Respondents appeal as of right from a judgment, following a jury trial, ordering the return of certain assets to the estate of June Susser, a protected person. We affirm.
I. BASIC FACTS AND PROCEDURAL HISTORY
This Court previously affirmed the appointment of petitioner Betty Saari as conservator of the estate of June Susser in a prior appeal by respondent Ronald Susser, who is June’s son.
In re Susser
Estate, unpublished opinion per curiam of the Court of Appeals, issued July 10, 2001 (Docket No. 222270). While that appeal was pending, petitioner brought an action claiming that Ronald breached his fiduciary duty to his mother by using a durable power of attorney to gift himself a substantial portion of June’s financial
portfolio. Petitioner also claimed that Ronald wrongly recorded a
II. LEGAL ANALYSIS
A. FIDUCIARY DUTY ATTENDANT A POWER OF ATTORNEY
Respondents first contend that the trial court erred in denying their motion to dismiss and in instructing the jury that an agent acting under a power of attorney has a fiduciary duty to act in the principal’s best interests.
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In each case, respondents contend that because the power of attorney did not expressly impose a fiduciary duty on Ronald, the trial court erred in
In
VanderWall v Midkiff,
It is well established ... that powers of attorney are to be construed in accordance with the principles governing the law of agency. One of those principles is that a person who undertakes to act as agent for another may not pervert his powers to his own personal ends and purposes without the consent of the principal after a full disclosure of the details of the transaction. Hence, if [the attorney in fact] acted in her own interests and not under the direction of [her principal], she may be liable to [the principal’s] estate for the monies wrongfully obtained or transferred. [Emphasis added.]
Similarly, in
In re Conant Estate,
Although neither VanderWall nor Conant bind us, see MCR 7.215(I)(1), we find their conclusion that an attorney in fact acting under the authority of a general power of attorney is in a fiduciary relationship with the principal to be generally accepted without question. One inference arising out of an agency relationship is that the agent is to act only for the principal’s benefit. See 1 Restatement Agency, 2d, § 39, p 130.
The agreement to act on behalf of the principal causes the agent to be a fiduciary, that is, a person having a duty, created by his undertaking, to act primarily for the benefit of another in matters connected with his undertaking. Among the agent’s fiduciary duties to the principal is . . . the duty not to compete with the principal on his own account or for another in matters relating to the subject matter of the agency, and the duty to deal fairly with the principal in all transactions between them. [Restatement, § 13, comment a, p 58.]
These principles of agency are generally considered applicable to an attorney in fact acting pursuant to powers of attorney. See, generally, 3 Am Jur 2d, Agency, §§ 21-32, pp 445-453. 2
Accordingly, we conclude that Ronald’s fiduciary duty to June arose as a matter of law from the grant of June’s power of attorney. As with the grant of any other agency rights and responsibilities, a fiduciary obligation was established without need for the document itself to include language expressly imposing a fiduciary duty. The trial court did not err in denying the motion for dismissal or in instructing the jury regarding the fiduciary obligation owed by Ronald to June.
B. JUDICIAL BIAS
Respondents next argue that the trial court denied them due process and a fair trial when it refused to allow them to question witness Dennis Cossi, the attorney who drafted the power of attorney at issue here, regarding an improper hand gesture he allegedly made while sitting as a spectator in the courtroom.
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In making
A trial judge is presumed to be fair and impartial, and any litigant who would challenge this presumption bears a heavy burden to prove otherwise.
SC Gray, Inc v Ford Motor Co,
C. DISQUALIFICATION OF PETITIONER’S ATTORNEY
Respondents next claim that the trial court deprived them of a fair trial when it denied their motion to disqualify petitioner’s attorney, Robert Daavettila. Again, we disagree.
Respondents maintain that Daavettila, as the attorney who drafted June’s latest will, violated MRPC
3.7(a) by acting as an advocate in a trial where he should have been a witness.
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However, in
Smith v Arc-Mation, Inc,
Here, respondents similarly failed to indicate any intent to call Daavettila as a witness in this matter, or, more importantly, to show that Daavettila’s testimony was “necessary.” Respondents could have, and to a large extent did, elicit testimony regarding
Furthermore, although respondents emphasize their need to question Daavettila to explore the validity of June’s new will, that issue is irrelevant. As the trial court pointed out, this case was not a will contest. If respondents are liable for the wrongful conversion of assets from June’s estate, they are hable to return those assets regardless of who might ultimately receive them in the will. Accordingly, because respondents failed to show that Daavettila was a necessary witness on any relevant issue, the trial court did not deprive respondents a fair trial by denying their motion to disqualify attorney Daavettila under MRPC 3.7(a). 6
D. PETITIONER’S USE OF LEADING QUESTIONS
Respondents next contend that the trial court erred in allowing petitioner to ask leading questions of June during direct examination. We review a trial court’s decision to allow leading questions for an abuse , of discretion.
Dehring v Northern Michigan Exploration Co, Inc,
Initially, we note that a trial court may allow a fair amount of leeway in asking questions of elderly and infirm witnesses, see, e.g.,
People v Watson,
Moreover, even assuming that the trial court abused its discretion in this regard, this Court has held that reversal may be predicated on the use of leading questions only where “prejudice or a pattern of eliciting inadmissible testimony” exists. Id. We have examined the transcript of June’s testimony and do not find that the leading questions were prejudicial to respondents, or that these questions were part of a pattern of eliciting inadmissible testimony. The leading questions were limited to developing the witness’ testimony, which is permissible questioning under MRE 611(c)(1). Furthermore, contrary to respondents’. arguments, the questions did not mirror the questions on the jury verdict form.
E. EXCLUSION OF EXPERT TESTIMONY
We similarly find no abuse of discretion in the trial court’s decision to exclude portions of the deposition testimony of John McCarthy, concerning the factors considered by an attorney in determining whether one who is executing a will is acting under undue influence. Expert testimony cannot express a legal definition or standard.
Downie v Kent
Products, Inc,
We affirm.
Notes
Respondents do not otherwise argue that the instructions given were incorrect.
The cases respondents cite in support of their position,
Bergman v Dykhouse,
According to respondents, Cossi gave the “thumbs down” signal during respondents’ argument for a mistrial on the ground that counsel for petitioner utilized leading questions during direct examination of June Susser.
Our conclusion in this regard is supported by the fact that, in refusing to allow respondents to question Cossi concerning the alleged gesture, the trial court indicated that a similar gesture by Cossi’s companion, which was actually witnessed by the court, did not influence its decision on the mistrial motion respondents were arguing at the time.
MRPC 3.7(a) provides, in relevant part, that “[a] lawyer shall not act as advocate at a trial in which the lawyer is likely to be a necessary witness . . . ."
Although respondents also assert that Daavettila’s representation of both Saari and June Susser violated MRPC 1.7(b), they have failed to address the merits of that claim in their brief on appeal. Accordingly, the issue is waived. See
American Transmission v Channel 7 of Detroit, Inc,
Although Watson involved the questioning of a child witness on direct examination by a prosecutor, we find the leeway granted a party in examining young children to be applicable by analogy to the questioning of elderly and infirm witnesses such as June Susser.
