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You are here: BAILII >> Databases >> United Kingdom House of Lords Decisions >> Re Gulbenkian's Settlement Trusts (No 1) [1968] UKHL 5 (31 October 1968)
URL: http://www.bailii.org/uk/cases/UKHL/1968/5.html
Cite as: [1970] AC 508, [1968] 3 WLR 1127, [1968] 3 All ER 785, [1968] UKHL 5

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JISCBAILII_CASE_TRUSTS

    Parliamentary Archives,
    HL/PO/JU/4/3/1175

    HOUSE OF LORDS

    WHISHAW and Another

    v.
    STEPHENS and Others

    Lord Reid
    Lord Hodson
    Lord Guest
    Lord Upjohn
    Lord Donovan

    Lord Reid

    MY LORDS,

    Settlements were made by the late Mr. Calouste Gulbenkian in 1929
    and 1938 under which the trustees " shall " during the life of his son
    Mr. Nubar Gulbenkian

    " at their absolute discretion pay all or any part of the income of the
    " property hereby settled and the investments for the time being
    " representing the same (hereinafter called the Trust Fund) to or apply
    " the same for the maintenance and personal support or benefit of all
    " or any one or more to the exclusion of the other or others of the
    " following persons ..."

    Among those persons were

    " any person or persons in whose house or apartments or in whose
    " company or under whose care or control or by or with whom the
    " said Nubar Sarkis Gulbenkian may from time to time be employed
    " or residing ..."

    The sole question in this appeal is whether this class of potential beneficiaries
    is so uncertain that these provisions cannot be operated by the trustees.
    It is not disputed that if the description of the class which I have quoted
    is too uncertain then the whole provision fails even although the other
    potential beneficiaries are easily ascertainable.

    This clause does not make sense as it stands. One of the permutations
    which the grammar requires is any person " by whom Mr. Gulbenkian is
    " residing ". But the client must not be penalised for his lawyer's slovenly
    drafting. Under modern conditions it may be necessary to relax older and
    stricter standards. If I adopt methods of construction appropriate for
    commercial documents and documents inter rusticos I must consider whether
    underlying the words used any reasonably clear intention can be discerned.
    I think that it is reasonably clear that this clause is the result of carelessly
    telescoping two separate clauses—(1) any person by whom Mr. Gulbenkian
    may from time to time be employed, and (2) any person in whose house or
    in whose company or under whose care or with whom he may from time
    to time be residing. Read literally the clause embraces any person in
    whose house or in whose company or under whose care or with whom
    Mr. Gulbenkian may from time to time be employed. That might well be
    held to be too uncertain but I think it reasonably clear that that cannot
    have been intended: no rational person would insert provisions lake that.
    I was surprised to learn that this botched clause has somehow found its
    way into a standard book of precedents, so I realise that this matter may
    be of some general importance.

    If the clause is read in the way in which I think it must be read then
    it is not suggested that there is any uncertainty about the first limb—any
    person by whom Mr. Gulbenkian may be employed—but it is argued that
    the other limb is bad for uncertainty. It would be bad if it purported to
    impose on the trustees duties which, even with the aid of the Court, they
    could not properly carry out. So one must first see what their duties are.
    One argument, as I understand it, is that because this is admitted to be a
    mere power, it really imposes no duties on them at all. I find that difficult
    to understand. It is a power given not to the individuals who happen also
    to be trustees but to the trustees as such so that new trustees duly assumed
    or appointed can exercise it. In my view it must follow that the trustees
    are to act in their fiduciary capacity. They are given an absolute discretion.
    So if they decide in good faith at appropriate times to give none of the
    income to any of the beneficiaries the Court cannot pronounce their reasons

    2

    to be bad. And similarly if they decide to give some or all of the income
    to a particular beneficiary the Court will not review their decision. That
    was decided by this House in Gisborne v. Gisborne, 2 App. Cas. 300, But
    their " absolute discretion " must I think be subject to two conditions. It
    may be true that when a mere power is given to an individual he is under
    no duty to exercise it or even to consider whether he should exercise it.
    But when a power is given to trustees as such, it appears to me that the
    situation must be different. A settlor or testator who entrusts a power to
    his trustees must be relying on them in their fiduciary capacity so they
    cannot simply push aside the power and refuse to consider whether it ought
    in their judgment to be exercised. And they cannot give money to a person
    who is not within the classes of persons designated by the settlor: the
    construction of the power is for the Court.

