Godwin v. Harvell ( 2022 )


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  •              IN THE COURT OF APPEALS OF NORTH CAROLINA
    2022-NCCOA-160
    No. COA21-351
    Filed 15 March 2022
    Carteret County, No. 18 CVS 864
    In re the HERMAN EARL GODWIN REVOCABLE TRUST created under Agreement
    dated August 9, 2017
    THERESA ANN GODWIN, Plaintiff,
    v.
    CECIL S. HARVELL, in his capacity as Executor of the Estate of Herman E. Godwin,
    in his capacity as Trustee of the Herman E. Godwin Revocable Trust created under
    Agreement dated August 9, 2017, in his capacity as Trustee of the trust f/b/o Aiden
    Gaffney created under ARTICLE IV of the Herman E. Godwin Revocable Trust
    Agreement dated August 9, 2017, in his capacity as Trustee of the trust f/b/o Zhoe
    Gaffney created under Article IV of the Herman E. Godwin Revocable Trust
    Agreement dated August 9, 2017; APRIL M. JONES; PAULA K. WOODY;
    HEATHER GAYLOR; and ZHOE GAFFNEY, Defendants
    In the Matter of the Estate of HERMAN EARL GODWIN, Deceased.
    Appeal by plaintiff from orders entered 14 December 2020 by Judge Paul
    Quinn, 11 January 2021 by Judge Joshua W. Willey, and 29 January 2021 by Judge
    Paul Quinn in Carteret County Superior Court. Heard in the Court of Appeals 23
    February 2022.
    Womble Bond Dickinson (US) LLP, by Jesse A. Schaefer and Elizabeth K. Arias,
    for plaintiff-appellant, Theresa Ann Godwin.
    Harvell and Collins, P.A., by Wesley A. Collins and Samuel K. Morris-Bloom
    and Harris, Creech, Ward & Blackerby, P.A., by C. David Creech, for defendant-
    appellee Cecil S. Harvell in his capacity as Executor of the Estate of Herman E.
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    Godwin, in his capacity as Trustee of the Herman E. Godwin Revocable Trust
    created under Agreement dated August 9, 2017, in his capacity as Trustee of the
    trust f/b/o Aiden Gaffney created under ARTICLE IV of the Herman E.
    Godwin Revocable Trust Agreement dated August 9, 2017, in his capacity as
    Trustee of the trust f/b/o Zhoe Gaffney created under Article IV of the Herman
    E. Godwin Revocable Trust Agreement dated August 9, 2017.
    TYSON, Judge.
    ¶1         Theresa Ann Godwin (“Plaintiff”) appeals from orders entered granting
    summary judgment, a directed verdict, and finding Plaintiff’s claims lacked
    substantial merit to Cecil S. Harvell (“Harvell”), in his capacity as Executor of the
    Herman E. Godwin, in his capacity as Trustee of the Herman E. Godwin Revocable
    Trust, in his capacity as Trustee of the trust for the benefit of Aiden Gaffney created
    under Article IV of the Herman E. Godwin Revocable Trust Agreement, and in his
    capacity as Trustee of the trust for the benefit of Zhoe Gaffney created under Article
    IV of the Herman E. Godwin Revocable Trust Agreement; April M. Jones; Paula K.
    Woody; Heather Gaylor; and, Zhoe Gaffney (collectively “Defendants”). We reverse
    and remand.
    I.      Background
    ¶2         Herman E. Godwin (“Settlor”) and wife, Ellen Godwin (“Ellen”) owned 76 acres
    of real property containing 22 rental units in and around Newport. Ellen managed
    the couple’s finances, including collecting rent from tenants and writing checks for
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    the household expenses and for the rental properties. Settlor and Ellen are parents
    of two daughters: Plaintiff and Barbara Bittner. Bittner has a daughter, Heather
    Gaylor (“Gaylor”). Gaylor has two children: Zhoe Gaffney and Aiden Gaffney.
    ¶3          In November 2009, Settlor and Ellen retained Harvell to complete their estate
    plans. Settlor and Ellen each signed a revocable trust agreement, an irrevocable trust
    agreement, and deeds transferring their real property to the irrevocable and
    revocable trusts. Settlor executed a will to govern the distribution of his other
    property.
    ¶4          Settlor and Ellen appointed Plaintiff and Bittner as co-executors and co-
    trustees upon their deaths.     Settlor funded the trusts with real property.      The
    documents directed the assets to pass to the surviving spouse of the couple, and if no
    spouse survived, then in equal shares between Plaintiff and Bittner, or their living
    issue per stirpes.
