In re: The Power of Attorney Granted by Virginia G. Taraldson dated August 23, 2007 to Kathleen P. Engstrom and First Successor Mary Ann E. Larson and Revoked January 10, 2012 In re: The Virginia Taraldson Revocable Trust Dated February 28, 2009. ( 2016 )


Menu:
  •                            This opinion will be unpublished and
    may not be cited except as provided by
    Minn. Stat. § 480A.08, subd. 3 (2014).
    STATE OF MINNESOTA
    IN COURT OF APPEALS
    A16-0822
    In re: The Power of Attorney Granted by Virginia G. Taraldson
    dated August 23, 2007 to Kathleen P. Engstrom and First Successor
    Mary Ann E. Larson and Revoked January 10, 2012
    In re: The Virginia Taraldson Revocable Trust Dated February 28, 2009
    Filed December 27, 2016
    Affirmed
    Bratvold, Judge
    Hennepin County District Court
    File Nos. 27-TR-CV-12-127, 27-TR-CV-13-97
    Robert A. Gust, Gust Law Firm, PLLC, Minneapolis, Minnesota (attorney pro se)
    Considered and decided by Stauber, Presiding Judge; Worke, Judge; and Bratvold,
    Judge.
    UNPUBLISHED OPINION
    BRATVOLD, Judge
    Appellant-attorney challenges the district court’s decision to impose sanctions,
    arguing that (1) the district court lacked authority to impose the sanctions because the
    sanctions were based on a referee’s order filed after a party had objected to a referee hearing
    contested matters; and (2) the district court abused its discretion in sanctioning appellant.
    Because the removal notice was not timely under rule 107 of the Minnesota Rules of
    General Practice, and the district court did not abuse its discretion in sanctioning appellant
    for repeatedly relying on outdated and irrelevant caselaw, we affirm.
    FACTS
    On February 28, 2009, Virginia Taraldson, who never married or had children,
    created a revocable trust naming her nieces, Kathleen Engstrom and Mary Ann Larson, as
    co-trustees. Engstrom and Larson were also acting as Taraldson’s attorneys-in-fact. In
    January 2012, Taraldson revoked the power-of-attorney she had granted to Engstrom and
    Larson and amended the trust, removing Engstrom and Larson as co-trustees, and naming
    a successor trustee.
    On August 2, 2012, Engstrom and Larson, through their attorney, appellant Robert
    Gust, initiated an action in district court (Trust Action), requesting approval of their final
    accounts, review of Taraldson’s appointment of a successor trustee, and continuing court
    supervision of the trust. Engstrom and Larson alleged that Taraldson had dementia and
    required care in a memory unit. A referee was assigned to the Trust Action and began
    conducting proceedings in September 2012.
    On July 9, 2013, the district court issued a scheduling order allowing the parties to
    amend their pleadings, specifically stating that the amendments may include capacity,
    undue influence, and the “accountings and actions” of Engstrom and Larson as Taraldson’s
    attorneys-in-fact. The scheduling order set a deadline of July 31, 2013 for amended
    pleadings.
    On July 31, 2013, Taraldson filed a “Petition for Order Requiring an Accounting,”
    citing Minnesota Statute section 523.21 (Power-of-Attorney Action); this petition also
    2
    included a request to consolidate the Power-of-Attorney Action with the Trust Action. 1
    Taraldson’s petition was given a new case number and assigned to referee Maus. On
    August 6, 2013, Engstrom and Larson filed a rule 107 notice, objecting to the Power-of-
    Attorney Action being heard by a referee. The Power-of-Attorney Action was reassigned
    to a district court judge.
    Gust, on behalf of Engstrom and Larson, filed a motion to dismiss the Power-of-
    Attorney Action for lack of jurisdiction, arguing that the probate court’s “limited”
    jurisdiction did not extend to a “normal civil action” and a power-of-attorney action. On
    September 9, 2013, Gust also filed a memorandum in opposition to consolidation, in which
    he repeated the arguments from the motion to dismiss.
