Ted Stauffer & John Bernot v. Jane T. Nicholson , 2014 Tex. App. LEXIS 8353 ( 2014 )


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  • Reverse in part and Render; Opinion Filed July 30, 2014.
    S   In The
    Court of Appeals
    Fifth District of Texas at Dallas
    No. 05-13-01009-CV
    TED STAUFFER, Appellant
    V.
    JANE T. NICHOLSON, Appellee
    On Appeal from the Collin County Probate Court
    Collin County, Texas
    Trial Court Cause No. PB1-0842-2012
    OPINION
    Before Justices O'Neill, Lang-Miers, and Evans
    Opinion by Justice Evans
    This interlocutory appeal arises out of a lawsuit Jane T. Nicholson filed in probate court
    against her brother Ted Stauffer a nonresident. Nicholson sued Stauffer individually and as
    “Successor Trustee of the Anne Bodulus Stauffer Revocable Trust.” Stauffer filed a special
    appearance to the action asserting the court lacked personal jurisdiction over him. After a
    hearing, the court denied the special appearance in part, refusing to dismiss those claims related
    or “ancillary” to a certain investment account created and governed by the court’s order in a
    previous lawsuit. On appeal, Stauffer contends the trial court erred in not dismissing all of the
    claims asserted against him because Nicholson’s causes of action do not arise from or relate to
    any contacts he had with Texas. For the reasons that follow, we reverse in part the trial court’s
    order denying in part Stauffer’s special appearance, and render judgment of dismissal of this case
    for lack of personal jurisdiction over Stauffer as successor trustee and lack of subject matter
    jurisdiction over the claims asserted against Stauffer individually.
    I. FACTUAL BACKGROUND
    In April 2008, Anne Stauffer sued Nicholson, her daughter, in Collin County Probate
    Court seeking to recover funds allegedly belonging to Anne. 1 Appellant, Anne’s son, assisted
    his mother in the lawsuit by participating telephonically from out of state in a recorded hearing
    and by making an agreement on the record with Anne and Nicholson that became embodied in
    the final agreed order (2008 order) resolving the 2008 lawsuit.
    Among other things, the 2008 order required Nicholson to transfer the balance of certain
    funds to an investment account established by Anne. The 2008 order further provided that
    Stauffer and Nicholson would be payable on death beneficiaries of the investment account.
    Moreover, aside from certain amounts specifically identified in the order, funds could not be
    withdrawn or transferred out of the investment account “without the express written approval of
    each of” Anne, Nicholson, and Stauffer. In a separate paragraph, the 2008 order provided “this
    Court will retain continuing jurisdiction to enforce the terms of this Order.” Stauffer and
    Nicholson each signed the 2008 order over lines beneath which only each of their typed names
    appeared. Anne died in 2011.
    In September 2012, Nicholson filed the present action against Stauffer individually and
    as successor trustee. 2         In her petition, Nicholson asserted the probate court had personal
    jurisdiction over Stauffer because he engages or has engaged in business in Texas and the
    lawsuit “arises out of the business done in this state and to which said Stauffer is a party.”
    Among other things, Nicholson factually alleged Stauffer had removed funds from the
    1
    Anne filed suit in her individual capacity and as trustee of the Anne Bodulus Stauffer Revocable Trust.
    2
    Nicholson also sued her cousin John Bernot as trustee of the Trust. The probate court granted Bernot’s special
    appearance and that ruling has not been appealed.
    –2–
    investment account created pursuant to the 2008 order and that the probate court expressly
    retained jurisdiction to enforce the terms of the 2008 order. Nicholson also alleged Stauffer
    moved funds belonging to the Trust and unduly influenced Anne to execute an amendment to the
    Trust. For her causes of action as regards funds allegedly taken from both the investment
    account and the Trust, Nicholson asserted conversion, violations of the Texas Theft Liability
    Act, and money had and received. As regards Nicholson’s own property without specifying if
    she meant the investment account and Trust, Nicholson alleged unjust enrichment. As regards
    solely the Trust, Nicholson alleged breach of fiduciary duty, lack of capacity of Anne and undue
    influence over Anne regarding a 2011 an amendment to the Trust, fraud and constructive fraud,
    and tortious interference with inheritance rights. Nicholson sought a declaration invalidating the
    2011 Trust amendment alleging Anne’s lack of capacity, undue influence, and lack of required
    formalities. Nicholson also sought a constructive trust on property and proceeds that Stauffer
    obtained by fraud or other tortious conduct, exemplary damages, and attorney’s fees.
    Stauffer filed a special appearance denying he was ever a resident of, engaged in business
    in, or maintained a place of business in, Texas. He further asserted he had no substantial
    connection or contacts with Texas and that Nicholson’s claims did not arise from or relate to any
    activity conducted by Stauffer in Texas.              Nicholson responded that the probate court had
    personal jurisdiction because Stauffer signed the 2008 order in which the court specifically
    retained jurisdiction to address issues related to the investment account. 3 After a hearing, the
    probate court granted in part Stauffer’s special appearance dismissing all claims against him
    except for those that related to, or were ancillary to, the investment account. In its findings of
    facts and conclusions of law, the probate court concluded it had specific jurisdiction over
    3
    Nicholson’s written response to the special appearance, if any, is not in the record. This is the argument she
    made at the hearing on the special appearance.
    –3–
    Stauffer “to enforce the terms of the May 2008 order for the limited purpose of determining
    whether there has been a breach of the Agreed Order as well as any ancillary issues pertaining to
    the investment account.” Stauffer timely perfected this interlocutory appeal.
    II. ANALYSIS OF PERSONAL JURISDICTION
    A. Standard of Review
    In a special appearance, the defendant bears the burden of negating all bases of personal
    jurisdiction alleged by the plaintiff. See Kelly v. Gen. Interior Constr. Inc., 
    301 S.W.3d 653
    , 658
    (Tex. 2010). If a lower court enters an order denying a special appearance, and the lower court
    issues findings of fact and conclusions of law, the appellant may challenge the fact findings on
    legal and factual sufficiency grounds. BMC Software Belgium, N.V. v. Marchand, 
    83 S.W.3d 789
    , 794 (Tex. 2002). Whether a court can exercise personal jurisdiction over a nonresident
    defendant is a question of law, and thus we review de novo the lower court’s determination of a
    special appearance. Moki Mac River Expeditions v. Drugg, 
    221 S.W.3d 569
    , 574 (Tex. 2007).
    B. Consent Jurisdiction
    Under her argument regarding specific jurisdiction, Nicholson argues Stauffer consented
    to jurisdiction of the probate court by agreeing to the clause in the 2008 order that provides that
    the probate court will “retain continuing jurisdiction to enforce the terms of this Order.” Stauffer
    does not contest in these proceedings that the clause affects consent to jurisdiction over
    enforcement of the 2008 order. Stauffer argues the clause does not include Nicholson’s claims in
    this suit.
    We have previously held a consent-to-jurisdiction clause that encompasses claims against
    a nonresident defendant obviates the need to rely solely on traditional analysis of minimum
    contacts. This is because in such instances where a defendant has consented to jurisdiction, there
    is another legitimate and stronger means to establish a court’s jurisdiction over the nonresident
    –4–
    defendant. See RSR Corp. v. Siegmund, 
    309 S.W.3d 686
    , 704 (Tex. App.—Dallas 2010, no pet.)
    (citing Monesson v. Nat’l Equip. Rental, Ltd., 
    594 S.W.2d 780
    , 781 (Tex. Civ. App.—Dallas
    1980, writ ref’d n.r.e.); Barnette v. United Research Co., 
    823 S.W.2d 368
    , 370 (Tex. App.—
    Dallas 1992, writ denied); Dunne v. Libbra, 
    330 F.3d 1062
    , 1064 (8th Cir. 2003). In such cases,
    we have rested our decisions on precedent recognizing personal jurisdiction as a “waivable right”
    and the “variety of legal arrangements” that allow a litigant to give “express or implied consent
    to the personal jurisdiction of the court.” 
    Id. (quoting Burger
    King Corp. v. Rudzewicz, 
    471 U.S. 462
    , 473 n. 14 (1985)); see also Ins. Corp. of Ireland, Ltd. v. Compagnie des Bauxites de Guinee,
    
