Scott Truitt v. Janet Hatfield, as an Individual, Janet Hatfield, as Trustee of the Trust of Deloris Hatfield, Janet Hatfield, as the of the Estate of Deloris Hatfield
In the
Court of Appeals
Second Appellate District of Texas
at Fort Worth
___________________________
No. 02-21-00004-CV
___________________________
SCOTT TRUITT, Appellant
V.
JANET HATFIELD, AS AN INDIVIDUAL; JANET HATFIELD, AS TRUSTEE OF
THE TRUST OF DELORIS HATFIELD; AND JANET HATFIELD, AS THE
EXECUTOR OF THE ESTATE OF DELORIS HATFIELD, Appellee
On Appeal from the Probate Court
Denton County, Texas
Trial Court No. PR-2018-01016-01
Before Womack, Wallach, and Walker, JJ.
Memorandum Opinion by Justice Walker
MEMORANDUM OPINION
Appellant appeals from the trial court’s no-evidence summary judgment on his
fraud, breach-of-fiduciary-duty, breach-of-loyalty, and conversion claims against
Appellee. Because Appellee’s motion was sufficiently specific under the applicable
rules; because Appellant did not respond to the summary-judgment motion regarding
his fraud, breach-of-fiduciary-duty, and breach-of-loyalty claims; and because the
summary-judgment evidence failed to raise more than a scintilla of evidence on each
element of his conversion claim, we affirm the trial court’s summary judgment.
I. BACKGROUND1
In the 1990s, Deloris Hatfield opened two Computershare accounts under the
Uniform Transfers to Minors Act (UTMA) for the benefit of appellant Scott Truitt,
her minor grandson, and placed shares of Walmart stock in the accounts.2 See Tex.
Prop. Code Ann. § 141.005. Scott’s mother Donna Hatfield-Warnock was the
custodian of one of the accounts (UTMA 3602); Janet Hatfield, Scott’s aunt and
1
The factual allegations in the petition are hard for this court to follow, and
Appellant does not include a statement of the underlying facts in his appellate brief.
See Tex. R. App. P. 38.1(g). The trial court apparently had the same problem when it
noted at a hearing, “[I]t’s hard for the Court to follow the ball.” We have attempted
to piece together a timeline based on the entirety of the appellate record, but
Appellant’s use of imprecise language here and in the trial court made this task
difficult.
2
Because some of the involved parties share the same last name, we will refer to
all parties by their first names after initially identifying them by their full names.
2
Deloris’s daughter, was the custodian of the other (UTMA 3629). See id. § 141.004.
Janet was also designated as the trustee of Deloris’s living trust.3
At some point in 2005, Deloris allegedly gave Janet her “power of attorney.” A
total of 75 shares were transferred out of UTMA 3602 on January 25, 2005,
apparently emptying the account. On June 14, 2005, 224 shares were transferred out
of UTMA 3629; 374 shares were transferred out on March 31, 2008.4 Scott seems to
allege that the shares in UTMA 3602 and 3629 were transferred to an A.G. Edwards
account (A.G. Edwards 5094), which “became” A.G. Edwards 8508 in 2005. There is
no indication that A.G. Edwards 5094 or 8508 were UTMA accounts. At some point
(Scott alleges June 10, 2005) when Scott was 19,5 A.G. Edwards ostensibly received an
authorization letter from Scott, authorizing the transfer of 75 shares from A.G.
Edwards 8508 to an A.G. Edwards account owned by Donna. Scott asserts he did
not sign the letter, which is undated and does not reflect that it was either sent to or
The record contains no evidence of the nature of the trust; however, Janet’s
3
counsel asserted at a hearing that it was a living trust, and Scott’s counsel did not
dispute this characterization. Janet produced the trust documents to Scott during
discovery, but it is not part of our record.
On March 4, 2015, UTMA 3629 held no shares after the remaining 1.904
4
shares were sold on that date.
No evidence shows the date that Scott turned 18 or 21. See generally Tex. Prop.
