In Re the Estate of Campbell

876 P.2d 212, 19 Kan. App. 2d 795, 1994 Kan. App. LEXIS 60
CourtCourt of Appeals of Kansas
DecidedJune 17, 1994
Docket70,253
StatusPublished
Cited by5 cases

This text of 876 P.2d 212 (In Re the Estate of Campbell) is published on Counsel Stack Legal Research, covering Court of Appeals of Kansas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re the Estate of Campbell, 876 P.2d 212, 19 Kan. App. 2d 795, 1994 Kan. App. LEXIS 60 (kanctapp 1994).

Opinion

Solomon, J.:

Tadd A. Black, executor of the estate of Ruby M. Campbell, deceased, appeals from a decision of the trial court refusing to enforce an in terrorem clause in the decedent’s will dated October 24, 1990. Black contends the trial court should have enforced the in terrorem clause against two of the beneficiaries of decedent’s will, Terry Campbell and Barbara Walters. Black’s contention is based on the conduct of Campbell and Wal *796 ters in challenging the October 24, 1990, will on the gi-ounds that the decedent lacked testamentary capacity and was unduly influenced in the execution thereof, and further on the ground that Campbell and Walters instituted a quiet title action concerning some of the estate property during the course of administration. Based on the specific facts of this case, we affirm.

The facts are undisputed. In January 1990, approximately 11 months prior to her death, Ruby M. Campbell established a voluntary conservatorship and appointed her son, Terry Campbell, as conservator. She died testate on December 12, 1990. On December 13, 1990, Terry and Barbara Walters (decedent’s daughter) offered decedent’s will dated August 19, 1987, for probate. Campbell and Walters were beneficiaries under the will and also were named co-executors. On* December 17, 1990, Tadd A. Black filed an answer and cross-petition for probate of will and issuance of letters testamentary, offering a second will executed by decedent on October 24, 1990. The later will named Black as executor rather than Campbell and Walters. Campbell and Walters were unaware that the later will existed when they filed their petition on December 13, 1990.

On the same day decedent executed the second will, she delivered written instructions to Citizens State Bank of Hugoton and Southwestern Savings & Loan of Hugoton directing them to convert her pay-on-death accounts and joint tenancy accounts to reflect her as the sole owner. Campbell and Walters had an interest in some of these accounts, although they had not contributed funds thereto. Both financial institutions refused to comply with decedent’s request since she was under a conservator-ship. The institutions indicated that they would require a court order authorizing the change of ownership of the accounts.

On January 4, 1991, Campbell and Walters filed a reply to the cross-petition of Black. Their reply challenged decedent’s capacity to make the October 24, 1990, will and further alleged she was unduly influenced in the execution thereof by various family members.

Black was not a beneficiary under either will. Both wills provided that decedent’s estate should be divided among her children, Terry Campbell, Barbara Walters, Harold Campbell, and Yvonne Carlile.

*797 The August 1987 will contained an in terrorem clause which provided that any heir that contested any provision of the will would receive $10 as his or her total inheritance. The October 24, 1990, will contained the following in terrorem clause:

“EIGHTH: Should any person whomsoever, whether named herein or not, object to the probate of this will or any provision thereof, or interfere or attempt to interfere with administration of my estate hereunder, then said person shall take no part or portion of my estate, and any part or portion so withheld shall pass to, vest in, and is hereby given, devised and bequeathed to those devisees not so objecting equally, share and share alike if more than one.”

The will admission/will contest issues were tried to the court on March 20, 1991. On March 29, 1991, the trial court issued a written opinion concluding that the decedent was competent to make her Last Will and Testament dated October 24, 1990. The trial court stated:

“Although she was suffering many medical complications, including malignancy and hardening of the arteries, and was under considerable medication, the test is whether or not she understands the nature and extent of her property and the natural objects of her bounty. Her demeanor, as reflected in the video, at the time of the will indicated some question about her understanding of the full nature of her property, but no doubt about her four children and that she wished them to divide the property evenly. Medical records reflect that she suffered intermittent periods of confusion, and that there was no attempt by her doctor to evaluate her competency on the date of the execution of the will. As an indication of her condition, he replied to a question (page 34) as ‘The only thing I can say to that is at times she was confused, and at times she was as lucid as the four of us,’ (presumably the witness, two lawyers and the court reporter).” •

In concluding that decedent was competent to make her will dated October 24, 1990, the trial court gave considerable weight to the testimony of an acquaintance who had known decedent for 48 years. That witness testified that on the date of the execution of decedent’s will, decedent was, in effect, competent. The trial court concluded that the legal presumption of decedent’s competency was not overcome by the evidence presented by Campbell and Walters. The journal entry reflects the ruling that decedent was not under undue influence when she executed the October 24, 1990, will.

On May 9, 1991, Black, as the appointed éxecutor of the estate of Ruby M. Campbell, moved the court for an order requiring *798 payment of the pay-on-death/joint tenancy accounts at Citizens State Bank and Southwest Savings & Loan to the estate. Campbell and Walters filed a reply objecting to the motion, arguing that since the decedent was under a conservatorship on October 24, 1990, she did not have the legal capacity to request a change of ownership of the accounts; that conservatorship action was necessary to initiate a proper change of ownership of the accounts; and that the accounts were not assets of the estate. On June 10, 1991, Campbell and Walters filed an independent civil action in Stevens County District Court, claiming ownership of the pay-on-death/joint tenancy accounts and requesting quiet title therein. Black, Citizens State Bank, and Southwest Savings & Loan were the named defendants. The financial institutions answered, requesting the court to determine rightful ownership of the accounts. Black also answered, alleging decedent had the legal capacity to make the written request for change of ownership of the accounts on October 24, 1990; that the requested change of ownership was testamentary in nature; and that the funds should be set over to the estate. On April 6, 1992, the district court granted summary judgment in favor of the estate. The district court distinguished the authority relied upon by Campbell and Walters, i.e., In re Estate of Briley, 16 Kan. App. 2d 546, 825 P.2d 1181 (1992), on the ground that the instant case dealt with a voluntary conservatorship for the convenience of the conservatee without a finding of incompetency, whereas Briley dealt with a finding of incompetency. Campbell and Walters appealed the district court’s ruling. The Court of Appeals affirmed the district court’s decision in Campbell v. Black, 17 Kan. App.

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Cite This Page — Counsel Stack

Bluebook (online)
876 P.2d 212, 19 Kan. App. 2d 795, 1994 Kan. App. LEXIS 60, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-the-estate-of-campbell-kanctapp-1994.