In Re:Petition of Navarra, S. Appeal of:Navarra,C , 185 A.3d 342 ( 2018 )


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  • J-A16014-17
    
    2018 PA Super 84
    IN RE: PETITION OF SANDRA NAVARRA                 IN THE SUPERIOR COURT
    BY THE LIMITED GUARDIAN OF HER                              OF
    ESTATE                                                 PENNSYLVANIA
    APPEAL OF: CHRIS NAVARRA, LINDA
    D'AUGOSTINE, JOANNE M. NAVARRA,
    RICHARD E. NAVARRA AND
    CHARLENE A. SHELLEDY
    No. 1307 WDA 2016
    Appeal from the Order entered August 25, 2016
    In the Court of Common Pleas of Lawrence County
    Orphans' Court at No: 109 of 2014 O.C.
    BEFORE: STABILE, J., FORD ELLIOTT, P.J.E., and STRASSBURGER, J.*
    OPINION BY STABILE, J.:                                 FILED APRIL 11, 2018
    This is an appeal from the August 25, 2016 order in the Court of
    Common Pleas of Lawrence County, Orphans’ Court Division, granting the
    petition of Chrystie Clarke, limited guardian of Sandra Navarra, to substitute
    the judgment of the Orphans’ Court for Navarra pursuant to 20 Pa.C.S.A.
    § 5536(b) and disinherit five residuary legatees to Navarra’s will.         The
    Orphans’ Court lacked jurisdiction to decide the rights of one of the five
    legatees, Charlene Shelledy, because Shelledy died during Orphans’ Court
    proceedings, and the personal representative of Shelledy’s estate has not
    been substituted in her place. Accordingly, we vacate the Orphans’ Court’s
    ____________________________________________
    *   Retired Senior Judge assigned to the Superior Court.
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    order as to Shelledy.       At the same time, however, we have jurisdiction to
    decide the appeal of the four remaining legatees, and we affirm the Orphans’
    Court’s decision to substitute its judgment and disinherit these legatees.
    Background
    The Orphans’ Court’s August 25, 2016 opinion accurately recounts the
    evidence of record as follows. Fred Navarra (“Husband”) and Sandra Navarra
    (“Wife”) married in 1983. Both spouses had children from previous marriages.
    For the next 26 years, Husband and Wife lived together at their residence in
    New Wilmington, Pennsylvania.            On January 23, 2007, Husband suffered
    serious injuries in an automobile accident that required hospitalization for two
    months and round-the-clock assistance when he returned home.
    On May 14, 2007, Husband and Wife executed mutually reciprocal wills.
    The residuary clause in each will provided that (1) seventy percent of the
    residuary estate would pass to Husband’s legatees,1 and (2) thirty percent of
    the residuary estate would pass to Wife’s children, Clarke and Brent Young.
    Husband and Wife continued to reside together, but at some point after
    execution of the reciprocal wills, Wife began to show signs of dementia due to
    age and alcohol abuse. Friction began to develop between Wife’s children and
    Husband’s legatees. Linda D’Augostine ordered Husband’s caregivers to keep
    ____________________________________________
    1 For purposes of this opinion, Husband’s legatees include his four children,
    Richard E. Navarra, Linda D'Augostine, Charlene A. Shelledy, Joanne M.
    Navarra, and Richard’s ex-wife, Chris Navarra.
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    Husband and Wife separated from one another and attempted to remove Wife
    from the residence.         Husband’s children repeatedly cancelled caregiver
    appointments for Wife at the home and left her at home alone despite her
    need for continuous care.
    On November 9, 2009, Clarke moved Wife from the marital residence to
    a nursing home2 because Clarke suspected that Husband’s daughter,
    D’Augostine, was treating Wife abusively. One day later, Husband’s legatees
    changed the locks to the marital residence and denied Clarke access to assets
    that Wife shared jointly with Husband.           Subsequently, the Orphans’ Court
    appointed Clarke as plenary guardian of Wife’s person.
    On December 31, 2009, Husband executed a revised will disinheriting
    Wife and Wife’s children and leaving his entire residuary estate to his children.
    Further, in September 2010, certificates of deposit jointly owned by Husband
    and Wife were cashed, and the proceeds were used to purchase annuities for
    which Husband’s children were the only beneficiaries, excluding Wife and her
    children. Husband’s children also removed Wife as a recipient of Husband’s
    IRA account at brokerage firm Janney Montgomery Scott, LLC,            and listed
    themselves as recipients.          One of Husband’s children, Richard Navarra,
    depleted a bank account that was in Husband’s and Wife’s joint names.
    ____________________________________________
    2Wife never returned to the marital residence. She continues to live in the
    nursing home, suffering from dementia.
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    On July 24, 2012, Husband died.      Following his death, Clarke filed a
    declaratory judgment action requesting that the court name Wife as the sole
    owner of the proceeds of a stock purchase agreement entered into between
    Husband’s and Wife’s agents in 2007.       Richard Navarra opposed Clarke’s
    petition in his capacity as personal representative of Husband’s estate.   The
    Orphans’ Court held that Wife was the sole owner of the proceeds, and this
    Court subsequently affirmed in a published opinion.        In Re Estate of
    Navarra, 
    113 A.3d 829
     (Pa. Super. 2015).
    The Present Case
    Wife lacked the capacity to amend her will due to her dementia.
    Consequently, on October 14, 2014, Clarke filed a petition requesting the
    Orphans’ Court to substitute its judgment for Wife under Section 5536(b) and
    amend Wife’s will to disinherit Husband’s legatees. Husband’s legatees filed
    an answer opposing the petition.