    ¶5          In 2014, Settlor underwent coronary artery bypass surgery and was
    hospitalized for five days. Plaintiff stayed with Settlor during his hospitalization and
    arranged for in-home care following his discharge from the hospital. Settlor and Ellen
    were dissatisfied with the caregivers sent from the home health company and the
    family began looking for replacements.
    ¶6          Paula Woody (“Paula”) was a tenant of Settlor and Ellen. Paula, who was
    employed as a hairdresser, volunteered to become a caregiver for Settlor and Ellen,
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    and was hired in late September 2014. Shortly afterwards, Paula’s son, Justin Woody
    (“Justin”), Paula’s niece, Danah Hartley (“Hartley”), and Paula’s daughter, April
    Jones (“Jones”), were also hired as caregivers.
    ¶7           Soon after Settlor had returned home from the hospital, Ellen became ill and
    passed away on 18 October 2014. Following Ellen’s death, Plaintiff became Settlor’s
    attorney-in-fact (“AIF”) under his 2009 estate plan. Paula, Jones, Justin, and Hartley
    also began collecting the rent from other tenants and managing Settlor’s rental
    properties.
    ¶8           In December 2014, Settlor requested Plaintiff to collect timesheets from the
    caretakers, review them for errors, and submit claims for reimbursement from John
    Hancock Life Insurance Company, U.S.A., Settlor’s long-term care insurance carrier.
    ¶9           Plaintiff visited Settlor in July 2015 and noticed the caretakers were only
    working approximately four to six hours a day. Plaintiff further noticed when she
    posed a question, Settlor looked to a caretaker for assistance in responding to her
    question. On 5 September 2015, Plaintiff told Paula that she and the other caretakers
    could not submit claims for hours that they had not worked, by texting to her: “I will
    not submit falsified claims” to John Hancock.
    ¶ 10         Plaintiff reported the caretakers immediately stopped being friendly with her.
    Plaintiff further recounted Settlor believed she was “fishing around” with the
    insurance policy so John Hancock would deny the claim. Settlor came to believe
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    Plaintiff wanted to place him into a nursing home and take control of his assets.
    Plaintiff told Settlor she and her sister, Bittner, did not want to place Settlor into a
    nursing home, but “no matter how many times [Plaintiff and Bittner] said it wasn’t
    true, [they] kept being accused of it.”
    ¶ 11         Plaintiff, as Settlor’s AIF, feared the caretakers were taking financial
    advantage of Settlor. Plaintiff reviewed Settlor’s credit report and bank account
    statements.    Plaintiff discovered: (1) checks were not being signed in Settlor’s
    handwriting; (2) checks were written out of numerical sequence; (3) checks were being
    written to individuals with whom Settlor did not do business; (4) checks were written
    for items that did not fit within Settlor’s spending habits; (5) a cash withdrawal of
    $20,000 was made from his account; and, (6) a new credit card account in Settlor’s
    name had been opened with a different signature from his.
    ¶ 12         Plaintiff was concerned about transactions involving “Sarah Burns” where on
    13 August 2015 a check for $500 was written for a funeral donation and then Settlor
    received a car financing payment from “Sarah Burns” in November 2015. Plaintiff
    hired Durward Matheny, a forensic document examiner, to examine the credit card
    application and Settlor’s checks. Matheny concluded neither were signed by Settlor,
    but the signatures were attempts to simulate his handwriting.
    ¶ 13         Bittner filed an Adult Protective Services report with the Carteret County
    Department of Social Services on 19 October 2015.          Bittner stated Settlor was
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    “alienated” and “brainwashed” into fear that his daughters “only want to put him in
    a nursing home and take all of his money.” Bittner’s claim was not accepted for
    evaluation.
    ¶ 14         Two days later, on 21 October 2015, Plaintiff contacted the Carteret County
    Sheriff’s Department reporting the inconsistencies in Settlor’s bank accounts and
    alleging two caregivers had been overpaid. Deputy David Perry was assigned to
    investigate the claims.
    ¶ 15         During Deputy Perry’s interview with Settlor, he had reported Plaintiff was
    “mad at him because he threatened to remove her from his will after she failed to
    accurately manage his finances and because she is angry that he only gave $7,500 to
    [Plaintiff’s] daughter instead of the $15,000 he had promised to give her years ago
    when she was old enough.”
    ¶ 16         Settlor said “he [was] perfectly capable to direct his own affairs and regrets
    having given [Plaintiff] power of attorney claiming at the time he did not understand
    what []he was doing when he signed the power of attorney partly because his wife
    had died recently and because he trusted his daughter.” Deputy Perry reported
    Settlor stated, “[N]o one forged his signature on any checks[.]” Settlor further told
    Deputy Perry he had an appointment with his attorney, Harvell, to remove Plaintiff
    as his AIF and to change his will. Deputy Perry noted Settlor “was very articulate
    and direct in his answers.”
