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Electronically Filed
Supreme Court
SCWC-11-0001074
11-AUG-2014
02:15 PM
IN THE SUPREME COURT OF THE STATE OF HAWAIʻI
---o0o---
SANDRA C.J. BALOGH, Respondent/Plaintiff-Appellant,
vs.
DONALD RAYMOND BALOGH, Petitioner/Defendant-Appellee.
SCWC-11-0001074
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(CAAP-11-0001074; FC-D NO. 10-1-0149)
AUGUST 11, 2014
AMENDED CONCURRING AND DISSENTING OPINION BY POLLACK, J.
I. Background
In the period leading up to the signing of the
“agreements” at issue in this case, Sandra Balogh’s (Sandra) and
Donald Balogh’s (Ray) marriage was deteriorating. “There was
constant shouting and screaming. It was an ugly situation with
1
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no communication between the parties.”1 Id. Ray was under heavy
stress as he was unable to control his exhibitionist behavior
even though he knew it was wrong.2 Ray was also out of work at
the time of the signing of the “agreements” in October 2008,
having just retired a few months earlier.
After months of arguments, Sandra told Ray “if he were
serious about being committed to the marriage, then they should
‘write something up.’” On October 6, 2008, Sandra dictated to
Ray the terms of an “agreement” to save their marriage, which
Ray handwrote on a single sheet of blank paper (October 6
Document). The October 6 Document provided that if the couple
separated, Sandra would receive 75% of the proceeds from the
sale of the couple’s residence, the entire contents of the house
1
The quoted statements are from the findings of facts (FOF) of the
family court and were not contested on appeal. Sandra challenged only two of
the family court’s FOF. First, Sandra challenged FOF 48, in which the family
court determined that on August 15, 2009, Sandra told Ray he should leave,
and Ray reluctantly agreed. Second, Sandra challenged FOF 53, which credited
Ray’s explanation for the Quitclaim deed: “After discussions with Sandra, Ray
thought the Quitclaim Deed would protect the home from potential lawsuits,
but title would be transferred back to joint ownership when thing[s] returned
to normal.” The majority concluded that this finding was not clearly
erroneous, and therefore binding on this court. Majority at 25.
All of the family court’s remaining FOF are binding on this
court. See Bremer v. Weeks, 104 Hawaiʻi 43, 63, 85 P.3d 150, 170 (2004)
(“findings of fact that are not challenged on appeal are binding on the
appellate court” (quotation marks, brackets, and ellipsis omitted)).
Sandra challenged Conclusions of Law N, O, P, Q, R, and S.
2
Exhibitionism, which involves exposing one’s genitals to an
unsuspecting person, falls under the psychiatric sexual disorders category of
paraphilias, “any intense and persistent sexual interest other than . . .
with . . . consenting human partners.” See American Psychiatric Association,
Diagnostic and Statistical Manual of Mental Disorders 685, 689 (5th ed. 2013)
available at http://dsm.psychiatryonline.org/content.aspx?bookid=
556§ionid=41101785, http://dsm.psychiatryonline.org/content.aspx?bookid=
556§ionid=41101785#103442356.
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excluding Ray’s tools and clothes, and the couple’s vehicles.
“Ray believed that if he did not sign the note, he would lose
his wife of 30 years and everything they had worked for
together.” Ray “was not in his right mind” when he signed the
October 6 Document. The express terms of the handwritten
“agreement” provided no consideration for Ray’s relinquishment
of half of his interest in their home.3 The family court found
that when Sandra signed the October 6 Document, she “was not
thinking about divorce, she took Ray’s signing as a show of his
commitment to the marriage.”
Less than three weeks after the October 6 Document had
been signed, Sandra and Ray signed a second “agreement,”
entitled “Memo of Understanding” (MOU). During this two-week
interval, there was no change in Ray’s emotional state. Indeed,
the family court’s uncontested finding was that “[t]he parties
signed the MOU with the intent that they would work on the
marriage, especially Ray. Sandra believed Ray would tell her
the truth and stop his inappropriate behavior by signing the
MOU. Ray signed it in his desperate attempt to hold the
marriage together.” The MOU provided that in the event of a
divorce, in addition to Sandra receiving the 75% share of the
property, contents of the home, and vehicles, Ray was required
3
The fair market value of the residential property was 1.6 million
dollars.
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to give Sandra $100,000.00 “in lieu of Alimony and court
proceedings.” There was no consideration stated in the MOU for
the additional property that Sandra would receive in the event
of a divorce.
By August 2009, the marriage had reached its breaking
point. Ray admitted to Sandra that he was continuing to expose
himself, and he “reluctantly agreed to move” after Sandra told
him that “he should leave.”4 Before leaving, Ray called his
relatives, and during the call, Sandra overheard Ray say to his
sister “maybe divorce.” As a result of overhearing this
comment, “Sandra got upset and demanded [Ray] sign over the
house as security.” Sandra wanted Ray to work on the marriage,
and Ray agreed to sign a quitclaim deed both to protect the
asset and to show further commitment to the marriage. As
“security,” Ray and Sandra executed a deed dated September 1,
2009, purporting to transfer 100% interest in the property to
Sandra (Quitclaim Deed). Sandra conceded in her brief to the
ICA that the Quitclaim Deed was one-sided. Sandra believed Ray
signed the Quitclaim Deed because he was serious about saving
the marriage.
Ray stated that he was “not in his right mind when
[he] signed these documents.” It is uncontested that “[e]ach
4
As noted, see supra note 1, Sandra contested the family court’s
finding in FOF 48 that she told Ray that he should leave.
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time, Ray believed he could salvage the marriage by signing
these agreements. He would have signed anything to save their
thirty-year marriage. He was in a panic.” (Emphasis added).
The family court found that Ray also believed the Quitclaim Deed
was only a temporary agreement that would protect the home from
potential lawsuits, and the title would eventually transfer back
to joint ownership.5
The family court concluded that Ray and Sandra
were motivated to save their marriage when they signed the
various agreements. When Ray signed the Quitclaim Deed,
Ray was protecting their marital home from potential
lawsuits and had no intent of permanently transferring his
interest to Sandra. Neither party intended their marriage
to result in a divorce and to divide their marital estate
accordingly.
