*EH1208.2* Reprinted February 15, 2022 ENGROSSED HOUSE BILL No. 1208 _____ DIGEST OF HB 1208 (Updated February 14, 2022 4:19 pm - DI 149) Citations Affected: IC 16-36; IC 29-1; IC 29-3; IC 30-4; IC 30-5; IC 34-23; noncode. Synopsis: Various probate and trust matters. In one instance in the law on health care advance directives, changes the word "testator" to "declarant". Amends several provisions relating to the filing of notices to make those provisions consistent with Rules of Trial Procedure 86 and 87 concerning electronic filing. Resolves inconsistencies in two sections of the chapter on dispensing with administration so that those sections authorize a fiduciary to distribute and disburse the estate assets before filing a closing statement. Authorizes the appointment of a special administrator under certain circumstances and establishes a procedure for the appointment of a special administrator for the purpose of pursuing a claim for a decedent's wrongful death. In a section concerning the filing of an electronic will, replaces an incorrect (Continued next page) Effective: July 1, 2022. Young J (SENATE SPONSORS — FREEMA N, KOCH) January 6, 2022, read first time and referred to Committee on Judiciary. January 13, 2022, reported — Do Pass. January 18, 2022, read second time, ordered engrossed. January 19, 2022, engrossed. January 20, 2022, read third time, passed. Yeas 86, nays 0. SENATE ACTION February 1, 2022, read first time and referred to Committee on Judiciary. February 10, 2022, amended, reported favorably — Do Pass. February 14, 2022, read second time, amended, ordered engrossed. EH 1208—LS 6175/DI 55 Digest Continued reference with a reference to the Rules on Access to Court Records. Provides that a video or audio recording of a principal who executes a power of attorney may be admissible as evidence of matters relevant to the validity or enforceability of the power of attorney. Provides that any objection to a final account and petition for distribution of a decedent's estate must be filed at least 14 days before the hearing date. Eliminates references to a trustee "docketing" a trust and identifies permissible methods for the filing of a copy of a trust instrument with a court. Amends two definitions of "electronic power of attorney" to provide that an electronic power of attorney may be signed in the presence of witnesses instead of being notarized. Provides that a person who has been found guilty, or guilty but mentally ill, on a charge of causing an unlawful death of a decedent is a constructive trustee of certain property acquired or entitled to be received by the culpable person. Includes a married individual who does not have any dependents and whose death was caused by a spouse within the definition of "adult person" for the purpose of a wrongful death action. Makes conforming changes. Makes technical corrections. (The introduced version of this bill was prepared by the probate code study commission.) EH 1208—LS 6175/DI 55EH 1208—LS 6175/DI 55 Reprinted February 15, 2022 Second Regular Session of the 122nd General Assembly (2022) PRINTING CODE. Amendments: Whenever an existing statute (or a section of the Indiana Constitution) is being amended, the text of the existing provision will appear in this style type, additions will appear in this style type, and deletions will appear in this style type. Additions: Whenever a new statutory provision is being enacted (or a new constitutional provision adopted), the text of the new provision will appear in this style type. Also, the word NEW will appear in that style type in the introductory clause of each SECTION that adds a new provision to the Indiana Code or the Indiana Constitution. Conflict reconciliation: Text in a statute in this style type or this style type reconciles conflicts between statutes enacted by the 2021 Regular Session of the General Assembly. ENGROSSED HOUSE BILL No. 1208 A BILL FOR AN ACT to amend the Indiana Code concerning probate. Be it enacted by the General Assembly of the State of Indiana: 1 SECTION 1. IC 16-36-7-19, AS AMENDED BY THE 2 TECHNICAL CORRECTIONS BILL OF THE 2022 GENERAL 3 ASSEMBLY, IS AMENDED TO READ AS FOLLOWS [EFFECTIVE 4 JULY 1, 2022]: Sec. 19. (a) As used in this chapter and with respect to 5 interactions between a declarant and a witness who signs or 6 participates in the signing of an advance directive or other document 7 under this chapter, "presence", "present", and "to be present" means 8 that throughout the process of signing and witnessing the advance 9 directive or other document the following must occur: 10 (1) The declarant and the witness are: 11 (A) directly present with each other in the same physical 12 space; 13 (B) able to interact with each other in real time through the use 14 of any audiovisual technology now known or later developed; 15 or 16 (C) able to speak to and hear each other in real time through 17 telephonic interaction when: EH 1208—LS 6175/DI 55 2 1 (i) the identity of the declarant is personally known to the 2 witness; 3 (ii) the witness is able to view a government issued, 4 photographic identification of the declarant; or 5 (iii) the witness is able to ask any question of the declarant 6 that authenticates the identity of the declarant and 7 establishes the capacity and sound mind of the declarant to 8 the satisfaction of the witness. 9 (2) The witnesses are able to positively identify the declarant by 10 viewing a government issued, photographic identification of the 11 declarant, or by receiving accurate answers from the declarant 12 that authenticate the identity of the declarant and establish the 13 capacity and sound mind of the declarant to the satisfaction of the 14 witness. 15 (3) Each witness is able to interact with the declarant and each 16 other witness, if any, by observing: 17 (A) the declarant's expression of intent to execute an advance 18 directive or other document under this chapter; 19 (B) the declarant's actions in executing or directing the 20 execution of the advance directive or other document under 21 this chapter; and 22 (C) the actions of each other witness in signing the advance 23 directive or other document. 24 The requirements of subdivisions (2) and (3) are satisfied even if the 25 declarant and one (1) or all witnesses use technology to assist with one 26 (1) or more of the capabilities of hearing, eyesight, or speech to 27 compensate for impairments of any one (1) or more of those 28 capabilities. 29 (b) As used in this chapter and with respect to interactions between 30 a declarant and a notarial officer who signs or participates in the 31 signing of an advance directive or other document under this chapter, 32 "presence", "present", and "to be present" means that throughout the 33 process of signing, acknowledging, and notarizing the advance 34 directive or other document the following must occur: 35 (1) The declarant and the notarial officer are: 36 (A) directly present with each other in the same physical 37 space; or 38 (B) able to interact with each other in real time through the use 39 of any audiovisual technology, now known or later developed, 40 whose use complies with IC 33-42. 41 (2) The notarial officer is able to positively identify the declarant 42 by using an identity proofing method permitted under EH 1208—LS 6175/DI 55 3 1 IC 33-42-0.5-16. 2 (3) Each witness or the notarial officer is able to interact with the 3 declarant and each other witness, if any, by observing the 4 declarant's: 5 (A) expression of intent to execute an advance directive or 6 other document under this chapter; and 7 (B) actions in executing or directing the execution of the 8 advance directive or other document under this chapter. 9 If the declarant appears before the notarial officer in a manner that 10 satisfies the definitions of "appear" and "appearance" as defined in 11 IC 33-42-0.5, IC 33-42-0.5-3, then the declarant and the notarial 12 officer satisfy the presence requirement described in this chapter. The 13 requirements specified in subdivisions (2) and (3) are satisfied even if 14 the testator declarant and the notarial officer use technology to assist 15 with one (1) or more of the capabilities of hearing, eyesight, or speech 16 to compensate for impairments of any one (1) or more of those 17 capabilities. 18 SECTION 2. IC 29-1-1-12, AS AMENDED BY P.L.95-2007, 19 SECTION 3, IS AMENDED TO READ AS FOLLOWS [EFFECTIVE 20 JULY 1, 2022]: Sec. 12. (a) Unless waived and except as otherwise 21 provided by law, all notices required by this article to be served upon 22 any person shall be served as the court shall direct by rule or in a 23 particular case, by: 24 (1) delivering a copy of the notice to the person or by leaving a 25 copy of the notice at the person's last and usual place of residence, 26 at least ten (10) days before the hearing, if the person is a resident 27 of the state of Indiana; 28 (2) publication, if the person is a nonresident of the state of 29 Indiana or if the person's residence is unknown, once each week 30 for three (3) weeks consecutively in a newspaper printed and 31 circulating in the county where the court is held, the first day of 32 publication to be at least thirty (30) days prior to the date set for 33 hearing; or in case there is no newspaper printed in the county, 34 then in a newspaper circulating in the county where the 35 proceeding is pending, and designated by the judge or clerk; 36 (3) first class postage prepaid mail addressed to the person 37 located in the United States, at the person's address stated in the 38 petition for the hearing, to be posted by depositing in any United 39 States post office in this state at least fourteen (14) days prior to 40 the date set for hearing in the notice; 41 (4) personal service on nonresidents to be served by any officer 42 authorized to serve process in the county of the nonresident, EH 1208—LS 6175/DI 55 4 1 which notice shall be served at least fourteen (14) days prior to 2 the date set for hearing in such notice; or 3 (5) any combination of two (2) or more of the above. 4 (b) In all cases where service by publication is ordered but personal 5 service or service by registered mail is not ordered, all persons directed 6 by the provisions of this article, or by order of the court, to be notified, 7 whose names and addresses are known or can by reasonable diligence 8 be ascertained by the party charged with the duty of giving notice, shall 9 in addition to the published notice required by order, be served by a 10 written notice by United States first class postage prepaid mail at least 11 fourteen (14) days prior to the date set for hearing in the notice. 