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    ¶ 17          Settlor decided to revise his estate plan and held a meeting with Harvell on 22
    October 2015. Settlor told Harvell his daughters, Plaintiff and Bittner, were “plotting
    and planning” to put him on “a path toward” living in a nursing home. Harvell
    reported Settlor had told him that he always signed all of his checks. Harvell advised
    Settlor to replace Plaintiff with a different family member. Settlor instructed Harvell
    to remove all his real property out from the trusts. Harvell sent a letter to Plaintiff
    and Bittner informing them of Settlor’s intention to take all his real property out of
    the trusts and enclosed quit claim deeds for them to sign conveying the property back
    to Settlor. Settlor decided to replace Plaintiff as his AIF.
    ¶ 18          Shortly thereafter his caregiver, Paula, called Settlor’s nephew, Bill Godwin
    (“Godwin”), who lives in Florida. Paula asked him to serve as Settlor’s AIF. Godwin
    was concerned because he had never met Paula, did not know why a caretaker was
    calling, and both of Settlor’s daughters lived closer to Settlor than him. Godwin called
    Settlor directly and determined he “didn’t sound right.” Godwin noticed Settlor’s tone
    of voice was different and he was not able to converse normally. Godwin called
    Plaintiff.
    ¶ 19          Plaintiff, Bittner, and Roy Ivey (“Ivey”), Bittner’s husband, went to Settlor’s
    bank to obtain copies of his credit card statements on 23 October 2015. While at the
    bank, Plaintiff, Bittner, and Ivey accessed Settlor’s safety deposit box and removed
    $10,000 in cash. Bank employees notified Settlor that Plaintiff was attempting to
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    access his account statements.
    ¶ 20         Settlor came to the bank branch and Plaintiff told him she was there to access
    his bank records but did not tell him $10,000 had been removed from the safety
    deposit box. Settlor gave the bank permission to release the statements to Plaintiff
    and Bittner. Plaintiff and Bittner sought to turn over the alleged forged checks to
    the Carteret County Sheriff’s Department, but were informed the investigation had
    been closed.
    ¶ 21         Also on 23 October 2015, Plaintiff, Bittner, Settlor, and Harvell met in
    Harvell’s office. Harvell told Plaintiff and Bittner that Settlor “sign[ed] his name
    different ways.” Plaintiff and Bittner refused to quit claim their interest in the real
    property being held in the irrevocable trust. Harvell informed Plaintiff her AIF
    powers would be revoked. Settlor later named attorney M. Douglas Goines (“Goines”)
    as his AIF.
    ¶ 22         Plaintiff and Bittner hired Wyles Johnson (“Johnson”), an attorney, to explore
    terminating the employment of Settlor’s caregivers. Johnson informed Plaintiff and
    Bittner the only way to remove the caregivers was for Settlor to be declared
    incompetent. Plaintiff and Bittner declined to pursue such an action.
    ¶ 23         Johnson contacted Goines, Settlor’s AIF and relayed Plaintiff’s and Bittner’s
    concerns regarding the caregivers and Settlor’s financial competency. Goines then
    met with Settlor and Harvell. Harvell told Goines there was a “long family history of
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    tension between the daughters, especially [Plaintiff], and [Settlor] . . . he lets
    [Plaintiff] take advantage of him . . . [and] he greatly resents the efforts of [Plaintiff]
    to try and take over his life.”
    ¶ 24          Goines concluded it was “completely clear to [him] that [Settlor] is competent
    and quite capable of managing his affairs . . . [and] that he very much wants to
    manage his own affairs and is not going to voluntarily surrender that privilege to
    anyone.”
    ¶ 25          Settlor’s bank reported to the Carteret County Sheriff’s Department that
    Settlor was being financially exploited on 10 November 2015. Settlor: (1) had come
    into the bank branch with Paula’s daughter, Jones; (2) had transferred $2,000 to
    Jones’ deceased grandmother; and, (3) “appeared to be confused about the
    transaction.”
    ¶ 26          Following a second investigation request by Bittner, Deputy Perry conducted
    a second personal interview with Settlor. Deputy Perry noted Settlor “appears to be
    in full control of his mental facilities and fully understands his actions and those of
    his employees . . . [and] does not appear to be in any distress mentally or physically[.]”