    456 U.S. 694
    , 703 (1982). Furthermore, “[t]o the extent a party has consented to jurisdiction in a
    particular forum, the trial court’s exercise of personal jurisdiction over it does not violate due
    process even in the absence of contacts with Texas.” Id.; see also CNOOC Se. Asia Ltd. v.
    Paladin Res. (SUNDA) Ltd., 
    222 S.W.3d 889
    , 894 (Tex. App.—Dallas 2007, pet. denied) (op. on
    rehearing) (“A forum-selection clause obtained through freely negotiated agreements does not
    offend due process, provided it is not unreasonable and unjust.”). Limitations on consent to
    jurisdiction clauses based on concerns a clause is unreasonable or unjust have not been raised in
    this interlocutory appeal. 4
    In analyzing claims that allegedly fall within the scope of negotiated consent-to-
    jurisdiction clauses, we conduct a “common-sense” examination of an agreement’s relevant
    jurisdictional clauses and their relationship to the claims of the lawsuit. RSR 
    Corp., 309 S.W.3d at 700
    . Recognizing forum-selection clauses as creatures of contract, we apply principles of
    contract interpretation. 
    Id. In interpreting
    the jurisdictional clause, our goal is thus to ascertain
    4
    Forum-selection clauses “are prima facie valid and should be enforced unless enforcement is shown by the
    resisting party to be ‘unreasonable’ under the circumstances.” M/S Bremen v. Zapata Off–Shore Co., 
    407 U.S. 1
    , 10
    (1972); see also Burger 
    King, 471 U.S. at 473
    n. 14. A forum selection clause will be invalidated only (1) if it was
    the product of fraud or overreaching, (2) if the agreed forum is so inconvenient as to deprive the litigant of his day in
    court, or (3) if enforcement would contravene a strong public policy of the forum in which the suit is brought. M/S
    
