In Re The Estate Of Curtis E. Carlson David Wands, D.d.s., Res. v. Dona Seely, D.d.s., App.

CourtCourt of Appeals of Washington
DecidedAugust 5, 2019
Docket77881-1
StatusUnpublished

This text of In Re The Estate Of Curtis E. Carlson David Wands, D.d.s., Res. v. Dona Seely, D.d.s., App. (In Re The Estate Of Curtis E. Carlson David Wands, D.d.s., Res. v. Dona Seely, D.d.s., App.) is published on Counsel Stack Legal Research, covering Court of Appeals of Washington 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 Curtis E. Carlson David Wands, D.d.s., Res. v. Dona Seely, D.d.s., App., (Wash. Ct. App. 2019).

Opinion

IN THE COURT OF APPEALS OF THE STATE OF WASHINGTON

In the Matter of the Estate of ) ) No. 77881-1-1 CURTIS E. CARLSON, ) ) DIVISION ONE Deceased. ) ) ) DAVID WANDS, D.D.S., as Personal ) UNPUBLISHED OPINION Representative of the Separate ) Property Portion of the Estate of ) Curtis E. Carlson, ) ) Respondent, ) ) v. ) ) DONA SEELY, D.D.S., individually ) and as Personal Representative ) of the Community Property Portion of ) the Estate of Curtis E. Carlson, ) ) Appellant. ) FILED: August 5, 2019 ) LEACH, J. — Curtis Carlson died on March 19, 2014. At the time of his

death, he was in the process of dissolving his 32-year marriage to Dona Seely.

On March 13, 2014, he changed his individual retirement account (IRA)

beneficiary to Seely. Seely appeals the trial court's order declaring the

beneficiary change null and void. She challenges the sufficiency of the evidence

to prove that Carlson did not have transactional capacity on March 13 and that No. 77881-1-1/ 2

She exercised undue influence over him. Because clear, cogent, and convincing

evidence supports the trial court's extensive findings, we affirm.

FACTS

Neither party disputes the following findings.1 Carlson had a valid last will

and testament when he died on March 19, 2014, at 71 years old from a terminal

lung disease (idiopathic pulmonary fibrosis). Carlson was diagnosed with

degenerative lung disease years earlier but experienced a rapid decline and

hospitalization in February 2014. At the time of his death, Carlson was in the

process of dissolving his 32-year marriage to Seely. Witnesses described their

dissolution as "adversarial" and their relationship as "strained."

Carlson was an orthodontist and a periodontist. Seely is an orthodontist.

They had separate practices but shared a floor of an office building they owned

together. They had two children together, Eric Carlson and Gina Rowles.

Carlson had one daughter from a prior marriage, Jennifer Theckston.

On February 15, 2014, Carlson was admitted to Overlake Medical Center

after experiencing a worsening of his lung disease. He remained in the hospital

until he was transferred to Evergreen Hospice on March 7, 2014, where he later

died. At the time of Carlson's decline, he was still operating his orthodontia

practice. Seely claims that on March 8, she and Carlson made an oral

1 This court views unchallenged findings of fact as true on appeal. Robel v. Roundup Corp., 148 Wn.2d 35, 42, 59 P.3d 611 (2002). -2- No. 77881-1-1/ 3

agreement that she would treat Carlson's remaining patients in exchange for

Carlson designating her the beneficiary of his IRA worth approximately $250,000

pretax. Seely treated 140 of Carlson's orthodontic patients. David Wands, the

court-appointed personal representative of Carlson's estate, agrees with Seely

that she is entitled to compensation for these services. She estimates the value

of her services is $270,000.

In December 2013, after Carlson moved out of the house he shared with

Seely, both he and Seely changed the beneficiary designations of their

respective IRAs. Carlson removed Seely as the beneficiary of his IRA and

named his estate as the sole beneficiary. On March 5, 2014, he met with John

Sullivan, his estate attorney, and changed his will to expressly exclude Seely.

On March 13, 2014, Carlson signed a form making Seely the beneficiary of his

IRA. The next day, he signed a form immediately transferring the contents of his

IRA to an account Seely owned.

On March 10, 2017, Wands filed this lawsuit, asking the trial court to find

the March 13, 2014, beneficiary change form and the March 14, 2014, transfer

form null and void. After a four-day bench trial, the trial court concluded that both

documents were null and void because clear, cogent, and convincing evidence

established that Carlson lacked testamentary and transactional capacity on

March 13 and 14, that the estate raised a presumption of undue influence, and

-3- No. 77881-1-1/4

that Seely did not rebut this influence. Seely asked the court to reconsider its

decision. The court granted this request in part, denied it in part, and issued

amended findings and conclusions with minor revisions. Seely appeals.

STANDARD OF REVIEW

Whether a person had the capacity to make a will or to contract is an issue

of fact.2 Whether an individual exercised undue influence over another is also a

question of fact.3 A party asserting lack of capacity to make a will or undue

influence must prove this claim by clear, cogent, and convincing evidence.4 On

appeal, this court determines whether substantial evidence supports a finding of

lack of capacity or undue influence in light of the "'highly probable' test."5

"Evidence which is 'substantial' to support a preponderance may not be sufficient

2 In re Estate of Kessler, 95 Wn. App. 358, 373 n.28, 977 P.2d 591 (1999); Page v. Prudential Life Ins. Co. of Am., 12 Wn.2d 101, 109, 120 P.2d 527(1942). Seely contends that whether Carlson had testamentary capacity is a question of law reviewed de novo. She relies on In re Estate of Alsup, 181 Wn. App. 856, 869, 327 P.3d 1266 (2014), in which Division Three of this court stated that whether the appointment of a full guardian automatically divested Alsup of the right to make a will was a question of law reviewed de novo. But it also held, "Further proceedings are required to determine the factual issue of whether Mr. Alsup possessed testamentary capacity at the time he executed the 2001 will." The court thus defined the issue of testamentary capacity as a factual issue. Alsup, 181 Wn. App. at 874. 3 In re Trust & Estate of Melter, 167 Wn. App. 285, 301, 273 P.3d 991 (2012). 4 Johnson v. Perry, 20 Wn. App. 696, 703, 582 P.2d 886 (1978); Melter, 167 Wn. App. at 301. 5 Melter, 167 Wn. App. at 301 (quoting In re Welfare of Sego, 82 Wn.2d 736, 739, 513 P.2d 831 (1973)). -4- No. 77881-1-1 /5

to support the clear, cogent, and convincing requirements."6 But a reviewing

court may not reweigh the evidence or reassess the credibility of the witnesses.7

This court reviews de novo whether the trial court's conclusions of law flow

from its findings.8

ANALYSIS

Carlson Lacked Transactional Capacity on March 8 and March 13, 2014

First, Seely contends that the estate did not present clear, cogent, and

convincing evidence proving that Carlson lacked testamentary and transactional

capacity on March 8 to agree orally to change his IRA beneficiary and on March

13 to sign the beneficiary change form. We disagree.

To void a transaction for lack of capacity, a party must show the signer

"'was of unsound mind or insane when [he] made [the contract and] this

unsoundness or insanity was of such a character that he had no reasonable

perception or understanding of the nature and terms of the contract."9 A signer

must "possess sufficient mind or reason to enable him to comprehend the nature,

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