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AN ACT
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relating to the formation, governance, and internal management of |
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domestic entities. |
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BE IT ENACTED BY THE LEGISLATURE OF THE STATE OF TEXAS: |
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SECTION 1. Section 1.002(55-a), Business Organizations |
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Code, is amended to read as follows: |
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(55-a) "National securities exchange" means: |
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(A) an exchange registered as a national |
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securities exchange under Section 6, Securities Exchange Act of |
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1934 (15 U.S.C. Section 78f); or |
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(B) a stock exchange that: |
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(i) has its principal office in this state; |
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and |
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(ii) has received approval by the |
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securities commissioner under Subchapter C, Chapter 4005, |
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Government Code. |
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SECTION 2. Subchapter B, Chapter 1, Business Organizations |
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Code, is amended by adding Section 1.056 to read as follows: |
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Sec. 1.056. LAWS GOVERNING FORMATION, INTERNAL AFFAIRS, AND |
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GOVERNANCE OF DOMESTIC ENTITY. The managerial officials of a |
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domestic entity, in exercising their powers with respect to the |
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domestic entity, may consider the laws and judicial decisions of |
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other states and the practices observed by entities formed in those |
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other states. The failure or refusal of a managerial official to |
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consider, or to conform the exercise of the managerial official's |
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powers to, the laws, judicial decisions, or practices of another |
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state does not constitute or imply a breach of this code or of any |
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duty existing under the laws of this state. |
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SECTION 3. Section 2.115(b), Business Organizations Code, |
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is amended to read as follows: |
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(b) The governing documents of a domestic entity [may |
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require], consistent with applicable state and federal |
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jurisdictional requirements, may require: |
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(1) that any internal entity claims shall be brought |
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only in a court in this state; and |
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(2) that one or more courts in this state having |
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jurisdiction shall serve as the exclusive forum and venue for any |
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internal entity claims. |
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SECTION 4. Subchapter B, Chapter 2, Business Organizations |
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Code, is amended by adding Section 2.116 to read as follows: |
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Sec. 2.116. WAIVER OF TRIAL BY JURY. (a) In this section, |
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"internal entity claim" has the meaning assigned by Section 2.115. |
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(b) The governing documents of a domestic entity may contain |
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a waiver of the right to a jury trial concerning any internal entity |
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claim. |
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(c) In a lawsuit asserting an internal entity claim, a |
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waiver of the right to a jury trial contained in the governing |
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documents of a domestic entity is enforceable, regardless of |
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whether the applicable governing document is signed by the members, |
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owners, officers, or governing persons. |
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(d) A person asserting an internal entity claim is |
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considered to have been informed of the waiver of the right to a |
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jury trial contained in the governing documents and to have |
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knowingly waived the right in the action if the person: |
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(1) voted for or affirmatively ratified the governing |
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document containing the waiver; or |
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(2) acquired an equity security of the domestic entity |
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or any predecessor to the entity at, or continued to hold an equity |
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security of a domestic entity that has one or more classes of equity |
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securities listed on a national securities exchange after, a time |
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at which the waiver was included in the governing documents. |
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(e) Nothing in this section prevents an entity from showing |
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that a person asserting an internal entity claim knowingly and |
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informedly waived the right to a jury trial by any evidence |
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satisfactory to the court having jurisdiction, including by the |
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person's consent or acquiescence to the waiver contained in the |
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governing documents. |
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SECTION 5. Section 21.218, Business Organizations Code, is |
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amended by amending Subsection (b) and adding Subsections (b-2) and |
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(b-3) to read as follows: |
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(b) On written demand stating a proper purpose, a holder of |