Not surprisingly, based upon these uncontroverted
facts, the family court concluded that all three “agreements”
were not enforceable based upon the combined influence of
numerous stressors that were affecting Ray when the “agreements”
were signed. The family court concluded that “Ray was suffering
from extreme distress” due to: (1) the ongoing construction of
the Kahala Kua residence; (2) the contractor’s walk-off and
lawsuit in 2006; (3) the penalties assessed by the couple’s
homeowner’s association, Association of Owners of Kahala Kua aka
5
As noted, see supra note 1, Sandra contested the family court’s
finding in FOF 53 that “[a]fter discussions with Sandra, Ray thought the
Quitclaim Deed would protect the home from potential lawsuits, but title
would be transferred back to joint ownership when thing[s] returned to
normal.”
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Kahala Kua Community Association (AOAO) and the parties’ lawsuit
against the AOAO; (4) his high security clearance job that also
required twenty-four hour/seven days on call one week a month;
(5) the continuing issues with the subcontractors; (6) his
uncontrollable obsessive behavior that escalated from his
backyard nudity to public display; (7) his shame and
embarrassment; (8) his fear of being discovered; and (9) the
constant argument with Sandra about his inappropriate behavior.
The tenth reason stated by the family court was that while all
of the other circumstances were occurring, Sandra suspected Ray
of infidelity, which further exacerbated the marital
relationship and escalated the tension and the friction in their
home. Accordingly, the family court concluded that “Ray was
thus under duress and coercion when he signed the agreements.”
The family court also concluded that “[a]fter 30 years
of marriage . . . it would be unconscionable to award Sandra the
[home] by enforcing the Quitclaim Deed.” The family court based
its conclusion of unconscionability on its finding that Ray
“would in essence receive 0% of the marital estate if” the
agreements were enforced.6
6
As noted, see supra note 1, Sandra contested the foregoing
conclusion of law (COL) of the family court, except that Sandra did not
challenge the conclusion that Ray would “in essence” receive 0% of the
marital property if the home were awarded to Sandra, in COL M.
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In vacating the family court’s detailed findings and
analysis, the majority’s decision to uphold the MOU implies that
a contract between spouses in a deteriorating marriage should be
evaluated as if the partners were engaging in arm’s length
negotiations, without appropriate consideration of the
vulnerabilities and unequal power inherent in a breakdown of a
marriage. By applying a standard used to evaluate contracts in
a commercial context and requiring Ray to show specific evidence
of an “improper threat” and the absence of a “reasonable
alternative” to prove involuntary assent to a contract between
marital partners, the majority’s decision unduly constricts the
law. Moreover, by not acknowledging the emotional nature of a
marriage and its effects on “bargaining” between the spouses,
the decision creates a precedent that permits an emotionally
stronger spouse to take advantage of a more vulnerable one.
II. Discussion
I would affirm the family court’s determination that
the Quitclaim Deed was unconscionable and therefore
unenforceable.7 Based on the determination that the Quitclaim
Deed was unenforceable as unconscionable, I would not reach the
7
I concur with the ultimate result of the majority’s holding that
the “quitclaim deed did not bar the family court from equitably dividing [Ray
and Sandra’s] property,” Majority at 26, inasmuch as that holding renders the
Quitclaim Deed as essentially without legal effect, although I would find the
Quitclaim Deed unenforceable because of unconscionability. I dissent as to
the majority’s treatment of the remaining two “agreements.”
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majority’s conclusion that that Quitclaim Deed did not alter the
division of property. Majority at 23-24.
I would also uphold the family court’s implicit
conclusion that Ray’s assent to the October 6 Document and the
MOU was involuntary. The family court’s conclusion that the
agreements were unenforceable is sustained by the family court’s
detailed FOFs that were largely uncontested on appeal and firmly
supported by the record. These uncontested facts provide
multiple bases to support the family court’s determination that
Ray’s assent to the October 6 Document and the MOU was
involuntary. Further, in line with the approach taken by many
other states, I would hold that spouses are fiduciaries of each
other, and therefore contracts between spouses that affect the
division of property in the event of a divorce should be
evaluated under that standard. Alternatively, I would hold
that, as a threshold matter, the October 6 Document and the MOU
are void for lack of consideration.
A. The Quitclaim Deed is unconscionable
A postmarital or separation agreement is enforceable
if it is not unconscionable and has been voluntarily entered
into by the parties with knowledge of the financial situation of
the other spouse. See Lewis v. Lewis, 69 Haw. 497, 500-01, 748
P.2d 1362, 1366 (1988).
Unconscionability has generally been recognized to include
an absence of meaningful choice on the part of one of the
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parties together with contract terms which are unreasonably
favorable to the other party. Whether a meaningful choice
is present in a particular case can only be determined by
consideration of all the circumstances surrounding the
transaction.
Siopes v. Kaiser Found. Health Plan, Inc., 130 Hawaiʻi 437, 458,
312 P.3d 869, 890 (2013) (quoting City & Cnty. of Honolulu v.
Midkiff, 62 Haw. 411, 418, 616 P.2d 213, 218 (1980)).
Unconscionability typically encompasses two principles: one-
sidedness and unfair surprise. Lewis, 69 Haw. at 502, 748 P.2d
at 1366. In the context of postmarital agreements, however,
one-sidedness alone can render an agreement unconscionable and
therefore unenforceable. See Kuroda v. Kuroda, 87 Hawaiʻi 419,
428, 958 P.2d 541, 550 (App. 1998); Majority at 29-30.
Here, it is the uncontested COL of the family court
that Ray “would in essence receive 0% of the marital estate if
Sandra is awarded [the home].” Furthermore, Sandra acknowledged
that enforcing the Quitclaim Deed “would be ‘one-sided’ . . . .”
It is hard to envision an agreement that is more one-sided than
an agreement that gives one spouse 100% of the marital estate
and the other spouse 0%. The family court correctly concluded
that:
It would be unconscionable to award Sandra the [home] by
enforcing the Quitclaim Deed. Kuroda v. Kuroda, 87 Hawaiʻi
419, 958 P.2d 547 (App. 1998); Lewis v. Lewis, 69 Haw. 497,
748 P.2d 1362 (1988).
Therefore, the finding of the family court should be affirmed.
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B. The “agreements” are unenforceable because Ray’s assent was
involuntary.
Although the family court concluded that Ray was
“under duress and coercion when he signed the agreements,” the
majority determines that Ray’s assent was “voluntary” because
the family court’s findings are not sufficient to support
duress. Majority at 35-36. According to the majority, duress
cannot be shown because: (1) the trial court did not make
specific findings that Sandra had improperly threatened Ray; and
(2) Ray could not show that he had no reasonable alternative to
signing the MOU. In so concluding, the majority errs by
incorrectly restricting its involuntariness inquiry to duress.
