SLOSBERG v. GILLER ( 2022 )


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  •  NOTICE: This opinion is subject to modification resulting from motions for reconsideration under Supreme Court
    Rule 27, the Court’s reconsideration, and editorial revisions by the Reporter of Decisions. The version of the
    opinion published in the Advance Sheets for the Georgia Reports, designated as the “Final Copy,” will replace any
    prior version on the Court’s website and docket. A bound volume of the Georgia Reports will contain the final and
    official text of the opinion.
    In the Supreme Court of Georgia
    Decided: June 30, 2022
    S21G1226. SLOSBERG v. GILLER, et al.
    WARREN, Justice.
    Georgia law permits a settlor or testator to include in his trust
    instrument or will an “in terrorem clause.” “In terrorem” is a Latin
    phrase that means “in order to frighten,” and this type of clause,
    which is also known as a “no-contest clause,” is “[a] provision
    designed to threaten one into action or inaction; esp[ecially], a
    testamentary provision that threatens to dispossess any beneficiary
    who challenges the terms” of the legal instrument. See In Terrorem,
    Black’s Law Dictionary (11th ed. 2019); No-contest clause, Black’s
    Law Dictionary (11th ed. 2019). Simply put, an in terrorem clause
    acts as a disinheritance device to dissuade beneficiaries of a trust or
    a will from challenging the terms of the instrument.
    This case involves a contentious family dispute over the effect
    of an in terrorem clause in a trust instrument that was executed by
    David Slosberg (“David”), which said that if his son, Robert Slosberg
    (“Plaintiff”), or daughters, Suzanne Giller and Lynne Amy Seidner
    (“Defendants”), challenged the trust, they would forfeit any benefits
    they were to receive from it. After David died, Plaintiff filed a
    lawsuit alleging, among other things, that Defendants unduly
    influenced David to create the trust that contained the in terrorem
    clause, and at a trial in June 2019, the jury agreed. The trial court
    accordingly entered an order ruling that the trust instrument was
    void.     Defendants filed a motion notwithstanding the verdict,
    arguing, among other things, that the in terrorem clause contained
    in the trust instrument precluded Plaintiff from asserting the
    undue-influence claim in the first place. The trial court denied the
    motion, but the Court of Appeals reversed, holding that the in
    terrorem clause barred Plaintiff’s claim and resulted in his forfeiture
    of any benefits from the trust. See Giller v. Slosberg, 
    359 Ga. App. 867
     (858 SE2d 747) (2021).
    We granted Plaintiff’s petition for certiorari to address whether
    2
    that holding was correct. We conclude that it was not. As explained
    below, the Court of Appeals erred by determining that the in
    terrorem clause barred Plaintiff’s undue-influence claim and
    resulted in forfeiture of the assets the trust instrument otherwise
    provided. We therefore reverse that part of the Court of Appeals’s
    decision and remand the case to that court for it to remand the case
    to the trial court for further proceedings consistent with this
    opinion.
    1. Background
    (a) Pertinent Facts and Pretrial Proceedings
    The record shows the following. In May 2013, Plaintiff filed a
    lawsuit against Defendants in Fulton County Superior Court,
    claiming, among other things, that they had unduly influenced
    David, who was then 88 years old, to execute certain estate planning
    documents. 1 In January 2014, David created an irrevocable trust
    that, upon his death, would distribute a “nominal bequest” of
    1 Plaintiff also named David’s lawyer as a defendant; the lawyer was
    eventually dismissed from the case.
    3
    $25,000 to Plaintiff, with the remaining trust assets bequeathed to
    Defendants. The trust instrument included an in terrorem clause,
    which said, in pertinent part:
    [S]hould [Plaintiff], or his legal representative, or
    [Defendants], or their legal representatives[,] contest or
    initiate legal proceedings to contest the validity of this
    Trust or my Last Will and Testament . . . , or any provision
    from being carried out in accordance with its terms as I
    expressed (whether or not in good faith and with probable
    cause), then all the benefits provided herein for [Plaintiff]
    and/or for [Defendants] are revoked and annulled.[ 2]
    The trust instrument then said that any forfeited benefits would
    become “part of the remainder of [David’s] Trust Estate” and would
    be distributed to the “beneficiaries of [the] residual estate other than
    such contesting beneficiary”—in this context, to Defendants instead
    of to Plaintiff.
    David died in August 2014. In November 2015, Plaintiff filed
    a third amended complaint, asserting, among other things, that
    2 About three months before he created the trust, David executed a will,
    which bequeathed the same “nominal” amount to Plaintiff, left the remainder
    of his estate to Defendants, and contained a substantially similar in terrorem
    clause. In their brief here, Defendants note that Plaintiff filed a caveat to the
    will in Fulton County Probate Court and that the matter has been stayed
    pending resolution of this case.
    4
    Defendants unduly influenced David to create the irrevocable trust
    and that the trust was therefore invalid. 3 Defendants filed various
    counterclaims, and both parties filed motions for summary
    judgment. 4 In May 2016, the trial court issued an order that, as
    pertinent here, granted Defendants’ motion, ruling that there was
    no evidence of undue influence; declared that the trust was therefore
    valid; and concluded that under the in terrorem clause, Plaintiff had
    3  Plaintiff’s third amended complaint also alleged that Defendants
    unduly influenced David to make certain beneficiary designations for his
    individual retirement account (“IRA”) and an agency account; asserted claims
    of malicious prosecution, fraud, conversion, and trover; and sought a
    constructive trust regarding the IRA, agency account, and other funds. In
    addition, Plaintiff later asserted claims of tortious interference with gift
    expectancy, attorney fees and expenses of litigation, and punitive damages.
    The trial court ultimately granted Defendants’ motion for summary judgment
    on the claims of malicious prosecution, fraud, conversion, trover, and
    constructive trust. At trial, the jury found in Plaintiff’s favor as to the undue-
    influence claims regarding the IRA and agency account but rejected his claims
    of tortious interference with gift expectancy, attorney fees and litigation
    expenses, and punitive damages. These claims are not at issue in this appeal
    and, as a result, will not be discussed further.
    4 Defendants asserted claims of defamation, tortious interference, and
    punitive damages and sought a declaratory judgment and a bill of peace. They
    also later asserted several breach of contract claims. The trial court ultimately
    granted Plaintiff’s motions for summary judgment and judgment on the
    pleadings as to most of these claims; the remaining claims were resolved in
    Plaintiff’s favor when the court granted his motion for a directed verdict. None
    of these claims are at issue in this appeal, so they will not be discussed further.
    5
    forfeited any benefits from the trust. The parties appealed, and the
    Court of Appeals—without any mention of the in terrorem clause—
    reversed the grant of summary judgment because the trial court had
    improperly “discredited” and “limited the scope of [Plaintiff’s]
    evidence” of undue influence. Slosberg v. Giller, 
    341 Ga. App. 581
    ,
    582-583 (801 SE2d 332) (2017).
    The case then moved forward in the trial court. In March 2019,
    Defendants filed a motion for judgment on the pleadings, asserting,
    among other things, that under the Court of Appeals’s whole-court
    decision in Duncan v. Rawls, 
    345 Ga. App. 345
     (812 SE2d 647)
    (2018), the in terrorem clause contained in David’s trust instrument
    barred Plaintiff from raising an undue-influence claim in the first
    place.
