In Re: Last Will and Testament of Mary Theresse Erde ( 2017 )


Menu:
  •                                                                                         12/28/2017
    IN THE COURT OF APPEALS OF TENNESSEE
    AT JACKSON
    November 15, 2017 Session
    IN RE LAST WILL AND TESTAMENT OF MARY THERESSE ERDE
    Appeal from the Chancery Court for Fayette County
    No. PR-1058      William C. Cole, Chancellor
    ___________________________________
    No. W2017-00551-COA-R3-CV
    ___________________________________
    This is a will contest. The trial court denied Appellant’s motion to set aside its
    order admitting Decedent’s will to probate and, subsequently, struck Appellant’s motion
    to amend his counter-petition because such amendment would be futile. The trial court
    additionally found that Decedent possessed testamentary capacity to execute a
    holographic will, and that although there was a confidential relationship between
    Decedent and Beneficiary, Beneficiary provided clear and convincing evidence to rebut
    the presumption of undue influence. Discerning no error, we affirm.
    Tenn. R. App. P. 3 Appeal as of Right; Judgment of the Chancery Court Affirmed
    and Remanded
    J. STEVEN STAFFORD, P.J.,W.S., delivered the opinion of the court, in which ARNOLD B.
    GOLDIN, J., and JOE G. RILEY, SP. J., joined.
    Gordon B. Olswing and Mitchell Lansky, Memphis, Tennessee, for the appellant, Carl
    Barton.
    A. Blake Neill, Somerville, Tennessee, for the appellee, Deborah Lawson.
    OPINION
    FACTS
    This case involves the holographic will of Mary Theresse Erde (“Decedent”). The
    facts are largely undisputed for purposes of this appeal. Throughout her life, Decedent
    was characterized as a strong-willed, independent woman. After her marriage and the
    birth of her children, Decedent left her family for approximately fifteen years to live in
    Ireland and Portugal before returning to the United States in 2011. She resided in
    Collierville, Tennessee, for two years, near her only surviving son, Intervening
    Petitioner/Appellant Carl Barton (“Appellant”) and his wife, Connie Barton (“Daughter-
    in-law”), and then moved to Oakland, Tennessee, in 2013.
    In July 2015, Decedent and Appellant’s relationship became strained.
    Specifically, on July 4, 2015, Decedent and Appellant had a disagreement regarding
    Appellant’s mother-in-law living with Appellant and his wife. This was the last time
    Appellant saw his mother. Prior to this disagreement, Appellant visited his mother
    regularly, and they had regular phone conversations. On July 16, 2015, Appellant called
    Decedent; however, Decedent expressed that she did not want to speak with Appellant,
    and the conversation ended in under a minute. This was the last contact between
    Decedent and Appellant. Appellant’s wife, Connie Barton, and Decedent, however,
    continued to have a relationship. The two went to eat lunch on August 10, 2015, which
    was Decedent’s birthday. At lunch, Decedent informed Daughter-in-law that she had
    hired Petitioner/Appellee Debbie Lawson (“Beneficiary”) as a housekeeper.
    On August 20, 2015, Decedent drove herself to visit a friend in Alabama for four
    days. Decedent returned from her trip on August 24 and was admitted to the hospital
    soon thereafter on August 28. While at the hospital, Decedent was diagnosed with Stage
    IV lung and liver cancer. She returned home on September 8, 2015. Appellant was
    unaware his mother was in the hospital and, therefore, did not visit her. Daughter-in-law
    called Decedent on September 10, to inform her that she and Appellant were going on
    vacation. Decedent did not inform Daughter-in-law that she had been diagnosed with
    cancer. This was the last contact Daughter-in-law had with Decedent.
    In the meantime, in June 2015, Beneficiary began working as a housekeeper for
    Decedent. Beneficiary also ran errands for Decedent, took care of Decedent’s pets, and
    even sat with Decedent on a regular basis. Decedent would also occasionally give
    Beneficiary checks or her debit card to buy groceries and other things needed around
    Decedent’s home. Beneficiary stayed at Decedent’s home while she was visiting in
    Alabama. Beneficiary also took Decedent to the hospital on August 28, visited her every
    day, and eventually brought her home from the hospital on September 8. Beneficiary
    testified that while Decedent was in the hospital, Decedent informed her that she wished
    to leave Beneficiary her house and personal property. Decedent also requested that
    Beneficiary stay with her at her house until she died because she did not want to be alone.
    On September 9, Nurse Samantha Walters (“Nurse Walters”) became Decedent’s
    home health nurse. At this time, Decedent asked Nurse Walters if she knew any estate
    planning attorneys, as Decedent wanted to prepare a will to leave Beneficiary her home
    and personal property. Nurse Walters suggested William Rhea (“Attorney Rhea”), one of
    Nurse Walters’s close friends and an experienced estate attorney. Attorney Rhea
    interacted with Decedent four times in September 2015 before Decedent’s death.
    First, on September 10, 2015, Decedent contacted Attorney Rhea to request that he
    -2-
    meet with her at her home to prepare a will because she wanted to leave Beneficiary her
    entire estate and did not want her son to have anything or be a beneficiary of hers.
    Attorney Rhea met with Decedent at her home on September 14. In this meeting,
    Attorney Rhea and Decedent discussed her testamentary wishes, with Decedent telling
    Attorney Rhea that she wanted “everything” to go to Beneficiary. When Attorney Rhea
    told her that without a will everything would go to Appellant, Decedent replied with “can
    I vomit now?” Attorney Rhea advised her to hand-write a will until the formal will was
    executed. On September 16, Decedent called Attorney Rhea and requested that he help
    her prepare the will that day. He advised her that he was unavailable to do so until
    September 18 and again advised her to hand-write a will until the formal will could be
    executed.
    Nurse Walters came to Decedent’s home on September 16 to administer care.
    While there, Decedent asked Nurse Walters for a pen and paper, at which time it was
    evident to Nurse Walters that Decedent intended on making her will. Decedent was
    quickly deteriorating at this point and in a considerable amount of pain. In order to
    facilitate the execution of the holographic will, Nurse Walters propped Decedent up
    against her body so Decedent could hand write the will. Decedent again stated to Nurse
    Walters that she wanted Beneficiary to have everything. After the will was written,
    Beneficiary placed the completed will in Decedent’s desk drawer. Attorney Rhea visited
    Decedent for the last time on September 20. At this meeting Decedent confirmed to
    Attorney Rhea that the handwritten will was her express wishes and that she did not want
    her son to receive anything. Decedent passed away the next day, September 21, 2015.
    Decedent’s will expressly left “everything [she] own[ed] to Debbie Lawson.” In addition
    to her probate assets, Decedent also owned a payable on death savings account totaling
    approximately $100,000; Daughter-in-law had previously been designated the beneficiary
    of this account and it passed to Daughter-in-law upon Decedent’s death.
