Estate of IRVING DUKE, Deceased. SEYMOUR RADIN et al., Petitioners and Respondents, v. JEWISH NATIONAL FUND et al., Claimants and Appellants.
No. S199435
Supreme Court of California
July 27, 2015
871
Oldman, Cooley, Sallus, Gold, Birnberg & Coleman, Susan Cooley; Rodriguez, Horii, Choi & Cafferata, Reynolds Cafferata; Benedon & Serlin, Gerald Serlin, Douglas Benedon; Greines, Martin, Stein & Richland, Robin Meadow, Robert A. Olson and Jeffrey E. Raskin for Claimants and Appellants.
Sacks, Glazier, Franklin & Lodise, Margaret Lodise; Snell & Wilmer, Haynes and Boone and Mary-Christine Sungaila for Petitioners and Respondents.
OPINION
CANTIL-SAKAUYE, C. J.—Irving Duke prepared a holographic will providing that, upon his death, his wife would inherit his estate and that if he and his wife died at the same time, specific charities would inherit his estate. The handwritten will, however, contained no provision addressing the disposition of his estate if, as occurred here, he lived longer than his wife. The specified charities contend that at the time the testator wrote his will, he specifically intended to provide in his will that the charities would inherit his estate in the event his wife was not alive when he died. The courts below excluded extrinsic evidence of the testator‘s intent, finding that the will was unambiguous and failed to provide for the circumstance in which his wife predeceased him. Therefore, finding that Duke died intestate, the court entered judgment in favor of the heirs at law, Seymour and Robert Radin.
We granted review to reconsider the historical rule that extrinsic evidence is inadmissible to reform an unambiguous will. We conclude that the categorical bar on reformation of wills is not justified, and we hold that an unambiguous will may be reformed if clear and convincing evidence establishes that the will contains a mistake in the expression of the testator‘s intent at the time the will was drafted and also establishes the testator‘s actual specific intent at the time the will was drafted. We further conclude that the charities’ theory that the testator actually intended at the time he drafted his will to provide that his estate would pass to the charities in the event his wife was not alive to inherit the estate is sufficiently particularized,
I. FACTS
In 1984, when Irving Duke was 72 years of age, he prepared a holographic will in which he left all of his property to “my beloved wife, Mrs. Beatrice Schecter Duke,” who was then 58 years of age. He left to his brother, Harry Duke, “the sum of One dollar.” He provided that “[s]hould my wife . . . and I die at the same moment, my estate is to be equally divided—[][] One-half is to be donated to the City of Hope in the name and loving memory of my sister, Mrs. Rose Duke Radin. [[] One-half is to be donated to the Jewish National Fund to plant trees in Israel in the names and loving memory of my mother and father—[][] Bessie and Isaac Duke.”
Irving1 further provided in his will that “I have intentionally omitted all other persons, whether heirs or otherwise, who are not specifically mentioned herein, and I hereby specifically disinherit all persons whomsoever claiming to be, or who may lawfully be determined to be my heirs at law, except as otherwise mentioned in this will. If any heir, devisee or legatee, or any other person or persons, shall either directly or indirectly, seek to invalidate this will, or any part thereof, then I hereby give and bequeath to such person or persons the sum of one dollar ($1.00) and no more, in lieu of any other share or interest in my estate.”
The will appointed Beatrice the executrix of the estate. The only change Irving ever made to his will was the addition, in 1997, of the statement that “[w]e hereby agree that all of our assets are community property.” Beatrice died in July 2002, but the will was not changed to select a new executor.
