Chapter 346 |
2018 -- H 8171 Enacted 07/10/2018 |
A N A C T |
RELATING TO STATUTES AND STATUTORY CONSTRUCTION -- 2018 |
Introduced By: Representatives Shekarchi, and Morgan |
Date Introduced: May 04, 2018 |
It is enacted by the General Assembly as follows: |
ARTICLE I--STATUTORY REENACTMENT |
SECTION 1. It is the express intention of the General Assembly to reenact the entirety of |
title 7 contained in volume 2 part 2 of the General Laws of R.I., including every chapter and |
section therein, and any chapters and sections of title 7 not included in this act may be, and are |
hereby, reenacted as if fully set forth herein. |
SECTION 2. Sections 7-1.2-704, 7-1.2-711 and 7-1.2-1405 of the General Laws in |
Chapter 7-1.2 entitled "Rhode Island Business Corporation Act" are hereby amended to read as |
follows: |
7-1.2-704. Voting list. |
(a) After fixing a record date for a meeting, a corporation shall prepare a list of the names |
of all its shareholders who are entitled to notice of a shareholders' meeting. |
(b) The shareholders' list must be available for inspection by any shareholder, at least ten |
(10) days before the meeting is given for which the list was prepared and continuing through the |
meeting, at the corporation's registered office or principal place of business. A shareholder, his or |
her agent or attorney is entitled on written demand to inspect the list during regular business |
hours during the period it is available for inspection. |
(c) The corporation shall make the shareholders' list available to any shareholder in |
attendance, whether in person or by remote communication, and any shareholder, his agent, or |
attorney is entitled to inspect the list at any time during the meeting or any adjournment. |
(d) The persons who appear from the list to be shareholders entitled to vote at the meeting |
may vote at the meeting. |
(e) If the right to vote at any meeting is challenged, the person presiding at the meeting, |
shall rely on the list to determine the right of the challenged person to vote. |
7-1.2-711. Actions by shareholders. |
(a) Subchapter Definitions. In this subchapter section: |
(1) "Derivative proceeding" means a civil suit in the right of a domestic corporation or, to |
the extent provided in subsection (h) of this section, in the right of a foreign corporation. |
(2) "Shareholder" includes a beneficial owner whose shares are held in a voting trust or |
held by a nominee on the beneficial owner's behalf. |
(b) Standing. A shareholder may not commence or maintain a derivative proceeding |
unless the shareholder: |
(i) Was a shareholder of the corporation at the time of the act or omission complained of |
or became a shareholder through transfer by operation of law from one who was a shareholder at |
that time; and |
(ii) Fairly and adequately represents the interests of the corporation in enforcing the right |
of the corporation. |
(c) Demand. No shareholder may commence a derivative proceeding until: |
(1) A written demand had been made upon the corporation to take suitable action; and |
(2) Ninety (90) days have expired from the date the demand was made unless the |
shareholder has earlier been notified that the demand has been rejected by the corporation or |
unless irreparable injury to the corporation would result by waiting for the expiration of the |
ninety (90) day period. |
(d) Stay of proceedings. If the corporation commences an inquiry into the allegations |
made in the demand or complaint, the court may stay any derivative proceeding for such period |
as the court deems appropriate. |
(e) Dismissal. |
(1) On motion by the corporation, the court shall dismiss a derivative proceeding if one of |
the groups specified in paragraphs (ii) or (vi) subsection (e)(2) or (e)(6) has determined in good |
faith after conducting a reasonable inquiry upon which its conclusions are based that the |
maintenance of the derivate proceedings is not in the best interests of the corporation. |
(2) Unless a panel is appointed pursuant to paragraph (vi) subsection (e)(6), the |
determination in paragraph (i) subsection (e)(1) must be made by: |
(i) A majority vote of independent directors present at a meeting of the board of directors |
if the independent directors constitute a quorum; or |
(ii) A majority vote of a committee consisting of two (2) or more independent directors |
appointed by majority vote of independent directors present at a meeting of the board of directors, |
whether or not such independent directors constituted a quorum. |
(3) None of the following by itself causes a director to be considered not independent for |
purposes of this section: |
(i) The nomination or election of the directors or persons who are defendants in the |
derivative proceedings or against whom action is demanded; |
(ii) The naming of the director as a defendant in the derivative proceeding or as a person |
against whom action is demanded; or |
(iii) The approval by the director of the act being challenged in the derivative proceeding |
or demand if the act resulted in no personal benefit to the director. |
(4) If a derivative proceeding is commenced after a determination has been made |
rejecting a demand by a shareholder, the complaint must allege with particularity facts |
establishing either (A) that a majority of the board of directors did not consist of independent |
directors at the time the determination was made, or (B) that the requirements of subsection (a) |
(e)(1) of this section have not been met. |
(5) If a majority of the board of directors does not consist of independent directors at the |
time the determination is made, the corporation has the burden of proving that the requirements of |
paragraph (i) subsection (e)(1) have been met. If a majority of the board of directors consists of |
independent directors at the time the determination is made, the plaintiff has the burden of |
proving that the requirements of paragraph (i) subsection (e)(1) have not been met. |
(6) The court may appoint a panel of one or more independent persons upon motion by |
the corporation to make a determination whether the maintenance of the derivative proceeding is |
in the best interests of the corporation. In such case, the plaintiff has the burden of proving that |
the requirements of paragraph (i) subsection (e)(1) have not been met. |
(f) Discontinuance or settlement. A derivative proceeding may not be discontinued or |
settled without the court's approval. If the court determines that a proposed discontinuance or |
settlement will substantially affect the interests of the corporation's shareholders or a class of |
shareholders, the court shall direct that notice be given to the shareholders affected. |
(g) Payment of expenses. On termination of the derivative proceeding the court may: |
(1) Order the corporation to pay the plaintiff's reasonable expenses (including counsel |
fees) incurred in the proceeding if it finds that the proceeding has resulted in a substantial benefit |
to the corporation; |
(2) Order the plaintiff to pay any defendant's reasonable expenses (including counsel |
fees) incurred in defending the proceeding if it finds that the proceeding was commenced or |
maintained without reasonable cause or for an improper purpose; or |
(3) Order a party to pay an opposing party's reasonable expenses (including counsel fees) |
incurred because of the filing of a pleading, motion or other paper, if it finds that the pleading, |
motion or other paper was not well grounded in fact, after reasonable inquiry, or warranted by |
existing law or a good faith argument for the extension, modification or reversal of existing law |
and was interposed for an improper purpose, such as to harass or cause unnecessary delay or |
needless increase in the cost of litigation. |
(h) Applicability to foreign corporations. In any derivative proceeding in the right of a |
foreign corporation, the matters covered by this subchapter are governed by the laws of the |
jurisdiction of incorporation of the foreign corporation except for subsections (d), (f), and (g) of |
this section. |
7-1.2-1405. Application for certificate of authority. |
In order to procure a certificate of authority to transact business in this state, a foreign |
corporation must make application for the certificate of authority to the secretary of state, which |
application includes: |
(a) The name of the corporation and the state or country under the laws of which it is |
incorporated. |
(b) The name which the corporation elects to use in this state in accordance with § 7-1.2- |
1403. |
(c) The date of incorporation and the period of duration of the corporation. |
(d) The street address of the principal office of the corporation. |
(e) The name and address of its proposed registered agent in this state. |
(f) The purpose or purposes of the corporation which it proposes to pursue in the |
transaction of business in this state. |
(g) The names and respective addresses of the directors of the corporation if the state or |
country under the laws of which it was incorporated requires that it have directors and if it does |
and need not, then the names and respective addresses of its principal officers. |
(h) A statement of the aggregate number of shares which the corporation has authority to |
issue, itemized by classes, par value of shares, shares without par value, and series, if any, within |
a class. |
(i) An estimate, expressed as a percentage, of the proportion that the estimated value of |
the property of the corporation to be located within this state during the following year bears to |
the value of all property of the corporation to be owned during the following year, wherever |
located, and an estimate, expressed as a percentage, of the proportion that the gross amount of |
business to be transacted by the corporation at or from places of business in this state during the |
following year bears to the gross amount which will be transacted by the corporation during the |
following year. |
SECTION 3. Section 7-5.1-2 of the General Laws in Chapter 7-5.1 entitled "Professional |
Service Corporations" is hereby amended to read as follows: |
7-5.1-2. Definitions. |
As used in this chapter: |
(1) "Professional services" means the rendering of personal services by a person |
authorized to practice as one of the following professions as defined: |
(i) Physicians; |
(ii) Dentists; |
(iii) Attorneys at law; |
(iv) [Deleted by P.L. 2000, ch. 328, § 1, and by P.L. 2000, ch. 513, § 1.] |
(v) Professional engineers; |
(vi) Architects; |
(vii) Certified public accountants and licensed public accountants; |
(viii) Veterinarians; |
(ix) Chiropractors; |
(x) Podiatrists; |
(xi) Registered nurses; |
(xii) Optometrists; |
(xiii) Physical therapists; |
(xiv) Landscape architects; |
(xv) Land surveyors; |
(xvi) Opticians; |
(xvii) Physician assistants; |
(xviii) Psychologists; or |
(xix) Midwives or nurse-midwives. |
(2) "Regulatory agency" means: |
(i) The professional licensing board contained within the department of health, as set |
forth in title 5 of the general laws when referring to physicians, dentists, chiropractors, |
podiatrists, registered nurses, optometrists, physical therapists, opticians, physician assistants, or |
midwives or nurse-midwives; |
(ii) The Supreme Court when referring to attorneys at law; |
(iii) The board boards of registration of professional engineers and land surveyors when |
referring to professional engineers and/or land surveyors; |
(iv) The board of examination and registration of architects when referring to architects; |
(v) The board of accountancy when referring to certified public accountants, and licensed |
public accountants; |
(vi) The board of veterinarians when referring to veterinarians; |
(vii) The board of examiners of landscape architects when referring to landscape |
architects; |
(viii) The board of psychology when referring to psychologists. |
(3) "Authorized to practice" means duly licensed, certified, or registered by the proper |
regulatory agency. |
SECTION 4. Sections 7-5.2-3 and 7-5.2-5 of the General Laws in Chapter 7-5.2 entitled |
"Business Combination Act" are hereby amended to read as follows: |
7-5.2-3. Definitions. |
As used in this section chapter, unless the context requires otherwise, the term: |
(1) "Affiliate" means a person that who directly, or indirectly through one or more |
intermediaries, controls, or is controlled by, or is under common control with, a specified person. |
(2) "Announcement date", when used in reference to any business combination, means |
the date of the first public announcement of the final, definitive proposal for the business |
combination. |
(3) "Associate", when used to indicate a relationship with any person, means: |
(i) Any corporation or organization of which the person is a director, officer, or partner or |
is, directly or indirectly, the beneficial owner of ten percent (10%) or more of any class of voting |
stock, |
(ii) Any trust or other estate in which the person has a substantial beneficial interest or as |
to which the person serves as trustee or in a similar fiduciary capacity, and |
(iii) Any relative or spouse of the person, or any relative of the spouse, who has the same |
residence as the person. |
(4) "Beneficial owner", when used with respect to any stock means a person that who: |
(i) Individually, or with or through any of its the person's affiliates or associates, |
beneficially owns the stock, directly or indirectly; or |
(ii) Individually, or with or through any of its the person's affiliates or associates, has: |
(A) The right to acquire the stock, whether the right is exercisable immediately or only |
after the passage of time, pursuant to any agreement, arrangement, or understanding, whether or |
not in writing, or upon the exercise of conversion rights, exchange rights, warrants, or options, or |
otherwise; provided, however, that a person is not deemed the beneficial owner of stock tendered |
pursuant to a tender or exchange offer made by the person's affiliates or associates until the |
tendered stock is accepted for purchase or exchange; or |
(B) The right to vote the stock pursuant to any agreement, arrangement, or understanding, |
whether or not in writing; provided, however, that a person is not deemed the beneficial owner of |
any stock under this item if the agreement, arrangement, or understanding to vote the stock arises |
solely from a revocable proxy or consent given in response to a proxy or consent solicitation |
made in accordance with the applicable rules and regulations under the Exchange Act, 15 U.S.C. |
§ 78a et seq., and is not then reportable on a Schedule 13D under the Exchange Act, or any |
comparable or successor report; or |
(C) Any agreement, arrangement, or understanding, whether or not in writing for the |
purpose of acquiring, holding, voting (except voting pursuant to a revocable proxy or consent as |
described in item (B) of clause (ii) of this subparagraph) (4)(ii)(B) of this section, or disposing |
of the stock with any other person that who beneficially owns, or whose affiliate or associates |
beneficially own, directly or indirectly, the stock. |
(5) "Business combination", when used in reference to any resident domestic corporation |
and any interested shareholder of the resident domestic corporation, means: |
(i) Any merger or consolidation of the resident domestic corporation or any subsidiary of |
the resident domestic corporation with: |
(A) The interested shareholder, ; or |
(B) Any other corporation, whether or not itself an interested shareholder of the resident |
domestic corporation, which that is, or after the merger or consolidation would be, an affiliate or |
associate of the interested shareholder; |
(ii) Any sale, lease, exchange, mortgage, pledge, transfer, or other disposition, in one |
transaction or a series of transactions, except proportionately as a stockholder of the corporation, |
to or with the interested shareholder or any affiliate or associate of the interested shareholder, |
whether as a part of a dissolution or otherwise, of assets of the resident domestic corporation or |
any subsidiary of the resident domestic corporation: |
(A) Having an aggregate market value equal to ten percent (10%) or more of the |
aggregate market value of all the assets, determined on a consolidated basis, of the resident |
domestic corporation, |
(B) Having an aggregate market value equal to ten percent (10%) or more of the |
aggregate market value of all the outstanding stock of the resident domestic corporation, or |
(C) Representing ten percent (10%) or more of the earning power or net income, |
determined on a consolidated basis, of the resident domestic corporation; |
(iii) (A) Any transaction which that results in the issuance or transfer by the resident |
domestic corporation or by any subsidiary of the resident domestic corporation of any stock of the |
resident domestic corporation or of the subsidiary to the interested shareholder, except: |
(I) Pursuant to the exercise, exchange, or conversion of securities exercisable for, |
exchangeable for, or convertible into stock of the resident domestic corporation or any subsidiary |
which securities were outstanding prior to the time that the interested shareholder became such, |
(II) Pursuant to a dividend or distribution paid or made, or the exercise, exchange, or |
conversion of securities exercisable for, exchangeable for, or convertible into stock of the resident |
domestic corporation or any subsidiary which security is distributed, pro rata to all holders of a |
class or series of stock of the resident domestic corporation subsequent to the time the interested |
shareholder became such, |
(III) Pursuant to an exchange offer by the resident domestic corporation to purchase stock |
made on the same terms to all holders of the stock, or |
(IV) Any issuance or transfer of stock by the resident domestic corporation; |
(B) Provided, however, that in no case under subdivisions (5)(iii)(A)(I) -- (IV) shall there |
be an increase in the interested shareholder's proportionate share of the stock of any class or |
series of the resident domestic corporation or of the voting stock of the resident domestic |
corporation; |
(iv) The adoption of any plan or proposal for the liquidation or dissolution of the resident |
domestic corporation proposed by, or pursuant to any agreement, arrangement, or understanding, |
whether or not in writing with the interested shareholder or any affiliate or associate of the |
interested shareholder; |
(v) Any reclassification of securities, including, without limitation, any stock split, stock |
dividend, or other distribution of stock in respect to stock, any reverse stock split, or |
recapitalization of the resident domestic corporation, any merger or consolidation of the resident |
domestic corporation with any subsidiary of the resident domestic corporation, or any other |
transaction, whether or not with or into or otherwise involving the interested shareholder, |
proposed by, or pursuant to any agreement, arrangement, or understanding, whether or not in |
writing, with the interested shareholder or any affiliate or associate of the interested shareholder, |
which has the effect, directly or indirectly, of increasing the proportionate share of the |
outstanding shares of any class or series of voting stock or securities convertible into voting stock |
of the resident domestic corporation or any subsidiary of the resident domestic corporation which |
is directly or indirectly owned by the interested shareholder or any affiliate or associate of the |
interested shareholder, except as a result of immaterial changes due to fractional share |
adjustments; or |
(vi) Any receipt by the interested shareholder, or any affiliate or associate of the |
interested shareholder of the benefit, directly or indirectly, except proportionately as a |
shareholder of the resident domestic corporation, of any loans, advances, guarantees, pledges, or |
other financial assistance, benefits, any tax credits, or other tax advantages provided by or |
through the resident domestic corporation, except as expressly permitted in subdivisions (5)(i) |
through (5)(vi). |
(6) "Common stock" means any stock other than preferred stock. |
(7) "Consummation date", with respect to any business combination, means the date of |
consummation of the business combination, or, in the case of a business combination as to which |
a shareholder vote is taken, the later of the business day prior to the vote or twenty (20) days prior |
to the date of consummation of the business combination. |
(8) "Control", including the terms "controlling", "controlled by", and "under common |
control with", means the possession, directly or indirectly, or the power to direct or cause the |
direction of the management and policies of a person, whether through the ownership of voting |
stock, by contract, or otherwise. A person's beneficial ownership of ten percent (10%) or more of |
a corporation's outstanding voting stock creates a presumption that the person has control of the |
corporation. Notwithstanding what was previously stated, above, a person is not deemed to have |
control of a corporation if the person holds voting stock, in good faith and not for the purpose of |
circumventing this section chapter, as an agent, bank, broker, nominee, custodian, or trustee for |
one or more beneficial owners who do not individually or as a group have control of the |
corporation. |
(9) "Exchange Act" means the Act of Congress known as the Securities Exchange Act of |
1934, 15 U.S.C. § 78a et seq., as it has been, and may subsequently be, amended. |
(10) "Interested shareholder", when used in reference to any resident domestic |
corporation, means any person, other than the resident domestic corporation or any subsidiary of |
the resident domestic corporation or any employee benefit plan maintained by the resident |
domestic corporation, that: |
(i) (A) Is the beneficial owner, directly or indirectly, of ten percent (10%) or more of the |
outstanding voting stock of the resident domestic corporation; or |
(B) Is an affiliate or associate of the resident domestic corporation and at any time within |
a five (5) year period immediately prior to the date in question was the beneficial owner, directly |
or indirectly, of ten percent (10%) or more of the then outstanding voting stock of the resident |
domestic corporation. |
(ii) The term "interested shareholder" does not include: |
(A) Any person who: |
(I) Owned shares in excess of the ten percent (10%) limitation stated in these provisions |
as of, or acquired the shares pursuant to a tender offer commenced prior to, July 3, 1990 or |
pursuant to an exchange offer announced prior to that date and commenced within ninety (90) |
days subsequently and continued to own shares in excess of the percent limitation or would have |
but for action taken by the resident domestic corporation, or |
(II) Acquired the shares from a person described in (I) subsection 10(ii)(A)(I) by gift, |
inheritance, or in a transaction in which no consideration was exchanged; or |
(B) Any person whose ownership of shares in excess of the ten percent (10%) limitation |
stated above is the result of action taken solely by the resident domestic corporation However, the |
person becomes an interested shareholder if he or she subsequently acquires additional shares of |
voting stock of the resident domestic corporation, except as a result of further corporate action not |
caused, directly or indirectly, by the person. |
(iii) For the purpose of determining whether a person is an interested shareholder, the |
number of shares of voting stock of the resident domestic corporation deemed outstanding |
includes shares deemed beneficially owned by the person through application of subdivision |
subsection (4) of this section but does not include any other unissued shares of voting stock of |
the resident domestic corporation which that are issuable pursuant to any agreement, |
arrangement or understanding, or upon exercise of conversion rights, warrants, or options, or |
otherwise. |
(11) "Market value", when used in reference to stock or property of any resident domestic |
corporation, means: |
(i) In the case of stock, the highest closing sale price during the thirty-(30) day(30) period |
immediately preceding the date in question of a share of stock on the composite tape for stocks |
listed on the New York stock exchange Stock Exchange, or, if the stock is not quoted on the |
composite tape or if the stock is not listed on the exchange, on the principal United States |
securities exchange registered under the exchange act on which the stock is listed, or, if the stock |
is not listed on any exchange, the highest closing bid quotation with respect to a share of the stock |
during the thirty- (30) day (30) period preceding the date in question on the national association |
of securities dealers, inc. automated quotations system or any system then in use, or if no |
quotations are available, the fair market value on the date in question of a share of the stock as |
determined in good faith by the board of directors of the resident domestic corporation; and |
(ii) In the case of property other than cash or stock, the fair market value of the property |
on the date in question as determined in good faith by the board of directors of the resident |
domestic corporation. |
(12) "Preferred stock" means any class or series of stock of a resident domestic |
corporation that under which the bylaws or articles of incorporation of the resident domestic |
corporation is entitled to receive payment of dividends prior to any payment of dividends on |
some other class or series of stock, or is entitled in the event of any voluntary liquidation, |
dissolution, or winding up of the resident domestic corporation to receive payment or distribution |
of a preferential amount before any payments or distributions are received by some other class or |
series of stock. |
(13) "Resident domestic corporation" means an issuer of voting stock which that: |
(i) Is organized under the laws of this state; and |
(ii) Either (A) has its principal executive offices and significant business operations |
located in this state; or (B) has, alone or in combination with one or more of its subsidiaries, at |
least two hundred fifty (250) employees or twenty-five percent (25%) of the total number of all |
employees of itself and the subsidiaries employed primarily within the state; and |
(iii) Has at least five percent (5%) of its voting stock owned beneficially by residents of |
this state or at least five percent (5%) of its shareholders are residents of this state. For purposes |
of this section, the residence of a partnership, unincorporated association, trust, or similar |
organization is the principal office of the organization. |
(D) (iv) No resident domestic corporation, which that is organized under the laws of this |
state, ceases to be a resident domestic corporation by reason of events occurring or actions taken |
while the resident domestic corporation is subject to the provisions of this section. |
(14) "Stock" means: |
(i) Any stock or similar security, any certificate of interest, any participation in any profit |
sharing agreement, any voting trust certificate, or any certificate of deposit for stock; and |
(ii) Any security convertible, with or without consideration, into stock, or any warrant, |
call, or other option or privilege of buying stock without being bound to do so, or any other |
security carrying any right to acquire, subscribe to, or purchase stock. |
(15) "Stock acquisition date", with respect to any person and any resident domestic |
corporation, means the date that the person first becomes an interested shareholder of the resident |
domestic corporation. |
(16) "Subsidiary" of any person means any other corporation of which a majority of the |
voting stock is owned, directly or indirectly, by the person. |
(17) "Voting stock" means shares of capital stock of a corporation entitled to vote |
generally in the election of directors. |
7-5.2-5. Exemptions. |
The provisions of this chapter do not apply: |
(1) To any business combination of a resident domestic corporation that does not have a |
class of voting stock registered with the securities and exchange commission pursuant to § 12 of |
the Exchange Act, 15 U.S.C. § 781 78l, unless the articles of incorporation provide otherwise; |
(2) To any business combination of a resident domestic corporation whose articles of |
incorporation have been amended to provide that the resident domestic corporation is subject to |
the provisions of this chapter, which did not have a class of voting stock registered with the |
securities and exchange commission pursuant to § 12 of the Exchange Act, 15 U.S.C. § 781 78l, |
on the effective date of the amendment, and which is a business combination with an interested |
shareholder whose stock acquisition date is prior to the effective date of the amendment; |
(3) To any business combination of a resident domestic corporation: |
(i) The original articles of incorporation of which contain a provision expressly electing |
