81_FR_88569 81 FR 88334 - Medicare and State Health Care Programs: Fraud and Abuse; Revisions to the Office of Inspector General's Civil Monetary Penalty Rules

81 FR 88334 - Medicare and State Health Care Programs: Fraud and Abuse; Revisions to the Office of Inspector General's Civil Monetary Penalty Rules

DEPARTMENT OF HEALTH AND HUMAN SERVICES
Office of Inspector General

Federal Register Volume 81, Issue 235 (December 7, 2016)

Page Range88334-88365
FR Document2016-28293

This final rule amends the civil monetary penalty (CMP or penalty) rules of the Office of Inspector General to incorporate new CMP authorities, clarify existing authorities, and reorganize regulations on civil money penalties, assessments, and exclusions to improve readability and clarity.

Federal Register, Volume 81 Issue 235 (Wednesday, December 7, 2016)
[Federal Register Volume 81, Number 235 (Wednesday, December 7, 2016)]
[Rules and Regulations]
[Pages 88334-88365]
From the Federal Register Online  [www.thefederalregister.org]
[FR Doc No: 2016-28293]



[[Page 88333]]

Vol. 81

Wednesday,

No. 235

December 7, 2016

Part II





Department of Health and Human Services





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Office of Inspector General





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42 CFR Parts 1003 and 1005





 Medicare and State Health Care Programs: Fraud and Abuse; Revisions to 
the Office of Inspector General's Civil Monetary Penalty Rules; Final 
Rule

Federal Register / Vol. 81 , No. 235 / Wednesday, December 7, 2016 / 
Rules and Regulations

[[Page 88334]]


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DEPARTMENT OF HEALTH AND HUMAN SERVICES

Office of Inspector General

42 CFR Parts 1003 and 1005

RIN 0936-AA04


Medicare and State Health Care Programs: Fraud and Abuse; 
Revisions to the Office of Inspector General's Civil Monetary Penalty 
Rules

AGENCY: Office of Inspector General (OIG), HHS.

ACTION: Final rule.

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SUMMARY: This final rule amends the civil monetary penalty (CMP or 
penalty) rules of the Office of Inspector General to incorporate new 
CMP authorities, clarify existing authorities, and reorganize 
regulations on civil money penalties, assessments, and exclusions to 
improve readability and clarity.

DATES: These regulations are effective on January 6, 2017.

FOR FURTHER INFORMATION CONTACT: Katie Arnholt or Geoff Hymans at (202) 
619-0335, Office of Counsel to the Inspector General.

SUPPLEMENTARY INFORMATION: 

I. Executive Summary

A. Purpose of the Regulatory Action

    The Affordable Care Act of 2010 (Patient Protection and Affordable 
Care Act, Pub. L. 111-148, 124 Stat. 119 (2010), as amended by the 
Health Care and Education Reconciliation Act of 2010, Pub. L. 111-152, 
124 Stat. 1029 (2010), hereafter the ACA) significantly expanded OIG's 
authority to protect Federal health care programs from fraud and abuse. 
The OIG proposed to update its regulations to codify the changes made 
by the ACA in the regulations. At the same time, OIG proposed updates 
pursuant to the Medicare Prescription Drug, Improvement, and 
Modernization Act of 2003 and other statutory authorities, as well as 
technical changes to clarify and update the regulations.

B. Legal Authority

    The legal authority, laid out later in the preamble, for this 
regulatory action is found in the Social Security Act (the Act), as 
amended by the ACA. The legal authority for the changes is listed by 
the parts of Title 42 of the Code of Federal Regulations that we 
proposed to modify:
    1003: 42 U.S.C. 1320a-7(c), 1320a-7a, 1320b-10, 1395w-27(g), 1395w-
112(b)(3)(E), 1395w-141(i)(3), 1395y(b)(3)(B), 1395dd(d)(1), 1395mm, 
1395nn(g), 1395ss(d), 1396b(m), 1396r-8(b)(3)(B), 1396r-8(b)(3)(C), 
1396t(i)(3), 11131(c), 11137(b)(2), and 262a.
    1005: 42 U.S.C. 405(a), 405(b), 1302, 1320a-7, 1320a-7a, and 1320c-
5.

C. Summary of Major Provisions

    We proposed changes to the Civil Monetary Penalties (CMP) 
regulations at 42 CFR part 1003 to implement or codify authorities 
under the ACA and other statutes. The ACA provides for CMPs, 
assessments, and exclusion for:
     Failure to grant OIG timely access to records;
     ordering or prescribing while excluded;
     making false statements, omissions, or misrepresentations 
in an enrollment application;
     failure to report and return an overpayment; and
     making or using a false record or statement that is 
material to a false or fraudulent claim.

These statutory changes are reflected in the proposed regulations.
    We also proposed a reorganization of 42 CFR part 1003 to make the 
regulations more accessible to the public and to add clarity to the 
regulatory scheme. We proposed an alternate methodology for calculating 
penalties and assessments for employing excluded individuals in 
positions in which the individuals do not directly bill Federal health 
care programs for furnishing items or services. We also clarified the 
liability guidelines under OIG authorities, including the Civil 
Monetary Penalties Law (CMPL); the Emergency Medical Treatment and 
Labor Act (EMTALA); section 1140 of the Act for conduct involving 
electronic mail, Internet, and telemarketing solicitations; and section 
1927 of the Act for late or incomplete reporting of drug-pricing 
information.

D. Costs and Benefits

    There are no significant costs associated with the regulatory 
revisions that would impose any mandates on State, local, or tribal 
governments or the private sector. The OIG anticipates that CMP 
collections may increase in the future in light of the new CMP 
authorities and other changes proposed in this rule. However, it is 
difficult to accurately predict the extent of any increase because of a 
variety of factors, such as budget and staff resources, the number and 
quality of CMP referrals or other potential cases, and the time needed 
to investigate and litigate a case. In calendar years 2004-2015, OIG 
collected annual amounts ranging between $10.2 million and $107.3 
million in CMP resolutions for a total of over $309.2 million.

I. Discussion

A. Summary of Revisions and Response to Comments

    In response to the notice of proposed rulemaking, 79 FR 27,080 (May 
12, 2014), OIG received 27 public comments from various health care 
providers and organizations, professional medical societies and 
associations, and other interested parties. We also received a comment 
that was filed one day late, which we included in our responses. The 
comments included both concerns regarding the general factors and more 
detailed comments on specific CMP provisions.
    Set forth below is a discussion of the proposed changes to the 
regulations at the 42 CFR part 1003, a synopsis of the various comments 
and recommendations received in response to the proposed rule, our 
response to those comments and recommendations, and a summary of the 
specific revisions and clarifications being made to the regulations as 
a result of the public comments.

B. Background

    For over 27 years, OIG has exercised the authority to impose CMPs, 
assessments, and exclusions in furtherance of its mission to protect 
Federal health care programs and their beneficiaries from fraud, waste, 
and abuse. As those programs have changed over the last two decades, 
OIG has received new fraud-fighting CMP authorities, including new 
authorities under the ACA. With the addition of new authorities over 
time, part 1003 has become cumbersome. While adding new authorities, we 
are also reorganizing part 1003 to improve its readability and clarity 
and addressing several substantive issues in our existing authorities.
    In 1981, Congress enacted the CMPL, section 1128A of the Act (42 
U.S.C. 1320a-7a), as one of several administrative remedies to combat 
fraud and abuse in Medicare and Medicaid. The CMPL authorized the 
Secretary to impose penalties and assessments on a person, as defined 
in 42 CFR part 1003, who defrauded Medicare or Medicaid or engaged in 
certain other wrongful conduct. The CMPL also authorized the Secretary 
to exclude persons from Medicare and all State health care programs 
(including Medicaid). Congress later expanded the CMPL and the scope of 
exclusion to apply to all Federal health care programs. The Secretary 
delegated the CMPL's authorities to OIG. 53 FR 12,993 (April 20, 1988). 
Since 1981, Congress has

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created various other CMP authorities covering numerous types of fraud 
and abuse. These new authorities were also delegated by the Secretary 
to OIG and were added to part 1003.
    The ACA is the most recent expansion of the CMP provisions and 
OIG's ability to protect Federal health care programs from fraud and 
abuse. Sections 6402(d)(2)(A)(iii) and 6408(a) of ACA amended the CMPL 
by adding new conduct that subjects a person to penalties, assessments, 
and/or exclusion from participation in Federal health care programs. 
The new covered conduct includes: (1) Failure to grant OIG timely 
access to records, upon reasonable request; (2) ordering or prescribing 
while excluded when the excluded person knows or should know that the 
item or service may be paid for by a Federal health care program; (3) 
making false statements, omissions, or misrepresentations in an 
enrollment or similar bid or application to participate in a Federal 
health care program; (4) failure to report and return an overpayment; 
and (5) making or using a false record or statement that is material to 
a false or fraudulent claim. See the Act, section 1128A(a)(8)-(12). We 
are codifying these new authorities and remedies at 42 CFR 
1003.200(b)(6)-(10), 1003.210(a)(6)-(9), and 1003.210(b)(3).
    Section 6408(b)(2) of the ACA amended section 1857(g)(1) of the Act 
(42 U.S.C. 1395w-27(g)(1)), which relates to Medicare Advantage and 
Part D contracting organizations. See the Act, section 1860D-
12(b)(3)(E) (42 U.S.C. 1395w-112) (incorporating 1857(g) by reference). 
Through this amendment to the Act, the ACA made several changes to 
these authorities. First, section 6408(b)(2) of the ACA clarifies that 
penalties, and, where applicable, assessments, may be imposed against a 
Medicare Advantage or Part D contracting organization when its 
employees or agents, or any provider or supplier who contracts with it, 
engages in the conduct described in the CMP authorities in section 
1857(g) of the Act. This statutory change broadens the general 
liability of principals for the actions of their agents under our 
existing regulations at Sec.  1003.102(d)(5) (proposed Sec.  
1003.120(c)) to include contracting providers and suppliers who may not 
qualify as agents of the contracting organization. The ACA also 
provides for penalties and assessments against a Medicare Advantage or 
Part D contracting organization that: (1) Enrolls an individual without 
his or her prior consent; (2) transfers an enrollee from one plan to 
another without his or her prior consent; (3) transfers an enrollee 
solely for the purpose of earning a commission; (4) fails to comply 
with marketing restrictions described in sections 1851(h) or (j) of the 
Act (42 U.S.C. 1395w-21(h) or (j)) or applicable implementing 
regulations or guidance; or (5) employs or contracts with any person 
who engages in the conduct described in section 1857(g)(1) of the Act.
    We have codified these new authorities in the proposed regulations 
at Sec.  1003.400(c) and their corresponding penalties and assessments 
at Sec.  1003.410. The Centers for Medicare & Medicaid Services (CMS) 
may also impose sanctions under its authorities related to Medicare 
Advantage or Part D contracting organizations. Those authorities are at 
42 CFR parts 422 and 423.

C. Reorganization of Part 1003

    We proposed reorganizing part 1003 to make the regulations more 
accessible to the public and to add clarity to the regulatory scheme. 
Except for general and procedural subparts, the reorganized part 1003 
groups CMP authorities into subparts by subject matter. This revised 
structure also clarifies the differences between the various CMP 
authorities and their respective statutory remedies. For certain CMP 
authorities, penalties, assessments, and exclusion are authorized. For 
other CMP authorities, only penalties, or penalties and assessments, 
are authorized. Each subpart is intended to be self-contained, with all 
the relevant provisions concerning a particular violation included in 
the same subpart.
    We received no comments on the reorganization and finalize it as 
proposed.

D. Technical Changes and Clarifications

    Because we intended each subpart to be self-contained, we proposed 
incorporating the exclusion sections, which were found at Sec. Sec.  
1003.105 and 1003.107, into the subparts in which exclusion is 
available: False Claims; Anti-kickback and Physician Self-Referral; 
EMTALA; and Beneficiary Inducement. This proposed revision more clearly 
reflects the statutory scheme, which permits both monetary and 
exclusion remedies for these violations.
    The proposed changes clarify in each subject matter subpart that we 
may impose a penalty for each individual violation of the applicable 
provision. As we explained in the notice of proposed rulemaking, and 
below, the statutory authorities are clear that each act that 
constitutes a violation is subject to penalties. The proposed revisions 
to the regulatory language better reflect this statutory framework.
    Throughout part 1003, we proposed replacing references to Medicare 
and State health care programs with ``Federal health care programs'' 
when the provision concerns exclusion to more completely reflect the 
full scope of exclusion. The proposed changes also remove all 
references to the penalties and assessments available before 1997 
because any conduct prior to 1997 falls outside the CMPL's statute of 
limitations.
    The proposed changes clarify that a principal's liability for the 
acts of its agents does not limit liability only to the principal. 
Agents are still liable for their misconduct. In our enforcement 
litigation, we have encountered the argument that agents are not liable 
for their misconduct where the principal is liable for the same 
misconduct. We believed the law provides that the agent remains liable 
for his or her conduct and may not use the principal as a liability 
shield. The proposed revision clarifies this point. In addition, we 
proposed to consolidate Sec.  1003.102(d)(1)-(4), which addressed 
situations in which multiple parties may have liability for separate 
CMP provisions. This proposed revision clarifies that each party may be 
held liable for any applicable penalties and that the parties may be 
held jointly and severally liable for the assessment.
    We received no comments on these topics and finalize the regulation 
as proposed.
    Under the Federal Civil Penalties Inflation Adjustment Act 
Improvements Act of 2015 (sec. 701 of Pub. L. 114-74, 129 Stat. 599), 
which amended the Federal Civil Penalties Inflation Adjustment Act of 
1990 (Pub. L. 101-410, 104 Stat. 890), Federal agencies must make 
annual adjustments to their CMPs, including the CMPs in the Social 
Security Act. The Department of Health and Human Services (HHS or the 
Department) will publish all of the Department's adjusted CMP amounts 
at 45 CFR part 102. That section will include CMPs that have been 
delegated to OIG. To ensure transparency, we have added footnotes to 
subparts B through M stating that the penalty amounts are adjusted for 
inflation and citing to 45 CFR part 102.

