An Act To Recodify and Revise the Maine Probate Code
PART A
Sec. A-1. 18-A MRSA, as amended, is repealed.
Sec. A-2. 18-C MRSA is enacted to read:
TITLE 18-C
PROBATE CODE
ARTICLE 1
GENERAL PROVISIONS, DEFINITIONS AND JURISDICTION
PART 1
SHORT TITLE, CONSTRUCTION AND GENERAL PROVISIONS
§ 1-101. Short title
This Title may be known and cited as "the Maine Uniform Probate Code."
§ 1-102. Purposes; rule of construction
§ 1-103. Supplementary general principles of law applicable
Unless displaced by the provisions of this Code, the principles of law and equity supplement its provisions.
§ 1-104. Construction against implied repeal
This Code is a general act intended to provide unified coverage of its subject matter and no part of it may be considered impliedly repealed by subsequent legislation if it can reasonably be avoided.
§ 1-105. Effect of fraud and evasion
Whenever fraud has been perpetrated in connection with any proceeding or in any statement filed under this Code or if fraud is used to avoid or circumvent the provisions or purposes of this Code, any person injured by the fraud may obtain appropriate relief against the perpetrator of the fraud or restitution from any person, other than a bona fide purchaser, benefiting from the fraud, whether innocent or not. A proceeding must be commenced within 2 years after the discovery of the fraud, but a proceeding may not be brought against a person who is not a perpetrator of the fraud later than 6 years after the time of commission of the fraud. This section has no bearing on remedies relating to fraud practiced on a decedent during the decedent's lifetime that affects the succession of the decedent's estate.
§ 1-106. Evidence as to death or status
In proceedings under this Code, the rules of evidence in courts of general jurisdiction, including any relating to simultaneous deaths, are applicable unless specifically displaced by the Code or by rules adopted under section 1-304. In addition, notwithstanding Title 22, section 2707, the following provisions relating to determination of death and status are applicable.
§ 1-107. Acts by holder of general power
For the purpose of granting consent or approval with regard to the acts or accounts of a personal representative or trustee, including relief from liability or penalty for failure to post bond or to perform other duties, and for purposes of consenting to modification or termination of a trust or to deviation from its terms, the sole holder or all co-holders of a presently exercisable general power of appointment, including one in the form of a power of amendment or revocation, are deemed to act for beneficiaries to the extent their interests, as objects, takers in default or otherwise, are subject to the power.
§ 1-108. Cost-of-living adjustment of certain dollar amounts
§ 1-109. Transfer for value
Any recorded instrument described in this Code on which the register of deeds notes by an appropriate stamp "Maine Real Estate Transfer Tax Paid" is prima facie evidence that the transfer was made for value.
§ 1-110. Powers of fiduciaries relating to compliance with environmental laws
§ 1-111. Guardian ad litem
PART 2
DEFINITIONS
§ 1-201. Definitions
As used in this Code, unless the context otherwise indicates, the following terms have the following meanings.
PART 3
SCOPE, JURISDICTION AND COURTS
§ 1-301. Territorial application
Except as otherwise provided in this Code, this Code applies to the following:
§ 1-302. Subject matter jurisdiction
§ 1-303. Venue; multiple proceedings; transfer
§ 1-304. Rule-making power
§ 1-305. Records and certified copies; judicial supervision
The register shall maintain records and files and provide copies of documents as provided in sections 1-501 to 1-511 and further records and copies as the Supreme Judicial Court may by rule provide. The register is subject to the supervision and authority of the judge of the court in which the register serves.
§ 1-306. No jury trial; removal
§ 1-307. Register; powers
The register has the power to probate wills, appoint personal representatives as provided in sections 3-302 and 3-307 and perform other duties set out in this Code. The acts and orders that may be performed by the register under this Code may also be performed by a judge of the court or by a deputy register appointed under the provisions of section 1-506.
§ 1-308. Appeals
Appeals from all final judgments, orders and decrees of the court may be taken to the Supreme Judicial Court, sitting as the law court, as in other civil actions.
§ 1-309. Judges
A judge of the court must be chosen and shall serve as provided in Title 4, sections 301 to 312.
§ 1-310. Oath or affirmation on filed documents
Except as otherwise specifically provided in this Code or by rule, every document filed with the court under this Code, including applications, petitions and demands for notice, is deemed to include an oath, affirmation or statement to the effect that its representations are true as far as the person executing or filing it knows or is informed. Deliberate falsification may subject the person executing or filing the document to penalties for perjury.
PART 4
NOTICE, PARTIES AND REPRESENTATION IN ESTATE LITIGATION AND OTHER MATTERS
§ 1-401. Notice
Whenever notice of any proceeding or any hearing is required under this Code, it must be given to any interested person in the manner the Supreme Judicial Court provides by rule. Each notice must include notification of any right to contest or appeal and may be proved by the filing of an affidavit of notice.
§ 1-402. Notice; waiver
A person, including a guardian ad litem, conservator or other fiduciary, may waive notice in the manner the Supreme Judicial Court provides by rule.
§ 1-403. Pleadings; when parties bound by others; notice
In formal proceedings involving trusts or estates of decedents, minors, protected persons or incapacitated persons, and in judicially supervised settlements, the following provisions apply.
(1) An order binding a conservator binds the person whose estate the conservator controls;
(2) An order binding a guardian binds the ward if no conservator of the ward's estate has been appointed;
(3) An order binding a trustee binds beneficiaries of the trust in proceedings to probate a will establishing or adding to a trust, in proceedings to review the acts or accounts of a prior fiduciary and in proceedings involving creditors or other 3rd parties;
(4) An order binding a personal representative binds persons interested in the undistributed assets of a decedent's estate in actions or proceedings by or against the estate; and
(5) An order binding a sole holder or all coholders of a general testamentary power of appointment binds other persons to the extent their interests, as objects or takers in default or otherwise, are subject to the power.
PART 5
REGISTERS OF PROBATE
§ 1-501. Election; bond; vacancies; salaries; copies
§ 1-502. Condition of bond
A register's bond is conditioned on the register's accounting, according to law, for all fees received by or payable to the register by virtue of the office and the register's paying the fees to the county treasurer by the 15th day of each month following the month in which the fees were collected, as provided by law; the register's keeping, seasonably and in good order, the records of the court; the register's making and keeping correct and convenient indices of the records; and the register's faithfully discharging all other duties of the office. If a register forfeits the register's bond, the register is disqualified from holding office. The register's failure to complete the register's records for more than 6 months at any time, except in cases of sickness or extraordinary casualty, constitutes a forfeiture.
§ 1-503. Duties; records; binding of papers; facsimile signature
§ 1-504. Certification of wills; appointments of personal representatives; elective share petitions involving real estate
§ 1-505. Notice to beneficiaries; furnishing of copies
A register shall, within 30 days after a will is probated, notify by mail all beneficiaries under the will that devises have been made to them, stating the name of the testator and the name of the personal representative, if a personal representative has been appointed at the time this notification is sent. Beneficiaries in a will may, upon application to the register, be furnished with a copy of the probated will upon payment of a fee of $1 per page.
§ 1-506. Deputy register of probate
A register may appoint a deputy register for the county, subject to the requirements of Title 30-A, section 501. The deputy register may perform any of the duties prescribed by law to be performed by the register. The signature of the deputy register has the same force and effect as the signature of the register. The deputy register shall give bond to the county for the faithful discharge of the deputy register's duties in the same sum and in the same manner as the register. The deputy register shall act as register in the event of a vacancy or absence of the register, until the register resumes the register's duties or another person is qualified as register. The deputy register is entitled to receive an annual salary established by the register and approved by the county commissioners.
In the case of an absence of the register in a county where a deputy register has not been appointed or in the case of a vacancy in the office of register due to death, resignation or any other cause, the judge shall appoint a suitable person to act as register pro tempore until the register resumes the duties of office or another person is qualified as register. A register pro tempore must be sworn and, if the judge requires it, shall give bond as in the case of the register.
§ 1-507. Inspection of register's conduct of office
A judge shall constantly inspect the conduct of the register with respect to the register's records and duties and give information in writing of any breach of the register's bond to the treasurer of the county, who shall bring a civil action. Any funds recovered in the civil action must be applied toward the expenses of completing the records of the register under the direction of the judge and the surplus, if any, must inure to the county. If the funds are insufficient, the treasurer may recover the deficiency from the register in a civil action.
§ 1-508. Register incapable or neglects duties
When a register is unable to perform or neglects the duties of the office, the judge shall certify the register's inability or neglect to the county treasurer, the time of the commencement and termination of the inability or neglect and the name of the person who has performed the duties for that time period. The treasurer shall pay the person named by the judge a salary in proportion to the time that the person has performed the duties of the register and the amount must be deducted from the register's salary.
§ 1-509. Records in case of vacancy
When there is a vacancy in the office of register and the office's records are incomplete, the records may be completed and certified by the person appointed to act as register or by the register's successor.
§ 1-510. Register or court employee; prohibited activities
§ 1-511. Fees for approved blanks and forms
For all approved blanks, forms or schedule paper required in court proceedings, the register shall charge fees, which must be set by the register and approved by the county commissioners, so as to avoid incurring a loss to the county for such services. The register shall pay such fees to the county treasurer for the use and benefit of the county.
PART 6
COSTS AND FEES
§ 1-601. Costs in contested cases
In contested probate cases and appeals, costs may be allowed to either party, including reasonable witness fees, costs of depositions, hospital records or medical reports and attorney's fees, to be paid to either or both parties out of the estate in controversy, as justice requires. In cases in which a will is contested on the grounds of undue influence or mental capacity, attorney's fees and costs may not be allowed to a party who unsuccessfully contests the will.
§ 1-602. Filing and certification fees
The person making the request shall pay the register the following fees for filing or certifying documents.
For filing a will for no probate, there is no charge.
For filing a will to be probated and without an appointment, the fee is $15.
§ 1-603. Registers to account monthly for fees
A register shall account for each calendar month under oath to the county treasurer for all fees received by the register or payable to the register by virtue of the office, specifying the items, and shall pay the whole amount for each calendar month to the treasurer of the county not later than the 15th day of the following month.
§ 1-604. Expenses of partition
When a partition of real estate is made by order of a judge, the interested parties shall pay the expenses in proportion to their interests. When expenses accrue prior to the closing order or statement of the personal representative of the deceased owner of such real estate, the personal representative may pay the expenses from the personal representative's account. In case of neglect or refusal to pay of any person liable to pay such expenses, the judge may issue a warrant of distress against that person for the amount due and costs of process.
§ 1-605. Compensation of court reporters
Court reporters appointed under Title 4, sections 751 to 756 shall, if a transcript is requested by the court or a party, file the original transcript with the court and receive the same compensation as provided by law for temporary court reporters as well as mileage at the rate of 10¢ a mile.
Transcripts furnished for the files of the court must be paid for by the county in which the court or examination is held at the rate prescribed by the Supreme Judicial Court, after the reporter's bill has been allowed by the judge of the court in which the services were rendered. In probate matters, the personal representative, conservator or guardian shall, in each case out of the estate handled by that personal representative, conservator or guardian, pay to the register for the county the amount of the reporter's fees, giving the fees the same priority as provided in section 3-815 for other costs and expenses of administration, or as otherwise provided for in the case of insolvent estates. If the estate assets are not sufficient, the court may order payment by the county.
§ 1-606. Court reporters to furnish copies
Court reporters shall furnish correct typewritten copies of the oral testimony taken at any hearing or examination upon request by any person and payment of transcript rates prescribed by the Supreme Judicial Court.
§ 1-607. Surcharge for restoration, storage and preservation of records
§ 1-608. Fees not established in statute
Unless otherwise specifically stated in statute or in the Rules of Probate Procedure published by the Supreme Judicial Court, the Probate Court shall charge the same fee charged by the District Court or the Superior Court for similar procedures.
PART 7
CHANGE OF NAME
§ 1-701. Petition to change name
PART 8
PROBATE AND TRUST LAW ADVISORY COMMISSION
§ 1-801. Commission established
The Probate and Trust Law Advisory Commission, established in Title 5, section 12004-I, subsection 73-B and referred to in this Part as "the commission," is created for the purpose of conducting a continuing study of the probate and trust laws of the State.
§ 1-802. Consultants; experts
Whenever it considers appropriate, the commission may seek the advice of consultants or experts, including representatives of the legislative and executive branches, in fields related to the commission's duties.
§ 1-803. Duties
§ 1-804. Organization
The Chief Justice of the Supreme Judicial Court shall notify all members of the commission of the time and place of the first meeting of the commission. At that time the commission shall organize, elect a chair, vice-chair and secretary-treasurer from its membership and adopt rules governing the administration of the commission and its affairs. The commission shall maintain financial records as required by the State Auditor.
§ 1-805. Federal funds
The commission may accept federal funds on behalf of the State.
ARTICLE 2
INTESTACY, WILLS AND DONATIVE TRANSFERS
PART 1
INTESTATE SUCCESSION
SUBPART 1
GENERAL PROVISIONS
§ 2-101. Intestate estate
§ 2-102. Share of spouse
The intestate share of a decedent’s surviving spouse is:
§ 2-103. Share of heirs other than surviving spouse
(1) Half to the decedent’s paternal grandparents equally if both survive, to the surviving paternal grandparent if only one survives or to the descendants of the decedent’s paternal grandparents or either of them if both are deceased, to be distributed to the descendants per capita at each generation; and
(2) Half to the decedent’s maternal grandparents equally if both survive, to the surviving maternal grandparent if only one survives or to the descendants of the decedent’s maternal grandparents or either of them if both are deceased, to be distributed to the descendants per capita at each generation;
§ 2-104. Requirement of survival by 120 hours; individual in gestation
§ 2-105. No taker
If there is no taker under the provisions of this Article, the intestate estate passes to the State, except that an amount of funds included in the estate up to the total amount of restitution paid to the decedent pursuant to a court order for a crime of which the decedent was the victim passes to the Elder Victims Restitution Fund established in Title 34-A, section 1214-A.
§ 2-106. Per capita at each generation
Each surviving descendant in the nearest generation is allocated one share. The remaining shares, if any, are combined and then divided in the same manner among the surviving descendants of the deceased descendants as if the surviving descendants who were allocated a share and their surviving descendants had predeceased the decedent.
Each surviving descendant in the nearest generation is allocated one share. The remaining shares, if any, are combined and then divided in the same manner among the surviving descendants of the deceased descendants as if the surviving descendants who were allocated a share and their surviving descendants had predeceased the decedent.
§ 2-107. Kindred of half blood
Relatives of the half blood inherit the same share they would inherit if they were of the whole blood.
§ 2-108. Advancements
§ 2-109. Debts to decedent
A debt owed to the decedent is not charged against the intestate share of any individual except the debtor. If the debtor fails to survive the decedent, the debt is not taken into account in computing the intestate share of the debtor's descendants.
§ 2-110. Alienage
An individual is not disqualified to take as an heir because the individual or an individual through whom the individual claims is or has been an alien.
§ 2-111. Dower and curtesy abolished
The estates of dower and curtesy are abolished.
§ 2-112. Individuals related to decedent through 2 lines
An individual who is related to the decedent through 2 lines of relationship is entitled to only a single share based on the relationship that would entitle the individual to the larger share. In cases where such an heir would take equal shares, the individual is entitled to the equivalent of a single share. The court shall equitably apportion the amount equivalent in value to the share denied such heir by the provisions of this section.
§ 2-113. Parent barred from inheriting
SUBPART 2
PARENT-CHILD RELATIONSHIP
§ 2-115. Definitions
As used in this subpart, unless the context otherwise indicates, the following terms have the following meanings.
§ 2-116. Effect of parent-child relationship
Except as otherwise provided in section 2-119, subsections 2 to 5, if a parent-child relationship exists or is established under this subpart or under Title 19-A, chapter 61, the parent is a parent of the child and the child is a child of the parent for the purpose of intestate succession.
§ 2-117. No distinction based on marital status
Except as otherwise provided in sections 2-113, 2-119, 2-120 and 2-121, a parent-child relationship exists between a child and the child's genetic parents, regardless of the parents' marital status.
§ 2-118. Adoptee and adoptee's adoptive parent or parents
§ 2-119. Adoptee and adoptee's genetic parents
§ 2-120. Child conceived by assisted reproduction other than child born to gestational carrier or child born to surrogate
(1) A husband who provides sperm, or a wife who provides eggs, that are used for assisted reproduction by the wife;
(2) The birth mother; or
(3) An individual who has been determined under subsection 5 or 6 to have a parent-child relationship with a child of assisted reproduction.
(1) Functioned as a parent of the child no later than 2 years after the child's birth;
(2) Intended to function as a parent of the child no later than 2 years after the child's birth but was prevented from carrying out that intent by death, incapacity or other circumstances; or
(3) Intended to be treated as a parent of a posthumously conceived child, if that intent is established by clear and convincing evidence.
§ 2-121. Child born to gestational carrier
(1) Has no genetic connection to the child; and
(2) Is not an intended parent.
(1) Has a genetic connection to the child; and
(2) Is not an intended parent.
(1) There were 2 intended parents and the other intended parent functioned as a parent of the child no later than 2 years after the child's birth;
(2) There were 2 intended parents, the other intended parent also died while the gestational carrier or surrogate was pregnant and a relative of either deceased intended parent or the spouse or surviving spouse of a relative of either deceased intended parent functioned as a parent of the child no later than 2 years after the child's birth; or
(3) There was no other intended parent and a relative of or the spouse or surviving spouse of a relative of the deceased intended parent functioned as a parent of the child no later than 2 years after the child's birth.
PART 2
ELECTIVE SHARE OF SURVIVING SPOUSE
§ 2-201. Definitions
As used in this Part, unless the context otherwise indicates, the following terms have the following meanings.
§ 2-202. Elective share
§ 2-203. Composition of the augmented estate; marital-property portion
If the decedent and the spouse were married to each other:
§ 2-204. Decedent’s net probate estate
The value of the augmented estate includes the value of the decedent’s probate estate reduced by funeral and administration expenses, homestead allowance, family allowances, exempt property and enforceable claims.
§ 2-205. Decedent’s nonprobate transfers to others
The value of the augmented estate includes the value of the decedent’s nonprobate transfers to others, not included under section 2-204, of any of the following types, in the amount provided respectively for each type of transfer:
§ 2-206. Decedent's nonprobate transfers to the surviving spouse
Excluding property passing to the surviving spouse under the federal Social Security system, the value of the augmented estate includes the value of the decedent’s nonprobate transfers to the decedent’s surviving spouse, which consist of all property that passed outside probate at the decedent’s death from the decedent to the surviving spouse by reason of the decedent’s death, including:
§ 2-207. Surviving spouse's property and nonprobate transfers to others
(1) The surviving spouse's fractional interest in property held in joint tenancy with the right of survivorship;
(2) The surviving spouse's ownership interest in property or accounts held in co-ownership registration with the right of survivorship; and
(3) Property that passed to the surviving spouse by reason of the decedent's death, but not including the spouse's right to homestead allowance, family allowance, exempt property or payments under the federal Social Security system; and
§ 2-208. Exclusions, valuation and overlapping application
§ 2-209. Sources from which elective share payable
§ 2-210. Personal liability of recipients
§ 2-211. Proceeding for elective share; time limit
§ 2-212. Right of election personal to surviving spouse
The right of election may be exercised only by a surviving spouse who is living when the petition for the elective share is filed in the court under section 2-211, subsection 1. If the election is not exercised by the surviving spouse personally, it may be exercised on the surviving spouse's behalf by the surviving spouse's conservator or agent under authority of a power of attorney.
§ 2-213. Waiver of right to elect and of other rights
(1) Was not provided a fair and reasonable disclosure of the property or financial obligations of the decedent;
(2) Did not voluntarily and expressly waive, in writing, any right to disclosure of the property or financial obligations of the decedent beyond the disclosure provided; and
(3) Did not have, or reasonably could not have had, an adequate knowledge of the property or financial obligations of the decedent.
§ 2-214. Protection of payors and other 3rd parties
PART 3
SPOUSE AND CHILDREN UNPROVIDED FOR IN WILLS
§ 2-301. Entitlement of spouse; premarital will
§ 2-302. Omitted children
(1) The portion of the testator's estate in which the omitted after-born or after-adopted child is entitled to share is limited to devises made to the testator's then-living children under the will;
(2) The omitted after-born or after-adopted child is entitled to receive the share of the testator's estate, as limited in subparagraph (1), that the child would have received had the testator included all omitted after-born and after-adopted children with the children to whom devises were made under the will and had given an equal share of the estate to each child;
(3) To the extent feasible, the interest granted an omitted after-born or after-adopted child under this paragraph must be of the same character, whether equitable or legal, present or future, as that devised to the testator's then-living children under the will; and
(4) In satisfying a share provided by this paragraph, devises to the testator's children who were living when the will was executed abate ratably. In abating the devises of the then-living children, the court shall preserve to the maximum extent possible the character of the testamentary plan adopted by the testator.
PART 4
EXEMPT PROPERTY AND ALLOWANCES
§ 2-401. Applicable law
This Part applies to the estate of the decedent who dies domiciled in this State. Rights to homestead allowance, exempt property and family allowance for a decedent who dies not domiciled in this State are governed by the law of the decedent's domicile at death.
§ 2-402. Homestead allowance
A decedent's surviving spouse is entitled to a homestead allowance of $22,500. If there is no surviving spouse, each minor child and each dependent child of the decedent is entitled to a homestead allowance amounting to $22,500 divided by the number of minor and dependent children of the decedent. The homestead allowance is exempt from and has priority over all claims against the estate. Homestead allowance is in addition to any share passing to the surviving spouse or minor or dependent child by the decedent's will unless otherwise provided by intestate succession or by way of elective share.
§ 2-403. Exempt property
In addition to the homestead allowance, the decedent's surviving spouse is entitled from the estate to a value, not exceeding $15,000 in excess of any security interests in the estate, in household furniture, automobiles, furnishings, appliances and personal effects. If there is no surviving spouse, children of the decedent are entitled jointly to the same value; however, the decedent, by will, may exclude one or more adult children from the receipt of exempt property. If encumbered chattels are selected and the value in excess of security interests, plus that of other exempt property, is less than $15,000, or if there is not $15,000 worth of exempt property in the estate, the spouse or children are entitled to other assets of the estate, if any, to the extent necessary to make up the $15,000 value. Rights to exempt property and assets needed to make up a deficiency of exempt property have priority over all claims against the estate, except that the right to any assets to make up a deficiency of exempt property abates as necessary to permit earlier payment of homestead allowance and family allowance. These rights are in addition to any benefit or share passing to the surviving spouse or children by the decedent's will unless otherwise provided by intestate succession or by way of elective share.
§ 2-404. Family allowance
§ 2-405. Source, determination and documentation
If the estate is otherwise sufficient, property specifically devised may not be used to satisfy rights to homestead and exempt property. Subject to this restriction, the surviving spouse, the guardians of minor children or children who are adults may select property of the estate as homestead allowance and exempt property. The personal representative may make these selections if the surviving spouse, the children or the guardians of the minor children are unable or fail to do so within a reasonable time or there is no guardian of a minor child. The personal representative may execute an instrument or deed of distribution to establish the ownership of property taken as homestead allowance or exempt property. The personal representative may determine the family allowance in a lump sum not exceeding $27,000 or periodic installments not exceeding $2,250 per month for one year, and may disburse funds of the estate in payment of the family allowance and any part of the homestead allowance payable in cash. The personal representative or any interested person aggrieved by any selection, determination, payment, proposed payment or failure to act under this section may petition the court for appropriate relief, which relief may include a family allowance other than that which the personal representative determined or could have determined.
PART 5
WILLS
§ 2-501. Who may make a will
An individual of sound mind who is 18 or more years of age or a legally emancipated minor may make a will.
§ 2-502. Execution; holographic wills
§ 2-503. Self-proved will
I, ......................................, the testator, on this .......... day of .........., 20.., being first duly sworn, do hereby declare to the undersigned authority that I sign and execute this instrument as my last will and that I sign it willingly (or willingly direct another to sign for me), as my free and voluntary act and that I am eighteen years of age or older or am a legally emancipated minor, of sound mind, and under no constraint or undue influence.
................................................................... | |
Testator |
We, ......................................, ......................................, the witnesses, being first duly sworn, do hereby declare to the undersigned authority that the testator has signed and executed this instrument as (his) (her) last will and that (he) (she) signed it willingly (or willingly directed another to sign for (him) (her)), and that each of us, in the presence and hearing of the testator, signs this will as witness to the testator's signing, and that to the best of our knowledge the testator is eighteen years of age or older or is a legally emancipated minor, of sound mind and under no constraint or undue influence.
................................................................... | |
Witness | |
................................................................... | |
Witness |
Subscribed, sworn to and acknowledged before me by ......................................, the testator, and subscribed and sworn to before me by ...................................... and ......................................, witnesses, this ........ day of ..........
(Signed) .......................................................... |
................................................................... | |
(Official capacity of officer) |
We, ......................................, ...................................... and ......................................, the testator and the witnesses, respectively, whose names are signed to the attached or foregoing instrument, being first duly sworn, do hereby declare to the undersigned authority that the testator signed and executed the instrument as (his) (her) last will and that (he) (she) had signed willingly (or willingly directed another to sign for (him) (her)), as (his) (her) free and voluntary act, and that each of the witnesses, in the presence and hearing of the testator, signed the will as witness and that to the best of (his) (her) knowledge the testator was at that time eighteen years of age or older or a legally emancipated minor, of sound mind and under no constraint or undue influence.
................................................................... | |
Testator | |
................................................................... | |
Witness | |
................................................................... | |
Witness |
Subscribed, sworn to and acknowledged before me by ......................................, the testator, and subscribed and sworn to before me by ...................................... and ....................................., witnesses, this ......... day of .................
(Signed) .......................................................... |
................................................................... | |
(Official capacity of officer) |
§ 2-504. Who may witness a will
§ 2-505. Choice of law as to execution
A written will is valid if executed in compliance with section 2-502 or if its execution complies with the law at the time of execution of the place where the will is executed, or of the law of the place where at the time of execution or at the time of death the testator is domiciled, has a place of abode or is a national or if executed in compliance with 10 United States Code, Section 1044d.
§ 2-506. Revocation by writing or by act
§ 2-507. Revocation by change of circumstances
Except as provided in sections 2-802, 2-803 and 2-804, a change of circumstances does not revoke a will or any part of it.
§ 2-508. Revival of revoked will
§ 2-509. Incorporation by reference
Any writing in existence when a will is executed may be incorporated by reference if the language of the will manifests this intent and describes the writing sufficiently to permit its identification.
§ 2-510. Uniform Testamentary Additions to Trusts Act
The devise is not invalid because the trust is amendable or revocable or because the trust was amended after the execution of the will or the testator's death.
§ 2-511. Events of independent significance
A will may dispose of property by reference to acts and events that have significance apart from their effect upon the dispositions made by the will, whether they occur before or after the execution of the will or before or after the testator's death. The execution or revocation of a will of another person is such an event.
§ 2-512. Separate writing identifying devise of certain types of tangible personal property
Whether or not the provisions relating to holographic wills apply, a will may refer to a written statement or list to dispose of items of tangible personal property not otherwise specifically disposed of by the will, other than money. To be admissible under this section as evidence of the intended disposition, the writing must be in the handwriting of the testator or be signed by the testator and must describe the items and the devisees with reasonable certainty. The writing may be referred to as one to be in existence at the time of the testator's death; it may be prepared before or after the execution of the will; it may be altered by the testator after its preparation; and it may be a writing that has no significance apart from its effect upon the dispositions made by the will.
§ 2-513. Contracts concerning succession
A contract to make a will or devise, or not to revoke a will or devise, or to die intestate, if executed after the effective date of this Act, can be established only by:
The execution of a joint will or mutual wills does not create a presumption of a contract not to revoke the will or wills.
§ 2-514. Disposition of will deposited with court
A will deposited for safekeeping with the court in the office of the register before September 19, 1997 may be delivered only to the testator or to a person authorized in writing signed by the testator to receive the will. A conservator may be allowed to examine a deposited will of a protected testator under procedures designed to maintain the confidential character of the document to the extent possible and to ensure that it will be resealed and left on deposit after the examination. Upon being informed of the testator's death, the court shall notify any person designated to receive the will and deliver it to that designated person on request; or the court may deliver the will to the appropriate court. The court may not accept a will for safekeeping after September 19, 1997.
§ 2-515. Duty of custodian of will; liability
After the death of a testator, a person having custody of a will of the testator shall deliver it with reasonable promptness to a person able to secure its probate or, if no such person is known, to an appropriate court for filing and recording until probate is sought. A person having custody of a will is not liable, to any person aggrieved, for failure to learn of the death of the testator of that will and the failure, therefore, to deliver that will as required. A person who willfully fails to deliver a will or who willfully defaces or destroys any will of a deceased person is liable to any person aggrieved for the damages that may be sustained by such failure to deliver or by such defacement or destruction. A person who willfully refuses or fails to deliver a will, or who defaces or destroys it, after being ordered by the court in a proceeding brought for the purpose of compelling delivery is subject to penalty for contempt of court.