not to be governed by this chapter, |
(ii) Which That adopts an amendment to the resident domestic corporation's bylaws |
prior to March 31, 1991, expressly electing not to be governed by this chapter, or |
(iii) Which That adopts an amendment to the resident domestic corporation's articles of |
incorporation, approved by the affirmative vote of the holders, other than interested shareholders |
and their affiliates and associates, of two-thirds (2/3) of the outstanding voting stock of the |
resident domestic corporations, excluding the voting stock of interested shareholders and their |
affiliates and associates, expressly electing not to be governed by this chapter, provided that the |
amendment to the articles of incorporation is not effective until twelve (12) months after the vote |
of the resident domestic corporation's shareholders and does not apply to any business |
combination of the resident domestic corporation with an interested shareholder whose stock |
acquisition date is on or prior to the effective date of the amendment; or |
(4) To any business combination of a resident domestic corporation with an interested |
shareholder of the resident domestic corporation which became an interested shareholder |
inadvertently, if the interested shareholder: |
(i) As soon as practicable, divests itself of a sufficient amount of the voting stock of the |
resident domestic corporation that it no longer is the beneficial owner, directly or indirectly, of |
ten percent (10%) or more of the outstanding voting stock of the resident domestic corporation, |
and |
(ii) Would not at any time within the five- (5) year (5) period preceding the |
announcement date with respect to the business combination have been an interested shareholder |
but for the inadvertent acquisition. |
SECTION 5. Sections 7-5.3-1 and 7-5.3-2 of the General Laws in Chapter 7-5.3 entitled |
"Benefit Corporations" are hereby amended to read as follows: |
7-5.3-1. Application and effect of chapter. |
(a) This chapter shall be applicable to all benefit corporations. |
(b) The existence of a provision of this chapter shall not of itself create an implication |
that a contrary or different rule of law is applicable to a corporation that is not a benefit |
corporation. This chapter shall not affect a statute or rule of law that is applicable to a corporation |
that is not a benefit corporation. |
(c) Except as otherwise provided in this chapter, all provisions of the general corporation |
law, including the Rhode Island Business Corporation Act, chapter 1.2 of this title, applicable to |
domestic business corporations are applicable to corporations organized under this chapter. A |
benefit corporation may be subject simultaneously to this chapter and chapters chapter 5.1 of |
this title. The provisions of this chapter shall control over the provisions of any other chapter to of |
this title to which a benefit corporation is subject. |
(d) A provision of the articles of incorporation or bylaws of a benefit corporation may not |
limit, be inconsistent with, or supersede a provision of this chapter. |
7-5.3-2. Definitions. |
As used in this chapter: |
(1) "Benefit corporation" means a corporation for profit with purposes set forth in § 7- |
5.3-6 that is subject to this chapter. |
(2) "Benefit director" means either: |
(i) The director designated as the benefit director of a benefit corporation under § 7-5.3-8; |
or |
(ii) A person with one or more of the powers, duties, or rights of a benefit director to the |
extent provided in the bylaws articles of incorporation under subsection 7-5.3-8(f). |
(3) "Benefit enforcement proceeding" means any claim or action or proceeding for: |
(i) Failure of a benefit corporation to pursue or create general public benefit or a specific |
public benefit purpose set forth in its articles; or |
(ii) Violation of any obligation, duty, or standard of conduct under this chapter. |
(4) "Benefit officer" means the individual, if any, designated as the benefit officer of a |
benefit corporation under § 7-5.3-10. |
(5) "General public benefit" means a material positive impact on society and the |
environment, taken as a whole, assessed against a third-party standard, from the business and |
operations of a benefit corporation. |
(6) "Independent" means having no material relationship with a benefit corporation or a |
subsidiary of the benefit corporation. Serving as benefit director or benefit officer does not make |
an individual not independent. A material relationship between an individual and a benefit |
corporation or any of its subsidiaries will be conclusively presumed to exist if any of the |
following apply: |
(i) The individual is, or has been within the last three (3) years, an employee other than a |
benefit officer of the benefit corporation or a subsidiary. |
(ii) An immediate family member of the individual is, or has been within the last three (3) |
years, an executive officer other than a benefit officer of the benefit corporation or a subsidiary. |
(iii) There is beneficial or record ownership of five percent (5%) or more of the |
outstanding shares of the benefit corporation, calculated as if all outstanding rights to acquire |
equity interests in the benefit corporation had been exercised, by: |
(A) The individual; or |
(B) An entity: |
(I) Of which the individual is a director, an officer, or a manager; or |
(II) In which the individual owns beneficially or of record five percent (5%) or more of |
the outstanding equity interests, calculated as if all outstanding rights to acquire equity interests in |
the entity had been exercised. |
(7) "Minimum status vote" means: |
(i) In the case of a corporation, in addition to any other required approval or vote, the |
satisfaction of the following conditions: |
(A) The shareholders of every class or series shall be entitled to vote as a class on the |
corporate action regardless of a limitation stated in the articles of incorporation or bylaws on the |
voting rights of any class or series. |
(B) The corporate action must be approved by vote of the shareholders of each class or |
series entitled to cast at least two-thirds (2/3) of the votes that all shareholders of the class or |
series are entitled to cast on the action. |
(ii) In the case of a domestic entity other than a corporation, in addition to any other |
required approval, vote, or consent, the satisfaction of the following conditions: |
(A) The holders of every class or series of equity interest in the entity that are entitled to |
receive a distribution of any kind from the entity shall be entitled to vote on or consent to the |
action regardless of any otherwise applicable limitation on the voting or consent rights of any |
class or series. |
(B) The action must be approved by vote or consent of the holders described in |
subparagraph subsection (A) (7)(ii)(A) entitled to cast at least two-thirds (2/3) of the votes or |
consents that all of those holders are entitled to cast on the action. |
(8) "Publicly traded corporation" means a corporation that has shares listed on a national |
securities exchange or traded in a market maintained by one or more members of a national |
securities association. |
(9) "Specific public benefit" includes: |
(i) Providing low-income or underserved individuals or communities with beneficial |
products or services; |
(ii) Promoting economic opportunity for individuals or communities beyond the creation |
of jobs in the normal course of business; |
(iii) Protecting or restoring the environment; |
(iv) Improving human health; |
(v) Promoting the arts, sciences, or advancement of knowledge; |
(vi) Increasing the flow of capital to entities with a purpose to benefit society or the |
environment; and |
(vii) Conferring any other particular benefit on society or the environment. |
(10) "Subsidiary" means, in relation to a person, an entity in which the person owns |
beneficially or of record fifty percent (50%) or more of the outstanding equity interests, |
calculated as if all outstanding rights to acquire equity interests in the entity had been exercised. |
(11) "Third-party standard" means a recognized standard for defining, reporting, and |
assessing corporate social and environmental performance that is: |
(i) Comprehensive because it assesses the effect of the business and its operations upon |
the interests listed in paragraphs §§ 7-5.3-7(a)(1)(ii), (iii), (iv) and (v). |
(ii) Developed by an entity that is not controlled by the benefit corporation. |
(iii) Credible because it is developed by an entity that both: |
(A) Has access to necessary expertise to assess overall corporate social and |
environmental performance; and |
(B) Uses a balanced multi-stakeholder approach to develop the standard, including a |
reasonable public comment period. |
(iv) Transparent because the following information is publicly available: |
(A) About the standard: |
(I) The criteria considered when measuring the overall social and environmental |
performance of a business. |
(II) The relative weightings, if any, of those criteria. |
(B) About the development and revision of the standard: |
(I) The identity of the directors, officers, material owners, and the governing body of the |
entity that developed and controls revisions to the standard. |
(II) The process by which revisions to the standard and changes to the membership of the |
governing body are made. |
(III) An accounting of the revenue and sources of financial support for the entity, with |
sufficient detail to disclose any relationships that could reasonably be considered to present a |
potential conflict of interest. |
SECTION 6. Sections 7-6-34, 7-6-41.1, 7-6-42, 7-6-57, 7-6-58, 7-6-60, 7-6-72, 7-6-77 |
and 7-6-107 of the General Laws in Chapter 7-6 entitled "Rhode Island Nonprofit Corporation |
Act" are hereby amended to read as follows: |
7-6-34. Articles of incorporation. |
(a) The articles of incorporation shall set forth: |
(1) The name of the corporation. |
(2) The period of duration, which may be perpetual. |
(3) The purpose or purposes for which the corporation is organized. |
(4) (i) Any provisions, not inconsistent with the law, which that the incorporators elect to |
set forth in the articles of incorporation for the regulation of the internal affairs of the corporation, |
including a provision eliminating or limiting the personal liability of a director to the corporation |
or to its members for monetary damages for breach of the director's duty as a director. However, |
the provision does not eliminate or limit the liability of a director: |
(A) For any breach of the director's duty or of loyalty to the corporation or its members; |
(B) For acts or omissions not in good faith or which that involve intentional misconduct |
or a knowing violation of law; or |
(C) For any transaction from which the director derived an improper personal benefit, and |
also including any provision which that under this chapter is required or permitted to be set forth |
in the bylaws. |
(ii) No provision eliminating or limiting the personal liability of a director will be |
effective with respect to causes of action arising prior to the inclusion of the provision in the |
articles of incorporation of the corporation. |
(5) The address of its initial registered office, and the name of its initial registered agent |
at the address. |
(6) The number of directors constituting the initial board of directors, and the names and |
addresses of the persons who are to serve as the initial directors. |
(7) The name and residence or business address of each incorporator. |
(b) It is not necessary to set forth in the articles of incorporation any of the corporate |
powers enumerated in this chapter. |
(c) Unless the articles of incorporation provide that a change in the number of directors |
shall be made only by amendment to the articles of incorporation, a change in the number of |
directors made by amendment to the bylaws is controlling. In all other cases, whenever a |
provision of the articles of incorporation is inconsistent with a bylaw, the provision of the articles |
of incorporation is controlling. |
7-6-41.1. Certificate of correction. |
(a) Whenever any instrument authorized to be filed with the secretary of state under any |
provision of this chapter, has been so filed and is an inaccurate record of the corporate action |
therein referred to, or was defectively or erroneously executed, sealed, or acknowledged, the |
instrument may be corrected by filing with the secretary of state a certificate of correction, which |
must be executed, acknowledged, and filed in accordance with this section. |
(b) The corrected instrument must be specifically designated as such in its heading, |
specify the inaccuracy or defect to be corrected, and set forth the entire instrument in corrected |
form. |
(c) The certificate of correction shall be executed by the corporation, by its president or |
vice president, and by its secretary or an assistant secretary and shall set forth: |
(1) The name of the corporation. |
(2) The inaccuracy or defect to be corrected and set forth the portion of the instrument in |
corrected form. |
(3) If there are members entitled to vote on the correction: |
(i) A statement setting forth the date of the meeting of members at which the correction |
was adopted, that a quorum was present at the meeting, and that the correction received at least a |
majority of the votes which members present at the meeting or represented by proxy were entitled |
to cast; or |
(ii) A statement that the correction was adopted by a consent in writing signed by all |
members entitled to vote on it. |
(4) If there are no members, or no members entitled to vote on the correction, a statement |
of the fact, the date of the meeting of the board of directors at which the correction was adopted, |
and a statement of the fact that the correction received the vote of a majority of the directors in |
office. |
(5) Attach the The entire instrument in corrected form attached. |
(d) An instrument corrected in accordance with this section is effective as of the date the |
original instrument was filed, except as to those individuals who are substantially and adversely |
affected by the correction and as to those individuals the instrument as corrected is effective from |
its filing date. |
7-6-42. Restated articles of incorporation. |
(a) A domestic corporation may at any time restate its articles of incorporation as |
previously amended by filing with the secretary of state restated articles of incorporation. The |
restated articles of incorporation may include one or more amendments to the articles of |
incorporation adopted in accordance with the provisions of § 7-6-39. The corporation may restate |
articles of incorporation in the following manner: |
(1) If there are members entitled to vote on the restated articles, the board of directors |
shall adopt a resolution setting forth the proposed restated articles of incorporation and directing |
that they be submitted to a vote at a meeting of members entitled to vote on them, which may be |
either an annual or a special meeting. |
(2) Written notice setting forth the proposed restated articles or a summary of their |
provisions shall be given to each member entitled to vote on them, within the time and in the |
manner provided in this chapter for the giving of notice of meetings of members. If the meeting is |
an annual meeting, the proposed restated articles or a summary of their provisions may be |
included in the notice of the annual meeting. |
(3) At the meeting, a vote of the members entitled to vote on the restated articles shall be |
taken on them, which shall be adopted upon receiving the affirmative vote of a majority of the |
members entitled to vote on them present at the meeting or represented by proxy. |
(4) If there are no members, or no members entitled to vote on them, the proposed |
restated articles shall be adopted at a meeting of the board of directors upon receiving the |
affirmative vote of a majority of the directors in office. |
(b) Upon approval, restated articles of incorporation shall be executed by the corporation |
by its president or vice president and by its secretary or assistant secretary and shall set forth: |
(1) The name of the corporation. |
(2) The period of its duration. |
(3) The purpose or purposes which that the corporation is authorized to pursue. |
(4) Any other provisions, not inconsistent with law, which that are then set forth in the |
articles of incorporation as previously amended, except that it is not necessary to set forth in the |
restated articles of incorporation the registered office of the corporation, its registered agent, its |
directors, or its incorporators. |
(c) The restated articles of incorporation shall state that they correctly set forth the |
provisions of the articles of incorporation as previously amended, that they have been duly |
adopted as required by law, and the additional amendments to the articles of incorporation, if any, |
together with a statement that such additional amendments were adopted in accordance with the |
provisions of § 7-6-39, and a further statement that, except for the designated amendments, if any, |
the restated articles of incorporation correctly set forth without change the corresponding |
provisions of the articles of incorporation as previously amended, and that the restated articles of |
incorporation, together with the designated amendments, if any, supersede the original articles of |
incorporation and all previous amendments to the articles of incorporation. |
(d) The restated articles of incorporation shall be delivered to the secretary of state. If the |
secretary of state finds that the restated articles conform to law, the secretary of state shall, when |
all fees have been paid as in this chapter prescribed: |
(1) Endorse on the original the word "Filed," and the month, day, and year of the filing. |
(2) File of the original in the secretary of state's office. |
(3) Issue a restated certificate of incorporation. |
(e) The restated certificate of incorporation shall be delivered to the corporation or its |
representative. |
(f) Upon the issuance of the restated certificate of incorporation by the secretary of state, |
the restated articles of incorporation become effective and supersede the original articles of |
incorporation and all amendments to them. |
7-6-57. Issuance of certificate of revocation. |
(a) Upon revoking any certificate of incorporation, the secretary of state shall: |
(1) Issue a certificate of revocation in duplicate; |
(2) File one of the certificates in the secretary of state's office; |
(3) Send to the corporation by regular mail a certificate of revocation, addressed to the |
registered office of the corporation in this state on file with the secretary of state's office; |
provided, however, that if a prior mailing addressed to the registered office of the corporation in |
this state currently on file with the secretary of state's office has been returned to the secretary of |
state as undeliverable by the United States Postal Service for any reason, or if the certificate of |
revocation is returned as undeliverable to the secretary of state's office by the United States Postal |
Service for any reason, or if the secretary of state shall give notice as follows: |
(i) To the corporation at its principal office of record as shown in its most recent annual |
report, and no further notice shall be required; or |
(ii) In the case of a domestic corporation which that has not yet filed an annual report, |
then to any one of the incorporators listed on the articles of incorporation, and no further notice |
shall be required. |
(b) Upon the issuance of the certificate of revocation, the authority of the corporation to |
transact business in this state ceases. |
7-6-58. Withdrawal of certificate of revocation. |
(a) Within ten (10) years after issuing a certificate of revocation as provided in § 7-6-57, |
the secretary of state may withdraw the certificate of revocation and reinstate the corporation in |
good standing: |
(1) Upon filing by the corporation of the documents it had previously failed to file as set |
forth in subsections (a)(3) -- (a)(6) of § 7-6-56(a)(3) – (a)(6); and |
(2) Upon the payment by the corporation of a penalty in the amount of twenty-five |
dollars ($25.00) for each year or part of a year that has elapsed since the issuance of the |
certificate of revocation. |
(b) If as permitted by § 7-6-11(b)(2) another corporation, whether business or nonprofit, |
or domestic or foreign qualified to transact business in this state, bears or has filed a fictitious |
business name statement with respect to or reserved or registered in a name which that is the |
same as, the name of a corporation regarding which the certificate of revocation is proposed to be |
withdrawn, the secretary of state shall condition the withdrawal of the certificate of revocation |
upon the reinstated corporation's amending its articles of incorporation so as to designate a name |
which that is distinguishable upon the records of the secretary of state from its former name. |
(c) Upon the withdrawal of the certificate of revocation and reinstatement of the |
corporation in good standing as provided in subsection (a), title to any real estate, or any interest |
in real estate, held by the corporation at the time of the issuance of the certificate of revocation |
and not conveyed subsequent to the revocation of its certificate of incorporation shall be deemed |
to be re-vested in the corporation without further act or deed. |
7-6-60. Jurisdiction of court to liquidate assets and affairs of the corporation. |
(a) The superior court has full power to liquidate the assets and affairs of a corporation: |
(1) In an action by a member or director when it is made to appear: |
(i) That the directors are deadlocked in the management of the corporate affairs and that |
irreparable injury to the corporation is being suffered or is threatened because of the deadlock, |
and either that the members are unable to break the deadlock or there are no members having |
voting rights; or |
(ii) That the acts of the directors or those in control of the corporation are illegal, |
oppressive, or fraudulent; or |
(iii) That the members entitled to vote in the election of directors are deadlocked in |
voting power and have failed for at least two (2) years to elect successors to directors whose |
terms have expired or would have expired upon the election of their successors; |
(iv) That the corporate assets are being misapplied or wasted; or |
(v) That the corporation is unable to carry out its purposes. |
(2) In an action by a creditor: |
(i) When the claim of the creditor has been reduced to judgment and an execution on it |
has been returned unsatisfied and it is established that the corporation is insolvent; or |
(ii) When the corporation has admitted in writing that the claim of the creditor is due and |
owing and it is established that the corporation is insolvent. |
(3) Upon application by a corporation to have its dissolution continued under the |
supervision of the court. |
(4) When the corporation's certificate of incorporation is subject to revocation by the |
secretary of state and it is established that liquidation of its affairs should precede the issuance of |
a certificate of revocation. |
(b) Proceedings under this section shall be brought in the county in which the registered |
office or the principal office of the corporation is situated. |
(c) It is not necessary to make directors or members parties to any action or proceedings |
unless relief is sought against them personally. |
7-6-72. Corporate name of foreign corporation. |
No certificate of authority shall be issued to a foreign corporation unless the corporate |
name of the corporation: |
(1) Does not contain any word or phrase which that indicates or implies that it is |
organized for any purpose other than one or more of the purposes contained in its articles of |
incorporation. |
(2) Is distinguishable upon the records of the secretary of state from the name of any |
corporation, whether for-profit or not-for-profit, domestic or foreign, limited partnership, or |
domestic or foreign, limited-liability company organized under the laws of, or registered or |
qualified or authorized to transact business or conduct affairs in this state, or any name, or which |
that is filed, reserved, or registered under this title. |
(3) Is translated into letters of the English alphabet, if it is not in English. |
(4) Words and/or abbreviations that are required by statute to identify the particular type |
of business entity shall be disregarded when determining if a name is distinguishable upon the |
records of the secretary of state. |
(5) The secretary of state shall promulgate rules and regulations defining the term |
"distinguishable upon the record" for the administration of this chapter. |
7-6-77. Registered office and registered agent of foreign corporation. |
Each foreign corporation authorized to conduct affairs in this state shall have and |
continuously maintain in this state: |
(1) A registered office, that may be the same as in its principal office. |
(2) A registered agent, which agent may be either an individual resident in this state |
whose business office is identical with the registered office, or a domestic corporation, whether |
for profit or not for profit, or a foreign corporation, whether for profit or not for profit, authorized |
to transact business or conduct affairs in this state, having an office identical with the registered |
office. |
7-6-107. Effect of repeal of prior chapters. |
(a) The repeal of a prior chapter by this chapter does not affect any right accrued or |
established, or any liability or penalty incurred, under the provisions of the prior chapter, prior to |
its repeal. |
(b) The limitation formerly set forth in § 7-6-8, as amended, which is repealed by this |
section hereby, and any similar limitation does not subsequently apply to any existing |
corporation whether created by special act of the General Assembly or otherwise, even if the |
corporation's articles of incorporation or any special act of the General Assembly contain a |
reference to § 7-6-8 or a recitation of the limitation previously contained in that section or any |
similar limitation. |
(c) Each existing corporation has the powers set forth in § 7-6-5 of this chapter even if its |
articles of incorporation contain other or different powers or contain a reference to or recitation of |
the powers granted by any act at this time or subsequently repealed. |
SECTION 7. Sections 7-6.1-11 and 7-6.1-13 of the General Laws in Chapter 7-6.1 |
entitled "Cooperative Housing Corporations" are hereby amended to read as follows: |
7-6.1-11. Net savings -- Apportionment. |
At least once a year the board of every cooperative housing corporation shall, after first |
setting aside an adequate portion of the net savings in a reserve fund for the general operation of |
the business, apportion the remainder of the net savings in one or more of the following ways: |
(1) As a dividend not to exceed ten percent (10%), noncumulative, upon one or more |
classes of stock; |
(2) As an equitable distribution or refund to all patrons in proportion to their individual |
patronage except that: |
(i) in In the case of a subscriber patron, the distribution or refund may be credited to the |
subscriber's account until the subscription has been fully paid, ; and |
(ii) in In the case of a nonmember patron, the amount otherwise distributable may be |
retained by the cooperative housing corporation; |
(3) This section does not prevent a cooperative housing corporation from disposing of the |
net savings by reducing the cost of goods, facilities, or services or by applying the net savings |
otherwise for the common benefit of members or stockholders; |
(4) This section does not prevent a cooperative housing corporation from adopting a |
system by which the payment of net savings are is deferred for a fixed period of time, nor from |
adopting a system in which the net savings distributed are partly in cash and partly in stock. |
7-6.1-13. Loans. |
Any financial institution organized, incorporated, chartered, or licensed to conduct |
business under the laws of the state of Rhode Island are shall be authorized to make loans |
secured by a pledge of a proprietary lease and the appurtenant stock of a cooperative housing |
corporation on upon the same terms and with the same limitations as loans secured by |
mortgages of real property. |
SECTION 8. Section 7-7-8 of the General Laws in Chapter 7-7 entitled "Producers' |
Cooperatives" is hereby amended to read as follows: |
7-7-8. Qualifications of members. |
Only persons, or associations of persons, engaged in the production of the such |
agricultural products that as the association is authorized to handle, including lessees and |
landlords receiving these products as rent, are shall be eligible to membership in the association |
therein, subject to the terms and conditions prescribed in its articles of incorporation or bylaws |
