Cisneros v. Graham , 294 Neb. 83 ( 2016 )


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    07/08/2016 09:06 AM CDT
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    CISNEROS v. GRAHAM
    Cite as 
    294 Neb. 83
    Elaine Cisneros, appellee and cross-appellant,
    v. Gregory G. Graham, appellant
    and cross-appellee.
    ___ N.W.2d ___
    Filed July 8, 2016.     No. S-15-392.
    1.	 Motions for New Trial: Appeal and Error. An appellate court reviews
    a denial of a motion for new trial or, in the alternative, to alter or amend
    the judgment, for an abuse of discretion.
    2.	 Summary Judgment: Appeal and Error. An appellate court will
    affirm a lower court’s grant of summary judgment if the pleadings and
    admitted evidence show that there is no genuine issue as to any material
    facts or as to the ultimate inferences that may be drawn from those facts
    and that the moving party is entitled to judgment as a matter of law.
    3.	 ____: ____. In reviewing a summary judgment, an appellate court views
    the evidence in the light most favorable to the party against whom the
    judgment was granted and gives that party the benefit of all reasonable
    inferences deducible from the evidence.
    4.	 Statutes: Appeal and Error. Statutory interpretation is a question of
    law that an appellate court resolves independently of the trial court.
    5.	 Attorney Fees: Appeal and Error. On appeal, a trial court’s deci-
    sion awarding or denying attorney fees will be upheld absent an abuse
    of discretion.
    6.	 Summary Judgment. On a motion for summary judgment, the question
    is not how the factual issue is to be decided but whether any real issue
    of material fact exists.
    7.	 ____. Summary judgment is proper if the pleadings and admissible
    evidence offered at the hearing show there is no genuine issue as to any
    material facts or as to the ultimate inferences that may be drawn from
    those facts and that the moving party is entitled to judgment as a matter
    of law.
    8.	 Summary Judgment: Proof. A party moving for summary judgment
    makes a prima facie case for summary judgment by producing enough
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    evidence to demonstrate that the movant is entitled to judgment if the
    evidence were uncontroverted at trial.
    9.	 ____: ____. Once the moving party makes a prima facie case, the bur-
    den shifts to the party opposing the motion to produce admissible con-
    tradictory evidence showing the existence of a material issue of fact that
    prevents judgment as a matter of law.
    10.	 Statutes: Appeal and Error. The language of a statute is to be given
    its plain and ordinary meaning, and an appellate court will not resort
    to interpretation to ascertain the meaning of statutory words which are
    plain, direct, and unambiguous.
    11.	 ____: ____. When construing a statute, an appellate court must look
    to the statute’s purpose and give to the statute a reasonable construc-
    tion which best achieves that purpose, rather than a construction which
    would defeat it.
    12.	 Statutes: Legislature: Intent. Components of a series or collection of
    statutes pertaining to a certain subject matter are in pari materia and
    should be conjunctively considered and construed to determine the
    intent of the Legislature, so that different provisions are consistent, har-
    monious, and sensible.
    13.	 Ratification. Whether there has been a ratification is ultimately and
    ordinarily a question of fact.
    14.	 Ratification: Proof. Because ratification is an affirmative defense, the
    burden of proving ratification rests on the party asserting it.
    15.	 Ratification: Agents. Ratification of an agent’s unauthorized acts may
    be made by overt action or inferred from silence or inaction.
    Appeal from the District Court for Douglas County:
    K imberly Miller Pankonin, Judge. Affirmed.
    Norman Denenberg for appellant.
    Edward W. Hasenjager for appellee.
    Heavican, C.J., Wright, Connolly, Miller-Lerman, Cassel,
    and K elch, JJ.
    Miller-Lerman, J.
    NATURE OF CASE
    In this case, we must determine the propriety of the actions
    of an agent whose power of attorney is subject to the Nebraska
    Uniform Power of Attorney Act, Neb. Rev. Stat. § 30-4001
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    et seq. (Cum. Supp. 2014) (Nebraska UPOAA). On summary
    judgment, the district court for Douglas County found that the
    agent, Gregory G. Graham (Graham), whose principal was his
    aunt Hilda Graham (Hilda), committed constructive fraud. The
    district court entered judgment in favor of Elaine Cisneros in
    an amount she would have received as beneficiary under a
    certain certificate of deposit and granted other relief. The dis-
    trict court later denied Graham’s motion to alter or amend the
    judgment. We affirm.
    STATEMENT OF FACTS
    In June 2013, Hilda was diagnosed with terminal pancreatic
    cancer and “was given only a few months to live.” Hilda was
    the owner of a certificate of deposit (CD) in the amount of
    $59,665.27 which she opened on December 22, 2008. From
    the time Hilda opened the CD until it was cashed out, Hilda
    changed the payable-on-death beneficiary a number of times.
    On July 25, 2013, Hilda changed the beneficiary to Cisneros,
    and Cisneros was the named beneficiary when the CD was
    subsequently cashed, as explained below.
    On July 16, 2013, Hilda appointed Graham as her power
    of attorney. Graham was the nephew of Hilda’s deceased hus-
    band. The power of attorney provided:
    A. POWER OF ATTO[R]NEY FOR HANDLING
    PRINCIPAL’S BUSINESS AFFAIRS AND MANAGING
    PRINCIPAL’S ASSETS: Without in any way limiting
    or restricting the generality of the foregoing, but in fur-
    therance thereof, and in partial enumeration only, of the
    powers thereby vested in my said Attorney-in-Fact, I
    hereby give and grant unto my said Attorney-in-Fact full
    power and authority, from time to time, for me and in my
    name, place and stead, and for my use, and in my said
    Attorney-in-Fact’s sole discretion:
    ....
