Bancroft v. Otis

91 Ala. 279
CourtSupreme Court of Alabama
DecidedNovember 15, 1890
StatusPublished
Cited by97 cases

This text of 91 Ala. 279 (Bancroft v. Otis) is published on Counsel Stack Legal Research, covering Supreme Court of Alabama primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Bancroft v. Otis, 91 Ala. 279 (Ala. 1890).

Opinion

McCLELLAN, J.

The present appeal brings under review,. inter aim, certain instructions, thirteen in number, given by the judge below to the jury at the request in writing of the contestants. Of these, the first, second, twelfth and thirteenth state substantially one and the same proposition, and will be considered together. That proposition is, in short, that if, upon [284]*284the contest of a will, it.be shown that confidential relations existed between the proponent, he being also the principal beneficiary, and the testator, the law, without more, indulges the prima facie presumption, that the testament was procured to be executed by him through the exercise of undue influence over the mind of the testator, and puts upon him the onus of rebutting this presumption, by affirmative evidence that the testamentary act was not induced or procured by coercion or fraud on his part.

For giving these instructions, the trial judge had the very highest authority that could have obtained in the premises,— an adjudication of the Supreme Court of Alabama. The point was fairly presented, and directly ruled, in the case of Moore v. Spier, 80 Ala. 129,—an opinion concurred in by the whole court. It appeared in that case that confidential relations, much of the character of those shown here between Bancroft and William Otis, deceased, existed between the proponent and principal devisee, one Spier, and the testatrix. “He was her trusted agent, having the general management of her property and business.” He was related to her. He had by kindness acquired great influence over her. It did not appear that this influence was illegitimate, or that it had been unduly, or at all in fact, exercised in securing the large testamentary provision which she made for him. Yet the court said: “Under the rule laid down by this court in Shipman v. Furniss, 69 Ala. 555, and Waddell v. Lanier, 62 Ala. 347, the burden of proof, in our opinion, was cast on the devisee, to show that the will in question was not superinduced by fraud or undue influence, but was the result of free volition on the part of the testatrix. We need not add anything more here by way of discussion to what is said in these cases, except that this rule as to the burden of -proof is one of public policy, designed to prevent the abuse of certain confidential relationships, and to preserve them free from the taint of an overreaching selfishness.” And following this case, it was said, in Lyons v. Campbell, 88 Ala. 469, that “whenever a confidential relation exists, such as principal and agent, during the life-time of the deceased, continuing to his death, and the agent is a favored legatee under the will, the presumption or inference is that, by improper acts or circumventions — by the exercise of some undue influence — the testator was induced to bestow the gift or legacy contrary to his desire and free-will; and the burden of proof is cast on the legatee to show that the will was the result of his own volition, and not procured by fraud or undue influence.” And somewhat similar language is employed in the case of Daniel v. Hill, 52 Ala. 437, though, when read in [285]*285the connection in which it there occurs, it can probably not be said to sustain the proposition of the charges we are considering, as dicta even. It is at once apparent, therefore, that to I lie imputation of error to the lower court in the instructions referred to, it is essential that one, at least, of the former decisions of this court must be overruled, another limited, and yet another explained. Before reaching such a conclusion, we ought, of course, to be very sure of our footing, not only on authority, but especially on reason and principle; for, if the position taken by this court can find justification and support in logical deduction from recognized legal truths, it should, I apprehend, be sustained, notwithstanding a conservative respect for the adjudged cases of other jurisdictions, and the opinions, of text-writers, might incline us to another result, if the question were a new one in this court.