5
Code Ann. § 141.002(11) (defining minor under the UTMA as “an individual who is
younger than 21 years of age”). We only have Scott’s unsupported petition allegation
that he was 19 on April 6, 2005, and his affidavit statement that he was over 18 in
November 2020.
3
received by A.G. Edwards. Scott apparently sent another authorization letter, which
is again undated with no indication that it was sent or received, authorizing the
transfer of the remainder of A.G. Edwards 8508 (374 shares) to a different A.G.
Edwards account held by Deloris. Scott alleges that this transferee account was
“owned by, and under the control of, Deloris” but that he had not signed the letter.
Deloris died at some point in 2017. In April 2017, Scott alleges that he
discovered “the unlawful selling and transfer of the stock” and unsuccessfully
attempted to get the shares’ proceeds from Janet. In September 2017, Scott filed suit
against Janet for fraud, breach of fiduciary duty, breach of loyalty, and conversion,
claiming that Janet had transferred and sold Scott’s stocks without authorization and
had placed the proceeds into Deloris’s estate.6 The breach-of-fiduciary-duty claim
was asserted against Janet in her alleged capacities as trustee and executor; the breach-
of-loyalty claim was against Janet only as trustee.7 Scott also raised claims against
6
Scott’s suit was consolidated with the probate proceeding regarding Deloris’s
estate. See Tex. Est. Code Ann. §§ 31.002(c), 32.001, 32.006, 34.001. Apparently,
Scott and Donna contested Deloris’s will in the probate court. Some of the proffered
evidence regarding Scott’s suit seems to relate to the will contest and not to Scott’s
claims against Janet.
7
For purposes of this opinion only, we assume a breach of loyalty is separate
from a breach of fiduciary duty. See generally Ritchie v. Rupe, 443 S.W.3d 856, 868–69,
887 (Tex. 2014) (discussing corporate officers and directors’ duty of loyalty as a
fiduciary duty); Moody v. Nat’l W. Life Ins. Co., No. 01-18-01106-CV, 2021 WL
3160375, at *11 (Tex. App.—Houston [1st Dist.] July 27, 2021, no pet.) (op. on reh’g)
(same).
4
other involved entities and parties, including Donna, but only the claims against Janet
are at issue here.
Janet filed a no-evidence motion for summary judgment on Scott’s claims,
arguing that he had no more than a scintilla of evidence for most elements.
Scott responded that (1) Janet was impermissibly attempting to “have the Court
make an assessment on legal issues and not fact issues” and (2) that his attached
summary-judgment evidence established that his signature had been forged and “set
forth the facts of an effective conversion and theft of the stocks by moving them
from accounts in the name of Scott Truitt to other accounts as yet to be determined.”
Scott attached his and Donna’s affidavits to the response but did not explain how
their specific factual averments raised fact issues on any element of his claims. Scott’s
affidavit generally referred to attached documents regarding A.G. Edwards 8508,
UTMA 3602, and UTMA 3629. Scott included a verification in his response;
however, he verified that “the attached Interrogatories” were true and correct. Scott
did not attach any interrogatories to his response and he did not verify that the factual
statements in the response were true and correct. See generally Am. Petrofina, Inc. v.
Allen, 887 S.W.2d 829, 830 (Tex. 1994) (recognizing summary-judgment response,
even if verified, is not a Rule 166a(f) affidavit and does not satisfy nonmovant’s
burden to raise a fact issue); City of Hous. v. Clear Creek Basin Auth., 589 S.W.2d 671,
678 (Tex. 1979) (“[P]leadings do not constitute summary judgment proof.”).
5
Although Janet objected to Scott’s summary-judgment evidence on several
bases, including that portions of the affidavits were conclusory, she withdrew “all
objections” at the summary-judgment hearing. The trial court granted Janet’s no-
evidence motion and ordered that Scott take nothing on his claims.