    In April 2019, the trial court denied Defendants’ motion,
    ruling that the in terrorem clause did not bar Plaintiff’s undue-
    influence claim. Agreeing with Plaintiff’s assertion that Duncan
    was distinguishable from this case, the trial court concluded that the
    Court of Appeals in Duncan “declined to adopt” a good-faith or
    6
    probable-cause exception to the enforcement of an in terrorem
    clause, without addressing whether the beneficiaries’ challenge in
    that case resulted in a forfeiture of their distributions from the trust,
    “as opposed to precluding them from asserting an undue influence
    claim.”
    (b) The Trial and Motion for Judgment Notwithstanding the
    Verdict
    The case was tried from June 3 to 20, 2019. At the close of the
    evidence, Defendants moved for a directed verdict, again arguing,
    among other things, that the in terrorem clause contained in David’s
    trust instrument barred Plaintiff’s undue-influence claim. The trial
    court denied the motion. At the end of the trial, the jury found that
    Defendants had unduly influenced David to create the trust.
    In August 2019, the trial court entered a final judgment,
    ruling, in pertinent part, that the trust instrument was void. The
    court imposed a constructive trust, granting Plaintiff one-third of
    the amount in David’s trust account, which contained about
    $1,449,000 at the time of trial. The trial court also concluded that
    Plaintiff was entitled to pre- and post-judgment interest.
    7
    Defendants filed a motion for judgment notwithstanding the
    verdict, again claiming that under Duncan, the in terrorem clause
    barred Plaintiff’s undue-influence claim in the first place. After a
    hearing, the trial court denied the motion in January 2020.
    (c) The Court of Appeals’s Decision
    Defendants appealed, contending that the in terrorem clause
    barred Plaintiff’s undue-influence claim and resulted in his
    forfeiture of trust benefits.5 The Court of Appeals agreed, reversed
    the trial court’s judgment, and remanded the case. See Giller, 
    359 Ga. App. 867
    .
    The Court of Appeals first noted that Defendants did not
    challenge the jury’s finding of undue influence.            It nonetheless
    determined that, despite Defendants’ “undisputed role in unduly
    influencing their father to secure the trust containing the in
    terrorem clause,” the court was “constrained to conclude that
    [Plaintiff’s] ‘initiation of legal proceedings triggered the [trust’s] in
    5  In addition, Defendants argued that the trial court erred by imposing
    a constructive trust and by awarding pre-judgment interest and funds that
    Plaintiff had already received. See Giller, 359 Ga. App. at 874-877.
    8
    terrorem clause.’” Id. at 871 (quoting Norman v. Gober, 
    292 Ga. 351
    ,
    354 (737 SE2d 309) (2013)). The Court of Appeals determined that
    although Plaintiff attempted to distinguish Duncan, that case was
    “directly on point” and led to the “inescapable conclusion” that the
    in terrorem clause in this case “bar[red] any claim attacking the
    trust, including a claim that the trust was executed as the result of
    undue influence.” Giller, 359 Ga. App. at 871.
    In so doing, the Court of Appeals repeated Duncan’s
    conclusions that in terrorem clauses “‘are allowed under Georgia law
    with only one codified limitation, that being [OCGA § 53-12-22 (b)]’”;
    that there is no statutory good-faith or probable-cause exception to
    the enforcement of in terrorem clauses in Georgia; and that, because
    it is the legislature’s role to determine public policy, the court would
    not judicially create such an exception. See Giller, 359 Ga. App. at
    871 (quoting Duncan, 345 Ga. App. at 348). Construing the issue of
    undue influence as Plaintiff seeking a “public policy” exception to
    the enforcement of an in terrorem clause, the court stated that “it is
    poor public policy to permit individuals exerting undue influence
    9
    over the creation of trusts to immunize their actions by including in
    terrorem clauses in the trusts,” but reiterated that it is the role of
    the legislature, not the courts, to “‘decide public policy, and to
    implement that policy by enacting laws.’” Id. at 872 (quoting
    Duncan, 345 Ga. App. at 350).
    The Court of Appeals then pointed out that the statute
    addressing in terrorem clauses in wills expressly contains a public-
    policy exception, see OCGA § 53-4-68 (a) (“Conditions in a will that
    are impossible, illegal, or against public policy shall be void.”), while
    the statute addressing in terrorem clauses in trusts contains no such
    exception, see OCGA § 53-12-22 (a) (“A trust may be created for any
    lawful purpose.”). See Giller, 359 Ga. App. at 872-873. Noting that
    after Duncan was decided, the General Assembly amended OCGA
    §§ 53-4-68 and 53-12-22 to add a new subsection to each statute that
    provides three nearly identical circumstances in which in terrorem
    clauses are not enforceable in wills or trusts, the Court of Appeals
    emphasized that the General Assembly did not amend OCGA § 53-
    12-22 (on trusts) to include a public-policy exception like the one in
    10
    OCGA § 53-4-68 (a) (on wills). See Giller, 359 Ga. App. at 872-873.6
    The Court of Appeals then held that the trial court erred by failing
    to conclude that the in terrorem clause resulted in Plaintiff’s
    6  From the time it was enacted in 2010 until an amendment became
    effective in January 2021, OCGA § 53-12-22 said:
    (a) A trust may be created for any lawful purpose.
    (b) A condition in terrorem shall be void unless there is a direction
    in the trust instrument as to the disposition of the property if the
    condition in terrorem is violated, in which event the direction in
    the trust instrument shall be carried out.
    From the time it was enacted in 1996 until an amendment became effective in
    January 2021, OCGA § 53-4-68 said:
    (a) Conditions in a will that are impossible, illegal, or against
    public policy shall be void.
    (b) A condition in terrorem shall be void unless there is a direction
    in the will as to the disposition of the property if the condition in
    terrorem is violated, in which event the direction in the will shall
    be carried out.
    As mentioned above, in January 2021, amendments to OCGA §§ 53-12-
    22 and 53-4-68 went into effect, which added at the end of subsection (b) of
    each statute the phrase “except as otherwise provided in subsection (c) of this
    Code section.” A new subsection (c) was also added to each statute. Those
    subsections, which contain substantially similar language, provide that an in
    terrorem clause “shall not be enforceable” against a person for: (1) bringing an
    action for interpretation or enforcement of a trust instrument or will; (2)
    bringing an action for an accounting, for removal, or for other relief against a
    trustee or personal representative; or (3) entering into a settlement agreement.
    See also OCGA §§ 53-5-25 (amended effective January 2021 to say that
    entering into a settlement agreement under this Code section shall not violate
    an in terrorem clause); 53-5-27 (same); 53-12-9 (same); 53-12-61 (amended
    effective January 2021 to say that petitioning for or consenting to a
    modification or termination of a trust under this Code section shall not violate
    an in terrorem clause). Because the former versions of OCGA §§ 53-12-22 and
    53-4-68 were in effect when David executed the trust instrument in 2014, the
    amended versions of the statutes are not at issue here.
    11
    forfeiture of benefits under David’s trust. See id. at 873.