    4. To deposit or withdraw any money or credits in
    any bank or savings and loan company or any depository
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    or investment or financial business of any kind, and to
    sign, endorse, execute or renew any checks, withdrawals,
    deposits, promissory notes, bonds, bills of exchange or
    evidences of indebtedness and to waive notice of demand
    and protest and to transact and perform any and all other
    banking or financial business and affairs of any kind
    whatsoever; including the power to change the benefici­
    aries of any financial investments.
    ....
    6. To purchase, sell, transfer, assign, hypothecate,
    redeem, exchange, waive priority, or deal in any way
    with any notes, mortgages, stocks, bonds or securities
    or investments of any kind or nature whatsoever, and to
    receive and receipt for any and all income or dividends
    therefrom and to vote or to execute proxies for voting any
    and all stock.
    While she was alive, Hilda had a checking account, and
    on August 12, 2013, Graham and Hilda signed an account
    agreement which designated Graham as the co-owner of that
    account with a right of survivorship. On August 19, the check-
    ing account had a balance of $20,858.95. On August 22,
    Graham used the power of attorney to cash the CD and deposit
    the proceeds into the checking account. On August 22, the
    checking account had a balance of $80,524.22. Cisneros was
    the named beneficiary of the CD when it was cashed. On
    September 5, Hilda died at home. When Hilda died, the bal-
    ance in the checking account became Graham’s by operation
    of law.
    On January 15, 2014, Cisneros filed her complaint alleging
    that Graham’s actions of cashing the CD and depositing the
    proceeds into the checking account “were unlawful” and that
    he “converted the proceeds of the CD to his own use and ben-
    efit causing damage to [Cisneros] in the amount of $60,000.00
    with interest payable under the CD.” Cisneros sought dam-
    ages, interest, attorney fees, and costs. On July 8, Cisneros
    filed a motion for summary judgment. A hearing was held
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    at which evidence was received. The parties proceeded on a
    theory of constructive fraud.
    Graham testified in his deposition that Hilda had orally
    instructed him to cash the CD and deposit the proceeds into
    the joint checking account in case more money was needed to
    pay for her care outside the home. The evidence showed that
    Hilda’s hospice care was paid for by Medicare or supplemental
    insurance. A home care business began caring for Hilda at her
    home in the latter part of August 2013 for the several last days
    of Hilda’s life. The services provided by the home care busi-
    ness were not paid for by Medicare, but instead had to be paid
    for by Hilda. On September 15, Graham paid $1,464 from the
    checking account to the home care business. None of the pro-
    ceeds from the CD were needed to pay Hilda’s bills.
    In an affidavit that was received into evidence, Graham
    stated that on the same day that he deposited the proceeds
    of the CD into the joint checking account, Graham went to
    Hilda’s house, told her about the transaction, and gave her
    the receipt for the transaction. Graham’s affidavit stated that
    “[a]fter Hilda . . . knew the transaction was completed, she
    was more calm, and less frustrated and agitated.” Graham’s
    affidavit further stated that the deposit of the proceeds of the
    CD was recorded in Hilda’s check register in Hilda’s handwrit-
    ing. Although Graham offered the check register as an exhibit,
    it was not received into evidence at the hearing on the motion
    for summary judgment.
    On January 29, 2015, the district court filed an order in
    which it granted Cisneros’ motion for summary judgment. The
    court noted that the Nebraska UPOAA became effective on
    January 1, 2013, and that because the power of attorney was
    executed on July 16, the Nebraska UPOAA applied to this
    case. The court determined that relevant pre-2013 case law,
    such as Archbold v. Reifenrath, 
    274 Neb. 894
    , 
    744 N.W.2d 701
    (2008), and Crosby v. Luehrs, 
    266 Neb. 827
    , 
    669 N.W.2d 635
    (2003), was still good law because their principles were con­
    sistent with the Nebraska UPOAA.
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    The district court determined that § 30-4024(2) applied.
    Section 30-4024(2) provides:
    Notwithstanding a grant of authority to do an act described
    in subsection (1) of this section, unless the power of attor-
    ney otherwise provides, an agent that is not an ancestor,
    spouse, or issue of the principal, may not exercise author-
    ity under a power of attorney to create in the agent, or in
    an individual to whom the agent owes a legal obligation
    of support, an interest in the principal’s property, whether
    by gift, right of survivorship, beneficiary designation,
    disclaimer, or otherwise.
    The court stated that because Graham was the nephew or step-
    nephew of Hilda, he was not an “‘ancestor, spouse, or issue’”
    of Hilda, and that therefore, pursuant to § 30-4024(2), Graham
    was required to have express authority under the power of
    attorney to give himself an interest in Hilda’s property. The
    court determined that the power of attorney did not contain
    such express authority. Accordingly, the court determined that
    Graham’s actions were fraudulent under a theory of con-
    structive fraud, and it granted Cisneros’ motion for summary
    judgment. The court awarded Cisneros $59,665.27, prejudg-
    ment interest, and costs, but it denied Cisneros’ request for
    attorney fees.
