WOODALL, Justice.
In case no. 1091798, John Coleman McGee ("Jack") appeals from a summary
On June 7, 1992, Mrs. McGee executed a will, which was drafted by Crawford Williams, her attorney of approximately 30 years. The document provided, in substantive and relevant part:
(Capitalization in original.)
Mrs. McGee executed the will in her home. Present at the signing of the will were Williams and Jim Wagstaff, both of whom signed the document as witnesses. Willis had played no role in the discussions between Williams and Mrs. McGee during the drafting stage of the will, and he was not present when the will was signed. However, sometime before Mrs. McGee's death, Willis allegedly placed the will in Mrs. McGee's bank safe-deposit box.
Mrs. McGee died on January 18, 2005, and Willis subsequently offered the will for probate. Letters testamentary were issued
Additionally, the complaint contained a conversion claim, set forth, in pertinent part, as follows:
The trial court entered a summary judgment in favor of Willis on all counts of the complaint except the undue-influence count, which was tried to a jury. However, at the close of Jack's case, the trial court entered a judgment as a matter of law ("JML") in favor of Willis on that count, "with leave for [Willis] to prove reasonable costs and fees pursuant to § 43-8-196, Code of Alabama (1975)." Jack's motion to alter, amend, or vacate that judgment was denied by operation of law, and he appealed (case no. 1091798). Meanwhile, Willis filed a "submission to prove costs and fees." The trial court, however, denied Willis's request for payment of costs and fees, and Willis also appealed (case no. 1100247).
On appeal, Jack contends that the trial court erred in entering both the summary judgment and the JML, while Willis contends that the trial court erred in denying his request for the payment of costs and fees. Because the merits of Willis's appeal turn, in large part, on the merits of Jack's appeal, we first address the issues presented in case no. 1091798.
On appeal, Jack challenges the summary disposition by JML of his undue-influence claim. He also challenges the summary judgment on his fraud and conversion claims. He does not challenge the summary disposition of the following two claims eliminated by summary judgment: (1) the alleged invalid execution of the will and (2) Mrs. McGee's alleged lack of testamentary capacity. In any event, "[t]he de novo `standard by which we review a ruling on a motion for a JML is "`materially indistinguishable from the standard by which we review a summary judgment.'"'" Glass v. Birmingham Southern R.R., 982 So.2d 504, 506 (Ala.2007) (quoting Bailey v. Faulkner, 940 So.2d 247, 249 (Ala.2006), quoting in turn Flint
Jack concedes, as he must, that in order "[t]o submit his claim to a jury" he had the burden of producing substantial evidence of each element of undue influence. Jack's brief, at 24-25. Those elements are:
Furrow v. Helton, 13 So.3d 350, 353-54 (Ala.2008) (emphasis added) (quoting Clifton v. Clifton, 529 So.2d 980, 983 (Ala. 1988)). This Court has often defined a "favored beneficiary" as
Pirtle v. Tucker, 960 So.2d 620, 629 (Ala. 2006) (quoting Cook v. Morton, 241 Ala. 188, 192, 1 So.2d 890, 892 (1941)).
Assuming, arguendo, that the proponent of a will is a favored beneficiary, it still must be shown that there was "active interference in procuring the execution of the will." Clifton v. Clifton, 529 So.2d at 984. "This activity must be in procuring the execution of the will and more than activity and interest referable to a compliance with or obedience to the voluntary and untrammeled directions of the testat[rix]." Johnson v. Howard, 279 Ala. 16, 21, 181 So.2d 85, 90 (1965) (emphasis added).
"`Undue activity in the procurement or execution of a will may ... be proved by circumstantial evidence.'" Pirtle, 960 So.2d at 631 (quoting Allen v. Sconyers, 669 So.2d 113, 117 (Ala.1995)). However, "[a] court does `not look at individual facts or evidence in isolation in determining whether the evidence supports [this] element of undue influence.'" 960 So.2d at 632. "Evidence proving that there was undue activity [on the part of the named beneficiary] in procuring the execution of the will is crucial to the determination of the existence of undue influence." Wall v. Hodges, 465 So.2d 359, 363 (Ala.1984) (emphasis added).
Circumstances evidencing undue activity in the procurement or execution of a will are those where a beneficiary
Reed v. Shipp, 293 Ala. 632, 636, 308 So.2d 705, 708 (1975) (quoting appellants' brief, quoting in turn Lewis v. Martin, 210 Ala. 401, 413, 98 So. 635, 647 (1923)). There was insufficient relevant evidence of such activity in this case.