    The Court of Appeals also determined that the trial court
    “further erred in permitting the undue influence claim . . . to proceed
    to the jury.” Id. Stating that this Court and the Court of Appeals
    have concluded in cases involving similar in terrorem clauses that
    the “mere ‘initiation’ of legal proceedings triggers [a] trust’s in
    terrorem clause,” the Court of Appeals said that “an in terrorem
    clause bars an individual from proceeding with an action—even one
    claiming undue influence.” Id. (citing, among other cases, Norman,
    
    292 Ga. at 354
    , Norton v. Norton, 
    293 Ga. 177
    , 179 (744 SE2d 790)
    (2013), and Duncan, 345 Ga. App. at 345). Accordingly, the court
    held that the in terrorem clause altogether barred Plaintiff from
    pursuing his undue-influence claim and that the trial court “erred
    in permitting the issue to go to the jury and accepting the jury’s
    verdict on that claim.” Id. at 873. 7
    7 The Court of Appeals also held that the trial court erred by imposing a
    constructive trust, reversed the court’s judgment in that respect, and
    remanded the case for further proceedings. See Giller, 359 Ga. App. at 877.
    The Court of Appeals did not address Defendants’ claims that the trial court
    12
    Then-Chief Judge McFadden dissented, arguing that “[u]nder
    fundamental and settled law,” the jury’s conclusion that the trust
    was the product of undue influence meant that the trust instrument,
    including the in terrorem clause, was void “at its inception.” Id. at
    877. Asserting that Duncan did not require a different result, the
    dissent noted that the court in that case did not address whether the
    beneficiaries had triggered the in terrorem clause, because the sole
    argument in the Duncan beneficiaries’ declaratory judgment lawsuit
    was that the court should judicially recognize a good-faith or
    probable-cause exception to the enforcement of in terrorem clauses.
    See Giller, 359 Ga. App. at 879.
    We granted Plaintiff’s petition for certiorari to address whether
    the Court of Appeals correctly concluded that the in terrorem clause
    in this case barred Plaintiff’s undue-influence claim and resulted in
    his forfeiture of benefits conferred by his father, David’s, trust. As
    erred by awarding pre-judgment interest and funds that Plaintiff had already
    received, saying that the trial court should consider those claims on remand if
    the court determined that the imposition of a constructive trust was still
    proper. See id. Plaintiff did not seek, and we did not grant, certiorari to
    address these issues, so we will not discuss them further.
    13
    explained below, we reverse the court’s holding on that point.
    2. Legal Background
    We begin by setting forth the statutory and common-law rules
    applicable to our analysis.      Specifically, we address the two
    subsections in the Georgia Code that expressly set forth a single
    requirement for the validity of an in terrorem clause; the common-
    law rules with respect to challenges to the valid formation of legal
    instruments; and the traditional, common-law principles regarding
    the effect of an in terrorem clause on such challenges.
    (a) Georgia Statutory Law
    Georgia law allows a testator or settlor to “guard a will or trust
    against attack” by including an in terrorem clause, which ordinarily
    provides that in the event a beneficiary challenges the will or trust,
    he will be disinherited. MARY F. RADFORD, GEORGIA TRUSTS          AND
    TRUSTEES § 2:1 (Nov. 2021 update) (“RADFORD”). See also, e.g.,
    Taylor v. Rapp, 
    217 Ga. 654
    , 656 (124 SE2d 271) (1962) (explaining
    14
    that in terrorem clauses are generally enforceable in this state).8
    This principle, though well established, has not been expressly
    codified in Georgia law. Indeed, only two provisions in the version
    of the Georgia Code that was in effect when David created the
    trust—OCGA § 53-12-22 (b) in the Trust Code and OCGA § 53-4-68
    (b) in the Probate Code—even mentioned in terrorem clauses.
    Specifically, former OCGA § 53-12-22 (b), which applies to the trust
    in this case, said:
    A condition in terrorem shall be void unless there is a
    direction in the trust instrument as to the disposition of
    the property if the condition in terrorem is violated, in
    which event the direction in the trust instrument shall be
    carried out.[9]
    Even though former OCGA § 53-12-22 (b) established this
    single statutory requirement—direction in the trust instrument for
    disposition of the forfeited property—that would void an in terrorem
    8 At least one state (Florida) statutorily prohibits in terrorem clauses in
    their entirety, see 
    Fla. Stat. Ann. § 732.517
    , but the majority of states, like
    Georgia, generally permit a settlor or testator to include an in terrorem clause
    in his trust or will. See RADFORD, supra, at § 2:1 & n.24; Gus G. Tamborello,
    In Terrorem Clauses: Are They Still Terrifying?, 10 EST. PLAN. & COMMUNITY
    PROP. L.J. 63, 98-100 (2017) (“Tamborello”).
    9   Former OCGA § 53-12-22 is set forth in footnote 6 above.
    15
    clause if not satisfied, neither that provision nor any other provision
    contained in the former (or current) Georgia Code indicates that an
    in terrorem clause is automatically valid and enforceable if that
    single condition is satisfied. For a broader view of how in terrorem
    clauses operate within trust instruments, we now turn to the long-
    standing legal principles about trusts that form the backdrop
    against which former OCGA § 53-12-22 (b) was enacted.
    (b) The Common-Law Rule Generally Allows Challenges to a
    Legal Instrument on the Ground That the Instrument Is Not
    Valid
    As we have explained, when an in terrorem clause that is valid
    under Georgia statutory law is included in a trust instrument, the
    clause ordinarily will disinherit a beneficiary who challenges the
    trust. But as we discuss in detail below, a predicate for the in
    terrorem clause’s operation is the valid formation of the legal
    instrument in which the clause is embedded.
    On this latter point, Georgia courts have long applied the
    common-law rule that the valid formation of a trust instrument,
    will, or contract may be challenged. Such challenges include, for
    16
    example, lack of capacity, duress, fraud, and undue influence—the
    claim at issue here. See EUNICE L. ROSS & THOMAS J. REED, WILL
    CONTESTS § 2:4 & 2.8 (2d ed., June 2022 update) (“ROSS & REED”)
    (explaining that as early as 1590, English common law recognized
    that the formation of a will could be challenged on the basis of lack
    of capacity, duress, fraud, or undue influence and noting that this
    rule was carried forward by “Blackstone to become part of the
    general legal background of the American colonies”) (footnote
    omitted); Grace M. Giesel, A Realistic Proposal for the Contract
    Duress Doctrine, 107 W. VA. L. REV. 443, 452 & n.46 (2005) (noting
    that as early as 1732, English common law recognized that a
    contract was voidable on the basis that it was unlawfully formed
    through duress). See also OCGA § 1-1-10 (c) (1) (establishing that
    the common laws of England as they existed on May 14, 1776 remain
    in full force and effect, “until otherwise repealed, amended,
    superseded, or declared invalid or unconstitutional”); Whitt v.
    Blount, 
    124 Ga. 671
    , 671 (
    53 SE 205
    ) (1906) (explaining that duress
    may void a contract); Terry v. Buffington, 
    11 Ga. 337
    , 343-345 (1852)
    17
    (explaining that lack of capacity, fraud, or undue influence may
    invalidate a will).
