register every year for ten years and was not
subject to community notification. See former R.C. 2950.07(B)(3) and (B)(2),
146 Ohio Laws, Part II, 2617, 2613; former R.C. 2950.11(A) and (F), id. at 2626-
2627, 2630.
       {¶ 70} In 2006, Congress passed the Adam Walsh Child Protection and
Safety Act, Section 16901 et seq., Title 42, U.S.Code, and provided financial
incentives to states for creating similar legislation. See Section 16925(a). Ohio
became the first state in the nation to follow suit and enacted S.B. 10.
       {¶ 71} In November 2007, Attorney General Marc Dann notified Bodyke
that he had been reclassified as a Tier III sexual offender pursuant to newly
enacted S.B. 10. As a result of the Tier III reclassification, Bodyke had new
registration requirements in that he had to register every 90 days for life and also



                                         23
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became subject to community notification. R.C. 2950.06(B)(3), 2950.07(B)(1),
and 2950.11(A).
        {¶ 72} Former R.C. 2950.09(B)(1) mandated that the trial court conduct a
hearing and determine whether to adjudicate an offender to be a sexual predator
or a habitual sexual offender. 146 Ohio Laws, Part II, 2618. Former R.C.
2950.09(B)(2) and (3) required the court to weigh listed factors to “determine by
clear and convincing evidence whether the offender is a sexual predator.” See
146 Ohio Laws, Part II, 2618-2619. If the court found that the offender was not a
sexual predator, the statute directed it to “specify in the offender’s sentence and
the judgment of conviction * * * that the offender is not a sexual predator.”
Former R.C. 2950.09(E) required the court to specify in its entry whether it had
determined the offender to be a habitual sexual offender. 146 Ohio Laws, Part II,
2624.
        {¶ 73} This statute thus directed the trial court to determine whether an
offender was a sexual predator or a habitual sexual offender; by implication, the
court also determined if an offender was a sexually oriented offender. See State v.
Cook (1998), 83 Ohio St.3d 404, 407, 700 N.E.2d 570 (“A sexually oriented
offender is one who has committed a ‘sexually oriented offense’ as that term is
defined in R.C. 2950.01(D) but who does not fit the description of either habitual
sex offender or sexual predator”).
        {¶ 74} In Bodyke’s case, the trial court’s judgment of conviction reflects
that it “adjudicated” Bodyke to be a sexually oriented offender. Therefore, when
the General Assembly directed the attorney general to reclassify him, it
impermissibly invaded the province of the judiciary by mandating the reopening
of a final judgment and by directing that a judicial function be performed by a
member of the executive branch of government. As we stated in Bartlett v. State
(1905), 73 Ohio St. 54, 58, 75 N.E. 939, “it is well settled that the Legislature
cannot annul, reverse, or modify a judgment of a court already rendered * * *.”




                                        24
                                January Term, 2010




See also Gompf v. Wolfinger (1902), 67 Ohio St. 144, 65 N.E. 878, paragraph
three of the syllabus (“A judgment which is final by the laws existing when it is
rendered cannot constitutionally be made subject to review by a statute
subsequently enacted * * *”).
       {¶ 75} Accordingly, I concur with the lead opinion’s holding that S.B. 10
is unconstitutional in that it requires the attorney general, a member of the
executive branch of government, to reclassify sex offenders who had previously
been adjudicated and classified pursuant to a final order of a court.
                                   Stare Decisis
       {¶ 76} I dissent from the lead opinion, however, regarding its statements
about the inapplicability of the doctrine of stare decisis to constitutional claims.
The lead opinion in doing so reaches to decide a question that does not need to be
resolved at this time.
       {¶ 77} Initially, it should be noted that neither party has specifically
asserted or briefed the issue of what role stare decisis should play in ruling on
constitutional questions. We therefore should not raise this question on our own
initiative, because as we explained in Sizemore v. Smith (1983), 6 Ohio St.3d 330,
333, 6 OBR 387, 453 N.E.2d 632, fn. 2, “[i]t has long been the policy of this court
not to address issues not raised by the parties. * * * This court should be hesitant
to decide such matters for the reason that justice is far better served when it has
the benefit of briefing, arguing, and lower court consideration before making a
final determination.”
       {¶ 78} “The premise of our adversarial system is that appellate courts do
not sit as self-directed boards of legal inquiry and research, but [preside]
essentially as arbiters of legal questions presented and argued by the parties
before them.”      Carducci v. Regan (C.A.D.C.1983), 714 F.2d 171, 177.
Proceeding to decide an issue not briefed by the parties creates “ ‘the risk “of an
improvident or ill-advised opinion, given [the court's] dependence * * * on the