1. The correct Hawaiʻi standard for the enforceability of
postmarital agreements
A postmarital agreement is not enforceable if it is
entered into involuntarily. “When a premarital agreement
setting forth support and property division in the event of
divorce is not unconscionable and has been voluntarily entered
into by the parties with knowledge of the financial situation of
the prospective spouse, enforcement of the agreement does not
violate the principle of a ‘just and equitable’ award under
[Hawaiʻi Revised Statutes (HRS)] § 580–47.”8 Lewis, 69 Haw. at
8
At the time the “agreements” in this case were signed, this
statute provided, in relevant part:
(continued. . .)
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500-01, 748 P.2d at 1366. “Involuntariness is shown by evidence
of ‘duress, coercion, undue influence, or any other circumstance
indicating lack of free will or voluntariness.’” Chen v.
Hoeflinger, 127 Hawaiʻi 346, 357, 279 P.3d 11, 22 (App. 2012)
(emphasis added) (quoting Prell v. Silverstein, 114 Hawaiʻi 286,
298, 162 P.3d 2, 14 (App. 2007)). Therefore, under Hawaii’s
controlling legal standard for the enforceability of postmarital
contracts, involuntariness may be shown not only by duress, but
also by coercion, undue influence, or any other circumstance
indicating lack of free will or voluntariness.
2. The family court found that Ray’s assent was
involuntary.
After listing ten contributing factors to Ray’s
stress, as noted above, Conclusion of Law (COL) P determined
that:9
(. . .continued)
Upon granting a divorce . . . the court may make any
further orders as shall appear just and equitable . . .
finally dividing and distributing the estate of the
parties, real, personal, or mixed, whether community,
joint, or separate[.]
HRS § 580-47 (1997). This language was identical at the time of Lewis.
HRS § 580-47 (Supps. 1969, 1986).
9
Although COL P is set out as a conclusion of law, “the trial
court’s label is not determinative of the standard of review.” Crosby v.
State Dep’t of Budget & Fin., 76 Hawaiʻi 332, 340, 876 P.2d 1300, 1308 (1994).
A circuit court’s FOF are reviewed on appeal under the “clearly
erroneous” standard whereas its COL are not binding upon an appellate court
and are usually reviewed under the right/wrong standard. Estate of Klink ex
rel. Klink v. State, 113 Hawaiʻi 332, 351, 152 P.3d 504, 523 (2007).
(continued. . .)
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Ray was thus under duress and coercion when he signed the
agreements. Prell v. Silverstein, 114 Haw. 286, 162 P.3d 2
(Haw. App. 2007).
(Emphasis added). While the family court referred to “duress
and coercion” without using the word “involuntary,” its specific
citation to Prell makes it plain that the family court intended
“duress and coercion” to convey involuntariness.10 This is
manifest because Prell defines duress and coercion as sufficient
to demonstrate involuntariness, but not as the exclusive method
of doing so. In the context of evaluating a premarital
agreement, Prell states: “[n]o evidence was adduced that
[spouse] signed the premarital agreement under duress, coercion,
undue influence, or any other circumstance indicating lack of
free will or voluntariness.” 114 Hawaiʻi at 298, 162 P.3d at 14.
That is, Prell references “duress” as one “circumstance” of
several “indicating [a] lack of free will or voluntariness.”
Id.
(. . .continued)
A COL that “is supported by the trial court’s FOFs and that reflects an
application of the correct rule of law will not be overturned.” Id.
(brackets omitted). “However, a COL that presents mixed questions of fact
and law is reviewed under the clearly erroneous standard because the court’s
conclusions are dependent upon the facts and circumstances of each individual
case.” Id.
In other words, because the family court’s COL P is a “determination
that embraces an ultimate fact[,]” it “is a factual finding subject to the
clearly erroneous standard of review even though classified as a COL.”
Crosby, 76 Hawaiʻi at 340, 874 P.2d at 1308.
10
This same test is utilized by the majority in its analysis. See
Majority at 35.
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Thus, by describing the totality of the circumstances,
including Ray’s uncontrollable behavior, extreme stress, fear of
being discovered, and the escalating tension in the
relationship, then concluding that Ray was under duress and
coercion, and then citing to Prell, the family court implicitly
found that Ray’s assent to the agreements was involuntary. To
conclude otherwise infers that the family court, despite citing
the controlling authority that sets forth the standard for
voluntariness in postmarital contracts, did not understand and
apply the law that it cited.11
Voluntariness is a question of fact. See State v.
Price, 55 Haw. 442, 443, 521 P.2d 376, 377 (1974) (in the
context of a search, holding that voluntariness is a question of
fact). The family court was in the best position to make
factual findings. In re Doe, 95 Hawaiʻi 183, 190, 20 P.3d 616,
623 (2001) (“[I]t is well-settled that an appellate court will
not pass upon issues dependent upon the credibility of witnesses
and the weight of the evidence; this is the province of the
trier of fact.”)).
11
Assuming arguendo that COL P is ambiguous as to whether the
family court intended “duress and coercion” to mean involuntariness, then the
case should be remanded to the family court for clarification. “‘Because
. . . findings [of fact] are imperative for an adequate judicial review of a
lower court’s conclusions of law,’ we have held ‘that cases will be remanded
when the factual basis of the lower court’s ruling cannot be determined from
the record.’” State v. Hutch, 75 Haw. 307, 331, 861 P.2d 11, 23 (1993)
(quoting State v. Anderson, 67 Haw. 513, 514, 693 P.2d 1029, 1030 (1985)).
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A family court’s FOF are reviewed under the “clearly
erroneous” standard. In re Doe, 101 Hawaiʻi 220, 227, 65 P.3d
167, 174 (2003). A FOF is only “clearly erroneous” when “(1)
the record lacks substantial evidence to support the finding, or
(2) despite substantial evidence in support of the finding, the
appellate court is nonetheless left with a definite and firm
conviction that a mistake has been made.”12 Id. Therefore, it
is improper for this court to disregard the family court’s
findings of fact regarding voluntariness if the findings of the
family court are supported by substantial evidence.
3. Substantial evidence supports finding that Ray’s
assent was involuntary
The family court’s uncontested FOFs support a
conclusion that Ray’s assent to the “agreements” was
involuntary.13 First, as noted above and set forth in COL P, the
family court found that among the multiple factors contributing
to the coercion and duress that led to Ray’s involuntary assent
12
Substantial evidence is credible evidence of sufficient quality
and probative value to enable a person of reasonable caution to support a
conclusion. In re Doe, 101 Hawaiʻi at 227, 65 P.3d at 174.