12 (c) The personal representative or party charged with the duty of 13 giving notice shall furnish the clerk with sufficient copies of the notice, 14 prepared for mailing, and the clerk shall mail the notice. 15 SECTION 3. IC 29-1-1-13 IS AMENDED TO READ AS 16 FOLLOWS [EFFECTIVE JULY 1, 2022]: Sec. 13. Service by 17 publication and by mail shall be made by the clerk at the instance of the 18 party who requires such service to be made. Personal service may be 19 made by any competent person unless otherwise directed by the court 20 or the provisions of this article. 21 SECTION 4. IC 29-1-1-16 IS AMENDED TO READ AS 22 FOLLOWS [EFFECTIVE JULY 1, 2022]: Sec. 16. Proof of service in 23 all cases requiring notice, whether by publication, mailing or otherwise, 24 shall be filed before the hearing. Service made by a private person shall 25 be proved by the affidavit of the person; service made by the clerk or 26 other an official shall be proved by certificate or return of service. 27 SECTION 5. IC 29-1-2-12.1, AS AMENDED BY P.L.238-2005, 28 SECTION 4, IS AMENDED TO READ AS FOLLOWS [EFFECTIVE 29 JULY 1, 2022]: Sec. 12.1. (a) A person is a constructive trustee of any 30 property that is acquired by the person or that the person is otherwise 31 entitled to receive as a result of an individual's death, including 32 property from a trust, if that person has been found guilty, or guilty but 33 mentally ill, of murder, causing suicide, or voluntary manslaughter, 34 because of the individual's death. The following definitions apply 35 throughout this section: 36 (1) "Culpable person" means any of the following: 37 (A) A person who: 38 (i) has been charged with causing an unlawful death; and 39 (ii) is found guilty, or guilty but mentally ill, on a charge 40 of causing an unlawful death under a guilty plea or 41 guilty verdict under IC 35-35-1 or IC 35-36-2. 42 (B) A person who is determined by a preponderance of the EH 1208—LS 6175/DI 55 5 1 evidence in a civil action to have knowingly or intentionally 2 caused an unlawful death. 3 (C) The estate of a person who: 4 (i) is described in clause (A) or (B); and 5 (ii) died after causing an unlawful death. 6 (2) "Decedent" means the victim of an unlawful death. 7 (3) "Unlawful death" means a death resulting from murder, 8 voluntary manslaughter, or suicide caused by a person other 9 than the decedent. The term includes a death resulting from 10 an offense under IC 35-42-1-1, IC 35-42-1-2, or IC 35-42-1-3. 11 (b) A judgment of conviction is conclusive in a subsequent civil 12 action to have the a culpable person declared a constructive trustee 13 under subsection (e). 14 (c) A culpable person is a constructive trustee of any property 15 that is acquired by the culpable person or that the culpable person 16 is entitled to receive as a result of an unlawful death, including the 17 following: 18 (1) Property from a trust. 19 (2) Property from a transfer on death transfer under 20 IC 32-17-14. 21 (3) Proceeds under a policy or certificate of life insurance on 22 the life of the decedent, if the culpable person: 23 (A) is a beneficiary; and 24 (B) would otherwise be entitled to receive the proceeds; 25 under the policy or certificate. 26 (4) Proceeds under a policy or certificate of life insurance on 27 the life of the culpable person, if the decedent: 28 (A) was a beneficiary; and 29 (B) would otherwise be entitled to receive the proceeds; 30 under the policy or certificate. 31 (5) The decedent's interest in joint tenancy property that 32 would otherwise pass by survivorship to the culpable person 33 as a result of the decedent's death. 34 (6) Property passing under a contractual agreement upon the 35 decedent's death. 36 (d) If a culpable person dies after causing an unlawful death, life 37 insurance proceeds that would otherwise be subject to a 38 constructive trust under subsection (c)(3) or (c)(4) may be paid in 39 the same manner as the life insurance proceeds would be paid if the 40 culpable person had predeceased the decedent. 41 (b) (e) A civil action may be initiated by an interested person to 42 have a culpable person declared a constructive trustee of property that EH 1208—LS 6175/DI 55 6 1 is acquired by the culpable person, or that the culpable person is 2 otherwise entitled to receive including property from a trust, as a result 3 of an individual's death, if: unlawful death. 4 (1) the person has been charged with murder, causing suicide, or 5 voluntary manslaughter, because of the individual's death; and 6 (2) the person has been found not responsible by reason of 7 insanity at the time of the crime. 8 If a civil action is initiated under this subsection, the court shall declare 9 that the culpable person is a constructive trustee of the property if by 10 a preponderance of the evidence it is determined that the culpable 11 person killed or caused the suicide of the individual. unlawful death. 12 (c) (f) If a constructive trust is established under this section, the 13 property that is subject to the trust may be used only to benefit those 14 persons, other than the culpable person and constructive trustee, 15 legally entitled to the property, determined as if the constructive trustee 16 had died immediately before the decedent. However, if any property 17 that the constructive trustee acquired as a result of the decedent's 18 unlawful death has been sold to an innocent purchaser for value who 19 acted in good faith, that property is no longer subject to the 20 constructive trust, but the property received from the purchaser under 21 the transaction becomes subject to the constructive trust. 22 SECTION 6. IC 29-1-3-3 IS AMENDED TO READ AS FOLLOWS 23 [EFFECTIVE JULY 1, 2022]: Sec. 3. (a) The election to take the share 24 hereinbefore provided shall be in writing, signed and acknowledged by 25 the surviving spouse or by the guardian of his the estate and shall be 26 filed in the office of the clerk of the court. It may be in the following 27 form: 28 I, A.B., surviving wife (or husband) of C.D., late of the county of 29 ____________ and state of _______, do hereby elect to take my legal 30 share in the estate of the said C.D. and I do hereby renounce provisions 31 in the will of the said C.D. inconsistent herewith. 32 Signed, 33 (Signature) 34 (Acknowledgment) 35 (b) Said election shall be recorded by such clerk in the record of 36 wills, marginal reference being made from such record to the book and 37 page in which such will is recorded, and from the record of such will 38 to the book and page where such election is recorded. 39 (c) The clerk shall cause a copy of said election to be served upon 40 the personal representative and his the personal representative's 41 attorney of record by United States through the E-filing System of the 42 Indiana Courts or by first class postage prepaid mail addressed to EH 1208—LS 6175/DI 55 7 1 such persons at their respective addresses as shown by the petition for 2 probate of will and appointment of personal representative. 3 SECTION 7. IC 29-1-7-7, AS AMENDED BY P.L.231-2019, 4 SECTION 7, IS AMENDED TO READ AS FOLLOWS [EFFECTIVE 5 JULY 1, 2022]: Sec. 7. (a) As soon as letters testamentary or of 6 administration, general or special, supervised or unsupervised, have 7 been issued, the clerk of the court shall publish notice of the estate 8 administration shall be published. 9 (b) The notice required under subsection (a) shall be published in 10 a newspaper of general circulation, printed in the English language and 11 published in the county where the court is located, once each week for 12 two (2) consecutive weeks. A copy of the notice, with proof of 13 publication, shall be filed with the clerk of the court as a part of the 14 administration of the estate within thirty (30) days after the publication. 15 If no newspaper is published in the county, the notice shall be 16 published in a newspaper published in an adjacent county. 17 (c) The notice required under subsection (a) shall be served 18 through the E-filing System of the Indiana Courts or by first class 19 postage prepaid mail on each heir, devisee, legatee, and known creditor 20 whose name and address is set forth in the petition for probate or 21 letters, except as otherwise ordered by the court. The personal 22 representative shall furnish sufficient copies of the notice, prepared for 23 mailing, and the clerk of the court shall mail the notice upon the 24 issuance of letters. 25 (d) The personal representative or the personal representative's 26 agent shall serve notice on each creditor of the decedent: 27 (1) whose name is not set forth in the petition for probate or 28 letters under subsection (c); 29 (2) who is known or reasonably ascertainable within one (1) 30 month after the first publication of notice under subsection (a); 31 and 32 (3) whose claim has not been paid or settled by the personal 33 representative. 34 The notice may be served by mail or any other means reasonably 35 calculated to ensure actual receipt of the notice by a creditor. The unit 36 is a reasonably ascertainable creditor under this section if the decedent 37 was at least fifty-five (55) years of age at the time of death and dies on 38 or after June 30, 2018. Notice served under this section by mail to the 39 unit at the unit's address is reasonably calculated to ensure receipt of 40 the notice by the unit. 41 (e) Notice under subsection (d) shall be served within one (1) month 42 after the first publication of notice under subsection (a) or as soon as EH 1208—LS 6175/DI 55 8 1 possible after the elapse of one (1) month. If the personal representative 2 or the personal representative's agent fails to give notice to a known or 3 reasonably ascertainable creditor of the decedent under subsection (d) 4 within one (1) month after the first publication of notice under 5 subsection (a), the period during which the creditor may submit a claim 6 against the estate includes an additional period ending two (2) months 7 after the date notice is given to the creditor under subsection (d). 8 However, a claim filed under IC 29-1-14-1(a) more than nine (9) 9 months after the death of the decedent is barred. 