E. Civil Monetary Penalty Authorities

Subpart A--General Provisions
    Subpart A contains the general provisions that apply to part 1003. 
The proposed changes revised the ``Basis and Purpose'' section to state 
more succinctly part 1003's purpose and to

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include a complete listing of CMPs. We also proposed updates to 
statutory authority citations at proposed Sec.  1003.100(a)-(b).
    We received no comments on these changes and finalize the 
regulations as proposed.
1003.110 Definitions
    The proposed rule included several changes to the ``Definitions'' 
section for clarity and readability. First, we proposed to redesignate 
Sec.  1003.101 as Sec.  1003.110. We proposed to remove terms from this 
part that duplicate definitions in part 1000 or are no longer used in 
this part. We also proposed the following changes and additions to the 
specific definitions.
Claim
    We proposed to revise the definition of ``claim'' by changing the 
word ``to'' to ``under.'' This change more closely aligns the 
regulations to the CMPL's definition of ``claim'' to avoid any 
misinterpretation that a claim is limited to an application for payment 
for an item or service made directly to a Federal health care program 
(e.g., a claim also includes applications for payment to contractors).
Contracting Organization
    We proposed to update the definition of ``contracting 
organization'' to include all entities covered by sections 1857, 1860D-
12, 1876(b) (42 U.S.C. 1395mm(b)), or 1903(m) of the Act.
Item or Service
    We proposed revisions to the definition of the term ``item or 
service.'' Section 1128A of the Act provides that the term ``item or 
service'' ``includes'' various items, devices, supplies, and services. 
By using the word ``includes'' in section 1128A of the Act, Congress 
created an illustrative statutory definition that is broad enough to 
capture all the uses of the term in section 1128A of the Act. The term 
is used in section 1128A of the Act in two different contexts: one, in 
reference to submitting claims for items and services reimbursed by a 
Federal health care program, and two, in the definition of 
``remuneration'' to beneficiaries in reference to section 1128A(a)(5) 
of the Act. We proposed clarifying the definition to ensure that it 
reflects the broad meaning of ``item or service'' in both contexts.
Knowingly
    We proposed clarifying the definition of ``knowingly,'' found in 
the existing regulation at Sec.  1003.102(e), to cover acts as opposed 
to information. We also proposed removing the reference to the False 
Claims Act (FCA) from the definition of ``knowingly'' because it is 
unnecessary. As used in part 1003, the term ``knowingly'' applies only 
to acts, such as the act of presenting a claim. When a person's 
awareness or knowledge of information is at issue, the CMPL and other 
statutes use either a ``knows or should know'' or a ``knew or should 
have known'' construction. For example, section 1128A(a)(2) of the Act 
subjects a person to liability when the person knowingly presents, or 
causes to be presented, a claim that the person knew or should have 
known is false or fraudulent. Here, the act is presenting the claim or 
causing the claim to be presented. The information is that the claim 
was false or fraudulent.
Material
    We proposed a definition of ``material'' that mirrors the FCA 
definition as ``having a tendency to influence, or be capable of 
influencing, the payment or receipt of money or property.''
Overpayment
    We proposed a definition of ``overpayment'' that is taken from 
section 1128J(d)(4) of the Act (42 U.S.C. 1320a-7k(d)(4)), as amended 
by section 6402(a) of the ACA.
Reasonable Request
    We proposed a definition of ``reasonable request'' as part of 
implementing the new ACA CMP authority for failure to grant OIG timely 
access to records, as discussed below under Sec.  1003.200, subpart B.
Responsible Official
    We proposed a definition of ``Responsible Official'' as this term 
relates to the select agent and toxin CMP authority. We proposed to 
amend the definition of ``select agent and toxin'' as the term relates 
to the select agent and toxin CMP authority (42 U.S.C. 262a(i); Act, 
section 1128A(j)(2)).
Responsible Physician
    We also proposed revising the definition of ``responsible 
physician'' to more closely conform to statutory intent, as discussed 
below under Sec.  1003.500, subpart E.
Separately Billable Item or Service and Non-Separately-Billable Item or 
Service
    We also proposed definitions of ``separately billable item or 
service'' and ``non-separately-billable item or service'' to create an 
alternate method for calculating penalties and assessments for 
violations of section 1128A(a)(6) of the Act.
    We did not receive comments on the proposed definitions of 
``claim,'' ``contracting organization,'' ``item or service,'' 
``Responsible Official,'' ``non-separately-billable item or service,'' 
or ``separately billable item or service'' and are finalizing the 
definition as proposed. We received comments on the definition of 
``knowingly,'' ``should know, or should have known,'' ``material,'' and 
``timely basis,'' which are discussed below. We also received comments 
on the definitions of ``overpayment,'' ``reasonable request,'' and 
``responsible physician,'' which we will address in the discussion of 
the overpayment, timely access, and EMTALA CMPs respectively.
    Comment: One commenter recommended that the definitions of 
``knowingly'' and ``should know, or should have known'' not include 
that ``no proof of specific intent to defraud is required.'' Another 
commenter recommended that, when applied to Sec.  1003.200(b)(7) for 
false statements, omissions, or misrepresentations, ``knowingly'' 
should include a specific intent to defraud. Both commenters argued 
that, where there was no specific intent to defraud, a maximum penalty 
of $50,000 for a violation of Sec.  1003.200(b)(7) would be unduly 
harsh.
    Response: The definition of ``should know'' in section 1128A(i)(7) 
of the Act states that ``no proof of specific intent to defraud is 
required.'' Similarly, the existing regulatory definitions of 
``knowingly'' and ``should know, or should have known'' both state that 
``no proof of specific intent is required.'' We proposed no changes to 
that language in either definition. As discussed above, our proposal 
clarified that the use of the term ``knowingly'' referred to acts, such 
as submitting a claim, and ``should know or should have known'' 
referred to information, such as the claim was false or fraudulent. 
Further, OIG does not believe it would be unduly harsh to apply up to a 
$50,000 penalty where a person acted with reckless disregard when 
making a material omission on an application, bid, or contract to 
participate or enroll as a provider or supplier. We are finalizing 
these terms, as proposed.
    Comment: Some commenters disagreed with the proposed definition of 
``material'' and recommended we adopt a definition of ``having an 
actual influence on the payment or receipt of money or property.''
    Response: We respectfully disagree with the commenters and finalize 
the definition, as proposed. The proposed language mirrors the 
definition of

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material in the FCA, 31 U.S.C. 3729(b)(4). In the ACA, Congress added a 
new CMP cause of action against persons who knowingly make, use, or 
cause to be made or used, a false record or statement material to a 
false or fraudulent claim for payment for items and services furnished 
under a Federal health care program. This cause of action mirrors a 
cause of action under the FCA at 31 U.S.C. 3729(a)(1)(B). We believe 
that the same definition should apply in the CMPL given the 
similarities with the FCA. In addition, we believe this definition is 
appropriate for the other CMP causes of action in this part that use 
the term ``material'' because those authorities also involve the use of 
false statements--Sec. Sec.  1003.200(a)(4)(ii), 1003.200(a)(7), 
1003.200(d), and 1003.1100(a).
    Comment: One commenter argued that we should change the definition 
of ``timely basis'' to the 60-day period from the time the individual 
or entity knows that the amounts collected violated the Physician Self-
Referral Law. The commenter states that it is unreasonable to expect 
individuals and entities consistently to know, within 60 days of 
collection, that an amount was collected in violation of the Stark Law, 
and that it would be unfair to impose penalties, assessments, and 
exclusions on individuals and entities for failure to return payments 
that they did not know were collected in violation of the Stark Law.
    Response: Because we did not propose changing the language of the 
definition, only the internal citation, this suggestion is outside the 
scope of this rulemaking. We are finalizing the definition, as 
proposed.
    Comment: We also received a comment asking that OIG clarify that 
the provisions of part 1003 applying to Federal health care programs do 
not apply to Qualified Health Plan Issuers or State-based or Federally 
facilitated exchanges.
    Response: ``Federal health care program'' is defined in section 
1128B(f) of the Act. part 1003 does not include a definition of 
``Federal health care program'' and none was included in our proposed 
changes to that part. Therefore, this comment is beyond the scope of 
the rulemaking. That said, the Department stated in an October 30, 2013 
letter from the Secretary to Representative Jim McDermott that it does 
not consider Qualified Health Plans (QHPs) or other programs related to 
the Federally facilitated marketplace to be federal health care 
programs, for the purposes of 1128B(f) of the Act.
1003.140 Determinations Regarding the Amount of Penalties and 
Assessments and the Period of Exclusion
    We proposed modifying the provisions relating to the factors 
considered in determining exclusion periods and the amount of penalties 
and assessments for violations. The existing structure separately 
listed factors for certain CMP violations in Sec.  1003.106(a) and 
provided additional detail on these factors for certain CMP violations 
in Sec.  1003.106(b) and (d). This structure was cumbersome and 
potentially confusing for the reader.
    To add clarity and improve transparency in OIG's decision-making, 
we identified the most common issues among the factors listed and 
created a single, primary list of factors in the proposed Sec.  
1003.140. The primary factors are: (1) The nature and circumstances of 
the violation, (2) the degree of culpability of the person, (3) the 
history of prior offenses, (4) other wrongful conduct, and (5) other 
matters as justice may require. As the fifth factor demonstrates, these 
are illustrative factors rather than a comprehensive list. These 
factors would apply to all CMP violations, except as otherwise provided 
in the subpart relating to a specific subject matter, which may contain 
additional detail or explanation regarding a factor's applicability to 
a specific violation. For example, the aggravating factors listed in 
Sec.  1003.106(b)(1) related to the nature and circumstances of a 
violation. Because these factors relate most directly to billing 
issues, the proposed regulations include them in Sec. Sec.  1003.220, 
1003.320, and 1003.420. We proposed updating the claims-mitigating 
factor by increasing the maximum dollar amount considered as mitigation 
from $1,000 to $5,000. We believed this updated amount is an 
appropriate threshold that is consistent with rationale behind the 
original amount. A dollar threshold as a mitigating factor for CMP 
purposes differentiates between conduct that could be considered less 
serious and more serious. Conduct resulting in more than $5,000 in 
Federal health care program loss is an indication of more serious 
conduct. Given the changes in the costs of health care since this 
regulation was last updated in 2002, we believed the $1,000 threshold 
was lower than appropriate. We also proposed revising the claims-
aggravating factor that was at 1003.106(b)(1)(iii) by replacing 
``substantial'' with ``$15,000 or more.'' We believe that replacing 
``substantial'' with a specific dollar threshold increases transparency 
and gives providers better guidance on OIG's evaluation of this factor. 
In assigning a dollar value to the aggravating factor, we considered 
our practices in evaluating conduct for pursuing CMPs and proposed that 
a loss greater than $15,000 is an indication of serious misconduct. As 
discussed in response to comments, we are finalizing the aggravating 
factor as a loss greater than $50,000.
    The OIG will, however, continue to review the facts and 
circumstances of a violation on a case-by-case basis. For instance, 
when considering the nature and circumstances of any case, OIG will 
consider, among other things and to the extent they are relevant, the 
period over which the conduct occurred, whether a pattern of misconduct 
is indicated, the magnitude of the violation, the materiality or 
significance of a false statement or omission, the number of people 
involved, the number of victims, and whether patients were or could 
have been harmed.
    The proposed changes also clarify that these factors apply to 
exclusion determinations made under part 1003 as well as penalty and 
assessment amount determinations. We are removing Sec.  1003.107(c) in 
light of this reorganization. The existing regulations stated, at Sec.  
1003.107(c), that the guidelines regarding exclusion determinations are 
not binding. This language was used to emphasize that only the 
reasonableness of a period of exclusion is reviewable on appeal as 
opposed to OIG's decision to impose an exclusion. While OIG's 
discretion to exercise its exclusion authority remains unreviewable, 
the Sec.  1003.107(c) language is no longer necessary under the 
proposed reorganization. The revisions at Sec.  1003.140 more clearly 
state that the general guidelines relate to the length of exclusion as 
opposed to the decision whether to exclude a person.
    At Sec.  1003.106(b)(2), the regulations discussed a person's 
degree of culpability and listed several aggravating circumstances 
concerning whether a person had knowledge of the violation. We believed 
the language was out-of-date in light of all the CMP authorities that 
have been added to part 1003 over the years. We proposed to consider as 
an aggravating factor a person's having a level of intent to commit the 
violation that is greater than the minimum intent required to establish 
liability.
    Various CMP authorities have different intent or scienter 
requirements. Some authorities have a ``knows or should know'' standard 
consistent with