    On February 2, 2015, Graham filed a “Motion for New
    Trial,” which the district court treated as a motion to alter or
    amend judgment. Finding no error in its summary judgment
    ruling, the court denied Graham’s motion on April 8.
    Graham appeals. Cisneros cross-appeals.
    ASSIGNMENTS OF ERROR
    Graham generally claims, restated, that the district court
    erred when it granted summary judgment in favor of Cisneros
    and denied his motion to alter or amend the judgment. Graham
    specifically claims that the court erred when it (1) failed to
    determine that Graham had express authority granted in the
    power of attorney to cash the CD and deposit the proceeds
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    into the checking account he co-owned with Hilda, (2) failed
    to determine that § 30-4014(4) allowed a benefit to himself as
    agent, and (3) failed to determine that his actions were ratified
    by Hilda, which ratification made the deposit transaction legal
    and binding.
    On cross-appeal, Cisneros claims that the district court
    erred when it did not award attorney fees to her under
    § 30-4017.
    STANDARDS OF REVIEW
    [1] An appellate court reviews a denial of a motion for new
    trial or, in the alternative, to alter or amend the judgment, for
    an abuse of discretion. Hike v. State, 
    288 Neb. 60
    , 
    846 N.W.2d 205
    (2014).
    [2,3] An appellate court will affirm a lower court’s grant
    of summary judgment if the pleadings and admitted evidence
    show that there is no genuine issue as to any material facts or
    as to the ultimate inferences that may be drawn from those
    facts and that the moving party is entitled to judgment as a
    matter of law. Sulu v. Magana, 
    293 Neb. 148
    , 
    879 N.W.2d 674
    (2016). In reviewing a summary judgment, an appellate court
    views the evidence in the light most favorable to the party
    against whom the judgment was granted and gives that party
    the benefit of all reasonable inferences deducible from the
    evidence. 
    Id. [4] Statutory
    interpretation is a question of law that an
    appellate court resolves independently of the trial court. In
    re Interest of Isabel P. et al., 
    293 Neb. 62
    , 
    875 N.W.2d 848
    (2016).
    [5] On appeal, a trial court’s decision awarding or denying
    attorney fees will be upheld absent an abuse of discretion.
    White v. Kohout, 
    286 Neb. 700
    , 
    839 N.W.2d 252
    (2013).
    ANALYSIS
    Graham appeals from the district court’s ruling denying
    his motion to alter or amend the judgment. Because our
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    decision ultimately depends on the correctness of the dis-
    trict court’s grant of the underlying summary judgment, we
    discuss the case based on legal standards applicable to sum-
    mary judgment.
    Appeal: Graham Lacked Authority to
    Deposit the Proceeds From the CD
    Into the Checking Account He
    Co-Owned With Hilda.
    Graham generally contends that the district court erred
    when it granted Cisneros’ motion for summary judgment based
    upon its determination that Graham committed constructive
    fraud when he cashed the CD and deposited the proceeds
    into the checking account with right of survivorship that he
    co-owned with Hilda. Graham specifically argues that he did
    not commit constructive fraud because pursuant the power of
    attorney, he had the authority to cash the CD and to deposit
    the proceeds into the checking account. We find no merit to
    Graham’s contentions.
    [6,7] The principles regarding summary judgment are well
    established. On a motion for summary judgment, the question
    is not how the factual issue is to be decided but whether any
    real issue of material fact exists. Phillips v. Liberty Mut. Ins.
    Co., 
    293 Neb. 123
    , 
    876 N.W.2d 361
    (2016). In reviewing a
    summary judgment, an appellate court views the evidence in
    the light most favorable to the party against whom the judg-
    ment was granted and gives that party the benefit of all reason-
    able inferences deducible from the evidence. Sulu v. 
    Magana, supra
    . Summary judgment is proper if the pleadings and admis-
    sible evidence offered at the hearing show there is no genuine
    issue as to any material facts or as to the ultimate inferences
    that may be drawn from those facts and that the moving party
    is entitled to judgment as a matter of law. Phillips v. Liberty
    Mut. Ins. 
    Co., supra
    .
    [8,9] A party moving for summary judgment makes a
    prima facie case for summary judgment by producing enough
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    evidence to demonstrate that the movant is entitled to judg-
    ment if the evidence were uncontroverted at trial. 
    Id. Once the
    moving party makes a prima facie case, the burden shifts to
    the party opposing the motion to produce admissible contra-
    dictory evidence showing the existence of a material issue of
    fact that prevents judgment as a matter of law. 
    Id. With respect
    to constructive fraud, prior to the enactment of
    the Nebraska UPOAA, we stated:
    Constructive fraud generally arises from a breach of
    duty arising out of a fiduciary or confidential relation-
    ship. . . . Constructive fraud is a breach of a legal or
    equitable duty which, irrespective of the moral guilt of
    the fraud-feasor, the law declares fraudulent because of
    its tendency to deceive others, to violate public or private
    confidence, or to injure public interests. . . . Constructive
    fraud is implied by law from the nature of the transac-
    tion itself. . . . The existence or nonexistence of an actual
    purpose to defraud does not enter as an essential factor
    in determining the question; the law regards the transac-
    tion as fraudulent per se. . . . Neither actual dishonesty of
    purpose nor intent to deceive is an essential element of
    constructive fraud.
    Crosby v. Luehrs, 
    266 Neb. 827
    , 835-36, 
    669 N.W.2d 635
    , 644-
    45 (2003) (citations omitted).