    If the classes of beneficiaries are not defined with sufficient particularity
    to enable the Court to determine whether a particular person is or is not,
    on the facts at a particular time, within one of the classes of beneficiaries
    then the power must be bad for uncertainty. If the donee of the power
    whether or not he has any duty) desires to exercise it in favour of a
    particular person it must be possible to determine whether that particular
    person is or is not within the class of objects of the power. And it must
    be possible to determine the validity of the power immediately it comes
    into operation. It cannot be valid if the person whom the donee happens
    to choose is clearly within the objects but void if it is doubtful whether
    that is so. So if one can reasonably envisage cases where the Court could
    not determine the question the power must be bad for uncertainty. But
    it is not bad merely because such determination may be difficult in a
    particular case. The Respondents have inserted in their Case at the
    request of the trustees a statement that in the view of the trustees " it must
    " be unlikely that they would in practice be able to exercise the said power
    " or discretion except after obtaining a decision of the Court whether any
    " particular suggested object thereof did or did not fall within the said
    description ". That in itself is not sufficient to warrant a decision that the
    power fails for uncertainty. It may be that there is a class of case where,
    although the description of a class of beneficiaries is clear enough, any
    attempt to apply it to the facts would lead to such administrative difficulties
    that it would for that reason be held to be invalid. But that is not this case.

    The class of persons to be considered in this case are those (a) in whose
    house or apartments Mr. Gulbenkian is residing, (b) in whose company or
    with whom he is residing and (c) under whose care or control he is residing.
    It is often difficult in a particular case to determine whether a temporary
    sojourn amounts to " residence ", but that is the kind of problem which
    Courts often have to solve. And it is not much more difficult to say
    whether a man is residing in another person's company or under another
    person's care or control than it is to say whether he is residing in a
    particular house. I therefore reject the Appellants' first argument.

    Then the Appellants submitted a further argument, that a power is bad
    for uncertainty unless it is possible to make a complete list of the possible
    beneficiaries at the time when it falls to be exercised. It is said that
    trustees cannot properly exercise their discretion unless they can survey the
    whole field: otherwise there might be in existence potential beneficiaries
    whom they might regard as more deserving than those who are known to
    them. In my view that cannot be right. Suppose that a testator or settlor
    empowers his trustees to give money to such of the descendants of X (or
    former domestic servants of X) as they may in their absolute discretion
    select: X may be the testator or settlor himself or anyone else. On the
    face of it that power is perfectly valid, and it surely cannot become invalid
    because before the power is exercised some descendant of X has emigrated
    with his family and cannot be traced.

    The Appellants found on Inland Revenue v. Broadway Cottages Trust
    [1955] Ch 20. There the trustees had a duty to apply certain income for
    the benefit of all or any one or more of certain defined classes of bene-
    ficiaries in such shares proportions and manner as the trustees in their

    3

    discretion might from time to time think fit. Admittedly those classes
    were sufficiently precisely defined to make it possible to determine whether
    any particular individual was or was not eligible. But the classes were so
    wide that it was admitted to be impossible to make a complete list of
    those comprised in them. This was held to involve uncertainty so as to
    make the provisions void. That seems to me to be a very odd kind of
    uncertainty. Does it involve the proposition that if at first all potential
    beneficiaries are identifiable then the provision is valid, but that if for
    some reason, such as some of them disappearing, it later becomes impossible
    to make a list of all the survivors then the provision becomes invalid? I
    could understand it being held that if the classes of potential beneficiaries
    were so numerous that it would cost quite disproportionate enquiries and
    expense to find them all and discover their needs or deserts, then the
    provision would fail. But that would not be on the ground of uncertainty
    as that term is generally understood. I gravely doubt some of the arguments
    used by the Court of Appeal.

