Walton v. Harris

647 N.E.2d 65, 38 Mass. App. Ct. 252, 1995 Mass. App. LEXIS 184
CourtMassachusetts Appeals Court
DecidedMarch 16, 1995
DocketNo. 93-P-1702
StatusPublished
Cited by6 cases

This text of 647 N.E.2d 65 (Walton v. Harris) is published on Counsel Stack Legal Research, covering Massachusetts Appeals Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Walton v. Harris, 647 N.E.2d 65, 38 Mass. App. Ct. 252, 1995 Mass. App. LEXIS 184 (Mass. Ct. App. 1995).

Opinion

Warner, C.J.

Edith B. Young (the settlor) created an ir-

revocable inter vivos trust in 1957. She executed the trust instrument in Fair haven, her place of domicile, and appointed two trustees: her son, Richard B. Young of Mattapoisett, was to be the interested trustee, and Samuel Den[253]*253nis of Wellesley Hills was to be the independent trustee. The trust’s second article instructed the trustees to divide the trust fund in two: half for the benefit of the settlor’s son and his issue, and half for the benefit of the settlor’s daughter, Edith E. Harris of Wellesley Hills, and her issue. The trustees were given the power, however, to invest the principal of the two trusts in a common trust fund created under G. L. c. 203A.

Initially, then, there was a Massachusetts trust. The question is whether actions that occurred over the years have caused that to no longer be the case.

In 1967, the bank and the individual named in the trust to be successor trustees filed declinations,2 and a petition was filed in the Bristol County Probate Court pursuant to G. L. c. 204, § 14, seeking approval of a compromise agreement, later approved by the court’s decree, concerning the succession of trustees. The agreement, adopted in 1967, provided, among other things, that the settlor’s son and daughter would be the initial interested trustees and that Samuel Dennis would be the initial independent trustee. Successor independent trustees were henceforth to be chosen by a committee of five senior partners of the Boston law firm Hale and Dorr. The settlor was a signatory to the agreement.

On December 4, 1980, the trustees directed the Shawmut Bank of Boston, which had been custodian of the trust funds since 1957, to transfer the assets of the trust for the benefit of the settlor’s daughter (the daughter’s trust) to Sarasota, Florida, where the daughter then resided. An investment management account was established at a Sarasota trust company. In 1982, the Bristol County Probate Court approved a second compromise agreement pursuant to G. L. c. 204, § 14, providing that the daughter’s trust be separated from the trust for the benefit of the settlor’s son and his issue. The agreement further provided that if the settlor’s son [254]*254were to cease to be trustee of the daughter’s trust, David P. Harris (the son of the settlor’s daughter) was to become trustee.3

David P. Harris, a resident of Illinois, succeeded the settlor’s son as trustee in 1982. Dennis resigned as independent trustee in 1984, and the defendant Arthur Ferguson, a Florida resident (and an officer of the Florida trust company managing the assets of the daughter’s trust), was designated to serve as the successor independent trustee.

On June 26, 1992, the plaintiff, Martha B. Walton, as beneficiary of the daughter’s trust, filed a complaint in the Bristol County Probate Court for breach of fiduciary duty and an accounting and seeking the removal of the trustees. The defendant trustees moved for dismissal, asserting that the court lacks subject matter jurisdiction over the trust res, because it is located in Florida, and lacks personal jurisdiction over the defendants, as residents of Illinois and Florida, respectively. The defendant Ferguson also invoked the doctrine of forum non conveniens. The court allowed the defendants’ motions without specifying the grounds for its decision. The plaintiff appeals from the ensuing judgment of dismissal.

1. Jurisdiction. In order to exercise power over a trust, a court must have jurisdiction over either the trustee or the trust property. 5A Scott on Trusts § 565, at 154 (4th ed. 1989). The court of a State in which the settlor intends the trust to be administered may exercise jurisdiction over the trust res. 5A Scott on Trusts § 571, at 180. See Greenough v. Osgood, 235 Mass. 235, 237-238 (1920). If the trust document does not explicitly designate a place of administration, the settlor’s intent “may appear from the language that he uses as interpreted in the light of all the circumstances.” 5A Scott on Trusts § 574, at 200. Norton v. Bridges, 712 F.2d 1156, 1161 (7th Cir. 1983). See Greenough v. Osgood, [255]*255supra; Restatement (Second) of Conflict of Laws § 267 comment c (1971).

In this case, the settlor did not explicitly designate a place of administration, but she nevertheless manifested her intent that the trust be administered in Massachusetts. A Massachusetts resident, she executed the trust in the Commonwealth and appointed Massachusetts residents as original and successor trustees. Provisions in the trust indicate the settlor’s desire to retain the family’s interest in the Acushnet Process Company, the (New Bedford) Massachusetts business whose stock constituted the bulk of the trust assets.4 The trust instrument refers to Massachusetts law regarding the creation of a common trust fund under G. L. c. 203A, indicating the settlor’s assumption that the trust would be governed by Massachusetts law.

The settlor’s initial appointment of a Massachusetts bank as successor independent trustee shows that she intended the trust’s administration to remain in Massachusetts for the future. See note 2, supra. An institutional trustee “is relatively likely to remain domiciled in the same forum over the entire period of the trust’s existence. By choosing such an institution as trustee, the settlor has impliedly chosen a state of administration.” Norton v. Bridges, 712 F.2d at 1161. The compromise agreement following the bank’s declination, providing for the appointment of successor independent trustees by members of a Boston law firm, again manifested Young’s expectation that the trust would be administered in Massachusetts. See 5A Scott on Trusts § 612, at 352 (discussing factors courts consider to determine the settlor’s intent, including the settlor’s domicil at the time the trust was created, the situs of the trust property at that time, the place of the execution of the trust instrument, the purposes of the [256]*256trust, as well as any other factors that may help in the determination).

Moreover, from 1957, the year of the trust’s execution, through 1982, after the res of the daughter’s trust had been moved to Florida, the Massachusetts Probate Court continually supervised its administration, approving compromise agreements in 1967 and 1982, and instructing in 1978 concerning, among other things, the powers of the independent trustee. Finally, in keeping with the settlor’s wishes, Massachusetts continues to retain significant contacts with the trust through the Boston law firm’s responsibility for appointing successor independent trustees.

The defendants rely on two cases to contend that the daughter’s trust situs is Florida. Neither supports their position. In Sadler v. Industrial Trust Co., 327 Mass. 10, 12-13 (1951), the court held that a Massachusetts Probate Court lacked jurisdiction over a nonresident trustee despite the beneficiaries’ residence in Massachusetts and the settlor’s former residence in the Commonwealth. The situs of the trust was Rhode Island. There was no assertion in Sadler that the settlor had intended the trust to be administered in Massachusetts. It had been executed in Rhode Island, the trustee was a Rhode Island trust company which had always held the property in that State, and the trusts were wholly administered in Rhode Island. Each factor the Sadler

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Bluebook (online)
647 N.E.2d 65, 38 Mass. App. Ct. 252, 1995 Mass. App. LEXIS 184, Counsel Stack Legal Research, https://law.counselstack.com/opinion/walton-v-harris-massappct-1995.