    ¶ 27          Settlor told Deputy Perry the money had to be withdrawn from his account
    because an account Jones and her grandmother shared had purportedly been seized
    by the state for outstanding debts.          Settlor admitted being confused by the
    transaction, did not know Jones’ grandmother, but had authorized it anyway because
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    Jones had assured him “everything is on the up and up.”
    ¶ 28         Settlor stated, “No one signs any checks for me” and “All financial
    transactions” are authorized by me. Deputy Perry concluded he did not “believe
    [Settlor] is being taken advantage of by his caretakers or anyone else.” Deputy Perry
    again closed the investigation. None of Settlor’s family members were informed of
    the bank’s allegations at the time, nor of the Carteret County Sheriff’s Department’s
    subsequent investigation.
    ¶ 29         On 2 December 2015, Plaintiff, Bittner, Ivey, and Godwin, traveled to Settlor’s
    home to tell Settlor about the irregularities concerning the checks.      The family
    members noticed family photographs were removed and missing from the home,
    Settlor’s checkbook was not present in the drawer where it was usually kept, and files
    containing Settlor’s important documents were missing. When the topic of checks
    was brought up, Settlor became uncharacteristically angry, refused to look at the
    cancelled checks, and went into his room.
    ¶ 30         Godwin left to confront Paula at her residence. Paula called law enforcement
    and Godwin returned to Settlor’s residence. Settlor attempted to get into his vehicle,
    but Godwin would not allow him to drive away because he felt Settlor was not able to
    drive by himself at night.
    ¶ 31         At this time, Paula, Jones, and Justin along with law enforcement officers
    arrived at Settlor’s house. An argument broke out between Plaintiff, Godwin, Paula,
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    and Jones. After Settlor’s family left, Paula told Settlor “You have to get a restraining
    order against [Plaintiff and Bittner] because I’m not going to put up with their s—t,
    [and] I don’t have to.”
    ¶ 32         Settlor, through counsel, obtained an ex parte domestic violence protective
    order (“DVPO”) on 14 December 2015 against Plaintiff. After being served with the
    14 December DVPO, Plaintiff contacted Johnson, who referred her to attorney Joel
    Hancock (“Hancock”). Plaintiff is employed by the United States Department of the
    Treasury and holds a top-secret level security clearance. Plaintiff was concerned she
    could lose her security clearance due the allegations of domestic violence in the DVPO
    complaint. Plaintiff hired Hancock who contacted Wesley Collins, Harvell’s law
    partner. Settlor voluntarily dismissed the 14 December DVPO.
    ¶ 33         After the 14 December DVPO was filed, several tenants of Settlor’s properties
    called Plaintiff and Bittner asserting Paula had “some kind of hold” on Settlor and
    Settlor was “agree[ing] with everything” she said. Plaintiff did not bring these third-
    party allegations to Settlor for fear of a second DVPO.
    ¶ 34         The following day on 15 December 2015, Settlor visited a neurologist. Settlor
    sought a “letter of mental competency to give to his attorney.” Settlor complained of
    “memory problems.” The neurology clinic noted Settlor did not know the day of the
    week and his attention and concentration were impaired.           The neurology clinic
    ordered imaging and clinical tests.      The neurologist concluded all tests showed
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    cognitive impairment and declined to determine or confirm Settlor’s legal
    competency, because it required “a higher level of neurocognitive, behavioral, and
    comprehension than we can presently perform in this office. Based on these tests
    alone, we are not in a position to give an opinion regarding competency.”
    ¶ 35         On 17 November 2015, Harvell drafted a document naming Paula’s daughter,
    Jones, as Settlor’s healthcare agent. In January 2016, Settlor decided to again revise
    his estate plan. Settlor replaced Plaintiff and Bittner as executor and named Harvell
    as executor. Settlor’s new will also included specific bequests of $7,000 each to Paula,
    Jones, and Zhoe. The residuary of Settlor’s estate was to be divided between Plaintiff
    and Bittner per stirpes if both survived Settlor.         If Bittner predeceased Settlor,
    Plaintiff would inherit the entire residuary estate.
    ¶ 36         Plaintiff and Settlor communicated sporadically by phone with no face-to-face
    visits from January 2016 until Marth 2017. In March 2017, Settlor again revised his
    estate plan. Settlor retained Harvell to draft the will and trusts and named Harvell
    as his executor. The will included $7,000 bequests each to Paula and Jones. The will
    poured the estate residuary into a new revocable testamentary trust.                 The
    beneficiaries of the revocable testamentary trust were granddaughter Gaffney, and
    her children Zhoe and Aiden. No provisions in the will were made for Plaintiff or her
    children. Settlor’s earlier irrevocable and revocable trusts holding the real property
    remained unchanged.