13
The “agreements” should be examined together for several reasons.
First, the circumstances under which the “agreements” were executed were
virtually identical. The October 6, 2008 agreement and the MOU were signed
within three weeks of each other, during which time the tension between Ray
and Sandra was high and had not dissipated. As noted above, “Each time, Ray
believed he could salvage the marriage by signing these agreements. He would
have signed anything.” Second, the subject matter of the agreements is also
the same, providing essentially the same triggering event, i.e. separation or
divorce. Finally, three of the four provisions of the MOU are the same as
the three provisions of the October 6 Document. Therefore, all the
“agreements” should be considered together when evaluating the voluntariness
of Ray’s assent.
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were: his exhibitionist behavior and the associated
repercussions from that behavior, including the letters from the
AOAO, confrontations with the police at Makapuʻu, and being
banned from Ala Moana; the litigation and construction problems
associated with the home; and his “high security clearance job.”
Second, the facts demonstrate that Ray’s mental state
was extremely vulnerable. The family court described Ray as
“unable to control his inappropriate behavior”; “extremely
embarrassed but still unable to control his impulses”; and
“distraught that he had no control over and did not know what to
do about his inappropriate behavior. He “felt his brain was
fried”; “fearful of his behavior being made” public; “not in his
right mind”; “desperate”; and “in a panic.” Following the first
two “agreements,” Ray’s exhibitionist behavior escalated,
including two letters from the homeowners’ association; an
incident at Makapuʻu Trail; and an incident at Ala Moana. These
findings of fact are uncontested. Therefore, Ray’s mental state
was plainly vulnerable, increasing the likelihood that duress or
undue influence was instrumental in gaining his assent and
reducing the likelihood that his assent to the agreements was
voluntary.14
14
The majority notes Ray’s education, degrees, and high-level
security clearance as an indication that Ray was aware of what he was doing.
Majority at 41. However, Ray never asserted that he was not aware; instead
his contention is that his stress and efforts to preserve his marriage
(continued. . .)
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Third, Sandra was drafting the “agreements.” Sandra
dictated the October 6 Document to Ray. Sandra also prepared
the MOU, which added the $100,000 payment to her in the event of
a divorce. Therefore, in light of Sandra having drafted the
“agreements,” the likelihood that Ray’s assent to the
“agreements” was involuntary was increased.
Fourth, the uncontested facts are that Ray felt he had
no choice but to sign the “agreements.” As to the October 6
Document, “Ray believed if he did not sign this note, he would
lose his wife of thirty years and everything they had worked for
together.” As to the MOU, “Ray signed it in his desperate
attempt to hold the marriage together.” As to all three
“agreements,” “each time, Ray believed he could salvage the
marriage by signing these agreements. He would have signed
anything to save their thirty-year marriage. He was in a
panic.”
Thus, there is substantial evidence in the record
indicating that Ray’s assent to the three “agreements” was
induced by circumstances indicating a lack of free will or
(. . .continued)
indicated a lack of free will. The majority also notes that Ray “expressly
testified that he agreed to all the terms of the MOU.” Id. Again, Ray never
denied agreeing to the terms of the “agreements.” The issue was whether his
assent was voluntary under the circumstances.
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voluntariness.15 Accordingly, the family court’s implicit
finding that Ray’s assent was involuntary was not clearly
erroneous and should be upheld.
4. “Other circumstances” indicates that Ray’s assent was
involuntary
Involuntariness in postmarital contracts may be shown
by evidence of “any other circumstance indicating lack of free
will or voluntariness.” Chen, 127 Hawaiʻi at 357, 279 P.3d at
22; Prell, 114 Hawaiʻi at 298, 162 P.3d at 14. Because “other
circumstances” is broadly inclusive, it is similar to a totality
of the circumstances rule, under which a court’s “inquiry will
not be unfairly limited.” Maguire v. Hilton Hotels Corp., 79
Hawaiʻi 110, 117, 899 P.2d 393, 400 (1995) (defining totality of
the circumstances as a part of determining, in a tort action,
the foreseeability of a criminal act committed by a third
party). A totality of the circumstances “inquiry is broad
enough to examine other factors as well.” Id. Other states
15
The majority suggests that because Ray waived the defense of lack
of capacity, he also waived the defense of involuntariness. Majority at 40.
However, involuntariness is distinct from a defense of lack of capacity. See
Grace M. Giesel, A Realistic Proposal for the Contract Duress Doctrine, 107
W. Va. L. Rev. 443, 448 (2005) (“Situations of limited decisional capacity or
flawed decisional capacity are not duress and should be irrelevant to
duress.”). Incapacity to contract means that the person was “incapable of
understanding the nature and effect of the transaction at the time the
instrument was executed.” Pontes v. Pontes, 40 Haw. 620, 623 (Haw. Terr.
1954). See also 5 Williston on Contract § 10:3 (4th ed.) (Mental
incompetence renders transactions voidable); Restatement (Second) of
Contracts § 15 (1981). Consequently, a capacity to enter into contracts does
not invalidate an involuntariness defense. Ray never waived the issue of
whether his assent was voluntary.
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have used a totality of circumstances approach in assessing the
enforceability of postmarital agreements.
For example, in Pacelli v. Paccelli, 725 A.2d 56 (N.J.
Super. Ct. App. Div. 1999), the New Jersey Superior Court
closely scrutinized and carefully evaluated a “mid-marriage”16
agreement because it left the husband, a sophisticated
businessman, and wife, a much younger, uneducated immigrant, in
disparate financial situations. Id. at 62. After ten years of
marriage and two children, the husband informed the wife that he
would divorce her unless she agreed to certain terms regarding
their economic relationship. Id. at 58. The wife’s overriding
concern was preserving her family—“she would [have] sign[ed]
anything[.]” Id. (emphasis added).
Thus, [the wife] faced a more difficult choice than the
bride who is presented with a demand for a pre-nuptial
agreement. The cost to [the wife] would have been the
destruction of a family and the stigma of a failed
marriage. She testified on several occasions that she
signed the agreement to preserve the family and to make
sure that her sons were raised in an intact family.
[The wife’s] access to eminent counsel is of little
relevance because her decision was dictated not by a
consideration of her legal rights, but by her desire to
preserve the family.
Id. at 59. Based on these circumstances, the court found that
the context in which the husband made his demand was “inherently
coercive” because the wife’s decision “was dictated not by a
16
A “mid-marriage” agreement is the same as a “postmarital”
agreement in the context of these cases as both occur after the date of
marriage but prior to a final divorce.
