Lead Opinion
{¶ 1} The issue presented in this appeal concerns whether a trial court, while empaneling a jury, may exercise discretion to deny a statutory challenge that the legislature has stated constitutes good cause to excuse a prospective juror. Upon review, we conclude that the statutory challenges for cause catalogued in R.C. 2313.42(A) through (I) consist of objectively verifiable facts and conclusions, which, if found valid by the court, require the court to excuse the prospective juror and thereby preclude the exercise of judicial discretion to seat that prospective juror. R.C. 2313.42(J), however, requires the court to make a subjective determination about a potential juror’s fairness and impartiality and therefore requires the exercise of judicial discretion. See Berk v. Matthews (1990),
{¶ 3} In 1984, appellant, Anne Hall, began working as a government- and community-relations representative for appellee Bank One and various other Bank One entities, and after a merger in 1998, she became director of the Government Relations Group. However, in March 2000, Gerald Buldak, senior vice president and head of corporate and community affairs for the bank, informed Hall, then age 47, at a meeting in Chicago that the company had eliminated her position and that Barbara Stewart, a woman whom Hall had hired, would assume leadership of the bank’s Government Relations Group. At that time, Stewart was under the age of 40.
{¶ 4} Contending that Bank One had discriminated against her both during her employment and in terminating her, Hall filed this action asserting claims of age and sex discrimination and a separate claim of retaliation in violation of R.C. 4112.02. She alleged in her complaint that unlike her predecessor, a male who had reported directly to the chairman of the corporation regarding the Government Relations Group, she was required to report instead to a vice president, effectively depriving her of authority. She also claimed that following her termination, she had been “pretextually replaced by a significantly younger female employee” who lacked experience in banking, governmental relations work outside Illinois, and corporate political-action programs. Finally, she alleged that Bank One retaliated against her after she enlisted the services of an attorney to act on her behalf while still employed with the bank. The trial court granted summary judgment in favor of the bank on Hall’s age and retaliation claims and scheduled the sex-discrimination claim for trial.
{¶ 5} During voir dire at the trial of the sex-discrimination claim, Hall challenged a prospective juror, Michael Stein, because he acknowledged that he had two sons, both of whom worked for Bank One at the time of trial. Specifically, he indicated that his son Jason worked in Bank One’s computer department and that his son John worked as a manager for the Sunbury branch office near Columbus. Further questioning revealed that Stein’s daughter had also been employed at Bank One but that the company had terminated her position. Stein maintained that he felt no loyalty to Bank One despite the fact that his sons worked for the bank, and he indicated that neither he nor his daughter faulted the company for her termination, which he characterized as “a business decision” necessitated by “the economy that we’re all living in right now.”
{If 6} Hall’s challenge to Stein’s qualifications to serve on this jury comported with R.C. 2313.42(E), precluding jury service of a parent whose children are employed by a party. Hall contended that Stein, because the bank employed his
{¶ 7} The court of appeals affirmed the judgment on the sex-discrimination verdict in favor of Bank One, the trial court’s decision to deny the challenge to Stein’s qualifications, and the summary judgment entered in favor of the bank on the retaliation claim. The court, however, reversed the summary judgment in favor of Bank One on Hall’s age-discrimination claim and remanded that matter to the trial court.
{¶ 8} We granted discretionary review in this case to consider only the narrow issue regarding a trial court’s authority to exercise discretion to seat a prospective juror who is otherwise disqualified by statute from serving on a jury.
{¶ 9} R.C. 2313.42 provides in its entirety:
{¶ 10} “Any person called as a juror for the trial of any cause shall be examined under oath or upon affirmation as to his qualifications. A person is qualified to serve as a juror if he is an elector of the county and has been certified by the board of elections pursuant to section 2313.06 of the Revised Code. A person also is qualified to serve as a juror if he is eighteen years of age or older, is a resident of the county, would be an elector if he were registered to vote, regardless of whether he actually is registered to vote, and has been certified by the registrar of motor vehicles pursuant to section 2313.06 of the Revised Code or otherwise as having a valid and current driver’s or commercial driver’s license.
