In Re the Estate of Flaws , 2012 S.D. LEXIS 3 ( 2012 )


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  • #25930-rev & rem-DG
    
    2012 S.D. 3
    IN THE SUPREME COURT
    OF THE
    STATE OF SOUTH DAKOTA
    * * * *
    IN THE MATTER OF THE
    ESTATE OF
    LORRAINE ISBURG FLAWS, DECEASED.
    * * * *
    APPEAL FROM THE CIRCUIT COURT
    OF THE FIRST JUDICIAL CIRCUIT
    BRULE COUNTY, SOUTH DAKOTA
    * * * *
    HONORABLE BRUCE V. ANDERSON
    Judge
    * * * *
    DAVID J. LARSON
    Chamberlain, South Dakota
    and
    JONATHAN K. VAN PATTEN
    Vermillion, South Dakota                  Attorneys for Appellant
    Yvette Herman.
    ROBERT R. SCHAUB of
    Sundall, Schaub & Fox, PC
    Chamberlain, South Dakota
    and
    PAUL O. GODTLAND
    Chamberlain, South Dakota                 Attorneys for Appellees
    Audrey Courser and
    Clinton Baker.
    * * * *
    CONSIDERED ON BRIEFS
    ON NOVEMBER 14, 2011
    OPINION FILED 01/25/12
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    GILBERTSON, Chief Justice
    [¶1.]         Yvette Herman (Yvette) appeals a partial summary judgment for
    certain heirs of the estate of Lorraine Isburg Flaws (Lorraine) determining that
    Yvette does not have standing to maintain her claim that she is an heir of the
    estate. We reverse and remand.
    Facts
    [¶2.]         Lorraine died testate on February 18, 2010. However, Lorraine was
    predeceased by her named beneficiaries and her will did not designate contingent
    beneficiaries.1 Thus, administration of Lorraine’s estate was governed by the laws
    of intestate succession.
    [¶3.]         Lorraine was also predeceased by her parents and her only sibling,
    Donald Isburg (Donald). Donald died in 1979. His estate was probated by the
    United States Department of the Interior, Bureau of Indian Affairs, Office of
    Hearings and Appeals, the office that completes probate matters for Native
    Americans who reside in Indian Country. Donald had two children from his
    marriage, Audrey Courser (Audrey) and Clinton Baker (Clinton). Donald’s probate
    was completed in 1981 and an order determining heirs in that proceeding
    determined that Audrey and Clinton were Donald’s sole heirs.
    [¶4.]         Yvette was born in 1970 to Joyzelle Rilling (Joyzelle). At the time
    Yvette was conceived, Joyzelle was married to Gene Rilling (Gene). However,
    Joyzelle divorced Gene a month before Yvette’s birth. Joyzelle provided a sworn
    1.      Lorraine’s named beneficiaries were her husband and her only child.
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    statement in the trial court proceedings in this matter that Donald was Yvette’s
    biological father.
    [¶5.]        In 2005, Yvette contacted Lorraine about her claim that Donald was
    her father. At Yvette’s request, Lorraine submitted to DNA testing to determine
    Donald’s paternity of Yvette. The testing concluded that there was a 94.82%
    probability that Donald was Yvette’s father. Yvette then petitioned the Crow Creek
    Sioux Tribal Court for an order of paternity and to correct her birth record. The
    tribal court entered an order in 2008 declaring that Donald was Yvette’s father and
    ordering the birth record to be changed to include him as Yvette’s biological father.
    Based upon that order, the South Dakota Department of Health, Vital Records
    Office, issued a new birth certificate naming Donald as Yvette’s biological father.
    [¶6.]        Proceedings to probate Lorraine’s estate were commenced by Audrey in
    March 2010 with the filing of a petition to determine heirs and for her appointment
    as personal representative. Yvette opposed the petition on the basis that she was
    Lorraine’s niece and was equally entitled to appointment. Yvette nominated herself
    and Tamara Allen (Tamara), another woman claiming status as Donald’s child, to
    act as co-personal representatives of the estate. Alternatively, Yvette requested
    appointment of a special administrator.