10 (f) A schedule of creditors that received notice under subsection (d) 11 shall be delivered to the clerk of the court as soon as possible after 12 notice is given. 13 (g) The giving of notice to a creditor or the listing of a creditor on 14 the schedule delivered to the clerk of the court does not constitute an 15 admission by the personal representative that the creditor has an 16 allowable claim against the estate. 17 (h) If any person entitled to receive notice under this section is 18 under a legal disability, the notice may be served upon or waived by the 19 person's natural or legal guardian or by the person who has care and 20 custody of the person. 21 (i) The notice shall read substantially as follows: 22 NOTICE OF ADMINISTRATION 23 In the _____________ Court of ______________ County, Indiana. 24 Notice is hereby given that _________ was, on the ____ day of 25 ______, 20 __, appointed personal representative of the estate of 26 _________, deceased, who died on the ___ day of ________, 20 __. 27 All persons who have claims against this estate, whether or not now 28 due, must file the claim in the office of the clerk of this court within 29 three (3) months from the date of the first publication of this notice, or 30 within nine (9) months after the decedent's death, whichever is earlier, 31 or the claims will be forever barred. 32 Dated at ________, Indiana, this ___ day of ______, 20 __. 33 _______________________________ 34 CLERK OF THE _________ COURT 35 FOR _______ COUNTY, INDIANA 36 SECTION 8. IC 29-1-8-3, AS AMENDED BY P.L.56-2020, 37 SECTION 5, IS AMENDED TO READ AS FOLLOWS [EFFECTIVE 38 JULY 1, 2022]: Sec. 3. (a) As used in this section, "fiduciary" means: 39 (1) the personal representative of an unsupervised estate; or 40 (2) a person appointed by a court under this title to act on behalf 41 of the decedent or the decedent's distributees. 42 (b) Except as otherwise provided in this section, if the value of a EH 1208—LS 6175/DI 55 9 1 decedent's gross probate estate, less liens and encumbrances, does not 2 exceed the sum of: 3 (1) an amount equal to: 4 (A) twenty-five thousand dollars ($25,000), for the estate of an 5 individual who dies before July 1, 2006; and 6 (B) fifty thousand dollars ($50,000), for the estate of an 7 individual who dies after June 30, 2006; 8 (2) the costs and expenses of administration; and 9 (3) reasonable funeral expenses; 10 the fiduciary, without giving notice to creditors, may file disburse and 11 distribute the estate to the persons entitled to it, followed by the 12 filing of a closing statement, as provided in section 4 of this chapter 13 and disburse and distribute the estate to the persons entitled to it, as 14 provided in section 4 of this chapter. 15 (c) If an estate described in subsection (a) includes real property, an 16 affidavit may be recorded in the office of the recorder in the county in 17 which the real property is located. The affidavit must contain the 18 following: 19 (1) The legal description of the real property. 20 (2) The following statements: 21 (A) If the individual dies after June 30, 2006, the following 22 statement: "It appears that the decedent's gross probate estate, 23 less liens and encumbrances, does not exceed the sum of the 24 following: fifty thousand dollars ($50,000), the costs and 25 expenses of administration, and reasonable funeral expenses.". 26 (B) If the individual dies before July 1, 2006, the following 27 statement: "It appears that the decedent's gross probate estate, 28 less liens and encumbrances, does not exceed the sum of the 29 following: twenty-five thousand dollars ($25,000), the costs 30 and expenses of administration, and reasonable funeral 31 expenses.". 32 (3) The name of each person entitled to at least a part interest in 33 the real property as a result of a decedent's death, the share to 34 which each person is entitled, and whether the share is a divided 35 or undivided interest. 36 (4) A statement which explains how each person's share has been 37 determined. 38 SECTION 9. IC 29-1-8-4, AS AMENDED BY P.L.56-2020, 39 SECTION 6, IS AMENDED TO READ AS FOLLOWS [EFFECTIVE 40 JULY 1, 2022]: Sec. 4. (a) As used in this section, "fiduciary" means: 41 (1) the personal representative of an unsupervised estate; or 42 (2) a person appointed by a court under this title to act on behalf EH 1208—LS 6175/DI 55 10 1 of the decedent or the decedent's distributees. 2 (b) Unless prohibited by order of the court and except for estates 3 being administered by supervised personal representatives, a fiduciary 4 may close an estate administered under the summary procedures of 5 section 3 of this chapter by disbursing and distributing the estate 6 assets to the distributees and other persons entitled to those assets, 7 and by filing with the court, at any time after disbursement and 8 distribution of the estate, a verified statement stating that: 9 (1) to the best knowledge of the fiduciary, the value of the gross 10 probate estate, less liens and encumbrances, did not exceed the 11 sum of: 12 (A) twenty-five thousand dollars ($25,000), for the estate of an 13 individual who dies before July 1, 2006, and fifty thousand 14 dollars ($50,000), for the estate of an individual who dies after 15 June 30, 2006; 16 (B) the costs and expenses of administration; and 17 (C) reasonable funeral expenses; 18 (2) the fiduciary has fully administered the estate by disbursing 19 and distributing it to the persons entitled to it; and 20 (3) the fiduciary has sent a copy of the closing statement to all 21 distributees of the estate and to all known creditors or other 22 claimants of whom the fiduciary is aware and has furnished a full 23 accounting in writing of the administration to the distributees 24 whose interests are affected. 25 (c) If no actions, claims, objections, or proceedings involving the 26 fiduciary are filed in the court within two (2) months after the closing 27 statement is filed, the fiduciary may immediately disburse and 28 distribute the estate free from claims to the persons entitled to the 29 disbursement and distribution. After disbursing and distributing an 30 estate, the fiduciary must file a report in the court of the disbursement 31 and distribution. the closing statement filed under this section has 32 the same effect as one filed under IC 29-1-7.5-4, and the 33 appointment of the personal representative or the duties of the 34 fiduciary, as applicable, shall terminate. upon the filing of the report. 35 (d) A closing statement filed under this section has the same effect 36 as one (1) filed under IC 29-1-7.5-4. 37 (e) (d) A copy of any affidavit recorded under section 3(c) of this 38 chapter must be attached to the closing statement filed under this 39 section. 40 SECTION 10. IC 29-1-10-15 IS AMENDED TO READ AS 41 FOLLOWS [EFFECTIVE JULY 1, 2022]: Sec. 15. (a) A special 42 administrator may be appointed by the court if: EH 1208—LS 6175/DI 55 11 1 (a) (1) from any cause, delay is necessarily occasioned in granting 2 letters; or 3 (b) (2) before the expiration of the time allowed by law for issuing 4 letters, any competent person shall file his an affidavit with the 5 clerk stating that anyone is intermeddling with the estate or that 6 there is no one having authority to take care of the same; or 7 (c) (3) if any person shall have died testate and objections to the 8 probate of his the person's will shall have been filed as provided 9 by law; 10 (4) the court determines that the appointment is necessary 11 under IC 29-1-13-16; or 12 (5) no personal representative has been appointed and the 13 appointment is sought for the sole purpose of pursuing 14 damages for a decedent's wrongful death after notice and 15 hearing as provided in section 15.5 of this chapter. 16 (b) The appointment of a special administrator may be for a 17 specified time to perform duties respecting specific property, or to 18 perform particular acts as shall be stated in the order of appointment. 19 The fact that a person has been designated as executor in a decedent's 20 will shall not disqualify him the person from being appointed special 21 administrator of such decedent's estate or any portion thereof. 22 (c) The special administrator shall make such reports as the court 23 shall direct, and shall account to the court upon the termination of his 24 the special administrator's authority. Otherwise, and except as the 25 provisions of this article by terms apply to general personal 26 representatives, and except as ordered by the court, the law and 27 procedure relating to personal representatives in this article shall apply 28 to special administrators. The order appointing a special administrator 29 shall not be appealable. 30 SECTION 11. IC 29-1-10-15.5 IS ADDED TO THE INDIANA 31 CODE AS A NEW SECTION TO READ AS FOLLOWS 32 [EFFECTIVE JULY 1, 2022]: Sec. 15.5. (a) Upon the filing of a 33 petition for the appointment of a special administrator for the sole 34 purpose of pursuing a claim for the decedent's wrongful death, 35 hearing and notice shall be had as set forth in this section. 36 (b) The court or clerk shall set a date by which all objections or 37 petitions for an alternate appointment must be filed in writing, and 38 the clerk shall give notice to all interested persons that a petition 39 for appointment of a special administrator to pursue a claim for 40 decedent's wrongful death has been filed and will be acted upon by 41 the court on the date set unless written objections or requests for 42 an alternate special administrator are presented to the court on or EH 1208—LS 6175/DI 55 12 1 before that date. 2 (c) In the petition for appointment as special administrator, the 3 petitioner shall identify the names and addresses of all persons 4 potentially interested in the wrongful death claim whose names and 5 addresses are known to the petitioner or may by reasonable 6 diligence be ascertained. The petitioner shall provide sufficient 7 copies of the notice described in subsection (b), prepared for 8 mailing to the clerk. The clerk shall send a copy of the notice by 9 ordinary mail to each of such interested persons at least thirty (30) 10 days prior to the hearing date. Any interested person may waive 11 the service by mail of this notice. Neither a notice nor a hearing is 12 required if all persons entitled to notice waive in writing the service 13 of notice by mail and consent to the appointment of the special 14 administrator without a hearing. 