    At the hearing on the motion for consolidation, Taraldson argued that the district
    court had jurisdiction because the probate courts were merged into the district court
    pursuant to Minnesota Statute section 484.011, and the district court had the authority to
    hear the Power-of-Attorney Action under Minnesota Statute section 484.70. Taraldson also
    contended that she filed the Power-of-Attorney Action consistent with the district court’s
    scheduling order in the Trust Action and that consolidation was appropriate because
    common questions of law and fact were involved in both matters. Finally, Taraldson
    asserted that Engstrom’s and Larson’s objection to a referee was improper because referee
    1
    The Power-of-Attorney Action was captioned as In the Matter of the Power of Attorney
    Granted by Virginia G. Taraldson dated August 23, 2007 to Kathleen P. Engstrom and
    First Successor Mary Ann E. Larson and Revoked January 10, 2012.
    3
    Maus had been “presid[ing] over the trust matter since August 2012” and an accounting of
    the power of attorney was one of the issues identified in the Trust Action.
    After a hearing, the district court addressed the issues in a written order filed on
    September 17, 2013. The district court granted the motion to consolidate after concluding
    that Engstrom’s and Larson’s argument “wrongly limit[ed] the authority of a district court
    judge in Minnesota,” and determining that the Power-of-Attorney Action raises issues “so
    intertwined with the Trust Case that this Court finds that consolidation is not only
    allowable, but necessary.” The same order reassigned the Power-of-Attorney Action to a
    referee. The order did not expressly rule on Engstrom’s and Larson’s motion to dismiss.
    Engstrom and Larson filed a petition for an extraordinary writ in this court, asking
    that the probate court be enjoined from proceeding on the Power-of-Attorney Action or, in
    the alternative, that this court issue “a Writ of Mandamus directing that the matter be
    dismissed.” Gust argued that the district court lacked jurisdiction and had erred in
    disregarding Engstrom’s and Larson’s objection to the referee, presenting the same
    arguments he had used in the district court and employing much of the same language.
    On October 29, 2013, this court denied the writ, stating that the jurisdictional
    argument is “based on outdated caselaw” that is no longer relevant given the merger of
    probate and district courts. This court’s decision cited relevant caselaw and Minnesota
    Statutes sections 484.01–.011, stating that current law “provid[es] for district court
    jurisdiction over both general civil and probate” matters. This court concluded that, to the
    extent Engstrom and Larson sought to challenge the consolidation and referee assignment,
    4
    they had “an adequate remedy in the form of an appeal from a final judgment or appealable
    order.”
    On November 1, 2013, Gust, on behalf of Engstrom and Larson, renewed the motion
    to dismiss the Power-of-Attorney Action in the district court. Taraldson responded by filing
    a motion to strike and request to show cause for sanctions, arguing that the motion had
    been denied by the district court and court of appeals, therefore, “[t]his is the third time”
    the motion had been brought “using essentially identical pleadings with the same argument
    and outdated legal support.” In reply, Gust argued that Engstrom and Larson needed a
    “definitive” ruling on the motion to preserve the issue for appeal. At a hearing on the
    motions, Taraldson again cited applicable law regarding the merger of probate and district
    courts.
    In an order issued on January 6, 2014, the district court denied the motion to dismiss
    and granted Taraldson’s motion to show cause, finding that Gust’s arguments had no merit,
    were redundant, and were not supported by existing law. The district court also ordered a
    show-cause hearing under Minnesota Rule of Civil Procedure 11. In his memorandum in
    response to the order to show cause, Gust again argued that the probate court lacked
    jurisdiction to hear the Power-of-Attorney Action and that there “is no such thing as an ‘In
    re Power of Attorney’ action.”