§ 2-516. Penalty clause for contest
A provision in a will purporting to penalize an interested person for contesting the will or instituting other proceedings relating to the estate is unenforceable if probable cause exists for instituting proceedings.
§ 2-517. Statutory wills
NOTICE TO THE PERSON WHO SIGNS THIS WILL:
1. THIS STATUTORY WILL HAS SERIOUS LEGAL EFFECTS ON YOUR FAMILY AND PROPERTY. IF THERE IS ANYTHING IN THIS WILL THAT YOU DO NOT UNDERSTAND, YOU SHOULD CONSULT A LAWYER AND ASK THE LAWYER TO EXPLAIN IT TO YOU.
2. THIS WILL DOES NOT DISPOSE OF PROPERTY THAT PASSES ON YOUR DEATH TO ANY PERSON BY OPERATION OF LAW OR BY CONTRACT. FOR EXAMPLE, THE WILL DOES NOT DISPOSE OF JOINT TENANCY ASSETS OR YOUR SPOUSE'S ELECTIVE SHARE, AND IT WILL NOT NORMALLY APPLY TO PROCEEDS OF LIFE INSURANCE ON YOUR LIFE OR YOUR RETIREMENT PLAN BENEFITS.
3. THIS WILL IS NOT DESIGNED TO REDUCE DEATH TAXES OR ANY OTHER TAXES. YOU SHOULD DISCUSS THE TAX RESULTS OF YOUR DECISIONS WITH A COMPETENT TAX ADVISOR.
4. YOU CANNOT CHANGE, DELETE OR ADD WORDS TO THE FACE OF THIS MAINE STATUTORY WILL. YOU SHOULD MARK THROUGH ALL SECTIONS OR PARTS OF SECTIONS THAT YOU DO NOT COMPLETE. YOU MAY REVOKE THIS MAINE STATUTORY WILL AND YOU MAY AMEND IT BY CODICIL.
5. THIS WILL TREATS ADOPTED CHILDREN AS IF THEY ARE NATURAL CHILDREN.
6. IF YOU MARRY OR DIVORCE AFTER YOU SIGN THIS WILL, YOU SHOULD MAKE AND SIGN A NEW WILL.
7. IF YOU HAVE ANOTHER CHILD AFTER YOU SIGN THIS WILL, YOU SHOULD MAKE AND SIGN A NEW WILL.
8. THIS WILL IS NOT VALID UNLESS IT IS SIGNED BY AT LEAST TWO WITNESSES. YOU SHOULD CAREFULLY READ AND FOLLOW THE WITNESSING PROCEDURE DESCRIBED AT THE END OF THIS WILL.
9. YOU SHOULD KEEP THIS WILL IN YOUR SAFE-DEPOSIT BOX OR OTHER SAFE PLACE.
10. IF YOU HAVE ANY DOUBTS WHETHER OR NOT THIS WILL ADEQUATELY SETS OUT YOUR WISHES FOR THE DISPOSITION OF YOUR PROPERTY, YOU SHOULD CONSULT A LAWYER.
This is my will and I revoke any prior wills and codicils.
2.1 REAL PROPERTY. I give all my real property to my spouse, if living; otherwise it shall be equally divided among my children who survive me; except as specifically provided below: (specific distribution not valid without signature.)
I leave the following specific real property to the person(s) named:
(name) | (description of item) | (signature) |
2.2 PERSONAL AND HOUSEHOLD ITEMS. I give all my furniture, furnishings, household items, personal automobiles and personal items to my spouse, if living; otherwise they shall be equally divided among my children who survive me; except as specifically provided below: (specific distribution not valid without signature.)
I leave the following specific items to the person(s) named:
(name) | (description of item) | (signature) |
2.3 CASH GIFT TO CHARITABLE ORGANIZATIONS OR INSTITUTIONS. I make the following cash gift(s) to the named charitable organizations or institutions in the amount stated. If I fail to sign this provision, no gift is made. If the charitable organization or institution does not survive me or accept the gift, then no gift is made.
(name) | (amount) | (signature) |
2.4 ALL OTHER ASSETS (MY "RESIDUARY ESTATE"). I adopt only one Property Disposition Clause by placing my initials in the box in front of the letter "A," "B" or "C" signifying which clause I wish to adopt. I place my signature after clause "A" or clause "B," or after each individual distribution in clause "C." If I fail to sign the appropriate distribution(s) or if I sign in more than one clause or if I fail to place my initials in the appropriate box, this paragraph 2.4 will be invalid and I realize that the remainder of my property will be distributed as if I did not make a will.
Property Disposition Clauses. (select one)
___ A. I leave all my remaining property to my spouse, if living. If my spouse is not living, then in equal shares to my children and the descendants of any deceased child. _________________ (signature).
___ B. I leave the following stated amount to my spouse and the remainder in equal shares to my children and the descendants of any deceased child. If my spouse is not living, that share shall be distributed in equal shares to my children and the descendants of any deceased child. _________________ (signature).
___ C. I leave the following stated amounts to the persons named:
(name) | (amount) | (signature) |
(name) | (amount) | (signature) |
(name) | (amount) | (signature) |
(name) | (amount) | (signature) |
(name) | (amount) | (signature) |
2.5 UNDISTRIBUTED PROPERTY. If I have any property that, for any reason, does not pass under the other parts of this will, all of that property shall be distributed as follows: (Draw a line through any unused space.)
(this paragraph only valid if signed) |
3.1 GUARDIAN. (If you have a child under 18 years of age, you may name at least one person to serve as guardian for the child.)
If a guardian is needed for any child of mine, then I nominate the first guardian named below to serve as guardian of that child. If the person does not serve, then the others shall serve in the order I list them. My nomination of a guardian is not valid without my signature.
FIRST GUARDIAN | ||
(signature) | ||
SECOND GUARDIAN | ||
(signature) | ||
THIRD GUARDIAN | ||
(signature) |
3.2 CONSERVATOR. (A conservator may be named to manage the property of a minor child. You do not need to name a conservator if you wish the guardian to act as conservator. If you wish to name a conservator in addition to a guardian, complete this paragraph 3.2. If you do not wish to name a separate conservator, do not complete this paragraph.)
I nominate the first conservator named below to serve as conservator for any minor children of mine. If the first conservator does not serve, then the others shall serve in the order I list them. My nomination of a conservator is not valid without my signature.
FIRST CONSERVATOR | ||
(signature) | ||
SECOND CONSERVATOR | ||
(signature) | ||
THIRD CONSERVATOR | ||
(signature) |
3.3 PERSONAL REPRESENTATIVE. (Name at least one.) I nominate the person or institution named as first personal representative below to administer the provisions of this will. If that person or institution does not serve, then I nominate the others to serve in the order I list them. My nomination of a personal representative is not valid without my signature.
FIRST PERSONAL REPRESENTATIVE | ||
(signature) | ||
SECOND PERSONAL REPRESENTATIVE | ||
(signature) | ||
THIRD PERSONAL REPRESENTATIVE | ||
(signature) |
I sign my name to this Maine Statutory Will on ______________ (date) at _____________ (city) in the State of _______________.
Your Signature |
STATEMENT OF WITNESSES (You must have two witnesses.)
Each of us declares that the person who signed above willingly signed this Maine Statutory Will in our presence or willingly directed another to sign it for him or her or that he or she acknowledged that the signature on this Maine Statutory Will is his or hers or that he or she acknowledged that this Maine Statutory Will is his or her will and we sign below as witnesses to that signing.
Signature ________________________
Printed name ____________________
Address ________________________
Signature ________________________
Printed name ____________________
Address ________________________
Completing the following section and having all signatures acknowledged by a notary public or other individual authorized to take acknowledgments is optional but if completed will simplify the submission of your will to the probate court after your death.
I, ......................................, the testator, on this .......... day of .........., 20.., being first duly sworn, do hereby declare to the undersigned authority that I sign and execute this instrument as my last will and that I sign it willingly (or willingly direct another to sign for me) as my free and voluntary act and that I am 18 years of age or older or am a legally emancipated minor, of sound mind and under no constraint or undue influence.
...................................................................
Testator
We, ......................................, ......................................, the witnesses, being first duly sworn, do hereby declare to the undersigned authority that the testator has signed and executed this instrument as (his)(her) last will and that (he)(she) signed it willingly (or willingly directed another to sign for (him)(her)), and that each of us, in the presence and hearing of the testator, signs this will as witness to the testator's signing, and that to the best of our knowledge the testator is 18 years of age or older or is a legally emancipated minor, of sound mind and under no constraint or undue influence.
...................................................................
Witness
...................................................................
Witness
The State of ...............................
County of ...................................
Subscribed, sworn to and acknowledged before me by ......................................, the testator, and subscribed and sworn to before me by ...................................... and ......................................, witnesses, this ........ day of ..........
(Signed) ..........................................................
...................................................................
(Official capacity of officer)
PART 6
RULES OF CONSTRUCTION APPLICABLE ONLY TO WILLS
§ 2-601. Scope
In the absence of a finding of a contrary intention, the rules of construction in this Part control the construction of a will.
§ 2-602. Will may pass all property and after-acquired property
A will may provide for the passage of all property the testator owns at death and all property acquired by the estate after the testator’s death.
§ 2-603. Antilapse; deceased devisee; class gifts
(1) Rules of construction applicable to a class gift created in the testator's will if the devise or exercise of the power is in the form of a class gift; or
(2) Rules for intestate succession if the devise or exercise of the power is not in the form of a class gift.
(1) A class member if the devise is in the form of a class gift;
(2) An individual or class member who was deceased at the time the testator executed the testator's will as well as an individual or class member who was then living but who failed to survive the testator; and
(3) An appointee under a power of appointment exercised by the testator's will.
(1) The alternative devise is in the form of a class gift and one or more members of the class is entitled to take under the will; or
(2) The alternative devise is not in the form of a class gift and the expressly designated devisee of the alternative devise is entitled to take under the will.
"Descendant," in the phrase "surviving descendant," used in reference to a deceased devisee or class member, means the descendant of a deceased devisee or class member in paragraphs A and B who would take under a class gift created in the testator's will.
As used in this subsection, unless the context otherwise indicates, the following terms have the following meanings.
(1) Is to a descendant of a devisee of the primary devise;
(2) Is an alternative devise with respect to the primary devise;
(3) Is a devise for which a substitute gift is created; and
(4) Would have taken effect had all the deceased devisees who left surviving descendants survived the testator except the deceased devisee or devisees of the primary devise.
§ 2-604. Failure of testamentary provision
§ 2-605. Increase in securities; accessions
§ 2-606. Nonademption of specific devises; unpaid proceeds of sale, condemnation or insurance; sale by conservator or agent
§ 2-607. Nonexoneration
A specific devise passes subject to any mortgage interest existing at the date of death without right of exoneration, regardless of a general directive in the will to pay debts.
§ 2-608. Exercise power of appointment
In the absence of a requirement that a power of appointment be exercised by a reference to the power or by an express or specific reference to the power, a general residuary clause in a will, or a will making general disposition of all of the testator's property, expresses an intention to exercise a power of appointment held by the testator only if:
§ 2-609. Ademption by satisfaction
PART 7
RULES OF CONSTRUCTION APPLICABLE TO WILLS AND OTHER GOVERNING INSTRUMENTS
§ 2-701. Scope
In the absence of a finding of a contrary intention, the rules of construction in this Part control the construction of a governing instrument. The rules of construction in this Part apply to a governing instrument of any type, except as the application of a particular section is limited by its terms to a specific type or types of provision or governing instrument.
§ 2-702. Requirement of survival by 120 hours
For the purposes of this subsection, "co-owners with right of survivorship" includes joint tenants, tenants by the entireties and other co-owners of property or accounts held under circumstances that entitle one or more to the whole of the property or account on the death of the other or others.
§ 2-703. Choice of law as to meaning and effect of governing instrument
The meaning and legal effect of a governing instrument is determined by the local law of the state selected in the governing instrument, unless the application of that law is contrary to the provisions relating to the elective share described in Part 2, the provisions relating to exempt property and allowances described in Part 4 or any other public policy of this State otherwise applicable to the disposition.
§ 2-704. Power of appointment; compliance with specific reference requirement
A powerholder's substantial compliance with a formal requirement of appointment imposed in a governing instrument by the donor, including a requirement that the instrument exercising the power of appointment make reference or specific reference to the power, is sufficient if:
§ 2-705. Class gifts construed to accord with intestate succession; exceptions
§ 2-706. Life insurance; retirement plan; account with POD designation; TOD designation; deceased beneficiary
(1) A class member if the beneficiary designation is in the form of a class gift; and
(2) An individual or class member who was deceased at the time the beneficiary designation was executed as well as an individual or class member who was then living but who failed to survive the decedent.
"Beneficiary" excludes a joint tenant of a joint tenancy with the right of survivorship and a party to a joint survivorship account.
(1) Rules of construction applicable to a class gift created in the decedent's beneficiary designation if the beneficiary designation is in the form of a class gift; or
(2) Rules for intestate succession if the beneficiary designation is not in the form of a class gift.
(1) The alternative beneficiary designation is in the form of a class gift and one or more members of the class is entitled to take; or
(2) The alternative beneficiary designation is not in the form of a class gift and the expressly designated beneficiary of the alternative beneficiary designation is entitled to take.
"Descendants," in the phrase "surviving descendants," used in reference to a deceased beneficiary or class member in paragraphs A and B, means the descendants of a deceased beneficiary or class member who would take under a class gift created in the beneficiary designation.
As used in this subsection, unless the context otherwise indicates, the following terms have the following meanings.
(1) Is to a descendant of a beneficiary of the primary beneficiary designation;
(2) Is an alternative beneficiary designation with respect to the primary beneficiary designation;
(3) Is a beneficiary designation for which a substitute gift is created; and
(4) Would have taken effect had all the deceased beneficiaries who left surviving descendants survived the decedent except the deceased beneficiary or beneficiaries of the primary beneficiary designation.
§ 2-707. Survivorship with respect to future interests under terms of trust; substitute takers
(1) The alternative future interest is in the form of a class gift and one or more members of the class is entitled to take in possession or enjoyment; or
(2) The alternative future interest is not in the form of a class gift and the expressly designated beneficiary of the alternative future interest is entitled to take in possession or enjoyment.
"Descendants," in the phrase "surviving descendants," used in reference to a deceased beneficiary or class member in paragraphs A and B, means the descendants of a deceased beneficiary or class member who would take under a class gift created in the trust.
As used in this subsection, unless the context otherwise indicates, the following terms have the following meanings.
(1) Is to a descendant of a beneficiary of the primary future interest;
(2) Is an alternative future interest with respect to the primary future interest;
(3) Is a future interest for which a substitute gift is created; and
(4) Would have taken effect had all the deceased beneficiaries who left surviving descendants survived the distribution date except the deceased beneficiary or beneficiaries of the primary future interest.
For purposes of this subsection, "transferor" means the donor if the power was a nongeneral power and means the donee if the power was a general power.
§ 2-708. Class gifts to "descendants," "issue" or "heirs of the body"; form of distribution if none specified
If a class gift in favor of "descendants," "issue" or "heirs of the body" does not specify the manner in which the property is to be distributed among the class members, the property is distributed among the class members who are living when the interest is to take effect in possession or enjoyment, in such shares as they would receive, under the applicable law of intestate succession, if the designated ancestor had then died intestate owning the subject matter of the class gift.
§ 2-709. Per capita at each generation; per stirpes or by representation
Each surviving descendant in the nearest generation is allocated one share. The remaining shares, if any, are combined and then divided in the same manner among the surviving descendants of the deceased descendants as if the surviving descendants who were allocated a share and their surviving descendants had predeceased the distribution date.
Each surviving child, if any, is allocated one share. The share of each deceased child with surviving descendants is divided in the same manner, with subdivision repeating at each succeeding generation until the property is fully allocated among surviving descendants.
§ 2-710. Worthier-title doctrine abolished
The doctrine of worthier title is abolished as a rule of law and as a rule of construction. Language in a governing instrument describing the beneficiaries of a disposition as the transferor's "heirs," "heirs at law," "next of kin," "distributees," "relatives" or "family," or language of similar import, does not create or presumptively create a reversionary interest in the transferor.
§ 2-711. Interests in "heirs" and like
If an applicable statute or a governing instrument calls for a present or future distribution to or creates a present or future interest in a designated individual's "heirs," "heirs at law," "next of kin," "relatives" or "family," or language of similar import, the property passes to those persons, including the State, and in such shares as would succeed to the designated individual's intestate estate under the intestate succession law of the designated individual's domicile if the designated individual died when the disposition is to take effect in possession or enjoyment. If the designated individual's surviving spouse is living but is remarried at the time the disposition is to take effect in possession or enjoyment, the surviving spouse is not an heir of the designated individual.
PART 8
GENERAL PROVISIONS CONCERNING PROBATE AND NONPROBATE TRANSFERS
§ 2-801. Effect of divorce, annulment and decree of separation
§ 2-802. Effect of homicide on intestate succession, wills, trusts, joint assets, life insurance and beneficiary designations
(1) Disposition or appointment of property made by the decedent to the killer in a governing instrument;
(2) Provision in a governing instrument conferring a general or nongeneral power of appointment on the killer; and
(3) Nomination of the killer in a governing instrument nominating or appointing the killer to serve in any fiduciary or representative capacity, including as a personal representative, executor, trustee or agent; and
§ 2-803. Effect of criminal conviction on intestate succession, wills, joint assets, beneficiary designations and other property acquisition when restitution is owed to the decedent
A person who has been convicted of a crime of which the decedent was a victim is not entitled to the following benefits to the extent that the benefits do not exceed the amount of restitution the person owes to the decedent as a result of the sentence for the crime:
§ 2-804. Revocation of probate and nonprobate transfers by divorce; no revocation by other changes of circumstances
(1) Disposition or appointment of property made by a divorced individual to the divorced individual's former spouse in a governing instrument and any disposition or appointment created by law or in a governing instrument to a relative of the divorced individual's former spouse;
(2) Provision in a governing instrument conferring a general or nongeneral power of appointment on the divorced individual's former spouse or on a relative of the divorced individual's former spouse; and
(3) Nomination in a governing instrument nominating a divorced individual's former spouse or a relative of the divorced individual's former spouse to serve in any fiduciary or representative capacity, including as a personal representative, executor, trustee, conservator, agent or guardian; and
§ 2-805. Reformation to correct mistakes
The court may reform the terms of a governing instrument, even if unambiguous, to conform the terms to the transferor's intention if it is proved by clear and convincing evidence what the transferor's intention was and that the terms of the governing instrument were affected by a mistake of fact or law, whether in expression or inducement.
§ 2-806. Modification to achieve transferor's tax objectives
To achieve the transferor's tax objectives, the court may modify the terms of a governing instrument in a manner that is not contrary to the transferor's probable intention. The court may provide that the modification has retroactive effect.
§ 2-807. Actions for wrongful death
PART 9
UNIFORM DISCLAIMER OF PROPERTY INTERESTS ACT
§ 2-901. Short title
This Part may be known and cited as "the Uniform Disclaimer of Property Interests Act."
§ 2-902. Definitions
As used in this Part, unless the context otherwise indicates, the following terms have the following meanings.
§ 2-903. Scope
This Part applies to disclaimers of any interest in or power over property, whenever created.
§ 2-904. Part supplemented by other law
§ 2-905. Power to disclaim; general requirements; when irrevocable
(1) Execute or adopt a tangible symbol; or
(2) Attach to or logically associate with the record an electronic sound, symbol or process.
§ 2-906. Disclaimer of interest in property
(1) If the disclaimant is not an individual, the disclaimed interest passes as if the disclaimant did not exist.
(2) If the disclaimant is an individual, except as otherwise provided in subparagraphs (3) and (4), the disclaimed interest passes as if the disclaimant had died immediately before the time of distribution.
(3) If by law or under the instrument the descendants of the disclaimant would share in the disclaimed interest by any method of representation had the disclaimant died before the time of distribution, the disclaimed interest passes only to the descendants of the disclaimant who survive the time of distribution.
(4) If the disclaimed interest would pass to the disclaimant's estate had the disclaimant died before the time of distribution, the disclaimed interest instead passes by representation to the descendants of the disclaimant who survive the time of distribution. If no descendant of the disclaimant survives the time of distribution, the disclaimed interest passes to those persons, including the State but excluding the disclaimant, and in such shares as would succeed to the transferor's intestate estate under the intestate succession law of the transferor's domicile had the transferor died at the time of distribution. However, if the transferor's surviving spouse is living but is remarried at the time of distribution, the transferor is deemed to have died unmarried at the time of distribution.
§ 2-907. Disclaimer of rights of survivorship in jointly held property
§ 2-908. Disclaimer of interest by trustee
If a trustee disclaims an interest in property that otherwise would have become trust property, the interest does not become trust property.
§ 2-909. Disclaimer of power of appointment or other power not held in fiduciary capacity
If a holder disclaims a power of appointment or other power not held in a fiduciary capacity, the following provisions apply.
§ 2-910. Disclaimer by appointee, object or taker in default of exercise of power of appointment
§ 2-911. Disclaimer of power held in fiduciary capacity
§ 2-912. Delivery or filing
§ 2-913. When disclaimer barred or limited
§ 2-914. Tax qualified disclaimer
Notwithstanding any other provision of this Part, if as a result of a disclaimer or transfer the disclaimed or transferred interest is treated, pursuant to the provisions of 26 United States Code, as amended, or any successor statute, and the regulations promulgated thereunder, as never having been transferred to the disclaimant, the disclaimer or transfer is effective as a disclaimer under this Part.
§ 2-915. Recording of disclaimer
If an instrument transferring an interest in or power over property subject to a disclaimer is required or permitted by law to be filed, recorded or registered, the disclaimer may be so filed, recorded or registered. Except as otherwise provided in section 2-912, subsection 7, paragraph B, failure to file, record or register the disclaimer does not affect its validity as between the disclaimant and persons to whom the property interest or power passes by reason of the disclaimer.
§ 2-916. Application to existing relationships
Except as otherwise provided in section 2-913, an interest in or power over property existing on January 1, 2019 as to which the time for delivering or filing a disclaimer under law superseded by this Part has not expired may be disclaimed after January 1, 2019.
§ 2-917. Relation to Electronic Signatures in Global and National Commerce Act
This Part modifies, limits and supersedes the federal Electronic Signatures in Global and National Commerce Act, 15 United States Code, Section 7001, et seq., but does not modify, limit or supersede Section 101(c) of that Act, 15 United States Code, Section 7001(c) or authorize electronic delivery of any of the notices described in Section 103(b) of that Act, 15 United States Code, Section 7003(b).
ARTICLE 3
PROBATE OF WILLS AND ADMINISTRATION
PART 1
GENERAL PROVISIONS
§ 3-101. Devolution of estate at death; restrictions
The power of a person to leave property by will and the rights of creditors, devisees and heirs to the person's property are subject to the restrictions and limitations contained in this Code to facilitate the prompt settlement of estates. Upon the death of a person, the person's real and personal property devolves to the persons to whom it is devised by the person's last will or to those indicated as substitutes for them in cases involving lapse, renunciation or other circumstances affecting the devolution of testate estate or, in the absence of testamentary disposition, to the person's heirs, or to those indicated as substitutes for them in cases involving renunciation or other circumstances affecting devolution of intestate estates, subject to homestead allowance, exempt property and family allowance, to rights of creditors, to elective share of the surviving spouse and to administration.
§ 3-102. Necessity of order of probate for will
Except as provided in section 3-1201, to be effective to prove the transfer of any property or to nominate an executor, a will must be declared to be valid by an order of informal probate by the registers or an adjudication of probate by the court.
§ 3-103. Necessity of appointment for administration
Except as otherwise provided in Article 4, to acquire the powers and undertake the duties and liabilities of a personal representative of a decedent, a person must be appointed by order of the court or registers, qualify and be issued letters. Administration of an estate is commenced by the issuance of letters.
§ 3-104. Claims against decedent; necessity of administration
A proceeding to enforce a claim against the estate of a decedent or the decedent's successors may not be revived or commenced before the appointment of a personal representative. After the appointment and until distribution, all proceedings and actions to enforce a claim against the estate are governed by the procedure prescribed by this Article. After distribution, a creditor whose claim has not been barred may recover from the distributees as provided in section 3-1004 or from a former personal representative individually liable as provided in section 3-1005. This section has no application to a proceeding by a secured creditor of the decedent to enforce the creditor's right to the security except as to any deficiency judgment that might be sought.
§ 3-105. Proceedings affecting devolution and administration; jurisdiction of subject matter
Persons interested in decedents' estates may apply to the register for determination in the informal proceedings provided in this Article and may petition the court for orders in formal proceedings within the court's jurisdiction including but not limited to those described in this Article. The court has exclusive jurisdiction of formal proceedings to determine how decedents' estates subject to the laws of this State are to be administered, expended and distributed. The court has concurrent jurisdiction of any other action or proceeding concerning a succession or to which an estate, through a personal representative, may be a party, including actions to determine title to property alleged to belong to the estate, and of any action or proceeding in which property is distributed by a personal representative or its value is sought to be subjected to rights of creditors or successors of the decedent.
§ 3-106. Proceedings within the jurisdiction of court; service; jurisdiction over persons
In proceedings within the exclusive jurisdiction of the court where notice is required by this Code or by rule, and in proceedings to construe probated wills or determine heirs that concern estates that have not been and cannot now be opened for administration, interested persons may be bound by the orders of the court in respect to property in or subject to the laws of this State by notice in conformity with section 1-401. An order is binding on all who are given notice of the proceeding though fewer than all interested persons are notified.
§ 3-107. Scope of proceedings; proceedings independent; exception
Unless supervised administration as described in Part 5 is involved:
§ 3-108. Probate, testacy and appointment proceedings; ultimate time limit
§ 3-109. Statutes of limitation on decedent's cause of action
A statute of limitation running on a cause of action belonging to a decedent that had not been barred as of the date of death does not apply to bar a cause of action surviving the decedent's death sooner than 4 months after death. A cause of action that but for this section would have been barred less than 4 months after death is barred after 4 months unless tolled.
§ 3-110. Discovery of property
PART 2
VENUE FOR PROBATE AND ADMINISTRATION, PRIORITY TO ADMINISTER AND DEMAND FOR NOTICE
§ 3-201. Venue for first and subsequent estate proceedings; location of property
§ 3-202. Appointment or testacy proceedings; conflicting claim of domicile in another state
If conflicting claims as to the domicile of a decedent are made in a formal testacy or appointment proceeding commenced in this State, and in a testacy or appointment proceeding after notice pending at the same time in another state, the court of this State must stay, dismiss or permit suitable amendment in the proceeding in this State unless it is determined that the proceeding in this State was commenced before the proceeding elsewhere. The determination of domicile in the proceeding first commenced must be accepted as determinative in the proceeding in this State.
§ 3-203. Priority among persons seeking appointment as personal representative
§ 3-204. Demand for notice of order or filing concerning decedent's estate
A person desiring notice of an order or filing pertaining to a decedent's estate in which the person has a financial or property interest may file a demand for notice with the court at any time after the death of the decedent, stating the name of the decedent, the nature of the demandant's interest in the estate and the demandant's address or that of the demandant's attorney. The register shall mail a copy of the demand to the personal representative, if one has been appointed. After filing of a demand, an order or filing to which the demand relates may not be made or accepted without notice as prescribed in section 1-401 to the demandant or the demandant's attorney. The validity of an order that is issued or filing that is accepted without compliance with this requirement is not affected by the error, but the petitioner receiving the order or the person making the filing is liable for any damage caused by the absence of notice. The requirement of notice arising from demand under this provision may be waived in writing by the demandant and ceases upon the termination of the demandant's interest in the estate.
PART 3
INFORMAL PROBATE AND APPOINTMENT PROCEEDINGS
§ 3-301. Informal probate or appointment proceedings; application; contents
(1) A statement of the interest of the applicant;
(2) The name and date of death of the decedent, the decedent's age and the county and state of the decedent's domicile at the time of death and the names and addresses of the spouse, children, heirs and devisees and the ages of any who are minors so far as known or ascertainable with reasonable diligence by the applicant;
(3) If the decedent was not domiciled in the State at the time of death, a statement showing venue;
(4) A statement identifying and indicating the address of any personal representative of the decedent appointed in this State or elsewhere whose appointment has not been terminated;
(5) A statement indicating whether the applicant has received a demand for notice or is aware of any demand for notice of any probate or appointment proceeding concerning the decedent that may have been filed in this State or elsewhere; and
(6) A statement that the time limit for informal probate or appointment as provided in this Article has not expired either because 3 years or less have passed since the decedent's death or, if more than 3 years from death have passed, circumstances as described by section 3-108 have occurred authorizing tardy probate or appointment;
(1) That the original of the decedent's last will is in the possession of the court or accompanies the application or that an authenticated copy of a will probated in another jurisdiction accompanies the application;
(2) That the applicant, to the best of the applicant's knowledge, believes the will to have been validly executed; and
(3) That after the exercise of reasonable diligence, the applicant is unaware of any instrument revoking the will and that the applicant believes that the instrument that is the subject of the application is the decedent's last will;
(1) That after the exercise of reasonable diligence the applicant is unaware of any unrevoked testamentary instrument relating to property having a situs in this State under section 1-301 or a statement why any such instrument of which the applicant may be aware is not being probated; and
(2) The priority of the person whose appointment is sought and the names of any other persons having a prior or equal right to the appointment under section 3-203;
§ 3-302. Informal probate; duty of register; effect of informal probate
Upon receipt of an application requesting informal probate of a will, the register upon making the findings required by section 3-303 shall issue a written statement of informal probate if at least 120 hours have elapsed since the decedent's death. Informal probate is conclusive as to all persons until superseded by an order in a formal testacy proceeding. No defect in the application or procedure that leads to informal probate of a will renders the probate void.
