[Cite as Stanek v. Stanek, 2019-Ohio-2841.]
IN THE COURT OF APPEALS OF OHIO
SECOND APPELLATE DISTRICT
GREENE COUNTY
DANIEL G. STANEK, et al. :
:
Plaintiffs-Appellants : Appellate Case No. 2018-CA-39
:
v. : Trial Court Case No. 11533C
:
EDMUND D. STANEK, et al. : (Civil Appeal from
: Probate Court)
Defendants-Appellees :
:
...........
OPINION
Rendered on the 12th day of July, 2019.
...........
JUD R. MAUGER, Atty. Reg. No. 0063375 and GREGORY P. BARWELL, Atty. Reg. No.
0070545, 100 E. Broad Street, Suite 2350, Columbus, Ohio 43215
Attorneys for Plaintiffs-Appellants
PETER R. CERTO, JR., Atty. Reg. No. 0018880, One South Main Street, Suite 1590,
Dayton, Ohio 45402
Attorney for Defendants-Appellees
.............
WELBAUM, P.J.
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{¶ 1} This appeal arises from a dispute among siblings about their father’s estate.
Appellants, Daniel Stanek, Arlene Bottenfield, and Rosemarie Keenan appeal from a
judgment upholding the will and a transfer on death beneficiary designation made by
Edmund E. Stanek, and finding that Appellee, Edmund D. Stanek, did not exercise undue
influence over his father.1
{¶ 2} In challenging the judgment, Appellants have raised five assignments of
error. Essentially, they contend that the trial court abused its discretion and that the
judgment was against the manifest weight of the evidence.
{¶ 3} For the reasons discussed below, we conclude that the trial court did not err
in rejecting Appellants’ attempt to challenge the validity of the will and transfer on death
beneficiary designation due to lack of testamentary capacity and undue influence. The
court’s judgment was not against the manifest weight of the evidence. Accordingly, the
judgment of the trial court will be affirmed.
I. Facts and Course of Proceedings
{¶ 4} As a preliminary matter, we note that our recitation of facts relies primarily on
the testimony of Appellants, because the trial court stated that:
All the witnesses at trial were credible, except Defendant [Ed]. They
projected a calm, respectful, and confident demeanor. They were
responsive to questions. * * *
1To avoid confusion, we will refer to the decedent as “Stanek” and to his son as “Ed.”
When we refer to the other parties collectively, we will use “Appellants.”
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Defendant lacked any credibility whatsoever. His testimony was
deceptive and was peppered with snide and argumentative comments. He
was arrogant, flippant and evasive. Even when others were testifying,
Defendant’s body language was purposely distractive, rolling his eyes and
shooting looks of disbelief when others were testifying. His previous
blatant lie to this Court in an earlier hearing – stating that the Merrill Lynch
accounts had been nearly depleted – tainted everything he said during trial.
Words cannot describe the horrible impression Defendant made on the
Court.
Doc. #82, Decision and Judgment Entry, p. 6.
{¶ 5} The decedent, Edmund E. Stanek, was born in 1924 and died on February
1, 2017, at age 92. He and his wife had four children: Daniel, Arlene, Rosemarie, and
Ed. In 1986, Stanek executed a will naming his wife, Maria, as his sole beneficiary. In
the event that Maria predeceased him, each child was to be given an equal share of the
assets. If one of the children also predeceased Stanek, his or her share lapsed and was
to be distributed equally to the remaining children. Maria was named executrix, and in
the event of her death, Ed was named as executor. If Ed could not serve, Daniel was to
be the executor.
{¶ 6} In 1996, Stanek sent Daniel, Arlene, and Rosemarie a letter listing an
enormous amount of money that he and his wife had spent on Ed. The list was titled
“Expenditures for Ed’s Domestic Violence w/Firearm + Divorce Cases,” and disclosed
more than $43,000 in expenses that had been paid. Plaintiff’s Ex. 2, pp. 2-4. The letter
further stated that “[i]f neither Mom or I receive reimbursement, this sum should be
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deducted from Ed’s share of our estate. It would not be fair otherwise.” Id. at p. 1.
{¶ 7} In March 2000, Stanek executed a First Codicil to his will. At that time, Maria
had been recently diagnosed with Alzheimer’s, but was still capable. Due to the
progressive nature of her disease, however, the family had been advised to change
paperwork for the will. The codicil designated Daniel as executor; if he were unable to
serve, Arlene and Rosemarie were to serve as co-executrixes. Daniel made up packets
containing the last will and testament and codicil, along with a power of attorney, and
everyone received a packet. In November 2000, Stanek also sent Daniel and Arlene a
detailed list of all of his and Maria’s property, including their residences, income property,
checking and savings account numbers, insurance policy numbers, life insurance
information, IRA information, and the like.