consistent with this chapter herewith. Following the ascertainment through procedure set forth |
in its bylaws that a member has ceased to be eligible to membership in an association, his or her |
rights in the association therein may be suspended. |
SECTION 9. Sections 7-8-5, 7-8-9 and 7-8-17 of the General Laws in Chapter 7-8 |
entitled "Consumers' Cooperatives" are hereby amended to read as follows: |
7-8-5. Federation and cooperation between associations. |
In addition to the powers granted to it by § 7-1.2-302, an association has power to: |
(1) Own and hold membership in other associations formed under any laws of this state, |
or of any other state, country, nation, or government, and while the holder the membership |
thereof , to exercise all the rights of membership. |
(2) Make agreements of mutual aid or federation with other associations, other groups |
organized on a cooperative basis, and other nonprofit groups. |
7-8-9. Amendment of articles. |
(a) The articles of association may be amended, as provided in chapter 1.2 of this title, |
by an affirmative vote of two-thirds (2/3) of the members voting at a meeting duly called for the |
purpose. If the amendment is to alter the preferences of outstanding shares of any type, or to |
authorize the issuance of shares having preferences superior to outstanding shares of any type, the |
affirmative vote of two-thirds (2/3) of the members owning the outstanding shares affected by the |
change is also required for the adoption of the amendment. If the amendment is to alter the rule |
by which members' property rights in a nonshare association are determined, a vote of two-thirds |
(2/3) of the entire membership is required. |
(b) Notice of any meeting to consider amendments to the articles of association must be |
sent at least three (3) weeks in advance of the meeting to each member at his or her last known |
address, accompanied by the full text of the proposal and the part of the articles to be amended. |
(c) There shall be paid to the secretary of state upon the filing and certification of the |
articles of amendment a fee of five dollars ($5.00). |
7-8-17. Membership of organizations -- Payment of capital as prerequisite to |
membership. |
No corporation or organization or group of any kind is shall be eligible to membership in |
an association unless it is organized on a cooperative or nonprofit basis, and no person, |
association, or organization or group of any kind is shall be deemed a member of an association |
until the association has received payment in full for the par value of the minimum amount of |
share or membership capital stated in the articles as necessary to qualify for membership. |
SECTION 10. Section 7-9-2 of the General Laws in Chapter 7-9 entitled "Additional |
Powers Of Corporations" is hereby amended to read as follows: |
7-9-2. Power to execute bonds and obligations. |
Any company authorized to do business in this state may make, sign, seal, execute, |
acknowledge, and deliver any bond, guaranty, undertaking, or any other obligation in this state, or |
may enter into any recognizance or other obligation of record in this state, by its attorney in fact |
or by its officer or officers, agent or authorized agents; and the authority from the company may |
be shown in the same manner that similar authority are may be shown in the case of other |
corporations. |
SECTION 11. Section 7-11-402 of the General Laws in Chapter 7-11 entitled "Rhode |
Island Uniform Securities Act" is hereby amended to read as follows: |
7-11-402. Exempt transactions. |
The following transactions are exempt from §§ 7-11-301 and 7-11-404: |
(1) An isolated nonissuer transaction, whether or not effected through a broker-dealer; |
(2) A nonissuer transaction in an outstanding security if the issuer of the security has a |
class of securities subject to registration under § 12 of the Securities Exchange Act of 1934, 15 |
U.S.C. § 78l, and has been subject to the reporting requirements of § 13 or § 15(d) of the |
Securities Exchange Act of 1934, 15 U.S.C. §§ 78m and 78o(d), for not less than ninety (90) days |
before the transaction; or has filed and maintained with the director for not less than ninety (90) |
days before the transaction information, in any form that the director, by rule, specifies, |
substantially comparable to the information which the issuer would be required to file under § |
12(b) or § 12(g) of the Securities Exchange Act of 1934, 15 U.S.C. §§ 78l(b) or 78l(g), were the |
issuer to have a class of its securities registered under § 12 of the Securities Exchange Act of |
1934 and paid a fee with the filing of three hundred dollars ($300); |
(3) A nonissuer transaction if in a security: |
(i) of Of a class outstanding in the hands of the public for not less than ninety (90) days |
before the transaction is if a nationally recognized securities manual designated by the director, |
by rule or order, contains the names of the issuer's officers and directors, a statement of financial |
condition of the issuer as of a date within the last eighteen (18) months, and a statement of |
income or operations for either the last fiscal year before that date or the most recent year of |
operation; or |
(ii) if If the security has a fixed maturity or a fixed interest or dividend provision and |
there has been no default during the current fiscal year or within the three (3) preceding years, or |
during the existence of the issuer and any predecessors if less than three (3) years, in the payment |
of principal, interest, or dividends on the security; |
(4) A nonissuer transaction effected by or through a registered broker dealer pursuant to |
an unsolicited order or offer to purchase; but the director may by rule require that the customer |
acknowledge upon a specified form that the sale was unsolicited, and that a signed copy of each |
form be preserved by the broker dealer for a specified period; |
(5) A transaction between the issuer or other person on whose behalf the offering of a |
security is made and an underwriter, or a transaction among underwriters; |
(6) A transaction in a bond or other evidence of indebtedness secured by a real estate |
mortgage, deed of trust, personal property security agreement, or by an agreement for the sale of |
real estate or personal property, if the entire mortgage, deed of trust, or agreement, together with |
all the bonds or other evidences of indebtedness secured by them, is offered and sold as a unit; |
(7) A transaction by an executor, administrator, sheriff, marshal, receiver, trustee in |
bankruptcy, guardian, or conservator; |
(8) A transaction executed by a bona fide secured party without a purpose of evading this |
chapter; |
(9) An offer to sell or sale of a security to a financial or institutional investor or to a |
broker dealer; |
(10) A transaction pursuant to an offer directed by the offeror to no more than twenty- |
five (25) purchasers in this state, other than those designated in subdivision (9), during any twelve |
(12) consecutive months; no general solicitation or general advertising is used in connection with |
the offer to sell or sale of the securities; and no commission or other similar compensation is paid |
or given, directly or indirectly, to a person, other than a broker dealer licensed or not required to |
be licensed under this chapter, for soliciting a prospective purchaser in this state; and either: |
(i) the The seller reasonably believes that all the purchasers in this state, other than those |
designated in subdivision subsection (9) are purchasing for investment; or |
(ii) immediately Immediately before and immediately after the transaction, the issuer |
reasonably believes that the securities of the issuer are held by fifty (50) or fewer beneficial |
owners, other than those designated in paragraph subsection (9) and the transaction is part of an |
aggregate offering that does not exceed one million dollars ($1,000,000) during any twelve (12) |
consecutive months. |
(11) An offer to sell or sale of a preorganization certificate or subscription if no |
commission or other similar compensation is paid or given, directly or indirectly, for soliciting a |
prospective subscriber; no public advertising or general solicitation is used in connection with the |
offer to sell or sale; the number of subscribers does not exceed ten (10); and no payment is made |
by a subscriber; |
(12) An offer to sell or sale of a preorganization certificate or subscription agreement |
issued in connection with the organization of a depository institution if that organization is under |
the supervision of an official or agency of any state or of the United States which that has and |
exercises the authority to regulate and supervise the organization of the depository institution. For |
the purposes of this paragraph subsection, supervision of the organization by an official or |
agency means that the official or agency by law has authority to require disclosures to prospective |
investors similar to that required under § 7-11-304, impound proceeds from the sale of |
preorganization certificates or subscription agreements until organization of the depository |
institution is completed, and require refund to investors if the depository institution does not |
obtain a grant of authority from the appropriate official or agency; |
(13) A transaction pursuant to an offer to sell to existing security holders of the issuer, |
including persons who at the time of the transaction are holders of transferable warrants |
exercisable within not more than ninety (90) days after their issuance, convertible securities, or |
nontransferable warrants, if: |
(i) No commission or other similar compensation, other than a standby commission, is |
directly or indirectly paid or given, for soliciting a security holder in this state; or |
(ii) The issuer first files a notice specifying the terms of the offer to sell and the director |
does not by order disallow the exemption within the next five (5) full business days; |
(14) A transaction involving an offer to sell, but not a sale, of a security not exempt from |
registration under the Securities Act of 1933, 15 U.S.C. § 77a et seq. if: |
(i) A registration or offering statement or similar document as required under the |
Securities Act of 1933, 15 U.S.C. § 77a et seq. has been filed, but is not effective; |
(ii) A registration statement, if required, has been filed under this chapter, but is not |
effective; and |
(iii) No stop order of which the offeror is aware has been entered by the director or the |
securities and exchange commission Securities and Exchange Commission, and no |
examination or public proceeding that may culminate in that kind of order is known by the offeror |
to be pending; |
(15) A transaction involving an offer to sell, but not a sale, of a security exempt from |
registration under the Securities Act of 1933, 15 U.S.C. § 77a et seq. if: |
(i) A registration statement has been filed under this chapter, but is not effective; and |
(ii) No stop order of which the offeror is aware has been entered by the director and no |
examination or public proceeding that may culminate in that kind of order is known by the offeror |
to be pending; |
(16) A transaction involving the distribution of the securities of an issuer to the security |
holders of another person in connection with a merger, consolidation, exchange of securities, sale |
of assets, or other reorganization to which the issuer, or its parent or subsidiary, and the other |
person, or its parent or subsidiary, are parties, if: |
(i) The securities to be distributed are registered under the Securities Act of 1933, 15 |
U.S.C. § 77a et seq. before the consummation of the transaction; or |
(ii) The securities to be distributed are not required to be registered under the Securities |
Act of 1933, 15 U.S.C. § 77a et seq., written notice of the transaction and a copy of the materials, |
if any, by which approval of the transaction will be solicited is given to the director at least ten |
(10) days before the consummation of the transaction and the director does not disallow by order |
the exemption within the next ten (10) days; and |
(17) (i) A transaction involving the offer to sell or sale of one or more promissory notes |
each of which is directly secured by a first lien on a single parcel of real estate, or a transaction |
involving the offer to sell or sale of participation interests in the notes if the notes and |
participation interests are originated by a depository institution and are offered and sold subject to |
the following conditions: |
(A) The minimum aggregate sales price paid by each purchaser may not be less than two |
hundred and fifty thousand dollars ($250,000); |
(B) Each purchaser must pay cash either at the time of the sale or within sixty (60) days |
after the sale; and |
(C) Each purchaser may buy for that person's own account only; |
(ii) A transaction involving the offer to sell or sale of one or more promissory notes |
directly secured by a first lien on a single parcel of real estate or participation interests in the |
notes, if the notes and participation interests are originated by a mortgagee approved by the |
secretary of housing and urban development Housing and Urban Development under §§ 203 |
and 211 of the National Housing Act, 12 U.S.C. §§ 1709 and 1715b, and are offered or sold, |
subject to the conditions specified in subsection (17)(i), to a depository institution or insurance |
company, the federal home loan mortgage corporation, the federal national mortgage |
association, or the government national mortgage association the Federal Home Loan |
Mortgage Corporation, the Federal National Mortgage Association, or the Government |
National Mortgage Association; and |
(iii) A transaction between any of the persons described in subparagraph (ii) involving a |
nonassignable contract to buy or sell the securities described in subparagraph (i) which contract is |
to be completed within two (2) years if: |
(A) The seller of the securities pursuant to the contract is one of the parties described in |
paragraph (i) or (ii) of this subdivision who may originate securities; |
(B) The purchaser of securities pursuant to a contract is any other person described in |
paragraph (ii); and |
(C) The conditions described in paragraph (i) are fulfilled. |
(18) Any offer or sale of securities made in reliance on the exemptions provided by Rule |
505 or 506 of regulation D as may be amended from time to time, under the Securities Act of |
1933, 15 U.S.C. § 77a et seq., and the provisions of the rules under that Act as amended from |
time to time; provided: |
(i) No commission or other remuneration may be paid or given directly or indirectly, to |
any person for soliciting or selling to any person in this state in reliance on this exemption, except |
to persons registered under §§ 7-11-201 -- 7-11-204; |
(ii) Not later than ten (10) days, or a shorter period that may be permitted by order of the |
director, prior to the first sale of securities in reliance on this exemption, there is filed with the |
director: |
(A) A Uniform Consent to Service of Process (Form U2); |
(B) A notice of original filing on Form D; and |
(C) A fee of three hundred dollars ($300). |
No exemption is available for the securities of any issuer if any of the parties described in |
securities and exchange commission regulation A. Rule 230.252, Section (c), (d), (e) or (f) under |
the Securities Act of 1933 are disqualified pursuant to a rule adopted by the director. |
SECTION 12. Section 7-12-49 of the General Laws in Chapter 7-12 entitled |
"Partnerships" is hereby amended to read as follows: |
7-12-49. Rights of partners to application of partnership property. |
(a) When dissolution is caused in any way, except in contravention of the partnership |
agreement, each partner, as against his or her copartners and all persons claiming through them in |
respect of their interests in the partnership, unless otherwise agreed, may have the partnership |
property applied to discharge its liabilities, and the surplus applied to pay in cash the net amount |
owing to the respective partners. But if dissolution is caused by the expulsion of a bona fide |
partner under the partnership agreement, and if the expelled partner is discharged from all |
partnership liabilities, either by payment or agreement under § 7-12-47(2)(b), he or she receives |
in cash only the net amount due him or her from the partnership. |
(b) When dissolution is caused in contravention of the partnership agreement the rights of |
the partners are as follows: |
(1) Each partner who has not wrongfully caused dissolution has, : |
(i) All the rights specified in subsection (a), ; and |
(ii) The right, as against each partner who has wrongfully caused the dissolution, to |
damages for breach of the agreement. |
(2) The partners who have not wrongfully caused the dissolution, if they all desire to |
continue the business in the same name, either by themselves or jointly with others, may do so, |
during the agreed term for the partnership and for that purpose may possess the partnership |
property, provided they secure the payment by bond approved by the court, or pay to any partner |
who has wrongfully caused the dissolution, the value of his or her interest in the partnership at the |
dissolution, less any damages recoverable under subsection (b)(1)(ii), and in like manner |
indemnify him or her against all present or future partnership liabilities. |
(3) A partner who has wrongfully caused the dissolution has: |
(i) If the business is not continued under the provisions of subsection (b)(2), all the rights |
of a partner under subsection (a); subject to subsection (b)(1)(ii). ; |
(ii) If the business is continued under subsection (b)(2), the right as against his or her |
copartners and all claiming through them as to their interests in the partnership, to have the value |
of his or her interest in the partnership, less any damages caused to his or her copartners by the |
dissolution, ascertained and paid to him or her in cash, or the payment secured by bond approved |
by the court, and to be released from all existing liabilities of the partnership; but in ascertaining |
the value of the partner's interest the value of the good will of the business is not considered. |
SECTION 13. Section 7-13-44 of the General Laws in Chapter 7-13 entitled "Limited |
Partnerships" is hereby amended to read as follows: |
7-13-44. Nonjudicial dissolution. |
A limited partnership is dissolved and its affairs shall be wound up upon the happening of |
the first to occur of the following: |
(1) At the time or upon the happening of any of the events specified in the partnership |
agreement; |
(2) Written consent of all partners; |
(3) Unless otherwise provided in the partnership agreement, an event of withdrawal of a |
general partner unless at the time there is at least one other general partner and the partnership |
agreement permits the business of the limited partnership to be carried on by the remaining |
general partner and that partner does so, but the limited partnership is not dissolved and is not |
required to be wound up by reason of any event of withdrawal, if, within ninety (90) days after |
the withdrawal, a majority interest of the partners agrees in writing to continue the business of the |
limited partnership and to the appointment of one or more additional general partners if necessary |
or desired; or |
(4) Entry of a decree of judicial dissolution under § 7-13-45. |
SECTION 14. Section 7-15-6 of the General Laws in Chapter 7-15 entitled "Racketeer |
Influenced and Corrupt Organizations" is hereby amended to read as follows: |
7-15-6. Application. |
It is not a defense in any action brought under this chapter that the racketeering activity as |
defined in § 7-15-1(a) (c) occurred prior to May 5, 1979. |
SECTION 15. Sections 7-16-5.1, 7-16-5.2, 7-16-9, 7-16-50.1, 7-16-54, 7-16-63, 7-16-64 |
and 7-16-65 of the General Laws in Chapter 7-16 entitled "The Rhode Island Limited-Liability |
Company Act" are hereby amended to read as follows: |
7-16-5.1. Conversion of certain entities to a limited-liability company. |
(a) As used in this section, the term "other entity" means a corporation, a business trust, |
or association, a real estate investment trust, a common-law trust, a sole proprietorship or any |
other unincorporated business, or entity including a partnership, whether general or limited, |
(including a registered limited-liability partnership) or a foreign, limited-liability company. |
(b) Any other entity may convert to a domestic, limited-liability company by complying |
with subsection (h) of this section and filing in the office of the secretary of state in accordance |
with § 7-16-8 articles of organization that comply with § 7-16-6 and have been executed by one |
or more authorized persons in accordance with § 7-16-7, accompanied by a certificate of |
conversion to a limited-liability company duly executed by one or more persons authorized to act |
on behalf of the other entity and one or more persons authorized to sign a certificate of |
conversion on behalf of the limited-liability company. |
(c) The certificate of conversion to limited-liability company shall state: |
(1) The date on which and jurisdiction where the other entity was first created, formed, or |
otherwise came into being and, if it has changed, its jurisdiction immediately prior to its |
conversion to a domestic, limited-liability company; |
(2) The name of the other entity immediately prior to the filing of the certificate of |
conversion to limited-liability company; |
(3) The name of the limited-liability company as set forth in its articles of organization |
filed in accordance with subsection (b) of this section; and |
(4) The future effective date or time (which is a date or time certain) of the conversion to |
a limited-liability company if it is not to be effective upon the filing of the certificate of |
conversion to limited-liability company and the articles of organization. |
(d) Upon the filing in the office of the secretary of state of the certificate of conversion to |
limited-liability company and the articles of organization or upon the future effective date or time |
of the certificate of conversion to a limited-liability company and the articles of organization, the |
other entity shall be converted into a domestic, limited-liability company and the limited-liability |
company shall thereafter be subject to all of the provisions of this chapter, except that, |
notwithstanding § 7-16-5, the existence of the limited-liability company shall be deemed to have |
commenced on the date the other entity commenced its existence in the jurisdiction in which the |
other entity was first created, formed, or otherwise came into being. |
(e) The conversion of any other entity into a domestic, limited-liability company shall not |
be deemed to affect any obligations or liabilities of the other entity incurred prior to its |
conversion to a domestic, limited-liability company or the personal liability of any person |
incurred prior to the conversion. |
(f) When any conversion shall have become effective under this section, for all purposes |
of the laws of the state of Rhode Island, all of the rights, privileges, and powers of the other entity |
that has converted, and all property, real, personal, and mixed, and all debts due to such other |
entity, as well as all other things and causes of action belonging to the other entity, shall be vested |
in the domestic, limited-liability company and shall thereafter be the property of the domestic, |
limited-liability company as they were of the other entity that has converted, and the title to any |
real property vested by deed or otherwise in the other entity shall not revert or be in any way |
impaired by reason of this chapter, but all rights of creditors and all liens upon any property of |
such other entity shall be preserved unimpaired, and all debts, liabilities, and duties of the other |
entity that has converted shall thenceforth attach to the domestic, limited-liability company and |
may be enforced against it to the same extent as if those debts, liabilities, and duties had been |
incurred or contracted by it. |
(g) Unless otherwise agreed, or as required under applicable non-Rhode Island law, the |
converting other entity shall not be required to wind up its affairs or pay its liabilities and |
distribute its assets, and the conversion shall not be deemed to constitute a dissolution of the other |
entity and shall constitute a continuation of the existence of the converting other entity in the |
form of a domestic, limited-liability company. |
(h) Prior to filing a certificate of conversion to limited-liability company with the office |
of the secretary of state, the conversion shall be approved in the manner provided for by the |
document, instrument, agreement, or other writing, as the case may be, governing the internal |
affairs of the other entity and the conduct of its business or by applicable law, as appropriate, and |
a limited-liability company agreement shall be approved by the same authorization required to |
approve the conversion. |
(i) In connection with a conversion hereunder, rights or securities of or interests in the |
other entity which that is to be converted to a domestic, limited-liability company may be |
exchanged for or converted into cash, property, or rights or securities of or interests in such |
domestic, limited-liability company or, in addition to or in lieu thereof, may be exchanged for |
or converted into cash, property, or rights or securities of or interests in such domestic |
limited liability company or, in addition to or in lieu thereof, may be exchanged for or converted |
into cash, property, or rights or securities of or interests in another domestic, limited-liability |
company or other entity or may be cancelled. |
(j) The provisions of this section shall not be construed to limit the accomplishment of a |
change in the law governing, or the domicile of, an other another entity to the state of Rhode |
Island by any other means provided for in a limited-liability company agreement or other |
agreement or as otherwise permitted by law, including by the amendment of a limited-liability |
company agreement or other agreement. |
7-16-5.2. Approval of conversion of a limited-liability company. [Effective until July |
1, 2020.]. |
(a) A domestic, limited-liability company may convert to a corporation, a business trust, |
or association, a real estate investment trust, a common law trust, a sole proprietorship, or any |
other unincorporated business or entity including a partnership (whether general or limited, |
including a registered limited-liability partnership), or a foreign, limited-liability company upon |
the authorization of the conversion in accordance with this section. |
(b) If the limited-liability company agreement specified the manner of authorizing a |
conversion of the limited-liability company, the conversion shall be authorized as specified in the |
limited-liability company agreement. If the limited-liability company agreement does not specify |
the manner of authorizing a conversion of the limited-liability company and does not prohibit a |
conversion of the limited-liability company, the conversion shall be authorized in the same |
manner as is specified in the limited-liability company agreement for authorizing a merger or |
consolidation that involves the limited-liability company as a constituent party to the merger or |
consolidation. If the limited-liability company agreement does not specify the manner of |
authorizing a conversion of the limited-liability company or a merger or consolidation that |
involves the limited-liability company as a constituent party and does not prohibit a conversion of |
the limited-liability company, the conversion shall be authorized by the approval by the members |
or, if there is more than one class or group of members, then by each class or group of members, |
in either case, by members who own more than fifty percent (50%) of the then-current percentage |
or other interest in the profits of the domestic, limited-liability company owned by all of the |
members or by the members in each class or group, as appropriate. |
(c) Unless otherwise agreed, the conversion of a domestic, limited-liability company to |
another entity or business form pursuant to this section shall not require such the limited-liability |
company to wind up its affairs under § 7-16-45 or pay its liabilities and distribute its assets under |
§ 7-16-46, and the conversion shall not constitute a dissolution of such the limited-liability |
company. When a limited-liability company has converted to another entity or business form |
pursuant to this section, for all purposes of the laws of the state of Rhode Island, the other entity |
or business form shall be deemed to be the same entity as the converting limited-liability |
company and conversion shall constitute a continuation of the existence of the limited-liability |
company in the form of such other entity or business form. |
