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  1. News
  2. SEC tightens procedural requirements and resubmission thresholds for shareholder proposals

SEC tightens procedural requirements and resubmission thresholds for shareholder proposals

SEC Update
18 November 2020
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The SEC recently adopted amendments to Rule 14a-8 under the Securities Exchange Act of 1934 to tighten the requirements that govern the initial submission and resubmission of shareholder proposals for inclusion in a company's proxy materials.

These and associated amendments represent some of the most significant changes to the rule's eligibility provisions in over 20 years. The SEC's goal in approving more stringent requirements is to ensure that shareholder-proponents have a demonstrated "economic stake or investment interest" in a company before imposing the costs of the shareholder proposal process on the company and its other shareholders. The rule changes were adopted over the dissenting votes of two Commissioners.

The most notable amendment modifies the current US$2,000 ownership threshold to require continuous ownership of the company's securities at that level for at least three years, and adds two higher, alternative ownership thresholds with shorter minimum holding periods. The SEC also has increased the levels of shareholder support a proposal must receive to be eligible for resubmission to the same company in future years. Among the other amendments, the SEC has expanded the reach of the existing "one-proposal rule" to provide that a single person may not submit multiple proposals at the same shareholder meeting, whether as a shareholder or as a representative of a shareholder.

The amendments will become effective on January 4, 2021, but will first apply to any proposal submitted for an annual or special shareholder meeting to be held on or after January 1, 2022. The SEC has extended limited transitional relief to shareholder-proponents relying on a US$2,000 ownership position to submit a proposal.

The SEC's adopting release describing the amendments (No. 34-89964) can be viewed here.

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Authored by Alan Dye, Richard Parrino, and Tiffany Posil

Contacts
Alan Dye
Partner
Washington, D.C.
Richard Parrino
Partner
Washington, D.C.
Tiffany Posil
Partner
Washington, D.C.
Steve Abrams
Partner
Philadelphia
Richard Aftanas
Partner
New York
Alex Bahn
Partner
Washington, D.C.
John Beckman
Partner
Washington, D.C.
David Bonser
Partner
Washington, D.C.
Glenn Campbell
Partner
Baltimore
David Crandall
Partner
Denver
John Duke
Office Managing Partner
Philadelphia
Suzanne Filippi
Partner
Boston
Kevin Greenslade
Partner
Northern Virginia
Allen Hicks
Partner
Washington, D.C.
Paul Hilton
Partner
Denver
William Intner
Partner
Baltimore
Bob Juelke
Partner
Philadelphia
Paul Manca
Partner
Washington, D.C.
Michael McTiernan
Partner
Washington, D.C.
Brian O'Fahey
Partner
Washington, D.C.
Les Reese
Partner
Washington, D.C.
Richard Schaberg
Partner
Washington, D.C.
Michael Silver
Partner
New York
Abigail Smith
Partner
Washington, D.C.
Lillian Tsu
Partner
New York
Tifarah Allen
Counsel
Washington, D.C.
Jessica Bisignano
Partner
Philadelphia
Andrew Zahn
Partner
Washington, D.C.
Keywords Disclosure and Reporting Obligations, Securities and Financial Regulatory Advice, Capital Markets, Rule 14a-8, SEC, Shareholder
Languages English
Topics REITs, Equity Capital Markets, General Debt Capital Markets, Corporate Governance, Corporate / Company Law, Securities and Public Company Advisory
Countries United States
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