    Bremen, 407 U.S. at 15
    .
    –5–
    the true intent of the parties as written in the agreement. 
    Id. Consequently, we
    give terms their
    plain, ordinary, and generally accepted meanings, and contracts are to be construed as a whole in
    an effort to harmonize and give effect to all provisions of the contract.        See id.; Valence
    Operating Co. v. Dorsett, 
    164 S.W.3d 656
    , 662 (2005). Upon determining that claims fall within
    the scope of the clause, application of the Texas long-arm statute and analysis of the nonresident
    defendant’s contacts with Texas are unnecessary and a lower court’s jurisdiction over the
    defendant as to those claims is valid and enforceable. 
    Id. The clause
    before us in the 2008 order does not contain language extending its
    application to claims “arising from or related to” enforcement of the 2008 order. Using a
    common sense reading of this clause, the probate court’s retention of jurisdiction applies to
    enforcement of the order but not to claims beyond enforcement of the order. Nor is it reasonable
    to read into the narrowly written clause an expectation on the part of a nonresident that he would
    be required to defend in the probate court against claims other than those for enforcement of the
    2008 order. The probate court made findings of fact that Stauffer, Anne, and Nicholson entered
    into the agreement at an injunction hearing in the 2008 lawsuit, Stauffer participated in the
    lawsuit, Stauffer “was a party to” the agreement on the record and the 2008 order, and that
    Stauffer signed the 2008 order “as agreed to form and content.” Stauffer does not contest these
    facts, but he contends the continuing jurisdiction clause does not cover the claims asserted by
    Nicholson. Thus, we must determine whether any of Nicholson’s claims seek enforcement of the
    2008 order; otherwise her claims are beyond the scope of the order’s jurisdictional clause.
    Enforcement of a court order involves a motion or pleading in which a party seeks as
    relief from the court the exercise of the court’s power to compel compliance with the order or
    punish noncompliance typically using the threat of the court’s power to impose sanctions or hold
    a party in contempt. See, e.g., Response Time, Inc. v. Sterling Commerce (N. Am.), Inc., 95
    –6–
    S.W.3d 656, 659 (Tex. App.—Dallas 2002, no pet.) (discovery sanctions to secure compliance,
    deter other litigants from violating the discovery rules, and punish parties who violate the
    discovery rules); Ex parte Pryor, 
    800 S.W.2d 511
    , 512 (Tex. 1990) (a contempt order involves a
    court’s enforcement of its own orders); see generally TEX. R. CIV. P. 308 (court’s power to
    enforce its judgments); TEX. GOVT. CODE ANN. §§ 21.001 –.002 (court’s inherent and statutory
    powers to enforce its orders including contempt powers). This is consistent with the plain,
    ordinary, and generally accepted meaning of “enforce” which is “requiring operation,
    observance, or protection of . . . orders, contracts, and agreements by authority . . . .” WEBSTER’S
    THIRD NEW INTERNATIONAL DICTIONARY 751 (1981). We, therefore, make a common sense
    review of Nicholson’s pleading to determine if she pleaded for observance of, or compliance
    with, the 2008 order or for punishment for non-compliance.
    Nicholson’s petition contains a recitation in the factual section regarding the 2008 order
    and the court’s retaining jurisdiction to enforce the terms of the order. She alleges the 2008
    order prohibited Stauffer from withdrawing or transferring funds out of the investment account
    without her permission. Nicholson’s causes of action regarding the investment account are
    predicated on this theory. Nowhere in her petition did Nicholson request Stauffer’s compliance
    with the 2008 order or punishment of Stauffer for non-compliance with it. Because a common
    sense examination of the 2008 order and Nicholson’s petition demonstrates that none of
    Nicholson’s claims seek enforcement of the 2008 order by compulsion or punishment, the
    continuing jurisdiction clause does not pertain to Nicholson’s claims in this lawsuit.
    Accordingly, by signing the 2008 order, Stauffer did not consent to jurisdiction in Texas to be
    sued for the claims Nicholson now asserts against him.
    –7–
    C. Specific Jurisdiction Regarding Stauffer as Trustee
    We next examine both 5 parties’ arguments about specific jurisdiction. 6 Nicholson sued
    Stauffer individually and as successor trustee of the Trust. Neither party makes a distinction in
    their arguments between these two capacities and the record is devoid of any mention of Stauffer
    as a successor trustee beyond the style of the case—no pleaded allegation nor fact in the record.
    The probate court’s order does not distinguish between these capacities, so the order does not
    dismiss the claims against Stauffer in his alleged capacity of a successor trustee.
    The capacity in which a non-resident has contact with a forum state must be considered
    in the jurisdictional analysis. Tabacinic v. Frazier, 
    372 S.W.3d 658
    , 666 (Tex. App.—Dallas
    2012, no pet.) (non-resident’s execution of documents without indication of representative
    capacity for business entity subjecting signer to individual liability were contacts to be
    considered pertaining to non-resident’s individual, specific, personal jurisdiction); see generally
    Stull v. LaPlant, 
    411 S.W.3d 129
    , 134 (Tex. App.—Dallas 2013, no pet.) (personal jurisdiction
    over nonresident in capacity in which nonresident sued may be challenged in special
    appearance). In order to properly analyze Stauffer’s amenability to jurisdiction, we will consider