§ 3-303. Informal probate; proof and findings required
§ 3-304. Informal probate; unavailable in certain cases
Applications for informal probate that relate to one or more of a known series of testamentary instruments, the latest of which does not expressly revoke the earlier, other than a will and one or more codicils thereto, must be declined.
§ 3-305. Informal probate; register not satisfied
If the register is not satisfied that a will is entitled to be probated in informal proceedings because of failure to meet the requirements of sections 3-303 and 3-304 or any other reason, the register may decline the application. A declination of informal probate is not an adjudication and does not preclude formal probate proceedings.
§ 3-306. Informal probate; notice requirements
The moving party shall give notice as described by section 1-401 of the moving party's application for informal probate to any person demanding notice pursuant to section 3-204 and to any personal representative of the decedent whose appointment has not been terminated. If the decedent was 55 years of age or older, the moving party shall give notice as described in section 1-401 to the Department of Health and Human Services. Except as provided in section 3-705, no other notice of informal probate is required.
§ 3-307. Informal appointment proceedings; delay in order; duty of register; effect of appointment
§ 3-308. Informal appointment proceedings; proof and findings required
§ 3-309. Informal appointment proceedings; register not satisfied
If the register is not satisfied that a requested informal appointment of a personal representative should be made because of failure to meet the requirements of sections 3-307 and 3-308, or for any other reason, the register may decline the application. A declination of informal appointment is not an adjudication and does not preclude appointment in formal proceedings.
§ 3-310. Informal appointment proceedings; notice requirements
The moving party shall give notice as described by section 1-401 of the moving party's intention to seek an appointment informally to any person demanding notice pursuant to section 3-204 and to any person having a prior or equal right to appointment not waived in writing and filed with the court. If the decedent was 55 years of age or older, the moving party shall give notice as described in section 1-401 to the Department of Health and Human Services. No other notice of an informal appointment proceeding is required.
§ 3-311. Informal appointment unavailable in certain cases
If an application for informal appointment indicates the existence of a possible unrevoked testamentary instrument that may relate to property subject to the laws of this State and that is not filed for probate in the court, the register must decline the application.
PART 4
FORMAL TESTACY AND APPOINTMENT PROCEEDINGS
§ 3-401. Formal testacy proceedings; nature; when commenced
A formal testacy proceeding is litigation to determine whether a decedent left a valid will. A formal testacy proceeding may be commenced by an interested person filing a petition as described in section 3-402, subsection 1 in which the petitioner requests that the court, after notice and hearing, enter an order probating a will, or a petition to set aside an informal probate of a will or to prevent informal probate of a will that is the subject of a pending application, or a petition in accordance with section 3-402, subsection 2 for an order that the decedent died intestate.
A petition may seek formal probate of a will without regard to whether the same or a conflicting will has been informally probated. A formal testacy proceeding may, but need not, involve a request for appointment of a personal representative.
During the pendency of a formal testacy proceeding, the register may not act upon any application for informal probate of any will of the decedent or any application for informal appointment of a personal representative of the decedent.
Unless a petition in a formal testacy proceeding also requests confirmation of the previous informal appointment, a previously appointed personal representative, after receipt of notice of the commencement of a formal probate proceeding, must refrain from making any further distribution of the estate during the pendency of the formal proceeding. A petitioner who seeks the appointment of a different personal representative in a formal proceeding also may request an order restraining the acting personal representative from exercising any of the powers of the office and requesting the appointment of a special administrator. In the absence of a request, or if the request is denied, the commencement of a formal proceeding has no effect on the powers and duties of a previously appointed personal representative other than those relating to distribution.
§ 3-402. Formal testacy or appointment proceedings; petition; contents
If the original will is neither in the possession of the court nor accompanies the petition and no authenticated copy of a will probated in another jurisdiction accompanies the petition, the petition also must state the contents of the will and indicate that it is lost, destroyed or otherwise unavailable.
§ 3-403. Formal testacy proceeding; notice of hearing on petition
Notice must be given to the following persons: the surviving spouse, children and other heirs of the decedent, the devisees and executors named in any will that is being, or has been, probated or offered for informal or formal probate in the county or that is known by the petitioner to have been probated or offered for informal or formal probate elsewhere and any personal representative of the decedent whose appointment has not been terminated. If the decedent was 55 years of age or older, the petitioner shall give notice as described in section 1-401 to the Department of Health and Human Services. Notice may be given to other persons. In addition, the petitioner shall give notice by publication to all unknown persons and to all known persons whose addresses are unknown who have any interest in the matters being litigated.
§ 3-404. Formal testacy proceedings; written objections to probate
Any party to a formal proceeding who opposes the probate of a will for any reason shall state in that party's pleadings that party's objections to probate of the will.
§ 3-405. Formal testacy proceedings; uncontested cases; hearings and proof
If a petition in a testacy proceeding is unopposed, the court may order probate or intestacy on the strength of the pleadings if satisfied that the conditions of section 3-409 have been met or conduct a hearing in open court and require proof of the matters necessary to support the order sought. If evidence concerning execution of the will is necessary, the affidavit or testimony of one of any attesting witnesses to the instrument is sufficient. If the affidavit or testimony of an attesting witness is not available, execution of the will may be proved by other evidence or affidavit.
§ 3-406. Formal testacy proceedings; contested cases
In a contested case in which the proper execution of a will is at issue:
§ 3-407. Formal testacy proceedings; burdens in contested cases
In contested cases, petitioners who seek to establish intestacy have the burden of establishing prima facie proof of death, venue and heirship. Proponents of a will have the burden of establishing prima facie proof of due execution in all cases and, if they are also petitioners, prima facie proof of death and venue. Contestants of a will have the burden of establishing lack of testamentary intent or capacity, undue influence, fraud, duress, mistake or revocation. Parties have the ultimate burden of persuasion as to matters with respect to which they have the initial burden of proof. If a will is opposed by the petition for probate of a later will revoking the former, it must be determined first whether the later will is entitled to probate, and if a will is opposed by a petition for a declaration of intestacy, it must be determined first whether the will is entitled to probate.
§ 3-408. Formal testacy proceedings; will construction; effect of final order in another jurisdiction
A final order of a court of another state determining testacy or the validity or construction of a will made in a proceeding involving notice to and an opportunity for contest by all interested persons must be accepted as determinative by the courts of this State if it includes or is based upon a finding that the decedent at death was domiciled in the state where the order was made.
§ 3-409. Formal testacy proceedings; order; foreign will
After the time required for any notice has expired, upon proof of notice, and after any hearing that may be necessary, if the court finds that the testator is dead, venue is proper and that the proceeding was commenced within the limitation prescribed by section 3-108, the court shall determine the decedent's domicile at death, heirs and state of testacy. Any will found to be valid and unrevoked must be formally probated. Termination of any previous informal appointment of a personal representative, which may be appropriate in view of the relief requested and findings, is governed by section 3-612. The petition must be dismissed or appropriate amendment allowed if the court is not satisfied that the alleged decedent is dead. A will from a foreign jurisdiction, including a place that does not provide for probate of a will after death, may be proved for probate in this State by a duly authenticated certificate of its legal custodian that the copy introduced is a true copy and that the will has become effective under the law of the other place.
§ 3-410. Formal testacy proceedings; probate of more than one instrument
If 2 or more instruments are offered for probate before a final order is entered in a formal testacy proceeding, more than one instrument may be probated if neither expressly revokes the other or contains provisions that work a total revocation by implication. If more than one instrument is probated, the order must indicate what provisions control in respect to the nomination of an executor, if any. The order may, but need not, indicate how any provisions of a particular instrument are affected by the other instrument. After a final order in a testacy proceeding has been entered, no petition for probate of any other instrument of the decedent may be entertained, except incident to a petition to vacate or modify a previous probate order and subject to the time limits of section 3-412.
§ 3-411. Formal testacy proceedings; partial intestacy
If it becomes evident in the course of a formal testacy proceeding that, though one or more instruments are entitled to be probated, the decedent's estate is or may be partially intestate, the court shall enter an order to that effect.
§ 3-412. Formal testacy proceedings; effect of order; vacation
Subject to appeal and subject to vacation as provided in this section and in section 3-413, a formal testacy order under sections 3-409 to 3-411, including an order that the decedent left no valid will and determining heirs, is final as to all persons with respect to all issues concerning the decedent's estate that the court considered or might have considered incident to its rendition relevant to the question of whether the decedent left a valid will and to the determination of heirs, except that:
If the alleged decedent is not dead, even if notice was sent and search was made, the alleged decedent may recover estate assets in the hands of the personal representative. In addition to any remedies available to the alleged decedent by reason of any fraud or intentional wrongdoing, the alleged decedent may recover any estate or its proceeds from distributees that is in their hands, or the value of distributions received by them, to the extent that any recovery from distributees is equitable in view of all of the circumstances.
§ 3-413. Formal testacy proceedings; vacation of order for other cause
For good cause shown, an order in a formal testacy proceeding may be modified or vacated within the time allowed for appeal.
§ 3-414. Formal proceedings concerning appointment of personal representative
PART 5
SUPERVISED ADMINISTRATION
§ 3-501. Supervised administration; nature of proceeding
Supervised administration is a single in rem proceeding to secure complete administration and settlement of a decedent's estate under the continuing authority of the court that extends until entry of an order approving distribution of the estate and discharging the personal representative or other order terminating the proceeding. A supervised personal representative is responsible to the court, as well as to the interested parties, and is subject to directions concerning the estate made by the court on its own motion or on the motion of any interested party. Except as otherwise provided in this Part, or as otherwise ordered by the court, a supervised personal representative has the same duties and powers as a personal representative who is not supervised.
§ 3-502. Supervised administration; petition; order
A petition for supervised administration may be filed by any interested person or by a personal representative at any time or the prayer for supervised administration may be joined with a petition in a testacy or appointment proceeding. If the testacy of the decedent and the priority and qualification of any personal representative have not been adjudicated previously, the petition for supervised administration must include the matters required of a petition in a formal testacy proceeding and the notice requirements and procedures applicable to a formal testacy proceeding apply. If not previously adjudicated, the court shall adjudicate the testacy of the decedent and questions relating to the priority and qualifications of the personal representative in any case involving a request for supervised administration, even though the request for supervised administration may be denied. After notice to interested persons:
§ 3-503. Supervised administration; effect on other proceedings
§ 3-504. Supervised administration; powers of personal representative
Unless restricted by the court, a supervised personal representative has, without interim orders approving exercise of a power, all powers of personal representatives under this Code, but the personal representative may not exercise the power to make any distribution of the estate without prior order of the court. Any other restriction on the power of a personal representative that is ordered by the court must be endorsed on the personal representative's letters of appointment and, unless so endorsed, is ineffective as to persons dealing in good faith with the personal representative.
§ 3-505. Supervised administration; interim orders; distribution and closing orders
Unless otherwise ordered by the court, supervised administration is terminated by order in accordance with time restrictions, notices and contents of orders prescribed for proceedings under section 3-1001. Interim orders approving or directing partial distributions or granting other relief may be issued by the court at any time during the pendency of a supervised administration on the application of the personal representative or any interested person.
PART 6
PERSONAL REPRESENTATIVE: APPOINTMENT, CONTROL AND TERMINATION OF AUTHORITY
§ 3-601. Qualification
Prior to receiving letters, a personal representative must qualify by filing with the appointing court any required bond and a statement of acceptance of the duties of the office.
§ 3-602. Acceptance of appointment; consent to jurisdiction
By accepting appointment, a personal representative submits personally to the jurisdiction of the court in any proceeding relating to the estate that may be instituted by any interested person. Notice of any proceeding must be delivered to the personal representative, or mailed to the personal representative by ordinary first class mail at the address listed in the application or petition for appointment or as thereafter reported to the court and to the personal representative's address as then known to the petitioner.
§ 3-603. Bond not required without court order; exceptions
Bond is not required of a personal representative appointed in informal proceedings, except upon the appointment of a special administrator, when an executor or other personal representative is appointed to administer an estate under a will containing an express requirement of bond or when bond is required under section 3-605. Bond may be required by court order at the time of appointment of a personal representative appointed in any formal proceeding except that bond is not required of a personal representative appointed in formal proceedings if the will relieves the personal representative of bond, unless bond has been requested by an interested party and the court is satisfied that it is desirable, or as provided in section 3-619, subsection 7. Bond required by any will or under this section may be dispensed with in formal proceedings upon determination by the court that it is not necessary. Bond is not required of any personal representative who, pursuant to statute, has deposited cash or collateral with an agency of this State to secure performance of the personal representative's duties.
§ 3-604. Bond amount; security; procedure; reduction
If bond is required and the provisions of the will or order do not specify the amount, unless stated in the application or petition, the person qualifying shall file a statement under oath with the register indicating that person's best estimate of the value of the personal estate of the decedent and of the income expected from the personal and real estate during the next year, and that person shall execute and file a bond with the register, or give other suitable security, in an amount not less than the estimate. The register shall determine that the bond is duly executed by a corporate surety, or one or more individual sureties whose performance is secured by pledge of personal property, mortgage on real property or other adequate security. The register may permit the amount of the bond to be reduced by the value of assets of the estate deposited with a domestic financial institution, as defined in section 6-101, in a manner that prevents their unauthorized disposition. On petition of the personal representative or another interested person the court may excuse a requirement of bond, increase or reduce the amount of the bond, release sureties or permit the substitution of another bond with the same or different sureties.
§ 3-605. Demand for bond by interested person
Any person apparently having an interest in the estate worth in excess of $5,000, or any creditor having a claim in excess of $5,000, may make a written demand that a personal representative give bond. The demand must be filed with the register and a copy mailed to the personal representative, if appointment and qualification have occurred. Thereupon, bond is required, but the requirement ceases if the person demanding bond ceases to be interested in the estate or if bond is excused as provided in section 3-603 or 3-604. After the personal representative has received notice and until the filing of the bond or cessation of the requirement of bond, the personal representative shall refrain from exercising any powers of the personal representative's office except as necessary to preserve the estate. Failure of the personal representative to meet a requirement of bond by giving suitable bond within 30 days after receipt of notice is cause for the personal representative's removal and appointment of a successor personal representative.
§ 3-606. Terms and conditions of bonds
§ 3-607. Order restraining personal representative
On petition of any person who appears to have an interest in the estate, the court by temporary order may restrain a personal representative from performing specified acts of administration, disbursement or distribution, or exercise of any powers or discharge of any duties of the personal representative's office, or make any other order to secure proper performance of the personal representative's duty, if it appears to the court that the personal representative otherwise may take some action that would jeopardize unreasonably the interest of the applicant or of some other interested person. Persons with whom the personal representative may transact business may be made parties.
§ 3-608. Termination of appointment; general
Termination of appointment of a personal representative occurs as indicated in sections 3-609 to 3-612. Termination ends the right and power pertaining to the office of personal representative as conferred by this Code or any will, except that a personal representative, at any time prior to distribution or until restrained or enjoined by court order, may perform acts necessary to protect the estate and may deliver the assets to a successor representative. Termination does not discharge a personal representative from liability for transactions or omissions occurring before termination, or relieve the personal representative of the duty to preserve assets subject to the personal representative's control and to account for and to deliver the assets. Termination does not affect the jurisdiction of the court over the personal representative, but terminates the personal representative's authority to represent the estate in any pending or future proceeding.
§ 3-609. Termination of appointment; death or disability
The death of a personal representative or the appointment of a conservator for the estate of a personal representative terminates the personal representative's appointment. Until appointment and qualification of a successor or special personal representative to replace the deceased or protected personal representative, the personal representative of the estate of the deceased or protected personal representative, if any, has the duty to protect the estate possessed and being administered by the personal representative's decedent or ward at the time the personal representative's appointment terminates, has the power to perform acts necessary for protection and shall account for and deliver the estate assets to a successor or special personal representative upon the successor personal representative's appointment and qualification.
§ 3-610. Termination of appointment; voluntary
§ 3-611. Termination of appointment by removal; cause; procedure
§ 3-612. Termination of appointment; change of testacy status
Except as otherwise ordered in formal proceedings, the probate of a will subsequent to the appointment of a personal representative in intestacy or under a will that is superseded by formal probate of another will, or the vacation of an informal probate of a will subsequent to the appointment of the personal representative under the will, does not terminate the appointment of the personal representative although the personal representative's powers may be reduced as provided in section 3-401. Termination occurs upon appointment in informal or formal appointment proceedings of a person entitled to appointment under the later assumption concerning testacy. If no request for new appointment is made within 30 days after expiration of time for appeal from the order in formal testacy proceedings, or from the informal probate, changing the assumption concerning testacy, the previously appointed personal representative upon request may be appointed personal representative under the subsequently probated will, or as in intestacy as the case may be.
§ 3-613. Successor personal representative
Parts 3 and 4 of this Article govern proceedings for appointment of a personal representative to succeed a personal representative whose appointment has been terminated. After appointment and qualification, a successor personal representative may be substituted in all actions and proceedings to which the former personal representative was a party, and no notice, process or claim that was given or served upon the former personal representative need be given to or served upon the successor in order to preserve any position or right the person giving the notice or filing the claim may thereby have obtained or preserved with reference to the former personal representative. Except as otherwise ordered by the court, the successor personal representative has the powers and duties in respect to the continued administration that the former personal representative would have had if the appointment had not been terminated.
§ 3-614. Special administrator; appointment
A special administrator may be appointed:
§ 3-615. Special administrator; who may be appointed
§ 3-616. Special administrator; appointed informally; powers and duties
A special administrator appointed by the register in informal proceedings pursuant to section 3-614, subsection 1 has the duty to collect and manage the assets of the estate, to preserve them, to account for them and to deliver them to the general personal representative upon the general personal representative's qualification. The special administrator has the power of a personal representative under the Code necessary to perform the special administrator's duties.
§ 3-617. Special administrator; formal proceedings; power and duties
A special administrator appointed by order of the court in any formal proceeding has the power of a general personal representative except as limited in the appointment and duties as prescribed in the order. The appointment may be for a specified time, to perform particular acts or on other terms as the court may direct.
§ 3-618. Termination of appointment; special administrator
The appointment of a special administrator terminates in accordance with the provisions of the order of appointment or on the appointment of a general personal representative. In other cases, the appointment of a special administrator is subject to termination as provided in sections 3-608 to 3-611.
§ 3-619. Public administrators
PART 7
DUTIES AND POWERS OF PERSONAL REPRESENTATIVES
§ 3-701. Time of accrual of duties and powers
The duties and powers of a personal representative commence upon appointment. The powers of a personal representative relate back in time to give acts by the person appointed that are beneficial to the estate occurring prior to appointment the same effect as those occurring after appointment. Subject to the priorities of Title 22, section 2843-A, prior to appointment, a person named executor in a will may carry out written instructions of the decedent relating to the decedent's body, funeral and burial arrangements. A personal representative may ratify and accept acts on behalf of the estate done by others where the acts would have been proper for a personal representative.
§ 3-702. Priority among different letters
A person to whom general letters are first issued has exclusive authority under the letters until that person's appointment is terminated or modified. If through error general letters are later issued to another, the first appointed representative may recover any property of the estate in the hands of the representative subsequently appointed, but the acts of the latter done in good faith before notice of the first letters are not void for want of validity of appointment.
§ 3-703. General duties; relation and liability to persons interested in estate; standing to sue
§ 3-704. Personal representative to proceed without court order; exception
A personal representative shall proceed expeditiously with the settlement and distribution of a decedent's estate and, except as otherwise specified or ordered in regard to a supervised personal representative, do so without adjudication, order or direction of the court, but the personal representative may invoke the jurisdiction of the court in proceedings authorized by this Code to resolve questions concerning the estate or its administration.
§ 3-705. Duty of personal representative; information to heirs and devisees
Not later than 30 days after appointment every personal representative, except any special administrator, shall give information of the appointment to the heirs and devisees, including, if there has been no formal testacy proceeding and if the personal representative was appointed on the assumption that the decedent died intestate, the devisees in any will mentioned in the application for appointment of a personal representative. The information must be delivered or sent by ordinary mail to each of the heirs and devisees whose address is reasonably available to the personal representative. The duty does not extend to require information to persons who have been adjudicated in a prior formal testacy proceeding to have no interest in the estate. The information must include a statement that the estate is being administered by the personal representative under the Code without supervision by the court but that recipients are entitled to information regarding the administration from the personal representative and may petition the court in any matter relating to the estate, including distribution of assets and expenses of administration. The information must include the name and address of the personal representative, indicate that it is being sent to persons who have or may have some interest in the estate being administered, indicate whether bond has been filed and describe the court where papers relating to the estate are on file. The personal representative's failure to give this information is a breach of duty to the persons concerned but does not affect the validity of the personal representative's appointment, powers or other duties. A personal representative may inform other persons of the personal representative's appointment by delivery or ordinary first class mail.
§ 3-706. Duty of personal representative; inventory and appraisal
§ 3-707. Employment of appraisers
The personal representative may employ a qualified and disinterested appraiser to assist in ascertaining the fair market value as of the date of the decedent's death of any asset the value of which may be subject to reasonable doubt. Different persons may be employed to appraise different kinds of assets included in the estate. The names and addresses of any appraiser must be indicated on the inventory with the item or items appraised.
§ 3-708. Duty of personal representative; supplementary inventory
If any property not included in the original inventory comes to the knowledge of a personal representative or if the personal representative learns that the value or description indicated in the original inventory for any item is erroneous or misleading, the personal representative shall make a supplementary inventory or appraisement showing the market value as of the date of the decedent's death of the new item or the revised market value or descriptions, and the appraisers or other data relied upon, if any, and file the supplementary inventory or appraisement with the court or mail or furnish copies of the supplementary inventory or appraisement or information about the supplementary inventory or appraisement to persons interested in the new information.
§ 3-709. Duty of personal representative; possession of estate
Except as otherwise provided by a decedent's will, every personal representative has a right to and shall take possession or control of the decedent's property, except that any real property or tangible personal property may be left with or surrendered to the person presumptively entitled to it until, in the judgment of the personal representative, possession of the property by the personal representative will be necessary for purposes of administration. The request by a personal representative for delivery of any property possessed by an heir or devisee is conclusive evidence in any action against the heir or devisee for possession of the property that the possession of the property by the personal representative is necessary for purposes of administration. The personal representative shall pay taxes on and take all steps reasonably necessary for the management, protection and preservation of the estate in the personal representative's possession. The personal representative may maintain an action to recover possession of property or to determine the title of the property.
§ 3-710. Power to avoid transfers
The property liable for the payment of unsecured debts of a decedent includes all property transferred by the decedent by any means that is in law void or voidable as against the decedent's creditors, and, subject to prior liens, the right to recover this property, so far as necessary for the payment of unsecured debts of the decedent, is exclusively in the personal representative. The personal representative is not required to institute such an action unless requested by creditors, who must pay or secure the cost and expenses of litigation.
§ 3-711. Powers of personal representatives; in general
Until termination of the personal representative's appointment, a personal representative has the same power over the title to property of the estate that an absolute owner would have, in trust however, for the benefit of the creditors and others interested in the estate. This power may be exercised without notice, hearing or order of court.
§ 3-712. Improper exercise of power; breach of fiduciary duty
If the exercise of power concerning the estate is improper, the personal representative is liable to interested persons for damage or loss resulting from breach of the personal representative's fiduciary duty to the same extent as a trustee of an express trust. The rights of purchasers and others dealing with a personal representative must be determined as provided in sections 3-713 and 3-714.
§ 3-713. Sale, encumbrance or transaction involving conflict of interest; voidable; exceptions
Any sale or encumbrance to the personal representative, the personal representative's spouse, agent or attorney, or any corporation or trust in which the personal representative has a substantial beneficial interest, or any transaction that is affected by a substantial conflict of interest on the part of the personal representative, is voidable by any person interested in the estate except a person who has consented after fair disclosure, unless:
§ 3-714. Persons dealing with personal representative; protection
A person who in good faith either assists a personal representative or deals with the personal representative for value is protected as if the personal representative's power was properly exercised. The fact that a person knowingly deals with a personal representative does not alone require the person to inquire into the existence of a power or the propriety of its exercise. Except for restrictions on powers of supervised personal representatives that are endorsed on letters as provided in section 3-504, no provision in any will or order of court purporting to limit the power of a personal representative is effective except as to persons with actual knowledge. A person is not bound to see to the proper application of estate assets paid or delivered to a personal representative. The protection in this section extends to instances in which some procedural irregularity or jurisdictional defect occurred in proceedings leading to the issuance of letters, including a case in which the alleged decedent is found to be alive. The protection in this section is not by substitution for that provided by comparable provisions of the laws relating to commercial transactions and laws simplifying transfers of securities by fiduciaries.
§ 3-715. Transactions authorized for personal representatives; exceptions
Except as restricted or otherwise provided by the will or by an order in a formal proceeding and subject to the priorities stated in section 3-902, a personal representative, acting reasonably for the benefit of the interested persons, may properly:
§ 3-716. Powers and duties of successor personal representative
A successor personal representative has the same power and duty as the original personal representative to complete the administration and distribution of the estate, as expeditiously as possible, but the successor personal representative may not exercise any power expressly made personal to the executor named in the will.
§ 3-717. Corepresentatives; when joint action required
If 2 or more persons are appointed corepresentatives and unless the will provides otherwise, the concurrence of all is required on all acts connected with the administration and distribution of the estate. This restriction does not apply when any corepresentative receives and receipts for property due the estate, when the concurrence of all cannot readily be obtained in the time reasonably available for emergency action necessary to preserve the estate or when a corepresentative has been delegated to act for the others. Persons dealing with a corepresentative if actually unaware that another has been appointed to serve with that corepresentative or if advised by the personal representative with whom they deal that the personal representative has authority to act alone for any of the reasons mentioned in this section are as fully protected as if the person with whom they dealt had been the sole personal representative.
§ 3-718. Powers of surviving personal representative
Unless the terms of the will otherwise provide, every power exercisable by personal corepresentatives may be exercised by the one or more remaining after the appointment of one or more is terminated, and if one of 2 or more nominated as coexecutors is not appointed, those appointed may exercise all the powers incident to the office.
§ 3-719. Compensation of personal representative
A personal representative is entitled to reasonable compensation for the personal representative's services. If a will provides for compensation of the personal representative and there is no contract with the decedent regarding compensation, the personal representative may renounce the provision before qualifying and be entitled to reasonable compensation. A personal representative also may renounce the personal representative's right to all or any part of the compensation. A written renunciation of fee may be filed with the court.
§ 3-720. Expenses in estate litigation
If any personal representative or person nominated as personal representative defends or prosecutes any proceeding in good faith, whether successful or not, the personal representative or nominee is entitled to receive from the estate necessary expenses and disbursements including reasonable attorney's fees incurred.
§ 3-721. Proceedings for review of employment of agents and compensation of personal representatives and employees of estate
PART 8
CREDITORS' CLAIMS
§ 3-801. Notice to creditors
§ 3-802. Statutes of limitations
§ 3-803. Limitations on presentation of claims
§ 3-804. Manner of presentation of claims
Claims against a decedent's estate may be presented as described in this section.
§ 3-805. Classification of claims
§ 3-806. Allowance of claims
§ 3-807. Payment of claims
§ 3-808. Individual liability of personal representative
§ 3-809. Secured claims
Payment of a secured claim is upon the basis of the amount allowed if the creditor surrenders the creditor's security; otherwise payment is upon the basis of one of the following:
§ 3-810. Claims not due and contingent or unliquidated claims
§ 3-811. Counterclaims
In allowing a claim the personal representative may deduct any counterclaim that the estate has against the claimant. In determining a claim against an estate a court shall reduce the amount allowed by the amount of any counterclaims and, if the counterclaims exceed the claim, render a judgment against the claimant in the amount of the excess. A counterclaim, liquidated or unliquidated, may arise from a transaction other than that upon which the claim is based. A counterclaim may give rise to relief exceeding in amount or different in kind from that sought in the claim.
§ 3-812. Execution and levies prohibited
No execution may issue upon nor may any levy be made against any property of the estate under any judgment against a decedent or a personal representative, but this section may not be construed to prevent the enforcement of mortgages, pledges or liens upon real or personal property in an appropriate proceeding.
