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THE SUPREME COURT OF THE STATE OF ALASKA
CAROL HOPPER and ELIZABETH )
ROLLINS, Co-Conservators for TERRY ) Supreme Court No. S-16051
STAHLMAN, )
) Superior Court No. 4FA-12-01326 CI
Appellants, )
) OPINION
v. )
) No. 7146 – January 13, 2017
ESTATE OF JAMES GOARD, )
)
Appellee. )
Appeal from the Superior Court of the State of Alaska,
Fourth Judicial District, Fairbanks, Michael A. MacDonald,
Judge.
Appearances: Carol Hopper, pro se, Anchorage, and
Elizabeth Rollins, pro se, North Pole, Appellants. No
appearance by Appellee Estate of James Goard.
Before: Stowers, Chief Justice, Winfree, Maassen, Bolger,
and Carney, Justices.
BOLGER, Justice.
I. INTRODUCTION
Two co-conservators filed a motion to intervene in a lawsuit involving their
ward in order to seek relief from a judgment based on a settlement agreement. The
superior court denied the motion, and the co-conservators now appeal. We conclude that
the co-conservators were entitled to intervene as a matter of right under Alaska Civil
Rule 24 and that the denial of their motion to intervene was not harmless error.
Accordingly, we reverse the superior court’s order denying the motion to intervene and
remand for further proceedings.
II. FACTS AND PROCEEDINGS
Terry Stahlman and James Goard became business partners in the 1980s.
They relied on a verbal agreement and what became longstanding practice to split profits,
losses, and management duties. Things ran smoothly until late 2010, when Goard visited
Stahlman, who had been diagnosed with a potentially terminal illness, in the hospital.
Soon after, Goard allegedly stopped sending reports to Stahlman and, eventually, making
deposits in the partners’ bank account.
Stahlman — self-represented — filed suit against Goard in March 2012,
alleging that Goard took advantage of him after learning of his illness. He sought more
than $80,000 in damages. Goard counterclaimed, seeking over a million dollars in
damages as well as injunctive relief. Goard died shortly thereafter, and his estate took
over the litigation.
The case languished for about two years until the parties eventually
participated in a settlement conference on June 18, 2014. Stahlman was assisted by
Robert Alexander, who claimed to be a friend holding power of attorney for Stahlman.
It is unclear from the transcript whether the court received or examined any document
confirming Alexander’s power of attorney. Both Stahlman and Alexander participated
telephonically, and Stahlman barely spoke. During the conference, Goard’s estate
produced a copy of a settlement agreement bearing Stahlman’s notarized signature dated
May 30, 2014, in Fairbanks; the agreement was also signed by Alexander and the
personal representative for Goard’s estate. In relevant part the settlement agreement
awarded three pieces of property to Goard’s estate, one of which was to be sold with a
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portion of the proceeds split between Stahlman and Alexander. On August 22, 2014, the
court entered final judgment based on the agreement.
But on May 27, 2014, a few days before the settlement agreement was
signed, Elizabeth Rollins petitioned for conservatorship for Stahlman due to perceived
deterioration in his mental and physical faculties.1 Stahlman had been hospitalized in
December 2013; during the first half of 2014, he underwent three surgeries and was
prescribed “extreme narcotic pain medication.” On August 5, before final judgment was
entered in the Goard matter, the probate court held a hearing in the conservatorship
proceeding, which Alexander attended and refused to leave until the court ordered him
out. Rollins and Carol Hopper were appointed temporary co-conservators at the hearing,
and the co-conservatorship became permanent in May 2015.
The co-conservators first learned about the settlement agreement in the
Goard matter in early May 2015, almost nine months after entry of final judgment. On
May 27, 2015, Rollins, self-represented and in coordination with her co-conservator,
moved to reopen and reconsider the settlement on behalf of Stahlman. The co-
conservators alleged that Stahlman did not sign the settlement agreement and could not
have been in Fairbanks on May 30, 2014 — the day his signature on the settlement
agreement was purportedly notarized in Fairbanks — due to his limited mobility; that
they were not advised of the settlement; and that the other parties to the settlement were
aware of Stahlman’s incapacity and, essentially, had taken advantage of him. Goard’s
estate did not oppose the motion. The superior court considered this filing to be separate
motions to intervene and to reconsider the settlement, and it denied both motions without
explanation in early June.
1
In re Stahlman, No. 3AN-14-01234 PR (Alaska Super., May 27, 2014).
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The co-conservators appeal.2 Goard’s estate did not appear in any part of
the proceedings involving the co-conservators.
III. DISCUSSION
Alaska Civil Rule 24(a) provides for intervention as of right in certain
situations. “We favor allowing access to courts and will liberally construe [this rule].”3
But if denial of a motion to intervene was harmless error, we need not review it.4
In State v. Weidner we articulated a four-part test to determine whether a
court must grant a motion to intervene as of right:
(1) the motion must be timely; (2) the applicant must show an
interest in the subject matter of the action; (3) it must be
shown that this interest may be impaired as a consequence of
the action; and (4) it must be shown that the interest is not
adequately represented by an existing party.[5]
In reviewing a trial court’s denial of a motion to intervene as a matter of right, “we apply
our independent judgment ‘if timeliness is not at issue and if the facts relevant to
2
The co-conservators challenge the denial of both motions and ask us to
“reverse the [s]ettlement agreement.” Although we review the denial of their motion to
intervene, we do not reach their other arguments because “[a] failed intervenor has
standing to appeal only the denial of intervention” and not the merits of the adjudication.