Irving died in November 2007, leaving no spouse or children. In February 2008, a deputy public administrator for the County of Los Angeles obtained the will from Irving‘s safe deposit box. In March 2008, two charities, the City of Hope (COH) and the Jewish National Fund (JNF), petitioned for probate and for letters of administration. In October 2008, Robert and Seymour Radin (the Radins) filed a petition for determination of entitlement to estate
The Radins moved for summary judgment. They did not challenge the validity of the will. Instead, they asserted that the estate must pass to Irving‘s closest surviving intestate heirs, the Radins, because Irving did not predecease Beatrice, nor did Irving and Beatrice “die at the same moment,” and there is no provision in the will for disposition of the estate in the event Irving survived Beatrice. In opposition to the motion, COH and JNF offered extrinsic evidence to prove that Irving intended the will to provide that in the event Beatrice was not alive to inherit Irving‘s estate when Irving died, the estate would be distributed to COH and JNF. The probate court concluded that the will was not ambiguous, and on that ground, it declined to consider extrinsic evidence of Irving‘s intent, and granted summary judgment for the Radins.
The Court of Appeal affirmed, based on our opinion in Estate of Barnes (1965) 63 Cal.2d 580 (Barnes). In Barnes, the testator‘s will provided that all of her property was to go to her husband, and if she and her husband died simultaneously or within two weeks of each other, her entire estate was to go to her nephew, Robert Henderson. Her will included a disinheritance clause, stating that ” ‘I hereby declare that I have thought of and considered each and every person who would inherit from me had I died intestate and who is not mentioned in this Will, and I hereby declare that I do not desire to devise or bequeath to such person or persons any sum whatsoever and I hereby disinherit such person or persons.’ ” (Id. at p. 581, fn. 5.) The testator‘s husband predeceased her, but she did not alter her will after his death.
When the testator died, 13 years after executing the will, she had various heirs at law, but Robert Henderson was not an heir at law because his mother was still alive. In the heirship proceeding, Henderson‘s mother testified that at the time the will was executed, Henderson frequently visited the testator at her home and spent many holidays with her, the two had a close relationship, and the testator was fond of him and often introduced him as her son. She also testified that the other relatives did not visit. The trial court found the will ambiguous, admitted the extrinsic evidence, and construed it in favor of Henderson. (Barnes, supra, 63 Cal.2d at p. 582.)
We reversed the judgment. We stated that the extrinsic evidence concerning Henderson‘s relationship with the testator did not assist in interpreting the will. Although that evidence might have explained why the testator named Henderson as an alternate beneficiary in the event she died within two weeks
Turning to the will, we acknowledged that “a will is to be construed according to the intention of the testator, and so as to avoid intestacy.” (Barnes, supra, 63 Cal.2d at p. 583.) We added, “However, a court may not write a will which the testator did not write.” (Ibid.) The terms of the testator‘s will reflected that she wanted all of her property to go to her husband, and “also demonstrate[d] an awareness that [if she died within two weeks of her husband] she might well have no further opportunity to designate an alternate, and therefore she named [Henderson]. However, . . . the will is devoid of a provision or suggestion as to testatrix’ intent if, as occurred, she was afforded sufficient time to review the will following the death of her husband.” (Ibid.) We noted that if the absence of a disposition of her property had come to her attention after her husband died, she might have provided that her estate would go to Henderson, or she might have made other provisions. “Under such circumstances any selection by the courts now would be to indulge in forbidden conjecture.” (Id. at p. 584.) Finally, we found no ” ‘dominant dispositive plan’ ” that might warrant the finding of a gift by implication. (Ibid.) Therefore, finding the extrinsic evidence offered no assistance, we reversed the order distributing the estate to Henderson.
The Court of Appeal noted that the will in this case is similar to the will in Barnes, supra, 63 Cal.2d 580. “Just as the court concluded in Barnes, Irving‘s will is not ambiguous. . . . It simply made no disposition whatsoever of the property in the event Irving outlived his wife by several years, as eventually occurred.” The Court of Appeal also found the will sufficiently similar to the will in Barnes to compel the conclusion that it does not reflect a dominant dispositive plan to leave the estate to JNF and COH. Finally, it rejected the admission of extrinsic evidence because the evidence did not address any ambiguity in the will.
