Beadle v. O'Konski-Lewis , 2016 Ohio 4749 ( 2016 )


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  • [Cite as Beadle v. O'Konski-Lewis, 
    2016-Ohio-4749
    .]
    IN THE COURT OF APPEALS OF OHIO
    SIXTH APPELLATE DISTRICT
    LUCAS COUNTY
    Donald G. Beadle                                      Court of Appeals No. L-15-1216
    Appellant                                     Trial Court No. 2014 ADV 2613
    v.
    Patricia J. O’Konski-Lewis, etc., et al.              DECISION AND JUDGMENT
    Appellees                                     Decided: June 30, 2016
    *****
    John J. McHugh, III, Matthew M. McHugh and Nader O. Sarsour,
    for appellant.
    Douglas A. Wilkins, for appellee Patricia J. O’Konski-Lewis;
    Joseph Weisberg, for appellee Pamela Lewis.
    Thomas W. Heintschel and Douglas W. King, for appellee
    Fifth Third Bank, Successor Trustee.
    *****
    PIETRYKOWSKI, J.
    {¶ 1} This is an appeal from the judgment of the Lucas County Court of Common
    Pleas, Probate Division, dismissing appellant’s, Donald Beadle, complaint for lack of
    jurisdiction. For the reasons that follow, we affirm.
    {¶ 2} The following facts taken from the complaint are presumed true for purposes
    of this appeal. This matter involves the planned estate distribution of Isaac Laurence
    Lewis. In 1993, appellant met and developed a friendship with Lewis. Over the years,
    appellant advised Lewis regarding some IRS investigations and also a real estate transfer,
    saving Lewis significant sums of money. In consideration of the services rendered by
    appellant, and the kindness shown to Lewis by appellant’s wife, Lewis promised that he
    would make appellant the residual beneficiary of his estate. On March 23, 2000, Lewis
    executed a will to accomplish this purpose. The next day, Lewis gave appellant a copy of
    his will, and promised that he would never make another will, and that he would never
    get married again. Lewis continued to make these promises through May 2007.
    {¶ 3} In the summer of 2010, Lewis became seriously ill and was hospitalized.
    Lewis eventually was discharged from the hospital, and was tended to by appellee,
    Patricia O’Konski-Lewis (“Patricia”). Five days after his discharge, on July 10, 2010,
    Lewis and Patricia were married. Shortly thereafter, while Lewis was still recovering,
    Patricia took Lewis to a lawyer, and he executed estate planning documents that created a
    revocable inter vivos trust and pour-over will. Those documents were finalized on
    August 24, 2010. Lewis then transferred all of his possessions to the trust, of which
    Lewis was the sole beneficiary. The documents provided that upon Lewis’ death,
    Patricia would become the beneficiary of the trust.
    {¶ 4} On October 12, 2012, Lewis was declared incompetent by the Lucas County
    Court of Common Pleas, Probate Division, finding that he suffered from schizophrenia
    2.
    and Alzheimer’s dementia. The court named Patricia as Lewis’ guardian. Thereafter,
    Patricia requested, and was granted, permission to dispense with filing subsequent
    statements of expert evaluation because it was determined by the expert to a reasonable
    degree of medical certainty that Lewis’ condition would not improve. As of the filing of
    this lawsuit, Lewis is still alive.
    {¶ 5} On December 30, 2014, appellant filed a complaint against Patricia, as well
    as against appellees Fifth Third Bank, Pamela Lewis, and Toledo Community
    Foundation, Inc.1 In his complaint, appellant sought to have the August 24, 2010 trust
    and pour-over will declared null and void based on Lewis’ lack of capacity at the time to
    execute those documents, as well as the undue and improper influence of Patricia.
    Appellant also asserted a claim against Patricia that she intentionally interfered with his
    expectation of inheritance as a beneficiary of Lewis’ estate.
    {¶ 6} Subsequently, Patricia, Fifth Third Bank, and Pamela Lewis separately
    moved to dismiss the complaint for lack of jurisdiction.2 The parties argued that the will
    and trust were ambulatory in nature. Thus, they concluded that the probate court lacked
    jurisdiction to resolve appellant’s challenge to those documents while Lewis was still
    alive. Regarding the claim of intentional interference with expectation of inheritance, the
    1
    Fifth Third Bank was named as the successor trustee upon Lewis’ incapacity. Pamela
    Lewis is Lewis’ daughter and a beneficiary of the trust. Toledo Community Foundation
    is also a beneficiary of the trust.