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shares of a corporation for at least six months immediately |
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preceding the holder's demand, or a holder of at least five percent |
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of all of the outstanding shares of a corporation, is entitled to |
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examine and copy, at a reasonable time at the corporation's |
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principal place of business or other location approved by the |
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corporation and the holder, the corporation's books, records of |
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account, minutes, share transfer records, and other records, |
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whether in written or other tangible form, if the records are |
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[record is] reasonably related to and appropriate to examine and |
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copy for that proper purpose. For purposes of this subsection, the |
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records of the corporation shall not include e-mails, text messages |
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or similar electronic communications, or information from social |
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media accounts unless the particular e-mail, communication, or |
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social media information effectuates an action by the corporation. |
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(b-2) This subsection applies only to a corporation that has |
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a class or series of voting shares listed on a national securities |
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exchange or that has made an affirmative election to be governed by |
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Section 21.419. For purposes of Subsection (b), a written demand |
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shall not be for a proper purpose if the corporation reasonably |
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determines that the demand is in connection with: |
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(1) an active or pending derivative proceeding in the |
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right of the corporation under Subchapter L that is or is expected |
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to be instituted or maintained by the holder or the holder's |
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affiliate; or |
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(2) an active or pending civil lawsuit to which the |
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corporation, or its affiliate, and the holder, or the holder's |
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affiliate, are or are expected to be adversarial named parties. |
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(b-3) Subsection (b-2) does not impair any rights of: |
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(1) the holder or the holder's affiliate to obtain |
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discovery of records from the corporation in: |
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(A) a civil lawsuit described by Subsection |
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(b-2)(2); or |
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(B) the derivative proceeding subject to Section |
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21.556; or |
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(2) the holder to obtain a court order to compel |
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production of records of the corporation for examination by the |
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holder as provided by Subsection (c). |
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SECTION 6. Section 21.364, Business Organizations Code, is |
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amended by amending Subsections (d) and (e) and adding Subsection |
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(e-1) to read as follows: |
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(d) Unless an amendment to the certificate of formation is |
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undertaken by the board of directors under Section 21.155, separate |
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voting by a class or series of shares of a corporation is required |
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for approval of an amendment to the certificate of formation that |
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would result in: |
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(1) the increase or decrease of the aggregate number |
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of authorized shares of the class or series, except that the number |
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of authorized shares of any class or series may be increased or |
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decreased, but not below the number of shares of the class or series |
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then outstanding, by the affirmative vote of the holders of a |
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majority of the stock of the corporation entitled to vote, as |
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provided by: |
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(A) the certificate of formation; or |
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(B) an amendment of the certificate of formation |
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that: |
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(i) authorized the shares of the class or |
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series; |
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(ii) was adopted before the issuance of any |
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shares of the class or series; or |
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(iii) was authorized by one or more |
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resolutions adopted by the affirmative vote of the holders of a |
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majority of the shares of the class or series; |
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(2) the increase or decrease of the par value of the |
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shares of the class or series, including changing shares with par |
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value into shares without par value or changing shares without par |
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value into shares with par value; |
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(3) effecting an exchange, reclassification, or |
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cancellation of all or part of the shares of the class or series; |
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(4) effecting an exchange or creating a right of |
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exchange of all or part of the shares of another class or series |