    first the parties’ specific jurisdiction arguments as they pertain to the claims against Stauffer as
    successor trustee of the Trust.
    5
    Stauffer complains that Nicholson did not properly plead jurisdictional facts. Nicholson responds that Stauffer
    waived this argument by not raising it in the probate court. Stauffer is correct that under the Texas long-arm statute,
    the plaintiff has the initial burden to plead sufficient allegations to confer jurisdiction. Retamco Operating, Inc. v.
    Republic Drilling Co., 
    278 S.W.3d 333
    , 337 (Tex. 2009). Nicholson is also correct that this minimal pleading
    requirement is satisfied by an allegation that the nonresident defendant is doing business in Texas. See Dole v.
    LSREF2 APEX 2, LLC, 
    425 S.W.3d 617
    , 624 (Tex. App.—Dallas 2014, no pet.); Assurances Generales Banque
    Nationale v. Dhalla, 
    282 S.W.3d 688
    , 695 (Tex. App.—Dallas 2009, no pet.) (citing cases from several courts of
    appeals). As Nicholson points out, she included such allegations. Accordingly, even if Stauffer’s argument is
    waived, were we to reach the issue we would conclude Nicholson’s allegations satisfied her jurisdictional pleading
    obligations.
    6
    Neither party argues general jurisdiction applies and the probate court found only that Stauffer was amenable
    to personal jurisdiction under the theory of specific jurisdiction.
    –8–
    Employing the standards of review we announced above, we analyze specific jurisdiction
    on a claim-by-claim basis, unless we are shown that all claims arise from the same contacts with
    Texas. See Moncrief Oil Int’l Inc. v. OAO Gazprom, 
    414 S.W.3d 142
    , 150 (Tex. 2013). Specific
    jurisdiction exists when the nonresident defendant’s alleged liability arises out of or is related to
    his activity connected to the forum. Moki 
    Mac, 221 S.W.3d at 576
    . The contacts with the forum
    which we are to analyze for jurisdictional purposes are those “where the contacts proximately
    result from actions by the defendant himself that create a substantial connection with the forum
    State.” 
    Gazprom, 414 S.W.3d at 151
    (quoting Burger King Corp. v. Rudzewicz, 
    471 U.S. 462
    ,
    473, 475 (1985)). A substantial connection can result from even a single act. 
    Id. (citing McGee
    v. Int’l Life Ins. Co., 
    355 U.S. 220
    , 223 (1957)). But “there must be a substantial connection
    between those contacts and the operative facts of the litigation.” 
    Id. at 156
    (quoting Moki 
    Mac, 221 S.W.3d at 585
    ). The operative facts are those on which the trial will focus to prove the
    liability of the defendant who is challenging jurisdiction. See 
    id. (citing Moki
    Mac, 221 S.W.3d
    at 585
    ).
    Here the only contacts with Texas the parties argue about are Stauffer’s participation in
    the 2008 lawsuit and agreement to the 2008 order. The parties argue those contacts as to all of
    Nicholson’s claims in the aggregate. Accordingly, we will analyze Stauffer’s contacts as related
    to all of Nicholson’s claims in the aggregate.
    Stauffer was not a party to the 2008 lawsuit in any capacity. He participated in the 2008
    lawsuit because Anne was his mother and “was a quadriplegic from her neck down, she required
    full care” which Stauffer provided to her so she “relied heavily” on Stauffer. There is no
    evidence in this record when, if ever, Stauffer was a successor trustee of the Trust, so there is no
    evidence that he was a trustee in 2008 at the time of his alleged participation in the 2008 lawsuit.
    He signed the 2008 order without indicating it was in any capacity other than his personal
    –9–
    capacity by signing the order over his typed name thereby subjecting himself to personal
    liability. See 
    Tabacinic, 372 S.W.3d at 666
    . There are, therefore, no facts in this record
    demonstrating that Stauffer as successor trustee had any contacts with Texas. Accordingly, the
    probate court could not exercise personal jurisdiction over Stauffer as successor trustee of the
    Trust in light of Stauffer’s objection. The probate court abused its discretion by not granting
    Stauffer’s special appearance and dismissing all claims and causes of action against Stauffer as
    successor trustee.
    III. Analysis of Subject Matter Jurisdiction of the Remaining Claims
    Nicholson’s remaining claims seek damages from Stauffer individually to Nicholson
    personally or other remedies for Nicholson. What remain are simply tort claims between a sister
    and brother. However, we first must consider the probate court’s subject matter jurisdiction over
    Nicholson’s tort claims against Stauffer before we determine whether Stauffer is subject to
    personal jurisdiction in Texas for those claims because a court cannot enter a valid judgment if it
    lacks subject matter jurisdiction. Dubai Petroleum Co. v. Kazi, 
    12 S.W.3d 71
    , 74–75 (Tex.
    2000).
    Probate courts are courts of limited jurisdiction. In re United Servs. Auto. Ass’n, 
    307 S.W.3d 299
    , 302–03 (Tex. 2010) (contrasting section 25.0021 of the Texas Government Code
    describing limited jurisdiction of statutory probate courts with sections 24.007–.008 outlining
    district court general jurisdiction).   We, therefore, are duty-bound to consider whether the
    probate court and we have subject matter jurisdiction over Nicholson’s remaining claims. See
    Reata Constr. Corp. v. City of Dallas, 
    197 S.W.3d 371
    , 379 (Tex. 2006) (“Subject-matter
    jurisdiction cannot be waived or conferred by agreement, must be considered by a court sua
    sponte, and can be raised for the first time on appeal.”); Bank of New York Mellon v. Guzman,
    