    Undue influence “‘amount[s] to deception or force and
    coercion . . . so that [a person] is deprived of free agency and the will
    of another is substituted for [his].’” Lewis v. Van Anda, 
    282 Ga. 763
    ,
    766 (653 SE2d 708) (2007) (citation omitted). It is well established
    that when the whole of a trust instrument, will, or contract is
    determined to be the product of undue influence, it is invalid; the
    document—including all of its provisions—is void.          See ROSS &
    REED, supra, at § 2.4 & 9:10 (noting that as early as 1590, Swinburne
    recognized that undue influence may invalidate a will and
    explaining that the doctrine may also invalidate a trust or contract).
    See also, e.g., Lewis, 
    282 Ga. at 767
     (upholding the jury’s finding
    that a trust was procured by undue influence and thus void); Tidwell
    v. Critz, 
    248 Ga. 201
    , 206-207 (282 SE2d 104) (1981) (explaining that
    a contract procured by undue influence is ordinarily voidable); Terry,
    
    11 Ga. at 343
     (noting that undue influence destroys the validity of a
    will); Mullis v. Welch, 
    346 Ga. App. 795
    , 799 (815 SE2d 282) (2018)
    18
    (explaining that a finding of undue influence invalidates a trust and
    noting that “this is the same standard required for the invalidation
    of a will or a deed as the result of undue influence”).10 In other
    words, a finding that an entire trust, will, or contract was procured
    by undue influence nullifies each and every provision in that
    document, regardless of the type of provision. See ROSS & REED,
    supra, at § 9:10; Alan R. Gilbert, Partial Invalidity of Will: May
    Parts of Will be Upheld Notwithstanding Failure of Other Parts for
    Lack of Testamentary Mental Capacity or Undue Influence, 64
    ALR3d 261 § 2 [a] (1975, updated weekly) (“Gilbert”) (explaining
    that “[o]bviously, if the entire will is the product of undue influence,
    10A trust, will, or contract that has been procured by undue influence is
    generally “voidable” until a beneficiary of a trust or will, or a party to a
    contract, challenges the legal document on that ground and a determination of
    undue influence is made, thus rendering the document “void.” When no such
    challenge has been raised, a document created through undue influence is not
    automatically void. See, e.g., ROBIN C. LARNER, 7 GEORGIA JURISPRUDENCE,
    BUSINESS AND COMMERCIAL LAW: CONTRACTS § 1:11 (May 2022 update)
    (explaining that a “voidable contract may be ratified expressly or by
    implication of the affected party” while a “void contract is no contract at all in
    that it binds no one and is merely a nullity”); DANIEL F. HINKEL, PINDAR’S
    GEORGIA REAL ESTATE LAW AND PROCEDURE WITH FORMS, § 19:16 (7th ed., Apr.
    2022 update) (explaining that “the term ‘voidable’ connotes continuance in
    force until repudiated”).
    19
    it is entirely invalid”). Cf. City Dodge, Inc. v. Gardner, 
    232 Ga. 766
    ,
    767, 769-770 (208 SE2d 794) (1974) (rejecting a seller’s argument
    that a clause in a contract saying that “no other agreement, promise
    or understanding of any kind pertaining to this purchase will be
    recognized” prevented the buyer from claiming that he relied on a
    fraudulent misrepresentation made by the seller, because the jury
    had concluded that the contract as a whole was invalid due to the
    fraud, which rendered the clause “ineffectual”).11
    The General Assembly enacted the Trust Code against the
    backdrop of this bedrock principle. Indeed, the Trust Code says,
    “Except to the extent that the principles of common law and equity
    governing trusts are modified by this chapter or another provision
    of law, those principles remain the law of this state.” OCGA § 53-
    11 In this case, Plaintiff claimed, and the jury found, that the entire trust
    instrument was procured by undue influence, thus invalidating the whole
    document. Thus, we need not consider the effect of a finding that only part of
    such a document was the product of undue influence. See Gilbert, supra, at
    § 2 [a] (explaining that “if the entire will is the product of undue influence, it
    is entirely invalid,” but noting that a majority of courts have held that if only
    part of a will was procured by undue influence, other portions of the will “may
    nevertheless be given effect, at least if such other portions are separable from
    the concededly invalid ones”).
    20
    12-3.        Nothing in the applicable version of the Trust Code, or
    elsewhere in the Georgia Code, suggests that the General Assembly
    intended to eliminate the common-law rule that a finding of undue
    influence invalidates a trust. See id. See also Gray v. State, 
    310 Ga. 259
    , 262 (850 SE2d 36) (2020) (explaining that “‘statutes are
    presumed to be enacted by the legislature with full knowledge of the
    existing condition of the law and with reference to it’” and that
    “‘common-law rules are still of force and effect . . . except where they
    have been changed by express statutory enactment or by necessary
    implication’”) (citation omitted).12
    It is true that, although the General Assembly has codified the undue-
    12
    influence rule in the Probate Code, see OCGA § 53-4-12 (“A will is not valid if
    anything destroys the testator’s freedom of volition, such as . . . undue
    influence whereby the will of another is substituted for the wishes of the
    testator.”), the General Assembly has not expressly codified a similar rule in
    the Trust Code. Nevertheless, absent evidence to the contrary, we do not
    presume this proves that the legislature intended to reject the bedrock undue-
    influence rule explained above with respect to trusts.
    Instead, we presume the opposite—that the legislature knew
    about the common-law rule, wanted to keep the rule, and
    understood that it would be unnecessary to write the rule into the
    statute when courts have incorporated the common-law rule into
    the statute for decades.
    Gray, 310 Ga. at 265. Notably, the General Assembly also has not codified the
    common-law rule about undue-influence with respect to contracts. Of course,
    it is well established that a contract can be voided on the basis that it was
    21
    (c) The Common-Law Rule About Challenging the Formation of
    a Trust Instrument Containing an In Terrorem Clause and
    the Effect of an Unsuccessful Challenge
    We have established that the general rule in Georgia is that if
    an entire legal instrument such as a trust is determined to have
    been procured by undue influence, that legal instrument—including
    all of the provisions contained in it—is invalid and thus void. See,
    e.g., Lewis, 
    282 Ga. at 767
    .        Under such circumstances, the in
    terrorem clause contained in the trust instrument—along with all
    other provisions of the instrument—would be invalid, and the null
    in terrorem clause could not effect a forfeiture.
    But how can a beneficiary of a trust establish that a trust
    instrument containing a statutorily compliant in terrorem clause 13
    is invalid? As described above, Georgia follows the common-law rule
    that the beneficiary of such a trust may challenge the validity (i.e.,
    created because of undue influence. See generally ROSS & REED, supra, at
    § 9:10; Tidwell, 
    248 Ga. at 206-207
    .
    13 There is no question that the trust here met that requirement, because
    undisputed record evidence shows that the trust instrument said that if the in
    terrorem clause were violated, the contesting beneficiary’s forfeited benefits
    would be distributed to the remaining beneficiaries.
