We are presented in this appeal with an intra-family dispute concerning the validity of the last will and testament of Isidore Sisko (also referred to herein as the “decedent”), a late resident of Jackson Heights, New York. In that testamentary instrument — which was admitted to probate in 1994 by the New York State Surrogate’s Court for Queens County (the “Surrogate’s Court”) — Isidore Sisko bequeathed the entirety of his estate to his sister, Defendant-Appellee Anne Sisko Pollin (“A.S. Pollin”), but gave nothing to his daughter and only child, Plaintiff-Appellant Rochelle S. Moser (“Moser”). Attributing her total disinheritance to foul play by A.S. Pollin and the other three defendants, Moser has turned concurrently to two courts for relief.
First, in March 1998, Moser petitioned the Surrogate’s Court to vacate its prior decree admitting the decedent’s will to probate. The basis for the vacatur petition were allegations by Moser that the decedent’s will is a forgery and that the defendants engaged in testamentary fraud. A trial remains forthcoming in that matter. Second, in April 2000, Moser filed in the United States District Court for the Eastern District of New York a diversity action asserting various state-law claims against the defendants, namely fraudulent concealment and constructive fraud in connection with the 1994 probate of the decedent’s will.
The appeal now before us arises directly out of Moser’s latter lawsuit. Specifically, Moser appeals from an order of the United States District Court for the Eastern District of New York (Frederic Block, Judge) staying the defendants’ motions to dismiss the complaint pending resolution of the concurrent vacatur proceeding before the Surrogate’s Court. Moser contends that the District Court abused its discretion in issuing the stay and thus Moser’s federal diversity action against the defendants should never have been held in abeyance. We decline to address the merits of the stay because we vacate the District Court’s order on jurisdictional grounds. For the reasons set forth below, we hold that the probate exception to federal diversity jurisdiction bars the District Court from exercising subject matter jurisdiction over Moser’s complaint.
FACTUAL BACKGROUND
When Isidore Sisko died on May 7, 1994, his gross estate was valued at approximately $900,000. Surviving the decedent
The decedent’s last will and testament (the “Will”), dated just two days before his death, named A.S. Pollin the executrix and sole beneficiary of his estate. The attesting witnesses to the Will were Hyman Sisko and Laura Monserrat, the daughter of the decedent’s long-time domestic companion. Were it not for the existence and operation of the Will, New York’s laws of intestacy would have caused the decedent’s entire estate to be distributed to Moser rather than A.S. Pollin. See N.Y. Est. Powers & Trusts Law § 4 1.1(a)(3).
On June 30, 1994, A.S. Pollin petitioned the Surrogate’s Court to admit the Will to probate. A.S. Pollin retained the services of George M. Cerrone (“Cerrone”), a New York attorney and the remaining defendant in this case. Pursuant to a Consent and Waiver to Probate executed by Moser, as well as affidavits of attestation submitted by Hyman Sisko and Laura Monserrat, the Surrogate’s Court issued a decree admitting the Will to probate on August 30, 1994 (the “1994 Probate Decree”).
The above events would have put to rest, so to speak, the decedent’s worldly affairs had not Moser subsequently become
aware of facts indicating that ... the signature contained on the decedent’s Will is not the signature of the decedent and constitutes a forgery; that the Will contained a false attestation clause; that the decedent was dead when the subscribing witnesses signed the Will; that the defendant Irvin Pollin had typed the Will; that one of the subscribing witnesses (Laura Monserrat) had signed her name as a witness to the decedent’s Will, without having spoken with the decedent, without having seen the decedent conscious, without having heard the ■decedent declare the instrument to be his Will and without having seen the decedent sign the Will; that both of the subscribing witnesses had executed false witness affidavits; and that the defendant Anne Sisko Pollin had submitted a false probate petition and false witness affidavits to the Surrogate’s Court.
Compl. ¶ 10. This newly discovered evidence prompted Moser to pursue concurrent legal action in two courts concerning the validity of the Will: the Surrogate’s Court and the United States District Court for the Eastern District of New York.
PROCEDURAL HISTORY
I. The Surrogate’s Court Proceeding
On March 4, 1998, Moser petitioned the Surrogate’s Court, inter alia, to withdraw her Waiver and Consent to Probate, to reopen probate proceedings so as to vacate the 1994 Probate Decree, and for an award of compensatory and punitive damages (the “Vacatur Petition”). Following discovery and several depositions, in a decree dated January 12, 1999, the Surrogate’s Court entered summary judgment on the Vacatur Petition against Moser.
The Supreme Court of New York, Appellate Division, Second Department reversed on the grounds that Moser had “raised issues of fact with regard to the procurement of .[her] waiver and consent, as well as sufficient evidence pointing to the invalidity of the will, to open probate.”