    [¶7.]        The trial court appointed an attorney not otherwise involved in the
    estate proceedings to act as special administrator and set a hearing to determine
    heirs. Prior to that hearing, a motion for partial summary judgment was filed on
    behalf of Audrey and Clinton claiming that Yvette did not have standing under the
    pertinent statutes to assert that she was an heir of the estate. A hearing was held
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    on the motion on July 20, 2010. The trial court issued a memorandum decision
    (also designated as its findings of fact and conclusions of law) and an order on
    February 3, 2011, granting Audrey and Clinton partial summary judgment on the
    basis of Yvette’s lack of standing. Yvette obtained the trial court’s certification of its
    order as a final judgment pursuant to SDCL 15-6-54(b) and appealed the order to
    this Court.
    Issue 1
    [¶8.]         Whether Yvette’s appeal should be dismissed for failure to
    serve the notice of appeal on Tamara.
    [¶9.]         After the filing of Yvette’s notice of appeal, Audrey and Clinton moved
    to dismiss for failure to serve the notice on Tamara. This Court considered the
    motion and reserved its ruling, directing the parties to brief the issue as part of the
    appeal.
    [¶10.]        This Court held in In re Reese Trust:
    SDCL 15-26A-4 sets forth the steps for taking an appeal to this
    Court. SDCL 15-26A-4(3) provides in pertinent part: “The
    appellant, or his or her counsel, shall serve the notice of appeal
    and docketing statement on counsel of record of each party other
    than appellant, or, if a party is not represented by counsel, on
    the party at his or her last known address.” (Emphasis added).
    Failure to timely serve and file a notice of appeal is
    jurisdictionally fatal to the appeal. Hardy v. W. Cent. Sch. Dist.,
    
    478 N.W.2d 832
    , 834 (S.D. 1991) (citing W. States Land & Cattle
    Co., Inc. v. Lexington Ins. Co., 
    459 N.W.2d 429
    , 432 (S.D. 1990)).
    ***
    Failure to serve a notice of appeal on a party before the time for
    taking an appeal has expired is fatal to the appeal and requires
    its dismissal. See Long v. Knight Const. Co., Inc., 
    262 N.W.2d 207
     (S.D. 1978) (citing Morrell Livestock Co. v. Stockman’s
    Comm’n Co., 
    77 S.D. 114
    , 
    86 N.W.2d 533
     (1957)).
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    2009 S.D. 111
    , ¶¶ 5, 14, 
    776 N.W.2d 832
    , 833, 836. See also In re B.C., 
    2010 S.D. 59
    , 
    786 N.W.2d 350
    ; Estate of Geier, 
    2012 S.D. 2
    , __ N.W.2d__ .
    [¶11.]         In Reese Trust, this Court looked to the law on trust proceedings to
    identify the parties the appellant in that case was required to serve with the notice
    of appeal. 
    2009 S.D. 111
    , ¶ 6, 
    776 N.W.2d at 834
    . See also In re B.C., 
    2010 S.D. 59
    ,
    ¶ 5, 786 N.W.2d at 351 (examining the Indian Child Welfare Act to identify the
    parties entitled to service of a notice of appeal in proceedings under that act); Geier,
    
    2012 S.D. 2
    , ¶ 21, __ N.W.2d at __ (examining the law on probate proceedings to
    identify the parties required to be served with the notice of appeal). This action was
    commenced as a formal probate proceeding. Under the law applicable to probate
    proceedings, notice must be given in the manner prescribed in SDCL 29A-1-401.
    SDCL 29A-3-403(a). Under SDCL 29A-1-401, notice must be given to “any
    interested person.” Both Yvette and Tamara were interested persons in Lorraine’s
    estate, having asserted interests as putative children of Donald and potential heirs
    of Lorraine and having also been nominated to act as co-personal representatives of
    the estate. Although Yvette seeks to minimize Tamara’s separate interest by
    asserting she and Tamara are “similarly situated claimants,” the law on service of
    the notice of appeal requires service on “each” party, not just “adverse” parties as
    Yvette argues. See SDCL 15-26A-4(3).2
    2.       Yvette bases her argument on SDCL 15-26A-6, repeatedly asserting that it
    requires service of the notice of appeal on only “adverse parties.” SDCL 15-
    26A-6, however, is not the applicable rule. Although SDCL 15-26A-6 does
    refer to appeal time and service on “adverse parties,” it is in the context of
    (continued . . .)
