Sutter v. Sutter

43 S.W.3d 736, 345 Ark. 12, 2001 Ark. LEXIS 308
CourtSupreme Court of Arkansas
DecidedMay 17, 2001
Docket00-552
StatusPublished
Cited by6 cases

This text of 43 S.W.3d 736 (Sutter v. Sutter) is published on Counsel Stack Legal Research, covering Supreme Court of Arkansas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Sutter v. Sutter, 43 S.W.3d 736, 345 Ark. 12, 2001 Ark. LEXIS 308 (Ark. 2001).

Opinion

Tom Glaze, Justice.

This case was previously before us concerning procedural issues. See Sutter v. Payne, 337 Ark. 330, 989 S.W.2d 887 (1999). In that appeal, the chancellor had stricken Joshua Sutter’s untimely answer to a petition for declaratory judgment, which was filed against Joshua and other co-defendants, seeking to determine the validity of an inter vivos trust established by the defendants’ grandfather, Luther S. Sutter. Joshua challenged that ruling on appeal, asserting the chancellor had erred because Joshua was entitled under the common-defense doctrine to benefit from the timely answer filed by his co-defendant, Luther O’Neal Sutter II. We held the chancellor erred, and we remanded the case for further proceedings. On June 28, 1999, the chancellor heard the case on its merits and held (1) the court had jurisdiction of the persons and subject matter, and (2) Luther’s inter vivos trust was valid. Joshua disagrees with the chancellor’s decisions and brings this second appeal. Before addressing Joshua’s points for reversal, we first set out the relevant facts necessary for a foil understanding of his arguments.

Luther had three children — Mary Lou Sutter Payne, Cora Sue Sutter West, and Luther O’Neal Sutter, Sr. On June 1, 1994, Luther, as settlor, executed a declaration of trust wherein he named himself trustee to hold the trust estate for his own benefit. He specifically reserved the right during his life to amend or revoke his declaration-of-trust agreement without the consent of any beneficiary. Luther further provided that, upon his death, his son, Luther O’Neal, Sr. should be successor trustee and, as successor trustee, Luther O’Neal, Sr. was directed forthwith to transfer the trust estate to Luther’s three children, Mary Lou, Cora Sue, Luther O’Neal, Sr., and a grandson, William Howard Payne. After Luther O’Neal met an untimely death in November 1995, Luther named Mary Lou to serve as the successor trustee. At the same time, Luther also added his granddaughter, Clayla Hicks, as a beneficiary, but specifically provided Luther O’Neal’s lineal descendants “would receive only one dollar”; this provision essentially excluded Luther’s grandchildren, Joshua, Luther O’Neal Sutter II and De’Shawn Robinson, from having an interest in the trust estate. 1

Luther’s trust estate was comprised of nine tracts of real estate described in separate quitclaim deeds that were attached as exhibits to the trust instrument and made part of the schedule of assets of the trust estate. Each deed reflects Luther as both grantor and grantee. In addition, Luther’s trust instrument specified which named beneficiary would be distributed an interest in which tract of land at the closing of the trust.

Luther died on August 16, 1996, and on December 26, 1996, his daughters, Mary Lou and Cora Sue, as executrixes of Luther’s last will and testament, filed a petition for declaratory judgment in chancery court, requesting the court to declare the rights of the parties under Luther’s inter vivos trust and will. 2 As already noted, Joshua, Luther O’Neal II, and De’Shawn were included as defendants in this action, but only Joshua continued as a party both at trial and on appeal.

As previously mentioned, the chancellor ruled Luther’s inter vivos trust was valid, but Joshua disagrees and, at least initially, raises the following three reasons why the chancellor’s decision should be overturned: (1) The chancellor had no subject-matter jurisdiction of the case; (2) the inter vivos trust was invalid because the property had not been properly transferred to the trust; and (3) the chancellor failed to void the trust because the disposition of personal property under the terms of the trust violated the rule against perpetuities. We disagree with Joshua’s contentions and affirm.

Regarding Joshua’s first issue, he now concedes in his reply brief that the chancery court had jurisdiction to construe and interpret the validity of Luther’s trust agreement. This court has long written that the construction, interpretation, and operation of trusts are matters within the jurisdiction of the courts of equity. In Re: Long Trust v. Holk, 315 Ark. 112, 864 S.W.2d 869 (1993); see also Spradling v. Spradling, 101 Ark. 451, 455, 142 S.W. 848, 850 (1911). Having established the chancery court had jurisdiction in considering the construction and validity of Luther’s inter vivos trust, we now address Joshua’s second argument.

In his second point, Joshua argues Luther’s status as a settlor or trustee is not mentioned in the deeds to the nine tracts of land that he listed as assets to his declaration of trust. Joshua contends that because Luther’s deeds conveyed his tracts to himself, not to the trust, the tracts were never made a part of the trust. He further submits that, even if Luther had conveyed the land to “Luther S. Sutter, trustee, grantee,” the land would not have been considered conveyed to the trust, but would have remained in Luther’s name only. In support of this proposition, Joshua cites Ark. Code Ann. § 18-12-604 (1987), which in relevant part provides that the words “trustee” or “as trustees” following the names of grantee in any deed, without other language showing a trust, shall not be deemed to give notice to any person dealing with the land that a trust exists or that there are other beneficiaries of the conveyance except the named grantee.

The chancellor rejected Joshua’s argument, and concluded that Luther, as a property owner, was able to create a trust by acting as a settlor and trustee and hold the property for his own benefit. The chancellor further held that Luther’s trust document was a valid inter vivos trust established for Luther’s use and benefit, and which named beneficiaries to take the property upon Luther’s death. The chancellor found that the trust document, the amendments thereto, and the exhibits and deeds attached to the document, constituted the corpus of the trust, described the land which Luther made a part of the trust, and named the five beneficiaries who were to receive those described tracts of land. The chancellor’s judgment found that these trust documents and the deposition of Howard Wygall 3 sustained the burden of proof that a valid trust was created by Luther; that the quitclaim deeds, attached as exhibits to the declaration of trust, properly identified the property to be transferred to the trust; and showed that the clear intention of Luther was to create a valid trust. We believe the chancellor reached the right result.

The ultimate issue to be decided in this appeal is whether Luther’s declarations, exhibits, and other acts created a valid inter vivos trust. While not controlling, we believe the federal district court case of United Bldg. & Loan Ass’n v. Garrett, 64 F. Supp. 460 (W.D. Ark. 1946), is instructional and suggests the validity of Luther’s trust. There, Presley G. Garrett owned certain stock certificates that he made the subject of separate declarations of trusts. Each certificate was attached to a trust document. In each trust, Garrett was named trustee for the use and benefit of nine beneficiaries, and, in the event of Garrett’s death, a successor trustee was designated.

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43 S.W.3d 736, 345 Ark. 12, 2001 Ark. LEXIS 308, Counsel Stack Legal Research, https://law.counselstack.com/opinion/sutter-v-sutter-ark-2001.