    I will not deal with the authorities in detail because I think that the
    present position of the law is far from satisfactory. I agree with criticism
    by Lord Evershed in Re Hain [1961] 1 W.L.R. 440. by Sachs L.J. in
    Darwen v. Leek [1968] 2 W.L.R. 1385 and by Lord Denning M.R. in the
    present case. This case can be decided on the grounds suggested by my
    noble and learned friend, Lord Upjohn, and it is not an appropriate case
    for a review of the law. But I trust that there may be an early opportunity
    for reconsideration of some of the narrow and technical distinctions which
    have grown up in this chapter of the law.

    I would dismiss this appeal.

    Lord Hodson

    MY LORDS,

    I have had the advantage of reading the opinion of my noble and learned
    friend, Lord Upjohn. I agree with it and would dismiss the appeal.

    Lord Guest

    my lords.

    I have had the advantage of reading the opinion of my noble and learned
    friend, Lord Upjohn. I agree with it and would dismiss the appeal.

    Lord Upjohn

    MY LORDS,

    On the 31st May, 1929, the late Mr. Calouste Sarkis Gulbenkian made a
    Settlement expressed to be in consideration of his natural love and affection
    for his son Nubar Sarkis Gulbenkian, one of the Respondents, who, how-
    ever, has taken no part in the argument, for he has assigned away his
    rights, if any, to income during his life ; I shall call him " the son ".
    The first operative clause of the Settlement was Clause 2(i) in these terms

    " 2. (i) The Trustees shall during the life of the said Nubar Sarkis
    " Gulbenkian at their absolute discretion pay all or any part of the
    " income of the property hereby settled and the investments for the
    " time being representing the same (hereinafter called the Trust Fund)
    " to or apply the same for the maintenance and personal support or
    " benefit of all or any one or more to the exclusion of the other or
    " others of the following persons namely the said Nubar Sarkis
    " Gulbenkian and any wife and his children or remoter issue for the
    " time being in existence whether minors or adults and any person
    " or persons in whose house or apartments or in whose company or
    " under whose care or control or by or with whom the said Nubar Sarkis
    " Gulbenkian may from time to time be employed or residing and the
    " other persons or person other than the Settlor for the time being
    " entitled or interested whether absolutely contingently or otherwise

    4

    " to or in the trust fund under the trusts herein contained to take effect
    " after the death of the said Nubar Sarkis Gulbenkian in such propor-
    " tions and manner as the Trustees shall in their absolute discretion
    " at any time or times think proper.

    " (ii) Subject to the discretionary trust or power hereinbefore contained
    " the Trustees shall during the life of the said Nubar Sarkis Gulbenkian
    " hold the said income or so much thereof as shall not be paid or
    " applied under such discretionary trust or power upon the trusts and
    " for the purposes and for which the said income would for the time
    " being be held if the said Nubar Sarkis Gulbenkian were then dead."

    After the death of the son the capital and future income of the Trust Fund
    was to be held upon terms with which your Lordships are not concerned.

    On the 18th July, 1938, the father made another Settlement by way of
    further provision for the son. During the lifetime of the son the income was
    to be held upon trusts similar to those set out above save that the words
    " or in whose company or under whose care or control" are omitted, but
    Counsel on neither side has sought to differentiate between the two Settle-
    ments on this ground and I shall therefore refer only to Clause 2 (i) of the
    1929 Settlement.

    The whole question before your Lordships is whether that clause is void
    for uncertainty or whether the clause is valid so that the son is an object
    of the discretion. If so, certain subsidiary questions are raised by the
    Originating Summonses which have been issued, but these questions are not
    before your Lordships.

    My Lords, upon the main arguments presented to your Lordships the
    decision upon this matter lies in a very small compass though, in view of
    the secondary argument of the Respondents with which the majority of the
    Court of Appeal agreed, I shall have later to deal with the issues rather
    more generally.

