McDermott v. McAdams

598 S.W.2d 427, 268 Ark. 1031, 1980 Ark. App. LEXIS 1265
CourtCourt of Appeals of Arkansas
DecidedApril 16, 1980
DocketCA 79-321
StatusPublished
Cited by7 cases

This text of 598 S.W.2d 427 (McDermott v. McAdams) is published on Counsel Stack Legal Research, covering Court of Appeals of Arkansas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
McDermott v. McAdams, 598 S.W.2d 427, 268 Ark. 1031, 1980 Ark. App. LEXIS 1265 (Ark. Ct. App. 1980).

Opinions

David Newbern, Judge.

This action arose in the course of probate of the estate of the late Senator John L. McClellan. It was initiated by a petition, filed with the probate court by the executor, which sought a determination of ownership of specified personal property in the possession of the Senator’s daughter, Mary Alice McDermott, and some property in her name which was in the Senator’s possession when he died. The petition asserted there was controversy whether the named items should be included in the estate. The court held the property was all part of the estate. We agree.

In 1963 the Senator created a trust of a $10,000 savings account. The trust instrument named Mary Alice McDermott as trustee and provided that other assets might be added to the corpus. The trust, by its terms, ceased to exist in 1973. During the ten year duration of the trust, the Senator transferred to “Mary Alice McDermott, Trustee,” stock certificates in Home Theaters Corporation and certificates of deposit in Capital Savings & Loan, Heber Springs Savings & Loan, and Arkansas Valley Savings and Loan. As amended, the petition sought determination of ownership, as between the estate and the appellant, of all these items as well as shares in Metropolitan National Bank. The bank stock was discovered in the Senator’s lockbox after his death. The stock consisted of several certificates issued to Mary Alice McDermott, without designation as trustee. To one of the certificates was attached to a blank stock power signed by the appellant, Mrs. McDermott. It is undisputed that Senator McClellan supplied the purchase money for each of these items.

In the course of several hearings at which only lawyers for the executor and the appellant and other beneficiaries of the estate appeared, the appellant presented her affidavit in which she contended that, upon termination of the trust, Senator McClellan gave her the items mentioned as to which she had been designated “trustee” and that he had also given her the bank stock. At some point, the bank stock had split, and the added shares were issued in her name. She stated the bank stock certificates were found in the Senator’s lockbox at his death because, at his request, she had agreed to sell some of the stock to persons selected by him. She had no recollection of signing the blank stock power.

The appellant’s affidavit showed she had “returned” the passbook of the Capital Savings & Loan account to the Senator so he could “add . . . sums and otherwise handle this for my benefit,” and at sometime the account had been converted to a certificate of deposit. She stated further that she had voted the Home Theaters stock, and those stock certificates had always been in her possession.

The appellee presented some of Senator McClellan’s personal records showing that Senator McClellan paid income tax on the interest which was credited to the accounts represented by certificates with the savings institutions mentioned above. He also reported the dividends on the bank stock as income taxable to him. In her affidavit, the appellant said she sent the bank dividend checks to the Senator so that he might pay the income taxes. She said:

It is and was my belief that the amounts represented by the checks mailed to him were used to pay income taxes, and amounts representing the balance were given to me, although no exact formal accounting was furnished.

It is thus unclear whether any money sent by the appellant to the Senator was actually returned to her, as we cannot determine the meaning of the word “given” in this context.

In the affidavit, the appellant said her father’s intent in making these substantial gifts to her was to see to it that his descendants by his first wife were adequately provided for, as he feared his spouse, now his widow, would not be as generous with them as with her own children.

1. Jurisdiction

a. Basic Authority

The appellant contends the probate court has no authority to try title to property where the contest is between the estate and a “stranger,” i.e., one who is not a beneficiary. Hilburn v. First State Bank of Springdale, 259 Ark. 569, 535 S.W. 2d 810 (1976); Snow v. Martensen, 255 Ark. 1049, 505 S.W. 2d 20 (1974). The gist of the argument is that, while “Mary Alice McDermott” is a beneficiary of the estate, “Mary Alice McDermott, Trustee,” is not, and these cases which would permit resolutions of title questions among the beneficiaries and the executor will not permit such resolutions between the estate and a person who, in her capacity as “trustee” is not a beneficiary.

While we agree that an action against an individual is different from an action against that person as trustee, we do not find that distinction important here. Although the designation of Mary Alice McDermott as “trustee” with respect to some of the assets in question is relevant to the question whether they were gifts to her after the trust terminated, this is not an action against her as trustee. Rather it is an action to determine whether the items are hers as an individual, as she asserts, or property of the estate. The question is not whether she holds the items as trustee but whether she owns them outright as opposed to the estate. Her response to the evidence presented showing they are in the estate is that they were gifts to her.

We hold Snow v. Martensen, supra, authorizes the probate court to undertake resolution of this sort of title dispute between the estate and a beneficiary, Dictum in the Hilburn case repeats that proposition.

b. Remedies

Upon oral argument of this case, the appellant urged that the probate court, unlike a court of equity, has no power to compel conduct and thus to require a party to convey property or, in the alternative, to appoint a commissioner to transfer the title. Although this point was not argued strongly in the appellant’s brief, it was sufficiently mentioned. It was argued strongly in a brief submitted to the trial court. The application of the point to this case seems to be that to get the bank stock transferred out of the name of the appellant and into the name of the executor, and to get the theater stock and the certificates transferred from “Mary Alice McDermott, Trustee,” to the executor will require an equitable remedy, and thus the probate court lacks jurisdiction.

We wholeheartedly agree that the probate court is not a court of equity and thus it may not grant purely equitable remedies, other than ones which may be authorized by statute. Merrill v. Smith, Special Administrator, 226 Ark. 1016, 295 S.W. 2d 624 (1956); Arkansas Valley Trust Co. v. Young, 128 Ark. 42, 195 S.W. 36 (1917).

It is troublesome to us to think that the distinction we retain between law and equity courts might make necessary a separate lawsuit in a case like this one just to get the same person who sits both as chancellor and as probate judge to give a traditionally equitable remedy as chancellor based on proof already before him as probate judge. A more egregious waste of time is hard to imagine. But the plain answer to the problem raised by this appellant is that the appellee has sought no equitable remedy, and the probate court did not propose to grant one.

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Cite This Page — Counsel Stack

Bluebook (online)
598 S.W.2d 427, 268 Ark. 1031, 1980 Ark. App. LEXIS 1265, Counsel Stack Legal Research, https://law.counselstack.com/opinion/mcdermott-v-mcadams-arkctapp-1980.