The Court of Appeal added that it was “mindful of the fact that the ultimate disposition of Irving‘s property . . . does not appear to comport with his testamentary intent. It is clear that [Irving] meant to dispose of his estate through his bequests, first to his wife and, should she predecease him, then to the charities. It is difficult to imagine that after leaving specific gifts to the charities in the names and memories of beloved family members, Irving intended them to take effect only in the event that he and his wife died ‘at the
We granted review to consider whether the rule applied in Barnes, supra, 63 Cal.2d 580, should be reconsidered. For the reasons set forth below, we hold that the categorical bar on reformation of unambiguous wills is not justified and that reformation is permissible if clear and convincing evidence establishes an error in the expression of the testator‘s intent and establishes the testator‘s actual specific intent at the time the will was drafted.2
II. DISCUSSION
California law allows the admission of extrinsic evidence to establish that a will is ambiguous and to clarify ambiguities in a will. (
A. Statutory and judicial development of the law concerning the admission of extrinsic evidence regarding wills
Beginning with the original Statute of Wills in 1540, statutory law has required that wills be in writing.3 (32 Hen. VIII, ch. 1, July 20, 1540; see
The 1872 Civil Code recognized the principle that “[a] will is to be construed according to the intention of the testator” (Civ. Code, former § 1317), but it also reflected the restrictive rules of its day concerning the admission of extrinsic evidence to assist in determining the testator‘s intention. In particular, the code recognized the admissibility of extrinsic evidence in only two situations. First, in the event of an ambiguity appearing on the face of a will, the court was authorized to consider the circumstances in which the will was made. (Civ. Code, former § 1318.)4 Second, in the event of an ambiguity in the description of a person or property, which could “appear[] from the context of the will or from extrinsic evidence,” the court was authorized to correct the description. (Civ. Code, former § 1340.)5
In 1931, when California‘s first Probate Code was adopted (Stats. 1931, ch. 281, p. 587), the Civil Code‘s provisions concerning the admissibility of extrinsic evidence were moved, without substantive change, to section 105 of the new Probate Code6 (see In re Estate of Armstrong (1937) 8 Cal.2d 204, 208 [Cal. Code Com.‘s policy was to compile, consolidate and clarify existing law, and not to make substantive changes]; 14 Witkin, Summary of Cal. Law, supra, Wills and Probate, § 21, pp. 79-80), but the codification did not end the judicial development of principles concerning the admission of extrinsic evidence. Our decision in Estate of Russell, supra, 69 Cal.2d 200, constitutes a prime example of this judicial common law development. There, we acknowledged the two circumstances in which extrinsic evidence historically was admissible (id. at pp. 206-208), but we observed that “[i]n order to determine initially whether the terms of any written instrument are clear, definite and free from ambiguity the court must
With respect to Probate Code former section 105, we stated that although that provision “delineates the manner of ascertaining the testator‘s intention ‘when an uncertainty arises upon the face of a will,’ it cannot always be determined whether the will is ambiguous or not until the surrounding circumstances are first considered.” (Estate of Russell, supra, 69 Cal.2d at pp. 212-213.) Thus, although the Legislature had codified the historical grounds on which courts had authorized the admission of extrinsic evidence, we did not perceive its provisions to be a limitation on the continued development of the common law.