Scammon Bay Ass’n v. Ulak, 126 P.3d 138, 142 (Alaska 2005).
3
Alaskans for a Common Language, Inc. v. Kritz, 3 P.3d 906, 912 (Alaska
2000).
4
See, e.g., Alaska Christian Bible Inst. v. State, 772 P.2d 1079, 1081 (Alaska
1989).
5
684 P.2d 103, 113 (Alaska 1984). This test closely tracks the text of the
rule. See Alaska. R. Civ. P. 24(a).
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intervention are not disputed because then only questions of law are posed.’ ”6 Because
neither timeliness nor any other facts relevant to the intervention are in dispute, we apply
our independent judgment here. We conclude that the co-conservators satisfied all four
elements and are entitled to intervene as a matter of right, and that denial of their motion
was not harmless error.
Regarding the first element, timeliness, “[w]e will not hold that a motion
to intervene is untimely if no party raises timeliness as an issue.”7 Here, no party
challenges timeliness on appeal. Thus, we will consider the co-conservators’ motion to
intervene timely.
Regarding the second element, the would-be intervenor’s interest in the
subject matter of the ligation, we have stated that “the requisite interest for intervention
as a matter of right must be direct, substantial, and significantly protectable.”8 Alaska
Civil Rule 17 makes it clear that conservators have exactly this type of interest, providing
that “[w]henever an . . . incompetent person has a representative, such as a . . .
conservator, or other like fiduciary, the representative may sue or defend on behalf of the
. . . incompetent person.”9 The fact that conservators owe fiduciary duties10 would
further strengthen the co-conservators’ interest in helping Stahlman make
litigation-related decisions and “manage [his] property . . . effectively” to prevent it from
6
Harvey v. Cook, 172 P.3d 794, 798 (Alaska 2007) (quoting Alaskans for
a Common Language, 3 P.3d at 912).
7
Anchorage Baptist Temple v. Coonrod, 166 P.3d 29, 33 (Alaska 2007).
8
Weidner, 684 P.2d at 113.
9
Alaska R. Civ. P. 17(c).
10
AS 13.26.245 (“[A] conservator shall act as fiduciary . . . .”).
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being “wasted.”11 Accordingly, we conclude that the co-conservators had the requisite
interest.
Regarding the third element, impairment of this interest, the co-conservators
allege various deficiencies and fraudulent behavior accompanying the court’s entry of
judgment on the settlement, which they challenge on Stahlman’s behalf. Accordingly,
we conclude that their interest was impaired by the denial of the motion to intervene.12
Regarding the fourth element, that the interest was not adequately
represented by another party, we have stated that “ ‘[i]nadequacy’ [may be] proven by
a showing of . . . possible nonfeasance, or incompetence.”13 Here, Stahlman was deemed
to lack capacity to handle his financial matters14 and manifestly did not make many of
the arguments the co-conservators now raise about the settlement. Accordingly, we
conclude that the co-conservators’ interest was not adequately represented by another
party to the action.
Because the four Weidner elements are satisfied, the co-conservators are
entitled to intervene as a matter of right.
11
AS 13.26.165(2).
12
Cf. McCormick v. Smith, 793 P.2d 1042, 1044 (Alaska 1990) (finding this
factor satisfied when the party whom the would-be intervenor supported “lost below”).
13
Weidner, 684 P.2d at 113. See also Mundt v. Nw. Expls., Inc., 947 P.2d
827, 831 (Alaska 1997) (finding this factor satisfied when one party had “no particular
interest in arguing [an issue important to the would-be intervenor] to the court below,
and . . . in fact did not do so vigorously”).
14
Under AS.13.26.165, a conservator may be appointed for a person “for
reasons such as mental illness, mental deficiency, physical illness or disability, advanced
age, chronic use of drugs, chronic intoxication, fraud, confinement, detention by a
foreign power, or disappearance.” The record indicates that many of these reasons
applied to Stahlman’s situation.
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Denial of the co-conservators’ motion to intervene was not harmless error.
If the co-conservators had been able to intervene, they could have sought relief from
judgment under Alaska Civil Rule 60(b), which allows a court to grant such relief “upon
such terms as are just.”15 The rule provides at least three possibly applicable bases for
relief: “mistake, inadvertence, surprise or excusable neglect”; “fraud . . . ,
misrepresentation, or other misconduct of an adverse party”; or a void judgment.16
Although the superior court has discretion in ruling on motions for relief from
judgment,17 we observe that the co-conservators allege facts that, if proven, may allow
them to prevail on such a motion.18
IV. CONCLUSION
For the reasons explained above, we REVERSE the superior court’s denial
of the motion to intervene and REMAND this case to the superior court for further
proceedings.
15
Alaska R. Civ. P. 60(b).
16
Id.
17
Williams v. Williams, 252 P.3d 998, 1004 (Alaska 2011).
18
We further observe, without deciding, that the co-conservators may have
alleged facts sufficient to require an evidentiary hearing.
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