Brown v. Brown

1955 OK 240, 287 P.2d 913, 1955 Okla. LEXIS 499
CourtSupreme Court of Oklahoma
DecidedSeptember 20, 1955
Docket36567
StatusPublished
Cited by7 cases

This text of 1955 OK 240 (Brown v. Brown) is published on Counsel Stack Legal Research, covering Supreme Court of Oklahoma primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Brown v. Brown, 1955 OK 240, 287 P.2d 913, 1955 Okla. LEXIS 499 (Okla. 1955).

Opinion

BLACKBIRD, Justice.

This appeal concerns a will contest. It is between the testator’s widow, Verna, whom he married within a year after the death, in 1940, of his first wife, Pearl, opposed by the children of his deceased son, Melville, two other living sons, and a daughter, all by his marriage to the first wife. He was 72 when he married Verna and had no children by her. His will, executed June 25, 1947, almost five years before his death, left to Verna all of his estate, consisting of his ranch home and other-rural property near Skiatook, Oklahoma, except bequests of $1.00 each to the above-named heirs by his first marriage.

The, latter’s contest of the will was upon the grounds of the testator’s alleged testamentary incapacity and Verna’s alleged undue influence over him. The county court, after a general finding upholding said contestants’ position, denied admission of the will to probate, but, upon appeal by ‘the widow ánd trial de novo in the district court, the latter reversed the county court and held the will valid, after specifically finding that, by a preponderance of the evidence, the testator, at the time of his execution of the will, was fully competent and not acting under undue influence on the part of his wife. From said judgment, contestants, as plaintiffs in error, have perfected the present appeal. Our further reference to them, and to the widow, will be by the designations of “Contestants” and “Proponent.”

In their briefs, contestants set forth no specific propositions or assignments of error, but their argument, as a whole, is to the general effect that the judgment of the district court (hereinafter referred to as the “trial court”) is not in accord with the law nor the evidence. Their counsel, apparently realizing that the direct evidence preponderates neither toward testamentary incapacity nor undue influence, fabricate their argument principally from circumstances. One bit of evidence they cite which might conceivably be called “direct” evidence, however, is a statement contained in a letter introduced as contestants’ Exhibit 40, written by a lawyer who was attempting to impress another law firm with the *915 idea that the testator had done no intentional wrong in the erroneous accounting he had previously filed as administrator of the estate of his first wife, Pearl. The writer of the letter appeared in person at the trial and gave, on proponent’s behalf, somewhat contradictory testimony indicating that the testator was competent during his dealings with him. The letter referred to was introduced after' he had left the witness stand, and insofar as the record shows, he was never queried concerning, nor asked to explain, the statement in said letter. It is doubtful if the trial judge considered that the letter impeached the witness’ testimony, being, as it was, in accord with an abundance of other testimony.

Another bit of direct evidence cited by contestants to support their position is, an affirmative answer made by the proponent’s sister, Mrs. Ericson, who testified concerning the last few months of the testator’s life, after he had suffered a second stroke and had, in 1948, come to her home in Fort Worth, Texas, with proponent to be with Mrs. Ericson and proponent’s aged aunt during the latter’s last illness. The question directed to Mrs. Ericson on cross examination was: “But it is your testimony that he (the testator) was very agreeable with anything that Mrs. Brown had to suggest or offer, and did not raise a fuss?” This testimony does not purport to concern the testator at any time near the date he executed the will in question. The witness’ testimony immediately preceding that question concerned observations she had made about his condition the last few weeks of his life, after, according to her, there had been a change in his mental condition. Her cited answer was not intended to have, nor has it, any substantial probative value on the question of the decedent’s testamentary capacity or competency before he left Oklahoma and began the extended visit in Fort Worth.

In their effort to support their contentions by circumstances, contestants’ counsel point to testimony indicating that after his first stroke during a visit in Kansas in 1941, and especially after his second stroke in 1945, the testator was not the forceful and dominating personality he had been previously, and they portray proponent as a grasping .and designing character who early in her marriage to the testator began trying to get control of his property and contrived to take advantage of certain circumstances to turn him against his children. They rather adroitly attempt to show that under the circumstances, including his paralytic condition, the testator was so thoroughly dependent upon her for his needs that he was in no position to do anything else, and so naturally did subserve his will to hers. Such argument would be convincing, if it was sufficiently supported by bare facts, uncolored, and unclothed with inference as they are portrayed in counsel’s brief.

.The first circumstance represented as “evidence” of the proponent’s plan “to make herself the recipient of everything” the testator owned, was his execution, nearly a year after their marriage and less than a month after his first stroke, of a deed conveying to her an 80-acre tract given the name of “B.rown Acres.” There is no proof in the record that the execution of this deed, contrary to its own recitals, was not the free and voluntary act of the grantor; or that it was not in accord with testator’s wishes, that said deed was placed of record in 1945, after his second stroke. Nor does the testimony of Frank Cochran, a friend upon whom the testator personally called to have the deed drawn, support counsel’s statement that this was proponent’s “first overt act” in her claimed plan “to get his property * * * ”.

In order to lucidly discuss counsel’s claim that a “disturbed condition” of the testator’s mind, in addition to his physical paralysis, facilitated the claimed design of proponent that testator execute what they repeatedly refer to as “an unnatural” will (and which they argue is evidence, in itself, that the testator was irrational) it is necessary to briefly advert to the difficulties testator had in connection with the administration of his first wife’s estate; of which he was appointed executor approximately ten months before his marriage to proponent. He filed no executor’s report or account for the years following his appointment; and, in October, 1946, Mrs. *916 Laura Brown, widow of, the .testator’s son, Melville, on behalf of herself and, children, (contestants herein) took certain action in the Pearl Brown estate proceedings which, ultimately ■ brought„ about the testator's-resignation and his replacement by the testator’s son, George (another of the con-* testants herein) as the legal representative, of the Pearl Brown estate. As a part of the aftermath, of these proceedings, which sought, among other things, to invalidate Pearl’s will leaving all her property to the testator, a .surcharge was entered against the testator and an order issued restraining all further, .disbursements from his and the proponent’s bank accounts.

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Cite This Page — Counsel Stack

Bluebook (online)
1955 OK 240, 287 P.2d 913, 1955 Okla. LEXIS 499, Counsel Stack Legal Research, https://law.counselstack.com/opinion/brown-v-brown-okla-1955.