    PROCEDURAL HISTORY
    Beneficiary filed a petition to admit handwritten will to probate on October 2,
    2015. In this petition, Beneficiary asked the trial court to appoint her as administratrix of
    Decedent’s estate. Appellant subsequently filed an answer to the petition to admit the
    will to probate along with a counter-petition to contest the handwritten will and for
    appointment of administrator on October 5, 2015. The counter-petition alleged that (1)
    the Decedent lacked capacity to execute the handwritten will; (2) the alleged handwritten
    will was procured by fraud, duress, and coercion; (3) Decedent was unduly influenced to
    make the alleged handwritten will by Beneficiary and others on her behalf; and (4)
    Appellant be named as administrator of Decedent’s estate. The trial court had an
    evidentiary hearing on this matter on November 19, 2015. The trial court entered its
    order on November 25, 2015, finding that (1) three witnesses verified the writing in the
    will submitted by Beneficiary as Decedent’s; (2) the instrument be admitted to probate;
    and (3) Beneficiary be appointed as administratrix of Decedent’s estate.
    -3-
    Over the next year, the parties filed various other pleadings concerning the
    unresolved issues of testamentary capacity and undue influence. On October 19, 2016,
    nearly a year from the entry of the trial court’s order admitting the holographic will to
    probate, Appellant filed an amended counter-petition additionally alleging that the will
    was not in Decedent’s handwriting. Beneficiary then filed a motion to strike the
    amended counter-petition on the grounds that the amendment was futile because the
    handwriting had been previously verified and submitted to probate on November 25,
    2015, that the amended counter-petition was not filed in accordance with Rule 15.01 of
    the Tennessee Rules of Civil Procedure, and that there was undue delay by Appellant in
    filing the amended petition.
    On October 26, 2016, Appellant filed a motion citing Rule 60.02 of the Tennessee
    Rules of Civil Procedure to set aside the November 25, 2015 order admitting the will to
    probate. The motion averred that the testimony of the witnesses as to Decedent’s
    handwriting was fraudulent and, thus, the order should be set aside. Beneficiary
    responded in opposition to Appellant’s motion arguing that (1) Appellant failed to plead
    with particularity the allegations of fraud; (2) Appellant failed to raise and preserve the
    handwriting issue; and (3) the alleged fraud was that of a witness, not a party, thus, Rule
    60.02 does not apply.
    The trial court denied Appellant’s Rule 60.02 motion on January 24, 2017 on two
    grounds. First, the trial court found that the motion did not meet the particularity
    requirements of Rule 9.02 because it failed to plead specific allegations of fraud.
    Secondly, the trial court found that even accepting Appellant’s attack to the credibility of
    one witness to Decedent’s handwriting, the testimony of the remaining two witnesses
    went unchallenged. Because Tennessee Code Annotated § 32-1-105 requires only two
    witnesses to testify as to handwriting, the trial court therefore determined that sufficient
    evidence was presented that Decedent wrote the holographic will notwithstanding
    Appellant’s proffered evidence. Additionally, the trial court struck Appellant’s amended
    counter-petition because “the [c]ourt [] deni[ed] the Rule 60.02 Motion that would [have
    made] the Amended Counter-Petition possible.”
    The trial court held a two-day trial on January 24 and 25, 2017, on the issues of
    testamentary capacity and undue influence. The court entered its memorandum opinion
    on February 14, 2017, finding that (1) Decedent possessed testamentary capacity when
    she executed her will on September 16, 2015; (2) a confidential relationship existed
    between Beneficiary and Decedent; but (3) the presumption of undue influence was
    rebutted by clear and convincing evidence of independent counsel and the lack of
    suspicious circumstances. Appellant timely appealed.
    ISSUES
    -4-
    Appellant presents four issues on appeal. The issues, slightly reworded from his
    brief, are:
    (1) Whether the trial court abused its discretion when it struck Appellant’s
    amended counter-petition.
    (2) Whether the evidence presented at trial preponderates against the trial
    court’s finding that Decedent’s holographic will was valid.
    (3) Whether the evidence presented at trial preponderates against the trial
    court’s conclusion that Decedent possessed testamentary capacity to make
    her holographic will?
    (4) Whether the evidence presented at trial preponderates against the trial
    court’s conclusion that Beneficiary presented evidence that rebutted the
    presumption of undue influence.
    DISCUSSION
    I.
    Appellant first questions the trial court’s decision to strike his amended counter-
    complaint. Citing both Tennessee and federal authority, Appellant asserts that the trial
    court did not consider all of the relevant factors and therefore abused its discretion in not
    permitting the amendment. Amendments to complaints are governed by Rule 15.01 of the
    Tennessee Rules of Civil Procedure, which states, in relevant part:
    A party may amend the party’s pleadings once as a matter of course
    at any time before a responsive pleading is served . . . . Otherwise a
    party may amend the party’s pleadings only by written consent of
    the adverse party or by leave of court; and leave shall be freely
    given when justice so requires.
    Tenn. R. Civ. P. 15.01.1
    As a general rule, “a party may amend its complaint with leave of the court, and
    such leave is to be freely given.” Messer Griesheim Indus., Inc. v. Cryotech of
    Kingsport Inc., 
    45 S.W.3d 588
    , 610 (Tenn. Ct. App. 2001). The ability to amend a
    complaint or petition, however, is not unlimited. Rather, in considering whether to grant
    or deny a motion to amend, trial courts must consider the “undue delay in filing; lack of
    notice to the opposing party; bad faith by the moving party, repeated failure to cure
    1
    There is no dispute that no responsive pleading was filed to Appellant’s counter-petition.
    Regardless, Appellant in his brief does not argue that the trial court was required to permit the amendment
    because no responsive pleading had been filed. Rather, Appellant asserts that the trial court abused its
    discretion in failing to permit the amendment given Tennessee’s liberal policy regarding amendments.
    -5-
    deficiencies by previous amendments; undue prejudice to the opposing party; and futility
    of the amendment.” 
    Id. (quoting Welch
    v. Thuan, 
    882 S.W.3d 792
    , 793 (Tenn. Ct. App.
    1994)); see also Kincaid v. SouthTrust Bank, 
    221 S.W.3d 32
    , 42 (Tenn. Ct. App. 2006)
    (outlining the same factors). Additionally, should the trial court deny a motion to amend,
    “the trial court must give a reasoned explanation for its action.” Cumulus Broadcasting,
    Inc. v. Shim, 
    226 S.W.3d 366
    , 374 (Tenn. 2007) (citing Henderson v. Bush Bros. & Co.,
    
    868 S.W.2d 236
    , 238 (Tenn. Workers’ Comp. Panel 1993)).