    It is agreed between the parties that the discretion to the Trustees in
    Clause 2 (i) to pay all or any part of the income of the Trust Fund at their
    absolute discretion to one or more of the persons therein mentioned to the
    exclusion of the other or others or to apply it for their maintenance support
    or benefit is a mere or bare power or a power collateral, as it is sometimes
    called. It is not a trust power: the Trustees have no duty to exercise it in
    the sense that the Court has any power to compel the Trustees to exercise
    it or to exercise it itself if the Trustees refuse or neglect to do so. In so far
    as the power is not exercised by the Trustees or if it is void for uncertainty,
    the income falls to be held upon the Trusts declared by Clause 2 (ii)

    It is curious that there is no long line of decided cases as to what is the
    proper test to apply when considering the validity of a mere power when the
    class of possible appointees is or may be incapable of ascertainment, but
    there is a body of recent authority to the effect that the rule is that provided
    there is a valid gift over or trust in default of appointment (which was
    fundamental to the decision of Clauson J. in Re Park [1932] 1 Ch. 580) a
    mere or bare power of appointment among a class is valid if you can with
    certainty say whether any given individual is or is not a member of the
    class; you do not have to be able to ascertain every member of the class.

    This was stated by Harman J. in Gestetner [1953] Ch. 672, followed by
    Roxburgh J. in Re Coates [1955] Ch. 495 and by me in Re Sayer [1957]
    Ch. 423. Its reasoning was, I think, approved in the Court of Appeal in
    Inland Revenue Commissioners v. Broadway Cottages Trust [1955] Ch 20;
    I say that because it is a little difficult to know whether on pages 32 and 33
    Jenkins L.J. was doing more than setting out the Crown's argument. I note
    that Danckwerts L.J. (probably rightly) treated it in the Court below as part
    of the judgment of the learned Lord Justice.

    And the rule was in general terms approved by Evershed M.R. in Re Hain
    [1961] 1 W.L.R. 440 at 445. Counsel for the Appellants submits the fore-
    going authorities correctly state the law and on his first line of argument
    Counsel for the Respondents agrees.

    5

    Let me assume, then, for the present that is the right test. Does Clause 2(i)
    satisfy that test or is it too uncertain? A very similar clause came before
    Harman J. in Re Gresham [1956] 1 W.L.R. 573 and he held it void for
    uncertainty even after construing it, as he described it, " benevolently ".

    Counsel for the Appellants argued that you must give the words used their
    literal meaning and then apply the test to see whether you can predicate
    with certainty whether a given individual is or is not within the class and
    no modification of the literal language is permissible to make sense of it. This
    argument is based on a fallacy.

    There is no doubt that the first task is to try to ascertain the Settlor's
    intention, so to speak, without regard to the consequences, and then, having
    construed the document, apply the test. The Court, whose task it is to
    discover that intention, starts by applying the usual canons of construction;
    words must be given their usual meaning, the clause should be read literally
    and in accordance with the ordinary rules of grammar. But very frequently,
    whether it be in wills, settlements or commercial agreements, the application
    of such fundamental canons leads nowhere, the draftsman has used words
    wrongly, his sentences border on the illiterate and his grammar may be
    appalling. It is then the duty of the Court by the exercise of its judicial
    knowledge and experience in the relevant matter, innate commonsense and
    desire to make sense of the settlor's or parties' expressed intentions, however
    obscure and ambiguous the language that may have been used, to give a
    reasonable meaning to that language if it can do so without doing complete
    violence to it. The fact that the Court has to see whether the clause is
    " certain " for a particular purpose does not disentitle the Court from doing
    otherwise than, in the first place, try to make sense of it.

    My Lords, I do not think the late Mr. Withers' language (if indeed he was
    responsible for the draftsmanship) is open to very serious criticism ; the clause
    it is true ran together too many possible situations and did so rather ungram-
    matically, but its general object was clear ; it was a " spendthrift " clause and
    must be read in the light of that general intention and construed with the
    object to giving effect to it if it is possible to do so.

    I adopt the construction propounded by Harman J. in Gresham with amend-
    ments. I do not regard his construction as benevolent in the least degree
    but as the proper construction of the Settlor's imperfectly expressed language;
    indeed, I do not regard my own interpretation of his language as perfect;
    it is merely sufficient for the decision of this case.