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into the shares of the class or series; |
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(5) the change of the designations, preferences, |
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limitations, or relative rights of the shares of the class or |
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series; |
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(6) the change of the shares of the class or series, |
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with or without par value, into the same or a different number of |
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shares, with or without par value, of the same class or series or |
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another class or series; |
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(7) the creation of a new class or series of shares |
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with rights and preferences equal, prior, or superior to the shares |
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of the class or series; |
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(8) increasing the rights and preferences of a class |
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or series with rights and preferences equal, prior, or superior to |
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the shares of the class or series; |
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(9) increasing the rights and preferences of a class |
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or series with rights or preferences later or inferior to the shares |
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of the class or series in such a manner that the rights or |
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preferences will be equal, prior, or superior to the shares of the |
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class or series; |
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(10) dividing the shares of the class into series and |
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setting and determining the designation of the series and the |
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variations in the relative rights and preferences between the |
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shares of the series; |
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(11) the limitation or denial of existing preemptive |
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rights or cumulative voting rights of the shares of the class or |
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series; |
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(12) canceling or otherwise affecting the dividends on |
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the shares of the class or series that have accrued but have not |
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been declared; or |
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(13) the inclusion or deletion from the certificate of |
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formation of provisions required or permitted to be included in the |
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certificate of formation of a close corporation under Subchapter O. |
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(e) Except as provided by Subsection (e-1), the [The] vote |
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required under Subsection (d) by a class or series of shares of a |
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corporation is required notwithstanding that shares of that class |
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or series do not otherwise have a right to vote under the |
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certificate of formation. |
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(e-1) If the certificate of formation provides that any vote |
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required by Subsection (d) shall be as a single class and without |
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separate voting by class or series, then shares of a class or series |
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that do not otherwise have a right to vote under the certificate of |
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formation shall be treated as having no votes in the vote as a |
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single class. |
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SECTION 7. Section 21.365(b), Business Organizations Code, |
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is amended to read as follows: |
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(b) With respect to a matter for which the affirmative vote |
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of the holders of a specified portion of the shares of a class or |
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series is required by this code, the certificate of formation may |
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provide that: |
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(1) the affirmative vote of the holders of a specified |
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portion, but not less than the majority, of the shares of that class |
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or series is required for action of the holders of shares of that |
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class or series on that matter; and |
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(2) notwithstanding any other provision of this code, |
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all classes or series of stock shall only be entitled to vote as a |
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single class or series, and separate voting by class or series is |
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not required, for the purpose of approving any matter, including in |
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connection with any fundamental action or fundamental business |
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transaction. |
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SECTION 8. Section 21.416, Business Organizations Code, is |
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amended by adding Subsection (g) to read as follows: |
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(g) This subsection applies only to a corporation that has a |
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class or series of voting shares listed on a national securities |
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exchange or that has made an affirmative election to be governed by |
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Section 21.419. The board of directors may adopt resolutions that |
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authorize the formation of a committee of independent and |
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disinterested directors to review and approve transactions, |
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whether or not contemplated at the time of the committee's |
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formation or a petition under Section 21.4161, involving the |