15 (d) If a person interested in the wrongful death claim is 16 unknown or cannot be located, the petitioner may give notice by 17 one (1) publication in a newspaper of general circulation, published 18 in the county in which the petition is pending. 19 (e) The deadline for filing an objection or request for an 20 alternate special administrator is fourteen (14) days before the 21 hearing date. The notice described in subsections (b) and (c) shall 22 state that objections or a request for an alternate special 23 administrator must be filed in writing at least fourteen (14) days 24 before the hearing date. 25 SECTION 12. IC 29-1-16-6 IS AMENDED TO READ AS 26 FOLLOWS [EFFECTIVE JULY 1, 2022]: Sec. 6. (a) Upon the filing 27 of any account in a decedent's estate, hearing and notice thereof shall 28 be had as set forth in this section. 29 (b) If the account is for final settlement, the court or clerk shall set 30 a date by which all objections to such final account and petition for 31 distribution must be filed in writing. and The date shall be at least 32 fourteen (14) days before the hearing date. clerk The personal 33 representative or the personal representative's agent shall give 34 serve notice upon notice to all persons: 35 (1) who are entitled to share in the final distribution of said 36 estate; and 37 (2) whose names and addresses are known to the personal 38 representative or may by reasonable diligence be ascertained 39 as set forth in the personal representative's petition for 40 distribution; 41 that a final report has been filed and will be acted upon by the court on 42 the date set unless written objections are presented to the court on or EH 1208—LS 6175/DI 55 13 1 at least fourteen (14) days before that the hearing date. The personal 2 representative shall at the time said account is filed furnish to the clerk 3 the names and addresses of all persons entitled to share in the 4 distribution of the residue of said estate, whose names and addresses 5 are known to the personal representative or may by reasonable 6 diligence be ascertained as set forth in the personal representative's 7 petition for distribution, together with sufficient copies of said notice 8 prepared for mailing. The clerk personal representative or the 9 personal representative's agent shall send a copy of said notice by 10 ordinary through the E-filing System of the Indiana Courts or by 11 first class postage prepaid mail to each of said parties at least 12 fourteen (14) thirty (30) days prior to such the hearing date. Said 13 parties or their attorney of record may waive the service by mail of this 14 notice and where there is an attorney of record, service upon said 15 attorney shall be sufficient as to the parties represented by said 16 attorney. Neither a notice nor a hearing is required if all persons 17 entitled to share in the final distribution of the estate waive the service 18 of notice by mail and consent to the final account and petition for 19 distribution without a hearing. 20 (c) If a person entitled to share in the distribution of the residue of 21 the estate is unknown or cannot be located, the personal representative 22 may give notice by one (1) publication in a newspaper of general 23 circulation, published in the county in which the administration is 24 pending. The deadline for filing an objection is fourteen (14) days 25 before the hearing date. The notice shall state that objections to the 26 final account and petition for distribution must be filed in writing at 27 least fourteen (14) days before the hearing date. 28 (d) If the account is intermediate, but the personal representative has 29 therein petitioned the court that said account be made final as to the 30 matters and things reported in said account, the same procedure as to 31 hearing and notice shall be followed as in the case of a final account. 32 (e) If the account is intermediate and the personal representative 33 makes no request that said account may be made final as to the matters 34 and things reported in said account, the court may order such notice as 35 the court deems necessary or approve the same ex parte and without 36 notice. Every such intermediate account approved without notice shall 37 be subject to review by the court at any time and shall not become final 38 until the personal representative's account in final settlement is 39 approved by the court. 40 SECTION 13. IC 29-1-16-7 IS AMENDED TO READ AS 41 FOLLOWS [EFFECTIVE JULY 1, 2022]: Sec. 7. At any time prior to 42 the hearing on an account of a personal representative, As stated in EH 1208—LS 6175/DI 55 14 1 section 6 of this chapter, any interested person may file written 2 objections to any item or omission in the account. All such objections 3 shall be specific and shall indicate the modification desired. 4 SECTION 14. IC 29-1-17-15.1, AS AMENDED BY P.L.136-2018, 5 SECTION 218, IS AMENDED TO READ AS FOLLOWS 6 [EFFECTIVE JULY 1, 2022]: Sec. 15.1. (a) Whenever any person has 7 died leaving property or any interest in property and no general 8 administration has been commenced on the person's estate in this state, 9 nor has any will been offered for probate in this state, within five (5) 10 months after the person's death, any person claiming an interest in such 11 property as heir or through an heir may file a petition in any court 12 which would be of proper venue for the administration of such 13 decedent's estate, to determine the heirs of said decedent and their 14 respective interests as heirs in the estate. 15 (b) The petition shall state: 16 (1) The name, age, domicile and date of death of the decedent; 17 (2) The names, ages and residence addresses of the heirs, so far 18 as known or can with reasonable diligence be ascertained; 19 (3) The names and residence addresses of any persons claiming 20 any interest in such property through an heir, so far as known or 21 can by reasonable diligence be ascertained; 22 (4) A particular description of the property with respect to which 23 such determination is sought; and 24 (5) The net value of the estate. 25 (c) Upon the filing of the petition, the court shall fix the time for the 26 hearing, thereof, notice of which shall be given to: 27 (1) All persons known or believed to claim any interest in the 28 property as heir or through an heir of the decedent; 29 (2) All persons who may at the date of the filing of the petition be 30 shown by the records of conveyances of the county in which any 31 real property described in such petition is located to claim any 32 interest therein through the heirs of the decedent; and 33 (3) Any unknown heirs of the decedent. 34 Such notice shall be given by publication and, in addition personal 35 notice through the E-filing System of the Indiana Courts or by 36 registered first class postage prepaid mail, shall be given to every 37 such person whose address is known to the petitioner. Upon 38 satisfactory proofs the court shall make a decree determining the heirs 39 of said decedent and their respective interests as heirs in said property. 40 (d) A certified copy of the decree shall be recorded at the expense 41 of the petitioner in each county in which any real property described in 42 the decree is situated except the county in which the decree is entered, EH 1208—LS 6175/DI 55 15 1 and shall be conclusive evidence of the facts determined in the decree 2 as against all parties to the proceedings. 3 SECTION 15. IC 29-1-21-16, AS AMENDED BY P.L.185-2021, 4 SECTION 12, IS AMENDED TO READ AS FOLLOWS [EFFECTIVE 5 JULY 1, 2022]: Sec. 16. (a) As used in this section and for the purpose 6 of offering or submitting an electronic will in probate under IC 29-1-7, 7 the "filing of an electronic will" means the electronic filing of a 8 complete converted copy of the associated electronic will. 9 (b) When filing an electronic will, the filing of any accompanying 10 document integrity evidence or identity verification is not required 11 unless explicitly required by the court. 12 (c) If a person files an electronic will: 13 (1) for the purpose of probating the electronic will; and 14 (2) including accompanying: 15 (A) document integrity evidence; 16 (B) identity verification evidence; or 17 (C) evidence described in both clauses (A) and (B); 18 in the filing or in response to a court order under subsection (e)(2), the 19 person shall file a complete and unredacted copy of the evidence 20 described in clauses (A) and (B) as a nonpublic document under Ind. 21 Administrative Rule 9(G). Rule 5 of the Rules on Access to Court 22 Records. All personally identifying information pertaining to the 23 testator or the attesting witnesses shall be redacted in the publicly filed 24 copy. 25 (d) If an electronic will includes a self-proving clause that complies 26 with section 4(f) of this chapter, the testator's and witnesses' 27 compliance with the execution requirements shall be presumed upon 28 the filing of the electronic will with the court without the need for any 29 additional testimony or an accompanying affidavit. The presumption 30 described in this subsection may be subject to rebuttal or objection on 31 the grounds of fraud, forgery, or impersonation. 32 (e) After determining that a testator is dead and that the testator's 33 electronic will has been executed in compliance with applicable law, 34 the court may: 35 (1) enter an order, without requiring the submission of additional 36 evidence, admitting the electronic will to probate as the last will 37 of the deceased testator unless objections are filed under 38 IC 29-1-7-16; or 39 (2) require the petitioner to submit additional evidence regarding: 40 (A) the proper execution of the electronic will; or 41 (B) the electronic will's freedom from unauthorized alteration 42 or tampering after its execution. EH 1208—LS 6175/DI 55 16 1 The court may require the submission of additional evidence under 2 subdivision (2) on the court's own motion or in response to an objection 3 filed under IC 29-1-7-16. 