    So I would read the relevant words in this way :
    After the words—

    " the said Nubar Sarkis Gulbenkian and any wife and his children or
    " remoter issue for the time being in existence whether minors or
    " adults "

    I would paraphrase the words of the Clause thus :—
    " and any person or persons by whom the son may from time to time
    " be employed and any person or persons with whom the son from time
    " to time is residing whether in the house or apartments of such person
    " or persons or whether in the company or under the care or control
    " of such person or persons ".

    Is such a clause too vague and indefinite to satisfy the test, namely, whether
    a given person is within or without the class? Even adopting this construction
    Counsel for the Appellants argued that it was uncertain and Harman J. thought
    so because of the difficulty of the interpretation of the word " residing ".

    In a very careful argument Counsel for the Appellants advanced a number
    of points which he submitted showed there were 14 cases where the Trustees
    would have an impossible task to execute, but these alleged impossibilities
    can be classified I think under four headings; uncertainty upon the meaning
    of

    1. "Residing"

    2. persons " with whom " the son is residing

    3. persons " in whose company ' the son is residing

    4. persons " under whose care or control" the son is residing.


    6

    My Lords, upon this matter I agree entirely with the Court of Appeal. Many
    difficult and borderline cases may occur in any one of these situations. But
    mere difficulty is nothing to the point. If the Trustees feel difficulty or even
    doubt upon the point the Court of Chancery is available to solve it for them.
    It solves many such problems every year. I cannot for myself see any
    insuperable difficulty arising in the solution of any given state of affairs
    which would make it necessary to hold that the relevant clause as I have
    construed it fails to comply with the test. Of course I have not overlooked
    Sifton v. Sifton [1938] AC 656 but that was the entirely different case of a
    divesting clause. In my opinion, this clause is not void for uncertainty, and
    the Court of Appeal were quite right to overrule the decision of Harman J.
    in Re Gresham, where he held a similar clause was void on that ground.

    My Lords, that is sufficient to dispose of the appeal, but, as I have
    mentioned earlier, the reasons of two members of the Court of Appeal went
    further and have been supported by Counsel for the Respondents with much
    force and so must be examined.

    The Master of the Rolls propounded a test in the case of powers collateral.
    namely, that if you can say of one particular person meaning thereby,
    apparently, any one person only that he is clearly within the category the
    whole power is good though it may be difficult to say in other cases whether
    a person is or is not within the category, and he supported that view by
    reference to authority. Winn L. J. said that where there was not a complete
    failure by reason of ambiguity and uncertainty the Court would give effect
    to the power as valid rather than hold it defeated since it will not have wholly
    failed, which put—though more broadly—the view expressed by the Master
    of the Rolls. Counsel for the Respondents in his second line of argument
    relied upon these observations as a matter of principle but he candidly
    admitted that he could not rely upon any authority. Moreover, the Master
    of Rolls expressed the view that the different doctrine with regard to trust
    powers should be brought into line with the rule with regard to conditions
    precedent and powers collateral [1967] 3 W.L.R. 1115 G.

    So I propose to make some general observations upon this matter.

    If a donor (be he a settlor or testator) directs trustees to make some specified
    provision for " John Smith ", then to give legal effect to that provision it
    must be possible to identify " John Smith ". If the donor knows three John
    Smiths then by the most elementary principles of law neither the Trustees
    nor the Court in their place can give effect to that provision ; neither the
    Trustees nor the Court can guess at it. It must fail for uncertainty unless of
    course admissible evidence is available to point to a particular John Smith
    as the object of the donor's bounty.

    Then, taking it one stage further, suppose the donor directs that a fund
    or the income of a fund should be equally divided between members of a
    class. That class must be as defined as the individual; the Court cannot
    guess at it. Suppose the donor directs that a fund be divided equally between
    " my old friends ", then unless there is some admissible evidence that the
    donor has given some special " dictionary " meaning to that phrase which
    enables the Trustees to identify the class with sufficient certainty, it is plainly
    bad as being too uncertain. Suppose that there appeared before the Trustees
    (or the Court) two or three individuals who plainly satisfied the test of being
    among " my old friends " the Trustees could not consistently with the donor's
    intentions accept them as claiming the whole or any defined part of the fund.
    They cannot claim the whole fund for they can show no title to it unless
    they prove they are the only members of the class, which of course they
    cannot do, and so, too, by parity of reasoning they cannot claim any defined
    part of the fund and there is no authority in the Trustees or the Court to
    make any distribution among a smaller class than that pointed out by the
    donor. The principle is, in my opinion, that the donor must make his inten-
    tions sufficiently plain as to the objects of his trust and the Court cannot
    give effect to it by misinterpreting his intentions by dividing the fund merely
    among those present. Secondly, and perhaps it is the more hallowed principle,
    the Court of Chancery, which acts in default of trustees, must know with
    sufficient certainty the objects of the beneficence of the donor so as to execute