II. PROPRIETY OF SUMMARY JUDGMENT
On appeal, Scott argues that the summary judgment was in error because
(1) Janet’s motion was not sufficiently specific as to which elements of her claims
were supported by no evidence and (2) Donna’s and Scott’s summary-judgment
affidavits were more than a scintilla of evidence regarding “the factual scheme utilized
by [Janet] to illegally acquire and later conceal the facts surrounding her thief [sic] and
conversion of the stocks the subject of the suit.” Janet counters that (1) Scott’s
summary-judgment arguments were insufficiently specific in the trial court and are
insufficiently briefed on appeal and (2) Scott failed to proffer more than a scintilla of
evidence raising a fact issue on his claims.
A. FORM OF JANET’S MOTION
We first address Scott’s attacks to the specificity (or lack thereof) of Janet’s
motion. Although Scott did not specially except to the motion, “summary judgments
must stand or fall on their own merits, and the non-movant’s failure to except or
respond cannot supply by default the grounds for summary judgment.” McConnell v.
Southside ISD, 858 S.W.2d 337, 342 & n.5 (Tex. 1993); see also Clear Creek, 589 S.W.2d
at 678. Even so, Janet was not required to produce evidence to support her no-
6
evidence motion. See Tex. R. Civ. P. 166a(i). Indeed, the mere filing of a proper
motion shifts the burden to the nonmovant to come forward with enough evidence to
raise a genuine issue of material fact. See id.; B.C. v. Steak N Shake Operations, Inc.,
598 S.W.3d 256, 259 (Tex. 2020). But Scott argues that Janet’s motion was not proper
because it set forth only the general elements of his claims and failed to give notice of
which elements were supported by no evidence.
To be proper, a no-evidence motion need not be detailed but it must identify
the grounds for the motion and state the elements for which there is no evidence,
specifically challenging the evidentiary support for the element. See Tex. R. Civ.
P. 166a(i) & 1997 cmt.; Cmty. Health Sys. Prof’l Servs. Corp. v. Hansen, 525 S.W.3d 671,
695–96 (Tex. 2017); Judge David Hittner & Lynne Liberato, Summary Judgments in
Texas: State and Federal Practice, 60 S. Tex. L. Rev. 1, 15–16 (2019). Even so, the
movant need only provide fair notice of the grounds upon which the motion is based
such that the nonmovant is provided adequate information to respond and the issues
are defined. Timpte Indus., Inc. v. Gish, 286 S.W.3d 306, 311 (Tex. 2009). Although a
motion that generally asserts there is no evidence to support a claim would be
conclusory, a motion that sets out each challenged element and argues there is no
evidence for each would be sufficient in a non-complex case such as this one.8 See id.;
see also Cmty. Health, 525 S.W.3d at 695–96.
8
At the summary-judgment hearing, the trial judge recognized that the claims
were “not that complicated.”
7
Here, Janet specified each challenged element of each claim Scott had raised
against her and argued that there was no evidence to support the specified element.
For example, regarding Scott’s claim for breach of fiduciary duty by Janet as trustee:
[Janet] moves for entry of a no evidence summary judgment in her favor
and against Scott . . . on the entirety of [Scott’s] breach of fiduciary duty
by trustee claims against her.
. . . There is no evidence that Janet breached any fiduciary duty to
[Scott] as the trustee of any trust.
. . . There is no evidence that Janet made any actionable threat
against [Scott].
. . . There is no evidence that [Scott] suffered any injury or
damage as a result of any claimed breach of fiduciary duty by Janet as the
trustee of any trust of which [Scott] is the beneficiary.
The motion gave Scott fair notice of the elements Janet argued were supported by no
evidence and defined the issues; thus, it was not impermissibly conclusory. See, e.g.,
Timpte Indus., 286 S.W.3d at 311; Bryant v. May, No. 06-17-00115-CV, 2018 WL
2708531, at *4 (Tex. App.—Texarkana June 6, 2018, no pet.) (mem. op.); Vodicka v.
Lahr, No. 03-10-00126-CV, 2012 WL 2075713, at *5 (Tex. App.—Austin June 6,
2012, no pet.) (mem. op.); cf. Cmty. Health, 525 S.W.3d at 695–96 (“[A] no-evidence
motion that lists each element of the plaintiff’s claim and then asserts that the plaintiff
has no evidence to support ‘one or more’ or ‘any of’ those elements is
insufficient . . . .”). See generally First United Pentecostal Church of Beaumont v. Parker,
514 S.W.3d 214, 220 (Tex. 2017) (setting out elements of breach-of-fiduciary-duty
claim).