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corporation or any of its subsidiaries and a controlling |
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shareholder, director, or officer. |
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SECTION 9. Subchapter I, Chapter 21, Business Organizations |
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Code, is amended by adding Section 21.4161 to read as follows: |
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Sec. 21.4161. DETERMINATION OF INDEPENDENT AND |
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DISINTERESTED DIRECTORS. (a) A corporation that adopts a |
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resolution to authorize the formation of a committee of independent |
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and disinterested directors under Section 21.416(g) may petition a |
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court having jurisdiction to hold an evidentiary hearing to |
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determine whether the directors appointed to the committee are |
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independent and disinterested with respect to any transactions |
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involving the corporation or any of its subsidiaries and a |
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controlling shareholder, director, or officer. |
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(b) A petition under Subsection (a) shall be filed in the |
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business court unless the corporation's principal place of business |
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in this state is located in a county not contained within an |
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operating division of the business court, in which case the |
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petition may be filed in a district court in the county in which the |
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corporation's principal place of business in this state is located. |
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(c) In the petition, the corporation shall designate legal |
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counsel to act on behalf of the corporation and its shareholders, |
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other than the controlling shareholder, director, or officer |
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involved in the transaction. |
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(d) The corporation shall give notice to the corporation's |
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shareholders that: |
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(1) a petition has been filed under this section; |
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(2) identifies the court in which the petition is |
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filed and provides the case number for the proceeding; |
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(3) identifies counsel designated to act on behalf of |
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the corporation and its shareholders, other than the controlling |
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shareholder, director, or officer involved in the transaction; and |
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(4) the shareholders, other than the controlling |
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shareholder, director, or officer involved in the transaction, have |
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the right to participate in the proceeding in person or through |
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counsel. |
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(e) If the corporation has a class of its shares listed on a |
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national securities exchange, the notice required by Subsection (d) |
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may be provided through the filing of a current report with the |
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United States Securities and Exchange Commission in accordance with |
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the requirements of the Securities Exchange Act of 1934 (15 U.S.C. |
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Section 78a et seq.), and any rules promulgated under that Act. |
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(f) Not earlier than the 10th day after the date the notice |
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required under Subsection (d) is given, the court shall hold a |
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preliminary hearing to determine the appropriate legal counsel to |
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represent the corporation and its shareholders, other than the |
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controlling shareholder, director, or officer involved in the |
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transaction, whether or not the same as the legal counsel |
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identified in the petition. Any other legal counsel representing a |
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shareholder, other than the controlling shareholder, director, or |
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officer involved in the transaction, may participate in the hearing |
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to: |
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(1) object to counsel designated by the corporation in |
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the petition on the ground that the designated counsel is |
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insufficiently independent and disinterested; or |
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(2) request designation by the court as the |
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appropriate legal counsel. |
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(g) After the court determines the appropriate legal |
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counsel under Subsection (f), the court shall promptly hold an |
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evidentiary hearing as to whether the directors on the committee |
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are independent and disinterested with respect to transactions |
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involving the corporation or any of its subsidiaries and a |
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controlling shareholder, director, or officer. The appropriate |
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legal counsel determined under Subsection (f) and legal counsel for |
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the corporation may participate in the hearing. After hearing and |
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reviewing the evidence presented, the court shall make its |
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determination as to whether the directors on the committee are |
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independent and disinterested. |
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(h) The court's determination that the directors are |