    With respect to fraud in the context of a power of attorney,
    we have held:
    “[A] prima facie case of fraud is established if the plain-
    tiff shows that the defendant held the principal’s power
    of attorney and that the defendant, using the power of
    attorney, made a gift to himself or herself. . . . The
    burden of going forward under such circumstances falls
    upon the defendant to establish by clear and convinc-
    ing evidence that the transaction was made pursuant
    to power expressly granted in the power of attorney
    document and made pursuant to the clear intent of
    the donor.”
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    Litherland v. Jurgens, 
    291 Neb. 775
    , 782-83, 
    869 N.W.2d 92
    ,
    97 (2015), quoting Crosby v. 
    Luehrs, supra
    .
    In this case, the undisputed evidence shows that Graham
    was made Hilda’s attorney in fact by a power of attorney dated
    July 16, 2013. The evidence also shows that on August 22,
    Graham purportedly using the power of attorney cashed the
    CD and deposited the proceeds into a checking account with
    right of survivorship that he co-owned with Hilda. By deposit-
    ing the proceeds in this checking account, Graham created in
    himself an interest in Hilda’s property.
    In order to determine whether Graham had the authority
    as Hilda’s attorney in fact to create in himself an interest in
    Hilda’s property, we must look to the applicable law and the
    language of the power of attorney. With respect to the law
    that governs the current case, the Legislature recently enacted
    the Nebraska UPOAA, which was modeled after the Uniform
    Power of Attorney Act (2006) (Uniform POAA), § 5B-101
    et seq., 8 (part III) U.L.A. 290 (2013). The drafters of the
    Uniform POAA stated that the act “‘provides a simple way
    for people to deal with their property by providing a power
    of attorney in case of future incapacity. While chiefly a set of
    default rules, the [Uniform POAA] also contains safeguards
    for the protection of an incapacitated principal.’” Ronald R.
    Volkmer, Nebraska’s Real Property Transfer on Death Act and
    Power of Attorney Act: A New Era Begins, 46 Creighton L.
    Rev. 499, 505 (2013).
    The Nebraska UPOAA became effective on January 1, 2013,
    and § 30-4045(1) of the Nebraska UPOAA states that “[t]he
    act applies to a power of attorney created before, on, or after
    January 1, 2013.” The power of attorney at issue in this case
    is dated July 16, 2013, and therefore, the Nebraska UPOAA
    applies to this case. We note Graham contends that any case
    law regarding powers of attorney which was decided prior to
    the effective date of the Nebraska UPOAA has been rendered
    irrelevant by the enactment of the Nebraska UPOAA and that
    therefore, such case law does not apply to this case. We do
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    not agree with Graham’s complete rejection of prior case law,
    and instead we determine that to the extent such case law is
    con­sistent with the Nebraska UPOAA, prior case law is still
    relevant and may be considered in our analysis.
    Pursuant to the Nebraska UPOAA, “power of attorney” is
    defined as “a writing or other record that grants authority to
    an agent to act in the place of the principal, whether or not
    the term power of attorney is used.” § 30-4002(8). “Principal”
    is defined as “an individual who grants authority to an agent
    in a power of attorney.” § 30-4002(10). “Agent” is defined in
    part as “a person granted authority to act for a principal under
    a power of attorney, whether denominated an agent, attorney
    in fact, or otherwise.” § 30-4002(1). “Property” is defined as
    “anything that may be the subject of ownership, whether real
    or personal, legal or equitable, or any interest or right therein.”
    § 30-4002(11).
    The law recognizes the “manifold opportunities and tempta-
    tions for self-dealing that are opened up for persons holding
    general powers of attorney.” Estate of Casey v. C.I.R., 
    948 F.2d 895
    , 898 (4th Cir. 1991). Thus, with respect to an agent
    giving himself or herself an interest in the principal’s property
    and to safeguard the principal, § 30-4024(2) of the Nebraska
    UPOAA provides in part that
    unless the power of attorney otherwise provides, an
    agent that is not an ancestor, spouse, or issue of the
    principal, may not exercise authority under a power of
    attorney to create in the agent, or in an individual to
    whom the agent owes a legal obligation of support, an
    interest in the principal’s property, whether by gift, right
    of survivorship, beneficiary designation, disclaimer,
    or otherwise.
    See, also, § 30-4041 (providing form reflecting power of attor-
    ney statutes).
    [10,11] The language of a statute is to be given its plain
    and ordinary meaning, and an appellate court will not resort
    to interpretation to ascertain the meaning of statutory words
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    which are plain, direct, and unambiguous. In re Estate of
    Alberts, 
    293 Neb. 1
    , 
    875 N.W.2d 427
    (2016). When construing
    a statute, an appellate court must look to the statute’s purpose
    and give to the statute a reasonable construction which best
    achieves that purpose, rather than a construction which would
    defeat it. 
