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A BILL TO BE ENTITLED
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AN ACT
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relating to business 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. (a) The plain meaning of the text |
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of this code may not be supplanted, contravened, or modified by the |
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laws or judicial decisions of any other state. |
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(b) The managerial officials of a domestic entity, in |
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exercising their powers with respect to the domestic entity, may |
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consider the laws and judicial decisions of other states and the |
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practices observed by entities formed in those other states. The |
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failure or refusal of a managerial official to consider, or to |
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conform the exercise of the managerial official's powers to, the |
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laws, judicial decisions, or practices of another state does not |
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constitute or imply a breach of this code or of any duty existing |
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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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an enforceable waiver of the right to a jury trial concerning any |
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internal entity claim, regardless of whether the applicable |
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governing document is signed by the members, owners, officers, or |
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governing persons. |
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(c) A waiver of jury trial in the governing documents of a |
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domestic entity shall be a knowing and informed waiver of a person |
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who: |
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(1) voted for or affirmatively ratified the governing |
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document containing the waiver; |
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(2) acquired an equity security of the domestic entity |
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at a time at which the waiver was included in the governing |
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documents; or |
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(3) is otherwise shown by evidence satisfactory to an |
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appropriate court to have knowingly and informedly consented or |
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acquiesced to the waiver. |
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SECTION 5. Section 4.051, Business Organizations Code, is |
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amended to read as follows: |
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Sec. 4.051. GENERAL RULE. (a) A filing instrument |
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submitted to the secretary of state takes effect on filing, except |
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as permitted by Section 4.052 or as provided by the provisions of |
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this code that apply to the entity making the filing or other law. |
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(b) Subject to Subsection (c), a revised filing instrument, |
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curing the deficiencies in the initial rejected filing instrument |
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identified by the secretary of state, is considered filed as of the |
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date of the delivery to the secretary of state of the initial |
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rejected filing instrument and takes effect as specified in this |
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subchapter if the revised filing instrument: |
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(1) is delivered to the secretary of state not later |
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than the 10th business day following the date on which the notice of |
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rejection is mailed by the secretary of state; |
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(2) is found to be acceptable by the secretary of |
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state; and |
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(3) is the first revised filing instrument. |
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(c) Subsection (b) applies to a filing instrument that |
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creates or forms a new domestic entity or amends the name of an |
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existing domestic entity only if: |
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(1) the name of the new domestic entity or the amended |
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name of the existing domestic entity, as applicable, was reserved |
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under Subchapter C, Chapter 5, or was registered under Subchapter |
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D, Chapter 5, with the secretary of state by or on behalf of the |
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filer on or before the date the initial rejected filing instrument |
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is delivered to the secretary of state; and |
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(2) the name reservation or registration remains in |
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effect at least until the revised filing instrument delivered to |
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the secretary of state under Subsection (b) takes effect. |
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SECTION 6. 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 affects 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 7. 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 8. 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 appropriate jurisdiction to hold an evidentiary |
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hearing to determine whether the directors appointed to the |
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committee are independent and disinterested with respect to any |
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transactions involving the corporation or any of its subsidiaries |
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and a controlling shareholder, director, or officer. |
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(b) 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, and shall give notice to the |
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shareholders of the designated counsel and the petition. |
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(c) If the corporation has a class of its shares listed on a |
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national securities exchange, the notice required by Subsection (b) |
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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 78 et seq.), and any rules promulgated under that Act. |
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(d) Promptly after receiving a petition, and not earlier |
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than the 10th day after the date the notice required under |
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Subsection (b) is given, the court shall hold a preliminary hearing |
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to determine the appropriate legal counsel to represent the |
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corporation and its shareholders, other than the controlling |
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shareholder, director, or officer involved in the transaction, |
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whether or not the same as the legal counsel identified in the |
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petition. Any other legal counsel representing a shareholder, |
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other than the controlling shareholder, director, or officer |
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involved in the transaction, may participate in the hearing to |
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request designation by the court as the appropriate legal counsel. |
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(e) After the court determines the appropriate legal |
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counsel under Subsection (d), 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 (d) 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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(f) The court's determination that the directors are |
