Lomax v. Sewell

50 S.W.3d 804, 2001 Mo. App. LEXIS 863, 2001 WL 535764
CourtMissouri Court of Appeals
DecidedMay 22, 2001
DocketWD 58636
StatusPublished
Cited by18 cases

This text of 50 S.W.3d 804 (Lomax v. Sewell) is published on Counsel Stack Legal Research, covering Missouri Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Lomax v. Sewell, 50 S.W.3d 804, 2001 Mo. App. LEXIS 863, 2001 WL 535764 (Mo. Ct. App. 2001).

Opinion

BRECKENRIDGE, Judge.

Charles E. Lomax appeals the trial court’s judgment granting Minnie Sewell’s and Jerry P. Strossner’s motions to dismiss his will contest because it failed to state a cause of action and was “barred by the previous action herein.” Before Mr. Lomax filed his petition, separate heirs at law attempted to challenge the validity of the will in question. In prior opinions by the Supreme Court and this court, each of those heirs’ actions was ultimately determined to be barred by the statute of limitations because either the exception to the statute of limitations had not been properly plead, Bosworth v. Sewell, 918 S.W.2d 773, 778 (Mo. banc 1996), or the exception had been abandoned at trial when the heirs failed to request a jury instruction on the issue, Lomax v. Sewell, 1 S.W.3d 548, 554 (Mo.App.1999).

On appeal, Mr. Lomax argues that the trial court erred in dismissing his cause of action because there has been no final judgment establishing the validity of the will in question. Second, he claims that his action is not barred by the doctrine of res judicata because he is not in privity with the plaintiffs to the prior action. Third, he claims that § 473.083.7, RSMo 1994, 1 only prohibits a second action where there has been a “timely petition” filed. The prior petition, he argues, was judicially determined not to have been timely filed, thus this statutory provision does not apply. Finally, Mr. Lomax argues that the trial court erred because there is no legal or factual basis to impute to him his attorney’s knowledge prior to the time in which the attorney-client relationship began.

Factual and Procedural Background

This case involves Mr. Lomax’s contest of the purported will of George A. Welsh, dated August 25, 1988. A more detailed account of the facts surrounding the execution of this will can be found in Lomax, 1 *807 S.W.Bd at 550. Mr. Welsh died on April 21, 1994. The will in question was admitted to probate on May 4, 1994, An application for letters testamentary was filed May 5, 1994, listing only the names and addresses of the devisees under the will, and not listing the heirs. Statutory notice was mailed only to the devisees listed.

On December 2,1999, Mr. Lomax filed a petition contesting the will of Mr. Welsh, naming as defendants Minnie Sewell, a beneficiary of the will; Jerry Strossner, a beneficiary of the will and personal representative of the will; the estate of Russell Welsh, a beneficiary of the will; and the estate of Raymond Dusenberry, a beneficiary of the will. Mr. Lomax alleged in his petition that he was an heir at law of George A. Welsh under § 474.010(2)(c), and thus was entitled to bring this proceeding. To avoid a defense based upon the statute of limitations, he asserted that he was not properly notified by the personal representative of the admission of the will to probate or the granting of letters testamentary and that he was “otherwise unaware of the opening of an estate.”

Mr. Lomax’s petition included two counts. First, he contested the validity of the entire 1998 will, claiming that it was not the last will and testament of Mr. Welsh because “it was procured by the undue influence and duress exerted upon [Mr.] Welsh by defendant Minnie Sewell, and others acting on her behalf.” He also alleged that Mr. Welsh “was not of sound and disposing mind and memory” at the time this will was executed.

In his second count, Mr. Lomax contested only the residuary clause of the will, which left the remainder and residue of his estate to Ms. Sewell, claiming that it was not part of the last will and testament of Mr. Welsh. Thus, he claimed partial invalidity of the will, based upon the undue influence exerted upon Mr. Welsh by Ms. Sewell and others acting on her behalf. He asserted that Ms. Sewell stood in a confidential relationship with Mr. Welsh, benefited substantially from the will, and was active in procuring the execution of the will.

Subsequently, Ms. Sewell and Mr. Strossner filed motions to dismiss. Mr. Strossner’s motion contained only one sentence that sought dismissal of the matter “for the reason that plaintiffs Petition Contesting Will fails to state a cause of action upon which relief can be granted.” No other explanation or grounds were given. Ms. Sewell asserted four grounds for dismissal. First, she argued that the same grounds and issues set forth in Mr. Lo-max’s petition concerning Mr. Welsh’s 1998 will had been commenced and prosecuted to final judgment in the two prior actions. That judgment, she contended, established that the will in question was valid. Therefore, she argued that Mr. Lo-max’s cause of action was barred by the doctrine of res judicata. Because she asserted that Mr. Lomax was in privity with the plaintiffs in the prior action, she claimed his action was barred by the “final, unappealable judgment” in that case.

Second, she alleged that § 473.083.7, “provides that the issues of intestacy or testacy can only be tried in one in rem action, and upon final judgment thereof no further re-trials of said issues are available.” This argument, too, was based on her allegation that the prior judgment established the validity of the will.

Third, she argued that since Mr. Lomax had “legal notice of the probate proceeding by reason of the knowledge of his attorney who was the same attorney in the prior action, said knowledge of probate being directly imputable to [Mr. Lomax,]” his action was barred by § 473.083.1, as it was filed after the limitations period.

*808 Finally, she contended that while the Supreme Court’s decision in Bosworth v. Sewell, 918 S.W.2d 773, may provide for will contests filed out of time in certain circumstances, it does not authorize successive actions contesting the same will. After hearing arguments on the motions, the trial court entered its judgment on June 2, 2000, sustaining Ms. Sewell’s and Mr. Strossner’s motions to dismiss. This appeal followed.

Standard of Review

Although both Ms. Sewell and Mr. Strossner titled their motions as motions to dismiss and the trial court ruled on them as such, Ms. Sewell referred to a prior action as a basis for her defense of res judicata. She also noted that the mandate issued by this court in that matter was subject to judicial notice by the trial court. While one of her grounds raised a statute of limitations issue, that ground really was couched in terms of res judica-ta, and did not technically assert the statute of limitations defense. Ms. Sewell asserted that Mr. Lomax had notice which invoked the statute of limitations defense, addressed more below, because his attorney participated in the prior action. While Ms. Sewell’s motion raised several grounds for dismissal, all were dependent on her allegation that the prior action, or elements of it, precluded this action. In addressing the merits of Ms. Sewell’s claim that the action was barred by res judicata, the trial court was required to look to the prior judgment. See WEA Crestwood Plaza, L.L.C. v.

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Bluebook (online)
50 S.W.3d 804, 2001 Mo. App. LEXIS 863, 2001 WL 535764, Counsel Stack Legal Research, https://law.counselstack.com/opinion/lomax-v-sewell-moctapp-2001.