Shaev v. Adkerson

CourtCourt of Chancery of Delaware
DecidedOctober 5, 2015
DocketCA 10436-VCN
StatusPublished

This text of Shaev v. Adkerson (Shaev v. Adkerson) is published on Counsel Stack Legal Research, covering Court of Chancery of Delaware primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Shaev v. Adkerson, (Del. Ct. App. 2015).

Opinion

EFiled: Oct 05 2015 04:42PM EDT Transaction ID 57964883 Case No. 10436-VCN IN THE COURT OF CHANCERY OF THE STATE OF DELAWARE

VICTORIA A. SHAEV, On Behalf of Herself: and All Other Similarly Situated Stockholders, : and Derivatively for the Benefit of and on : Behalf of Nominal Defendant FREEPORT- : MCMORAN INC., : : Plaintiff, : : v. : C.A. No. 10436-VCN : RICHARD C. ADKERSON, ROBERT J. : ALLISON, JR., ROBERT A. DAY, : GERALD J. FORD, H. DEVON GRAHAM, JR., : LYDIA H. KENNARD, JAMES C. FLORES, : ALAN R. BUCKWALTER, III, THOMAS A. : FRY, III, CHARLES C. KRULAK, BOBBY LEE : LACKEY, JON C. MADONNA, DUSTAN E. : MCCOY, JAMES R. MOFFETT, STEPHEN H. : SIEGELE, FRANCES FRAGOS TOWNSEND : and FREEPORT-MCMORAN INC., : : Defendants. :

MEMORANDUM OPINION

Date Submitted: June 18, 2015 Date Decided: October 5, 2015 Peter B. Andrews, Esquire and Craig J. Springer, Esquire of Andrews & Springer, LLC, Wilmington, Delaware; Alexander Arnold Gershon, Esquire and Michael A. Toomey, Esquire of Barrack, Rodos & Bacine, New York, New York; and Daniel E. Bacine, Esquire of Barrack, Rodos & Bacine, Philadelphia, Pennsylvania, Attorneys for Plaintiff.

William M. Lafferty, Esquire, Megan W. Cascio, Esquire, Kevin M. Coen, Esquire, and Lauren K. Neal, Esquire of Morris, Nichols, Arsht & Tunnell LLP, Wilmington, Delaware, and William Savitt, Esquire, Andrew J.H. Cheung, Esquire, Adam S. Hobson, Esquire, and Nicholas Walter, Esquire of Wachtell, Lipton, Rosen & Katz, New York, New York, Attorneys for Defendants.

NOBLE, Vice Chancellor I. INTRODUCTION

Plaintiff Victoria Shaev (“Shaev” or “Plaintiff”) brought this direct and

derivative action on behalf of herself and other similarly situated stockholders, and

derivatively on behalf of Nominal Defendant Freeport-McMoran, Inc. (“Freeport”

or the “Company”). Plaintiff requests that the Court declare void, rescind, and

terminate the Freeport board’s grant of one million restricted stock units (“RSUs”)

to Defendant Richard Adkerson (“Adkerson”), declare void the Freeport

stockholders’ 2014 director election and approval of the say-on-pay proposal,

require an equitable accounting, with disgorgement, to compensate Freeport for the

losses sustained by the alleged conduct, award monetary relief to compensate

Freeport for the grant of the RSUs to Adkerson, and award Plaintiff her legal

expenses. The Court now addresses the Freeport board of directors’ and Freeport’s

(together the “Defendants”) motion to dismiss under Court of Chancery

Rules 12(b)(6) and 23.1.

II. BACKGROUND1

Freeport is a diversified natural resources company incorporated in

Delaware.2 The Company’s stock trades on the New York Stock Exchange, and,

1 The factual background is based on allegations in the Verified Stockholder’s Class and Derivative Action Complaint (“Complaint” or “Compl.”) and on exhibits integral to or incorporated into the Complaint. In re Gardner Denver, Inc., 2014 WL 715705, at *2 (Del. Ch. Feb. 21, 2014). 2 Compl. ¶ 6. 1 as of February 14, 2014, more than one billion shares of common stock were

issued and outstanding.3 Shaev has continuously owned Freeport stock since

March 2007.4

In May and June 2013, the Company, then a mining company named

Freeport-McMoran Copper & Gold Inc. (also referred to as the “Company” or

“Freeport”) acquired Plains Exploration & Production Co. (“PXP”) and McMoran

Exploration Co. (“MMR”).5 Freeport stockholders challenged the acquisitions,

alleging that the Company’s board of directors had breached its fiduciary duties

(the “Related Action”),6 and eventually settled.7 The settlement purported to

release all claims but, when Plaintiff objected to the settlement to the extent that it

released her claims, Defendants agreed to “carve out that claim from the release.”8

Therefore, this action is the sole remaining challenge arising from the facts upon

which the Related Action was based.