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    ¶ 37         In April 2017, Plaintiff received a call from a nurse concerning Settlor’s annual
    medical examination. The report concluded Settlor’s mental health was deteriorating
    and he was relying more upon his caretakers. On 26 July 2017, Bittner died. Around
    the time of Bittner’s funeral, Ivey showed Settlor a letter from Plaintiff, which
    contained the medical evaluation and a note suggesting the daughters to re-evaluate
    their position to not seek to have Settlor declared incompetent to fire the caretakers.
    ¶ 38         Settlor became “fed up” with Plaintiff and contacted Harvell to remove Plaintiff
    from his estate plan and pass his estate to Bittner’s lineal heirs. In the 9 August
    2017 estate plan, Settlor revoked the prior revocable trust, the testamentary trust
    created by the pour over will, and conveyed his real property back to himself. Settlor
    deeded the real property into a new trust which distributed the real property to
    Gaffney, Zhoe, and Aiden.
    ¶ 39         Settlor executed a new will with the same distribution provisions from the
    March 2017 will. Harvell testified he had no concerns about Settlor’s mental capacity
    or him being subject to undue influence nor did anyone else in his office who had
    witnessed the execution of the documents.
    ¶ 40         On 22 August 2017, Plaintiff came to Settlor’s home in Newport. Settlor had
    paid for and travelled to Florida with his caregivers and their families. Plaintiff
    stopped by Settlor’s house and noticed the television was on, but no one was home.
    Plaintiff called Paula, who told her about Settlor and her family’s trip to Florida.
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    Settlor called Harvell and asked him to call Plaintiff to “ask her to leave and come to
    the house when [he is] there.”
    ¶ 41         Settlor also asked Harvell to call law enforcement to “make sure everything is
    ok.” Harvell called Plaintiff and relayed this message and called law enforcement to
    check on the property. Harvell also sent Plaintiff a letter memorializing Settlor’s
    wishes from the telephone conversations.
    ¶ 42         On 6 September 2017 law enforcement officers were called to Settlor’s home by
    Justin for reports of a trespass by Debbie Turnage (“Turnage”), a friend of Plaintiff.
    Turnage asserted she was invited into Settlor’s home and Settlor never asked her to
    leave. She was neither cited nor arrested. Later that day, Wesley Collins, Harvell’s
    law partner, met with the caretakers to discuss the preparation of another DVPO
    complaint against Plaintiff.
    ¶ 43         On 8 September 2017 Settlor through counsel filed another DVPO.                A
    protective order was entered against Plaintiff. The parties attended a hearing on 14
    September 2017. The parties entered a contact agreement, through counsel, which
    established Plaintiff could maintain contact with Settlor, but she would not have any
    involvement in his financial affairs. The 8 September 2017 DVPO was voluntarily
    dismissed.
    ¶ 44         In November 2017 Settlor could not recognize any family members at a family
    reunion. Settlor was diagnosed with terminal cancer in January 2018. Plaintiff
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    moved into Settlor’s residence for his final weeks. On 27 February 2018, Settlor died.
    ¶ 45         In August 2018, Plaintiff filed a caveat and trust contest. Plaintiff’s complaint
    alleged the testamentary instruments and deeds executed by Settlor in the two years
    prior to his death were invalid due to incapacity and undue influence.
    ¶ 46         The trial court heard arguments on Defendants’ motion for summary judgment
    on 28 October 2020.     The trial court granted Defendants’ motion for summary
    judgment on the issue of Settlor’s capacity by correspondence to the parties on 8
    November 2020. The trial court drafted an order granting Defendants’ motion for
    summary judgment dated 12 November 2020 and it was filed on 11 January 2021.
    ¶ 47         At the close of Plaintiff’s case-in-chief, the trial court granted Defendants’
    motion for a directed verdict on undue influence on 14 December 2020. Plaintiff
    appealed both the order granting summary judgment and the order granting a
    directed verdict on 12 January 2021.
    ¶ 48         Defendants moved for attorney’s fees pursuant to 
    N.C. Gen. Stat. §§ 6-21
    (2)
    and 6-21.5 (2021) on 14 January 2021. Following a hearing, the trial court entered
    an order on 29 January 2021 finding Plaintiff’s claims lacked substantial merit and
    preserved the issue of attorney’s fees for a hearing after the appeal has been ruled
    upon. Plaintiff also appealed this order.
    II.      Jurisdiction
    ¶ 49         Jurisdiction lies in this Court pursuant to N.C. Gen. Stat. § 7A-27(b)(1) (2021).
