Hamilton v. Huntington

58 N.E.2d 349, 223 Ind. 143, 1944 Ind. LEXIS 200
CourtIndiana Supreme Court
DecidedDecember 28, 1944
DocketNo. 28,032.
StatusPublished
Cited by17 cases

This text of 58 N.E.2d 349 (Hamilton v. Huntington) is published on Counsel Stack Legal Research, covering Indiana Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Hamilton v. Huntington, 58 N.E.2d 349, 223 Ind. 143, 1944 Ind. LEXIS 200 (Ind. 1944).

Opinions

Shake, J.

Maude H. Darrach died March 6, 1941, and on March 11 her alleged last will was admitted to probate in Marion County. On the same day the appellant, named as executor in said will, qualified as such and letters testamentary were issued to him by the Probate Court of Marion County. An action to contest the will- was commenced by the appellee on October 7, 1941, and on November 24, 1943, while that suit was pending, they filed a petition for the appointment of a special administrator of the personal estate of said decedent, based upon the sole ground that this was necessary “to fully protect the interests of all concerned,” under § 6-308, Burns’ 1933. There ,was a change of venue as to the issue thus tendered to the Morgan Circuit Court where a demurrer to the petition was overruled and an answer was filed. A trial resulted in a judgment appointing the appellee The Union *146 Trust Company as special administrator and ordering the executor to turn over to it the personal assets of the estate of the decedent. From this judgment and order the executor has prosecuted this appeal.

The appellees’ petition was predicated upon § 1, ch. 2, Acts 1857, the same being § 6-308. Burns’ 1933, and § 3044, Baldwin’s 1934, which reads:

“That when any person shall have died testate, and notice of contest of the will of said testator shall have been given, as required by law, it shall be lawful for the proper court to appoint a special administrator, who shall proceed to collect the debts due said testator, by suit or otherwise, and to sell the personal property of said testator, and also to pay the claims against his estate, in the same manner and under the same regulations as are now required of administrators of intestates, so far as the same may be done consistent with the terms of such will.” (Our italics.)

It is the contention of the appellees that the jurisdiction of the trial court to appoint a special administrator is to be found in the words “and notice of contest of the will shall have been given, as required by law,” which, they say, have reference to the “citation” in an action to contest a will after probate, provided for in § 7-505, Burns’ 1933, §3397, Baldwin’s 1934; and that the words “it shall be lawful,” etc., vested in the trial court a broad discretion to appoint a special administrator under the circumstances of this case. The appellant contends, on the other hand, that the clause first quoted refers to the “objection” which an interested party is authorized, by § 7-503, Burns’ 1933, § 3393, Baldwin’s 1934, to file before a will is admitted to probate, and that the only discretion that is lodged in the trial court in such an instance is that of determining whether there is any necessity for a personal representative before the validity of the pur *147 ported will is determined. The controversy revolves around the meaning of the words, “notice,” “citation,” and “objection,” as used in the statutes referred to above.

Counsel for the parties and amicus curiae have made an exhaustive study of the legislative history of said statutes, but the sum total of this inquiry does not throw much light on the problem before us. This, therefore, appears to be a case for the application of the rule that in ascertaining the legislative intent in the enactment of an ambiguous statute the courts will look to its general purpose and the effect and consequences of the various meanings that might be ascribed to it. State, ex rel. v. Board, etc. (1931), 203 Ind. 23, 178 N. E. 563. Chancellor Kent amplified this rule in the following appropriate language :

“In the exposition of a statute the intention of the lawmaker will prevail over the literal sense of the terms; and its reason and intention will prevail over the strict letter. When words are not explicit, the intention is to be collected from the context; from the occasion and necessity of the law; from the mischief felt and the remedy in view; and the intention should be taken or presumed according to what is consistent with reason and good discretion.” Quoted from 2 Horack’s Sutherland Statutory Construction (3rd Ed.), § 4704.

By way of approach to the subject before us, it will be helpful to keep in mind certain fundamental concepts pertaining to wills and the settlement of de cedents’ estates. The first is that a testator has the right to select the executor of his will and that it is the mandatory duty of the court to appoint the person so named, if he is qualified. Section 6-201, Burns’ 1933, § 3025, Baldwin’s 1934; In re Stahl’s Estate (1943), 113 Ind. App. 29, 44 N. E. (2d) 529; *148 Farmers’, etc., Trust Co. v. Security Trust Co. (1923), 79 Ind. App. 537, 138 N. E. 97. It is likewise true that, all other things being equal, a sole administration of a decedent’s estate is to be preferred to a joint one, and that when corepresentatives of a decedent’s estate are appointed, they are regarded in law as one person. 34 C. J. S., Executors and Administrators, §§ 1041 and 1042. The sound reason that condemns divided responsibility in the administration of a decedent’s estate was noted in Landers, Ex’r. v. Stone, Admrs. (1873), 45 Ind. 404, where it was said:

“If there was an executor, or an administrator with the will annexed, and an administrator, in the same estate, the utmost confusion would result. Against whom, in such a case, would a creditor file his claim? In what manner would distribution be made, and how could advancements be adjusted? Aside from the inconvenience, confusion, and embarrassment resulting from two persons acting in antagonism, the expenses would be so enormous as to consume an ordinary estate.”

We are impressed with the thought that much of what was observed by Judge Buskirk in the above case would be equally pertinent if there should be an executor and a special administrator acting at the same time in the same estate.

The only public policy suggested by the appellees as supporting their construction of the statute is their assertion that the law contemplates that the executor shall play an impartial role in a will contest. They say that this executor is a beneficiary under the will he is defending; that, if permitted to do so, he will administer the personal property of¡1 said estate, and will have charge of books, records,' papers, and documents which might be helpful to the appellees in the prosecution of their contest, and which *149 might be made available to them if a fair, just and equitable special administrator should be appointed. We find no such public policy as that asserted by the appellees. It is the duty of the executor to defend the will. In the discharge of that obligation he is a partisan and the interests he represents are adverse and hostile to those of the contestors. The fact that he is a beneficiary does not disqualify him. When it comes to appointing a personal representative for the estate of a decedent the law favors those who have an interest therein. See § 6-301, Burns’ 1933, § 3030, Baldwin’s 1934.

The construction of the statute suggested by the appellant and amicus curiae

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Bluebook (online)
58 N.E.2d 349, 223 Ind. 143, 1944 Ind. LEXIS 200, Counsel Stack Legal Research, https://law.counselstack.com/opinion/hamilton-v-huntington-ind-1944.