    The district court imposed sanctions under Minnesota Rule of Civil Procedure 11.02
    by reprimanding Gust, after finding that Gust’s arguments had been “raised, briefed,
    argued, and addressed” by the district court’s September 2013 order and this court’s
    October 2013 order. Further, the district court found that Gust’s submissions were “almost
    5
    entirely cut and paste[d] from previous submissions.” Because his arguments had been
    previously rejected by two courts, Gust did not have an “objectively reasonable basis” for
    pursuing the claim a third time. The district court concluded that Gust violated Minnesota
    Rule of Civil Procedure 11.02 “by causing unnecessary delay and a needless increase in
    the cost of litigation, and . . . the repeated claims filed and legal contentions argued, without
    basis in existing law.” 2
    After Gust was reprimanded, the litigation proceeded on the merits, including a
    motion for summary judgment and a trial. Taraldson died and the parties disposed of
    remaining claims in a settlement agreement along with a stipulation for dismissal. Gust
    appeals, seeking review of the district court order sanctioning him. 3
    DECISION
    Gust raises two challenges to the district court’s decision, arguing: (1) the district
    court referee lacked authority to order sanctions because Engstrom and Larson had
    properly filed a rule 107 objection to the referee hearing contested matters; and
    (2) the district court abused its discretion in sanctioning him.
    2
    The district court denied Taraldson’s motion for sanctions, along with the request for
    monetary sanctions, because Taraldson failed to comply with the 21-day safe harbor
    provision, which requires a party to serve notice upon the offending party and wait 21 days
    to provide the offending party a chance to correct the violation. Minn. R. Civ. P. 11.03,
    subd. (a)(1).
    3
    Because there is no respondent’s brief, this appeal proceeds under Minnesota Rule of
    Civil Appellate Procedure 142.03.
    6
    I.     Rule 107 Objection
    The rules regarding removal of a referee are derived from the rules for removal of a
    judge. Minn. Gen. R. Pract. 107 1991 task force cmt; Minn. R. Civ. P. 63.03. Our decision
    is therefore guided in part by caselaw about judicial removal. The right to remove a judge
    serves the important purpose of safeguarding the impartial administration of justice. Jones
    v. Jones, 
    242 Minn. 251
    , 261–62, 
    64 N.W.2d 508
    , 515 (1954). The removal rules use the
    phrase “the case” to confirm that parties have “one automatic right to remove a judge before
    that judge presides over a proceeding involving a substantive issue in the matter. After that,
    removal can only be for cause shown.” State v. Dahlin, 
    753 N.W.2d 300
    , 308 (Minn. 2008)
    (discussing removal under rule 63.03).
    A referee cannot hear any contested matter if a party timely “objects in writing to
    the assignment of a referee.” 
    Minn. Stat. § 484.70
    , subd. 6 (2014). Our caselaw establishes
    that a timely notice to remove a judge must be honored, or it is reversible error. Citizens
    State Bank of Clara City v. Wallace, 
    477 N.W.2d 741
    , 742 (Minn. App. 1991) (“Failure to
    honor a proper removal notice is reversible error requiring a new hearing.”). Whether a
    removal notice is timely raises a question of law that this court reviews de novo. See
    Wallace, 
    477 N.W.2d at 742
     (addressing the standard of review regarding a removal notice
    under Minnesota Rule of Civil Procedure 63.03).
    The “fundamental right [to remove a judge] may be waived by failure to seasonably
    assert it.” Jones, 
    242 Minn. at 262
    , 64 N.W.2d at 515. A notice to remove or object is
    ineffective after a referee begins proceedings or after ten days pass from notice of referee
    assignment. State v. Pierson, 
    368 N.W.2d 427
    , 432 (Minn. App. 1985) (discussing parallel
    7
    removal notice for criminal proceedings). See also Minn. Gen. R. Pract. 107 (requiring
    notice of removal within ten days of the notice of assignment or no later than before a
    referee hears “any aspect of the case”). The purpose of requiring a removal notice before a
    judicial officer conducts any proceedings is to prevent any abuse of the right to remove by
    “judge shopping.” See Schack v. Schack, 
    354 N.W.2d 871
    , 874 (Minn. App. 1984). Also,
    the time limits that apply to removal notices “guard against unreasonable delay, expense,
    surprise, and inconvenience to the court and litigants.” Jones, 
    242 Minn. at 261
    , 64 N.W.2d
    at 514.