8
B. SUFFICIENCY OF SCOTT’S SUMMARY-JUDGMENT ARGUMENTS
Janet contends that Scott’s summary-judgment response did not “brief or point
out his alleged evidence that purportedly raises a fact issue.” The procedural rules
authorized Janet, without presenting evidence, to move for summary judgment on the
ground that no evidence supported essential elements of Scott’s claims. Tex. R. Civ.
P. 166a(i). The trial court was required to grant the motion unless Scott then
produced summary-judgment evidence that raised a genuine, material fact issue. See
Tex. R. Civ. P. 166a(i) & 1997 cmt.; Hamilton v. Wilson, 249 S.W.3d 425, 426 (Tex.
2008).
In his summary-judgment response, Scott globally argued that his and Donna’s
affidavits raised a fact issue regarding “conversion and theft”:
[T]he affidavits of [Donna and Scott] set forth the facts of an effective
conversion and theft of the stocks by moving them from accounts in the
name of Scott . . . to other accounts as yet to be determined. When
inquiry was made [Janet] said that she would have to talk with her
attorney and never provided any additional information regarding the
location or cashing of the stocks. More importantly, as shown in the
affidavit . . . of Scott . . ., his signature was forged on the transfer of the
stock certificates including using an[] out of date identification which
should have been rejected, but was not in buy [sic] the stock companies.
This is by far more than a scintilla of evidence which should result in the
denial of the motion of [Janet].
Although Scott was not required to marshal his proof, he was required to point out
evidence that raised a fact issue on the elements Janet challenged in her motion. See
Tex. R. Civ. P. 166a(i) & 1997 cmt. In other words, Scott must have, “at the very
minimum, provide[d] some form of discussion that raise[d] issues of material fact on
9
the challenged elements.” Holloway v. Tex. Elec. Util. Constr., Ltd., 282 S.W.3d 207, 212
(Tex. App.—Tyler 2009, no pet.). Contrary to Scott’s counsel’s assertion to the trial
court, he did have to attempt to “connect all the dots.”
Scott solely argued that he had raised fact issues on his conversion claim and
did not address or even mention his claims for fraud, breach of fiduciary duty, or
breach of loyalty. Because he did not specifically respond to these claims or their
elements, the trial court was required to grant summary judgment on the unaddressed
claims based on Janet’s motion. See KCM Fin. LLC v. Bradshaw, 457 S.W.3d 70, 79
(Tex. 2015); Holloway, 282 S.W.3d at 212–13.
And his response regarding his conversion claim was also insufficient. He
generally states that Donna’s affidavit “set[s] forth the facts of an effective
conversion,” but points to no specific portion that addresses any element of
conversion. Similarly, Scott’s references to statements in his own affidavit are
untethered to a specific conversion element. The trial court was not required to sift
through Scott’s summary-judgment proof to determine if Scott had raised a fact issue
on each element of conversion. See, e.g., Morgan v. Amarillo Nat’l Bank, 699 S.W.2d
930, 938 (Tex. App.—Amarillo 1985, writ ref’d n.r.e.); I.P. Farms v. Exxon Pipeline Co.,
646 S.W.2d 544, 545 (Tex. App.—Houston [1st Dist.] 1982, no writ); Hittner &
Liberato, supra at 113; cf. Blake v. Intco Invs. of Tex., Inc., 123 S.W.3d 521, 525 (Tex.
App.—San Antonio 2003, no pet.) (“As an appellate court, we are not required to
10
search the record for a scintilla of evidence raising a material fact issue without more
specific guidance.”).