{¶ 11} “The following are good causes for challenge to any person called as a juror:
{¶ 12} “(A) That he has been convicted of a crime which by law renders him disqualified to serve on a jury;
{¶ 13} “(B) That he has an interest in the cause;
{¶ 14} “(C) That he has an action pending between him and either party;
{¶ 15} “(D) That he formerly was a juror in the same cause;
{¶ 16} “(E) That he is the employer, the employee, or the spouse, parent, son, or daughter of the employer or employee, counselor, agent, steward, or attorney of either party;
{¶ 17} “(F) That he is subpoenaed in good faith as a witness in the cause;
{¶ 18} “(G) That he is akin by consanguinity or affinity within the fourth degree, to either party, or to the attorney of either party;
{¶ 19} “(H) That he or his spouse, parent, son, or daughter is a party to another action then pending in any court in which an attorney in the cause then on trial is an attorney, either for or against him;
{¶ 21} “(J) That he discloses by his answers that he cannot be a fair and impartial juror or will not follow the law as given to him by the court.
{¶ 22} “Each challenge listed in this section shall be considered as a principal challenge, and its validity tried by the court.”
{¶ 23} This case presents an opportunity for this court to interpret the language of this statute specifically with respect to the statutory challenge asserted by Hall to excuse Stein from serving on the jury because his sons both worked for Bank One, a party to the case.
{¶ 24} In interpreting a statute, we are bound by the language enacted by the General Assembly, and it is our duty to give effect to the words used in a statute. State v. White,
{¶ 25} The essence of Hall’s position is that the statute charges the trial court with the responsibility to try the validity of each principal challenge, and Hall further claims that the trial court does not have discretion to seat a prospective juror who is otherwise disqualified from service, because the statute expressly states, “The following are good causes for challenge to any person called as a juror.” (Emphasis added.) R.C. 2313.42.
{¶ 26} By contrast, Bank One, relying in part on our decision in Berk v. Matthews (1990),
{¶ 27} Thus, the issue for clarification in this case concerns the responsibility of a trial judge when entertaining a challenge to a prospective juror during voir dire.
{¶ 28} At common law, jurors could be challenged propter affectum “because some circumstance, such as kinship with a party, rendered] the potential juror incompetent to serve in the particular case.” Black’s Law Dictionary (8th Ed.2004) 245. Challenges propter affectum took two forms: principal challenges and challenges to the favor. 2 Blackstone, Commentaries on the Laws of England, *363. A principal challenge is one “where the cause assigned carries with it prima facie evident marks of suspicion either of malice or favor * * *, which, if true, cannot be overruled, for jurors must be omni exceptione majores ”
{¶ 29} In contrast to principal challenges, challenges to the favor permit a party to assert a challenge for cause when no principal challenge exists, but when the party “objects only some probable circumstances of suspicion, as acquaintance and the like.” Id. When a party asserted a challenge to the favor, Blackstone indicates, triors — “two indifferent persons named by the court” for the purpose of determining whether a potential juror can be impartial — would then decide whether to seat the juror.
{¶ 30} Though the law has evolved since the time of Blackstone, we have repeatedly acknowledged the distinction between principal challenges and challenges to the favor during voir dire. In Dew v. McDivitt (1876),
{¶ 31} We again distinguished between these two forms of challenges in Lingafelter v. Moore (1917),
{¶ 32} The United States Supreme Court confronted a similar issue in United States v. Wood (1936),
{¶ 33} The nature of principal challenges and challenges to the favor is well entrenched in Ohio jurisprudence. Pursuant to R.C. 2313.42(A) through (I), when the trial court tries the validity of a principal challenge and finds facts supporting the challenge to be valid, the result is absolute disqualification. And this disqualification deprives the trial court of any ability to rehabilitate the potential juror. See Dew,
{¶ 34} In this case, we are concerned specifically with R.C. 2313.42(E), a principal challenge, which may be asserted against a potential juror if that person is “the employer, the employee, or the spouse, parent, son, or daughter of the employer or employee, counselor, agent, steward, or attorney of either party.” It is uncontested in this case that the prospective juror, Michael Stein, had two sons, both of whom worked for Bank One, a party to this action. Inasmuch as the statute requires the court to try the validity of a challenge, the court’s determination is confined to its assessment of the truth of the challenge based on the testimony adduced during the examination of the prospective juror; the statute does not authorize the court to exercise discretion or to independently assess the impartiality of the juror. Nor does our holding in Berk permit the court to do so, as our syllabus confined that holding to R.C. 2313.42(J).
