In the Matter of the Estate of Juanita Valcarce (Valcarce v. Valcarce) , 301 P.3d 1031 ( 2013 )


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    2013 UT App 95
    _________________________________________________________
    THE UTAH COURT OF APPEALS
    IN THE MATTER OF THE ESTATE OF
    JUANITA MARIE VALCARCE.
    ______________________________
    JOHN VALCARCE,
    Petitioner and Appellee,
    v.
    PAUL VALCARCE,
    Respondent and Appellant.
    Opinion
    No. 20110863‐CA
    Filed April 18, 2013
    First District, Brigham City Department
    The Honorable Ben H. Hadfield
    No. 103100018
    Paul Valcarce, Appellant Pro Se
    Jack H. Molgard, Attorney for Appellee
    JUDGE CAROLYN B. MCHUGH authored this Opinion, in which
    JUDGES J. FREDERIC VOROS JR. and STEPHEN L. ROTH concurred.
    McHUGH, Judge:
    ¶1     Paul Valcarce appeals from the trial court’s order probating
    the estate of his sister, Juanita Marie Valcarce; from the denial of his
    motion to alter or amend judgment; and from the denial of his
    motion for a new trial. We affirm.
    In re the Estate of Juanita Marie Valcarce
    BACKGROUND1
    ¶2     Juanita Valcarce (Decedent) died on March 8, 2010, survived
    by her siblings Paul Valcarce (Appellant), John Valcarce (Appellee),
    Edward E. Valcarce (Edward), and Ann Merrill.2 After Decedent’s
    death, Appellee and Edward filed a motion to Admit and Probate
    the Last Will and Testament of the Decedent (Motion to Probate
    1991 Will). In the Motion to Probate 1991 Will, Appellee alleged
    that Decedent had executed a will sometime in 1991 (the 1991 Will),
    that the original of it had been lost, and that despite reasonable
    diligence, he was unaware of any instrument revoking the 1991
    Will. Appellee requested that Decedent’s estate be administered
    according to the lost 1991 Will, rather than through intestacy.
    Appellant contested the validity of the 1991 Will and argued that
    it should not be admitted to probate.
    ¶3     The factual issues were tried on May 18 and 27, 2011.
    Although Appellant was present at trial only on May 27, 2011, he
    was represented by counsel throughout the proceedings. Likewise,
    while Merrill was not present at trial on either date, she was
    represented by the same counsel as Appellant throughout the trial
    court proceedings.
    ¶4      During trial, Appellee called attorney Jeff Thorne, who
    testified that sometime in 1991 he had prepared the 1991 Will for
    Decedent. Thorne believed that the 1991 Will was properly
    1. “On appeal from a bench trial, we view the evidence in a light
    most favorable to the trial court’s findings, and recite the facts
    accordingly.” Pasker, Gould, Ames & Weaver, Inc. v. Morse, 
    887 P.2d 872
    , 873 n.1 (Utah Ct. App. 1994).
    2. Ann Merrill is not a party to this appeal. Although Appellant
    purports to represent her interests, he is not an attorney admitted
    to practice before the Utah courts and he filed his own appeal
    without the assistance of counsel. Therefore, Appellant cannot
    represent Merrill in these proceedings. See Lundahl v. Quinn, 
    2003 UT 11
    , ¶ 7, 
    67 P.3d 1000
     (discussing pro se litigant’s inability to
    “represent the legal interests of other persons”).
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    executed, that the original of it was delivered to the Decedent, and
    that, consistent with his firm’s practice, he retained only an
    unsigned copy of the 1991 Will in addition to the notes he made
    during his meeting with Decedent. Although Thorne did not have
    a specific recollection of Decedent executing the 1991 Will, he
    explained that it was his firm’s practice for secretaries to act as
    witnesses and for the attorney to act as a notary in executing a will.
    Thorne believed the original 1991 Will was properly executed by
    the Decedent, witnessed by two firm employees, and notarized by
    him because, if it had not been, the original would have been kept
    with the copy in the firm’s files. Thorne also testified that his firm
    was paid for drafting Decedent’s 1991 Will, which further indicated
    that the original had been signed and executed. The unsigned,
    undated, and unwitnessed copy of the 1991 Will was received as an
    exhibit at trial, without objection. The terms of the 1991 Will, as
    reflected in the copy, indicate that Decedent left her entire estate to
    Appellee and another sibling, Arland Valcarce, who predeceased
    Decedent.
    ¶5      Edward also testified at trial, indicating that he found a one‐
    page will (the One‐Page Will) at Decedent’s house a few days after
    her death. He could not recall what color the One‐Page Will was,
    whether it was typewritten or handwritten, single or double
    spaced, or notarized. Although Edward did remember that the
    One‐Page Will was signed by Decedent and two witnesses, he
    testified that he did not read the names of the witnesses and,
    therefore, could not identify them. He did not establish the date of
    the One‐Page Will or indicate whether it included a date. Edward
    testified that he gave the One‐Page Will to the Appellant, who told
    Edward during a subsequent telephone conversation that he was
    considering destroying it.3 Neither the One‐Page Will nor a copy of
    it were produced at trial.
    3. Appellant did not testify at trial and therefore did not dispute
    Edward’s allegation that he had threatened to destroy the One‐
    Page Will.
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    ¶6     Edward also testified regarding an affidavit, admitted as an
    exhibit at trial, that he filed with the trial court in support of the
    Motion to Probate 1991 Will. Consistent with his affidavit, Edward
    indicated that during a visit to the Decedent in her home six
    months before her death, she showed him an executed will that
    was dated sometime in the early 1990s and appointed Appellee as
    a personal representative of her estate. Edward stated that he read
    and discussed the contents of that will with Decedent and that they
    were the same as the terms in the copy of the 1991 Will located in
    Thorne’s office. Edward also explained that the One‐Page Will he
    found after Decedent’s death was not the same will that Decedent
    had shown to him six months earlier but that it contained
    essentially the same terms regarding distribution of her estate.