{¶ 8} At the time of Maria’s diagnosis, Stanek and Maria lived in Cleveland and
also owned a condo in Florida. Ed had lived with them in Cleveland for significant
periods of time, including after his 1976 divorce; during the late 1980’s; and during and
after his second divorce, from around 1996 to 2001. In the 2000-2001 time-frame,
Arlene had discussions with her parents about moving to Dayton, Ohio, where she lived.
This was due to Maria’s Alzheimer’s diagnosis and the desire to keep Maria at home. As
a result, Stanek and Maria came to Dayton in 2001 to look at properties. They then built
a condo and moved into it in April 2002.
{¶ 9} Ed lived with Maria and Stanek in their Cleveland house until it was sold.
When Maria and Stanek moved to Dayton from Cleveland, they told Daniel to tell Ed that
he was not expected and was not welcome to move with them to Dayton. Subsequently,
Ed moved in with Arlene and lived with her for several months.
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{¶ 10} After the move and until 2005, Maria and Stanek were living on their own
with some assistance from Arlene, who typically went over every day, first to make sure
Maria got up, and then in the evening, to make meals. After Stanek had surgery in 2005,
Ed and his girlfriend/fiancée moved in with his parents. During that time, Stanek paid
the girlfriend about $1,500 per week to compensate for her lost income. While these
payments were anticipated to be made only for a short time, they lasted longer due to
Stanek’s illness. Ed did not specifically say at trial how long this lasted, but his comments
in medical records indicate that his fiancée left after a couple of years, which would have
been sometime in 2007. See Plaintiff’s Ex. 1.
{¶ 11} In September 2007, Ed was arrested and removed from his parents’ home
after assaulting his father. Shortly after the incident, Ed returned to get his belongings.
Arlene and her husband were there, and her parents were outside the house. At that
time, Ed said to Arlene and her husband: “you think this -- this is all about money; and
if you think you’re going to get away with me being gone, I’ll make sure that you don’t see
a penny of dad’s money ever.” Transcript of Bench Trial, (“Tr. 1”), p. 182. During the
six to eight months that Ed was gone, the family had home care, and Arlene was also
there daily to care for her mother. At that time, the care was for Maria; Stanek did not
really need care.
{¶ 12} In 2008, Ed returned to his parents’ home. According to Arlene, Ed was
living in a breezeway of another home and asked his father if he could move back in. Ed
claimed, in contrast, that his father “begged” him to come back. In any event, Ed
returned and remained in the home until February 2017, when his father died. Maria had
previously died on June 4, 2012.
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{¶ 13} From 2005 until his death, Stanek had a number of hospitalizations and
medical problems, including bladder and prostate cancer; a triple bypass; diabetes;
essential hypertension; anemia; a cholecystectomy in July 2010 with a complicated post-
operative course, including respiratory failure and cardiac arrest; delirium in September
2010 due to conditions classified elsewhere; chronic kidney disease; MRSA in a sternal
incision; loss of peripheral vision due to stroke; retinopathy; a cataract; mild cognitive
impairment; and a hearing impairment. Stanek was also overweight and had significant
mobility issues. In February 2012, the medical notes indicate that Stanek was not
capable of managing his medications and that he was “[i]ncapable of handling money.”
Plaintiff’s Ex. 1 at p. 2. These issues remained the same throughout the rest of Stanek’s
life.2
{¶ 14} In 2014 alone, Stanek had several hospitalizations. On April 30, 2014, he
had a gastrointestinal bleed and lost six pints of blood. During the hospitalization, he
had three cardiac arrests, was sent to Kindred Care from May 16 to June 4, 2014, and
was then sent to Dayton Rehab, where he remained until around the last week of June
2014. See Defendant’s Ex. D.
{¶ 15} On June 4, 2015, Stanek signed several documents that had been prepared
by Attorney Pete Rife. These included: (1) a last will and testament, which made Ed the
sole beneficiary of Stanek’s estate and effectively disinherited the other siblings; (2) a
living will (naming Ed as first in priority to be notified if an attending physician determined
2The medical records that were submitted ended on June 30, 2016, several months
before Stanek died. See Defendant’s Ex. G. There is no indication that his health got
better; in fact, Arlene stated that Stanek’s worst time was the several months before he
passed away in February 2017.
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that life-sustaining treatment should be withheld; Arlene was listed second); (3) a power
of attorney granting Ed the power to act on Stanek’s behalf concerning all his affairs; and
(4) a durable power of attorney for health care granting Ed the power to act in all health
care decisions, and rejecting the designation of an alternate beneficiary. See Plaintiff’s
Exs. 3, 5, 6, and 7. In addition, Stanek brought a Merrill Lynch power of attorney form to
Rife’s office. This form had already been filled in. Stanek signed this power of attorney
as well, giving Ed the power to withdraw and transfer any amount of money from Stanek’s
account to himself or to third parties. See Plaintiff’s Ex. 4. Notably, the new will and
other documents were signed on the anniversary of Maria’s death, which was a significant
day for Stanek.