    22
    the lawful formation) of the trust instrument, with the hope of
    rendering it—and the in terrorem clause contained in it—void. Such
    a challenge, however, runs the concomitant risk of forfeiting all of
    the benefits from the trust if the legal instrument is determined to
    be valid (i.e., not procured by lack of capacity, duress, fraud, undue
    influence, or some other legal doctrine that could render a legal
    instrument invalid), because under such circumstances, the in
    terrorem clause generally would be triggered by the beneficiary’s
    challenge. See Gerry W. Beyer et. al., The Fine Art of Intimidating
    Disgruntled Beneficiaries with in Terrorem Clauses, 51 SMU L. REV.
    225, 236-237 (1998) (“Beyer”) (discussing this principle, with respect
    to both trusts and wills, at English common law). See also
    Anonymous, 86 Eng. Rep. 910, 910 (1674); Webb v. Webb, 24 Eng.
    Rep. 325 (1710).
    A leading treatise on Georgia trusts explains it this way:
    In a sense, the in terrorem clause puts the beneficiary
    who is attacking the validity of a . . . trust in an “all or
    nothing” position: if the beneficiary wins and the . . . trust
    is voided, the in terrorem clause is also voided. On the
    other hand, if the beneficiary loses, the beneficiary
    23
    forfeits all of his or her interest under the . . . trust.
    RADFORD, supra, at § 2:1 n.17.
    In sum: the valid formation of a trust instrument is a
    precondition to the effectiveness of any in terrorem clause contained
    in it. If a beneficiary claims that a trust instrument was procured
    by undue influence and it is determined that the entire trust
    instrument was, in fact, procured by undue influence, then the trust
    instrument and its in terrorem clause are void. But if the undue-
    influence claim fails—meaning that the formation of the trust
    instrument was valid—then any statutorily valid in terrorem clause
    is triggered and the beneficiary forfeits any benefits otherwise
    conferred upon him by the trust.         This principle, which applies
    equally to trusts and to wills, see RADFORD, supra, at § 2:1 n.17,
    makes perfect sense. A person cannot improperly compel the
    creation of a legal document by force, fraud, or undue influence and
    immunize his or her ill-gotten gains from challenge by including an
    24
    in terrorem clause in the document. 14
    Although it appears that we have not previously set forth this
    fundamental principle in the clear manner undertaken here, this
    Court routinely has applied the rule. For example, in Simmons v.
    Norton, 
    290 Ga. 223
     (719 SE2d 421) (2011), two sisters filed a caveat
    challenging the validity of their father’s will on the ground that it
    was procured by undue influence. See 
    id. at 223-224
    . This Court
    14  Many commentators have explained this well-established rule with
    respect to both trusts and wills. See, e.g., Tamborello, supra, at 65 (explaining
    that if a will contest successfully invalidates a will, it also invalidates the in
    terrorem clause in the will, but if the contest is unsuccessful and the will
    stands, the beneficiary forfeits what he would have otherwise received under
    the instrument); Deborah S. Gordon, Forfeiting Trust, 57 WM. & MARY L. REV.
    455, 469 (2015) (noting that a beneficiary who contests a will “will be
    disinherited if the will turns out to be valid and admissible” but that “if she
    succeeds in discrediting the will, of course, the entire document—including its
    forfeiture clause—will be struck down”); Lela P. Love & Stewart E. Sterk,
    Leaving More Than Money: Mediation Clauses in Estate Planning Documents,
    65 WASH. & LEE L. REV. 539, 564 (2008) (explaining that a successful claim
    that a will is invalid “would invalidate the no contest clause”); Beyer, supra, at
    227 (“If the contestant successfully obstructs the probate of the testator’s will
    or invalidates the trust, the in terrorem provision is disregarded because the
    entire instrument to which it is an integral part is nullified.”); W. BARTON
    LEACH, CASES AND TEXT ON THE LAW OF WILLS, 111 & n.10 (1939) (explaining
    that if a challenge to the validity of a will is successful, the in terrorem clause
    “[o]bviously . . . falls with the rest of the will”).
    Although the Georgia General Assembly has not codified the rule that a
    successful challenge to the formation of a trust instrument or will invalidates
    any in terrorem clause contained in the instrument, nothing in the Georgia
    Code indicates that the General Assembly intended to eliminate this
    traditional rule. See Gray, 310 Ga. at 262. See also footnote 12.
    25
    held that the trial court properly granted summary judgment on
    that claim because there was “simply no evidence” to support it. Id.
    at 224.     The sisters then filed a lawsuit seeking a declaratory
    judgment to determine the effect of an in terrorem clause in the will;
    the trial court determined that the sisters had forfeited their
    inheritance under the clause; and we affirmed, holding that their
    prior caveat resulted in the forfeiture of their entire interest under
    the will. See Norton v. Norton, 
    293 Ga. at 177-179
    . This conclusion
    aptly illustrates the traditional rule: the sisters challenged the
    validity of a will containing an in terrorem clause, asserting that it
    was procured by undue influence; they failed to establish that the
    formation of the will was a product of undue influence, meaning that
    the legal instrument (i.e., the will) was valid; the in terrorem clause
    was thus triggered; and the sisters’ inheritance was consequently
    forfeited under the valid and effective clause. See 
    id.
    Another case similarly demonstrates our application of this
    rule.    In Norman v. Gober, 
    288 Ga. 754
     (707 SE2d 98) (2011)
    (“Norman I”), we affirmed the probate court’s dismissal of a caveat
    26
    filed by the appellant grandchild, who was a minor and a contingent
    residuary beneficiary under his grandmother’s will, claiming that
    the will was invalid on the grounds of undue influence and lack of
    capacity. See id. at 754. We concluded that the grandchild lacked
    standing to file the caveat, because he would have benefited from
    the probate of the will and because his challenge, if successful, would
    have destroyed his contingent interest. See id. at 755. We noted
    that the challenge appeared to be “undertaken to benefit [the
    grandchild’s] mother,” who had been bequeathed only a specific
    amount of money under the will, with the remainder of the estate to
    be placed in trust for the mother’s sister. Id.
    Following that appeal, the co-executors of the will filed a
    petition for declaratory judgment and served discovery requests on
    the mother and other beneficiaries to determine who was actually
    responsible for the caveat and whether an in terrorem clause in the
    will could prevent them from inheriting. See Norman, 
    292 Ga. at 353
     (hereinafter “Norman II”). The mother and other beneficiaries
    filed a motion to dismiss the petition, which the probate court
    27
    denied, and we affirmed.         See 
    id. at 353-354
    .        We rejected the
    beneficiaries’ argument that the grandchild’s earlier challenge to
    the will did not constitute a will contest, noting that his claims
    sought to invalidate the formation of the will itself. See 
    id. at 354
    .
    We then held that the grandchild’s “initiation of legal proceedings
    triggered the in terrorem clause and might, under circumstances
    which may be uncovered, be attributed to a party other than [the
    grandchild].” 
    Id.
     Despite its peculiar circumstances, Norman II,
    like Norton, exemplifies the traditional rule: the grandchild
    challenged the validity of a will containing an in terrorem clause,
    asserting that it was the product of undue influence and lack of
    capacity; his claims failed; the will was therefore valid and the in
    terrorem clause was effective to potentially disinherit whichever
    beneficiary was actually responsible for the grandchild’s filing the
    caveat. See Norman II, 
    292 Ga. at 354
    .15
    Thus, the common-law rule regarding the effect of an in
    15As discussed in Division 3 below, the Court of Appeals’s opinion in this
    case misread the holdings of Norton and Norman II.