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the FCA standard that includes actual knowledge, deliberate ignorance, 
or reckless disregard. Some authorities require only negligence and 
some have no intent requirement. In CMP cases in which the scienter 
standard required to prove a violation is lower than actual knowledge, 
having actual knowledge is more egregious. Our existing regulations 
provide that actual knowledge is an aggravating factor when a 
respondent knew an item or service was not provided as claimed or if 
the respondent knew that a claim was false or fraudulent. We intend the 
general ``degree of culpability'' factor to encompass this approach and 
to extend to all CMP authorities that have a scienter standard that is 
lower than actual knowledge. In response to comments, as summarized 
below, we are finalizing the rule to provide that it shall be 
considered an aggravating factor when a person has actual knowledge and 
the level of intent required to establish liability is less than actual 
knowledge.
    Possessing the lowest level intent to commit a violation is not a 
defense against liability, a mitigating factor, or a justification for 
a less serious remedy. Individuals and entities are expected to know 
the law and Federal health care program rules. While the degree of 
culpability is relevant in our determination to impose a monetary or 
exclusion remedy, other factors, such as the nature and circumstances 
of the violation, may justify a maximum monetary remedy or exclusion to 
protect Federal health care programs and beneficiaries from fraud, 
waste, and abuse.
    In addition, we proposed to add a mitigating circumstance to the 
degree-of-culpability factor for taking ``appropriate and timely 
corrective action in response to the violation.'' The proposed 
regulation required that a person, to qualify as taking corrective 
action, disclose the violation to OIG through the Self-Disclosure 
Protocol (the Protocol) and fully cooperate with OIG's review and 
resolution of the violation. We have long emphasized the importance of 
compliance programs that result in appropriate action when Federal 
health care program compliance issues are identified. We continue to 
believe that appropriate action for potential violations of OIG's CMP 
authorities must include self-disclosure and cooperation in the inquiry 
and resolution of the matter. For most OIG CMP authorities, the person 
should not qualify for mitigation of the potential monetary or 
exclusion remedies without self-disclosure through the Protocol 
(available at--http://oig.hhs.gov/compliance/self-disclosure-info/protocol.asp). In response to comments, which are summarized below, we 
are finalizing the rule to include self-disclosure to CMS's Self-
Referral Disclosure Protocol for Stark violations. As further discussed 
in subpart E, we are also including disclosure to CMS for EMTALA 
violations.
    The proposed changes clarified that when we are determining the 
appropriate remedy against an entity, aggravating circumstances include 
the prior offenses or other wrongful conduct of: (1) The entity itself; 
(2) any individual who had a direct or indirect ownership or control 
interest (as defined in section 1124(a)(3) of the Act (42 U.S.C. 1320a-
3)) in the entity at the time the violation occurred and who knew, or 
should have known, of the violation; or (3) any individual who was an 
officer or a managing employee (as defined in section 1126(b) of the 
Act (42 U.S.C. 1320a-5)) of the entity at the time the violation 
occurred. For ``prior offenses,'' we also proposed to change ``any 
other public or private program for reimbursement for medical 
services'' to ``in connection with the delivery of a health care item 
or service.'' This proposed change is consistent with the aggravating 
circumstance ``other wrongful conduct.''
    Finally, the proposed rule clarified when OIG considers the 
financial condition of a person in determining penalty or assessment 
amounts. The regulations discussed financial condition in various 
sections with varying degrees of specificity: Sec.  1003.106(a)(1)(iv); 
(a)(3)(i)(F); (a)(4)(iv); (b)(5); and (d)(4). We proposed a more 
uniform and specific standard to apply after OIG evaluates the facts 
and circumstances of the conduct and weighs the aggravating and 
mitigating factors to determine an appropriate penalty and assessment 
amount. Once OIG proposes this penalty and assessment amount, the 
person may request that OIG consider its ability to pay the proposed 
amount. To permit OIG to evaluate a person's ability to pay, the person 
must submit sufficient documentation that OIG deems necessary to 
conduct its review, including, but not limited to, audited financial 
statements, tax returns, and financial disclosure statements. This 
ability-to-pay review may also consider the ability of the person to 
reduce expenses or obtain financing to pay the proposed penalty and 
assessment. If a person requested a hearing in accordance with 42 CFR 
1005.2, the only financial documentation subject to review would be 
that which the person submitted to OIG, unless the Administrative Law 
Judge (ALJ) finds that extraordinary circumstances prevented the person 
from providing the financial documentation to OIG in the time and 
manner requested by OIG prior to the hearing request.
    We received the following comments on these proposals. To the 
extent the comments do not address aspects of these changes, we are 
finalizing this section of the rule, as proposed.
    Comment: Some commenters disagreed with our proposal to include a 
person's level of intent as an aggravating factor for several reasons. 
Some commenters viewed proving, and distinguishing between, different 
degrees of mental states, such as ``actual knowledge,'' ``deliberate 
ignorance,'' and ``reckless disregard,'' as subjective. Commenters 
argued that the proposed rule's rationale for using degrees of scienter 
to determine the existence of aggravating circumstances is not 
sufficient to overcome concerns regarding the subjectivity involved in 
distinguishing between and proving these highly nuanced mental states. 
Aside from the statement that ``actual knowledge is considered more 
egregious than a lower level of intent,'' commenters expressed concern 
that the proposed rule does not explain which different scienter 
requirements carry respectively greater, or lesser, culpability. For 
example, commenters argued that the proposed rule does not provide if 
or how scienter requirements, such as ``reckless disregard'' and 
``deliberate ignorance,'' relate to one another with respect to 
potential culpability. Commenters were also concerned that the proposed 
rule does not set forth the evidentiary standards required to prove, 
and distinguish between, degrees of scienter, (e.g., where a person can 
be held liable: (1) For knowingly presenting an inaccurate claim; or 
(2) where the person knew, or should have known, that the claim was not 
accurate). Given that legal expertise is typically required to fully 
interpret and understand these terms, commenters stated that physicians 
and health care providers may not fully comprehend the changes proposed 
by the rule and may be disadvantaged when trying to respond to OIG's 
determination that an aggravating circumstance is present on the basis 
of alleged degrees of culpability.
    Finally, while commenters acknowledged OIG's experience in CMP 
enforcement as the main support for its degree-of-culpability proposal, 
commenters noted that this rule expands OIG's authority to new types of 
conduct under the five new ACA liability bases to its enforcement

[[Page 88339]]

authority. These additional bases for CMPs require physicians to 
understand new authorities and also expands OIG scienter determinations 
to new areas of the law. Given this expanded scope, commenters urged 
OIG to reconsider use of this new aggravating factor, especially 
without providing more detailed guidance distinguishing different 
mental standards and their applicability to CMPs, assessments, and 
exclusions.
    Response: We have altered the final rule so that in cases in which 
the scienter standard required to prove a violation is lower than 
actual knowledge, having actual knowledge will be an aggravating 
factor. We will continue evaluating each case to determine the 
appropriate penalties and assessments and whether exclusion is 
appropriate. In any case in which the scienter standard required to 
prove a violation is lower than actual knowledge, actual knowledge is 
more egregious. The OIG's existing regulations provide that actual 
knowledge is an aggravating factor where a respondent knew an item or 
service was not provided as claimed or if the respondent knew that a 
claim was false or fraudulent. In the final rule, OIG is simply 
extending actual knowledge as an aggravating factor to all cases in 
which the scienter standard to prove a violation is lower than actual 
knowledge.
    Comment: One commenter expressed concern about OIG's proposed 
provision that any single aggravating circumstance may justify imposing 
a penalty and assessment at or close to the maximum even when one or 
more mitigating factors are present. The commenter argued that this 
proposed change would tilt the balance in favor of the aggravating 
factors without due consideration to all of the circumstances in each 
case and could lead to uneven enforcement. The commenter also stated 
that this concern was compounded by OIG's other proposal to move away 
from separately listed aggravating factors to a more general, 
illustrative list of factors that the commenter argues could be applied 
more broadly. Finally, the commenter also stated that this proposal 
could discourage mitigating actions (e.g., participating in the Self-
Disclosure Protocol).
    Response: We believe that the proposed rule accurately reflects the 
case-by-case analysis that OIG has historically done and that is 
conducted in the ALJ hearing process. Aggravating and mitigating 
circumstances require qualitative weighing of facts and circumstances 
and are, by their nature, dependent on the facts and circumstances 
present in the individual case. In this weighing process, it is 
possible to conclude that one aggravating circumstance should overweigh 
several mitigating circumstances because of the nature and 
circumstances of the case. As such, our proposal that any one 
aggravating circumstance may justify a high penalty or assessment 
simply reflects this qualitative, fact-driven analysis. The converse is 
also true, that one mitigating factor could justify a lower penalty. 
Our proposal is not intended to change OIG's longstanding and 
repeatedly stated position that appropriate self-disclosure is a 
critical indication that the provider or supplier has an effective 
compliance program. We will continue to follow the process outlined in 
the Self-Disclosure Protocol in resolving Protocol submissions.
    Comment: One commenter stated that proposed Sec.  1003.140(d), 
which provides that OIG should exclude where there are aggravating 
circumstances, is superfluous because OIG already has the authority to 
exclude where aggravating circumstances exist. The commenter expressed 
concern that, if read so as not to be superfluous, the provision would 
suggest that exclusion is mandated by the rule.
    Response: We agree with the commenter that the provision is 
superfluous. The OIG makes determinations regarding penalties, 
assessments, and exclusion based on a case-by-case analysis, and for 
any particular case the presence of aggravating circumstances may 
support exclusion. Therefore, we are finalizing the rule without this 
proposed provision.
    Comment: A few commenters suggested that a lower level of intent be 
considered as a mitigating factor. Commenters argued that if a higher 
level of intent may be viewed as a potential aggravating factor, OIG 
should consider a lower level of intent as a mitigating factor.
    Response: Possessing a lower level intent to commit a violation is 
not a defense against liability or a justification for a less serious 
remedy. Individuals and entities are expected to know the law and 
Federal health care program rules. While the degree of culpability is 
relevant in our determination to impose a monetary or exclusion remedy, 
other factors, such as the nature and circumstances of the violation, 
may justify a maximum monetary remedy or exclusion to protect the 
Federal health care programs and beneficiaries. Moreover, if the facts 
show that the person did not possess the requisite level of intent to 
violate a particular statutory or regulatory provision, no monetary 
penalty or exclusion would apply.
    Comment: Several commenters suggested that OIG expand the 
corrective action that would be considered as a mitigating factor to 
include more than submissions to the Self-Disclosure Protocol. 
Commenters argued that limiting the mitigating factor to use of the 
Self-Disclosure Protocol is overly limited and suggested that the 
following actions be considered mitigating: Disclosure to the CMS Self-
Referral Disclosure Protocol, returning payments to Medicare 
contractors, internal investigation, and staff retraining. Commenters 
argued that retaining existing regulatory language, which more 
generally references corrective steps taken promptly after a problem 
was discovered, would allow providers and suppliers the flexibility to 
take the corrective action best fitted to their particular practice 
settings and is more likely to encourage providers and suppliers to 
actively take appropriate corrective action.
    Response: We have decided to amend our proposal to include use of 
the CMS Self-Referral Disclosure Protocol (SRDP) as meeting the 
corrective action requirement for the mitigating factor. We decided to 
make this change to clarify that appropriately using the SRDP satisfies 
OIG's goals of encouraging disclosure and recognizes the specific 
protocol that CMS has created to handle physician self-referral law 
(Stark Law) compliance issues. Because conduct that implicates only the 
Stark Law is not eligible for OIG's Self-Disclosure Protocol, we wanted 
to clarify that using the SRDP for this conduct is appropriate. We do 
not believe the other actions described above are appropriate for this 
mitigating factor. Returning overpayments to the appropriate contractor 
is important. However, this action does not address or eliminate CMP 
liability if it exists. Put another way, if the conduct involves only 
overpayments and no CMP liability, there is no penalty at issue to 
mitigate. Similarly, taking actions such as internal investigations and 
retraining employees can be important compliance program activities. 
However, in the absence of a self-disclosure, these actions also do not 
affect CMP liability.
    We are also amending subpart E (EMTALA) to include in this 
mitigating factor disclosure of the violation to CMS prior to CMS 
receiving a complaint regarding the violation from another source or 
otherwise learning of the violation.
    Comment: Some commenters stated that, as a practical matter, this 
proposal

[[Page 88340]]