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consideration of her legal rights, but by her desire to preserve
the family.” Id. Therefore, the Pacelli court looked to the
totality of the circumstances in reaching its determination that
the postmarital agreement was unenforceable. Id. at 63.
In In re Marriage of Baltins, 212 Cal. App. 3d 66
(Cal. Ct. App. 1989), a California appeals court examined the
totality of the circumstances in finding that the husband
intentionally used coercion to induce the wife’s consent to an
unconscionable contract. Id. at 87. The court found that the
wife was “effectively” deprived of independent counsel, in a
distraught and weakened condition emotionally, and had no
reasonable alternative. The husband had undermined the wife
psychologically by repeatedly telling her she had not
contributed as much as he did to the marriage and was not an
equal partner; he had made threats and misrepresentations; and
he pressured the wife into taking immediate action. Id.
Therefore, the Baltins court looked at the totality of the
circumstances to find the husband had intentionally used duress
to induce the wife’s consent to the agreements. Id.
Other states have used a series of factors to measure
the enforceability of postmarital agreements. For instance,
Kansas courts have looked to whether:
(1) each party had an opportunity to obtain separate legal
counsel of each party’s own choosing; (2) there was fraud
or coercion in obtaining the agreement; (3) all material
assets were fully disclosed by both parties before the
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agreement was executed; (4) each spouse knowingly and
explicitly agreed in writing to waive the right to a
judicial equitable division of assets and all marital
rights in the event of a divorce; (5) the terms of the
agreement were fair and reasonable at the time of
execution; and (6) the terms of the agreement are not
unconscionable at the time of dissolution.
In re Marriage Traster, 291 P.3d 494, 507 (2012). See also
Ansin v. Craven-Ansin, 929 N.E.2d 955, 963-64 (2010) (using the
first five factors to measure enforceability but not
unconscionability).
In the application of the totality of circumstances
and factor-based analyses, courts are not arbitrarily limited to
a single test when analyzing postmarital contracts for
involuntariness, but look to all the relevant conditions in a
given case. Similarly, under the Chen/Prell standard,
involuntariness can be found by evaluating “any other
circumstance indicating lack of free will or voluntariness.”
Chen, 127 Hawaiʻi at 357, 279 P.3d at 22; Prell, 114 Hawaiʻi at
298, 162 P.3d at 14. Therefore, a court’s analysis of the
enforceability of postmarital contracts should not be “unfairly
limited” and should be “broad enough to examine other factors.”
Maguire, 79 Hawaiʻi at 117, 899 P.2d at 400.
In the present case, the other circumstances
specified in the uncontested findings firmly support the
determination that Ray’s assent to the “agreements” was
involuntary. Like Pacelli, Ray’s motivation was not preserving
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financial assets, but at saving the emotional relationship at
any cost. Further, both the Pacelli court and the family court
found that the vulnerable spouse would have signed “anything.”
See Pacelli, 725 A.2d at 58. Similar to Baltins, Sandra
pressured Ray into immediate action, and, as discussed, Ray
believed he had no other choice. 212 Cal. App. 3d at 87. Ray
was in a distraught and weakened emotional state and did not
have the opportunity to consult with independent counsel, again
similar to the wife in Baltins. Id.
Additionally, at least three of the six Traster
factors were also present. First, Ray did not obtain separate
legal counsel before signing the “agreements.” Second, Ray did
not knowingly and explicitly agree in writing to waive the right
to a judicial equitable division of material assets and all
marital rights in the event of a divorce. Third, the terms of
the agreement were not fair and reasonable at the time of
execution.
Therefore, construing Prell’s “any other
circumstances” element as not “unfairly limit[ing]” and broad
enough to examine other factors, would result in the same
conclusion as the family court: that the “agreements” were
involuntary and thus unenforceable.
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5. The record demonstrates Ray’s assent was unduly
influenced
Under Chen and Prell, an agreement may also be
involuntary if it is the result of undue influence.17 Chen, 127
Hawaiʻi at 357, 279 P.3d at 22; Prell, 114 Hawaiʻi at 298, 162
P.3d at 14. Undue influence is defined as the improper use of
power or trust in a way that deprives a person of free will and
substitutes another’s objective. Cvitanovich-Dubie v. Dubie,
125 Hawaiʻi 128, 160, 254 P.3d 439, 471 (2011). It is
the misuse of a position of confidence or the taking
advantage of a person’s weakness, infirmity or distress to
change improperly that person’s actions or decisions.
While it is impossible to define or describe with precision
and exactness what is undue influence, it matters that the
quality and the extent of the power of one mind over
another must be to make it undue. Thus, false
representations, or misrepresentations of law or fact, are
not essential to a showing of undue influence, for a
person’s will may be overborne without false
representation.
Cvitanovich-Dubie, 125 Hawaiʻi at 160-61, 254 P.3d at 471-72
(emphasis added) (citations, brackets and quotation marks
omitted). Undue influence is “coercive in nature, persuasion
which overcomes the will without convincing the judgment.”
Odorizzi v. Bloomfield Sch. Dist., 246 Cal. App. 2d 123, 130
(1966) (cited approvingly in Cvitanovich-Dubie, 125 Hawaiʻi at
160-61, 254 P.3d at 471-72). Therefore, the critical elements
17
The majority notes that the family court did not make an express
finding of undue influence. Majority at 41. However, undue influence is an
enumerated “circumstance indicating lack of free will or involuntariness.”
Chen, 127 Hawaiʻi at 357, 279 P.3d at 22. As the family court’s finding of
“duress and coercion” was an implicit finding of involuntariness, undue
influence was encompassed within the court’s findings.
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of undue influence are (1) the abuse of a position of confidence
or taking advantage of a person’s weakness, in order to (2)
improperly change that person’s actions or decisions; actual
fraud is not necessary. Cvitanovich-Dubie, 125 Hawaiʻi at 160-
61, 254 P.3d at 471-72.
As a spouse, Sandra was in a position of confidence in
regards to Ray and it was an abuse of that confidence to
influence her spouse to sign over significant property in order
to demonstrate his commitment to the marriage. Furthermore,
Ray’s actions were improperly changed by Sandra; that is, he
would not have promised her half of his interest in the house,
all of the vehicles and contents of the house, and $100,000 in
lieu of court proceedings, except for Sandra having told Ray “if
he were serious about being committed to the marriage, then they
should ‘write something up.’” None of the facts found by the
family court suggest that Ray was convinced the “agreements”
were in good judgment; rather, it is unchallenged that “[e]ach
time, Ray believed he could salvage the marriage by signing
these agreements. He would have signed anything to save their
thirty year marriage.” (Emphasis added). Thus, Ray would not
have signed over his share of the home in the “agreements” and
the additional monetary payments to Sandra if it had not been on
Sandra’s insistence that he do so in order to demonstrate his
commitment to save the marriage.
