In re Estate of Koetter , 312 Neb. 549 ( 2022 )


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    10/28/2022 12:05 AM CDT
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    Nebraska Supreme Court Advance Sheets
    312 Nebraska Reports
    IN RE ESTATE OF KOETTER
    Cite as 
    312 Neb. 549
    In re Estate of Walter R. Koetter, deceased.
    Richard A. Koetter, individually and as the nominated
    Personal Representative of the Estate of Walter R.
    Koetter, deceased, appellant and cross-appellee,
    v. Debra J. Meyers, appellee and cross-appellant,
    and Diana K. Wilkinson et al., appellees.
    ___ N.W.2d ___
    Filed October 7, 2022.   No. S-21-623.
    1. Directed Verdict: Evidence: Appeal and Error. A directed verdict is
    proper only when reasonable minds cannot differ and can draw but one
    conclusion from the evidence, that is, when an issue should be decided
    as a matter of law. In reviewing that determination, an appellate court
    gives the nonmoving party the benefit of every controverted fact and all
    reasonable inferences from the evidence.
    2. Judgments: Verdicts: Appeal and Error. Review of a ruling on a
    motion for judgment notwithstanding the verdict is de novo on the
    record.
    3. Judgments: Verdicts. To sustain a motion for judgment notwithstand-
    ing the verdict, the court resolves the controversy as a matter of law and
    may do so only when the facts are such that reasonable minds can draw
    but one conclusion.
    4. ____: ____. On a motion for judgment notwithstanding the verdict, the
    moving party is deemed to have admitted as true all the relevant evi-
    dence admitted that is favorable to the party against whom the motion
    is directed, and, further, the party against whom the motion is directed
    is entitled to the benefit of all proper inferences deducible from the rel-
    evant evidence.
    5. Verdicts: Appeal and Error. When reviewing a jury verdict, an appel-
    late court considers the evidence and resolves evidentiary conflicts in
    favor of the successful party.
    6. Verdicts: Juries: Appeal and Error. A jury verdict may not be set
    aside unless clearly wrong, and it is sufficient if there is competent
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    IN RE ESTATE OF KOETTER
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    312 Neb. 549
    evidence presented to the jury upon which it could find for the success-
    ful party.
    7.   Rules of Evidence. In proceedings where the Nebraska Evidence Rules
    apply, the admissibility of evidence is controlled by these rules; judicial
    discretion is involved only when the rules make discretion a factor in
    determining admissibility.
    8.   Trial: Evidence: Appeal and Error. In a civil case, the admission or
    exclusion of evidence is not reversible error unless it unfairly prejudiced
    a substantial right of the complaining party.
    9.   Jurisdiction: Appeal and Error. The question of jurisdiction is a ques-
    tion of law, upon which an appellate court reaches a conclusion indepen-
    dent of the trial court.
    10.   Wills: Undue Influence. Undue influence sufficient to defeat a will
    is manipulation that destroys the testator’s free agency and substitutes
    another’s purpose for the testator’s.
    11.   Wills: Undue Influence: Proof. To show undue influence, a will
    contestant must prove the following elements by a preponderance of
    the evidence: (1) The testator was subject to, or susceptible to, undue
    influence; (2) there was an opportunity to exercise such influence; (3)
    there was a disposition to exercise such influence; and (4) the result was
    clearly the effect of such influence.
    12.   Undue Influence: Proof. Because undue influence is often difficult to
    prove with direct evidence, it may be reasonably inferred from the facts
    and circumstances surrounding the actor: his or her life, character, and
    mental condition.
    13.   Undue Influence. Mere suspicion, surmise, or conjecture does not war-
    rant a finding of undue influence; instead, there must be a solid founda-
    tion of established facts on which to rest the inference of its existence.
    14.   Appeal and Error. An appellate court may find plain error on appeal
    when an error unasserted or uncomplained of at trial, but plainly evident
    from the record, prejudicially affects a litigant’s substantial right and, if
    uncorrected, would result in damage to the integrity, reputation, and fair-
    ness of the judicial process. Generally, an appellate court will find plain
    error only when a miscarriage of justice would otherwise occur.
    15.   Motions for New Trial: Appeal and Error. A motion for new trial is to
    be granted only when error prejudicial to the rights of the unsuccessful
    party has occurred.
    16.   Statutes: Legislature: Intent. Components of a series or collection of
    statutes pertaining to a certain subject matter are in pari materia and
    should be conjunctively considered and construed to determine the
    intent of the Legislature, so that different provisions are consistent, har-
    monious, and sensible.
    - 551 -
    Nebraska Supreme Court Advance Sheets
    312 Nebraska Reports
    IN RE ESTATE OF KOETTER
    Cite as 
    312 Neb. 549
    Appeal from the District Court for Red Willow County:
    David W. Urbom, Judge. Affirmed in part, and in part vacated
    and dismissed.
    Michael L. Johnson and Jared J. Krejci, of Smith, Johnson,
    Allen, Connick & Hansen, for appellant.
    Lindsay E. Pedersen, Attorney at Law, P.C., L.L.O., for
    appellee.
    Heavican, C.J., Miller-Lerman, Cassel, Stacy, Funke,
    Papik, and Freudenberg, JJ.
    Papik, J.
    In this appeal from a will contest proceeding in district court,
    the proponent of the will contests the jury’s finding that the
    will was the product of undue influence and therefore invalid.
    He also claims a new trial is warranted because a purported
    text message not received in evidence was read on the record
    and referenced during closing arguments. We find no merit to
    these arguments. But on cross-appeal, in which the opponent of
    the will challenges an award of attorney fees and expenses that
    the district court purported to award pursuant to 
    Neb. Rev. Stat. §§ 30-2481
     and 30-2482 (Reissue 2016), we conclude that the
    district court lacked jurisdiction over that matter. Accordingly,
    we vacate the portion of the order that purported to award
    attorney fees and expenses and dismiss the cross-appeal.
    I. BACKGROUND
    1. Probate Proceedings and Will Contest
    Initiated in County Court
    Walter R. Koetter died in 2017 at the age of 88. Thereafter,
    one of his sons, Richard A. Koetter (Dickie), filed a petition in
    county court for formal probate of a will executed by Walter
    in 2014 (2014 will). Dickie was the nominated personal rep-
    resentative of the 2014 will. Debra J. Meyers, one of Walter’s
    daughters, objected to the probate of the 2014 will, alleging, in
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    IN RE ESTATE OF KOETTER
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    312 Neb. 549
    part, that it was the result of undue influence. The will contest
    was transferred to district court pursuant to 
    Neb. Rev. Stat. § 30-2429.01
     (Cum. Supp. 2020). The only issue at the ensuing
    jury trial was whether the 2014 will was invalid as a result of
    undue influence.
    2. Will Contest Proceedings
    in District Court
    There was evidence at trial that supported both parties’
    positions as to undue influence; but considering the governing
    standards of review, we recount the evidence relevant to undue
    influence in the light most favorable to Debra.
    (a) Koetter Family and Farm and
    Ranch Operation Overview
    The jury heard evidence that Walter, a farmer and rancher in
    McCook, Nebraska, had five surviving children at the time of
    his death in 2017: Debra, Dickie, Diana K. Wilkinson (Diana),
    Donna S. Friehe (Donna), and Douglas S. Koetter. Another son,
    Darin Koetter, died in 2003. Walter’s wife, Marilyn Koetter,
    also died several years before Walter, in 2011.
    Unlike most of Walter and Marilyn’s other children, Dickie
    was uninvolved with the family and with the farm for decades.