    Gust argues that Engstrom and Larson properly filed a rule 107 removal notice
    objecting to a referee hearing the Power-of-Attorney Action. Because the referee should
    have been removed and failure to remove a referee after proper notice is reversible error,
    Gust claims that the referee’s sanction decision must be reversed.
    In district court proceedings, Taraldson contended that Engstrom’s and Larson’s
    removal notice was untimely because a referee had already conducted numerous
    proceedings in the Trust Action. Taraldson noted that no party had objected to the referee
    assignment in the Trust Action. Gust responded that the Power-of-Attorney Action was a
    new action, separate from the Trust Action, so the notice to peremptorily remove the referee
    was timely.
    Removal is not permitted where the case is a continuation of a previously-filed
    action. McClelland v. Pierce, 
    376 N.W.2d 217
    , 220 (Minn. 1985) (holding that right to
    remove a judge is not permitted upon remand after an appeal because remand is a
    continuation of the original proceeding); Omaha Fin. Life Ins. Co. v. Cont’l Life
    8
    Underwriters, Ins. Co., 
    427 N.W.2d 290
    , 292 (Minn. App. 1988) (holding that right to
    remove a judge is revived where first action was dismissed and second action was not “a
    mere continuation”); see also In re Ihde, 
    800 N.W.2d 808
    , 811 (Minn. App. 2011) (holding
    right to remove judge is not permitted for motion to modify child custody because motion
    is not independent from original dissolution action).
    Thus, the timeliness of Engstrom’s and Larson’s removal notice turns on whether
    the Power-of-Attorney Action was a continuation of the Trust Action, which was filed first.
    Engstrom and Larson did not object when the Trust Action was assigned to a referee. The
    referee held numerous proceedings and issued various orders over 11 months. The parties
    to the Trust Action contemplated including an accounting of the power of attorney given
    to Engstrom and Larson. In fact, the referee issued a scheduling order identifying this issue
    and setting a deadline for the parties to file appropriate pleadings. Taraldson filed the
    Power-of-Attorney Action in response to the scheduling order in the Trust Action, and
    Taraldson specifically requested consolidation with the Trust Action.
    After the Power-of-Attorney Action was initiated, Engstrom and Larson objected to
    the assignment of a referee less than ten days after they received notice of the referee’s
    assignment. The district court automatically reassigned the Power-of-Attorney Action to a
    judge, who heard and decided the consolidation motion, as well as Taraldson’s claim that
    Engstrom’s and Larson’s removal notice was improper. The district court granted the
    consolidation request after finding the cases were “so intertwined” that consolidation was
    necessary. Finally, the district court implicitly rejected Engstrom’s and Larson’s removal
    notice by reassigning the consolidated case to the referee.
    9
    Based on this procedural history, we conclude that the Power-of-Attorney Action
    was a continuation of the Trust Action and did not revive the right to object to a referee
    under rule 107. Because the assigned referee had previously presided over the Trust Action,
    and Engstrom and Larson did not object to the referee in the Trust Action, Engstrom’s and
    Larson’s removal notice was untimely. Thus, the district court did not err in reassigning
    the consolidated case to a referee, and the referee properly considered the sanctions motion.
    I.     Rule 11.02 Sanctions
    Minnesota Rule of Civil Procedure 11 provides that by filing pleadings or motions
    with the court, an attorney represents that “to the best of [their] knowledge,” the document
    “is not being presented for any improper purpose, such as to harass or to cause unnecessary
    delay or needless increase in the cost of litigation.” Minn. R. Civ. P. 11.02(a). Similarly,
    an attorney represents that the pleading or motion contains claims that are “warranted by
    existing law or by a nonfrivolous argument for the extension, modification, or reversal of
    existing law.” Minn. R. Civ. P. 11.02(b). “Counsel has an affirmative duty to investigate
    the factual and legal underpinnings of a pleading”; failure to do so may result in the
    imposition of sanctions. Cole v. Star Tribune, 
    581 N.W.2d 364
    , 370 (Minn. App. 1998).