    ¶7       The trial court issued its memorandum decision on June 7,
    2011, finding that “[Decedent] executed the [1991 Will] received as
    Exhibit #1 in 1991. Said [1991 Will] acknowledges her various
    siblings and directs that her entire estate be given to her brothers,
    Arland Valcarce and [Appellee]. Arland Valcarce predeceased
    [Decedent].” The trial court additionally found, “[Edward’s]
    testimony was at times somewhat confusing yet seemed credible.
    His testimony amounts to a declaration against interest because he
    receives inheritance from the estate if there is no will, yet receives
    nothing if either of the wills of which he testified are recognized by
    the court.” The trial court then applied those factual findings to the
    legal question of “whether either the 1991 [W]ill or the [One‐Page
    Will] . . . govern distribution of [D]ecedent’s estate, or whether the
    estate should be distributed pursuant to Utah’s laws of intestacy.”
    Ultimately, the court determined “that the 1991 [W]ill governs
    [D]ecedent’s estate.” Based on these findings and legal conclusions,
    the trial court issued its order on August 2, 2011.
    ¶8     Appellant and Merrill filed a motion for a new trial on
    August 3, 2011, alleging that Appellant was denied his
    constitutional rights of due process and confrontation because
    “[Appellant] was unable to hear what was said, what was asked,
    and any rulings made by the [c]ourt during the trial . . . because the
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    bailiffs made him turn the volume down on the hearing device,
    given [to] him by the clerks.” On August 5, 2011, Appellant and
    Merrill also filed a motion to alter or amend judgment, claiming
    that the trial court “failed to consider . . . controlling case law when
    it entered its decision admitting the unsigned, undated, and
    unattested alleged copy of [Decedent’s] will into probate.”
    ¶9      The trial court denied both motions on August 30, 2011. It
    determined that Appellant had “waived any objection concerning
    his ability to fully participate in this trial by . . . wait[ing]
    approximately two months after the decision was rendered . . .
    before raising this issue.” Alternatively, the trial court determined
    “that any such defect constitutes harmless error and is not
    inconsistent with substantial justice. [Appellant] was fully
    represented by counsel at trial. [Appellant’s] counsel could fully
    hear the proceedings and was able to fully present [Appellant’s]
    case and defense in this matter.” Additionally, the court found,
    “[Appellant’s] attorney made the tactical decision to allow his
    client not to testify. The [c]ourt will not now allow a second bite at
    the apple because [Appellant] and his attorney regret this
    decision.” Subsequently, the trial court found “that any such
    ‘irregularity in the proceedings’ did not prevent [Appellant] from
    having a fair trial.” Last, in rejecting the motion to alter or amend
    judgment, the trial court reaffirmed its decision, stating “that the
    evidence adduced at trial establishes by clear and convincing
    evidence that the [D]ecedent intended the 1991 Will to constitute
    her will regardless of any deficiencies in its execution.”4
    ¶10 Appellant filed a timely notice of appeal. In his docketing
    statement, Appellant challenges for the first time the trial judge’s
    impartiality. According to Appellant, he learned only after
    judgment that, when Thorne drafted the 1991 Will, Thorne and the
    trial judge were partners in the law firm of Mann, Hadfield &
    4. We discuss later in this opinion our conclusion that the proper
    standard for proving execution is by a preponderance of the
    evidence. See infra ¶ 27.
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    Thorne. As a result, Appellant seeks reversal and a new trial on the
    ground that the trial judge should have recused himself.
    ISSUES AND STANDARDS OF REVIEW
    ¶11 Appellant challenges the sufficiency of the evidence
    underlying the trial court’s findings of fact, and the trial court’s
    legal conclusions based on those facts. “[W]e review a trial court’s
    factual findings under a clearly erroneous standard and the legal
    sufficiency of those findings, as well as the legal conclusions based
    on those findings, under a correction‐of‐error standard.” Kimball v.
    Kimball, 
    2009 UT App 233
    , ¶ 15, 
    217 P.3d 733
    .
    ¶12 Appellant also argues that the trial court abused its
    discretion when it denied his motions under rule 59 to alter or
    amend judgment and for a new trial. See Utah R. Civ. P. 59
    (providing grounds to alter or amend a judgment and for new
    trial). “Generally, we afford trial judges wide latitude in granting
    or denying rule 59 motions. . . . Consequently, we generally disturb
    a trial court’s grant or denial of a rule 59 motion only if it
    constitutes an abuse of discretion.” Sanpete Am., LLC v. Willardsen,
    
    2011 UT 48
    , ¶ 28, 
    269 P.3d 118
    . “An abuse of discretion may be
    demonstrated by showing that the district court relied on ‘an
    erroneous conclusion of law’ or that there was ‘no evidentiary basis
    for the trial court’s ruling.’” Kilpatrick v. Bullough Abatement, Inc.,
    
    2008 UT 82
    , ¶ 23, 
    199 P.3d 957
     (quoting Morton v. Continental Baking
    Co., 
    938 P.2d 271
    , 274 (Utah 1997)).
    ¶13 Last, Appellant argues that the trial judge should have
    recused himself due to his membership in the law firm that drafted
    the 1991 Will during the same time that Thorne prepared it. See
    Utah R. Civ. P. 63(b)(1) (stating that a disqualification motion shall
    be filed “not later than [twenty] days after . . . the date on which the
    moving party learns or with the exercise of reasonable diligence
    should have learned of the grounds upon which the motion is
    based”); see also 
    id.
     R. 59(a) (providing grounds for a new trial).
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    ANALYSIS
    I. The Evidence of Proper Execution Was Consistent with
    Statutory Requirements
    ¶14 Appellant first argues that the trial court failed to follow
    controlling law because it ruled that the 1991 Will had been
    properly executed despite Appellee’s failure to offer the testimony
    of at least one of the witnesses to the 1991 Will. Formal testacy
    proceedings are governed by the Utah Uniform Probate Code
    (UUPC). See Utah Code Ann. §§ 75‐3‐401 to ‐414 (Michie 1993).5
    Appellee’s Motion to Probate 1991 Will asserts that the original of
    that document cannot be found and thus falls within the provisions
    governing probate when “the original will is neither in the
    possession of the court nor accompanies the petition” and is “lost,
    destroyed, or otherwise unavailable.” See id. § 75‐3‐402(2).