    The trial court’s decision to grant or deny a Rule 15.01 motion is reviewed for an
    abuse of discretion. See Freeman Indus. LLC v. Eastman Chem. Co., 
    227 S.W.3d 561
    ,
    565 (Tenn. Ct. App. 2006) (applying the abuse of discretion standard to Rule 15.01
    motions). A trial court abuses its discretion “only when the trial court applied incorrect
    legal standards, reached an illogical conclusion, based its decision on a clearly erroneous
    assessment of the evidence, or employed reasoning that causes an injustice to the
    complaining party.” State v. Banks, 
    271 S.W.3d 90
    , 116 (Tenn. 2008) (citing
    Konvalinka v. Chattanooga-Hamilton Cty. Hosp. Auth., 
    249 S.W.3d 346
    , 358 (Tenn.
    2008)). Therefore, “a trial court’s ruling ‘will be upheld so long as reasonable minds can
    disagree as to propriety of the decision made.’” Eldridge v. Eldridge, 
    42 S.W.3d 82
    , 85
    (Tenn. 2001) (quoting State v. Scott, 
    33 S.W.3d 746
    , 752 (Tenn. 2000); State v.
    Gilliland, 
    22 S.W.3d 266
    , 273 (Tenn. 2000)). However, an abuse of discretion standard
    “does not permit the appellate court to substitute its judgment for that of the trial court.”
    
    Eldridge, 42 S.W.3d at 85
    (citing Myint v. Allstate Ins. Co., 
    970 S.W.2d 920
    , 927 (Tenn.
    1998)).
    Here, Appellant attempted to amend his counter-petition on October 19, 2016. The
    amended counter-petition contained only a single allegation that was materially different
    from the first counter-petition: that “the material provisions of the Holographic Will of
    [Decedent] presented to this Court for probate was not in the handwriting of the testator.”
    Consistent with the initial counter-petition, the amended counter-petition also stated that
    the handwritten will was procured by fraud. In response to the counter-petition,
    Beneficiary, as administratrix of the estate, filed a motion to strike, arguing that the
    counter-petition was untimely, as the issue of whether the holographic will was written
    by Decedent had been decided by the trial court’s November 25, 2015 order admitting the
    will to probate. As a result, Appellant filed a motion to set aside the November 25, 2015
    order, stating only that “the testimony of witnesses and the procurement of said [o]rder
    was fraudulent and, therefore, should be set aside.”2 The trial court adjudicated the
    2
    As noted above, the motion to set aside cited Rule 60.02 of the Tennessee Rules of Civil
    Procedure. Rule 60.02, however, only applies to motions seeking to set aside final orders. See Tenn. R.
    Civ. P. 60.02 (allowing a party to seek relief “from a final judgment, order, or proceeding”); see also
    Pickard v. Ferrell, 
    45 Tenn. App. 460
    , 471, 
    325 S.W.2d 288
    , 292–93 (Tenn. 1959) (noting that motions
    should be judged by their content, rather than their caption). From our review, the motion appears to fall
    under the auspices of Rule 52.04, which provides that an order that adjudicates less than all the claims of
    all the parties “is subject to revision at any time before the entry of the judgment adjudicating all the
    -6-
    motion to set aside first, finding
    (1) the Motion fail[ed] to satisfy the particularity requirements of
    Rule 9.02 of the Tennessee Rules of Civil Procedure because it
    alleged fraud but failed to plead any specific allegations of fraud;
    and (2) the Motion seeks relief from the Order admitting the
    handwritten will to probate on the grounds that one of the witnesses
    to the decendent’s handwriting is fraudulent; but the proponent of
    the handwritten will will present three witnesses, so even if this one
    witness was disqualified, the statutory requirements of two witnesses
    for the admission of a handwritten will would still be satisfied.
    Appellant does not raise the trial court’s denial of his motion to set aside the November
    25, 2015 order as an issue on appeal. In a separate order, the trial court also struck
    Appellant’s amended counter-petition “because the Court [] den[ied] the Rule 60.02
    Motion that would [have] ma[de] the Amended Counter-Petition possible.”
    On appeal, Appellant asserts that he should have been entitled to amend his
    complaint notwithstanding the fact that the issue of Decedent’s handwriting had already
    been determined in an earlier hearing. In support, Appellant cites the following statement
    from the Tennessee Supreme Court in Harris v. St. Mary’s Medical Center, Inc., 
    726 S.W.2d 902
    (Tenn. 1987): “Amended pleadings may be filed before trial, after trial, or
    even after appeal so long as the trial court has jurisdiction and so long as the trial court
    does not abuse its discretion in allowing the amendment.” 
    Id. at 904.
    Appellant further
    asserts that the trial court abused its discretion because it did not expressly consider all of
    the factors outlined by Tennessee courts as guiding decisions on this issue.
    Respectfully, we cannot agree that the trial court abused its discretion in striking
    Appellant’s amended counter-petition. From our review, the trial court’s decision rests on
    its determination that the amended complaint would be futile.3 The Tennessee Supreme
    Court has previously explained that trial courts are not required to grant Rule 15.01
    motions when “‘the amendment would have been futile.’” Sallee v. Barrett, 
    171 S.W.3d 822
    , 830 (Tenn. 2005) (quoting Huntington Nat’l Bank v. Hooker, 
    840 S.W.2d 916
    , 923
    (Tenn. Ct. App. 1991)). In the first instance, the trial court noted that it had previously
    denied Appellant’s motion to set aside the November 25, 2015 order in which the
    handwritten will was confirmed to have been in Decedent’s handwriting. Having failed to
    appeal that ruling to this Court, Appellant cannot now complain that the trial court failed
    claims and the rights and liabilities of all the parties.” As noted, infra, however, because Appellant does
    not appeal the denial of this motion, we need not determine the appropriate standard under which this
    motion should be judged.
    3
    We glean the trial court’s rationale after considering the trial court’s order striking the
    amendment and the order refusing to set aside the November 25 order, which was specifically referenced
    by the trial court.
    -7-
    to set aside the order adjudicating the handwriting issue. See Watson v. Watson, 
    309 S.W.3d 483
    , 497 (Tenn. Ct. App. 2009) (“The appellate court may treat issues that are
    not raised on appeal as being waived.”) (citing Tenn. R. App. P. 13(b)). Because the
    handwriting of the holographic will had previously been adjudicated and the trial court
    denied Appellant’s request to reopen the proof on this issue, mere allegations in the
    complaint that the will was not in Decedent’s handwriting could be no help to
    Appellant’s cause. In other words, had the amended counter-petition been allowed, the
    additional allegation that the holographic will was not in Decedent’s handwriting would
    do nothing to undermine the trial court’s previous evidentiary finding that the
    holographic will was written by Decedent.