``mandates'' disclosure to the Protocol, which would, for many 
providers and suppliers, limit the availability of this mitigating 
circumstance. Some commenters viewed participation in the Protocol as 
time and labor intensive and often necessitating the assistance of an 
experienced attorney, which may be expensive for smaller providers and 
suppliers.
    Response: This mitigating factor becomes relevant only if the 
provider or supplier has CMP liability for the conduct at issue. If 
that is the case, we expect the provider or supplier to appropriately 
disclose and resolve the conduct in the Protocol. Attorney 
representation is not necessary to use the Protocol.
    Comment: Some commenters posed questions concerning the 
relationship between the Self-Disclosure Protocol and the proposed 
rule. For example, the Self-Disclosure Protocol states that ``OIG's 
general practice is to require a minimum multiplier of 1.5 times the 
single damages'' while the proposed rule contains no discussion 
concerning the nexus between Protocol settlements and the imposition of 
monetary penalties, assessments, and exclusion. Commenters asked 
whether the 1.5 multiplier will be available to those using the Self-
Disclosure Protocol if an aggravating factor exists under the proposed 
rule. Commenters also asked whether OIG would suspend the statutory 
obligation to report and return an overpayment within 60 days if the 
provider has appropriately made a disclosure under the Self-Disclosure 
Protocol and is actively seeking a resolution.
    Response: The OIG will continue to follow the process and 
principles outlined in the Self-Disclosure Protocol in resolving 
Protocol submissions. Even where aggravating circumstances exist, we 
will generally apply a 1.5 multiplier in Protocol resolutions, as 
explained in the Protocol. Regarding the 60-day rule referenced by 
commenters, CMS has rulemaking authority concerning section 1128J(d) of 
the Act and published a final rule on February 12, 2016. 81 FR 7654 
(February 12, 2016). The regulation adopted by that final rule states: 
``The deadline for returning overpayments will be suspended when the 
following occurs: (i) The OIG acknowledges receipt of a submission to 
the OIG Self-Disclosure Protocol and will remain suspended until such 
time as a settlement agreement is entered, the person withdraws from 
the OIG Self-Disclosure Protocol, or the person is removed from the OIG 
Self-Disclosure Protocol.'' 42 CFR 401.305(b)(2)(i).
    Comment: Some commenters expressed concerns about the proposed 
rule's expansion of the ``history of prior offenses'' and ``other 
wrongful conduct'' aggravating factors. Specifically, these commenters 
argued that it would be unjust to consider prior offenses or other 
wrongful conduct of officers or managing employees unless the officer 
or managing employee knew or should have known of the violation. 
Accordingly, they urged OIG to, as with individuals with ownership or 
control interests, limit consideration of prior offenses and other 
wrongful conduct of officers and managing employees to situations in 
which the officer or managing employee knew or should have known of the 
violation.
    Response: We are finalizing the rule, as proposed. Officers and 
managing employees have significant responsibility for an entity's day-
to-day operations. Owners, on the other hand, may be active or passive. 
Passive owners may have less involvement in daily operations, and 
consequently may have less culpability in the entity's conduct that 
creates CMP liability. As such, the rule specifies that individuals who 
have a direct or indirect ownership or control interest are considered 
in these factors only if they knew or should have known of the 
violation. Moreover, this factor was structured to reflect the 
exclusion authority under section 1128(b)(15) of the Act. Under section 
1128(b)(15)(A)(ii) of the Act, an individual who is an officer or 
managing employee of an excluded entity can be excluded regardless of 
whether the officer or managing employee knew or should of known of the 
action that constituted the basis for the exclusion. In contrast, under 
section 1128(b)(15)(A)(i) of the Act, an owner of the excluded entity 
can be excluded only if he or she knew or should have known of the 
action constituting the basis for the exclusion. We believe that 
Congress intended this different treatment to account for the greater 
responsibility of officers or managing employees in the entity's day-
to-day operations.
    Comment: One commenter argued that ``administrative sanctions'' in 
the ``history of prior offenses'' aggravating factor should not include 
actions taken by purely private actors, such as health insurers, 
because, in such private actions, health care providers may not be 
given due process protections comparable to those available when a 
governmental entity is seeking administrative sanctions.
    Response: We agree with the commenter that the history of prior 
offenses aggravating factor encompasses only situations in which the 
provider or supplier was held liable for criminal, civil, or 
administrative sanctions by a governmental entity, such as a Federal or 
State agency or one of its contractors.
    Comment: One commenter expressed concerns with the proposed rule's 
increased consideration of wrongful conduct related to the commercial 
market. The commenter recommended that OIG consider only fraud 
sanctions in the private market to ensure that the wrongful conduct 
directly relates to the conduct being addressed by OIG.
    Response: We are finalizing the language, as proposed. We do not 
believe the other wrongful conduct needs, in all cases, to be related 
to fraud generally or to the CMP authority at issue to be relevant. 
This factor is intended to provide some guidance on the trustworthiness 
of the individual or entity in question. The OIG will continue to 
perform an analysis of whether the other wrongful conduct should be 
considered an aggravating circumstance in any given case.
1003.150 Delegation of Authority
    The proposed rule also adds an express delegation of authority from 
the Secretary to OIG to impose penalties, assessments, and exclusions 
against persons who violate any of the provisions of part 1003. Several 
Federal Register notices and delegation letters, spanning more than 20 
years, delegate various authorities to OIG. Some of these older notices 
and letters are no longer easily accessible by the public, such as 53 
FR 12,993 (April 20, 1988). This provision, at proposed Sec.  1003.150, 
reiterates OIG's authority to pursue these matters.
    We received no comments on this provision and finalize, as 
proposed.
1003.160 Waiver of Exclusion
    We also proposed changes to part 1003's exclusion-waiver provisions 
to clarify the criteria for a waiver request from a State agency. The 
existing regulations stated that OIG will consider an exclusion waiver 
request from a State agency for exclusions imposed pursuant to 42 CFR 
1003.102(a), (b)(1), and (b)(4) and 1003.105(a)(1)(ii) under certain 
circumstances. We proposed updating the regulations to permit an 
administrator of a Federal health care program to request a waiver, 
similar to the waiver in part 1001. Also, we proposed removing the 
limitations concerning when a waiver may be requested by such an 
administrator.
    We received no comments on this provision and finalize, as 
proposed.

[[Page 88341]]

Subpart B--CMPs, Assessments, and Exclusions for False or Fraudulent 
Claims and Other Similar Misconduct
    Subpart B contains most of the provisions that were found in the 
existing regulations at Sec.  1003.102(a) and several of the provisions 
that were found in Sec.  1003.102(b). The text of the proposed 
provisions remains largely unchanged, except for a separate provision 
we created to address section 1128A(a)(6) of the Act. Section 
1128A(a)(6) of the Act subjects persons to liability for arranging or 
contracting with (by employment or otherwise) a person who the employer 
or contractor knows or should know is excluded from participation in a 
Federal health care program for the provision of items or services for 
which payment may be made under that program. This authority was 
included in the regulations describing false or fraudulent claims at 
Sec.  1003.102(a)(2). Because of our desire to improve the clarity of 
the regulations generally and because of the proposed penalty and 
assessment provisions discussed below, the proposed regulation 
addressed section 1128A(a)(6) of the Act in a separate subsection at 
Sec.  1003.200(b)(4).
    On the basis of our experience enforcing section 1128A(a)(6) of the 
Act, we proposed an alternate methodology for calculating penalties and 
assessments. This alternate methodology recognizes the variety of ways 
in which items and services are reimbursed by Federal health care 
programs and the numerous types of health care professionals and other 
individuals and entities that contribute to the provision of those 
items and services.
    The proposed regulations addressed how penalties and assessments 
would be imposed for two distinct types of violations: (1) Instances in 
which items or services provided by the excluded person may be 
separately billed to the Federal health care programs and (2) instances 
in which the items or services provided by the excluded person are not 
separately billable to the Federal health care programs, but are 
reimbursed by the Federal health care programs in some manner.
    To achieve this distinction, we proposed to define two new terms: 
``separately billable item or service'' and ``non-separately-billable 
item or service.'' A ``separately billable item or service'' is defined 
as ``an item or service for which an identifiable payment may be made 
under a Federal health care program.'' This type of item or service 
exists when a person provides, furnishes, orders, or prescribes an 
identifiable item or service for which a claim for reimbursement may be 
submitted to a Federal health care program by either the person or 
another person. Examples include physician office visits and prescribed 
pharmaceuticals.
    A ``non-separately-billable item or service'' is defined as ``an 
item or service that is a component of, or otherwise contributes to the 
provision of, an item or service, but is not itself a separately 
billable item or service.'' Non-separately-billable items or services 
are reimbursed as part of the claim submitted under the applicable 
payment methodology, e.g., nursing or clerical services associated with 
a physician office visit, care covered by the skilled nursing facility 
per diem payment, nursing care covered by a hospital diagnosis-related 
group (DRG) payment, or radiology technician services associated with a 
specific procedure.
    In instances in which the item or service provided by the excluded 
person is separately billable, the employing or contracting person 
would continue to be subject to penalties and assessments based on the 
number and value of those separately billable items and services. For 
instances in which the item or service provided by the excluded person 
is non-separately-billable, we proposed an alternate methodology to 
calculate penalties and assessments. We proposed that penalties would 
be based on the number of days the excluded person was employed, was 
contracted with, or otherwise arranged to provide non-separately-
billable items or services. We proposed that assessments would be based 
on the total costs to the employer or contractor of employing or 
contracting with the excluded person during the exclusion, including 
salary, benefits, and other money or items of value. We believe this 
cost-based assessment achieves the purposes of section 1128A(a)(6) of 
the Act by capturing the value of the excluded person to the employing 
or contracting person. As discussed below in our response to comments, 
we are finalizing the assessments, as proposed, but are finalizing the 
penalties based on each item or service provided by the excluded 
person.
    As discussed above, the ACA added five new violations and 
corresponding penalties to the CMPL. These new violations and the 
corresponding penalties are at proposed Sec. Sec.  1003.200(b)(6)-(10), 
1003.210(a)(6)-(9), and 1003.210(b)(3). In general, the proposed 
regulatory text closely mirrors the statutory text. However, we 
supplement the statutory text where appropriate. Section 6402(d)(2)(A) 
of the ACA amends the CMPL by adding a violation for knowingly making 
or causing to be made ``any false statement, omission, or 
misrepresentation of a material fact in any application, bid, or 
contract to participate or enroll as a provider of services or a 
supplier under a Federal health care program.'' (Emphasis added.) ACA 
does not, however, include the word ``omission'' in its description of 
the penalty and assessment for this violation. To give full effect to 
the amendment adding ``omission'' to the CMPL, we have added the word 
``omission'' in the penalty and assessment sections.
    Also, we proposed clarifying the penalty under the CMPL, as amended 
by section 6402(d)(2) of the ACA, for failure to report and return 
overpayments. Under the amended section 1128J(d) of the Act, 
overpayments must be reported and returned by the later of 60 days 
after the date the overpayment was identified or the date any 
corresponding cost report is due, if applicable. The new CMPL authority 
under section 1128A(a)(10) of the Act does not contain a specific 
penalty amount, but instead uses the default penalty amount in the 
CMPL, which is up to $10,000 for each item or service. In this context, 
we proposed regulatory text interpreting the CMPL's default penalty as 
up to $10,000 for each day a person fails to report and return an 
overpayment by the deadline in section 1128J(d) of the Act. Because the 
failure to report and return overpayments within 60 days of 
identification is based on the 60-day period passing, we believed that 
the penalty could be interpreted to attach to each following day that 
the overpayment is retained. However, as we noted in the proposed rule, 
Congress specified a per day penalty in sections 1128A(a)(4) and (12) 
of the Act and did not do so for section 1128A(a)(10) of the Act. Thus, 
we solicited comments on whether to interpret the default penalty of up 
to $10,000 for each item or service as pertaining to each claim for 
which the provider or supplier identified an overpayment. As discussed 
below in our response to comments, we are finalizing the rule using the 
default penalty amount in the CMPL, which is up to $10,000 for each 
item or service.
    Section 6408(a)(2) of the ACA amended the CMPL by adding a 
violation for failure to grant timely access, upon reasonable request, 
to OIG for the purpose of audits, investigations, evaluations, or other 
statutory functions. Section 1128(b)(12) of the Act and 42 CFR 
1001.1301 authorize exclusion based on similar, but not identical, 
conduct -- failure to grant immediate