§ 3-813. Compromise of claims
When a claim against the estate has been presented in any manner, the personal representative may, if it appears for the best interest of the estate, compromise the claim, whether due or not due, absolute or contingent, liquidated or unliquidated.
§ 3-814. Encumbered assets
If any assets of the estate are encumbered by mortgage, pledge, lien or other security interest, the personal representative may pay the encumbrance or any part of the encumbrance, renew or extend any obligation secured by the encumbrance or convey or transfer the assets to the creditor in satisfaction of the lien, in whole or in part, whether or not the holder of the encumbrance has presented a claim, if it appears to be for the best interest of the estate. Payment of an encumbrance does not increase the share of the distributee entitled to the encumbered assets unless the distributee is entitled to exoneration.
§ 3-815. Administration in more than one state; duty of personal representative
§ 3-816. Final distribution to domiciliary representative
The estate of a nonresident decedent being administered by a personal representative appointed in this State must, if there is a personal representative of the decedent's domicile willing to receive it, be distributed to the domiciliary personal representative for the benefit of the successors of the decedent unless:
In other cases, distribution of the estate of a decedent must be made in accordance with the other Parts of this Article.
§ 3-817. Survival of actions
§ 3-818. Damages limited to actual damages
In any tort action against the personal representative of a decedent's estate, in the personal representative's representative capacity, the plaintiff may recover only the value of the goods taken or damage actually sustained.
PART 9
SPECIAL PROVISIONS RELATING TO DISTRIBUTION
§ 3-901. Successors' rights if no administration
In the absence of administration, the heirs and devisees are entitled to the estate in accordance with the terms of a probated will or the laws of intestate succession. Devisees may establish title by the probated will to devised property. Persons entitled to property by homestead allowance, exemption or intestacy may establish title by proof of the decedent's ownership and death and their relationship to the decedent. Successors take subject to all charges incident to administration, including the claims of creditors and allowances of surviving spouse and dependent children, and subject to the rights of others resulting from abatement, retainer, advancement and ademption.
§ 3-902. Distribution; order in which assets appropriated; abatement
§ 3-903. Right of retainer
The amount of a noncontingent indebtedness of a successor to the estate if due, or its present value if not due, must be offset against the successor's interest, but the successor has the benefit of any defense that would be available to the debtor in a direct proceeding for recovery of the debt. The debt constitutes a lien on the successor's interest in favor of the estate, having priority over any attachment or transfer of the interest by the successor.
§ 3-904. Interest on general pecuniary devise
General pecuniary devises bear interest at the legal rate of 5% per year beginning one year after the first appointment of a personal representative until payment, unless a contrary intent is indicated in the will.
§ 3-905. Penalty clause for contest
A provision in a will purporting to penalize any interested person for contesting the will or instituting other proceedings relating to the estate is unenforceable if probable cause exists for instituting proceedings.
§ 3-906. Distribution in kind; valuation; method
(1) The person entitled to the payment has not demanded payment in cash;
(2) The property distributed in kind is valued at fair market value as of the date of its distribution; and
(3) No residuary devisee has requested that the asset to be distributed remain a part of the residue of the estate or, if a residuary devisee has requested that the asset to be distributed remain a part of the residue of the estate, there are insufficient other assets to which no residuary devisee has made such a request to permit satisfaction of the estate's obligations and funding of all pecuniary devises made under the decedent's will.
§ 3-907. Distribution in kind; evidence
If distribution in kind is made, the personal representative shall execute an instrument or deed of distribution assigning, transferring or releasing the assets to the distributee as evidence of the distributee's title to the property.
§ 3-908. Distribution; right or title of distributee
Proof that a distributee has received an instrument or deed of distribution of assets in kind, or payment in distribution, from a personal representative, is conclusive evidence that the distributee has succeeded to the interest of the estate in the distributed assets, as against all persons interested in the estate, except that the personal representative may recover the assets or their value if the distribution was improper.
§ 3-909. Improper distribution; liability of distributee
Unless the distribution or payment no longer can be questioned because of adjudication, estoppel or limitation, a distributee of property improperly distributed or paid, or a claimant who was improperly paid, is liable to return the property improperly received and its income since distribution if the distributee or claimant has the property. If the distributee or claimant does not have the property, then the distributee or claimant is liable to return the value as of the date of disposition of the property improperly received and income and gain received by the distributee or claimant.
§ 3-910. Purchasers from distributees protected
If property distributed in kind or a security interest in the property is acquired for value by a purchaser from or lender to a distributee who has received an instrument or deed of distribution from the personal representative, or is acquired by a purchaser from or lender to a transferee from a distributee, the purchaser or lender takes title free of rights of any interested person in the estate and incurs no personal liability to the estate, or to any interested person, whether or not the distribution was proper or supported by court order or the authority of the personal representative was terminated before execution of the instrument or deed. This section protects a purchaser from or lender to a distributee who, as personal representative, has executed a deed of distribution to the personal representative, as well as a purchaser from or lender to any other distributee or transferee. To be protected under this provision, a purchaser or lender need not inquire whether a personal representative acted properly in making the distribution in kind, even if the personal representative and the distributee are the same person, or whether the authority of the personal representative had terminated before the distribution. Any recorded instrument described in this section on which the register of deeds notes by an appropriate stamp "Maine Real Estate Transfer Tax Paid" is prima facie evidence that the transfer was made for value.
§ 3-911. Partition for purpose of distribution
When 2 or more heirs or devisees are entitled to distribution of undivided interests in any real or personal property of the estate, the personal representative or one or more of the heirs or devisees may petition the court prior to the formal or informal closing of the estate to make partition. After notice to the interested heirs or devisees, the court shall partition the property in the same manner as provided by the law for civil actions of partition. The court may direct the personal representative to sell any property that cannot be partitioned without prejudice to the owners and that cannot conveniently be allotted to any one party.
§ 3-912. Private agreements among successors to decedent binding on personal representative
Subject to the rights of creditors and taxing authorities, competent successors may agree among themselves to alter the interests, shares or amounts to which they are entitled under the will of the decedent, or under the laws of intestacy, in any way that they provide in a written contract executed by all who are affected by its provisions. The personal representative shall abide by the terms of the agreement subject to the personal representative's obligation to administer the estate for the benefit of creditors, to pay all taxes and costs of administration and to carry out the responsibilities of the office for the benefit of any successors of the decedent who are not parties. Personal representatives of decedents' estates are not required to see to the performance of trusts if the trustee of such a trust is another person who is willing to accept the trust. Accordingly, trustees of a testamentary trust are successors for the purposes of this section. Nothing in this section relieves trustees of any duties owed to beneficiaries of trusts.
§ 3-913. Distributions to trustee
§ 3-914. Disposition of unclaimed assets
If an heir, devisee or claimant cannot be found, the personal representative shall distribute the share of the missing person to the person's conservator, if any; otherwise it must be disposed of according to Title 33, chapter 41.
§ 3-915. Distribution to person under disability
Persons receiving money or property for the person with a disability are obligated to apply the money or property to the support of that person, but may not pay themselves except by way of reimbursement for out-of-pocket expenses for goods and services necessary for the support of the person with a disability. Excess sums must be preserved for future support of the person with a disability. The personal representative is not responsible for the proper application of money or property distributed pursuant to this subsection.
§ 3-916. Uniform Estate Tax Apportionment Act
(1) Any claim or expense allowable as a deduction for purposes of the tax;
(2) The value of any interest in property that, for purposes of the tax, qualifies for a marital or charitable deduction or otherwise is deductible or is exempt; and
(3) Any amount added to the decedent's gross estate because of a gift tax on transfers made before death.
(1) To the extent that a provision of a decedent's will expressly and unambiguously directs the apportionment of an estate tax, the tax must be apportioned accordingly;
(2) Any portion of an estate tax not apportioned pursuant to subparagraph (1) must be apportioned in accordance with any provision of a revocable trust of which the decedent was the settlor that expressly and unambiguously directs the apportionment of an estate tax. If conflicting apportionment provisions appear in 2 or more revocable trust instruments, the provision in the most recently dated instrument prevails. For purposes of this subparagraph:
(a) A trust is revocable if it was revocable immediately after the trust instrument was executed, even if the trust subsequently becomes irrevocable; and
(b) The date of an amendment to a revocable trust instrument is the date of the amended instrument only if the amendment contains an apportionment provision; and
(3) If any portion of an estate tax is not apportioned pursuant to subparagraph (1) or (2), and a provision in any other dispositive instrument expressly and unambiguously directs that any interest in the property disposed of by the instrument is or is not to be applied to the payment of the estate tax attributable to the interest disposed of by the instrument, the provision controls the apportionment of the tax to that interest.
(1) If an apportionment provision directs that a person receiving an interest in property under an instrument is to be exonerated from the responsibility to pay an estate tax that would otherwise be apportioned to the interest:
(a) The tax attributable to the exonerated interest must be apportioned among the other persons receiving interests passing under the instrument; or
(b) If the values of the other interests are less than the tax attributable to the exonerated interest, the deficiency must be apportioned ratably among the other persons receiving interests in the apportionable estate that are not exonerated from apportionment of the tax;
(2) If an apportionment provision directs that an estate tax is to be apportioned to an interest in property a portion of which qualifies for a marital or charitable deduction, the estate tax must first be apportioned ratably among the holders of the portion that does not qualify for a marital or charitable deduction and then apportioned ratably among the holders of the deductible portion to the extent that the value of the nondeductible portion is insufficient;
(3) Except as otherwise provided in subparagraph (4), if an apportionment provision directs that an estate tax be apportioned to property in which one or more time-limited interests exist, other than interests in specified property under subsection 7, the tax must be apportioned to the principal of that property, regardless of the deductibility of some of the interests in that property; and
(4) If an apportionment provision directs that an estate tax is to be apportioned to the holders of interests in property in which one or more time-limited interests exist and a charity has an interest that otherwise qualifies for an estate tax charitable deduction, the tax must first be apportioned, to the extent feasible, to interests in property that have not been distributed to the persons entitled to receive the interests.
(1) "Advanced fraction" means a fraction that has as its numerator the amount of the advanced tax and as its denominator the value of the interests in insulated property to which that tax is attributable.
(2) "Advanced tax" means the aggregate amount of estate tax attributable to interests in insulated property that is required to be advanced by uninsulated holders under paragraph C.
(3) "Insulated property" means property subject to a time-limited interest that is included in the apportionable estate but is unavailable for payment of an estate tax because of impossibility or impracticability.
(4) "Uninsulated holder" means a person who has an interest in uninsulated property.
(5) "Uninsulated property" means property included in the apportionable estate other than insulated property.
(1) "Special elective benefit" means a reduction in an estate tax obtained by an election for:
(a) A reduced valuation of specified property that is included in the gross estate;
(b) A deduction from the gross estate, other than a marital or charitable deduction, allowed for specified property; or
(c) An exclusion from the gross estate of specified property.
(2) "Specified property" means property for which an election has been made for a special elective benefit.
(1) Any person having an interest in the apportionable estate that is not exonerated from the tax;
(2) Any other person having an interest in the apportionable estate; and
(3) Any person having an interest in the gross estate.
PART 10
CLOSING ESTATES
§ 3-1001. Formal proceedings terminating administration; testate or intestate; order of general protection
§ 3-1002. Formal proceedings terminating testate administration; order construing will without adjudicating testacy
A personal representative administering an estate under an informally probated will or any devisee under an informally probated will may petition for an order of settlement of the estate that will not adjudicate the testacy status of the decedent. The personal representative may petition at any time, and a devisee may petition after one year, from the appointment of the original personal representative, except that no petition under this section may be entertained until the time for presenting claims that arose prior to the death of the decedent has expired. The petition may request the court to consider the final account or compel or approve an accounting and distribution, to construe the will and to adjudicate final settlement and distribution of the estate. After notice to all devisees and the personal representative and hearing, the court may enter an order or orders, on appropriate conditions, determining the persons entitled to distribution of the estate under the will and, as circumstances require, approving settlement and directing or approving distribution of the estate and discharging the personal representative from further claim or demand of any devisee who is a party to the proceeding and those the devisee represents. If it appears that a part of the estate is intestate, the proceedings must be dismissed or amendments made to meet the provisions of section 3-1001.
§ 3-1003. Closing estates; by sworn statement of personal representative
§ 3-1004. Liability of distributees to claimants
After assets of an estate have been distributed and subject to section 3-1006, an undischarged claim not barred may be prosecuted in a proceeding against one or more distributees. A distributee is not liable to claimants for amounts received as exempt property or homestead or family allowances or for amounts in excess of the value of the distribution as of the time of distribution. As between distributees, each bears the cost of satisfaction of unbarred claims as if the claim had been satisfied in the course of administration. Any distributee who fails to notify other distributees of the demand made by the claimant in sufficient time to permit them to join in any proceeding in which the claim was asserted loses the right of contribution against other distributees.
§ 3-1005. Limitations on proceedings against personal representative
Unless previously barred by adjudication and except as provided in the closing statement, the rights of successors and of creditors whose claims have not otherwise been barred against the personal representative for breach of fiduciary duty are barred unless a proceeding to assert those rights is commenced within 6 months after the filing of the closing statement. The rights barred by this section do not include rights to recover from a personal representative for fraud, misrepresentation or inadequate disclosure related to the settlement of the decedent's estate.
§ 3-1006. Limitations on actions and proceedings against distributees
Unless previously adjudicated in a formal testacy proceeding or in a proceeding settling the accounts of a personal representative or otherwise barred, the claim of any claimant to recover from a distributee who is liable to pay the claim, and the right of an heir or devisee, or of a successor personal representative acting in the heir's or devisee's behalf, to recover property improperly distributed or its value from any distributee is forever barred at the later of 3 years after the decedent's death or one year after the time of its distribution, but all claims of creditors of the decedent are barred 9 months after the decedent's death. This section does not bar an action to recover property or value received as the result of fraud.
§ 3-1007. Certificate discharging liens securing fiduciary performance
After the personal representative's appointment has terminated, the personal representative, the personal representative's sureties or any successor of either, upon the filing of a verified application showing, so far as is known by the applicant, that no action concerning the estate is pending in any court, is entitled to receive a certificate from the register that the personal representative appears to have fully administered the estate in question. The certificate evidences discharge of any lien on any property given to secure the obligation of the personal representative in lieu of bond or any surety, but does not preclude action against the personal representative or the surety.
§ 3-1008. Subsequent administration
If other property of the estate is discovered after an estate has been settled and the personal representative discharged or after one year after a closing statement has been filed, the court upon petition of any interested person and upon notice as it directs may appoint the same or a successor personal representative to administer the subsequently discovered estate. If a new appointment is made, unless the court orders otherwise, the provisions of this Code apply as appropriate, but no claim previously barred may be asserted in the subsequent administration.
PART 11
COMPROMISE OF CONTROVERSIES
§ 3-1101. Effect of approval of agreements involving trusts, inalienable interests or interests of 3rd persons
A compromise of any controversy as to admission to probate of any instrument offered for formal probate as the will of a decedent, the construction, validity or effect of any governing instrument, the rights or interests in the estate of the decedent, of any successor or the administration of the estate, if approved in a formal proceeding in the court for that purpose, is binding on all the parties thereto including those unborn, unascertained or who could not be located. An approved compromise is binding even though it may affect a trust or an inalienable interest. A compromise does not impair the rights of creditors or of taxing authorities who are not parties to it.
§ 3-1102. Procedure for securing court approval of compromise
The procedure for securing court approval of a compromise is as follows.
PART 12
COLLECTION OF PERSONAL PROPERTY BY AFFIDAVIT AND SUMMARY ADMINISTRATION PROCEDURES FOR SMALL ESTATES
§ 3-1201. Collection of personal property by affidavit
§ 3-1202. Effect of affidavit
The person paying, delivering, transferring or issuing personal property or the evidence of personal property pursuant to affidavit is discharged and released to the same extent as if the person dealt with a personal representative of the decedent. The person is not required to see to the application of the personal property or evidence of personal property or to inquire into the truth of any statement in the affidavit. If any person to whom an affidavit is delivered refuses to pay, deliver, transfer or issue any personal property or evidence of personal property, it may be recovered or its payment, delivery, transfer or issuance compelled upon proof of their right in a proceeding brought for the purpose by or on behalf of the persons entitled thereto. Any person to whom payment, delivery, transfer or issuance is made is answerable and accountable to any personal representative of the estate or to any other person having a superior right.
§ 3-1203. Small estates; summary administrative procedure
If it appears from the inventory and appraisal that the value of the entire estate, less liens and encumbrances, does not exceed homestead allowance, exempt property, family allowance, costs and expenses of administration, reasonable funeral expenses and reasonable and necessary medical and hospital expenses of the last illness of the decedent, the personal representative, without giving notice to creditors, may immediately disburse and distribute the estate to the persons entitled to the estate and file a closing statement as provided in section 3-1204.
§ 3-1204. Small estates; closing by sworn statement of personal representative
§ 3-1205. Social security payments
If not less than 30 days after the death of a Maine resident entitled at the time of the resident's death to a monthly benefit or benefits under Title II of the Social Security Act, all or part of the amount of such benefit or benefits not in excess of $1,000 is paid by the United States to the surviving spouse, one or more of the decedent's children or descendants of the deceased children, the decedent's father or mother or the decedent's brother or sister, preference being given in the order named if more than one request for payment has been made by or for such individuals, upon an affidavit made and filed with the federal Department of Health and Human Services by the surviving spouse or other relative by whom or on whose behalf request for payment is made; and if the affidavit shows the date of death of the decedent, the relationship of the affiant to the decedent, that no personal representative for the decedent has been appointed and qualified and that, to the affiant's knowledge, there exists at the time of filing of the affidavit no relative of a closer degree of kindred to the decedent than the affiant, then such payment pursuant to the affidavit is deemed to be a payment to the legal representative of the decedent and, regardless of the truth or falsity of the statements made in the affidavit, constitutes a full discharge and release of the United States from any further claim for such payment to the same extent as if such payment had been made to the personal representative of the decedent's estate.
ARTICLE 4
FOREIGN PERSONAL REPRESENTATIVE; ANCILLARY
PART 1
DEFINITIONS
§ 4-101. Definitions
As used in this Article, unless the context otherwise indicates, the following terms have the following meanings.
PART 2
POWERS OF FOREIGN PERSONAL REPRESENTATIVES
§ 4-201. Payment of debt and delivery of property to domiciliary foreign personal representative without local administration
At any time after the expiration of 60 days from the death of a nonresident decedent, any person indebted to the estate of the nonresident decedent or having possession or control of personal property or of an instrument evidencing a debt, obligation, stock or chose in action belonging to the estate of the nonresident decedent may pay the debt or deliver the personal property or the instrument evidencing the debt, obligation, stock or chose in action to the domiciliary foreign personal representative of the nonresident decedent upon being presented with proof of the domiciliary foreign personal representative's appointment and an affidavit made by or on behalf of the representative stating:
§ 4-202. Payment or delivery discharges
Payment or delivery made in good faith on the basis of the proof of authority and affidavit releases the debtor or person having possession of the personal property to the same extent as if payment or delivery had been made to a local personal representative.
§ 4-203. Resident creditor notice
Payment or delivery under section 4-201 may not be made if a resident creditor of the nonresident decedent has notified the debtor of the nonresident decedent or the person having possession of the personal property belonging to the nonresident decedent that the debt should not be paid nor the property delivered to the domiciliary foreign personal representative.
§ 4-204. Proof of authority; bond
If no local administration or application or petition for local administration is pending in this State, a domiciliary foreign personal representative may file with a court in this State in a county in which property belonging to the decedent is located authenticated copies of the foreign personal representative's appointment and of any official bond the foreign personal representative has given.
§ 4-205. Powers
A domiciliary foreign personal representative who has complied with section 4-204 may exercise as to assets in this State all powers of a local personal representative and may maintain actions and proceedings in this State subject to any conditions imposed upon nonresident parties generally.
§ 4-206. Power of representatives in transition
The power of a domiciliary foreign personal representative under section 4-201 or 4-205 may be exercised only if there is no administration or application for administration pending in this State. An application or petition for local administration of the estate terminates the power of the foreign personal representative to act under section 4-205, but the local court may allow the foreign personal representative to exercise limited powers to preserve the estate. A person who, before receiving actual notice of a pending local administration, has changed position in reliance upon the powers of a foreign personal representative may not be prejudiced by reason of the application or petition for, or grant of, local administration. The local personal representative is subject to all duties and obligations that have accrued by virtue of the exercise of the powers by the foreign personal representative and may be substituted for the foreign personal representative in any action or proceedings in this State.
§ 4-207. Ancillary and other local administrations; provisions governing
In respect to a nonresident decedent, the provisions of Article 3 govern:
PART 3
JURISDICTION OVER FOREIGN REPRESENTATIVES
§ 4-301. Jurisdiction by act of foreign personal representative
A foreign personal representative submits personally to the jurisdiction of the courts of this State in any proceeding relating to the estate by:
Jurisdiction under this subsection is limited to the money or value of personal property collected; or
§ 4-302. Jurisdiction by act of decedent
In addition to jurisdiction conferred by section 4-301, a foreign personal representative is subject to the jurisdiction of the courts of this State to the same extent that the decedent was subject to jurisdiction immediately prior to death.
§ 4-303. Service on foreign personal representative
Service of process may be made upon the foreign personal representative in such manner as the Supreme Judicial Court shall by rule provide.
PART 4
JUDGMENTS AND PERSONAL REPRESENTATIVE
§ 4-401. Effect of adjudication for or against personal representative
An adjudication rendered in any jurisdiction in favor of or against any personal representative of the estate is as binding on the local personal representative as if the local personal representative were a party to the adjudication.
ARTICLE 5
UNIFORM GUARDIANSHIP AND PROTECTIVE PROCEEDINGS ACT
PART 1
GENERAL PROVISIONS
§ 5-101. Short title
This Article may be known and cited as "the Uniform Guardianship and Protective Proceedings Act."
§ 5-102. Definitions
As used in this Article, unless the context otherwise indicates, the following terms have the following meanings.
§ 5-103. Facility of transfer
§ 5-104. Delegation of power by parent or guardian
This subsection applies only if the parent's or guardian's service is in support of:
(1) A screening for child and adult abuse, neglect or exploitation cases in the records of the Department of Health and Human Services; and
(2) A criminal history record check that includes information obtained from the Federal Bureau of Investigation.
The organization shall maintain records on the training and background checks of agents, including the content and dates of training and full transcripts of background checks, for a period of not less than 5 years after the minor attains 18 years of age. The organization shall make the records available to a parent or guardian executing a power of attorney under this subsection and to the ombudsman under Title 22, section 4087-A and any local, state or federal authority conducting an investigation involving the agent, the parent or guardian or the minor.
(1) An organization that knowingly fails to perform or verify the background checks or fails to share the background check information as required by this subsection is subject to a civil penalty not to exceed $5,000, payable to the State and recoverable in a civil action.
(2) An organization or an employee or volunteer of an organization that continues to assist a parent, guardian or agent in completing a power of attorney under this subsection if the background checks conducted pursuant to paragraph D disclose any substantiated allegations of child abuse, neglect or exploitation or any crimes that would disqualify the agent from becoming a licensed family foster home is subject to a civil penalty not to exceed $5,000, payable to the State and recoverable in a civil action.
(3) An organization or an employee or volunteer of an organization that knowingly fails to maintain records or to disclose information as required by this subsection is subject to a civil penalty not to exceed $5,000, payable to the State and recoverable in a civil action.
§ 5-105. Subject matter jurisdiction
§ 5-106. Transfer of jurisdiction
§ 5-107. Venue
§ 5-108. Letters of appointment
Upon the guardian's filing of an acceptance of appointment, the court shall issue appropriate letters of guardianship. Upon the conservator's filing of an acceptance of appointment and any required bond, the court shall issue appropriate letters of conservatorship. Letters of guardianship must indicate whether the guardian was appointed by the court, a parent or the spouse. Any limitation on the powers of a guardian or conservator or of the assets subject to a conservatorship must be endorsed on the guardian's or conservator's letters.
§ 5-109. Effect of acceptance of appointment
By accepting appointment, a guardian or conservator submits personally to the jurisdiction of the court in any proceeding relating to the guardianship or conservatorship. The petitioner shall send or deliver notice of any proceeding to the guardian or conservator at the guardian's or conservator's address shown in the court records and at any other address then known to the petitioner.
§ 5-110. Termination of or change in guardian's or conservator's appointment
§ 5-111. Notice
§ 5-112. Waiver of notice
A person may waive notice by a writing signed by the person or the person's attorney and filed in the proceeding. However, a respondent, ward or protected person may not waive notice.
§ 5-113. Guardian ad litem
At any stage of a proceeding, a court may appoint a guardian ad litem if the court determines that representation of the interest otherwise would be inadequate. If not precluded by a conflict of interest, a guardian ad litem may be appointed to represent several individuals or interests. The court shall state on the record the duties of the guardian ad litem and the court's reasons for the appointment.
§ 5-114. Request for notice; interested persons
An interested person not otherwise entitled to notice who desires to be notified before any order is made in a guardianship proceeding, including a proceeding after the appointment of a guardian, or in a protective proceeding may file a request for notice with the clerk of the court in which the proceeding is pending. The clerk shall send or deliver a copy of the request to the guardian and to the conservator if one has been appointed. A request is not effective unless it contains a statement showing the interest of the person making it and the address of that person or an attorney to whom notice is to be given. The request is effective only as to proceedings conducted after its filing. A governmental agency paying or planning to pay benefits to the respondent or protected person is an interested person in a protective proceeding.
§ 5-115. Multiple appointments or nominations
If a respondent or other person makes more than one written appointment or nomination of a guardian or a conservator, the most recent controls.
PART 2
GUARDIANSHIP OF MINOR
§ 5-201. Appointment and status of guardian
A person becomes a guardian of a minor by parental appointment or upon appointment by the court. The guardianship status continues until terminated, without regard to the location of the guardian or minor ward. This section does not apply to permanency guardians appointed in District Court child protective proceedings under Title 22, section 4038-C. If a minor has a permanency guardian, the court may not appoint another guardian without leave of the District Court in which the child protective proceeding is pending.
§ 5-202. Parental appointment of guardian
§ 5-203. Objection by minor or others to parental appointment
Until the court has confirmed an appointee under section 5-202, a minor who is the subject of an appointment by a parent and who has attained 14 years of age, the other parent or a person other than a parent or guardian having care or custody of the minor may prevent or terminate the appointment at any time by filing a written objection in the court in which the appointing instrument is filed and giving notice of the objection to the guardian and any other persons entitled to notice of the acceptance of the appointment. An objection may be withdrawn and if withdrawn is of no effect. The objection does not preclude judicial appointment of the person selected by the parent. The court may treat the filing of an objection as a petition for the appointment of an emergency or a temporary guardian under section 5-204 and proceed accordingly.
§ 5-204. Judicial appointment of guardian; conditions for appointment
Notice of hearing on the petition for the appointment of a temporary guardian must be as provided under section 5-111 and section 5-205, except that the notice must be given at least 5 days before the hearing, and notice need not be given to any person whose address and present whereabouts are unknown and cannot be ascertained by due diligence. Upon a showing of good cause, the court may waive service of the notice of hearing on any person, other than the minor, if the minor is at least 14 years of age.
§ 5-205. Judicial appointment of guardian; procedure
§ 5-206. Judicial appointment of guardian; priority of minor's nominee; limited guardianship
§ 5-207. Duties of guardian
§ 5-208. Powers of guardian
§ 5-209. Rights and immunities of guardian
§ 5-210. Termination of guardianship; other proceedings after appointment
§ 5-211. Transitional arrangement for minors
In issuing, modifying or terminating an order of guardianship for a minor, the court may enter an order providing for transitional arrangements for the minor if the court determines that such arrangements will assist the minor with a transition of custody and are in the best interest of the minor. Orders providing for transitional arrangements may include, but are not limited to, rights of contact, housing, counseling or rehabilitation.
PART 3
GUARDIANSHIP OF INCAPACITATED PERSON
§ 5-301. Appointment and status of guardian
A person becomes a guardian of an incapacitated person by a parental, spousal or domestic partner appointment or upon appointment by the court. The guardianship continues until terminated, without regard to the location of the guardian or ward.