In re Sisko,
On August 2, 2000, the Surrogate’s Court granted Moser leave to amend the Vacatur Petition in order to augment factual assertions and to request that a con
At oral argument, we were informed by counsel for both parties that the Surrogate’s Court had not yet set a date for trial on the Amended Vacatur Petition and likely would not do so in the near future.
II. The Federal Diversity Action
The complaint in the instant diversity action (“the Complaint”) was filed by Mos-er on April 25, 2000, in the United States District Court for the Eastern District of New York. Its factual allegations are identical to those contained in the Amended Vacatur Petition, though the Complaint purports to set forth a total of seven causes of action under New York law against the defendants. Counts One through Four allege fraud and concealment by the defendants; Count Five alleges constructive fraud by the defendants; Count Six is not a distinct cause of action but seeks to impose a constructive trust on all of the decedent’s assets presently held by A.S. Pollin; and Count Seven alleges that Cerrone committed perjury in violation of New York Judiciary Law § 487. Besides compensatory damages totaling $7.‘5 million, Moser seeks punitive damages against all the defendants and an additional $4.5 million in treble damages against Cerrone under Count Seven.
On October 10, 2000, pursuant to Federal Rules of Civil Procedure 12(b)(1) and 12(b)(6), the defendants collectively moved to dismiss the Complaint for lack of subject matter jurisdiction, failure to state a claim, and res judicata. The defendants also moved in the alternative to stay Mos-er’s federal action pending resolution of the Amended Vacatur Petition before the Surrogate’s Court. On an individual basis, Irvin Pollin further moved to dismiss the Complaint pursuant to Federal Rule of Civil Procedure 12(b)(2) for lack of personal jurisdiction. On October 12, 2000, Cer-rone moved to dismiss the Complaint for failure to plead fraud with particularity as required by Federal Rule of Civil Procedure 9(b).
Oral 'argument on the motions was held on August 22, 2001. In a ruling delivered from the bench that day and later summarized in a written order, the District Court found that it possessed subject matter jurisdiction over Moser’s claims, but that nonetheless “the Rule 12 motions [should be] stayed pending the outcome of the proceeding currently before the Surrogate’s Court, Queens County.” 1
This timely appeal followed.
DISCUSSION
Questions of subject matter jurisdiction are reviewed
de novo. See Sol v. I.N.S.,
This action formally satisfies the statutory requisites of federal diversity jurisdiction: There is complete diversity between the parties and an amount in controversy exceeding $75,000.
See
28 U.S.C. § 1332(a)(1). Nevertheless, the Supreme Court has held that “probate matters” are excepted from the scope of federal diversity jurisdiction, “the reason being that the equity jurisdiction conferred by the Judiciary Act of 1789 ... which is that of the English Court of Chancery in 1789, did not extend to probate matters.”
Markham v. Allen,
A two-part inquiry is used to determine whether a particular lawsuit implicates “probate matters” such that the probate exception to federal diversity jurisdiction applies. An affirmative answer to either prong requires that the case be dismissed from federal court for lack of subject matter jurisdiction. First, is the federal district court sitting in diversity being asked to directly probate a will or administer an estate? These functions are “purely probate” in character and are considered to be categorically outside the jurisdiction of the federal courts.
See Markham,
On the other hand, it would not at all be surprising for a diversity action filed in federal district court to be
indirectly
related to the probate of a will or the administration of an estate. The instant appeal, as we determine
infra,
presents just such a factual circumstance. In respect of lawsuits that are- “probate-related” rather than purely probate in character, the Supreme Court has found that some but not all such suits fall categorically within the probate exception.
Markham,
II. Analysis
To begin, we believe this lawsuit could accurately be categorized as “purely probate” in character were it not for the cause-of-action labels used by Moser in her complaint.
Cf. Moore v. Graybeal,
We need not decide the relevance of labels in the probate exception context, however, to resolve this particular case. Instead, we assume that Moser’s lawsuit is probate-related rather than purely probate in character. Doing so requires us to apply only the interference prong of the probate exception. An impermissible interference for purposes of the probate exception might arise in one of three ways: if, by adjudicating the complaint, the federal district court (1) “interferes with the probate proceedings;” (2) “assumes general jurisdiction of the probate;” or (3) asserts “control of property in the custody of the state court.”
Markham,
We may. immediately eliminate from consideration the third category of interference as there are presently no assets of the decedent within the custody of the Surrogate’s Court. We may also eliminate from consideration the second category of interference — assuming “general jurisdiction of the probate.” This arises when the federal district court sitting in diversity entertains a cause of action that “under state law ... would be cognizable only by . the probate court.”
Lamberg v. Callahan,
All that remains, then, is to decide whether Moser’s federal diversity suit against the defendants would “interfere with the probate proceedings” concerning
By operation of collateral estoppel and res judicata, each of these final determinations by the District Court would be binding on the proceeding still pending before the Surrogate’s Court.
