SOUTH FINANCIAL GROUP INC
S-8, 2001-01-04
STATE COMMERCIAL BANKS
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    As filed with the Securities and Exchange Commission on January 03, 2001.

                                             Registration File No. 333-_________

                       SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 20549
                                ----------------
                                    FORM S-8
                             REGISTRATION STATEMENT
                                      UNDER
                           THE SECURITIES ACT OF 1933

                         THE SOUTH FINANCIAL GROUP, INC.
             (Exact name of registrant as specified in its charter)

         South Carolina                                          57-0824914
(State or other jurisdiction of                               (I.R.S. Employer
incorporation or organization)                               Identification No.)

                              102 South Main Street
                        Greenville, South Carolina 29601
                   (864) 255-7900 (telephone) (864) 235-6403
                  (facsimile) (Address, including zip code, and
                     telephone number, including area code,
                  of registrant's principal executive offices)

      Anchor Financial Corporation and The Anchor Bank Non-Qualified Stock
                              Option Plan of 1988

                Anchor Financial Corporation, The Anchor Bank and
      The Anchor Bank of North Carolina Incentive Stock Option Plan of 1994

                Anchor Financial Corporation, The Anchor Bank and
     The Anchor Bank of North Carolina Incentive Stock Option Plan of 1996
      ---------------------------------------------------------------------
                              (Full title of plans)

                William S. Hummers III, Executive Vice President
                         The South Financial Group, Inc.
                              102 South Main Street
                        Greenville, South Carolina 29601
                                 (864) 255-7913
              -----------------------------------------------------
           (Name, address, and telephone number, including area code,
                             of agent for service)

                                   Copies to:
                         William P. Crawford, Jr., Esq.
                     Wyche, Burgess, Freeman & Parham, P.A.
                               Post Office Box 728
                      Greenville, South Carolina 29602-0728
              (864) 242-8200 (telephone) (864) 235-8900 (facsimile)

                         CALCULATION OF REGISTRATION FEE
<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                  Proposed Maximum            Proposed Maximum
Title of Each Class               Amount to                   Offering Price            Aggregate                  Amount of
of Securities to be Registered    be Registered               Per Security              Offering Price (1)         Registration Fee
------------------------------------------------------------------------------------------------------------------------------------
<S>                               <C>                         <C>                       <C>                        <C>
Common Stock........              820,276 shares              $13.1875(1)               $10,817,389.75             $2,704.35
------------------------------------------------------------------------------------------------------------------------------------
<FN>
(1) Pursuant to Rule 457(h),  the average of the high and low prices as reported
  by the Nasdaq  National  Market of $13.1875  on December  29, 2000 is used for
  purposes of calculating the registration fee.
</FN>
</TABLE>

                   The Exhibit Index appears on Page 5 hereof.


<PAGE>
PART I:  INFORMATION REQUIRED IN THE SECTION 10(A) PROSPECTUS

ITEM 1.  PLAN INFORMATION
         ----------------

         Not  included  in this  Registration  Statement  but  provided or to be
provided to the  participants  in the following plans (the "Plans") of The South
Financial Group,  Inc., the successor by merger to Anchor Financial  Corporation
(the  "Company")  pursuant  to Rule  428(b) of the  Securities  Act of 1933,  as
amended (the "Securities Act"):

o    Anchor Financial Corporation and The Anchor Bank Non-Qualified Stock Option
     Plan of 1988;
o    Anchor Financial Corporation,  The Anchor Bank and The Anchor Bank of North
     Carolina Incentive Stock Option Plan of 1994; and
o    Anchor Financial Corporation,  The Anchor Bank and The Anchor Bank of North
     Carolina Incentive Stock Option Plan of 1996.

ITEM 2.  REGISTRANT INFORMATION AND EMPLOYEE PLAN ANNUAL INFORMATION
         -----------------------------------------------------------

         Not  included  in this  Registration  Statement  but  provided or to be
provided to the Plans'  participants  pursuant to Rule 428(b) of the  Securities
Act.