    During that time, he had a series of jobs outside McCook. In
    2006, Dickie moved back to the area from Lincoln, Nebraska.
    Walter asked Dickie to return, in part to help with the farm
    and ranch operation. At first, Dickie lived in town, owned
    no real estate, and was not involved in Walter’s operation. In
    approximately 2008, Dickie moved from town to live rent free
    on an acreage owned by Walter, near the home where Walter
    lived. Around that time, Dickie began working in Walter’s
    operation, along with Douglas, who had been working there
    for about 40 years. Douglas left the operation after less than 2
    years of Dickie’s return to the area. Douglas testified that the
    operation could not comfortably provide for everyone involved
    and that Walter expressed he did not need Douglas on the
    farm anymore.
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    IN RE ESTATE OF KOETTER
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    312 Neb. 549
    In 2012, Walter transferred a cattle herd to Dickie as com-
    pensation, and in 2013 and 2014, Walter paid Dickie wages on
    a somewhat irregular basis.
    (b) Walter’s Wills and Land Transfers
    Walter executed several wills between 2003 and 2012. In
    general, those wills divided the estate equally among his six
    children, with the children of Walter’s deceased son, Darin,
    receiving his share.
    When Walter was 84 years old, he executed the 2014 will on
    April 25 of that year. The 2014 will devised Walter’s property
    as follows: (1) household goods, valued at $5,000, equally to
    the five living children; (2) farm machinery and farm equip-
    ment, valued at $179,444.71, to Dickie; (3) money in check-
    ing or savings accounts, valued at $168,267.66, 70 percent to
    Dickie and 30 percent to Douglas; (4) life insurance payable to
    the estate, valued at $84,323.50, to the three daughters; and (5)
    the remainder of the estate, valued at $5,580.96, 70 percent to
    Dickie and 30 percent to Douglas.
    On the same day that the 2014 will was executed, Walter
    executed deeds conveying interests in real property to Dickie
    and Douglas, while reserving a life estate in his own name.
    Dickie’s interest was valued at $1,195,750, and Douglas’ inter-
    est was valued at $502,053. Debra testified that she was a
    party to a pending action to set aside the deeds executed April
    25, 2014.
    (c) Testimony of Walter’s Attorneys
    Jon Schroeder had handled Walter’s estate planning since
    2003 and prepared Walter’s 2012 will. He testified that he met
    with Walter 10 to 20 times between April 2011 and October
    2012 to close Marilyn’s estate and revise Walter’s estate plan.
    Schroeder denied discussing transferring a significant por-
    tion of Walter’s assets to Dickie, but on Walter’s request, he
    discussed other options for compensating Dickie, who began
    attending Walter’s meetings with Schroeder in 2011. This was
    the first time any of Walter’s children had attended his estate
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    IN RE ESTATE OF KOETTER
    Cite as 
    312 Neb. 549
    planning meetings with Schroeder. Schroeder perceived Dickie
    to be “tense” and “aggressive” regarding his compensation
    beginning in September 2012, asking “‘How do I get compen-
    sated for what I’m doing for dad[?]’” In a meeting sometime
    after October 30, Dickie asked several times, “‘What is in
    it for me? How am I going to be compensated?’” Schroeder
    asked Dickie to leave the room so that he could speak to Walter
    alone. Schroeder testified that Dickie did not seem happy with
    the request, but left. After he did, Schroeder told Walter, “‘I am
    not feeling comfortable with this conversation with Dickie,’”
    and Walter replied, “‘I’m not either.’” After that meeting,
    Schroeder never saw or spoke to Walter again.
    In executing the 2014 will and deeds, Walter was repre-
    sented by attorney Justin Hermann. Hermann first met with
    Walter to discuss changes to Walter’s estate plan when Walter
    came to his office alone in September 2013, having been trans-
    ported there by someone else. Hermann testified that prior to
    the estate planning work, he had Walter provide him with two
    letters from physicians, both finding that Walter had sufficient
    testamentary capacity.
    Hermann testified that he met with Walter on April 16, 2014,
    in his office. At that time, Walter signed updated powers of
    attorney and a living will. The will and deeds were prepared,
    but because some additional changes were needed, they sched-
    uled a followup appointment for their execution. Hermann
    testified that he learned from Dickie on April 21 that Walter
    had been hospitalized due to chest pains. He was discharged,
    but was not allowed to travel, so Hermann arranged to execute
    the documents in McCook, where Walter lived, rather than at
    Hermann’s office in Kearney, Nebraska. On the day Walter
    executed the 2014 will, Walter signed an acknowledgment
    that Dickie and Dickie’s wife drove him to the office and
    participated in a meeting earlier in the day to discuss a farm
    lease involving Dickie that was part of the estate plan, but that
    they were not present when Walter and Hermann reviewed the
    terms of the will. Hermann testified that he had not observed
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    IN RE ESTATE OF KOETTER
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    312 Neb. 549
    Walter outside his office and did not see everything happening
    in Walter’s life.
    Hermann testified that he had represented Dickie in another
    matter the month before he met with Walter. Hermann testified
    he also met with Dickie and his wife to discuss the farm lease,
    but he never met with Dickie about the 2014 will. However,
    his billing statements reflect that in 2013 and 2014 he had sev-
    eral 5-to-10-minute telephone conversations with Dickie’s wife
    regarding Walter’s “estate planning.”
    (d) Testimony by Physicians
    The two physicians who examined Walter in 2013 testified.
    Both opined that Walter was able to make decisions for himself
    at that time. One of those physicians admitted that he would
    not be aware if Walter was being subjected to undue influence
    by a family member.
    (e) Testimony by Walter’s Family and Neighbors
    Debra testified that after Marilyn moved to a nursing home
    in 2009, other family members were “taking care” of Walter,
    who at that time continued to work in the field. She testified, “I
    would do, you know, whatever he needed to do. I was helping
    him.” This included taking “sandwiches out to him,” buying
    his groceries, taking him to medical appointments, and coordi-
    nating his Veterans Affairs benefits.
    Members of Walter’s family testified that before Marilyn’s
    death in April 2011, Walter frequently gathered with his chil-
    dren and grandchildren multiple times a week for meals, farm-
    work, and celebrations, but Dickie rarely participated in any
    family gatherings, despite being invited. After Marilyn’s death,
    the family as a whole no longer celebrated special events with
    Walter; he celebrated only with Dickie. Debra recalled that
    after Marilyn’s death, she tried to take Thanksgiving dinner
    to Walter, but he declined, saying that “Dick[ie] wouldn’t like
    it.” Debra testified that from September 2012 until October
    2013, whenever she was at Walter’s house, Dickie and his wife
    were present.
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    IN RE ESTATE OF KOETTER
    Cite as 
    312 Neb. 549
    Several family members testified that when they visited
    Walter alone, he seemed to be checking to see if Dickie was
    approaching, and Diana described Walter’s behavior on these
    occasions as “agitated” and “fidgety.” Another relative testified
    that if Dickie did arrive, Walter became less talkative. Some
    viewed Dickie as curtailing Walter’s contact with the rest of
    the family.
    After 2011, Dickie and his wife, whom Dickie married in
    2013, took over buying Walter’s groceries and taking him to
    medical appointments. Dickie did not communicate informa-
    tion about Walter’s medical condition to the rest of the fam-
    ily as Debra had. Dickie also became a signatory on Walter’s
    checking account and Walter’s power of attorney, whereas
    Debra previously had been Walter’s power of attorney. Dickie
    testified that he would prepare Walter’s lunch daily and help
    Walter with bills by addressing and stamping envelopes.