[[Page 88342]]

access. We believe Congress expanded OIG's authority to exclude, and 
created an authority to impose a penalty, in a broader set of 
circumstances than covered by section 1128(b)(12) of the Act by using 
the phrase ``timely access'' in section 6408(a)(2) of the ACA. Thus, we 
believe conduct that implicates section 1128(b)(12) of the Act is a 
subset of the conduct implicated by the new CMPL authority created by 
section 6408(a)(2) of the ACA. In these situations, OIG has the 
discretion to choose whether to pursue exclusion under section 
1128(b)(12) of the Act or penalties and/or exclusion under section 
6408(a)(2) of the ACA. In drafting regulations pursuant to section 
6408(a)(2) of the ACA, we evaluated the conduct covered by section 
1128(b)(12) of the Act to ensure that this proposed rule is consistent 
with Sec.  1001.1301.
    The proposed definitions of ``failure to grant timely access'' and 
``reasonable request'' give OIG flexibility to determine the period in 
which a person must respond to a specific request for access, depending 
on the circumstances. Given the different purposes for which OIG may 
request access to material, such as audits, evaluations, 
investigations, and enforcement actions, we believe the best approach 
is for OIG to specify the date for production or access to the material 
in OIG's written request. In making this decision, OIG will consider 
the circumstances of the request, including the volume of material, 
size and capabilities of the party subject to the request, and OIG's 
need for the material in a timely way to fulfill its responsibilities. 
The exception to this approach is a case in which OIG has reason to 
believe that the requested material is about to be altered or 
destroyed. Under those circumstances, timely access means access at the 
time the request is made. This exception is the same as provided in 
Sec.  1001.1301.
    Finally, we proposed revisions to the regulation's aggravating 
factors for CMPL violations. The aggravating factors listed in proposed 
Sec.  1003.220 are based on those that apply to the violations in the 
existing regulations. We proposed moving the aggravating factors to one 
section and consolidating similar factors into one factor. For 
instance, the first aggravating factor, i.e., the violations were of 
several types or occurred over a lengthy period, was found at Sec.  
1003.106(b)(1)(i). We interpret the phrase ``several types'' to 
include, but not be limited to, billing for services that are covered 
by different billing codes. The final aggravating factor relates to the 
amount or type of financial, ownership, or control interest, or the 
degree of responsibility a person has in an entity with respect to 
actions brought under Sec.  1003.200(b)(3). While we will consider 
whether a person is a CEO or a manager, job titles alone will not guide 
our consideration of this factor; we will look at the degree of 
responsibility and influence that a person has in an entity.
    We received the following comments on this subpart. To the extent 
provisions of the proposed rule are not addressed in the comments 
below, we are finalizing this section of the rule, as proposed.
    Comment: We received many comments supporting the creation of the 
alternate methodology for calculating assessments for employing or 
contracting with an excluded individual in violation of section 
1128A(a)(6) of the Act. Some commenters argued against a per-day 
penalty. First, commenters argued that the assessment adequately 
addresses the misconduct and a per-day penalty seems duplicative. 
Second, commenters argued that liability should be related to the cost 
of the items and services and may not be rationally related to the 
number of days an individual was employed by, or contracted with, the 
entity. Third, commenters argued that a per-day penalty is contrary to 
the plain language of the Act because Congress created other per-day 
penalties in the CMPL but did not create one in section 1128A(a)(6) of 
the Act. Finally, commenters maintained that the proposed method of 
calculating the assessment for contracting with or employing an 
excluded individual whose services are not separately billable to 
Federal health care programs already adequately takes into 
consideration the length of time of the prohibited relationship. A 
longer period of the prohibited relationship would result in more 
salary and benefits paid to the person, and thus would increase the 
value of the assessment.
    Response: After considering the comments, we are withdrawing the 
proposed per-day penalty for section 1128A(a)(6) of the Act. Instead, 
we are finalizing a penalty of up to $10,000 for each item or service 
provided by the excluded person by removing proposed Sec.  
1003.210(a)(4)(ii) and adding ``non-separately billable'' items or 
services to proposed Sec.  1003.210(a)(4)(i). This penalty more closely 
tracks the Act's language.
    Comment: Many commenters urged OIG to take into account the Federal 
health care program payor mix, or percentage of Federal health care 
program business, when determining the assessment for employing or 
contracting with an excluded individual. Commenters argued that using a 
pro-rata share of the compensation would more fairly capture the 
portion of time the excluded person likely spent providing items or 
services to Federal health care program beneficiaries in violation of 
their exclusion. These commenters noted that OIG outlined this practice 
in the 2013 Updated Provider Self-Disclosure Protocol.
    Response: We are finalizing the rule, as proposed. We continue to 
believe that the Federal health care program payor mix is appropriate 
to consider in the context of a self-disclosure, and OIG will continue 
to consider it in settlements, as appropriate. Nevertheless, we have 
decided not to require the consideration of payor mix in the 
regulations. The appropriate way to measure payor mix is not always 
clear for the many types of providers, suppliers, items, and services 
at issue in various cases. Further, there may be cases for which a 
reduction of the assessment based on payor mix is not appropriate. We 
view our approach to this CMP as analogous to the CMP for violations of 
the anti-kickback statute. Under Sec.  1003.310(b)(2), OIG may seek 
damages of up to three times the amount of remuneration regardless of 
whether some of the remuneration was for a lawful purpose. 
Nevertheless, in self-disclosures and other settlements, we often 
collect a multiplier based only on the portion of the remuneration that 
we determine was for an unlawful purpose. We anticipate continuing a 
similar approach under this CMP authority.
    Comment: Several commenters objected to our proposed reading of the 
penalty and assessment sections applicable to violations of section 
1128A(a)(9) of the Act, as established by section 6402(d)(A) of the 
ACA, to include ``omissions.'' Those commenters argued that our reading 
went beyond the authority of the ACA because Congress did not include 
the term ``omissions'' in the penalty language.
    Response: We respectfully disagree with the commenters. Adopting 
the commenters' suggested reading would lead to the conclusion that 
Congress intended to restrict OIG to pursuing an exclusion action only 
against those who omitted a material fact and intended to permit OIG to 
choose between pursuing penalties, assessments, and exclusions against 
those who made a false statement or misrepresentation of a material 
fact. This reading leads to an absurd result. Instead, we are 
interpreting this provision consistent with the purpose and intent of 
the statute.

[[Page 88343]]

    Comment: Some commenters requested that OIG clarify that liability 
for omission of a material fact under Section 1128A(a)(9) of the Act 
apply only to willful omissions so that the regulations not capture 
clerical errors or omissions where there was no intention to deceive. 
Specifically, commenters encouraged us to delete the reference to 
``omissions'' or at a minimum use the term ``willful omissions'' until 
a greater degree of standardization among Medicare contractors and 
their processes and interpretations is achieved. Commenters argued that 
the proposed definitions of ``knowingly'' and ``should know, or should 
have known'' where ``no proof of specific intent to defraud is 
required'' may result in a violation based on an error or oversight.
    Response: We do not believe the commenters' suggestion conforms to 
the statute. To violate section 1128A(a)(9) of the Act, a person must 
knowingly make a false statement, omission, or misrepresentation of 
material fact. We believe the commenters' concerns are addressed by the 
evidentiary standard OIG must meet to bring such a case. In addition, 
OIG will continue to evaluate the nature and circumstances of the 
conduct and exercise discretion in deciding whether to pursue a case. 
The OIG will not pursue cases under this section based on inadvertent 
(non-reckless) errors and minor oversights.
    Comment: Some commenters urged OIG to further specify the standards 
it will use to determine penalties, assessments, or exclusion imposed 
under section 1128A(a)(9) of the Act. Commenters stated that 
clarification is needed to understand whether this new authority could 
apply to simple documentation errors. Commenters believed that such 
mistakes would not be done ``knowingly.'' According to commenters, 
documentation errors are common--not because of deliberate physician 
misrepresentation, but because of frequent changes in the requirements 
for applications, contracts, and other agreements that may lead to 
confusion and miscommunications.
    Response: We do not believe further guidance is appropriate in this 
context. We are unable to anticipate all potential factual scenarios in 
this rulemaking. We believe our traditional evaluation of the nature 
and circumstances of the conduct and exercise of discretion will inform 
whether to pursue an individual enforcement action. As previously 
stated, it is not OIG's intention to pursue cases under this section 
for inadvertent (non-reckless) errors or minor oversights.
    Comment: One commenter stated that the $50,000 penalty amount set 
forth in Sec.  1003.210(a)(6) for knowingly making a false statement, 
omission, or misrepresentation of a material fact seemed excessive, and 
should be reconsidered by OIG and that, if levying a heavy penalty is 
authorized, the application should be as narrow and temperate as 
possible.
    Response: The penalty amount is statutory. We will continue to 
engage in our traditional evaluation of the nature and circumstances of 
the conduct and exercise of discretion in deciding to pursue cases and 
determine appropriate penalty amounts.
    Comment: Many commenters disagreed with our proposed per-day 
penalty for failure to report and return an overpayment in violation of 
section 1128A(a)(10) of the Act. Commenters noted that Congress has 
created per-day penalties for two different sections of section 1128A 
of the Act and did not do so here. One of these two sections, failure 
to grant timely access to OIG, was enacted as part of the ACA, in which 
the overpayment authority was also enacted. The commenters argued that 
if Congress had intended to create a per-day penalty for section 
1128A(a)(10) of the Act, it would have expressly done so in the ACA. In 
addition, some commenters stated that a per-day approach could lead to 
large penalties that may not be commensurate with the value of the 
underlying overpayment. Most commenters asserted that the penalty for 
overpayments should be the CMPL's default penalty of up to $10,000 for 
each item or service. Some commenters recommended a per-claim penalty 
calculation, rather than a per-day or per item or service calculation. 
Other commenters argued OIG should consider the lateness and size of 
overpayment in determining the penalty amount.
    Response: After careful consideration, we are finalizing the 
penalty for section 1128A(a)(10) of the Act as up to $10,000 for each 
item or service. This penalty methodology is the statutory default. 
Where a person fails to return the overpayment for a lengthy period, 
the general aggravating factor under Sec.  1003.220(b)(1) could be 
triggered.
    Comment: Some commenters encouraged OIG to adopt a penalty scale 
for violations of section 1128A(a)(10) of the Act that would penalize 
providers more gravely for more serious violations. Commenters suggest 
that such a scale could be based on the length of delay, overpayment 
amount, and the number of claims.
    Response: The factors set forth in Sec.  1003.140 and Sec.  
1003.220 provide a framework to identify more egregious conduct and 
determine appropriate penalty amounts. The general factor of nature and 
circumstances would naturally take into account such factors as the 
length of time the provider or supplier knew it had received an 
overpayment and Sec.  1003.220 states that an overpayment in an amount 
over $50,000 may be considered as an aggravating circumstance.
    Comment: Commenters from pharmacy organizations expressed concerns 
with the proposed penalty under section 1128A(a)(10) of the Act of 
$10,000 per day for each ``claim.'' Commenters argued that the proposed 
rule would affect pharmacies more than other providers because 
pharmacies dispense billions of low-cost medications each year and, 
therefore, any potential penalty would be disproportional to the injury 
caused. Instead of a $10,000 penalty on each prescription, the 
commenters suggested that OIG examine other alternatives for 
calculating a penalty for pharmacies and other entities that submit 
many small ``claims.'' Examples of potential solutions include 
calculating the penalty at $10,000 per day regardless of the number of 
individual prescription claims involved, or assessing a penalty in 
proportion to the overall dollar amount of the overpayment.
    Response: Based on our evaluation of all the comments on this 
issue, we are finalizing the penalty as up to $10,000 for each item or 
service. In the case of pharmacies, each prescription would be 
considered an item, and thus pharmacies have exposure of up to $10,000 
for each prescription for which the pharmacy received an overpayment. 
This is the result compelled by the statute. We will evaluate the facts 
and circumstances in each case to determine the appropriate penalty 
amount.
    Comment: Some commenters from Part D plan sponsors expressed 
concerns about the use of per-day, per-claim, or per-item or service 
penalties in the context of Part D prescription drug claims. Given the 
huge volume of daily prescription drug events (PDEs), which are not 
equivalent to final medical claims, commenters believed that the 
application of CMPs in Part D should focus on the ``annual cost 
report'' and not on individual PDEs. According to commenters, Part D 
drug claims are not final until both the annual reconciliation and the 
final reopening are completed. Commenters recommended that OIG clarify 
that, in the context of Part D, determination of the penalty amount 
should be based on

[[Page 88344]]