§ 5-302. Appointment of guardian by will or other writing
§ 5-303. Appointment of guardian by will or other writing; effectiveness; acceptance; confirmation
§ 5-304. Judicial appointment of guardian; petition
(1) Spouse or, if the respondent has none, an adult with whom the respondent has resided for more than 6 months before the filing of the petition; and
(2) Adult children or, if the respondent has none, the respondent's parents and adult brothers and sisters or, if the respondent has none, at least one of the adults nearest in kinship to the respondent who can be found or, if none, an adult friend if any can be found;
§ 5-305. Judicial appointment of guardian; preliminaries to hearing
§ 5-306. Judicial appointment of guardian; professional evaluation
At or before a hearing under this Part, the court may order a professional evaluation of the respondent and shall order the evaluation if the respondent so demands or if necessary to satisfy the requirements of section 5-304, subsection 4. The cost of the evaluation must be paid from the estate of the allegedly incapacitated person if the court is satisfied sufficient funds are available. If the court orders the evaluation, the respondent must be examined by a physician, psychologist or other individual appointed by the court who is qualified to evaluate the respondent's alleged impairment. The examiner shall promptly file a written report with the court. Unless otherwise directed by the court, the report must contain:
§ 5-307. Confidentiality of records
The written report of a visitor under section 5-305 and any professional evaluation under section 5-306 are confidential and must be sealed upon filing. The person who files the visitor's report or a professional evaluation must provide notice of filing and a copy of the report or evaluation to the respondent at the time of filing.
§ 5-308. Judicial appointment of guardian; presence and rights at hearing
§ 5-309. Notice
A failure to serve the respondent with a notice substantially complying with this subsection precludes the court from granting the petition.
§ 5-310. Who may be guardian; priorities
§ 5-311. Findings; order of appointment
(1) The respondent is an incapacitated person;
(2) The respondent's identified needs cannot be met by less restrictive means, including use of reasonably available appropriate technological assistance; and
(3) The appointment is necessary or desirable; or
§ 5-312. Emergency guardian
(1) The allegedly incapacitated person and the person's spouse, parents, adult children and any domestic partner known to the court;
(2) Any person who is serving as guardian or conservator or who has care and custody of the allegedly incapacitated person; and
(3) In case no other person is notified under subparagraph (1), at least one of the closest adult relatives of the allegedly incapacitated person or, if none, an adult friend, if any can be found.
(1) The temporary authority that the petitioner is requesting;
(2) Location and telephone number of the court in which the petition is being filed; and
(3) The name of the petitioner and the intended date of filing.
(1) Giving notice would place the allegedly incapacitated person at substantial risk of abuse, neglect or exploitation;
(2) Notice, if provided, would not be effective; or
(3) The court determines that there is good cause not to provide notice.
§ 5-313. Temporary substitute guardian
§ 5-314. Duties of guardian
§ 5-315. Powers of guardian
§ 5-316. Rights and immunities of guardian; limitations
§ 5-317. Reports; monitoring of guardianship
§ 5-318. Termination or modification of guardianship
PART 4
PROTECTION OF PROPERTY OF PROTECTED PERSON
§ 5-401. Protective proceeding
Upon petition and after notice and hearing, the court may appoint a limited or unlimited conservator or make any other protective order provided in this Part in relation to the estate and affairs of:
If an allegedly incapacitated adult files voluntary written consent to the appointment of a conservator with the court or appears in court and consents to the appointment, unless the court finds the consent suspect, the court may appoint a conservator as requested upon a finding by a preponderance of the evidence that the individual is unable to manage property and business affairs because of an impairment in the ability to receive and evaluate information or make or communicate informed decisions, even with the use of reasonably available appropriate technological assistance. For the purposes of this subsection, voluntary written consent is valid only if the consent was obtained by a visitor, a guardian ad litem or an attorney representing the allegedly incapacitated person and the allegedly incapacitated person gave the consent outside the presence of the person or persons seeking conservatorship.
§ 5-402. Jurisdiction over business affairs of protected person
After the service of notice in a proceeding seeking a conservatorship or other protective order and until termination of the proceeding, the court in which the petition is filed has:
§ 5-403. Original petition for appointment or protective order
(1) Spouse or, if the respondent has none, an adult with whom the respondent has resided for more than 6 months before the filing of the petition; and
(2) Adult children or, if the respondent has none, the respondent's parents and adult brothers and sisters or, if the respondent has none, at least one of the adults nearest in kinship to the respondent who can be found or, if none, an adult friend if any can be found;
§ 5-404. Notice
§ 5-405. Original petition; minors; preliminaries to hearing
§ 5-406. Original petition; preliminaries to hearing
§ 5-407. Confidentiality of records
The written report of a visitor and any professional evaluation pursuant to section 5-406 are confidential and must be sealed upon filing. The person who files the visitor's report or a professional evaluation must provide notice of filing and a copy of the report or evaluation to the respondent at the time of filing.
§ 5-408. Original petition; procedure at hearing
§ 5-409. Original petition; orders
§ 5-410. Powers of court
§ 5-411. Required court approval
§ 5-412. Protective arrangements and single transactions
(1) Payment, delivery, deposit or retention of funds or property;
(2) Sale, mortgage, lease or other transfer of property;
(3) Purchase of an annuity;
(4) Making a contract for life care, deposit contract or contract for training and education; or
(5) Addition to or establishment of a suitable trust; and
§ 5-413. Who may be conservator; priorities
§ 5-414. Petition for order subsequent to appointment
§ 5-415. Bond
§ 5-416. Terms and requirements of bond
§ 5-417. Compensation and expenses
If not otherwise compensated for services rendered, a guardian, conservator, attorney for the respondent or attorney whose services resulted in a protective order or in an order beneficial to a protected person's estate or any other person appointed by the court is entitled to reasonable compensation from the estate. Compensation may be paid and expenses reimbursed without court order. If the court determines that the compensation is excessive or the expenses are inappropriate, the excessive or inappropriate amount must be repaid to the estate.
The factors set forth in section 3-721, subsection 2 must be considered in determining the reasonableness of compensation under this section.
§ 5-418. General duties of conservator; plan
§ 5-419. Inventory; records
§ 5-420. Reports; appointment of visitor; monitoring
§ 5-421. Title by appointment
§ 5-422. Protected person's interest inalienable
§ 5-423. Sale, encumbrance or other transaction involving conflict of interest
Any transaction involving the conservatorship estate that is affected by a substantial conflict between the conservator's fiduciary and personal interests is voidable unless the transaction is expressly authorized by the court after notice to interested persons. A transaction affected by a substantial conflict between personal and fiduciary interests includes any sale, encumbrance or other transaction involving the conservatorship estate entered into by the conservator, the spouse, descendant, agent or attorney of a conservator or a corporation or other enterprise in which the conservator has a substantial beneficial interest.
§ 5-424. Protection of person dealing with conservator
§ 5-425. Powers of conservator in administration
(1) To the guardian of the distributee;
(2) To a distributee's custodian under the Maine Uniform Transfers to Minors Act or custodial trustee under the laws of another state; or
(3) If there is no guardian, custodian or custodial trustee, to a relative or other person having physical custody of the distributee;
§ 5-426. Delegation
§ 5-427. Principles of distribution by conservator
(1) The size of the estate, the estimated duration of the conservatorship and the likelihood that the protected person, at some future time, may be fully self-sufficient and able to manage business affairs and the estate;
(2) The accustomed standard of living of the protected person and individuals who are in fact dependent on the protected person; and
(3) Other money or sources used for the support of the protected person.
§ 5-428. Death of protected person
§ 5-429. Presentation and allowance of claims
§ 5-430. Personal liability of conservator
§ 5-431. Termination of proceedings
§ 5-432. Registration of guardianship orders
If a guardian has been appointed in another state and a petition for the appointment of a guardian is not pending in this State, the guardian appointed in the other state, after giving notice to the appointing court of an intent to register, may register the guardianship order in this State by filing as a foreign judgment in a court in any appropriate county of this State certified copies of the order and letters of appointment.
§ 5-433. Registration of protective orders
If a conservator has been appointed in another state and a petition for a protective order is not pending in this State, the conservator appointed in the other state, after giving notice to the appointing court of an intent to register, may register the protective order in this State by filing as a foreign judgment in a court in any county in which property belonging to the protected person is located certified copies of the order and letters of appointment and of any bond.
§ 5-434. Effect of registration
PART 5
UNIFORM ADULT GUARDIANSHIP AND PROTECTIVE PROCEEDINGS JURISDICTION ACT
SUBPART 1
GENERAL PROVISIONS
§ 5-501. Short title
This Part may be known and cited as "the Uniform Adult Guardianship and Protective Proceedings Jurisdiction Act."
§ 5-502. Definitions
As used in this Part, unless the context otherwise indicates, the following terms have the following meanings.
§ 5-503. International application of Part
A court of this State may treat a foreign country as if it were a state for the purpose of applying this Part.
§ 5-504. Communication between courts
§ 5-505. Cooperation between courts
§ 5-506. Taking testimony in another state
SUBPART 2
JURISDICTION
§ 5-521. Definitions; significant connection factors
§ 5-522. Exclusive basis
This subpart provides the exclusive jurisdictional basis for a court of this State to appoint a guardian or issue a protective order for an adult.
§ 5-523. Jurisdiction
A court of this State has jurisdiction to appoint a guardian or issue a protective order for a respondent if:
(1) A petition for an appointment or order is not filed in the respondent's home state;
(2) An objection to the court's jurisdiction is not filed by a person required to be notified of the proceeding; and
(3) The court in this State concludes that it is an appropriate forum under the factors set forth in section 5-526;
§ 5-524. Special jurisdiction
§ 5-525. Exclusive and continuing jurisdiction
Except as otherwise provided in section 5-524, a court that has appointed a guardian or issued a protective order consistent with this Part has exclusive and continuing jurisdiction over the proceeding until it is terminated by the court or the appointment or order expires by its own terms.
§ 5-526. Appropriate forum
§ 5-527. Jurisdiction declined by reason of conduct
(1) The extent to which the respondent and all persons required to be notified of the proceedings have acquiesced in the exercise of the court's jurisdiction;
(2) Whether it is a more appropriate forum than the court of any other state under the factors set forth in section 5-526, subsection 3; and
(3) Whether the court of any other state would have jurisdiction under factual circumstances in substantial conformity with the jurisdictional standards of section 5-523.
§ 5-528. Notice of proceeding
If a petition for the appointment of a guardian or issuance of a protective order is brought in this State and this State was not the respondent's home state on the date the petition was filed, in addition to complying with the notice requirements of this State, notice of the petition must be given to those persons who would be entitled to notice of the petition if a proceeding were brought in the respondent's home state. The notice must be given in the same manner as notice is required to be given in this State.
§ 5-529. Proceedings in more than one state
Except for a petition for the appointment of a guardian in an emergency or issuance of a protective order limited to property located in this State under section 5-524, subsection 1, paragraph A or B, if a petition for the appointment of a guardian or issuance of a protective order is filed in this State and in another state and neither petition has been dismissed or withdrawn, the following apply.
SUBPART 3
TRANSFER OF GUARDIANSHIP OR CONSERVATORSHIP
§ 5-531. Transfer of guardianship or conservatorship to another state
§ 5-532. Accepting guardianship or conservatorship transferred from another state
SUBPART 4
MISCELLANEOUS PROVISIONS
§ 5-541. Uniformity of application and construction
In applying and construing this Part, consideration must be given to the need to promote uniformity of the law with respect to its subject matter among states that enact it.
§ 5-542. Relation to Electronic Signatures in Global and National Commerce Act
This Part modifies, limits and supersedes the federal Electronic Signatures in Global and National Commerce Act, 15 United States Code, Section 7001 et seq., but does not modify, limit or supersede 15 United States Code, Section 7001(c) or authorize electronic delivery of any of the notices described in 15 United States Code, Section 7003(b).
§ 5-543. Transitional provisions
PART 6
PUBLIC GUARDIAN AND CONSERVATOR
§ 5-601. Public guardians and conservators; general
§ 5-602. Priority of private guardian or conservator
A public guardian or conservator may not be appointed if the court determines that a suitable private guardian or conservator is available and willing to assume the responsibilities of a guardian or conservator.
§ 5-603. Exclusiveness of public guardian or conservator
When the court has appointed a public guardian or conservator under this Part, no other guardian or conservator may be appointed for the same ward or protected person during the continuation of the public guardianship or public conservatorship.
§ 5-604. Nomination of public guardian or conservator
§ 5-605. Acceptance by public guardian or conservator; plan
Prior to the appointment of a public guardian or conservator, the appropriate agency nominated shall accept or reject the nomination in writing within 30 days of its receipt of notification that it has been nominated and if the nomination is accepted shall file a detailed plan that, as relevant, must include but is not limited to the type of proposed living arrangement for the ward, how the ward's financial needs will be met, how the ward's medical and other remedial needs will be met, how the ward's social needs will be met and a plan for the ward's continuing contact with relatives and friends, as well as a plan for the management of the ward's or protected person's estate in the case of a public conservatorship.
§ 5-606. Officials authorized to act as public guardian or conservator
§ 5-607. Duties and powers of a public guardian or conservator
A public guardian or conservator has the same powers, rights and duties respecting the ward or the protected person as provided for guardians and conservators by the other Parts of this Article except as otherwise specifically provided in this Part, including the following particular provisions.
§ 5-608. No change in rights to services
The appointment of a public guardian or conservator in no way enlarges or diminishes the ward's or protected person's right to services made available to all incapacitated persons in the State except for the provision of guardianship or conservatorship services as provided under this Article.
§ 5-609. No change in powers and duties of agency heads and trustees
Nothing in this Article abrogates any other powers or duties vested by law in the head of any public institution, or vested by the settlor of a trust in the trustee thereof, for the benefit of any ward or protected person for whom the public guardian or conservator is appointed.
§ 5-610. Bond
The public guardian or conservator is not required to file bonds in individual guardianships or conservatorships, but shall give a surety bond for the joint benefit of the wards or protected persons placed under the responsibility of the public guardian or conservator and the State, with a surety company or companies authorized to do business within the State, in an amount not less than the total value of all assets held by the public guardian or conservator, which amount must be computed at the end of each state fiscal year and approved by the Probate Court for Kennebec County. At no time may the bond of each of the public guardians or conservators be less than $500 respectively.
§ 5-611. Compensation
§ 5-612. Incapacitated persons; guardian ad litem costs
(1) A guardian ad litem is appointed under the provisions of this Code; or
(2) A court incurs special costs in a proceeding concerning the allegedly incapacitated person; and
(1) Is or has been a client of the Department of Health and Human Services; or
(2) Has received services from a worker from the Department of Health and Human Services.
§ 5-613. Limited public guardianships
The provisions of section 5-206 regarding limited guardianships apply to the appointment of public guardians.
PART 7
UNIFORM HEALTH CARE DECISIONS ACT
§ 5-701. Short title
This Part may be known and cited as "the Uniform Health Care Decisions Act."
§ 5-702. Definitions
As used in this Part, unless the context otherwise indicates, the following terms have the following meanings.
§ 5-703. Advance health care directives
§ 5-704. Revocation of advance health care directive
§ 5-705. Optional form
The following form may, but need not, be used to create an advance health care directive. The other sections of this Part govern the effect of this or any other writing used to create an advance health care directive. An individual with capacity may complete or modify all or any part of the following form.
You have the right to give instructions about your own health care. You also have the right to name someone else to make health care decisions for you. This form lets you do either or both of these things. It also lets you express your wishes regarding donation of organs and the designation of your primary physician. If you use this form, you may complete or modify all or any part of it. You are free to use a different form.
Part 1 of this form is a power of attorney for health care. Part 1 lets you name another individual as agent to make health care decisions for you if you become incapable of making your own decisions or if you want someone else to make those decisions for you now even though you are still capable. You may also name an alternate agent to act for you if your first choice is not willing, able or reasonably available to make decisions for you. Unless related to you, your agent may not be an owner, operator or employee of a residential long-term health care institution at which you are receiving care.
Unless the form you sign limits the authority of your agent, your agent may make all health care decisions for you. This form has a place for you to limit the authority of your agent. You need not limit the authority of your agent if you wish to rely on your agent for all health care decisions that may have to be made. If you choose not to limit the authority of your agent, your agent will have the right to:
(1) Consent or refuse consent to any care, treatment, service or procedure to maintain, diagnose or otherwise affect a physical or mental condition;
(2) Select or discharge health care providers and institutions;
(3) Approve or disapprove diagnostic tests, surgical procedures, programs of medication and orders not to resuscitate; and
(4) Direct the provision, withholding or withdrawal of artificial nutrition and hydration and all other forms of health care, including life-sustaining treatment.
Part 2 of this form lets you give specific instructions about any aspect of your health care. Choices are provided for you to express your wishes regarding the provision, withholding or withdrawal of treatment to keep you alive, including the provision of artificial nutrition and hydration, as well as the provision of pain relief. Space is also provided for you to add to the choices you have made or for you to write out any additional wishes.
Part 3 of this form lets you express an intention to donate your bodily organs and tissues following your death.
Part 4 of this form lets you designate a physician to have primary responsibility for your health care.
After completing this form, sign and date the form at the end. You must have 2 other individuals sign as witnesses. Give a copy of the signed and completed form to your physician, to any other health care providers you may have, to any health care institution at which you are receiving care and to any health care agents you have named. You should talk to the person you have named as agent to make sure that he or she understands your wishes and is willing to take the responsibility.
You have the right to revoke this advance health care directive or replace this form at any time.
(1) DESIGNATION OF AGENT: I designate the following individual as my agent to make health care decisions for me:
OPTIONAL: If I revoke my agent's authority or if my agent is not willing, able or reasonably available to make a health care decision for me, I designate as my first alternate agent:
OPTIONAL: If I revoke the authority of my agent and first alternate agent or if neither is willing, able or reasonably available to make a health care decision for me, I designate as my second alternate agent:
(2) AGENT'S AUTHORITY: My agent is authorized to make all health care decisions for me, including decisions to provide, withhold or withdraw artificial nutrition and hydration and all other forms of health care to keep me alive, except as I state here:
(3) WHEN AGENT'S AUTHORITY BECOMES EFFECTIVE: My agent's authority becomes effective when my primary physician determines that I am unable to make my own health care decisions unless I mark the following box. If I mark this box [ ], my agent's authority to make health care decisions for me takes effect immediately.
(4) AGENT'S OBLIGATION: My agent shall make health care decisions for me in accordance with this power of attorney for health care, any instructions I give in Part 2 of this form and my other wishes to the extent known to my agent. To the extent my wishes are unknown, my agent shall make health care decisions for me in accordance with what my agent determines to be in my best interest. In determining my best interest, my agent shall consider my personal values to the extent known to my agent.
(5) NOMINATION OF GUARDIAN: If a guardian of my person needs to be appointed for me by a court, I nominate the agent designated in this form. If that agent is not willing, able or reasonably available to act as guardian, I nominate the alternate agents whom I have named, in the order designated.
If you are satisfied to allow your agent to determine what is best for you in making end-of-life decisions, you need not fill out this part of the form. If you do fill out this part of the form, you may strike any wording you do not want.
(6) END-OF-LIFE DECISIONS: I direct that my health care providers and others involved in my care provide, withhold or withdraw treatment in accordance with the choice I have marked below:
[ ] (a) Choice Not To Prolong Life
I do not want my life to be prolonged if (i) I have an incurable and irreversible condition that will result in my death within a relatively short time, (ii) I become unconscious and, to a reasonable degree of medical certainty, I will not regain consciousness or (iii) the likely risks and burdens of treatment would outweigh the expected benefits, OR
[ ] (b) Choice To Prolong Life
I want my life to be prolonged as long as possible within the limits of generally accepted health care standards.
(7) ARTIFICIAL NUTRITION AND HYDRATION: Artificial nutrition and hydration must be provided, withheld or withdrawn in accordance with the choice I have made in paragraph (6) unless I mark the following box. If I mark this box [ ], artificial nutrition and hydration must be provided regardless of my condition and regardless of the choice I have made in paragraph (6).
(8) RELIEF FROM PAIN: Except as I state in the following space, I direct that treatment for alleviation of pain or discomfort be provided at all times, even if it hastens my death:
(9) OTHER WISHES: (If you do not agree with any of the optional choices above and wish to write your own, or if you wish to add to the instructions you have given above, you may do so here.) I direct that:
(10) UPON MY DEATH: (mark applicable box)
[ ] (a) I give any needed organs, tissues or parts, OR
[ ] (b) I give the following organs, tissues or parts only:
(c) My gift is for the following purposes: (strike any of the following you do not want)
(11) I designate the following physician as my primary physician:
OPTIONAL: If the physician I have designated above is not willing, able or reasonably available to act as my primary physician, I designate the following physician as my primary physician:
(12) EFFECT OF COPY: A copy of this form has the same effect as the original.
(13) SIGNATURES: Sign and date the form here:
SIGNATURES OF WITNESSES:
§ 5-706. Decisions by surrogate
A surrogate also is authorized to make any other health care decision for a patient who is an adult or emancipated minor if the patient has been determined by the primary physician to lack capacity and no agent or guardian exists, except that a surrogate may not deny surgery, procedures or other interventions that are lifesaving and medically necessary.
A medically necessary procedure is one providing the most patient-appropriate intervention or procedure that can be safely and effectively given.
§ 5-707. Decisions by guardian
§ 5-708. Obligations of health care provider
§ 5-709. Health care information
Unless otherwise specified in an advance health care directive, a person then authorized to make health care decisions for a patient has the same rights as the patient to request, receive, examine, copy and consent to the disclosure of medical or any other health care information.
§ 5-710. Immunities
§ 5-711. Statutory damages
§ 5-712. Capacity
§ 5-713. Effect of copy
A copy of a written advance health care directive, revocation of an advance health care directive or designation or disqualification of a surrogate has the same effect as the original.
§ 5-714. Effect of Part
§ 5-715. Judicial relief
On petition of a patient, the patient's agent, guardian or surrogate, a health care or social services provider or health care institution involved with the patient's care, a state agency mandated to provide adult protective services pursuant to Title 22, chapter 958-A, or an adult relative or adult friend of the patient, the court may enjoin or direct a health care decision or other equitable relief.
§ 5-716. Uniformity of application and construction
This Part must be applied and construed to effectuate its general purpose to make uniform the law with respect to the subject matter of this Part among states enacting it.
§ 5-717. Military advanced medical directives
A military advanced medical directive executed in accordance with 10 United States Code, Section 1044c is valid in this State.
PART 8
MAINE UNIFORM POWER OF ATTORNEY ACT
SUBPART 1
GENERAL PROVISIONS AND DEFINITIONS
§ 5-801. Short title
This Part may be known and cited as "the Maine Uniform Power of Attorney Act."
§ 5-802. Definitions
As used in this Part, unless the context otherwise indicates, the following terms have the following meanings.
(1) Missing;
(2) Detained, including incarcerated in a penal system; or
(3) Outside the United States and unable to return.
§ 5-803. Applicability
This Part applies to all powers of attorney except:
§ 5-804. Power of attorney is durable
A power of attorney created under this Part is durable unless it expressly provides that it is terminated by the incapacity of the principal.
§ 5-805. Execution of power of attorney; notices
"Notice to the Principal: As the "Principal" you are using this power of attorney to grant power to another person (called the Agent) to make decisions about your property and to use your property on your behalf. Under this power of attorney you give your Agent broad and sweeping powers to sell or otherwise dispose of your property without notice to you. Under this document your Agent will continue to have these powers after you become incapacitated. The powers that you give your Agent are explained more fully in the Maine Uniform Power of Attorney Act, Maine Revised Statutes, Title 18-C, Article 5, Part 8. You have the right to revoke this power of attorney at any time as long as you are not incapacitated. If there is anything about this power of attorney that you do not understand, you should ask an attorney to explain it to you.
Notice to the Agent: As the "Agent" you are given power under this power of attorney to make decisions about the property belonging to the Principal and to dispose of the Principal's property on the Principal's behalf in accordance with the terms of this power of attorney. This power of attorney is valid only if the Principal is of sound mind when the Principal signs it. When you accept the authority granted under this power of attorney, a special legal relationship is created between you and the Principal. This relationship imposes upon you legal duties that continue until you resign or the power of attorney is terminated or revoked. The duties are more fully explained in the Maine Uniform Power of Attorney Act, Maine Revised Statutes, Title 18-C, Article 5, Part 8 and Title 18-B, sections 802 to 807 and Title 18-B, chapter 9. As the Agent, you are generally not entitled to use the Principal's property for your own benefit or to make gifts to yourself or others unless the power of attorney gives you such authority. If you violate your duty under this power of attorney, you may be liable for damages and may be subject to criminal prosecution. You must stop acting on behalf of the Principal if you learn of any event that terminates this power of attorney or your authority under this power of attorney. Events of termination are more fully explained in the Maine Uniform Power of Attorney Act and include, but are not limited to, revocation of your authority or of the power of attorney by the Principal, the death of the Principal or the commencement of divorce proceedings between you and the Principal. If there is anything about this power of attorney or your duties under it that you do not understand, you should ask an attorney to explain it to you."
§ 5-806. Validity of power of attorney
§ 5-807. Meaning and effect of power of attorney
The meaning and effect of a power of attorney are determined by the law of the jurisdiction indicated in the power of attorney and, in the absence of an indication of jurisdiction, by the law of the jurisdiction in which the power of attorney was executed.
§ 5-808. Nomination of conservator or guardian; relation of agent to court-appointed fiduciary
§ 5-809. When power of attorney effective
§ 5-810. Termination of power of attorney or agent's authority
(1) The marriage of the principal to a person other than the agent if upon or after execution of the power of attorney the principal and the agent are or became registered domestic partners, the filing with the domestic partner registry, in accordance with Title 22, section 2710, subsection 4, of a notice consenting to the termination of a registered domestic partnership of the principal and the agent; or
(2) Upon service, in accordance with Title 22, section 2710, subsection 4, of a notice of intent to terminate the registered domestic partnership of the principal and the agent; or
§ 5-811. Coagents and successor agents
§ 5-812. Reimbursement and compensation of agent
Unless the power of attorney otherwise provides, an agent is entitled to reimbursement of expenses reasonably incurred on behalf of the principal and to compensation that is reasonable under the circumstances. The factors set forth in section 3-721, subsection 2 should be considered as guides in determining the reasonableness of compensation under this section.
§ 5-813. Agent's acceptance
Except as otherwise provided in the power of attorney, a person accepts appointment as an agent under a power of attorney by exercising authority or performing duties as an agent or by any other assertion or conduct indicating acceptance.
§ 5-814. Agent's duties
(1) The value and nature of the principal's property;
(2) The principal's foreseeable obligations and need for maintenance;
(3) Minimization of taxes, including income, estate, inheritance, generation-skipping transfer and gift taxes; and
(4) Eligibility for a benefit, a program or assistance under a statute, rule or regulation.
§ 5-815. Exoneration of agent
A provision in a power of attorney relieving an agent of liability for breach of duty is binding on the principal and the principal's successors in interest except to the extent the provision:
§ 5-816. Judicial relief
§ 5-817. Agent's liability
An agent that violates this Part is liable to the principal or the principal's successors in interest for the amount required to:
§ 5-818. Agent's resignation; notice
Unless the power of attorney provides a different method for an agent's resignation, an agent may resign by giving notice to the principal and, if the principal is incapacitated:
§ 5-819. Acceptance of and reliance upon acknowledged power of attorney
§ 5-820. Liability for refusal to accept acknowledged power of attorney
§ 5-821. Principles of law and equity
Unless displaced by a provision of this Part, the principles of law and equity supplement this Part.
§ 5-822. Laws applicable to financial institutions and entities
This Part does not supersede any other law applicable to financial institutions or other entities, and the other law controls if inconsistent with this Part.
§ 5-823. Remedies under other law
The remedies under this Part are not exclusive and do not abrogate any right or remedy under the law of this State other than this Part.
SUBPART 2
AUTHORITY
§ 5-831. Authority that requires specific grant; grant of general authority
§ 5-832. Incorporation of authority
§ 5-833. Construction of authority generally
Except as otherwise provided in the power of attorney, by executing a power of attorney that incorporates by reference a subject described in sections 5-834 to 5-847 or that grants to an agent authority to do all acts that a principal could do pursuant to section 5-831, subsection 3, a principal authorizes the agent, with respect to that subject, to:
§ 5-834. Real property
Unless the power of attorney otherwise provides, language in a power of attorney granting general authority with respect to real property authorizes the agent to:
§ 5-835. Tangible personal property
Unless the power of attorney otherwise provides, language in a power of attorney granting general authority with respect to tangible personal property authorizes the agent to:
§ 5-836. Stocks and bonds
Unless the power of attorney otherwise provides, language in a power of attorney granting general authority with respect to stocks and bonds authorizes the agent to:
§ 5-837. Commodities and options
Unless the power of attorney otherwise provides, language in a power of attorney granting general authority with respect to commodities and options authorizes the agent to:
§ 5-838. Banks and other financial institutions
Unless the power of attorney otherwise provides, language in a power of attorney granting general authority with respect to banks and other financial institutions authorizes the agent to:
§ 5-839. Operation of entity or business
Subject to the terms of a document or an agreement governing an entity or an entity ownership interest, and unless the power of attorney otherwise provides, language in a power of attorney granting general authority with respect to operation of an entity or business authorizes the agent to:
(1) The location of its operation;
(2) The nature and extent of its business;
(3) The methods of manufacturing, selling, merchandising, financing, accounting and advertising employed in its operation;
(4) The amount and types of insurance carried; and
(5) The mode of engaging, compensating and dealing with its employees and accountants, attorneys or other advisors;
§ 5-840. Insurance and annuities
Unless the power of attorney otherwise provides, language in a power of attorney granting general authority with respect to insurance and annuities authorizes the agent to:
§ 5-841. Estate, trust and other beneficial interest
§ 5-842. Claims and litigation
Unless the power of attorney otherwise provides, language in a power of attorney granting general authority with respect to claims and litigation authorizes the agent to:
§ 5-843. Personal and family maintenance
(1) Individuals legally entitled to be supported by the principal; and
(2) Individuals whom the principal has customarily supported or indicated the intent to support;
(1) Purchase, lease or other contract; or
(2) Paying the operating costs, including interest, amortization payments, repairs, improvements and taxes, for premises owned by the principal or occupied by those individuals;
§ 5-844. Benefits from governmental programs or civil or military service
§ 5-845. Retirement plans
§ 5-846. Taxes
Unless the power of attorney otherwise provides, language in a power of attorney granting general authority with respect to taxes authorizes the agent to:
§ 5-847. Gifts
SUBPART 3
STATUTORY FORMS
§ 5-851. Agent's certification
The following optional form may be used by an agent to certify facts concerning a power of attorney.