{¶ 16} Rife had virtually no recollection of the transaction. His paralegal, who
prepared the documents, indicated that they were prepared and signed very quickly,
within a day or so after the office was contacted. No copies of any documents were sent
to Appellants, nor did Ed ever notify them of any changes in the will. Rife was not the
attorney for the prior will and codicil.
{¶ 17} Both Daniel and Arlene were aware that their father had a significant
amount of money in a Merrill Lynch account. Daniel became aware of this in 2007 when
Ed was not living in the house and Daniel was assisting his father with financial matters.
The account had a transfer-on-death (“TOD”) designation, so that it would transfer to
Maria if Stanek predeceased her. If Maria died before Stanek, the account would be
included in the estate and would be divided equally among the children.
{¶ 18} On July 8, 2016, Stanek signed a new TOD beneficiary designation, naming
Ed as the sole beneficiary on his Merrill Lynch account. Ed believed that his father had
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previously signed a form on June 5, 2015 changing the TOD beneficiary from Maria to
Ed. However, that was an incorrect form. After Ed and Stanek made several trips to
Merrill Lynch, the correct form to change the TOD designation was ultimately signed on
July 8, 2016. According to Ed, the Merrill Lynch account was valued in June 2015 at
$180,000 to $189,000. At the time of Stanek’s death in 2017, the account was valued at
$198,000.
{¶ 19} Previously, in 2014, when Stanek was in a nursing home, Daniel,
Rosemarie, and Ed went to dinner after visiting their father. Daniel and Rosemarie were
concerned about bills and were also concerned because Ed had gone to great lengths to
keep their father in the nursing facility after he had been discharged. As a result, a bill
of about $17,000 was owed. They asked Ed specifically what had happened to the
Merrill Lynch account; Ed said it had been “wiped out” in the 2008 stock market crash,
and very little was left in the account.
{¶ 20} Arlene had also seen the Merrill Lynch portfolio when it contained around
$240,000. However, between October and November 2016, Ed told her there was very
little money in the account. This representation occurred in front of Stanek. Stanek
worried about money, and, at some point earlier, had also stopped paying for gifts for his
children and grandchildren.
{¶ 21} Between 2013 and 2017, Ed restricted Appellants’ personal and telephone
contacts with their father. Taking the telephone contacts first, Stanek’s hearing
impairment inhibited conversation even when contact was allowed. At trial, Stanek’s
medical records were admitted. These records began in July 26, 2011 (although they
included information about prior medical history). Even at that time, the doctor indicated
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that Stanek had “limited use” of the phone because of his hearing impairment.
Defendant's Ex. A., p. 1. The hearing situation did not improve, and later entries
indicated that Stanek was deaf or had serious difficulty hearing, that his hearing was
“markedly impaired,” that he did not or could not dial the phone, and that he did not hear
well. Defendant’s Exs. B, C, D, E, F, and G; Deposition of Dr. Lawhorne, pp. 26-34.
{¶ 22} All the Appellants testified that communicating with their father by telephone
was very challenging due to his hearing issues. Furthermore, even before 2015, Ed had
told his siblings that they should not even bother to talk to their father on the phone.
Although Arlene had provided a phone for her father, Stanek did not hear it ring and would
not answer it. As a result, in the 2015 time period, Arlene called Ed’s phone to speak to
her father, because that was the only one her father would use. However, the
discussions were frustrating because Stanek could not hear.
{¶ 23} As to visits, Daniel testified that when he visited his father from 2013 to
2017, Ed did not leave him alone with Stanek. While Ed walked out of the room at times,
Daniel had to shout so his father could hear. Daniel knew Ed was monitoring the
conversations because when he said something, Ed would suddenly pop in from the other
room and start talking about that subject. Arlene also said that she was not able to visit
alone with her father; Ed was always there and was in earshot. When they asked if they
could go out alone with their father, Ed would get upset.
{¶ 24} Although Rosemarie lived in another state most of her adult life, she lived
in Ohio from the middle of 2013 to the beginning of 2015. She was living with Daniel
part-time, in Columbus, Ohio, and tried to see her father every week; if he were ill, she
came every day. According to Rosemarie, there were many times that she was not
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allowed to see her father. Every time she called, Ed said that Stanek was sleeping, and
also said he would call back, but he did not. When Rosemarie was permitted to visit,
she was not allowed to see her father alone.