The California Law Revision Commission and the Legislature followed this court‘s lead. In 1982, in response to a direction from the Legislature to study whether the Probate Code should be revised, the Commission recommended changes related to wills and intestate succession. (Tentative Recommendation Relating to Wills and Intestate Succession (Nov. 1982) 16 Cal. Law Revision Com. Rep. (1982) pp. 2301, 2305, 2317-2510 (Tentative Recommendation).) Among the goals of the revisions was “to carry out more effectively the intent of the decedent who dies leaving a will.” (Id. at p. 2305.) Among its recommendations was to repeal Probate Code former section 105, which reflected the historical limitations on the admission of extrinsic evidence concerning the meaning of a will. In its comment to this recommendation, the Commission stated that former section 105 “purported to codify the much-criticized distinction between patent and latent ambiguities in a will.” (Tentative Recommendation, supra, 16 Cal. Law Revision Com. Rep. at p. 2503; see Jevne v. Superior Court (2005) 35 Cal.4th 935, 947 [acknowledging Commission‘s reports as evidence of legislative intent].) As recommended by the Commission, the
Subsequent statutory revisions reflect no more than an intention to codify the case law concerning the admission of extrinsic evidence. In 1984, section 6140 of the former Probate Code was amended to substitute language from the Uniform Probate Code, and it then provided: “(a) The intention of the testator as expressed in the will controls the legal effect of the dispositions made in the will. [][] (b) The rules of construction expressed in this article apply where the intention of the testator is not indicated by the will.” (Stats. 1984, ch. 892, § 24, p. 2995.) The California Law Revision Commission commented that “[t]his change is nonsubstantive. Nothing in Section 6140 limits the extent to which extrinsic evidence admissible under former law may be used to determine the testator‘s intent as expressed in the will.” (Cal. Law Revision Com., Annual Rep. (Mar. 1985) Communication of Law Revision Commission Concerning Assembly Bill 2290, 18 Cal. Law Revision Com. Rep. (1986) p. 86 [appen. XII]; see id. at p. 77 [appen. XII].)
In 1989, the California Law Revision Commission recommended that the Legislature enact a new Probate Code that would “omit obsolete material and make numerous technical, clarifying, conforming, and minor substantive revisions in the existing provisions.” (Recommendation Proposing New Probate Code (Dec. 1989) 20 Cal. Law Revision Com. (1990) p. 1035.) In 1990, the Legislature repealed the former Probate Code and enacted a new Probate Code. (Stats. 1990, ch. 79, §§ 13, 14, p. 463.) Among the provisions reenacted was former section 6140 of the Probate Code. (Stats. 1990, ch. 79, § 14, pp. 463, 687, enacting new
In 1994, without input from the Law Revision Commission, the Legislature enacted provisions governing the construction of all donative documents. (
As enacted in 1994,
This history of statutory provisions concerning the admissibility of evidence of a testator‘s intent reflects that the Legislature has codified legal principles developed by the courts, and has taken steps to ensure that its enactments do not restrict the admissibility of extrinsic evidence beyond the principles established by the courts. Nothing in this history suggests that the Legislature intended to foreclose further judicial developments of the law concerning the admissibility of evidence to discern the testator‘s intent, and “we see no reason to interpret the legislation as establishing a bar to judicial innovation.” (American Motorcycle Assn. v. Superior Court (1978) 20 Cal.3d 578, 601 [California‘s contribution statutes did not preclude judicial adoption of comparative partial indemnity]; see Leung v. Verdugo Hills Hospital (2012) 55 Cal.4th 291, 301 [“nothing in the statute‘s legislative history suggests an intent to foreclose the courts from rendering future decisions that would further the statute‘s main purpose of ameliorating the harshness and the inequity of the common law rule at issue“].) Moreover, it does not appear that the Legislature has addressed the issue of reformation of wills.9 Therefore, as
B. No sound basis exists to forbid the reformation of unambiguous wills in appropriate circumstances
As discussed below, extrinsic evidence is admissible to correct errors in other types of donative documents, even when the donor is deceased. Extrinsic evidence is also admissible to aid in the construction of a will, and in some cases, the resulting “construction” has essentially reformed the will. Extrinsic evidence is also admissible to determine whether a document was intended to be a will, and to prove the contents of a will that has been lost or destroyed. Because extrinsic evidence is not inherently more reliable when admitted for these various purposes than when admitted to correct an error in a will, concerns about the reliability of evidence do not justify a categorical bar on reformation of wills. To the extent categorical resistance to reformation is based instead on a concern that reformed language would not comply with the formalities required by the statute of wills,10 principles developed in the context of the statute of frauds, which similarly requires a signed writing to evidence specified documents, illustrate that the purposes of the statute of wills are satisfied by the testator‘s execution of a writing that complies with the statutory requirements. With the statutory purposes satisfied, only the concerns regarding the reliability of evidence might justify a categorical bar on reformation of wills, and those concerns are addressed by imposing a burden of clear and convincing evidence.