    Several family members testified that they did not believe
    Walter had the ability to make his own decisions after October
    2012 and that they believed Dickie was influencing Walter
    and overpowering his decisions. Two relatives familiar with
    the operation testified that after Dickie came back to town,
    Walter, who previously had an opinion on everything and made
    decisions on his own, could not make a decision without con-
    sulting with Dickie. One of the relatives recounted that once
    when he was outdoors, a “couple hundred yards away” from
    Dickie and Walter, he heard Dickie “screaming” at Walter.
    On another occasion, the same relative saw Walter outside in
    102-degree heat, “covered in sweat,” and advised Walter to go
    inside to avoid heatstroke. Walter replied, “‘Well, I was told
    to stay . . . here. [Dickie’s] going to yell at me,’” but Walter
    was subsequently convinced to return to the house. According
    to Douglas, Walter had phased out of the operation as he aged,
    and “eventually . . . you could say he was out.” When Dickie
    and his wife were out of town in 2013, a neighbor helped
    Walter with farm chores at Dickie’s residence.
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    IN RE ESTATE OF KOETTER
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    Several of Walter’s children said that Walter had changed
    after Dickie came back, in that he had lost the “spark in his
    eye” and his typical “easygoing,” “calm,” “happy,” and “sharp”
    demeanor; watched television rather than being active on the
    farm; and no longer expressed an interest in family members
    other than Dickie and Dickie’s wife. In describing Walter after
    Dickie joined the operation, they used descriptions such as
    “shaky,” “deathly afraid” of Dickie, “uncomfortable” around
    the rest of the family, “a whipped puppy,” “beaten down,”
    “stressed,” “closed up,” “timid,” “nervous,” “cowered,” “just
    giving up,” “going downhill,” and “getting more intimidated
    all the time.”
    Jeremy Meyers, one of Walter’s grandsons, testified that
    Walter was “getting manipulated” and that Dickie was “start-
    ing to put some pressure” on Walter in late 2012 or early 2013.
    Jeremy recalled that in July 2013, Walter wrongly accused
    him of wanting to take over the operation and Walter said he
    had heard it from Dickie. Jeremy testified that in September
    2013, he received a text message from Walter’s phone that
    was intended, at least in part, for Dickie’s wife. Shortly after,
    Jeremy received a call from Walter, who addressed him as
    “‘Jeremy’” rather than “‘Jerm’” as he always had. During
    the call, Jeremy heard two voices, and in his opinion, Dickie
    was coaching Walter to instruct Jeremy to delete the text mes-
    sage. Jeremy detected shakiness in Walter’s voice and was
    concerned that Walter was under “severe duress.” Later, at
    about 7 p.m., Jeremy went to check on Walter, who he found
    sitting in the dark, “shaking uncontrollably” and “virtually
    sobbing.” Jeremy asked Walter, “‘Did he do something to
    you?’” but Walter “wouldn’t tell” Jeremy. Jeremy testified that
    he was concerned enough about the incident to report it to law
    enforcement.
    Walter communicated to several family members and a
    neighbor that he intended to change his previous estate plan
    to leave the majority of his assets to Dickie and Douglas.
    Family members were also aware that Walter had sought out
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    a new attorney. Diana recognized that Walter wanted to leave
    a legacy in regard to his farm but believed Dickie was mak-
    ing the decisions. Debra testified that in October 2013, Dickie
    informed her, in Walter’s presence, that Darin’s children were
    “being taken completely out of the will.” Debra testified that
    she believed they should be included and argued with Dickie
    about the matter, and Dickie’s wife also stated her opinion, but
    Walter did not say a word. Another daughter, Donna, testified
    that Walter told her about his new estate plans in 2016. To
    Donna, Walter seemed “anxious” and aware that the informa-
    tion would hurt her. When Donna told Walter that she respected
    his decision but did not agree, Walter responded, “‘Dick[ie]
    says this is how it should be.’”
    Dickie denied ever telling Walter how to make his will or
    to transfer land, but he testified that he told Walter that if he
    divided his estate equally among his children, it would likely
    be sold to someone outside the family after his death because
    the children could not “get along.”
    (f) Undue Influence Expert; Testimony
    and Argument Concerning
    Text Message
    Dr. Lindsey Wylie, an expert called by Dickie, was the first
    witness to testify on the second day of the 4-day trial. She
    testified to her opinions that Walter’s level of cognition was
    high on the date he executed the 2014 will and that he was not
    susceptible to undue influence. She based her opinion on depo-
    sitions and exhibits supplied to her by Dickie’s counsel.
    On cross-examination, Debra’s counsel elicited Wylie’s tes-
    timony that if the information supplied to her was faulty or
    incomplete, her opinion would be faulty or incomplete. Wylie
    confirmed that one of the depositions supplied by Dickie’s
    counsel was that of Dickie’s wife. The following colloquy then
    took place:
    Q. So if [Dickie’s wife] has said—made opposite
    statements or contradictory statements, would that be
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    something you’d . . . want to take into account when
    you’re relying on her deposition?
    A. Contradictory statements at what point?
    Q. Subsequent to her deposition.
    A. I mean, . . . I guess, it would be something I would
    . . . want to have known about then when I rendered
    my report.
    Q. But you were not aware of that?
    A. I don’t know what the contradictory statements are,
    so I can’t speak to it.
    Q. Well, if [Dickie’s wife] indicated in a text to family,
    “Dick[ie] was behind all the will changing, and grandpa
    had—and had grandpa and I scared to death if it wasn’t
    done, he would do something”, would that be a statement
    you would be considering—want [to] consider when . . .
    rendering an opinion?
    A. Yep.
    [Dickie’s counsel]: Your Honor, I would object. That
    matter’s not in evidence. I would move to strike.
    [Debra’s counsel]: Your Honor, she asked what it said.
    THE COURT: Yeah, the objection’s overruled. I think
    she can answer whether or not that would be something
    she would have considered.
    BY [Debra’s counsel]:
    Q. Would something—that statement want [sic] you to
    further vet [Dickie’s wife]?
    A. Of course, I would want to have all the information
    at the time I rendered my report.
    Later during the trial, Dickie’s counsel requested a copy of the
    text message. Debra’s counsel acknowledged that it would not
    have been provided in response to discovery, but said Debra
    planned to use it “when [Dickie’s wife] shows up.” The district
    court overruled the “objection,” but noted that Dickie’s counsel
    would not be prohibited from making a similar request later.
    Dickie’s wife did not testify at trial, and Dickie’s counsel did
    not renew his request for a copy of the text message.
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    The text message came up again in closing arguments.
    Debra’s counsel stated that Wylie’s opinion was based on
    depositions supplied by opposing counsel, “not the full infor-
    mation.” He next mentioned the text message, and Dickie’s
    counsel objected:
    [Debra’s counsel]: . . . I think she clarified that, saying
    it’s only as good as what she’s been given. And when I
    asked her about [Dickie’s wife], and I question, what if
    [Dickie’s wife] had sent a text message? She says, what’s
    the text message say?
    [Dickie’s counsel]: Objection, Your Honor.
    THE COURT: Objection is sustained. The text message
    isn’t in evidence.
    [Debra’s counsel]: The question and answer.
    THE COURT: Yes, but not anything about the text
    message.
    [Debra’s counsel]: No, I quoted the text message.
    THE COURT: Okay. You’re fine.