    On several dates in 2015 and 2016, the Orphans’ Court held evidentiary
    hearings relating to Clarke’s petition.    In mid-2015, however, Shelledy
    suffered a stroke, and she died prior to the hearing on February 1, 2016. N.T.,
    2/1/16, at 3 (testimony that Shelledy had died); see also N.T., 2/2/16, at
    113-14 (same); Orphans’ Court Opinion, 8/25/16, at 1 n.1 (“Shelledy is now
    deceased”). The record reflects that Shelledy’s personal representative has
    never been substituted as a party in this case.
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    At the conclusion of the hearings, the Orphans’ Court decided to address
    Clarke’s petition in two steps.   First, the Orphans’ Court would determine
    whether Section 5536(b) permitted it to grant the relief sought by Clarke:
    disinheritance of legatees of an incapacitated person. Second, if the statute
    permitted such relief, the Orphans’ Court would determine whether such relief
    was warranted under the circumstances of this case. On April 29, 2016, the
    Orphans’ Court entered an opinion and order holding that Section 5536(b)
    permitted courts to disinherit legatees of incapacitated persons. On August
    25, 2016, the Orphans’ Court entered an opinion and order granting Clarke’s
    petition under Section 5536(b) to substitute the Orphans’ Court’s judgment in
    place of Wife. The order directed the amendment of Wife’s will to disinherit
    all of Husband’s legatees (including Shelledy) as beneficiaries and bequeath
    the entire residue of Wife’s estate to Clarke and Young in equal shares.
    On September 6, 2016, Husband’s legatees appealed to this Court. The
    notice of appeal included Shelledy as an appellant despite her death. Both
    Appellants and the Orphans’ Court complied with Pa.R.A.P. 1925.
    In this Court, Husband’s legatees argue that (1) the Orphans’ Court
    lacked authority under Section 5536(b) to amend Wife’s will to disinherit
    them; (2) even if Section 5536(b) provided such authority, the Orphans’ Court
    erred by failing to apply the clear and convincing evidence test to Clarke’s
    petition; and (3) Clarke failed to furnish sufficient evidence in support of her
    petition.
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    Jurisdiction
    Prior to addressing these issues, we must analyze several jurisdictional
    issues that arise as a result of Shelledy’s death. First, we examine whether
    Shelledy’s death divested the Orphans’ Court of subject matter jurisdiction to
    decide Clarke’s action against Shelledy.
    Subject matter jurisdiction “relates to the competency of the individual
    court . . . to determine controversies of the general class to which a particular
    case belongs.” Green Acres Rehab. & Nursing Ctr. v. Sullivan, 
    113 A.3d 1261
    , 1268 (Pa. Super. 2015) (citation omitted). “[I]t is never too late to
    attack a judgment or decree for want of jurisdiction. That question is always
    open.” In re Simpson's Estate, 
    98 A. 35
    , 38 (Pa. 1916). “The want of
    jurisdiction over the subject matter may be questioned at any time. It may
    be questioned either in the trial court, before or after judgment, or for the first
    time in an appellate court, and it is fatal at any stage of the proceedings, even
    when collaterally involved . . . .” In re Patterson's Estate, 
    19 A.2d 165
    ,
    166 (Pa. 1941).     Moreover, it is “well settled that a judgment or decree
    rendered by a court which lacks jurisdiction of the subject matter or of the
    person is null and void . . . .” Com. ex rel. Howard v. Howard, 
    10 A.2d 779
    , 781 (Pa. Super. 1939). The question of subject matter jurisdiction may
    be raised at any time, by any party, or by the court sua sponte. Grimm v.
    Grimm, 
    149 A.3d 77
    , 82 (Pa. Super. 2016) (citation omitted).              Because
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    jurisdiction is a pure question of law, our standard of review is de novo, and
    our scope of review is plenary. 
    Id.
     (citation omitted).
    Grimm plays an important role in resolving this issue. The plaintiff in
    Grimm     (“Grandson”)    filed   a   civil   action   against   his   grandfather
    (“Grandfather”) for striking his head with a shovel handle and against two
    other defendants for facilitating Grandfather’s misconduct. Grandfather died
    during trial court proceedings, and the personal representative of his estate
    was not substituted in his place as a defendant.         In 2011, the trial court
    sustained the other defendants’ preliminary objections and dismissed
    Grandson’s action against them for failure to state a cause of action. In 2013,
    after Grandfather’s death, the trial court entered judgment of non pros in favor
    of Grandfather due to docket inactivity. Grandson thereupon appealed to this
    Court.
    A panel of this Court held that the trial court lacked jurisdiction to enter
    judgment in favor of Grandfather, because “the death of a party deprives the
    trial court of subject matter jurisdiction over litigation by or against the
    deceased until such time as the deceased's personal representative is
    substituted in his or her place.” Grimm, 149 A.3d at 80. The panel observed
    that upon the death of a party, the Rules of Civil Procedure require the filing
    of a notice of death and the substitution of a personal representative. Id. at
    84 (citing Pa.R.Civ.P. 2352 and 2355). Moreover, at common law, “a dead
    man cannot be a party to an action, and any such attempted proceeding is
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    completely void and of no effect.” Id. at 84-85 (citing, inter alia, Lange v.
