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ARKANSAS COURT OF APPEALS
DIVISION III
No.CV-13-49
Opinion Delivered September 18, 2013
LYNDA HAMM
APPELLANT APPEAL FROM THE WHITE
COUNTY CIRCUIT COURT
V. [NO. PR 2006-182-3]
JERRY HAMM HONORABLE CRAIG HANNAH
APPELLEE JUDGE
AFFIRMED
BRANDON J. HARRISON, Judge
After Tommy Hamm died in 2006, his will was probated. It named, among
others, his brother Jerry Hamm, and one of his sisters, Lynda Hamm, as beneficiaries.
Lynda, as executrix of the estate and a potential residuary beneficiary, filed a petition to
disinherit her brother Jerry Hamm. The White County Circuit Court denied the petition
in a written order. The court entered two additional orders that distributed real property
to Jerry. Lynda appeals these three orders.
I. The Challenged Orders
Tommy Hamm died in April 2006; the court probated his will in October of the
same year. Among other things, his will devised Tommy’s house to his sister Lynda; five
acres, a metal shop building, and grain bins were left to Tommy’s brother Jerry.
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The real legal tussle began when, in early March 2012, Lynda filed a petition to
disinherit Jerry. By March 2012, Lynda had served as the estate’s personal representative
for approximately six years. The petition alleged that Jerry had violated the will’s terms by
failing to file a waiver of inventory and accounting, proffering another will for probate,
and filing a claim against Tommy’s estate. Lynda’s petition asked that Tommy’s interests
pass to her as the estate’s residuary beneficiary.
Three days after Lynda filed her petition to disinherit him, Jerry filed his waiver of
inventory and accounting and a petition seeking a partial distribution of his deceased
brother’s real and personal property. The petition asserted that six years had passed since
Tommy’s death and that the property was not necessary to administer the estate.
On 15 August 2012, one day before a hearing was set to occur, Lynda moved to
continue. Having apparently been admitted to a Memphis, Tennessee hospital on August
14, she told the court that she could not attend the hearing but wanted to do so. Jerry
responded that Lynda’s testimony was unnecessary and that the legal issues concerning
whether he should be disinherited had been briefed. Perhaps the most important reason
for Jerry’s resistance was that Lynda had not made a distribution in the almost six years the
estate had been opened. On the day of the hearing, the circuit court denied from the
bench Lynda’s continuance request and her petition to disinherit Jerry.
About one month later, the court entered three separate written orders on a
number of substantive issues. In its September 20 order denying Lynda’s petition to
disinherit, the circuit court found that Jerry had timely filed a waiver of inventory and
accounting and that no prejudice had resulted in any event. Despite its expressed
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reservation about whether filing a claim against the estate could trigger the will’s in terrorem
clause, the court found that Jerry had withdrawn an earlier claim he made against the
estate. The court also found that Tommy had left at least two instruments purporting to
be his will—and that Jerry had proffered a will that Tommy had executed in 2000 without
actually knowing about Tommy’s subsequent 2005 will, the latter being the one that was
probated. The court ruled that Jerry’s proffer of a 2000 will was not a contest of the 2005
will. Consequently, the proffer did not trigger the probated will’s in terrorem clause.
In its order titled “Initial Order Directing Partial Distribution . . . to Jerry Hamm,”
the court found that Lynda had failed to make any significant distributions for
approximately six years. The court then made a partial distribution to Jerry of the metal
shop building and five acres. The order contained a metes-and-bounds description of the
distributed property.
The court entered a third order (“Final Order Directing Partial Distribution To
Jerry Hamm”) that repeated the court’s prior rulings on the petition to disinherit Jerry and
Lynda’s failure to make distributions for six years.
Lynda appealed these three orders and argues five points to this court:
The court erred by not ruling that a requirement in a will that heirs must file
waivers of inventory and accounting to inherit was valid.
The court erred in not finding that Jerry’s allegedly tardy waiver violated the will’s
terms.
The court mistakenly found that Jerry had not secreted assets.
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The court erred in allowing an invalid survey (in Lynda’s opinion) to determine
the shape of the five acres left to Jerry.
The court should not have deprived Lynda the opportunity to personally appear at
the August 2012 hearing given her hospitalization.