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independent and disinterested under Subsection (g) shall be |
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dispositive in the absence of facts, not presented to the court, |
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constituting evidence sufficient to prove that one or more of those |
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directors is not independent and disinterested with respect to a |
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particular transaction involving the corporation or any of its |
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subsidiaries and a controlling shareholder, director, or officer. |
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SECTION 10. Section 21.418, Business Organizations Code, is |
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amended by adding Subsection (f) to read as follows: |
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(f) This subsection applies only to a corporation that has a |
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class or series of voting shares listed on a national securities |
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exchange or has made an affirmative election to be governed by |
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Section 21.419. Regardless of whether the conditions of Subsection |
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(b) are satisfied, neither the corporation nor any of the |
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corporation's shareholders will have a cause of action against any |
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director or officer for breach of duty with respect to the making, |
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authorization, or performance of the contract or transaction |
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because the director or officer had the relationship or interest |
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described by Subsection (a) or took any of the actions authorized by |
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Subsection (d) unless the cause of action is permitted by Section |
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21.419. |
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SECTION 11. Subchapter I, Chapter 21, Business |
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Organizations Code, is amended by adding Section 21.419 to read as |
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follows: |
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Sec. 21.419. PRESUMPTIONS FOR DIRECTORS AND OFFICERS OF |
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CERTAIN CORPORATIONS. (a) This section applies only to a |
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corporation that has: |
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(1) a class or series of voting shares listed on a |
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national securities exchange; or |
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(2) included in its governing documents a statement |
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affirmatively electing to be governed by this section. |
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(b) This section sets out certain presumptions concerning |
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compliance by directors and officers with their duties to a |
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domestic corporation, including the duty of care and duty of |
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loyalty as those duties pertain to transactions with interested |
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persons. |
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(c) In taking or declining to take any action on any matters |
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of a corporation's business, a director or officer is presumed to |
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act: |
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(1) in good faith; |
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(2) on an informed basis; |
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(3) in furtherance of the interests of the |
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corporation; and |
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(4) in obedience to the law and the corporation's |
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governing documents. |
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(d) Neither a corporation nor any of the corporation's |
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shareholders has a cause of action against a director or officer of |
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the corporation as a result of any act or omission in the person's |
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capacity as a director or officer unless: |
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(1) the claimant rebuts one or more of the |
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presumptions established by Subsection (c); and |
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(2) it is proven by the claimant that: |
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(A) the director's or officer's act or omission |
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constituted a breach of one or more of the person's duties as a |
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director or officer; and |
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(B) the breach involved fraud, intentional |
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misconduct, an ultra vires act, or a knowing violation of law. |
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(e) The presumptions established by this section: |
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(1) are in addition to any legal presumption arising |
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under common law or this code, in favor of any managerial official |
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of a corporation to which this section applies; and |
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(2) do not abrogate, preempt, or lessen any other |
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defense, presumption, immunity, or privilege under other |
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constitutional, statutory, case, or common law or rule provisions, |
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in favor of any managerial official of any domestic entity, |
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including any corporation to which this section does not apply. |
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(f) In alleging fraud, intentional misconduct, an ultra |
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vires act, or a knowing violation of the law under Subsection |
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(d)(2)(B), a party must state with particularity the circumstances |
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constituting the fraud, intentional misconduct, ultra vires act, or |
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knowing violation of law. |