State of .......................................................
County of ....................................................
I, ...................................................................... (Name of Agent), certify under penalty of perjury that ................................................................... (Name of Principal) granted me authority as an agent or successor agent in a power of attorney dated .................................... .
I further certify that to my knowledge:
(1) The Principal is alive and has not revoked the Power of Attorney or my authority to act under the Power of Attorney and the Power of Attorney and my authority to act under the Power of Attorney have not terminated;
(2) If the Power of Attorney was drafted to become effective upon the happening of an event or contingency, the event or contingency has occurred;
(3) If I was named as a successor agent, the prior agent is no longer able or willing to serve; and
(4)
................................................................................................................................
................................................................................................................................
................................................................................................................................
................................................................................................................................
...........................................................
|
......................... |
Agent's Signature
|
Date |
...................................................................
Agent's Name Printed
...................................................................
Agent's Address
...................................................................
Agent's Telephone Number
This document was acknowledged before me on .......................................... (Date)
by .......................................................
(Name of Agent)
................................................................... (Seal, if any)
Signature of Notary/Attorney
My commission expires: .......................................................
This document prepared by:
................................................................................................................................
SUBPART 4
MISCELLANEOUS PROVISIONS
§ 5-861. Uniformity of application and construction
In applying and construing this Part, consideration must be given to the need to promote uniformity of the law with respect to its subject matter among the states that enact it.
§ 5-862. Relation to Electronic Signatures in Global and National Commerce Act
This Part modifies, limits and supersedes the federal Electronic Signatures in Global and National Commerce Act, 15 United States Code, Section 7001 et seq., but does not modify, limit or supersede 15 United States Code, Section 7001(c) or authorize electronic delivery of any of the notices described in 15 United States Code, Section 7003(b).
§ 5-863. Effect on existing powers of attorney
Except as otherwise provided in this Part:
An act done before January 1, 2019 is not affected by this Part.
ARTICLE 6
NONPROBATE TRANSFERS ON DEATH
PART 1
PROVISIONS RELATING TO EFFECT OF DEATH
§ 6-101. Nonprobate transfers on death
§ 6-102. Liability of nonprobate transferees for creditor claims and statutory allowances
PART 2
MULTIPLE-PARTY ACCOUNTS
SUBPART 1
DEFINITIONS AND GENERAL PROVISIONS
§ 6-201. Definitions
As used in this Part, unless the context otherwise indicates, the following terms have the following meanings.
§ 6-202. Limitation on scope of Part
This Part does not apply to:
§ 6-203. Types of account; existing accounts
§ 6-204. Forms
PARTIES [Name One or More Parties]:
....................................................
....................................................
OWNERSHIP [Select One and Initial]:
................... SINGLE-PARTY ACCOUNT
................... MULTIPLE-PARTY ACCOUNT
RIGHTS AT DEATH [Select One and Initial]:
................... SINGLE-PARTY ACCOUNT
................... SINGLE-PARTY ACCOUNT WITH POD (PAY ON DEATH) DESIGNATION
....................................................
....................................................
................... MULTIPLE-PARTY ACCOUNT WITH RIGHT OF SURVIVORSHIP
................... MULTIPLE-PARTY ACCOUNT WITH RIGHT OF SURVIVORSHIP AND POD (PAY ON DEATH) DESIGNATION
....................................................
....................................................
................... MULTIPLE-PARTY ACCOUNT WITHOUT RIGHT OF SURVIVORSHIP
AGENCY (POWER OF ATTORNEY) DESIGNATION [Optional]
....................................................
....................................................
§ 6-205. Designation of agent
§ 6-206. Applicability of Part
The provisions of subpart 2 concerning beneficial ownership as between parties or as between parties and beneficiaries apply only to controversies between those persons and their creditors and other successors and do not apply to the right of those persons to payment as determined by the terms of the account. Subpart 3 governs the liability and set-off rights of financial institutions that make payments pursuant to subpart 3.
SUBPART 2
OWNERSHIP AS BETWEEN PARTIES AND OTHERS
§ 6-211. Ownership during lifetime
§ 6-212. Rights at death
§ 6-213. Alteration of rights
§ 6-214. Accounts and transfers nontestamentary
Except as provided in Article 2, Part 2 or as a consequence of and to the extent directed by section 6-102, a transfer resulting from the application of section 6-212 is effective by reason of the terms of the account involved and this Part and is not testamentary or subject to Articles 1 to 4.
SUBPART 3
PROTECTION OF FINANCIAL INSTITUTIONS
§ 6-221. Authority of financial institution
A financial institution may enter into a contract of deposit for a multiple-party account to the same extent as it may enter into a contract of deposit for a single-party account, and may provide for a POD designation and an agency designation in either a single-party account or a multiple-party account. A financial institution need not inquire as to the source of a deposit to an account or as to the proposed application of a payment from an account.
§ 6-222. Payment on multiple-party account
A financial institution, on request, may pay sums on deposit in a multiple-party account to:
§ 6-223. Payment on POD designation
A financial institution, on request, may pay sums on deposit in an account with a POD designation to:
§ 6-224. Payment to designated agent
A financial institution, on request of an agent under an agency designation for an account, may pay to the agent sums on deposit in the account, whether or not a party is disabled, incapacitated or deceased when the request is made or received and whether or not the authority of the agent terminates on the disability or incapacity of a party.
§ 6-225. Payment to minor
If a financial institution is required or permitted to make payment pursuant to this Part to a minor designated as a beneficiary, payment may be made pursuant to the Maine Uniform Transfers to Minors Act.
§ 6-226. Discharge
§ 6-227. Setoff
Without qualifying any other statutory right to setoff or lien and subject to any contractual provision, if a party is indebted to a financial institution, the financial institution has a right to setoff against the account. The amount of the account subject to setoff is the proportion to which the party is, or immediately before death was, beneficially entitled under section 6-211 or, in the absence of proof of that proportion, an equal share with all parties.
PART 3
TRANSFER ON DEATH SECURITY REGISTRATION
§ 6-301. Definitions
As used in this Part, unless the context otherwise indicates, the following terms have the following meanings.
§ 6-302. Registration in beneficiary form; sole or joint tenancy ownership
Only individuals whose registration of a security shows sole ownership by one individual or multiple ownership by 2 or more individuals with right of survivorship, rather than as tenants in common, may obtain registration in beneficiary form. Multiple owners of a security registered in beneficiary form hold as joint tenants with right of survivorship and not as tenants in common.
§ 6-303. Registration in beneficiary form; applicable law
A security may be registered in beneficiary form if the form is authorized by this Part or a similar statute of the state of organization of the issuer or registering entity, the location of the registering entity's principal office, the office of the registering entity's transfer agent or the registering entity's office making the registration or by this Part or a similar statute of the law of the state listed as the owner's address at the time of registration. A registration governed by the law of a jurisdiction in which this Part or similar legislation is not in force or was not in force when a registration in beneficiary form was made is nevertheless presumed to be valid and authorized as a matter of contract law.
§ 6-304. Origination of registration in beneficiary form
A security, whether evidenced by certificate or account, is registered in beneficiary form when the registration includes a designation of a beneficiary to take the ownership at the death of the owner or the deaths of all multiple owners.
§ 6-305. Form of registration in beneficiary form
Registration in beneficiary form may be shown by the words "transfer on death" or the abbreviation "TOD," or by the words "pay on death" or the abbreviation "POD," after the name of the registered owner and before the name of a beneficiary.
§ 6-306. Effect of registration in beneficiary form
The designation of a transfer on death, or "TOD," beneficiary on a registration in beneficiary form has no effect on ownership until the owner's death. A registration of a security in beneficiary form may be canceled or changed at any time by the sole owner or all then-surviving owners without the consent of the beneficiary.
§ 6-307. Ownership on death of owner
On death of a sole owner or the last to die of all multiple owners, ownership of securities registered in beneficiary form passes to the beneficiary or beneficiaries who survive all owners. On proof of death of all owners and compliance with any applicable requirements of the registering entity, a security registered in beneficiary form may be reregistered in the name of the beneficiary or beneficiaries who survived the death of all owners. Until division of the security after the death of all owners, multiple beneficiaries surviving the death of all owners hold their interests as tenants in common. If no beneficiary survives the death of all owners, the security belongs to the estate of the deceased sole owner or the estate of the last to die of all multiple owners.
§ 6-308. Protection of registering entity
The protections of this Part do not extend to a reregistration or payment made after a registering entity has received written notice from any claimant to any interest in the security objecting to implementation of a registration in beneficiary form. No other notice or other information available to the registering entity affects its right to protection under this Part.
§ 6-309. Nontestamentary transfer on death
A transfer on death resulting from a registration in beneficiary form is effective by reason of the contract regarding the registration between the owner and the registering entity and this Part and is not testamentary.
§ 6-310. Terms, conditions and forms for registration
The terms and conditions so established may provide for proving death, avoiding or resolving any problems concerning fractional shares, designating primary and contingent beneficiaries and substituting a named beneficiary's descendants to take the place of the named beneficiary in the event of the beneficiary's death. Substitution may be indicated by appending to the name of the primary beneficiary the letters LDPS, standing for "lineal descendants per stirpes." This designation substitutes a deceased beneficiary's descendants who survive the owner for a beneficiary who fails to so survive, the descendants to be identified and to share in accordance with the law of the beneficiary's domicile at the owner's death governing inheritance by descendants of an intestate. Other forms of identifying beneficiaries who are to take on one or more contingencies, and rules for providing proofs and assurances needed to satisfy reasonable concerns by registering entities regarding conditions and identities relevant to accurate implementation of registrations in beneficiary form, may be contained in a registering entity's terms and conditions.
§ 6-311. Application of Part
This Part applies to registrations of securities in beneficiary form made before, on or after June 30, 1998 by decedents dying on or after June 30, 1998.
ARTICLE 7
TRUST ADMINISTRATION
PART 1
POWERS OF TRUSTEES
§ 7-101. Prohibitions and requirements applicable to trusts that are private foundations
This section does not apply to split-interest trusts or to amounts of split-interest trusts that are not subject to the prohibitions applicable to private foundations by reason of the provisions of Section 4947 of the Internal Revenue Code of 1986.
§ 7-102. Trustees authorized to invest trust funds in affiliated investments; limitations
§ 7-103. Qualification of foreign trustee
A foreign corporate trustee is required to qualify as a foreign corporation doing business in this State if it maintains the principal place of administration of any trust within the State. A foreign cotrustee is not required to qualify in this State solely because its cotrustee maintains the principal place of administration in this State. Unless otherwise doing business in this State, local qualification by a foreign trustee, corporate or individual, is not required in order for the trustee to receive distribution from a local estate or to hold, invest in, manage or acquire property located in this State or maintain litigation. Nothing in this section affects a determination of what other acts require qualification as doing business in this State.
PART 2
COMMON TRUST FUNDS
§ 7-201. Definitions; establishment of common trust funds
§ 7-202. Court accountings
Unless ordered by decree of the Superior Court, the bank or trust company operating common trust funds, referred to in this section as "the accountant," is not required to render a court accounting with regard to the funds, but the accountant may by petition to the Superior Court or the probate court in the county where the accountant has its principal place of business secure approval of the accounting on such conditions as the court may establish. Whenever a petition for the allowance of such an account is presented, the court having jurisdiction shall assign a time and place for hearing and shall cause public notice to be given by publication 3 weeks successively in a newspaper published in the county whose court has jurisdiction. In addition, the court shall, except to the extent as the several instruments creating the trusts participating in the common trust fund provide otherwise, order personal notice upon all known beneficiaries of the participating trust estates who have a place of residence known to the accountant. Personal notice to known beneficiaries having a place of residence known to the accountant must be made by a written notice deposited in the mails addressed to each known beneficiary at the known place of residence at least 14 days before the time of hearing, or by a written notice either in hand or left at the known place of residence 14 days at least before the time of hearing. The method of service and the form of the notice must be as the court orders. "Place of residence known to the accountant" as used in this section includes only places of residence actually known to the accountant and does not include residences that could be discovered upon investigation but do not in the due course of business come to the actual knowledge of the accountant. The allowance of an account is conclusive as to all matters shown in the account upon all persons then or thereafter interested in the funds invested in the common trust funds.
§ 7-203. Application of Part
This Part applies to fiduciary relationships in existence on September 1, 1951 or established after that date.
PART 3
BANK AND TRUST COMPANY NOMINEES
§ 7-301. Registration in name of nominees
A state or national bank or trust company, when acting in this State as a fiduciary or cofiduciary with others, may with the consent of its cofiduciary or cofiduciaries, if any, who are authorized to give consent, cause an investment held in that capacity to be registered and held in the name of a nominee or nominees of the bank or trust company. The bank or trust company is liable for the acts of a nominee with respect to a registered investment. "Fiduciary" as used in this Part includes, but is not limited to, personal representatives, guardians, conservators, trustees, agents and custodians.
§ 7-302. Separate records
The records of a bank or trust company must at all times show the ownership of investments held in the name of nominees; such investments must be in the possession and control of the bank or trust company and must be kept separate and apart from the assets of the bank or trust company.
§ 7-303. Applicability of provisions
This Part governs fiduciaries and cofiduciaries acting under wills, agreements, court orders and other instruments existing on January 1, 1981 or made after that date. Nothing contained in this Part may be construed as authorizing a departure from or variation of the express words or limitations set forth in a will, agreement, court order or other instrument creating or defining the fiduciary's duties and powers.
PART 4
UNIFORM PRINCIPAL AND INCOME ACT OF 1997
SUBPART 1
DEFINITIONS AND FIDUCIARY DUTIES
§ 7-401. Short title
This Part may be cited as the "Uniform Principal and Income Act of 1997."
§ 7-402. Definitions
As used in this Part, unless the context otherwise indicates, the following terms have the following meanings.
§ 7-403. Fiduciary duties; general principles
§ 7-404. Trustee's power to adjust
§ 7-405. Power to convert to unitrust
(1) All beneficiaries who are currently eligible to receive income from the trust; and
(2) All beneficiaries who would receive, if no power of appointment were exercised, a distribution of principal if the trust were to terminate immediately prior to the giving of notice;
§ 7-406. Judicial review of discretionary powers
SUBPART 2
DECEDENT'S ESTATE OR TERMINATING INCOME INTEREST
§ 7-421. Determination and distribution of net income
After a decedent dies, in the case of an estate, or after an income interest in a trust ends, the provisions of this section apply.
§ 7-422. Distribution to residuary and remainder beneficiaries
SUBPART 3
APPORTIONMENT AT BEGINNING AND END OF INCOME INTEREST
§ 7-431. When right to income begins and ends
§ 7-432. Apportionment of receipts and disbursements when decedent dies or income interest begins
§ 7-433. Apportionment when income interest ends
SUBPART 4
ALLOCATION OF RECEIPTS DURING ADMINISTRATION OF TRUST
§ 7-441. Character of receipts
§ 7-442. Distribution from trust or estate
A trustee shall allocate to income an amount received as a distribution of income from a trust or an estate in which the trust has an interest other than a purchased interest, and shall allocate to principal an amount received as a distribution of principal from such a trust or estate. If a trustee purchases an interest in a trust that is an investment entity, or a decedent or donor transfers an interest in such a trust to a trustee, section 7-441 or 7-455 applies to a receipt from the trust.
§ 7-443. Business and other activities conducted by trustee
§ 7-444. Principal receipts
A trustee shall allocate to principal:
§ 7-445. Rental property
To the extent that a trustee accounts for receipts from rental property pursuant to this section, the trustee shall allocate to income an amount received as rent of real or personal property, including an amount received for cancellation or renewal of a lease. An amount received as a refundable deposit, including a security deposit or a deposit that is to be applied as rent for future periods, must be added to principal and held subject to the terms of the lease and is not available for distribution to a beneficiary until the trustee's contractual obligations have been satisfied with respect to that amount.
§ 7-446. Obligation to pay money
§ 7-447. Insurance policies and similar contracts
§ 7-448. Insubstantial allocations not required
If a trustee determines that an allocation between principal and income required by section 7-449, 7-450, 7-451, 7-452 or 7-455 is insubstantial, the trustee may allocate the entire amount to principal unless one of the circumstances described in section 7-404, subsection 3 applies to the allocation. This power may be exercised by a cotrustee in the circumstances described in section 7-404, subsection 4 and may be released for the reasons and in the manner described in section 7-404, subsection 5. An allocation is presumed to be insubstantial if:
§ 7-449. Deferred compensation, annuities and similar payments
§ 7-450. Liquidating asset
§ 7-451. Minerals, water and other natural resources
§ 7-452. Timber
§ 7-453. Property not productive of income
§ 7-454. Derivatives and options
§ 7-455. Asset-backed securities
SUBPART 5
ALLOCATION OF DISBURSEMENTS DURING ADMINISTRATION OF TRUST
§ 7-461. Disbursements from income
A trustee shall make the following disbursements from income to the extent that they are not disbursements to which section 7-421, subsection 2, paragraph B or C applies:
§ 7-462. Disbursements from principal
§ 7-463. Transfers from income to principal for depreciation
§ 7-464. Transfers from income to reimburse principal
§ 7-465. Income taxes
§ 7-466. Adjustments between principal and income because of taxes
SUBPART 6
MISCELLANEOUS PROVISIONS
§ 7-471. Uniformity of application and construction
In applying and construing this Part, consideration must be given to the need to promote uniformity of the law with respect to its subject matter among states that enact it.
§ 7-472. Application of Part to all trusts and estates
This Part applies to every trust or decedent's estate, including those in existence on January 1, 2003, beginning with the first fiscal year of the trust or decedent's estate that begins on or after January 1, 2003, except as otherwise expressly provided in the will or terms of the trust or in this Part.
§ 7-473. Transitional matters
Section 7-449 applies to a trust described in section 7-449, subsection 4 on and after the following dates:
ARTICLE 8
MISCELLANEOUS PROVISIONS
PART 1
RECEIVERSHIPS FOR MISSING AND ABSENT PERSONS
§ 8-101. Estates of absentees; petition
If a person entitled to or having an interest in property within the jurisdiction of the State has disappeared or absconded from the place within or outside the State where the person was last known to be, has no agent in the State and it is not known where the person is, or if a person, having a spouse or minor child dependent to any extent upon the person for support, has disappeared or absconded without making sufficient provision for support and it is not known where the person is, or, if it is known that the person is outside the State, anyone who would under the law of the State be entitled to administer the estate of the absentee if the absentee were deceased may file a petition under oath in the court for the county where the property is situated. The petition must state the name, age, occupation and last known residence or address of the absentee, the date and circumstances of the disappearance and the names and residences of other persons, whether members of the absentee's family or otherwise, of whom inquiry may be made. The petition must also contain a schedule of the absentee's known property, real and personal, and its location within the State and request that such property be taken possession of and a receiver appointed under this Part.
§ 8-102. Warrant
Upon receipt of a petition under section 8-101, the court may issue a warrant, which may run throughout the State, directed to the public administrator in the county where the property or some of it is situated, commanding the public administrator to take possession of the property listed in the schedule and expeditiously make return of the warrant with a schedule of the property taken. The public administrator shall cause any portion of the warrant relating to land to be recorded in the registry of deeds for the county where the land is located. The public administrator is entitled to the fees allowed by the court for serving the warrant, but may not receive more than those established by law for similar service upon a writ of attachment. The fees and the costs of publishing and serving the notice must be paid by the petitioner. If a receiver is appointed under section 8-105, the fees must be repaid by the receiver to the petitioner and the receiver may be compensated for these fees under section 8-112.
§ 8-103. Notice
Upon the return of a warrant issued under section 8-102, the court shall issue a notice reciting the substance of the petition, warrant and return, which must be addressed to the absentee, to all persons who claim an interest in the absentee's property and to all whom it may concern, ordering them to appear at a time and place named and show cause why a receiver of the property should not be appointed to hold and dispose of the property listed in the schedule under this Part.
§ 8-104. Publication
The return day may not be less than 30 days nor more than 60 days after the date of the notice. The court shall order the notice to be published once in each of 3 successive weeks in one or more newspapers within the county in which the petition was filed under section 8-101 and a copy of the notice to be mailed to the last known address of the absentee. The court may order additional and alternative notice to be given within or outside the State.
§ 8-105. Hearing; appointment of receiver of property; bond
The absentee or a person who claims an interest in any of the property may appear and show cause why the petition should not be granted. The court may, after hearing, dismiss the petition and order that the property in possession of the public administrator be returned to the person entitled to the property or it may appoint as receiver a person who, under the law of the State, is entitled to administer the estate of the absentee if the absentee were deceased or, if no eligible person is known or if all eligible persons decline to serve, the court may appoint the public administrator as receiver of the property in the possession of the public administrator and named in the schedule. If a receiver is appointed, the court shall find and record the date of the absentee's disappearance or absconding and the receiver shall give bond to the State of Maine in a sum and under the conditions ordered by the court.
§ 8-106. Possession by receiver
After approval of a bond under section 8-105, the court may order the public administrator to transfer and deliver to the receiver possession of the property under the warrant. The receiver shall file a schedule of the property received in the registry of probate.
§ 8-107. Collection of debts
In addition to property transferred to the receiver under section 8-106, the receiver shall take possession of any other property within the State that belongs to the absentee and demand and collect all debts due the absentee from any person in the State and hold the same as if it had been transferred and delivered to the receiver by the public administrator. If the receiver takes any additional real estate, the receiver shall file a certificate describing the real estate with the register of deeds for the county where the real estate is located.
§ 8-108. Appointment of receiver for absentee's debts
If an absentee has left no corporeal property within the State, but there are debts or obligations due or owing the absentee from persons in the State, a petition may be filed as provided in section 8-101, stating the nature and amount of the absentee's known debts and obligations and praying that a receiver may be appointed. Upon receipt of the petition, the court may issue a notice as provided in section 8-103 without issuing a warrant and may, upon the return of the notice and after a hearing, dismiss the petition or appoint a receiver and authorize and direct the receiver to demand and collect the absentee's debts and obligations. The receiver shall give bond as provided in section 8-105 and shall hold the proceeds of the absentee's debts and obligations and all property received by the receiver and distribute the same as provided in this Part.
§ 8-109. Perishable goods
The court may make orders for the care, custody, leasing and investing of all property and its proceeds in the possession of the receiver. If any of the property consists of live animals or is perishable or cannot be kept without great or disproportionate expense, the court may, after the return of the warrant, order the property to be sold at public or private sale. Upon petition of the receiver, the court may order all or part of the property, including the absentee's rights in land, to be sold at public or private sale to supply money for payments authorized by this Part or for reinvestment approved by the court.
§ 8-110. Support of dependents
The court may order the absentee's property or its proceeds acquired by mortgage, lease or sale to be applied in payment of expenses incurred or that may be incurred to support and maintain the absentee's spouse and dependent children and to discharge any debts and claims for spousal support proved against the absentee.
§ 8-111. Arbitration of claims
The court may authorize the receiver appointed under section 8-108 to adjust by arbitration or compromise any demand in favor of or against the absentee's estate.
§ 8-112. Compensation; cessation of duties
The receiver appointed under section 8-108 may receive compensation and disbursements ordered by the court, to be paid out of the absentee's property or proceeds. If, within 8 years after the date of the disappearance or absconding found by the court under section 8-105, the absentee appears or a personal representative, assignee in insolvency or trustee in bankruptcy of the absentee is appointed, the receiver shall account for, deliver and pay over the remainder of the absentee's property. If the absentee does not appear and claim the absentee's property within 8 years, all of the absentee's right, title and interest in the property, real or personal, or the proceeds thereof, ceases, and no action may be brought by the absentee.
§ 8-113. Termination of receivership
If at the expiration of 8 years after the date of the disappearance or absconding found by the court under section 8-105, the absentee's property has not been accounted for, delivered or paid over under section 8-112, the court shall order distribution of the remainder to the persons to whom, and in the shares and proportions in which, the absentee's property would have been distributed if the absentee had died intestate within the State on the day 8 years after the date of the disappearance or absconding. The receiver shall deduct from the share of each distributee and pay to the State Tax Assessor the amount each distributee would have paid in an inheritance tax to the State if the distributee had received the property by inheritance from a deceased resident of the State.
§ 8-114. Limitations
Notwithstanding sections 8-112 and 8-113, if a receiver is not appointed within 7 years after the date of disappearance or absconding found by the court under section 8-105, the time limited to accounting for, or fixed for distributing, the absentee's property or its proceeds, or for barring actions relative thereto, is one year after the date of the appointment of a receiver.
PART 2
PROCEDURES GOVERNING BONDS
§ 8-201. Applicability to proceedings on other bonds
Except as otherwise provided by law, and whenever the provisions of this Part are applicable, proceedings, judgment and execution on the bonds given to the State of Maine or the court by personal representatives, guardians, conservators, trustees, surviving partners, assignees of insolvent debtors and others must be conducted in the manner provided in this Part.
§ 8-202. Surety on bond may cite trust officers for accounting
Whenever a surety on a bond has reason to believe that the trust officer has depleted or is wasting or mismanaging the estate, the surety may cite the trust officer before the court as provided in section 3-110. If upon hearing the court is satisfied that the estate held in trust by the trust officer has been depleted, wasted or mismanaged, the court may remove the trust officer and appoint a new trust officer.
§ 8-203. Agreement with sureties for joint control
It is lawful for any party of whom a bond, undertaking or other obligation is required to agree with the surety or sureties for the deposit of any or all money and assets for which the party and the surety or sureties are or may be held responsible with a national bank, savings bank, safe-deposit company or trust company authorized by law to do business in this State or with another depository approved by the court having jurisdiction over the trust or undertaking for which the bond is required if such deposit is otherwise proper and in a manner that prevents the withdrawal of the money or assets or any part thereof without the written consent of the surety or sureties or an order of the court made on such notice to the surety or sureties as the court may direct. Such agreement does not in any manner release from or change the liability of the principal or sureties under the terms of the bond.
§ 8-204. Approval of bond by judge
Except as otherwise provided by sections 3-603 to 3-606, 4-204, 4-207, 5-415, 5-416, 5-433 and 5-434 and Title 18-B, section 702, a bond required to be given to the State of Maine or the court or to be filed in the probate office is insufficient until it has been examined by the court and approved by the court in writing.
§ 8-205. Insufficient sureties
When the sureties in a bond under section 8-204 are insufficient, the court, on petition of any person interested and with notice to the principal, may require a new bond with sureties approved by the court.
§ 8-206. Discharge of surety
On application of any surety or principal of a bond under this Part, the court, after notice to all parties interested, may discharge the surety or sureties from all liability for any subsequent breach but not for any prior breaches and may require a new bond of the principal with sureties approved by the court.
§ 8-207. New bonds or removal of principal
In proceedings under sections 8-205 and 8-206, if the principal does not give a new bond within the time ordered by the court, the principal must be removed and another appointed.
§ 8-208. Reduction of liability where signed by surety company
If a surety company becomes surety on a bond given to the State of Maine, the court may, upon petition of any party in interest and after notice to all interested parties, reduce the amount for which the principal and surety are liable for a subsequent violation of the conditions of the bond.
§ 8-209. Actions on bonds
Actions or proceedings on probate bonds of any kind payable to the State of Maine or the court may be commenced by any person interested in the estate or other matter for which the bond was given, either in the probate court in which the bond was filed or in the Superior Court of the county in which the bond was filed.
§ 8-210. Principal made party in action against surety
If the principal of the bond resides in the State when an action is brought under section 8-209, and is not made a party to the action, or if at the trial or on proceedings on a judgment against the sureties only the principal is in the State, the court, at the request of any such surety, may postpone or continue the action long enough to summon or bring the principal into court.
§ 8-211. Proceedings and judgment
With approval of the court after a continuance is issued under section 8-210, the surety may request a writ, in the form prescribed by the court, to arrest the principal, if liable to arrest, or to attach the principal's estate and summon the principal to appear and answer as a defendant in the action. If, 14 days after service of the writ, the principal fails to appear at the time appointed and judgment is rendered for the plaintiff, the judgment must be against the principal and the other defendants as if the principal had been a party. Any attachment made on the writ may be used to satisfy the judgment as if the attachment had been issued in the original action.