    28
    terrorem clause on a challenge to the valid formation of a legal
    instrument has been consistently applied by this Court.             See
    Norman II, 
    292 Ga. at 354
    ; Norton, 
    293 Ga. at 177-179
    . See also
    Caswell v. Caswell, 
    285 Ga. 277
    , 277-279 & n.3 (675 SE2d 19) (2009)
    (affirming the trial court’s judgment following a jury verdict that
    rejected the appellant’s claims that a will was the product of undue
    influence and lack of capacity, and noting that the trial court
    reserved the issue of the validity of an in terrorem clause in the will
    and its effect on the appellant for resolution after the trial); Lillard
    v. Owens, 
    281 Ga. 619
    , 619-622 (641 SE2d 511) (2007)
    (acknowledging that a will contained an in terrorem clause but
    holding that the evidence was legally sufficient to sustain the jury’s
    verdict that the will was the product of undue influence); Lanier v.
    Lanier, 
    218 Ga. 137
    , 139-146 (126 SE2d 776) (1962) (rejecting the
    plaintiff’s contention that a will was invalid because it violated the
    rule against perpetuities and then concluding that the plaintiff had
    forfeited his inheritance under an in terrorem clause contained in
    29
    the will). 16
    3. Analysis
    We turn now to the analysis of the circumstances presented in
    this case.      The Court of Appeals majority opinion held, and
    Defendants argue, that the in terrorem clause in David’s trust
    barred Plaintiff from asserting his undue-influence claim in the first
    place and resulted in his forfeiture of trust assets.                 But that
    conclusion is incorrect, because as we explained above, it is well
    established under Georgia law that an in terrorem clause does not
    bar a challenge to the valid formation of a legal instrument such as
    16 These cases illustrate that a challenge to the valid formation of a trust
    instrument or will is a threshold issue that courts ordinarily should resolve
    before determining whether the challenge causes a forfeiture under an in
    terrorem clause contained in the instrument. We note that these cases
    involved challenges to the validity of a will, rather than a trust. Although we
    have found no Georgia cases before this one addressing the effect of an in
    terrorem clause on a challenge to the formation of a trust instrument, our
    appellate courts have regularly relied on cases involving in terrorem clauses in
    wills when analyzing the effect of an in terrorem clause on a trust. See, e.g.,
    Snook v. Sessoms, 
    256 Ga. 482
    , 482 (350 SE2d 237) (1986); Callaway v.
    Willard, 
    321 Ga. App. 349
    , 353 (739 SE2d 533) (2013). See also Johnston v.
    Goss, Case No. 95-6295, 
    1997 WL 22530
    , at *10 (10th Cir. Jan. 22, 1997)
    (vacating the trial court’s grant of summary judgment on the plaintiff’s claim
    that a trust was procured by undue influence because there were triable issues,
    and declining to address the question of the application of the in terrorem
    clause in the trust because “the validity or invalidity of the trust has not been
    conclusively determined”).
    30
    a trust or will. Nor does such a clause result in forfeiture when a
    beneficiary successfully voids a trust or will.
    Here, Plaintiff raised an undue-influence claim to challenge
    the validity of the trust instrument—which included the in terrorem
    clause contained in it. The trial court properly permitted Plaintiff’s
    undue-influence claim to proceed to the jury, and when the jury
    determined that the trust was procured by undue influence, the
    trust and its in terrorem clause were rendered void and without
    effect. Because Plaintiff’s undue-influence claim was successful, the
    void in terrorem clause did not result in his forfeiture of benefits
    from the trust. 17
    The Court of Appeals majority’s conclusion to the contrary
    17Of course, had the jury concluded that Plaintiff did not prove that the
    trust had been procured by undue influence, then the trust instrument would
    have remained valid; the in terrorem clause would have applied; and Plaintiff
    would have forfeited all benefits conferred by the trust, as opposed to inheriting
    $25,000 under an unchallenged trust instrument or the larger sum he
    inherited after the trust instrument was found to be void.
    Notably, in its prior opinion in this case, it appears that the Court of
    Appeals properly allowed the undue-influence claim to proceed to the jury. See
    Slosberg, 341 Ga. App. at 582-583 (holding that there was some evidence to
    support Plaintiff’s undue-influence claim and reversing the grant of summary
    judgment to Defendants on the basis that the trust was valid and that Plaintiff
    had forfeited his benefits under the in terrorem clause).
    31
    misunderstood the background law and our case law interpreting it,
    and Defendants repeat those misconceptions in their brief to this
    Court. First, the majority opinion implied that an in terrorem clause
    is automatically valid, regardless of the validity of the trust
    instrument or will in which the clause is contained, if the clause
    satisfies former OCGA § 53-12-22 (b), which renders an in terrorem
    clause invalid if the trust instrument does not contain a direction as
    to the disposition of the forfeited property in the event the clause is
    violated. See Giller, 359 Ga. App. at 870-871. As we discussed
    above, however, former OCGA § 53-12-22 (b) provides the only
    codified requirement for the validity of an in terrorem clause in a
    trust instrument, but our common law supplies additional rules that
    can invalidate an in terrorem clause if a beneficiary successfully
    challenges the formation of the trust instrument that encompasses
    the clause. Nothing in former or current OCGA § 53-12-22 (or the
    rest of the Trust Code) overrides those common-law rules. See
    OCGA § 53-12-3; Gray, 310 Ga. at 262.
    Second, the Court of Appeals majority wrongly interpreted the
    32
    issue of undue influence by treating it as a matter of public policy
    instead of as a legal doctrine. That misstep led the court to rely
    incorrectly on Duncan and the language in OCGA § 53-4-68 (a),
    which says, “Conditions in a will that are impossible, illegal, or
    against public policy shall be void.”     But the principle that the
    provisions in a legal instrument such as a trust, will, or contract
    must be valid to be effective is not merely an issue of “public policy”;
    it is a well-established common-law rule that our courts have
    followed for more than a century. See, e.g., Whitt, 
    124 Ga. at 671
    ;
    Terry, 
    11 Ga. at 343-345
    . See also Innovative Images, LLC v.
    Summerville, 
    309 Ga. 675
    , 681 (848 SE2d 75) (2020) (explaining that
    “a contract is void as against public policy not because the process of
    entering the contract was improper and objectionable by one party
    or the other, but rather because the resulting agreement itself is
    illegal and normally unenforceable by either party”) (emphasis in
    original).
    The Court of Appeals majority’s flawed “public policy” analysis
    precipitated its incorrect determination that Duncan was “directly
    33
    on point,” and that led to its “inescapable” (but erroneous) conclusion
    that an in terrorem clause “bars any claim attacking [a] trust,
    including a claim that the trust was executed as the result of undue
    influence.”   Giller, 359 Ga. App. at 871.        What is more, the
    circumstances of Duncan are distinguishable.         In that case, the
    trustees sought a declaratory judgment that the decedent’s trust,
    which contained an in terrorem clause, was valid, and the
    beneficiaries filed a counterclaim seeking a declaratory judgment
    that the in terrorem clause was not enforceable “to the extent it
    preclude[d] them from asserting . . . a claim of undue influence,”
    even though the beneficiaries alleged that they had a good-faith
    basis and probable cause to assert such a claim. Duncan, 345 Ga.