4 (f) The additional evidence that the court may require and rely upon 5 under subsection (e)(2) may include one (1) or more of the following: 6 (1) Readable copies of the document integrity evidence or the 7 identity verification evidence associated with the electronic will. 8 (2) All or part of the electronic record (if available) in a native or 9 computer readable form. 10 (3) A sworn or verified affidavit from: 11 (A) an attorney or other person who supervised the execution 12 of the electronic will; or 13 (B) one (1) or more of the attesting witnesses. 14 (4) An affidavit signed under section 9(b) of this chapter by a 15 person who created a complete converted copy of the electronic 16 will. 17 (5) A sworn or verified affidavit from a qualified person that: 18 (A) describes the person's training and expertise; 19 (B) describes the results of the person's forensic examination 20 of the electronic record associated with: 21 (i) the electronic will at issue; or 22 (ii) any other relevant evidence; and 23 (C) affirms that the electronic will was not altered or tampered 24 with after its execution. 25 (6) Any other evidence, including other affidavits or testimony, 26 that the court considers material or probative on the issues of 27 proper execution or unauthorized alteration or tampering. 28 (g) If the court enters an order admitting an electronic will to 29 probate after receiving additional evidence, any of the additional 30 evidence may be disputed through a will contest that is timely filed 31 under IC 29-1-7-17. 32 SECTION 16. IC 29-1-22-1, AS ADDED BY P.L.231-2019, 33 SECTION 20, IS AMENDED TO READ AS FOLLOWS [EFFECTIVE 34 JULY 1, 2022]: Sec. 1. The following terms are defined for this 35 chapter: 36 (1) "Complete converted copy" means a document in any format 37 that: 38 (A) can be visually perceived in its entirety on a monitor or 39 other display device; 40 (B) can be printed; and 41 (C) contains the following: 42 (i) The text of an electronic will. EH 1208—LS 6175/DI 55 17 1 (ii) The respective electronic signatures of the testator and 2 attesting witnesses. 3 (iii) A readable copy of all document integrity evidence, if 4 applicable. 5 (iv) A self-proving affidavit if the electronic will is 6 self-proved. 7 (2) "Document integrity evidence" means the part of the 8 electronic will, electronic trust instrument, or electronic power of 9 attorney that: 10 (A) is created and maintained electronically; 11 (B) includes digital markers to demonstrate that the electronic 12 will, electronic trust instrument, or electronic power of 13 attorney has not been altered or tampered with after its 14 execution; 15 (C) is logically associated with the electronic will, electronic 16 trust instrument, or electronic power of attorney; 17 (D) will generate an error message, invalidate an electronic 18 signature, make the electronic record unreadable, or otherwise 19 display evidence that some alteration was made to the 20 electronic record after its execution; and 21 (E) includes the following information: 22 (i) The city, state, date, and time of the execution of the 23 electronic will, electronic trust instrument, or electronic 24 power of attorney by the testator, settlor, or principal and 25 any attesting witnesses as applicable. 26 (ii) The text of the self-proving affidavit if the document is 27 an electronic will and is self-proved. 28 (iii) The name of the testator, settlor, or principal and the 29 names of all attesting witnesses, if applicable. 30 (iv) The name and address of any person responsible for 31 signing the signature of the testator, settlor, or principal on 32 the electronic document at the direction and in the presence 33 of the testator, settlor, or principal. 34 (v) Copies of or links to the electronic signatures of the 35 testator, settlor, or principal and any attesting witnesses, if 36 applicable. 37 (vi) A general description of the type of identity verification 38 evidence used to verify the identity of the testator, settlor, or 39 principal. 40 (vii) The content of the cryptographic hash or unique code 41 used to complete the electronic will, electronic trust 42 instrument, or electronic power of attorney and make the EH 1208—LS 6175/DI 55 18 1 electronic will, electronic trust instrument, or electronic 2 power of attorney tamper evident if a public key 3 infrastructure or similar secure technology was used to sign 4 or authenticate the electronic will, electronic trust 5 instrument, or electronic power of attorney and if the vendor 6 or the software for the technology makes inclusion feasible. 7 (3) "Electronic estate planning document" means: 8 (A) an electronic will; 9 (B) an electronic trust instrument; 10 (C) an electronic power of attorney; or 11 (D) any electronic document that: 12 (i) revokes; or 13 (ii) amends; 14 any document described in clauses (A) through (C). 15 (4) "Electronic power of attorney" means a power of attorney 16 created by a principal that: 17 (A) is initially created and maintained as an electronic record; 18 (B) contains the electronic signature of the principal creating 19 the power of attorney; 20 (C) contains the date and time of the electronic signature of the 21 principal creating the power of attorney; and 22 (D) is notarized. has the meaning set forth in 23 IC 30-5-11-3(8). 24 The term includes an amendment to or a restatement of the power 25 of attorney if the amendment or restatement complies with the 26 requirements described in IC 30-5-11-5. 27 (5) "Electronic record" has the meaning set forth in 28 IC 26-2-8-102(9). The term may include one (1) or more of the 29 following: 30 (A) The document integrity evidence associated with an 31 electronic will, electronic trust instrument, or electronic power 32 of attorney. 33 (B) The identity verification evidence of the testator, settlor, 34 or principal who executed the electronic will, electronic trust 35 instrument, or electronic power of attorney. 36 (6) "Electronic signature" has the meaning set forth in 37 IC 26-2-8-102(10). 38 (7) "Electronic trust instrument" means a trust instrument for an 39 inter vivos trust created by a settlor or other person that: 40 (A) is initially created and maintained as an electronic record; 41 (B) contains the electronic signature of the settlor or other 42 person creating the trust; and EH 1208—LS 6175/DI 55 19 1 (C) contains the date and time of the electronic signature of the 2 settlor or other person creating the trust. 3 The term includes an amendment to or a restatement of a 4 revocable trust instrument when the amendment or restatement is 5 executed in accordance with the requirements of IC 30-4-1.5-6. 6 (8) "Electronic will" means the will of a testator that: 7 (A) is initially created and maintained as an electronic record; 8 (B) contains the electronic signatures of the testator and 9 attesting witnesses; and 10 (C) contains the date and time of the electronic signatures. 11 (9) "Executed" means the signing of an electronic estate planning 12 document. The term includes the use of an electronic signature. 13 (10) "Identity verification evidence" means: 14 (A) a copy of the government issued photo identification card 15 of the testator, settlor, or principal; or 16 (B) any other information that verifies the identity of the 17 testator, settlor, or principal if derived from one (1) or more of 18 the following sources: 19 (i) A knowledge based authentication method. 20 (ii) A physical device. 21 (iii) A digital certificate using a public key infrastructure. 22 (iv) A verification or authorization code sent to or used by 23 the testator, settlor, or principal. 24 (v) Biometric identification. 25 (vi) Any other commercially reasonable method for 26 verifying the identity of the testator, settlor, or principal 27 using current or future technology. 28 (11) "Index" means the electronic estate planning documents 29 index created under section 2(e) of this chapter. 30 (12) "Logically associated" means electronically connected, 31 cross-referenced, or linked in a reliable manner. 32 (13) "Registry" means the statewide electronic estate planning 33 documents registry described in section 2(a) of this chapter. 34 (14) "Sign" means valid use of a properly executed electronic 35 signature. 36 (15) "Signature" means the authorized use of the name of the 37 testator, settlor, or principal to authenticate an electronic will, 38 electronic trust instrument, or electronic power of attorney. The 39 term includes an electronic signature. 40 (16) "Tamper evident" means the feature of an electronic record, 41 such as an electronic estate planning document or document 42 integrity evidence for an electronic estate planning document, that EH 1208—LS 6175/DI 55 20 1 will cause any alteration of or tampering with the electronic 2 record, after it is created or signed, to be perceptible to any person 3 viewing the electronic record when it is printed on paper or 4 viewed on a monitor or other display device. The term applies 5 even if the nature or specific content of the alteration is not 6 perceptible. 7 (17) "Traditional paper estate planning document" means a will, 8 codicil, trust instrument, or power of attorney that is signed on 9 paper by the testator, settlor, or principal and: 10 (A) the attesting witnesses, in the case of a will or codicil; or 11 (B) a notary public, in the case of a power of attorney. 12 SECTION 17. IC 29-3-3-3, AS AMENDED BY P.L.79-2017, 13 SECTION 74, IS AMENDED TO READ AS FOLLOWS [EFFECTIVE 14 JULY 1, 2022]: Sec. 3. Except as otherwise determined in a dissolution 15 of marriage proceeding, a custody proceeding, or in some other 16 proceeding authorized by law, including a proceeding under section 6 17 of this chapter or another proceeding under this article, and unless a 18 minor is married, the parents of the minor jointly (or the survivor if one 19 (1) parent is deceased), if not an incapacitated person, have, without 20 the appointment of a guardian, giving of bond, or order or confirmation 21 of court, the right to custody of the person of the minor and the power 22 to execute the following on behalf of the minor: 23 (1) Consent to the application of subsection (c) of Section 2032A 24 of the Internal Revenue Code, which imposes personal liability 25 for payment of the tax under that Section. 26 (2) Consent to the application of Section 6324A of the Internal 27 Revenue Code, which attaches a lien to property to secure 28 payment of taxes deferred under Section 6166 of the Internal 29 Revenue Code. 30 (3) Any other consents, waivers, or powers of attorney provided 31 for under the Internal Revenue Code. 32 (4) Waivers of notice permissible with reference to proceedings 33 under IC 29-1. 