Tamposi v. Denby

136 F. Supp. 3d 77, 2015 U.S. Dist. LEXIS 132916, 2015 WL 5737132
CourtDistrict Court, D. Massachusetts
DecidedSeptember 30, 2015
DocketCivil Action No. 10-12283-FDS
StatusPublished
Cited by3 cases

This text of 136 F. Supp. 3d 77 (Tamposi v. Denby) is published on Counsel Stack Legal Research, covering District Court, D. Massachusetts primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Tamposi v. Denby, 136 F. Supp. 3d 77, 2015 U.S. Dist. LEXIS 132916, 2015 WL 5737132 (D. Mass. 2015).

Opinion

MEMORANDUM AND ORDER ON MOTIONS FOR SUMMARY JUDGMENT ON CROSS-CLAIMS

SAYLOR, District Judge

This is a claim for legal malpractice arising out of prior litigation in New Hampshire concerning the administration of family trusts. Plaintiff Elizabeth M. Tamposi brought claims in this Court against various attorneys and law firms that had represented her interests in the prior litigation, alleging legal malpractice, breach of fiduciary duty, and unjust enrichment. Three defendants — Butler, Rubin, Saltarelli & Boyd, LLP; Faegre Baker Daniels LLP (successor in, interest to Baker & Daniels, LLP); and Julie Shelton (together, the “Shelton Parties”) — filed counterclaims against Tamposi. Ah eight defendants filed cross-claims- against multiple other defendants.'

On December 23, 2014, the. parties filed a joint stipulation dismissing ah claims by [82]*82and against Tamposi and the majority of the cross-claims. The only claims remaining in the case are the cross-claims for legal malpractice filed by the Shelton Parties against all other defendants.

Four motions for summary judgment have' been filed as, to those cross-claims— one by Michael Weisman, Rebecca McIntyre, and Weisman & McIntyre, P.C. (together, the “W&M Parties”); one by McIntyre alone; one by Burke, Warren, MacKay, & Serritella, P.C., and Stephanie Denby (the “Denby Parties”) as to the cross-claims of only Btitler Rubin and Baker Daniels; and one by the Denby Parties as-to the cross-claims of all of the Shelton Parties.

For thé reasons set forth below, the motion of the Denby Parties for summary judgment as to the cross-claims of Butler Rubin and Baker Daniels will be granted, and all other motions will be denied.

I. Background

The following' facts are undisputed unless otherwise noted.

A. The Samuel A. Tamposi, Sr. Trusts

Samuel A. Tamposi, Sr. was a prominent and successful real estate developer in New Hampshire. (W&M SMF ¶ 3). In 1992, as part of his estate plan, he established the Samuel A.' Tamposi, Sr. 1992 Trust (the “1992 Trust”) and named himself as beneficiary during his life and his six children as beneficiaries after his death. (Id.). See Shelton v. Tamposi, 164 N.H. 490, 493, 62 A.3d 741, 744 (2013). He amended the trust four times prior to his death. Id.) (Dkt. No. 209, Ex. 6, at 31-45). In its final form, the trust provided that upon Samuel’s death, the trust corpus was to be divided into twelve separate sub-trusts — six containing assets exempt from the federal generation-skipping, transfer tax and six containing non-exempt assets. Shelton, 164 N.H. at 493, 62 A.3d at 744. As provided by the 1992 Trust, the twelve sub-trusts would be divided eqiially among Samuel’s six children, with each of the six being named as the primary beneficiary of one “GST exempt” trust and one “nonexempt” trust. (Denby SMF ¶ 3); Shelton, 164 N.H. at 493, 62 A.3d at 744.1

Article TENTH of the 1992 Trust provided that each of the twelve sub-trusts would constitute a separate and distinct trust, but that each could be combined with the other trusts in a common' fund for the convenience of administration. (Id.). In that way, legal title to the trust property would be held in the name of the larger Samuel A. Tamposi, Sr. Trusts, while equitable title would rest with the twelve individual trusts. (Id.).