    [Dickie’s counsel]: I thought that question was stricken.
    [Debra’s counsel]: No, it’s still in the evidence.
    THE COURT: Yeah, it’s in. Yeah, the objection is
    sustained.
    Just as long as you don’t bring up anything about any
    text message.
    [Debra’s counsel]: Okay.
    THE COURT: As far as the content of the text
    message.
    [Debra’s counsel]: But it’s already in evidence. When
    I asked the question, I specifically read it. There was no
    objection, and it was answered.
    [Dickie’s counsel]: There was an objection.
    Your Honor, can we approach?
    [Debra’s counsel]: Okay. Your Honor, that’s fine.
    THE COURT: You’re okay? All right.
    [Debra’s counsel]: All right. Okay. So she said if
    she didn’t have all the facts with [Dickie’s wife], she
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    basically said, “Yeah, I’d have to reconsider that”, is what
    her testimony was.
    So, basically, she acknowledged she doesn’t have all
    the facts and yet —
    [Dickie’s counsel]: Objection, Your Honor. Can we
    approach?
    (An off-record sidebar was held.)
    THE COURT: Go ahead, [Debra’s counsel].
    [Debra’s counsel]: Dr. Wylie indicated several of the
    witnesses weren’t fully vetted for her, and that she also
    indicated that her ability to give an opinion relied solely
    on what was supplied to her, solely supplied on one
    side . . . .
    So when you look at — the expert witness instruction
    indicates — you take an expert — she’s no different than
    you when coming to this final conclusion, so don’t let
    her opinion — or first — apparently, first expert opinion,
    which is not fully vetted, sway you in any way. The cred-
    ibility you give her is entirely up to you.
    The jury was instructed that statements, arguments, and
    objections by attorneys were not evidence for its consideration,
    nor were questions and answers for which objections had
    been sustained.
    (g) Jury Verdict and Subsequent
    Motions and Orders
    The jury returned a verdict finding that the 2014 will was
    not valid. The district court accepted the verdict.
    Dickie then filed a motion to alter or amend, which asked
    the district court to rule on a motion for attorney fees and
    expenses pursuant to § 30-2481 that he had earlier filed in the
    district court. On the same day, Dickie filed a motion for judg-
    ment notwithstanding the verdict. In the alternative, Dickie
    moved for a new trial.
    In the same order, the district court overruled the motions
    for judgment notwithstanding the verdict and for a new trial,
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    and sustained the motion to alter or amend regarding attorney
    fees and expenses in the amount of $196,914.47. In ruling on
    attorney fees and expenses, the district court cited §§ 30-2481
    and 30-2482.
    Dickie filed an appeal, and Debra cross-appealed.
    II. ASSIGNMENTS OF ERROR
    On appeal, Dickie assigns several grounds for reversal that,
    consolidated and restated, fall into two general categories.
    The first category relates to his position that Debra did not
    meet her burden of proving the 2014 will was invalid: He
    claims that the evidence was insufficient to sustain the jury’s
    verdict and that the district court erred in denying his motions
    for directed verdict, judgment notwithstanding the verdict,
    and new trial. The second category concerns the text mes-
    sage. Dickie asserts (1) that the district court erred in allow-
    ing Debra’s counsel to ask his expert about the purported text
    message, denying his motion to strike his expert’s response,
    and not granting his motion for a new trial based on that
    exchange, and (2) that misconduct by Debra’s attorney during
    closing arguments misled the jury regarding the text message
    to such a degree that it resulted in an unjust verdict and con-
    stituted plain error.
    On cross-appeal, Debra assigns that the district court erred
    in awarding attorney fees and expenses to Dickie and in fixing
    the amount of those fees.
    III. STANDARD OF REVIEW
    [1] A directed verdict is proper only when reasonable minds
    cannot differ and can draw but one conclusion from the evi-
    dence, that is, when an issue should be decided as a matter of
    law. In reviewing that determination, an appellate court gives
    the nonmoving party the benefit of every controverted fact and
    all reasonable inferences from the evidence. Arens v. NEBCO,
    Inc., 
    291 Neb. 834
    , 
    870 N.W.2d 1
     (2015).
    [2-4] Review of a ruling on a motion for judgment not-
    withstanding the verdict is de novo on the record. Valley Boys
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    v. American Family Ins. Co., 
    306 Neb. 928
    , 
    947 N.W.2d 856
    (2020). To sustain a motion for judgment notwithstanding the
    verdict, the court resolves the controversy as a matter of law
    and may do so only when the facts are such that reasonable
    minds can draw but one conclusion. 
    Id.
     On a motion for judg-
    ment notwithstanding the verdict, the moving party is deemed
    to have admitted as true all the relevant evidence admitted that
    is favorable to the party against whom the motion is directed,
    and, further, the party against whom the motion is directed is
    entitled to the benefit of all proper inferences deducible from
    the relevant evidence. 
    Id.
    [5,6] When reviewing a jury verdict, an appellate court
    considers the evidence and resolves evidentiary conflicts in
    favor of the successful party. Pantano v. American Blue
    Ribbon Holdings, 
    303 Neb. 156
    , 
    927 N.W.2d 357
     (2019). A
    jury verdict may not be set aside unless clearly wrong, and
    it is sufficient if there is competent evidence presented to
    the jury upon which it could find for the successful party. 
    Id.
    See, also, In re Estate of Disney, 
    250 Neb. 703
    , 
    550 N.W.2d 919
     (1996).
    An appellate court reviews the denial of a motion for new
    trial for an abuse of discretion. See Schmid v. Simmons, 
    311 Neb. 48
    , 
    970 N.W.2d 735
     (2022).
    [7,8] In proceedings where the Nebraska Evidence Rules
    apply, the admissibility of evidence is controlled by these rules;
    judicial discretion is involved only when the rules make discre-
    tion a factor in determining admissibility. Brown v. Morello,
    
    308 Neb. 968
    , 
    957 N.W.2d 884
     (2021). In a civil case, the
    admission or exclusion of evidence is not reversible error
    unless it unfairly prejudiced a substantial right of the complain-
    ing party. In re Estate of Clinger, 
    292 Neb. 237
    , 
    872 N.W.2d 37
     (2015).
    [9] The question of jurisdiction is a question of law, upon
    which an appellate court reaches a conclusion independent
    of the trial court. State ex rel. Peterson v. Creative Comm.
    Promotions, 
    302 Neb. 606
    , 
    924 N.W.2d 664
     (2019).
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    IV. ANALYSIS
    1. Undue Influence
    We begin with the issue at the heart of these proceedings,
    undue influence. At trial, Dickie made several attempts to
    preempt or overturn the jury’s verdict that found the 2014 will
    invalid. He made unsuccessful motions for a directed verdict at
    the close of Debra’s case and at the close of all the evidence,
    for judgment notwithstanding the verdict, and, in the alterna-
    tive, for new trial, all on the grounds that the evidence did not
    prove undue influence. On appeal, he challenges the district
    court’s rulings on those motions and further assigns that the
    evidence was insufficient to sustain the jury’s verdict. We note
    at the outset that Dickie cannot now challenge the ruling on the
    motion for directed verdict he made at the close of Debra’s evi-
    dence because he proceeded to present his own evidence after
    that motion was overruled. See Anderson v. Babbe, 
    304 Neb. 186
    , 
    933 N.W.2d 813
     (2019). As for the remaining motions, we
    address Dickie’s arguments in a general manner by considering
    whether there was competent evidence that allowed the jury
    to reasonably find that Walter executed the 2014 will as the
    result of undue influence. Although some evidence supported
    Dickie’s position, other evidence supported Debra’s position,
    and under the applicable standards of review, we conclude
    that the evidence was sufficient to sustain the jury’s verdict in
    Debra’s favor.