    Burd, 
    800 A.2d 336
    , 341 (Pa. Super. 2002)). “The language that the courts
    of this Commonwealth have used,” the panel reasoned,
    leads us to conclude that the death of a party divests a court of
    subject matter jurisdiction over claims brought by or against the
    deceased party. Specifically, this Court and our Supreme Court
    have repeatedly used the terms “null” and “void” when discussing
    the effect of a filing after a party dies. Eg., Lange, 
    800 A.2d at 341
    ; Thompson [v. Peck], 181 A. [597,] 598 [(Pa. 1935)], citing
    Brooks v. Boston & N. St. R. Co., 
    211 Mass. 277
    , 
    97 N.E. 760
    (Mass.1912). An action is only null and void for purposes of
    appellate review if a court lacks subject matter jurisdiction. If a
    party lacks standing, or the court lacks personal jurisdiction or
    power, the issue can be waived and thus ipso facto is not null and
    void if not properly preserved.         Thus, although these past
    decisions have not explicitly used the term “subject matter
    jurisdiction” when discussing why an action by or against a
    deceased party is null and void, it is evident by the use of the
    terms “null” and “void” that the issue goes to subject matter
    jurisdiction and not to standing, personal jurisdiction, or a court’s
    power.
    
    Id. at 85
    . The panel held:
    As the trial court lacked subject matter jurisdiction over
    Grandson’s claims against Grandfather at the time it entered the
    judgment of non pros, we vacate the judgment of non pros and
    remand this matter to the trial court to either dismiss the cause
    of action for want of jurisdiction or to permit substitution of a
    personal representative [for Grandfather] in accordance with the
    Pennsylvania Rules of Civil Procedure.
    
    Id. at 86
    .
    In this case, Clarke filed a petition requesting the Orphans’ Court to
    substitute its judgment for Wife and amend Wife’s will to disinherit Husband’s
    legatees. Shelledy, one of Husband’s legatees, and one of the respondents to
    Clarke’s petition, died during the course of litigation, and her personal
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    representative was not substituted in her place.       Pursuant to Grimm, the
    Orphans’ Court lost subject matter jurisdiction over the claim against Shelledy
    at the time of her death, and we lack jurisdiction to rule on this appeal to the
    extent it relates to Shelledy. 
    Id.,
     149 A.3d at 85-86. Accordingly, we vacate
    the Orphans’ Court’s order as to Shelledy and remand this matter to the
    Orphans’ Court to either dismiss the cause of action for want of jurisdiction or
    permit substitution of a personal representative for Shelledy.
    Next, we examine whether the loss of jurisdiction over the claim against
    Shelledy deprived the Orphans’ Court of jurisdiction over Husband’s remaining
    legatees. Because Shelledy is not an indispensable party, we conclude that
    the Orphans’ Court continued to possess jurisdiction over the remaining
    legatees.
    In general,
    an indispensable party is one whose rights are so connected with
    the claims of the litigants that no decree can be made without
    impairing its rights. Appellate courts have consistently held that
    property owners are indispensable parties in lawsuits concerning
    the owners’ property rights.
    The absence of an indispensable party goes absolutely to the
    court’s jurisdiction. If an indispensable party is not joined, a court
    is without jurisdiction to decide the matter. The absence of an
    indispensable party renders any order or decree of the court null
    and void. The issue of “the failure to join an indispensable party”
    cannot be waived.
    Sabella v. Appalachian Development Corp., 
    103 A.3d 83
    , 90 (Pa. Super.
    2014) (citation omitted). Here, Clarke asked the Orphans’ Court to eliminate
    Husband’s legatees’ rights to be residuary beneficiaries under Wife’s will. Each
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    residuary beneficiary holds a separate share of the residuary estate. Thus,
    Shelledy’s property right in her share is not “so connected” with the rights of
    the other legatees in their shares that “no decree can be made without
    impairing [her] rights.” 
    Id.
    Neither did the loss of jurisdiction over the claim against Shelledy
    prevent Husband’s remaining legatees from appealing the Section 5536(b)
    order to this Court.   Pa.R.A.P. 342, which governs appeals from Orphans’
    Court, permits an appeal “as of right” of an order “determining the status of
    . . . beneficiaries . . . in an estate . . .” Pa.R.A.P. 342(a)(5). In contrast to
    Rule 341(b)(1), which permits an appeal only from a final order that disposes
    of all claims and all parties, an order is appealable under Rule 342(a)(5) if it
    determines the status of some, but not all, beneficiaries. See Pa. R.A.P. 342,
    Cmt.; G. Ronald Darlington et al., PENNSYLVANIA APPELLATE PRACTICE
    §342:1, Volume 20 (2016-2017 ed.). Thus, we exercise jurisdiction over the
    appeal by Husband’s remaining legatees.
    Substantive issues
    Husband’s legatees first argue that 20 Pa.C.S.A. § 5536(b) did not
    authorize the Orphans’ Court to substitute its judgment for Wife and disinherit
    residuary legatees in her will. This issue of statutory construction presents a
    question of law for which our standard of review is de novo.         See In re
    Fiedler, 
    132 A.3d 1010
    , 1018 (Pa. Super. 2016).
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    We hold that the Orphans’ Court construed Section 5536(b) correctly.
    Although Section 5536(b) does not expressly provide the Orphans’ Court with
    this authority, the legislature intended for courts to construe Section 5536(b)
    expansively.   Viewed in this manner, Section 5536(b) empowers courts to
    substitute their judgment for incapacitated persons and disinherit their
    legatees.
    Section 5536, entitled “Distributions of Income and Principal During
    Incapacity,” was enacted in 1972 and amended several times thereafter.
    Section 5536 is part of Chapter 55 of the Probate, Estates and Fiduciaries
    Code (“PEF Code”), whose purpose is to “protect[] the[] rights” of
    “incapacitated persons” through “the use of the least restrictive alternative.”
    20 Pa.C.S.A. § 5502. Chapter 55 defines an “incapacitated person” as “an
    adult whose ability to receive and evaluate information effectively and
    communicate decisions in any way is impaired to such a significant extent that
    he is partially or totally unable to manage his financial resources or to meet
    essential requirements for his physical health and safety.”      20 Pa.C.S.A.