    Even if the trial court’s refusal to set aside the November 25, 2015 order was not
    dispositive of this issue, other factors also support a determination that the amended
    counter-petition was futile: (1) the lack of evidence to rebut the previous finding; and (2)
    the lack of particularity with regard to the allegations of fraud. Here, the trial court’s
    order specifically noted that while three witnesses previously testified that the
    holographic will was written by Decedent, Appellant’s proposed additional proof was
    “that one of the witnesses to the [D]ecedent’s handwriting was fraudulent[.]” Because
    Tennessee law requires only two witnesses to testify as to the handwriting of a
    holographic will, see Tenn. Code Ann. § 32-1-105 (“[T]estator’s handwriting must be
    proved by two (2) witnesses.”), the trial court found that even considering the additional
    evidence, the outcome would not have been different as Decedent’s handwriting had been
    proven sufficient for Tennessee law. Appellant does not address the trial court’s finding
    on this issue in his appellate brief, nor does the record contain a transcript or statement of
    the evidence from the hearing in which this matter was discussed. As this Court has
    noted,
    [U]nder Rule 24 of the Tennessee Rules of Appellate Procedure, the
    appellant has the duty to prepare the record which conveys a fair, accurate,
    and complete account of what transpired in the trial court regarding the
    issues which form the basis of the appeal. The appellant also has the burden
    to provide this Court with a transcript of the evidence or a statement of the
    evidence from which we can determine whether the evidence preponderates
    for or against the findings of the trial court. Coakley v. Daniels, 
    840 S.W.2d 367
    , 370 (Tenn. Ct. App. 1992). In the absence of a transcript or
    statement of the evidence, we conclusively presume that the findings of fact
    made by the trial court are supported by the evidence and are correct. J.C.
    Bradford & Co. v. Martin Constr. Co., 
    576 S.W.2d 586
    , 587 (Tenn. 1979).
    In re M.L.D., 
    182 S.W.3d 890
    , 894–95 (Tenn. Ct. App. 2005). Given that we have
    neither a transcript nor a statement of the evidence and Appellant failed to detail the
    allegations supporting his claim in any of his pleadings, we must presume the trial court
    correctly found that Appellant’s evidence was insufficient to rebut the testimony of the
    -8-
    two remaining witnesses required by Tennessee law. As such, even allowing Appellant to
    amend his counter-complaint to challenge the handwriting of the will would not result in
    any benefit to Appellant, as the two necessary witnesses’ testimony remains
    unchallenged.
    Appellant’s failure to provide detailed factual allegations regarding his fraud claim
    likewise militates in favor of the trial court’s futility finding. Here, the trial court
    specifically found that any allegations of fraud related to the testimony of the single
    witness regarding the handwriting were not pleaded with particularity. Under Rule 9.02
    of the Tennessee Rules of Civil Procedure, “[i]n all averments of fraud or mistake, the
    circumstances constituting fraud or mistake shall be stated with particularity.” Here,
    neither Appellant’s amended counter-petition nor his motion to set aside the November
    25, 2015 judgment contain specific allegations concerning the facts leading to this fraud
    claim. Although Tennessee courts have never specifically held that the failure to plead
    fraud with particularity renders a proposed amended complaint futile, federal courts have
    previously denied leave to file amended complaints to add allegations of fraud in part
    because the allegations sought to be added did not plead fraud with particularity, as
    required by the Federal Rules of Civil Procedure. See Albert v. Ober Gatlinburg, Inc.,
    No. 3:02-CV-277, 
    2006 WL 897958
    , at *3 (E.D. Tenn. Apr. 6, 2006) (citing Fed. R. Civ.
    P. 9); see also Timothy A. Garverick & Assocs. v. Heidtman Steel Prod., Inc., 807 F.
    Supp. 430, 435 (E.D. Mich. 1992) (refusing to allow the plaintiff to amend its complaint
    to plead its fraud allegation with more particularity where summary judgment had already
    been granted on that issue, resulting in the amendment being futile). Indeed, the United
    States Court of Appeals for the Sixth Circuit has held that “[a] proposed amendment is
    futile if the amendment could not withstand a . . . motion to dismiss [for failure to state a
    claim upon which relief can be granted].” Riverview Health Inst. LLC v. Med. Mut. of
    Ohio, 
    601 F.3d 505
    , 512 (6th Cir. 2010). As noted by Appellant in his brief, we are
    permitted to consider as persuasive federal decisions concerning rules of civil procedure
    that are substantially similar to our own. See Henderson v. Bush Bros. & Co., 
    868 S.W.2d 236
    , 237 (Tenn. 1993) (holding that Rule 15.01 is “essentially the same” as its
    federal counterpart and that decisions construing the federal rule were persuasive in
    Tennessee courts). This Court has held that fraud claims that do not “demonstrate that
    [the] claimant would be entitled to relief under some set of facts” are properly dismissed
    for failure to state a claim upon which relief can be granted. Dobbs v. Guenther, 
    846 S.W.2d 270
    , 274 (Tenn. Ct. App. 1992). As such, where a fraud claim cannot survive a
    motion to dismiss, it appears that a finding of futility is appropriate. Here, the amended
    complaint asserts no set of facts that would entitle Appellant to relief because it contains
    no facts of any kind to support the fraud claim. Consequently, the finding of futility on
    this basis appears appropriate.
    Despite these findings, Appellant asserts that the trial court nevertheless abused its
    discretion in striking the amended counter-complaint because the trial court did not
    expressly consider the other factors relevant to this inquiry, namely: “undue delay in
    -9-
    filing; lack of notice to the opposing party; bad faith by the moving party, repeated failure
    to cure deficiencies by previous amendments; [and] undue prejudice to the opposing
    party[.]” Messer Griesheim Indus., Inc. v. Cryotech of Kingsport 
    Inc., 45 S.W.3d at 610
    . As an initial matter, we note that the United States Court of Appeals for the Ninth
    Circuit has held that “[f]utility of amendment can, by itself, justify the denial of a motion
    for leave to amend.” Bonin v. Calderon, 
    59 F.3d 815
    , 845 (9th Cir. 1995). Regardless,
    we conclude that the other factors likewise support the trial court’s exercise of discretion
    in this case.
    First, we conclude that Appellant’s undue delay in filing his amended counter-
    petition militates in favor of the trial court’s decision. Although a mere delay is not a
    sufficient basis for a trial court to deny leave to amend a pleading, an unexplained delay,
    together with other factors, may constitute undue delay sufficient to support denial of
    leave to amend. March v. Levine, 
    115 S.W.3d 892
    , 909 (Tenn. Ct. App. 2003) (citing
    Moore v. City of Paducah, 
    790 F.2d 557
    , 562 (6th Cir. 1986)) (citations omitted); see
    also Bowman v. Benouttas, 
    519 S.W.3d 586
    , 603 (Tenn. Ct. App. 2016), perm. app.
    denied (Tenn. Jan. 19, 2017) (affirming the denial of a motion to amend because the
    undue delay of the plaintiff caused prejudice to the defendant). One factor trial courts
    may consider in making their decision is when “the party seeking to amend has known all
    the facts underlying the amendment since the beginning of the litigation.” 