Article TENTH-B of the 1992 Trust, as amended, specified that two of Samuel’s sons — Samuel Tamposi, Jr. (“Sam”) and Stephen Tamposi (“Steve”) — were to serve as “investment, directors” for the entire trust property and for the twelve individual trusts. (Id. ¶ 4; Resp. to Denby SMF ¶ 4). The enumerated responsibilities and powers of the investment directors included, but were not limited to, “the management, control, handling, financing, refinancing and structuring-of any and all real estate interests and other operating entities from time to time included in the trust property” and the “full power and authori[83]*83ty to direct the retention or sale of all other assets from time to time included in the trust property and to direct the purchase of property with any principal cash included in the trust property.” (1992 Trust Art. TENTH-B(d) and (e)).

The 1992 Trust contained an in terro-rem clause that provided, in relevant part:

If any person shall at any time commence or join in the prosecution of any proceedings in any court or tribunal ... to have ■... this trust ... set-aside- or declared invalid or to contest any part or all of the provisions included in ... this trust ... or to cause or.to induce any other person to do so, then and in that event such person shall thereupon forfeit any and all right, title and interest in or to any portion of this trust, and this trust shall be 'distributed in the same manner as would have occurred had'such person died prior to the date of execution of this trust.

(1992 Trust Art. FOURTEENTH).

Upon his death, Samuel’s estate and trust property consisted of “various tenancies, business entities, limited partnerships, [and] corporations and numerous parcels of real estate in New Hampshire and Florida,” and was valued at approximately $20.5 million. Order at 6, Shelton v. Tamposi, No. 316-2007-EQ-2109 (N.H. Probate Ct. Aug. 18, 2010).

B. The Elizabeth M. Tamposi Trusts

Elizabeth (“Betty”) M. Tamposi, the original plaintiff in this action, is one of Samuel’s children. When Samuel died on May 25, 1995, Betty became the beneficiary of two of the twelve individual trusts that were sub-divided out. of the 1992 Trust. (Denby SMF ¶ 1). Those two trusts, known as the Elizabeth M. Tamposi Trusts (“EMT Trusts”), also named Betty’s children (the “Goodlander Children”) as beneficiaries. (Id.).

In addition to her interests in the -EMT Trusts, Betty also acquired minority interests in many Tamposi holdings in which the EMT Trusts owned no interest (the “Gifted Assets”). (Denby SMF ¶ 7; Steve Dep. at 16-17), Those included ownership interests in business entities known as Ballinger Properties LLC and Citrus Hills Holdings LLC. (Steve Dep. at 16-17).

C. Trust-Related Conflict Prior to 2007

After Samuel died in 1995 and Sam and Steve took over as investment directors, the Tamposi family experienced significant discord concerning the proper relationship between the investment directors and the trustee. (Denby SMF ¶ 13). In the summer of 1995,- Steve and Betty discussed the possibility of a buyout of Betty’s interest in the Trusts for approximately $500,000. (Id. ¶ 14). According to Steve, they discüssed that possibility again some time in 1997, 1998, or 1999. (Steve Dep. at 88-89).

On January 26, 2000, Sam and Steve, together with trustee Gerald R. Prunier, filed an action in the Hillsborough County (N.H.) Probate Court seeking a declaratory judgment as to the division of fiduciary responsibilities between the investment directors and the trustee of the 1992 Trust. (Dkt. No. 182, Ex. 4). The petition alleged that Betty and her brother Nicholas Tam-posi (“Nick”) had expressed an interest in a separation or buyout of their beneficial interests in the trust property. (Id.),

On March 17, 2000, Betty and Nick filed an action for. declaratory judgment against Sam and Steve. (Denby SMF, ¶ 19; Dkt. No.

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Cite This Page — Counsel Stack

Bluebook (online)
136 F. Supp. 3d 77, 2015 U.S. Dist. LEXIS 132916, 2015 WL 5737132, Counsel Stack Legal Research, https://law.counselstack.com/opinion/tamposi-v-denby-mad-2015.