{¶ 25} When asked whether Ed exerted undue influence, Daniel stated:
Yes. You know, he [Stanek] was * * * a very fragile man toward the
end of his life. He had an enormous amount of dependency. As we
indicated, * * * he had already been struck in 2007, 2008. He * * * had had
a certain amount of, intimidation and feelings of – Well, I think anybody
would. I know we all felt intimidated by Eddie at times. And then you add
to it that he was basically completely dependent on Eddie for all his
appointments, his food, his medicines. There were a lot of opportunities
to, you know, not care for him if Eddie so chose. And I think that – I think
that my father also – and I’m not going to deny it. Eddie took very good
medical care of my father, and I think he appreciated that. And it got to the
point where he really felt like, you know, * * * I’m going to completely wait
for Eddie’s approval on whether I get up, whether I sit down, whether I eat.
***
* * * [T]he notion that I had was that [Stanek] was quite dependent
on him, on Eddie, for virtually every move, whether or not he would go visit
family, whether or not he would show up at social events, whether or not he
was able to go to dinner. These were all decisions that essentially Eddie
made and did it on my dad’s behalf. * * * [I]t got to be particularly acute as
time went on and to the point where when I would converse with him[,] he
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would actually look past me and look to Eddie as if looking for approval and
would speak in almost a robotic form, almost like he was being coached.
Tr. 1 at p. 141-142.
{¶ 26} As noted, the last will and other documents were signed on June 4, 2015,
and the final TOD designation was signed on July 8, 2016. Daniel’s first impression that
something may have changed was after Stanek died, when the funeral director asked
who the executor was. Based on his knowledge of the 1986 will and 2000 codicil, Daniel
was about to identify himself, but Ed jumped in immediately and said he was the executor.
Because he felt it was an inappropriate time to debate the matter, Daniel waited and
called Ed on February 15, 2017.
{¶ 27} The first question Ed asked was whether their conversation was being
taped. Daniel thought this was odd, and said no, that he was just calling from work.
Daniel shared with Ed that they were all very surprised when Ed had said he was the
executor. Then, Daniel asked what was going on, whether there was another will. Ed
said yes, and attempted to change the subject. During the conversation, Ed also said, “I
asked dad for certain things and he gave them to me.” Id. at p.117. When Daniel asked
where the will was, Ed said, “in due time.” Id. at p. 118. Appellants then did not see the
will until after Daniel filed the 1986 will and 2000 codicil on March 3, 2017.
{¶ 28} In the meantime, on February 17, 2017, Ed arranged to have the money in
Stanek’s Merrill Lynch account transferred to his new account. See Plaintiff’s Ex. 10.
Ed did not inform anyone of these facts or about the fact that the Merrill Lynch account
had assets; to the contrary, he actively concealed this from everyone and lied to the court
about the assets.
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{¶ 29} After Daniel filed the will and codicil, Ed filed an application with the court
on March 31, 2017, seeking to probate the June 4, 2015 will. Subsequently, in May
2017, Appellants filed the present action to contest the will, to obtain an accounting, and
for a temporary restraining order. The trial court construed the complaint as one for a
preliminary injunction and set a hearing for June 20, 2017. During the hearing, the trial
court discussed filing an entry (to which the attorneys had agreed), so that Ed could pay
ordinary and necessary bills of the estate, while preserving the assets until the merits of
the case could be decided. See Plaintiff’s Ex. 9 (Transcript of Preliminary Injunction
Hearing), pp. 3-9.
{¶ 30} During the hearing, the following exchange occurred:
The Court: Have you liquidated anything yet? Sold anything yet?
Mr. Edmund Stanek: My problem is assets, my dad was not a
millionaire.
The Court: I understand that.
Mr. Edmund Stanek: He had a very small pension and Social
Security, that’s the total assets he lived on for all of his life since he retired.
We are not talking about massive amounts of money.
Ex. 9 at pp. 9-10.
{¶ 31} As noted, the trial court later characterized this as a “blatant lie.” Doc. #82
at p. 6. After conducting discovery, Appellants sought and were granted leave to file an
amended complaint, based on their discovery of the June 4, 2015 Merrill Lynch power of
attorney, the change in the TOD beneficiary, and the fact that Ed had misled the court.
The amended complaint eliminated the request for a restraining order and added a count
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seeking to invalidate the TOD beneficiary designation on the Merrill Lynch account.
{¶ 32} In August 2018, the court held a two-day bench trial. The court then issued
a judgment in September 2018, concluding that Stanek did not lack testamentary capacity
and that Ed did not exercise undue influence. Appellants timely appealed from the
court’s decision.
II. Testamentary Capacity
{¶ 33} Appellants have presented two assignments of error specifically related to
the court’s findings on testamentary capacity, two assignments of error related to undue
influence, and a combined assignment of error addressing both issues. We will consider
the errors pertaining to testamentary capacity together. These assignments of error are
as follows:
The Trial Court Abused Its Discretion in Not Finding that the
Decedent Lacked Testamentary Capacity to Change His Will and Transfer
on Death Designation of His Merrill Lynch Account.