    2
    Toledo Community Foundation filed an answer with affirmative defenses.
    3.
    parties contended that it is intertwined with appellant’s attempted will contest, and is
    likewise not subject to review while Lewis is living.
    {¶ 7} Appellant opposed the motions to dismiss, arguing that the ambulatory
    nature of wills and trusts presumes that the testator/settlor has the capacity to amend or
    revoke those instruments during his or her lifetime. In this case, however, because Lewis
    has been deemed permanently and irreversibly incompetent by the probate court,
    appellant contends that the will and trust are no longer ambulatory. Thus, appellant
    concludes that since the will and trust can no longer be changed, the probate court has
    jurisdiction to hear his claims.
    {¶ 8} On July 31, 2015, the probate court entered its judgment, granting appellees’
    motions to dismiss.
    {¶ 9} Appellant has timely appealed the judgment of the probate court, asserting
    one assignment of error for our review:
    I. The trial court erred prejudicially in concluding that a revocable
    trust and companion pour-over will were ambulatory, and susceptible to
    revocation or amendment, given the intervening judicial declaration of
    incompetency of the grantor/testator due to irreversible dementia and
    Alzheimer’s disease.
    Analysis
    {¶ 10} Although framed by the parties as a question of subject-matter jurisdiction,
    this appeal truly concerns whether appellant’s claims are justiciable. Article IV, Section
    4.
    4(B) of the Ohio Constitution provides that “the courts of common pleas and divisions
    thereof shall have such original jurisdiction over all justiciable matters.” “For a cause to
    be justiciable, there must exist a real controversy presenting issues which are ripe for
    judicial resolution and which will have a direct and immediate impact on the parties.”
    Stewart v. Stewart, 
    134 Ohio App.3d 556
    , 558, 
    731 N.E.2d 743
     (4th Dist.1999). “[T]he
    danger or dilemma of the plaintiff must be present, not contingent on the happening of
    hypothetical future events * * * and the threat to his position must be actual and genuine
    and not merely possible or remote.” Mid-American Fire & Cas. Co. v. Heasley, 
    113 Ohio St.3d 133
    , 
    2007-Ohio-1248
    , 
    863 N.E.2d 142
    , ¶ 9, quoting League for Preservation
    of Civil Rights v. Cincinnati, 
    64 Ohio App. 195
    , 197, 
    28 N.E.2d 660
     (1st Dist.1940).
    “The court is required to raise justiciability sua sponte.” Stewart at 558.
    {¶ 11} “[S]tanding to sue is part of the common understanding of what it takes to
    make a justiciable case.” Fed. Home Loan Mtge. Corp. v. Schwartzwald, 
    134 Ohio St.3d 13
    , 
    2012-Ohio-5017
    , 
    979 N.E.2d 1214
    , ¶ 21, quoting Steel Co. v. Citizens for a Better
    Environment, 
    523 U.S. 83
    , 102, 
    118 S.Ct. 1003
    , 
    140 L.Ed.2d 210
     (1998). Standing has
    traditionally been referred to as “[w]hether a party has a sufficient stake in an otherwise
    justiciable controversy to obtain judicial resolution of that controversy.” 
    Id.,
     quoting
    Cleveland v. Shaker Hts., 
    30 Ohio St.3d 49
    , 51, 
    507 N.E.2d 323
     (1987). The
    constitutional minimum of standing contains three elements: (1) an “injury in fact,”
    which is “an invasion of a legally protected interest which is (a) concrete and
    particularized, * * * and (b) ‘actual or imminent, not “conjectural” or “hypothetical;”’”
    5.
    (2) a causal connection between the injury and the challenged action, and (3) that it must
    be “‘likely,’ as opposed to merely ‘speculative,’ that the injury will be ‘redressed by a
    favorable decision.’” (Internal citations omitted). Lujan v. Defenders of Wildlife, 
    504 U.S. 555
    , 560-561, 
    112 S.Ct. 2130
    , 
    119 L.Ed.2d 351
     (1992).