(d) In connection with a conversion of a domestic, limited-liability company to another |
entity or business form pursuant to this section, rights or securities of or interests in the domestic, |
limited-liability company that is to be converted may be exchanged for or converted into cash, |
property, rights or securities of or interests in the entity or business form into which the domestic, |
limited-liability company is being converted or, in addition to or in lieu thereof, may be |
exchanged for or converted into cash, property, rights or securities of or interests in another entity |
or business form or may be cancelled. |
(e) If a limited-liability company shall convert in accordance with this section to another |
entity or business form organized, formed, or created under the laws of a jurisdiction other than |
the state of Rhode Island or to a Rhode Island unincorporated "other entity", a certificate of |
conversion to non-Rhode Island entity shall be filed in the office of the secretary of state. The |
certificate of conversion to non-Rhode Island entity shall state: |
(1) The name of the limited-liability company and, if it has been changed, the name under |
which its certificate of formation was originally filed; |
(2) The date of filing of its original certificate of formation with the secretary of state; |
(3) The jurisdiction in which the entity or business form, to which the limited-liability |
company shall be converted, is organized, formed, or created, and the name and type of such |
entity or business form; |
(4) The future effective date or time (which shall be a date or time certain) of the |
conversion if it is not to be effective upon the filing of the certificate of conversion to non-Rhode |
Island entity; |
(5) That the conversion has been approved in accordance with this section; |
(6) The agreement of the limited-liability company that it may be served with process in |
the state of Rhode Island in any action, suit, or proceeding for enforcement of any obligation to of |
the limited-liability company arising while it was a limited-liability company of the state of |
Rhode Island, and that it irrevocably appoints the secretary of state as its agent to accept service |
of process in any such action, suit, or proceeding. |
(f) Upon the filing in the office of the secretary of state of the certificate of conversion to |
non-Rhode Island entity or upon the future effective date or time of the certificate of conversion |
to non-Rhode Island entity and upon payment of all fees due by the limited-liability company, as |
evidenced by an appropriate certificate of good standing issued by the Rhode Island division of |
taxation, the secretary of state shall certify that the limited-liability company has filed all |
documents and paid all fees required by this chapter, and thereupon the limited-liability company |
shall cease to exist as a limited-liability company of the state of Rhode Island. Such certificate of |
the secretary of state shall be prima facie evidence of the conversion by such limited-liability |
company out of the state of Rhode Island. |
(g) The conversion of a limited-liability company out of the state of Rhode Island in |
accordance with this section and the resulting cessation of its existence as a limited-liability |
company of the state of Rhode Island pursuant to a certificate of conversion to non-Rhode Island |
entity shall not be deemed to affect any obligations or liabilities of the limited-liability company |
incurred prior to such conversion or the personal liability of any person incurred prior to such |
conversion, nor shall it be deemed to affect the choice of laws applicable to the limited-liability |
company with respect to matters arising prior to such conversion. |
(h) When a limited-liability company has been converted to another entity or business |
form pursuant to this section, the other entity or business form shall, for all purposes of the laws |
of the state of Rhode Island, be deemed to be the same entity as the limited-liability company. |
When any conversion shall have become effective under this section, for all purposes of the laws |
of the state of Rhode Island, all of the rights, privileges, and powers of the limited-liability |
company that has converted, and all property, real, personal, and mixed, and all such debts due to |
such limited-liability company, as well as all other things and causes of action belonging to such |
limited-liability company, shall remain vested in the other entity or business form to which such |
limited-liability company has converted and shall be the property of such other entity or business |
form, and the title to any real property vested by deed or otherwise in such limited-liability |
company shall not revert to such limited-liability company or be in any way impaired by reason |
of this chapter; but all rights of creditors and all liens upon any property of such limited-liability |
company shall be preserved unimpaired, and all debts, liabilities, and duties of the limited- |
liability company that has converted shall remain attached to the other entity or business form to |
which such limited-liability company has converted, and may be enforced against it to the same |
extent as if said debts, liabilities, and duties had originally been incurred or contracted by it in its |
capacity as such other entity or business form. The rights, privileges, powers, and interests in |
property of the limited-liability company that has converted, as well as the debts, liabilities, and |
duties of such limited-liability company, shall not be deemed, as a consequence of the |
conversion, to have been transferred to the other entity or business form to which such limited- |
liability company has converted for any purpose of the laws of the state of Rhode Island. |
7-16-5.2. Approval of conversion of a limited-liability company. [Effective July 1, |
2020.]. |
(a) A domestic, limited-liability company may convert to a corporation, a business trust, |
or association, a real estate investment trust, a common law trust, a sole proprietorship, or any |
other unincorporated business or entity including a partnership (whether general or limited, |
including a registered limited-liability partnership), or a foreign, limited-liability company upon |
the authorization of the conversion in accordance with this section. |
(b) If the limited-liability company agreement specified the manner of authorizing a |
conversion of the limited-liability company, the conversion shall be authorized as specified in the |
limited-liability company agreement. If the limited-liability company agreement does not specify |
the manner of authorizing a conversion of the limited-liability company and does not prohibit a |
conversion of the limited-liability company, the conversion shall be authorized in the same |
manner as is specified in the limited-liability company agreement for authorizing a merger or |
consolidation that involves the limited-liability company as a constituent party to the merger or |
consolidation. If the limited-liability company agreement does not specify the manner of |
authorizing a conversion of the limited-liability company or a merger or consolidation that |
involves the limited-liability company as a constituent party and does not prohibit a conversion of |
the limited-liability company, the conversion shall be authorized by the approval by the members |
or, if there is more than one class or group of members, then by each class or group of members, |
in either case, by members who own more than fifty percent (50%) of the then-current percentage |
or other interest in the profits of the domestic, limited-liability company owned by all of the |
members or by the members in each class or group, as appropriate. |
(c) Unless otherwise agreed, the conversion of a domestic, limited-liability company to |
another entity or business form pursuant to this section shall not require such limited-liability |
company to wind up its affairs under § 7-16-45 or pay its liabilities and distribute its assets under |
§ 7-16-46, and the conversion shall not constitute a dissolution of such limited-liability company. |
When a limited-liability company has converted to another entity or business form pursuant to |
this section, for all purposes of the laws of the state of Rhode Island, the other entity or business |
form shall be deemed to be the same entity as the converting limited-liability company and |
conversion shall constitute a continuation of the existence of the limited-liability company in the |
form of such other entity or business form. |
(d) In connection with a conversion of a domestic, limited-liability company to another |
entity or business form pursuant to this section, rights or securities of or interests in the domestic, |
limited-liability company that is to be converted may be exchanged for or converted into cash, |
property, rights, or securities of or interests in the entity or business form into which the |
domestic, limited-liability company is being converted or, in addition to or in lieu thereof, may be |
exchanged for or converted into cash, property, rights, or securities of or interests in another |
entity or business form or may be cancelled. |
(e) If a limited-liability company shall convert in accordance with this section to another |
entity or business form organized, formed, or created under the laws of a jurisdiction other than |
the state of Rhode Island or to a Rhode Island unincorporated "other entity", a certificate of |
conversion to non-Rhode Island entity shall be filed in the office of the secretary of state. The |
certificate of conversion to non-Rhode Island entity shall state: |
(1) The name of the limited-liability company and, if it has been changed, the name under |
which its certificate of formation was originally filed; |
(2) The date of filing of its original certificate of formation with the secretary of state; |
(3) The jurisdiction in which the entity or business form, to which the limited-liability |
company shall be converted, is organized, formed, or created, and the name and type of such |
entity or business form; |
(4) The future effective date or time (which shall be a date or time certain) of the |
conversion if it is not to be effective upon the filing of the certificate of conversion to non-Rhode |
Island entity; |
(5) That the conversion has been approved in accordance with this section; |
(6) The agreement of the limited-liability company that it may be served with process in |
the state of Rhode Island in any action, suit, or proceeding for enforcement of any obligation to of |
the limited-liability company arising while it was a limited-liability company of the state of |
Rhode Island, and that it irrevocably appoints the secretary of state as its agent to accept service |
of process in any such action, suit, or proceeding. |
(f) Upon the filing in the office of the secretary of state of the certificate of conversion to |
non-Rhode Island entity or upon the future effective date or time of the certificate of conversion |
to non-Rhode Island entity and upon payment of all fees due by the limited-liability company, the |
secretary of state shall certify that the limited-liability company has filed all documents and paid |
all fees required by this chapter, and thereupon the limited-liability company shall cease to exist |
as a limited-liability company of the state of Rhode Island. Such certificate of the secretary of |
state shall be prima facie evidence of the conversion by such the limited-liability company out of |
the state of Rhode Island. |
(g) The conversion of a limited-liability company out of the state of Rhode Island in |
accordance with this section and the resulting cessation of its existence as a limited-liability |
company of the state of Rhode Island pursuant to a certificate of conversion to non-Rhode Island |
entity shall not be deemed to affect any obligations or liabilities of the limited-liability company |
incurred prior to such conversion or the personal liability of any person incurred prior to such |
conversion, nor shall it be deemed to affect the choice of laws applicable to the limited-liability |
company with respect to matters arising prior to such conversion. |
(h) When a limited-liability company has been converted to another entity or business |
form pursuant to this section, the other entity or business form shall, for all purposes of the laws |
of the state of Rhode Island, be deemed to be the same entity as the limited-liability company. |
When any conversion shall have become effective under this section, for all purposes of the laws |
of the state of Rhode Island, all of the rights, privileges, and powers of the limited-liability |
company that has converted, and all property, real, personal, and mixed, and all such debts due to |
such the limited-liability company, as well as all other things and causes of action belonging to |
such the limited-liability company, shall remain vested in the other entity or business form to |
which such the limited-liability company has converted and shall be the property of such the |
other entity or business form, and the title to any real property vested by deed or otherwise in |
such the limited-liability company shall not revert to such the limited-liability company or be in |
any way impaired by reason of this chapter; but all rights of creditors and all liens upon any |
property of such the limited-liability company shall be preserved unimpaired, and all debts, |
liabilities, and duties of the limited-liability company that has converted shall remain attached to |
the other entity or business form to which such the limited-liability company has converted, and |
may be enforced against it to the same extent as if said debts, liabilities, and duties had originally |
been incurred or contracted by it in its capacity as such the other entity or business form. The |
rights, privileges, powers, and interests in property of the limited-liability company that has |
converted, as well as the debts, liabilities, and duties of such the limited-liability company, shall |
not be deemed, as a consequence of the conversion, to have been transferred to the other entity or |
business form to which such the limited-liability company has converted for any purpose of the |
laws of the state of Rhode Island. |
7-16-9. Name -- Fictitious business names. |
(a) The name of each limited-liability company as set forth in its articles of organization: |
(1) Shall end with either the words "limited-liability company" or the upper or lower case |
letters "l.l.c." with or without punctuation, or, if organized as a low-profit, limited-liability |
company, shall end with either the words "low-profit, limited-liability company" or the |
abbreviation "L3C" or "13c"; |
(2) Shall be distinguishable upon the records of the secretary of state from: |
(i) The name of any corporation, nonbusiness corporation or other association, limited |
partnership or domestic or foreign, limited-liability company organized under the laws of, or |
registered or qualified to do business in, this state; or |
(ii) Any name which that is filed, reserved, or registered under this title, subject to the |
following: |
(A) This provision shall not apply if the applicant files with the secretary of state a |
certified copy of a final decree of a court of competent jurisdiction establishing the prior right of |
the applicant to the use of the name in this state; and |
(B) The name may be the same as the name of a corporation, nonbusiness corporation, or |
other association, the certificate of incorporation or organization of which has been revoked by |
the secretary of state as permitted by law, and the revocation has not been withdrawn within one |
year from the date of the revocation. |
(C) Words and/or or abbreviations that are required by statute to identify the particular |
type of business entity shall be disregarded when determining if a name is distinguishable upon |
the records of the secretary of state. |
(D) The secretary of state shall promulgate rules and regulations defining the term |
"distinguishable upon the record" for the administration of this chapter. |
(b) (1) Any domestic or foreign, limited-liability company organized under the laws of, |
or registered or qualified to do business in, this state may transact business in this state under a |
fictitious name provided that it files a fictitious business name statement in accordance with this |
subsection. |
(2) A fictitious business name statement shall be filed with the secretary of state and shall |
be executed by an authorized person of the domestic, limited-liability company or by a person |
with authority to do so under the laws of the state or other jurisdiction of its organization of the |
foreign, limited-liability company and shall set forth: |
(i) The fictitious business name to be used; and |
(ii) The name of the applicant limited-liability company, the state or other jurisdiction in |
which the limited-liability company is organized and date of the limited-liability company's |
organization. |
(3) The fictitious business name statement expires upon the filing of a statement of |
abandonment of use of a fictitious business name registered in accordance with this subsection or |
upon the dissolution of the applicant domestic, limited-liability company or the cancellation of |
registration of the applicant foreign, limited-liability company. |
(4) The statement of abandonment of use of a fictitious business name under this |
subsection shall be filed with the secretary of state, shall be executed in the same manner and as |
provided in subdivision (2) above, and shall set forth: |
(i) The fictitious business name being abandoned; |
(ii) The date on which the original fictitious business name statement being abandoned |
was filed; and |
(iii) The information set forth in subdivision (2)(ii) of subsection (a) subsection |
(a)(2)(ii). |
(5) No domestic or foreign, limited-liability company transacting business under a |
fictitious business name contrary to the provisions of this section, or its assignee, may maintain |
any action upon or on account of any contract made, or transaction had, in the fictitious business |
name in any court of the state until a fictitious business name statement has been filed in |
accordance with this section. |
(6) No limited-liability company may be permitted to transact business under a fictitious |
business name pursuant to this section which that is the same as the name of any corporation, |
limited partnership or domestic or foreign, limited-liability company organized under the laws of, |
or registered or qualified to do business in, this state or any name which that is filed, reserved, or |
registered under this title, subject to the following: |
(i) This provision does not apply if the applicant files with the secretary of state a |
certified copy of a final decree of a court of competent jurisdiction establishing the prior right of |
the applicant to the use of the name in this state; and |
(ii) The name may be the same as the name of a corporation, nonbusiness corporation, or |
other association, the certificate of incorporation or organization of which has been revoked by |
the secretary of state as permitted by law and the revocation has not been withdrawn within one |
year from the date of revocation. |
(iii) Words and/or or abbreviations that are required by statute to identify the particular |
type of business entity shall be disregarded when determining if a name is distinguishable upon |
the records of the secretary of state. |
(iv) The secretary of state shall promulgate rules and regulations defining the term |
"distinguishable upon the record" for the administration of this chapter. |
(7) A filing fee of fifty dollars ($50.00) shall be collected by the secretary of state for |
each statement filed. |
7-16-50.1. Service of process on foreign, limited-liability company. |
(a) The resident agent appointed by a foreign, limited-liability company authorized to |
transact business in this state is an agent of the limited-liability company upon whom any process, |
notice, or demand required or permitted by law to be served upon the corporation may be served. |
(b) Whenever a foreign, limited-liability company authorized to transact business in this |
state fails to appoint or maintain a resident agent in this state,; or whenever any resident agent |
cannot with reasonable diligence be found at the registered office, ; or whenever the certificate of |
authority of a foreign, limited-liability company is suspended or revoked, the secretary of state is |
an agent of the foreign, limited-liability company upon whom any process, notice, or demand |
may be served. Service on the secretary of state of any process, notice, or demand must be made |
by delivering to and leaving with him or her, or with any clerk having charge of the corporation |
department of his or her office, duplicate copies of the process, notice, or demand. In the event |
any process, notice, or demand is served on the secretary of state, the secretary of state shall |
immediately forward one of the copies by registered mail, addressed to the foreign, limited- |
liability company at its principal office if known to him or her, in the state or country under the |
laws of which it was organized. Any service had in this manner on the secretary of state is |
returnable in not less than thirty (30) days. |
(c) Every foreign, limited-liability company as a condition precedent to carrying on |
business in this state must, and by so carrying on business in this state does, consent that any |
process, including the process of garnishment, may be served upon the secretary of state in the |
manner provided by this section, except that notice of the service must be given by the plaintiff or |
his or her attorney in the manner as the court in which the action is commenced or pending orders |
as affording the corporation reasonable opportunity to defend the action or to learn of the |
garnishment. Notwithstanding the preceding requirements, however, once service has been made |
on the secretary of state as provided, the court has the authority in the event of failure to comply |
with the requirement of notice to the foreign, limited-liability company to order notice that is |
sufficient to apprise it of the pendency of the action against it, and additionally, may extend the |
time for answering by the foreign, limited-liability company. |
(d) The secretary of state shall keep a record of all processes, notices, and demands |
served upon him or her under this section, and record in the record the time of the service and his |
or her action on it. The secretary of state shall not be required to retain such information for a |
period longer than five (5) years from receipt of the service of process. |
(e) Nothing contained in these provisions limits or affects the right to serve any process, |
notice or demand, required or permitted by law to be served upon a foreign, limited-liability |
company in any manner now or subsequently permitted by law. |
7-16-54. Transaction of business by foreign, limited-liability company without |
registration. |
(a) A foreign, limited-liability company transacting business in this state may not |
maintain any action, suit, or proceeding in any court of this state until it has registered in this |
state. |
(b) The failure of a foreign, limited-liability company to register in this state does not |
impair the validity of any contract or act of the foreign, limited-liability company or prevent the |
foreign, limited-liability company from defending any action, suit or proceeding in any court of |
this state. |
(c) A foreign, limited-liability company, by transacting business in this state without |
registration, appoints the secretary of state as its agent for service of process as to claims for relief |
or causes of action arising out of the transaction of business in this state. |
(d) A member of a foreign, limited-liability company is not liable for the debts and |
obligations of the limited-liability company solely by reason of the company's having transacted |
business in this state without a valid certificate of registration. |
(e) Without excluding other activities which that may not constitute transacting business |
in this state, a foreign, limited-liability company is not considered to be transacting business in |
this state, for the purposes of this chapter, by reason of carrying on in this state any one or more |
of the following activities: |
(1) Maintaining or defending any action or suit or any administrative or arbitration |
proceeding or effecting its settlement or the settlement of claims or disputes; |
(2) Holding meetings of its members or carrying on any other activities concerning its |
internal affairs; |
(3) Maintaining bank accounts; |
(4) Maintaining offices or agencies for the transfer, exchange and registration of the |
foreign, limited-liability company's own securities or maintaining trustees or depositories with |
respect to those securities; |
(5) Effecting sales through independent contractors; |
(6) Soliciting or obtaining orders, whether by mail or through employees or agents or |
otherwise, where the orders require acceptance outside this state before becoming binding |
contracts; |
(7) Creating as borrower or lender or acquiring evidences of debt, mortgages, security |
interests or liens on real or personal property; |
(8) Securing or collecting debts or enforcing any rights in property securing the debts; |
(9) Transacting any business in interstate commerce; |
(10) Conducting an isolated transaction completed within a period of thirty (30) days and |
not in the course of a number of repeated transactions of like nature; |
(11) Acting as a general partner of a limited partnership which that has filed a certificate |
of limited-partnership as provided in § 7-13-8 or has registered with the secretary of state as |
provided in § 7-13-53 7-16-49; and |
(12) Acting as a member of a limited-liability company or of a foreign, limited-liability |
company which that has registered with the secretary of state as provided in § 7-16-49. |
7-16-63. Effects of merger or consolidation. |
Following the consummation of a merger or consolidation in which the surviving entity |
or the new entity is to be governed by the laws of this state: |
(1) The constituent entities party to the plan of merger or consolidation shall be a single |
entity, which, in the case of a merger shall be the entity designated in the plan of merger as the |
surviving entity, and, in the case of a consolidation, shall be the new entity provided for in the |
plan of consolidation. |
(2) The separate existence of each constituent entity party to the plan of merger or |
consolidation, except the surviving entity or the new entity, shall cease. |
(3) The surviving entity or the new entity shall at that time and subsequently possess all |
the rights, privileges, immunities, powers, and franchises, of a public as well as a private nature, |
of each constituent entity and is subject to all the restrictions, disabilities, and duties of each of |
the constituent entities to the extent the rights, privileges, immunities, powers, franchises, |
restrictions, disabilities, and duties are applicable to the form of existence of the surviving entity |
or the new entity. |
(4) All property, real, personal and mixed, and all debts due on whatever account, |
including promises to make capital contributions and subscriptions for shares, and all other |
choices in action, and all and every other interest of or belonging to or due to each of the |
constituent entities are vested in the surviving entity or the new entity without further act or deed. |
(5) The title to all real estate and any interest in real estate vested in any constituent entity |
does not revert or become in any way impaired because of the merger or consolidation. |
(6) The surviving entity or the new entity is responsible and liable for all liabilities and |
obligations of each of the merged or consolidated constituent entities, and any claim existing or |
action or proceeding pending by or against any constituent entity may be prosecuted as if the |
merger or consolidation had not taken place, or the surviving entity or the new entity may be |
substituted in the action. |
(7) Neither the rights of creditors nor any liens on the property of any constituent entity |
are impaired by the merger or consolidation. |
(8) In the case of a merger, depending upon whether the surviving entity is a limited- |
liability company, a domestic corporation, or a domestic, limited partnership, the articles of |
organization of the limited-liability company, articles of incorporation of the corporation, or |
certificate of limited partnership of the limited partnership shall be amended to the extent |
provided in the articles of merger. |
shall be amended to the extent provided in the articles of merger. |
(9) In the case of a consolidation where the new entity is domestic, the statements set |
forth in the articles of consolidation and which are required or permitted to be set forth in the |