    If rule 11.02 has been violated, a court “[o]n its own initiative” may impose
    sanctions. Minn. R. Civ. P. 11.03(a)(2). The sanctions imposed must be only “what is
    sufficient to deter repetition” of the conduct. Minn. R. Civ. P. 11.03(b). This court reviews
    the district court’s imposition of sanctions for an abuse of discretion. Collins v. Waconia
    Dodge, Inc., 
    793 N.W.2d 142
    , 145 (Minn. App. 2011), review denied (Minn. Mar. 15,
    10
    2011). “[A] district court abuses its discretion when its decision is against the facts in the
    record.” City of N. Oaks v. Sarpal, 
    797 N.W.2d 18
    , 24 (Minn. 2011).
    Gust argues that the district court abused its discretion in issuing a reprimand for
    two reasons: (1) Gust was preserving the jurisdictional issue for appeal because the district
    court did not expressly rule on the motion to dismiss; and (2) the Power-of-Attorney Action
    was invalid, so the motion to dismiss should have been granted.
    Gust’s first argument is not well-taken. Although the district court did not expressly
    deny the motion to dismiss, the district court expressly rejected Gust’s position and
    implicitly denied the motion in the September 17, 2013 order consolidating the Trust
    Action and the Power-of-Attorney Action. See Palladium Holdings, LLC v. Zuni Mortg.
    Loan Trust 2006-OA1, 
    775 N.W.2d 168
    , 177–78 (Minn. App. 2009) (“Appellate courts
    cannot assume a district court erred by failing to address a motion, and silence on a motion
    is therefore treated as an implicit denial of the motion.”) review denied (Minn. Jan. 27,
    2010). Further, in Engstrom’s and Larson’s petition for an extraordinary writ, Gust stated
    that the district court “effectively ruled on the issue,” and argued that the ruling supported
    granting extraordinary relief. Also, this court’s order denying relief expressly addressed
    the motion to dismiss and held the district court had jurisdiction over the Power-of-
    Attorney Action.
    Gust’s second argument, that the Power-of-Attorney Action was invalid, can be
    separated into two sub-issues: (a) whether the probate court had jurisdiction over the action,
    and (b) whether a power-of-attorney action is authorized by statute or caselaw. Each
    argument will be addressed in turn.
    11
    Gust has repeatedly asserted that the probate court lacks jurisdiction to hear the
    Power-of-Attorney Action. Before being merged into the district courts, probate courts
    had limited jurisdiction. See Leslie v. Minneapolis Soc’y of Fine Arts, 
    259 N.W.2d 898
    ,
    903 (Minn. 1977) (discussing probate court’s limited jurisdiction). After the legislature
    enacted Minnesota Statute section 487.191 in 1984, it established “one general trial court
    of the judicial district to be known as the district court, which shall also be a probate court.”
    See generally In re Estate of Mathews, 
    558 N.W.2d 263
    , 265 (Minn. App. 1997) (holding
    arguments that an action may only be heard in a district court are “meaningless”) review
    denied (Minn. Mar. 20, 1997). The current statute is Minnesota Statute section 484.011,
    which states that “[t]he district court shall also be a probate court,” while section 484.86,
    subdivision 1, allows district courts to “establish a probate division, a family court division,
    juvenile division, and a civil and criminal division . . . .” (2014). District courts have
    jurisdiction over “all civil actions within their respective districts” as well as jurisdiction
    over the probate courts. 
    Minn. Stat. §§ 484.01
    –.011 (2014). Because probate and district
    courts are merged, the probate division of the district courts can hear civil matters as well
    as probate matters. 4
    4
    Gust argues that an unpublished case from this court supports his argument that a probate
    court lacks jurisdiction to hear non-probate matters. See In re the Matter of the RIJ
    Revocable Trust Agreement, No. A13-1305, 
    2014 WL 684698
     (Minn. App. Feb. 24, 2014).