Not only was Scott’s summary-judgment response insufficient but his appellate
briefing is also lacking. Scott includes no statement of the facts pertinent to his attack
on the merits of the summary judgment. See Tex. R. App. P. 38.1(g). And he points
to no specific summary-judgment evidence that would bar summary judgment other
than his generalized argument that his and Donna’s affidavits set forth a “factual
scheme . . . surrounding her thief [sic] and conversion of the stocks” and his reference
to Donna’s affidavit statement that Janet falsely represented “that nothing could be
done about the forgery.” Again, Scott does not attempt to argue the impropriety of
the summary judgment on his fraud, breach-of-fiduciary-duty, and breach-of-loyalty
claims (other than his unsuccessful attack on the sufficiency of Janet’s summary-
judgment motion and his ad hominem attacks on the trial court’s failure to
“understand and apply the summary judgement evidenced [sic] proffered”). His brief
is nothing more than generalized statements railing against the judgment in toto. This
is insufficient to provide a basis upon which to reverse the trial court’s summary
judgment. See, e.g., Lowry v. Tarbox, 537 S.W.3d 599, 620 (Tex. App.—San Antonio
2017, pet. denied); Blake, 123 S.W.3d at 525.
We conclude that in response to Janet’s no-evidence motion, Scott wholly
failed to respond and raise a genuine issue of material fact on his fraud, breach-of-
fiduciary-duty, and breach-of-loyalty claims. Thus, the no-evidence summary
11
judgment was not in error on these claims.9 See Cincinnati Life Ins. Co. v. Cates,
927 S.W.2d 623, 624, 626 (Tex. 1996); cf. Li v. Pemberton Park Cmty. Ass’n, 631 S.W.3d
701, 704–05 (Tex. 2021) (directing appellate courts to liberally construe the procedural
rules to reach the merits of summary-judgment grounds that were substantively
argued in the trial court). But because it could be seen as a “close question” whether
Scott’s trial and appellate arguments directed to his conversion claim met the
minimum requirements of Rule 166a(i) or the rules of appellate procedure, we will
address that claim in an abundance of caution. Johnson v. Brewer & Pritchard, P.C.,
73 S.W.3d 193, 207–08 (Tex. 2002); see Li, 631 S.W.3d at 704. See generally Perry v.
Cohen, 272 S.W.3d 585, 587 (Tex. 2008) (“Simply stated, appellate courts should reach
the merits of an appeal whenever reasonably possible.”).
C. CONVERSION: GENUINE ISSUE OF MATERIAL FACT?
1. Review Standards
We review a no-evidence summary judgment for evidence that would enable
reasonable and fair-minded jurors to differ in their conclusions. Hamilton, 249 S.W.3d
at 426. We credit evidence favorable to the nonmovant if reasonable jurors could,
and we disregard evidence contrary to the nonmovant unless reasonable jurors could
not. Timpte Indus., 286 S.W.3d at 310. If the nonmovant brings forward more than a
9
Even so, Scott’s breach-of-fiduciary-duty claim against Janet as the executor of
Deloris’s estate was not in error because Scott admitted in his summary-judgment
affidavit that Janet was not the executor.
12
scintilla of probative evidence that raises a genuine issue of material fact, then a no-
evidence summary judgment is not proper. Smith v. O’Donnell, 288 S.W.3d 417, 424
(Tex. 2009); King Ranch, Inc. v. Chapman, 118 S.W.3d 742, 751 (Tex. 2003).
Because only Scott’s conversion claim is at issue, we confine our analysis to the
evidence relevant to the elements of that claim. Conversion is the unauthorized and
wrongful assumption and exercise of dominion and control over the personal
property of another to the exclusion of, or inconsistent with, the owner’s rights.
Waisath v. Lack’s Stores, Inc., 474 S.W.2d 444, 447 (Tex. 1971). To avoid summary
judgment on his conversion claim, Scott must have produced more than a scintilla of
evidence that (1) he owned, possessed, or had the right to immediate possession of
personal property; (2) Janet unlawfully and without authorization assumed and
exercised control over the property to the exclusion of, or inconsistent with, Scott’s
rights; and (3) Scott suffered injury. See United Mobile Networks, L.P. v. Deaton,
939 S.W.2d 146, 147–48 (Tex. 1997); Lopez v. Lopez, 271 S.W.3d 780, 784 (Tex.
App.—Waco 2008, no pet.).