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(g) This section does not limit the effectiveness or |
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applicability of a provision contained in the certificate of |
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formation or similar instrument of a corporation limiting monetary |
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liability of a governing person. |
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SECTION 12. Section 21.551(2), Business Organizations |
|
Code, is amended to read as follows: |
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(2) "Shareholder" includes: |
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(A) a shareholder as defined by Section 1.002; |
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(B) [or] a beneficial owner whose shares are held |
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in a voting trust or by a nominee on the beneficial owner's behalf; |
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or |
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(C) two or more shareholders acting in concert |
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under an informal or formal agreement or understanding with respect |
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to a derivative proceeding. |
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SECTION 13. Section 21.552(a), Business Organizations |
|
Code, is amended to read as follows: |
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(a) Subject to Subsection (b), a shareholder may not |
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institute or maintain a derivative proceeding unless: |
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(1) the shareholder: |
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(A) was a shareholder of the corporation at the |
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time of the act or omission complained of; or |
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(B) became a shareholder by operation of law |
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originating from a person that was a shareholder at the time of the |
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act or omission complained of; [and] |
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(2) the shareholder fairly and adequately represents |
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the interests of the corporation in enforcing the right of the |
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corporation; and |
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(3) for a corporation with common shares listed on a |
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national securities exchange or a corporation that has made an |
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affirmative election to be governed by Section 21.419 and has 500 or |
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more shareholders, at the time the derivative proceeding is |
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instituted, the shareholder beneficially owns a number of the |
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common shares sufficient to meet the required ownership threshold |
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to institute a derivative proceeding in the right of the |
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corporation identified in the corporation's certificate of |
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formation or bylaws, provided that the required ownership threshold |
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does not exceed three percent of the outstanding shares of the |
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corporation. |
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SECTION 14. Section 21.554, Business Organizations Code, is |
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amended by amending Subsection (b) and adding Subsections (c), (d), |
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(e), (f), (g), (h), and (i) to read as follows: |
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(b) The court shall appoint a panel under Subsection (a)(3) |
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if the court finds that the individuals recommended by the |
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corporation are independent and disinterested and are otherwise |
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qualified with respect to expertise, experience, independent |
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judgment, and other factors considered appropriate by the court |
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under the circumstances to make the determinations. An individual |
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appointed by the court to a panel under this section may be a |
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director. An individual appointed by the court to a panel under |
|
this section may not be held liable to the corporation or the |
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corporation's shareholders for an action taken or omission made by |
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the individual in that capacity, except for an act or omission |
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constituting fraud or wilful misconduct. |
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(c) Before the corporation's determination of how to |
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proceed on the allegations under Subsection (a), the corporation |
|
may petition the court having jurisdiction to make a finding as to |
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whether the directors identified or appointed under Subsection |
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(a)(1) or (2) are independent and disinterested with respect to the |
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allegations made in the demand. |
|
(d) If a derivative proceeding has been instituted, a |
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petition under Subsection (c) shall be filed in the court in which |
|
the proceeding was instituted. If no derivative proceeding has |
|
been instituted, a petition under Subsection (c) shall be filed in |
|
the business court unless the corporation's principal place of |
|
business in this state is located in a county not contained within |
|
an operating division of the business court, in which case the |
|
petition may be filed in a district court in the county in which the |
|
corporation's principal place of business in this state is located. |
|
(e) The corporation must serve a copy of the petition on the |
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shareholder filing the derivative proceeding or making the demand. |
|
(f) Unless extended for good cause, a court in which a |
|
petition under Subsection (c) is filed must conduct an evidentiary |
|
hearing on the petition on or before the 45th day after the date the |
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petition is filed. |
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(g) A shareholder on whom a petition is served under |
|
Subsection (e) is entitled to be served with all notices and papers |
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filed in the action and to intervene in the action to challenge the |
