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1 | | AN ACT concerning government.
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2 | | Be it enacted by the People of the State of Illinois, |
3 | | represented in the General Assembly:
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4 | | Section 5. The Trusts and Trustees Act is amended by |
5 | | changing Section 16.3 as follows: |
6 | | (760 ILCS 5/16.3) |
7 | | Sec. 16.3. Directed trusts. |
8 | | (a) Definitions. In this Section: |
9 | | (1) "Directing party" means any investment trust |
10 | | advisor, distribution trust advisor, or trust protector as |
11 | | provided in this Section. |
12 | | (2) "Distribution trust advisor" means any one or more |
13 | | persons given authority by the governing instrument to |
14 | | direct, consent to, veto, or otherwise exercise all or any |
15 | | portion of the distribution powers and discretions of the |
16 | | trust, including but not limited to authority to make |
17 | | discretionary distribution of income or principal. |
18 | | (3) "Excluded fiduciary" means any fiduciary that by |
19 | | the governing instrument is directed to act in accordance |
20 | | with the exercise of specified powers by a directing party, |
21 | | in which case such specified powers shall be deemed granted |
22 | | not to the fiduciary but to the directing party and such |
23 | | fiduciary shall be deemed excluded from exercising such |
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1 | | specified powers. If a governing instrument provides that a |
2 | | fiduciary as to one or more specified matters is to act, |
3 | | omit action, or make decisions only with the consent of a |
4 | | directing party, then such fiduciary is an excluded |
5 | | fiduciary with respect to such matters. Notwithstanding |
6 | | any provision of this Section to the contrary, a person |
7 | | does not fail to qualify as an excluded fiduciary solely by |
8 | | reason of having effectuated, participated in, or |
9 | | consented to a transaction, including but not limited to |
10 | | any transaction described in Section 16.1 or Section 16.4 |
11 | | of this Act, invoking the provisions of this Section with |
12 | | respect to any new or existing trust. |
13 | | (4) "Fiduciary" means any person expressly given one or |
14 | | more fiduciary duties by the governing instrument, |
15 | | including but not limited to a trustee. |
16 | | (5) "Governing instrument" refers to the instrument |
17 | | stating the terms of a trust, including but not limited to |
18 | | any court order or nonjudicial settlement agreement |
19 | | establishing, construing, or modifying the terms of the |
20 | | trust in accordance with Section 16.1, 16.4, or 16.6 or |
21 | | other applicable law. |
22 | | (6) "Investment trust advisor" means any one or more |
23 | | persons given authority by the governing instrument to |
24 | | direct, consent to, veto, or otherwise exercise all or any |
25 | | portion of the investment powers of the trust. |
26 | | (7) "Power" means authority to take or withhold an |
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1 | | action or decision, including but not limited to an |
2 | | expressly specified power, the implied power necessary to |
3 | | exercise a specified power, and authority inherent in a |
4 | | general grant of discretion. |
5 | | (8) "Trust protector" means any one or more persons |
6 | | given any one or more of the powers specified in subsection |
7 | | (d), whether or not designated with the title of trust |
8 | | protector by the governing instrument. |
9 | | (b) Powers of investment trust advisor. An investment trust |
10 | | advisor may be designated in the governing instrument of a |
11 | | trust. The powers of an investment trust advisor may be |
12 | | exercised or not exercised in the sole and absolute discretion |
13 | | of the investment trust advisor, and are binding on all other |
14 | | persons, including but not limited to each beneficiary, |
15 | | fiduciary, excluded fiduciary, and any other party having an |
16 | | interest in the trust. The governing instrument may use the |
17 | | title "investment trust advisor" or any similar name or |
18 | | description demonstrating the intent to provide for the office |
19 | | and function of an investment trust advisor. Unless the terms |
20 | | of the governing instrument provide otherwise, the investment |
21 | | trust advisor has the authority to: |
22 | | (1) direct the trustee with respect to the retention, |
23 | | purchase, transfer, assignment, sale, or encumbrance of |
24 | | trust property and the investment and reinvestment of |
25 | | principal and income of the trust; |
26 | | (2) direct the trustee with respect to all management, |
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1 | | control, and voting powers related directly or indirectly |
2 | | to trust assets, including but not limited to voting |
3 | | proxies for securities held in trust; |
4 | | (3) select and determine reasonable compensation of |
5 | | one or more advisors, managers, consultants, or |
6 | | counselors, including the trustee, and to delegate to them |
7 | | any of the powers of the investment trust advisor in |
8 | | accordance with subsection (b) of Section 5.1; and |
9 | | (4) determine the frequency and methodology for |
10 | | valuing any asset for which there is no readily available |