{¶ 35} Moreover, adopting the position advocated by Bank One would render the entirety of R.C. 2313.42 superfluous. R.C. 2313.42(A) lists ten specific principal challenges, including many that existed at common law, and it further states that they “are good causes for challenge.” (Emphasis added.) If the legislature had intended a trial court to exercise discretion with respect to these specific challenges, it could have omitted the word “good” or it could have provided for the exercise of judicial discretion, but it did not do so. We cannot add words to a statute to conform it to a meaning not intended by the General Assembly. White,
{¶ 36} The principal challenges to prospective jurors incorporated into R.C. 2313.42(A) through (I), which are tried to the court, establish a conclusive presumption of disqualification if found valid, in conformity with longstanding judicial precedent, and require the court to dismiss the prospective juror, not to rehabilitate or exercise discretion to seat the prospective juror upon the prospective juror’s pledge of fairness despite the disqualification.
{¶ 37} The legislature’s incorporation of Division (J) into R.C. 2313.42 appears to be misplaced because that challenge was not part of the common law, nor was it included in an earlier version of this statute, G.C. 11437. See, e.g., State v. Ellis (1918),
{¶ 38} Regardless of placement by the General Assembly, we are convinced, as we explained in Berk, that Division (J) allows the exercise of discretion by the court, as reflected in the syllabus of Berk, which specifically confines its holding to a challenge made pursuant to R.C. 2313.42(J); the remaining divisions of R.C. 2313.42(A) through (I) do not permit the exercise of discretion.
{¶ 39} For the foregoing reasons, the judgment of the court of appeals is reversed, and the matter is remanded for further proceedings.
Judgment reversed and cause remanded.
Dissenting Opinion
dissenting.
{¶ 40} Until now, R.C. 2313.42, the statute listing “good causes for challenge,” has been read to allow a trial court discretion to determine whether a juror may be seated when a principal challenge is made. Berk v. Matthews (1990),
{¶ 41} In my view, the seminal case is Maddex v. Columber (1926),
{¶ 42} The Tenth District correctly recognized that “a principal challenge for cause does not deprive a trial court of discretion to determine whether to disqualify a prospective juror, where the prospective juror expresses himself as able to render a fair and impartial verdict on the evidence and under the law.” Hall v. Banc One Mgmt. Corp., Franklin App. No. 04AP-905,
{¶ 43} Based on a reading of ancient history, fascinating but irrelevant to modern voir dire, the majority retreats from the idea that a trial court may rehabilitate a potential juror upon questioning, and artificially limits the court’s discretion, to R.C. 2313.42(J) alone. Although subsections (A) through (I) specify situations in which bias may be presumed as a matter of law, R.C. 2313.42 concludes: “Bach challenge listed in this section shall be considered as a principal challenge, and its validity tried by the court.” (Emphasis added.) At least four district courts of appeals have applied the court’s exercise of discretion to the entire statute, allowing for rehabilitation if a challenge for cause is made. Bayne v. Jenison, Stark App. No. 2004CA00236,
{¶ 44} Although purporting to rest on the words of the statute, the majority opinion argues that the first nine categories are “objective” and the last, subsection (J), is “subjective” and “appears to be misplaced.”
{¶ 45} I respectfully dissent and would affirm the judgment of the court of appeals.
Notes
. {¶ a} G.C. 11437 provided:
{¶ b} “The following shall be good causes for challenge to any person called as a juror for the trial of any cause:
{¶ c} “1. That he has been convicted of a crime which by law renders him disqualified to serve on a jury;
{¶ d} “2. That he has an interest in the cause;
{¶ e} “3. That he has an action pending between him and either party;
{¶ f} “4. That he formerly was juror in the same cause;
{¶ g} “5. That he is the employer, employe, counselor, agent, steward, or attorney of either party;
{¶ h} “6. That he is subpoenaed in good faith as a witness in the cause;
{¶ i} “7. That he is akin by consanguinity or affinity within the fourth degree, to either party, or to his attorney;
{¶ j} “8. That he is a party to another action then pending in any court, in which an attorney in the cause then on trial is an attorney, either for or against him;
{¶ k} “9. That he, not being a regular juror of the term, has served once already as a talesman in the trial of any cause, in any court of record in the county within the preceding twelve months; and in any of such cases each shall be considered as a principal challenge, and its validity tried by the court.” See, also, State v. Ellis (1918),
. To the contrary, the addition of (J) to R.C. 2313.42 strengthens the idea that the court’s discretion is to apply throughout the entire statute. Another statute authorizes challenges based solely on the