    Appellee, as proponent of the 1991 Will, has the “burden of
    establishing prima facie proof of due execution in all cases . . . .” See
    id. § 75‐3‐407(1).
    ¶15 The proof necessary to establish due execution is discussed
    in section 75‐3‐406, which provides,
    (1) If evidence concerning execution of an attested
    will which is not self‐proved is necessary in
    contested cases, the testimony of at least one of the
    attesting witnesses, if within the state, competent,
    and able to testify, is required. Due execution of an
    attested or unattested will may be proved by other
    evidence.
    (2) If the will is self‐proved, compliance with
    signature requirements for execution is conclusively
    presumed and other requirements of execution are
    5. Because the portions of the Utah Code relevant to our decision
    are unchanged, we cite to the current version of the code for the
    convenience of the reader.
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    presumed subject to rebuttal without the testimony
    of any witness upon filing the will and the
    acknowledgment and affidavits annexed or attached
    thereto . . . .
    
    Id.
     § 75‐3‐406.
    ¶16 Here, Appellee argues that the 1991 Will “was self‐proved
    in compliance with Utah Code [section] 75‐2‐504 allowing the [1991
    Will] to be admitted to probate without the testimony of any
    subscribing witness.” See generally id. § 75‐2‐504 (LexisNexis Supp.
    2012) (“A will may be simultaneously executed, attested, and made
    self‐proved, by acknowledgment thereof by the testator and
    affidavits of the witnesses, each made before an officer authorized
    to administer oaths under the laws of the state in which execution
    occurs, whether or not that officer is also a witness to the will, and
    evidenced by the officer’s certificate, under official seal . . . .”).
    Although Appellant does not challenge the inclusion of a self‐
    proving affidavit in the body of the 1991 Will, he claims that the
    submission of an unsigned copy of that affidavit cannot satisfy
    section 75‐3‐406(2).6 Therefore, he contends that the trial court erred
    by not requiring the testimony of at least one attesting witness.7 We
    6. The Georgia Supreme Court seems to have adopted a contrary
    position. See Westmoreland v. Tallent, 
    549 S.E.2d 113
    , 114–16 (Ga.
    2001) (holding that where only an unsigned copy of a will in an
    attorney’s possession could be found, the lost will could be
    validated by uncontroverted testimony from the notary public who
    notarized the decedent’s signature on a self‐proving affidavit,
    without complying with the statutory requirement that all
    subscribing witnesses testify if available).
    7. Appellant also contends that the trial court improperly ignored
    our decision in In re Estate of Erickson, 
    766 P.2d 1085
     (Utah Ct. App.
    1988), aff’d, 
    806 P.2d 1186
     (Utah 1991), when it determined that the
    1991 Will was properly executed. However, In re Estate of Erickson
    addresses the statutory requirements for execution of a valid
    (continued...)
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    need not determine if the 1991 Will was self‐proved, however,
    because we conclude that Thorne’s testimony regarding its
    execution fulfills the requirement of section 75‐3‐406(1) that “at
    least one of the attesting witnesses” testify concerning execution.8
    See 
    id.
     § 75‐3‐406(1) (Michie 1993).
    ¶17 The UUPC does not specifically define who may serve as an
    “attesting witness” for purposes of section 75‐3‐406(1). Nor does it
    employ the same term, “attesting witness,” when describing the
    formalities of a will. See id. § 75‐2‐502 (LexisNexis Supp. 2012).
    Instead, the UUPC broadly provides that “[a]n individual generally
    competent to be a witness may act as a witness to a will,” see id.
    § 75‐2‐505, and further requires that a will be signed “by at least
    two individuals, each of whom signed within a reasonable time
    after he witnessed either the signing of the will . . . or the testator’s
    acknowledgment of that signature or acknowledgment of the will,”
    see id. § 75‐2‐502(1). Additionally, in laying out the requirements for
    7. (...continued)
    holographic will, not whether there is sufficient evidence that the
    decedent executed a written will that has been subsequently lost.
    See id. at 1086.
    8. Because we conclude that Thorne could serve as an attesting
    witness, we need not consider the circumstances under which
    “[d]ue execution of an attested or unattested will may be proved by
    other evidence.” See Utah Code Ann. § 75‐3‐406(1) (Michie 1993);
    see generally Wheat v. Wheat, 
    244 A.2d 359
    , 363 (Conn. 1968)
    (“[P]roof of any . . . element of due execution, may come from
    sources other than the attesting witnesses.”); Spangler v. Bell, 
    60 N.E.2d 864
    , 867 (Ill. 1945) (“[T]he law does not . . . leave a will or
    codicil entirely dependent upon the testimony of the subscribing
    witnesses. . . . The fact to be established is the proper execution of
    the will. If that is proved, it is sufficient, no matter from what
    source the evidence may come.” (citations omitted)); 95 C.J.S. Wills
    § 671 (2011) (“The due execution of a will may be sufficiently
    established by circumstantial evidence or the testimony of
    witnesses other than the attesting witnesses.”).
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    creating a self‐proved will, the UUPC indicates that an “officer
    authorized to administer oaths under the laws of the state in which
    execution occurs,” such as a notary, may perform a notarial act
    “whether or not that officer is also a witness to the will . . . .” See 
    id.
    § 75‐2‐504(1); see also id. § 46‐1‐7 (LexisNexis 2010) (“A notary may
    not perform a notarial act if the notary . . . is a signer of the
    document that is to be notarized except in case of a self‐proved will as
    provided in Section 75‐2‐504.” (emphases added)). Thus, there is
    nothing in the plain language of the UUPC that prohibits Thorne
    from serving as an attesting witness for purposes of proving
    execution under section 75‐3‐406(1).
    ¶18 Utah case law has not addressed whether “attesting
    witness” refers only to the individuals who serve as official
    witnesses to the execution of a will or whether it encompasses any
    individuals who could personally attest to the execution of the will,
    including the notary who was present during its execution. Cf.