    [10,11] Undue influence sufficient to defeat a will is manip-
    ulation that destroys the testator’s free agency and substitutes
    another’s purpose for the testator’s. In re Estate of Clinger,
    supra. To show undue influence, a will contestant must prove
    the following elements by a preponderance of the evidence: (1)
    The testator was subject to, or susceptible to, undue influence;
    (2) there was an opportunity to exercise such influence; (3)
    there was a disposition to exercise such influence; and (4) the
    result was clearly the effect of such influence. See In re Estate
    of Barger, 
    303 Neb. 817
    , 
    931 N.W.2d 660
     (2019). See, also,
    Spinar v. Wall, 
    191 Neb. 395
    , 
    215 N.W.2d 98
     (1974).
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    [12,13] Because undue influence is often difficult to prove
    with direct evidence, it may be reasonably inferred from the
    facts and circumstances surrounding the actor: his or her life,
    character, and mental condition. In re Estate of Barger, 
    supra.
    Mere suspicion, surmise, or conjecture does not warrant a find-
    ing of undue influence; instead, there must be a solid founda-
    tion of established facts on which to rest the inference of its
    existence. Mock v. Neumeister, 
    296 Neb. 376
    , 
    892 N.W.2d 569
     (2017).
    Dickie mainly challenges the jury’s verdict by arguing that
    because the evidence did not show that Walter suffered from a
    mental or physical impairment, it did not establish that he was
    susceptible to undue influence. Dickie appears to take the posi-
    tion that mental or physical impairment is a required element
    of undue influence. Although we have said that suspicious
    circumstances tending to show undue influence are indicated
    when there is “an elderly testator in a weakened physical or
    mental condition,” In re Estate of Barger, 
    303 Neb. at 835
    ,
    931 N.W.2d at 674, we have not held that mental or physical
    impairment is essential to a finding of undue influence. And
    although there was no evidence that Walter had a specifi-
    cally diagnosed mental or physical impairment at the time he
    executed the 2014 will, there was evidence that Walter, who
    was 84 years old when he executed the 2014 will, exhibited
    signs of decline. Whereas Walter previously had been “easy-
    going,” “calm,” “happy,” and “sharp,” and had a “spark in
    his eye,” there was testimony that after Dickie’s return, he
    became “shaky,” “stressed,” “closed up,” “timid,” and “ner-
    vous”; “cowered” like a “whipped puppy”; and seemed to be
    “just giving up” and “going downhill.”
    In addition, there are other factors that can demonstrate
    susceptibility to undue influence. In assessing susceptibility,
    “[t]he question is . . . whether [the testator’s] natural defenses
    are lowered leaving [him or] her unable to resist the sugges-
    tions of a stronger, more determined individual.” In re Estate
    of Glass, 
    85 Wis. 2d 126
    , 140, 
    270 N.W.2d 386
    , 393 (1978).
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    Factors showing susceptibility recognized by this court have
    included a testator’s age, health, and dependence on the person
    accused of undue influence for transportation, groceries, and
    business affairs. See, In re Estate of Wagner, 
    246 Neb. 625
    ,
    
    522 N.W.2d 159
     (1994); In re Estate of Bainbridge, 
    151 Neb. 142
    , 
    36 N.W.2d 625
     (1949); In re Estate of Bowman, 
    143 Neb. 440
    , 
    9 N.W.2d 801
     (1943).
    Other jurisdictions have likewise cited similar factors,
    including dependence and a tendency to be passive and easily
    swayed. See, Moriarty v. Moriarty, 
    150 N.E.3d 616
     (Ind. App.
    2020) (basing finding of susceptibility on recent death of loved
    one, anxiety and depression, medical conditions, isolation from
    family and friends, and dependency on others); Matter of
    Estate of Smith, 
    164 Idaho 457
    , 476, 
    432 P.3d 6
    , 25 (2018),
    quoting King v. MacDonald, 
    90 Idaho 272
    , 
    410 P.2d 969
    (1965) (finding testator susceptible to accused influencer’s spe-
    cific influence and stating that “determining whether a testator
    was susceptible to undue influence ‘requires a consideration of
    many circumstances, including his state of affections or dislike
    for particular persons, benefited or not benefited by the will; of
    his inclinations to obey or to resist these persons; and, in gen-
    eral, of his mental and emotional condition with reference to
    its being affected by any of the persons concerned’”); Erickson
    v. Olsen, 
    844 N.W.2d 585
    , 594 (N.D. 2014) (affirming dis-
    trict court’s finding of undue influence where, in contrast to
    case in which decedent was “‘his own boss’” and found not
    susceptible, testator was “passive and easily influenced” and
    dependent on care of others); Hernon v. Hernon, 74 Mass. App.
    492, 498-99, 
    908 N.E.2d 777
    , 783 (2009) (testator’s suscepti-
    bility to undue influence by brother shown by evidence that
    although the two had strained and distant relationship, testator
    had no choice but to have brother move into his home to care
    for him; that he was dependent on brother who drove him to
    appointments, including one to attorney’s office to execute
    will 2 months before he died; and that brother stated “‘[testa-
    tor] will do exactly what I want when it come[s] to his will or
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    I’m out of here’”); In re Estate of Glass, 
    supra
     (susceptibility
    factors include testator’s age, personality, physical and mental
    health, and ability to handle business affairs); In re Feitag’s
    Estate, 
    9 Wis. 2d 315
    , 321-22, 
    101 N.W.2d 108
    , 111 (1960)
    (testator’s susceptibility shown by “testimony that she was
    easily led or swayed by people about her,” including incident
    in which she “talked about selling a washing machine, but she
    didn’t know whether she would because she didn’t think the
    appellant would like it”). See, also, In re Estate of Milas, No.
    98-2511, 
    1999 WL 627680
     at *3 (Wis. App. Aug. 19, 1999)
    (unpublished opinion listed in table at 
    230 Wis. 2d 186
    , 
    603 N.W.2d 748
     (Wis. App. 1999)) (identifying fact that “testator
    was unusually receptive to the suggestions of another to whom
    he consistently deferred on matters of personal importance” as
    evidence of susceptibility to undue influence).
    In our view, there was other evidence in this case that, in
    addition to Walter’s decline, supported a finding that Walter
    was susceptible to undue influence. Evidence at trial supported
    the inference that Walter was susceptible to undue influence
    because Walter depended on Dickie to manage matters rang-
    ing from groceries to the farming operation. Evidence showed
    that after Marilyn entered the nursing home in 2009, Walter
    depended on his family’s assistance with groceries, food, and
    medical appointments. After Marilyn died in 2011, Walter
    came to rely on Dickie or Dickie’s wife to buy his groceries,
    prepare food for him, and take him to medical appointments
    and meetings with his attorneys. According to evidence, in
    the years before the 2014 will and afterward, it was only
    Walter and Dickie involved in Walter’s operation. Douglas
    testified that Walter’s involvement in the operation dimin-
    ished as he aged, until he “was out.” There was testimony that
    rather than being active on the farm, Walter stayed inside and
    watched television.