the ``annual cost report'' submitted by Part D sponsors and not on 
individual PDEs. Further, commenters argued that OIG should clarify 
that a PDE is not a claim until it has gone through reconciliation and 
the final reopening has been completed.
    Response: We are finalizing the penalty for section 1128A(a)(10) of 
the Act, using the CMPL default of up to $10,000 for each item or 
service. This penalty is consistent with the final rule adopted by CMS 
regarding Part D overpayments. See 79 FR 29,844. In adopting that rule, 
CMS declined to make the deadline for reporting and returning 
identified overpayments the ``date any corresponding cost report is 
due'' because ``Part D sponsors are paid based on their bids, and not 
based on their actual incurred costs.'' 79 FR at 29,920. In determining 
an overpayment, CMS focuses on the submission of erroneous PDE data, 
and those data constitute claims for items or services under the CMPL.
    Comment: Some commenters suggested that OIG does not recognize 
CMS's role in overseeing section 1128J of the Act, as applicable to 
Part C plans or Part D plan sponsors, pursuant to 42 CFR 422.326 and 
423.360. One commenter suggested that OIG defer to CMS on overpayment 
issues and reserve its authority for instances of egregious behavior.
    Response: While CMS oversees Part C plans and Part D plan sponsors 
under its regulations, OIG has been delegated the authority for 
enforcement of section 1128A of the Act. Thus, we decline to adopt the 
commenter's suggestion.
    Comment: Several commenters suggested that for Part C plans and 
Part D plan sponsors, compliance with CMS's final rule, 79 FR 29,844 
(May 23, 2014), should be deemed compliance with section 1128A(a)(10) 
of the Act. Specifically, commenters recited the language of that final 
rule and stated that a Medicare Advantage organization has identified 
an overpayment when that organization has determined, or should have 
determined through the exercise of reasonable diligence, that it has 
received an overpayment. Commenters stated that the phrase ``or should 
have determined through the exercise of reasonable diligence'' has 
caused great concern among health plans because there is no guidance 
for plans to follow and plans are exposed to potential FCA liability if 
they do not comply. According to commenters, this lack of clarity means 
that plans can act in good faith but still be subject to liability if 
their actions are later found to not meet the ``reasonable diligence'' 
test. In light of these uncertainties regarding compliance with the 
Part C and Part D rule, commenters requested that OIG's rule clarify 
that compliance with such rule will be deemed compliance with OIG 
requirements.
    Response: This suggestion is outside the scope of our rulemaking, 
which did not propose to interpret the CMS final rule concerning Part C 
plans and Part D plan sponsors. In the context of section 1128A(a)(10) 
of the Act, a plan or plan sponsor may be liable if it knows of an 
overpayment and did not report and return it in accordance with section 
1128J of the Act.
    Comment: Several commenters asked that OIG clarify the definition 
of ``overpayment.'' One commenter suggested that OIG should use CMS's 
definition of ``funds'' in the Part C and D final rule, 79 FR 29,844 
(May 23, 2014). One commenter also asked that we clarify the 
application of section 1128A(a)(10) of the Act in situations in which 
the plan is not at fault for the overpayment, such as when CMS makes a 
retroactive change to a member's low-income status that triggers 
changes in the low-income subsidy payments for cost sharing and 
premiums or affects the coverage gap discount program.
    Response: We are finalizing the definition, as proposed. The 
proposed regulatory text simply mirrors the statute. In the context of 
Parts C and D, CMS has interpreted the meaning of ``overpayment,'' and 
we are required to apply the same meaning in an enforcement action 
against a Part C plan or Part D plan sponsor under section 1128A(a)(10) 
of the Act. This regulation also applies to Medicare Parts A and B and 
to Medicaid, so we believe the overpayment definition in our 
regulations should be broad enough to cover all of the programs. 
Commenters' other suggestions are outside the scope of this rulemaking. 
Plans should refer to CMS's May 2014 final rule, 79 FR 29,844 (May 23, 
2014), in self-assessing their compliance with reporting and returning 
overpayments.
    Comment: Several commenters requested clarification as to when the 
60-day period begins. Commenters also requested clarification of the 
term ``identify.'' Some commenters suggested that OIG not impose CMPs 
for overpayments, or alternatively, defer issuance of this final rule, 
until CMS finalizes its Part A/B overpayment proposed rule, 77 FR 9179 
(February 16, 2012), which, among other things, defines when an 
overpayment has been identified. A few commenters suggested that OIG 
use the term ``confirmed'' rather than ``identify'' because some 
providers and suppliers have complex billing processes that require 
coordination with other providers and suppliers. For example, for air 
ambulances, additional information and documentation are needed from 
other providers to determine the correct amount of an overpayment. 
Commenters encouraged OIG to include in the final rule a clear standard 
as to when the 60-day period begins and to exercise discretion in 
enforcing this authority so that providers and suppliers are not 
harshly penalized when good faith efforts to meet the 60-day rule are 
made but delays occur because of the action or inaction of entities 
beyond the providers' or suppliers' control.
    Response: We will continue to evaluate the nature and circumstances 
of the conduct and the exercise of discretion when deciding whether to 
pursue a case. The obligations of section 1128J(d) of the Act became 
effective upon enactment, without a final rule from CMS. However, CMS 
published its final rule on February 12, 2016. 81 FR 7654 (February 12, 
2016). The comments asking OIG to defer issuance of its final rule are 
therefore moot. We do not in this regulation provide definitions for or 
clarify the meaning of ``identify'' or clarify when the 60-day period 
begins. These topics are within CMS's purview and are included in its 
final rule. 81 FR at 7683.
    Comment: Some commenters stated that providers should not be 
penalized under section 1128A(a)(10) of the Act in cases in which good 
faith efforts to return overpayments could not be completed because of 
the inability of government contractors and their payment systems to 
receive the overpayment. The commenters complained that Medicare, 
Medicaid, and Medicaid managed care organizations (Medicaid MCOs) have 
payment process systems that can both cause overpayments and that can 
prevent providers from promptly returning overpayments. The commenters 
contended that when a provider discovers an overpayment and attempts to 
return it to a Medicaid MCO, if the Medicaid MCO has not yet corrected 
the system error that led to the overpayment, the Medicaid MCO may be 
unable accept the returned overpayment. The commenters argue that this 
leaves the provider with no avenue for the prompt return on the 
overpayment.
    Response: As stated above, CMS is responsible for issuing 
regulations concerning section 1128J(d) of the Act and, thus, these 
comments are outside the scope of this rulemaking. As they relate to 
OIG's enforcement of section 1128A(a)(10) of the Act, we will consider 
the nature and circumstances

[[Page 88345]]

of each alleged violation in determining whether to bring an 
enforcement action and at what amount to set the penalty and 
assessment. In situations in which a person attempts to return an 
overpayment but a Medicare contractor, Medicaid, or a Medicaid MCO 
rejects the returned overpayment at no fault of the person, it is 
unlikely that OIG would pursue an action.
    Comment: One commenter suggested that, when OIG begins imposing 
CMPs under section 1128A(a)(10) of the Act, OIG should impose CMPs of 
not more than $5,000 until OIG has more experience analyzing violations 
of that section.
    Response: We respectfully disagree with the commenter's suggestion. 
The obligations under section 1128J(d) have been in effect since the 
statute was enacted in March 2010. As with all other cases, OIG will 
determine the amount of the penalty and assessment pursuant to the 
criteria set forth in Sec.  1003.140 and Sec.  1003.220.
    Comment: Several commenters suggested that OIG exercise its 
authority under section 1128A(a)(10) of the Act in coordination with 
CMS to ensure that: (1) Providers' obligations are uniform across these 
agencies; and (2) actions by OIG and CMS are undertaken 
contemporaneously to ensure that the associated administrative burden 
on providers is minimized.
    Response: The OIG coordinates regularly with CMS on various program 
integrity efforts, including, as appropriate, on OIG administrative 
enforcement actions. As with many Medicare and Medicaid subject areas, 
CMS issues regulations on the 60-day repayment rule in section 1128J(d) 
and OIG is authorized to pursue administrative sanctions against those 
that violate the rule. However, as set forth in Sec.  1003.150, we have 
been delegated the enforcement responsibility for section 1128A(a)(10) 
of the Act.
    Comment: Two commenters requested that we clarify that penalties 
for violation of section 1128A(a)(10) of the Act set forth in the rule 
are the maximum allowed, leaving discretion to OIG to levy smaller 
penalties, or no penalties, in cases in which providers are acting in 
good faith or the delays in repayment are beyond the control of the 
provider.
    Response: We believe that the proposed rule's language, which we 
are finalizing, is clear on this point. All penalties in the proposed 
rule are described as ``not more than'' the applicable penalty amount.
    Comment: Several commenters requested that OIG clarify that the CMP 
at Sec.  1003.200(b)(6), regarding excluded persons who order or 
prescribe an item or service that will be paid for by a Federal health 
care program, applies only to the excluded person and not to the person 
who provides the service. Some of these commenters mentioned the 
example of an air ambulance provider who, as an emergency responder, 
responds only at the request of physicians to transport a patient to a 
different facility, or when called to an accident scene by the 
Emergency Medical System or other qualified dispatcher. In such an 
emergent situation, commenters stated it is nearly impossible for 
transport providers to know the exclusion status of those who ordered 
or prescribed the transport. One commenter acknowledged that the 
service itself will likely be considered non-covered, which would 
result in the provider having received an overpayment, but argued that 
the imposition of a CMP in addition to the overpayment would be unduly 
harsh.
    Response: We agree that, based on a plain reading of the statutory 
language, the CMP authority at Sec.  1003.200(b)(6) would be imposed 
against the excluded person who ordered or prescribed the item or 
service, not against the person who provided or supplied the items or 
services that were ordered or prescribed. With regard to emergency 
services, section 1862 of the Act and Sec.  1001.1901(c)(5) allow 
payment for emergency items or services not provided in an emergency 
room of a hospital in certain circumstances. Also, under section 1862 
of the Act and Sec.  1001.1901, items and services ordered or 
prescribed by an excluded person are not payable only if the person 
furnishing such item or service knew or had reason to know of the 
exclusion.
    Comment: Some emergency transport providers requested clarification 
that an emergency transport provider would not violate section 
1128A(a)(1)(B) of the Act or Sec.  1003.200(a)(2) for presenting a 
false or fraudulent claim when it relies upon a facially valid order to 
provide services. According to commenters, because of the emergency 
situation, there is little time to check the exclusion status of the 
ordering physician and no ability to refuse to provide the emergency 
services. Commenters recommended adding specific language to the 
regulations stating that, in the case of emergency services or 
transport, the provider or supplier would not be held liable for 
knowingly presenting such a claim if the ordering or prescribing 
physician was excluded.
    Response: We decline to adopt the commenters' recommendation. If 
the provider or supplier knew or had reason to know that the ordering 
physician was excluded, the provider or supplier also knew or should 
have known that the claim for those emergency services is not payable. 
Submitting that claim could subject the provider or supplier to 
liability under Sec.  1003.200(a)(2). In our experience, we have not 
seen a case in which an air ambulance provider submitted claims for 
emergency transportation ordered by an excluded individual and we 
believe such circumstances would be rare. We will continue to evaluate 
cases individually and use our discretion in determining which cases to 
pursue.
    Comment: Several commenters expressed concern about the aggravating 
factor at Sec.  1003.220(b)(3) relating to the amount of program loss. 
Specifically, the commenters suggested that OIG continue to use the 
``substantial loss'' threshold in applying this aggravating factor 
instead of the proposed ``$15,000 or more'' threshold. The commenters 
viewed $15,000 as relatively low and argued that it would unfairly 
apply more often to providers who bill for expensive items or services. 
The commenters asserted that a specific overpayment threshold may have 
no correlation to the number of claims in error or the significance of 
the issue giving rise to the overpayment, and argued that it should not 
automatically be considered an aggravating factor in determining the 
amount of penalties and assessments levied against the provider. 
Therefore, these commenters suggested that OIG maintain the flexibility 
to determine, on a case-by-case basis, what is a ``substantial loss.'' 
Other commenters agreed with the proposal to change ``substantial 
loss'' to ``$15,000 or more'' because it provided transparency and 
better guidance to the provider community.
    Response: We believe that a specific dollar threshold gives clearer 
guidance to the provider and supplier community and still permits the 
traditional case-by-case analysis of the facts and circumstances as 
discussed above. We agree, however, with those commenters who stated 
that the proposed $15,000 threshold is low. We have, instead, raised 
the ``substantial loss'' threshold to $50,000. Based on our experience 
resolving health care fraud matters, we believe $50,000 better reflects 
the threshold amount of loss for when a penalty or period of exclusion 
should be increased.
    Comment: Some commenters opposed the proposed change to the 
aggravating factor in proposed Sec.  1003.220(b)(4), which would amend 
existing Sec.  1003.106(b)(1)(iv) to include situations

[[Page 88346]]