    § 5501.
    Section 5536(b) provides:
    (b) Estate plan.--The court, upon petition and with notice to all
    parties in interest and for good cause shown, shall have the
    power to substitute its judgment for that of the
    incapacitated person with respect to the estate and affairs
    of the incapacitated person for the benefit of the
    incapacitated person, his family, members of his
    household, his friends and charities in which he was
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    interested. This power shall include, but is not limited to,
    the power to:
    (1) Make gifts, outright or in trust.
    (2) Convey, release or disclaim his contingent and
    expectant interests in property, including marital
    property rights and any right of survivorship incident to
    joint tenancy or tenancy by the entirety.
    (3) Release or disclaim his powers as trustee, personal
    representative, custodian for minors, or guardian.
    (4) Exercise, release or disclaim his powers as donee of
    a power of appointment.
    (5) Enter into contracts.
    (6) Create for the benefit of the incapacitated person or
    others, revocable or irrevocable trusts of his property
    which may extend beyond his disability or life.
    (7) Exercise options of the incapacitated person to
    purchase or exchange securities or other property.
    (8) Exercise all rights and privileges under life insurance
    policies, annuity contracts or other plans or contractual
    arrangements       providing   for   payments       to  the
    incapacitated person or to others after his death.
    (9) Exercise his right to claim or disclaim an elective
    share in the estate of his deceased spouse and renounce
    any interest by testate or intestate succession or by inter
    vivos transfer.
    (10) Change the incapacitated person's residence or
    domicile.
    (11) Modify by means of codicil or trust amendment, as
    the case may be, the terms of the incapacitated person's
    will or of any revocable trust created by the incapacitated
    person, as the court may deem advisable in light of
    changes in applicable tax laws.
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    In the exercise of its judgment for that of the incapacitated
    person, the court, first being satisfied that assets exist which are
    not required for the maintenance, support and well-being of the
    incapacitated person, may adopt a plan of gifts which results in
    minimizing current or prospective taxes, or which carries out a
    lifetime giving pattern. The court in exercising its judgment
    shall consider the testamentary and inter vivos intentions
    of the incapacitated person insofar as they can be
    ascertained.
    Id. (emphasis added). The Official Comment to Section 5536(b) states that
    this section “is consistent with existing case law . . .” Jt. St. Govt. Comm.
    Comment—1976.
    Husband’s legatees argue that none of the eleven powers listed in
    Section 5536(b) expressly authorizes the Orphans’ Court to revoke an
    individual’s right of inheritance under a will and, therefore, the Orphans’ Court
    does not have the power under Section 5536(b) to disinherit Husband’s
    legatees.
    We reach a different conclusion. Section 5536(b) must be read broadly,
    and the Orphans’ Court’s authority is not confined to the enumerated powers
    in subsection (b)(1)-(11). The first and last sentences of this provision give
    the Orphans’ Court broad power to “substitute its judgment for the
    incapacitated person” with respect to the “estate and affairs” of the
    incapacitated person for “the incapacitated person’s benefit and members of
    his household, his friends and charities in which he was interested,” taking
    into account the incapacitated person’s “testamentary and inter vivos
    intentions . . . insofar as they can be ascertained.” Id. To emphasize the
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    breadth of this power, Section 5536(b) states that “[t]his power shall include,
    but is not limited to,” a wide variety of eleven powers. “Includes, but is not
    limited to” is a well-known term of enlargement.         Our Supreme Court has
    explained:
    [T]he term ‘include’ is ‘to be dealt with as a word of enlargement
    and not limitation’ . . . this [is] ‘especially true’ when followed by
    the phrase ‘but not limited to.’ . . . [T]he introductory verbiage
    ‘including, but not limited to,’ generally reflects the intent of the
    legislature to broaden the reach of a statute, rather than a
    purpose to limit the scope of the law to those matters enumerated
    therein.
    Dechert, LLP v. Commonwealth, 
    998 A.2d 575
    , 580–81 (Pa. 2010).3 “Any
    additional matters purportedly falling within the [scope of ‘including but not
    ____________________________________________
    The Dechert opinion collects several decisions illustrating the manner
    3
    in which courts interpret statutes that have “include, but is not limited to”
    language:
    In Pa. Human Relations Comm'n v. Alto–Reste Park
    Cemetery Ass'n, [] 
    306 A.2d 881
     ([Pa.] 1973), the appellee
    cemetery argued that, because nonsectarian cemeteries were not
    specifically mentioned in the definition of “place of public
    accommodation,” as set forth in the version of the Pennsylvania
    Human Relations Act in effect at that time, the legislature did not
    intend for nonsectarian cemeteries to be considered places of
    public accommodation subject to the jurisdiction of the
    Pennsylvania Human Relations Commission. In rejecting the
    cemetery’s argument, this Court held that the language of the
    statute, which defined “place of public accommodation” as “any
    place which is open to, accepts or solicits the patronage of the
    general public, including but not limited to [approximately 50
    enumerated places of accommodation] but shall not include any
    accommodations which are in their nature distinctly private,” was
    “broad and all inclusive.” [] 306 A.2d at 886 . . . see also
    Commonwealth v. Conklin, [] 
    897 A.2d 1168
    , 1176 n. 16 ([Pa.
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    limted to’], but that are not express, must be similar to those listed by the
    legislature and of the same general class or nature.”            Department of
    Environmental Protection v. Cumberland Coal Resources, LP, 
    102 A.3d 962
    , 976 (Pa. 2014).