2. Review Scope
Scott argues that Scott’s and Donna’s affidavits raised genuine issues of
material fact on each element of his conversion claim. Janet counters that most of
Scott’s and Donna’s affidavits were conclusory because the challenged statements
were no more than ipse dixit unsupported by any underlying facts. Janet recognizes
that she withdrew her objections to Scott’s evidence in the trial court, but she asserts
13
that she may raise her substantive objection for the first time on appeal.10 Janet is
correct that a conclusory affidavit is substantively defective and that the issue may be
raised for the first time on appeal. See Seim v. Allstate Tex. Lloyds, 551 S.W.3d 161, 166
(Tex. 2018); Albright v. Good Samaritan Soc’y–Denton Vill., No. 02-16-00090-CV,
2017 WL 1428724, at *2 (Tex. App.—Fort Worth Apr. 20, 2017, no pet.) (mem. op.);
cf. Tex. R. Civ. P. 166a(f) (providing if form defects in affidavits are not raised in the
trial court, defect may not be used to support reversal on appeal).
A conclusory statement is one that does not provide the underlying facts to
support the conclusion and is not readily controvertible. See Rockwall Commons Assocs.,
Ltd. v. MRC Mortg. Grantor Tr. I, 331 S.W.3d 500, 512 (Tex. App.—El Paso 2010, no
pet.); Cooper v. Circle Ten Council Boy Scouts of Am., 254 S.W.3d 689, 698 (Tex. App.—
Dallas 2008, no pet.). Although we examine the entire record in the light most
favorable to the nonmovant, Sudan v. Sudan, 199 S.W.3d 291, 292 (Tex. 2006), we will
not consider substantively defective evidence because such evidence is incompetent to
raise a fact issue. See Ryland Grp., Inc. v. Hood, 924 S.W.2d 120, 122 (Tex. 1996)
(“Conclusory affidavits are not enough to raise fact issues.”); Mathis v. Bocell,
982 S.W.2d 52, 60 (Tex. App.—Houston [1st Dist.] 1998, no pet.) (“Substantive
defects are never waived because the evidence is incompetent and cannot be
considered under any circumstances.”). Therefore, as we consider the summary-
10
Scott did not file a reply in support of his appellate arguments; therefore, he
has not responded to Janet’s evidentiary arguments.
14
judgment evidence and whether it constituted more than a scintilla raising a fact issue,
we necessarily will also consider whether that evidence is substantively defective.
3. The Pleadings and Summary-Judgment Evidence
Although pleadings are not summary-judgment evidence, see Hidalgo v. Sur. Sav.
& Loan Ass’n, 462 S.W.2d 540, 545 (Tex. 1971), Scott was required to give fair notice
of the nature of his claim and the relief sought, see Tex. R. Civ. P. 45(b), 47(a).
Therefore, Scott’s pleading of his claim provides part of the framework for our
review. See Tex. R. Civ. P. 166a(c) (providing trial court’s summary judgment must be
based in part on the pleadings on file at the time of the hearing); see also Via Net v. TIG
Ins. Co., 211 S.W.3d 310, 313 (Tex. 2006) (“Defendants are not required to guess what
unpleaded claims might apply and negate them.”); Cook v. Brundidge, Fountain, Elliott &
Churchill, 533 S.W.2d 751, 759 (Tex. 1976) (holding defendant only “required to meet
the plaintiff’s case as pleaded” when moving for summary judgment).
In pleading his claim, Scott alleged that he legally possessed the Walmart stock
through his UTMA and A.G. Edwards “account”; that Janet, through Deloris’s power
of attorney, wrongfully exercised control by transferring “assets” out of Scott’s
“account” without his knowledge or consent; and that the stocks cannot be returned
because they were transferred and sold without his authorization. Scott also alleged
that he demanded the return of the stock and that Janet refused. But because Scott
claims that Janet wrongfully exercised control over the stock without his consent, a
15
demand for the return of the property and a refusal are not elements of his claim. See
Guillory v. Dietrich, 598 S.W.3d 284, 292 (Tex. App.—Dallas 2020, pet. denied).