articles of organization, articles of incorporation, or certificate of limited partnership of the new |
domestic entity, are deemed to be the original articles of organization, articles of |
incorporation, or certificate of limited partnership of the new domestic entity. |
of the new domestic entity, are deemed to be the original articles of organization, |
articles of incorporation, or certificate of limited partnership of the new domestic entity. |
(10) Unless otherwise agreed in the partnership agreement of a domestic, limited |
partnership, a merger or consolidation in which a domestic, limited partnership is a constituent |
entity, including a merger or consolidation in which a domestic, limited partnership is not the |
surviving entity or the new entity, does not require the domestic, limited partnership to wind up |
its affairs under § 7-13-45 7-13-46 or pay its liabilities and distribute its assets under § 7-13-46 7- |
13-47. |
(11) The membership or other interests in a limited-liability company, shares or other |
interests in a corporation, partnership or other interests in a limited partnership that is a |
constituent entity that are to be converted or exchanged into interests, shares or other securities, |
cash, obligations or other property under the terms of the articles of merger or consolidation are |
converted, and their former holders are entitled only to the rights provided in the articles of |
merger or consolidation or the rights otherwise provided by law. |
(12) Nothing in this chapter abridges or impairs any rights that may otherwise be |
available to the members or shareholders or other holders of an interest in any constituent entity |
under applicable law. |
7-16-64. Merger or consolidation with foreign entity. |
(a) Any merger or consolidation which that includes a foreign, limited-liability |
company, foreign corporation or foreign, limited partnership as a constituent entity is subject to |
the additional requirements that the merger or consolidation is permitted by the law of the state or |
jurisdiction under whose laws each foreign constituent entity is organized or formed and each |
foreign constituent entity complies with that law in effecting the merger or consolidation. |
(b) If the surviving entity or the new entity is to be governed by the laws of any |
jurisdiction other than this state, then the articles of merger or consolidation required by § 7-16- |
62 shall also set forth: |
(1) The agreement of the surviving entity or the new entity that it may be served with |
process in this state in any proceeding for enforcement of any obligation of any constituent entity |
party to the merger or consolidation that was organized under the laws of this state, as well as for |
enforcement of any obligation of the surviving entity or the new entity arising from the merger or |
consolidation; and |
(2) The irrevocable appointment of the secretary of state as an agent for service of |
process in the proceeding, and the surviving entity or the new entity shall specify the address to |
which a copy of the process shall be mailed to it by the secretary of state. |
(c) The effect of the merger or consolidation in which the surviving entity or the new |
entity is to be governed by the laws of any jurisdiction other than this state, the effect of the |
merger or consolidation shall be the same as provided in § 7-16-63, except insofar as the laws of |
the other jurisdiction provide otherwise. |
7-16-65. Filing, service, and copying fees. |
The secretary of state shall charge and collect: |
(1) For filing the original articles of organization, a fee of one hundred fifty dollars |
($150) $150.00; |
(2) For amending, restating, or amending and restating the articles of organization, a fee |
of fifty dollars ($50.00) $50.00; |
(3) For filing articles of merger or consolidation and issuing a certificate, a fee of one |
hundred dollars ($100) $100.00; |
(4) For filing articles of dissolution, a fee of fifty dollars ($50.00) $50.00; |
(5) For issuing a certificate of good standing/letter of status, a fee of twenty dollars |
($20.00); |
(6) For issuing a certificate of fact, a fee of thirty dollars ($30.00); |
(7) For furnishing a certified copy of any document, instrument, or paper relating to a |
domestic or foreign, limited-liability company, a fee of fifteen cents ($.15) per page and ten |
dollars ($10.00) for the certificate and affirming the seal to it; |
(8) For accepting an application for reservation of a name, or for filing a notice of the |
transfer or cancellation of any name reservation, a fee of fifty dollars ($50.00) $50.00; |
(9) For filing a fictitious business name statement or abandonment of use of a fictitious |
business name, a fee of fifty dollars ($50.00) $50.00; |
(10) For filing a statement of change of resident agent and address of registered agent, a |
fee of twenty dollars ($20.00) $20.00; |
(11) For filing a statement of change of address only for a resident agent, no fee; |
(12) For any service of notice, demand, or process on the registered agent of a foreign or |
domestic, limited-liability company, a fee of fifteen dollars ($15.00) $15.00, which amount may |
be recovered as taxable costs by the party to be sued the suit, action, or proceeding causing the |
service to be made if the party prevails in the suit; |
(13) For filing an annual report, a fee of fifty dollars ($50.00) $50.00; |
(14) For filing a certificate of correction, a fee of fifty dollars ($50.00) $50.00; |
(15) For filing an application for registration as a foreign, limited-liability company, a fee |
of one hundred fifty dollars ($150) $150.00; |
(16) For filing a certificate of amendment to the registration of a foreign, limited-liability |
company, a fee of $ fifty dollars ($50.00) $50.00; and |
(17) For filing a certificate of cancellation of a foreign, limited-liability company, a fee of |
seventy-five dollars ($75.00) $75.00. ; |
(18) At the time of any service of process upon the secretary of state as a resident agent |
of a limited-liability company, fifteen dollars ($15.00), which amount may be recovered as a |
taxable costs cost by the party to the suit or action making the service if the party prevails in the |
suit or action.; |
(19) For filing any other statement or report, except an annual report, of a domestic or |
foreign, limited-liability company, a fee of ten dollars ($10.00).; and |
(20) For filing a certificate of conversion to a non-Rhode Island entity, a fee of fifty |
dollars ($50.00). |
ARTICLE II—STATUTORY CONSTRUCTION |
SECTION 16. Section 4-19-9 of the General Laws in Chapter 4-19 entitled "Animal |
Care" is hereby amended to read as follows: |
4-19-9. Operation as a pet shop, kennel, breeder or public auction without a license. |
Any person who operates as a pet shop, kennel, breeder, or public auction without a |
currently valid license shall, upon conviction, plea of guilty, or plea of nolo contendere, be |
punished pursuant to § 4-19-11.3. Each day of operation shall constitute a separate offense. |
Advertisement of services consistent with the operation of a pet shop, kennel, breeder, or public |
auction shall be sufficient evidence of operation of a pet shop, kennel, breeder, or public auction |
as applicable. |
SECTION 17. Section 5-65-3 of the General Laws in Chapter 5-65 entitled "Contractors' |
Registration and Licensing Board" is hereby amended to read as follows: |
5-65-3. Registration for work on a structure required of contractor -- Issuance of |
building permits to unregistered or unlicensed contractors prohibited -- Evidence of activity |
as a contractor -- Duties of contractors. |
(a) A person shall not undertake, offer to undertake, or submit a bid to do work as a |
contractor on a structure or arrange to have work done unless that person has a current, valid |
certificate of registration for all construction work issued by the board. A partnership, |
corporation, or joint venture may do the work; offer to undertake the work; or submit a bid to do |
the work only if that partnership, corporation, or joint venture is registered for the work. In the |
case of registration by a corporation or partnership, an individual shall be designated to be |
responsible for the corporation's or partnership's work. The corporation or partnership and its |
designee shall be jointly and severally liable for the payment of the registration fee, as requested |
required in this chapter, and for violations of any provisions of this chapter. Disciplinary action |
taken on a registration held by a corporation, partnership, or sole proprietor may affect other |
registrations held by the same corporation, partnership, or sole proprietorship, and may preclude |
future registration by the principal of that business entity. |
(b) A registered partnership or corporation shall notify the board in writing immediately |
upon any change in partners or corporate officers. |
(c) A city, town, or the state shall not issue a building permit to anyone required to be |
registered under this chapter who does not have a current, valid certificate of registration |
identification card or valid license that shall be presented at the time of issuance of a permit and |
shall become a condition of a valid permit. Each city, town, or the state that requires the issuance |
of a permit as a condition precedent to construction, alteration, improvement, demolition, |
movement, or repair of any building or structure or the appurtenance to the structure shall also |
require that each applicant for the permit file, as a condition to issuing the permit, a written |
affidavit subject to the penalties of perjury, subscribed by the applicant, that the applicant is |
registered under the provisions of this chapter, giving the number of the registration and stating |
that the registration is in full force and effect, or, if the applicant is exempt from the provisions of |
this chapter, listing the basis for the exemption. The city, town, or the state shall list the |
contractor's registration number on the permit obtained by that contractor, and if a homeowner is |
issued a permit, the building inspector or official must ascertain registration numbers of each |
contractor on the premises and shall inform the registration board of any non-registered |
contractors performing work at the site. |
(d) Every city and town that requires the issuance of a business license as a condition |
precedent to engaging, within the city or town, in a business that is subject to regulation under |
this chapter, shall require that each licensee and each applicant for issuance or renewal of the |
license file, or has on file, with the city or town a signed statement that the licensee or applicant is |
registered under the provisions of this chapter and stating that the registration is in full force and |
effect. |
(e) It shall be prima facie evidence of doing business as a contractor when a person for |
that person's own use performs, employs others to perform, or for compensation and with the |
intent to sell the structure, arranges to have performed any work described in § 5-65-1(3) if within |
any one twelve-month (12) period that person offers for sale one or more structures on which that |
work was performed. |
(f) Registration under this chapter shall be prima facie evidence that the registrant |
conducts a separate, independent business. |
(g) The provisions of this chapter shall be exclusive and no city or town shall require or |
shall issue any registrations or licenses nor charge any fee for the regulatory registration of any |
contractor registered with the board. Nothing in this subsection shall limit or abridge the authority |
of any city or town to license and levy and collect a general and nondiscriminatory license fee |
levied upon all businesses, or to levy a tax based upon business conducted by any firm within the |
city or town's jurisdiction, if permitted under the laws of the state. |
(h) (1) Every contractor shall maintain a list that shall include the following information |
about all subcontractors or other contractors performing work on a structure for that contractor: |
(i) Names and addresses; and |
(ii) Registration numbers or other license numbers. |
(2) The list referred to in subsection (h)(1) of this section shall be delivered to the board |
within twenty-four (24) hours after a request is made during reasonable working hours, or a fine |
of twenty-five dollars ($25.00) may be imposed for each offense. |
(i) The following subcontractors who are not employees of a registered contractor must |
obtain a registration certificate prior to conducting any work: (1) Carpenters, including finish |
carpenters and framers; (2) Siding installers; (3) Roofers; (4) Foundation installers, including |
concrete installers and form installers; (5) Drywall installers; (6) Plasterers; (7) Insulation |
installers; (8) Ceramic tile installers; (9) Floor covering installers; (10) Swimming pool installers, |
both above ground and in ground; (11) Masons, including chimney installers, fireplace installers, |
and general masonry erectors. This list is not all inclusive and shall not be limited to the above- |
referenced contractors. No subcontractor licensed by another in-state agency pursuant to § 5-65-2 |
shall be required to register, provided that said work is performed under the purview of that |
license. |
(j) A contractor including, but not limited to, a general contractor, shall not hire any |
subcontractor or other contractor to work on a structure unless the contractor is registered under |
this chapter or exempt from registration under the provisions of § 5-65-2. |
(k) A summary of this chapter, prepared by the board and provided at cost to all |
registered contractors, shall be delivered by the contractor to the owner when the contractor |
begins work on a structure; failure to comply may result in a fine. |
(l) The registration number of each contractor shall appear in any advertising by that |
contractor. Advertising in any form by an unregistered contractor shall be prohibited, including |
alphabetical or classified directory listings, vehicles, business cards, and all other forms of |
advertisements. The violations could result in a penalty being assessed by the board per |
administrative procedures established. |
(i) The board may publish, revoke, or suspend registrations and the date the registration |
was suspended or revoked on a quarterly basis. |
(ii) Use of the word "license" in any form of advertising when only registered may |
subject the registrant or those required to be registered to a fine of one hundred dollars ($100) for |
each offense at the discretion of the board. |
(m) The contractor must see that permits required by the state building code are secured |
on behalf of the owner prior to commencing the work involved. The contractor's registration |
number must be affixed to the permit as required by the state building code. |
(n) The board may assess an interest penalty of twelve percent (12%) annually when a |
monetary award is ordered by the board. |
(o) All work performed, including labor and materials, in excess of one thousand dollars |
($1,000) shall be accompanied by a contract in writing. Contracts required pursuant to this |
subsection shall include a location on or near the signature line location on or in which the parties |
to the contract shall initial to evidence the receipt of certain consumer education materials or |
information approved and provided by the board to the contractor. Said The educational |
materials and/or information shall include, but not be limited to, the following notice and shall be |
provided by the contractor to the homeowner: |
NOTICE OF POSSIBLE MECHANIC'S LIEN |
To: Insert name of owner, lessee or tenant, or owner of less than the simple fee. |
The undersigned is about to perform work and/or furnish materials for the construction, |
erection, alterations or repair upon the land at (INSERT ADDRESS) under contract with you. |
This is a notice that the undersigned and any other persons who provide labor and materials for |
the improvement under contract with the undersigned may file a mechanic's lien upon the land in |
the event of nonpayment to them. It is your responsibility to assure yourself that those other |
persons under contract with the undersigned receive payment for their work performed and |
materials furnished for the construction, erection, alteration or repair upon the land. |
Failure to adhere to the provisions of this subsection may result in a one-thousand-dollar |
($1,000) fine against the contractor and shall not affect the right of any other person performing |
work or furnishing materials of claiming a lien pursuant to chapter 28 of title 34. However, such |
person failing to provide such notice shall indemnify and hold harmless any owner, lessee or |
tenant, or owner of less than the fee simple from any payment or costs incurred on account of any |
liens claims by those not in privity with them, unless such owner, lessee or tenant, or owner of |
less than the fee simple shall not have paid such person. |
(p) Contracts entered into must contain notice of right of rescission as stipulated in all |
pertinent Rhode Island consumer protection laws and/or § 5-65-27 if applicable. |
(q) The contractor must stipulate whether or not all the proper insurances are in effect for |
each job contracted. |
(r) Contractors who are in compliance with the provisions of this subsection shall be |
exempt from the requirements of § 34-28-4.1. |
(s) In addition to the requirements of this chapter, contractors engaged in well drilling |
activities shall also be subject to regulations pertaining to licensing and registration promulgated |
by the contractors' registration and licensing board pursuant to chapter 65.2 of this title and § 46- |
13.2-4. |
SECTION 18. Section 11-9-13.13 of the General Laws in Chapter 11-9 entitled |
"Children" is hereby amended to read as follows: |
11-9-13.13. Nature and size of penalties. [Effective until January 1, 2018.]. |
(a) Any person or individual who violates a requirement of § 11-9-13.6(2), display of |
specific signage, shall be subject to a fine in court of not less than thirty-five dollars ($35.00), nor |
more than five hundred dollars ($500), per civil violation. |
(b) The license holder is responsible for all violations of this section that occur at the |
location for which the license is issued. Any license holder that violates the prohibition of § 11-9- |
13.8(1) and/or (2) shall be subject to civil fines as follows: |
(1) A fine of two hundred fifty dollars ($250) for the first violation within any thirty-six- |
month (36) period; |
(2) A fine of five hundred dollars ($500) for the second violation within any thirty-six- |
month (36) period; |
(3) A fine of one thousand dollars ($1,000) and a fourteen-day (14) suspension of the |
license to sell tobacco products or electronic nicotine-delivery systems for the third violation |
within any thirty-six-month (36) period; |
(4) A fine of one thousand five hundred dollars ($1,500) and a ninety-day (90) |
suspension of the license to sell tobacco products or electronic nicotine-delivery systems for each |
violation in excess of three (3). |
(c) Any person who or that violates a prohibition of § 11-9-13.8(3), sale of single |
cigarettes; or § 11-9-13.8(2), regarding factory-wrapped packs; shall be subject to a penalty of |
five hundred dollars ($500) for each violation. |
(d) The department of taxation and/or the department of health shall not issue a license to |
any individual, business, firm, association, or corporation the license of which has been revoked |
or suspended, to any corporation an officer of which has had his or her license revoked or |
suspended, or to any individual who is, or has been, an officer of a corporation the license of |
which has been revoked or suspended so long as such revocations or suspensions are in effect. |
(e) The court shall suspend the imposition of a license suspension of the license secured |
from the Rhode Island tax administrator for violation of subdivisions (b)(3) and (b)(4) of this |
section if the court finds that the license holder has taken measures to prevent the sale of tobacco |
and/or electronic nicotine-delivery systems to minors and the license holder can demonstrate to |
the court that those measures have been taken and that employees have received training. No |
person shall sell tobacco products and/or electronic nicotine-delivery system products at retail |
without first being trained in the legal sale of tobacco and/or electronic nicotine-delivery system |
products. Training shall teach employees what constitutes a tobacco and/or electronic nicotine- |
delivery system product; legal age of purchase; acceptable identification; how to refuse a direct |
sale to a minor or secondary sale to an adult; and all applicable laws on tobacco sales and |
distribution. Dealers shall maintain records indicating that the provisions of this section were |
reviewed with all employees who conduct, or will conduct, tobacco and/or electronic nicotine- |
delivery systems sales. Each employee who sells or will sell tobacco and/or electronic nicotine- |
delivery system products shall sign an acknowledgement form attesting that the provisions of this |
section were reviewed with him or her. Each form shall be maintained by the retailer for as long |
as the employee is so employed and for no less than one year after termination of employment. |
The measures to prevent the sale of tobacco and/or electronic nicotine-delivery systems to minors |
shall be defined by the department of behavioral healthcare, developmental disabilities and |
hospitals in rules and regulations. |
11-9-13.13. Nature and size of penalties. [Effective January 1, 2018.]. |
(a) Any person or individual who violates a requirement of § 11-9-13.6(2), display of |
specific signage, shall be subject to a fine in court of not less than thirty-five dollars ($35.00), nor |
more than five hundred dollars ($500), per civil violation. |
(b) The license holder is responsible for all violations of this section that occur at the |
location for which the license is issued. Any license holder who or that violates the prohibition of |
§ 11-9-13.8(1) and/or (2) or § 11-9-13.20 shall be subject to civil fines as follows: |
(1) A fine of two hundred fifty dollars ($250) for the first violation within any thirty-six- |
month (36) period; |
(2) A fine of five hundred dollars ($500) for the second violation within any thirty-six- |
month (36) period; |
(3) A fine of one thousand dollars ($1,000) and a fourteen-day (14) suspension of the |
license to sell tobacco products or electronic nicotine-delivery systems for the third violation |
within any thirty-six-month (36) period; |
(4) A fine of one thousand five hundred dollars ($1,500) and a ninety-day (90) |
suspension of the license to sell tobacco products or electronic nicotine-delivery systems for each |
violation in excess of three (3). |
(c) Any person who or that violates a prohibition of § 11-9-13.8(3), sale of single |
cigarettes; or § 11-9-13.8(2), regarding factory-wrapped packs; shall be subject to a penalty of |
five hundred dollars ($500) for each violation. |
(d) The department of taxation and/or the department of health shall not issue a license to |
any individual, business, firm, association, or corporation, the license of which has been revoked |
or suspended; to any corporation, an officer of which has had his or her license revoked or |
suspended; or to any individual who is, or has been, an officer of a corporation the license of |
which has been revoked or suspended so long as such revocations or suspensions are in effect. |
(e) The court shall suspend the imposition of a license suspension of the license secured |
from the Rhode Island tax administrator for violation of subsections (b)(3) and (b)(4) of this |
section if the court finds that the license holder has taken measures to prevent the sale of tobacco |
and/or electronic nicotine-delivery systems to minors and the license holder can demonstrate to |
the court that those measures have been taken and that employees have received training. No |
person shall sell tobacco products and/or electronic nicotine-delivery system products at retail |
without first being trained in the legal sale of tobacco and/or electronic nicotine-delivery system |
products. Training shall teach employees what constitutes a tobacco and/or electronic nicotine- |
delivery system product; legal age of purchase; acceptable identification; how to refuse a direct |
sale to a minor or secondary sale to an adult; and all applicable laws on tobacco sales and |
distribution. Dealers shall maintain records indicating that the provisions of this section were |
reviewed with all employees who conduct, or will conduct, tobacco and/or electronic nicotine- |
delivery systems sales. Each employee who sells or will sell tobacco and/or electronic nicotine- |
delivery system products shall sign an acknowledgement form attesting that the provisions of this |
section were reviewed with him or her. Each form shall be maintained by the retailer for as long |
as the employee is so employed and for no less than one year after termination of employment. |
The measures to prevent the sale of tobacco and/or electronic nicotine-delivery systems to minors |
shall be defined by the department of behavioral healthcare, developmental disabilities and |
hospitals in rules and regulations. |
SECTION 19. Section 27-9-4 of the General Laws in Chapter 27-9 entitled "Casualty |
Insurance Rating" is hereby amended to read as follows: |
27-9-4. Considerations in making of rates -- Cancellation of policy. |
(a) All rates shall be made in accordance with the following provisions: |
(1) (i) Due consideration shall be given to past and prospective loss experience within |
and outside this state, to catastrophe hazards, if any, to a reasonable margin for underwriting |
profit and contingencies, to dividends, savings, or unabsorbed premium deposits allowed or |
returned by insurers to their policyholders, members, or subscribers, to past and prospective |
expenses both countrywide and those specially applicable to this state, and to all other relevant |
factors within and outside this state; provided, that no consideration shall be given to: |
(A) Any loss or incident involving a bus driver, while in the course of his or her |
employment for the Rhode Island public transit authority or private or municipal school bus |
companies, in establishing or maintaining that driver's rate respecting the operation of a personal |
motor vehicle or vehicles; |
(B) Any loss or incident involving a law enforcement officer, while in the course of his or |
her employment for the state, city, town police departments, or federal law enforcement agency, |
in establishing or maintaining that driver's rate respecting the operation of a personal motor |
vehicle or vehicles; and |
(C) Any loss or incident involving a commercial vehicle driver, while in the course of his |
or her employment, in establishing or maintaining that driver's rate respecting the operation of a |
personal motor vehicle(s); |
(ii) It shall be the responsibility of a commercial vehicle driver to provide his or her |
insurance company with proof that the loss or incident took place in the course of employment |
while operating a commercial vehicle. For the purposes of this section, a "commercial vehicle" |
shall be a motor vehicle with a gross weight in excess of ten thousand (10,000) pounds or a motor |
vehicle used for public livery; |
(2) The systems of expense provisions included in the rates for use by any insurer or |
group of insurers may differ from those of other insurers or groups of insurers to reflect the |
requirements of the operating methods of any insurer or group with respect to any kind of |
insurance, or with respect to any subdivision or combination of insurance for which subdivision |
or combination separate expense provisions are applicable; |
(3) Risks may be grouped by classifications for the establishment of rates and minimum |
premiums; |
(4) Rates shall not be excessive, inadequate, or unfairly discriminatory; and |
(5) In establishing or maintaining an insured's rate or classification respecting the |
operation of a personal motor vehicle, any insured sixty-five (65) years of age or older, who |
meets the criteria set forth in this section and has not had any chargeable accidents or moving |
violations within three (3) years preceding the establishment of the rate of insurance or |
classification, shall not be penalized solely by reason of his or her age. |
(b) No insurance company shall fail to renew a private passenger automobile policy |
because of a loss of occurrence only, unless a chargeable loss occurrence of one thousand five |
hundred dollars ($1,500) or more than two (2) nonchargeable loss occurrences, involving the |
insured, have taken place within the annual policy year. |
(c) (1) No insurance company shall fail to renew a private passenger automobile policy |
solely because the insured has attained the age of sixty-five (65) years or older; |