    Additional support for liberal construction of Section 5536(b) comes
    from the 1976 Official Comment, which observes that this statute “is
    consistent with existing case law.”4 At common law, multiple courts invoked
    the doctrine of substitution of judgment to make estate planning decisions for
    persons whose incapacity prevented them from acting. In the leading case
    on this subject, Appeal of Hambleton, 
    102 Pa. 50
     (1883), a wealthy widower
    ____________________________________________
    Super.] 2006) (noting that, in the psychology practice act,
    exceptions set forth following the language “including but not
    limited to” are illustrative and not exhaustive). Similarly, in
    Aldine Apartments, Inc. v. Commonwealth, [] 
    395 A.2d 299
    ([Pa. Cmwlth.] 1978), the Commonwealth Court rejected the
    petitioner’s argument that language contained in Section 7201(m)
    of the 1971 version of the [Tax Reform] Code, which explicitly
    included gas and electricity for non-residential use in the definition
    of tangible personal property, implicitly excluded all gas and
    electricity for residential use from the definition.              The
    Commonwealth Court concluded that the language “including, but
    not limited to” was “a clear indication that the Legislature intended
    to exclude nothing, implicitly or otherwise, by the language which
    follows those words.” Id. at 302.
    Id. at 581.
    4 Although official comments are not law, we may give them weight in
    construing statutes because they provide evidence of legislative intent. See
    Bricklayers of Western Pennsylvania Combined Funds, Inc. v. Scott’s
    Development Co., 
    90 A.3d 682
    , 692 n.11 (Pa. 2014) (citation omitted).
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    arranged for his nephew and his nephew’s family to live with him and manage
    his affairs, in return for which the widower provided the nephew a salary. The
    widower was later declared a “lunatic,” and a bank was appointed committee
    of his estate. The nephew, who continued to live in the widower’s household,
    was appointed committee of his person, and the bank continued to pay the
    nephew his salary. Upon the audit of the bank account, certain next of kin of
    the widower persuaded the court to surcharge the nephew for the full amount
    of the salary paid to him. On appeal, the Supreme Court reversed the lower
    court and approved the payments, reasoning that the court was duty-bound
    “to maintain and carry forward the affairs of [the widower] as they were when
    his mind failed him; to do that which it might reasonably suppose he would
    have continued to do had he retained his sanity.” 
    Id.,
     
    102 Pa. at 53
    .
    Following Hambleton, courts invoked the substitution of judgment
    doctrine in other situations where it was necessary to protect the interests of
    incapacitated persons.    See Brindle’s Estate, 
    60 A.2d 1
    , 3 (Pa. 1948)
    (approving appointment of guardian ad litem to contest will disinheriting
    incapacitated person following determination that guardian exercised undue
    influence over testator and would not contest the will); Anderson’s Estate,
    40 D. & C. 2d 559, 563 (Chester Co. 1966) (authorizing guardian to exercise
    incompetent’s right to claim principal of life insurance trust of incapacitated
    person’s husband); Groff’s Estate, 38 D. & C. 2d 556, 566, 569 (Montgomery
    Co. 1965) (cited in Official Comment to Section 5536(b)) (authorizing
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    guardian to make inter vivos gifts of surplus property to save on death tax);
    Moorehead v. Northumberland County Retirement Board, 86 D. & C.
    283, 287-88 (Northumberland Co. 1953) (permitting guardian to file intention
    to retire on incompetent’s behalf, apply for retirement allowance, and elect
    manner in which allowance would be paid).
    Both the text of Section 5536(b) and the decisions preceding its
    enactment establish that the legislature intended the statute’s list of
    enumerated powers to be illustrative, not exhaustive. So long as the power
    in question relates to the incapacitated person’s “estate and affairs,” 
    id.,
     and
    good cause exists to conclude that the exercise of this power will “benefit . . .
    the incapacitated person, his family, members of his household, his friends
    [or] charities in which he was interested,” 
    id.,
     the Orphans’ Court may
    exercise it even though it is not explicitly mentioned in subsection (b)(1-11).
    The power in question here—modification of Wife’s will to disinherit several
    residuary legatees—fits easily within Section 5536(b)’s broad scope, for it
    concerns an incapacitated person’s estate, and its exercise will benefit family
    members of the incapacitated person by augmenting their residuary shares.
    Moreover, this power to modify Wife’s will is “similar to,” and of the “same
    general class or nature” as, the power in subsection (b)(11) to modify an
    incapacitated person’s will to keep pace with changes in applicable tax laws.
    Cumberland Coal Resources, LP, 102 A.3d at 976. Accordingly, Husband’s
    legatees’ first argument fails.
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    Husband’s legatees’ second argument urges us to find that the trial court
    erred in not requiring that Clarke establish good cause under Section 5536(b)
    by “clear and convincing evidence” before the trial court could substitute its
    judgment for Wife, an incapacitated person. The Orphans’ Court held that
    “good cause” required Clarke to demonstrate her right to relief only by a
    preponderance of the evidence.           We review this question of law de novo,
    Fiedler, 132 A.3d at 1018, and conclude that the preponderance of the
    evidence standard is the proper test.5
    ____________________________________________
    5 Although the terms “burden of proof” and “standard of proof” are oftentimes
    used interchangeably, see Elk Mountain Ski Resort v. WCAB, 
    114 A.3d 27
    (Pa. Cmwlth. 2015) (the function of a burden of proof or standard of proof is
    to instruct the factfinder as the level of confidence society believes he should
    have in the correctness of his conclusion); In Re Fiori, 
    673 A.2d 905
    , n.9
    (Pa. 1996) (the term “clear and convincing evidence” is used more commonly
    as a burden of proof). In fact, these terms have different meanings.