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There is substantial evidence that Sandra’s actions
took advantage of her position as Ray’s wife of 30 years and
Ray’s troubled emotional state in order to induce Ray to sign
the “agreements.” There is no indication that Ray would have
otherwise spontaneously gifted essentially 100% of the marital
estate to Sandra. Therefore, Sandra unduly influenced Ray’s
assent to the “agreements”, and Ray’s assent to the “agreements”
is indicative of a lack of free will or voluntariness. Thus,
the family court’s implicit conclusion that Ray’s assent was
involuntary should be affirmed.
C. Measuring involuntariness through a fiduciary relationship
between spouses
The confidential relationship between spouses should
require contracts to be subjected to a fiduciary standard to
protect spouses against self-dealing and overreaching by the
more dominant spouse. “Unlike parties to a premarital agreement
or a separation agreement, parties to a postmarital agreement
have stated their intention to remain part of an existing
marriage in which they already share a vested interest, personal
intimacy, and mutual trust.” Traster, 291 P.3d at 503. In
Traster, the Kansas Court of Appeals explained that the
“trusting and confidential nature of this existing relationship
exposes the parties to a greater risk of unfair advantage in the
bargaining process for two reasons”:
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First, spouses who intend to stay married are unlikely to
view the marital interest as distinct from their own
interest. As a result, spouses to a postmarital agreement
run the risk of putting the interests of the couple ahead
of their own which, in turn, will make them less cautious
than they would be if negotiating at arm’s length with an
ordinary contracting party. Second, spouses who intend to
stay married run a greater risk of unfair advantage in the
bargaining process because the spouse who has the stronger
desire to preserve the marriage necessarily becomes more
vulnerable to the financial demands of the other.
Id. at 503 (emphasis added) (citation omitted). Therefore,
Traster recognized two concerns: (1) spouses who wish to stay
married are likely to put the marriage ahead of their individual
interest; and (2) such spouses may be exploited because their
commitment to the marriage will lead them to make greater
financial sacrifices to preserve the relationship. Because of
these concerns, the voluntariness of postmarital agreements
should be evaluated with closer scrutiny.
Sixteen states and Puerto Rico impose greater burdens
on postnuptial agreements than they impose on prenuptial
agreements. Sean Hannon Williams, Postnuptial Agreements, 2007
Wis. L. Rev. 827, 838 (2007). The state courts and legislatures
that have imposed additional procedural and substantive burdens
on postnuptial agreements recognize that postmarital agreements
“increase the potential for fraud and deception, often leaving
the spouse with less economic leverage (usually the wife) with
no choice but to sign an agreement presented by the wealthier
spouse (usually the husband),” as opposed to premarital
agreements. Id. at 830 (parentheticals in original).
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Other jurisdictions have required review under a
fiduciary standard, based on the fact that spouses stand in a
confidential relationship with each other, and postmarital
agreements are “executed when the parties do not contemplate
divorce and when they owe absolute fidelity to each other.”
Ansin, 929 N.E.2d at 968 (emphasis added). See In re Estate of
Wilber, 75 A.3d 1096, 1101 (N.H. 2013) (“spouses are
traditionally regarded as fiduciaries of one another”); Tremont
v. Tremont, 827 N.Y.S.2d 309, 311 (2006) (“courts carefully
scrutinize marital agreements based on the fiduciary
relationship of the parties”); Dawbarn v. Dawbarn, 625 S.E.2d
186, 191 (N.C. Ct. App. 2006) (“The relationship between a
husband and wife creates a fiduciary duty.”); Marsh v. Marsh,
949 S.W.2d 734, 739 n.4 (Tex. App. 1997) (“in post-marital
agreements a fiduciary duty exists that is not present in
premarital agreements between prospective spouses”); In re
Marriage of Bonds, 5 P.3d 815, 831 (Cal. 2000) (“persons, once
they are married, are in a fiduciary relationship to one
another”).
A fiduciary duty between spouses means that agreements
between them “must meet the high standards of fiduciary trust,
which means that there must be full disclosure and fair
dealing.” Howard O. Hunter, Modern Law of Contracts § 2:24
(2014). Courts holding spouses to a fiduciary standard require
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“the highest degree of good faith, candor and sincerity in all
matters bearing on the terms and execution of the proposed
agreement, with fairness being the ultimate measure.” Wilber,
75 A.3d at 1101 (emphasis omitted). “Because of the
confidential relationship between a husband and a wife, courts
have imposed the same duties of good faith and fair dealing on
spouses as required of partners and other fiduciaries.” Daniel
v. Daniel, 779 S.W.2d 110, 115 (Tex. App. 1989). “When an
interspousal transaction advantages one spouse, the law . . .
presumes such transactions to have been induced by undue
influence. Courts of equity view gifts and contracts which are
made or take place between parties occupying confidential
relations with a jealous eye.” In re Marriage of Haines, 33
Cal. App. 4th 277, 293-94 (1995) (citations, brackets, ellipsis,
and quotation marks removed). For example, based on concerns
over the uneven power dynamics in a mid-marriage context,
California appellate courts have instituted a presumption of
duress when considering the enforceability of postmarital
agreements. Bonds, 5 P.3d at 831. “Whenever [married persons]
enter into an agreement in which one party gains an advantage,
the advantaged party bears the burden of demonstrating that the
agreement was not obtained through undue influence.” Id.
(emphasis added).
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In keeping with the twin concerns expressed by Traster
that spouses who wish to stay married are likely to put the
marriage ahead of their individual interest and that such
spouses may be exploited, transactions between spouses should be
subject to the general rules governing fiduciary relationships,
which guide the actions of persons occupying confidential
relations with each other. See Cal. Fam. Code § 721 (2002).18
This requirement would impose a duty of good faith and fair
dealing on each spouse, such that neither could take an unfair
advantage of the other. The confidential relationship and
18
The California code provide the following definition of a
fiduciary relationship between spouses:
[I]n transactions between themselves, a husband and wife
are subject to the general rules governing fiduciary
relationships which control the actions of persons
occupying confidential relations with each other. This
confidential relationship imposes a duty of the highest
good faith and fair dealing on each spouse, and neither
shall take any unfair advantage of the other. This
confidential relationship is a fiduciary relationship
subject to the same rights and duties of nonmarital
business partners . . . including, but not limited to, the
following:
(1) Providing each spouse access at all times to any books
kept regarding a transaction for the purposes of inspection
and copying.