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    III.   Issues
    ¶ 50         Plaintiff argues the trial court erred by: (1) granting Defendants’ motion for
    summary judgment; (2) granting Defendants’ motion for a directed verdict; (3)
    excluding the testimony of Godwin; and, (4) concluding Plaintiff’s claims lacked
    substantial merit.
    IV.     Summary Judgment
    ¶ 51         The trial court granted Defendants’ motion for summary judgment on the issue
    of Settlor’s capacity to execute the will and trusts.
    A. Standard of Review
    ¶ 52         “A caveat is an in rem proceeding” that operates as “an attack upon the validity
    of the instrument purporting to be a will.” In re Will of Cox, 
    254 N.C. 90
    , 91, 
    118 S.E.2d 17
    , 18 (1961) (citation omitted).
    ¶ 53         Summary judgment may be entered in a caveat proceeding where there are no
    genuine issues as to material facts. See In re Will of McCauley, 
    356 N.C. 91
    , 100-01,
    
    565 S.E.2d 88
    , 95 (2002). This Court reviews the trial court’s ultimate determination
    of the summary judgment motion de novo. In re Will of Jones, 
    362 N.C. 569
    , 573, 
    669 S.E.2d 572
    , 576 (2008).
    ¶ 54         Summary judgment is only appropriate where “the pleadings, depositions,
    answers to interrogatories, and admissions on file, together with the affidavits, if any
    show that there is no genuine issue as to any material fact and that any party is
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    entitled to a judgment as a matter of law.” N.C. Gen. Stat. § 1A-1, Rule 56(c) (2021).
    Because of the factual nature of the issues presented during a caveat proceeding,
    “[s]ummary judgment should be entered cautiously.” Seagraves v. Seagraves, 
    206 N.C. App. 333
    , 338, 
    698 S.E.2d 155
    , 161 (2010).
    B. Analysis
    ¶ 55         “[A] presumption exists that every individual has the requisite capacity to
    make a will, and those challenging the will bear the burden of proving, by the greater
    weight of the evidence, that such capacity was wanting.” In re Will of Sechrest, 
    140 N.C. App. 464
    , 473, 
    537 S.E.2d 511
    , 517 (2000). Our Supreme Court has confirmed:
    “A testator has testamentary capacity if he comprehends the natural objects of his
    bounty; understands the kind, nature and extent of his property; knows the manner
    in which he desires his act to take effect; and realizes the effect his act will have upon
    his estate.” In re Will of Buck, 
    130 N.C. App. 408
    , 412, 
    503 S.E.2d 126
    , 130 (1998)
    (citation omitted), aff’d, 
    350 N.C. 621
    , 
    516 S.E.2d 858
     (1999).
    ¶ 56         This Court has stated: “To establish lack of testamentary capacity, a caveator
    need only show that any one of the essential elements of testamentary capacity is
    lacking.” In re Estate of Phillips, 
    251 N.C. App. 99
    , 110, 
    795 S.E.2d 273
    , 282 (2016).
    A caveator cannot “establish lack of testamentary capacity where there [is] no specific
    evidence relating to testator’s understanding of his property, to whom he wished to
    give it, and the effect of his act in making a will at the time the will was made.” In
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    re Estate of Whitaker, 
    144 N.C. App. 295
    , 298, 
    547 S.E.2d 853
    , 856 (2001) (citation
    and internal quotation marks omitted) (emphasis original). It is not sufficient for a
    caveator to present “only general testimony concerning testator’s deteriorating
    physical health and mental confusion in the months preceding the execution of the
    will.” In re Will of Buck, 
    130 N.C. App. at 413
    , 
    503 S.E.2d at 130
    .
    ¶ 57         A testator is entitled to disinherit a child. See Ladd v. Estate of Kellenberger,
    
    314 N.C. 477
    , 483, 
    334 S.E.2d 751
    , 756 (1985) (“The law in North Carolina does not
    prohibit parents from disinheriting children. The right to give or take property is not
    a natural or inalienable right, but one of positive law, created and controlled by the
    legislature.”) (citing Pullen v. Commissioners of Wake County, 
    66 N.C. 361
    , 363-64
    (1872)).
    ¶ 58         Here, viewed in the light most favorable to Plaintiff, as the non-movant,
    Plaintiff’s affidavits, answers during depositions, and evidence presented during the
    summary judgment hearing tend to show Settlor was suffering from dementia at the
    time the will and trusts were executed. The affidavits and answers during deposition
    tend to indicate Settlor’s confusion and lack of knowledge regarding who was
    managing his finances, what real property he owned, and who were the beneficiaries
    of his will and trusts. Viewed in the light most favorable to, and with all reasonable
    inferences that could be drawn therefrom to Plaintiff, genuine issues of material fact
    exist concerning Settlor’s testamentary capacity. The trial court erred in granting
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    summary judgment. The 11 January 2021 summary judgment order is reversed.