34 (5) Consents, waivers of notice, or powers of attorney under any 35 statute, including the Indiana adjusted gross income tax law 36 (IC 6-3). 37 (6) Consent to unsupervised administration as provided in 38 IC 29-1-7.5. 39 (7) Federal and state income tax returns. 40 (8) Consent to medical or other professional care, treatment, or 41 advice for the minor's health and welfare. 42 (9) Consent to the appointment of a special administrator for EH 1208—LS 6175/DI 55 21 1 the purposes of a wrongful death claim. 2 SECTION 18. IC 29-3-6-1, AS AMENDED BY P.L.178-2011, 3 SECTION 5, IS AMENDED TO READ AS FOLLOWS [EFFECTIVE 4 JULY 1, 2022]: Sec. 1. (a) When a petition for appointment of a 5 guardian or for the issuance of a protective order is filed with the court, 6 notice of the petition and the hearing on the petition shall be given 7 through the E-filing System of the Indiana Courts or by first class 8 postage prepaid mail as follows: 9 (1) If the petition is for the appointment of a successor guardian, 10 notice shall be given unless the court, for good cause shown, 11 orders that notice is not necessary. 12 (2) If the petition is for the appointment of a temporary guardian, 13 notice shall be given as required by IC 29-3-3-4. 14 (3) If the subject of the petition is a minor, notice of the petition 15 and the hearing on the petition shall be given to the following 16 persons whose whereabouts can be determined upon reasonable 17 inquiry: 18 (A) The minor, if at least fourteen (14) years of age, unless the 19 minor has signed the petition. 20 (B) Any living parent of the minor, unless parental rights have 21 been terminated by a court order. 22 (C) Any person alleged to have had the principal care and 23 custody of the minor during the sixty (60) days preceding the 24 filing of the petition. 25 (D) Any other person that the court directs. 26 (4) If it is alleged that the person is an incapacitated person, 27 notice of the petition and the hearing on the petition shall be given 28 to the following persons whose whereabouts can be determined 29 upon reasonable inquiry: 30 (A) The alleged incapacitated person, the alleged incapacitated 31 person's spouse, and the alleged incapacitated person's adult 32 children, or if none, the alleged incapacitated person's parents. 33 (B) Any person who is serving as a guardian for, or who has 34 the care and custody of, the alleged incapacitated person. 35 (C) In case no person other than the incapacitated person is 36 notified under clause (A), at least one (1) of the persons most 37 closely related by blood or marriage to the alleged 38 incapacitated person. 39 (D) Any person known to the petitioner to be serving as the 40 alleged incapacitated person's attorney-in-fact under a durable 41 power of attorney. 42 (E) Any other person that the court directs. EH 1208—LS 6175/DI 55 22 1 Notice is not required under this subdivision if the person to be 2 notified waives notice or appears at the hearing on the petition. 3 (b) Whenever a petition (other than one for the appointment of a 4 guardian or for the issuance of a protective order) is filed with the 5 court, notice of the petition and the hearing on the petition shall be 6 given to the following persons, unless they appear or waive notice: 7 (1) The guardian. 8 (2) Any other persons that the court directs, including the 9 following: 10 (A) Any department, bureau, agency, or political subdivision 11 of the United States or of this state that makes or awards 12 compensation, pension, insurance, or other allowance for the 13 benefit of an alleged incapacitated person. 14 (B) Any department, bureau, agency, or political subdivision 15 of this state that may be charged with the supervision, control, 16 or custody of an alleged incapacitated person. 17 SECTION 19. IC 29-3-6-2, AS AMENDED BY P.L.6-2010, 18 SECTION 11, IS AMENDED TO READ AS FOLLOWS [EFFECTIVE 19 JULY 1, 2022]: Sec. 2. A copy of the petition shall be attached to the 20 notice, and the notice must be in substantially the following form: 21 NOTICE 22 TO: (name and address of person receiving notice) 23 On (date of hearing) at (time of hearing) in (place of hearing) at 24 (city), Indiana, the (name and address of court) will hold a hearing to 25 determine whether a guardian should be appointed or a protective order 26 should be issued for (name of alleged incapacitated person or minor). 27 A copy of the petition requesting appointment of a guardian or for the 28 issuance of a protective order is attached to this notice. 29 At the hearing the court will determine whether (name of alleged 30 incapacitated person or minor) is an incapacitated person or minor 31 under Indiana law. This proceeding may substantially affect the rights 32 of (name of alleged incapacitated person or minor). 33 If the court finds that (name of alleged incapacitated person or 34 minor) is an incapacitated person or minor, the court at the hearing 35 shall also consider whether (name of proposed guardian, if any) should 36 be appointed as guardian of (name of alleged incapacitated person or 37 minor). The court may, in its discretion, appoint some other qualified 38 person as guardian. The court may also, in its discretion, limit the 39 powers and duties of the guardian to allow (name of alleged 40 incapacitated person or minor) to retain control over certain property 41 and activities. The court may also determine whether a protective order 42 should be entered on behalf of (name of alleged incapacitated person EH 1208—LS 6175/DI 55 23 1 or minor). 2 (Name of alleged incapacitated person) may attend the hearing and 3 be represented by an attorney. The petition may be heard and 4 determined in the absence of (name of alleged incapacitated person) if 5 the court determines that the presence of (name of alleged 6 incapacitated person) is not required. If (name of alleged incapacitated 7 person) attends the hearing, opposes the petition, and is not represented 8 by an attorney, the court may appoint an attorney to represent (name of 9 alleged incapacitated person). The court may, where required, appoint 10 a guardian ad litem to represent (name of alleged incapacitated person 11 or minor) at the hearing. 12 The court may, on its own motion or on request of any interested 13 person, postpone the hearing to another date and time. 14 ________________________________ 15 (signature of clerk of the court) 16 SECTION 20. IC 30-4-6-4 IS AMENDED TO READ AS 17 FOLLOWS [EFFECTIVE JULY 1, 2022]: Sec. 4. Except as provided 18 in section 7 of this chapter and IC 30-4-7, unless the terms of the trust 19 expressly direct that the court is to have continuing jurisdiction over 20 the administration of the trust: 21 (1) a trustee need not docket a trust in the file a copy of the trust 22 instrument as a part of the court's records; of the court 23 (2) nor may the court may not require a trust to be docketed; 24 copy of the trust instrument to be filed as a part of the court's 25 records; and 26 (2) (3) with respect to a decedent's estate docketed for the purpose 27 of probate or administration, which either establishes a trust or 28 makes a devise to another trust, if: 29 (A) a decedent's will establishes a trust or contains a devise 30 to a trust; and 31 (B) the will is probated under IC 29-1-7 with or without 32 the appointment of a personal representative for the 33 decedent's estate; 34 the court shall have no continuing jurisdiction over the 35 administration of the trust after the will is probated or after any 36 distribution from the decedent's estate is paid or delivered to the 37 trustee. 38 SECTION 21. IC 30-4-6-7 IS AMENDED TO READ AS 39 FOLLOWS [EFFECTIVE JULY 1, 2022]: Sec. 7. (Docketing (Filing 40 Copy of Trust Instrument as Part of Proceeding) 41 (a) If it is necessary to the determination of any issue of law or fact 42 in a proceeding, the court may direct that a copy of the trust instrument, EH 1208—LS 6175/DI 55 24 1 if any, be kept in its records. In any proceeding under IC 30-2-14, 2 IC 30-2-15, or this article, any petitioner or other interested 3 person, including but not limited to a trustee or beneficiary, may 4 file a copy of the trust instrument for the trust with the court, to 5 make the trust's terms a part of the court's records. If there is a 6 dispute about whether the trust has been amended or restated or 7 about which version of a trust instrument is a valid version, two (2) 8 or more parties may file copies of different trust instruments or 9 amendments so that the court is aware of their contents. 10 (b) Permissible methods for filing a copy of the trust instrument 11 with the court under subsection (a) include filing the copy as an 12 exhibit or attachment to a petition for substantive relief under this 13 article. A separate petition to "docket" the trust or to permit the 14 filing of a copy of the trust instrument is not required. 15 (c) Upon the filing of a copy of the trust instrument with the 16 court, a presumption arises that the trust's terms have been 17 properly presented to the court. The presumption may be rebutted 18 on a showing that: 19 (1) the court lacks subject matter jurisdiction over the trust; 20 or 21 (2) the proceeding has not been filed in the proper venue 22 under section 3 of this chapter. 23 The filing of a copy of a trust instrument under this section does 24 not preclude any interested person from asserting claims or 25 defenses regarding the validity, interpretation, or administration 26 of the trust or from cross-petitioning for relief under this title. 27 (d) If: 28 (1) a trustee, beneficiary, or other interested person files a 29 proceeding under IC 30-2-14, IC 30-2-15, or this article with 30 respect to a trust; and 31 (2) a copy of the trust instrument is not filed with the court 32 under subsection (a); 33 the court may order any party to file a copy of the trust instrument 34 as a condition to entertaining or hearing a petition for substantive 35 relief with respect to the trust. 36 (b) (e) The filing of the trust instrument under subsection (a) of this 37 section shall not result in continuing supervisory jurisdiction by the 38 court. Upon conclusion of the proceeding, unless otherwise ordered 39 by the court, the clerk shall remove the trust instrument shall be 40 removed from the court's records. 