Washington State Legislature Passes New Social Purpose Corporation Law

Today, the WA State Legislature passed SHB 2239 to create a new Social Purpose Corporation Law within the Washington Business Corporation Act. Governor Gregoire is expected to sign it into law sometime before March 31.

Before this, Washington State did not even have a so-called “constituency statute” which would allow directors of business corporations to take factors other than profit maximization into account when making decisions. With this new law, the state moves to the front of a movement to allow business corporations to form with the express purpose (and requirements) to take social benefit and purpose into account when acting in the world–the “Social Purpose Corporation” or “SPC.”

This is different from “benefit corporations,” “B Corps,” and L3Cs (low profit limited liability companies) for those who are aware of those other forms.

While I am excited to see Washington State make a move like this, I do have a few concerns upon my first reading of the statute.

First, Sec. 5(4) requires every shareholder to provide the corporation with notice before selling or transferring their shares. The corporation must the deliver its articles of incorporation to the prospective transferee within a reasonable time. The problem will be for SPCs that are publicly traded. For large publicly traded corporations, most secondary market share trades are effected by broker-dealers who simply notify the corporation’s stock transfer agent after the trade. To require the shareholders themselves to notify the company in advance of a trade may hamper the liquidity of the shares. Further, the new law does not at all seem to limit SPCs to closely held or nonpublic status.

Secs. 6 & 7, dealing with directors and officers, allow company management to take social purpose into consideration when making decisions for the company. But the sections still tie management decision making to the “best interests of the company” as set out in the existing Washington Business Corporations Act. The tension is that the existing sense of this often centers on profit maximization and, to some degree, the doctrine of shareholder primacy. The new law tries to reconcile this by adding that management decisions based on social purpose simply is in the best interests of the corporation. But the continued tie to the WBCA “best interests” makes me worry about potential conflicts if litigation later arises.

Sec 8 mandates the inclusion of a legend on the face of stock certificates (if any are used) that affirms the company’s status as an SPC. This is to put potential shareholders on notice that the company may diverge from the traditional shareholder primacy/profit maximization model of corporate governance. That is all well and good, but again I worry that this will hamper the liquidity of SPC shares in public capital markets. Public companies have the best liquidity when the stock they place into the public capital markets is “plain vanilla” common stock. Once special features are added, then broker-dealers and their clients need to price in these special features and this may make for a different buy-sell calculus than the normal one based solely on the perceived value of the company in the market. This is why preferred stock is usually not the vehicle of choice for broad liquidity in the public markets (i.e., why common stock is the usual choice for a public offering). The other issue with this section is that because stock is not required to have a certificate, then the company has to notify the purchaser of its SPC status and other relevant information within a reasonable time after purchase. But this doesn’t help the purchaser much (unless they have a right then to unwind the transaction).

Sec 16 imposes mandatory disclosure/reporting of the company’s efforts at achieving its social purposes, which includes some information of the type required of SEC reporting companies. This places a substantial burden on closely held or nonpublic SPCs and may create more problems than it is worth. It is not clear what benefits a SPC gets for this level of disclosure. It seems a high price to pay for corporations to be able to form and grant management the authority to pursue social purposes. On the other hand, shareholders presumably will want to know that the company is living up to it social purpose mandate if the are investing in it, knowing their financial ROI may be lower than in a similar traditional business corporation.

So again, all in all a fascinating and welcome development. And I am not as concerned about this new entity form as I am the L3C of Vermont and elsewhere (which makes tax-exempt/deductible related promises it can’t keep). But this new SPC law will almost certainly have some growing pains as businesses form under it or shift to it.

Categories: Corporate/Securities Law, Entrepreneurship, Law, Nonprofit & Social Entrepreneurship

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“Don’t tell J.” Does the Use of Initials Lessen The Fallout of Damaging Emails?

I’ve done it, frankly, because other people do it. Maybe you do it too. When we’re talking about someone not on the email thread in an unflattering light, we start using their initials. When we talk about them in a more positive light, we use their full name.

I think we feel we can disclaim that we were talking about them if the email winds up in the wrong hands. My wife suggested that it is because we feel uncomfortable talking about the person and using their initials makes it feel less personal.