    {¶ 12} In addition to standing, “[I]nherent in determining whether a complaint sets
    forth a justiciable issue is the question of ripeness.” In re Arnott, 
    190 Ohio App.3d 493
    ,
    
    2010-Ohio-5392
    , 
    942 N.E.2d 1124
    , ¶ 22 (4th Dist.), quoting Thomson v. Ohio Dept. of
    Rehab. & Corr., 10th Dist. Franklin No. 09AP-782, 
    2010-Ohio-416
    , ¶ 10. “Ripeness ‘is
    peculiarly a question of timing.’” State ex rel. Elyria Foundry Co. v. Indus. Comm., 
    82 Ohio St.3d 88
    , 89, 
    694 N.E.2d 459
     (1998), quoting Regional Rail Reorganization Act
    Cases, 
    419 U.S. 102
    , 140, 
    95 S.Ct. 335
    , 
    42 L.Ed.2d 320
     (1974). “The ripeness doctrine
    is motivated in part by the desire ‘to prevent the courts, through avoidance of premature
    adjudication, from entangling themselves in abstract disagreements * * *.’” 
    Id.,
     quoting
    Abbott Laboratories v. Gardner, 
    387 U.S. 136
    , 148, 
    87 S.Ct. 1507
    , 
    18 L.Ed.2d 681
    (1967). “The prerequisite of ripeness is a limitation on jurisdiction that is nevertheless
    basically optimistic as regards the prospects of a day in court: the time for judicial relief
    is simply not yet arrived, even though the alleged action of the defendant foretells legal
    injury to the plaintiff.” 
    Id.,
     quoting Comment, Mootness and Ripeness: The Postman
    Always Rings Twice, 65 Colum.L.Rev. 867, 876 (1965).
    6.
    {¶ 13} Here, appellant’s complaint comprises three aspects: (1) challenging the
    August 24, 2010 will, (2) challenging the August 24, 2010 inter vivos trust, and
    (3) asserting a claim for intentional interference with expectancy of inheritance.
    {¶ 14} As to the first two, appellant lacks standing to seek a declaration that the
    August 24, 2010 will and trust are null and void. Appellant’s only interest in the property
    that is controlled by those documents is as a beneficiary under Lewis’ prior March 23,
    2000 will. However, it is well-settled that “[a] will is ambulatory in nature, and until the
    death of the testator, and until the law admits such instrument to probate, it gives no
    accrued rights to the potential takers of benefit.” Corron v. Corron, 
    40 Ohio St.3d 75
    , 78,
    
    531 N.E.2d 708
     (1988). Thus, the March 23, 2000 will, even if it is the last valid will,
    does not create in appellant a “legally protected interest” in Lewis’ property until Lewis
    dies.
    {¶ 15} Appellant attempts to circumvent this result by creatively arguing that the
    August 24, 2010 will and trust are no longer ambulatory on account of Lewis’
    irreversible incompetence. Initially, we note that the ambulatory nature of the August 24,
    2010 will and trust is of no concern as it relates to appellant’s standing to contest those
    documents. Indeed, appellant is bringing his claims precisely because he has no rights
    under those documents. Instead, appellant’s standing to bring his claims rises and falls
    on the March 23, 2000 will. Consequently, we will address his arguments as if they were
    directed toward the March 23, 2000 will.
    7.
    {¶ 16} Appellant claims that the law contains a well-defined exception where the
    testator is permanently incompetent that would, in essence, vest him with rights in the
    property as if Lewis were dead. We find no such exception, nor do we think that it would
    be good policy to create one. Appellant cites R.C. 2107.33(G) and First Natl. Bank of
    Cincinnati v. Oppenheimer, 
    190 N.E.2d 70
     (P.C.1963) for the proposition that the same
    capacity is required to revoke a will or trust, respectively, as is required to create one.
    We agree that this is an accurate statement of the law. However, the cited material does
    not stand for, nor does it follow that because the March 23, 2000 will cannot be revoked
    at this point due to Lewis’ incompetence, that the will should be treated as vesting in
    appellant the rights to Lewis’ property. First, such a conclusion does not account for
    future advances in medicine that, while unfortunately not likely in Lewis’ case, may be
    able to reverse the effects of mental degeneration. Second, and more importantly, vesting
    the beneficiary with legal property rights would, among other things, place him or her in
    a position adverse to the guardian or trustee of the incompetent testator as it relates to the
    funds expended for the care of the testator, which would undoubtedly incite litigation
    even in the absence of fraud or some other breach of fiduciary duty by the guardian or
    trustee. Therefore, we reassert the rule in Corron, 40 Ohio St.3d at 78, 
    531 N.E.2d 708
    ,
    that “until the death of the testator, and until the law admits such instrument to probate, it
    gives no accrued rights to the potential takers of benefit,” and we hold that no exception
    exists that would vest property rights in the named beneficiaries where the testator is
    8.
    deemed permanently incompetent. Accordingly, we conclude that appellant lacks
    standing to seek a declaration that the August 24, 2010 will and trust are null and void.