PART II:  INFORMATION REQUIRED IN THE REGISTRATION STATEMENT

ITEM 3.  INCORPORATION OF DOCUMENTS BY REFERENCE
         ---------------------------------------

         The following  documents or portions thereof are hereby incorporated by
reference:

     The Company's Annual Report on Form 10-K for the fiscal year ended December
     31, 1999, Commission File No. 0-15083.

     The Company's  Quarterly Reports on Form 10-Q for the fiscal quarters ended
     March 31, 2000, June 30, 2000 and September 30, 2000.

     The Company's  Current Reports on Form 8-K filed on January 10, 2000, April
     26, 2000, June 21, 2000 and August 23, 2000.

     All other reports  filed by the Company  pursuant to Section 13(a) or 15(d)
     of the  Securities  Exchange Act of 1934, as amended,  since the end of the
     Company's 1999 fiscal year.

     The description of the Company's common stock contained in the registrant's
     Form 8-A filed with the  Securities  and  Exchange  Commission  on or about
     October 22, 1986, Commission File No. 000-15083.

     All documents subsequently filed by the Company pursuant to Sections 13(a),
13(c), 14 and 15(d) of the Securities Exchange Act of 1934, as amended, prior to
the filing of a  post-effective  amendment  which  indicates that all securities

                                       2
<PAGE>
offered  have been  sold or which  deregisters  all  securities  then  remaining
unsold,  shall be deemed to be  incorporated  by reference in this  Registration
Statement and to be part thereof from the date of filing of such documents.

ITEM 4.  DESCRIPTION OF SECURITIES
         -------------------------

         Not applicable.

ITEM 5.  INTERESTS OF NAMED EXPERTS AND COUNSEL
         --------------------------------------

         The law firm of Wyche,  Burgess,  Freeman & Parham,  P.A.,  located  in
Greenville,  South  Carolina is counsel to the Company in  connection  with this
Registration  Statement  and has  passed on the  legality  of the  common  stock
covered hereby. As of November 14, 2000, attorneys of Wyche, Burgess,  Freeman &
Parham,  P.A.,  beneficially owned in the aggregate  approximately 29,000 of the
outstanding shares of common stock of the registrant.


ITEM 6.  INDEMNIFICATION OF DIRECTORS AND OFFICERS
         -----------------------------------------

         Reference  is made to Chapter 8, Article 5 of Title 33 of the 1976 Code
of Laws of South Carolina,  as amended,  which provides for  indemnification  of
officers and directors of South Carolina  corporations  in certain  instances in
connection with legal proceedings involving any such persons because of being or
having been an officer or director.  The Company's  Bylaws  provide (i) that the
Corporation shall indemnify any individual made a party to a proceeding  because
he is or was a Director of the  Corporation  against  liability  incurred in the
proceeding to the fullest extent permitted by law, and (ii) that the Corporation
shall pay for or reimburse the reasonable expenses incurred by a Director who is
a party to a proceeding in advance of final disposition of the proceeding to the
fullest  extent  permitted by law. The Company has entered into  indemnification
agreements with each of its Directors, which generally make the above-referenced
Bylaws provisions the basis of a contract between the Company and each director.

         Chapter  8,  Article  5 of Title  33 of the 1976  Code of Laws of South
Carolina,  as amended,  also  permits a  corporation  to purchase  and  maintain
insurance  on behalf  of a person  who is or was an  officer  or  director.  The
Company maintains directors' and officers' liability insurance.