3 Id. 4 Id. ¶ 5. 5 Id. ¶¶ 6, 24. 6 Verified Derivative Action Complaint ¶ 1, In re Freeport-McMoran Copper & Gold Inc. Deriv. Litig., C.A. No. 8145-VCN (Dec. 21, 2012). 7 Tr. of Settlement Hr’g at 4, In re Freeport-McMoran Copper & Gold Inc. Deriv. Litig., C.A. No. 8145-VCN (Apr. 20, 2015). 8 Id. at 17; Defs.’ Reply Br. in Supp. of their Mot. to Dismiss the Verified S’holder’s Class and Deriv. Action Compl. (“Defs.’ Reply Br.”) 25 n.8 (“[T]o avoid needless litigation of these same claims in the context of a settlement objection, defendants in this action will not contend that the settlement of [the Related Action] releases Shaev’s claims in this case.”). 2 Adkerson was, since December 2003 and until the acquisitions, the sole

CEO of Freeport, and has been Freeport’s president since January 2008.9

Defendant James Flores (“Flores”) was the chairman, CEO, and president of PXP

when it was acquired by Freeport.10 As part of the acquisition of PXP, the Freeport

board limited Adkerson’s authority as CEO to the mining business,11 installed

Flores as CEO of the oil and gas business,12 and adopted certain bylaw

amendments subjecting both CEOs’ authority to that of Moffett, the board

chairman.13 At a December 3, 2012, meeting conducted by the special committee

charged with evaluating the MMR and PXP acquisitions, Adkerson agreed to the

limitations on the scope of his authority.14 Adkerson also voted at an April 17,

2013, special board meeting in favor of adopting the amended bylaws.15 While the

amendments for the first time subjected Adkerson’s authority to that of the

9 Compl. ¶ 8. 10 Id. ¶ 9. 11 Id. ¶ 25. 12 Id. Additionally, Adkerson and Flores would become vice chairmen of Freeport, and Defendant James Moffett (“Moffett”) would remain as chairman of Freeport’s board. Id. 13 Id. ¶ 11. While the Complaint mentions only that the CEO of the oil and gas business (Flores) must report to the chairman (Moffett), the bylaw amendments quoted in the Complaint indicate that, contrary to the CEO’s independence prior to the amendments, the CEO (Adkerson) now must also report to the chairman. Id. (quoting the previous and amended bylaws enumerating the CEO’s authority, including the phrase “and [shall have] such other duties and responsibilities as may be determined by the Chairman of the Board,” which appeared only in the amended version). 14 Id. ¶ 25. 15 Id. ¶¶ 21-22. The vote was unanimous. Id. 3 chairman, Moffett assured Adkerson, prior to the vote, that “the changes to the by-

laws would have no impact on Mr. Adkerson’s rights under his employment

agreement.”16

After consummation of the acquisitions, the Freeport compensation

committee became concerned that these governance alterations might have

triggered a clause in Adkerson’s 2008 employment agreement (the “Employment

Agreement”) allowing him to terminate his employment for “good reason,” and,

according to the Freeport board, receive a $46 million severance package (the

“Good Reason” provision).17 The Employment Agreement defined “Good

Reason” as including “any . . . action that results in a diminution in [Adkerson’s]

position, authority, duties or responsibilities,”18 and provided that “[a]ny

16 Transmittal Aff. of Lauren K. Neal in Supp. Of Defs.’ Br. in Supp. of their Mot. to Dismiss the Verified S’holder’s Class and Deriv. Action Compl. (“Neal Aff.”) Ex. 5 at 2 (minutes from the April 17, 2013 board meeting). Plaintiff, at page 12 of her Answering Brief, acknowledges that Adkerson made this statement. 17 Compl. ¶ 17.

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