11 | | market value. |
12 | | (c) Powers of distribution trust advisor. A distribution |
13 | | trust advisor may be designated in the governing instrument of |
14 | | a trust. The powers of a distribution trust advisor may be |
15 | | exercised or not exercised in the sole and absolute discretion |
16 | | of the distribution trust advisor, and are binding on all other |
17 | | persons, including but not limited to each beneficiary, |
18 | | fiduciary, excluded fiduciary, and any other party having an |
19 | | interest in the trust. The governing instrument may use the |
20 | | title "distribution trust advisor" or any similar name or |
21 | | description demonstrating the intent to provide for the office |
22 | | and function of a distribution trust advisor. Unless the terms |
23 | | of the governing instrument provide otherwise, the |
24 | | distribution trust advisor has authority to direct the trustee |
25 | | with regard to all decisions relating directly or indirectly to |
26 | | discretionary distributions to or for one or more |
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1 | | beneficiaries. |
2 | | (d) Powers of trust protector. A trust protector may be |
3 | | designated in the governing instrument of a trust. The powers |
4 | | of a trust protector may be exercised or not exercised in the |
5 | | sole and absolute discretion of the trust protector, and are |
6 | | binding on all other persons, including but not limited to each |
7 | | beneficiary, investment trust advisor, distribution trust |
8 | | advisor, fiduciary, excluded fiduciary, and any other party |
9 | | having an interest in the trust. The governing instrument may |
10 | | use the title "trust protector" or any similar name or |
11 | | description demonstrating the intent to provide for the office |
12 | | and function of a trust protector. The powers granted to a |
13 | | trust protector by the governing instrument may include but are |
14 | | not limited to authority to do any one or more of the |
15 | | following: |
16 | | (1) modify or amend the trust instrument to achieve |
17 | | favorable tax status or respond to changes in the Internal |
18 | | Revenue Code, federal laws, State law, or the rulings and |
19 | | regulations under such laws; |
20 | | (2) increase, decrease, or modify the interests of any |
21 | | beneficiary or beneficiaries of the trust; |
22 | | (3) modify the terms of any power of appointment |
23 | | granted by the trust; provided, however, such modification |
24 | | or amendment may not grant a beneficial interest to any |
25 | | individual, class of individuals, or other parties not |
26 | | specifically provided for under the trust instrument; |
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1 | | (4) remove, appoint, or remove and appoint, a trustee, |
2 | | investment trust advisor, distribution trust advisor, |
3 | | another directing party, investment committee member, or |
4 | | distribution committee member, including designation of a |
5 | | plan of succession for future holders of any such office; |
6 | | (5) terminate the trust, including determination of |
7 | | how the trustee shall distribute the trust property to be |
8 | | consistent with the purposes of the trust; |
9 | | (6) change the situs of the trust, the governing law of |
10 | | the trust, or both; |
11 | | (7) appoint one or more successor trust protectors, |
12 | | including designation of a plan of succession for future |
13 | | trust protectors; |
14 | | (8) interpret terms of the trust instrument at the |
15 | | request of the trustee; |
16 | | (9) advise the trustee on matters concerning a |
17 | | beneficiary; or |
18 | | (10) amend or modify the trust instrument to take |
19 | | advantage of laws governing restraints on alienation, |
20 | | distribution of trust property, or to improve the |
21 | | administration of the trust. |
22 | | If a charity is a current beneficiary or a presumptive |
23 | | remainder beneficiary of the trust, a trust protector must give |
24 | | notice to the Attorney General's Charitable Trust Bureau at |
25 | | least 60 days before taking any of the actions authorized under |
26 | | item (2), (3), (4), (5), or (6) of this subsection. The |
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1 | | Attorney General's Charitable Trust Bureau may, however, waive |
2 | | this notice requirement. |
3 | | (e) Duty and liability of directing party. A directing |
4 | | party is a fiduciary of the trust subject to the same duties |
5 | | and standards applicable to a trustee of a trust as provided by |
6 | | applicable law unless the governing instrument provides |
7 | | otherwise, but the governing instrument may not, however, |
8 | | relieve or exonerate a directing party from the duty to act or |
9 | | withhold acting as the directing party in good faith reasonably |
10 | | believes is in the best interests of the trust. |
11 | | (f) Duty and liability of excluded fiduciary. The excluded |
12 | | fiduciary shall act in accordance with the governing instrument |
13 | | and comply with the directing party's exercise of the powers |
14 | | granted to the directing party by the governing instrument. |
15 | | Unless otherwise provided in the governing instrument, an |
16 | | excluded fiduciary has no duty to monitor, review, inquire, |
17 | | investigate, recommend, evaluate, or warn with respect to a |
18 | | directing party's exercise or failure to exercise any power |