See Ryan v. N.Y. Tel. Co.,
In that petition, Moser seeks to withdraw her Waiver and Consent to Probate and thereby vacate the 1994 Probate Decree. New York law provides that “[a] party seeking to set aside a probate decree entered upon his consent must show that such consent was obtained by fraud or overreaching, [or] was the product of misrepresentation or misconduct, or that newly-discovered evidence, clerical error or other sufficient cause justifies the reopening of the decree.”
In re Hall,
We find this to be a clear instance of an impermissible interference for purposes of the probate exception to federal diversity jurisdiction. Any other conclusion would render meaningless the Supreme Court’s admonition that federal courts sitting in diversity may not “interfere with the probate proceedings” concurrently pending before a state court.
Markham,
In opposition, Moser relies principally on the Supreme Court’s statement in Markham that the probate exception does not preclude a federal court from
exercising its jurisdiction to adjudicate rights in [estate] property where the final judgment does not undertake to interfere with the state court’s possession save to the extent that the state court is bound by the judgment to recognize the right adjudicated by the federal court.
Moser also cites three prior decisions of this Court in which we found that a probate-related federal action did not interfere with pending probate proceedings: Giardina v. Fontana, Dulce v. Dulce, and Ashton v. Josephine Bay & C. Michael Paul Foundation, Inc. Significantly, not one of these three cases involved challenges to the validity of a will. But even apart from this substantial distinction, Moser’s reliance on these decisions is misplaced.
In
Giardina v. Fontana,
Similarly, in
Dulce v. Dulce,
Nor is Moser’s position aided by our decision in
Ashton v. Josephine Bay & C. Michael Paul Foundation, Inc.,
Finally, Moser argues that
In re Estate of Piccione,
Other factors further convince us that the Surrogate’s Court, having already before it a petition to revoke the Will as fraudulent, additionally holds the power to adjudicate Moser’s action for compensatory and punitive damages. First, by statute, the Surrogate’s Court is empowered to
exercise full and complete general jurisdiction in law and equity to administer justice in all matters relating to estates and the affairs of decedents, and ... to try and determine all questions, legal or equitable, arising between any party and any other person having any claim or interest therein, over whom jurisdiction has been obtained, as to any and all matters necessary to be determined in order to make a full, equitable and complete disposition of the matter by such order or decree as justice requires.
N.Y. S.C.P.A. § 201(3);
see also In re Estate of Ryan,
In the final analysis, Moser asserts no valid reason why this probate-related case should be litigated in federal court. The dispute between the parties turns singularly on the validity or invalidity of the decedent’s will. Expertise in this specialized inquiry falls squarely within the province of the Surrogate’s Court, a forum that can offer full legal relief for either side as well as prior judicial experience with the decedent’s estate in particular. By filing concurrent legal actions in two courts, Moser undoubtedly seeks to obtain a favorable federal judgment on the Complaint to use in the Surrogate’s Court in its pending disposition of the Amended Vacatur Petition. Such an interference with the functions of a state probate court is, we conclude, prohibited by the probate exception to federal diversity jurisdiction. ■
CONCLUSION
To summarize, we find that on the facts of this case the probate exception to federal diversity jurisdiction bars the District Court from asserting subject matter jurisdiction over the Complaint. To conclude otherwise would result in an impermissible interference with the proceedings concurrently pending before the New York State
Notes
. The District Court additionally denied Cer-rone’s Rule 9(b) motion on the merits. That ruling, however, has not been appealed.
.
Lamberg’s
formulation of the second category of interference has been dubbed the "route test” for the manner in which it ties the probate exception to the route the case would have taken had it instead been filed in the relevant state court system.
See
Peter Nicolas,
Fighting the Probate Mafia: A Dissection of the Probate Exception to Federal Court Jurisdiction,
74 S. Cal. L.Rev. 1479, 1489 (2001). This Circuit is not alone in its use of the route test.
See Bedo v. McGuire,
. While we have recognized that, as a practical matter, "[i]t is the policy of the New York courts to concentrate in the hands of the Surrogate all matters affecting the administration of estates,”
Beach v. Rome Trust Co.,
. Our holding comports with the interpretation of the probate exception applied in the Fifth and Eleventh Circuits. The position of those courts is that a federal court categorically does not have jurisdiction over any state law claim that rests upon a challenge to the validity of a will instrument.
See Blakeney v. Blakeney,
. This contention strikes us as specious in light of Moser's own Amended Vacatur Petition before the Surrogate's Court. Therein she pleads one count of fraudulent concealment and another count of constructive fraud — these are the same torts as are set forth in Moser’s federal complaint. Under both counts, all of the defendants are alleged to have committed the tort in question.