                                         25
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adversarial process for sharpening the issues for decision.” ’ ” Carbino v. West
(C.A.Fed.1999), 168 F.3d 32, 35, quoting Headrick v. Rockwell Internatl. Corp.
(C.A.10, 1994), 24 F.3d 1272, 1278, quoting Herbert v. Natl. Academy of
Sciences (C.A.D.C.1992), 974 F.2d 192, 196.
       {¶ 79} As the lead opinion admits, we have not before had an opportunity
to consider the constitutionality of the reclassification provisions of S.B. 10.
Thus, the lead opinion’s discussion of the role of stare decisis in constitutional
interpretation is unnecessary to reach its holding that these reclassification
provisions violate the separation-of-powers doctrine.
       {¶ 80} We usually decline to rule on questions that are not necessary to a
proper disposition of a case. This restriction exists because “[a] hallmark of
judicial restraint is to rule only on those cases that present an actual controversy.
To do otherwise – to simply answer a hypothetical question merely for the sake of
answering it – would make this court nothing more than an advisory board.”
Ahmad v. AK Steel Corp., 119 Ohio St.3d 1210, 2008-Ohio-4082, 893 N.E.2d
1287, ¶ 3 (O’Connor, J., concurring). See also Fortner v. Thomas (1970), 22 Ohio
St.2d 13, 14, 51 O.O.2d 35, 257 N.E.2d 371 (“It has been long and well
established that it is the duty of every judicial tribunal to decide actual
controversies between parties legitimately affected by specific facts and to render
judgments which can be carried into effect”).
       {¶ 81} Here, there is no actual controversy between the parties over how
the doctrine of stare decisis should apply when the meaning of the Constitution is
at issue, and any attempt to unnecessarily decide that question in this case
contravenes well-settled law that this court will not issue advisory opinions. State
ex rel. White v. Kilbane Koch, 96 Ohio St.3d 395, 2002-Ohio-4848, 775 N.E.2d
508, ¶ 18, citing State ex rel. Baldzicki v. Cuyahoga Cty. Bd. of Elections (2000),
90 Ohio St.3d 238, 242, 736 N.E.2d 893, and Egan v. Natl. Distillers & Chem.
Corp. (1986), 25 Ohio St.3d 176, 25 OBR 243, 495 N.E.2d 904, syllabus.