    The “burden of proof” consists of two parts: the burden of production and the
    burden of persuasion. Hurley v. Hurley, 
    754 A.2d 1283
     (Pa. Super. 2000).
    The “burden of production” tells the court which party must come forward with
    evidence to support a proposition. 
    Id.
     The “burden of persuasion” determines
    which party must produce sufficient evidence to convince a judge that a fact
    has been established. 
    Id.
     A “standard of proof” on the other hand refers to
    the degree or level of proof demanded in a specific case. Black’s Law
    Dictionary (Seventh Edition 1999). A standard of proof instructs a factfinder
    as to the level of confidence society believes a litigant should have in the
    correctness of a conclusion, such as proof “beyond a reasonable doubt,” by a
    “preponderance of the evidence,” or by “clear and convincing evidence.” See
    Commonwealth v. Maldonado, 
    838 A.2d 710
    , 715 (Pa. 2003). Different
    standards of proof reflect differences in how society believes the risk of error
    should be distributed as between the litigants. 
    Id.
     In the present case, while
    the parties often refer to this second issue as respecting the proper “burden”
    of proof, in reality, the issue more accurately concerns the proper standard of
    proof, or that quantum of proof necessary to establish by a preponderance of
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    J-A16014-17
    A preponderance of the evidence is “the greater weight of the evidence,
    i.e., to tip a scale slightly is the criteria or requirement for preponderance of
    the evidence.” Raker v. Raker, 
    847 A.2d 720
    , 724 (Pa. Super. 2004). The
    preponderance test is the normal burden of proof in most civil proceedings.
    See Tincher v. Omega Flex, Inc., 
    104 A.3d 328
    , 408 (Pa. 2014) (citations
    omitted).     Indeed, the term “burden of proof,” standing alone, implicitly
    means “by the preponderance of the evidence.”                  Se-Ling Hosiery v.
    Margulies, 
    70 A.2d 854
    , 856-57 (Pa. 1950).6
    ____________________________________________
    the evidence that good cause was established for the Orphans’ Court to
    substitute its judgment for Wife.
    6   The Se-Ling Court stated:
    In the quotation from Lord Justice Bowen in our opinion in the
    case of Arco Metalscraft Company v. Shaw et al., 
    70 A.2d 850
    this day filed, in which Baron Bowen lays down a rule about the
    shifting of the burden of proof in the course of a trial, it is pertinent
    to observe that this experienced English judge, like Wigmore and
    Thayer, used the phrase: ‘onus of proof’, or ‘burden’ without
    adding, ‘by the fair preponderance of the evidence’. These legal
    scholars recognized the fact that in civil cases the phrase ‘burden
    of proof’ when unqualified by any additional phrase implies ‘by the
    fair preponderance of the evidence’. If a trial judge in a civil case
    instructs the jury that plaintiff ‘has the burden of proof’ the
    defendant has no cause for complaint, because of what is implicit
    in that phrase when it stands alone. However, a plaintiff would
    have grounds for complaint because if the jury was not instructed
    that ‘burden of proof’ in a civil case meant only ‘by the fair
    preponderance of the evidence’ the members of the jury might
    have the idea that the phrase ‘burden of proof’ meant some higher
    degree of proof than mere preponderating evidence. Therefore,
    the omission of the phrase ‘by the fair preponderance of the
    evidence’ in the judge’s charge in the instant case was something
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    J-A16014-17
    The clear and convincing evidence standard is stricter than the
    preponderance standard. It is the “highest standard of proof utilized in civil
    proceedings, requiring evidence that is so clear, direct, weighty, and
    convincing as to enable the [trier of fact] to come to a clear conviction, without
    hesitancy, of the truth of the precise facts [in] issue.” In Re Vencil, 
    152 A.3d 235
    , 237 n.1 (Pa. 2017).
    In our view, the legislature in enacting 5536(b) intended “good cause”
    to require a preponderance of the evidence instead of clear and convincing
    evidence.      Generally, when the legislature determines that clear and
    convincing evidence should be the standard of proof, it has said so, as
    evidenced in multiple PEF Code statutes. See, 20 Pa.C.S.A. § 5501(a) (“the
    ____________________________________________
    of which the plaintiff could have justly complained, but of which
    the defendant could not justly complain. Plaintiff having secured
    the verdict makes no complaint.
    In the instant case the court below said: ‘We are convinced that
    the verdict for the plaintiff was not: 1-against the law; 2-against
    the evidence, and 3-against the weight of the evidence.’ The
    record sustains the view that the plaintiff successfully carried its
    burden of proof. That the jury believed plaintiff had done so is
    indicated by the verdict. We think it would be unfair to take away
    the verdict plaintiff secured merely because the trial judge in his
    charge as to plaintiff’s burden of proof omitted the phrase ‘by the
    fair preponderance of the evidence’. This slight departure from
    the formula customarily used in charging a jury in a civil case does
    not amount to reversible error, though the safest course for a
    judge in charging the jury in such cases would be to adhere to the
    long established formula and say that the plaintiff has the burden
    of proving his claim by the fair preponderance of the evidence.
    Id., 70 A.2d at 856-57.