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independent and disinterested under Subsection (e) 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 9. 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 10. 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) 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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(c) 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 (b); 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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(d) 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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(e) 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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(c)(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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(f) This section does not limit the effect of a provision |
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contained in the certificate of formation or similar instrument of |
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a corporation limiting monetary liability of a governing person as |
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permitted by Section 7.001. |
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SECTION 11. Section 21.551(2), Business Organizations |
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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 12. Section 21.552(a), Business Organizations |
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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 that has made an affirmative |
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election to be governed by Section 21.419, at the time the |
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derivative proceeding is instituted, the shareholder beneficially |
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owns a number of the common shares sufficient to meet the required |
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ownership threshold to institute a derivative proceeding in the |
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right of the corporation identified in the corporation's |
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certificate of formation or bylaws, provided that the required |
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ownership threshold does not exceed three percent of the |
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outstanding shares of the corporation. |
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SECTION 13. 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), and (f) 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 determines [finds] that the individuals recommended by |
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the 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 not be held |
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liable to the corporation or the corporation's shareholders for an |
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action taken or omission made by the individual in that capacity, |
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except for an act or omission constituting fraud or wilful |
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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 |
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may petition the court in which the derivative proceeding has been |
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instituted, or a court having proper jurisdiction if no derivative |
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proceeding has been instituted, to request a determination 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. |
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(d) For purposes of Subsection (c), if a derivative |
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proceeding was not instituted, the corporation must promptly |
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deliver a copy of the petition to the shareholder making the demand |
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who will have the right, if promptly exercised, to challenge the |
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petition before the court makes its determination. |
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(e) After hearing and reviewing the evidence presented, the |
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court shall make its determination as to whether the directors are |
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independent and disinterested. |
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(f) A court's determination that the directors or |
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individuals are independent and disinterested under this section |
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shall be dispositive in the absence of discovery of facts, not |
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presented to the court, constituting evidence sufficient to prove |
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that one or more of those directors or individuals are not |
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independent and disinterested. |
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SECTION 14. Section 21.561, Business Organizations Code, is |
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amended by adding Subsection (c) to read as follows: |
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(c) For purposes of Subsection (b), a substantial benefit to |
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the corporation does not include additional or amended disclosures |
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made to the shareholders, regardless of materiality. |
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SECTION 15. Section 21.562(a), Business Organizations |
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Code, is amended to read as follows: |
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(a) In a derivative proceeding brought in the right of a |
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foreign corporation, the matters covered by this subchapter are |
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governed by the laws of the jurisdiction of formation of the foreign |
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corporation, except for Sections 21.555, 21.560, and 21.561, which |
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with respect to foreign corporations are procedural provisions and |
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do not relate to the internal affairs of the foreign corporation, |
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unless applying the laws of the jurisdiction of formation of the |
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foreign corporation requires otherwise with respect to Section |
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21.555. |
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SECTION 16. (a) Section 4.051, Business Organizations |
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Code, as amended by this Act, applies only to a filing instrument |
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submitted to the secretary of state on or after the effective date |
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of this Act. A filing instrument submitted to the secretary of |
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state before the effective date of this Act is governed by the law |
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in effect on the date the filing instrument was submitted, and the |
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former law is continued in effect for that purpose. |
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(b) Sections 21.552(a) and 21.561, Business Organizations |
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Code, as amended by this Act, apply only to a derivative proceeding |
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instituted on or after the effective date of this Act. A derivative |
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proceeding instituted before the effective date of this Act is |
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governed by the law in effect on the date the proceeding was |
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instituted, and the former law is continued in effect for that |
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purpose. |
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SECTION 17. This Act takes effect immediately if it |
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receives a vote of two-thirds of all the members elected to each |
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house, as provided by Section 39, Article III, Texas Constitution. |
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If this Act does not receive the vote necessary for immediate |
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effect, this Act takes effect September 1, 2025. |