    Cazares v. Cosby, 
    2003 UT 3
    , ¶¶ 17, 20, 
    65 P.3d 1184
     (standing for the
    analogous proposition that “when a notary acknowledges the
    execution of a deed, having personally witnessed that execution,
    the notary qualifies as a subscribing witness within the meaning of
    section 57‐2‐10” which requires that, if available, a subscribing
    witness testify to prove execution of a deed). “Because Utah case
    law is not fully developed on this issue, we look to the case law
    from other jurisdictions for guidance.” State v. Montiel, 
    2005 UT 48
    ,
    ¶ 15, 
    122 P.3d 571
     (citation and internal quotation marks omitted).
    ¶19 Numerous jurisdictions have held that a notary who signs
    a will in his or her capacity as a notary may be considered a valid,
    attesting witness to the will, regardless of whether he intended to
    sign only as a notary. See, e.g., Smith v. Neikirk, 
    548 S.W.2d 156
    , 158
    (Ky. Ct. App. 1977) (“Testimony presented by [the notary] indicates
    that she witnessed the testator sign the will, then signed the will as
    a notary, and returned the will to him. The entire transaction
    indicates that [the notary] was there to witness the will and to
    further sign in an official capacity. The fact that she signed as a
    notary is merely surplusage.”); In re Estate of Martinez, 
    664 P.2d 1007
    , 1012–13 (N.M. Ct. App. 1983) (holding that the notary was a
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    valid, attesting witness where the notary observed the testator sign
    the will, the notary signed the will by notarizing the testator’s
    signature, and the notary was identified in the will as a notary); In
    re Estate of Zelikovitz, 
    923 P.2d 740
    , 744 (Wyo. 1996) (“There is no
    provision in the Wyoming statutes, nor any ruling in our cases, that
    would inhibit the notary public from serving as a witness, even if
    she intended to and did sign the document as a notary public.”).
    ¶20 Other jurisdictions have held that a notary may serve as an
    “attesting witness” to prove execution “where such person could
    have served as a witness, under the circumstances, had he signed
    in that capacity.” See Simpson v. Williamson, 
    611 So. 2d 544
    , 546 (Fla.
    Dist. Ct. App. 1992) (citing Annotation, Wills: Character as Witness
    of One Who Signed Will For Another Purpose, 
    8 A.L.R. 1075
     (1920)). In
    In re Estate of Alfaro, 
    703 N.E.2d 620
     (Ill. App. Ct. 1998), the court
    held that “a notary’s signature may be deemed the signature of an
    attesting witness so long as all of the legal requirements of a valid
    attestation were nonetheless complied with when the notary
    affixed his signature.” 
    Id. at 627
    . The court explained,
    [T]he question to be determined is whether the
    notary was attesting merely to the genuineness of a
    signature or signatures and was therefore acting only
    in the capacity of a notary or whether the notary was
    attesting to all of the acts required by the statute that
    comprise the proper execution of the will and he was
    therefore acting as an attesting witness.
    
    Id.
     The Illinois court concluded that only in the latter situation can
    a notary serve as a valid, attesting witness. 
    Id. ¶21
     Likewise, other courts have determined that a notary may
    qualify as an attesting witness if he or she otherwise fulfills the
    requirements of an attesting witness. For example, in In re Estate of
    Black, 
    102 P.3d 796
     (Wash. 2004), the court explained, “[A] notary’s
    signature met the legal requirements of attestation where the
    notary interacted with the testator and could judge his competency,
    the notary declared the testator signed the will in her presence, the
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    testator requested she sign the will, and she was qualified to be a
    witness.” 
    Id. at 804
    ; see also In re Estate of Gerhardt, 
    763 A.2d 1289
    ,
    1291, 1293 (N.J. Super. Ct. Ch. Div. 2000) (holding that when a
    notary acts “strictly in his capacity as a notary public purporting to
    take an oath, [and] his signing is not effective as an attesting
    witness,” the notary becomes an attesting witness by ensuring that
    the testator voluntarily and willingly executed the will, was over
    eighteen years of age, of sound mind, and not acting under any
    constraint or undue influence); In re Estate of Teal, 
    135 S.W.3d 87
    ,
    91–92 (Tex. App. 2002) (holding that a notary who did not intend
    to sign a will as a subscribing witness nonetheless served as a
    credible, attesting witness when she asked the testator about his
    will, confirmed that he was familiar with the will’s contents and
    dispositions, and confirmed that he signed it of his own free will).
    ¶22 Moreover, these courts have held that where a notary
    qualifies as an “attesting witness,” his testimony may be sufficient
    to establish due execution of a contested will. See In re Estate of Teal,
    
    135 S.W.3d at 90, 92
     (holding that because a notary qualified as an
    attesting witness, the notary’s “testimony was sufficient to prove
    the will” and fulfill Texas’s statutory requirement that one attesting
    witness must testify when a will is not self‐proved); see also In re
    Estate of Kero, 
    591 So. 2d 675
    , 676–77 (Fla. Dist. Ct. App. 1992) (per
    curiam) (holding that the testimony of the only surviving attesting
    witness, the attorney who drafted the will, was sufficient to
    establish that an unsigned copy of a will was identical to the
    original executed by the decedent for purposes of proving the
    content of a lost original will for probate); In re Estate of Mecello, 
    633 N.W.2d 892
    , 899–900 (Neb. 2001) (holding that the testimony of an
    attesting witness—the attorney who prepared the will—established
    prima facie proof that the will was properly executed and fulfilled
    Nebraska’s statutory requirement that “the testimony of at least
    one of the attesting witnesses, if within the state competent and
    able to testify, is required” (citation and internal quotation marks
    omitted)).9
    9. While we do not address this issue, we note that some courts
    (continued...)
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    ¶23 We agree with the approach taken by other jurisdictions that
    a notary, who is otherwise competent to be a witness, can testify as
    an “attesting witness” to prove proper execution of a will when he
    or she was present during execution and had an opportunity to
    assess the competency of the testator. By signing an attestation
    clause, a witness does “nothing more than set forth in words things
    which the witnesses are supposed to observe anyway: that the
    testator is of sound mind and not acting under undue influence.”
    See In re Estate of Baxter, 
    399 P.2d 442
    , 444 (Utah 1965) (holding that
    9. (...continued)
    have determined that the testimony of any individual who could
    personally attest to execution may be sufficient to admit a will to
    probate. See, e.g., Thompson v. Hardy, 
    43 S.W.3d 281
    , 286 (Ky. Ct.