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    J-A16014-17
    court, upon petition and hearing and upon the presentation of clear and
    convincing evidence, may find a person domiciled in the Commonwealth to be
    incapacitated and appoint a guardian or guardians of his person or estate”);
    20 Pa.C.S.A. § 305(b) (“[a]bsent an allegation of enduring estrangement,
    incompetence, contrary intent or waiver and agreement which is proven by
    clear and convincing evidence, a surviving spouse shall have the sole authority
    in all matters pertaining to the disposition of the remains of the decedent”);
    20 Pa.C.S.A. § 6303(a) (“[a] joint account belongs, during the lifetime of all
    parties, to the parties in proportion to the net contributions by each to the
    sum on deposit, unless there is clear and convincing evidence of a different
    intent”); 20 Pa.C.S.A. § 6304(a) (“[a]ny sum remaining on deposit at the
    death of a party to a joint account belongs to the surviving party or parties as
    against the estate of the decedent unless there is clear and convincing
    evidence of a different intent at the time the account is created”); 20 Pa.C.S.A.
    § 7740.5 (“[t]he court may reform a trust instrument, even if unambiguous,
    to conform to the settlor’s probable intention if it is proved by clear and
    convincing evidence that the settlor’s intent as expressed in the trust
    instrument was affected by a mistake of fact or law, whether in expression or
    inducement”). Thus, the absence of “clear and convincing” language from
    Section 5536(b) provides strong evidence that the legislature did not intend
    to vary the presumed standard of proof of a preponderance of the evidence
    for a civil case, when it directed that petitioners must demonstrate “good
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    J-A16014-17
    cause” for a court to substitute its judgment for that of an incapacitated person
    under Section 5536(b).
    We further are guided by the principle of statutory construction that the
    objective of all interpretation and construction of statutes is to ascertain and
    effectuate the intention of the General Assembly. 1 Pa. C.S.A. §1921. Our
    review of the PEF Code reveals that the legislature has reserved the clear and
    convincing standard for exceptional circumstances—for example, when
    petitioners attempt to take away rights held by incapacitated persons, see,
    e.g., 20 Pa.C.S.A. § 5511 (clear and convincing evidence required to declare
    person incapacitated), or when the petitioner moves to reform a trust
    instrument on the ground that it was affected by a mistake of fact or law
    (discussed in n.7, infra).    But when the statute’s purpose is to benefit
    incapacitated individuals, the more liberal preponderance standard controls,
    consistent with Chapter 55’s goal of “protecting [the] rights” of “incapacitated
    persons” through “the use of the least restrictive alternative.” 20 Pa.C.S.A.
    § 5502. Since Section 5536(b)’s express purpose is to benefit incapacitated
    persons (as well as his family, members of his household, his friends and
    charities), we conclude that the standard of proof by a preponderance of the
    evidence applies to this provision.
    To illustrate, we contrast the standards governing petitions to declare a
    person incapacitated (a procedure to take away an incapacitated person’s
    rights) with the standards governing petitions to declare that a person has
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    J-A16014-17
    regained competency (a procedure that benefits incapacitated persons). At
    common law, courts required clear and convincing evidence to declare a
    person incapacitated. Matter of Caine, 
    415 A.2d 13
    , 15 & n.4 (Pa. 1980).
    The standard remains the same under the PEF Code.          See 20 Pa.C.S.A
    § 5511(a). On the other hand, under two different statutory schemes, when
    a petitioner who previously was held incapacitated seeks a declaration of
    regained competency, courts have required her to prove her case only by a
    preponderance of the evidence. The first statutory scheme, 50 P.S. § 3323,
    which was in effect until 1992, required the petitioner to show “good cause”—
    the same element in Section 5536(b)—that she regained her capacity. The
    petitioner could satisfy the “good cause” element by a preponderance of the
    evidence. In Re Nagle’s Estate, 
    210 A.2d 262
    , 264 (Pa. 1965). In 1974,
    the legislature re-enacted Section 3323 as 20 Pa.C.S.A. § 5517. In 1975, our
    Supreme Court held that “good cause” under Section 5517 continued to
    require a preponderance of the evidence. See In Re Porter's Estate, 
    345 A.2d 171
    , 174 (Pa. 1975) (citing Nagle). The second statutory scheme was
    created in 1992.   The legislature removed the “good cause” element from
    Section 5517 and required a hearing under a new statute, 20 Pa.C.S.A.
    § 5512.2, when the incapacitated person sought a declaration of regained
    capacity. The only evidentiary standard mentioned in Section 5512.2 was in
    subsection (b): “Except when the hearing is held to appoint a successor
    guardian, the burden of proof, by clear and convincing evidence, shall be on
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    J-A16014-17
    the party advocating continuation of guardianship or expansion of areas of
    incapacity.”    20 Pa.C.S.A. § 5512.2(b).          Thirteen years after this second
    statutory scheme came into existence, we held that the burden of proof in
    incapacity proceedings remained the same as under the first scheme:
    “[W]hile the initial burden of proving incapacity is a clear and convincing
    standard . . . the incapacitated person has the burden of establishing that he
    has regained capacity only by a fair preponderance of the evidence.”7 In Re
    Estate of Rosengarten, 
    871 A.2d 1249
    , 1255 (Pa. Super. 2005) (citing
    Porter).
    ____________________________________________
    7 Before leaving this subject, we address another exceptional circumstance in
    which the legislature has required clear and convincing evidence: when a
    petitioner moves to reform a trust instrument to conform to the settlor’s intent
    when the trust instrument “was affected by a mistake of fact or law . . .” 20
    Pa.C.S.A. § 7740.5. The clear and convincing standard applies here not only
    “to guard against the possibility of unreliable or contrived evidence,” Uniform
    Law Comment, 20 Pa.C.S. § 7740.5, but also because Pennsylvania
    traditionally has required clear and convincing evidence to reform instruments
    on the basis of mistake. See Thrasher v. Rothrock, 
    105 A.2d 600
    , 604 (Pa.
    1954) (citing In re Ridgway’s Account 
    56 A. 25
     (Pa. 1903)).