(2) Whenever the commissioner of insurance shall have reason to believe that any |
insurance company has refused to renew a private passenger automobile policy solely because the |
applicant has reached the age of sixty-five (65) years or older, the commissioner shall notify the |
company that it may be in violation of this section and in his or her discretion he or she may |
require a hearing to determine whether or not the company has actually been engaged in the |
practice stated in this subsection. Any hearing held under this section shall in all respects comply |
with the hearing procedure provided in the Administrative Procedures Act, chapter 35 of title 42; |
(3) If after the hearing the commissioner shall determine that the company has engaged in |
the practice of systematically failing to renew private passenger automobile policies because of |
the advanced age of the insured, he or she shall reduce his or her findings to writing and shall |
issue and cause to be served upon the company an order to cease and desist from engaging in |
those practices. After the issuance of the cease and desist order, if the commissioner finds that the |
company has continued to engage in those practices, he or she shall impose upon the company a |
fine not to exceed the amount of one thousand dollars ($1,000) for each separate violation. |
(4) Any company aggrieved by any order or decision of the commissioner of insurance |
may appeal the order and decision to the superior court of Providence in accordance with the |
Administrative Procedures Act, chapter 35 of title 42. |
(d) No insurance group, carrier, or company in establishing any premium surcharge or |
penalty relative to a specific motor vehicle policy, shall consider any accident or any claim where |
any insured covered by that policy is fifty percent (50%) or less at fault. |
(e) No insurance group, carrier, or company shall assess any premium surcharge against |
any insured covered by a motor vehicle policy where a property damage claim payment is less |
than one thousand five hundred dollars ($1,500). |
(f) No insurance group, carrier, or company shall refuse to issue motor vehicle liability |
insurance, impose a surcharge, or otherwise increase the rate for a motor vehicle policy solely |
because the applicant is a volunteer driver. Volunteer driver is defined as a person who provides |
services without compensation to a nonprofit agency or charitable organization. |
SECTION 20. Sections 27-18.9-2 and 27-18.9-7 of the General Laws in Chapter 27-18.9 |
entitled "Benefit Determination and Utilization Review Act [Effective January 1, 2018.]" are |
hereby amended to read as follows: |
27-18.9-7. Internal appeal procedural requirements. [Effective January 1, 2018.]. |
(a) Administrative and non-administrative appeals. The review agent shall conform to the |
following for the internal appeal of administrative or non-administrative, adverse benefit |
determinations: |
(1) The review agent shall maintain and make available a written description of its appeal |
procedures by which either the beneficiary or the provider of record may seek review of |
determinations not to authorize health-care services. |
(2) The process established by each review agent may include a reasonable period within |
which an appeal must be filed to be considered and that period shall not be less than one hundred |
eighty (180) calendar days after receipt of the adverse benefit determination notice. |
(3) During the appeal, a review agent may utilize a reconsideration process in assessing |
an adverse benefit determination. If utilized, the review agent shall develop a reasonable |
reconsideration and appeal process, in accordance with this section. For non-administrative, |
adverse benefit determinations, the period for the reconsideration may not exceed fifteen (15) |
days from the date the request for reconsideration or appeal is received. The review agent shall |
notify the beneficiary and/or provider of the reconsideration determination with the form and |
content described in § 27-18.9-6(b), as appropriate. Following the decision on reconsideration, |
the beneficiary and/or provider shall have a period of forty-five (45) calendar days during which |
the beneficiary and/or provider may request an appeal of the reconsideration decision and/or |
submit additional information. |
(4) Prior to a final internal appeal decision, the review agent must allow the claimant to |
review the entire adverse determination and appeal file and allow the claimant to present evidence |
and/or additional testimony as part of the internal appeal process. |
(5) A review agent is only entitled to request and review information or data relevant to |
the benefit determination and utilization review processes. |
(6) The review agent shall maintain records of written adverse benefit determinations, |
reconsiderations, appeals and their resolution, and shall provide reports as requested by the office. |
(7) (i) The review agent shall notify, in writing, the beneficiary and/or provider of record |
of its decision on the administrative appeal in no case later than thirty (30) calendar days after |
receipt of the request for the review of an adverse benefit determination for pre-service claims, |
and sixty (60) days for post-service claims, commensurate with 29 C.F.R. § 2560.503-1(i)(2)(ii) |
and (iii). |
(ii) The review agent shall notify, in writing, the beneficiary and provider of record of its |
decision on the non-administrative appeal as soon as practical considering medical circumstances, |
but in no case later than thirty (30) calendar days after receipt of the request for the review of an |
adverse benefit determination, inclusive of the period to conduct the reconsideration, if any. The |
timeline for decision on appeal is paused from the date on which the determination on |
reconsideration is sent to the beneficiary and/or provider and restarted when the beneficiary |
and/or provider submits additional information and/or a request for appeal of the reconsideration |
decision. |
(8) The review agent shall also provide for an expedited appeal process for urgent and |
emergent situations taking into consideration medical exigencies. Notwithstanding any other |
provision of this chapter, each review agent shall complete the adjudication of expedited appeals, |
including notification of the beneficiary and provider of record of its decision on the appeal, not |
later than seventy-two (72) hours after receipt of the claimant's request for the appeal of an |
adverse benefit determination. |
(9) Benefits for an ongoing course of treatment cannot be reduced or terminated without |
providing advance notice and an opportunity for advance review. The review agent or health-care |
entity is required to continue coverage pending the outcome of an appeal. |
(10) A review agent may not disclose or publish individual medical records or any |
confidential information obtained in the performance of benefit determination or utilization |
review activities. A review agent shall be considered a third-party health insurer for the purposes |
of § 5-37.3-6(b)(6) and shall be required to maintain the security procedures mandated in § 5- |
37.3-4(c). |
(b) Non-administrative appeals. In addition to subsection (a) of this section the utilization |
review agent shall conform to the following for its internal appeals adverse benefit |
determinations: |
(1) A claimant is deemed to have exhausted the internal claims appeal process when the |
utilization review agent or health-care entity fails to strictly adhere to all benefit determination |
and appeal processes with respect to a claim. In this case the claimant may initiate an external |
appeal or remedies under section 502(a) of the Employee Retirement Income Security Act of |
1974, 29 U.S.C. § 1001 et seq., or other state and federal law, as applicable. |
(2) No reviewer under this section, who has been involved in prior reviews or in the |
adverse benefit determination under appeal or who has participated in the direct care of the |
beneficiary, may participate in reviewing the case under appeal. |
(3) All internal-level appeals of utilization review determinations not to authorize a |
health-care service that had been ordered by a physician, dentist, or other provider shall be made |
according to the following: |
(i) The reconsideration decision of a non-administrative, adverse benefit determination |
shall not be made until the utilization review agent's professional provider with the same |
licensure status as typically manages the condition, procedure, treatment, or requested service |
under discussion has spoken to, or otherwise provided for, an equivalent two-way, direct |
communication with the beneficiary's attending physician, dentist, other professional provider, or |
other qualified professional provider responsible for treatment of the beneficiary concerning the |
services under review. |
(ii) A review agent who does not utilize a reconsideration process must comply with the |
peer-review obligation described in subsection (b)(3)(i) of this section as part of the appeal |
process. |
(iii) When the appeal of any adverse benefit determination, including an appeal of a |
reconsideration decision, is based in whole or in part on medical judgment, including |
determinations with regard to whether a particular service, treatment, drug, or other item is |
experimental, investigational or not medically necessary or appropriate, the reviewer making the |
appeal decision must be appropriately trained having the same licensure status as the ordering |
provider or be a physician or dentist and be in the same or similar specialty as typically manages |
the condition. These qualifications must be provided to the claimant upon request. |
(iv) The utilization review agency reviewer must document and sign their decisions. |
(4) The review agent must ensure that an appropriately licensed practitioner or licensed |
physician is reasonably available to review the case as required under this subsection (b) and shall |
conform to the following: |
(i) Each agency peer reviewer shall have access to and review all necessary information |
as requested by the agency and/or submitted by the provider(s) and/or beneficiaries; |
(ii) Each agency shall provide accurate peer review contact information to the provider at |
the time of service, if requested, and/or prior to such service, if requested. This contact |
information must provide a mechanism for direct communication with the agency's peer |
reviewer; and |
(iii) Agency peer reviewers shall respond to the provider's request for a two-way, direct |
communication defined in this subsection (b) as follows: |
(A) For a prospective review of non-urgent and non-emergent health-care services, a |
response within one business day of the request for a peer discussion; |
(B) For concurrent and prospective reviews of urgent and emergent health-care services, |
a response within a reasonable period of time of the request for a peer discussion; and |
(C) For retrospective reviews, prior to the internal-level appeal decision. |
(5) The review agency will have met the requirements of a two-way, direct |
communication, when requested and/or as required prior to the internal level of appeal, when it |
has made two (2) reasonable attempts to contact the attending provider directly. Repeated |
violations of this section shall be deemed to be substantial violations pursuant to § 27-18.9-9 and |
shall be cause for the imposition of penalties under that section. |
(6) For the appeal of an adverse benefit determination decision that a drug is not covered, |
the review agent shall complete the internal-appeal determination and notify the claimant of its |
determination: |
(i) No later than seventy-two (72) hours following receipt of the appeal request; or |
(ii) No later than twenty-four (24) hours following the receipt of the appeal request in |
cases where the beneficiary is suffering from a health condition that may seriously jeopardize the |
beneficiary's life, health, or ability to regain maximum function or when an beneficiary is |
undergoing a current course of treatment using a non-formulary drug. |
(iii) And if approved on appeal, coverage of the non-formulary drug must be provided for |
the duration of the prescription, including refills unless expedited then for the duration of the |
exigency. |
(7) The review agents using clinical criteria and medical judgment in making utilization |
review decisions shall comply with the following: |
(i) The requirement that each review agent shall provide its clinical criteria to OHIC upon |
request; |
(ii) Provide and use written clinical criteria and review procedures established according |
to nationally accepted standards, evidence-based medicine and protocols that are periodically |
evaluated and updated or other reasonable standards required by the commissioner; |
(iii) Establish and employ a process to incorporate and consider local variations to |
national standards and criteria identified herein including without limitation, a process to |
incorporate input from local participating providers; and |
(iv) Updated description of clinical decision criteria to be available to beneficiaries, |
providers, and the office upon request and readily available and accessible on the health-care |
entity or the review agent's website. |
(8) The review agent shall maintain records of written, adverse benefit determination |
reconsiderations and appeals to include their resolution, and shall provide reports and other |
information as requested by the office. |
27-18.9-2. Definitions. [Effective January 1, 2018.]. |
As used in this chapter, the following terms are defined as follows: |
(1) "Adverse benefit determination" means a decision not to authorize a health-care |
service, including a denial, reduction, or termination of, or a failure to provide or make a |
payment, in whole or in part, for a benefit. A decision by a utilization-review agent to authorize a |
health-care service in an alternative setting, a modified extension of stay, or an alternative |
treatment shall not constitute an adverse determination if the review agent and provider are in |
agreement regarding the decision. Adverse benefit determinations include: |
(i) "Administrative adverse benefit determinations," meaning any adverse benefit |
determination that does not require the use of medical judgment or clinical criteria such as a |
determination of an individual's eligibility to participate in coverage, a determination that a |
benefit is not a covered benefit, or any rescission of coverage; and |
(ii) "Non-administrative adverse benefit determinations," meaning any adverse benefit |
determination that requires or involves the use of medical judgement or clinical criteria to |
determine whether the service being reviewed is medically necessary and/or appropriate. This |
includes the denial of treatments determined to be experimental or investigational, and any denial |
of coverage of a prescription drug because that drug is not on the health-care entity's formulary. |
(2) "Appeal" or "internal appeal" means a subsequent review of an adverse benefit |
determination upon request by a claimant to include the beneficiary or provider to reconsider all |
or part of the original adverse benefit determination. |
(3) "Authorization" means a review by a review agent, performed according to this |
chapter, concluding that the allocation of health-care services ordered by a provider, given or |
proposed to be given to a beneficiary, was approved or authorized. |
(4) "Authorized representative" means an individual acting on behalf of the beneficiary |
and shall include: the ordering provider; any individual to whom the beneficiary has given |
express written consent to act on his or her behalf; a person authorized by law to provide |
substituted consent for the beneficiary; and, when the beneficiary is unable to provide consent, a |
family member of the beneficiary. |
(5) "Beneficiary" means a policy-holder subscriber, enrollee, or other individual |
participating in a health-benefit plan. |
(6) "Benefit determination" means a decision to approve or deny a request to provide or |
make payment for a health-care service or treatment. |
(7) "Certificate" means a certificate granted by the commissioner to a review agent |
meeting the requirements of this chapter. |
(8) "Claim" means a request for plan benefit(s) made by a claimant in accordance with |
the health-care entity's reasonable procedures for filing benefit claims. This shall include pre- |
service, concurrent, and post-service claims. |
(9) "Claimant" means a health-care entity participant, beneficiary, and/or authorized |
representative who makes a request for plan benefit(s). |
(10) "Commissioner" means the health insurance commissioner. |
(11) "Complaint" means an oral or written expression of dissatisfaction by a beneficiary, |
authorized representative, or a provider. The appeal of an adverse benefit determination is not |
considered a complaint. |
(12) "Concurrent assessment" means an assessment of health-care services conducted |
during a beneficiary's hospital stay, course of treatment or services over a period of time, or for |
the number of treatments. If the medical problem is ongoing, this assessment may include the |
review of services after they have been rendered and billed. |
(13) "Concurrent claim" means a request for a plan benefit(s) by a claimant that is for an |
ongoing course of treatment or services over a period of time or for the number of treatments. |
(14) "Delegate" means a person or entity authorized pursuant to a delegation of authority |
or re-delegation of authority, by a health-care entity or network plan to perform one or more of |
the functions and responsibilities of a health-care entity and/or network plan set forth in this |
chapter or regulations or guidance promulgated thereunder. |
(15) "Emergency services" or "emergent services" means those resources provided in the |
event of the sudden onset of a medical, behavioral health, or other health condition that the |
absence of immediate medical attention could reasonably be expected, by a prudent layperson, to |
result in placing the patient's health in serious jeopardy, serious impairment to bodily or mental |
functions, or serious dysfunction of any bodily organ or part. |
(16) "External review" means a review of a non-administrative adverse benefit |
determination (including final internal adverse benefit determination) conducted pursuant to an |
applicable external review process performed by an independent review organization. |
(17) "External review decision" means a determination by an independent review |
organization at the conclusion of the external review. |
(18) "Final internal adverse benefit determination" means an adverse benefit |
determination that has been upheld by a plan or issuer at the completion of the internal appeals |
process or when the internal appeals process has been deemed exhausted as defined in § 27-18.9- |
7(b)(1). |
(19) "Health-benefit plan" or "health plan" means a policy, contract, certificate, or |
agreement entered into, offered, or issued by a health-care entity to provide, deliver, arrange for, |
pay for, or reimburse any of the costs of health-care services. |
(20) "Health-care entity" means an insurance company licensed, or required to be |
licensed, by the state of Rhode Island or other entity subject to the jurisdiction of the |
commissioner or the jurisdiction of the department of business regulation pursuant to chapter 62 |
of title 42, that contracts or offers to contract, or enters into an agreement to provide, deliver, |
arrange for, pay for, or reimburse any of the costs of health-care services, including, without |
limitation: a for-profit or nonprofit hospital, medical or dental service corporation or plan, a |
health maintenance organization, a health insurance company, or any other entity providing a |
plan of health insurance, accident and sickness insurance, health benefits, or health-care services. |
(21) "Health-care services" means and includes, but is not limited to: an admission, |
diagnostic procedure, therapeutic procedure, treatment, extension of stay, the ordering and/or |
filling of formulary or non-formulary medications, and any other medical, behavioral, dental, |
vision care services, activities, or supplies that are covered by the beneficiary's health-benefit |
plan. |
(22) "Independent review organization" or "IRO" means an entity that conducts |
independent external reviews of adverse benefit determinations or final internal adverse benefit |
determinations. |
(23) "Network" means the group or groups of participating providers providing health- |
care services under a network plan. |
(24) "Network plan" means a health-benefit plan or health plan that either requires a |
beneficiary to use, or creates incentives, including financial incentives, for a beneficiary to use |
the providers managed, owned, under contract with, or employed by the health-care entity. |
(25) "Office" means the office of the health insurance commissioner. |
(26) "Pre-service claim" means the request for a plan benefit(s) by a claimant prior to a |
service being rendered and is not considered a concurrent claim. |
(27) "Professional provider" means an individual provider or health-care professional |
licensed, accredited, or certified to perform specified health-care services consistent with state |
law and who provides health-care services and is not part of a separate facility or institutional |
contract. |
(28) "Prospective assessment" and/or or "pre-service assessment" mean means an |
assessment of health-care services prior to services being rendered. |
(29) "Provider" means a physician, hospital, professional provider, pharmacy, laboratory, |
dental, medical, or behavioral health provider or other state-licensed or other state-recognized |
provider of health care or behavioral health services or supplies. |
(30) "Retrospective assessment" and/or or "post-service assessment" means an |
assessment of health-care services that have been rendered. This shall not include reviews |
conducted when the review agency has been obtaining ongoing information. |
(31) "Retrospective claim" or "post-service claim" means any claim for a health-plan |
benefit that is not a pre-service or concurrent claim. |
(32) "Review agent" means a person or health-care entity performing benefit |
determination reviews that is either employed by, affiliated with, under contract with, or acting on |
behalf of a health-care entity. |
(33) "Same or similar specialty" means a practitioner who has the appropriate training |
and experience that is the same or similar as the attending provider in addition to experience in |
treating the same problems to include any potential complications as those under review. |
(34) "Therapeutic interchange" means the interchange or substitution of a drug with a |
dissimilar chemical structure within the same therapeutic or pharmacological class that can be |
expected to have similar outcomes and similar adverse reaction profiles when given in equivalent |
doses, in accordance with protocols approved by the president of the medical staff or medical |
director and the director of pharmacy. |
(35) "Tiered network" means a network that identifies and groups some or all types of |
providers into specific groups to which different provider reimbursement, beneficiary cost- |
sharing, or provider access requirements, or any combination thereof, apply for the same services. |
(36) "Urgent health-care services" includes those resources necessary to treat a |
symptomatic medical, mental health, substance use, or other health-care condition that a prudent |
layperson, acting reasonably, would believe necessitates treatment within a twenty-four (24) hour |
(24) period of the onset of such a condition in order that the patient's health status not decline as a |
consequence. This does not include those conditions considered to be emergent health-care |
services as defined in in this section. |
(37) "Utilization review" means the prospective, concurrent, or retrospective assessment |
of the medical necessity and/or appropriateness of the allocation of health-care services of a |
provider, given or proposed to be given, to a beneficiary. Utilization review does not include: |
(i) The therapeutic interchange of drugs or devices by a pharmacy operating as part of a |
licensed inpatient health-care facility; or |
(ii) The assessment by a pharmacist licensed pursuant to the provisions of chapter 19 19.1 |
of title 5, and practicing in a pharmacy operating as part of a licensed inpatient health-care |
facility, in the interpretation, evaluation and implementation of medical orders, including |
assessments and/or comparisons involving formularies and medical orders. |
(38) "Utilization review plan" means a description of the standards governing utilization |
review activities performed by a review agent. |
SECTION 21. Section 31-3-85 of the General Laws in Chapter 31-3 entitled |
"Registration of Vehicles" is hereby amended to read as follows: |
31-3-85. Special plate for the New England Patriots Charitable Foundation. |
(a) The administrator of the division of motor vehicles is empowered to make available |
special motor vehicle registration plates for passenger vehicles based upon the not-for-profit |
entity, the New England Patriots Charitable Foundation, for any motor vehicle eligible for |
registration as an automobile, commercial vehicle having a gross weight of ten thousand pounds |
(10,000 lbs.) or less, or combination vehicle. |
(b) The special plate shall be displayed upon the same registration number assigned to the |
vehicle for which it was issued and shall be used in place of and in the same manner as the |
registration plates issued to the vehicle. The original registration plates for the vehicle shall be |
removed from the vehicle and the registration certificate for the plates shall be carried in the |
vehicle, in accordance with § 31-3-9. The registration certificate shall be in effect for the special |
plate. The administrator shall be authorized to retain newly issued plate numbers, at his or her |
discretion, for the purpose of conducting auctions of the right to use and display those numbers |
under such terms and conditions as the administrator may permit. |
Auction proceeds shall be apportioned and distributed for charitable purposes, in the |
discretion of the administrator, in accordance with such agreements as may be entered into with |
those entities holding ownership rights to the logos. The administrator is hereby authorized to |
enter into agreements for the use of logos on Rhode Island registration plates. |
(c) The New England Patriots Charitable Foundation motor vehicle plates shall be the |
same size as regular motor vehicle plates and shall be designed in conjunction with the division of |
motor vehicles, with design approval by the Rhode Island State Police. |
(d) New England Patriots Charitable Foundation plates shall be subject to a minimum |
pre-paid order of at least nine hundred (900) plates with respect to each plate type authorized |
pursuant to this section. New England Patriots Charitable Foundation plates shall not be issued |
unless the minimum order requirements are met. The initial order will be handled by the New |
England Patriots Charitable Foundation and shall not be submitted to the division of motor |
vehicles for the production until the minimum order has been met and the proper paperwork |
submitted to the division. Subsequent New England Patriots Charitable Foundation plate orders |
will be handled by the division of motor vehicles. |
(e) The administrator of motor vehicles shall develop application forms, prepayment |
procedures, and any other procedures deemed necessary to carry out the purposes of this section. |
(f) In addition to the regular prescribed motor vehicle registration fee, New England |
Patriots Charitable Foundation plates shall be subject to a forty-dollar ($40.00) issuance |
surcharge. |
(g) The forty-dollar ($40.00) issuance surcharge shall be allocated as follows: twenty |
dollars ($20.00) shall be allocated to the general fund and the remaining twenty dollars ($20.00) |
shall be distributed annually to the New England Patriots Charitable Foundation in furtherance of |
its mission of assisting the youth and families of New England through donations that foster |
cultural diversity, education, family, and health. |
(h) A ten-dollar ($10.00) surcharge for subsequent registration renewals shall be allocated |
to the New England Patriots Charitable Foundation. |
(i) In consideration of the receipt of funds from the registration of New England Patriots |
Charitable Foundation plates, the foundation must use any Rhode Island sourced funds in and for |
the benefit of Rhode Island-based charitable organizations. |
(j) The New England Patriots Charitable Foundation will be required to submit an annual |
accounting report before such monies are distributed. |
(k) There shall be no refunds for early cancellation of New England Patriots Charitable |
Foundation plates. |
