Trust beneficiaries and third parties
dc.contributor.advisor
Reid, Ken
dc.contributor.advisor
Fox, David
dc.contributor.author
Follan, Patrick J.
dc.contributor.sponsor
other
en
dc.date.accessioned
2021-11-19T12:39:55Z
dc.date.available
2021-11-19T12:39:55Z
dc.date.issued
2021-12-01
dc.description.abstract
This thesis is about the juridical nature of the beneficiary’s right in a Scottish trust. Its central
contention is that the beneficiary holds no more than a personal right against the trustee.
The focus of the discussion is on the compatibility of this view with two important - and
apparently more than merely personal - effects produced by the trust in relation to third parties.
The first is the capacity of the beneficiary to proceed against a third party transferee of trust
property taking in breach of trust or breach of fiduciary duty, or against a third party who has
otherwise incurred an obligation to the trust. The second is the entitlement of the beneficiary
to trust property on the insolvency of the trustee in preference to that trustee’s personal
creditors. The thesis demonstrates that, while these effects on third parties have often led to the
characterisation of the beneficiary’s right as either real or more than personal in nature, both
the liability of third parties and the protection of trust property from creditors are explicable if
the right is conceptualised as a personal right against the trustee.
In relation to a beneficiary’s capacity to proceed against a third party taking trust property in
breach of trust, the thesis contends that the beneficiary’s action arises not from any right in the
trust property but rather from the application in the context of trust law of a body of rules which
allow for the setting aside of a transaction in fraud of a creditor. In combination with statutory
restrictions, this approach serves to determine the limits of a beneficiary's claim against a party
taking in breach of trust. The same body of rules which explain claims for breach of trust may
also, it is argued, be extended to account for the liability to the beneficiary of a transferee taking
in breach of a trustee’s fiduciary duty. By contrast, the ability of a beneficiary to proceed
against a third party who has incurred an obligation to the trust arises from a procedural rule
representing an exception to the principle that the trustee alone is entitled to pursue claims
against such third parties.
The rule that trust property enjoys protection from the personal creditors of the trustee has a
long history in Scots law involving, in particular, a number of changes of underlying rationale.
The thesis shows how the protection of trust property was originally predicated upon the
vulnerability of a creditor to the personal right of the beneficiary against a debtor trustee. That
approach resulted in differences in protection from creditors between different forms of
property as well as between latent and patent trusts. Protection was then extended to all forms
of trust property in trusts of any kind on the basis of a view of the beneficiary as holding a right
in the trust property. This rule, but not its underlying rationale, was preserved in the late 20th
century with the coming of a patrimonial approach to the trust. That approach, it is argued,
provides the most appropriate basis for the protection of trust property from creditors.
en
dc.identifier.uri
https://hdl.handle.net/1842/38288
dc.identifier.uri
http://dx.doi.org/10.7488/era/1554
dc.language.iso
en
en
dc.publisher
The University of Edinburgh
en
dc.relation.hasversion
PJ Follan, “A Strange Genesis: Section 2 of the Trusts (Scotland) Act 1961” (2020) 24 Edin LR 323
en
dc.subject
trusts
en
dc.subject
beneficiary
en
dc.subject
personal right
en
dc.subject
property in trust
en
dc.subject
protection from creditors
en
dc.title
Trust beneficiaries and third parties
en
dc.type
Thesis or Dissertation
en
dc.type.qualificationlevel
Doctoral
en
dc.type.qualificationname
PhD Doctor of Philosophy
en
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