2001-85, Rules of Construction for Trusts (Draft of Recommendation) (Nov. 8, 2001) p. 1.) It further stated that “[w]hether the Commission has the time and resources to undertake such a project immediately is another question.” (Id. at p. 2.)
Notes
The Probate Code retains the requirements that a will be signed by the testator and by two witnesses, but it further provides that if it was not executed in compliance with the provisions concerning witnesses, “the will shall be treated as if it was executed in compliance with [those provisions] if the proponent of the will establishes by clear and convincing evidence that, at the time the testator signed the will, the testator intended the will to constitute the testator‘s will.” (
In addition, California courts have admitted extrinsic evidence to apply to the construction of a will to accomplish what is arguably, or has the effect of, reforming a will. For example, admission of extrinsic evidence that the testator referred to her siblings as the ” ‘Broude Trust’ ” allowed the court to correct the testator‘s error in leaving everything to the “Broude Trust Fund’ ” instead of to her siblings. (Estate of Glow (1962) 208 Cal.App.2d 613, 616-617 [evidence of testator‘s “lay” usage of a technical term is admissible]; see Estate of Kime (1983) 144 Cal.App.3d 246, 264 [testator‘s statements were admissible regarding whether she understood language merely appointing an executor to be effective to designate a beneficiary]; Estate of Fries (1963) 221 Cal.App.2d 725, 727–730 [will identified husband as executor but did not identify to whom testator bequeathed property; court relied in part on husband‘s testimony that testator said she would give him everything]; Estate of Karkeet (1961) 56 Cal.2d 277, 281-283 [extrinsic evidence was admissible to establish that a will that named the testator‘s good friend as executor, but made no testamentary disposition, was intended
Civil Code section 3399 provides: “When, through fraud or a mutual mistake of the parties, or a mistake of one party, which the other at the time knew or suspected, a written contract does not truly express the intention of the parties, it may be revised on the application of a party aggrieved, so as to express that intention, so far as it can be done without prejudice to rights acquired by third persons, in good faith and for value.”
Principles allowing the admission of extrinsic evidence to identify and resolve ambiguities in wills have also been invoked to correct attorneys’ drafting errors and thereby to reform wills. For example, in Estate of Taff (1976) 63 Cal.App.3d 319, the testator directed her attorney to provide that if the testator‘s sister did not survive her, the residue of the estate would go to her sister‘s children. Her will, however, stated that if her sister predeceased her, the residue would go to ” ‘my heirs in accordance with the laws of intestate succession.’ ” (Id. at p. 322.) The court found that the extrinsic evidence of the testator‘s instructions to her attorney and statements to her sister “exposed a latent ambiguity, i.e., that when the testator used the term ‘my heirs’ in her will, she intended to exclude the relatives of her predeceased husband, Harry.” (Id. at p. 325.) Similarly, in Estate of Anderson, supra, 56 Cal.App.4th 235, a later will expressly revoked all prior wills, but due to attorney error, the later will failed to include a provision exercising a testamentary power of appointment over a portion of a trust. As a result, the later will failed to carry out the testator‘s intent that the half of the trust over which she had a power of appointment go to her daughter rather than to the issue of her late husband. The court held that extrinsic evidence was admissible to determine whether the testator intended to revoke the earlier will‘s provision exercising her power of appointment. (Id. at pp. 242-248.)
