in Re Roach Estate

CourtMichigan Court of Appeals
DecidedNovember 28, 2017
Docket333669
StatusUnpublished

This text of in Re Roach Estate (in Re Roach 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 Roach Estate, (Mich. Ct. App. 2017).

Opinion

STATE OF MICHIGAN

COURT OF APPEALS

In re Estate of PAULINE ROACH.

NORBERT ELWOOD GLOVER, Personal UNPUBLISHED Representative of the Estate of PAULINE November 28, 2017 ROACH, Appellee,

v No. 333669 Washtenaw Probate Court RAVON WILSON, LC No. 15-000479-DE

Appellant.

Before: O’CONNELL, P.J., and MURPHY and K. F. KELLY, JJ.

PER CURIAM.

Following a bench trial on petitioner Ravon Wilson’s petition to set aside the last will of Pauline Roach (the decedent), the probate court found that Wilson had not “met her burden of establishing lack of testamentary intent or capacity, undue influence, fraud, mistake, duress, or revocation.” Wilson appeals as of right. We affirm.

Wilson is the granddaughter of the decedent, and respondent Norbert Elwood Glover is the decedent’s brother and the personal representative of her estate. The decedent died on April 12, 2015, and under the terms of her will, Glover was bequeathed all of decedent’s personal property, subject to any distribution list that the decedent might leave behind, a 25% interest in her real estate, and the entire residue of the estate. Two grandsons and a sister of the decedent were each given a 25% interest in the decedent’s real estate. Nothing was devised to Wilson.

Glover testified that after the decedent’s only child, Wilson’s father, died in 2013, the decedent initiated a conversation with Glover about wishing to redo her existing will ahead of an upcoming surgery. According to Glover, the decedent made her own arrangements with attorney William Winters, who came to the decedent’s house to meet regarding the will. Glover testified that he was at the decedent’s home visiting when Winters arrived, as Glover frequently stopped by to see the decedent, but Glover left at Winters’ request. At a later date, according to Glover, he took the decedent to Winters’ office for the signing of the new will; however, Glover remained in the lobby during the execution of the will. The will called for the distribution of the decedent’s estate as outlined above, and it also appointed Glover as the personal representative.

-1- Upon decedent’s death in April 2015, Glover filed a petition for probate and appointment of a personal representative, along with other probate documents. The petition, while identifying the decedent’s two grandsons, sister, and Glover as interested parties, failed to identify Wilson. Glover also failed to identify Wilson as a grandchild of the decedent in the “testimony [of] interested persons” document, which contained the names of the two grandsons, and which required identification of all the children of the decedent’s children. No notices were sent to Wilson, who was a minor. In June 2015, the probate court entered an order, admitting the will to probate, determining the decedent’s heirs to be her sister, her two grandsons, and Glover, and appointing Glover as personal representative. Letters of authority were issued for Glover, and in August 2015, Glover filed an inventory.

On September 3, 2015, Wilson filed a petition to set aside the will, to remove Glover as personal representative, and to request supervised administration of the estate. Wilson alleged that Glover made false representations in the previously-filed probate documents, given the omissions regarding Wilson’s identity and existence. Wilson further alleged that the will should be set aside on the basis of undue influence exerted by Glover over the decedent, fraud and misrepresentations by Glover, duress, mistake, and the decedent’s lack of the requisite mental capacity to make a will. Wilson asserted that there was undue influence because Glover was in a fiduciary, confidential relationship with the decedent when she executed the will, given the existence of a durable power of attorney held by Glover relative to the decedent’s affairs, Glover had the opportunity to influence the decedent, and because Glover benefited from the will. In Glover’s response to Wilson’s petition, he denied that there was any legal basis to set aside the will, but he did acknowledge that a mistake had been made in not identifying Wilson in the probate documents that he filed, which mistake was being corrected by the filing of amended documents.

Following the denial of a motion for summary disposition filed by Glover, a one-day bench trial was conducted on Wilson’s petition. At the conclusion of the trial, the probate court found that the decedent had been a tough woman who could hold her own, was more than capable of expressing herself, had strong convictions, and was not susceptible to the influences of others, including Glover. The court determined that, even accepting that Glover had been in a fiduciary relationship with the decedent, Wilson failed to show that the decedent was unduly influenced by Glover for purposes of distribution decisions in her will. As stated from the bench and enshrined in an order, the probate court ruled that Wilson had not “met her burden of establishing lack of testamentary intent or capacity, undue influence, fraud, mistake, duress, or revocation.”

On appeal, Wilson argues that the probate court erred in finding inadequate evidence showing that the decedent had been unduly influenced by Glover; Wilson does not resurrect her arguments made below regarding fraud, misrepresentations, duress, mistake, and lack of the requisite mental capacity to make a will, so those matters will not be entertained by this panel.

We review a decision of the probate court on the record. In re Lundy Estate, 291 Mich App 347, 352; 804 NW2d 773 (2011). “This Court reviews the probate court’s factual findings for clear error and its dispositional rulings for an abuse of discretion.” Id. “A finding is clearly erroneous when, although there is evidence to support it, the reviewing court on the entire record is left with a definite and firm conviction that a mistake has been committed.” Christiansen v

-2- Gerrish Twp, 239 Mich App 380, 387; 608 NW2d 83 (2000) (quotation marks omitted). A trial court abuses its discretion when it selects an outcome that falls outside the range of principled outcomes. Woodard v Custer, 476 Mich 545, 557; 719 NW2d 842 (2006). Further, this Court “will defer to the probate court on matters of credibility, and will give broad deference to findings made by the probate court because of its unique vantage point regarding witnesses, their testimony, and other influencing factors not readily available to the reviewing court.” In re Duke Estate, 312 Mich App 574, 581; 887 NW2d 1 (2015) (quotation marks omitted).

“A contestant of a will has the burden of establishing lack of testamentary intent or capacity, undue influence, fraud, duress, mistake, or revocation.” MCL 700.3407(1)(c). In Bill & Dena Brown Trust v Garcia, 312 Mich App 684, 699-701; 880 NW2d 269 (2015), this Court observed:

The party alleging undue influence in the execution of a testamentary instrument must present evidence 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. Proof of motive, opportunity, or even the ability to control the grantor is not sufficient to establish undue influence in the absence of affirmative proof that it was exercised.

***

A presumption of undue influence exists when evidence establishes (1) the existence of a confidential or fiduciary relationship between the grantor and a fiduciary, (2) that the fiduciary or an interest represented by the fiduciary benefits from a transaction, and (3) that the fiduciary had an opportunity to influence the grantor’s decision in the transaction. Even when the presumption arises, the ultimate burden of proving undue influence remains on the party alleging that it occurred.

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Related

Johanna Woodard v. University of Mich Medical Ctr
476 Mich. 545 (Michigan Supreme Court, 2006)
Christiansen v Gerrish Township
608 N.W.2d 83 (Michigan Court of Appeals, 2000)
In Re DUKE ESTATE
887 N.W.2d 1 (Michigan Court of Appeals, 2015)
In re Lundy Estate
804 N.W.2d 773 (Michigan Court of Appeals, 2011)
Bill & Dena Brown Trust v. Garcia
312 Mich. App. 684 (Michigan Court of Appeals, 2015)

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Bluebook (online)
in Re Roach Estate, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-roach-estate-michctapp-2017.