    390 S.W.3d 593
    , 596 (Tex. App.—Dallas 2012, no pet.) (court “required to review sua sponte
    –10–
    issues affecting jurisdiction”) (citing M.O. Dental Lab v. Rape, 
    139 S.W.3d 671
    , 673 (Tex. 2004)
    (per curiam)); Moses v. Dallas Indep. Sch. Dist., 
    12 S.W.3d 168
    , 170 (Tex. App.—Dallas 2000,
    no pet.) (“Although none of the parties have specifically raised or briefed this jurisdictional
    issue, the trial court’s lack of subject matter jurisdiction is fundamental error that we may raise
    sua sponte because our jurisdiction over the merits of a case is no greater than that of the court
    from which the appeal is taken.”). Subject matter jurisdiction is essential to a court’s authority to
    decide a case. Bland Indep. Sch. Dist. v. Blue, 
    34 S.W.3d 547
    , 553–54 (Tex. 2000); Tex. Ass’n
    of Bus. v. Tex. Air Control Bd., 
    852 S.W.2d 440
    , 443 (Tex. 1993). The failure of a jurisdictional
    requirement deprives a court of the power to hear the action. City of DeSoto v. White, 
    288 S.W.3d 389
    , 393 (Tex. 2009). If a court lacks subject matter jurisdiction it has no choice but to
    dismiss the case. Tex. Ass’n of 
    Bus., 852 S.W.2d at 446
    . If the probate court lacks subject matter
    jurisdiction over the remaining claims, we must dismiss those claims rather than determine
    whether Stauffer is amenable to personal jurisdiction in Texas for those claims.
    A. Standard of Review
    Whether a court has subject matter jurisdiction is a question of law. State v. Holland, 
    221 S.W.3d 639
    , 642 (Tex. 2007); Tex. Dep’t of Parks and Wildlife v. Miranda, 
    133 S.W.3d 217
    , 226
    (Tex. 2004). We construe the pleadings liberally in favor of conferring jurisdiction. Tex. Dep’t
    of Transp. v. Ramirez, 
    74 S.W.3d 864
    , 867 (Tex. 2002); Dallas Cnty. Appraisal Dist. v. Funds
    Recovery, Inc., 
    887 S.W.2d 465
    , 469 (Tex. App.—Dallas 1994, writ denied) (“When reviewing
    subject matter jurisdiction sua sponte, we must construe the petition in favor of the pleader, and
    if necessary, review the entire record to determine if any evidence supports jurisdiction.”).
    B. Collin County Probate Court’s Subject Matter Jurisdiction
    The supreme court endorsed five sources courts should analyze to determine the subject
    matter jurisdiction of any particular trial court:
    –11–
    [R]ecourse must be had first to the Constitution, second to the general statutes
    establishing jurisdiction for that level of court, third to the specific statute
    authorizing the establishment of the particular court in question, fourth to statutes
    creating other courts in the same county (whose jurisdictional provisions may
    affect the court in question), and fifth to statutes dealing with specific subject
    matters (such as the Family Code, which requires, for example, that judges who
    are lawyers hear appeals from actions by non-lawyer judges in juvenile cases).
    In re United Servs. Auto. 
    Ass’n, 307 S.W.3d at 303
    –04 (quoting Office of Court Administration,
    Subject–Matter Jurisdiction of the Courts at 1). Accordingly, we will examine the jurisdiction of
    the probate court in Collin County considering the sources for its jurisdiction in the order
    prescribed by the supreme court.
    The Texas Constitution does not specifically provide for probate courts, but generally
    grants the Legislature authority to create courts and prescribe their jurisdiction. See TEX. CONST.
    art. V, §§ 1, 8. The Legislature enacted general probate court jurisdiction in the government
    code provisions for statutory county courts which defers to the probate court jurisdiction the
    Legislature enacted in the Texas Probate Code, now recodified in the Texas Estates Code. 7 See
    TEX. GOV’T CODE ANN. §25.0021 (West 1987). Because the Legislature established the Collin
    County Probate Court, see TEX. GOV’T CODE ANN. § 25.0451 (West 2004), the probate court has
    jurisdiction over actions to which a trustee is a party or actions that involve an inter vivos trust,
    TEX. PROBATE CODE Ann. §§ 4G(1), (2) (West Supp. 2010). The probate court’s jurisdiction is
    concurrent with the district court’s jurisdiction in actions against a trustee or involving an inter
    vivos trust. See 
    id. at §§
    4H(2), (3); see also TEX. PROP. CODE ANN. § 115.001(a) (West 2007).
    We note the probate court has jurisdiction over other matters entirely unrelated to this lawsuit.
    7
    Section 25.0021 of the government code refers to the “Texas Probate Code.” The Texas Probate Code has