    There was also evidence from which the jury could infer
    that Walter had become passive and easily led, making him
    susceptible to undue influence. The jury heard evidence that
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    Walter altered his longtime estate plans despite expressing
    discomfort with Dickie’s involvement. From 2003 to 2014,
    Walter had consistently maintained an estate plan that generally
    divided his assets equally among his children. In September
    2011, Dickie began attending meetings between Walter and
    Schroeder, who had prepared Walter’s previous wills. The
    jury heard Schroeder’s testimony that in October 2012, he
    was “‘not feeling comfortable’” with Dickie’s “aggressive”
    and repetitive questions about his own compensation during
    a consultation with Walter, so much so, that Schroeder asked
    Dickie to leave the room. Schroeder recounted that when he
    expressed his discomfort to Walter, Walter agreed that he too
    was uncomfortable. That was the last time Schroeder saw
    Walter. Soon afterward, Walter began consulting about his
    estate plan in Kearney with Hermann, who had represented
    Dickie in another matter just the previous month. Hermann
    eventually prepared the 2014 will that substantially changed
    Walter’s prior estate planning.
    Other evidence also allowed the jury to make inferences
    regarding Walter’s passivity and tendency to yield. The jury
    heard testimony that before Dickie’s return, Walter made his
    own decisions, but witnesses testified that afterward, Walter
    could not make a decision without Dickie, who had been
    heard “screaming” at Walter. Jeremy testified about a time in
    September 2013 when Dickie seemed to be coaching Walter
    to ask Jeremy to delete a text message involving Dickie’s
    wife that was mistakenly sent from Walter’s phone. Based
    on Walter’s voice, Jeremy testified that he thought Walter
    was under “severe duress.” Witnesses recalled specific state-
    ments Walter made that showed Dickie’s influence over how
    Walter celebrated Thanksgiving, whether he stayed outdoors
    in extreme heat, how he communicated with the rest of the
    family, how he ran his operation, and, most significantly, how
    he devised his estate. Donna testified that when she expressed
    disagreement with Walter’s plans to leave most of his assets to
    Dickie and Douglas, Walter responded, “‘Dick[ie] says this is
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    how it should be.’” And there was evidence that it was Dickie
    who informed Debra of certain provisions of the 2014 will
    and, in tandem with his wife, argued with Debra when she
    objected, while Walter sat silent. Dickie admitted that he told
    Walter that if he divided his estate equally among his children
    as he had long planned, it would likely be sold to someone
    outside the family after his death because the children could
    not get along.
    We are also unpersuaded by Dickie’s allegation that proof of
    undue influence failed because the 2014 will was not executed
    in secret. We have observed that undue influence can be dif-
    ficult to prove because it is “usually surrounded by all possible
    secrecy” and “[is] not exert[ed] in a crowd.” In re Estate of
    Hedke, 
    278 Neb. 727
    , 743, 
    775 N.W.2d 13
    , 28 (2009). But
    we have not required secrecy to prove undue influence, and
    we made the foregoing observations to explain why undue
    influence often rests on inferences drawn from circumstantial
    evidence. See 
    id.
     “Such evidence shows a course of conduct
    over a period of time intended to influence the mind of the tes-
    tator.” In re Estate of Villwok, 
    226 Neb. 693
    , 698, 
    413 N.W.2d 921
    , 925 (1987). Here, the jury could have inferred that
    Walter’s informing his family about the content of the 2014
    will weighed against a finding of undue influence, but it would
    not have been unreasonable for the jury to make the opposite
    inference that these communications were a product of undue
    influence that Dickie had already exerted largely in secret. The
    fact that Walter did not conceal the provisions of the 2014 will
    from his children does not render the jury’s undue influence
    finding unreasonable.
    2. Text Message
    Dickie next presents two assignments of error related to
    Debra’s counsel’s reference during the cross-examination of
    Wylie to a purported text message sent by Dickie’s wife.
    He first argues that the district court erred by allowing the
    question and not immediately striking Wylie’s answer from
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    the record. Additionally, he argues that the district court’s
    response to counsel’s reference to the text message in closing
    arguments was plain error. We disagree with both of Dickie’s
    arguments.
    Beginning with Dickie’s contentions regarding the initial
    cross-examination, Dickie asserts that the question Debra’s
    counsel asked about the purported text message was improper,
    because the text message was not in evidence. According
    to Dickie, the only reason Debra’s counsel could have had
    for asking the question was to get information damaging to
    Dickie’s case that was not admitted into evidence before the
    jury. For these reasons, Dickie argues that the district court
    abused its discretion by not sustaining his objection and grant-
    ing his motion to strike Wylie’s answer.
    There is no dispute that at the time the question at issue was
    asked, no evidence had been admitted of Dickie’s wife’s send-
    ing a text message like the one described by Debra’s counsel.
    Likewise, there is no dispute that no such evidence was ever
    admitted. Based on our record, then, we must treat the ques-
    tion as a hypothetical question that assumed facts that were not
    yet, and never were, admitted into evidence. Even framed this
    way, however, we conclude that the district court could, within
    the bounds of its discretion, permit the question and overrule
    Dickie’s motion to strike.
    There may be circumstances in which a party wishes to
    cross-examine an expert witness by asking a hypothetical ques-
    tion that refers to certain facts not yet in evidence. Although
    this court does not appear to have specifically addressed the
    matter, a number of courts and commentators have recognized
    that, in such a situation, a trial court has discretion to permit
    the question even though the supporting evidence has not been
    admitted. As the Illinois Supreme Court has explained, a trial
    court can permit a party to ask a question that assumes facts
    not yet in evidence in cross-examination, because the cross-
    examining party may not have yet had the opportunity to
    present the evidence referred to in the question. See Coriell v.
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    Industrial Com., 
    83 Ill. 2d 105
    , 
    413 N.E.2d 1279
    , 
    46 Ill. Dec. 166
     (1980). If such a question is permitted and the evidence
    never materializes, that court explained, there is a safeguard—a
    subsequent motion to strike by the opposing party. See 
    id.
    The Hawaii Supreme Court reached the same basic conclu-
    sion in Barretto v. Akau, 
    51 Haw. 383
    , 
    463 P.2d 917
     (1969),
    as to hypothetical questions that were based on facts not yet
    in evidence and aimed at demonstrating an alternative theory
    or contesting a substantive element of the case. That court
    also held that a trial court could permit such questions if the
    cross-examiner anticipated in good faith that the facts would
    be established later in the trial. It also explained that if the
    cross-examining party failed to eventually introduce evidence
    of the facts assumed, the opponent’s remedy was a motion to
    strike at the close of all evidence. See, also, United States v.
    Benford, 
    479 Fed. Appx. 186
     (11th Cir. 2011) (finding no error
    in case in which trial court permitted line of questioning which
    assumed facts not yet in evidence on assumption that question-
    ing party would later introduce evidence supporting assump-
    tions and opposing party did not request curative instruction
    when such evidence was not later admitted); 1 McCormick on
    Evidence § 14 at 134 (Robert P. Mosteller ed., 8th ed. 2020)
    (explaining that in most jurisdictions, “there is no invariable
    requirement that the supporting evidence be admitted before
    the interrogating counsel poses the hypothetical question to
    the expert”).
    The foregoing authorities persuade us that a trial court does
    not necessarily abuse its discretion if it permits a party to ask
    an expert a question that assumes facts not yet in evidence
    during cross-examination. Having reached this conclusion, we
    can conclude rather easily that the district court did not abuse
    its discretion by allowing the question and overruling Dickie’s
    motion to strike here.
    Wylie was the first witness to testify on the second day of
    a 4-day trial. She generally testified that based on her review
    of deposition testimony and other information provided to her,
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    she did not believe Walter was susceptible to undue influence.