Donna generally stated in her affidavit that Janet had transferred “funds and
stocks” into “the Estate accounts instead of forwarding the funds to [Scott].”
Donna’s affidavit had no attachments.
In his summary-judgment affidavit, Scott averred that Janet “cashed the stock
intended for [Scott] and moved them” into Deloris’s estate and into the trust.11 Scott
attached to his affidavit (1) the undated letter of authorization from “Scott A. Truitt,”
allowing a transfer of 75 shares of Walmart stock from A.G. Edwards 8508 to
Donna’s A.G. Edwards account; (2) the undated letter of authorization from “Scott
A. Truitt,” allowing the transfer of 374 shares from A.G. Edwards 8508 to Deloris’s
A.G. Edwards account;12 (3) a May 2017 “Certificate Transcript” for UTMA 3602,
which was addressed to Donna as Scott’s custodian and reflects three 2005 transfers
of a total of 75 shares; (4) a May 2017 “Certificate Transcript” for UTMA 3629, which
was addressed to Janet as Scott’s custodian and shows two prior transfers of a total of
598 shares; (5) a taxation statement of holdings for UTMA 3629 that was addressed to
11
Scott avers that Janet transferred or “moved” the stocks into both Deloris’s
estate and the trust. It appears that Scott uses trust and estate interchangeably;
however, we will refer to them separately.
12
Scott identified the letters of authorization as evidence that Janet
“misrepresented herself by using an expired identification.” Nothing in the undated
letters shows that an expired (or any) identification was used.
16
Janet as Scott’s custodian and shows five “Dividend Reinvestment[s]” for tax year
2007; and (6) a May 2017 “Summary of Account Holdings and Transaction Form” for
UTMA 3629 that was addressed to Janet as Scott’s custodian and shows the shares’
activity between July 1998 and March 2015.13
None of Scott’s summary-judgment evidence raises a fact issue that Janet
unlawfully and without authorization transferred stocks from A.G. Edwards 8508 (or
its predecessor A.G. Edwards 5094), UTMA 3602, or UTMA 3629 and put the
proceeds into Deloris’s estate or trust. The two undated authorization letters showed
attempted transfers from A.G. Edwards 8508 to Donna’s account and to Deloris’s
account; but there is no evidence that Janet was involved. Scott admitted in his
petition that Deloris owned and controlled her transferee account. See Hittner &
Liberato, supra at 65 (stating pleadings are not summary-judgment evidence but
recognizing that “an opponent’s pleadings may constitute summary judgment proof if
they contain judicial admissions”). The undated authorization letters are signed by
“Scott A. Truitt.” Even though Scott states in his affidavit that Janet forged his
signatures because “she was the only person who could have done so,” this is a
conclusory statement and is no proof that Janet did, especially when the transfers out
of A.G. Edwards 8508 were not to Janet but were to Donna and to Deloris. See
13
Scott identified the account information about UTMA 3602 and 3629 as
proof that Janet was Scott’s “fiduciary representative . . . on the stocks as custodian of
the stocks.” Donna was the custodian of UTMA 3602.
17
Ryland Grp., 924 S.W.2d at 122. The certificate transcripts, the statement of holdings,
and the summary of account holdings show nothing more than the fact that transfers
from the UTMA accounts occurred and that Donna and Janet had been the accounts’
custodians. There is no evidence that the shares in the UTMA accounts were
transferred to A.G. Edwards 5092 or 8508, that the shares were ever transferred into
Deloris’s estate or trust, or that Janet transferred the shares from A.G. Edwards 8508
to Deloris’s estate or trust. Scott’s bare assertion, unsupported by any facts that trace
the funds from UTMA 3602 and 3629 into A.G. Edwards 5092 and 8508 and then to
Deloris’s estate or trust, is incompetent to supply this essential link in the evidentiary
chain.
We possibly could presume this link by independently comparing the account
evidence regarding UTMA 3602, UTMA 3629, and A.G. Edwards 8508 and
attempting to pair a transfer from a UTMA account with a similar transfer into A.G.