    been recodified as the Texas Estates Code effective January 1, 2014. See Act of May 26, 2009, 81st Leg., R.S., ch.
    680,§§1–12,,2009 Tex. Gen. Laws 1512, Act of May 19, 2011, 82nd Leg., R.S., ch. 823 , §§1–4,2011 Tex. Gen.
    Laws 1901, and Act of May 23, 2011, 82nd Leg., R.S., ch. 1338 , §§ 1–3, 2011 Tex. Gen. Laws 3884. References
    to the former probate code are to be construed as referring to the recodified estates code. See TEX. ESTATES CODE
    ANN. § 21.003(a) (West Pamph. 2013).
    –12–
    See, e.g., TEX. PROBATE CODE ANN. § 4F (West Supp. 2010) (probate proceedings); 
    id. at §
    4H(1), (4) (actions involving personal representatives of estates); 
    id. at §
    4H(5), (6) (actions
    involving agents and powers of attorney).
    Texas courts employ principles of statutory construction to discern the boundaries of
    statutory probate court jurisdiction. See, e.g., In re Guardianship of Gibbs, 
    253 S.W.3d 866
    , 871
    (Tex. App.—Fort Worth, pet. dism’d). A court’s goal in construing a statute is to ascertain
    legislative intent by looking to the language of the statute itself. See Nat’l Liab. & Fire Ins. Co.
    v. Allen, 
    15 S.W.3d 525
    , 527 (Tex. 2000). In construing statutes, courts may not enlarge the
    meaning of any word in a statute beyond its ordinary meaning. See Sorokolit v. Rhodes, 
    889 S.W.2d 239
    , 241 (Tex. 1994); TEX. GOV’T CODE ANN. § 311.011(a) (West 2005) (“Words and
    phrases shall be read in context and construed according to the rules of grammar and common
    usage.”); 
    id. § 312.002(a)
    (stating that words shall be given their ordinary meaning).
    Furthermore, a statutory provision will not be construed to lead to an absurd result if the
    provision is subject to another more reasonable interpretation. 
    Gibbs, 253 S.W.3d at 872
    ; see
    also Battaglia v. Alexander, 
    177 S.W.3d 893
    (Tex. 2005).
    By applying these principles to the language of the probate code, Texas courts have held
    that the legislative intent behind the probate court jurisdictional statutes was to confer a narrow
    grant of jurisdiction to statutory probate courts. See Shell Cortez Pipeline Co. v. Shores, 
    127 S.W.3d 286
    , 294 (Tex. App.—Fort Worth 2004, no pet.) (class claims against two oil companies
    that are the same as an inter vivos trust’s claims does not bring a class action lawsuit within the
    subject matter jurisdiction of a statutory probate court); Borden, Inc. v. Sharp, 
    888 S.W.2d 614
    ,
    618 (Tex. App.—Austin 1994, writ denied).           By not enlarging the meanings of relevant
    jurisdictional terms, Texas courts have concluded actions that merely implicate trusts or the
    operations of the trusts are not within the jurisdiction of probate courts. See Gibbs, 253 S.W.3d
    –13–
    at 872 (dismissing claims of restitution and breach of fiduciary duty brought in statutory probate
    court by one sibling beneficiary against other sibling beneficiaries of mother’s trust because of
    court’s lack of jurisdiction); Schuchmann v. Schuchmann 
    193 S.W.3d 598
    , 603 (Tex. App.—Fort
    Worth 2006, pet. denied) (sustaining appellant’s plea to jurisdiction where a post-divorce action
    involving litigants only in their individual capacities and only implicating inter vivos trust was
    brought into probate court); see also In re Stark, 
    126 S.W.3d 635
    , 642 (Tex. App.—Beaumont
    2004, orig. proceeding) (holding that tort claims do not fall within district court’s jurisdiction for
    claims involving trusts and that enumerating types of trust proceedings in a jurisdictional statute
    indicates legislative intent to set forth the general nature of proceedings to be included in a
    probate court’s jurisdiction).         The court in Gibbs observed that broad construction of the
    jurisdictional statutes would lead courts to the absurd result that “every lawsuit touching on
    [probate matters properly within the court’s jurisdiction], however slightly or tangentially, would
    come within the subject matter jurisdiction of the statutory probate courts, regardless of the
    subject matter.” 
    Gibbs, 253 S.W.3d at 872
    .
    Here, none of Nicholson’s remaining claims are “against a trustee,” or “involve[e] an
    inter vivos trust . . . .”    See TEX. PROBATE CODE ANN. §§ 4H(2), (3).                      All of Nicholson’s
    remaining claims are general tort claims with no support in the pleadings or the record that her
    claims would affect the Trust. See 
    Gibbs, 253 S.W.3d at 872
    ; In re 
    Stark, 126 S.W.3d at 642
    ;
    