    V.       Directed Verdict
    ¶ 59         Plaintiff argues the trial court erred in granting a directed verdict in favor of
    Defendants on the issue of undue influence.
    A. Standard of Review
    ¶ 60         “The standard of review of directed verdict is whether the evidence, taken in
    the light most favorable to the non-moving party, is sufficient as a matter of law to
    be submitted to the jury.” Davis v. Dennis Lilly Co., 
    330 N.C. 314
    , 322, 
    411 S.E.2d 133
    , 138 (1991) (citation omitted).
    ¶ 61         Our Supreme Court has held:
    In determining the sufficiency of the evidence to withstand
    a motion for a directed verdict, all of the evidence which
    supports the non-movant’s claim must be taken as true and
    considered in the light most favorable to the non-movant,
    giving the non-movant the benefit of every reasonable
    inference which may legitimately be drawn therefrom and
    resolving contradictions, conflicts, and inconsistencies in
    the non-movant’s favor.
    Turner v. Duke University, 
    325 N.C. 152
    , 158, 
    381 S.E.2d 706
    , 710 (1989) (citation
    omitted). “If there is more than a scintilla of evidence supporting each element of the
    nonmoving party’s claim, the motion for directed verdict or JNOV should be denied.”
    Horner v. Byrnett, 
    132 N.C. App. 323
    , 325, 
    511 S.E.2d 342
    , 344 (1999) (citation
    omitted). “A scintilla of evidence is defined as very slight evidence.” Hayes v. Waltz,
    
    246 N.C. App. 438
    , 442-43, 
    784 S.E.2d 607
    , 613 (2016) (citation omitted).
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    B. Analysis
    ¶ 62         In the context of a will caveat, undue influence is “a fraudulent influence over
    the mind and will of another to the extent that the professed action is not freely done
    but is in truth the act of the one who procures the result.” In re Estate of Loftin, 
    285 N.C. 717
    , 722, 
    208 S.E.2d 670
    , 674-75 (1974).
    ¶ 63         “There are four general elements of undue influence: (1) a person who is subject
    to influence; (2) an opportunity to exert influence; (3) a disposition to exert influence;
    and (4) a result indicating undue influence.” In re Sechrest, 
    140 N.C. App. at 469
    , 
    537 S.E.2d at 515
     (citation omitted).
    ¶ 64         Our Supreme Court noted a number of factors, in In re Andrews, which are
    relevant to the issue of undue influence:
    1. Old age and physical and mental weakness.
    2. That the person signing the paper is in the home of the
    beneficiary and subject to his constant association and
    supervision.
    3. That others have little or no opportunity to see him.
    4. That the will is different from and revokes a prior will.
    5. That it is made in favor of one with whom there are no
    ties of blood.
    6. That it disinherits the natural objects of his bounty.
    7. That the beneficiary has procured its execution.
    In re Andrews, 
    299 N.C. 52
    , 55, 
    261 S.E.2d 198
    , 200 (1980) (citation and quotation
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    marks omitted).
    ¶ 65         A caveator is “not required to demonstrate the existence of every factor to prove
    undue influence, because undue influence is generally proved by a number of facts,
    each one of which standing along may be of little weight, but taken collectively may
    satisfy a rational mind of its existence.” In re Estate of Phillips, 251 N.C. App. at 111,
    795 S.E.2d at 282 (citation and internal quotation marks omitted). This Court has
    further held: “Whether these or other factors exist and whether executor unduly
    influenced decedent in the execution of the Will are material questions of fact.” In re
    Will of Smith, 
    158 N.C. App. 722
    , 727, 
    582 S.E.2d 356
    , 360 (2003).
    ¶ 66         At oral argument, Defendants asserted the allegations that the caregivers, who
    received none of the real property at issue and received only bequests of $7,000 each,
    from an almost two-million-dollar estate, were the alleged undue influencers is
    unsupported by precedent. This assertion is contrary to our Supreme Court’s holding
    in In re Andrews, which cautions “It is impossible to set forth all the various
    combinations of facts and circumstances that are sufficient to make out a case of
    undue influence because the possibilities are as limitless as the imagination of the
    adroit and the cunning.” In re Andrews, 
    299 N.C. at 54
    , 
    261 S.E.2d at 200
    . In
    evaluating allegations of undue influence, our Supreme Court held “it is impossible
    for the law to lay down tests to determine its existence with mathematical certainty.”