Edwards 8508. But that is not our task—the burden was on Scott to provide the
necessary facts and specifically tie those facts to specific elements of his conversion
claim. See Blake, 123 S.W.3d at 525. In essence, Scott and Donna merely averred in
their affidavits that there were accounts that Scott was the beneficiary of, that Janet
forged his name on transfer authorizations from the accounts, and that Janet put the
funds from the stocks into Deloris’s estate and trust. These conclusory, unsupported
statements do not raise a genuine issue of material fact on the second element of his
conversion claim—Janet unlawfully and without authorization assumed and exercised
18
control over the property to the exclusion of, or inconsistent with, Scott’s rights. See,
e.g., Cypress Creek EMS v. Dolcefino, 548 S.W.3d 673, 685–87 (Tex. App.—Houston [1st
Dist.] 2018, pet. denied); Fabian v. Cantwell, No. 03-16-00712-CV, 2017 WL 1833496,
at *2 (Tex. App.—Austin May 3, 2017, no pet.) (mem. op.).
Further, and as Janet argued in her no-evidence motion, Scott raised only a
scintilla of evidence of his damages attributable to the alleged conversion. The
measure of conversion damages is the fair market value of the property at the time
and place of the conversion. See United Mobile, 939 S.W.2d at 147–48. In his affidavit,
Scott asserted that Janet’s “removing [the stocks] to the estate” resulted in an $80,000
“loss.”14 There is no summary-judgment evidence of the date of the conversion or
the value of the stocks on those dates. The statement of holdings and the summary
of account holdings regarding UTMA 3629 reflect the prices per share on certain
dates, but Scott does not refer to these numbers or dates and he does not tie any of
the prices to his stated damages amount or even assert that he is seeking the fair
market value of the stocks based on the prices per share noted on the UTMA 3629
documents. In short, Scott’s damages assertion in his affidavit is unsupported by and
untethered to facts, rendering it conclusory and no evidence to defeat Janet’s
summary-judgment motion. See Ryland Grp., 924 S.W.2d at 122; Apollo Expl., LLC v.
Apache Corp., 631 S.W.3d 502, 544–45 (Tex. App.—Eastland 2021, pet. pending);
Scott pleaded for the return of “674.904 shares” of stock and “monetary relief
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between $100,000 and $200,000.”
19
Chapa v. Stonehaven Dev. Inc., No. 13-13-00030-CV, 2013 WL 4426383, at *3 (Tex.
App.—Corpus Christi–Edinburg Aug. 15, 2013, no pet.) (mem. op.).
III. CONCLUSION
Janet’s no-evidence motion for summary judgment was compliant with the
rules and gave fair notice of the elements she challenged; thus, the burden shifted to
Scott to respond and raise a genuine issue of material fact on each claim. Scott’s
response addressed only his conversion claim. Because he ignored the challenged
elements of his fraud, breach-of-fiduciary-duty, and breach-of-loyalty claims, the trial
court was required to grant the no-evidence motion on those claims. And although
Scott’s trial and appellate briefing was insufficient on his conversion claim, his
summary-judgment evidence (most of which was conclusory) was no more than a
scintilla of evidence that failed to raise a genuine issue of material fact on at least two
of that claim’s elements. Thus, we overrule Scott’s appellate point and affirm the trial
court’s judgment. See Tex. R. App. P. 43.2(a).
We note that Janet argued in the trial court and now on appeal that limitations
barred Scott’s claims, which she asserted Scott judicially admitted in his petition. But
limitations was Janet’s affirmative defense on which she carried the burdens of
pleading and proof; thus, Janet could not properly move for a no-evidence summary
judgment on that basis. See Tex. R. Civ. P. 94, 166a(i) & 1997 cmt.; Zamora v. Tarrant
Cnty. Hosp. Dist., 510 S.W.3d 584, 589 (Tex. App.—El Paso 2016, pet. denied). In any
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event, limitations was not a proper part of the trial court’s no-evidence determination
and is not properly before us in this appeal.
/s/ Brian Walker
Brian Walker
Justice
Delivered: December 2, 2021
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