    Among the materials she considered in forming that opinion
    was the deposition testimony of Dickie’s wife. The question
    at issue made reference to a purported text message sent by
    Dickie’s wife that presumably contradicted that deposition
    testimony. And although Debra’s counsel did not mention that
    Debra intended to offer evidence of the text message at the
    time the question was asked and corresponding objection was
    made, later that same day, he did represent to the district court
    that the text message would be “use[d]” when Dickie’s wife
    was called to testify. Under these circumstances, it was not
    clearly untenable for the district court to permit Debra’s coun-
    sel to ask Wylie if a text message like the one described would
    affect her conclusions. See Barnett v. Happy Cab Co., 
    311 Neb. 464
    , 
    973 N.W.2d 183
     (2022) (judicial abuse of discretion exists
    when reasons or rulings of trial judge are clearly untenable,
    unfairly depriving litigant of substantial right and denying just
    results in matters submitted for disposition).
    We recognize that Dickie’s wife ultimately did not testify
    and that evidence of the text message was not received into
    evidence. This may have entitled Dickie to a ruling striking
    Wylie’s answer at the close of all evidence, but he did not
    request such a ruling.
    [14] This leaves Dickie’s contention regarding the closing
    argument made by Debra’s counsel. Dickie frames his argu-
    ment in plain error terms. We have said that an appellate court
    may find plain error on appeal when an error unasserted or
    uncomplained of at trial, but plainly evident from the record,
    prejudicially affects a litigant’s substantial right and, if uncor-
    rected, would result in damage to the integrity, reputation, and
    fairness of the judicial process. State v. Senteney, 
    307 Neb. 702
    , 
    950 N.W.2d 585
     (2020). Generally, we will find plain
    error only when a miscarriage of justice would otherwise
    occur. 
    Id.
    We presume Dickie presents a plain error argument because
    he cannot contend that the district court erred in ruling on the
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    objection he actually asserted during closing argument. When
    Debra’s counsel first made reference to a text message, Dickie’s
    counsel objected, but the district court sustained the objection
    and directed Debra’s counsel not to refer to the text message.
    Unable to establish that the district court erred in response
    to his objection, Dickie apparently argues that the district
    court had an obligation to take additional action in response to
    Debra’s closing argument on its own initiative. Here, Dickie
    takes issue with statements by Debra’s counsel that the text
    message and Wylie’s answer were in evidence and with what
    he contends was an argument by Debra’s counsel that Wylie
    admitted she would reconsider her opinions in light of the
    text message.
    To the extent Dickie is arguing that the district court was
    obligated to interrupt Debra’s closing argument sua sponte to
    address the statements to which he now objects, we disagree.
    When considering arguments that a trial court erred by “allow-
    ing” testimony to which there was no objection, we have dis-
    cussed the fact that even when a question or answer is arguably
    improper, sua sponte action by the trial court may interfere
    with a party’s trial tactics by bringing unwanted attention to the
    testimony. See Senteney, 
    supra.
     In our view, similar consider-
    ations apply in the closing argument context.
    [15] Neither can we agree with Dickie that the district court
    was obligated to grant his motion for new trial based on the
    closing argument of Debra’s counsel. A motion for new trial
    is to be granted only when error prejudicial to the rights of
    the unsuccessful party has occurred. Hemsley v. Langdon, 
    299 Neb. 464
    , 
    909 N.W.2d 59
     (2018). Further, we review the dis-
    trict court’s denial of the motion for new trial for an abuse of
    discretion. See 
    id.
     We discern no such abuse. The district court
    sustained Dickie’s objection and precluded Debra’s counsel
    from referring to the text message in oral argument. Although
    Debra’s counsel stated that the text message was in evidence,
    we understand that statement to have been made as an argu-
    ment to the district court responsive to Dickie’s objection,
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    not an argument to the jury. In any event, the jury had been
    instructed that statements, arguments, and objections by attor-
    neys were not evidence. And we do not understand Debra’s
    counsel to have clearly argued that Wylie admitted she would
    have to reconsider her opinions in light of the text message.
    3. Attorney Fees and Expenses
    In her cross-appeal, Debra argues that the district court erred
    when it ordered that Dickie was entitled to attorney fees and
    expenses incurred in defending the will contest proceeding.
    Before reaching this issue, however, it is our duty to determine
    whether we have jurisdiction to decide it. See Green v. Seiffert,
    
    304 Neb. 212
    , 
    933 N.W.2d 590
     (2019).
    When a lower court lacks subject matter jurisdiction to
    decide an issue, an appellate court also lacks the power to
    resolve the issue. See In re Estate of Evertson, 
    295 Neb. 301
    ,
    
    889 N.W.2d 73
     (2016). This case presents a question as to
    whether the district court had subject matter jurisdiction to
    order that Dickie was entitled to attorney fees and expenses
    pursuant to § 30-2481. Although not initially raised by the
    parties, we directed the parties to file supplemental briefs on
    the issue. In their respective supplemental briefs, Debra argues
    that the district court lacked jurisdiction and that any award
    of attorney fees pursuant to § 30-2481 must be ordered by the
    county court, while Dickie maintains that the district court had
    jurisdiction to make its attorney fees order.
    We begin our analysis by reviewing various statutory provi-
    sions that we believe are helpful in framing the question. First,
    under 
    Neb. Rev. Stat. § 24-517
    (1) (Reissue 2016), county
    courts have exclusive jurisdiction over all matters relating to
    decedents’ estates, including the probate of wills and construc-
    tion thereof. See In re Estate of Forgey, 
    298 Neb. 865
    , 
    906 N.W.2d 618
     (2018). Notwithstanding this grant of authority to
    county courts, § 30-2429.01 authorizes parties to transfer pro-
    ceedings regarding the validity of a will to the district court.
    Section 30-2429.01 provides, in relevant part:
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    (3) Upon the filing of the certification as provided in
    subsection (2) of this section in the district court, such
    court shall have jurisdiction over the proceeding on the
    contest. Within thirty days of the filing of such certifica-
    tion, any party may file additional objections.
    (4) The district court may order such additional plead-
    ings as necessary and shall thereafter determine whether
    the decedent left a valid will. Trial shall be to a jury
    unless a jury is waived by all parties who have filed
    pleadings in the matter.
    (5) The final decision and judgment in the matter
    transferred shall be certified to the county court, and pro-
    ceedings shall be had thereon necessary to carry the final
    decision and judgment into execution.
    Dickie sought an award of attorney fees in the district court
    pursuant to § 30-2481, which provides: “If any personal rep-
    resentative or person nominated as personal representative
    defends or prosecutes any proceeding in good faith, whether
    successful or not he is entitled to receive from the estate his
    necessary expenses and disbursements including reasonable
    attorneys’ fees incurred.”
    We believe the following section, § 30-2482, is also rel-
    evant. Subsection (1) of § 30-2482 provides:
    After notice to all interested persons or on petition of an
    interested person or on appropriate motion if administra-
    tion is supervised, the propriety of employment of any
    person by a personal representative including any attor-
    ney, [or] the reasonableness of the compensation of any
    person so employed, . . . may be reviewed by the court.
    Subsection (2) of § 30-2482 lists a number of factors that
    may be considered in determining the reasonableness of a fee.