41 SECTION 22. IC 30-5-4-1.9, AS ADDED BY P.L.185-2021, 42 SECTION 22, IS AMENDED TO READ AS FOLLOWS [EFFECTIVE EH 1208—LS 6175/DI 55 25 1 JULY 1, 2022]: Sec. 1.9. (a) Subject to the Indiana Rules of Evidence 2 and the Indiana Rules of Trial Procedure: 3 (1) a video or audio recording of a principal captured or made 4 either before or after the execution of a power of attorney; or 5 (2) a video recording, one (1) or more photographic images, or an 6 audio recording capture made during part or all of the execution 7 of a power of attorney; 8 may be admissible as evidence under this section. 9 (b) Recordings or images described in subsection (a) may be 10 admissible as evidence of the following: 11 (1) The proper execution of a power of attorney. 12 (2) The intentions of the principal. 13 (3) The mental state or capacity of a principal. 14 (4) The authenticity of a power of attorney. 15 (5) Matters that are determined by a court to be relevant to the 16 probate validity or enforceability of a power of attorney. 17 SECTION 23. IC 30-5-11-3, AS AMENDED BY P.L.185-2021, 18 SECTION 24, IS AMENDED TO READ AS FOLLOWS [EFFECTIVE 19 JULY 1, 2022]: Sec. 3. The following terms are defined for this 20 chapter: 21 (1) "Affidavit of regularity" means an affidavit executed by a 22 custodian or other person under section 9 of this chapter with 23 respect to the electronic record for an electronic power of attorney 24 or a complete converted copy of an electronic power of attorney. 25 (2) "Complete converted copy" means a document in any format 26 that: 27 (A) can be visually viewed in its entirety on a monitor or other 28 display device; 29 (B) can be printed; and 30 (C) contains the text of an electronic power of attorney and a 31 readable copy of any associated document integrity evidence 32 that may be a part of or attached to the electronic power of 33 attorney. 34 (3) "Custodian" means a person other than: 35 (A) the principal who executed the electronic power of 36 attorney; 37 (B) an attorney; or 38 (C) a person who is named in the electronic power of attorney 39 as an attorney in fact or successor attorney in fact under the 40 power of attorney. 41 (4) "Custody" means the authorized possession and control of at 42 least one (1) of the following: EH 1208—LS 6175/DI 55 26 1 (A) A complete copy of the electronic record for the electronic 2 power of attorney. 3 (B) A complete converted copy of the electronic power of 4 attorney if the complete electronic record has been lost or 5 destroyed or the electronic power of attorney has been 6 revoked. 7 (5) "Directed paralegal" means a nonlawyer assistant who is 8 employed, retained, or otherwise associated with a licensed 9 attorney or law firm and whose work is directly supervised by a 10 licensed attorney, as required by Rule 5.3 of the Rules of 11 Professional Conduct. 12 (6) "Document integrity evidence" means the part of the 13 electronic record for the electronic power of attorney that: 14 (A) is created and maintained electronically; 15 (B) includes digital markers showing that the electronic power 16 of attorney has not been altered after its initial execution by 17 the principal; 18 (C) is logically associated with the electronic power of 19 attorney in a tamper evident manner so that any change made 20 to the text of the electronic power of attorney after its 21 execution is visibly perceptible when the electronic record is 22 displayed or printed; 23 (D) will generate an error message, invalidate an electronic 24 signature, make the electronic record unreadable, or otherwise 25 display evidence that some alteration was made to the 26 electronic power of attorney after its execution; and 27 (E) displays the following information: 28 (i) The city and state in which, and the date and time at 29 which, the electronic power of attorney was executed by the 30 principal. 31 (ii) The name of the principal. 32 (iii) The name and address of the person responsible for 33 marking the principal's signature on the electronic power of 34 attorney at the principal's direction and in the principal's 35 presence, as applicable. 36 (iv) A copy of or a link to the electronic signature of the 37 principal on the electronic power of attorney. 38 (v) A general description of the type of identity verification 39 evidence used to verify the principal's identity. 40 (vi) The content of the cryptographic hash or unique code 41 used to complete the electronic record and make the 42 electronic power of attorney tamper evident if a public key EH 1208—LS 6175/DI 55 27 1 infrastructure or a similar secure technology was used to 2 sign or authenticate the electronic power of attorney and if 3 the vendor or software for the technology makes inclusion 4 feasible. 5 Document integrity evidence may, but is not required to, contain 6 other information about the electronic power of attorney such as 7 a unique document number, client number, or other identifier that 8 an attorney or custodian assigns to the electronic power of 9 attorney or a link to a secure Internet web site where a complete 10 copy of the electronic power of attorney is accessible. The title, 11 heading, or label, if any, that is assigned to the document integrity 12 evidence (such as "certificate of completion", "audit trail", or 13 "audit log") is immaterial. 14 (7) "Electronic" has the meaning set forth in IC 26-2-8-102. 15 (8) "Electronic power of attorney" means a power of attorney 16 created by a principal that: 17 (A) is initially created and maintained as an electronic record; 18 (B) contains the electronic signature of the principal creating 19 the power of attorney; 20 (C) contains the date and time of the electronic signature of the 21 principal creating the power of attorney; and 22 (D) is either: 23 (i) notarized; or 24 (ii) signed in the presence of witnesses under sections 25 4(a)(2), 4.3, 4.5, 4.7, and 4.9 of this chapter. 26 The term includes an amendment to or a restatement of the power 27 of attorney if the amendment or restatement complies with the 28 requirements described in section 5 of this chapter. 29 (9) "Electronic record" has the meaning set forth in 30 IC 26-2-8-102. The term may include one (1) or both of the 31 following: 32 (A) The document integrity evidence associated with an 33 electronic power of attorney. 34 (B) The identity verification evidence of the principal who 35 executed the electronic power of attorney. 36 (10) "Electronic signature" has the meaning set forth in 37 IC 26-2-8-102. 38 (11) "Executed" means the signing of a power of attorney. The 39 term includes the use of an electronic signature. 40 (12) "Identity verification evidence" means either: 41 (A) a copy of a government issued photo identification card 42 belonging to the principal; or EH 1208—LS 6175/DI 55 28 1 (B) any other information that verifies the identity of the 2 principal if derived from one (1) or more of the following 3 sources: 4 (i) A knowledge based authentication method. 5 (ii) A physical device. 6 (iii) A digital certificate using a public key infrastructure. 7 (iv) A verification or authorization code sent to or used by 8 the principal. 9 (v) Biometric identification. 10 (vi) Any other commercially reasonable method for 11 verifying the principal's identity using current or future 12 technology. 13 (13) "Logically associated" means electronically connected, cross 14 referenced, or linked in a reliable manner. 15 (14) "Observe" means to perceive another's actions or expressions 16 of intent through the senses of eyesight or hearing, or both. The 17 term includes perceptions involving the use of technology or 18 learned skills to: 19 (A) assist the person's capabilities of eyesight or hearing, or 20 both; or 21 (B) compensate for an impairment of the person's capabilities 22 of eyesight or hearing, or both. 23 (15) "Observing" has the meaning set forth in subdivision (14). 24 (16) "Sign" means valid use of a properly executed electronic 25 signature. 26 (17) "Signature" means the authorized use of the principal's name 27 to authenticate a power of attorney. The term includes an 28 electronic signature. 29 (18) "Tamper evident" means the feature of an electronic record, 30 such as an electronic power of attorney or document integrity 31 evidence for an electronic power of attorney, that will cause the 32 fact of any alteration or tampering with the electronic record, after 33 it is created or signed, to be perceptible to any person viewing the 34 electronic record when it is printed on paper or viewed on a 35 monitor or other display device. The term applies even if the 36 nature or specific content of the alteration is not perceptible. 37 (19) "Traditional paper power of attorney" means a power of 38 attorney or an amendment to or a restatement of a power of 39 attorney that is signed by the principal on paper. 40 SECTION 24. IC 34-23-1-2 IS AMENDED TO READ AS 41 FOLLOWS [EFFECTIVE JULY 1, 2022]: Sec. 2. (a) As used in this 42 section, "adult person" means: EH 1208—LS 6175/DI 55 29 1 (1) an unmarried individual: 2 (1) (A) who does not have any dependents; and 3 (2) (B) who is not a child (as defined in IC 34-23-2-1); or 4 (2) a married individual: 5 (A) who does not have any dependents; and 6 (B) whose death was caused by the married individual's 7 spouse. 8 (b) If the death of an adult person is caused by the wrongful act or 9 omission of another person, only the personal representative of the 10 adult person may maintain an action against the person whose wrongful 11 act or omission caused the death of the adult person. 12 (c) In an action to recover damages for the death of an adult person, 13 the damages: 14 (1) must be in an amount determined by a: 15 (A) court; or 16 (B) jury; 17 (2) may not include: 18 (A) damages awarded for a person's grief; or 19 (B) punitive damages; and 20 (3) may include but are not limited to the following: 21 (A) Reasonable medical, hospital, funeral, and burial expenses 22 necessitated by the wrongful act or omission that caused the 23 adult person's death. 24 (B) Loss of the adult person's love and companionship. 25 (d) Damages awarded under subsection (c)(3)(A) for medical, 26 hospital, funeral, and burial expenses inure to the exclusive benefit of 27 the adult person's estate for the payment of the expenses. The 28 remainder of the damages inure to the exclusive benefit of a 29 nondependent parent or nondependent child of the adult person. 