19 | | granted to the directing party by the governing instrument, |
20 | | including but not limited to any power related to the |
21 | | acquisition, disposition, retention, management, or valuation |
22 | | of any asset or investment. Except as otherwise provided in |
23 | | this Section or the governing instrument, an excluded fiduciary |
24 | | is not liable, either individually or as a fiduciary, for any |
25 | | action, inaction, consent, or failure to consent by a directing |
26 | | party, including but not limited to any of the following: |
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1 | | (1) if a governing instrument provides that an excluded |
2 | | fiduciary is to follow the direction of a directing party, |
3 | | and such excluded fiduciary acts in accordance with such a |
4 | | direction, then except in cases of willful misconduct on |
5 | | the part of the excluded fiduciary in complying with the |
6 | | direction of the directing party, the excluded fiduciary is |
7 | | not liable for any loss resulting directly or indirectly |
8 | | from following any such direction, including but not |
9 | | limited to compliance regarding the valuation of assets for |
10 | | which there is no readily available market value; |
11 | | (2) if a governing instrument provides that an excluded |
12 | | fiduciary is to act or omit to act only with the consent of |
13 | | a directing party, then except in cases of willful |
14 | | misconduct on the part of the excluded fiduciary, the |
15 | | excluded fiduciary is not liable for any loss resulting |
16 | | directly or indirectly from any act taken or omitted as a |
17 | | result of such directing party's failure to provide such |
18 | | consent after having been asked to do so by the excluded |
19 | | fiduciary; or |
20 | | (3) if a governing instrument provides that, or for any |
21 | | other reason, an excluded fiduciary is required to assume |
22 | | the role or responsibilities of a directing party, or if |
23 | | the excluded party appoints a directing party or successor |
24 | | to a directing party, then the excluded fiduciary shall |
25 | | also assume the same fiduciary and other duties and |
26 | | standards that applied to such directing party. |
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1 | | (g) Submission to court jurisdiction; effect on directing |
2 | | party. By accepting an appointment to serve as a directing |
3 | | party of a trust that is subject to the laws of this State, the |
4 | | directing party submits to the jurisdiction of the courts of |
5 | | this State even if investment advisory agreements or other |
6 | | related agreements provide otherwise, and the directing party |
7 | | may be made a party to any action or proceeding if issues |
8 | | relate to a decision or action of the directing party. |
9 | | (h) Duty to inform excluded fiduciary. Each directing party |
10 | | shall keep the excluded fiduciary and any other directing party |
11 | | reasonably informed regarding the administration of the trust |
12 | | with respect to any specific duty or function being performed |
13 | | by the directing party to the extent that the duty or function |
14 | | would normally be performed by the excluded fiduciary or to the |
15 | | extent that providing such information to the excluded |
16 | | fiduciary or other directing party is reasonably necessary for |
17 | | the excluded fiduciary or other directing party to perform its |
18 | | duties, and the directing party shall provide such information |
19 | | as reasonably requested by the excluded fiduciary or other |
20 | | directing party. Neither the performance nor the failure to |
21 | | perform of a directing party's duty to inform as provided in |
22 | | this subsection affects whatsoever the limitation on the |
23 | | liability of the excluded fiduciary as provided in this |
24 | | Section. |
25 | | (i) Reliance on counsel. An excluded fiduciary may, but is |
26 | | not required to, obtain and rely upon an opinion of counsel on |
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1 | | any matter relevant to this Section. |
2 | | (j) Applicability. On and after its effective date, this |
3 | | Section applies to: |
4 | | (1) all existing and future trusts that appoint or |
5 | | provide for a directing party, including but not limited to |
6 | | a party granted power or authority effectively comparable |
7 | | in substance to that of a directing party as provided in |
8 | | this Section; or |
9 | | (2) any existing or future trust that: |
10 | | (A) is modified in accordance with applicable law |
11 | | or the terms of the governing instrument to appoint or |
12 | | provide for a directing party; or |
13 | | (B) is modified to appoint or provide for a |
14 | | directing party, including but not limited to a party |
15 | | granted power or authority effectively comparable in |
16 | | substance to that of a directing party, in accordance |
17 | | with (i) a court order, or (ii) a nonjudicial |
18 | | settlement agreement made in accordance with Section |
19 | | 16.1, whether or not such order or agreement specifies |
20 | | that this Section governs the responsibilities, |
21 | | actions, and liabilities of persons designated as a |
22 | | directing party or excluded fiduciary.
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23 | | (Source: P.A. 97-921, eff. 1-1-13.) |