In Re the Estate of Damon

199 P.3d 89, 119 Haw. 500
CourtHawaii Supreme Court
DecidedDecember 30, 2008
Docket27132
StatusPublished
Cited by10 cases

This text of 199 P.3d 89 (In Re the Estate of Damon) is published on Counsel Stack Legal Research, covering Hawaii Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re the Estate of Damon, 199 P.3d 89, 119 Haw. 500 (haw 2008).

Opinion

Opinion of the Court By

NAKAYAMA, J.

Respondent-Appellant Christopher Damon Haig (“Haig”) appeals from the first circuit court’s (“probate court’s”) January 12, 2005 judgment in favor of Petitioners-Appellees Trustees of the Estate of Samuel M. Damon (“the Trustees”). 1 On appeal, as best as we can discern, Haig asserts seven points of error that may be combined into two general points of error, as follows: (1) the probate court abused its discretion by denying his request to disqualify James Kawachika, Esq. as master (“Kawachika” or “Master”) of a petition that was filed by the Trustees for approval of the 1999, 2000, 2001, 2002, and 2003 income and principal accounts (“Petition”), and (2) the probate court erred in granting the Petition as recommended by the Master’s report. For the reasons that follow, we hold that the probate court abused its discretion when it denied Haig’s request to disqualify the Master because a conflict of interest existed between Kawachika and the Trustees. Accordingly, we vacate the probate court’s January 12, 2005 judgment, and remand for further proceedings consistent with this opinion.

I. BACKGROUND

A. Factual Background

On November 10, 1914, a testamentary trust was created by the Last Will and Tes *502 tament of Samuel M. Damon (“Trust”). Samuel M. Damon died on July 1, 1924.

During the 1999-2003 accounting period, the Trustees managed the Trust’s assets with roughly half of its value in publicly traded securities and the other half in real estate. The securities portion of the Trust’s assets consisted mostly of a 13% interest in BancWest Corporation 2 common stock. The real estate portion of the Trust’s assets consisted primarily of prime industrial and commercial lands in Honolulu under long-term leases, a sizeable cattle ranch on the island of Hawaii, two walnut ranches located in California, and an industrial property located in California.

In 2001, the Trust sold its entire 13% interest in BancWest Corporation common stock. In 2003, the Trust sold its prime industrial and commercial land in Honolulu, two walnut ranches, and a significant portion of real estate located on the island of Hawaii. The net proceeds from these transactions has been reinvested into a diversified securities portfolio that is being advised and managed by Goldman, Sachs & Company.

B. Procedural Background

The relevant procedural background for this case is as follows. On April 30, 2004, the Trustees filed the Petition in Equity No. 2816-A and Probate No. 6664.

On May 4, 2004, the probate court filed an order appointing James Kawachika, Esq. as Master for the Petition. The probate court’s order was filed pursuant to an “Amended Order of Pre-Petition Reference,” which was filed on July 17, 2003, and stated that Kawa-chika “shall be appointed as Master for the petition and respond thereto, upon the filing of the petition.”

On August 3, 2004, Haig filed a “Response” to the Petition. Therein, Haig raised several concerns, which included having “not been provided with a disclosure of potential or actual conflicts of interest as required by a formal written conflict of interest policy” that was ordered by the probate court in its amended “Order Granting Petition for Approval of Income and Principal Accounts for the Period January 1, 19[ ]95 through December 31, 1997[.]” Haig also contended that “[t]he duty of the beneficiary requires a comprehensive legal review of potential or actual conflicts of interest ... so they can be reported and resolved in a formal manner pursuant to” the probate court’s amended order.

On November 3, 2004, the Master filed his “Report of Master On Petition For Approval Of 1999, 2000, 2001, 2002, and 2003 Income and Principal Accounts.” In his report, the Master stated, inter alia, that “[w]hile no interested person has directly raised an issue regarding the implementation of the Trust’s conflicts of interest policy, your Master independently does so now.” The Master then expressed his “concern about the manner in which the Trustees’ individual conflicts of interest are identified, disclosed, resolved and reported.”

On November 23, 2004, Haig filed a “Response” to the Master’s report for approval of the Petition. In his response, Haig disagreed with the Master’s statement that “no interested person has directly raised an issue regarding the implementation of the Trust’s conflicts of interest policy[.]” Additionally, Haig asserted that the Trustees and Master failed “to disclose a potential conflict of interest arising from the appointment of the Master,” inasmuch as the Master’s law firm represented the Trustees in two lawsuits “involving leases in the Mapunapuna properties” while the instant Petition was being considered by the probate court. Because Haig believed that the Master’s law film’s representation of the Trustees manifested a conflict of interest, Haig asserted at a hearing held on December 17, 2004, that the “conflict of interest should disqualify the [M]aster from serving further in this matter.”

On January 12, 2005, the probate court filed its “Order Granting Petition For Approval Of 1999, 2000, 2001, 2002, and 2003 Income and Principal Accounts.” Therein, *503 the probate comí, inter alia, granted the “Accounts Petition ... as recommended in the Master’s Report, which is approved and adoptedf.]” Additionally, the probate court made the following pertinent conclusions:

2. All requests for instructions, requests for determinations, and objections raised in response to the Accounts Petition, including with respect to an alleged potential conflict of interest by the Master, have been reviewed by the [probate court] and are rejected and denied, except as set forth in paragraph 4 below;
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4. As recommended by the Master, the Trustees are instructed to consider[ ] and consult with the Beneficiaries regarding, whether the Damon Estate’s Conflicts of Interest Policy should be amended and implemented in the following respects:
a. To provide that all conflicts of interest disclosures and the resolution of the same be fully reported in the Minutes of the Trustees’ meeting; and
b. To provide that in the written disclosures of any conflict of interest, the Trustees may, in their absolute discretion and if they deem it to be prudent and advisable to do so, withhold from disclosing any sensitive or confidential information about pending Trust matters;
5. As recommended by the Master, the Trustees are cautioned to be more circumspect in the waiver of disclosed conflicts of interest of any Trustee, especially where a Trustee may be an officer or director of the corporation or entity which is doing business, or proposes to do business, with or is otherwise negotiating with the Trust or on the Trust matters.

Judgment was filed on the same day.

On February 11, 2005, Haig timely filed his notice of appeal.

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199 P.3d 89, 119 Haw. 500, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-the-estate-of-damon-haw-2008.