    App. at 346-347. The trustees filed a motion for summary judgment
    on the counterclaim, which the trial court granted, declining the
    beneficiaries’ invitation to judicially create a good-faith or probable-
    cause exception to the enforcement of in terrorem clauses. See id. at
    347.
    On appeal, the beneficiaries contended only that such an
    34
    exception should be recognized under Georgia law, as it is recognized
    under the statutory or decisional law of other states. See id. The
    Court of Appeals rejected that argument and affirmed the trial
    court. It held that there is no statutory good-faith or probable-cause
    exception to the enforcement of in terrorem clauses and that there
    is no public-policy exception in the Trust Code, and it declined to
    adopt such an exception. See id. at 350 (noting that the “‘legislature,
    and not the courts, is empowered by the Constitution to decide
    public policy, and to implement that policy by enacting laws’”)
    (citation omitted).
    In other words, in Duncan, the beneficiaries preemptively
    sought a declaration that the in terrorem clause was unenforceable
    “to the extent it preclude[d] them” from asserting an undue-
    influence claim. And they contended that their challenge would not
    result in the forfeiture of their benefits, given that they had a good-
    faith basis and probable cause to bring the claim. The beneficiaries
    essentially sought to secure a ruling that, as a matter of law, the in
    terrorem clause contained in the trust was unenforceable because
    35
    the clause itself prevented the beneficiaries from bringing an undue-
    influence claim. They thus sought to indirectly challenge the trust
    without bearing the concomitant risk of forfeiting all of their
    benefits if the trust instrument was later determined to be valid.
    See, e.g., RADFORD, supra, at § 2:1 n.17; Beyer, supra, at 227. The
    Court of Appeals held that they could not do so, and declined to
    usurp the legislative branch’s authority to establish public policy by
    judicially creating a non-statutory good-faith or probable-cause
    exception to the enforcement of in terrorem clauses in trust
    instruments. See Duncan, 345 Ga. App. at 350.
    As the trial court in this case recognized, Duncan answered
    only a narrow question: whether to judicially create a good-faith or
    probable-cause exception to the enforcement of an in terrorem clause
    that would permit a beneficiary to challenge the validity of a trust
    without risking forfeiture. But that question is not pertinent in this
    case because Plaintiff, unlike the beneficiaries in Duncan, actually
    asserted and won his undue-influence claim, thus rendering the
    trust instrument and in terrorem clause void under Georgia law; he
    36
    therefore need not (and does not) rely on a good-faith or probable-
    cause exception to prevail. Duncan’s holding is inapposite here, and
    the Court of Appeals was wrong to rely on it.18
    18 We note that, in determining that Georgia law does not recognize a
    good-faith or probable-cause exception, Duncan did not grapple with the
    question of whether the common law of England as it existed in 1776, and
    which the General Assembly adopted as Georgia law, recognized such an
    exception. See OCGA §§ 53-12-3; 1-1-10 (c) (1). See also Powell v. Morgan, 23
    Eng. Rep. 668, 668 (Ch. 1688) (holding that the plaintiff did not forfeit his
    legacy by contesting the formation of a will because he had probable cause to
    assert the challenge). Nor did the Court of Appeals analyze whether any such
    common-law exception has been expressly or implicitly displaced by Georgia’s
    statutory law. See Glenn v. State, 
    310 Ga. 11
    , 17-24 (849 SE2d 409) (2020)
    (applying this sort of analysis). But we need not answer those questions to
    decide this case, and we express no opinion as to whether Duncan was correctly
    decided in this regard.
    In addition, we note that some language in Duncan appears to conflict
    with the ultimate holding of the case. For example, in the introductory
    paragraph of the opinion, the Court of Appeals said broadly that the
    beneficiaries “challenged the legal validity of the trust based on a claim of
    undue influence” and that “the trial court did not err by enforcing the in
    terrorem clause against a claim of undue influence and therefore granting
    partial summary judgment to the trustees on that claim.” 345 Ga. App. at 345.
    See also id. at 347 (stating that the beneficiaries “sought a declaration that the
    in terrorem provision . . . is unenforceable to the extent it precludes them from
    asserting . . . a claim of undue influence”). But the opinion goes on to make
    clear that the beneficiaries filed a counterclaim seeking a declaratory judgment
    regarding the future enforcement of the in terrorem clause as to a potential
    claim of undue influence made in good faith and with probable cause, and that
    the trial court granted summary judgment against the beneficiaries as to the
    declaratory judgment claim. See id. at 346-347. To the extent Duncan
    incorrectly suggests that an in terrorem clause bars a claim challenging the
    validity of a trust or will, that language is disapproved.
    We also note that after the Court of Appeals’s decision in Duncan, the
    trial court held that the in terrorem clause in the trust in that case also applied
    37
    Moreover, the Court of Appeals majority incorrectly looked to
    OCGA § 53-4-68 (a)’s reference to “public policy” with respect to wills
    in evaluating whether an in terrorem clause in a trust instrument
    “bars” a claim of undue influence. The majority reasoned that after
    the decision in Duncan, the General Assembly amended subsections
    (b) and (c) of OCGA §§ 53-12-22 and 53-4-68, as discussed in footnote
    6 above, but did not amend OCGA § 53-12-22 (a), which says that
    “[a] trust may be created for any lawful purpose,” to mirror OCGA §
    53-4-68 (a), which prohibits “[c]onditions in a will that are . . .
    against public policy.” See Giller, 359 Ga. App. at 872-873. But as
    discussed above, the validity of a will or trust is not a public-policy
    issue, and Duncan’s holding about judicially creating exceptions to
    to the beneficiaries’ claim for tortious interference with the expectation of a
    bequest. The Court of Appeals affirmed that ruling, stating that it had held in
    the previous appeal that the in terrorem clause was “enforceable as to [the
    beneficiaries’] undue-influence claim” and concluding that the tortious-
    interference claim similarly alleged that the trust was procured by undue
    influence. Duncan v. Rawls, 
    359 Ga. App. 715
    , 718-721 (859 SE2d 857) (2021).
    The beneficiaries filed a petition for certiorari, which is currently pending in
    this Court, arguing that this holding was incorrect. See Duncan v. Rawls, Case
    No. S21C1202.
    38
    valid in terrorem clauses has no bearing here. 19 Thus, even if we
    assume (dubiously) that the General Assembly’s omission of the
    language prohibiting conditions that violate public policy in the
    Trust Code signifies a rejection of that rule regarding trusts, OCGA
    § 53-4-68 (a)’s reference to public policy does not speak to whether a
    will—let alone a trust—was validly formed. A comparison of OCGA
    §§ 53-12-22 and 53-4-68 therefore provides no indication that the
    legislature intended for an in terrorem clause to bar an undue-
    influence claim with respect to trusts but to allow such claims with
    respect to wills.