                                         26
                               January Term, 2010




       {¶ 82} To compound the problem, the lead opinion goes too far in
concluding that the doctrine of stare decisis is inapplicable to constitutional
claims. We previously stated in Rocky River v. State Emp. Relations Bd. (1989),
43 Ohio St.3d 1, 5, 539 N.E.2d 103, that stare decisis “does not apply with the
same force and effect when constitutional interpretation is at issue.” (Emphasis
added.) But stating that stare decisis applies with less force is a far cry from the
proposition that it is wholly inapplicable, and it is telling that the lead opinion
musters no direct authority for this overbroad holding.
       {¶ 83} Fidelity to precedent is “vital to the proper exercise of the judicial
function * * * [and] ‘is the preferred course because it promotes the evenhanded,
predictable, and consistent development of legal principles, fosters reliance on
judicial decisions, and contributes to the actual and perceived integrity of the
judicial process.’ ” Citizens United v. Fed. Election Comm. (2010), ___ U.S. ___,
130 S.Ct. 876, 920, ___ L.Ed.2d ___, quoting Payne v. Tennessee (1991), 501
U.S. 808, 827, 111 S.Ct. 2597, 115 L.Ed.2d 720.
       {¶ 84} Thus, as the Supreme Court of the United States has
acknowledged, “ ‘even in constitutional cases, the doctrine [of stare decisis]
carries such persuasive force that we have always required a departure from
precedent to be supported by some “special justification.” ’ ” Dickerson v. United
States (2000), 530 U.S. 428, 443, 120 S.Ct. 2326, 147 L.Ed.2d 405, quoting
United States v. Internatl. Business Machines Corp. (1996), 517 U.S. 843, 856,
116 S.Ct. 1793, 135 L.Ed.2d 124, quoting Payne at 842 (Souter, J., concurring).
See also Citizens United, ___ U.S. at ___, 130 S.Ct. at 921, ___ L.Ed.2d ___ (“It
follows that in the unusual circumstance when fidelity to any particular precedent
does more to damage this constitutional ideal than to advance it, we must be more
willing to depart from that precedent”).
       {¶ 85} Moreover, while the lead opinion asserts that the tripartite test for
departing from precedent that we adopted in Westfield Ins. Co. v. Galatis, 100



                                           27
                            SUPREME COURT OF OHIO




Ohio St.3d 216, 2003-Ohio-5849, 797 N.E.2d 1256, has no application to
constitutional questions, the court in Galatis specifically recognized that “the
United States Supreme Court utilized a similar trifold stare decisis test in
Lawrence v. Texas (2003), 539 U.S. 558, [574-578] 123 S.Ct. 2472, 2482-2483,
156 L.Ed.2d 508.” Galatis at ¶ 48, fn. 5. Lawrence involved the question
whether to overrule Bowers v. Hardwick (1986), 478 U.S. 186, 106 S.Ct. 2841, 92
L.Ed.2d 140, on the question whether the constitution permits prosecution for
private acts of homosexual sex. Further, the Supreme Court of the United States
in Lawrence derived the test from Planned Parenthood of Southeastern
Pennsylvania v. Casey (1992), 505 U.S. 833, 855, 112 S.Ct. 2791, 120 L.Ed.2d
674, which itself dealt with the question whether to overrule Roe v. Wade (1973),
410 U.S. 113, 93 S.Ct. 705, 35 L.Ed.2d 147, on a question of constitutional
interpretation.
       {¶ 86} My point is not to plot the precise boundaries of the application of
stare decisis to constitutional questions – that issue is not before the court.
Rather, I only emphasize that it is by no means clear that the doctrine of stare
decisis and the Galatis test are wholly inapplicable to cases involving
constitutional issues.   We should await a case presenting concrete facts and
parties actively litigating and properly briefing the question, which may reveal
additional arguments for retaining or modifying the Galatis framework in cases of
constitutional import.
       {¶ 87} Lastly, it is ironic that the lead opinion’s statement on the binding
power of precedent is itself obiter dictum that compels no obedience. A court is
not bound to follow its own dicta from a prior case in which the point at issue
“was not fully debated.” Cent. Virginia Community College v. Katz (2006), 546
U.S. 356, 363, 126 S.Ct. 990, 163 L.Ed.2d 945; see also Cosgrove v.
Williamsburg of Cincinnati Mgt. Co., Inc. (1994), 70 Ohio St.3d 281, 284, 638




