Rockwell v. Dow

154 A. 229, 85 N.H. 58, 1931 N.H. LEXIS 79
CourtSupreme Court of New Hampshire
DecidedMarch 3, 1931
StatusPublished
Cited by10 cases

This text of 154 A. 229 (Rockwell v. Dow) is published on Counsel Stack Legal Research, covering Supreme Court of New Hampshire primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Rockwell v. Dow, 154 A. 229, 85 N.H. 58, 1931 N.H. LEXIS 79 (N.H. 1931).

Opinion

Peaslee, C. J.

This case presents issues as to the jurisdiction of the probate and superior courts, respectively, in the matter of testamentary trusts. It also involves the interpretation of certain provisions of the will relating to the trust, and some questions as to the methods of administration.

I. General equitable jurisdiction over trusts was conferred upon *61 the superior courts at an early date. Parsons v. Parsons, 9 N. H. 309. The jurisdiction of probate courts over the appointment, etc., of testamentary trustees was created in 1820, Laws 1820, c. 21. It was enlarged as to power over the management of the trust in 1838 (Laws 1838, c. 372) and was extended to trusts inter vivos in 1874. Laws 1874, c. 2.

These earlier acts were given extended consideration in Hayes v. Hayes, 48 N. H. 219 (1868). The conclusion there reached was that they did not confer upon probate courts a general equitable jurisdiction over trusts, but rather what may be called business or administrative powers. The jurisdiction conferred is there likened to the authority over the acts of an administrator, and similar limitations thereon are declared to exist; and it was held that as to such matters as the interpretation of doubtful provisions of a will creating a trust the probate court had no jurisdiction. It of course followed that the jurisdiction of the superior courts on these subjects was not taken away or impaired.

In that case no bond had been filed by the trustee. The case might have been disposed of upon the ground, discussed in the opinion, that such action was a necessary prerequisite to probate jurisdiction. But the court declined to do so, and expressly placed the decision upon the grounds outlined above.

The issue of conflicting jurisdiction appears to have first arisen in 1871. The case was a petition to apply the cy pres doctrine to a charitable testamentary trust. The trustees were also the beneficiaries, and it did not appear that there had been any appointment by the probate court, although the trustees had held and administered the trust estate for some time. Objection was made that the proceedings should be in the probate court. In overruling the objection the court, after stating the general equitable power to advise and direct trustees, said:

“If, then, jurisdiction has been conferred upon courts of probate to make orders and decrees in relation to the sale, management, investment, and disposition of trust property, and that shall be construed to embrace cases like the present, it cannot, in the absence of any provision to that effect, take away the jurisdiction of this court.” Petition of Baptist Church, 51 N. H. 424, 425. The then recent decision in Hayes v. Hayes is not mentioned, although the holding therein that the statute did not confer probate jurisdiction in such a case would have disposed of the question involved, without any reference to concurrence of jurisdiction.

*62 At an earlier date, jurisdiction was exercised over a trust fund, upon petition of an executor-trustee, and a decree was entered for the return to him by the guardian of a beneficiary of certain funds held to be a part of the principal trust. No question of probate jurisdiction appears to have been raised. Wheeler v. Perry, 18 N. H. 307 (1846).

Methodist Episcopal Society v. Harriman, 54 N. H. 444 (1874) is similar to Petition of Baptist Church, supra. No question of jurisdiction appears, but it is to be noted that the opinion directs that the trustee shall invest “in such securities as the judge at the trial term may order.” Ib., 447. The seeming recognition therein of the Massachusetts practice to also secure authority to alter the form of charitable trusts through legislative grant has not met with subsequent approval. Dow v. Railroad, 67 N. H. 1, 60.

Hale v. Railroad, 60 N. H. 333, (quoted by the plaintiff) deals with trustees of railroad bonds, whose powers and superintendence are subjects of special statutory regulation. The statement in that case of the general rule that equity has complete jurisdiction over trusts and trustees has no reference to the subject of statutory probate jurisdiction over certain matters pertaining to trusts.

In Rolfe &c. Asylum v. Lefebre, 69 N. H. 238 (1897) the power of a court of equity “over the investment and change of securities in the hands of trustees” was recognized and exercised. But this case did not relate to the ordinary situation of a mere request to change investments, but of one to transmute a charitable trust. See also Kendall v. Kendall, 60 N. H. 527.

Equity jurisdiction was sustained in French v. Westgate, 70 N. H. 229 (1899), because the bill was brought to compel the execution of a power “and the legislature has not given probate courts jurisdiction in such matters. P. S., c. 198. ” Ib., 230. It was further held that equity having obtained “jurisdiction of this matter, can afford complete relief, including the assessment of the plaintiff’s damages, if any, growing out of the trustee’s neglect and the settlement of the trustee’s account.” Proceedings in conformity to this decision were subsequently had in the superior court. French v. Westgate, 71 N. H. 510. The question whether “equity would take jurisdiction of the accounting if that alone were the object of the suit, or whether it would leave that matter to the statutory jurisdiction of the probate court,” was left undecided. 70 N. H. 230.

If these were all the decisions upon the subject, they would sustain a conclusion that equity jurisdiction to compel the execution of a trust, to advise trustees as to their duties or to interpret instruments *63 creating trusts, may draw after it a full accounting for the trust. But, as will appear hereafter, later cases express a different view. And it is to be noted that in each of the cases hereinbefore considered there was a distinct ground for seeking equitable relief, independent of an accounting for the trust, and that in none of them except French v. Westgate, supra, was any accounting had or ordered.

Power to remove trustees and power to appoint their successors has also been considered in several cases. That a court of equity has power to remove, notwithstanding the statutory jurisdiction of the probate court, was declared in Barker v. Barker, 73 N. H. 353. In that case the unsuitableness arose from the fact that the depletion of a testamentary trust managed by a board of seven trustees had created a situation where payment for their services would take a large share of the income, and the issue was whether under these circumstances equity had the power to discharge the board and direct that the trust be managed by a single trustee.

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Bluebook (online)
154 A. 229, 85 N.H. 58, 1931 N.H. LEXIS 79, Counsel Stack Legal Research, https://law.counselstack.com/opinion/rockwell-v-dow-nh-1931.