    March, 115 S.W.3d at 909
    . Additionally, “‘late amendments to assert new theories are not reviewed
    favorably when the facts and the theory have been known to the party seeking
    amendment since the inception of the cause of action.’” 
    Id. (quoting Acri
    v. Int’l Ass’n of
    Machinists and Aerospace Workers, 
    781 F.2d 1393
    , 1398 (9th Cir. 1986)).
    Here, Appellant sought to amend his counter-petition to include the allegation that
    the holographic will was not in Decedent’s handwriting nearly a year after this issue had
    been adjudicated by the trial court. It is also uncontested that both parties had the
    opportunity to present evidence relating to the authenticity of the handwriting of
    Decedent’s will at the hearing on November 19, 2015. Nothing in the record specifically
    addresses why Appellant was unable to challenge the handwriting at the earlier hearing,
    as Appellant does not detail the relevant evidence in any of his pleadings. Additionally,
    allowing Appellant to raise this issue following the evidentiary hearing where Appellant
    chose not to present evidence nor challenge the handwriting of the holographic will
    would certainly unduly prejudice Beneficiary, who was under the belief that this issue
    had been adjudicated by the trial court’s November 25, 2015 order. Thus, it appears that
    Appellant essentially sat on his right to challenge the handwriting of the holographic will
    until the eleventh hour, without any notice to Beneficiary that this issue was not fully
    adjudicated by the trial court’s prior order. Under the totality of the circumstances, we
    conclude that the trial court did not abuse its discretion in disallowing the amended
    counter-petition.
    II.
    - 10 -
    Appellant next challenges the trial court’s decision regarding Decedent’s
    testamentary capacity. In a non-jury case, this Court will “review the record de novo with
    a presumption of correctness as to the trial court’s determination of facts.” In re Estate
    of Price, 
    273 S.W.3d 113
    , 119 (Tenn. Ct. App. 2008) (citing Tenn. R. Civ. P. 13(d);
    Bogan v. Bogan, 
    60 S.W.3d 721
    , 727 (Tenn. 2001)). Therefore, an appellate court “must
    honor this presumption unless [it] find[s] that the evidence preponderates against” the
    trial court’s factual determinations. Ellison v. Ellison, No. E2007-01744-COA-R3-CV,
    
    2008 WL 4415768
    , at *3 (Tenn. Ct. App. Sept. 29, 2008) (citing Tenn. R. Civ. P. 13(d);
    Hass v. Knighton, 
    676 S.W.2d 554
    , 555 (Tenn. 1984)).
    In Tennessee, it is required by law that at the time the will is executed, the
    testator’s mind “must be sufficiently sound to enable him or her to know and understand
    the force and consequence of the act of making the will.” In re Estate of Elam, 
    738 S.W.2d 169
    , 171 (Tenn. 1987) (citing American Trust & Banking Co. v. Williams, 
    225 S.W.2d 79
    , 83 (Tenn. Ct. App. 1948)). The court will not consider a will valid unless the
    testator (1) makes the decision of her own free will; (2) understands what she is doing;
    (3) understands to whom she is giving the property and in what proportions; and (4)
    understands whom she is depriving of the property. Goodall v. Crawford, 
    611 S.W.2d 602
    , 60405 (Tenn. Ct. App. 1980). In other words, “a person has the capacity to
    execute a will if he or she knows and understands what he or she is doing.” In re 
    Price, 273 S.W.3d at 133
    (citing In re 
    Elam, 278 S.W.2d at 171
    72; American Trust &
    Banking 
    Co., 225 S.W.2d at 83
    84). “The testator’s mental condition at the very time of
    executing the will is the only point of inquiry; but to enable the triers of the facts to
    ascertain this condition at that time, evidence of the testator’s mental and physical
    condition before and after making the will, within reasonable limits, is received.” Melody
    v. Hamblin, 
    21 Tenn. App. 687
    , 
    115 S.W.2d 237
    , 242 (Tenn. Ct. App. 1937). Thus,
    evidence of “physical weakness or disease, old age, blunt perception or failing mind and
    memory” may be admitted on the question of testamentary capacity; however, “it is not
    conclusive and the testator is not thereby rendered incompetent if her mind is sufficiently
    sound to enable her to know and understand what she is doing.” In re 
    Elam, 738 S.W.2d at 171
    –72 (citations omitted)); see also American Trust & Banking 
    Co., 225 S.W.2d at 84
    (“[A]part from its effect upon the mind, the physical condition of the testator has no
    bearing on the issue.”); see also 
    Melody, 115 S.W.2d at 242
    (noting that the evidence of
    the testator’s “appearance, conduct, conversation, declarations, any well–marked change
    of character or habits without sufficient cause, . . . or any other particular fact or facts”
    may be considered to determine the testator’s capacity at the time of the making of the
    will). In Tennessee, it is presumed that the testator has the capacity to execute a will;
    therefore, the party challenging the will has the burden to prove otherwise. In re 
    Price, 273 S.W.3d at 133
    (citing In re Estate of Hill, No. E2006-01947-COA-R3-CV, 
    2007 WL 4224716
    , at *3 (Tenn. Ct. App. Nov. 30 2007)). A contestant must, therefore, submit
    “material, substantial and relevant evidence to show lack of mental capacity at the time of
    execution.” Keasler v. Keasler, 
    973 S.W.2d 213
    , 218 (Tenn. Ct. App. 1997) (citing
    - 11 -
    Hammond v. Union Planters Nat’l Bank, 
    222 S.W.2d 377
    , 380 (Tenn. 1949)).
    In his brief, Appellant argues that Decedent did not have the requisite testamentary
    capacity to execute the holographic will because she did not understand the force and
    consequences of her estate or actions regarding the estate. Appellant also asserts that the
    trial court erred in (1) placing substantial weight on the lay witnesses’ testimony
    regarding Decedent’s testamentary capacity and (2) failing to place substantial weight on
    the testimony of Dr. Mays, Appellant’s expert, regarding Decedent’s testamentary
    capacity. Respectfully, we disagree with Appellant’s arguments and will discuss each in
    turn.
    We begin with Appellant’s argument that the trial court erred in placing weight in
    the lay witnesses’ testimony and failing to place significant weight in Dr. Mays’ expert
    testimony. It is well-settled that “trial judges, who have the opportunity to observe the
    witnesses and make credibility determinations, are better positioned to evaluate the facts
    than appellate judges.” Kelly v. Kelly, 
    445 S.W.3d 685
    , 692 (Tenn. 2014) (citing
    Armbrister v. Armbrister, 
    414 S.W.3d 685
    , 693 (Tenn. 2013)). Consequently, “appellate
    courts should afford trial courts considerable deference when reviewing issues that hinge
    on witness credibility because trial courts are ‘uniquely positioned to observe the
    demeanor and conduct of the witnesses.’” 