    App. 2000) (“[P]ersons who were present during the executing of
    a will, but who did not serve as attesting witnesses, may offer
    sufficient evidence to establish due execution.”); White v. Brennan’s
    Adm’r, 
    212 S.W.2d 299
    , 300–01 (Ky. Ct. App. 1948) (holding that
    due execution was established by an attorney, who had retained a
    carbon copy of the testator’s will which had been lost, where he
    testified that he prepared the will, that he was familiar with the
    requirements for a valid will, that he remembered the execution
    ceremony of the particular will in question, and that he had
    observed the signing of the will by the two witnesses, though he
    could not recall who those witnesses were); In re Saxlʹs Estate, 
    222 N.Y.S.2d 765
    , 766 (N.Y. Sur. Ct. 1961) (holding that, absent any
    contrary testimony, no reasonable doubt could exist as to the
    sufficiency of execution where the attorney, who was not a
    signatory witness to the will but who supervised its execution,
    testified to facts establishing its proper execution); In re Estate of
    Wachsmann, 
    563 N.E.2d 734
    , 737–38 (Ohio Ct. App. 1988)
    (“Appellant did not sign the will; hence, he was not a legal witness
    to it. . . . It is clear that appellant’s testimony [that he was present
    at execution], standing alone, established a prima facie case for the
    will’s admission to probate. Absent a showing that appellant was
    incompetent to testify, the court erred in refusing to probate the
    will since a prima facie case establishing the statutory requirements
    for making a will had been made.”).
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    In re the Estate of Juanita Marie Valcarce
    the witnesses’ signatures located at the end of the attestation clause
    but not at the end of the will, were effective). Here, Thorne’s trial
    testimony fulfills the same function. He testified that he met with
    Decedent and took notes regarding how she wished to distribute
    her estate, prepared the 1991 Will, and acted as the notary in
    certifying its execution by the testator and the witnesses. In doing
    so, Thorne became familiar with Decedent’s intention and mental
    capacity when the 1991 Will was executed, and neither he nor
    Appellant called into question the soundness of Decedent’s mind
    or suggested that she was unduly influenced. See Utah Code Ann.
    § 75‐3‐407(1) (Michie 1993) (“Contestants of a will have the burden
    of establishing lack of testamentary intent or capacity [or] undue
    influence . . . .”).
    ¶24 By testifying, Thorne fulfilled the UUPC’s mandate that “the
    testimony of at least one of the attesting witnesses, if within the
    state, competent, and able to testify, is required” in contested cases
    of formal testacy proceedings.10 See id. § 75‐3‐406(1). Therefore, we
    reject Appellant’s argument that the trial court failed to comply
    with the statutory requirements of section 75‐3‐406(1).
    II. The Trial Court’s Findings of Fact Are Not Clearly Erroneous
    ¶25 Next, Appellant claims that the evidence does not support
    the trial court’s finding that the 1991 Will was properly executed.
    In particular, Appellant contends that because Thorne did not have
    a specific recollection of watching Decedent execute the 1991 Will,
    his testimony was insufficient to support a finding that it was
    executed. Before we undertake that analysis, we pause to consider
    the level of proof required on this point.
    10. Although Thorne testified that the two witnesses to the 1991
    Will were secretaries employed by his firm, neither were called at
    the trial as attesting witnesses and no evidence was presented as to
    whether either witness was no longer in the state, incompetent, or
    unable to testify.
    20110863‐CA                      14                  
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    ¶26 Although the UUPC establishes that the “[p]roponent[] of a
    will [has] the burden of establishing prima facie proof of due
    execution,” it does not specify what standard of proof is applicable.
    See 
    id.
     § 75‐3‐407. Prior to adoption of the UUPC, however, Utah
    courts required a proponent to prove that the will was properly
    executed by a preponderance of the evidence. See In re Dong Ling
    Hing’s Estate, 
    2 P.2d 902
    , 904 (Utah 1931) (“The burden of proof was
    on the proponent of the will to establish by preponderance of the
    evidence both the lawful execution by the testator, and attestation
    thereof by the witnesses.”). While the Utah appellate courts have
    not had occasion to address that issue since the adoption of the
    UUPC, the intent of the Utah Legislature in adopting the act was to
    “simplify and clarify the law concerning the affairs of decedents
    . . . .” See Utah Code Ann. § 75‐1‐102(2)(a); see also In re Estate of
    Erickson, 
    766 P.2d 1085
    , 1086 (Utah Ct. App. 1988) (stating that the
    Utah Legislature intended the provisions of the UUPC “to validate
    a will whenever possible”), aff’d, 
    806 P.2d 1186
     (Utah 1991).
    Furthermore, the UUPC states, “Unless displaced by the particular
    provisions of this code, the principles of law and equity
    supplement its provisions.” See Utah Code Ann. § 75‐1‐103 (Michie
    1993).
    ¶27 For example, the UUPC expressly provides that the
    proponent of a will must establish by clear and convincing
    evidence that a document or writing, which fails to comply with
    the requirements that a will be in writing, signed by the testator,
    and signed by two attesting witnesses, was intended by the
    decedent to constitute his or her will. See id. § 75‐2‐503(1)
    (LexisNexis Supp. 2012). In contrast, no standard of proof is
    indicated for proving execution of a will. See id. § 75‐3‐406(1)
    (Michie 1993). Thus, we conclude that where the Utah Legislature
    intended to deviate from the standard of proof that existed before
    the adoption of the UUPC, it did so expressly. With respect to
    execution of an attested will that is not self‐proved, the Utah
    Legislature did not displace the preponderance standard existing
    under pre‐UUPC decisions. Accordingly, Appellee had the burden
    of proving that “the greater weight of the evidence” supported a
    finding that the 1991 Will had been properly executed. See Handy
    20110863‐CA                      15                  
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    In re the Estate of Juanita Marie Valcarce
    v. United States Bank, Nat’l Ass’n, 
    2008 UT App 9
    , ¶ 25, 
    177 P.3d 80
    (citation and internal quotation marks omitted). We now consider
    whether the trial court clearly erred in finding execution of the 1991
    Will under that less onerous standard.