                                        28
                                   January Term, 2010




N.E.2d 991 (explaining that dicta in a prior case “has no binding effect on this
court's decision in this case”).
        {¶ 88} As Chief Justice Marshall explained long ago in Cohens v. Virginia
(1821), 19 U.S. (6 Wheat.) 264, 399, 5 L.Ed. 257, “It is a maxim not to be
disregarded, that general expressions, in every opinion, are to be taken in
connection with the case in which those expressions are used. If they go beyond
the case, they may be respected, but ought not to control the judgment in a
subsequent suit when the very point is presented for decision.”
        {¶ 89} After all, “[t]he problem with dicta, and a good reason that it
should not have the force of precedent for later cases, is that when a holding is
unnecessary to the outcome of a case, it may be made with less care and
thoroughness than if it were crucial to the outcome.” Bauer v. Garden City
(1987), 163 Mich.App. 562, 571, 414 N.W.2d 891.
        {¶ 90} I am reminded of Chief Justice Roberts’s statement in PDK
Laboratories, Inc. v. United States Drug Enforcement Adm. (C.A.D.C.2004), 362
F.3d 786, 799 (Roberts, J., concurring in part and concurring in the judgment),
where he wrote that the “the cardinal principle of judicial restraint [is that] if it is
not necessary to decide more, it is necessary not to decide more.” In Meyer v.
United Parcel Serv., Inc., 122 Ohio St.3d 104, 2009-Ohio-2463, 909 N.E.2d 106,
¶ 53, we followed this limitation, citing this very quotation.
        {¶ 91} For these reasons, while I agree with the lead opinion that the
reclassification provisions of S.B. 10 violate the doctrine of the separation of
powers, I cannot join the lead opinion’s unnecessary ruminations on the doctrine
of stare decisis. Accordingly, I concur in the judgment that reclassification of
sexual offenders who have previously been classified by members of the judicial
branch of government by the Attorney General of Ohio, a member of the
executive branch of government, violates the separation-of-powers doctrine, but
dissent from the remainder of the opinion.



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                               __________________
       CUPP, J., dissenting.
       {¶ 92} I respectfully dissent.
       {¶ 93} The lead opinion errs, in my view, in holding that the
reclassification sections of 2007 Am.Sub.S.B. No. 10 and the consequent change
in registration and reporting requirements for offenders previously classified
under prior law violate the separation-of-powers doctrine and, therefore, render
new sections R.C. 2950.031 and 2950.032 unenforceable.
       {¶ 94} The lead opinion’s premise is that because a sex-offender
classification under Megan’s Law is included within the defendant’s criminal
judgment (along with the conviction and sentence for the underlying crime) or in
a separate entry (e.g., when the sex-offense conviction predated Megan’s Law),
the classification is a final judgment that the General Assembly may not overturn
or vacate by legislative mandate.
       {¶ 95} It is true that the General Assembly may not overturn a final
judgment at law by legislative mandate. Plaut v. Spendthrift Farm, Inc. (1995),
514 U.S. 211, 115 S.Ct. 1447, 131 L.Ed.2d 328; Gompf v. Wolfinger (1902), 67
Ohio St. 144, 152, 65 N.E. 878. But to characterize S.B. 10 as “reopening” a final
judgment is, I believe, inaccurate. S.B. 10 does not upend the original conviction
and sentence. They remain in place.
       {¶ 96} Instead, S.B. 10 applies a new, different system of sex-offender
classification to the fact of the criminal conviction. What this court said in
describing the then new, different classification system in the amended Megan’s
Law also holds true for S.B. 10. In State v. Ferguson, 120 Ohio St.3d 7, 2008-
Ohio-4824, 896 N.E.2d 110, ¶ 34, we observed that “an offender’s classification
as a sexual predator is a collateral consequence of the offender’s criminal acts
rather than a form of punishment per se.” (Emphasis added.)