It is undisputed that Willis did not precipitate, participate in, or attend any of the conversations between Mrs. McGee and Williams. Neither was Willis present during the actual execution of the will, as we have already stated. He had nothing to do with selecting the witnesses to the will. Indeed, there was no evidence indicating that Willis had any foreknowledge of the will-making process. Moreover, there was no evidence indicating that Willis subsequently concealed the will or the fact of its making. Thus, we need not consider whether there was evidence of the first two elements of the undue-influence claim, because Jack has failed to present any evidence on the "crucial" third element. See Wall v. Hodges, 465 So.2d at 363 (even assuming sufficient evidence of the first two elements, undue-influence claim should not have gone to the jury in the absence of evidence that the named beneficiary "had anything to do with the procurement of the ... will or the [subsequent] re-execution of it").
Jack points out that the will was found in an unsealed envelope in Mrs. McGee's safe-deposit box, to which Willis had access. These facts do not aid Jack. Evidence indicating that the testatrix had a post-execution discussion with a named beneficiary and gave him the will with instructions to "put it away for safekeeping" does not constitute evidence of undue activity in the execution of the will. Smith v. Smith, 482 So.2d 1161, 1164 (Ala.1985) (reversing a judgment entered on a jury verdict for the contestant and holding that there was not "sufficient evidence of undue influence to allow the court to ... submit the case to the jury"). Because Willis's only involvement was in the post-execution process of allegedly placing the will in Mrs. McGee's safe-deposit box, the trial court did not err in entering a JML in favor of Willis and that JML is affirmed.
Jack next challenges the summary judgment on his fraud and conversion claims.
In this Court, Jack explains his fraud theory as follows:
Jack's brief, at 35-37 (footnote and citations to the record omitted).
As we understand this theory, it is that, after Mrs. McGee executed her 1992 will, she changed her mind about the disposition of her estate and executed yet another will, which Willis allegedly suppressed or destroyed. Jack contends that his theory presents a cognizable cause of action under Ala.Code 1975, § 43-8-5, which provides:
Jack insists that he "presented substantial evidence that Willis violated" this section by suppressing or destroying a will executed by Mrs. McGee after the 1992 will. Jack's brief, at 34. We disagree.
This Court and the Court of Civil Appeals have interpreted § 43-8-5 as a tolling provision, not as Jack proposes, as an independent source of fraud law. In that connection, we recently said:
Johnson v. Neal, 39 So.3d 1040, 1044 (Ala. 2009) (emphasis added). There are no timeliness issues involved in this case, and, thus, there is no need for the application of a tolling provision.
Substantively, the alleged statements of Mrs. McGee — echoed by Willis and others — regarding Mrs. McGee's dispositional intentions do not constitute evidence of a missing will. In essence, this argument is advanced to show a revocation of the 1992 will by a subsequent will. However, "`[i]t is noted in McBeth v. McBeth, [11 Ala. 596 (1847),] supra [Weeks v. McBeth, 14 Ala. 474 (1848)], that testators frequently make declarations touching their testamentary acts "for the purpose of misleading, and of stifling the importunity of relatives and friends." ...'" Allan v. Allan, 353 So.2d 1157, 1158 (Ala.1977) (quoting Allen v. Scruggs, 190 Ala. 654, 673-74, 67 So. 301, 308 (1914)). In Allan, Lawrence Allan offered his wife's will to
353 So.2d at 1157-58. The trial court directed a verdict against the contestant and this Court affirmed, holding: "There is no evidence in this case that the proponent of the ... will destroyed a subsequent will made by the testatrix." Id. at 1159.
Allan is instructive. Indeed, unlike this case, Allan involved evidence indicating that witnesses had actually seen the allegedly missing will. For example, the contestant in Allan "testified that he saw an instrument with his mother's name on it and the names of two other people," and a neighbor testified likewise. 353 So.2d at 1157-58. However, "[t]here [was] no evidence whatever that the instrument which the witnesses said they saw had been executed in the presence of two witnesses, nor that such witnesses had executed the same in the presence of the testatrix." Id. at 1158. Thus, the contest did not warrant a jury's consideration. A fortiori, the evidence is insufficient in this case, where no one claims to have ever seen a post-1992 document purporting to be Mrs. McGee's will.