(2) Rendering upon request, true and full information of
all things affecting any transaction which concerns the
community property. Nothing in this section is intended to
impose a duty for either spouse to keep detailed books and
records of community property transactions.
(3) Accounting to the spouse, and holding as a trustee, any
benefit or profit derived from any transaction by one
spouse without the consent of the other spouse which
concerns the community property.
Cal. Fam. Code § 721 (2003).
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fiduciary relationship would be subject to the same rights and
duties of non-marital business partners.
I would hold that an agreement that was not in
accordance with fiduciary standards should be presumptively
involuntary and unenforceable, and such agreements would be
enforceable only if the defending spouse could demonstrate that
the agreements in question were executed under a fiduciary
standard of good faith and fair dealing. Given Ray’s extreme
mental distress and vulnerable state of mind described by the
uncontested findings of the family court and the financial
advantage gained by Sandra, the record before this court is
clear that the agreements between Sandra and Ray do not meet the
highest fair dealing standard of fiduciary trust, and the
agreements are therefore presumptively involuntary and
unenforceable.
D. The October 6 “agreement” and MOU are invalid and
unenforceable for lack of consideration
As an alternative basis for affirming the judgment of
the family court, I would examine the threshold issue of whether
the October 6 Document and MOU were supported by consideration
sufficient to form a contract. Ray raised the defense of lack
of consideration as a defense at trial. The family court’s
declination to make a determination as to lack of consideration
was plain error, under the standards adopted by this court.
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In civil cases, the plain error rule is only invoked when
“justice so requires.” We have taken three factors into
account in deciding whether our discretionary power to
notice plain error ought to be exercised in civil cases:
(1) whether consideration of the issue not raised at trial
requires additional facts; (2) whether its resolution will
affect the integrity of the trial court’s findings of fact;
and (3) whether the issue is of great public import.
U.S. Bank Nat’l Ass’n v. Castro, 131 Hawaiʻi 28, 42, 313 P.3d
717, 731 (2013) (emphases added) (quoting Montalvo v. Lapez, 77
Hawaiʻi 282, 290, 884 P.2d 345, 353 (1994)). Here, with respect
to the first two factors, no additional facts must be considered
to determine the issue and finding a lack of consideration will
not affect the integrity of the family court’s FOFs. As to the
final factor, the adequacy of consideration in postmarital
agreements is of great public import because upholding such
contracts without true bargained-for exchange does not allow the
family court to exercise its authority to effect “just and
equitable” distributions of the marital estate. See HRS § 580-
47 (“the [family] court may make any further orders as shall
appear just and equitable . . . finally dividing and
distributing the estate of the parties”); Gussin v. Gussin, 73
Haw. 470, 478, 836 P.2d 484, 488-89 (1992) (noting the wide
discretion conferred upon the family court by HRS § 580-47);
Lewis, 69 Haw. at 500-01, 748 P.2d at 1366 (holding that
premarital agreements are enforceable when they do not violate
the principle of a “just and equitable” award under HRS § 580–
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47). Therefore, invoking plain error is appropriate in this
case.
1. Consideration in postmarital contracts
All contracts made between spouses, not otherwise
invalid because of any other law, are valid. HRS § 572-22
(1987). However, the formation of a contract requires a bargain
in which there is a manifestation of mutual assent to the
exchange and consideration. Restatement (Second) of Contracts §
17 (1981) (emphasis added). This court has stated that “[a]
compromise, like any other contractual agreement, must be
supported by consideration.” Sylvester v. Animal Emergency
Clinic of Oahu, 72 Haw. 560, 567, 825 P.2d 1053, 1057 (1992).
Therefore, consideration is a threshold issue in determining
whether a contract exists.
“It is well-settled that consideration is an essential
element of, and is necessary to the enforceability or validity
of, a contract.” Douglass v. Pflueger Haw., Inc., 110 Hawaiʻi
520, 534, 135 P.3d 129, 143 (2006) (quoting Shanghai Inv. Co.,
Inc. v. Alteka Co., Ltd., 92 Hawaiʻi 482, 496, 993 P.2d 516, 530
(2000), overruled on other grounds by Blair v. Ing, 96 Hawaiʻi
327, 31 P.3d 184 (2001)). To constitute consideration, a
performance or a return promise must be bargained for.
Restatement (Second) of Contracts § 71 (1981). Consideration
may take many forms; it is well established that “[f]orbearance
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to exercise a right is good consideration for a promise.”
Shannon v. Waterhouse, 58 Haw. 4, 7, 563 P.2d 391, 393 (1977).
Although the family court did not address the issue of
the lack of consideration, the determination of lack of
consideration is a question of law for the court to decide,
reviewable de novo. Stern v. Stern, 243 A.2d 319, 320 (Pa.
1968); Colligan v. Smith, 366 S.W.2d 816, 818 (Tex. App. 1963);
Farmers Union Oil Co. of New England v. Maixner, 376 N.W.2d 43,
48 n.2 (N.D. 1985). This court has not examined what
constitutes consideration for a postnuptial contract between
spouses. Other courts have held that neither the marriage
itself, nor continuation of the marriage, can act as sufficient
consideration for a postnuptial agreement because past
consideration cannot support a current promise. See Bratton v.
Bratton, 136 S.W.3d 595, 600 (Tenn. 2004); Whitmore v. Whitmore,
778 N.Y.S.2d 73, 75 (2004).19
In Bratton, a husband signed a letter in which he
promised “never to be the cause of a divorce.” Bratton, 136
S.W.3d at 597. In the event that he broke the promise, he
promised to give to the wife “50% of my present belongings and
50% of my net future earnings.” Id. The Supreme Court of
19
But cf. Zagari v. Zagari, 746 N.Y.S.2d 235, 238 (2002) (declining
to find lack of consideration in a post marital agreement where the agreement
recited consideration and the spouse seeking to invalidate the agreement
offered no proof on the issue of consideration).
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Tennessee found that a promise to stay in a marriage is not
consideration.
Ms. Bratton’s promise not to leave her husband is clearly
not consideration for the agreement. Both parties’
admitted that they were not having marital difficulties at
the time the agreement was signed. Therefore, this was not
a reconciliation agreement where separation or divorce was
imminent, making the wife’s promise to remain in the
marriage a meaningful act.