    Id. The plain
    language of § 30-4024(2) provides that in order
    for an agent who is not the “ancestor, spouse, or issue of the
    principal” to use the power of attorney to create in himself or
    herself an interest in the principal’s property, the agent must
    have express authority from the principal in the power of attor-
    ney. If an agent who is not the “ancestor, spouse, or issue of
    the principal” does not have express authority from the prin-
    cipal in the power of attorney, then, pursuant to § 30-4024(2),
    such an agent does not have the authority to create in the
    agent an interest in the principal’s property. In other words,
    § 30-4024(2)
    distinguishes between grants of power to an agent who is
    an ancestor, the spouse, or issue of the principal versus
    an agent who is not in those categories. Under subsection
    (2) [of § 30-4024], the agent who is not in the category
    of ancestor, spouse, or issue must be granted explicit
    authority to create in the agent, or in a person the agent
    is legally obligated to support, an interest in the princi-
    pal’s property.
    Ronald R. Volkmer, Nebraska’s Real Property Transfer on
    Death Act and Power of Attorney Act: A New Era Begins, 46
    Creighton L. Rev. 499, 554 (2013).
    Section 30-4024(2) of the Nebraska UPOAA is almost iden-
    tical to § 5B-201(b) of the Uniform POAA, with the main
    difference being that § 5B-201(b) uses the word “descendant”
    whereas § 30-4024(2) uses the word “issue.” The comment to
    § 5B-201 of the Uniform POAA reinforces that an agent who
    is not an ancestor, spouse, or descendent may not make a gift
    to the agent without express authority from the principal in the
    power of attorney. The comment provides in part:
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    [Section 5B-201(b) (equating to § 30-4024(2))] con-
    tains an additional safeguard for the principal. It estab-
    lishes as a default rule that an agent who is not an
    ancestor, spouse, or descendant of the principal may not
    exercise authority to create in the agent or in an individ-
    ual the agent is legally obligated to support, an interest in
    the principal’s property. For example, a non-relative agent
    with gift making authority could not make a gift to the
    agent or a dependent of the agent without the principal’s
    express authority in the power of attorney.
    Uniform POAA § 5B-201, comment, 8 (part III) U.L.A. at
    320 (2013).
    In this case, we are only considering the actions of an
    agent, Graham, who is not the ancestor, spouse, or issue of the
    principal, Hilda. With respect to agents who are not the ances-
    tor, spouse, or issue of the principal, we believe § 30-4024(2)
    is in accord with our case law regarding self-dealing decided
    prior to the effective date of the Nebraska UPOAA. In this
    regard, in Archbold v. Reifenrath, 
    274 Neb. 894
    , 901, 
    744 N.W.2d 701
    , 707 (2008), we stated that
    no gift may be made by an attorney in fact to himself or
    herself unless the power to make such a gift is expressly
    granted in the instrument and there is shown a clear intent
    on the part of the principal to make such a gift. Thus,
    absent an express intention, an agent may not use his or
    her position for the agent’s or a third party’s benefit in a
    substantially gratuitous transfer.
    See, also, Crosby v. Luehrs, 
    266 Neb. 827
    , 
    669 N.W.2d 635
    (2003); Fletcher v. Mathew, 
    233 Neb. 853
    , 
    448 N.W.2d 576
    (1989) (stating that power of attorney instrument must
    explicitly authorize attorney in fact to make gifts to himself
    on behalf of principal). See, also, Townsend v. U.S., 889 F.
    Supp. 369 (D. Neb. 1995). The statement in Archbold quoted
    above to the effect that a gift made by an agent to himself
    or herself must be expressly authorized in the instrument is
    consistent with § 30-4024(2) with respect to agents who are
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    not the ancestor, spouse, or issue of the principal, and we
    therefore find this case law to be relevant and applicable to
    this case.
    In this case, as stated above, when Graham deposited the
    proceeds of the CD into the checking account with right
    of survivorship that he co-owned with Hilda, he created an
    interest in himself in Hilda’s property. It is undisputed that
    Graham is not the “ancestor, spouse, or issue” of Hilda. See
    § 30-4024(2). Therefore, pursuant to § 30-4024(2), Graham
    needed express authority from Hilda in the power of attorney
    to deposit the proceeds of the CD into the checking account.
    We find no such express authority.
    The potentially relevant portions of the power of attor-
    ney provided:
    A. POWER OF ATTO[R]NEY FOR HANDLING
    PRINCIPAL’S BUSINESS AFFAIRS AND MANAGING
    PRINCIPAL’S ASSETS: Without in any way limiting
    or restricting the generality of the foregoing, but in fur-
    therance thereof, and in partial enumeration only, of the
    powers thereby vested in my said Attorney-in-Fact, I
    hereby give and grant unto my said Attorney-in-Fact full
    power and authority, from time to time, for me and in my
    name, place and stead, and for my use, and in my said
    Attorney-in-Fact’s sole discretion:
    ....
    4. To deposit or withdraw any money or credits in
    any bank or savings and loan company or any depository
    or investment or financial business of any kind, and to
    sign, endorse, execute or renew any checks, withdrawals,
    deposits, promissory notes, bonds, bills of exchange or
    evidences of indebtedness and to waive notice of demand
    and protest and to transact and perform any and all other
    banking or financial business and affairs of any kind
    whatsoever; including the power to change the benefici­
    aries of any financial investments.
    ....
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    6. To purchase, sell, transfer, assign, hypothecate,
    redeem, exchange, waive priority, or deal in any way
    with any notes, mortgages, stocks, bonds or securities
    or investments of any kind or nature whatsoever, and to
    receive and receipt for any and all income or dividends
    therefrom and to vote or to execute proxies for voting any
    and all stock.
    Powers of attorney are strictly construed. See Fletcher v.