                                        30
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       {¶ 97} In this case, the manner in which appellants’ sex-offender
classifications were effected under the prior law does not support the lead
opinion’s conclusion that they constituted a final judicial judgment. The trial
court declared appellant Bodyke to be a “sexually oriented offender,” which was
reflected in his sentencing judgment.        Appellant Phillips was convicted and
sentenced before the effective date of Megan’s Law. After that law went into
effect, the trial court notified Phillips that it would consider whether to classify
him as a sexual predator. No hearing was held in Phillips’s case to determine if
he was a predator, because the state informed the trial court by motion that it did
not seek to classify Phillips as a sexual predator.      Phillips thus remained a
“sexually oriented offender” by virtue of his criminal conviction. See State v.
Hayden, 96 Ohio St.3d 211, 2002-Ohio-4169, 773 N.E.2d 502, ¶ 16. Appellant
Schwab was declared to be a habitual sexual offender without community-
notification requirements, which was memorialized in his sentencing entry. The
sentencing entry for Schwab states that “[t]he Defendant and the State jointly
stipulated that the Defendant is an habitual Sexual Offender.”
       {¶ 98} As this court has noted, under Megan’s Law, conviction of a
sexually oriented offense “automatically conferred on [the offender] the status of
a sexually oriented offender,” and the registration requirement “is mandated by
law.” State v. Hayden, 96 Ohio St.3d 211, 2002-Ohio-4169, 773 N.E.2d 502, ¶
16. In Hayden, we rejected the argument that a sexually oriented offender was
entitled to a hearing to determine his status. As we said in Hayden, in regard to a
sexually oriented offender under Megan’s Law, “ ‘[t]he trial court cannot
“determine” anything. It merely engages in the ministerial act of rubber-stamping
the registration requirement on the offender.’ ” Id. S.B. 10’s classification of sex
offenders into Tiers I, II, and III, operates in the same way—the tiers are
automatically assigned by operation of law based on the crime of which the
offender was convicted and not upon a judicial determination.



                                        31
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       {¶ 99} Thus, for example, reclassification of Bodyke as a Tier III offender
under S.B. 10 did not change a prior judicial determination that Bodyke was a
sexually oriented offender under prior law, because that designation attached as a
matter of law.    Reflecting that designation in the sentencing judgment entry
merely served to give the offender notice of the consequences of his conviction.
See Smith v. Doe (2003), 538 U.S. 84, 96, 123 S.Ct. 1140, 155 L.Ed.2d 164
(“Although other methods of notification [of sex offender registration
requirements] may be available, it is effective to make it part of the plea colloquy
or the judgment of conviction”).
       {¶ 100} The offender’s classification under prior law, which the lead
opinion extols as an inviolate final judgment, instead is in effect a statutorily
mandated notice, involving a matter collateral to the criminal sentence, inserted
by statutory direction into the criminal sentence as a matter of convenience.
       {¶ 101} It is for good reason, then, that nearly all the courts of appeals to
have considered a separation-of-powers challenge like the one the lead opinion
sustains here have rejected such a challenge. See, e.g., Sewell v. State, 181 Ohio
App. 3d 280, 2009-Ohio-872, 908 N.E.2d 995 (1st Dist.); State v. Barker, 2d Dist.
No. 22963, 2009-Ohio-2774; Holcomb v. State, 3d Dist. Nos. 8-08-23 to 8-08-26,
2009-Ohio-782; State v. Randlett, 4th Dist. No. 08CA3046, 2009-Ohio-112; State
v. Byers, 7th Dist. No. 07 CO 39, 2008-Ohio-5051; State v. Ettenger, 11th Dist.
No. 2008-L-054, 2009-Ohio-3525; State v. Williams, 12th Dist. No. CA2008-02-
029, 2008-Ohio-6195. But see Ettenger, ¶ 86-96 (Grendell, J., concurring in
judgment only) (opining that S.B. 10 violates separation of powers by vacating
final judgment orders).
       {¶ 102} Rather than directing courts to reopen prior judicial judgments
and empowering an executive officer to rejudge defendants’ sex-offender
registration, classification, and reporting requirements, S.B. 10 repealed the law
that required the notice of classification and registration to be inserted in the