    {¶ 17} Turning to appellant’s claim for intentional interference with expectancy of
    inheritance, we find that it is not justiciable because it is not yet ripe. The Ohio Supreme
    Court held that the elements of the tort of intentional interference of expectancy of
    inheritance are:
    (1) an existence of an expectancy of inheritance in the plaintiff; (2) an
    intentional interference by a defendant(s) with that expectancy of
    inheritance; (3) conduct by the defendant involving the interference which
    is tortious, such as fraud, duress or undue influence, in nature; (4) a
    reasonable certainty that the expectancy of inheritance would have been
    realized, but for the interference by the defendant; and (5) damage resulting
    from the interference. Firestone v. Galbreath, 
    67 Ohio St.3d 87
    , 88, 
    616 N.E.2d 202
     (1993).
    Furthermore, the court stated, “[A]ny person who can prove the elements of the tort of
    intentional interference with expectancy of inheritance has the right to maintain the cause
    of action.” 
    Id.
    {¶ 18} We first note that, unlike his claims challenging the validity of the
    August 24, 2010 will and trust, appellant has standing to pursue his claim of intentional
    interference with expectancy of inheritance. As recognized by the Sixth Circuit Court of
    Appeals in the subsequent action in federal court, “[C]ertain probate-related causes of
    9.
    action may only be brought by parties with a vested claim to the estate. A cause of action
    for tortious interference with expectancy of inheritance, however, protects a more
    attenuated claim to the decedent’s property—a claim which need not rise to the level of a
    vested interest in order to be protected as a legitimate expectancy.” Firestone v.
    Galbreath, 
    25 F.3d 323
    , 325-26 (6th Cir.1994). Here, accepting the allegations in the
    complaint as true, appellant has an expectancy of inheritance by virtue of the March 23,
    2000 will; Patricia intentionally interfered with that inheritance through her undue
    influence in having Lewis execute the August 24, 2010 will and trust; and due to the
    permanent incompetency of Lewis, which prevents him from executing a new will or
    otherwise revoking the March 23, 2000 will, there is a reasonable certainty that the
    inheritance would have been realized.
    {¶ 19} Nevertheless, appellant has not yet suffered any damages. Although the
    funds to which appellant claims an expectancy have been transferred from Lewis’
    possession to the trust, there is no meaningful distinction as it pertains to Lewis’
    relationship to the funds for purposes of appellant’s claim. In this case, the funds are
    being held in a trust solely for the benefit of Lewis during his lifetime. This is not a
    situation where the property is being diverted to a third party. The damages do not arise
    until Lewis dies and Patricia becomes the beneficiary of the trust. Therefore, we hold
    that appellant’s claim for intentional interference with expectancy of inheritance is not
    ripe for judicial review.
    10.
    {¶ 20} Accordingly, because appellant does not have standing to pursue his
    challenges to the August 24, 2010 will and trust, and because his claim for intentional
    interference with expectancy of inheritance is not ripe, we hold that his claims are not
    justiciable, and the trial court did not err in dismissing them.
    {¶ 21} Appellant’s assignment of error is not well-taken.
    Conclusion
    {¶ 22} For the foregoing reasons, we find that substantial justice has been done the
    party complaining and the judgment of the Lucas County Court of Common Pleas,
    Probate Division, is affirmed. Pursuant to App.R. 24, appellant is ordered to pay the
    costs of this appeal.
    Judgment affirmed.
    A certified copy of this entry shall constitute the mandate pursuant to App.R. 27.
    See also 6th Dist.Loc.App.R. 4.
    Mark L. Pietrykowski, J.                         _______________________________
    JUDGE
    Arlene Singer, J.
    _______________________________
    Thomas J. Osowik, J.                                         JUDGE
    CONCUR.
    _______________________________
    JUDGE
    This decision is subject to further editing by the Supreme Court of
    Ohio’s Reporter of Decisions. Parties interested in viewing the final reported
    version are advised to visit the Ohio Supreme Court’s web site at:
    http://www.sconet.state.oh.us/rod/newpdf/?source=6.
    11.