The Trial Court's Conclusions Regarding the Testamentary Capacity
of Decedent to Change His Will and Transfer on Death Designations Were
Unsupported by the Evidence and Are Clearly Erroneous and Contrary to
the Weight of the Evidence.
There was No Evidence Presented at Trial to Support Appellee’s
Assertions Regarding Testator’s Testamentary Capacity * * *.
{¶ 34} Under these assignments of error, Appellants contend that the trial court
erred by focusing on Stanek’s mental competence rather than on the fact that Stanek was
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unaware of the extent of his property, which Ed intentionally concealed from him.
{¶ 35} Under R.C. 2107.71(A), persons “interested in a will or codicil admitted to
probate * * * that has not been declared valid by judgment of a court * * * may contest its
validity by filing a complaint in the probate court in the county in which the will or codicil
was admitted to probate.” “On the trial of any will contest under section 2107.71 of the
Revised Code, the order of probate is prima-facie evidence of the attestation, execution,
and validity of the will or codicil.” R.C. 2107.74. “ ‘Prima facie evidence’ is not
conclusive. The term denotes evidence which will support, but not require, a verdict in
favor of the party offering the evidence.” Krischbaum v. Dillon, 58 Ohio St.3d 58, 64, 567
N.E.2d 1291 (1991). “Once the presumption of validity and testamentary capacity arises,
the burden of proof shifts to the contestant, who must prove undue influence or lack of
testamentary capacity by a preponderance of the evidence.” Bustinduy v. Bustinduy, 2d
Dist. Champaign No. 98-CA-21, 1998 WL 879121, *2 (Dec. 18, 1998), citing Golding v.
Ohio Natl. Bank of Columbus, 115 Ohio App. 465, 466, 185 N.E.2d 577, (10th Dist.1962).
(Other citation omitted.) “The evidence must outweigh the presumption of probate as
well as all evidence in favor of the will.” Id.
{¶ 36} “A testator has capacity to make a will when he has sufficient mind and
memory (1) to understand the nature of the business in which he is engaged, (2) to
comprehend generally the nature and extent of his property, (3) to hold in his mind the
names and identities of those who had natural claims upon his bounty, and (4) to be able
to appreciate his relation to members of his family.” In re Estate of Worstell, 2d Dist.
Montgomery No. 19133, 2002-Ohio-5385, ¶ 17, citing Niemes v. Niemes, 97 Ohio St. 145,
119 N.E. 503 (1917).
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{¶ 37} “Whether a testator was competent to make a will is not subject to direct
proof; competence must be proved inferentially from other evidence.” Worstell at ¶ 62.
“Evidence of the testator's mental and physical condition, both at the time the will is
executed and within a reasonable time before and after its execution, is admissible as
casting light on testamentary capacity.” Sigler v. Burk, 3d Dist. Crawford No. 3-16-19,
2017-Ohio-5486, ¶ 7, citing Kennedy v. Walcutt, 118 Ohio St. 442, 161 N.E. 336 (1928),
paragraph two of the syllabus, overruled on other grounds, Krischbaum, 58 Ohio St.3d
58, 567 N.E.2d 1291. Accord Worstell at ¶ 46 (“it is the mental condition of the testator
at the time of making a will that determines his testamentary capacity”).
{¶ 38} Furthermore, while changing a beneficiary designation is a contractual act,
courts have held that “the test of testamentary capacity can also be used as a standard
for mental capacity to execute a beneficiary designation.” In re Estate of Flowers, 2017-
Ohio-1310, 88 N.E.3d 599, ¶ 84 (6th Dist.), citing Schiavoni v. Roy, 9th Dist. Medina No.
11CA0108-M, 2012-Ohio-4435, ¶ 17, and Rogers v. Frayer, 11th Dist. Geauga No. 94-
G-1854, 1995 WL 408196, *4 (June 16, 1995).
{¶ 39} The trial court concluded that Appellants failed to prove that Stanek was
incompetent or lacked testamentary capacity when he signed the will and the Merrill
Lynch forms. In this regard, the trial court found that Dr. Lawhorne’s testimony failed to
support the proposition that Stanek was incompetent; instead, the testimony
substantiated that Stanek had infirmities that were not debilitating and were only what
one would associate with a 90-year old person. The court also found that Stanek’s loss
of hearing and vision did “not equate to lack of testamentary capacity.” Doc. #82 at p. 7.
Finally, the court did not find relevance in whether Stanek read every word of the legal
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documents, noting that this is not a condition of testamentary capacity.
{¶ 40} In challenging the court’s judgment, Appellants allege abuse of discretion
and that the judgment was against the manifest weight of the evidence. Typically abuse
of discretion in will contest cases involves matters like continuances, evidentiary rulings,
and the like. See Bland v. Graves, 99 Ohio App.3d 123, 129, 650 N.E.2d 117 (9th
Dist.1994); Waldecker v. Pfefferle, 6th Dist. Erie No. E-02-002, 2002-Ohio-6187, ¶ 35
(admission of evidence); Flowers at ¶ 75-76 (admission of opinion testimony).