                                        32
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sentence at sentencing. In the same bill, the General Assembly enacted a new
classification and registration framework to be applied both to future convictions
and (as at issue here) to existing convictions. As a consequence, the notices in the
sentencing entries relate to classifications under the prior law that do not exist in
the current law (e.g., habitual offender, sexual predator), because the underlying
law has been repealed and replaced with another set of classifications (Tiers I, II,
and III) and accompanying requirements.
       {¶ 103} Rather than burden the courts with sifting the hundreds or
thousands of sex offenders to which new and different requirements apply, the
General Assembly assigned that administrative task to an executive officer, the
attorney general. For the reasons explained above, however, this task neither
requires nor permits the attorney general to open, overturn, or otherwise disturb
the final judgments of conviction and sentence of any offender. Finally, S.B. 10
makes the attorney general’s determination subject to an appeal to a trial court by
a reclassified offender to ensure that the reclassification accords with the new law.
       {¶ 104} Thus, the lead opinion misapprehends both the intent and effect of
the reclassification mechanism employed by the General Assembly in S.B. 10.
Because it does not work a legislatively mandated reopening of a final court
decision, for the reasons set out above, it also does not offend the fundamental
purpose and requirements of the separation-of-powers doctrine.
       {¶ 105} I also agree with Justice O’Donnell’s point that the lead opinion’s
disposition of this case on separation-of-powers grounds renders unnecessary any
consideration of the extent to which stare decisis applies to constitutional claims.
Because the lead opinion does not address the constitutional claims raised by
appellants (other than separation of powers), there is no need for the court to
delve into whether stare decisis requires us to reject the constitutional challenges
to S.B. 10 on the authority of State v. Cook (1998), 83 Ohio St.3d 404, 700
N.E.2d 570; State v. Williams (2000), 88 Ohio St.3d 513, 728 N.E.2d 342; and



                                         33
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State v. Ferguson, 120 Ohio St.3d 7, 2008-Ohio-4824, 896 N.E.2d 110. Those
decisions rejected constitutional challenges to Megan’s Law (Cook and Williams)
and the S.B. 5 amendments to that law (Ferguson). Our prior cases upholding
Megan’s Law and its amendments did not address a separation-of-powers issue as
has been presented in this case. Consequently, the lead opinion’s ruling in this
case does not implicate the test for overruling precedent contained in Westfield
Ins. Co. v. Galatis, 100 Ohio St.3d 216, 2003-Ohio-5849, 797 N.E.2d 1256. Nor
does its discussion, which is dicta, settle the issue.
        {¶ 106} Because the lead opinion’s decision does not rule on the
remaining constitutional claims of appellants, I also decline to address them.
                                __________________
        Russell V. Leffler, Huron County Prosecuting Attorney, for appellee.
        Gamso, Helmick & Hoolahan and Jeffrey M. Gamso; and Hiltz,
Wiedemann, Allton & Koch Co., L.P.A., and John D. Allton, for appellants.
        Jones Day, Elizabeth C. Radigan, and Louis A. Chaiten, urging reversal
for amici curiae Iowa Coalition Against Sexual Assault, Association for the
Treatment of Sexual Abusers, Jacob Wetterling Resource Center, Detective
Robert A. Shilling, California Coalition Against Sexual Assault, Texas
Association Against Sexual Assault, and National Alliance to End Sexual
Violence.
        Robert L. Tobik, Cuyahoga County Public Defender, and John T. Martin
and Cullen Sweeney, Assistant Public Defenders, urging reversal for amicus
curiae Cuyahoga County Public Defender.
        Ian N. Friedman & Assoc., L.L.C., and Ian N. Friedman, urging reversal
for amicus curiae Ohio Association of Defense Lawyers.
        Timothy Young, Ohio Public Defender, and Kelly K. Curtis and Katherine
A. Szudy, Assistant Public Defenders, urging reversal for amicus curiae Ohio
Public Defender.




                                           34
                              January Term, 2010




       William D. Mason, Cuyahoga County Prosecuting Attorney, and Mary H.
McGrath, Assistant Prosecuting Attorney, urging affirmance for amicus curiae
Cuyahoga County Prosecuting Attorney.
       Ron O’Brien, Franklin County Prosecuting Attorney, and Steven L.
Taylor, Assistant Prosecuting Attorney, urging affirmance for amicus curiae state
of Ohio.
       Richard Cordray, Attorney General, Benjamin C. Mizer, Solicitor General,
Alexandra T. Schimmer, Chief Deputy Solicitor General, David M. Lieberman,
Deputy Solicitor, Christopher P. Conomy, Assistant Solicitor, and James A.
Hogan, urging affirmance for amicus curiae Ohio Attorney General.
                             __________________




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