Finally, Jack insists that he presented evidence of conversion sufficient to withstand Willis's summary-judgment motion. "The elements of conversion include a wrongful taking of specific property and an assumption of ownership or dominion over the separate and identifiable property of another.... Further, the plaintiff must have a right to immediate possession of such property and the taking must be in defiance of that right." Young v. Norfolk Southern Ry., 705 So.2d 444, 446 (Ala.Civ.App.1997). In other words, "to recover under the count of conversion, plaintiff must show legal title in himself to the property at the time of the conversion and his immediate right of possession." State Farm Mut. Auto. Ins. Co. v. Wagnon, 53 Ala.App. 712, 717, 304 So.2d 216, 219 (1974) (emphasis added).
In his summary-judgment motion addressed to the conversion claim, Willis stated, in pertinent part:
Jack responded to the motion with his own affidavit, in which he stated, in pertinent part:
(Emphasis added.)
According to Jack, he "offered evidence that there were three classes of items that Willis converted," namely, (1) "his own property that he was storing at Mrs. McGee's residence at the time of her death"; (2) property "that Jack had been given by persons other than Mrs. McGee"; and (3) "items he was given by Mrs. McGee." Jack's brief, at 32-33 (emphasis added). He points out — correctly, we note — that Willis's summary-judgment motion challenged the conversion claim only as to the third class of property.
White Sands Group, L.L.C. v. PRS II, LLC, 998 So.2d 1042, 1054-55 (Ala.2008). Jack argues that the trial court "inexplicably granted summary judgment regarding" the two classes of items not challenged in the summary-judgment motion and that it erred in so doing. We agree.
Because Willis challenged the sufficiency of Jack's conversion claim only as to one of three classes of property, namely, "items he was given by Mrs. McGee," the burden never shifted to Jack to defend the challenge as to the other two classes of allegedly converted property.
In that connection, Willis challenges the sufficiency of Jack's affidavit. According to Willis, Jack's affidavit fails to show that he had legal title to the allegedly gifted property that remained in Mrs. McGee's possession at the time of her death. This is true, because, he says, the statements in Jack's affidavit are merely conclusory, that is, the affidavit does not contain facts necessary "to establish when any such gift occurred, the circumstances surrounding any such gift, nor facts sufficient to establish that delivery had occurred in order to constitute a valid inter vivos gift." Willis's principal reply brief, at 47 (citing Dial v. Dial, 603 So.2d 1020, 1022-23 (Ala. 1992) (delivery is an essential element of a valid inter vivos gift, and "the death of the donor [without a delivery] is an automatic revocation")).
We agree. To be sure, Jack's affidavit states: "I took actual possession of all of these items before leaving them in mother's house including the things that mother gave me...." (Emphasis added.) However, "when a response to a motion for summary judgment or an accompanying affidavit states conclusions on ultimate issues without including facts that tend to prove or disprove the allegations made in the motion for summary judgment, it is insufficient to give rise to genuine issues of fact." Olson v. State Farm Mut. Auto. Ins. Co., 174 P.3d 849, 858 (Colo.Ct.App. 2007). See Brown ex rel. Brown v. St. Vincent's Hosp., 899 So.2d 227, 238-39 (Ala.2004).
Thus, where the issue was whether a property owner "offered substantial evidence that he suffered harm or loss as a result of the construction [by a municipality] of [a] pedestrian bridge" across a highway adjacent to his property, when the evidence offered in response to the properly supported summary-judgment motion was the owner's statement in his affidavit that the bridge "interfere[d] with the ingress [to] and egress [from]" his property, this Court held that such evidence was merely conclusory. Reid v. Jefferson Cnty., 672 So.2d 1285, 1286 (Ala.1995). Also, where the issue was whether a common-law marriage had been established, affiant's statements referring to the other party as "his wife" were merely conclusory and did not constitute substantial evidence of the existence of a marriage. Salter v. State, 971 So.2d 31, 35 (Ala.Civ.App.2007). Here the bare statement — "I took actual possession" — is a legal conclusion as to an element of a gift, not factual support for the element of delivery. Consequently, Jack's affidavit does not provide substantial evidence that he ever acquired title and a right to possession of the property allegedly given him by Mrs. McGee. The trial court did not err in entering a summary judgment as to that class of items allegedly converted and, insofar as the summary judgment did so, it is affirmed. Insofar as it entered a summary judgment regarding the other two classes of property, that summary judgment is reversed.