    ¶28 Appellant alleges that the evidence presented at trial is
    insufficient to support the trial court’s finding that “[Decedent]
    executed the [1991] Will received as Exhibit #1.” Specifically,
    Appellant argues that the unsigned, undated, and unwitnessed
    copy of the 1991 Will does not “indicat[e] any date [Decedent]
    allegedly ever signed the [1991 Will,] . . . the names of any
    witnesses who allegedly attested to the validity of [Decedent’s]
    signature on the original [1991 Will,] or . . . the identity of the
    notary who allegedly notarized the original [1991 Will].” He
    further claims that “[t]here is simply no evidence indicating that
    the alleged original [1991 Will] was ever signed, notarized or
    witnessed, other than Mr. Thorne’s belief, speculation, and
    conclusion” to the contrary.
    ¶29 However, Thorne provided detailed testimony about his
    normal practices with respect to the preparation and retention of
    wills prepared for firm clients during the relevant time period.
    Based on those practices, he indicated that he had prepared the
    1991 Will for Decedent and acted as the notary to its execution. He
    also testified that, based on the normal practices of his firm, he
    believed the 1991 Will had been properly executed and witnessed.
    In particular, he indicated that the 1991 Will was “in writing,”
    “signed by the testator,” and “signed by at least two individuals,
    each of whom signed within a reasonable time after he witnessed
    either the signing of the will as described in Subsection (1)(b) or the
    testator’s acknowledgment of that signature or acknowledgment
    of the will.” See Utah Code Ann. § 75‐2‐502(1) (LexisNexis Supp.
    2012); see also id. § 75‐2‐506 (“A written will is valid if executed in
    compliance with Section 75‐2‐502 . . . .”). Although Appellant
    contends that Thorne’s lack of a specific memory of Decedent
    signing the 1991 Will is fatal to its probate, Utah decisions have
    long relied on testimony about usual practices as evidence of what
    was done in a particular instance. See, e.g., In re Estate of Wheadon,
    20110863‐CA                       16                 
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    In re the Estate of Juanita Marie Valcarce
    
    579 P.2d 930
    , 931 (Utah 1978) (relying on usual practices of an
    attorney’s law firm as evidence that the decedent was given the
    original copy of a will); cf. Wells Fargo Bank Nevada, NA v. Toronto,
    2008 UT App 269U, para. 4 (mem.) (holding that the trial court
    properly relied on the bank’s evidence of its normal business
    practice in finding that the cardholder’s credit card came with
    written terms and conditions).
    ¶30 The testimony provided by Thorne was also corroborated by
    Edward.11 He testified by affidavit and at trial that he visited
    Decedent six months prior to her death and that she showed him
    an executed will dated in the early 1990s. According to Edward, he
    read and discussed the contents of that will with the Decedent and
    the terms were the same as those in the copy of the 1991 Will
    introduced at trial. Thus, a reasonable inference from Edward’s
    testimony is that he saw the executed copy of the 1991 Will
    approximately six months before Decedent’s death.
    ¶31 Although Appellant concedes that Edward’s affidavit
    supports the trial court’s determination that the 1991 Will was
    properly executed, he claims that Edward “never testified about
    seeing [the 1991 Will] at trial.” Review of the trial transcript belies
    that claim. While Edward did not offer the information during his
    direct examination, Appellant’s cross‐examination of Edward
    included a nearly verbatim reading of the affidavit into the record.
    And the trial court admitted the affidavit as a trial exhibit upon
    Appellant’s motion. Contrary to Appellant’s argument that the trial
    court “had to make [its] decision on the unsigned, undated,
    unwitnessed supposed copy of [Decedent’s] will from the
    11. In addition to the testimony of an attesting witness, or instead
    of such evidence when an attesting witness is not “within the state,
    competent, and able to testify,” the “[d]ue execution of an attested
    or unattested will may be proved by other evidence.” See Utah
    Code Ann. § 75‐3‐406(1) (Michie 1993). Although there was no
    evidence presented that the witnesses to the 1991 Will were
    unavailable, Edward’s testimony is relevant to corroborate that
    provided by Thorne.
    20110863‐CA                       17                 
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    testimony at trial [and] not other things,” the trial court could rely
    on the contents of the affidavit in making its factual findings. See
    Utah R. Civ. P. 43(a) (“All evidence shall be admitted which is
    admissible under the Utah Rules of Evidence or other rules
    adopted by the Supreme Court.”); 
    id.
     R. 52(a) (“Findings of fact,
    whether based on oral or documentary evidence, shall not be set
    aside unless clearly erroneous.”).12
    ¶32 Appellant also challenges the trial court’s finding that
    “[Edward’s] testimony was at times somewhat confusing yet
    seemed credible. His testimony amounts to a declaration against
    interest because he receives inheritance from the estate if there is no
    will, yet receives nothing if either of the wills of which he testified
    are recognized by the court.” Appellant contends, “[Edward’s]
    testimony was so crazy you can’t believe anything he said,” and
    specifically argues that Edward’s inability to recall particularities
    about the One‐Page Will—testimony unrelated to the 1991
    Will—undermines the trial court’s credibility determination.
    However, this court has consistently held that “[t]he trial court has
    an advantaged position in assessing the credibility of witnesses and
    we will not disturb its determination of that issue on appeal.” See
    Grgich v. Grgich, 
    2011 UT App 214
    , ¶ 14, 
    262 P.3d 418
    ; see also Lefavi
    v. Bertoch, 
    2000 UT App 5
    , ¶ 20, 
    994 P.2d 817
     (“The trial court is in
    the best position to assess the credibility of witnesses and to derive
    a sense of the proceeding as a whole, something an appellate court
    cannot hope to garner from a cold record.” (citation and internal
    quotation marks omitted)). Furthermore, the trial court is correct
    that the terms of both of the wills testified to by Edward left him
    12. While Appellant acknowledges that the affidavit was admitted
    as an exhibit at trial, he argues that it was admitted only for
    impeachment purposes to show that the affidavit was inconsistent
    with Edward’s trial testimony because it did not mention the One‐
    Page Will. However, even if that were true, such evidence may be
    considered for substantive purposes. See Utah R. Evid. 801(d)(1)
    advisory committee’s note (indicating that the Utah rule deviates
    from the federal rule in that it allows the use of prior inconsistent
    statements for substantive purposes in certain circumstances).