    Schuchmann, 193 S.W.3d at 603
    . 8 Accordingly, Nicholson’s remaining claims are not within the
    subject matter jurisdiction of the probate court for which reason we have no choice but to dismiss
    the claims. See Tex. Ass’n of 
    Bus., 852 S.W.2d at 446
    .
    8
    Furthermore, the absence of any underlying claim properly within a statutory probate court’s jurisdiction
    cannot, therefore, give rise to pendent or ancillary jurisdiction over Nicholson’s general tort claims. See generally
    TEX. PROB. CODE ANN. § 2 (Vernon 2003); 
    id. at §
    4A; see, e.g., Loos v. Am. Bank, 14-94-00750-CV, 
    1996 WL 75850
    (Tex. App.—Houston [14th Dist.] Feb. 22, 1996, no writ) (not designated for publication) (probate court had
    jurisdiction over beneficiaries’ tort claims against bank for return of estate property).
    –14–
    V. CONCLUSION
    Based on the record before us, we conclude that Stauffer as successor trustee of the Trust
    is not amenable to personal jurisdiction in Texas for Nicholson’s claims in this lawsuit and the
    probate court erred in not making that determination. Without deciding whether or not Stauffer
    in his individual capacity is amenable to jurisdiction in Texas for Nicholson’s remaining claims,
    we conclude the probate court does not have subject matter jurisdiction over Nicholson’s
    remaining claims against Stauffer individually. We, therefore, reverse in part the trial court’s
    order denying in part Stauffer’s special appearance, and render judgment of dismissal of this case
    for lack of personal jurisdiction over Stauffer as successor trustee and lack of subject matter
    jurisdiction over the claims asserted against Stauffer individually.
    131009F.P05                                         /David Evans/
    DAVID EVANS
    JUSTICE
    –15–
    S
    Court of Appeals
    Fifth District of Texas at Dallas
    JUDGMENT
    TED STAUFFER, Appellant                                On Appeal from the Collin County Probate
    Court, Collin County, Texas
    No. 05-13-01009-CV          V.                         Trial Court Cause No. PB1-0842-2012
    Opinion delivered by Justice Evans,
    JANE T. NICHOLSON, Appellee                            Justices O'Neill and Lang-Miers
    participating.
    In accordance with this Court’s opinion of this date, the trial court’s order denying in part
    Ted Stauffer’s special appearance is REVERSED IN PART and judgment is RENDERED
    dismissing this case for lack of personal jurisdiction over Stauffer as successor trustee and lack
    of subject matter jurisdiction over the claims asserted against Stauffer individually.
    It is ORDERED that appellant Ted Stauffer recover his costs of this appeal from
    appellee Jane T. Nicholson.
    Judgment entered this 30th day of July, 2014.
    –16–
    