    7



    the trust. Then, suppose the donor does not direct an equal division of his
    property among the class but gives a power of selection to his trustees among
    the class; exactly the same principles must apply. The Trustees have a
    duty to select the donees of the donor's bounty from among the class
    designated by the donor; he has not entrusted them with any power to select
    the donees merely from among known claimants who are within the class,
    for that is constituting a narrower class and the donor has given them no
    power to do this.

    So if the class is insufficiently defined the donor's intentions must in such
    cases fail for uncertainty. Perhaps I should mention here that it is clear
    that the question of certainty must be determined as of the date of the
    document declaring the donor's intention (in the case of a Will, his death).
    Normally the question of certainty will arise because of the ambiguity of
    definition of the class by reason of the language employed by the donor, but
    occasionally owing to some of the curious settlements executed in recent
    years it may be quite impossible to construct even with all the available
    evidence anything like a class capable of definition (Re Sayer (supra)), though
    difficulty in doing so will not defeat the donor's intentions (Re Hain (supra)).
    But I should add this: if the class is sufficiently defined by the donor the
    fact that it may be difficult to ascertain the whereabouts or continued existence
    of some of its members ait the relevant time matters not. The Trustees can
    apply to the Court for directions or pay a share into Court.

    But when mere or bare powers are conferred upon donees of the power
    (whether Trustees or others) the matter is quite different. As I have already
    pointed out, the Trustees have no duty to exercise it in the sense that they
    cannot be controlled in any way. If they fail to exercise it then those
    entitled in default of its exercise are entitled to the fund. Perhaps the
    contrast may be put forcibly in this way: in the first case it is a mere
    power to distribute with a gift over in default; in the second case it is a
    trust to distribute among the class defined by the donor with merely a
    power of selection within that class. The result is in the first case even
    if the class of appointee among whom the donees of the power may appoint
    is clear and ascertained and they are all of full age and sui juris, nevertheless
    they cannot compel the donees of the power to exercise it in their collective
    favour. If, however, it is a trust power, then those entitled are entitled
    (if they are all of full age and sui juris) to compel the Trustees to pay the
    fund over to them, unless the fund is income and the Trustees have power
    to accumulate for the future.

    Again the basic difference between a mere power and a trust power is
    that in the first case Trustees owe no duty to exercise it and the relevant
    fund or income falls to be dealt with in accordance with the trusts in
    default of its exercise, whereas in the second case the Trustees must exercise
    the power and in default the Court will. It is briefly summarised in
    Halsbury, 3rd edition, volume 30, paragraph 445: " The Court will not
    " compel trustees to exercise a purely discretionary power given to them
    " but will restrain them from using it improperly and if coupled with a duty
    " will compel them to perform their duty ". It is a matter of construction
    whether the power is a mere power or a trust power and the use of
    inappropriate language is not decisive (Wilson v. Turner, 22 Ch D 521
    at 525).

    So, with all respect to the contrary view, I cannot myself see how,
    consistently with principle, it is possible to apply to the execution of a
    trust power the principles applicable to the permissible exercise by the donees
    (even if trustees) of mere powers; that would defeat the intention of
    donors completely.

    But with respect to mere powers, while the Court cannot compel the
    Trustees to exercise their powers, yet those entitled to the fund in default
    must clearly be entitled to restrain the Trustees from exercising it save
    among those within the power. So the Trustees or the Court must be able
    to say with certainty who is within and who is without the power. It is
    for this reason that I find myself unable to accept the broader proposition

    8

    advanced by Denning, M.R. and Winn, L.J. mentioned earlier, and agree
    with the proposition as enunciated in Re Gestetner and the later cases.