    20110863‐CA                       18                 
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    nothing and that he would inherit if Decedent died intestate. In
    response, Appellant offers mere speculation about a hypothetical
    side deal between Appellee and Edward.13
    ¶33 Appellant has not met his burden of establishing that the
    trial court’s findings are clearly erroneous. Accordingly, we accept
    the trial court’s factual findings based on the evidence at trial and
    affirm the trial court’s determination that the 1991 Will was
    properly executed. Because Appellant has not otherwise challenged
    the trial court’s determination that the 1991 Will should govern the
    distribution of Decedent’s estate, we also affirm the trial court’s
    order accepting it for probate.14
    III. The Trial Court Did Not Abuse Its Discretion in Denying
    Appellant’s Motion to Alter or Amend and Motion for New Trial
    ¶34 Appellant asserts that the trial court abused its discretion by
    denying his motion to alter or amend. Appellant’s claim is based
    entirely on his challenges to the sufficiency of the evidence
    underlying the trial court’s findings of fact and the trial court’s
    13. Appellant also challenges the sufficiency of the evidence by
    claiming that there was never any proof presented to the trial court
    that Decedent actually paid Thorne for creating the 1991 Will.
    However, the proof provided to the trial court was Thorne’s
    testimony, which the trial court believed.
    14. Specifically, Appellant has not challenged the trial court’s
    determination that “the evidence presented at trial was sufficient
    to rebut the presumption that the lost 1991 [W]ill was intentionally
    revoked” and that “there is no indication that the 1991 [W]ill was
    revoked as required by the [UUPC].” See Utah Code Ann. § 75‐2‐
    507(3) (LexisNexis Supp. 2012) (establishing a presumption that a
    will can be revoked by execution of a subsequent will); In re
    Frandsen’s Will, 
    167 P. 362
    , 363–64 (Utah 1917) (discussing the well‐
    established presumption that when a properly executed will is not
    produced for probate, the decedent is presumed to have destroyed
    the will with the intent of revoking it).
    20110863‐CA                      19                  
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    legal conclusions based on those facts. Because we affirm the
    court’s findings, and its legal conclusions based on those findings,
    we also conclude that the trial court acted within its discretion in
    denying Appellant’s motion to alter or amend.
    ¶35 Appellant next contends that the trial court abused its
    discretion by denying his motion for a new trial. In support,
    Appellant claims that he was unable to hear the proceedings before
    the trial court because the courtroom bailiff told him he had to turn
    down the hearing device provided to him by the court clerks, as it
    was causing a buzzing noise in the court microphones.
    Subsequently, Appellant claims that he was denied his right to
    confront witnesses and his right of due process guaranteed to him
    under the Sixth and Fourteenth amendments to the United States
    Constitution. See generally U.S. Const. amend. VI, XIV.
    ¶36 Rule 59 of the Utah Rules of Civil Procedure provides that
    “a new trial may be granted to all or any of the parties and on all
    or part of the issues, for any . . . [i]rregularity in the proceedings of
    the court . . . by which either party was prevented from having a
    fair trial.” See Utah R. Civ. P. 59(a)(1). When reviewing the trial
    court’s “ultimate decision to grant or deny a new trial, we will
    reverse only if there is no reasonable basis for the decision.”
    Crookston v. Fire Ins. Exch., 
    817 P.2d 789
    , 805 (Utah 1991), holding
    modified by Westgate Resorts, Ltd., v. Consumer Prot. Grp., LLC, 
    2012 UT 55
    , 
    285 P.3d 1219
    ; see also Okelberry v. West Daniels Land Assʹn,
    
    2005 UT App 327
    , ¶ 20 n.14, 
    120 P.3d 34
     (reviewing a rule 59
    motion under the abuse of discretion standard). “Moreover, we
    have stated that absent a showing by the appellant that the trial
    outcome would have differed, every reasonable presumption as to
    the validity of the verdict below must be taken as true upon
    appeal.” Child v. Gonda, 
    972 P.2d 425
    , 429 (Utah 1998).
    ¶37 Under the circumstances of this case, we cannot say that the
    trial court abused its discretion in denying Appellant’s motion for
    a new trial. In its decision, the trial court provided three distinct
    reasons to support its decision. First, the trial court determined that
    Appellant’s objection was untimely because “[Appellant] made the
    20110863‐CA                        20                 
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    In re the Estate of Juanita Marie Valcarce
    decision to not raise this issue with his counsel or the [c]ourt
    before, during, and immediately after the hearing. [Appellant]
    waited approximately two months after the decision was rendered
    in this matter before raising this issue.” Second, the trial court
    indicated that “[Appellant] was fully represented by counsel at
    trial” and “[Appellant’s] counsel could fully hear the proceedings
    and was able to fully present [Appellant’s] case and defense in this
    matter.” Third, the trial court determined that “[Appellant’s]
    attorney made the tactical decision to allow his client not to testify”
    and “[t]he [c]ourt will not now allow a second bite at the apple
    because [Appellant] and his attorney regret th[at] decision.”
    Because the trial court’s rationale for denying the motion for new
    trial reasonably supports its decision, see Crookston, 817 P.2d at 805,
    and because the Appellant has failed to show how his attorney’s
    actions or the trial outcome would have been any different if he
    were able to hear the proceedings or if he chose to testify, see Child,
    972 P.2d at 429, the trial court did not abuse its discretion in
    denying Appellant’s motion for a new trial.
    IV. Unpreserved Claims
    ¶38 Appellant advances two additional claims on appeal,
    including that the trial court should not have considered Edward’s
    testimony because he was not a competent witness and that the
    trial judge should have recused himself from the case because he
    had worked for the same firm where Thorne was a partner. “As a
    general rule, claims not raised before the trial court may not be
    raised on appeal.” State v. Holgate, 
    2000 UT 74
    , ¶ 11, 
    10 P.3d 346
    .