{¶ 41} In contrast, a manifest weight challenge involves “whether the greater
amount of credible evidence” supported the judgment. Flowers at ¶ 94, citing Eastley v.
Volkman, 132 Ohio St.3d 328, 2012-Ohio-2179, 972 N.E.2d 517, ¶ 17-19, and State v.
Thompkins, 78 Ohio St.3d 380, 387, 678 N.E.2d 541 (1997). Since Appellants challenge
the evidentiary basis for the trial court’s decision, we will apply this standard.
{¶ 42} “[I]n civil cases, ‘[w]hen a [judgment] is challenged on appeal as being
against the weight of the evidence, an appellate court must review the entire record, weigh
the evidence and all reasonable inferences, consider witness credibility, and determine
whether, in resolving conflicts in the evidence, the trier of fact “clearly lost its way and
created such a manifest miscarriage of justice that the [judgment] must be reversed and
a new trial ordered.” ’ ” Bayes v. Dornon, 2015-Ohio-3053, 37 N.E.3d 181, ¶ 46 (2d
Dist.), quoting State v. Hill, 2d Dist. Montgomery No. 25172, 2013-Ohio-717, ¶ 8, which,
in turn, quotes Thompkins at 387.
{¶ 43} After reviewing the record, we cannot find that the court’s judgment with
respect to testamentary capacity was against the manifest weight of the evidence. Dr.
Lawhorne, who treated Stanek during the relevant times, testified that he did not have
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any concerns with Stanek’s mental competency. Ex. 1 (Dr. Lawhorne Deposition), pp.
18-19. Furthermore, Stanek’s hearing instrument specialist, Jeff Lough, had dealt with
Stanek for seven to eight years prior to July 8, 2016. Lough last saw Stanek on this date
(which coincidentally occurred the same day the final TOD was signed and was also
Stanek’s last visit to Lough). Lough testified that during this last appointment, he and
Stanek conversed about various things, and that Stanek was able to give appropriate
answers to questions that he asked.
{¶ 44} Appellants’ own testimony indicated that Stanek was still able to recognize
them and other family members during the last two or three years of his life. Daniel, who
lived out of town, visited at least once a month; Arlene, who lived in the Dayton area,
visited at least once a week during the last few years of her father’s life; and Rosemarie
visited weekly in 2014 and 2015 when she lived in the area. If her father were ill, she
visited daily. From this testimony, it is apparent that Stanek was able to appreciate his
family members and to know those who had a natural claim to his bounty. Worstell, 2d
Dist. Montgomery No. 19133, 2002-Ohio-5385, at ¶ 17.
{¶ 45} Moreover, while the lawyer who prepared the June 2015 will had little
recollection of his meeting with Stanek, he said he would not have let Stanek execute the
will if he had questions about competency. The secretary who witnessed the signing of
this will also testified that she would not have signed if she questioned Stanek’s
competency. Likewise, the witness to the July 8, 2016 TOD stated that while Stanek had
difficulty hearing, she was able to communicate with him by speaking loudly. She also
said she did not see anyone coerce him or make him sign the TOD.
{¶ 46} Although Appellants contend that Stanek’s unawareness of the content of
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his Merrill Lynch accounts was evidence of his incompetence, we disagree. Stanek may
have been misled by Ed’s lies about the money in the Merrill Lynch account, but this does
not mean he was incompetent to make the will or to sign a TOD. Appellants were misled
as well, and there is no question that they were competent. In addition, Stanek was
aware that he owned a condo in Florida, as he discussed it with Rosemarie in November
2015.
{¶ 47} Based on the preceding discussion, the trial court’s finding of testamentary
capacity was not against the manifest weight of the evidence. Accordingly, the First
Assignment of Error, the Second Assignment of Error, and the part of the Fifth Assignment
of Error dealing with testamentary capacity are overruled.
III. Undue Influence
{¶ 48} The Third, Fourth, and Fifth Assignments of Error, which deal with undue
influence, state, respectively, that:
The Trial Court Abused Its Discretion in Not Finding that Decedent
Was Unduly Influenced by Appellee Edmund D. Stanek With Regard to the
Changing of His Will and Transfer on Death Designations.
The Trial Court’s Conclusions Regarding the Lack of Actual Undue
Influence by Appellee on Decedent to Change His Will and Transfer on
Death Designation Was [sic] Unsupported by the Evidence and Are Clearly
Erroneous and Contrary to the Weight of the Evidence.
There was No Evidence Presented at Trial to Support * * * the Trial
Court’s Conclusion that Appellee Edmund Stanek Did Not Impose Improper
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Influence on Testator to Change His Will and Transfer on Death
Designation.