         Reference  is made to Chapter 2 of Title 33 of the 1976 Code of Laws of
South  Carolina,  as  amended,  respecting  the  limitation  in a  corporation's
articles of incorporation of the personal  liability of a director for breach of
the director's  fiduciary duty.  Reference is made to the Company's  Articles of
Amendment  filed with the South  Carolina  Secretary  of State on April 18, 1989
which state:  "A director of the corporation  shall not be personally  liable to
the corporation or any of its  shareholders  for monetary  damages for breach of
fiduciary duty as a director,  provided that this provision  shall not be deemed
to  eliminate  or limit the  liability  of a director  (i) for any breach of the
director's duty of loyalty to the corporation or its stockholders, (ii) for acts
or omissions not in good faith or which involved gross  negligence,  intentional
misconduct,  or a knowing violation of law, (iii) imposed under Section 33-8-330
of the South Carolina Business Corporation Act of 1988 (improper distribution to
shareholder),  or (iv) for any  transaction  from which the director  derived an
improper personal benefit."


                                       3
<PAGE>
ITEM 7.  EXEMPTION FROM REGISTRATION CLAIMED
         -----------------------------------

         Not applicable.

ITEM 8.  EXHIBITS
         --------
<TABLE>
<CAPTION>

Exhibit
-------
<S>      <C>

4.1      Articles of Incorporation: Incorporated by reference to Exhibit 3.1 of the Company's Registration Statement on Form S-4,
         Commission File No. 33-57389.

4.2      Articles of Amendment dated June 1, 1997. Incorporated by reference to Exhibit 3.2 of the Company's Registration Statement
         on Form S-4 filed on July 30, 1997, Commission File No. 333-32459.

4.3      Articles of Amendment dated April 19, 2000.  Incorporated by reference to Exhibit 99.1 of the Company's Current Report on
         Form 8-K filed on April 25, 2000 (Commission File No. 0-15083).

4.4      Amended and Restated Bylaws of the Company,  as amended and restated as of December 18, 1996:  Incorporated  by reference
         to Exhibit 3.1 of the Company's   Current  Report  on  Form  8-K  dated  December  18,  1996, Commission File No. 0-15083.

4.5      Amended and Restated Shareholder Rights Agreement: Incorporated by reference to Exhibit 4.1 of the Company's Current Report
         on Form 8-K dated December 18, 1996, Commission File No. 0-15083.

5.1      Opinion of Wyche, Burgess, Freeman & Parham, P.A. regarding legality of shares of The South Financial Group, Inc.

23.1     Consent of KPMG LLP.

23.2     Consent of Wyche, Burgess, Freeman & Parham, P.A.: Contained in Exhibit 5.1.

24.1     The Power of Attorney: Contained on the signature page of this Registration Statement.

99.1     Anchor Financial Corporation and The Anchor Bank Non-Qualified Stock Option Plan of 1988.  Incorporated by reference to
         Exhibit 10.12 of Anchor Financial Corporation's Registration Statement on Form S-4 filed on June 17, 1998, Commission File
         No. 333-57053.

99.2     Anchor Financial Corporation, The Anchor Bank and The Anchor Bank of North Carolina Incentive Stock Option Plan of 1994.
         Incorporated by reference to Exhibit 10.11 of Anchor Financial Corporation's Registration Statement on Form S-4 filed on
         June 17, 1998, Commission File No. 333-57053.

99.3     Anchor Financial Corporation, The Anchor Bank and The Anchor Bank of North Carolina Incentive Stock Option Plan of 1996.
         Incorporated by reference to Exhibit 10.10 of Anchor Financial Corporation's Registration Statement on Form S-4 filed on
         June 17, 1998, Commission File No. 333-57053.

</TABLE>

                                       4
<PAGE>
ITEM 9.  UNDERTAKINGS

          (a) The undersigned registrant hereby undertakes:

          (1) To file,  during  any  period  in which  offers or sales are being
     made, a post-effective amendment to this registration statement;

               (i) To include any prospectus required by Section 10(a)(3) of the
          Securities Act of 1933;