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    [¶12.]        Based upon the foregoing, Tamara would normally be regarded as a
    separate party in this case entitled to separate service of the notice of appeal.
    However, Tamara is represented in this appeal by the same counsel who represents
    Yvette. Counsel argues that requiring service of the notice of appeal on Tamara
    would be “nonsensical” under these circumstances because it would have required
    counsel to serve himself. There is, however, conflicting authority on this point. In
    Weeter Lumber Co. v. Fales, the Idaho Supreme Court held that, where the same
    counsel was the attorney for three defendants and only one of them appealed, the
    notice of appeal did not need to be served upon the nonappealing defendants or
    their counsel. 
    118 P. 289
     (Idaho 1911). Weeter has subsequently been interpreted
    by the Idaho Supreme Court as holding that, “representation by the same attorney
    of an appealing and nonappealing party has the effect of service of the notice of
    appeal on the nonappealing party.” Walker v. Shell, 
    282 P. 947
    , 948 (Idaho 1929).
    A dissenting view in Weeter, however, focused on the potential conflict of interest for
    counsel representing appealing and nonappealing parties in the same case and
    suggested that separate service of the notice of appeal on the nonappealing parties
    themselves would afford them the opportunity to obtain other counsel and be
    _______________________________
    ( . . . continued)
    service of the notice of entry of the judgment or order appealed from, not
    service of the notice of appeal. Service of the notice of appeal is governed by
    SDCL 15-26A-4(3), which requires service on “each party other than
    appellant.” (Emphasis added.)
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    properly represented. 118 P. at 290 (Sullivan, J., dissenting).3 These views have
    subsequently been endorsed in Box Elder Cnty. v. Harding, 
    28 P.2d 601
    , 602 (Utah
    1934) and Donny v. Chain of Lakes Cheese Co., 
    35 N.W.2d 333
    , 334 (Wis. 1948).
    [¶13.]         Despite the concerns mentioned by the dissent in Weeter, we are
    persuaded by the logic of the majority position in the case and adopt it as our own in
    similar circumstances. Accordingly, Audrey and Clinton’s motion to dismiss
    Yvette’s appeal for failure to serve the notice of appeal on Tamara is denied for the
    reason that Yvette and Tamara are represented by the same counsel and this had
    the effect of service of the notice of appeal on Tamara. Weeter, 
    118 P. 289
    ; Walker,
    
    282 P. at 948
    .
    Issue 2
    [¶14.]         Whether SDCL 29A-2-114(c) bars Yvette from asserting her
    status as Donald’s natural born child.
    [¶15.]         SDCL 29A-2-114 sets forth the methods and time limits an individual
    born out of wedlock must comply with in order to establish parentage for purposes
    of intestate succession. The statute provides in relevant part:
    (a)    For purposes of intestate succession by, from, or through
    a person . . . an individual born out of wedlock is the child
    of that individual’s birth parents.
    ***
    (c)    The identity of the mother of an individual born out of
    wedlock is established by the birth of the child. The
    3.       Although Justice Sullivan authored the majority opinion in Weeter, he also
    incorporated his dissenting views on the service issue, conceding that his
    associates did not concur with him in those views. 118 P. at 290 (Sullivan, J.,
    dissenting).
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    identity of the father may be established by the
    subsequent marriage of the parents, by a written
    acknowledgement by the father during the child’s
    lifetime, by a judicial determination of paternity during
    the father’s lifetime, or by a presentation of clear and
    convincing proof in the proceedings to settle the father’s
    estate.
    Id. (emphasis added).