Extrinsic evidence is admissible not only to aid in the construction of a will, but also to determine whether a document was intended to be a will. (Halldin v. Usher (1958) 49 Cal.2d 749, 752 [parol evidence is admissible to prove a document was intended as a will rather than a contract]; Estate of Sargavak (1950) 35 Cal.2d 93, 96 [evidence is admissible to prove a will was executed in jest, as a threat to induce action, under the mistaken belief it was a mortgage, to induce illicit relations, or in response to annoyance from one who seeks to inherit].) In addition, courts have long recognized that extrinsic evidence is admissible to prove that a will has been lost or destroyed, and to prove its contents. (
Thus, extrinsic evidence is admitted to correct donative documents other than wills after the donor‘s death. Moreover, myriad circumstances exist in
Like the statute of wills, the statute of frauds requires certain documents to be evidenced by a writing subscribed by the party. If not evidenced by such a writing, a contract subject to the statute of frauds is invalid. (
In correcting a contract subject to the statute of frauds, a court is not enforcing an oral contract, but is instead enforcing a written contract in accordance with the parties’ actual agreement. To overcome the presumption that the writing is accurate, we have required clear and convincing evidence of a mistake before allowing reformation of a contract. (Nat. Auto. & Cas. Co. v. Ind. Acc. Com. (1949) 34 Cal.2d 20, 25; Burt v. Los Angeles Olive Growers Assn. (1917) 175 Cal. 668, 675; R & B Auto Center, Inc. v. Farmers Group, Inc. (2006) 140 Cal.App.4th 327, 382.)
In contrast to cases involving the statute of frauds, which may or may not involve a party who is deceased, cases arising under the statute of wills always involve a testator who is deceased and therefore cannot explain his or her intentions. We have already recognized, however, in the context of inheritance rights, that imposing a burden of proof by clear and convincing
Applying the analysis developed with respect to the statute of frauds, Langbein and Waggoner observe, “Whereas an oral will instances total noncompliance with the Wills Act formalities, a duly executed will with a mistakenly rendered term involves high levels of compliance with both the letter and the purpose of the Wills Act formalities. To the extent that a mistake case risks impairing any policy of the Wills Act, it is the evidentiary policy that is in question.”12 (Langbein & Waggoner, supra, 130 U.Pa. L.Rev. at p. 569, italics added.) With respect to evidentiary concerns, the authors advocate that reformation be allowed only in cases of clear and convincing evidence of the alleged mistake and the testator‘s intent. (Ibid.) As noted, we have previously imposed a clear and convincing evidence standard to support a claim of inheritance based on equitable adoption. (Estate of Ford, supra, 32 Cal.4th 160, 172.)
In cases in which clear and convincing evidence establishes both a mistake in the drafting of the will and the testator‘s actual and specific intent at the time the will was drafted, it is plain that denying reformation would defeat the testator‘s intent and result in unjust enrichment of unintended beneficiaries. Given that the paramount concern in construing a will is to determine the subjective intent of the testator (Estate of Russell, supra, 69 Cal.2d at p. 205; 4 Page on Wills (Bowe-Parker rev. 2004) § 30.1, p. 2), only significant countervailing considerations can justify a rule categorically denying reformation.
Second, the Radins express concern that reformation overrides the formalities required to execute a will. The fact that reformation is an available remedy does not relieve a testator of the requirements imposed by the statute of wills. (See
Third, the Radins assert that allowing reformation in circumstances in which the estate would otherwise pass pursuant to the laws of intestacy constitutes an attack on the laws of intestacy. We disagree. The purpose of reformation is to carry out the wishes of the testator, and the remedy reflects no judgment other than a preference for disposition pursuant to the wishes of the testator. This preference is consistent with the statutory scheme. (See
Fourth, the Radins assert that allowing reformation will result in a significant increase in probate litigation and expenses. Claimants have long been entitled, however, to present extrinsic evidence to establish that a will is ambiguous despite the fact that it appears to be unambiguous. (Estate of Russell, supra, 69 Cal.2d at pp. 206–213.) Therefore, probate courts already receive extrinsic evidence of testator intent from claimants attempting to reform a will through the doctrine of ambiguity. (Cf. Buss v. Superior Court (1997) 16 Cal.4th 35, 57 [in rejecting the contention that requiring only a preponderance of the evidence to establish an insurer‘s right to reimbursement will open the floodgates of litigation, the court noted that “the ‘floodgates’ have been open for quite some time . . .“].) The task of deciding whether the evidence establishes by clear and convincing evidence that a mistake was made in the drafting of the will is a relatively small additional burden, because the court is already evaluating the evidence‘s probative value to determine the existence of an ambiguity.13 To the extent additional claims are made that are based on a theory of mistake rather than a theory of ambiguity, the heightened evidentiary standard will help the probate court to filter out weak claims. Finally, fear of additional judicial burdens is not an adequate reason to deny relief that would serve the paramount purpose of distributing property in accordance with the testator‘s intent. (See Buss, at p. 58 [acknowledging that the future might bring more claims for reimbursement, “[b]ut the possible invocation of this right—or any other—is not a sufficient basis for its abrogation or disapproval“]; Ochoa v. Superior Court (1985) 39 Cal.3d 159, 171
Fifth, the Radins discount justifications for allowing reformation in appropriate circumstances. They assert that
In sum, the Radins identify no countervailing considerations that would justify denying reformation if clear and convincing evidence establishes a mistake in the testator‘s expression of intent and the testator‘s actual and specific intent at the time the will was drafted.