§ 8-212. Limitation of actions on bonds
Except in the case of personal representatives provided for under sections 3-1005 and 3-1007, and whenever applicable under section 8-201, an action on a bond must be commenced within 6 years after the principal has been cited by the court to appear to settle the account or, if not cited, within 6 years from the time of the breach of the bond, unless the breach is fraudulently concealed by the principal or surety from the persons pecuniarily interested and who are parties to the action, in which case the action must be commenced within 3 years from the time the breach is discovered.
§ 8-213. Judicial authorization of actions
The court may expressly authorize or instruct a personal representative or other fiduciary, on the court's own initiative or on the complaint of any interested person, to commence an action on the bond for the benefit of the estate. Nothing in this section may be deemed to limit the power or duty of a successor fiduciary to bring proceedings the fiduciary is authorized to bring without express court authorization under section 3-606, subsection 1, paragraph D; section 5-416, subsection 1, paragraph C; Title 18-B, section 702; or any other provision of law.
§ 8-214. Forfeiture for failure to account when ordered
When it appears in an action on a bond against a principal that the principal is unable to account for personal property of the estate that the principal has received, execution must be awarded against the principal for the full value of the unaccounted-for property, without any allowance for charges of administration or debts paid.
§ 8-215. Judgment in trust for all interested
Every judgment and execution in an action on the bond must be recovered by the court in trust for all interested parties. The judge shall order the delinquent fiduciary, if still in office, to account for the amount or to assign the amount to the fiduciary's successor to be collected and distributed or otherwise disposed of as assets.
PART 3
EFFECTIVE DATE
§ 8-301. Time of taking effect; provisions for transition
ARTICLE 9
ADOPTION
PART 1
GENERAL PROVISIONS
§ 9-101. Short title
This Article may be known and cited as "the Adoption Act."
§ 9-102. Definitions
As used in this Article, unless the context otherwise indicates, the following terms have the following meanings.
§ 9-103. Jurisdiction
§ 9-104. Venue; transfer
§ 9-105. Rights of adopted persons
Except as otherwise provided by law, an adopted person has all the same rights, including inheritance rights, that a child born to the adoptive parents would have. An adoptee also retains the right to inherit from the adoptee's genetic parents if the adoption decree so provides, as specified in section 2-119, subsection 6.
§ 9-106. Legal representation
§ 9-107. Indian Child Welfare Act of 1978
The federal Indian Child Welfare Act of 1978, United States Code, Title 25, Section 1901 et seq. governs all proceedings under this Article that pertain to an Indian child as defined in that Act.
§ 9-108. Application of prior laws
The laws in effect on December 31, 2018 apply to proceedings for which any of the following occurred before January 1, 2019:
PART 2
ESTABLISHMENT OF PATERNAL RIGHTS AND TERMINATION OF PARENTAL RIGHTS
§ 9-201. Establishment of paternity
§ 9-202. Surrender and release; consent
The parents or the surviving parent must execute the surrender and release or the consent in the presence of the judge. The adoptee, if 14 years of age or older, must execute the consent in the presence of the judge. The waiver of notice by the legal father who is not the genetic father or putative father is governed by section 9-201, subsection 3.
(1) One of the petitioners is a blood relative; or
(2) The adoptee is an adult;
The court shall accept a waiver of notice by a putative father or a legal father who is not the genetic father that meets the requirements of section 9-201, subsection 3.
§ 9-203. Duties and responsibilities subsequent to surrender and release
Without notice to the parent or parents, the surrender and release authorized pursuant to section 9-202 may be transferred together with all rights under section 9-202 from the transferee agency to the department or from the department as original transferee to any licensed child-placing agency. If the licensed child-placing agency or the department is unable to find a suitable adoptive home for a child surrendered and released by a parent or parents, the licensed child-placing agency or the department to whom custody and control of that child have been surrendered and released or transferred shall request a review pursuant to section 9-205.
§ 9-204. Termination of parental rights
(1) Reviewing records of psychiatric, psychological or physical examinations of the child, parents or other persons having or seeking care or custody of the child;
(2) Review of relevant school records and other pertinent materials;
(3) Interviewing the child with or without other persons present; and
(4) Interviews with parents, guardians, teachers and other persons who have been involved in caring for or treating the child.
The guardian ad litem may subpoena, examine and cross-examine witnesses and shall make recommendations to the court.
§ 9-205. Review
If the genetic parents are not notified or are unable or unwilling to assume physical custody of the child or if the court determines that placement of the child with the genetic parents would constitute jeopardy as defined by Title 22, section 4002, subsection 6, the case must be transferred to the District Court for a hearing pursuant to Title 22, section 4038-A.
PART 3
ADOPTION PROCEDURES
§ 9-301. Petition for adoption and change of name; filing fee
A husband and wife jointly or an unmarried person, resident or nonresident of the State, may petition the court to adopt a person, regardless of age, and to change that person's name. The fee for filing the petition is $65 plus:
§ 9-302. Consent for adoption
(1) Whether the person or agency determined the needs and interests of the child;
(2) Whether the person or agency determined the ability of the petitioner and other prospective families to meet the child's needs;
(3) Whether the person or agency made the decision consistent with the facts;
(4) Whether the harm of removing the child from the child's current placement outweighs any inadequacies of that placement; and
(5) All other factors that have a bearing on a determination of the reasonableness of the person's or agency's decision in withholding consent; and
A petition for adoption must be pending before a consent is executed.
(1) Received notice and failed to respond to the notice within the prescribed time period;
(2) Waived his right to notice under section 9-201, subsection 3;
(3) Failed to meet the standards of section 9-201, subsection 9; or
(4) Holds no parental rights regarding the adoptee under the laws of the foreign country in which the adoptee was born;
§ 9-303. Petition
§ 9-304. Investigation; guardian ad litem; registry
(1) If the court has a report that provides sufficient, current information, the court may waive the requirement of a study and report.
(2) If the petitioner is a blood relative of the child, the court may waive the requirement of a study and report.
(1) The criminal history record information obtained from the Maine Criminal Justice Information System must include a record of public criminal history record information as defined in Title 16, section 703, subsection 8.
(2) The criminal history record information obtained from the Federal Bureau of Investigation must include other state and national criminal history record information.
(3) Each prospective parent who is not the genetic parent of the child shall submit to having fingerprints taken. The State Police, upon receipt of the fingerprint card, may charge the court for the expenses incurred in processing state and national criminal history record checks. The State Police shall take or cause to be taken the applicant's fingerprints and shall forward the fingerprints to the State Bureau of Identification so that the bureau can conduct state and national criminal history record checks. Except for the portion of the payment, if any, that constitutes the processing fee charged by the Federal Bureau of Investigation, all money received by the State Police for purposes of this paragraph must be paid over to the Treasurer of State. The money must be applied to the expenses of administration incurred by the Department of Public Safety.
(4) The subject of a Federal Bureau of Investigation criminal history record check may obtain a copy of the criminal history record check by following the procedures outlined in 28 Code of Federal Regulations, Sections 16.32 and 16.33. The subject of a state criminal history record check may inspect and review the criminal history record information pursuant to Title 16, section 709.
(5) State and federal criminal history record information may be used by the court for the purpose of screening prospective adoptive parents in determining whether the adoption is in the best interests of the child.
(6) Information obtained pursuant to this paragraph is confidential. The results of background checks received by the court are for official use only and may not be disseminated outside the court except as required under Title 22, section 4011-A.
(7) The expense of obtaining the information required by this paragraph is incorporated in the adoption filing fee established in section 9-301. The court shall collect the total fee and transfer the appropriate funds to the Department of Public Safety and the department.
The court may waive the background check of a prospective adoptive parent if a previous background check was completed by a court or by the department under this subsection within a reasonable period of time and the court is satisfied that nothing new that would be included in the background check has transpired since the last background check.
This subsection does not authorize the court to request a background check for the genetic parent who is also the current legal parent of the child.
(1) The criminal history record information obtained from the Maine Criminal Justice Information System must include a record of public criminal history record information as defined in Title 16, section 703, subsection 8.
(2) The criminal history record information obtained from the Federal Bureau of Investigation must include other state and national criminal history record information.
(3) Each prospective parent who is not the genetic parent of the child shall submit to having fingerprints taken. The State Police, upon receipt of the fingerprint card, may charge the department for the expenses incurred in processing state and national criminal history record checks. The State Police shall take or cause to be taken the applicant's fingerprints and shall forward the fingerprints to the State Bureau of Identification so that the bureau can conduct state and national criminal history record checks. Except for the portion of the payment, if any, that constitutes the processing fee charged by the Federal Bureau of Investigation, all money received by the State Police for purposes of this paragraph must be paid over to the Treasurer of State. The money must be applied to the expenses of administration incurred by the Department of Public Safety.
(4) The subject of a Federal Bureau of Investigation criminal history record check may obtain a copy of the criminal history record check by following the procedures outlined in 28 Code of Federal Regulations, Sections 16.32 and 16.33. The subject of a state criminal history record check may inspect and review the criminal history record information pursuant to Title 16, section 709.
(5) State and federal criminal history record information may be used by the department for the purpose of screening prospective adoptive parents in determining whether the adoption is in the best interests of the child.
(6) Information obtained pursuant to this paragraph is confidential. The results of background checks received by the department are for official use only and may not be disseminated outside the department except to a court considering a petition for adoption under subsection 1.
(1) A current medical, psychological and developmental history of the child, including an account of the child's prenatal care and medical condition at birth, results of newborn screening, any drug or medication taken by the child's genetic mother during pregnancy, any subsequent medical, psychological or psychiatric examination and diagnosis, any physical, sexual or emotional abuse suffered by the child and a record of any immunizations and health care received since birth; and
(2) Relevant information concerning the medical, psychological and social history of the genetic parents, including any known disease or hereditary disposition to disease, the history of use of drugs and alcohol, the health of the genetic mother during her pregnancy and the health of the genetic parents at the time of the child's birth.
The petitioner may present evidence to rebut the presumption.
§ 9-305. Evidence; procedure
The court may proceed as follows in considering a petition for adoption.
§ 9-306. Allowable payments; expenses
§ 9-307. Adoption not granted
If the court determines that it is unable to finalize an adoption to which genetic parents have consented, the court shall notify the genetic parents that the court has not granted the adoption and shall conduct a review pursuant to section 9-205.
§ 9-308. Final decree; dispositional hearing
§ 9-309. Appeals
§ 9-310. Records confidential
Notwithstanding any other provision of law and except as provided in Title 22, section 2768, all court records relating to an adoption decreed on or after August 8, 1953 are confidential. The court shall keep records of those adoptions segregated from all other court records. If a court determines that examination of records pertaining to a particular adoption is proper, the court may authorize that examination by specified persons, authorize the register to disclose to specified persons any information contained in the records by letter, certificate or copy of the record or authorize a combination of both examination and disclosure.
Any medical or genetic information in the court records relating to an adoption must be made available to the adopted child when the adopted child attains 18 years of age and to the adopted child's descendants, adoptive parents or legal guardian on petition of the court.
§ 9-311. Interstate placements
§ 9-312. Foreign adoptions
If an adoption in a foreign country has been finalized and the adopting parents are seeking an adoption under the laws of this State to give recognition to the foreign adoption, a court may enter a decree of adoption based solely upon a judgment of adoption in a foreign country and may order a change of name if requested by the adopting parents. The fee for filing the petition is $55.
§ 9-313. Advertisement
§ 9-314. Immunity from liability for good faith reporting; proceedings
A person, including an agent of the department, who participates in good faith in reporting violations of this Article or participates in a related child protection investigation or proceeding is immune from any criminal or civil liability for reporting or participating in the investigation or proceeding. For purposes of this section, "good faith" does not include instances when a false report is made and the person knows the report is false.
§ 9-315. Annulment of the adoption decree
PART 4
ADOPTION ASSISTANCE PROGRAM
§ 9-401. Authorization; special needs children
§ 9-402. Adoption assistance
§ 9-403. Administration
Except as provided by section 9-401, subsection 8, once an adoption assistance payment is agreed upon and the agreement signed by the prospective adoptive parents, the department may not reduce the adoption assistance payment amounts.
§ 9-404. Rules
The department shall adopt rules for the program consistent with this Part.
PART B
Sec. B-1. 33 MRSA c. 5, as amended, is repealed.
Sec. B-2. 33 MRSA c. 5-A is enacted to read:
CHAPTER 5-A
RULE AGAINST PERPETUITIES
§ 111. Statutory rule against perpetuities
(1) The expiration of a period of time not exceeding 21 years after the death of the survivor of specified lives in being at the creation of the trust or other property arrangement; and
(2) The expiration of a period of time that exceeds or might exceed 21 years after the death of the survivor of the specified lives in being at the creation of the trust or other property arrangement;
(1) The expiration of a period of time not exceeding 21 years after the death of the survivor of specified lives in being at the creation of the trust or other property arrangement; and
(2) The expiration of a period of time that exceeds or might exceed 21 years after the death of the survivor of the specified lives in being at the creation of the trust or other property arrangement; or
(1) The expiration of a period of time not exceeding 21 years after the death of the survivor of specified lives in being at the creation of the trust or other property arrangement; and
(2) The expiration of a period of time that exceeds or might exceed 21 years after the death of the survivor of the specified lives in being at the creation of the trust or other property arrangement.
§ 112. When nonvested property interest or power of appointment created
§ 113. Reformation
Upon the petition of an interested person, a court shall reform a disposition in the manner that most closely approximates the transferor's manifested plan of distribution and so that the reformed disposition is within the 90 years allowed by section 111, subsection 1, paragraph B; section 111, subsection 2, paragraph B; or section 111, subsection 3, paragraph B if:
§ 114. Exclusions from statutory rule against perpetuities
Section 111 does not apply to:
§ 115. Application
§ 116. Contingent interests
§ 117. Application of provisions
This chapter applies to both legal and equitable interests.
§ 118. Supersession
This chapter supersedes the rule of the common law known as the rule against perpetuities and it replaces chapter 5.
Sec. B-3. 33 MRSA §1602-103, sub-§(b), as enacted by PL 1981, c. 699, is amended to read:
(b) Neither the rule against perpetuities nor the provisions of section 103 116, as it or its equivalent may be amended from time to time, may be applied to defeat any provision of the declaration, bylaws or rules and regulations adopted pursuant to section 1603-102, subsection (a), paragraph (1).
PART C
Sec. C-1. 1 MRSA §433, sub-§2-A, ¶D, as enacted by PL 2015, c. 250, Pt. D, §2, is amended to read:
(1) Title 13;
(2) Title 13-B;
(3) Title 13-C;
(4) Title 14;
(5) Title 15;
(6) Title 16;
(7) Title 17;
(8) Title 17-A;
(9) Title 18-A 18-C;
(10) Title 18-B;
(11) Title 19-A;
(12) Title 20-A; and
(13) Title 21-A;
Sec. C-2. 3 MRSA §704, as enacted by PL 1985, c. 507, §1, is amended to read:
§ 704. Beneficiaries under disability
Any beneficiary who is entitled to make an election of benefits under subchapter V 5, but is not lawfully qualified to make that election, shall have that election made in his the beneficiary's behalf by the person authorized to do so by Title 18-A 18-C, Article V 5.
Sec. C-3. 4 MRSA §253, as amended by PL 1979, c. 540, §7, is further amended to read:
§ 253. Jurisdiction in court where proceedings originate
Subject to Title 18-A 18-C, sections 1-303 and 3-201, and except as otherwise provided in Title 18-A 18-C, sections 5-211 and 5-313 section 5-106, when a case is orginally within the jurisdiction of the probate court in 2 or more counties, the one which that first commences proceedings therein retains the same exclusively throughout. The jurisdiction assumed in any case, except in cases of fraud, so far as it depends on the residence of any person or the locality or amount of property, shall may not be contested in any proceeding whatever, except on an appeal or removal from the probate court in the original case or when the want of jurisdiction appears on the same record.
Sec. C-4. 4 MRSA §807, sub-§3, ¶I, as amended by PL 2001, c. 554, §1 and PL 2003, c. 689, Pt. B, §6, is further amended to read:
Sec. C-5. 4 MRSA §807, sub-§3, ¶S, as amended by PL 2015, c. 195, §1, is further amended to read:
Sec. C-6. 4 MRSA §1204, as enacted by PL 1983, c. 853, Pt. C, §§15 and 18, is amended to read:
§ 1204. Beneficiaries under disability
Any beneficiary who is entitled to make an election of benefits under Subchapter V subchapter 5, but is not lawfully qualified to make that election, shall have that election made in his the beneficiary's behalf by the person authorized to do so by Title 18-A 18-C, Article V 5.
Sec. C-7. 4 MRSA §1551, sub-§2, as enacted by PL 2013, c. 406, §1, is amended to read:
Sec. C-8. 4 MRSA §1551, sub-§3, as enacted by PL 2013, c. 406, §1, is amended to read:
Sec. C-9. 4 MRSA §1554, sub-§1, as enacted by PL 2013, c. 406, §1, is amended to read:
Sec. C-10. 4 MRSA §1555, sub-§1, as enacted by PL 2013, c. 406, §1, is amended to read:
(1) The wishes of the parties;
(2) The age of the child;
(3) The nature of the proceeding, including the contentiousness of the hearing;
(4) The financial resources of the parties;
(5) The extent to which a guardian ad litem may assist in providing information concerning the best interests of the child;
(6) Whether the family has experienced a history of domestic abuse;
(7) Abuse of the child by one of the parties; and
(8) Other factors the court determines relevant.
Sec. C-11. 4 MRSA §1557, sub-§1, as enacted by PL 2013, c. 406, §1, is amended to read:
Sec. C-12. 5 MRSA §12004-I, sub-§73-B, as enacted by PL 2009, c. 262, §1, is amended to read:
Probate and Trust Law | Probate and Trust Law Advisory Commission | Not Authorized | 18-A 18-C MRSA §1-801 |
Sec. C-13. 5 MRSA §17055, sub-§§1 and 2, as enacted by PL 1985, c. 801, §§5 and 7, are amended to read:
Sec. C-14. 5 MRSA §17953, sub-§4, ¶B, as amended by PL 1991, c. 469, §2, is further amended to read:
Sec. C-15. 5 MRSA §18553, sub-§4, ¶B, as amended by PL 1991, c. 469, §5, is further amended to read:
Sec. C-16. 5 MRSA §19507, sub-§4, ¶D, as enacted by PL 1989, c. 837, §1, is amended to read:
Sec. C-17. 9-B MRSA §427, sub-§2, ¶C, as amended by PL 1979, c. 540, §9, is further amended to read:
Sec. C-18. 9-B MRSA §427, sub-§4, ¶A, as amended by PL 1979, c. 540, §10, is further amended to read:
Sec. C-19. 9-B MRSA §427, sub-§4, ¶B, as amended by PL 1979, c. 540, §11, is further amended to read:
Sec. C-20. 9-B MRSA §427, sub-§8, ¶B, as enacted by PL 1979, c. 540, §12, is amended to read:
Sec. C-21. 9-B MRSA §427, sub-§10, as repealed and replaced by PL 2007, c. 88, §1, is amended to read:
This subsection does not apply to the creation, perfection or enforcement of a security interest in a deposit or account other than an assignment of a deposit or account in a consumer transaction as defined in Title 11, section 9-1102, subsection 26.
Sec. C-22. 9-B MRSA §427, sub-§13, as enacted by PL 1979, c. 540, §13-A, is amended to read:
Sec. C-23. 9-B MRSA §473, sub-§2, ¶C, as enacted by PL 1997, c. 398, Pt. I, §41, is amended to read:
Sec. C-24. 9-B MRSA §476, sub-§1, ¶D, as enacted by PL 1997, c. 398, Pt. I, §41, is amended to read:
(1) Entitled to receive notice pursuant to paragraph C, who is a minor or who is known by the petitioner or any transferor affiliate to be subject to any other disability, including confinement in a penal institution, and for whom no guardian, other than a transferor affiliate, has been appointed;
(2) Of whose estate a transferor affiliate is conservator and for whom no guardian, other than a transferor affiliate, has been appointed; and
(3) Whose identity or whereabouts is unknown.
Title 18-A 18-C, section 1-403 governs in determining the propriety of any such appointments.
Sec. C-25. 13 MRSA §732, sub-§5, as amended by PL 2015, c. 429, §3, is further amended to read:
Sec. C-26. 13 MRSA §732, sub-§6, as enacted by PL 2013, c. 46, §1, is amended to read:
Sec. C-27. 13-C MRSA §1501, sub-§2, ¶L, as enacted by PL 2001, c. 640, Pt. A, §2 and affected by Pt. B, §7, is amended to read:
Sec. C-28. 14 MRSA §6303, as amended by PL 1979, c. 540, §24, is further amended to read:
§ 6303. Death of mortgagor or successor
If a person entitled to redeem a mortgaged estate or an equity of redemption which that has been sold on execution, or the right to redeem such right, or the right to redeem lands set off on execution, dies without having made a tender for that purpose, a tender may be made and an action for redemption commenced and prosecuted by his the person's personal representative, or by his the person's heirs or devisees subject to the authority of the personal representative over the administration of the estate under Title 18-A 18-C, sections 3-709 and 3-711. If the plaintiff in such action dies pending the action, it may be prosecuted to final judgment by his the plaintiff's personal representative, or by his the plaintiff's heirs or devisees subject to the same authority of the personal representative. When a mortgagor resides out of the State, any person may, in his the mortgagor's behalf, tender to the holder of the mortgage the amount due thereon. The tender shall be is as effectual as if made by the mortgagor.
Sec. C-29. 14 MRSA §8104-C, as enacted by PL 1987, c. 740, §4, is amended to read:
§ 8104-C. Wrongful death action
Subject to any immunity provided by this chapter or otherwise provided by law, actions for the death of a person brought by the personal representatives of the deceased person against a governmental entity or employee shall must be brought in the same manner that is provided for similar actions in Title 18-A 18-C, section 2-804 2-807, and amounts recovered shall must be disposed of as required in that section ; provided , except that the limitations of sections 8104-D and 8105 shall apply.
Sec. C-30. 15 MRSA §321, sub-§1, as amended by PL 2003, c. 672, §1, is further amended to read:
Sec. C-31. 16 MRSA §651, as amended by PL 1979, c. 540, §24-B, is further amended to read:
§ 651. Rules of evidence
The rules of evidence in special proceedings of a civil nature, such as before referees, auditors and county commissioners, are the same as provided for civil actions. The rules of evidence in courts of probate are as provided in Title 18-A 18-C, section 1-107 1-106.
Sec. C-32. 17-A MRSA §553-A, sub-§1, ¶¶A and B, as enacted by PL 2015, c. 233, §1, are amended to read:
Sec. C-33. 18 MRSA §4163-A, as corrected by RR 2001, c. 2, Pt. B, §37 and affected by §58, is amended to read:
§ 4163-A. Corporation; application
Nothing in sections 4161 to 4163 or this section requires any corporation to file an application pursuant to sections 4161 to 4163 or this section if the corporation is deemed not to be doing business in this State under Title 13-C, section 1501 and Title 18-A 18-C, section 7-105 7-103.
Sec. C-34. 19-A MRSA §701, sub-§3, as amended by PL 2011, c. 542, Pt. A, §20, is further amended to read:
Sec. C-35. 19-A MRSA §902, sub-§1, ¶J, as enacted by PL 2005, c. 594, §3, is amended to read:
Sec. C-36. 19-A MRSA §1802, sub-§1, as amended by PL 2015, c. 296, Pt. C, §19 and affected by Pt. D, §1, is further amended to read:
Sec. C-37. 19-A MRSA §1851, sub-§2, as enacted by PL 2015, c. 296, Pt. A, §1 and affected by Pt. D, §1, is amended to read:
Sec. C-38. 19-A MRSA §2002, as amended by PL 1999, c. 46, §2, is further amended to read:
§ 2002. Application
Notwithstanding any other provisions of law, this chapter applies to a court action or administrative proceeding in which a child support order is issued or modified under Title 18-A 18-C, section 5-204, this Title or Title 22 and to any court action or administrative proceeding in which past support is awarded.
Sec. C-39. 21-A MRSA §601, sub-§2, ¶B-1, as enacted by PL 2007, c. 455, §18, is amended to read:
Sec. C-40. 22 MRSA §14, sub-§2-I, ¶B, as amended by PL 2003, c. 20, Pt. K, §2, is further amended to read:
(1) As to assets of the recipient included in the probated estate, this claim may be enforced pursuant to Title 18-A 18-C, Article 3, Part 8.
(2) As to assets of the recipient not included in the probated estate, this claim may be enforced by filing a claim in any court of competent jurisdiction.
Sec. C-41. 22 MRSA §14, sub-§2-I, ¶F, as amended by PL 2009, c. 150, §3, is further amended to read:
(1) All real and personal property and other assets included in the recipient's estate, as defined in Title 18-A 18-C, section 1-201; and
(2) Any other real and personal property and other assets in which the recipient had any legal interest at the time of death, to the extent of that interest, including assets conveyed to a survivor, heir or assign of the deceased recipient through tenancy in common, survivorship, life estate, living trust, joint tenancy in personal property or other arrangement but not including joint tenancy in real property.
Sec. C-42. 22 MRSA §1711-B, sub-§3, ¶D, as amended by PL 2015, c. 370, §2, is further amended to read:
Sec. C-43. 22 MRSA §1711-C, sub-§1, ¶A, as amended by PL 2009, c. 292, §3 and affected by §6, is further amended to read:
Sec. C-44. 22 MRSA §1711-G, sub-§§2, 3 and 7, as enacted by PL 2015, c. 370, §6, are amended to read:
Sec. C-45. 22 MRSA §1826, sub-§2, ¶I, as amended by PL 2015, c. 247, §1, is further amended to read:
Sec. C-46. 22 MRSA §2765, sub-§1, ¶A, as amended by PL 1995, c. 694, Pt. D, §30 and affected by Pt. E, §2, is further amended to read:
Sec. C-47. 22 MRSA §2765, sub-§1-A, ¶A, as amended by PL 1995, c. 694, Pt. D, §31 and affected by Pt. E, §2, is further amended to read:
Sec. C-48. 22 MRSA §2843-A, sub-§9, as enacted by PL 1993, c. 609, §1, is amended to read:
Sec. C-49. 22 MRSA §2848, first ¶, as enacted by PL 2015, c. 193, §2, is amended to read:
When a death is presumed to have occurred in the State but the body has not been located, the State Registrar of Vital Statistics shall register a death in accordance with this section upon receipt of a certified copy of an order of a court issued in accordance with Title 18-A 18-C, section 1-107 1-106, subsection (3) 5.
Sec. C-50. 22 MRSA §3173-E, as enacted by PL 1993, c. 410, Pt. FF, §9, is amended to read:
§ 3173-E. Treatment of joint bank accounts in Medicaid eligibility determinations
When determining eligibility for Medicaid, the department shall establish ownership of joint bank accounts in accordance with Title 18-A 18-C, section 6-103 6-211, subsection (a) 2. If the department determines that funds were withdrawn from a joint account without the consent of the applicant and the applicant owned the funds, the person to whom the funds were transferred is a liable 3rd party and the department shall pursue recovery of the funds in accordance with section 14. The department shall adopt rules to implement this section.
Sec. C-51. 22 MRSA §3472, sub-§10, as amended by PL 2003, c. 653, §2, is further amended to read:
Sec. C-52. 22 MRSA §3472, sub-§12, as amended by PL 2003, c. 653, §2, is further amended to read:
Protective services may include seeking guardianship or a protective order under Title 18-A 18-C, Article 5.
Sec. C-53. 22 MRSA §3473, sub-§2, ¶C, as enacted by PL 1981, c. 527, §2, is amended to read:
Sec. C-54. 22 MRSA §3481, sub-§2, as amended by PL 1993, c. 652, §8, is further amended to read:
Sec. C-55. 22 MRSA §3482, as enacted by PL 1981, c. 527, §2, is amended to read:
§ 3482. Providing for protective services to incapacitated adults who lack the capacity to consent
If the department reasonably determines that an incapacitated adult is being abused, neglected or exploited and lacks capacity to consent to protective services, the department may petition the Probate Court for guardianship or conservatorship, in accordance with Title 18-A 18-C, section 5-601. The petition must allege specific facts sufficient to show that the incapacitated adult is in need of protective services and lacks capacity to consent to them.
Sec. C-56. 22 MRSA §3483, sub-§1, as amended by PL 1993, c. 652, §9, is further amended to read:
Sec. C-57. 22 MRSA §3765, as enacted by PL 1997, c. 530, Pt. A, §16, is amended to read:
§ 3765. Payments to guardian or conservator
When a relative with whom a child is living is found by the department to be incapable of taking care of the child's money, payment may be made only to a legally appointed guardian or conservator and, notwithstanding Title 18-A 18-C, Article V 5, Part 4, in the matter of infirmities of age or physical disability to manage the child's estate with prudence and understanding, the Probate Court may appoint any suitable person as a conservator.