    In our view, the question of whether the district court had
    jurisdiction to order that Dickie receive an award of attor-
    ney fees and expenses pursuant to § 30-2481 depends on the
    scope of authority granted to the district court by statute. We
    find the scope of the district court’s statutory authority to be
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    crucial, because the district court’s general jurisdiction does
    not extend to probate matters, and thus, any district court
    authority over such matters is derived from and limited by
    legislative grant. See In re Estate of Sehi, 
    17 Neb. App. 697
    ,
    
    772 N.W.2d 103
     (2009).
    On the subject of statutory authority, § 30-2429.01(4) plainly
    authorizes the district court to determine whether the decedent
    left a valid will. In one of our recent opinions, we cited that
    subsection for the proposition that a district court’s authority
    over a will contest is “limited to determin[ing] whether the
    decedent left a valid will.” See Bohling v. Bohling, 
    309 Neb. 625
    , 634, 
    962 N.W.2d 224
    , 231 (2021). Debra relies on that
    language to argue that the district court lacked authority to
    also order that Dickie be reimbursed for his attorney fees and
    expenses pursuant to § 30-2481. We believe that this issue is
    slightly more complicated and that we cannot resolve it merely
    by citing this language in Bohling, 
    supra.
    While § 30-2429.01(4) does direct that the district court is
    to determine whether the challenged will was valid, subsection
    (3) provides that when a will contest is duly transferred to the
    district court, the district court obtains “jurisdiction over the
    proceeding on the contest.” We understand this language to
    give the district court jurisdiction over the will contest pro-
    ceeding and thus the authority to resolve issues that bear on
    whether the decedent left a valid will. We recognized as much
    in Bohling, supra, stating that the district court in a will con-
    test may decide issues of will construction to the extent they
    bear on the will’s validity. Because the district court is given
    jurisdiction over the will contest proceeding, we also under-
    stand the district court to have the authority to issue orders
    instrumental to a determination of whether the challenged will
    is valid on matters such as the admissibility of evidence or the
    conduct of discovery.
    We disagree with Dickie, however, that a determination
    of whether a personal representative or nominated personal
    representative should be reimbursed by the estate for attorney
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    fees incurred in a will contest pursuant to § 30-2481 is right-
    fully encompassed within the will contest proceeding. Instead,
    we are persuaded that such a determination is part of the rest
    of the probate proceeding and committed to the jurisdiction of
    the county court. This conclusion is informed by §§ 30-2481
    and 30-2482. As described above, § 30-2481 provides that
    a personal representative or nominated personal representa-
    tive is, under certain conditions, entitled to be reimbursed by
    the estate for expenses incurred in estate litigation, including
    reasonable attorney fees. And, as described above, § 30-2482
    directs that a personal representative’s employment of persons,
    including attorneys, and the reasonableness of compensation
    paid to such persons are subject to court review.
    [16] We find that the foregoing statutes pertain to the same
    subject matter and are thus subject to our principle of statu-
    tory interpretation governing statutes in pari materia. As we
    often say, components of a series or collection of statutes
    pertaining to a certain subject matter are in pari materia and
    should be conjunctively considered and construed to deter-
    mine the intent of the Legislature, so that different provisions
    are consistent, harmonious, and sensible. In re William R.
    Zutavern Revocable Trust, 
    309 Neb. 542
    , 
    961 N.W.2d 807
    (2021). Applying this principle here, we find that § 30-2482
    sets forth the procedure by which a court is authorized to
    determine whether and to what extent a personal representa-
    tive or nominated personal representative is entitled to be
    reimbursed from the estate for expenses in estate litigation
    pursuant to § 30-2481. Importantly, § 30-2482 provides that
    such review is to be completed by “the court.” This is sig-
    nificant because, under the Nebraska Probate Code, with an
    exception not applicable here, “the court” is defined to refer
    to the county court unless “the context otherwise requires.”
    See 
    Neb. Rev. Stat. § 30-2209
     (Reissue 2016). We do not
    believe that the context of § 30-2482 requires that “the court”
    mean anything other than the county court, as provided in
    § 30-2209.
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    We find confirmation of our conclusion that § 30-2482
    provides the procedure by which a court can review claims
    for reimbursement pursuant to § 30-2481 in an opinion of
    the North Dakota Supreme Court. See Matter of Estate of
    O’Connell, 
    476 N.W.2d 8
     (N.D. 1991). That court interpreted
    North Dakota statutes based on the same Uniform Probate
    Code provisions upon which §§ 30-2481 and 30-2482 are
    based. It found that claims for reimbursement for estate litiga-
    tion sought under § 30-2481’s North Dakota counterpart were
    subject to court review pursuant to § 30-2482’s North Dakota
    counterpart. See Matter of Estate of O’Connell, supra.
    We are not swayed from our conclusion that a determina-
    tion under § 30-2481 is committed to the jurisdiction of the
    county court by Dickie’s reliance on In re Estate of Miller, 
    231 Neb. 723
    , 
    437 N.W.2d 793
     (1989), disapproved, In re Estate
    of Anderson, 
    311 Neb. 758
    , 
    974 N.W.2d 847
     (2022). In that
    case, this court held that a county court lacked authority to
    tax costs and fees for the allegedly vexatious pursuit of a will
    contest. In doing so, however, we noted that there was no pro-
    vision in the Nebraska Probate Code relating to the assessment
    of costs and attorney fees in a will contest action which had
    been transferred to a district court and that there was a statute
    authorizing the district court to order a party who pursued pro-
    ceedings vexatiously or for delay to pay costs to the adverse
    party. See In re Estate of Miller, 
    supra
     citing 
    Neb. Rev. Stat. § 24-541.10
    (2) (Reissue 1985).
    In this case, unlike In re Estate of Miller, 
    supra,
     Dickie is
    not asking that an opposing party be ordered to pay his costs
    on the grounds that the opposing party engaged in vexatious
    litigation. As we have discussed, he has asked that he be reim-
    bursed by the estate pursuant to § 30-2481. And that is not the
    only difference between this case and In re Estate of Miller,
    
    supra.
     While our opinion in In re Estate of Miller noted the
    absence of a provision in the Nebraska Probate Code address-
    ing the type of fees sought and a specific statute authorizing
    the district court to order such fees, as we have discussed, the
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    Nebraska Probate Code has committed the determination of
    whether a party is entitled to reimbursement under § 30-2481
    to the county court.
    Although we find that a party’s entitlement to reimburse-
    ment under § 30-2481 is committed to the county court, we
    recognize that during a will contest proceeding in district court,
    the district court may have the occasion to, directly or indi-
    rectly, weigh in on whether a nominated personal representa-
    tive’s defense of the will contest was undertaken in good faith.
    Nothing in this opinion should be read to preclude the county
    court from considering any such statements along with the rest
    of the district court record in assessing whether the proceeding
    was defended in good faith.
    For these reasons, we find that the district court lacked juris-
    diction to find that Dickie was entitled to attorney fees pursu-
    ant to § 30-2481. When we determine that we lack jurisdiction
    over the decision of a lower court because the lower court
    lacked jurisdiction, we have the power to vacate the void order
    of the lower court and, if necessary, to remand the cause with
    appropriate directions. See Davis v. Moats, 
    308 Neb. 757
    , 
    956 N.W.2d 682
     (2021). We therefore vacate the portion of the dis-
    trict court’s order finding that Dickie was entitled to attorney
    fees and expenses pursuant to § 30-2481.
    V. CONCLUSION
    Because the district court lacked jurisdiction to enter its
    order awarding attorney fees pursuant to § 30-2481, we vacate
    that order and dismiss the cross-appeal. As to the issues raised
    on appeal, we affirm.
    Affirmed in part, and in part
    vacated and dismissed.