Thomas Estate

327 A.2d 31, 457 Pa. 546, 1974 Pa. LEXIS 871
CourtSupreme Court of Pennsylvania
DecidedOctober 16, 1974
DocketAppeal, No. 105
StatusPublished
Cited by17 cases

This text of 327 A.2d 31 (Thomas Estate) is published on Counsel Stack Legal Research, covering Supreme Court of Pennsylvania primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Thomas Estate, 327 A.2d 31, 457 Pa. 546, 1974 Pa. LEXIS 871 (Pa. 1974).

Opinion

Opinion by

Mr. Chief Justice Jones,

Rebecca B. Thomas, an octogenarian spinster, died on January 12, 1971, leaving a last will and testament dated May 24,1966. Following issuance of letters testamentary on January 28, 1971, Central Penn National Bank, an executor of the estate, filed a statement of proposed distribution and a petition for adjudication [548]*548in accordance with a first accounting with the Court of Common Pleas, Orphans’ Court Division, of Chester County.1

This appeal arises from a decree of that court dismissing objections and exceptions of Wilbur D. Thomas, a nephew of the decedent and a beneficiary under the will, to the adjudication and the statement of proposed distribution, in regard to a determination of title and ownership of funds in a savings account and to shares of common stock of the Philadelphia Electric Company.

Paragraph Eighth of the will,- — the basis of this controversy and entitled “Gift to Wilbur Detweiler Thomas,” — provides: “I give to my nephew, Wilbur Detweiler Thomas, all of the shares of common stock of Delaware Power & Light Company, and Pennsylvania Electric Company, and one-half of the balance of my savings in Malvern Savings and Loan Company, Paoli, Pennsylvania, at my death. If he does not survive me I give such property to his then living issue in equal shares, per stirpes.” Under Paragraph Ninth of the will the residue of the estate is given to decedent’s other nephew, C. Roger Thomas, the present appellee, or to his then living issue in equal shares, per stirpes, had he not survived her.

The record of evidence and testimony before the Orphans’ Court reveals that on the date of her death, Miss Thomas owned 1050 shares of Philadelphia Electric Company common stock and seventy shares of Pennsylvania Electric Company preferred stock, ownership of the latter block not being in issue here. No common stock of the Pennsylvania Electric Company [549]*549was publicly held, and counsel for both parties stipulated that at all times pertinent to this contest no such stock was owned by the decedent. The evidence also reveals that, in regard to the savings account mentioned under Paragraph Eighth of the will, on September 22, 1961, almost three and one-half years following opening of the account in her own name, decedent transferred ownership to herself and appellee, C. Roger Thomas. On April 4, 1966, decedent revoked and cancelled that account and transferred it to herself and appellant, Wilbur D. Thomas. Subsequently, on January 19, 1967, she and the appellant signed a transfer of account and membership to herself and appellee. No new application for membership in a savings account in the Malvern Federal Savings and Loan Association was made thereafter by the newly designated account holders.2

Upon consideration of the evidence, the Orphans’ Court held that the clause in Paragraph Eighth of the will which bequeathed Pennsylvania Electric Company common stock to the appellant constituted a latent ambiguity and was void for uncertainty. It decreed, therefore, that the shares of Philadelphia Electric Company stock owned by the decedent and included in her estate would pass not to appellant under Paragraph Eighth, but rather to appellee under the residuary clause of Paragraph Ninth. The court below further decreed that it lacked jurisdiction to determine title to the savings account. Appellant alleges error in the failure of the Orphans’ Court to adjudicate ownership of the savings account, error in its resolution of a [550]*550simple misdescription of the common stock and error in the allowance of testimony by the appellee in violation of the Dead Man’s Statute, Act of May 23, 1887, P. L. 158, §5(e), 28 P.S. §322, in regard to the stock, the savings account and the decedent’s intent to benefit him.

The initial question at issue in this appeal is whether the Orphans’ Court possessed jurisdiction to adjudicate ownership of and title to the savings account. We recognize that the jurisdiction of Orphans’ Courts in this Commonwealth is entirely of statutory origin. See, e.g., Rogan Estate, 394 Pa. 137, 145 A.2d 530 (1958). Section 711 of the Probate, Estates and Fiduciaries Code of July 1, 1972, 20 Pa.C.S. §711, provides in Subsection (17), entitled “Mandatory exercise of jurisdiction through orphans’ court division in general,” that Orphans’ Courts must entertain and resolve questions concerning: “The adjudication of the title to personal property in the possession of the personal representative, or registered in the name of the decedent or his nominee, or alleged by the personal representative to have been in the possession of the decedent at the time of his death.” In construing essentially identical provisions of the now repealed Orphans’ Court Act of August 10, 1951, P. L. 1163 (repealed 1972), this Court has consistently held that an Orphans’ Court is vested with exclusive jurisdiction to adjudicate the ownership of personalty registered in the name of a decedent at the time of his death, whether in his name alone or in the name of other persons and/or the decedent. Stevenson v. Economy Bank of Ambridge, 413 Pa. 442, 197 A.2d 721 (1964); Gudleski v. Liberty Bank of Mount Carmel, 405 Pa. 441, 176 A.2d 651 (1962); Hallman v. Carr, 404 Pa. 216, 172 A.2d 160 (1961); Rogan Estate, supra; Balfour v. Seitz, 392 Pa. 300, 140 A.2d 441 (1958); Webb Estate, 391 Pa. 584, 138 A.2d 435 (1958). In the instant case, appellant seeks a de[551]*551termination of the ownership of a savings account registered in the names of the decedent and the appellee, as a legatee of that account under the will. Such adjudication is clearly within the statutorily delineated jurisdiction of the Orphans’ Courts, and the Orphans’ Court of Chester County should make such determination of ownership of the savings account.

The second issue raised for our consideration concerns the shares of Pennsylvania Electric Company stock referred to in Paragraph Eighth of the will. Since the decedent had never owned any such stock, the court below concluded that a latent ambiguity arose, that upon consideration of extrinsic evidence, the bequest effectuated a nullity and that the doctrine of misdescription, urged as applicable by the appellant, would not permit passage of title to the contested Philadelphia Electric Company shares of stock under Paragraph Eighth. We are of the opinion that this result is correct.

Where the words of a will are on its face plain, consistent and certain, and where the uncertainty arises from extrinsic facts or circumstances in relation to the property bequeathed, there exists by definition a latent ambiguity. This Court has repeatedly held that where a latent ambiguity does exist, parol evidence is admissible to explain or clarify the ambiguity. Wachstetter Will, 420 Pa. 219, 216 A.2d 66 (1966); Beisgen Estate, 387 Pa. 425, 128 A.2d 52 (1956); Logan v. Wiley, 357 Pa.

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Cite This Page — Counsel Stack

Bluebook (online)
327 A.2d 31, 457 Pa. 546, 1974 Pa. LEXIS 871, Counsel Stack Legal Research, https://law.counselstack.com/opinion/thomas-estate-pa-1974.