Document Info

Docket Number: 05-13-01009-CV

Citation Numbers: 438 S.W.3d 205, 2014 WL 3735887, 2014 Tex. App. LEXIS 8353

Judges: O'Neill, Lang-Miers, Evans

Filed Date: 7/30/2014

Precedential Status: Precedential

Modified Date: 11/14/2024

Authorities (31)

McGee v. International Life Insurance , 78 S. Ct. 199 ( 1957 )

City of DeSoto v. White , 52 Tex. Sup. Ct. J. 893 ( 2009 )

Moki Mac River Expeditions v. Drugg , 50 Tex. Sup. Ct. J. 498 ( 2007 )

M.O. Dental Lab v. Rape , 47 Tex. Sup. Ct. J. 790 ( 2004 )

Ex Parte Pryor , 34 Tex. Sup. Ct. J. 203 ( 1990 )

Carl J. Battaglia, M.D., P.A. v. Alexander , 48 Tex. Sup. Ct. J. 720 ( 2005 )

Texas Department of Parks & Wildlife v. Miranda , 47 Tex. Sup. Ct. J. 386 ( 2004 )

Valence Operating Co. v. Dorsett , 48 Tex. Sup. Ct. J. 671 ( 2005 )

Borden, Inc. v. Sharp , 888 S.W.2d 614 ( 1995 )

Gerald M. Dunne v. Peter E. Libbra , 330 F.3d 1062 ( 2003 )

Monesson v. National Equipment Rental, Ltd. , 1980 Tex. App. LEXIS 2919 ( 1980 )

Barnette v. United Research Co. , 1991 Tex. App. LEXIS 3268 ( 1991 )

In Re Guardianship of Gibbs , 253 S.W.3d 866 ( 2008 )

Reata Construction Corp. v. City of Dallas , 49 Tex. Sup. Ct. J. 811 ( 2006 )

Schuchmann v. Schuchmann , 193 S.W.3d 598 ( 2006 )

Texas Ass'n of Business v. Texas Air Control Board , 852 S.W.2d 440 ( 1993 )

Dubai Petroleum Co. v. Kazi , 43 Tex. Sup. Ct. J. 412 ( 2000 )

BMC Software Belgium, NV v. Marchand , 45 Tex. Sup. Ct. J. 930 ( 2002 )

Dallas County Appraisal District v. Funds Recovery, Inc. , 1994 Tex. App. LEXIS 2924 ( 1994 )

The Bremen v. Zapata Off-Shore Co. , 92 S. Ct. 1907 ( 1972 )

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