In Willis's appeal, he contends that the trial court erred in denying his motion for costs and fees, pursuant to § 43-8-196, which provides:
(Emphasis added.)
Although this section speaks specifically of "costs," it authorizes an award of attorney fees as part of the costs in a will contest. Hart v. Jackson, 607 So.2d 161, 164 (Ala.1992). The contestant is liable "if he fails," which this Court has construed to mean that "if there is some credible evidence offered by the contestant in support of the theory of the contest, the contestant is not to be charged with paying the attorneys' fees of the proponent." Bleidt v. Kantor, 412 So.2d 769, 771 (Ala. 1982) (emphasis added) (construing the predecessor statute to § 43-8-196). Bleidt involved a will contest commenced by Nell Bleidt on the grounds of undue influence and forgery. 412 So.2d at 770. The case was tried to a jury, which returned a verdict against Bleidt and in favor of the proponents of the will. Id. Subsequently, the trial court awarded the proponents $10,000 in attorney fees, pursuant to § 43-1-76, which is now § 43-8-196. Bleidt's appeal did not involve a specific challenge to the sufficiency of the evidence of the grounds for the contest but did challenge the propriety of the fee award.
This Court in Bleidt reversed the fee award on the basis of the litigation represented by Clark v. Clark, 280 Ala. 644, 197 So.2d 447 (1967) ("Clark I") (reversing a judgment entered on a jury verdict for the contestant and rendering a judgment in favor of the proponent on the ground that the evidence was insufficient to support the contest); and Clark v. Clark, 287 Ala. 42, 247 So.2d 361 (1971) ("Clark II") (holding that attorneys who represented the "executor in the will contest" in Clark I were entitled to a fee to be paid by the contestant).
Discussing Clark I and Clark II, the Court in Bleidt explained:
412 So.2d at 771-72 (emphasis added).
In this case, we are presented with no credible evidence in support of any ground upon which Jack challenged Mrs. McGee's will.
In summary, the judgment in case no. 1091798 is reversed and the case remanded for further proceedings as to the issue of conversion of the items Jack allegedly received from sources other than Mrs. McGee. In all other respects, the judgment in case no. 1091798 is affirmed. Of course, our disposition of the fraud and undue-influence claims similarly disposes of any need for a constructive trust. As for case no. 1100247, however, the judgment is reversed and the case is remanded for further proceedings consistent with this opinion.
1091798 — AFFIRMED IN PART; REVERSED IN PART; AND REMANDED.
MALONE, C.J., and STUART, BOLIN, PARKER, SHAW, MAIN, and WISE, JJ., concur.
MURDOCK, J., concurs in the result.
1100247 — REVERSED AND REMANDED.
MALONE, C.J., and STUART, PARKER, SHAW, and MAIN, JJ., concur.
BOLIN, MURDOCK, and WISE, JJ., concur in the result.
MURDOCK, Justice (concurring in the result).
I concur in the result reached by the main opinion in both case no. 1091798 and case no. 1100247. I write separately as to case no. 1091798 to express my concern regarding the state of our law with respect to undue influence and conversion and to note my reason for agreeing with the result reached by the main opinion as to the fraud claim.
By 1977, if not before, our cases had begun to speak in terms of three distinct elements that, if proven, would aid a will contestant by giving rise to a presumption of undue influence, thereby shifting the burden of proof to the proponent of the will to establish that the will was the free act of the testator. In Pruitt v. Pruitt, 343 So.2d 495, 499 (Ala.1977), this Court stated:
343 So.2d at 499 (citation and original emphasis omitted and emphasis added).
Not unexpectedly, as Pruitt explained, if a contestant is able to prove those elements for purposes of creating that presumption, he or she will have "go[ne] far, of course, in proving the principal charge of undue influence." 343 So.2d at 499. That "principal charge," i.e., the wrongdoing known as "undue influence," was itself defined at common law and in our cases as simply this: the assertion of such "`influence... as, in some measure, destroys the free agency of the testator, and prevents the exercise of that discretion which the law requires a party should possess as essential to a valid testamentary disposition of his property.'" Id. (quoting the well established definition of undue influence stated over 20 years earlier in Locke v. Sparks, 263 Ala. 137, 140, 81 So.2d 670, 673 (1955)). As this Court indicated in the 1861 case of Hall's Heirs v. Hall's Executors, 38 Ala. 131, 134 (1861), what is necessary to demonstrate undue influence is simply a showing "that an influence was exerted upon the mind of the testator, which was equivalent to moral coercion, and constrained him to do that which was against his will, but which, from fear, the desire of peace, or some other feeling than affection, he was unable to resist." Black's Law Dictionary 1666 (9th ed.2009) defines "undue influence" in relation to a will as simply "[c]oercion that destroys a testator's free will and substitutes another's objectives in its place" and then notes that "a presumption of undue influence" (emphasis added) may arise "based on the confidential relationship between the influencer and the person influenced" "[w]hen a beneficiary actively procures the execution of a will." See also 36 Am.Jur. Proof of Facts 2d 109 Undue Influence in Execution of Will § 2 (1983)(discussing the elements of a claim of undue influence); 36 Am.Jur. Proof of Facts 2d 109 Undue Influence in Execution of Will § 7 (1983)(discussing the elements for establishing a presumption of undue influence).
The failure of our cases since Pruitt to maintain the distinction between the elements of undue influence and the factors giving rise to a presumption of undue influence leads to confusion, as I believe it has in the present case, and could, in a given case, lead to an unjust result. For example, element (1) as now articulated requires the contestant to establish "`a confidential relationship between a favored beneficiary and the testator.'" Furrow v. Helton, 13 So.3d 350, 353 (Ala.2008) (quoting Clifton v. Clifton, 529 So.2d 980, 983 (Ala.1988)). Laying aside the even more fundamental issue of why we should require the relationship to be a "confidential" one, it would seem that what should be required is that there be a confidential relationship between the party exerting the influence and the testator, and not between the "favored beneficiary" and the testator. Indeed, it appears that more recent cases have confused the factors that may be shown in order to create a presumption of undue influence (thereby shifting the burden of proof) with what it means simply for a testator to have been unduly influenced and that these cases have sub silentio overruled earlier cases
Similarly, as to element (3), I question why we should impose a strict requirement of direct involvement in the physical preparation of the will or the logistics or mechanics of its execution. Not unlike a party who obtains favorable terms in a will by committing fraud on the testator, could not someone be guilty of unduly influencing a testator to change his or her will without being directly involved in the ensuing mechanics of hiring a lawyer, obtaining witnesses, etc.? The main opinion states:
91 So.3d at 664. Until relatively recently in our history, the essence of undue influence that would serve to invalidate a will was, as stated above, the exertion of such influence as "`destroys the free agency of the testator.'" Pruitt, 343 So.2d at 499 (quoting Locke). I am at a loss as to why undue influence does not exist whenever a testator's free will has in this manner been overcome and, in consequence of that fact, the testator then handles on his or her own the physical mechanics associated with preparing and executing the will without any further involvement by the "influencer." Again, see Little, supra.
We are not asked in this case, however, to revisit the manner in which our cases articulate the three elements of undue influence as stated in Furrow. Accordingly, like the rest of the Court, I review the issues presented within the framework of those elements. In so doing, I concur in the result reached as to the claim of undue influence in this case because I do not see in the record before us "substantial evidence" to support such a claim.
I concur in the result achieved by the main opinion as to Jack's fraud claim because I do not find in the record substantial evidence of a missing will.
If the Dead Man's Statute were still "alive" in this State, the issue presented as to the alleged inter vivos gifts from Mrs. McGee to Jack likely would not be before us. See § 12-21-163, Ala.Code 1975 (Dead Man's Statute);
See, e.g., Livingston v. Powell, 257 Ala. 38, 42, 57 So.2d 521, 523 (1952). The effective repeal of the Dead Man's Statute, however, has now made possible the dispute before us in that it has made possible the use of testimony of the alleged donee following the death of the alleged donor in support of a claim of an inter vivos gift of property in which the deceased donor's estate has an interest.
The elements of a gift are "1) [a]n intention to give and surrender title to, and dominion over, the property; 2) [d]elivery of the property to the donee; and 3) [a]cceptance by the donee." Dial v. Dial, 603 So.2d 1020, 1022 (Ala.1992) (emphasis omitted). Further, proof of a gift must be
Nevertheless, this Court has recognized that delivery of a gift might be shown even where the donor maintains or subsequently regains some physical control over the gifted property:
Livingston, 257 Ala. at 43, 57 So.2d at 524-25 (final emphasis added). See also 38 Am.Jur.2d Gifts § 27 (2010):
(Footnotes omitted and emphasis added.)