    My Lords, I would dismiss this appeal.

    Lord Donovan

    MY LORDS,

    Where trustees are given power to make payments out of a trust fund
    to members of a designated class, then if the trustees have a complete
    discretion as to whom they shall pay the money, or as to whether they
    shall make any payment at all. I see no reason why the whole clause should
    be regarded by the law as void for uncertainty simply because some members
    of the designated class might be unascertainable. It is true that this
    means that such members will never even get considered as possible objects
    of the trustees' discretion, but I regard that result as less unfortunate than
    depriving all the ascertainable members of any chance of benefit. I find
    myself therefore in complete sympathy with the rule that provided one can
    say with certainty whether a given individual is or is not a member of the
    class, the power collateral (as it is called) does not fail altogether simply
    because a complete list of every member cannot be drawn up.

    The Appellants in the present case, however, contend that the Trustees
    could not say with certainty that any given individual was a member of
    the class. Suppose, for example, that a particular claimant presented himself
    and said that Mr. Nubar Gulbenkian was " residing " with him. What tests
    would the Trustees apply to determine such " residence "? Would a short
    stay of a week be enough, or must there be something more enduring about
    the stay? The Trustees might even have to go further and ask themselves
    whether Mr. Gulbenkian was residing or employed under the care and
    control of the claimant. How would they decide what " care and control "
    meant in this context? I would agree that if one attempted an exhaustive
    definition of the persons and circumstances envisaged by the settlor when
    putting his signature to a settlement containing these words, the task would
    be impossible. But that simply means, I think, that one cannot determine
    at the outset all those persons comprised in the class—which is not fatal
    to the clause. When, however, a particular claimant presents himself, I
    think it is going too far to assert that the question whether he is qualified
    or not would be unanswerable. Take the word " residing " for example.
    There are numerous cases where the Courts have had to decide whether
    " A" was residing within the United Kingdom, or even " ordinarily"
    residing there: and though some of these problems were certainly difficult
    none was insuperable. If the Trustees were in doubt upon the matter,
    they could seek the ruling of the Court, which in my opinion would be
    forthcoming, not only as regards the question of " residing ", but also on
    the problems raised by the words " care and control", " employed" and
    so on. I agree, therefore, that the clause is not void for uncertainty. I
    should, however, like to associate myself with the criticism of my noble
    and learned friend, Lord Reid, of the language of the provision in dispute.
    I have never understood why some conveyancers should regard it as beneath
    their dignity to employ sub-paragraphs in a clause, so as to make their
    meaning plain. Much trouble and expense would have been avoided had
    that been done here.

    Other matters were canvassed before your Lordships. First, suppose
    that one individual alone is certainly within the class ; does the power
    collateral remain good even though the identity of the remainder of the
    class is uncertain: in other words, even though it would be impossible to
    say that any one given claimant out of the remainder was or was not
    within the class? The Master of the Rolls and Lord Justice Winn appear
    to think that certainty as regards one particular person only would be good
    enough: whereas hitherto the decided cases seem to have laid down that
    one must be able to tell of any given claimant whether he is within the

    9

    class or not, even though it may be impossible to make a complete list of
    the persons within the class. My noble and learned friend, Lord Upjohn,
    deals with this matter in his opinion, and while I am inclined to share his
    view I would reserve my opinion upon it, since in this case it would be
    purely obiter.

    Second, it has been suggested that it is irrational that in the case of a
    power which imposes a trust on the donee it should be necessary to the
    validity of the power that the whole range of objects eligible for selection
    should be capable of ascertainment, although this is not required in the
    case of a power collateral. At the moment I do not share this view. Nor
    did the Court of Appeal in I.R.C. v. Broadway Cottages Trust ([1955] 1 Ch.
    at page 36) for they described it as based on sound reasoning. This reasoning
    is developed in the opinion of my noble and learned friend, Lord Upjohn,
    and I agree with it. I say no more upon the matter for the point does not
    presently arise for decision.

    I agree that the appeal should be dismissed.

    (318582) Dd.l96999 200 10/68 St.S.


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