               (ii) To reflect  in the  prospectus  any facts or events  arising
          after the effective  date of the  registration  statement (or the most
          recent post-effective amendment thereof) which, individually or in the
          aggregate, represent a fundamental change in the information set forth
          in the  registration  statement.  Notwithstanding  the foregoing,  any
          increase  or decrease  in volume of  securities  offered (if the total
          dollar  value of  securities  offered  would not exceed that which was
          registered)  and  any  deviation  from  the  low  or  high  end of the
          estimated  maximum  offering  range  may be  reflected  in the form of
          prospectus  filed with the  Commission  pursuant to Rule 424(b) if, in
          the aggregate,  the changes in volume and price represent no more than
          a 20 percent change in the maximum aggregate  offering price set forth
          in the  "Calculation  of  Registration  Fee"  table  in the  effective
          registration statement; and

               (iii) To include any  material  information  with  respect to the
          plan of  distribution  not  previously  disclosed in the  registration
          statement  or  any  material   change  to  such   information  in  the
          registration statement;

     provided, however, that paragraphs (a)(1)(i) and (a)(1)(ii) do not apply if
     the  registration  statement is on Form S-3,  Form S-8 or Form F-3, and the
     information required to be included in a post-effective  amendment by those
     paragraphs is contained in periodic  reports filed with or furnished to the
     Commission  by the  registrant  pursuant  to  Section  13 or  15(d)  of the
     Securities  Exchange Act of 1934 that are  incorporated by reference in the
     registration statement.

          (2) That,  for the  purpose of  determining  any  liability  under the
     Securities Act of 1933, each such post-effective  amendment shall be deemed
     to be a new  registration  statement  relating  to the  securities  offered
     therein,  and the offering of such  securities at that time shall be deemed
     to be the initial bona fide offering thereof.

          (3) To remove from registration by means of a post-effective amendment
     any  of  the  securities  being  registered  which  remain  unsold  at  the
     termination of the offering.

         (b) The undersigned  registrant hereby undertakes that, for purposes of
determining  any liability  under the Securities Act of 1933, each filing of the
registrant's  annual report pursuant to Section 13(a) or 15(d) of the Securities
Exchange Act of 1934 (and, where applicable,  each filing of an employee benefit
plan's annual report pursuant to Section 15(d) of the Securities Exchange Act of
1934) that is incorporated by reference in the  registration  statement shall be
deemed to be a new  registration  statement  relating to the securities  offered
therein,  and the offering of such securities at that time shall be deemed to be
the initial bona fide offering thereof.

                                       5
<PAGE>
         (c)  Insofar  as  indemnification  for  liabilities  arising  under the
Securities Act of 1933 may be permitted to directors,  officers and  controlling
persons of the registrant  pursuant to the foregoing  provisions,  or otherwise,
the  registrant  has been  advised  that in the  opinion of the  Securities  and
Exchange  Commission such  indemnification is against public policy as expressed
in the Act and is,  therefore,  unenforceable.  In the  event  that a claim  for
indemnification  against  such  liabilities  (other  than  the  payment  by  the
registrant of expenses  incurred or paid by a director,  officer or  controlling
person of the  registrant  in the  successful  defense  of any  action,  suit or
proceeding)  is  asserted by such  director,  officer or  controlling  person in
connection with the securities being registered,  the registrant will, unless in
the opinion of its counsel the matter has been settled by controlling precedent,
submit  to a  court  of  appropriate  jurisdiction  the  question  whether  such
indemnification  by it is against public policy as expressed in the Act and will
be governed by the final adjudication of such issue.









                                       6

<PAGE>

                                   SIGNATURES

         Pursuant to the  requirements of the Securities Act, the registrant has
duly  caused  this  Registration  Statement  to be signed  on its  behalf by the
undersigned,  thereunto duly  authorized,  in the City of  Greenville,  State of
South Carolina, on December 29, 2000.

                                THE SOUTH FINANCIAL GROUP, INC.