    Finally, the Court of Appeals majority concluded that Norton
    and Norman II held that a beneficiary is barred from raising an
    undue-influence claim against a trust instrument that contains an
    in terrorem clause. See Giller, 359 Ga. App. at 873. But as we
    explained above in Division 2 (c), those cases did not hold that the
    in terrorem clauses at issue barred the beneficiaries from asserting
    19 Likewise, neither OCGA §§ 53-12-22 (c) nor 53-4-68 (c) speaks to the
    validity of an in terrorem clause. Rather, those subsections list circumstances
    in which a valid in terrorem clause “shall not be enforceable.”
    39
    undue-influence claims. Rather, the in terrorem clauses in those
    cases resulted in forfeiture because the beneficiaries had already
    raised their undue-influence claims and lost—they were not
    successful in asserting that the legal instrument was procured by
    undue influence. See Norton, 
    293 Ga. at 177-179
    ; Norman II, 
    292 Ga. at 354
    . To the extent that certain language in Norton and
    Norman II suggests otherwise—i.e., that an in terrorem clause bars
    a challenge to the formation of a trust or will or that the filing of
    such a challenge automatically results in forfeiture—that language
    is disapproved. See Norman II, 
    292 Ga. at 354
     (emphasizing that
    “Decedent’s in terrorem clause becomes operative ‘[s]hould any
    beneficiary contest or initiate legal proceedings to contest the
    validity of this Will’” and saying that the appellant’s “initiation of
    legal proceedings triggered the in terrorem clause”) (emphasis in
    original); Norton, 
    293 Ga. at 178
     (stating that “[a] challenge to the
    will’s probate by one named as a taker under the will results in the
    forfeiture of the ‘entire interest’ that taker would otherwise have
    under the will” and that “[t]he clear intent [of the will] is that the
    40
    interest of any contesting beneficiary be forfeited”).20
    20 In reaching its conclusion in this case, the Court of Appeals majority
    also relied on In re Estate of Johnson, 
    352 Ga. App. 164
     (834 SE2d 283) (2019),
    and Howell v. Bates, 
    350 Ga. App. 708
     (830 SE2d 250) (2019). However,
    Johnson did not involve a challenge to the formation of a trust or will. Instead,
    the beneficiaries in that case conceded that their father’s trust was valid but
    sought to remove his fiancée as executor of the will, as a trustee, and as a
    beneficiary on the basis that the will and trust instrument referred to her as
    the father’s “wife,” even though they were not married. See Johnson, 352 Ga.
    App. at 165-167. The Court of Appeals held that any such claims would be
    barred by the will’s and trust’s in terrorem clauses, because the beneficiaries
    sought to “break the father’s will and trust” by “void[ing] any bequest to [the
    fiancée] or any involvement by [the fiancée] in the father’s estate.” Id. at 167-
    168. And in Howell, the decedent executed a will that contained a pour-over
    provision that bequeathed all of her assets to a trust upon her death. See 350
    Ga. App. at 708. Both the will and the trust instrument contained similar in
    terrorem clauses, which said that if a beneficiary contested either the trust or
    the will, any benefits under the trust and will would be revoked. See id. at 709.
    A beneficiary challenged the validity of the will in probate court on the basis
    of undue influence, and while that action was pending, an executor of the will—
    who was also a trustee—filed a petition for declaratory judgment in superior
    court seeking a ruling that the trust was valid. See id. at 710. The beneficiary
    then filed an answer asserting that the trust was invalid. See id. The superior
    court granted the trustee’s motion for summary judgment, and the Court of
    Appeals affirmed, ruling, in pertinent part, that the beneficiary’s challenge to
    the validity of the trust was time-barred, and that the trust thus “remained
    valid and in full force and effect.” Id. at 711, 714. The court then concluded
    that the beneficiary had violated the in terrorem clause in the trust and thus
    forfeited her right to a distribution from the trust, because she had challenged
    the validity of the will. See id. at 714-715. Howell presented the complicated
    question of whether a valid in terrorem clause in a valid trust results in a
    forfeiture when a beneficiary challenges the validity of a will containing a pour-
    over provision and the challenge to the formation of the will had not been
    decided. In this case, the trust instrument and in terrorem clause were
    determined to be invalid. Howell is thus distinguishable, and we express no
    opinion as to whether it reached the correct result.
    41
    For these reasons, the Court of Appeals erred by concluding
    that the in terrorem clause in this case barred Plaintiff’s undue-
    influence claim and resulted in the forfeiture of any benefits from
    his father’s trust. We therefore reverse that part of the Court of
    Appeals’s judgment. Because the court also determined that the
    trial court erred by imposing a constructive trust and remanded the
    case for a determination of whether a constructive trust was proper,
    see footnote 7 above, we remand the case to the Court of Appeals
    with the direction to remand the case to the trial court for further
    proceedings consistent with this opinion. 21
    Judgment reversed in part, and case remanded with direction.
    All the Justices concur.
    21  We express no opinion as to whether the constructive trust was
    properly imposed.
    42
    BETHEL, Justice, concurring.
    I was wrong. At least I’m fairly sure I was.
    In Duncan v. Rawls, 
    345 Ga. App. 345
    , 347-350 (1) (812 SE2d
    647) (2018), a majority of the Court of Appeals held that the trial
    court was correct in granting summary judgment on the
    counterclaim asserted by the purported beneficiaries of a trust. My
    frustration with that ruling led me to call for the judicial recognition
    of a good faith and probable cause exception for those challenging in
    terrorem clauses in trust documents. 22 See id. at 354-359 (Bethel, J.,
    dissenting). Of course, as the Court clearly demonstrates today, such
    an exception is not necessary to allow a challenge to the formation
    of a trust. Thus, I happily concur in the Court’s articulation of the
    22 As noted in the opinion of the Court in footnote 17, it is possible that a
    good-faith and probable-cause exception existed in the common law of England
    in 1776 when it was adopted as the law of Georgia. See Powell v. Morgan, 23
    Eng. Rep. 668 (Ch. 1688) (holding that the plaintiff did not forfeit his legacy by
    contesting the formation of a will because he had probable cause to assert the
    challenge). Of course, that question is not before us here and was most
    definitively not before the Court of Appeals in Duncan, where the beneficiaries
    asked the court to adopt such an exception rather than enforce an already-
    existing exception. Thus, if my suggestion in Duncan to recognize the exception
    later proves to have been correct based on its existence in the adopted common
    law of 1776, it will be a product of pure accident.
    43
    correct rule.
    Given the circumstances of that case, the holding in Duncan
    did not allow the opportunity to challenge the formation of the trust
    in question there. Because of that, I write to emphasize the Court’s
    disapproval of Duncan to the extent that decision endorsed the
    summary adjudication of a challenge to formation based solely on
    the presence of an in terrorem clause when the Court of Appeals
    concluded that “the trial court did not err by enforcing the in
    terrorem clause against a claim of undue influence and therefore
    granting partial summary judgment to the trustees on that claim.”
    (Emphasis supplied.) Id. at 345. Summary adjudication of a
    challenge to the formation of any legal document based solely on the
    presence of an in terrorem clause in the document is improper. That
    was the main thrust of my dissent in Duncan, and it is, in my view,
    the main takeaway of the Court’s opinion in this case.
    44