    Kelly, 445 S.W.3d at 692
    (quoting State v.
    Binette, 
    33 S.W.3d 215
    , 217 (Tenn. 2000)). Further, appellate courts “will not re-
    evaluate a trial judge’s assessment of witness credibility absent clear and convincing
    evidence to the contrary.” 
    Kelly, 445 S.W.3d at 692
    (quoting Wells v. Tennessee Bd. of
    Regents, 
    9 S.W.3d 779
    , 783 (Tenn. 1999) (citation omitted)). Lastly, the opinions of lay
    witnesses regarding a decedent’s testamentary capacity are admissible “if they are based
    on details of conversations, appearances, conduct or other particular facts from which the
    state of mind may be judged.” In re 
    Elam, 738 S.W.2d at 172
    (citing American Trust &
    Banking 
    Co., 225 S.W.2d at 83
    ).
    In its February 14, 2017 order, the trial court specifically noted “based upon the
    testimony of [Beneficiary], Nurse Walters, and [Attorney] Rhea[,] that decedent
    possessed the requisite testamentary capacity to write her will.” Here, Beneficiary, Nurse
    Walters, and Attorney Rhea each spent time, and interacted, with Decedent on either the
    day she executed her holographic will or the days closely surrounding the execution of
    the will. Given the nature of each witness’s connection with Decedent—either as
    caregivers or as her attorney—their interactions included personal conversations and
    close monitoring of Decedent’s conduct and appearance, all of which they testified to at
    trial. Also, Nurse Walters and Attorney Rhea are both disinterested witnesses, as neither
    received any bounty or gift from Decedent. This Court has previously indicated that the
    testimony of disinterested witnesses may be especially “[s]ignificant[]” in determining a
    decedent’s testamentary capacity. Harper v. Watkins, 
    670 S.W.2d 611
    , 630 (Tenn. Ct.
    App. 1983) (noting the significance of four disinterested persons’ testimonies that
    Decedent had testamentary capacity at the execution of the will); see also Street v.
    - 12 -
    Waddell, 
    3 S.W.3d 504
    , 507 (Tenn. Ct. App. 1999) (noting that evidence from five
    disinterested persons, coupled with other documentary evidence, was sufficient to show
    that decedent had the requisite testamentary capacity). Thus, we cannot conclude that the
    evidence preponderates against the trial court’s decision to place substantial weight on
    these three witnesses’ testimony.
    Further, we cannot conclude that the evidence preponderates against the trial
    court’s decision to place little weight on Dr. Mays’s expert opinion regarding Decedent’s
    testamentary capacity. As we mentioned above, this Court gives the trial court great
    discretion on issues regarding witness credibility. It is undisputed that Dr. Mays did not
    examine or even meet Decedent; rather his opinion centered only on facts given to him
    by Appellant and Decedent’s medical records. However, Decedent’s medical records
    show that Decedent was not suffering from any mental diseases or diagnoses, nor did she
    exhibit any dementia related symptoms other than periodic confusion. We have
    previously held, however, that evidence that the decedent was periodically confused was
    insufficient to show lack of capacity where disinterested witnesses testified that the
    decedent had capacity to make a will. See 
    Street, 3 S.W.3d at 507
    (holding that evidence
    that the decedent “would get confused at times” was outweighed by other evidence
    showing she had capacity).
    We concede that the medical records do provide that Decedent was prescribed
    prescription pain medication that arguably could affect her judgment. However, evidence
    of taking pain medication is not always sufficient to prove a decedent’s lack of
    testamentary capacity. See Harper, 
    670 S.W.2d 611
    (concluding that even though
    decedent was under the influence of prescription pain medication approximately eighty
    percent of the time, evidence was presented that decedent was not under the influence of
    the pharmaceuticals on the day of the execution of the will and thus decedent possessed
    requisite testamentary capacity.). While there is no dispute that Decedent was prescribed
    pain medication during the time she made the will, the testimony of Nurse Walters,
    Beneficiary, and Attorney Rhea indicates that regardless of whether Decedent was taking
    pain medication at this time, her mental faculties were not diminished as a result. Thus,
    we discern no error in the trial court’s decision in failing to place substantial weight on
    Dr. Mays’s testimony regarding Decedent’s testamentary capacity, or lack thereof. We
    note that the trial court never discredited or discounted the fact that Dr. Mays is an expert
    witness in his field; instead, the trial court exercised its discretion in determining that
    Beneficiary’s, Nurse Walters’s, and Attorney Rhea’s personal knowledge of Decedent’s
    state of mind at the time of the execution of the will was entitled to greater weight than
    the opinion of an expert who never had any interaction with Decedent. To do so was not
    an abuse of discretion.
    Appellant next argues that a necessary element of testamentary capacity was
    lacking in this case: that Decedent know her bounty. In order to have testamentary
    capacity, “[t]he testator must have . . . a knowledge of the property possessed and an
    - 13 -
    understanding of the disposition to be made.” In re 
    Elam, 738 S.W.2d at 170
    ; see also
    
    Goodall, 611 S.W.2d at 604
    05 (“The will is not valid unless the testator . . . is []
    capable of . . . understanding to whom he is giving his property and in what proportions
    and whom he is depriving of it.”). In his brief, Appellant asserts that Decedent lacked
    knowledge of her bounty because she allowed substantial property to pass to Daughter-
    in-law despite her intention to leave “everything” to Beneficiary.
    As an initial matter, we note that Appellant cites no law to suggest that a
    decedent’s failure to understand the exact legal effect of all of her different assets or to
    use proper legal terms necessitates a finding of lack of capacity. Here, all of Decedent’s
    estate did indeed pass to Beneficiary under the holographic will, per her expressed
    wishes. Only the non-estate asset passed outside the will. Moreover, we cannot conclude
    from the testimony presented at trial that it was indeed Decedent’s intention to exclude
    Daughter-in-law. Rather, it appears that Decedent’s main intent in making a will was to
    exclude Appellant. We are, therefore, reluctant to conclude that the impreciseness of
    Decedent’s language, standing alone, invalidates her clearly expressed wish to benefit
    Beneficiary. To do so would be to benefit Appellant, whom Decedent clearly intended to
    exclude.
    Analogous case law supports our conclusion. For example, this Court has
    previously held that even where there was evidence that the testator lacked knowledge of
    his or her bounty, this lack of knowledge will not invalidate a will where other evidence
    militates in favor of a finding that the testator had sufficient capacity to make a will. For
    example, in Whitley v. Rippey, No. M2006-01436-COA-R3-CV, 
    2007 WL 2254584
    , at
    *6 (Tenn. Ct. App. Aug. 3, 2007), the testator’s will stated that the testator had no
    children; in reality, the testator had two adopted children. 