    First, we note that an unpublished decision of this court is not precedent. Minn. Stat. §
    480A.08, subd. 3 (2014); see also Vlahos v. R&I Constr. of Bloomington, Inc., 
    676 N.W.2d 672
    , 676 n.3 (Minn. 2004) (stating that unpublished opinions are not precedential) (citing
    Dynamic Air, Inc. v. Bloch, 
    502 N.W.2d 796
    , 801 (Minn. App. 1993)). Second, Gust
    misconstrues this opinion, which states that a probate court has “subject-matter jurisdiction
    to hear a broad range of claims in a probate matter” and “jurisdiction to order that some
    claims be considered in a separate action in the district court’s civil division.” RIJ, 2014
    12
    Second, Gust has repeatedly asserted that a power-of-attorney action is not
    authorized. But Minnesota Statutes sections 523.21 and 523.26 (2014) recognize an action
    for an accounting relating to the acts of an attorney-in-fact. An attorney-in-fact must
    provide an accounting when requested by the principal. 
    Minn. Stat. § 523.21
    . Additionally,
    “[t]he principal or any interested person . . . may petition the court for a protective order
    directing    an    attorney-in-fact    to    provide     an    accounting.”     
    Minn. Stat. § 523.26
    (a). A statement listing the “transactions entered into by the attorney-in-fact” is
    adequate. 
    Minn. Stat. § 523.21
    . 5
    Finally, we address whether the district court abused its discretion in sanctioning
    Gust. An attorney may be reprimanded for asserting a position that is “contrary to existing
    law and [is] not grounded in fact.” Rumachik v. Rumachik, 
    494 N.W.2d 68
    , 70 (Minn. App.
    1992) review denied (Minn. Feb. 25, 1993). In a similar case, this court affirmed a district
    court’s sanctions decision where the appellant filed a motion asking the district court to
    maintain jurisdiction over a dissolution proceeding brought by the respondent, despite the
    respondent having voluntarily dismissed the case before the appellant filed an answer. 
    Id.
    WL 684698 at *6. Thus, RIJ is consistent with the conclusion that a probate court has
    jurisdiction to hear power-of-attorney actions.
    5
    Gust makes a third argument that lacks any merit. Gust claims that the Power-of-Attorney
    Action, as styled, does not exist and should have been dismissed and refiled as a “normal
    civil action.” Gust is correct that there is a specified form for pleadings, but he ignores that
    the Rules of Civil Procedure will also be “construed as to do substantial justice,” and that
    substantial compliance with the rules is acceptable. See Minn. R. Civ. P. 10.01 (specifying
    the form of pleadings); Minn. R. Civ. P. 8.06 (stating that the rules should be liberally
    construed). Because a power-of-attorney action is authorized and Taraldson’s verified
    petition substantially complied with the applicable rules, Gust’s claim is groundless.
    13
    Respondent filed a new action in Wisconsin, where both parties resided. 
    Id.
     This court
    ruled that appellant had no “objectively reasonable basis” to challenge respondent’s
    dismissal of the dissolution proceedings in Minnesota. 
    Id.
     at 70–71.
    Here, Gust repeatedly argued that the probate court lacked jurisdiction to hear the
    Power-of-Attorney Action even after the district court rejected his assertion as “mistaking
    the division organization within . . . [the] District Court for a limitation on this court’s
    jurisdiction.” Also, Taraldson consistently cited to the relevant statutes in her arguments
    and reply briefs, and this court informed Gust that he was relying on outdated caselaw and
    cited the relevant statutes. After patiently allowing Gust to renew his motion, the district
    court cited additional relevant authority to support its jurisdiction. Gust, however, never
    addressed relevant statutes or caselaw in any of his briefs, including the brief he submitted
    in this appeal. Instead, Gust has made the same argument over and over again, apparently
    without investigating his legal claims.
    Because Gust repeatedly presented legal arguments based on outdated caselaw and
    without researching the applicable statutes and caselaw cited by opposing counsel and the
    courts, the record evidence supports the district court’s finding that Gust’s arguments had
    no basis in existing law, caused unnecessary delay, and increased litigation costs. Thus, the
    district court did not abuse its discretion in finding that Gust violated Minnesota Rule of
    Civil Procedure 11.02 and issuing a reprimand.
    Affirmed.
    14