in which the violation ``could have resulted'' in patient harm, 
premature discharge, or a need for additional services or subsequent 
hospital admission. These commenters complain that the ``could have 
resulted'' language requires OIG to establish only the mere possibility 
of harm, regardless of what actually occurred. Commenters believed that 
this change would vastly expand the application of this aggravating 
factor and urged OIG to retain the existing language at Sec.  
1003.106(b)(1)(iv).
    Response: We are finalizing the rule, as proposed. The existing 
regulation requires proof that the violation actually caused patient 
harm, premature discharge, or a need for additional services or 
subsequent hospital admission. This formulation is overly constrained 
for several reasons. The CMP authorities in this part, as a general 
matter, aim to redress fraud on the Federal health care programs by 
recovering funds, protecting the programs and beneficiaries from 
untrustworthy providers and suppliers, and deterring improper conduct 
by others. Accordingly, it is highly relevant if the conduct put 
beneficiaries at risk of patient harm. The requirement that OIG prove 
causation does not conform to this aim.
    Comment: Several commenters objected to the proposed definition of 
``reasonable request'' with respect to Sec.  1003.200(b)(10). 
Commenters asked OIG to add to the definition that a request is not 
reasonable unless the recipient has a reasonable period of time to 
respond, taking into account the recipient's resources, regular 
business hours, availability, the location of the records, and the 
complexity and scope of the request. Commenters also asked OIG to 
include an objective, minimum period for compliance, such as 2 weeks or 
10 days. Some commenters suggested that OIG include an exception to 
that minimum period when there is a demonstrated need for a faster 
response. One commenter asked OIG to use discretion when a recipient of 
a request, acting in good faith, does not meet the specified timelines.
    Response: We do not believe a minimum period is necessary or 
appropriate in this context. Given the different purposes for which OIG 
may request access to material, such as audits, evaluations, 
investigations, and enforcement actions, we believe the best approach 
to defining timely access and reasonable request is for OIG to specify 
the date for production or access to the material in a written request. 
In determining the period a provider has to comply with the request, 
OIG will consider the circumstances of the request, including the 
volume of material, size and capabilities of the party subject to the 
request, and OIG's need for the material in a timely way to fulfill its 
responsibilities. The exception to this approach is a case in which OIG 
has reason to believe that the requested material is about to be 
altered or destroyed. Under those circumstances, timely access means 
access at the time the request is made.
    Comment: Some commenters noted that a ``reasonable request'' must 
be ``made by a properly identified agent of OIG during reasonable 
business hours,'' but that the definition does not specify whether it 
refers to OIG's or the recipient's business hours. Commenters urged OIG 
to clarify that the request must be made during the recipient's regular 
business hours and when the recipient's office is open to the public.
    Response: ``Reasonable business hours'' means the recipient's 
business hours. This time includes when the recipient holds itself out 
to the public as open, such as for appointments or walk-in customers. 
However, a recipient may also conduct its business outside of the times 
when it is open to the public. We are finalizing the definition, as 
proposed.
    Comment: One commenter expressed concern about OIG's authority to 
exclude a provider under Sec.  1003.200(b)(10), asserting that OIG 
requests for information could get lost among other mail in light of 
the number of entities that request medical documentation from 
providers to validate services and payment. The commenter asked that a 
single, recognizable standard be put in place to clearly identify a 
request from OIG or any other auditing entity.
    Response: We do not believe that such a single standard needs to be 
put in place. The OIG requests for information are clearly identifiable 
as being from OIG. The requests are made in writing, appear on OIG 
letterhead, and are signed by OIG officials.
Subpart C--CMPs, Assessments, and Exclusions for Anti-Kickback and 
Physician Self-Referral Violations
    Subpart C contains the provisions relating to violations of the 
anti-kickback statute and physician self-referral law, which were found 
in the existing regulations at Sec.  1003.102(a)(5), (b)(9), (b)(10), 
and (b)(11). The proposed changes include various technical corrections 
to improve readability and ensure consistency with the language in the 
anti-kickback statute and physician self-referral law.
    We proposed revising the CMP provisions relating to the physician 
self-referral law to incorporate statutory terms that are unique to the 
physician self-referral law (section 1877 of the Act (42 U.S.C. 
1395nn)). These revisions include using ``designated health service'' 
instead of ``item or service'' and ``furnished'' instead of 
``provided.'' In addition, we proposed revising the authority regarding 
``cross-referral arrangements'' that was in the existing regulations at 
Sec.  1003.102(b)(10) to more closely reflect the statutory language. 
Section 1877(g)(4) of the Act provides for CMPs and exclusion against 
any physician or other person who enters into any arrangement or scheme 
(such as a cross-referral arrangement) that the physician or other 
person knows, or should know, has a principal purpose of ensuring 
referrals by the physician to a particular person who, if the physician 
directly made referrals to such person, would violate the prohibitions 
of 42 CFR 411.353. The regulations, at Sec.  1003.102(b)(10)(i), 
contained an example of a cross-referral arrangement whereby the 
physician-owners of entity ``X'' refer to entity ``Y'' and the 
physician-owners of entity ``Y'' refer to entity ``X'' in violation of 
42 CFR 411.353. While this is one example of a cross-referral 
arrangement, such arrangements and circumvention schemes can take a 
variety of forms. The proposed changes to the regulatory language more 
closely align the regulations to the statute to avoid any 
misinterpretation that Sec.  1003.102(b)(10)(i) limited the conduct 
that circumvents the prohibitions of the physician self-referral law.
    The proposed changes also include minor technical corrections to 
the CMPs related to the anti-kickback statute to improve consistency 
with the statute. First, we added the phrases ``to induce'' and ``in 
whole and in part'' to Sec.  1003.300(d) to better mirror the statutory 
language of the anti-kickback statute. The proposed change also 
clarified that the CMP at section 1128A(a)(7) of the Act permits 
imposing a penalty for each offer, payment, solicitation, or receipt of 
remuneration and that each action constitutes a separate violation. In 
addition, we included the language from the CMPL stating that the 
calculation of the total remuneration for purposes of an assessment 
does not consider whether any portion of the remuneration had a lawful 
purpose.
    We received no comments and finalize this subpart, as proposed, 
except that, for the reasons provided in response to comments to 
proposed Sec.  1003.220(b)(3), we increased the threshold for the 
aggravating factor at

[[Page 88347]]

Sec.  1003.302(b)(3) from $15,000 to $50,000.
Subpart D--CMPs and Assessments for Contracting Organization Misconduct
    Subpart D contains the proposed provisions for penalties and 
assessments against managed care organizations. We proposed several 
stylistic changes to the existing regulations at Sec.  1003.103(f). We 
changed the verbs in this subpart from past tense to present tense to 
conform to the statutory authorities and many other regulations in this 
part. The proposed regulation also removes superfluous phrases, such as 
``in addition to'' or ``in lieu of other remedies available under 
law.'' The proposed regulation replaced references to ``an individual 
or entity'' with ``a person'' because ``person'' is defined in the 
general section as an individual or entity. The proposed regulation 
also removes the phrase ``for each determination by CMS.'' The OIG may 
impose CMPs in addition to or in place of sanctions imposed by CMS 
under its authorities.
    We also added to the regulations OIG's authority to impose CMPs 
against Medicare Advantage contracting organizations pursuant to 
section 1857(g)(1) of the Act and against Part D contracting 
organizations pursuant to section 1860D-12(b)(3) of the Act.
    The ACA amended several provisions of the Act that apply to 
misconduct by Medicare Advantage or Part D contracting organizations. 
We included these provisions in the proposed regulations. We added the 
change in section 6408(b)(2)(C) of the ACA regarding assessing 
penalties against a Medicare Advantage or Part D contracting 
organization when its employees or agents, or any provider or supplier 
that contracts with it, violates section 1857 of the Act. We proposed 
to add the five new violations created in the ACA, and their 
corresponding penalties, at Sec.  1003.400(c). We also proposed to 
include the new assessments, which are available for two of the five 
new violations, at Sec.  1003.410(c). The proposed regulatory text 
closely mirrors that of the statute.
    The violations in this subpart are grouped according to the 
contracting organizations to which they apply. For instance, Sec.  
1003.400(a) violations apply to all contracting organizations. Section 
1003.400(b) violations apply to all Medicare contracting organizations, 
i.e., those with contracts under sections 1857, 1860D-12, or 1876 of 
the Act. Section 1003.400(c) violations apply to Medicare Advantage and 
Part D contracting organizations, i.e., those with contracts under 
sections 1857 or 1860D-12 of the Act. Section 1003.400(d) violations 
apply to Medicare Advantage contracting organizations, i.e., those with 
contracts under section 1857 of the Act. Section 1003.400(e) violations 
apply to Medicaid contracting organizations, i.e., those with contracts 
under section 1903(m) of the Act.
    We also proposed to remove the definition of ``violation,'' which 
was found at Sec.  1003.103(f)(6), because throughout this part, 
violation means each incident or act that violates the applicable CMP 
authority. We also proposed including aggravating circumstances to be 
used as guidelines for taking into account the factors listed in 
proposed Sec.  1003.140. These aggravating circumstances are adapted 
from those listed in the existing regulations at Sec. Sec.  
1003.106(a)(5) and 1003.106(b)(1) and those published in the Federal 
Register in July 1994. 59 FR 36072 (July 15, 1994).
    We received the following comments on the subpart. As discussed in 
response to the comments, we are finalizing this section of the rule as 
proposed.
    Comment: One commenter argued that certain alleged violations of 
Sec.  1003.410(d) by a contracting provider or supplier might not 
entirely be the responsibility of that provider and supplier, but 
rather the result of pressures from the Part C plans. The commenter 
asked that OIG not permit Part C plans to avoid responsibility under 
Sec.  1003.410(d) through indemnity clauses in the plans' contracts 
with providers and suppliers.
    Response: This comment is outside the scope of our rulemaking. The 
OIG does not have regulatory authority over the programmatic aspects of 
the Part C and Part D programs, which would include setting limitations 
on or requirements for contracting organizations' relationships with 
providers and suppliers. CMS has this programmatic authority, which 
includes, among many other things, implementing the provider 
indemnification limitations contained in section 1852 of the Act and at 
42 CFR 422.212.
    Comment: Two commenters expressed concern with the overlapping 
enforcement authority of OIG and CMS with regard to Part D contracting 
organizations. The commenters argued that this overlap could subject 
Part D contracting organizations to duplicative enforcement actions, 
multiple audits of the same activities, and potentially inconsistent 
standards and interpretations of regulatory requirements. The 
commenters recommended that CMS be the sole enforcement authority with 
respect to those areas for which OIG and CMS share jurisdiction, except 
in cases in which OIG's unique investigative authority is necessary to 
determine non-compliance. One commenter recommended that OIG state that 
compliance with the Part D requirements, when assessed by CMS, will be 
deemed to be compliance with OIG's enforcement authorities. The 
commenter argued that, if CMS has already performed audits and other 
oversight activity, there is no reason for OIG to duplicate this work.
    Response: We do not agree with the comments. The OIG and CMS have 
concurrent jurisdiction in various matters concerning the Medicare 
program, including this area. CMS and OIG have internal mechanisms in 
place to ensure that the other agency within the Department is not 
simultaneously pursuing a CMP for the same or similar conduct. The OIG 
will continue to coordinate appropriately with CMS on potentially 
overlapping CMP enforcement actions.
    Comment: A commenter requested a change in the new authority at 
Sec.  1003.400(b)(2) relating to employing or contracting with an 
excluded person for the provision of health care, utilization review, 
medical social work, or administrative services, or employing or 
contracting with an entity for the provision of such services directly 
or indirectly through an excluded person. Specifically, the commenter 
requested that a plan's liability cease with its employees and direct 
contractors and not extend to the employees or contractors of its 
contractor, whether a health care provider or otherwise. The commenter 
accordingly requested that OIG revise Sec.  1003.400(b)(2) by striking 
the text after the term ``administrative services.'' To support this 
recommendation, the commenter noted that plans contract with numerous 
providers, including health systems, that, in turn, employ or contract 
vast numbers of persons. The commenter argued that plans would not be 
able to identify all of the individuals that a health system employs 
nor the persons with which a health system contracts.
    Response: The proposed regulation mirrors the statutory language. 
Specifically, the ACA created a cause of action against a contracting 
organization that employs or contracts with an excluded person for the 
provision of health care, utilization review, medical social work, or 
administrative services, or employs or contracts with any entity for 
the provision of such services (directly or indirectly) through an 
excluded person. Accordingly, we are

[[Page 88348]]

