Betts v. City National Bank

67 Cal. Rptr. 3d 152, 156 Cal. App. 4th 222, 2007 Cal. App. LEXIS 1729
CourtCalifornia Court of Appeal
DecidedOctober 19, 2007
Docket13050006
StatusPublished
Cited by9 cases

This text of 67 Cal. Rptr. 3d 152 (Betts v. City National Bank) is published on Counsel Stack Legal Research, covering California Court of Appeal primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Betts v. City National Bank, 67 Cal. Rptr. 3d 152, 156 Cal. App. 4th 222, 2007 Cal. App. LEXIS 1729 (Cal. Ct. App. 2007).

Opinion

*225 Opinion

IRION, J.

David William Betts appeals from a ruling on his application under Probate Code 1 section 21320 to determine whether a proposed probate court petition would constitute a contest to a testamentary trust under which he is a beneficiary. On our independent review of the record, we conclude that the probate court erred in ruling that Betts’s proposed petition would constitute a contest against City National Bank and Wells Fargo Bank, N.A., and accordingly we reverse that portion of the probate court’s ruling.

I

FACTUAL AND PROCEDURAL BACKGROUND

In 1974, Joan Hazard Betts (the Trustor) created a revocable living trust (the Tmst). Throughout the years before her death in 2002, she made several amendments to the Tmst, two of which are relevant here. In 1993, the seventh amendment to the Tmst (the Seventh Amendment) completely restated the Tmst. In 1996, the ninth amendment to the Tmst (the Ninth Amendment) removed Wells Fargo Bank (Wells Fargo) as trastee and appointed City National Bank (City National).

The Ninth Amendment expressly affirmed language appearing in the Seventh Amendment, which limits the liability of successor trastees: “A successor Trastee shall not be held responsible for the willful or negligent defaults of any prior Trustee; nor shall it be the duty of the successor Trustee to audit or obtain auditing of the tmst estate or to demand an accounting by any prior Trustee; nor shall it be the duty of the successor Trustee to initiate or conduct any proceeding to redress a breach of trust committed by a prior trustee, unless so requested in writing by an adult having a present or future beneficial interest under a trust hereunder; but any successor Trustee shall be liable only for its own willful misconduct or breach of good faith. No bond shall be required of any Trustee or successor Trustee.” 2 (Italics added.) Betts, who is the Trustor’s son, is identified in the Seventh Amendment as a beneficiary of the Trust, along with his sister Susan Betts Hill (Hill). In 1993, the Trustor executed a statutory power of attorney in favor of Hill.

*226 The Seventh Amendment contained the following no contest clause: “If any beneficiary under this trust shall, singly or in conjunction with any other person or persons, contest in any court the validity of this trust or of the Settlor’s last Will or shall seek to obtain an adjudication in any proceeding in any court that this trust or any of its provisions or that such Will or any of its provisions is void, or seek otherwise to void, nullify, or set aside this trust or any of its provisions, then the right of that person and his issue to take, which is given to him by this trust, shall be determined as it would have been determined had the person predeceased execution of this declaration of trust without surviving issue.”

After the Trustor’s death, Betts proposed to file a petition against Hill and City National under section 850, subdivision (a)(3)(B) for return of funds to the Trust, and Welfare and Institutions Code section 15657.3, subdivision (d) for elder abuse (the first proposed petition). The first proposed petition alleged (1) that Hill used her authority under a power of attorney and her status as a joint tenant on certain bank accounts to improperly take money from the Trustor for her own financial gain, and (2) that City National, acting as trustee of the Trust, breached its fiduciary duty by allowing Hill to misappropriate the funds, knowing that the Trustor was under Hill’s influence and incapable of managing her own financial affairs.

To determine if, by requesting such relief, he would be in violation of the no contest clause of the Trust, Betts filed an application under section 21320 to obtain a declaration as to whether the first proposed petition would be a contest to the Trust in violation of its no contest clause (the first section 21320 application).

City National objected. It argued, among other things, that filing the first proposed petition would violate the no contest clause because of the provision in the Seventh and Ninth Amendments stating that “any successor Trustee shall be liable only for its own willful misconduct or breach of good faith” (the exculpation provision). It argued that the first proposed petition made no allegation that City National, acting as trustee, committed willful misconduct or acted in bad faith, and thus the proposed petition “violates and nullifies” the Trust’s exculpation provision.

The probate court agreed, ruling, “Because the [first proposed petition] sets forth no allegations that Trustee willfully breached its fiduciary duties or failed to act in good faith, the [first proposed petition] constitutes an actual contest under the Trust’s no-contest clause.” With respect to the allegations made against Hill in the first proposed petition, the probate court ruled that those claims would not constitute a contest under the terms of the Trust.

*227 Betts then proposed to file a different petition under section 850 to recover against Hill and City National, and also against Wells Fargo, which acted as trustee prior to City National (the second proposed petition). 3 The second proposed petition greatly expanded on the allegations against City National, adding specific details from several documents that were attached as exhibits to the proposed complaint, based on which Betts alleged that City National knowingly and willfiilly breached its fiduciary duty. It alleged that “City National Bank committed willful misconduct and a breach of good faith, and wrongfully breached the fiduciary duty owed to its client and Trust Beneficiary Joan Hazard Betts, by continuing to make substantial transfer of Trust funds to an account that . . . City National . . . knew was controlled by . . . Hill and in which the funds were being used for the benefit of . . . Hill.” It also alleged that “City National transferred substantial sums of money into [a joint bank account allegedly controlled by Hill], knowing that . . . Hill was using her power of attorney to divert funds from this account for her own use.” The second proposed petition sought, among other things, an order “that the deposit by . . . City National ... of said funds in said joint account controlled by . . . Hill was wrongful and in bad faith, to the extent that . . . Hill appropriated said funds for her own personal benefit,” and an order requiring either City National or Hill to return to the Trust an amount equal to twice the amount of funds allegedly misappropriated by Hill. 4

To obtain a declaration that filing the second proposed petition would not constitute a contest under the Trust’s no contest clause, Betts filed another application under section 21320 (the second 21320 application).

City National filed an objection. 5 It argued, among other things, that because the first proposed petition did not allege willful misconduct or bad faith, “[t]he new proposed [p]etition . . .

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Cite This Page — Counsel Stack

Bluebook (online)
67 Cal. Rptr. 3d 152, 156 Cal. App. 4th 222, 2007 Cal. App. LEXIS 1729, Counsel Stack Legal Research, https://law.counselstack.com/opinion/betts-v-city-national-bank-calctapp-2007.