{¶ 49} Under these assignments of error, Appellants contend that the trial court
erred in concluding that they failed to prove undue influence. According to Appellants,
the trial court’s decision was improperly based on speculative inferences like the
“possibility” that the decedent had a “change or heart” when he disinherited three of his
adult children and changed his TOD beneficiary. The issue of undue influence presents
a far more difficult question than the question of testamentary capacity.
{¶ 50} “ ‘Undue influence’ is ‘[a]ny improper or wrongful constraint, machination, or
urgency of persuasion whereby the will of a person is overpowered and he is induced to
do or forbear an act which he would not do or would do if left to act freely. * * * ’ ” Marich
v. Knox Cty. Dept. of Human Services/Children Services Unit, 45 Ohio St.3d 163, 166,
543 N.E.2d 776 (1989), quoting Black’s Law Dictionary 1370 (5th Ed.1979). Undue
influence “has also been described as a form of influence that would destroy the free
agency of the mind and cause people to act against their will.” Ross v. Barker, 101 Ohio
App.3d 611, 618, 656 N.E.2d 363 (2d Dist.1995), citing Raymond v. Hearon, 30 Ohio
App. 184, 164 N.E. 644 (1st Dist.). (Other citation omitted.)
{¶ 51} “The essential elements of undue influence are a susceptible testator,
another's opportunity to exert it, the fact of improper influence exerted or attempted, and
the result showing the effect of such influence.” West v. Henry, 173 Ohio St. 498, 501,
184 N.E.2d 200 (1962). “ ‘The mere existence of undue influence or an opportunity to
exercise it, although coupled with an interest or motive to do so, is not sufficient to
invalidate a will; such influence must actually be exerted on the mind of the testator with
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respect to the execution of the will and, in order to invalidate the will, it must be shown
that the undue influence resulted in the making of testamentary dispositions which the
testator would not otherwise have made.’ ” Kidwell v. Pitts, 2d Dist. Montgomery No.
22370, 2008-Ohio-4395, ¶ 10, quoting Buckingham v. Middlestetter, 2d Dist. Montgomery
No. 13575, 1993 WL 81827, *6 (Mar. 22, 1993).
{¶ 52} In its judgment, the trial court found that Appellants established three of the
elements of undue influence, but found insufficient evidence that Ed “actually imposed
improper influence” on Stanek. Doc. #82 at pp. 8-9. In this regard, the court stated that:
* * * The circumstantial evidence creates suspicion and inferences of
potential improper conduct by Defendant [Ed]. However, the Court finds
those inferences to be speculative and not supported by substantial
probative evidence that those inferences are the most probable or
reasonable explanation of what occurred.
The totality of the evidence creates other inferences that are equally
plausible. It is entirely possible that Decedent’s change of heart resulted
from his gratitude that Defendant devoted nine years attending to the
personal care of his parents when they needed it most – care which
undisputedly was extensive and of good quality. Plaintiff’s circumstantial
evidence is simply insufficient to overcome other equally reasonable
inferences from all the evidence.
Unfortunately, as in most will contest actions, we will never know the
true reason Decedent made the changes to his will in 2015. Despite
Defendant’s complete lack of credibility, it is not his burden to prove
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anything. The burden falls squarely on Plaintiffs. It is the Court’s opinion
that Plaintiffs failed to sustain that burden.
Doc. #82 at p. 9.
{¶ 53} Again, while Appellants raise abuse of discretion and a manifest weight
challenge, their argument is based on the evidence (and alleged lack of it).
Consequently, we will apply the manifest weight standard. As noted, a manifest weight
challenge involves “whether the greater amount of credible evidence” supported the
judgment.” Flowers, 2017-Ohio-1310, 88 N.E.3d 599, at ¶ 94. Given the trial court’s
credibility findings, one must look for credible evidence to support the judgment in places
other than Ed’s testimony.
{¶ 54} This case is very troubling in view of the deceit that Ed showed to his family
and the court. In addition, difficulty is caused by the fact that evidence of improper
influence is rarely direct; most evidence is circumstantial. Buckingham, 2d Dist.
Montgomery No. 13575, 1993 WL 81827, at *8 (Fain, J., concurring in judgment).
However, “[c]ircumstantial evidence and direct evidence are of equal value, especially
because some facts can only be proved by circumstantial evidence.” In re Estate of
Marsh, 2d Dist. Greene No. 2010 CA 78, 2011-Ohio-5554, ¶ 53, citing State v. Jenks, 61
Ohio St.3d 259, 272, 574 N.E.2d 492 (1991). Whether “circumstantial evidence is
conjectural and the inference speculative is essentially ‘the distinction between a
reasonable inference and a guess.’ ” Id., quoting Mid-America Tire, Inc. v. PTZ Trading
Ltd., 95 Ohio St.3d 367, 2002-Ohio-2427, 768 N.E.2d 619, ¶ 156.