How well does it actually work? Not well, as I’ve always suspected. Context is everything and we’re not fooling anyone, as this NYT article on the lawsuit between Julie Taymor and the producers of the play Spiderman: Turn Off the Dark shows:

“Glen Berger, appear conniving as he sought to draft new scenes in cahoots with the producers, Bono and the Edge. (“Best not to mention anything to J.,” he wrote at one point, according to the court papers.)”

I haven’t looked at the rest of the court filing yet, but it apparently reveals a number of emails which I’m sure include a lot more similar bon mots.

I’ll probably keep using initials out of deference to others on a thread if they start it. But, if I were really honest I’d reply saying it’s pointless. We’re not fooling anyone. If its just to make ourselves feel better, the problem is that it looks worse if it does get in the wrong hands later.

Categories: Art, Creativity, Law

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The “performance” aspect of professional practice

Another interesting article in NY Times today. This time focusing on how some doctors are realizing that they are “performing” when providing their services:

What Doctors Can Learn From Musicians

Even more intriguing from my perspective is the following statement from the article:

“Doctors spend much of their energy keeping up with the vast medical knowledge, but scant attention is paid to how this knowledge is dispensed in actual practice, or what Dr. Davidoff would call the performing of medicine.”

This is spot on with my focus on the distinction and interplay between knowledge that (science/episteme) and knowledge how (art/techne). It also supports a central theme of my book that methods employed in the real world are what really matter. Artifacts and propositional knowledge (knowledge that) are instrumentally helpful. But ultimately we need to actually deploy these things in the real world for the betterment of the human condition. Which is not to say that propositional knowledge for its own sake is not valuable (and satisfying). But when we consider the professions as activities aimed at producing effects in the world, we must always focus on the practice rather than the theory or contemplative aspects. This is as true for the “learned” professions of law and medicine as it is for “trade” professions like plumbing and carpentry. All professions have theoretical and propositional knowledge components that are important, but which act instrumentally to the practice and knowledge how (or procedural knowledge) aspects of the field.

The author of the article is more interested in the notion that doctors should have other doctors observe and critique them similar to how music teachers observe and critique their students. I think this is a fine insight as well. It plays into my themes of how most know-how (or “performance”) aspects of methods of practice can really only be conveyed through demonstration and practice. One cannot keep reading books and articles to get better at playing the piano or performing surgery. One simply has to do it. Or, as the author Cassandra Claire summarized the sage advice of experienced writers: “BICHOK: butt in chair, hands on keyboard.” Adapt this to whatever practice area you do and tape it above your workspace. Then, stop yammering about what you could do or would do and just freakin’ do it.

 

 

 

 

Categories: Art, Creativity, Methods, Science, Services, Uncategorized

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The line between basic and applied research; episteme/science vs techne/art

Exactly two months since my last blog post–not sure where the time went!

A NY Times article today provides an excellent story to illustrate the distinction (and hand-off point) between basic and applied research. For purposes of my Means of Innovation and ASTL (art, science, technology, law) constructs, it also illuminates the distinction, and recursive iteration, of science/episteme, art/techne, and technology. Further, it allows me to demonstrate my view on how we should draw the lines between patent ineligible principles and patent eligible practical applications.

Path is found for spread of Alzheimer’s

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Categories: Art, Biotechnology, Commercialization, Healing Arts, Innovation, Intellectual Property, Life & Health Sciences, Methods, Science, Technology, Technology Transfer, University to Industry

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Kent Greenfield and “The Myth of Choice”

Boston College law professor and author Kent Greenfield was in town yesterday to give a thought-provoking colloquium to the UW Law faculty on his new book The Myth of Choice.

Through vivid and entertaining visuals and anecdotes he synthesized much of the current research on how free our choices really are. He is not taking on the standard free will vs. determinism philosophical date per se. Rather he is just showing that even if we have free will, a number of sociological and neuropsychological constraints, biases, and pressures box us into making decisions within narrower frames than we believe we operate under.

So why is a law professor talking about all of this? Because he argues that these far more limited decision frameworks are at odds with the way we construct law and policy systems. In the U.S. and other “free” liberal democracies, we build our law and policy on the foundational premise that individuals can, and do, in many cases make truly unfettered decisions.

I just got a copy of the book and look forward to reading it.

Categories: Antitrust & Competition Law, Commercial/Contract Law, Corporate/Securities Law, Employment Law, Jurisprudence, Law, Regulatory & Compliance Law, Science, Tax

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