30 (e) Aggregate damages that may be recovered under subsection 31 (c)(3)(B) may not exceed three hundred thousand dollars ($300,000). 32 A jury may not be advised of the monetary limits placed on damages 33 under this subsection. If the jury awards the plaintiff damages under 34 subsection (c)(3)(B) in an amount that exceeds three hundred thousand 35 dollars ($300,000), the court shall reduce that part of the damages 36 awarded to the plaintiff to three hundred thousand dollars ($300,000). 37 (f) A parent or child who wishes to recover damages under this 38 section has the burden of proving that the parent or child had a 39 genuine, substantial, and ongoing relationship with the adult person 40 before the parent or child may recover damages. 41 (g) In an action brought under this section, a court or a jury may not 42 hear evidence concerning the lost earnings of the adult person that EH 1208—LS 6175/DI 55 30 1 occur as a result of the wrongful act or omission. 2 (h) In awarding damages under this section to more than one (1) 3 person, the court or the jury shall specify the amount of the damages 4 that should be awarded to each person. 5 (i) In an action brought under this section, the trier of fact shall 6 make a separate finding with respect to damages awarded under 7 subsection (c)(3)(B). 8 SECTION 25. [EFFECTIVE JULY 1, 2022] IC 34-23-1-2, as 9 amended by this act, applies to a cause of action that accrues after 10 June 30, 2022. EH 1208—LS 6175/DI 55 31 COMMITTEE REPORT Mr. Speaker: Your Committee on Judiciary, to which was referred House Bill 1208, has had the same under consideration and begs leave to report the same back to the House with the recommendation that said bill do pass. (Reference is to HB 1208 as introduced.) TORR Committee Vote: Yeas 10, Nays 0 _____ COMMITTEE REPORT Madam President: The Senate Committee on Judiciary, to which was referred House Bill No. 1208, has had the same under consideration and begs leave to report the same back to the Senate with the recommendation that said bill be AMENDED as follows: Page 1, line 1, delete "ADDED BY P.L.50-2021," and insert "AMENDED BY THE TECHNICAL CORRECTIONS BILL OF THE 2022 GENERAL ASSEMBLY,". Page 1, line 2, delete "SECTION 63,". Page 4, between lines 25 and 26, begin a new paragraph and insert: "SECTION 5. IC 29-1-2-12.1, AS AMENDED BY P.L.238-2005, SECTION 4, IS AMENDED TO READ AS FOLLOWS [EFFECTIVE JULY 1, 2022]: Sec. 12.1. (a) A person is a constructive trustee of any property that is acquired by the person or that the person is otherwise entitled to receive as a result of an individual's death, including property from a trust, if that person has been found guilty, or guilty but mentally ill, of murder, causing suicide, or voluntary manslaughter, because of the individual's death. The following definitions apply throughout this section: (1) "Culpable person" means any of the following: (A) A person who: (i) has been charged with causing an unlawful death; and (ii) is found guilty, or guilty but mentally ill, on a charge of causing an unlawful death under a guilty plea or guilty verdict under IC 35-35-1 or IC 35-36-2. (B) A person who is determined by a preponderance of the evidence in a civil action to have knowingly or intentionally caused an unlawful death. (C) The estate of a person who: (i) is described in clause (A) or (B); and EH 1208—LS 6175/DI 55 32 (ii) died after causing an unlawful death. (2) "Decedent" means the victim of an unlawful death. (3) "Unlawful death" means a death resulting from murder, voluntary manslaughter, or suicide caused by a person other than the decedent. The term includes a death resulting from an offense under IC 35-42-1-1, IC 35-42-1-2, or IC 35-42-1-3. (b) A judgment of conviction is conclusive in a subsequent civil action to have the a culpable person declared a constructive trustee under subsection (e). (c) A culpable person is a constructive trustee of any property that is acquired by the culpable person or that the culpable person is entitled to receive as a result of an unlawful death, including the following: (1) Property from a trust. (2) Property from a transfer on death transfer under IC 32-17-14. (3) Proceeds under a policy or certificate of life insurance on the life of the decedent, if the culpable person: (A) is a beneficiary; and (B) would otherwise be entitled to receive the proceeds; under the policy or certificate. (4) Proceeds under a policy or certificate of life insurance on the life of the culpable person, if the decedent: (A) was a beneficiary; and (B) would otherwise be entitled to receive the proceeds; under the policy or certificate. (5) The decedent's interest in joint tenancy property that would otherwise pass by survivorship to the culpable person as a result of the decedent's death. (6) Property passing under a contractual agreement upon the decedent's death. (d) If a culpable person dies after causing an unlawful death, life insurance proceeds that would otherwise be subject to a constructive trust under subsection (c)(3) or (c)(4) may be paid in the same manner as the life insurance proceeds would be paid if the culpable person had predeceased the decedent. (b) (e) A civil action may be initiated by an interested person to have a culpable person declared a constructive trustee of property that is acquired by the culpable person, or that the culpable person is otherwise entitled to receive including property from a trust, as a result of an individual's death, if: unlawful death. (1) the person has been charged with murder, causing suicide, or EH 1208—LS 6175/DI 55 33 voluntary manslaughter, because of the individual's death; and (2) the person has been found not responsible by reason of insanity at the time of the crime. If a civil action is initiated under this subsection, the court shall declare that the culpable person is a constructive trustee of the property if by a preponderance of the evidence it is determined that the culpable person killed or caused the suicide of the individual. unlawful death. (c) (f) If a constructive trust is established under this section, the property that is subject to the trust may be used only to benefit those persons, other than the culpable person and constructive trustee, legally entitled to the property, determined as if the constructive trustee had died immediately before the decedent. However, if any property that the constructive trustee acquired as a result of the decedent's unlawful death has been sold to an innocent purchaser for value who acted in good faith, that property is no longer subject to the constructive trust, but the property received from the purchaser under the transaction becomes subject to the constructive trust.". Page 6, reset in roman lines 38 through 39. Page 6, delete lines 40 through 42. Delete pages 7 through 8. Page 14, line 30, after "sought;" insert "and". Page 23, reset in roman line 22. Page 23, delete lines 23 through 26. Page 29, after line 8, begin a new paragraph and insert: "SECTION 25. IC 34-23-1-2 IS AMENDED TO READ AS FOLLOWS [EFFECTIVE JULY 1, 2022]: Sec. 2. (a) As used in this section, "adult person" means: (1) an unmarried individual: (1) (A) who does not have any dependents; and (2) (B) who is not a child (as defined in IC 34-23-2-1); or (2) a married individual: (A) who does not have any dependents; and (B) whose death was caused by the married individual's spouse. (b) If the death of an adult person is caused by the wrongful act or omission of another person, only the personal representative of the adult person may maintain an action against the person whose wrongful act or omission caused the death of the adult person. (c) In an action to recover damages for the death of an adult person, the damages: (1) must be in an amount determined by a: (A) court; or EH 1208—LS 6175/DI 55 34 (B) jury; (2) may not include: (A) damages awarded for a person's grief; or (B) punitive damages; and (3) may include but are not limited to the following: (A) Reasonable medical, hospital, funeral, and burial expenses necessitated by the wrongful act or omission that caused the adult person's death. (B) Loss of the adult person's love and companionship. (d) Damages awarded under subsection (c)(3)(A) for medical, hospital, funeral, and burial expenses inure to the exclusive benefit of the adult person's estate for the payment of the expenses. The remainder of the damages inure to the exclusive benefit of a nondependent parent or nondependent child of the adult person. (e) Aggregate damages that may be recovered under subsection (c)(3)(B) may not exceed three hundred thousand dollars ($300,000). A jury may not be advised of the monetary limits placed on damages under this subsection. If the jury awards the plaintiff damages under subsection (c)(3)(B) in an amount that exceeds three hundred thousand dollars ($300,000), the court shall reduce that part of the damages awarded to the plaintiff to three hundred thousand dollars ($300,000). (f) A parent or child who wishes to recover damages under this section has the burden of proving that the parent or child had a genuine, substantial, and ongoing relationship with the adult person before the parent or child may recover damages. (g) In an action brought under this section, a court or a jury may not hear evidence concerning the lost earnings of the adult person that occur as a result of the wrongful act or omission. (h) In awarding damages under this section to more than one (1) person, the court or the jury shall specify the amount of the damages that should be awarded to each person. (i) In an action brought under this section, the trier of fact shall make a separate finding with respect to damages awarded under subsection (c)(3)(B). SECTION 26. [EFFECTIVE JULY 1, 2022] IC 34-23-1-2, as amended by this act, applies to a cause of action that accrues after June 30, 2022.". Renumber all SECTIONS consecutively. and when so amended that said bill do pass. (Reference is to HB 1208 as printed January 13, 2022.) EH 1208—LS 6175/DI 55 35 BROWN L, Chairperson Committee Vote: Yeas 11, Nays 0. _____ SENATE MOTION Madam President: I move that Engrossed House Bill 1208 be amended to read as follows: Page 12, line 33, strike "give" and insert "serve notice upon". Page 12, line 34, strike "notice to". (Reference is to EHB 1208 as printed February 11, 2022.) FREEMAN EH 1208—LS 6175/DI 55