    The circumstances addressed in Section 7740.5 do not exist here. Clarke does
    not contend that Wife’s will was the product of mistake at the time of
    execution. Instead, Clarke contends that the will was consistent with Wife’s
    intent at the time of execution, but that (1) Wife and Husband had reciprocal
    wills, (2) Husband later amended his will to disinherit Wife’s children, so (3)
    as a matter of reciprocity, Wife would have responded to Husband’s
    amendment by amending her own will to disinherit Husband’s legatees. Thus,
    Section 7740.5 would not persuade us that the clear and convincing test
    applies to the present case.
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    J-A16014-17
    Two lessons emerge from this history. The fact that the preponderance
    standard governed both statutory schemes when a declaration was sought to
    regain competency demonstrates the legislature’s intent for a more liberal
    standard to apply when the statute’s purpose is to benefit incapacitated
    persons. In addition, the fact that the “good cause” element under the pre-
    1992 statutory scheme was satisfied by a preponderance of the evidence, see
    Nagle and Porter, supra, indicates that the “good cause” element in Section
    5536(b) is satisfied by the preponderance of the evidence as well.
    For these reasons, Husband’s legatees’ second argument must fail.
    In their third and final argument, Husband’s legatees contend that the
    evidence did not support the Orphans’ Court’s decision to substitute its
    judgment for Wife and disinherit Husband’s legatees.       Husband’s legatees
    contend that Husband disinherited Wife and her children not because of any
    animus towards them, but to protect his estate from the high costs of Wife’s
    long-term care facility and to ensure that his legatees received their residuary
    shares of his estate.    A reasonable person in Wife’s position, Husband’s
    legatees claimed, would have “appreciated and understood the need for
    [Husband] to delete her as beneficiary of his probate assets and owner by
    right of survivorship of jointly held assets passing on his death.” Brief For
    Appellants at 26.
    When reviewing an Orphans' Court’s decree, we must determine
    whether the record is free from legal error and the evidence supports the
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    J-A16014-17
    Orphans’ Court's factual findings. In Re Estate of Fuller, 
    87 A.3d 330
    , 333
    (Pa. Super. 2014) (citation omitted).
    Here, the Orphans’ Court reasoned as follows:
    [I]t is significant to the Court that the testamentary act of
    disinheriting an institutionalized spouse is a recognized estate
    planning tool. In this case, it was reasonable for [Husband] to
    disinherit [Wife] for purposes of estate planning because she was
    a resident of a long term care facility. As such, the Court finds no
    fault in the revision of [Husband]’s Will on December 31, 2009
    disinheriting [Wife]. However, not only did [Husband] disinherit
    [Wife] as his spouse in this Will, he also removed her two natural
    children as heirs.
    It could be safely concluded that the reason [Clarke] was removed
    by [Husband] is because [Husband] simply did not like her based
    largely on his perception that she had [Wife] taken from the home
    [Husband] and [Wife] shared without consultation with [Husband]
    or his approval. Moreover, the record reflects that [Husband] was
    very upset at [Clarke] interfering with his personal affairs.
    However, while [Husband] may greatly resent [Clarke]’s conduct,
    there is insufficient evidence of record to determine the reason
    Brent Young was removed as a residuary heir. As such, the Court
    concludes [Wife]’s natural children were removed by [Husband]
    from his Will at least in part for the purposes of benefiting
    [Husband]’s children in that they were left the entirety of his
    estate.
    Should [Husband] simply have disinherited [Wife], but left the
    residuary beneficiaries the same as those listed in the initial Will,
    the ultimate distribution of [Husband’s] and [Wife]’s assets would
    have been in accordance with the alleged agreement they had
    with each other consistent with the 2007 Wills.          However,
    [Husband] disinherited [Wife] and both of [Wife]’s natural children
    while [Wife] was still living. It must be considered that after
    [Husband] passed, [Husband’s legatees] should have received a
    certain inheritance, comprised of probate and/or non-probate
    assets pursuant to [Husband]’s 2009 Will. It is logical that since
    [Husband’s legatees] have already received an inheritance to the
    exclusion of [Wife]’s natural children, [Wife] could logically
    disinherit [Husband’s legatees] from her will as a response,
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    thereby leaving the entirety of her estate to her two biological
    children.
    Orphans’ Ct. Op. at 13-14. Substitution of judgment and disinheritance of
    Husband’s legatees, the Orphans’ Court said, was permissible because a
    reasonable person would conclude that Wife would have disinherited
    Husband’s legatees.
    We agree with this reasoning.        The evidence supports the Orphans’
    Court’s factual finding that Husband disinherited Wife’s children at least in part
    due to anger at Clarke for removing Wife from the marital residence. Under
    these circumstances, a reasonable person would conclude that Wife would
    have reacted to her children’s disinheritance by removing Husband’s legatees
    from her own will. Additional support for this conclusion comes from record
    evidence that (1) during Husband’s lifetime, his children caused the transfer
    of assets jointly owned by Husband and Wife to themselves, and (2) Husband’s
    children mistreated Wife while she lived at the marital residence by denying
    caregiver visits and isolating her from Husband. We hold that the Orphans’
    Court correctly ruled that good cause existed to substitute its judgment and
    remove Husband’s legatees as legatees under Wife’s will.
    Order vacated as to Charlene Shelledy and remanded for further
    proceedings in accordance with this opinion.        Order affirmed in all other
    respects. Jurisdiction relinquished.
    President Judge Emeritus Ford Elliott joins this opinion.
    Judge Strassburger files a dissenting opinion.
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    J-A16014-17
    Judgment Entered.
    Joseph D. Seletyn, Esq.
    Prothonotary
    Date: 4/11/2018
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