C. Principles of stare decisis do not compel adherence to precedent in this context
The Radins assert that because the existing rule has withstood the test of time, any change should be left to the Legislature. ” ‘It is, of course, a fundamental jurisprudential policy that prior applicable precedent usually must be followed even though the case, if considered anew, might be decided differently by the current justices. This policy, known as the doctrine of stare decisis, “is based on the assumption that certainty, predictability and stability in the law are the major objectives of the legal system; i.e., that parties should be able to regulate their conduct and enter into relationships with reasonable assurance of the governing rules of law.” [Citation.] ’ ” (Freeman & Mills, Inc. v. Belcher Oil Co. (1995) 11 Cal.4th 85, 92-93.) The rule is flexible, however, and it ” ’ “should not shield court-created error from correction.” ’ ” (Id. at p. 93.)
Although allowing reformation of an unambiguous will in appropriate instances will overturn many decades of precedent, we conclude that principles of stare decisis do not compel continued adherence to the rule at issue.
Rather than introducing uncertainty into estate planning, allowing reformation of a will upon a clear and convincing showing of a mistake in expression and the testator‘s actual and specific intent helps ensure that the testator‘s affairs are settled as intended. And because the doctrine is relevant only in the context of litigation, and it affects the distribution of an estate only upon a determination by clear and convincing evidence of a mistake in the will and of the testator‘s actual intent at the time the will was drafted, adoption of the doctrine will not diminish the principles of law that encourage the preparation of well-drafted, properly executed wills. “Precisely because the reformation doctrine is a rule of litigation, no draftsman would plan to rely on it when proper drafting can spare the expense and hazard of litigation.” (Langbein & Waggoner, supra, 130 U.Pa. L.Rev. at p. 587.)
In addition, the principles we are reconsidering are entirely court created, and the Legislature‘s inaction does not weigh against allowing reformation. As explained above, the Legislature has followed the courts’ lead in adopting more flexible rules concerning the interpretation of wills, and has been attentive to codifying principles established by our cases without barring the continued evolution of the law. Furthermore, the technical requirements applicable to wills have become more flexible, the evidence admissible to
Finally, allowing reformation in these circumstances is consistent with the Legislature‘s efforts to apply the same rules of construction to all donative documents (see
As the Radins note, to date only a few states allow reformation of wills. However, both the Restatement Third of Property and the Uniform Probate Code now support the remedy.14 The Restatement‘s reformation provision appeared in the tentative draft of March 1995, and in the final draft issued in 2003. The Uniform Probate Code‘s provision authorizing the reformation of wills was added in 2008, and five states have adopted that provision.15 In addition, Washington, which has not adopted the Uniform Probate Code, has provided by statute that an unambiguous will “may be reformed . . . to conform the terms to the intention of the testator” upon clear and convincing
Section 2-805 of the Uniform Probate Code states in full: “The court may reform the terms of a governing instrument, even if unambiguous, to conform the terms to the transferor‘s intention if it is proved by clear and convincing evidence what the transferor‘s intention was and that the terms of the governing instrument were affected by a mistake of fact or law, whether in expression or inducement.” (8 pt. 1 West‘s Ann. U. Laws (2013) U. Prob. Code (2008) § 2-805, p. 335.)