    Id. at *12.
    The trial court
    denied the will contest, finding no proof of a lack of testamentary capacity. 
    Id. at *4.
    The
    Court of Appeals affirmed. 
    Id. at *7.
    Although the Court appeared to concede that the
    testator’s will contained a mistake regarding the testator’s bounty, the Court looked to the
    other “formidable” evidence in the record to show that the testator in fact had capacity at
    the time the will was executed. 
    Id. at *67.
    Importantly, the Court noted the affidavits
    of three witnesses that the testator was competent at the time of the execution of the will,
    the detail of the will, and the lack of contact between the testator and his adopted
    children. 
    Id. Thus, considering
    the totality of the circumstances, the testator’s possible
    failure to recognize his bounty was not sufficient to negate the other evidence showing
    that the testator had testamentary capacity. 
    Id. Similarly, the
    record contains the testimony of three witnesses that Decedent was
    competent at the time of execution. Additionally, there is abundant evidence of a lack of
    contact and communication between Decedent and Appellant in the months leading up to
    Decedent’s death. The trial court further noted that although Decedent was in failing
    health, in extreme pain, and near death, in accordance with her wishes that Appellant did
    not receive anything, she recognized that she must execute a will to achieve this goal.
    - 14 -
    The trial court also noted that there was no evidence that Decedent had any mental
    deficiencies other than those that were drug or pain related. Therefore, assuming
    arguendo that Decedent did, in fact, make a mistake regarding the legal effect of the
    payable on death account in her holographic will by allowing Daughter-in-law to be the
    beneficiary of the account, we believe Beneficiary provided the trial court with sufficient
    other formidable evidence to support the trial court’s finding that Decedent had
    testamentary capacity. Accordingly, considering the totality of the circumstances
    surrounding the execution of Decedent’s holographic will, this Court finds no error in the
    trial court’s finding that Decedent did indeed possess the testamentary capacity to execute
    a will.
    III.
    Finally, Appellant asserts that the trial court erred in finding that the will at issue
    was not the product of undue influence by Beneficiary. It is well-settled that the
    contestant in a will contest has the burden of proof. Kelley v. Johns, 
    96 S.W.3d 189
    , 196
    (Tenn. Ct. App. 2002) (citing In re 
    Elam, 738 S.W.2d at 171
    ; Bills v. Lindsay, 
    909 S.W.2d 434
    , 438 (Tenn. Ct. App. 1993)). However, “[w]hen two parties enter into either
    a confidential or fiduciary relationship and the dominant party receives a gift or other
    benefit from the other party[,] a presumption arises that some improper advantage was
    taken.” Richmond v. Christian, 
    555 S.W.2d 105
    , 107 (Tenn. 1977) (citations omitted).
    The presumption that the gift or benefit is invalid is “rebuttable and the rule in this State
    is that clear and convincing evidence of fairness will suffice.” 
    Id. In other
    words, “the
    party trying to rebut the presumption of undue influence must establish by clear and
    convincing evidence ‘that the transaction was fair and not procured through undue
    influence.’” In re Estate of Farmer, No. M2013-02506-COA-R3-CV, 
    2014 WL 5308226
    , at *9 (Tenn. Ct. App. Oct. 15, 2014) (quoting Parish v. Kemp, No. W2007-
    02207-COA-R3-CV, 
    2008 WL 5191291
    , at *5 (Tenn. Ct. App. Dec. 11, 2008)).
    As a preliminary matter in any proceeding involving undue influence, the court
    must first determine whether a confidential relationship existed between the testator and
    the alleged influencer. See In re Estate of Brevard, 
    213 S.W.3d 298
    , 302 (Tenn. Ct. App.
    2006) (“The doctrine of undue influence is applicable only where there is a confidential
    relationship with the testator whereby one party is able to dominate and exercise undue
    influence over the testator.”) (footnote omitted). The trial court in this case found that a
    confidential relationship existed between Decedent and Beneficiary; neither party
    contests the trial court’s finding of a confidential relationship on appeal. Therefore, we
    proceed in our analysis to discuss whether Beneficiary sufficiently rebutted the
    presumption of undue influence.4
    4
    Although Beneficiary was the alleged influencer in this case, the beneficiary of the proposed
    will need not be the individual who influences the testator. Estate of 
    Brevard, 213 S.W.3d at 302
    n.4
    (citing DeLapp v. Pratt, 
    152 S.W.3d 530
    , 542 (Tenn. Ct. App. 2004)) (“[U]ndue influence may be
    - 15 -
    A confidential relationship alone, however, is not sufficient to establish a prima
    facie case of undue influence. Rather, the contestant must also show the existence of at
    least one suspicious circumstance. See 
    Brevard, 213 S.W.3d at 303
    (stating that while
    proof of a confidential relationship is necessary to the application of undue influence,
    such a relationship does not make out a prima facie case of undue influence “unless an
    additional suspicious circumstance exists”); Kelley, 
    96 S.W.3d 189
    , 198 (Tenn. Ct. App.
    2002) (holding that proof of a suspicious circumstance, alone, was insufficient to make
    out a prima facie case of undue influence in the absence of evidence of other suspicious
    circumstances); Mitchell v. Smith, 
    779 S.W.2d 384
    , 388 (Tenn. Ct. App. 1989) (“Proof
    of a confidential relationship alone will not support a finding of undue influence.”).
    Courts have refrained from enumerating a strict list of suspicious circumstances, instead
    allowing the trial court to use a common-sense assessment of the facts in each case to
    determine whether suspicious circumstances are present. 
    Mitchell, 779 S.W.2d at 388
    .
    In addition to the existence of a confidential relationship, courts frequently rely on (1)
    “the testator’s physical or mental deterioration[,]” and (2) “the beneficiary’s active
    involvement in procuring the will.” 
    Id. The Court
    also recognizes other suspicious
    circumstances, including: “(1) secrecy concerning the will’s existence; (2) the testator’s
    advanced age; (3) the lack of independent advice in preparing the will; (4) the testator’s
    illiteracy or blindness; (5) the unjust or unnatural nature of the will’s terms; (6) the
    testator being in an emotionally distraught state; (7) discrepancies between the will and
    the testator’s expressed intentions; and (8) fraud or duress directed toward the testator.”
    
    Id. Appellant argues
    that “the [Decedent’s] very poor and declining physical
    condition at the time she made her will constitutes a suspicious circumstance for purposes
    of determining undue influence and warranting invalidating the [Decedent’s] will
    regardless of any legal advice offered the [Decedent].” In essence, the Appellant is
    arguing that because there was a confidential relationship between the testator and
    beneficiary and Decedent’s physical condition was declining rapidly, there is more than
    one suspicious circumstance present and those circumstances outweigh the fact that
    Decedent obtained independent counsel.
