In Re Mikeska Estate

362 N.W.2d 906, 140 Mich. App. 116
CourtMichigan Court of Appeals
DecidedJanuary 3, 1985
Docket75529
StatusPublished
Cited by22 cases

This text of 362 N.W.2d 906 (In Re Mikeska Estate) is published on Counsel Stack Legal Research, covering Michigan Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Mikeska Estate, 362 N.W.2d 906, 140 Mich. App. 116 (Mich. Ct. App. 1985).

Opinion

140 Mich. App. 116 (1985)
362 N.W.2d 906

In re MIKESKA ESTATE
PAINTER
v.
MIKESKA

Docket No. 75529.

Michigan Court of Appeals.

Decided January 3, 1985.

Thomas A. Doyle, for appellant.

Smith Bros. Law Office, P.C. (by Robert B. Worthy), for appellees.

Before: DANHOF, C.J., and GRIBBS and R.M. SHUSTER,[*] JJ.

PER CURIAM.

Rose Painter (appellant) appeals as of right from the trial court's order of summary judgment granted pursuant to GCR 1963, 117.2(1) in favor of Tom and John Mikeska, Jr. (appellees) for failure to state a claim upon which relief can be granted, and an order of dismissal granted pursuant to GCR 1963, 504.2 for failure to meet the burden of proof regarding undue influence. The instant dispute involves the will of decedent, John C. Mikeska, Sr., who passed away on November 17, 1982, at the age of 91. He was survived by his daughter, appellant (the contestant of the will), and two sons, appellees (the proponents of the will).

At the time of decedent's death, there were two purported wills in existence. The will dated August 27, 1981, was found in decedent's lock box which he kept at his home and was admitted to probate upon petition of appellees. Also in existence was a will in an envelope dated July 7, 1982, unsigned by witnesses and in the possession of appellant, to whom it was allegedly given for safekeeping.

On January 4, 1983, a hearing was held before *119 the probate court on appellant's petition for court supervision which requested admission of the July 7, 1982, will. At that hearing, the probate judge held that the July 7, 1982, will was invalid on its face inasmuch as there were no witnesses' signatures on it. The court refused to permit any testimony by the witnesses who were allegedly present at the signing of such will, although those persons were available in the courtroom for testimony. The proceedings were changed to supervised proceedings and a nonparty was appointed temporary personal representative.

The court granted summary judgment pursuant to GCR 1963, 117.2(1) on August 4, 1983, on the issue of whether the August 27, 1981, will was revoked by the July 7, 1982, will. This order was premised on the court's earlier determination that the July 7, 1982, will was invalid on its face.

Hearings were then held on appellant's claim that appellees had unduly influenced decedent and fraudulently procured the August 27, 1981, will. The court dismissed these claims, finding that appellant had not met her burden of proof in establishing that decedent reposed trust or confidence in appellees or that they had used compulsion, force or coercion upon decedent in order to make him execute a will which he did not intend to execute.

Appellant argues on appeal that the transcript of the trial court's ruling on the appellees' motion to dismiss clearly shows that the court granted the motion, as to the claim of undue influence, based on the erroneous assumption that appellant was required to establish that decedent reposed trust and confidence in appellees. Appellant asserts that such a showing is not required; the influence must only be such that it overpowers the decedent's free *120 will and prevents him from doing as he desires with his property.

In ruling from the bench on appellees' motion for dismissal, the trial court stated the following concerning the law of undue influence:

"[T]here has to be a showing that the decedent had such trust in the beneficiaries, of the will to such an extent that these beneficiaries, that is the Mikeska brothers, the sons of the decedent could have exerted undue influence with that very stringent definition that I gave. The key word is, there has to be a showing that the decedent reposed trust and confidence in the beneficiaries, and in the terms of undue influence this court deems this to be critical. We have testimony even from contestants [sic] that as opposed to there being a relationship of trust and confidence, even contestant[`s] own testimony and proofs indicated there was a degree of hostility between the decedents [sic] and the sons. There existed a degree of suspiciousness. That there was a[n] argumentative relationship, and even testimony from contestants [sic] tended to show that decedent was stubborn and set in his ways, and therefore not susceptible to improper, undue influence, and for this reason the court finds that the contestant has failed to meet the requisite burden of proof to show that the will should fail due to undue influence. And again, the related issue with the definition of undue influence, as well, I want to indicate that the court has heard no proofs or evidence from which the court can justifiably draw an inference that any parties used such compulsion or force or coercion upon the decedent in order to make him execute a will which he did not intend to do."

"To establish undue influence it must be shown that the grantor was subjected to threats, misrepresentation, undue flattery, fraud, or physical or moral coercion sufficient to overpower volition, destroy free agency and impel the grantor to act against his inclination and free will." Kar v Hogan, *121 399 Mich 529, 537; 251 NW2d 77 (1976). However, there is a presumption of undue influence which attaches to a transaction where the evidence establishes (1) the existence of a confidential or fiduciary relationship between the grantor and a fiduciary, (2) that the fiduciary (or an interest which he represents) benefits from the transaction, and (3) that the fiduciary had an opportunity to influence the grantor's decision in that transaction. Id. The establishment of this presumption creates a "mandatory inference" of undue influence, shifting the burden of going forward with contrary evidence onto the person contesting the claim of undue influence. However, the burden of persuasion remains with the party asserting such. If the defending party fails to present evidence to rebut the presumption, the proponent has satisfied the burden of persuasion. Id., pp 541-542.

In the instant case, the trial court made two findings of fact. The court found, first, that there was no relationship of trust and confidence because of the hostility and suspicion between decedent and his sons. The second finding was that there was no force, coercion or compulsion employed by appellees. While the existence of a relationship of trust is not an element of undue influence, its existence, among other things, is relevant in determining whether a presumption of undue influence arises. Kar, supra. Thus, the lower court's analysis of the issue was not incorrect. If a presumption arises, then the burden shifts. If no such presumption has been established, then it must be determined, aside from the presumption, whether the party asserting undue influence has established such. In either case, the existence of a relationship of trust is a necessary inquiry. See In re Conant Estate, 130 Mich App 493, 498; 343 NW2d 593 (1983).

*122 In the case sub judice, the court's final order makes no mention of any requirement concerning a relationship of trust. Rather, it finds only that decedent was not susceptible to undue influence because of his stubborn nature, suspicion of his own children, and argumentative nature generally with respect to his sons. Thus, we do not believe that the lower court applied an erroneous standard of law.

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Bluebook (online)
362 N.W.2d 906, 140 Mich. App. 116, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-mikeska-estate-michctapp-1985.