    
    Mathew, supra
    . Nothing in these sections of the power of attor-
    ney, or in any other portion of the power of attorney, provides
    Graham with the express authority to give himself an interest
    in Hilda’s property. We determine that because such authority
    is not contained in the power of attorney, and by application
    of the plain language of § 30-4024(2), Graham did not have
    authority to give himself an interest in Hilda’s property, and
    specifically, he did not have the authority to deposit the pro-
    ceeds of the CD into the checking account with right of survi-
    vorship that he co-owned with Hilda.
    Graham directs our attention to another provision of the
    Nebraska UPOAA, contending that under § 30-4014(4) of
    the Nebraska UPOAA, he cannot be found liable for having
    deposited the proceeds of the CD into the checking account,
    and that therefore, he was effectively authorized to do so. We
    do not agree.
    Section 30-4014(4) of the Nebraska UPOAA provides: “An
    agent that acts with care, competence, and diligence for the
    best interest of the principal is not liable solely because
    the agent also benefits from the act or has an individual or
    conflicting interest in relation to the property or affairs of
    the principal.”
    Section 30-4014(4) of the Nebraska UPOAA is identical to
    § 5B-114(d) of the Uniform POAA. This broad provision is
    explained in the comments to the Uniform POAA. According
    to the comment to § 5B-114 of the Uniform POAA, “[t]his
    position is a departure from the traditional common law duty
    of loyalty which required an agent to act solely for the benefit
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    of the principal.” Uniform POAA § 5B-114, comment, 8 (part
    III) U.L.A. at 306 (2013). The comment notes that certain state
    statutes have moved away from a “sole interest” test and rec-
    ognize that “loyalty to the principal can be compatible with an
    incidental benefit to the agent.” 
    Id. Thus, it
    has been observed
    that it is apparent that the drafters “justified [their] decision
    to favor a ‘best interest’ test over a ‘sole interest’ test on the
    ground that most agents under powers of attorney are family
    members ‘who have an inherent conflict of interest with the
    principal.’” Ronald R. Volkmer, Nebraska’s Real Property
    Transfer on Death Act and Power of Attorney Act: A New Era
    Begins, 46 Creighton L. Rev. 499, 547 (2013).
    However, it has also been stated that it should be recog-
    nized that
    not all self-dealing transactions fit into the same cat-
    egory. . . . [T]he specter of the agent making gifts to
    himself or herself raises special concerns that [are] high-
    lighted by other sections of the [Nebraska UPOAA]. [For
    example, t]here is a difference in degree when comparing
    a situation in which the agent personally benefits in a
    contract involving self-dealing with a situation in which
    the agent personally benefits by receiving a gift of the
    principal’s property. It would seem that subsection (4) [of
    § 30-4014], when considered in the context of other sec-
    tions of the [Nebraska UPOAA], although referring to an
    agent “benefitting” from a relationship with the principal,
    strikes a proper balance between different types of self-
    dealing transactions under which the agent “benefits.”
    Volkmer, supra at 547.
    We agree with the foregoing reading of the Nebraska
    UPOAA. Graham’s action of depositing the proceeds of the
    CD into a checking account with right of survivorship he
    co-owned with Hilda is a situation in which Graham person-
    ally benefited by receiving a gift of Hilda’s property and is
    the type of self-dealing prohibited by the Nebraska UPOAA
    and not permitted under the power of attorney in question.
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    See § 30-4024(2). And, the action taken by Graham is not the
    type of permitted situation in which an agent would stand to
    personally benefit only incidentally from an action taken that
    is in the best interests of the principal. See § 30-4014(4).
    [12] Components of a series or collection of statutes pertain-
    ing to a certain subject matter are in pari materia and should be
    conjunctively considered and construed to determine the intent
    of the Legislature, so that different provisions are consistent,
    harmonious, and sensible. Cargill Meat Solutions v. Colfax
    Cty. Bd. of Equal., 
    290 Neb. 726
    , 
    861 N.W.2d 718
    (2015). In
    reading § 30-4014(4) in conjunction with § 30-4024(2), we
    determine that § 30-4014(4) was not intended to create an
    exception to the clear language of § 30-4024(2), which pro-
    vides that an agent who is not the ancestor, spouse, or issue of
    the principal must have express authority from the principal in
    the power of attorney in order to create in himself or herself
    an interest in the principal’s property. Graham’s argument to
    the contrary is unavailing.
    Because the power of attorney did not provide Graham with
    express authority to deposit the proceeds of the CD into a
    checking account with right of survivorship he co-owned with
    Hilda, we determine that Cisneros demonstrated that she was
    entitled to judgment as a matter of law, and the burden shifted
    to Graham to produce evidence preventing judgment.
    Appeal: Graham’s Actions Were
    Not Ratified by Hilda.
    Graham claims that even if he lacked authority under the
    power of attorney to deposit the proceeds of the CD into the
    checking account, Hilda nevertheless later ratified his action,
    and that thus, the district court erred when it granted Cisneros’
    motion for summary judgment. Even giving Graham the favor-
    able inferences from the evidence, we find no merit to this
    assignment of error.
    [13,14] Describing the concept of ratification, 1 Restatement
    (Third) of Agency § 4.01 at 304 (2006) provides in part:
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    (1) Ratification is the affirmance of a prior act done by
    another, whereby the act is given effect as if done by an
    agent acting with actual authority.
