Kuehn v. Kuehn

104 N.W.2d 138, 11 Wis. 2d 15, 11 Wis. 15, 1960 Wisc. LEXIS 431
CourtWisconsin Supreme Court
DecidedJune 7, 1960
StatusPublished
Cited by47 cases

This text of 104 N.W.2d 138 (Kuehn v. Kuehn) is published on Counsel Stack Legal Research, covering Wisconsin Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Kuehn v. Kuehn, 104 N.W.2d 138, 11 Wis. 2d 15, 11 Wis. 15, 1960 Wisc. LEXIS 431 (Wis. 1960).

Opinion

Hallows, J.

Three issues are presented: 1. Were the findings of the trial court of undue influence contrary to the great weight and clear preponderance of the evidence? 2. Were the findings based upon a misconception of the law relating to the burden and degree of proof? 3. Should a new trial be granted in the interest of justice because of certain incidents occurring during the trial involving the jury, even though the verdict was only advisory?

*20 This case is unusual in that the donor, or transferor, is seeking to recover, whereas in most undue-influence cases involving inter vivos gifts or testamentary gifts recovery is sought by someone other than the donor. However, the same rules of law apply, and have been discussed in many decisions, most recently in Will of Freitag (1960), 9 Wis. (2d) 315, 101 N. W. (2d) 108, Estate of Larsen (1959), 7 Wis. (2d) 263, 96 N. W. (2d) 489, and Estate of Fillar (1960), 10 Wis. (2d) 141, 102 N. W. (2d) 210. As we stated in the Freitag Case, in order to establish undue influence four elements must be proved (p. 317) :

“Stated in capsule form these are: Susceptibility, opportunity to influence, disposition to influence, and coveted result. Stated more completely: 1. A person who is susceptible of being unduly influenced by the person charged with exercising undue influence; 2. the opportunity of the person charged to exercise such influence on the susceptible person to procure the improper favor; 3. a disposition on the part of the party charged, to influence unduly such susceptible person for the purpose of procuring an improper favor either for himself or another; 4. a result caused by, or the effect of such undue influence.”

On appeal this court will not retry the controversy. Its duty is to determine whether the trial court’s findings are so erroneous as to be contrary to the great weight and clear preponderance of the evidence. See Weber v. Kole (1959), 7 Wis. (2d) 107, 95 N. W. (2d) 784, where this court said this principle has been stated in almost every volume of Wisconsin Reports. This requires an examination of the evidence, not to determine whether this court might have reached a different decision, but whether there is sufficient credible evidence to support the findings. The trial court found the four elements or ultimate facts of undue influence were established by clear, convincing, and satisfactory evidence which is a correct statement of the burden of proof in an un *21 due-influence case. Upon examination of the record we are satisfied that none of the essential findings is contrary to the great weight and clear preponderance of the evidence.

Evidence Supporting the Findings of Undue Influence.

The evidence shows that the plaintiff was a person unquestionably susceptible to undue influence. He was approximately sixty-two years of age with an I. Q. of 88 which a psychologist testified was equivalent to that of an average boy of twelve or thirteen years in ability to grasp ideas. He had a quiet, pleasant, trusting personality. He completed only the first year of high school and was not inclined to associate with other people, never married, did not own or drive an automobile, seldom left the farm, and had no business experience. His brother, Herbert, conducted all his business affairs, took care of his checks, investments, and bank accounts and paid his bills, and after Herbert’s death the defendant took over these duties. The defendant claims Elmer is not incompetent, was frugal, a good farmer, and sometimes argued with her about how the farming operations should be carried on. The evidence shows that Elmer did not understand the transactions involved and was susceptible to undue influence, at least in these matters about which he was unfamiliar and by a person whom he trusted.

There is no question Neva had the opportunity to exercise undue influence on Elmer. They lived on the same farm, saw each other almost daily, and Neva handled the business affairs of Elmer. It is not necessary that opportunity be grounded in secrecy or that undue influence should culminate in one act such as often constitutes duress. As stated in Will of Ball (1913), 153 Wis. 27, 35, 141 N. W. 8, in referring to undue influence:

“It is, really, one of the most reprehensible of deceits because of the cunning, insidiousness, and artifices of seduction, *22 which, in general, characterize it and by means of which the unsuspecting victim is rendered powerless to carry out his own wishes . . .”

On the third element of the defendant’s disposition to influence the plaintiff unduly, the evidence is equally strong. Perhaps it was natural for the defendant, even though married in middle age and after approximately five years of married life, to expect to inherit all of her husband’s property. Herbert apparently did not so intend. After the marriage, Herbert transferred his interest in the farm and other personal property to Neva. On his deathbed he made a will leaving all his property to her. But there is no evidence he ever intended to sever the joint tenancy with his brother. The defendant on several occasions told Elmer she was entitled to her husband’s interest in the property-held jointly with Elmer. Perhaps she had a moral right to this property, and there is some testimony she not only claimed she ought to have the property, but told Elmer it was hers. However justified the defendant’s belief, the end does not justify the means. We are concerned with the means employed by the defendant to carry out her admitted belief.

In transferring this property, Neva took- the active and guiding part. She arranged with a banker beforehand for the redemption of the United States bonds and then brought Elmer to the bank. Some $38,000 of Series E bonds were cashed, and Elmer signed an assignment of half of these bonds to the defendant. The receipt which Elmer received for the bonds did not contain this assignment. When the checks for the bonds were received, Neva again took Elmer to the bank where he indorsed the checks in blank. The proceeds were reinvested partly in Series H bonds and partly in two per cent certificates of deposit and as a result Neva received half of the total amount in her own name and the other half jointly with Elmer. Neva not only obtained that which had been *23 her husband’s, but more. Before the trial, Elmer had recovered the property held in joint tenancy with Neva.

In the transaction which took place at the Spring Valley Bank the balance of the savings account which Elmer had acquired from Herbert was withdrawn and used, together with some cash of Neva’s, to buy $4,000 in bonds in Neva’s name only, At the same time, $6,000 was withdrawn from Elmer’s savings account and $6,000 in Series H bonds was obtained jointly in the names of Elmer and Neva. This property was also recovered before the trial, so that the net amount found by the trial court to be recoverable on this item was $169.21. The defendant had an attorney (not the one representing her in the trial or on appeal) prepare assignments for the promissory notes and mortgages.

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Bluebook (online)
104 N.W.2d 138, 11 Wis. 2d 15, 11 Wis. 15, 1960 Wisc. LEXIS 431, Counsel Stack Legal Research, https://law.counselstack.com/opinion/kuehn-v-kuehn-wis-1960.