Hill v. Irons

160 Ohio St. (N.S.) 21
CourtOhio Supreme Court
DecidedJune 10, 1953
DocketNo. 33254
StatusPublished

This text of 160 Ohio St. (N.S.) 21 (Hill v. Irons) is published on Counsel Stack Legal Research, covering Ohio Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Hill v. Irons, 160 Ohio St. (N.S.) 21 (Ohio 1953).

Opinion

Middleton, J.

The controlling question is whether the contract of February 3, 1925, created a trust. Did the defendants thereby become trustees of a continuing and subsisting trust?

It is appropriate to first consider the inherent characteristics of a trust.

In Restatement of the Law of Trusts, chapter I, page 6, the following is stated as the definition of trusts:

“A trust, as the term is used in the Restatement of this subject * # * is a fiduciary relationship with respect to property, subjecting the person by whom the property is held to equitable duties to deal with the property for the benefit of another person, which arises as a result of a manifestation of an intention to create it.”

That definition is cited and approved in 1 Scott on Trusts, 34, Section 2.3.

The definition in 1 Bogert on Trusts and Trustees, 1, Section 1, is:

“A trust may be defined as a fiduciary relationship in which one person holds a property interest, subject to an equitable obligation to keep or use that interest for the benefit of another.”

The foregoing definitions are generally accepted.

[27]*27With respect to the relationship which must exist between the trustee and the beneficiary, the following are of interest:

“Possession of the trust res by the cestui is not a natural incident of a trust. The trustee is almost always given possession and powers of management. Consequently a transaction allowing another possession of land is more apt to indicate an intent to transfer a legal interest to the possessor than to make such possessor a cestui que trust.” 1 Bogert on Trusts and Trustees, 367, Section 50.

“Generally the trustee may not be the sole trustee and the sole beneficiary of a trust * * *.” 54 American Jurisprudence, 117, Section 137.

“A fundamental essential of any trust is separation of the legal estate from the equitable estate and the beneficial enjoyment; there can be no trust when both the legal title and the beneficial interest are in the same person. * * * Where the holder of the legal title and the cestui que trust are one and the same person, the result is a merger of the legal and the equitable title, defeating the trust and ordinarily conferring a fee simple title upon the person holding the legal title and beneficial interest.” 54 American Jurisprudence, 46, 47, Section 35.

In the instant case we do not have the usual situation of three parties, to wit, a settlor, a beneficiary and a trustee. It seems uncontrovertible that the transfer by absolute deed and any intent to be drawn from the contract, if any actual intent can be deduced therefrom, was to protect the grantees of the deed who are defendants herein.

It has long been settled law that a trust may be en-grafted upon a deed absolute but it is equally well settled that the evidence must be of a very persuasive character. This court has so held in Russell v. Rruer, 64 Ohio St., 1, 59 N. E., 740. The second paragraph of the syllabus of that case reads:

[28]*28“A trust engrafted on an absolute deed may be shown by parol evidence; but the declaration of such trust must be contemporaneous with the deed, and the evidence beyond a reasonable doubt as to the existence of the trust, and must be clear, certain, and conclusive as to its terms and conditions. ’ ’

The above decision of this court is in harmony with the general rule as stated in 1 Bogert, 354, 355, Section 49:

“Since a suit to establish a trust is a civil action, it might at first thought be supposed that a court or jury trying the issue of fact as to the existence of the trust intent should be content with proof by a preponderance of the evidence. But, since the action is equitable, one meets the natural conservatism of chancery against efforts to disturb relations recognized by courts of law. The facts of a situation presented to the chancellor will give rise to certain rights and duties enforceable in courts of law, if chancery does not intervene. Chancery is loathe to interfere with the operation of the rules and principles of law, unless the proof of facts which bring into play principles and rules of equity is strong. Such interference generally involves giving a different effect to contracts or conveyances from that apparent on their faces, the disturbance of legal titles, and the creation or recognition of equitable interests. It is therefore not surprising that courts of equity have held that the chancellor should require, before finding the existence of a trust intent and its appropriate expression, that ‘clear and convincing’ evidence be presented to him.”

The above statement from Bogert is supported by citations from many states. Without referring to all of them, we call attention to the following:

Griffin v. Griffin, 200 Ark., 794, 141 S. W. (2d), 16; Olson v. Olson, 4 Cal. (2d), 434, 49 P. (2d), 827; Johnson v. Wikstrom, 242 Ky., 636, 47 S. W. (2d), 61; [29]*29Price v. Price, 162 Md., 656, 161 A., 2; Reeves v. Weber, 111 N. J. Eq., 454, 162 A., 566; Whitaker v. Titus, Exrx., 166 Wash., 225, 6 P. (2d), 649; Illinois Steel Co. v. Konkel, 146 Wis., 556, 131 N. W., 842; Parrott v. Hofmann, 151 Neb., 249, 37 N. W. (2d), 199; In re Bruner’s Estate, 179 Okla., 339, 65 P. (2d), 1209; Ewart v. Jones, 255 F., 688. See, also, the annotation in 23 A. L. R., 1500 et seq.

With respect to the character of evidence required to engraft a trust upon a deed, the courts used various expressions in the above-cited decisions and in other cases included in the annotations. Those expressions include that the evidence must be “clear, unequivocal and convincing,” “clear, convincing and satisfactory,” “clear and unmistakable,” “certain, reliable and convincing,” “clear and convincing,” and that it “must establish the facts beyond reasonable controversy. ’ ’

Another well accepted rule of law is that the burden of proving the existence of a trust rests on the person asserting it.

The conduct of the parties subsequent to the execution of the instrument relied upon as creating a trust constitutes important evidence of their intent when the instrument was executed. In this connection it is said at pages 361, and 362 of the above-cited volume of Bogert:

“That practical construction of an instrument is strong evidence of its intended meaning is a rule applying to trusts as well as other relationships. If settlor, trustee and cestui have acted as if there were a trust, after its alleged creation, and carried out the parts they would naturally be expected to perform under a trust, such evidence will have important effect in leading a court to declare that a trust was intended and established.

C C * # #

[30]*30“On the other hand any conduct by the settlor or trustee inconsistent with a trust and affecting the possession, use, profits, or power of alienation of the alleged trust res may well have probative effect against a trust. ’ ’

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Related

Olson v. Olson
49 P.2d 827 (California Supreme Court, 1935)
Griffin v. Griffin
141 S.W.2d 16 (Supreme Court of Arkansas, 1940)
Johnson v. Wikstrom
47 S.W.2d 61 (Court of Appeals of Kentucky (pre-1976), 1932)
Price v. Price
161 A. 2 (Court of Appeals of Maryland, 1932)
Reeves v. Weber
162 A. 566 (Supreme Court of New Jersey, 1932)
In Re Bruner's Estate
1937 OK 126 (Supreme Court of Oklahoma, 1937)
Whitaker v. Titus
6 P.2d 649 (Washington Supreme Court, 1932)
Parrott v. Hofmann
37 N.W.2d 199 (Nebraska Supreme Court, 1949)
Illinois Steel Co. v. Konkel
131 N.W. 842 (Wisconsin Supreme Court, 1911)
Ewert v. Jones
255 F. 688 (Eighth Circuit, 1919)

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Bluebook (online)
160 Ohio St. (N.S.) 21, Counsel Stack Legal Research, https://law.counselstack.com/opinion/hill-v-irons-ohio-1953.