    (2) A person ratifies an act by
    (a) manifesting assent that the act shall affect the per-
    son’s legal relations, or
    (b) conduct that justifies a reasonable assumption that
    the person so consents.
    See, also, Elting v. Elting, 
    288 Neb. 404
    , 
    849 N.W.2d 444
    (2014). We have stated that whether there has been a ratifi-
    cation is ultimately and ordinarily a question of fact. Brook
    Valley Ltd. Part. v. Mutual of Omaha Bank, 
    285 Neb. 157
    ,
    
    825 N.W.2d 779
    (2013). Because ratification is an affirmative
    defense, the burden of proving ratification rests on the party
    asserting it. See 
    id. As an
    initial matter, we must determine whether ratifica-
    tion is an available defense after adoption of the Nebraska
    UPOAA against a claim that, under the Nebraska UPOAA and
    the document at issue, the agent exceeded his or her authority.
    Generally, “[t]he policy against permitting subversion of the
    limits on the power of attorney counsels against permitting
    persons with a power of attorney to invoke other legal princi-
    ples to exercise powers that are not available under the power
    of attorney.” Estate of Swanson v. U.S., 10 Fed. Appx. 833,
    836 (Fed. Cir. 2001). It is for this reason that “‘it is assumed
    that [a document conveying a power of attorney] represents the
    entire understanding of the parties.’” 
    Id., quoting Restatement
    (Second) of Agency § 34, comment h. (1958). Nevertheless,
    the case law permits ratification of an act beyond the scope
    of the power of attorney, but, as discussed below, the party
    asserting ratification must make a strong showing. We see
    nothing in the Nebraska UPOAA which is inconsistent with
    the continuation of this principle.
    [15] Generally, ratification of an agent’s unauthorized acts
    may be made by overt action or inferred from silence or
    inaction. See Brook Valley Ltd. Part. v. Mutual of Omaha
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    Bank, supra
    . However, the Restatement (Third) of Agency,
    supra, § 4.01, comment e. at 308, provides in part that “[i]f
    formalities are required for the authorization of an act, the
    same formalities are required for ratification. In particular, if
    written authorization would be necessary to bind the principal
    to a transaction, a writing is necessary to bind the principal
    to a ratification.” It has been stated that ratification “must be
    by an act of the character required for [the] original author-
    ity.” Judd v. Arnold, 
    31 Minn. 430
    , 432, 
    18 N.W. 151
    , 151
    (1884). Further, it has been noted that “[a] subsequent rati-
    fication is, of course, equivalent to a prior authority. But the
    rule is that the ratification of an unauthorized act must be
    of the particular mode or form necessary to confer authority
    to perform it in the first place.” Dunbar v. Farnum & Wife,
    
    109 Vt. 313
    , 319, 
    196 A. 237
    , 239 (1937). See, also, Matter
    of City & County Bank, 
    856 S.W.2d 137
    (Tenn. App. 1992);
    Fulton Co. Fis. Ct. v. Southern Bell T. & T. Co., 
    289 Ky. 159
    , 
    158 S.W.2d 437
    (1942); Stammelman v. Interstate Co.,
    
    112 N.J.L. 342
    , 
    170 A. 595
    (1934). And the ratification must
    demonstrate a deliberate choice to be bound. See Dunbar v.
    Farnum & 
    Wife, supra
    .
    It has been stated that “if a statute requires written authority
    for a particular transaction, oral ratification will not validate
    an unauthorized act by the agent.” 12 Samuel Williston, A
    Treatise on the Law of Contracts § 35:23 at 412-13 (Richard
    A. Lord ed., 4th ed. 2012). The case law recognizes this prin-
    ciple, particularly in matters involving real estate where a stat-
    ute of frauds requires a writing. See, e.g., Gresser v. Hotzler,
    
    604 N.W.2d 379
    , 385-86 (Minn. App. 2000) (determining that
    because statute of frauds required written authorization for
    agent to enter into purchase agreement, plaintiff could not
    claim ratification through conduct or oral statements, stating
    that “ratification ‘must be by an act of the character required
    for the original authority’” and that “[w]hen the original
    authorization must be in writing, the ratification must be in
    writing as well”); Turnipseed v. Jaje, 
    267 Ga. 320
    , 324, 477
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    S.E.2d 101, 104 (1996) (stating that “ratification of a real
    estate contract which was executed by an unauthorized agent
    must be in writing” and that “[a]n oral ratification will not
    suffice”). The principle has been applied to the purchase of a
    water system appurtenant to real estate. See Dunbar v. Farnum
    & 
    Wife, supra
    . In this case, pursuant to these principles, since
    Graham’s authority to cash the CD and deposit the proceeds
    was required under a statute, § 30-4024(2), to be expressly
    in writing, Hilda’s ratification was also required to be in
    a writing.
    At the hearing on Cisneros’ motion for summary judg­
    ment, Graham offered and the court received Graham’s affi-
    davit. In his affidavit, Graham stated that on the day he
    cashed the CD and deposited the proceeds into the checking
    account, he went to Hilda’s house and gave her the receipt
    for the transaction. He further stated that after Hilda “knew
    the transaction was completed, she was more calm, and
    less frustrated and agitated.” Graham’s affidavit also stated
    that the deposit of the proceeds was recorded in the check
    register in Hilda’s handwriting, although the check register
    was not admitted in evidence. Although there is no sugges-
    tion that any other evidence could support a ratification, on
    appeal, Graham asserts that the summary judgment evidence
    creates a material issue of fact as to whether Hilda ratified
    Graham’s actions.