{¶ 55} In explaining its comment about inferences, the Supreme Court of Ohio
referenced two cases that a defendant (PTZ) had cited for the proposition that “where
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different inferences are equally deductible from the same proved facts, neither inference
may be indulged.” Mid-America Tire at ¶ 155, discussing Dunkle v. Std. Life & Acc. Ins.
Co., 114 Ohio App. 65, 69, 180 N.E.2d 198 (4th Dist.1961), and Zeigler Milling Co. v.
Denman, 79 Ohio App. 250, 252, 72 N.E.2d 686 (5th Dist.1946).
{¶ 56} In Mid-America Tire, PTZ argued that another party (who made false
promises to the plaintiffs about a transaction) was not its agent since there was no direct
evidence that PTZ made the party its agent. Id. Because the plaintiffs had allegedly
tried to meet their burden by pointing to “ ‘ inferences drawn from neutral facts,’ ” PTZ
argued, based on Dunkle and Denman that “where different inferences are equally
deductible from the same proved facts, neither inference may be indulged.” Id.
{¶ 57} The Supreme Court of Ohio disagreed, stating that:
PTZ has succeeded in showing only that the evidence going to [the
alleged agent’s] status in the underlying transaction is circumstantial and
would have been sufficient to support differing conclusions. But not all
circumstantial evidence is conjectural, and not every inference is
speculative. The difference lies essentially in the distinction between a
reasonable inference and a guess. Dunkle and Denman do not, nor could
they, proscribe the drawing of reasonable inferences from proved facts.
Instead, they preclude the trier of fact from engaging in speculation, that is,
theorizing about a matter upon which the evidence is insufficient to support
a conclusion either way.
Mid-America Tire, 95 Ohio St.3d 367, 2002-Ohio-2427, 768 N.E.2d 619, at ¶ 156.
{¶ 58} Here, the “proved facts” were that Ed had lived with and had been financially
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supported by his parents for much of his adult life. Their relationship was difficult,
contradictory, and volatile at times, with his parents bailing Ed out of legal troubles by
expending large sums of money, but also ejecting him from their home on two different
occasions – one of which involved Ed’s assault of his father. Yet, when Stanek added
the 2000 codicil that excluded Ed as an executor, he chose not to decrease Ed’s share
of the inheritance. Ed’s parents also let him back in their home after the 2007 assault,
and he lived there until his father’s death in 2017.
{¶ 59} Other examples of the contradictory nature of the relationship are reflected
in the medical records. The February 21, 2012 medical notes indicated that the doctor
listened to a “taped conversation” between Ed and his father “when they discussed in a
heated argument their difficult relationship.” Plaintiff’s Ex. 1 at p. 1. Previously,
however, a July 26, 2011 medical note indicated that Stanek had described Ed as a
“terrific help.” Defendant’s Ex. A at p. 1. Other medical notes indicated that Ed and
Stanek “were getting along well,” and that Ed provided “24/7 care for [Stanek] and
continues to do an excellent job.” Defendant’s Exs. B, p. 1 (July 24, 2012), and G, p. 1
(June 30, 2016).
{¶ 60} Likewise, Daniel testified that “I think that my father also – And I’m not going
to deny it. Eddie took very good medical care of my father, and I think that he
appreciated that.” Tr. 1 at p. 141. This is not to say that the other three children did not
care for their father – they did so to the extent of their ability, given their proximity.
Nonetheless, Ed was the primary caretaker of both his parents between 2008 and 2017,
and apparently took very good medical care of them.
{¶ 61} Unfortunately, in light of these facts, we cannot say the trial court’s
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comments were speculative and should be disregarded. While we may have made a
different decision, the trial court’s observations were based on a reasonable inference
from the evidence. Ed and Stanek appeared to have had a co-dependent relationship
that Stanek did not have with his other children. Stanek may have reasonably decided
that Ed was incapable of supporting himself and that he should continue financially
supporting Ed after death, as he had done in life.
{¶ 62} Accordingly, while the result is troubling, we have no option but to affirm the
trial court’s judgment. As the court observed, Ed did not have the burden of proof. See
Hamilton v. Hector, 117 Ohio App.3d 816, 820, 691 N.E.2d 745 (3d Dist.1997) (party
claiming undue influence has the burden of establishing the elements).
{¶ 63} Accordingly, the Third and Fourth Assignments of Error, and the part of the
Fifth Assignment of Error relating to undue influence, are overruled.
IV. Conclusion
{¶ 64} All of Appellant’s assignments of error having been overruled, the judgment
of the trial court is affirmed.
.............
FROELICH, J. and TUCKER, J., concur.
Copies sent to:
Jud R. Mauger
Gregory P. Barwell
Peter R. Certo, Jr.
Hon. Thomas M. O’Diam