SECTION 22. Sections 31-10-19 and 31-10-19 of the General Laws in Chapter 31-10 |
entitled "Operators' and Chauffeurs' Licenses" are hereby amended to read as follows: |
31-10-19. Driver education -- Traffic safety education. [Contingent amendment; see |
other version.]. |
(a) The Community College community college of Rhode Island shall provide thirty- |
three (33) hours of classroom instruction for applicants or prospective applicants, not more than |
twenty-one (21) years of age for a limited instruction permit or license. The instruction shall |
include eight (8) hours, specifically for instruction on the effects of alcohol and drugs on a driver, |
and the instruction shall be given by a person eligible for a teacher's certificate issued under the |
authority of the state board of regents and which course of instruction shall be approved by the |
board of governors for higher education. In case of emergency, the President of the Community |
College president of the community college of Rhode Island may declare, when no certified |
instructor is available to teach, an individual eligible to teach at the Community College |
community college of Rhode Island who has taken the required course of instruction in driver |
education, may provide driver education instruction. All driver education programs shall include |
information concerning the Revised Uniform Anatomical Gift Act, chapter 18.6 18.6.1 of title |
23, and information on donor cards pursuant to the applicable provisions of chapter 18.6 18.6.1 of |
title 23. The board of governors for higher education shall ensure that each person properly |
certified and approved to instruct driver education courses shall be given an equal opportunity for |
employment as an instructor within the driver education program. No person teaching driver |
education under this section shall own, be employed by, or be associated with a commercial |
driving school. |
(b) Driver education instruction shall be available to any eligible resident applicant not |
less than fifteen (15) years and ten (10) months of age. |
(c) That the state shall also provide a separate program of instruction, as previously set |
forth in this section, for special needs students whose individual education plan (IEP) indicates a |
need for a separate program of instruction. |
(d) The Community College community college of Rhode Island shall provide a driver |
training program for physically handicapped drivers. The program shall instruct the physically |
handicapped driver in the operation of adapted vehicles for the handicapped. The adapted |
vehicles are to be provided by the handicapped individual. A physically handicapped person must |
be certified by a licensed physician that he or she is physically handicapped and possesses |
sufficient potential to become a competent motor vehicle operator. The Community College |
community college of Rhode Island shall establish a tuition fee sufficient to cover the cost of the |
program. |
(e) A tuition or enrollment fee shall be required to be paid by an eligible applicant in |
accordance with rules and regulations of the board of governors for higher education; provided, |
that personal checks shall be an acceptable method of payment of the tuition or enrollment fee. |
The tuition or enrollment fee shall be deposited in a restricted receipt account established to pay |
any and all costs associated with the driver education program at the Community College |
community college of Rhode Island and administered by the Community College community |
college of Rhode Island. |
(f) The board of governors for higher education is authorized to establish administrative |
regulations to further implement this section. |
(g) The Community College community college of Rhode Island shall establish tuition |
fees sufficient to cover the cost of the program and the administration of the driver education |
program. All positions established to implement the driver education program and funded in full |
by driver education program fees shall be exempt from the full-time equivalency cap established |
in Article 1 of the Appropriations Act, provided, however, that the board of governors shall report |
by June 1, 2004, the actual number of filled positions funded exclusively by driver education fees |
to the chairperson of the house finance committee, the chairperson of the senate finance |
committee, and the state budget officer. |
(h) The board of governors for higher education shall provide for an optional and |
voluntary course of instruction for the applicant's parent, guardian, or designee where applicable, |
on the content of the driver education curriculum and the requirements for the graduated licensing |
for persons under the age of eighteen (18) as contained in § 31-10-6. The community college of |
Rhode Island shall be responsible to develop the course of instruction and content for the parent |
instruction, or may approve a similar course of instruction, such as AAA's course, as equivalent |
to it, and shall promulgate regulations and establish the appropriate method of providing the |
instruction. |
(i) Dangers of distracted driving, including, but not limited to, use of cell phones would |
be included in this section curriculum and included in all testing as part of the state's driver's |
license examination. |
31-10-19. Driver education -- Traffic safety education. [Contingent amendment; see |
other version.]. |
(a) The Community College community college of Rhode Island shall provide thirty- |
three (33) hours of classroom instruction for applicants or prospective applicants, not more than |
twenty-one (21) years of age, for a limited-instruction permit or license. The instruction shall |
include eight (8) hours, specifically for instruction on the effects of alcohol and drugs on a driver, |
and the instruction shall be given by a person eligible for a teacher's certificate issued under the |
authority of the state board of education and which course of instruction shall be approved by the |
state board of education. In case of emergency, the President of the Community College |
president of the community college of Rhode Island may declare, when no certified instructor is |
available to teach, that an individual eligible to teach at the Community College community |
college of Rhode Island, who has taken the required course of instruction in driver education, |
may provide driver education instruction. All driver education programs shall include information |
concerning the Revised Uniform Anatomical Gift Act, chapter 18.6 18.6.1 of title 23, and |
information on donor cards pursuant to the applicable provisions of chapter 18.6 18.6.1 of title |
23. The state board of education shall ensure that each person properly certified and approved to |
instruct driver education courses shall be given an equal opportunity for employment as an |
instructor within the driver education program. No person teaching driver education under this |
section shall own, be employed by, or be associated with a commercial driving school. |
(b) Driver education instruction shall be available to any eligible resident applicant not |
less than fifteen (15) years and ten (10) months of age. |
(c) That the state shall also provide a separate program of instruction, as previously set |
forth in this section, for special needs students whose individual education plan (IEP) indicates a |
need for a separate program of instruction. |
(d) The Community College community college of Rhode Island shall provide a driver |
training program for physically handicapped drivers. The program shall instruct the physically |
handicapped driver in the operation of adapted vehicles for the handicapped. The adapted |
vehicles are to be provided by the handicapped individual. A physically handicapped person must |
be certified by a licensed physician that he or she is physically handicapped and possesses |
sufficient potential to become a competent motor vehicle operator. The Community College |
community college of Rhode Island shall establish a tuition fee sufficient to cover the cost of the |
program. |
(e) A tuition or enrollment fee shall be required to be paid by an eligible applicant in |
accordance with rules and regulations of the state board of education; provided, that personal |
checks shall be an acceptable method of payment of the tuition or enrollment fee. The tuition or |
enrollment fee shall be deposited in a restricted receipt account established to pay any and all |
costs associated with the driver education program at the Community College community |
college of Rhode Island and administered by the Community College community college of |
Rhode Island. |
(f) The state board of education is authorized to establish administrative regulations to |
further implement this section. |
(g) The Community College community college of Rhode Island shall establish tuition |
fees sufficient to cover the cost of the program and the administration of the driver education |
program. All positions established to implement the driver education program and funded in full |
by driver education program fees shall be exempt from the full-time equivalency cap established |
in Article 1 of the Appropriations Act, provided, however, that the board of governors shall report |
by June 1, 2004, the actual number of filled positions funded exclusively by driver education fees |
to the chairperson of the house finance committee, the chairperson of the senate finance |
committee, and the state budget officer. |
(h) Notwithstanding any other provisions of this section, the state board of education |
shall provide for a required course of instruction for the applicant's parent, guardian, or designee |
where applicable, on the content of the driver education curriculum and the requirements for the |
graduated licensing for persons under the age of eighteen (18) as contained in § 31-10-6. The |
course of instruction shall be made available in a classroom setting at numerous locations, days, |
and times throughout the state, approved by the Community College community college of |
Rhode Island. All costs and expenses associated with the course of instruction, including, but not |
limited to, materials, instructors, and location fees shall be at the sole expense of the program |
providers. Once approved by the state board of education, an online course of instruction shall be |
made available to parent(s), guardian(s), or designee(s), where applicable, to meet the |
requirements of this section. Under no circumstances shall any parent, guardian, or designee, |
where applicable, be required to pay any cost or fee in association with participation in the course |
required by this section. Upon completion of the course pursuant to this section, no parent, |
guardian, or designee shall be required to take the course more than one time in a five-year (5) |
period. Parents, guardians, and designees with multiple children having completed this course |
shall be deemed to have satisfied this requirement for each child in their care applying for his or |
her license during the five-year (5) period. Should AAA or any other provider cease to provide |
the course and no other provider exists, the Community College community college of Rhode |
Island shall not be required to provide the course of instruction nor shall it be required to pay any |
of the costs associated therewith. Parents, guardians, and designees shall not be required to |
complete the course prior to their child obtaining a license during any time at which a qualified |
program under this section does not exist. The Community College community college of |
Rhode Island shall be responsible to develop the course of instruction and content for the parent |
instruction, or may approve a similar course of instruction, such as AAA's course, as equivalent |
to it, and shall promulgate regulations and establish the appropriate method of providing the |
instruction. Should a qualified program cease to exist for a period of time greater than six (6) |
months, the course of instruction will not be required. |
(i) Dangers of distracted driving, including, but not limited to, use of cell phones would |
be included in this section curriculum and included in all testing as part of the state's driver's |
license examination. |
SECTION 23. Section 31-13-14 of the General Laws in Chapter 31-13 entitled "Traffic |
Control Devices" is hereby amended to read as follows: |
31-13-14. Time period to complete projects. |
All projects approved by the state traffic commission pursuant to this chapter shall be |
completed before the end of the following construction season with the exception of to geometric |
improvements/roundabouts and new signals. |
SECTION 24. Section 31-27-2.1 of the General Laws in Chapter 31-27 entitled "Motor |
Vehicle Offenses" is hereby amended to read as follows: |
31-27-2.1. Refusal to submit to chemical test. |
(a) Any person who operates a motor vehicle within this state shall be deemed to have |
given his or her consent to chemical tests of his or her breath, blood, and/or urine for the purpose |
of determining the chemical content of his or her body fluids or breath. No more than two (2) |
complete tests, one for the presence of intoxicating liquor and one for the presence of toluene or |
any controlled substance, as defined in § 21-28-1.02(8), shall be administered at the direction of a |
law enforcement officer having reasonable grounds to believe the person to have been driving a |
motor vehicle within this state while under the influence of intoxicating liquor, toluene, or any |
controlled substance, as defined in chapter 28 of title 21, or any combination of these. The |
director of the department of health is empowered to make and file, with the secretary of state, |
regulations that prescribe the techniques and methods of chemical analysis of the person's body |
fluids or breath and the qualifications and certification of individuals authorized to administer the |
testing and analysis. |
(b) If a person, for religious or medical reasons, cannot be subjected to blood tests, the |
person may file an affidavit with the division of motor vehicles stating the reasons why he or she |
cannot be required to take blood tests and a notation to this effect shall be made on his or her |
license. If that person is asked to submit to chemical tests as provided under this chapter, the |
person shall only be required to submit to chemical tests of his or her breath or urine. When a |
person is requested to submit to blood tests, only a physician or registered nurse, or a medical |
technician certified under regulations promulgated by the director of the department of health, |
may withdraw blood for the purpose of determining the alcoholic content in it. This limitation |
shall not apply to the taking of breath or urine specimens. The person tested shall be permitted to |
have a physician of his or her own choosing, and at his or her own expense, administer chemical |
tests of his or her breath, blood, and/or urine in addition to the tests administered at the direction |
of a law enforcement officer. If a person, having been placed under arrest, refuses upon the |
request of a law enforcement officer to submit to the tests, as provided in § 31-27-2, none shall be |
given, but a judge or magistrate of the traffic tribunal or district court judge or magistrate, upon |
receipt of a report of a law enforcement officer: that he or she had reasonable grounds to believe |
the arrested person had been driving a motor vehicle within this state under the influence of |
intoxicating liquor, toluene, or any controlled substance, as defined in chapter 28 of title 21, or |
any combination of these; that the person had been informed of his or her rights in accordance |
with § 31-27-3; that the person had been informed of the penalties incurred as a result of |
noncompliance with this section; and that the person had refused to submit to the tests upon the |
request of a law enforcement officer; shall promptly order that the person's operator's license or |
privilege to operate a motor vehicle in this state be immediately suspended, however, said |
suspension shall be subject to the hardship provisions enumerated in § 31-27-2.8. A traffic |
tribunal judge or magistrate, or a district court judge or magistrate, pursuant to the terms of |
subsection (c), shall order as follows: |
(1) Impose, for the first violation, a fine in the amount of two hundred dollars ($200) to |
five hundred dollars ($500) and shall order the person to perform ten (10) to sixty (60) hours of |
public community restitution. The person's driving license in this state shall be suspended for a |
period of six (6) months to one year. The traffic tribunal judge or magistrate shall require |
attendance at a special course on driving while intoxicated or under the influence of a controlled |
substance and/or alcohol or drug treatment for the individual. The traffic tribunal judge or |
magistrate may prohibit that person from operating a motor vehicle that is not equipped with an |
ignition interlock system as provided in § 31-27-2.8. |
(2) Every person convicted for of a second violation within a five-year (5) period, except |
with respect to cases of refusal to submit to a blood test, shall be guilty of a misdemeanor; shall |
be imprisoned for not more than six (6) months; and shall pay a fine in the amount of six hundred |
dollars ($600) to one thousand dollars ($1,000),; order the person to perform sixty (60) to one |
hundred (100) hours of public community restitution; and the person's driving license in this state |
shall be suspended for a period of one year to two (2) years. The judge or magistrate shall require |
alcohol and/or drug treatment for the individual. The sentencing judge or magistrate shall prohibit |
that person from operating a motor vehicle that is not equipped with an ignition interlock system |
as provided in § 31-27-2.8. |
(3) Every person convicted for a third or subsequent violation within a five-year (5) |
period, except with respect to cases of refusal to submit to a blood test, shall be guilty of a |
misdemeanor; and shall be imprisoned for not more than one year; fined eight hundred dollars |
($800) to one thousand dollars ($1,000); shall perform not less than one hundred (100) hours of |
public community restitution; and the person's operator's license in this state shall be suspended |
for a period of two (2) years to five (5) years. The sentencing judge or magistrate shall prohibit |
that person from operating a motor vehicle that is not equipped with an ignition interlock system |
as provided in § 31-27-2.8. The judge or magistrate shall require alcohol or drug treatment for the |
individual. Provided, that prior to the reinstatement of a license to a person charged with a third |
or subsequent violation within a three-year (3) period, a hearing shall be held before a judge or |
magistrate. At the hearing, the judge or magistrate shall review the person's driving record, his or |
her employment history, family background, and any other pertinent factors that would indicate |
that the person has demonstrated behavior that warrants the reinstatement of his or her license. |
(4) For a second violation within a five-year (5) period with respect to a case of a refusal |
to submit to a blood test, a fine in the amount of six hundred dollars ($600) to one thousand |
dollars ($1,000); the person shall perform sixty (60) to one hundred (100) hours of public |
community restitution; and the person's driving license in this state shall be suspended for a |
period of two (2) years. The judicial officer shall require alcohol and/or drug treatment for the |
individual. The sentencing judicial officer shall prohibit that person from operating a motor |
vehicle that is not equipped with an ignition interlock system as provided in § 31-27-2.8. Such a |
violation with respect to refusal to submit to a chemical blood test shall be a civil offense. |
(5) For a third or subsequent violation within a five-year (5) period with respect to a case |
of a refusal to submit to a blood test, a fine in the amount of eight hundred dollars ($800) to one |
thousand dollars ($1,000); the person shall perform not less than one hundred (100) hours of |
public community restitution; and the person's driving license in this state shall be suspended for |
a period of two (2) to five (5) years. The sentencing judicial officer shall prohibit that person from |
operating a motor vehicle that is not equipped with an ignition interlock system as provided in § |
31-27-2.8. The judicial officer shall require alcohol and/or drug treatment for the individual. Such |
a violation with respect to refusal to submit to a chemical test of blood shall be a civil offense. |
Provided, that prior to the reinstatement of a license to a person charged with a third or |
subsequent violation within a three-year (3) period, a hearing shall be held before a judicial |
officer. At the hearing, the judicial officer shall review the person's driving record, his or her |
employment history, family background, and any other pertinent factors that would indicate that |
the person has demonstrated behavior that warrants the reinstatement of their license. |
(6) For purposes of determining the period of license suspension, a prior violation shall |
constitute any charge brought and sustained under the provisions of this section or § 31-27-2. |
(7) In addition to any other fines, a highway safety assessment of five hundred dollars |
($500) shall be paid by any person found in violation of this section, the assessment to be |
deposited into the general fund. The assessment provided for by this subsection shall be collected |
from a violator before any other fines authorized by this section. |
(8) In addition to any other fines and highway safety assessments, a two-hundred-dollar |
($200) assessment shall be paid by any person found in violation of this section to support the |
department of health's chemical testing programs outlined in § 31-27-2(4), that shall be deposited |
as general revenues, not restricted receipts. |
(9) No fines, suspensions, assessments, alcohol or drug treatment programs, course on |
driving while intoxicated or under the influence of a controlled substance, or public community |
restitution provided for under this section can be suspended. |
(c) Upon suspending or refusing to issue a license or permit as provided in subsection (a), |
the traffic tribunal or district court shall immediately notify the person involved in writing, and |
upon his or her request, within fifteen (15) days, shall afford the person an opportunity for a |
hearing as early as practical upon receipt of a request in writing. Upon a hearing, the judge may |
administer oaths and may issue subpoenas for the attendance of witnesses and the production of |
relevant books and papers. If the judge finds after the hearing that: |
(1) The law enforcement officer making the sworn report had reasonable grounds to |
believe that the arrested person had been driving a motor vehicle within this state while under the |
influence of intoxicating liquor, toluene, or any controlled substance, as defined in chapter 28 of |
title 21, or any combination of these; |
(2) The person, while under arrest, refused to submit to the tests upon the request of a law |
enforcement officer; |
(3) The person had been informed of his or her rights in accordance with § 31-27-3; and |
(4) The person had been informed of the penalties incurred as a result of noncompliance |
with this section, the judge shall sustain the violation. The judge shall then impose the penalties |
set forth in subsection (b). Action by the judge must be taken within seven (7) days after the |
hearing or it shall be presumed that the judge has refused to issue his or her order of suspension. |
(d) For the purposes of this section, any test of a sample of blood, breath, or urine for the |
presence of alcohol that relies, in whole or in part, upon the principle of infrared light absorption |
is considered a chemical test. |
(e) If any provision of this section, or the application of any provision, shall, for any |
reason, be judged invalid, the judgment shall not affect, impair, or invalidate the remainder of the |
section, but shall be confined in this effect to the provisions or application directly involved in the |
controversy giving rise to the judgment. |
SECTION 25. Section 38-2-2 of the General Laws in Chapter 38-2 entitled "Access to |
Public Records" is hereby amended to read as follows: |
38-2-2. Definitions. |
As used in this chapter: |
(1) "Agency" or "public body" means any executive, legislative, judicial, regulatory, or |
administrative body of the state, or any political subdivision thereof; including, but not limited to: |
any department, division, agency, commission, board, office, bureau, authority; any school, fire, |
or water district, or other agency of Rhode Island state or local government that exercises |
governmental functions; any authority as defined in § 42-35-1(b); or any other public or private |
agency, person, partnership, corporation, or business entity acting on behalf of and/or in place of |
any public agency. |
(2) "Chief administrative officer" means the highest authority of the public body. |
(3) "Public business" means any matter over which the public body has supervision, |
control, jurisdiction, or advisory power. |
(4) "Public record" or "public records" shall mean all documents, papers, letters, maps, |
books, tapes, photographs, films, sound recordings, magnetic or other tapes, electronic data |
processing records, computer stored data (including electronic mail messages, except specifically |
for any electronic mail messages of or to elected officials with or relating to those they represent |
and correspondence of or to elected officials in their official capacities), or other material |
regardless of physical form or characteristics made or received pursuant to law or ordinance or in |
connection with the transaction of official business by any agency. For the purposes of this |
chapter, the following records shall not be deemed public: |
(A) (I) (a) All records relating to a client/attorney relationship and to a doctor/patient |
relationship, including all medical information relating to an individual in any files. |
(b) Personnel and other personal individually identifiable records otherwise deemed |
confidential by federal or state law or regulation, or the disclosure of which would constitute a |
clearly unwarranted invasion of personal privacy pursuant to 5 U.S.C. § 552 et seq.; provided, |
however, with respect to employees, and employees of contractors and subcontractors working on |
public works projects that are required to be listed as certified payrolls, the name, gross salary, |
salary range, total cost of paid fringe benefits, gross amount received in overtime, and any other |
remuneration in addition to salary, job title, job description, dates of employment and positions |
held with the state, municipality, employment contract, or public works contractor or |
subcontractor on public works projects, employment contract, work location, and/or project, |
business telephone number, the city or town of residence, and date of termination shall be public. |
For the purposes of this section "remuneration" shall include any payments received by an |
employee as a result of termination, or otherwise leaving employment, including, but not limited |
to, payments for accrued sick and/or vacation time, severance pay, or compensation paid pursuant |
to a contract buy-out provision. |
(II) Notwithstanding the provisions of this section, or any other provision of the general |
laws to the contrary, the pension records of all persons who are either current or retired members |
of any public retirement systems, as well as all persons who become members of those retirement |
systems after June 17, 1991, shall be open for public inspection. "Pension records" as used in this |
section, shall include all records containing information concerning pension and retirement |
benefits of current and retired members of the retirement systems and future members of said |
systems, including all records concerning retirement credits purchased and the ability of any |
member of the retirement system to purchase retirement credits, but excluding all information |
regarding the medical condition of any person and all information identifying the member's |
designated beneficiary or beneficiaries unless and until the member's designated beneficiary or |
beneficiaries have received or are receiving pension and/or retirement benefits through the |
retirement system. |
(B) Trade secrets and commercial or financial information obtained from a person, firm, |
or corporation that is of a privileged or confidential nature. |
(C) Child custody and adoption records, records of illegitimate births, and records of |
juvenile proceedings before the family court. |
(D) All records maintained by law enforcement agencies for criminal law enforcement |
and all records relating to the detection and investigation of crime, including those maintained on |