    Even viewing the evidence in the light most favorable to
    Graham and giving Graham the benefit of all reasonable infer-
    ences deducible from the evidence, as we must in reviewing
    a summary judgment, see Sulu v. Magana, 
    293 Neb. 148
    ,
    
    879 N.W.2d 674
    (2016), we determine that Hilda’s acts as
    described by Graham in his affidavit fall short of a sufficient
    ratification in this circumstance. As stated above, because
    Graham’s authority was required to be in a writing pursuant
    to § 30-4024(2), a ratification by Hilda was required to be
    in a writing. Hilda’s reaction, as described by Graham in his
    affidavit, does not show Hilda’s express approval of Graham’s
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    actions in a writing. We determine as a matter of law that
    Graham failed to present evidence of a material issue of fact as
    to whether Hilda ratified Graham’s actions, and thus, we deter-
    mine that the district court did not err when it granted summary
    judgment in favor of Cisneros.
    Cross-Appeal: The District Court Did
    Not Err When It Denied an Award
    of Attorney Fees to Cisneros.
    On cross-appeal, Cisneros claims that the district court was
    required to grant her attorney fees under § 30-4017 of the
    Nebraska UPOAA and erred when it did not do so. We find no
    merit to Cisneros’ assignment of error on cross-appeal.
    Section 30-4017(2) of the Nebraska UPOAA allows the
    court to award attorney fees “as justice may require.” Section
    30-4017 states:
    An agent that violates the [Nebraska UPOAA] is liable
    to the principal or the principal’s successors in interest for
    the amount required to:
    (1) Restore the value of the principal’s property to
    what it would have been had the violation not occurred;
    and
    (2) In a judicial proceeding involving the admin-
    istration of a power of attorney, the court, as justice
    may require, may award costs and expenses, including
    reasonable attorney’s fees to any party, to be paid by
    another party.
    Section 30-4017(2) of the Nebraska UPOAA “departs from
    the Uniform POAA by adding” that an agent may be held
    liable for attorney fees as ordered by the court “‘as justice
    may require.’” Ronald R. Volkmer, Nebraska’s Real Property
    Transfer on Death Act and Power of Attorney Act: A New Era
    Begins, 46 Creighton L. Rev. 499, 550 (2013). We believe
    this departure is an indication that the Legislature intended
    that the court have discretion in awarding costs and expenses,
    including attorney fees under § 30-4017(2).
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    Failing a mandatory award of attorney fees under § 30-4017,
    Cisneros next looks to Neb. Rev. Stat. § 25-824(4) (Reissue
    2008), which provides that “[t]he court shall assess attor-
    ney’s fees and costs if, upon the motion of any party or the
    court itself, the court finds that an attorney or party brought
    or defended an action or any part of an action that was frivo-
    lous . . . .”
    Cisneros claims attorney fees under § 25-824. With respect
    to an award of attorney fees pursuant to § 25-824 and Neb.
    Rev. Stat. § 25-824.01 (Reissue 2008), we have stated:
    Attorney fees can be awarded when a party brings a
    frivolous action that is without rational argument based
    on law and evidence. We have previously explained that
    the term “frivolous” connotes an improper motive or
    legal position so wholly without merit as to be ridiculous.
    Attorney fees for a bad faith action under § 25-824 may
    also be awarded when the action is filed for purposes of
    delay or harassment. We have also said that relitigating
    the same issue between the same parties may amount to
    bad faith. Finally, any doubt whether a legal position is
    frivolous or taken in bad faith should be resolved for the
    party whose legal position is in question.
    White v. Kohout, 
    286 Neb. 700
    , 709-10, 
    839 N.W.2d 252
    , 260-
    61 (2013). Thus, in White, we recognized that the attorney fee
    provision in § 25-824 is discretionary. Cisneros asserts that
    Graham’s defense in this case is frivolous and that therefore,
    under § 25-824, the district court abused its discretion when it
    denied her request for attorney fees.
    Because discretion is involved, a trial court’s decision
    awarding or denying attorney fees will be upheld absent an
    abuse of discretion. See White v. 
    Kohout, supra
    . This case
    presented the district court with the necessity to construe the
    new Nebraska UPOAA, and the position of Graham, although
    unavailing, was neither unreasonable nor frivolous. The dis-
    trict court did not abuse its discretion when it denied Cisneros’
    motion for attorney fees.
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    CONCLUSION
    We determine that the district court did not err when it
    determined that Graham lacked authority under the power
    of attorney to cash the CD and deposit the proceeds into a
    checking account with right of survivorship he co-owned with
    Hilda. We further determine that there was no genuine issue
    of material fact as to whether Hilda ratified Graham’s actions.
    Accordingly, we determine that the district court did not err
    when it granted Cisneros’ motion for summary judgment and,
    thereafter, denied Graham’s motion to alter or amend the judg-
    ment. With respect to Cisneros’ cross-appeal, we determine
    that the district court did not abuse its discretion when it
    denied an award of attorney fees to Cisneros.
    A ffirmed.
    Stacy, J., participating on briefs.
    

Document Info

Docket Number: S-15-392

Citation Numbers: 294 Neb. 83, 881 N.W.2d 878

Filed Date: 7/8/2016

Precedential Status: Precedential

Modified Date: 7/23/2019

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