in Re Verga Estate

CourtMichigan Court of Appeals
DecidedMarch 25, 2021
Docket351145
StatusUnpublished

This text of in Re Verga Estate (in Re Verga 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 Verga Estate, (Mich. Ct. App. 2021).

Opinion

If this opinion indicates that it is “FOR PUBLICATION,” it is subject to revision until final publication in the Michigan Appeals Reports.

STATE OF MICHIGAN

COURT OF APPEALS

In re ESTATE OF JOSEPH VERGA.

LAWRENCE D. VERGA, JR., Personal UNPUBLISHED Representative of the ESTATE OF JOSEPH March 25, 2021 VERGA,

Appellee,

v No. 351145 Huron Probate Court JAMES WASWICK, LC No. 13-039469-DA

Appellant,

and

NANCY GOOD, DOROTHY CLYMER, and MARY MEDICH,

Appellees.

Before: LETICA, P.J., and GLEICHER and O’BRIEN, JJ.

PER CURIAM.

Appellant, James Waswick, proceeding in propria persona, appeals as of right the probate court’s order upholding a 2012 will and power of attorney (POA) and a 2013 deed executed by the deceased, Joseph Verga (JV), Waswick’s uncle. The court also ruled that appellee Lawrence D. Verga, Jr. (LVJ), the personal representative of JV’s estate, did not abuse the POA JV granted to

-1- him.1 And, although the court ordered some corrections to the final estate accounting, it did not accept all of the arguments presented for correction. We affirm.

I. BACKGROUND

In 2006, JV executed a will and POA, ostensibly making LVJ—Waswick’s cousin and one of JV’s nephews—his personal representative and granting LVJ his POA. The will left any remainder of JV’s estate to all his nieces and nephews in equal shares. The name listed on the 2006 documents was “Lawrence R. Verga II,” but LVJ’s legal name is “Lawrence D. Verga, Jr.” On February 16, 2012, a new will and POA were executed, with the only material change being the listing of LVJ’s full and correct legal name. Subsequently, on March 14, 2013, JV signed a ladybird deed granting his home, upon his death, to LVJ.

JV died in June 2013. Waswick, along with some of the other heirs, sought to remove LVJ as the personal representative of JV’s estate, but the probate court denied their request. In a prior appeal, we affirmed the probate court’s decision. In re Estate of Verga, unpublished per curiam opinion of the Court of Appeals, issued October 11, 2018 (Docket Nos. 340980 and 341346).

Subsequently, a bench trial took place during which Waswick and other heirs argued that JV was mentally incompetent, in part, due to Parkinson’s disease, at the time of signing the 2012 will and POA and the 2013 deed. They also argued that LVJ abused the POA by diverting funds and making various errors in settling JV’s estate. The court rejected most of the heirs’ arguments, but ordered some adjustments to the estate’s accounting.

This appeal followed.

II. DISCUSSION

Waswick contends that the probate court made several errors in its rulings.2 We disagree.

1 Waswick, Nancy Good, Dorothy Clymer, and Mary Medich all challenged the will, power of attorney, and deed at issue below. However, only Waswick appealed the probate court’s order. Good, Clymer, and Medich concur in Waswick’s arguments, as interested parties. 2 Because Waswick represents himself, we have a duty to liberally construe his arguments in the interest of justice. See Estelle v Gamble, 429 US 97, 106; 97 S Ct 285; 50 L Ed 2d 251 (1976). Accordingly, we have reordered the fourteen separate issues he raises into appropriate categories. Frankly, our review of some of Waswick’s claims has been complicated by his failure to cite to the record, including to purported quotations from the transcripts. See e.g., MCR 7.212(C)(7) (“Facts stated must be supported by specific page references to the transcript, the pleadings, or other document or paper filed with the trial court. Page references to the transcript, the pleadings, or other document or paper filed with the trial court must also be given to show whether the issue was preserved for appeal by appropriate objection or by other means.”). Moreover, as the appellant in an appeal arising from a probate court estate proceeding, Waswick was responsible for securing the filing of “that portion of the transcript concerning the order appealed from . . . .”

-2- We review for clear error the findings of fact made by a probate court sitting without a jury. In re Estate of Erickson, 202 Mich App 329, 331; 508 NW2d 181 (1993). “The reviewing 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.” Id.

A. COMPETENCY AND RELATED ISSUES

Waswick argues that the probate court should have ruled that JV was incompetent when signing the 2012 will and POA and the 2013 deed. We disagree.

MCL 700.2501(2) provides:

An individual has sufficient mental capacity to make a will if all of the following requirements are met:

(a) The individual has the ability to understand that he or she is providing for the disposition of his or her property after death.

(b) The individual has the ability to know the nature and extent of his or her property.

(c) The individual knows the natural objects of his or her bounty.

(d) The individual has the ability to understand in a reasonable manner the general nature and effect of his or her act in signing the will.

The test for assessing an individual’s competency as to a conveyance of property is “whether at the time he executed the deeds in question he had sufficient mental capacity to understand the business in which he was engaged, to know and understand the extent and value of his property, and how he wanted to dispose of it, and to keep these facts in his mind long enough to plan and effect the conveyances in question without prompting and interference from others.” Wroblewski v Wroblewski, 329 Mich 61, 66; 44 NW2d 869 (1950) (quotation marks omitted). And the test for whether an individual was competent to execute a POA is whether the person was “incapable of understanding the nature and consequences of h[is] actions.” Persinger v Holst, 248 Mich App 499, 509; 639 NW2d 594 (2001).

In this case, on February 12, 2012, Dr. Bhikam Mehta signed a document for JV’s assisted- living facility stating that JV was not able to make financial decisions, and on February 17, 2012, Dr. Ali Khan signed this same document. At first blush, this seems nearly dispositive regarding competency for the February 16, 2012 will and POA signings. However, as an initial matter, we note that, although Dr. Khan had contact with JV, he never treated him; instead, Dr. Khan helped

MCR 7.210(B)(1)(b). To the extent that Waswick has failed to provide a necessary transcript for our review, we must decline to consider the underlying issue presented. See PT Today, Inc v Comm’r of Office of Fin & Ins Servs, 270 Mich App 110, 151-152; 715 NW2d 398 (2006).

-3- Dr. Mehta by reviewing Dr. Mehta’s reports. Dr. Mehta, the treating physician, testified that advanced Parkinson’s disease was progressive and often causes cognitive impairment, but that impairment can be intermittent throughout the day. The incompetency document itself referred to “intermittent confusion.” Dr. Mehta explicitly testified, “Even in a given day, you may be very lucid in the morning.” Dr. Mehta further opined that JV’s incompetence at the time was related, in part, to pneumonia, dehydration, and other conditions. With treatment, JV’s pneumonia improved. In addition, Gerald Prill, the then-attorney, now-judge, who assisted with the signings, testified that before the signings he talked with JV to see if he understood what was happening:

The process was to sit down with him, talk with him just to see overall how he was acting, whether he understood.

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