Recurring, then, to Moore v. Spier, it is to be noted, that the doctrine there announced is made to rest on the cases of Shipman v. Furniss, and Waddell v. Lanier. An examination of those cases discloses that each of them involves a contract, and not a will — -a transaction between living persons,, by which, while both are in esse, one claims some advantage of the other — and not a transaction out of which property is received by one as a gift on the death of the other. Those cases are authority for the doctrine of Moore v. Spier, therefore, only on the assumption, that the same rule in this respect applies to devises, bequests and wills, as obtains in regard to gifts, conveyances and contracts 'inter vivos. The same may be said of that part of-the opinion in Lyons v. Campbell which is quoted above, so far as it is rested on Shipman v. Furniss, and Waddell v. Lanier. And, moreover, it is to be noted that, in Lyons v. Campbell, the decision turned, not upon the existence oí confidential relations alone, but in connection with the further facts, that the proponent was not only active in procuring the will to be written, but gave the directions as toils contents to his own son, who wrote it, and induced its execution by fraudulent misrepresentations as to the value of the residuary estate which was bequeathed and devised to him, so that the language quoted from that case was essentially amere dictum, and gives no additional force to the opinion in Moore v. Spier. Similarly, what is said in Daniel v. Hill, apparently in line with Moore v. Spier, is not so when reference is had to the facts of the case, and when that part of the opinion relied on is read in connection with that which precedes and follows, it. There is no other case in Alabama which, either in the terms of the opinion, or in the matter decided, can be construed or contorted into support of the proposition, that con[286]*286fidential relations alone infect a will with the taint of prima faoie invalidity, and shift the burden of proving that it is the result of the testator’s free agency on the proponent. In other jurisdictions we find but two adjudged cases which in any degree support' that doctrine. One of these is St. Leger's Appeal, 34 Conn. 434, 450, which contains a dictum to the effect, that “ The law presumes undue influence from confidential relations between the testator and principal legatees or devisees, and that the burden is upon them to show by satisfactory proof that such presumed influence did not in fact, or in any degree, induce” the making of the will in their favor. The' other is the case of Meek v. Perry, 36 Miss. 190, in which it was held by a divided court, “ That the principles of law which protect the interests of wards, in transactions with their guardians, extend to wills made by them in favor of their guardian; and hence a testament made by a ward in favor of his guardian will be held void for want of capacity in the ward, unless the legal presumption is rebutted by proof.”

On the ■ other hand, the authorities to the converse of the proposition declared in Moore v. Spier as to wills, and embodied in the charges under consideration, are almost too numerous to be cited. The position taken by them is, that the reasons of the rule which impute undue influence to confidential relations in respect of contracts and transactions inter vivos,

Free access — add to your briefcase to read the full text and ask questions with AI

Related

Brown v. Brown
90 So. 3d 716 (Court of Civil Appeals of Alabama, 2011)
Wilson v. Wehunt
631 So. 2d 991 (Supreme Court of Alabama, 1994)
Chandler v. Chandler
514 So. 2d 1307 (Supreme Court of Alabama, 1987)
Brown ex rel. Kaplan v. Lambdin
1974 OK 155 (Supreme Court of Oklahoma, 1974)
Burke v. Thomas
211 So. 2d 903 (Supreme Court of Alabama, 1968)
Grady v. Wallace
130 So. 2d 21 (Supreme Court of Alabama, 1961)
Claburn v. Mathews
61 So. 2d 83 (Supreme Court of Alabama, 1952)
Shelton v. Gordon
40 So. 2d 95 (Supreme Court of Alabama, 1949)
Kahalley v. Kahalley
28 So. 2d 792 (Supreme Court of Alabama, 1947)
Mindler v. Crocker
18 So. 2d 278 (Supreme Court of Alabama, 1944)
Smith v. Smith
17 So. 2d 400 (Supreme Court of Alabama, 1944)
Dees v. Metts
17 So. 2d 137 (Supreme Court of Alabama, 1944)
Slagle v. Halsey
15 So. 2d 740 (Supreme Court of Alabama, 1944)
In Re: Estate of Aldrich Withington v. Acton
3 So. 2d 856 (Supreme Court of Florida, 1941)
Cook v. Morton
1 So. 2d 890 (Supreme Court of Alabama, 1941)
Gray v. Anderson
1 So. 2d 384 (Supreme Court of Alabama, 1941)
Floyd v. Green
188 So. 867 (Supreme Court of Alabama, 1939)
In Re: Estate of Donne'ly v. Ashby
188 So. 108 (Supreme Court of Florida, 1938)
Estate Clara R. Starr v. Wilson
170 So. 620 (Supreme Court of Florida, 1935)
Kilgore v. Atkinson
149 So. 808 (Supreme Court of Alabama, 1933)

Cite This Page — Counsel Stack

Bluebook (online)
91 Ala. 279, Counsel Stack Legal Research, https://law.counselstack.com/opinion/bancroft-v-otis-ala-1890.