    [¶16.]         The trial court held the methods and time limits in SDCL 29A-2-114
    are exclusive and that Yvette’s failure to comply with any of them deprived her of
    standing to maintain her claim that she is an heir of Lorraine’s estate. Accordingly,
    the court granted Audrey and Clinton partial summary judgment against Yvette.
    [¶17.]         Focusing on the word “may” in SDCL 29A-2-114(c), Yvette argues that
    the statute is permissive and not mandatory and that her presentation of clear and
    convincing DNA evidence in the trial court proceedings was sufficient to establish
    Donald’s paternity. In support of her argument, Yvette cites cases interpreting the
    word “may” in similar provisions of other state probate codes as permissive and not
    mandatory. See Lewis v. Schneider, 
    890 P.2d 148
     (Colo. App. 1994); In re Estate of
    Rogers, 
    81 P.3d 1190
     (Haw. 2003); In re Estate of Palmer, 
    658 N.W.2d 197
     (Minn.
    2003). In those cases, however, the courts were examining whether time limits in
    Uniform Parentage Acts applicable in determining child support obligations should
    bar establishment of paternity under intestate succession laws. See 
    id.
     No such
    issue is presented here. South Dakota has not adopted the Uniform Parentage Act.4
    4.       South Dakota’s only other statutes addressing establishment of paternity
    appear in SDCL ch. 25-8. Under those statutes, the time limit for bringing a
    paternity action expires with the eighteenth birthday of the child. SDCL 25-
    (continued . . .)
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    [¶18.]       The cases cited by Yvette determine the application of competing
    statutory schemes, but do not interpret a single, self-contained statute such as
    SDCL 29A-2-114. Although, ordinarily, the word “may” in a statute such as SDCL
    29A-2-114(c) is given a permissive or discretionary meaning, in certain instances, it
    has the effect of “must.” Matter of Groseth Intern., Inc., 
    442 N.W.2d 229
    , 232 n.3
    (S.D. 1989). As further explained in Groseth:
    Although the form of verb used in a statute, i.e., whether it says
    something “may,” “shall” or “must” be done, is the single most
    important textual consideration determining whether a statute
    is mandatory or directory, it is not the sole determinant. Other
    considerations, such as legislative intent, can overcome the
    meaning which such verbs ordinarily connote. 2A Sutherland
    Stat. Const. § 57.03 at 643-44 (4th ed. 1984). In our search to
    ascertain the legislature’s intended meaning of statutory
    language, we look to the words, context, subject matter, effects
    and consequences as well as the spirit and purpose of the
    statute.
    Id.
    [¶19.]       An additional maxim useful in determining the mandatory or directory
    nature of a statute is expressio unius est exclusio alterius, “the expression of one
    thing is the exclusion of another.” Rush v. U.S. Bancorp Equip. Fin., Inc., 
    2007 S.D. 119
    , ¶ 10, 
    742 N.W.2d 266
    , 269. “The rule . . . may be used
    advantageously in determining whether a statute should be construed as
    mandatory or directory (permissive). As applied in this connection the rule is that if
    a statute provides one thing, all others implied are excluded.” 3 Norman J. Singer,
    _______________________________
    ( . . . continued)
    8-9. Yvette turned eighteen in 1988. However, Audrey and Clinton have
    raised no argument that SDCL 25-8-9 bars Yvette’s claimed interest in
    Lorraine’s estate.
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    Sutherland Statutory Construction § 57:10 (6th ed. 2001). In an analysis of this
    rule, it has been observed that, “[a] statute which provides that a thing shall be
    done in a certain way carries with it an implied prohibition against doing that thing
    in any other way. Thus, the method prescribed in a statute for enforcing the rights
    provided in it is likewise presumed to be exclusive.” 2A Norman J. Singer & J.D.
    Shambie Singer, Sutherland Statutory Construction § 47:23 (7th ed. 2007). Further,
    “[i]t has also been assumed when the legislature expresses things through a list, . . .
    that what is not listed is excluded.” Id.
    [¶20.]       SDCL 29A-2-114 provides that parentage for purposes of intestate
    succession is established in certain ways and lists those ways. Under the rule
    expressio unius est exclusio alterius, this implies a prohibition against any other
    way of establishing parentage for these purposes. It also implies that those
    methods not listed are excluded.