    In its final order, the trial court stated that the Decedent was clearly “experiencing
    physical and mental deterioration.” The record does not preponderate against this finding.
    Here, as at the time she executed the will, Decedent’s health was quickly declining,
    Decedent was in a great amount of pain, and Decedent was too weak to get out of bed.
    These facts, coupled with Decedent and Beneficiary’s confidential relationship, establish
    a prima facie case for undue influence. See 
    Kelley, 96 S.W.3d at 196
    . Thus, this
    presumption of undue influence must be rebutted by clear and convincing evidence. 
    Id. (citing Matlock
    v. Simpson, 
    902 S.W.2d 384
    , 386 (Tenn. 1995); In re Estate of
    exercised by one other than a beneficiary.”).
    - 16 -
    Hamilton v. Morris, 
    67 S.W.3d 786
    , 793 (Tenn. Ct. App. 2001); Hager v. Fitzgerald,
    
    934 S.W.2d 668
    , 671 (Tenn. Ct. App.1996)). We therefore proceed to consider whether
    the presumption was rebutted in this case.
    Trial courts may consider a broad scope of evidence regarding the fairness of a
    transaction or gift. In re Estate of Maddox, 
    60 S.W.3d 84
    , 89 (Tenn. Ct. App. 2001).
    Courts may consider the lack of suspicious circumstances, as outlined above, in their
    fairness determination. 
    Parish, 308 S.W.3d at 891
    (“Where, however, an automatic
    presumption of undue influence exists due to a confidential relationship, this Court has
    often considered a lack of suspicious circumstances as evidence to rebut an automatic
    legal presumption of undue influence.”). Additionally, one well-known and widely
    recognized example of proof of fairness in the transaction that courts may also consider is
    “[p]roof that the donor received independent advice respecting the consequence and
    advisability of the gift.” 
    Richmond, 555 S.W.2d at 107
    08. Proof of independent advice
    is often required where it would be difficult to show fairness without such independent
    advice, especially where “the gift seems to be unnatural under the circumstances of the
    case.” 
    Id. (citing Miller
    v. Proctor, 
    24 Tenn. App. 439
    , 
    145 S.W.2d 807
    (Tenn. Ct. App.
    1940) (citations omitted)). The trial court found that Beneficiary sufficiently rebutted the
    presumption of undue influence due to lack of suspicious circumstances and evidence
    that Decedent had obtained independent legal advice from competent counsel. We agree.
    First, it is undisputed and well-supported in the record that Decedent received
    independent advice from Attorney Rhea. Courts have used the following definition of
    independent advice in many will contest cases:
    [p]roper independent advice . . . means that the donor had the
    preliminary benefit of conferring fully and privately upon the subject
    of [her] intended gift with a person who was not only competent to
    inform h[er] correctly as to its legal effect but who was furthermore
    so disassociated from the interests of the donee as to be in a position
    to advise the donor impartially and confidently as to the
    consequences to h[erself] of [her] proposed benefactions.
    Parish v. Kemp, 
    308 S.W.3d 884
    , 893 (Tenn. Ct. App. 2008) (citations omitted).
    Attorney Rhea testified that he has been practicing law for over twenty-three years and
    has prepared and executed “[e]asily over 500 [wills,]” per his approximation.
    Additionally, Beneficiary did not recommend Attorney Rhea as an attorney to Decedent
    and was not present during their meetings when Decedent and Attorney Rhea discussed
    the making of the will. Further, during the September 14 meeting, Attorney Rhea
    explained the process of naming an executor, powers of attorney, and the need to execute
    a holographic will to ensure that Appellant, the only natural heir at law, did not receive
    anything from Decedent’s estate. Therefore, we conclude that Attorney Rhea was (1)
    competent to inform Decedent on the legal effect of her intended gift; and (2)
    - 17 -
    disassociated from Beneficiary and able to advise Decedent impartially. See 
    Parish, 308 S.W.3d at 893
    94 (concluding that decedent received independent advice because
    attorney met with decedent privately and discussed the details of the will with decedent).
    Thus, there is clear and convincing evidence that Decedent received independent legal
    advice regarding naming Beneficiary as the beneficiary of her will rather than Appellant.
    However, Appellant claims that “[t]he existence of independent advice in this case
    is not sufficient to rebut the presumption of undue influence in view of the existence of
    suspicious circumstances.” Respectfully, we disagree. There is undisputed evidence that
    there was a confidential relationship between Decedent and Beneficiary and that
    Decedent’s physical and mental health was deteriorating. However, the trial court
    specifically found that (1) there was little evidence that Beneficiary did anything to
    procure the will; (2) seventy-four was not an advanced age; (3) Beneficiary did nothing to
    keep the existence of the will secret; (4) Decedent was not illiterate or blind; (5) there
    was no proof presented that Decedent was in an emotionally distraught state; (6) there
    was no evidence that Decedent changed an existing testamentary plan to dispose of her
    estate; (7) the preponderance of the evidence did not support Appellant’s claims that
    there was a conspiracy among Nurse Walters, Beneficiary, and Attorney Rhea; and (8) no
    proof was presented that Nurse Walters or Attorney Rhea received any benefit from
    Decedent’s estate or from Beneficiary before or after Decedent died. The trial court did
    concede that Decedent’s decision to leave her estate to Beneficiary might have been
    unnatural; however, it found that this action was not necessarily suspicious after
    considering decisions that Decedent had made throughout her life. After a thorough
    review of the record, we conclude that the evidence does not preponderate against any of
    the trial court’s findings on this issue. Indeed, in our view, the lack of suspicious
    circumstances in this case coupled with the independent legal advice provided by
    Attorney Rhea provide the clear and convincing evidence necessary to rebut the
    presumption of undue influence. As such, the trial court did not err in finding that the will
    was not a product of undue influence. See In re Estate of Branch, No. W2004-01310-
    COA-R3-CV, 
    2005 WL 711962
    , at *3–4 (Tenn. Ct. App. Mar. 28, 2005) (concluding that
    although decedent was of advanced age and experiencing physical health problems, (1)
    the will was a result of ongoing discussions with decedent and attorney, (2) the will
    reflected decedent’s express intentions, (3) there was no evidence that decedent kept the
    will secret, (4) decedent was not confused, emotionally distraught, or subjected to fraud
    or duress, and (5) the totality of the circumstances indicated decedent’s will was not
    unjust or unnatural as there was a lack of suspicious circumstances).
    CONCLUSION
    Based on the foregoing reasons, the judgment of the Fayette County Chancery
    Court is affirmed and remanded for further proceedings as may be necessary and are
    consistent with this Opinion. The costs of this appeal are taxed to Appellant Carl Barton,
    and his surety.
    - 18 -
    _________________________________
    J. STEVEN STAFFORD, JUDGE
    - 19 -