For the reasons discussed above, we are persuaded that authorizing the reformation of wills under the circumstances and with the protections discussed above serves the paramount purpose of the law governing wills without compromising the policies underlying the statutory scheme and the common law rules. If a mistake in expression and the testator‘s actual and specific intent at the time the will was drafted are established by clear and convincing evidence, no policy underlying the statute of wills supports a rule that would ignore the testator‘s intent and unjustly enrich those who would inherit as a result of a mistake. (Cf. Rowland v. Christian (1968) 69 Cal.2d 108, 118-119 [in rejecting common law classifications based on the plaintiff‘s status as a trespasser, licensee, or invitee with regard to the liability of a possessor of land, the court looked to the “basic policy” that everyone is responsible for injuries caused by his or her negligence in managing property].)
D. The charities have articulated a valid theory that will support reformation if established by clear and convincing evidence
COH and JNF contend that Irving actually intended at the time he wrote his will to provide that his estate would pass to COH and JNF in the event Beatrice was not alive to inherit his estate when he died, but that his intent was inartfully expressed in his will and thus there is a mistake in the will that should be reformed to reflect his intent when the will was drafted. Their contention, if proved by clear and convincing evidence, would support reformation of the will to reflect Irving‘s actual intent.
Second, the alleged mistake and intent are sufficiently specific. The allegations are precise with respect to the error and the remedy: the charities assert Irving specifically intended when he wrote his will to provide that his estate would pass to COH and JNF not only upon the simultaneous death of Irving and Beatrice, as the will expressly states, but also in the event Beatrice was not alive to inherit the estate at the time of his death. Although COH and JNF do not allege that the error was merely clerical, but instead assert that Irving‘s intent was inartfully expressed, their theory alleges “a mistake in the rendering of terms that the testator has authored or approved. The remedy in such a case has exactly the dimensions of the mistake. The term that the testator intended is restored.” (Langbein & Waggoner, supra, 130 U.Pa. L.Rev. at pp. 583-584.)
The charities’ theory, which sets forth a specific disposition of assets Irving allegedly intended when he wrote his will, distinguishes this case from circumstances in which it is alleged that the testator had a more general intent regarding the disposition of the estate, which was not accomplished by the will as written. An example of an error involving general intent would be a case in which a testator intended in his or her will to provide adequate resources to one of the will‘s beneficiaries to support that beneficiary for a lifetime, but the specific gift set forth in the will proves to be inadequate for that purpose. Thus, that will accurately sets forth the testator‘s specific intent with respect to the distribution of assets, but due to a mistake with respect to the value of those assets or the needs of the beneficiary, the will fails to effect the testator‘s intent to provide adequate assets to support the beneficiary. In contrast to cases in which the alleged error is in the rendering of the specific terms intended by the testator, cases in which the alleged error is in failing to accomplish a general intent of the testator would require a court to determine the testator‘s putative intent: if the testator had known of the mistake, how would the testator have changed the will? The case before us presents only the issue of whether a will may be reformed when extrinsic evidence establishes that the will fails to set forth the actual specific intent of the
Finally, for the reasons discussed above, evidence of the testator‘s intent must be clear and convincing. Among the evidence to be considered is the will itself, but when reformation rather than construction of a will is at issue, the rules of construction, which set forth principles for determining disposition of estate assets where the testator‘s intention is not reflected in the will (
III. CONCLUSION
We hold that an unambiguous will may be reformed to conform to the testator‘s intent if clear and convincing evidence establishes that the will contains a mistake in the testator‘s expression of intent at the time the will was drafted, and also establishes the testator‘s actual specific intent at the time the will was drafted. We reverse the judgment of the Court of Appeal and remand the matter to the Court of Appeal with directions to remand the case to the trial court for its consideration of extrinsic evidence as authorized by our opinion.
Werdegar, J., Chin, J., Corrigan, J., Liu, J., Cuéllar, J., and Kruger, J., concurred.
