Wisconsin Code § 100.23

Contract to market agricultural products; interference prohibited
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(1) DEFINITION. In this section:
(a) “Agricultural product” includes, but is not limited to, any
agricultural commodity, as defined in s. 94.67 (2).
(b) “Association” means an association of persons engaged in
the production of agricultural products under 7 USC 291.
(c) “Contract” means an agreement between a producer and
an association, which agreement provides that all or a specified
part of the person’s production of one or more agricultural products by the person will be exclusively sold or marketed through or
by the association or any facility furnished by it.
(d) “Producer” means a person who produces agricultural
products.
(2) TERMS. No contract may have a term in excess of 5 years.
A contract may be made self-renewing for periods not exceeding
5 years each, except that either party may terminate at the end of
any term by giving written notice to the other party at least 30
days before the end of the term.
(3) DAMAGES. A contract may require liquidated damages to
be paid by the producer in the event of a breach of contract with
the association. Liquidated damages may be either a percentage
of the value of the products which are the subject of the breach, or
a specified sum, but may not be more than 30 percent of the value
of those products. If a specified sum is provided as liquidated
damages, but such sum exceeds 30 percent of the value of the
products which are the subject of the breach, the contract shall be
construed to provide liquidated damages equal to 30 percent of
the value of the products which are the subject of the breach.
(4) BREACH OF CONTRACT. (a) No person may breach, repudiate, interfere with, induce or attempt to induce or aid the breach
of a contract.
(b) If any person who has notice of the contract violates or
threatens to violate par. (a), the association which is a party to the
contract is entitled to all of the following remedies against that
person, except as provided under sub. (5):
1. An injunction, including a temporary restraining order, to
prevent or terminate any conduct which is prohibited under par.
(a).
2. A decree of specific performance.
3. Damages.
(c) If an association files a verified complaint showing a violation or threatened violation of par. (a), and a sufficient bond,
the association is entitled to a temporary restraining order against
any person violating par. (a).
(d) The county in which an association has its registered agent
or its principal office in this state is a proper venue for an action
under this subsection by or against that association.
(5) QUALIFICATIONS. No association is entitled to the remedies under sub. (4) (b) unless the association:
(a) Is governed by the following procedures:
1. No person other than an association member may vote at
any member meeting of the association.
2. At any member meeting of the association, each association member entitled to vote shall have one vote, except that the
articles or bylaws may permit either or both:
a. A member association to cast additional votes not exceeding a number equal to its membership.
b. An association whose member-patrons include other associations to base voting in whole or in part on a patronage basis.
3. Voting by proxy shall not be allowed in any association.
4. The bylaws of the association may provide for representation of members at any member meeting by delegates apportioned territorially or by other districts or units.
5. An annual member meeting shall be held by the association at the time and place fixed in or pursuant to the bylaws of the
association. In the absence of a bylaw provision, such meeting
shall be held within 6 months after the close of the association’s
fiscal year at the call of the president or board.
6. Written notice, stating the place, day and hour of the association’s annual member meeting shall be given not less than 7
days nor more than 60 days before the annual meeting at the direction of the person calling the meeting. Notice need be given
only to members entitled to vote. Notice shall be given to members having limited voting rights if they have or may have the
right to vote at the meeting.
7. At any annual member meeting at which members are to
be represented by delegates, notice to such members may be
given by notifying such delegates and their alternates. Notice
may consist of a notice to all members or may be in the form of an
announcement at the meeting at which such delegates or alternates were elected.
8. The association shall keep correct and complete books
and records of account, and shall also keep minutes of the proceedings of meetings of its members, board and executive committee. The association shall keep at its principal office records
of the names and addresses of all members and stockholders with
the amount of stock held by each, and of ownership of equity interests. At any reasonable time, any association member or stockholder, or his or her agent or attorney, upon written notice stating
the purposes thereof, delivered or sent to the association at least
one week in advance, may examine for a proper purpose any
books or records pertinent to the purpose specified in the notice.
The board may deny a request to examine books and records if
the board determines that the purpose is not directly related to the
business or affairs of the association and is contrary to the best interests of the association.
(b) Has a current annual report on file with the department of
financial institutions which satisfies all of the following
requirements:
1. Is signed by a principal officer or the general manager of
the association.
2. Is on a form furnished to the association by the department of financial institutions using information given as of the
date of the execution of the report.
3. Sets forth:
a. The association’s name and complete address.

b. The names and addresses of the association’s directors and
principal officers.
c. A statement, by class and par value, of the amount of stock
which the association has authority to issue, and the amount of
stock issued.
d. A statement as to the general type of business in which the
association was engaged during the 12 months preceding the date
of the report.
4. Is filed with the department of financial institutions in
each year following the year in which the association first filed
the annual report required under this paragraph, during the calendar year quarter in which the anniversary of the filing occurs.
(6) DEPARTMENT OF FINANCIAL INSTITUTIONS DUTIES. The
department of financial institutions shall:
(a) Provide forms for the report required under sub. (5) (b) to
an association upon the request of that association.
(b) Send by 1st class mail a form for the report required under
sub. (5) (b) to each association which filed that report in the previous year, no later than 60 days prior to the end of the calendar
year quarter in which that association first filed its report.
(c) Upon receipt of a report required under sub. (5) (b), determine if the report satisfies the requirements of sub. (5) (b). If the
department of financial institutions determines that the report
does not satisfy all of those requirements, the department of financial institutions shall return the report to the association
which filed it, along with a notice of any correction required. If
the association files a corrected report within 30 days after the association receives that notice, the report shall be deemed timely
filed for purposes of sub. (5) (b) 4.

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