    [¶21.]       Yvette argues SDCL 29A-2-114 should be interpreted to permit proof of
    paternity through presentation of clear and convincing evidence, including DNA
    evidence, in any proceeding where the father’s paternity is at issue. This would
    essentially rewrite the statute to omit its last clause limiting establishment of
    paternity by clear and convincing evidence to “proceedings to settle the father’s
    estate.” This would violate any number of settled rules of statutory construction.
    See, e.g., People ex rel. J.L., 
    2011 S.D. 36
    , ¶ 4, 
    800 N.W.2d 720
    , 722 (noting that in
    determining the intent of a statute a court must confine itself to the language used);
    City of Deadwood v. M.R. Gustafson Family Trust, 
    2010 S.D. 5
    , ¶ 9, 
    777 N.W.2d 628
    , 632 (observing that in interpreting legislation this Court cannot add language
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    that is not there); State ex rel. Dept. of Transp. v. Clark, 
    2011 S.D. 20
    , ¶ 10, 
    798 N.W.2d 160
    , 164 (noting that in interpreting a statute this Court never presumes
    the Legislature intended to use surplusage in its enactments and, where possible, it
    must construe the law to give effect to all of its provisions).
    [¶22.]         Based upon the plain language of SDCL 29A-2-114 and the foregoing
    authorities, we hold that the trial court did not err in determining that the methods
    and time limits in the statute for establishing paternity are exclusive. A question
    remains, however, as to whether Yvette failed to comply with any of them. The trial
    court found that Yvette had petitioned the Department of the Interior, Bureau of
    Indian Affairs, Office of Hearings and Appeals to reopen Donald’s probate to include
    her as an heir. For that reason, the court initially took this matter under
    advisement to see if Yvette’s petition would be granted. The court subsequently
    determined it could take more than a year to have Yvette’s petition heard. For that
    reason, the court issued its decision and this appeal followed. The day after the
    filing of Yvette’s appellant’s brief, however, the Bureau of Indian Affairs tribunal
    issued an order directing any parties opposed to naming Yvette as an heir to
    Donald’s estate to show cause for their objections within thirty days.5 Thus,
    5.       We take judicial notice of the order to show cause. See Opoka v. Immigration
    and Naturalization Serv., 
    94 F.3d 392
    , 394-95 (7th Cir. 1996) (observing the
    Courts of Appeals have the power and even the obligation to take judicial
    notice of relevant decisions of courts and administrative agencies made before
    or after the decision under review, including proceedings outside the federal
    judicial system, if they have a direct relation to matters at issue). Accord
    Advanced Software Design Corp. v. Fed. Reserve Bank of St. Louis, 
    583 F.3d 1371
    , 1379 n.3 (Fed. Cir. 2009). See also Gibson v. Barnes, 
    597 So.2d 176
    ,
    177 n.2 (La. Ct. App. 1992) (taking judicial notice of a U.S. District Court
    (continued . . .)
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    Yvette’s efforts to reopen Donald’s probate may still prove successful, permitting
    her to comply with SDCL 29A-2-114(c) to establish Donald’s paternity. In the
    interests of justice, therefore, we remand this matter to the trial court to wait for a
    reasonable time for the Bureau of Indian Affairs’ decision and to proceed
    accordingly. Having reached this conclusion, we decline to address Yvette’s
    constitutional arguments under Issue 3 of her brief. See Sheehan v. United Pac.
    Ins. Co., 
    439 N.W.2d 117
    , 119 (S.D. 1989) (noting this Court defers deciding a
    constitutional question when the cause under review can be determined without
    reaching the constitutional issue).
    [¶23.]        Reversed and remanded.
    [¶24.]        KONENKAMP, ZINTER, SEVERSON, and WILBUR, Justices, concur.
    _______________________________
    ( . . . continued)
    order); Smith v. Dorsey, 
    599 So.2d 529
    , 548 (Miss. 1992) (taking judicial
    notice of a related federal interpleader action and its conclusion by a final
    judgment).
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