Sec. C-58. 22 MRSA §4005-E, sub-§1, as amended by PL 2007, c. 371, §2, is further amended to read:
Sec. C-59. 22 MRSA §4008, sub-§3, ¶B, as amended by PL 1995, c. 694, Pt. D, §38 and affected by Pt. E, §2, is further amended to read:
Sec. C-60. 22 MRSA §4008, sub-§3, ¶G, as amended by PL 2003, c. 673, Pt. Z, §2, is further amended to read:
Sec. C-61. 22 MRSA §4031, sub-§1, ¶D, as amended by PL 1995, c. 694, Pt. D, §40 and affected by Pt. E, §2, is further amended to read:
Sec. C-62. 22 MRSA §4037, sub-§1, as enacted by PL 2015, c. 187, §1, is amended to read:
Sec. C-63. 22 MRSA §4038-A, as amended by PL 2005, c. 372, §5, is further amended to read:
§ 4038-A. Transfer to District Court
If a case is transferred to the District Court pursuant to Title 18-A 18-C, section 9-205, the court shall conduct a hearing and enter a dispositional order using the same standards as set forth in section 4036. The court after the hearing and entering of a dispositional order shall conduct reviews in accordance with section 4038 and permanency planning hearings in accordance with section 4038-B.
Sec. C-64. 22 MRSA §4038-B, sub-§4, ¶A, as enacted by PL 2005, c. 372, §6, is amended to read:
(1) Returned to a parent. Before the court may enter an order returning the custody of the child to a parent, the parent must show that the parent has carried out the responsibilities set forth in section 4041, subsection 1-A, paragraph B; that to the court's satisfaction the parent has rectified and resolved the problems that caused the removal of the child from home and any subsequent problems that would interfere with the parent's ability to care for the child and protect the child from jeopardy; and that the parent can protect the child from jeopardy;
(2) Placed for adoption, in which case the department shall file a petition for termination of parental rights;
(3) Cared for by a permanency guardian, as provided in section 4038-C, or a guardian appointed by the Probate Court pursuant to Title 18-A 18-C, sections 5-204 to 5-206 and 5-207;
(4) Placed with a fit and willing relative; or
(5) Placed in another planned permanent living arrangement. The District Court may adopt another planned permanent living arrangement as the permanency plan for the child only after the department has documented to the court a compelling reason for determining that it would not be in the best interests of the child to be returned home, be referred for termination of parental rights or be placed for adoption, be cared for by a permanency guardian or be placed with a fit and willing relative.
Sec. C-65. 22 MRSA §4038-C, sub-§2, as enacted by PL 2005, c. 372, §6, is amended to read:
Sec. C-66. 22 MRSA §4038-E, sub-§7, ¶A, as amended by PL 2013, c. 267, Pt. B, §20, is further amended to read:
(1) The criminal history record information obtained from the Maine Criminal Justice Information System must include a record of public criminal history record information as defined in Title 16, section 703, subsection 8.
(2) The criminal history record information obtained from the Federal Bureau of Investigation must include other state and national criminal history record information.
(3) Each permanency guardian of the child shall submit to having fingerprints taken. The State Police, upon receipt of the fingerprint card, may charge the department for the expenses incurred in processing state and national criminal history record checks. The State Police shall take or cause to be taken the applicant's fingerprints and shall forward the fingerprints to the State Bureau of Identification so that the bureau can conduct state and national criminal history record checks. Except for the portion of the payment, if any, that constitutes the processing fee charged by the Federal Bureau of Investigation, all money received by the State Police for purposes of this paragraph must be paid over to the Treasurer of State. The money must be applied to the expenses of administration incurred by the Department of Public Safety.
(4) The subject of a Federal Bureau of Investigation criminal history record check may obtain a copy of the criminal history record check by following the procedures outlined in 28 Code of Federal Regulations, Sections 16.32 and 16.33. The subject of a state criminal history record check may inspect and review the criminal history record information pursuant to Title 16, section 709.
(5) State and federal criminal history record information may be used by the department for the purpose of screening each permanency guardian in determining whether the adoption is in the best interests of the child.
(6) Information obtained pursuant to this paragraph is confidential. The results of background checks received by the department are for official use only and may not be disseminated outside the department except to a court considering an adoption petition under this section.
Sec. C-67. 22 MRSA §4051, as corrected by RR 1997, c. 2, §48, is amended to read:
§ 4051. Venue
A petition for termination of parental rights must be brought in the court that issued the final protection order. The court, for the convenience of the parties or other good cause, may transfer the petition to another district or division. A petition for termination of parental rights may also be brought in a Probate Court as part of an adoption proceeding as provided in Title 18-A 18-C, article IX Article 9, when a child protective proceeding has not been initiated.
Sec. C-68. 22 MRSA §4055, sub-§1, ¶A, as amended by PL 2001, c. 696, §35, is further amended to read:
(1) Custody has been removed from the parent under:
(a) Section 4035 or 4038;
(b) Title 19-A, section 1502 or 1653;
(c) Section 3792 prior to the effective date of this chapter; or
(d) Title 15, section 3314, subsection 1, paragraph C-1; or
(2) The petition has been filed as part of an adoption proceeding in Title 18-A 18-C, article IX Article 9; and
Sec. C-69. 22 MRSA §4065, as amended by PL 1981, c. 470, Pt. A, §102, is further amended to read:
§ 4065. Department's responsibility after death of committed child
If a child in the custody of the department dies, the department shall arrange and pay for a decent burial for the child. If administration of the deceased child's estate is not commenced, within 60 days after the date of death, by an heir or a creditor, then the department may petition the Probate Court to appoint an administrator and settle the estate of the deceased child pursuant to Title 18-A 18-C.
Sec. C-70. 22 MRSA §4171, sub-§1, ¶A, as amended by PL 1995, c. 694, Pt. D, §49 and affected by Pt. E, §2, is further amended to read:
Sec. C-71. 22 MRSA §5106, sub-§2, ¶E, as amended by PL 2011, c. 657, Pt. BB, §9, is further amended to read:
(1) Elderly Householders Tax and Rent Refund Act of 1971;
(2) Priority Social Services Act of 1973;
(3) Chapter 470 of the public laws of 1969 creating the State Housing Authority;
(4) United States Social Security Act of 1935;
(5) United States Housing Act of 1937;
(6) United States Older Americans Act of 1965;
(7) United States Age Discrimination Act of 1967;
(8) Home Based Care Act of 1981;
(9) Congregate Housing Act of 1979;
(10) Adult Day Care Services Act of 1983;
(11) Adult Day Care Licensing Act of 1987;
(12) Adult Protective Services Act of 1981;
(13) The Maine Uniform Probate Code, Title 18-A 18-C;
(14) The Americans with Disabilities Act of 1990;
(15) The Developmental Disabilities Assistance and Bill of Rights Act of 2000; and
(16) The ADA Amendments Act of 2008;
Sec. C-72. 22 MRSA §8621, sub-§6, as amended by PL 2009, c. 292, §4 and affected by §6, is further amended to read:
Sec. C-73. 23 MRSA §3655, as amended by PL 1979, c. 663, §138, is further amended to read:
§ 3655. Personal injury actions; limitations; damages; notice
Whoever A person who receives any bodily injury or suffers damage in his the person's property through any defect or want of repair or sufficient railing in any highway, town way, causeway or bridge may recover for the same in a civil action, to be commenced within one year from the date of receiving such injury or suffering damage, of the county or town obliged by law to repair the same, if the commissioners of such county or the municipal officers or road commissioners of such town or any person authorized by any commissioner of such county or any municipal officer or road commissioner of such town to act as a substitute for either of them had 24 hours' actual notice of the defect or want of repair, but not exceeding $6,000 in case of a town. If the sufferer had notice of the condition of such way previous to the time of the injury, he the sufferer cannot recover of a town unless he the sufferer has previously notified one of the municipal officers of the defective condition of such way. Any person who sustains injury or damage or some person in his the person's behalf shall, within 180 days thereafter, notify one of the county commissioners of such county or of the municipal officers of such town by letter or otherwise, in writing, setting forth his the person's claim for damages and specifying the nature of his the person's injuries and the nature and location of the defect which that caused such injury. If the life of any person is lost through such deficiency, his the person's executors or administrators may recover of such county or town liable to keep the same in repair, in a civil action, brought for the benefit of the estate of the deceased, such sum as the jury may deem determine reasonable as damages, if the parties liable had said notice of the deficiency which that caused the loss of life. In any action against a town for damages for loss of life permitted under this section, the claim for and award of damages, including costs, against a town and its employees shall must be disposed of as provided under Title 18-A 18-C, section 2-804 2-807, but shall may not exceed $25,000 for each claim and $300,000 for any and all claims arising out of a single occurrence. No damages for the loss of comfort, society and companionship of the deceased shall may be allowed in an action under this section. At the trial of any such action the court may, on motion of either party, order a view of the premises where the defect or want of repair is alleged when it would materially aid in a clear understanding of the case.
Sec. C-74. 24-A MRSA §2208, sub-§1, ¶A, as enacted by PL 1997, c. 677, §3 and affected by §5, is amended to read:
(1) The individual is acting under a valid written power of attorney or acting pursuant to the Uniform Health-care Health Care Decisions Act; or
(2) The individual is the consumer's parent or legal guardian, in which case the authorization is valid only insofar as that parent or legal guardian has the exclusive authority to consent for the health care services received by a minor for which the authorization for payment is sought and only as to those disclosures when the holder of the information can reasonably infer that the parent's or legal guardian's interest in disclosure is not adverse to the consumer's; or
Sec. C-75. 24-A MRSA §4313, sub-§14, as enacted by PL 1999, c. 742, §19, is amended to read:
Sec. C-76. 25 MRSA §1542-A, sub-§1, ¶I, as amended by PL 2015, c. 300, Pt. B, §1, is further amended to read:
Sec. C-77. 25 MRSA §1542-A, sub-§3, ¶H, as enacted by PL 2001, c. 52, §7, is amended to read:
Sec. C-78. 25 MRSA §2003, sub-§1, ¶D, as amended by PL 2011, c. 298, §7, is further amended to read:
(1) Full name;
(2) Full current address and addresses for the prior 5 years;
(3) The date and place of birth, height, weight, color of eyes, color of hair, sex and race;
(4) A record of previous issuances of, refusals to issue and revocations of a permit to carry concealed firearms, handguns or other concealed weapons by any issuing authority in the State or any other jurisdiction. The record of previous refusals alone does not constitute cause for refusal and the record of previous revocations alone constitutes cause for refusal only as provided in section 2005; and
(5) Answers to the following questions:
(a) Are you less than 18 years of age?
(b) Is there a formal charging instrument now pending against you in this State for a crime under the laws of this State that is punishable by imprisonment for a term of one year or more?
(c) Is there a formal charging instrument now pending against you in any federal court for a crime under the laws of the United States that is punishable by imprisonment for a term exceeding one year?
(d) Is there a formal charging instrument now pending against you in another state for a crime that, under the laws of that state, is punishable by a term of imprisonment exceeding one year?
(e) If your answer to the question in division (d) is "yes," is that charged crime classified under the laws of that state as a misdemeanor punishable by a term of imprisonment of 2 years or less?
(f) Is there a formal charging instrument pending against you in another state for a crime punishable in that state by a term of imprisonment of 2 years or less and classified by that state as a misdemeanor, but that is substantially similar to a crime that under the laws of this State is punishable by imprisonment for a term of one year or more?
(g) Is there a formal charging instrument now pending against you under the laws of the United States, this State or any other state or the Passamaquoddy Tribe or Penobscot Nation in a proceeding in which the prosecuting authority has pleaded that you committed the crime with the use of a firearm against a person or with the use of a dangerous weapon as defined in Title 17-A, section 2, subsection 9, paragraph A?
(h) Is there a formal charging instrument now pending against you in this or any other jurisdiction for a juvenile offense that, if committed by an adult, would be a crime described in division (b), (c), (d) or (f) and involves bodily injury or threatened bodily injury against another person?
(i) Is there a formal charging instrument now pending against you in this or any other jurisdiction for a juvenile offense that, if committed by an adult, would be a crime described in division (g)?
(j) Is there a formal charging instrument now pending against you in this or any other jurisdiction for a juvenile offense that, if committed by an adult, would be a crime described in division (b), (c), (d) or (f), but does not involve bodily injury or threatened bodily injury against another person?
(k) Have you ever been convicted of committing or found not criminally responsible by reason of mental disease or defect of committing a crime described in division (b), (c), (f) or (g)?
(l) Have you ever been convicted of committing or found not criminally responsible by reason of mental disease or defect of committing a crime described in division (d)?
(m) If your answer to the question in division (l) is "yes," was that crime classified under the laws of that state as a misdemeanor punishable by a term of imprisonment of 2 years or less?
(n) Have you ever been adjudicated as having committed a juvenile offense described in division (h) or (i)?
(o) Have you ever been adjudicated as having committed a juvenile offense described in division (j)?
(p) Are you currently subject to an order of a Maine court or an order of a court of the United States or another state, territory, commonwealth or tribe that restrains you from harassing, stalking or threatening your intimate partner, as defined in 18 United States Code, Section 921(a), or a child of your intimate partner, or from engaging in other conduct that would place your intimate partner in reasonable fear of bodily injury to that intimate partner or the child?
(q) Are you a fugitive from justice?
(r) Are you a drug abuser, drug addict or drug dependent person?
(s) Do you have a mental disorder that causes you to be potentially dangerous to yourself or others?
(t) Have you been adjudicated to be an incapacitated person pursuant to Title 18-A 18-C, Article 5, Parts 3 and 4 and not had that designation removed by an order under Title 18-A 18-C, section 5-307 5-318, subsection (b) 2?
(u) Have you been dishonorably discharged from the military forces within the past 5 years?
(v) Are you an illegal alien?
(w) Have you been convicted in a Maine court of a violation of Title 17-A, section 1057 within the past 5 years?
(x) Have you been adjudicated in a Maine court within the past 5 years as having committed a juvenile offense involving conduct that, if committed by an adult, would be a violation of Title 17-A, section 1057?
(y) To your knowledge, have you been the subject of an investigation by any law enforcement agency within the past 5 years regarding the alleged abuse by you of family or household members?
(z) Have you been convicted in any jurisdiction within the past 5 years of 3 or more crimes punishable by a term of imprisonment of less than one year or of crimes classified under the laws of a state as a misdemeanor and punishable by a term of imprisonment of 2 years or less?
(aa) Have you been adjudicated in any jurisdiction within the past 5 years to have committed 3 or more juvenile offenses described in division (o)?
(bb) To your knowledge, have you engaged within the past 5 years in reckless or negligent conduct that has been the subject of an investigation by a governmental entity?
(cc) Have you been convicted in a Maine court within the past 5 years of any Title 17-A, chapter 45 drug crime?
(dd) Have you been adjudicated in a Maine court within the past 5 years as having committed a juvenile offense involving conduct that, if committed by an adult, would have been a violation of Title 17-A, chapter 45?
(ee) Have you been adjudged in a Maine court to have committed the civil violation of possession of a useable amount of marijuana, butyl nitrite or isobutyl nitrite in violation of Title 22, section 2383 within the past 5 years?
(ff) Have you been adjudicated in a Maine court within the past 5 years as having committed the juvenile crime defined in Title 15, section 3103, subsection 1, paragraph B of possession of a useable amount of marijuana, as provided in Title 22, section 2383?; and
Sec. C-79. 26 MRSA §875, sub-§1, ¶E, as enacted by PL 2005, c. 383, §23, is amended to read:
Sec. C-80. 28-A MRSA §2508, sub-§2, as enacted by PL 1987, c. 45, Pt. A, §4, is amended to read:
Sec. C-81. 29-A MRSA §1402-A, sub-§4, ¶E, as amended by PL 2007, c. 601, §7 and affected by §9, is further amended to read:
Sec. C-82. 29-A MRSA §1402-A, sub-§5, as amended by PL 2007, c. 601, §8 and affected by §9, is further amended to read:
Sec. C-83. 29-A MRSA §1403, as amended by PL 1995, c. 378, Pt. B, §5, is further amended to read:
§ 1403. Advance health care directive
Subject to available funding, the Secretary of State shall make advance health-care health care directive forms available in offices of the Bureau of Motor Vehicles. The form must be in substantially the form provided in Title 18-A 18-C, section 5-804 5-705 and with the addition of the following information at the end: "Completion of this form is optional."
Sec. C-84. 30-A MRSA §183, sub-§1, as enacted by PL 1987, c. 737, Pt. A, §2 and Pt. C, §106 and amended by PL 1989, c. 6; c. 9, §2; and c. 104, Pt. C, §§8 and 10, is further amended to read:
Sec. C-85. 32 MRSA §9405, sub-§1-A, ¶F, as enacted by PL 1987, c. 170, §8, is amended to read:
(1) Full name;
(2) Full current address and addresses for the prior 5 years;
(3) The date and place of birth, height, weight and color of eyes;
(4) A record of previous issuances of, refusals to issue and renew, suspensions and revocations of a license to be a contract security company. The record of previous refusals to issue alone does not constitute cause for refusal and the record of previous refusals to renew and revocations alone constitutes cause for refusal only as provided in section 9411-A;
(5) The following questions.
(a) Is there a formal charging instrument now pending against you in this or any other jurisdiction for a crime which that is punishable by one year or more imprisonment or for any other crime alleged to have been committed by you with the use of a dangerous weapon, as defined in Title 17-A, section 2, subsection 9, or of a firearm against another person?
(b) Is there a formal charging instrument now pending against you in this or any other jurisdiction for a juvenile offense which that involves conduct which that, if committed by an adult, would be punishable by one year or more of imprisonment or for any other juvenile offense alleged to have been committed by you with the use of a dangerous weapon, as defined in Title 17-A, section 2, subsection 9, or of a firearm against another person?
(c) Have you ever been convicted of a crime described in division (a) or adjudicated as having committed a juvenile offense as described in division (b)?
(d) Is there a formal charging instrument now pending against you in this jurisdiction for any crime enumerated in section 9412?
(e) Is there a formal charging instrument now pending against you in this jurisdiction for a juvenile offense which that involves conduct which that, if committed by an adult, would be a crime enumerated in section 9412?
(f) Have you within the past 5 years been convicted of a crime described in division (d) or adjudicated as having committed a juvenile offense as described in division (e)?
(g) Are you a fugitive from justice?
(h) Are you a drug abuser, drug addict or drug-dependent person?
(i) Do you have a mental disorder which that causes you to be potentially dangerous to yourself or others?
(j) Have you been adjudicated to be an incapacitated person pursuant to Title 18-A 18-C, article V Article 5, Parts 3 and 4, and not had that designation removed by an order under Title 18-A 18-C, section 5-307 5-318, subsection (b) 2?
(k) Have you been dishonorably discharged from the military forces within the past 5 years?
(l) Are you an illegal alien ?;
(6) A list of employees as of the date the applicant signs the application who will perform security guard functions within the State. This list shall must identify each employee by his the employee's full name, full current address and addresses for the prior 5 years and his the employee's date and place of birth, height, weight and color of eyes. For each employee on this list who will perform security guard functions at the site of a labor dispute or strike, the applicant shall have previously investigated the background of the employee to ensure that the employee meets all of the requirements to be a security guard as contained in section 9410-A, subsection 1. If the employee meets all of the requirements to be a security guard, the applicant shall also submit a statement, signed by the applicant, stating that the applicant has conducted this background investigation and that the employee meets the requirements contained in section 9410-A, subsection 1; and
(7) A photograph of the applicant taken within 6 months of the date the applicant affixes his the applicant's signature to the application; and
Sec. C-86. 32 MRSA §9410-A, sub-§1, ¶J, as enacted by PL 1987, c. 170, §12, is amended to read:
Sec. C-87. 32 MRSA §16202, sub-§12, as enacted by PL 2005, c. 65, Pt. A, §2, is amended to read:
Sec. C-88. 33 MRSA §480, sub-§1, as enacted by PL 1983, c. 748, §2, is amended to read:
Sec. C-89. 33 MRSA §1603-116, sub-§(b), as repealed and replaced by PL 1983, c. 816, Pt. A, §40, is amended to read:
(b) A lien under this section is prior to all other liens and encumbrances on a unit except: (1) Liens and encumbrances recorded before the recordation of the declaration; (2) A first mortgage recorded before or after the date on which the assessment sought to be enforced becomes delinquent; and (3) Liens for real estate taxes and other governmental assessments or charges against the unit. This subsection does not affect the priority of mechanics' or materialmen's liens, or the priority of liens for other assessments made by the association. The lien under this section is not subject to the provisions of Title 14, section 4651 and Title 18-A 18-C, Part Article 2, as they or their equivalents may be amended or modified from time to time.
Sec. C-90. 33 MRSA §1669, sub-§1, as enacted by PL 1987, c. 734, §2, is amended to read:
Sec. C-91. 34-A MRSA §1214-A, sub-§3, as enacted by PL 2011, c. 241, §3, is amended to read:
Sec. C-92. 34-A MRSA §3040-A, sub-§1, as amended by PL 2013, c. 80, §8, is further amended to read:
Sec. C-93. 34-A MRSA §3040-A, sub-§4, as amended by PL 2005, c. 506, §9, is further amended to read:
Sec. C-94. 34-B MRSA §3831, sub-§6, as amended by PL 2009, c. 651, §10, is further amended to read:
This subsection does not create an affirmative obligation of a psychiatric hospital to admit a person consistent with the person's advance health care directive. This subsection does not create an affirmative obligation on the part of the psychiatric hospital or treatment provider to provide the treatment consented to in the person's advance health care directive if the physician or psychologist evaluating or treating the person or the chief administrative officer of the psychiatric hospital determines that the treatment is not in the best interest of the person.
Sec. C-95. 34-B MRSA §3861, sub-§3, ¶A, as enacted by PL 2007, c. 580, §2, is amended to read:
(1) The name of the patient, the patient’s diagnosis and the unit on which the patient is hospitalized;
(2) The date that the patient was committed to the institution or institute and the period of the court-ordered commitment;
(3) A statement by the primary treating physician that the patient lacks capacity to give informed consent to the proposed treatment. The statement must include documentation of a 2nd opinion that the patient lacks that capacity, given by a professional qualified to issue such an opinion who does not provide direct care to the patient but who may work for the institute or institution;
(4) A description of the proposed course of treatment, including specific medications, routes of administration and dose ranges, proposed alternative medications or routes of administration, if any, and the circumstances under which any proposed alternative would be used;
(5) A description of how the proposed treatment will benefit the patient and ameliorate identified signs and symptoms of the patient's psychiatric illness;
(6) A listing of the known or anticipated risks and side effects of the proposed treatment and how the prescribing physician will monitor, manage and minimize the risks and side effects;
(7) Documentation of consideration of any underlying medical condition of the patient that contraindicates the proposed treatment; and
(8) Documentation of consideration of any advance health-care health care directive given in accordance with Title 18-A 18-C, section 5-802 5-703 and any declaration regarding medical treatment of psychotic disorders executed in accordance with section 11001.
Sec. C-96. 34-B MRSA §3862, sub-§1, ¶B, as amended by PL 2009, c. 651, §11, is further amended to read:
Sec. C-97. 34-B MRSA §5001, sub-§4, ¶B, as enacted by PL 1983, c. 459, §7, is amended to read:
Sec. C-98. 34-B MRSA §5001, sub-§7, as amended by PL 1995, c. 560, Pt. K, §40, is further amended to read:
Sec. C-99. 35-A MRSA §4355, sub-§1, as enacted by PL 1987, c. 141, Pt. A, §6, is amended to read:
Sec. C-100. 35-A MRSA §4391, sub-§5, as enacted by PL 1987, c. 141, Pt. A, §6, is amended to read:
Sec. C-101. 35-A MRSA §4392, sub-§3, as enacted by PL 1987, c. 141, Pt. A, §6, is amended to read:
Sec. C-102. 36 MRSA §606, as amended by PL 1979, c. 540, §44, is further amended to read:
§ 606. Tax priority; deceased's personal property
If a personal property tax has been assessed upon the estate of a deceased person, or if a person assessed for a personal property tax has died, the personal representative, after he the personal representative has satisfied the first 4 priorities set forth in Title 18-A 18-C, section 3-805, shall, from any estate which that has come to his the personal representative's hands in such capacity, if such estate is sufficient therefor, pay the personal property tax so assessed to him the personal representative under Title 18-A 18-C, section 3-709. In default of such payment the personal representative shall be is personally liable for the tax to the extent of the estate that passed through his the personal representative's hands which that was not used to satisfy claims or expenses with a higher priority. To the extent that the personal representative is not assessed, the successors to the decendent's taxed property shall pay the tax assessed.
Sec. C-103. 36 MRSA §4079, as amended by PL 2007, c. 154, §1, is further amended to read:
§ 4079. Civil action by State; bond
Personal representatives are liable to the State on their administration bonds for all taxes assessable under this chapter and interest on those taxes. Whenever no administration bond is otherwise required, and except as otherwise provided in this section, the Judge of Probate Court, notwithstanding any provision of Title 18-A 18-C, shall require a bond payable to the judge or the judge's successor court sufficient to secure the payment of all estate taxes and interest conditioned in substance to pay all estate taxes due to the State from the estate of the deceased with interest thereon. A bond to secure the payment of estate taxes is not required when the Judge of Probate Court finds that any estate tax due and to become due the State is reasonably secured by the lien upon real estate as provided in this chapter or by any other adequate security. An action for the recovery of estate taxes and interest lies on either of the bonds.
Sec. C-104. 36 MRSA §4118, as enacted by PL 2011, c. 380, Pt. M, §9, is amended to read:
§ 4118. Civil action by State; bond
Personal representatives are liable to the State on their administration bonds for all taxes assessable under this chapter and interest on those taxes. If no administration bond is otherwise required and except as otherwise provided in this section, the judge of probate Probate Court, notwithstanding any provision of Title 18-A 18-C, shall require a bond payable to the judge or the judge's successor court sufficient to secure the payment of all estate taxes and interest conditioned in substance to pay all estate taxes due to the State from the estate of the deceased with interest thereon. A bond to secure the payment of estate taxes is not required when the judge of probate Probate Court finds that any estate tax due and to become due the State is reasonably secured by the lien upon real estate as provided in this chapter or by any other adequate security. An action for the recovery of estate taxes and interest lies on either of the bonds.
Sec. C-105. 36 MRSA §4641-C, sub-§11, as amended by PL 2005, c. 397, Pt. C, §21 and affected by §22, is further amended to read:
Sec. C-106. 36 MRSA §4641-D, sub-§6, as enacted by PL 1987, c. 568, §2, is amended to read:
Sec. C-107. 38 MRSA §1362, sub-§1-D, ¶A, as enacted by PL 1993, c. 355, §59, is amended to read:
Sec. C-108. 39-A MRSA §104, first ¶, as amended by PL 1995, c. 297, §1, is further amended to read:
An employer who has secured the payment of compensation in conformity with sections 401 to 407 is exempt from civil actions, either at common law or under sections 901 to 908; Title 14, sections 8101 to 8118; and Title 18-A 18-C, section 2-804 2-807, involving personal injuries sustained by an employee arising out of and in the course of employment, or for death resulting from those injuries. An employer that uses a private employment agency for temporary help services is entitled to the same immunity from civil actions by employees of the temporary help service as is granted with respect to the employer's own employees as long as the temporary help service has secured the payment of compensation in conformity with sections 401 to 407. "Temporary help services" means a service where an agency assigns its own employees to a 3rd party to work under the direction and control of the 3rd party to support or supplement the 3rd party's work force in work situations such as employee absences, temporary skill shortages, seasonal work load conditions and special assignments and projects. These exemptions from liability apply to all employees, supervisors, officers and directors of the employer for any personal injuries arising out of and in the course of employment, or for death resulting from those injuries. These exemptions also apply to occupational diseases sustained by an employee or for death resulting from those diseases. These exemptions do not apply to an illegally employed minor as described in section 408, subsection 2.
summary
This bill, which is being submitted pursuant to Resolve 2015, chapter 73, section 1, recodifies and revises the Maine Revised Statutes, Title 18-A and amends other laws affected by this recodification and revision accordingly.
Resolve 2013, chapters 5 and 82 directed the Probate and Trust Law Advisory Commission to review the existing Probate Code and the latest version of the Uniform Probate Code and develop legislative recommendations based on the review. The Probate and Trust Law Advisory Commission submitted legislative recommendations in a report to the Joint Standing Committee on Judiciary of the 127th Legislature on December 6, 2014 and included revisions to the recommendations in a subsequent report submitted November 20, 2015. The purpose of this bill is to adopt the Uniform Probate Code as the Maine Uniform Probate Code, incorporating the changes recommended by the Probate and Trust Law Advisory Commission, and to reorganize the Probate Code to be more logical, while bringing the language into conformity with current drafting standards, clarifying current law and eliminating inconsistencies within Title 18-A.