|
petition. Unless good cause is shown, a shareholder who is not |
|
already a party to the action must intervene not later than the |
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seventh day before the date the petition is heard by the court. |
|
(h) Unless extended for good cause, not later than the 75th |
|
day after the date the petition is filed, the court shall sign an |
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order stating whether the directors are independent and |
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disinterested. |
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(i) A court's finding that the directors or individuals are |
|
independent and disinterested under this section shall be |
|
dispositive in the absence of discovery of facts, not presented to |
|
the court, constituting evidence sufficient to prove that one or |
|
more of those directors or individuals are not independent and |
|
disinterested. |
|
SECTION 15. Section 21.561, Business Organizations Code, is |
|
amended by adding Subsection (c) to read as follows: |
|
(c) For purposes of Subsection (b), a substantial benefit to |
|
the corporation does not include additional or amended disclosures |
|
made to the shareholders, regardless of materiality. |
|
SECTION 16. Section 21.562(a), Business Organizations |
|
Code, is amended to read as follows: |
|
(a) In a derivative proceeding brought in the right of a |
|
foreign corporation, the matters covered by this subchapter are |
|
governed by the laws of the jurisdiction of formation of the foreign |
|
corporation, except for Sections 21.555, 21.560, and 21.561, which |
|
with respect to foreign corporations are procedural provisions and |
|
do not relate to the internal affairs of the foreign corporation, |
|
unless applying the laws of the jurisdiction of formation of the |
|
foreign corporation requires otherwise with respect to Section |
|
21.555. |
|
SECTION 17. Subchapter F, Chapter 101, Business |
|
Organizations Code, is amended by adding Section 101.256 to read as |
|
follows: |
|
Sec. 101.256. PRESUMPTIONS FOR GOVERNING PERSONS OF CERTAIN |
|
LIMITED LIABILITY COMPANIES. (a) This section applies only to a |
|
limited liability company that has a class or series of voting |
|
membership interests listed on a national securities exchange. |
|
Nothing in this subsection prohibits a limited liability company |
|
from adopting, in its company agreement, a provision that |
|
duplicates the effect of this section, regardless of whether the |
|
limited liability company has a class or series of voting |
|
membership interests listed on a national securities exchange. |
|
(b) This section sets out certain presumptions concerning |
|
compliance by managerial officials with their duties, if any, to a |
|
domestic limited liability company, including any duties that |
|
pertain to transactions with interested persons. |
|
(c) In taking or declining to take any action on any matters |
|
of a limited liability company's business, a governing person or |
|
officer, and each affiliate or associate of a governing person or |
|
officer, is presumed to act in good faith and in compliance with: |
|
(1) the person's or officer's duties required under |
|
common law or the governing documents of the limited liability |
|
company; and |
|
(2) the governing documents of the limited liability |
|
company. |
|
(d) Neither a limited liability company nor any of the |
|
company's members has a cause of action against a governing person |
|
or officer or any affiliate or associate of a governing person or |
|
officer of the company as a result of any act or omission in the |
|
person's capacity as a governing person or officer of the company |
|
unless: |
|
(1) the claimant rebuts one or more of the |
|
presumptions established by Subsection (c); and |
|
(2) it is proven by the claimant that: |
|
(A) the act or omission of the governing person |
|
or officer or affiliate or associate of a governing person or |
|
officer constituted a breach of one or more of the person's duties |
|
as a governing person or officer to the extent the duty has not been |
|
modified or eliminated through an affirmative election contained in |
|
the governing documents as permitted by this chapter; and |
|
(B) the breach involved fraud, intentional |
|
misconduct, an ultra vires act, or a knowing violation of law. |
|
(e) The presumptions established by this section: |
|
(1) are in addition to any legal presumption arising |
|
under common law or this code, in favor of any governing person or |
|
officer to which this section applies; and |
|
(2) do not abrogate, preempt, or lessen any other |
|
defense, presumption, immunity, or privilege under other |
|
constitutional, statutory, case, or common law or rule provisions, |
|
in favor of any governing person or officer of any domestic entity, |
|
including any limited liability company to which this section does |
|
not apply. |
|
(f) In alleging fraud, intentional misconduct, an ultra |
|
vires act, or a knowing violation of the law under Subsection |
|
(d)(2)(B), a party must state with particularity the circumstances |
|
constituting the fraud, intentional misconduct, ultra vires act, or |
|
knowing violation of law. |
|
(g) This section does not limit the effectiveness or |
|
applicability of a provision contained in the certificate of |
|
formation or company agreement of a limited liability company |
|
limiting monetary liability of a governing person or officer. |
|
SECTION 18. Section 101.401, Business Organizations Code, |
|
is amended to read as follows: |
|
Sec. 101.401. EXPANSION, [OR] RESTRICTION, OR ELIMINATION |
|
OF DUTIES AND LIABILITIES. The company agreement of a limited |
|
liability company may expand, [or] restrict, or eliminate any |
|
duties, including fiduciary duties, and related liabilities that a |
|
member, manager, officer, or other person has to the company or to a |
|
member or manager of the company. |
|
SECTION 19. Section 101.461, Business Organizations Code, |
|
is amended by adding Subsection (c) to read as follows: |
|
(c) For purposes of Subsection (b), a substantial benefit to |
|
the limited liability company does not include additional or |
|
amended disclosures made to the members, regardless of materiality. |
|
SECTION 20. Section 101.502(a), Business Organizations |
|
Code, is amended to read as follows: |
|
(a) Unless otherwise provided by the governing documents of |
|
a limited liability company, a [A] member of a limited liability |
|
company or an assignee of a membership interest in a limited |
|
liability company, on written demand stating a proper purpose, is |
|
entitled to examine and copy at a reasonable time at the limited |
|
liability company's principal office identified under Section |
|
101.501(c) or another location approved by the limited liability |
|
company and the member or assignee, any records of the limited |
|
liability company, whether in written or other tangible form, which |
|
are reasonably related to and appropriate to examine and copy for |
|
that proper purpose. For purposes of this subsection, the records |
|
of the limited liability company shall not include e-mails, text |
|
messages or similar electronic communications, or information from |
|
social media accounts unless the particular e-mail, communication, |
|
or social media information effectuates an action by the limited |
|