    
    Id. at 54-55
    , 
    261 S.E.2d at 200
    .
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    ¶ 67         Viewed in the light most favorable to the nonmoving party, the evidence
    produced at trial demonstrates and emphasizes the caregivers overarching
    involvement in Settlor’s life. In November 2009, Settlor and Ellen appointed their
    daughters Plaintiff and Bittner as co-executors and co-trustees upon their deaths.
    Settlor funded these trusts with real property. The documents directed the assets to
    pass to the surviving spouse of the couple, and if no spouse survived, then in equal
    shares between Plaintiff and Bittner, or their living issue per stirpes.
    ¶ 68         The evidence in the record and over twelve days of testimony asserts factual
    issues concerning Settlor’s physical and mental weakness around the time of the
    execution of the 9 August 2017 estate plan; the caregivers’ status as propounders;
    and, the refusal of the caregivers to allow Plaintiff and Settlor’s other family members
    to visit and see Settlor without supervision. No evidence tends to show Plaintiff ever
    communicated any threats or intent to harm Settlor. Plaintiff acted in conjunction
    with her sister, first cousin, and other family members to alert Settlor to non-family
    members and employees potentially taking advantage of Settlor and his assets.
    ¶ 69         Medical personnel and employees of financial institutions observed Settlor’s
    unusual behaviors and actions and, on their own initiative, alerted family members
    and law enforcement to questionable activities and expenses by non-family caregivers
    and employees who were related to each other, who had accompanied Settlor,
    managed his daily schedule, and overtly influenced his activities. These questionable
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    actions and activities by caregivers were shared with Settlor’s fiduciaries, who
    assisted and facilitated these activities, in derogations of the warnings and concerns
    of medical personnel, bank employees, Settlor’s children, a son-in-law, and Settlor’s
    nephew.
    ¶ 70          After surviving summary judgment and during twelve days of testimony
    Plaintiff presented more than a “scintilla of evidence” to preclude the trial court
    entering a directed verdict for Defendants. Hayes, 246 N.C. App. at 443, 784 S.E.2d
    at 613. The trial court erred in granting Defendants’ motion for a directed verdict.
    The trial court’s 14 December 2020 order entering a directed verdict is reversed.
    VI.    Exclusion of Godwin’s Testimony
    ¶ 71          Plaintiff asserts the trial court erred in excluding Godwin’s testimony,
    specifically his statement Settlor stated he wanted his “[real] property to go to
    [Plaintiff].”
    ¶ 72          Almost a century ago, our Supreme Court held:
    It has been generally held that declarations, oral or
    written, by the deceased may be shown in evidence upon
    the trial of an issue involving his mental capacity, whether
    such declarations were made before, at or after the date on
    which it is contended that the deceased was of unsound
    mind.
    In re Will of Brown, 
    194 N.C. 583
    , 595, 
    140 S.E.2d 192
    , 199 (1927) (citation
    omitted).
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    ¶ 73         “Declarations made by the testator, in order to be admissible, must be made at
    a time not too remote from the making of the will.” In re Will of Hall, 
    252 N.C. 70
    ,
    81, 
    113 S.E.2d 1
    , 9 (1960). Settlor’s nephew, Godwin, who was never a beneficiary
    under any iteration of Settlor’s wills or trusts, heard Settlor’s purported statement
    five months after the testamentary documents at issue were executed. The trial court
    erred in excluding Godwin’s testimony. The trial court’s order excluding Godwin’s
    testimony is reversed.
    VII.    Substantial Merit
    ¶ 74         The trial court held Plaintiff’s claims lacked substantial merit. In light of this
    Court’s holdings to reverse and remand for further proceedings, the trial court’s
    holding of no substantial merit is vacated.
    VIII.     Conclusion
    ¶ 75         The trial court erred by: granting Defendants’ motion for summary judgment
    on the issue of capacity; granting Defendants’ motion for a directed verdict on the
    issue of undue influence; granting Defendants’ motion to exclude Godwin’s testimony;
    and, in holding Plaintiff’s claims lacked substantial merit.
    ¶ 76         We reverse the trial court’s orders granting summary judgment, granting a
    directed verdict, and excluding Godwin’s testimony, and remand. We vacate the trial
    court’s order holding Plaintiff’s claims lacked substantial merit. It is so ordered.
    REVERSED IN PART; VACATED IN PART; AND REMANDED.
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    Judges CARPENTER and JACKSON concur.