any individual or compiled in the course of a criminal investigation by any law enforcement |
agency. Provided, however, such records shall not be deemed public only to the extent that the |
disclosure of the records or information (a) could Could reasonably be expected to interfere with |
investigations of criminal activity or with enforcement proceedings; (b) would Would deprive a |
person of a right to a fair trial or an impartial adjudication; (c) could Could reasonably be |
expected to constitute an unwarranted invasion of personal privacy; (d) could Could reasonably |
be expected to disclose the identity of a confidential source, including a state, local, or foreign |
agency or authority, or any private institution that furnished information on a confidential basis, |
or the information furnished by a confidential source; (e) would Would disclose techniques and |
procedures for law enforcement investigations or prosecutions, or would disclose guidelines for |
law enforcement investigations or prosecutions; or (f) could Could reasonably be expected to |
endanger the life or physical safety of any individual. Records relating to management and |
direction of a law enforcement agency and records or reports reflecting the initial arrest of an |
adult and the charge or charges brought against an adult shall be public. |
(E) Any records that would not be available by law or rule of court to an opposing party |
in litigation. |
(F) Scientific and technological secrets and the security plans of military and law |
enforcement agencies, the disclosure of which would endanger the public welfare and security. |
(G) Any records that disclose the identity of the contributor of a bona fide and lawful |
charitable contribution to the public body whenever public anonymity has been requested of the |
public body with respect to the contribution by the contributor. |
(H) Reports and statements of strategy or negotiation involving labor negotiations or |
collective bargaining. |
(I) Reports and statements of strategy or negotiation with respect to the investment or |
borrowing of public funds, until such time as those transactions are entered into. |
(J) Any minutes of a meeting of a public body that are not required to be disclosed |
pursuant to chapter 46 of title 42. |
(K) Preliminary drafts, notes, impressions, memoranda, working papers, and work |
products, including those involving research at state institutions of higher education on |
commercial, scientific, artistic, technical, or scholarly issues, whether in electronic or other |
format; provided, however, any documents submitted at a public meeting of a public body shall |
be deemed public. |
(L) Test questions, scoring keys, and other examination data used to administer a |
licensing examination, examination for employment or promotion, or academic examinations; |
provided, however, that a person shall have the right to review the results of his or her |
examination. |
(M) Correspondence of or to elected officials with or relating to those they represent and |
correspondence of or to elected officials in their official capacities. |
(N) The contents of real estate appraisals, engineering, or feasibility estimates and |
evaluations made for or by an agency relative to the acquisition of property or to prospective |
public supply and construction contracts, until such time as all of the property has been acquired |
or all proceedings or transactions have been terminated or abandoned; provided the law of |
eminent domain shall not be affected by this provision. |
(O) All tax returns. |
(P) All investigatory records of public bodies, with the exception of law enforcement |
agencies, pertaining to possible violations of statute, rule, or regulation other than records of final |
actions taken, provided that all records prior to formal notification of violations or noncompliance |
shall not be deemed to be public. |
(Q) Records of individual test scores on professional certification and licensing |
examinations; provided, however, that a person shall have the right to review the results of his or |
her examination. |
(R) Requests for advisory opinions until such time as the public body issues its opinion. |
(S) Records, reports, opinions, information, and statements required to be kept |
confidential by federal law or regulation or state law or rule of court. |
(T) Judicial bodies are included in the definition only in respect to their administrative |
function provided that records kept pursuant to the provisions of chapter 16 of title 8 are exempt |
from the operation of this chapter. |
(U) Library records that, by themselves or when examined with other public records, |
would reveal the identity of the library user requesting, checking out, or using any library |
materials. |
(V) Printouts from TELE -- TEXT devices used by people who are deaf or hard of |
hearing or speech impaired. |
(W) All records received by the insurance division of the department of business |
regulation from other states, either directly or through the National Association of Insurance |
Commissioners, if those records are accorded confidential treatment in that state. Nothing |
contained in this title or any other provision of law shall prevent or be construed as prohibiting |
the commissioner of insurance from disclosing otherwise confidential information to the |
insurance department of this or any other state or country, at any time, so long as the agency or |
office receiving the records agrees in writing to hold it confidential in a manner consistent with |
the laws of this state. |
(X) Credit card account numbers in the possession of state or local government are |
confidential and shall not be deemed public records. |
(Y) Any documentary material, answers to written interrogatories, or oral testimony |
provided under any subpoena issued under Rhode Island general law § 9-1.1-6. |
(Z) Any individually identifiable evaluations of public school teachers made pursuant to |
state or federal law or regulation. |
(AA) All documents prepared by school districts intended to be used by school districts |
in protecting the safety of their students from potential and actual threats. |
SECTION 26. Section 39-16-4 of the General Laws in Chapter 39-16 entitled "Kent |
County Water District" is hereby amended to read as follows: |
39-16-4. Composition of board. |
(a) The board shall consist of seven (7) members, one member to be appointed by the |
town council of East Greenwich and two (2) members by the city council of the city of Warwick, |
and two (2) members each appointed by the town councils of the towns of Coventry and West |
Warwick. The successors of members shall be appointed by their respective city and town |
councils. A majority of the governing body appointing a member may remove the member for |
willful misconduct. |
(b) The members of the board shall appoint a member to serve as chair of the board, and |
such appointment shall be made at the board's first meeting after the effective date of this section. |
The chair appointed shall serve for a seven-year (7) term, at which time the board shall appoint a |
new chair. If a chair is unable to complete their term, a new chair shall be appointed to serve a |
seven-year (7) term. |
(c) Each member shall serve for a term of seven (7) years, except that all vacancies |
occurring during a term shall be filled for the unexpired term. A member shall hold office until |
his or her successor has been duly appointed and has qualified. Each member of the authority |
shall take an oath to administer the duties of his or her office faithfully and impartially, and the |
oath shall be filed in the office of the secretary of state. |
(d) Four (4) members of the authority shall constitute a quorum and the vote of four (4) |
members shall be necessary for any action taken by the authority. No vacancy in the membership |
of the authority shall impair the right of a quorum to exercise all the rights and perform all the |
duties of the authority. |
(e) In the event of a vacancy occurring in the board by reason of the death, resignation, or |
removal for willful misconduct of a member, the governing body of the town or city that |
appointed the member shall appoint a new member for the unexpired term. |
(f) In the month of January, the board shall make an annual report to the town councils of |
East Greenwich, West Warwick, and Coventry, and to the city council of Warwick, of its |
activities for the preceding fiscal year. Each report shall set forth a complete operating and |
financial statement covering its operations during the year. The authority shall cause an annual |
audit of the books, records, and accounts of the authority to be made. |
SECTION 27. Section 39-18.1-4 of the General Laws in Chapter 39-18.1 entitled |
"Transportation Investment and Debt Reduction Act of 2011" is hereby amended to read as |
follows: |
39-18.1-4. Rhode Island highway maintenance account created. |
(a) There is hereby created a special account in the intermodal surface transportation fund |
as established in § 31-36-20 that is to be known as the Rhode Island highway maintenance |
account. |
(b) The fund shall consist of all those moneys that the state may from time to time direct |
to the fund, including, but not necessarily limited to, moneys derived from the following sources: |
(1) There is imposed a surcharge of thirty dollars ($30.00) per vehicle or truck, other than |
those with specific registrations set forth below in subsection (b)(1)(i). Such surcharge shall be |
paid by each vehicle or truck owner in order to register that owner's vehicle or truck and upon |
each subsequent biennial registration. This surcharge shall be phased in at the rate of ten dollars |
($10.00) each year. The total surcharge will be ten dollars ($10.00) from July 1, 2013, through |
June 30, 2014, twenty dollars ($20.00) from July 1, 2014, through June 30, 2015, and thirty |
dollars ($30.00) from July 1, 2015, through June 30, 2016, and each year thereafter. |
(i) For owners of vehicles or trucks with the following plate types, the surcharge shall be |
as set forth below and shall be paid in full in order to register the vehicle or truck and upon each |
subsequent renewal: |
Plate Type Surcharge |
Antique $5.00 |
Farm $10.00 |
Motorcycle $13.00 |
(ii) For owners of trailers, the surcharge shall be one-half (1/2) of the biennial registration |
amount and shall be paid in full in order to register the trailer and upon each subsequent renewal. |
(2) There is imposed a surcharge of fifteen dollars ($15.00) per vehicle or truck, other |
than those with specific registrations set forth in subsection (b)(2)(i) below, for those vehicles or |
trucks subject to annual registration, to be paid annually by each vehicle or truck owner in order |
to register that owner's vehicle, trailer or truck and upon each subsequent annual registration. This |
surcharge will be phased in at the rate of five dollars ($5.00) each year. The total surcharge will |
be five dollars ($5.00) from July 1, 2013, through June 30, 2014, ten dollars ($10.00) from July 1, |
2014, through June 30, 2015, and fifteen dollars ($15.00) from July 1, 2015, through June 30, |
2016, and each year thereafter. |
(i) For registrations of the following plate types, the surcharge shall be as set forth below |
and shall be paid in full in order to register the plate, and upon each subsequent renewal: |
Plate Type Surcharge |
Boat Dealer $6.25 |
Cycle Dealer $6.25 |
In-transit $5.00 |
Manufacturer $5.00 |
New Car Dealer $5.00 |
Used Car Dealer $5.00 |
Racer Tow $5.00 |
Transporter $5.00 |
Bailee $5.00 |
(ii) For owners of trailers, the surcharge shall be one-half (1/2) of the annual registration |
amount and shall be paid in full in order to register the trailer and upon each subsequent renewal. |
(iii) For owners of school buses, the surcharge will be phased in at the rate of six dollars |
and twenty-five cents ($6.25) each year. The total surcharge will be six dollars and twenty-five |
cents ($6.25) from July 1, 2013, through June 30, 2014, and twelve dollars and fifty cents |
($12.50) from July 1, 2014, through June 30, 2015, and each year thereafter. |
(3) There is imposed a surcharge of thirty dollars ($30.00) per license to operate a motor |
vehicle to be paid every five (5) years by each licensed operator of a motor vehicle. This |
surcharge will be phased in at the rate of ten dollars ($10.00) each year. The total surcharge will |
be ten dollars ($10.00) from July 1, 2013, through June 30, 2014, twenty dollars ($20.00) from |
July 1, 2014, through June 30, 2015, and thirty dollars ($30.00) from July 1, 2015, through June |
30, 2016, and each year thereafter. In the event that a license is issued or renewed for a period of |
less than five (5) years, the surcharge will be prorated according to the period of time the license |
will be valid. ; |
(4) All fees assessed pursuant to § 31-47.1-11, and chapters 3, 6, 10, and 10.1 of title |
31 shall be deposited into the Rhode Island highway maintenance account, provided that for |
fiscal years 2016, 2017, and 2018 these fees be transferred as follows: |
(i) From July 1, 2015, through June 30, 2016, twenty-five percent (25%) will be |
deposited; |
(ii) From July 1, 2016, through June 30, 2017, fifty percent (50%) will be deposited; |
and |
(iii) From July 1, 2017, eighty percent (80%) will be deposited; |
(iv) From July 1, 2018, and each year thereafter, one hundred percent (100%) will |
be deposited; |
(5) All remaining funds from previous general obligation bond issues that have not |
otherwise been allocated. |
(c) All funds collected pursuant to this section shall be deposited in the Rhode Island |
highway maintenance account and shall be used only for the purposes set forth in this chapter. |
(d) Unexpended balances and any earnings thereon shall not revert to the general fund but |
shall remain in the Rhode Island highway maintenance account. There shall be no requirement |
that monies received into the Rhode Island highway maintenance account during any given |
calendar year or fiscal year be expended during the same calendar year or fiscal year. |
(e) The Rhode Island highway maintenance account shall be administered by the director, |
who shall allocate and spend monies from the fund only in accordance with the purposes and |
procedures set forth in this chapter. |
(4) All fees assessed pursuant to § 31-47.1-11, and chapters 3, 6, 10, and 10.1 of title |
31 shall be deposited into the Rhode Island highway maintenance account, provided that for |
fiscal years 2016, 2017, and 2018 these fees be transferred as follows: |
(i) From July 1, 2015, through June 30, 2016, twenty-five percent (25%) will be |
deposited; |
(ii) From July 1, 2016, through June 30, 2017, fifty percent (50%) will be deposited; |
and |
(iii) From July 1, 2017, eighty percent (80%) will be deposited; |
(iv) From July 1, 2018, and each year thereafter, one hundred percent (100%) will |
be deposited; |
(5) All remaining funds from previous general obligation bond issues that have not |
otherwise been allocated. |
SECTION 28. Section 42-75-13 of the General Laws in Chapter 42-75 entitled "Council |
on the Arts" is hereby amended to read as follows: |
42-75-13. Appropriation. |
(a) During the fiscal year ending June 30, 2008, the state lottery division within the |
department of revenue shall conduct, pursuant to chapter 62.61 of title 42 of the general laws, an |
instant game to be known as the "Arts Lottery Game." The net revenue from the first three (3) |
months of the running of the "Arts Lottery Game" shall be deposited in a restricted-revenue |
account to be used by the Rhode Island Council on the Arts for the support and improvement of |
the arts in this state. The provisions of this section shall prevail over any inconsistent provisions |
of chapter 61 of title 42. |
(b) The Rhode Island Council on the Arts shall deposit any funds received from the |
Rhode Island Foundation in a restricted-receipt account to be used for the support and |
improvement of the arts in this state. All such funds deposited shall be exempt from the indirect |
cost-recovery provisions of § 35-24-27. |
SECTION 29. Section 44-18.2-5 of the General Laws in Chapter 44-18.2 entitled "Sales |
and Use Tax - Non-Collecting Retailers, Referrers, and Retail Sale Facilitators Act" is hereby |
amended to read as follows: |
44-18.2-5. Penalties. |
Any non-collecting retailer, referrer, or retail sale facilitator that fails to comply with any |
of the requirements of this chapter shall be subject to a penalty of ten dollars ($10.00) for each |
such failure, but not less more than a total penalty of ten thousand dollars ($10,000) per calendar |
year. Each instance of failing to comply with the requirements of this chapter shall constitute a |
separate violation for purposes of calculating the penalty under this section. This penalty shall be |
in addition to any other applicable penalties under title 44. |
SECTION 30. Section 44-20-1 of the General Laws in Chapter 44-20 entitled "Cigarette |
and Other Tobacco Products Tax" is hereby amended to read as follows: |
44-20-1. Definitions. |
Whenever used in this chapter, unless the context requires otherwise: |
(1) "Administrator" means the tax administrator; |
(2) "Cigarettes" means and includes any cigarettes suitable for smoking in cigarette form, |
and each sheet of cigarette rolling paper, including but not limited to, paper made into a hollow |
cylinder or cone, made with paper or any other material, with or without a filter suitable for use in |
making cigarettes; |
(3) "Dealer" means any person whether located within or outside of this state, who sells |
or distributes cigarettes and/or other tobacco products to a consumer in this state; |
(4) "Distributor" means any person: |
(A) Whether located within or outside of this state, other than a dealer, who sells or |
distributes cigarettes and/or other tobacco products within or into this state. Such term shall not |
include any cigarette or other tobacco product manufacturer, export warehouse proprietor, or |
importer with a valid permit under 26 U.S.C. § 5712, if such person sells or distributes cigarettes |
and/or other tobacco products in this state only to licensed distributors, or to an export warehouse |
proprietor or another manufacturer with a valid permit under 26 U.S.C. § 5712; |
(B) Selling cigarettes and/or other tobacco products directly to consumers in this state by |
means of at least twenty-five (25) vending machines; |
(C) Engaged in this state in the business of manufacturing cigarettes and/or other tobacco |
products or any person engaged in the business of selling cigarettes and/or other tobacco products |
to dealers, or to other persons, for the purpose of resale only; provided, that seventy-five percent |
(75%) of all cigarettes and/or other tobacco products sold by that person in this state are sold to |
dealers or other persons for resale and selling cigarettes and/or other tobacco products directly to |
at least forty (40) dealers or other persons for resale; or |
(D) Maintaining one or more regular places of business in this state for that purpose; |
provided, that seventy-five percent (75%) of the sold cigarettes and/or other tobacco products are |
purchased directly from the manufacturer and selling cigarettes and/or other tobacco products |
directly to at least forty (40) dealers or other persons for resale; |
(5) "Importer" means any person who imports into the United States, either directly or |
indirectly, a finished cigarette or other tobacco product for sale or distribution; |
(6) "Licensed", when used with reference to a manufacturer, importer, distributor or |
dealer, means only those persons who hold a valid and current license issued under § 44-20-2 for |
the type of business being engaged in. When the term "licensed" is used before a list of entities, |
such as "licensed manufacturer, importer, wholesale dealer, or retailer dealer," such term shall be |
deemed to apply to each entity in such list; |
(7) "Manufacturer" means any person who manufactures, fabricates, assembles, |
processes, or labels a finished cigarette and/or other tobacco products; |
(8) "Other tobacco products" (OTP) means any cigars (excluding Little Cigars, as defined |
in § 44-20.2-1, which are subject to cigarette tax), cheroots, stogies, smoking tobacco (including |
granulated, plug cut, crimp cut, ready rubbed and any other kinds and forms of tobacco suitable |
for smoking in a pipe or otherwise), chewing tobacco (including Cavendish, twist, plug, scrap |
and any other kinds and forms of tobacco suitable for chewing), any and all forms of hookah, |
shisha and "mu'assel" tobacco, snuff, and shall include any other articles or products made of or |
containing tobacco, in whole or in part, or any tobacco substitute, except cigarettes; |
(9) "Person" means any individual, including an employee or agent, firm, fiduciary, |
partnership, corporation, trust, or association, however formed; |
(10) "Pipe" means an apparatus made of any material used to burn or vaporize products |
so that the smoke or vapors can be inhaled or ingested by the user; |
(11) "Place of business" means any location where cigarettes and/or other tobacco |
products are sold, stored, or kept, including, but not limited to; any storage room, attic, basement, |
garage or other facility immediately adjacent to the location. It also includes any receptacle, hide, |
vessel, vehicle, airplane, train, or vending machine; |
(12) "Sale" or "sell" means gifts, exchanges, and barter of cigarettes and/or other tobacco |
products. The act of holding, storing, or keeping cigarettes and/or other tobacco products at a |
place of business for any purpose shall be presumed to be holding the cigarettes and/or other |
tobacco products for sale. Furthermore, any sale of cigarettes and/or other tobacco products by |
the servants, employees, or agents of the licensed dealer during business hours at the place of |
business shall be presumed to be a sale by the licensee; |
(13) "Stamp" means the impression, device, stamp, label, or print manufactured, printed, |
or made as prescribed by the administrator to be affixed to packages of cigarettes, as evidence of |
the payment of the tax provided by this chapter or to indicate that the cigarettes are intended for a |
sale or distribution in this state that is exempt from state tax under the provisions of state law; and |
also includes impressions made by metering machines authorized to be used under the provisions |
of this chapter. |
SECTION 31. Section 44-27-10.1 of the General Laws in Chapter 44-27 entitled |
"Taxation of Farm, Forest, and Open Space Land" is hereby amended to read as follows: |
44-27-10.1. Land withdrawn from classification for commercial renewable-energy |
production -- Effect on obligation and the land use change tax. |
(a) Farmlands classified in the farm, forest, or open-space program in chapter 27 of title |
44 shall not be subject to a land use change tax if the landowner converts no more than twenty |
percent (20%) of the total acreage of land that is actively devoted to agricultural or horticultural |
use to install a renewable-energy system. Any acreage used for a renewable-energy system that is |
designated for dual use under subsection (c) of this section shall not be included in the calculation |
of the twenty percent (20%) restriction. For purposes of this section, land that is actively devoted |
to agricultural or horticultural use shall be defined by rules and regulations established by the |
department of environmental management in consultation with the office of energy resources and |
shall include, at a minimum, any land that is actively devoted to agricultural or horticultural use |
that was previously used to install a renewable-energy system. Those rules shall also define |
renewable-energy system to include, at a minimum, any buffers, access roads, and other |
supporting infrastructure associated with the generation of renewable energy. |
(b) The tax assessor shall only withdraw from farmland classification the actual acreage |
of the farmland used for a renewable-energy system that is not concurrently used as farmland. |
The rest of the farmland shall remain eligible as long as it still meets the program qualification |
criteria. This reclassification of farmlands shall not be considered an exception to the tax |
treatment for renewable-energy systems prescribed by § 44-5-3(c). |
(c) The dual purpose designation for installing a renewable-energy system and utilizing |
the land below and surrounding the system for agriculture purposes, shall be determined pursuant |
to rules and regulations that will be established by the department of environmental management |
in consultation with the office of energy resources. The regulations shall be adopted no later than |
December 30, 2017. |
SECTION 32. Section 45-22.4-5 of the General Laws in Chapter 45-22.4 entitled "Rhode |
Island Development Impact Fee Act" is hereby amended to read as follows: |
45-22.4-5. Collection and expenditure of impact fees. |
(a) The collection and expenditure of impact fees must be reasonably related to the |
benefits accruing to the development paying the fees. The ordinance shall consider the following |
requirements: |
(1) Upon collection, impact fees must be deposited in a special proprietary fund, which |
shall be invested with all interest accruing to the trust fund; |
(2) Within eight (8) years of the date of collection, impact fees shall be expended or |
encumbered for the construction of public facilities' capital improvements of reasonable benefit to |
the development paying the fees and that are consistent with the capital improvement program; |
(3) Where the expenditure or encumbrance of fees is not feasible within eight (8) years, |
the governmental entity may retain impact fees for a longer period of time if there are compelling |
reasons for the longer period. The governing body shall identify, in writing, the compelling |
reasons for retaining impact fees for a longer period of time over eight (8) years. In no case shall |
impact fees be retained longer than ten (10) years. |
(b) All impact fees imposed pursuant to the authority granted in this chapter shall be |
assessed upon the issuance of a building permit or other appropriate permission to proceed with |
development and shall be collected only upon the issuance of the certificate of occupancy or other |
final action authorizing the intended use of a structure. |
(c) A governmental entity may recoup costs of excess capacity in existing capital |
facilities, where the excess capacity has been provided in anticipation of the needs of new |
development, by requiring impact fees for that portion of the facilities constructed for future |
users. The need to recoup costs for excess capacity must have been documented by a |
preconstruction assessment that demonstrated the need for the excess capacity. Nothing contained |
in this chapter shall prevent a municipality from continuing to assess an impact fee that recoups |
costs for excess capacity in an existing facility without the preconstruction assessment so long as |
the impact fee was enacted at least ninety (90) days prior to July 22, 2000, and is in compliance |
with this chapter in all other respects pursuant to § 45-22.4-7. The fees imposed to recoup the |
costs to provide the excess capacity must be based on the governmental entity's actual cost of |
acquiring, constructing, or upgrading the facility and must be no more than a proportionate share |
of the costs to provide the excess capacity. That portion of an impact fee deemed recoupment is |
exempted from provisions of subsection (a)(2) of this section. |
(d) Governmental entities may accept the dedication of land or the construction of public |
facilities in lieu of payment of impact fees provided that: |
(1) The need for the dedication or construction is clearly documented in the community's |
capital improvement program or comprehensive plan; |
(2) The land proposed for dedication for or the facilities to be constructed are determined |
to be appropriate for the proposed use by the local governmental entity; |
(3) Formulas and/or procedures for determining the worth of proposed dedications or |
constructions are established. |
(e) Exemptions: |
(1) Impact fees shall not be imposed for remodeling, rehabilitation, or other |
improvements to an existing structure, or rebuilding a damaged structure, unless there is an |
increase in the number of dwelling units or any other measurable unit for which an impact fee is |
collected. Impact fees may be imposed when property that is owned or controlled by federal or |
state government is converted to private ownership or control. |
(2) Nothing in this chapter shall prevent a municipality from granting any exemption(s) |
that it deems appropriate. |
SECTION 33. Article I of this act shall take effect on December 31, 2018. The remaining |
portions of this act shall take effect upon passage. |
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LC005182 |
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