                                /s/      William S. Hummers III
                                     --------------------------------------
                                William S. Hummers III, Executive Vice President

                                POWER OF ATTORNEY

         KNOW ALL PERSONS BY THESE  PRESENTS,  that each person whose  signature
appears  below  constitutes  and appoints  Mack I.  Whittle,  Jr. and William S.
Hummers III, and each of them, as true and lawful  attorneys-in-fact and agents,
with full power of substitution and  resubstitution for him or her and in his or
her  name,  place  and  stead,  in any and all  capacities,  to sign any and all
amendments (including post-effective amendments) to this registration statement,
and to file  the  same,  with  all  annexes  thereto,  and  other  documents  in
connection therewith, with the Securities and Exchange Commission, granting unto
said attorneys-in-fact and agents, and each of them, full power and authority to
do and perform each and every act and thing  requisite  and necessary to be done
in and about the  premises,  as fully to all intents  and  purposes as he or she
might or could do in person,  hereby  ratifying  and  confirming  all which said
attorneys-in-fact  and agents or any of them, or their or his or her  substitute
or substitutes, may lawfully do, or cause to be done by virtue hereof.

         Pursuant  to the  requirements  of the  Securities  Act of  1933,  this
registration  statement  has  been  signed  by  the  following  persons  in  the
capacities and as of the dates indicated:
<TABLE>
<CAPTION>
Signature                                    Title                                                     Date
<S>                                         <C>                                               <C>

/s/ William R. Timmons, Jr                  Chairman of the Board                             December 29, 2000
-------------------------------
William R. Timmons, Jr.

/s/ Mack I. Whittle, Jr.                    President, Chief Executive Officer                December 29, 2000
-------------------------------
Mack I. Whittle, Jr.                        and Director (Principal Executive Officer)

/s/ William S. Hummers III                  Executive Vice President, Director                December 29, 2000
-------------------------------
William S. Hummers III                      (Principal Accounting and Financial Officer)


_______________________________             Director
M. Dexter Hagy

/s/ Eugene E. Stone IV                      Director                                          December 29, 2000
-------------------------------
Eugene E. Stone IV

/s/ H. Earle Russell, Jr.                   Director                                          December 29, 2000
-------------------------------
H. Earle Russell, Jr.

/s/ Judd B. Farr                            Director                                          December 29, 2000
-------------------------------
Judd B. Farr

                                       7
<PAGE>

/s/ Charles B. Schooler                     Director                                          December 29, 2000
-------------------------------
Charles B. Schooler

/s/ Elizabeth P. Stall                      Director                                          December 29, 2000
-------------------------------
Elizabeth P. Stall

/s/ David C. Wakefield III                  Director                                          December 29, 2000
-------------------------------
David C. Wakefield III

/s/ Vernon E. Merchant, Jr.                 Director                                          December 29, 2000
-------------------------------
Vernon E. Merchant, Jr.

/s/ C. Claymon Grimes, Jr.                  Director                                          December 29, 2000
-------------------------------
C. Claymon Grimes, Jr.

/s/ Samuel H. Vickers                       Director                                          December 29, 2000
-------------------------------
Samuel H. Vickers

/s/ Mason R. Chrisman                       Director                                          December 29, 2000
-------------------------------
Mason R. Chrisman

/s/ Stephen L. Chryst                       Director                                          December 29, 2000
-------------------------------
Stephen L. Chryst

/s/ W. Gairy Nichols III                    Director                                          December 29, 2000
-------------------------------
W. Gairy Nichols III

/s/ Thomas J. Rogers                        Director                                          December 29, 2000
-------------------------------
Thomas J. Rogers

/s/ Albert A. Springs III                   Director                                          December 29, 2000
-------------------------------
Albert A. Springs III
</TABLE>


                                       8
<PAGE>


                       INDEX TO EXHIBITS CONTAINED HEREIN

<TABLE>
<CAPTION>

Exhibit
-------
<S>      <C>

5.1      Opinion of Wyche, Burgess, Freeman & Parham, P.A. regarding legality of shares of The South Financial Group, Inc.

23.1     Consent of KPMG LLP.

23.2     Consent of Wyche, Burgess, Freeman & Parham, P.A.: Contained in Exhibit 5.1.

24.1     The Power of Attorney: Contained on the signature page of this Registration Statement.

</TABLE>

                                       9


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