II. Analysis
Probate orders, with two exceptions that don’t apply here, are appealable before an
estate has been closed. Ark. Code Ann. § 28–1–116 (Repl. 2012); Sanford v. Murdoch, 374
Ark. 12, 285 S.W.3d 620 (2008). We review probate proceedings de novo on the record
but will not reverse a circuit court’s factual determinations unless they are clearly
erroneous. Seymour v. Biehslich, 371 Ark. 359, 266 S.W.3d 722 (2007). We do not,
however, defer on pure issues of law. Standridge v. Standridge, 304 Ark. 364, 803 S.W.2d
496 (1991).
We begin with Lynda’s points on appeal that relate to the circuit court’s decision to
reject her attempt to disinherit Jerry Hamm.
A. Waivers and The Will’s In Terrorem Provisions
An in terrorem clause in a will is one that voids a gift to a devisee or legatee, if the
legatee or devisee disputes provisions of the will or the gift. See Restatement (Third) of
Property § 8.5 cmt. a (2003); Lytle v. Zebold, 235 Ark. 17, 357 S.W.2d 20 (1962). Our
supreme court has recognized the validity of these clauses. E.g., Seymour v. Biehslich, 371
Ark. 359, 266 S.W.3d 722 (2007).
Tommy’s will has the following provisions that the parties have consistently called
the in terrorem provisions:
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If any one of the beneficiaries in this Will, or any person acting for a person
named herein, shall commence any proceedings or make any attempt to
cancel change or contest any provision in this Will in any manner, or refuse
to execute a waiver of inventory and accounting, I hereby revoke any gift,
legacy, bequest or devise to such beneficiary, and direct that such
beneficiary’s share of any gift, legacy, bequest or devise be distributed as if
such beneficiary had predeceased me leaving no lawful descendants.
I direct if any court shall invalidate the above referenced disinheritance
provision, said Judge should be removed from any determination regarding
the interpretation of this Will and its validity and from the probate of my
Estate.
Jerry filed his waiver three days after Lynda filed her petition to disinherit, and over
five years after the will was admitted to probate. Lynda argues that the in terrorem clause
was triggered because Jerry did not file his waiver of accounting and inventory until long
after she had filed her inventory and accountings. Relying on Ark. Code Ann. sections
28-49-110(a)(1) and 28-49-103(a)(4), she says that because a personal representative must
file an inventory within two months after being appointed, that Jerry also had two months
from the personal representative’s appointment to file any waiver. Lynda also cites several
nineteenth-century cases to support her contention that a testator has an unfettered right
to dispose of his or her property in any manner that he or she wishes. Lynda overreaches.
We start where Lynda did not, with the plain words of the will’s in terrorem clause.
They do not impose any express time limitation on when a beneficiary must file a waiver.
In construing a will or testamentary document, we carry out the testator’s intention, as it is
expressed by the instrument’s words. Spencer v. Floyd, 30 Ark. App. 230, 785 S.W.2d 60
(1990). The circuit court denied the petition to disinherit Jerry because it found that his
waiver was in fact filed and no prejudice resulted from any delay in the filing. This leads
us to another fundamental canon of how courts should read a will’s terms: where possible,
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we should strictly construe no-contest clauses because applying them results in a forfeiture.
Restatement (Third) of Property § 8.5 cmt. d. Finally, we have reviewed the statutes that
Lynda relies on, but they do not require us to reverse based on the record, the arguments
made, and the circuit court’s rulings.
The circuit court did not err in ruling that Jerry’s waiver was timely in this case for
the purpose of deciding whether the will’s in terrorem provision was triggered against him.
B. Secreting Assets
Lynda argues from Ark. Code Ann. sections 28-40-106, 28-49-101, and 28-49-
105, that Jerry should be disinherited because he absconded with certain estate assets that
Tommy devised to her. First, the evidence to support this allegation is, at best,
microscopic. In a colloquy between the circuit court and Lynda’s counsel, there is a
statement by counsel that “some estate assets []are missing or [have] been
misappropriated.” But this is not evidence that Jerry actually stole estate assets; counsel’s
statement, standing alone, is not evidence. Barnes v. State, 346 Ark. 91, 55 S.W.3d 271
(2001). More is required.
Second, Lynda states in her reply brief that Jerry admitted under oath in a
deposition that he took Tommy’s billfold, which allegedly contained $250, the night
Tommy died. But the deposition transcript has not been abstracted. What is worse for
Lynda’s argument here is that the referenced deposition is not in the record on appeal.