As to the issue of property in the possession of a decedent at the time of his or her death, Willis asserted in his summary-judgment motion that allegedly gifted property that is in the possession of a decedent is "regarded as part of the decedent's estate as a matter of law." Standing alone, this assertion is not a correct statement of law. Only a rebuttable presumption is established by the fact of possession by the decedent at the time of death:
Sewell v. Sewell, 199 Ala. 242, 243-44, 74 So. 343, 344 (1917) (emphasis added).
Further, I would note that whether Jack ever took physical delivery of the items in question from Mrs. McGee before she died is a factual issue. Delivery is one of the factual elements of a gift. Thus, in addressing this issue, Jack's affidavit does address a factual issue, and not a question of law or an "ultimate conclusion" as the main opinion suggests.
Nonetheless, the standard of proof in circumstances such as this is demanding. In Thomas v. Tilley, 147 Ala. 189, 195, 41 So. 854, 855 (1906), we find this expression of the rule:
(Emphasis added.) Further, in Davis v. Wachter, 224 Ala. 306, 309, 140 So. 361, 363 (1932), this Court stated:
(Emphasis added.)
Unfortunately for present purposes, and no doubt owing to the salutary effect of Alabama's Dead Man's Statute until the adoption of Rule 601 effective January 1, 1996, there is little Alabama caselaw explaining what "measure and character" of testimony from a donee is sufficient to satisfy the "strict proof" "clear and convincing" evidentiary standard in regard to physical delivery and other elements of an inter vivos gift first claimed by the donee after the death of the donor.
That said, and without attempting to articulate a more precise rule for general application at this juncture, I am comfortable with a conclusion today that the "measure and character" of the required proof must be greater than that presented in the case before us. If the law found sufficient evidence no more compelling than that presented here, it would risk the injection of much uncertainty and confusion in regard to testamentary dispositions, an area where the common law and our legislature have attempted to impose requirements intended to produce certainty and order. See Benson v. Jefferson Mortg. Co., 276 Ala. 72, 75, 159 So.2d 191, 193 (1963) ("`"Gifts causa mortis ought not to be encouraged.... It is far better that occasionally a gift of this kind should fail than that the rules of law be so relaxed as to encourage fraud and perjury."'" (quoting Smith v. Eshelman, 235 Ala. 588, 592, 180 So. 313, 317 (1938) (Gardner, J., dissenting)); Reedy v. Kelley, 206 Ala. 132, 133, 89 So. 275, 277 (1921) ("`Too much care cannot be taken, in insisting on the most convincing evidence in cases of this kind [involving gifts causa mortis]; for these donations do in effect amount to a revocation pro tanto, of written wills; and, not being subject to the forms prescribed for nuncupative wills, they are certainly of a dangerous nature.'" (quoting Wells v. Tucker, 3 Binn (Pa.) 366, 370 (1811)); 38 Am Jur.2d Gifts § 79 (2010) ("The requirement of clear and convincing proof of a gift pertains with even greater force where the gift, whether inter vivos or causa mortis, is not asserted until after the death of the alleged donor, in view of the possibility of fraud or pretension in such a case." (footnotes omitted and emphasis added)); 38 Am Jur.2d Gifts § 84 (2010) ("[E]vidence adduced to establish title to property through an inter vivos gift, as against the estate of a decedent, must be of great probative force. Furthermore, the evidence required to establish a gift causa mortis may be greater than that needed to prove an inter vivos gift." (footnotes omitted)).
(Emphasis added.)
(Emphasis added.) See also, e.g., Friend v. Morrow, 558 S.W.2d 780, 783-84 (Mo.Ct.App. 1977) (involving inter vivos gift and deceased donor and stating: "The return of the subject matter of a completely executed gift by the donee to the donor for a purpose not inconsistent with the gift, such as safekeeping, will not render the gift invalid."); Rogers v. Rogers, 271 Md. 603, 608, 319 A.2d 119, 122 (1974) (involving inter vivos gift and deceased donor and stating: "Where an actual delivery to a donee occurs, a delivery back to the donor, where the donor is acting as the donee's agent for a limited purpose, does not impair the validity of the gift.").
Barnes v. Barnes, 174 Ala. 166, 168-69, 56 So. 958, 959 (1911).