liability company or the company agreement expressly states |
|
otherwise. |
|
SECTION 21. Section 152.002, Business Organizations Code, |
|
is amended by adding Subsection (e) to read as follows: |
|
(e) Notwithstanding Subsection (b)(2), (3), or (4), a |
|
partnership agreement of a limited partnership may eliminate any or |
|
all of the duty of loyalty under Section 152.205, the duty of care |
|
under Section 152.206, and the obligation of good faith under |
|
Section 152.204(b), to the extent the partnership agreement |
|
expressly provides so. |
|
SECTION 22. Subchapter A, Chapter 152, Business |
|
Organizations Code, is amended by adding Section 152.006 to read as |
|
follows: |
|
Sec. 152.006. CERTAIN PROVISIONS APPLICABLE TO |
|
PARTNERSHIPS TRADED ON A NATIONAL SECURITIES EXCHANGE. (a) The |
|
provisions of Sections 152.002(e) and 153.163 apply only to a |
|
partnership that has a class or series of partnership interests |
|
listed on a national securities exchange. |
|
(b) This section may not be construed as prohibiting any |
|
partnership from adopting, in its partnership agreement, |
|
provisions that duplicate the effect of Sections 152.002(e) and |
|
153.163, regardless of whether the partnership has a class or |
|
series of partnership interests listed on a national securities |
|
exchange. |
|
SECTION 23. Subchapter D, Chapter 153, Business |
|
Organizations Code, is amended by adding Section 153.163 to read as |
|
follows: |
|
Sec. 153.163. PRESUMPTIONS FOR GENERAL PARTNERS AND |
|
OFFICERS OF CERTAIN LIMITED PARTNERSHIPS. (a) This section sets |
|
out certain presumptions concerning compliance by managerial |
|
officials with their duties, if any, to a domestic limited |
|
partnership, including any duties that pertain to transactions with |
|
interested persons. |
|
(b) In taking or declining to take any action on any matters |
|
of a limited partnership's business, any managerial official of the |
|
limited partnership, including any director, officer, member, or |
|
other affiliate or managerial official of the general partner, is |
|
presumed to act in good faith and in compliance with: |
|
(1) the person's duties required under this code, |
|
common law, and the partnership agreement of the partnership; and |
|
(2) the partnership agreement of such limited |
|
partnership. |
|
(c) Neither a limited partnership nor any of the limited |
|
partnership's partners has a cause of action against a managerial |
|
official of the limited partnership, including any director, |
|
officer, member, or other affiliate of the general partner, as a |
|
result of any act or omission in the person's capacity as a |
|
managerial official or as an officer or director or other |
|
managerial official or affiliate of the general partner unless: |
|
(1) the claimant rebuts one or more of the |
|
presumptions established by Subsection (b); and |
|
(2) it is proven by the claimant that: |
|
(A) the act or omission of the managerial |
|
official or any director, officer, member, or other affiliate or |
|
managerial official of the general partner constituted a breach of |
|
one or more of the person's duties as a general partner, director, |
|
or officer to the extent the duty has not been modified or |
|
eliminated by the partnership agreement as permitted by this |
|
chapter; and |
|
(B) the breach involved fraud, intentional |
|
misconduct, an ultra vires act, or a knowing violation of law. |
|
(d) The presumptions established by this section: |
|
(1) are in addition to any legal presumption arising |
|
under common law or this code, in favor of any general partner or |
|
member or managerial official of a general partner to which this |
|
section applies; and |
|
(2) do not abrogate, preempt, or lessen any other |
|
defense, presumption, immunity, or privilege under other |
|
constitutional, statutory, case, or common law or rule provisions, |
|
in favor of any managerial official of any domestic entity, |
|
including any limited partnership to which this section does not |
|
apply. |
|
(e) In alleging fraud, intentional misconduct, an ultra |
|
vires act, or a knowing violation of the law under Subsection |
|
(c)(2)(B), a party must state with particularity the circumstances |
|
constituting the fraud, intentional misconduct, ultra vires act, or |
|
knowing violation of law. |
|
(f) This section does not limit the effectiveness or |
|
applicability of a provision contained in the partnership agreement |
|
of a partnership limiting monetary liability of a managerial |
|
official. |
|
SECTION 24. Section 153.411, Business Organizations Code, |
|
is amended by adding Subsection (c) to read as follows: |
|
(c) For purposes of Subsection (b), a substantial benefit to |
|
the limited partnership does not include additional or amended |
|
disclosures made to the limited partners, regardless of |
|
materiality. |
|
SECTION 25. Section 153.552(a), Business Organizations |
|
Code, is amended to read as follows: |
|
(a) Unless otherwise provided by the governing documents of |
|
a limited partnership, on [On] written demand stating a proper |
|
purpose, a partner or an assignee of a partnership interest in a |
|
limited partnership is entitled to examine and copy, at a |
|
reasonable time at the partnership's principal office identified |
|
under Section 153.551 or other location approved by the partnership |
|
and the partner or assignee, any records of the partnership, |
|
whether in written or other tangible form, which are reasonably |
|
related to and appropriate to examine and copy for that proper |
|
purpose. For purposes of this subsection, the records of the |
|
limited partnership shall not include e-mails, text messages or |
|
similar electronic communications, or information from social |
|
media accounts unless the particular e-mail, communication, or |
|
social media information effectuates an action by the limited |
|
partnership or the partnership agreement expressly states |
|
otherwise. |
|
SECTION 26. Sections 21.552(a) and 21.561, Business |
|
Organizations Code, as amended by this Act, apply only to a |
|
derivative proceeding instituted on or after the effective date of |
|
this Act. A derivative proceeding instituted before the effective |
|
date of this Act is governed by the law in effect on the date the |
|
proceeding was instituted, and the former law is continued in |
|
effect for that purpose. |
|
SECTION 27. This Act takes effect immediately if it |
|
receives a vote of two-thirds of all the members elected to each |
|
house, as provided by Section 39, Article III, Texas Constitution. |
|
If this Act does not receive the vote necessary for immediate |
|
effect, this Act takes effect September 1, 2025. |
|
|
|
|
|
|
|
|
______________________________ |
______________________________ |
|
President of the Senate |
Speaker of the House |
|
|
I hereby certify that S.B. No. 29 passed the Senate on |
|
April 3, 2025, by the following vote: Yeas 30, Nays 1; and that |
|
the Senate concurred in House amendments on May 7, 2025, by the |
|
following vote: Yeas 30, Nays 1. |
|
|
|
|
______________________________ |
|
Secretary of the Senate |
|
|
I hereby certify that S.B. No. 29 passed the House, with |
|
amendments, on May 2, 2025, by the following vote: Yeas 109, |
|
Nays 7, two present not voting. |
|
|
|
|
______________________________ |
|
Chief Clerk of the House |
|
|
|
|
|
Approved: |
|
|
|
______________________________ |
|
Date |
|
|
|
|
|
______________________________ |
|
Governor |