Lynda has the burden of bringing up a record sufficient to demonstrate that the circuit
court erred on this point, and she has not done so. Troutt v. Matchett, 305 Ark. 474, 808
S.W.2d 777 (1991).
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C. The L-Shaped Five Acres
Lynda also argues that the circuit court’s first order of partial distribution to Jerry
mistakenly ordered that Jerry take an L-shaped plot of land. Some background on this
issue is helpful. At the August 16 hearing, the court and counsel discussed the issue of the
tract being L-shaped. The initial order of partial distribution gave Jerry the five-acre tract
on which the metal shop building sits. As we pointed out earlier, the order has a metes-
and-bounds description of the property taken from a survey that was not made a part of
the record. But from the order’s legal description it does appear that the tract is L-shaped.
Lynda says that the metal shop building lies on the same tract of land that was
devised to her and which also contained Tommy’s (the decedent) home. The will gives
Lynda the house and surrounding land, but no one proved how many acres Tommy
owned in the tract on which the house and shop rest. More to the point, Lynda did not
prove that the five acres on which the shop was located could be carved from the larger
tract in some geometric configuration that would keep the shop at some acceptable
distance from Tommy’s former home.
If Lynda’s argument here is that the court’s written order conflicts with its
statements at the hearing, then her argument stumbles on a group of cases, beginning with
Standridge v. Standridge, 298 Ark. 494, 769 S.W.2d 12 (1989), where our supreme court
held that a judicial order is not effective under Ark. R. Civ. P. 58 and Ark. Sup. Ct.
Administrative Order No. 2 until it is filed with the clerk of court. There was nothing to
prevent the circuit court from adopting its initial distribution order though the property
remained L-shaped. We acknowledge that, in an August 24 letter to the circuit court,
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Lynda objected to a proposed order Jerry submitted. But she did not specifically complain
that the order distributed the shop tract in an odd L-shaped form. Nor did she, for
example, request another hearing so that the surveyor could testify about the survey and
whether the tract could have been divided in a more desirable manner.
The circuit court’s handling of the five acres is affirmed.
D. No Continuance
Finally, Lynda argues that her hospitalization was a sufficient reason for the court to
continue the August 16 hearing on Jerry’s petition for partial distribution and Lynda’s
petition to disinherit Jerry and that the court abused its discretion in going forward that
day. The grant or denial of a motion for continuance is within the sound discretion of the
circuit court, and we will not disturb a decision unless it is tantamount to a denial of
justice. City of Dover v. City of Russellville, 346 Ark. 279, 57 S.W.3d 171 (2001).
Though Lynda had filed a trial brief arguing the issues taken up during the August
16 hearing, she says she was denied due process because she couldn’t make certain
arguments at the hearing. A party to a civil action ordinarily has a “right” to attend a
trial—and we assume here for simplicity’s sake that a trial and a hearing on a briefed
probate issue are coterminous—the continuance request based on alleged ill health must
ordinarily show that the party had some particular reason to appear, whether as a material
witness or otherwise. McMorella v. Greer, 211 Ark. 417, 200 S.W.2d 974 (1947). It is true
that Lynda submitted to the court a letter from her doctor stating that she was being
treated for “cardiovascular related issues.” But she did not proffer a statement explaining
why she herself had to be present and what she would have contributed to the hearing. A
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circuit court does not abuse its discretion by denying a motion for a continuance based on
the absence of witnesses when no proffer is made of what the witnesses would testify to.
Roe v. Dietrich, 310 Ark. 54, 835 S.W.2d 289 (1992).
Given the delay in the probate case’s proceedings, that the substantive issues
addressed at the August 16 hearing had been briefed before the hearing began, that
Lynda’s counsel appeared on her behalf, and that Lynda made no proffer showing why a
denial of justice might ensue in her physical absence, we affirm the court’s decision to
hold the hearing when it did.
III. Conclusion
We affirm the circuit court’s three orders in all respects.
Affirmed.
GLADWIN, C.J., and WALMSLEY, J., agree.
Ralph M. Clifton; and
Daggett, Donovan and Perry, PLLC, by: Robert J. Donovan, P.A., for appellant.
Buck C. Gibson, P.A., by: Buck C. Gibson, for appellee.
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