    “In order to preserve an issue for appeal, it must be raised in a
    timely fashion, must be specifically raised such that the issue is
    sufficiently raised to a level of consciousness before the trial court,
    and must be supported by evidence or relevant legal authority.”
    State v. Richins, 
    2004 UT App 36
    , ¶ 8, 
    86 P.3d 759
     (citation and
    internal quotation marks omitted).
    ¶39 Although Appellant made no objection to Edward’s
    testimony on grounds of incompetence, he contends that he
    preserved this claim because trial counsel made statements in
    20110863‐CA                       21                 
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    closing argument that Edward’s testimony was potentially
    incomplete and inconsistent. However, the closing argument of
    counsel is not a proper objection calling to the trial court’s attention
    a basis for excluding Edward’s testimony. By the time of argument,
    the testimony had been admitted without objection. Therefore,
    Appellant has not properly preserved this issue for review on
    appeal. See 
    id. ¶40
     Appellant acknowledges that his disqualification claim is
    being raised for the first time on appeal, which typically would be
    fatal. See State v. Tueller, 
    2001 UT App 317
    , ¶ 8, 
    37 P.3d 1180
    (“[Appellant] acknowledges that he raises the issue of recusal for
    the first time on appeal. Therefore, he has not properly preserved
    it for review.”). Nevertheless, he argues that we should consider
    this issue because he was unaware of the trial judge’s alleged
    employment at Thorne’s law firm until after his appeal was filed.
    ¶41 Rule 63(b) of the Utah Rules of Civil Procedure governs the
    disqualification of a judge. See generally Utah R. Civ. P. 63(b). It
    provides that “[a] party to any action . . . may file a motion to
    disqualify a judge,” and that the motion must be “accompanied by
    a certificate that the motion is filed in good faith and shall be
    supported by an affidavit stating facts sufficient to show bias . . . or
    conflict of interest.” 
    Id.
     R. 63(b)(1)(A). The rule further provides
    that the motion must be filed “after commencement of the action,
    but not later than [twenty] days after . . . the date on which the
    moving party learns or with the exercise of reasonable diligence
    should have learned of the grounds upon which the motion is
    based.” 
    Id.
     R. 63(b)(1)(B)(iii). Appellant has filed neither a motion
    nor an affidavit setting forth the basis for his belief that the trial
    judge was a member of the same law firm at the time Thorne
    prepared the 1991 Will. See Campbell, Maack & Sessions v. Debry,
    
    2001 UT App 397
    , ¶ 27, 
    38 P.3d 984
     (holding that the failure to file
    an affidavit was fatal to the party’s disqualification claim).
    ¶42 Even if Appellant could be excused from those requirements
    due to the fact that the trial court had rendered its decision and this
    appeal was pending when he first discovered the facts alleged, the
    20110863‐CA                       22                  
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    In re the Estate of Juanita Marie Valcarce
    matter cannot be raised for the first time on appeal. Although Utah
    appellate courts have had no occasion to expressly consider the
    issue, decisions from other jurisdictions indicate that when a party
    discovers facts supporting the disqualification of the trial judge
    after judgment is entered, the proper procedure is to file a motion
    for relief from judgment, similar to the relief available under Utah
    Rule of Civil Procedure 60(b). See Utah R. Civ. P. 60(b) (providing
    grounds for relief from judgment); see also Liljeberg v. Health Servs.
    Acquisition Corp., 
    486 U.S. 847
    , 847, 863–70 (1988) (discussing a
    party’s motion under the federal version of rule 60(b) in response
    to information that the trial judge served on the board of trustees
    of a college with a financial interest in the litigation that the party
    first discovered ten months after judgment was entered); Perry v.
    Schwarzenegger, 
    790 F. Supp. 2d 1119
    , 1121–23 (N.D. Cal. 2011)
    (discussing a party’s motion to vacate judgment holding that
    Proposition 8’s definition of marriage under the California
    Constitution violates the United States Constitution upon learning,
    for the first time during appeal, that the trial judge was a
    homosexual and was in a same‐sex relationship at the time he
    presided over the case), aff’d, Perry v. Brown, 
    671 F.3d 1052
     (9th Cir.
    2012), cert. granted, Hollingsworth v. Perry, 
    133 S. Ct. 786
     (Dec. 7,
    2012) (No. 12‐144); Petzold v. Kessler Homes, Inc., 
    303 S.W.3d 467
    , 469
    (Ky. 2010) (discussing a party’s motion under Kentucky’s version
    of rule 60(b) motion brought when, during appeal, they discovered
    that the daughter of the opposing party was the trial judge’s
    treasurer during the judge’s election campaign). By pursuing relief
    from judgment in the trial court, factual issues raised by Appellant
    can be explored and resolved, including the basis of Appellant’s
    allegations, the time when Appellant knew or should have known
    of the information, and the trial judge’s involvement with Thorne’s
    law firm. Based on that factual record, the trial court can then
    determine whether the participation of the trial judge warrants a
    new trial. Furthermore, the rule 60(b) hearing and decision will
    create a factual record for appellate review.
    ¶43 Unlike a trial court, we do not find facts, and our review is
    limited to the factual record developed in the trial court. See In re
    United Effort Plan Trust, 
    2012 UT 47
    , ¶ 6 n.4, 
    289 P.3d 408
     (“[O]ur
    20110863‐CA                       23                 
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    In re the Estate of Juanita Marie Valcarce
    review is ‘limited to the evidence contained in the record on
    appeal.’” (quoting State v. Pliego, 
    1999 UT 8
    , ¶ 7, 
    974 P.2d 279
    )).
    Therefore, we decline to consider Appellant’s claim that the trial
    judge should have recused himself from serving in this matter.
    CONCLUSION
    ¶44 The trial court did not err in probating the estate of
    Decedent according to the terms of the 1991 Will. We affirm the
    trial court’s factual determinations because Appellant has failed to
    demonstrate how the findings were clearly erroneous.
    Additionally, we conclude that the trial court acted within its
    discretion in denying Appellant’s motion to alter or amend and his
    motion for a new trial. Last, we determine that Appellant’s
    remaining claims were not preserved for appellate review.
    ¶45    Affirmed.
    20110863‐CA                      24                  
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