Id. at 603 (emphases added). Similarly, in Whitmore, 16 years
before actually divorcing, the husband and wife executed a
document entitled “Marital Agreement” in which the wife “waived
her right to any business property owned by the husband,
regardless whether it was acquired before or after the
marriage.” Whitmore, 778 N.Y.S.2d at 74. The court found that:
Here, the wife received no consideration for signing the
postnuptial agreement. The postnuptial agreement does not
recite any consideration, and does not contain any mutual
promises. Although the wife released her claims on the
husband’s business property, he did not relinquish any
rights to any of her property or give the wife anything in
return. The husband claims that his continuing to remain
married to the wife provided adequate consideration. We
disagree.
Id. at 75 (emphases added). Therefore, when there is no actual
intent or contemplation of divorce, postmarital contracts, in
which one spouse promises to relinquish significant property
rights in the event of divorce, and the other side only promises
to remain in the marriage or to not get divorced, are void for
lack of consideration.
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2. The “agreements” lack consideration
Here, it is not clear as to what was the bargained-for
exchange that would support the existence of a contract in the
first two agreements.20 The October 6 Document provided that in
the event of a separation, Ray would give up half of his
interest in the couple’s home worth approximately $1.6 million,
plus the contents of the home (except his clothes and tools),
plus any interest in the couple’s vehicles. In the MOU, Ray
additionally agreed to pay $100,000 in lieu of alimony and court
proceedings. Therefore, Ray’s promise in the first two
“agreements” is clear; in the event of a divorce or separation,
he would relinquish or pay significant property to Sandra.
However, it is not clear what constituted Sandra’s
return performance or promise. The documents themselves do not
recite an exchange of promises. Intuitively, it would seem that
Sandra’s return “promise” was forbearance of her right to
divorce Ray. However, divorce was not on Sandra’s mind—it is
the uncontested findings of the family court that “Sandra was
not thinking about a divorce; she took Ray’s signing [of the
October 6 Document] as a show of his commitment”; “[t]he parties
signed the MOU with the intent that they would work on the
marriage”; “Sandra believed Ray signed the Quitclaim Deed
20
The Quitclaim Deed contained its own recitation of consideration.
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because he was serious about saving the marriage.” (Emphases
added). The family court found “that the parties were motivated
to save the marriage when they signed the various agreements
. . . . Neither party intended their marriage to result in a
divorce and to divide their marital estate accordingly.” Even
after overhearing Ray say “maybe divorce” to his sister, Sandra
still “wanted Ray to work on the marriage[.]” As it is the
uncontested findings of the family court that when Sandra signed
the first two agreements she did not intend to divorce Ray,
Sandra’s return promise could not have been to forbear from
acting on her legal right to divorce Ray.
At oral argument, counsel for Sandra characterized the
consideration for the October 6 “agreement” as the exchange of
mutual promises: “You promise to work hard on the marriage, and
I promise to work hard on the marriage, and if this thing
doesn’t work, this promise for promise, then this is how we’re
going to divide our assets.”21 When pressed on the issue of
consideration for the subsequent agreements, counsel conceded,
“We really didn’t delve into what the consideration was . . . We
really didn’t delve into that.”22 Moreover, a promise to work
hard or stay in the marriage would not serve as consideration
21
MP3: Oral Argument, Hawaiʻi Supreme Court, at 31:40 (Mar. 4,
2013), http:// www.courts.state.hi.us/courts/oral_arguments/archive/
oasc_11_1074.html.
22
Id. at 33:10.
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under Whitmore or Bratton. Whitmore, 778 N.Y.S.2d at 75;
Bratton, 136 S.W.3d at 600, 603. Sandra and Ray were already in
a legal union, therefore, a promise by either to remain in the
relationship would not constitute a new promise.
Such promises by Sandra would also be illusory. An
illusory promise is not consideration.
A promise or apparent promise is not consideration if by
its terms the promisor or purported promisor reserves a
choice of alternative performances unless
(a) each of the alternative performances would have been
consideration if it alone had been bargained for; or
(b) one of the alternative performances would have been
consideration and there is or appears to the parties to be
a substantial possibility that before the promisor
exercises his choice events may eliminate the alternatives
which would not have been consideration.
Restatement (Second) of Contracts § 77 (1981). That is,
promises which allow the promisor to choose from a range of
alternative return performances, at least some of which would
not constitute consideration, cannot constitute consideration.
Words of promise which by their terms make performance
entirely optional with the ‘promisor’ do not constitute a
promise. In such cases there might theoretically be a
bargain to pay for the utterance of the words, but in
practice it is performance which is bargained for. Where
the apparent assurance of performance is illusory, it is
not consideration for a return promise.
Id. at cmt. a (citation omitted). Consequently, a return
performance that is fully optional cannot constitute
consideration. Therefore, a promise of return performance that
allows for alternative performances that include not performing,
cannot constitute consideration.
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Here, the promise, “I promise to work hard in the
marriage,” would be illusory because Sandra reserved a right to
alternative performances—i.e., divorce or separation—which would
not constitute consideration. Further, Sandra’s performance of
the “promise” was entirely optional; that is, there was no
consequence or detriment to Sandra for a decision to “breach”
the contract by not working hard in the marriage.
Sandra did not make a valid return promise in exchange
for Ray’s promise to relinquish marital property or make certain
payments in the October 6 Document and the MOU. Therefore, the
October 6 “agreement” and MOU are voidable by Ray for lack of
consideration.
III. Conclusion
The facts demonstrate that all of the “agreements” are
unenforceable. First, the family court correctly found that the
Quitclaim Deed was unenforceable as unconscionable. Second, the
family court implicitly found that Ray’s assent to all of the
agreements was involuntary. As involuntariness is a question of
fact, the family court may be overturned only if its findings of
fact are clearly erroneous. Here, the family court’s findings
are not clearly erroneous because there is substantial evidence
supporting a finding of involuntariness as there is both ample
evidence of other circumstances demonstrating involuntariness
and the record supports a finding of undue influence. Moreover,
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this court should require closer scrutiny of postmarital
contracts, by holding that spouses are fiduciaries of the other.
Finally, the October 6 Document and the MOU are invalid and
unenforceable for lack of consideration. Instead of protecting
vulnerable parties to a postmarital agreement, the majority’s
holding allows an overreaching spouse seeking to circumvent
equitable distribution of marital assets to take financial
advantage of a committed partner who is desperately trying to
save the marriage.
/s/ Richard W. Pollack
38