finalizing this section of the rule, as proposed.
    Comment: A commenter also asserted that OIG's proposed reference to 
``health care, utilization review, medical social work, or 
administrative services'' is overly broad and asked OIG to revise 
``administrative services'' to ``administrative services for a Medicare 
or Medicaid eligible individual.''
    Response: We believe that the commenter's proposed revision is 
inappropriately narrow and does not reflect the statutory language. The 
regulation mirrors the language of the ACA. Second, there may be 
administrative services related to a Federal health care program that 
are not for a specific Medicare- or Medicaid-eligible individual.
    Comment: A commenter requested clarification on the potential 
liability of plans for claims submitted by out-of-network providers or 
suppliers who have no privity of contract with the health plan.
    Response: The CMP authority at Sec.  1003.400(b)(2) does not apply 
to out-of-network providers or suppliers because the plan did not 
employ or contract with that person.
Subpart E--CMPs and Exclusions for EMTALA Violations
    Subpart E contains the penalty and exclusion provisions for 
violations of EMTALA, section 1867 of the Act (42 U.S.C. 1395dd). 
EMTALA was passed in 1986 as part of the Consolidated Omnibus Budget 
Reconciliation Act of 1985 (COBRA), Public Law 99-272. Section 1867 of 
the Act sets forth the obligations of a Medicare-participating hospital 
to provide medical screening examinations to individuals who come to 
the hospital's emergency department and request examination or 
treatment for a medical condition. EMTALA further provides that, if the 
individual has an emergency medical condition, the hospital is 
obligated to stabilize that condition or to arrange for an appropriate 
transfer to another medical facility where stabilizing treatment can be 
provided. EMTALA also requires hospitals with specialized capabilities 
or facilities to accept appropriate transfers of individuals from other 
hospitals. Finally, EMTALA creates obligations for physicians 
responsible for the examination, treatment, or transfer of an 
individual in a participating hospital, including a physician on call 
for the care of that individual. The CMS regulations related to section 
1867 of the Act are found at 42 CFR 489.24.
    Under section 1867(d) of the Act, participating hospitals and 
responsible physicians may be liable for CMPs of up to $50,000 ($25,000 
for hospitals with fewer than 100 State-licensed and Medicare-certified 
beds) for each negligent violation of their respective EMTALA 
obligations. Responsible physicians are also subject to exclusion for 
committing a gross and flagrant or repeated violation of their EMTALA 
obligations. The OIG's regulations concerning the EMTALA CMPs and 
exclusion are at 42 CFR 1003.102(c), 103(e) and 106(a)(4) and (d).
    We proposed several updates to the EMTALA CMP regulations. First, 
as part of our proposed general reorganization, we have included the 
EMTALA authorities within a separate subpart. Further, the proposed 
revision removed outdated references to the pre-1991 ``knowing'' 
scienter requirement. We also proposed minor revisions to emphasize 
that the CMP may be assessed for each violation of EMTALA and that all 
participating hospitals subject to EMTALA, including those with 
emergency departments and those with specialized capabilities or 
facilities, are subject to penalties.
    We proposed revising the ``responsible physician'' definition to 
clarify that on-call physicians at any participating hospital subject 
to EMTALA, including the hospital to which the individual initially 
presented and the hospital with specialized capabilities or facilities 
that has received a request to accept an appropriate transfer, face 
potential CMP and exclusion liability under EMTALA.
    Section 1867(d) of the Act provides that any physician who is 
responsible for the examination, treatment, or transfer of an 
individual in a participating hospital, including any physician on-call 
for the care of such an individual, and who negligently violates 
section 1867 of the Act may be penalized under section 1867(d)(1)(B) of 
the Act. The definition of ``responsible physician'' also provides for 
on-call physician liability. We proposed to revise the definition to 
clarify the circumstances when an on-call physician has EMTALA 
liability. An on-call physician who fails or refuses to appear within a 
reasonable time after such physician is requested to come to the 
hospital for examination, treatment, or transfer purposes is subject to 
EMTALA liability. This includes on-call physicians at the hospital 
where the individual presents initially and requests medical 
examination or treatment as well as on-call physicians at a hospital 
with specialized capabilities or facilities where the individual may 
need to be transferred. In addition, an on-call physician at the 
hospital with specialized capabilities or facilities may violate EMTALA 
by refusing to accept an appropriate transfer.
    We also proposed revising the factors that were set forth in 
Sec. Sec.  1003.106(a)(4) and (d) to improve clarity and better reflect 
OIG's enforcement policy. First, we proposed clarifying that the 
factors listed in proposed Sec.  1003.520 will be used in making both 
CMP and exclusion determinations. Further, we proposed incorporating 
the general factors listed in Sec.  1003.140 and provide additional 
guidance on the EMTALA subpart at proposed Sec.  1003.520. Many of the 
factors that were in Sec.  1003.106(a)(4) and (d) duplicate those 
general factors.
    Finally, we examined the factors that were at Sec.  1003.106(d) in 
light of our lengthy enforcement experience. Congress enacted EMTALA to 
ensure that individuals with emergency medical conditions are not 
denied essential lifesaving services. 131 Cong. Rec. S13904 (daily ed. 
Oct. 23, 1985) (statement of Sen. David Durenberger); H.R. Rep. No 99-
241, pt. 1, at 27 (1986), reprinted 1986 U.S.C.C.A.N. 579, 605. In 
light of this statutory purpose, the circumstances surrounding the 
individual's presentment to a hospital are important to determinations 
about whether and to what extent a CMP or an exclusion is appropriate. 
Thus, the proposed regulations revised the factors to clarify that 
aggravating circumstances include: A request for proof of insurance or 
payment prior to screening or treating; patient harm, unnecessary risk 
of patient harm, premature discharge, or a need for additional services 
or subsequent hospital admission that resulted, or could have resulted, 
from the incident; and whether the individual presented with an 
emergency medical condition. While we removed the language at Sec.  
1003.106(a)(4), we consider these circumstances to be included in the 
general factors listed at proposed Sec.  1003.140. Thus, while the 
proposed regulations do not state that OIG will consider ``other 
instances where the respondent failed to provide appropriate medical 
screening examination, stabilization and treatment of individuals 
coming to a hospital's emergency department or to effect an appropriate 
transfer,'' OIG will consider each of these failures when determining a 
penalty because they relate to a respondent's history.
    We concluded that for several reasons, the mitigating factors 
should be removed. Because of the overall statutory purpose, the fact-
specific nature of EMTALA violations, and the CMS certification 
process, the mitigating factors that were found at

[[Page 88349]]

Sec.  1003.106(d) are not useful in determining an appropriate penalty 
amount. For example, Sec.  1003.106(d)(5) stated that it should be 
considered a mitigating circumstance if an individual presented a 
request for treatment but subsequently exhibited conduct that 
demonstrated a clear intent to leave the hospital voluntarily. In our 
enforcement activities, however, we have found situations in which the 
individual may have demonstrated a clear intent to leave because the 
hospital failed to properly screen the individual within a reasonable 
amount of time. We do not believe that in this circumstance, the 
hospital's penalty should be mitigated. Further, the factor at Sec.  
1003.106(d)(6)(A) in the existing regulation is not relevant to 
mitigation because developing and implementing a corrective action plan 
is a requirement of the CMS certification process following an 
investigation of an EMTALA violation. However, in response to comments 
discussed below, we have determined that certain corrective action 
could be mitigating. Specifically, it should be considered a mitigating 
circumstance if a hospital took appropriate and timely corrective 
action in response to the violation prior to CMS initiating an 
investigation. That corrective action must include disclosing the 
violation to CMS prior to CMS receiving a complaint regarding the 
violation from another source or otherwise learning of the violation.
    We will continue to evaluate the circumstances of each EMTALA 
referral to determine whether to exercise our discretion to pursue the 
violation and to determine the appropriate remedy.
    We received the following comments on the subpart. To the extent 
the provisions of the proposed rule are not addressed in response to 
the comments below, we are finalizing this section of the rule, as 
proposed.
    Comment: One commenter urged OIG to adopt a regulation that does 
not impose penalties where the violation of EMTALA is based only on 
negligence and not on willful conduct.
    Response: The suggestion is beyond the scope of the proposed rule 
and does not reflect the statutory language, which sets the scienter 
level at negligence.
    Comment: Several commenters addressed OIG's changes to the 
definition of ``responsible physician.'' One commenter requested that 
OIG clarify that it is not creating a new application of EMTALA to 
hospitals with specialized capabilities, but simply clarifying that on-
call physicians at hospitals with specialized capabilities are 
considered ``responsible physicians.'' Another commenter asserted that 
OIG's revised definition is an expansion of EMTALA to physicians and 
on-call physicians who fail to accept an appropriate transfer. This 
commenter argued that the nondiscrimination provisions in section 
1867(g) of the Act apply only to participating hospitals and do not 
create CMP liability for physicians at such hospitals. One commenter 
noted that assessing whether a responsible physician has neglected his 
or her responsibilities under EMTALA is a rigorous undertaking. The 
commenter said that the assessment should include more than whether the 
on-call physician showed up when called, but also whether the on-call 
physician was in the operating room when called or whether a community 
call arrangement existed. Finally, a commenter urged OIG to ensure that 
its enforcement against a ``responsible physician'' is consistent with 
the regulations and guidance promulgated by CMS.
    Response: We are finalizing the rule, as proposed. In response to 
comments, we confirm that OIG is clarifying that on-call physicians at 
hospitals with specialized capabilities are considered ``responsible 
physicians.'' The OIG believes this is an appropriate reading of the 
statute and that the proposed regulation does not expand the 
application of EMTALA. The OIG recognizes that a determination of 
potential liability for an on-call physician is fact-intensive and 
takes into account factors that include a hospital's compliance with 
CMS regulations and guidance regarding the adoption of written policies 
governing on-call physicians and an on-call physician's compliance with 
such policies.
    Comment: Several commenters discussed OIG's proposal to remove the 
mitigating factors related to EMTALA CMPs. Two commenters objected to 
the removal of the mitigating factor under which an individual 
presented a request for treatment but subsequently exhibited conduct 
that demonstrated a clear intent to leave the hospital voluntarily. 
Another commenter stated that removal of this mitigating factor would 
remove consideration of a hospital's or physician's attempts to comply 
with EMTALA's requirements where they were unable to do so because of 
patient conduct over which they had no control. Further, a commenter 
asserted that EMTALA is not violated when a patient leaves of his or 
her free will.
    Response: We are finalizing the rule, as proposed. The OIG believes 
that the evaluation of whether an EMTALA violation occurred when the 
individual who presented for treatment left the hospital voluntarily is 
fact- and circumstance-specific. If no violation is found to have 
occurred, the lack of the former mitigating factor would be of no 
consequence. If a violation is found to have occurred, the patient's 
having left voluntarily should not be a mitigating circumstance.
    Comment: A commenter stated that additional mitigating factors, 
including the implementation of appropriate policies, procedures, 
training and action against hospital personnel prior to a CMS 
investigation, are useful and fair factors to distinguish hospitals 
making good faith and effective efforts to address EMTALA violations.
    Response: The OIG agrees and has added as a mitigating factor 
situations in which a hospital takes appropriate and timely corrective 
action in response to a violation. For purposes of this mitigating 
factor, corrective action must be completed prior to CMS initiating an 
investigation of the hospital for violations of EMTALA and must include 
disclosing the violation to CMS prior to CMS receiving a complaint 
regarding the violation from another source or otherwise learning of 
the violation.
    Comment: One commenter objected to the proposed removal of the term 
``clearly'' from the existing regulation at Sec.  1003.106(d)(2). The 
commenter stated that, under proposed Sec.  1003.520(c), an aggravating 
circumstance would exist even if screenings were applied with optimal 
consistency and fairness. The commenter asserted that even hospitals' 
and physicians' best efforts to comply with EMTALA will invariably fail 
to identify an emergency medical condition and, therefore, physicians 
and hospitals may be subject to maximum CMPs even in cases in which the 
violation falls short of negligence.
    Response: The OIG is finalizing the proposal. While determination 
of EMTALA violations are fact- and circumstance-dependent, OIG would 
not impose a CMP where a physician or hospital did not at least 
demonstrate negligence in failing to comply with EMTALA. Further, if 
the hospital complied with EMTALA and still failed to diagnose an 
emergency medical condition, there would be no violation.
    Comment: Several commenters addressed OIG's proposed aggravating 
factors. One commenter expressed concern with including premature 
discharge in the aggravating factor at Sec.  1003.520(b) given 
continually evolving triage proposals and Federal guidelines that 
support reduction in emergency department use. That commenter further 
stated that all three of OIG's proposed aggravating factors were vague 
and subject to widely varying

[[Page 88350]]

interpretations. Another commenter expressed concern that the use of 
the phrase ``could have resulted'' in Sec.  1003.520(b) would divorce 
the list of potential aggravating factors from a causal nexus to the 
EMTALA violation.
    Response: In response to the comments, OIG is revising the proposed 
aggravating factor at Sec.  1003.520(b) to include only patient harm or 
risk of patient harm that resulted from the incident. However, ``risk 
of patient'' harm could, depending on the facts and circumstances of a 
case, include premature discharge or the need for additional services. 
The existing regulation requires OIG to prove that patient harm 
actually resulted from the violation. This formulation is overly 
constrained. It is highly relevant if the violation put a beneficiary 
at risk of patient harm. Contrary to the commenter's assertion that the 
proposed aggravating factors are vague, OIG considers them to be clear 
and specific and based on OIG's lengthy experience pursuing penalties 
for violations of EMTALA.
Subpart F--CMPs for Section 1140 Violations
    Subpart F applies to violations of section 1140 of the Act (42 
U.S.C. 1320b-10). The most significant proposed change to this subpart 
was clarifying the application of section 1140 of the Act to 
telemarketing, Internet, and electronic mail solicitations. Section 
1140 of the Act, as amended by the Bipartisan Budget Act of 2015 
(Bipartisan Budget Act, Pub. L. 114-74, section 814(a), 129 stat. 604 
(2015)), prohibits the use of words, letters, symbols, or emblems of 
HHS, CMS, Medicare, or Medicaid in connection with ``an advertisement, 
solicitation, circular, book, pamphlet, or other communication 
(including any Internet or other electronic communication), or a play, 
motion picture, broadcast, telecast, or other production'' in a manner 
that could reasonably be interpreted as conveying the false impression 
that HHS, CMS, Medicare, or Medicaid has approved, endorsed, or 
authorized such use. (Emphasis added.)
    We previously defined conduct that constituted a violation for (1) 
direct or printed mailing solicitations or advertisements and (2) 
broadcasts or telecasts. The proposed regulations were updated to also 
reflect telephonic and Internet communications. Under a plain reading 
of the Act, telemarketing solicitations, email, and Web sites fall 
within the statutory terms emphasized above. In fact, since the 
publication of the proposed rule, the Bipartisan Budget Act of 2015 
amended section 1140(a)(1) of the Act to expressly include Internet and 
other electronic communications. We believe telephonic and Internet 
communications are analogous to, and therefore proposed imposing 
penalties that would apply in the same manner as, those for direct mail 
and other printed materials. The number of individuals who received 
direct mail and other printed materials can be more easily quantified 
than the number of individuals who saw a television commercial or heard 
a radio commercial. Telemarketing calls, electronic messages, and Web 
page views can be similarly quantified. Thus, we proposed subjecting 
telemarketing, email, and Web site violations to the same $5,000 
penalty as printed media. Each separate email address that received the 
email, each telemarketing call, and each Web page view would constitute 
a separate violation. This proposal is further supported by the 
Bipartisan Budget Act of 2015, which amended section 1140(b) of the Act 
to state that, for violations involving the Internet or other 
electronic communications, ``each dissemination, viewing, or accessing 
of such communication . . . shall represent a separate violation.'' 
Bipartisan Budget Act of 2015, section 814(b).
    The final rule includes changes from the proposed rule to reflect 
the Bipartisan Budget Act of 2015. We changed ``electronic message'' 
and ``electronic mail'' to ``electronic communication.'' We also state 
``each dissemination, viewing, or accessing of the electronic 
communication,'' as opposed to ``each separate email address that 
received the email message,'' will constitute a violation. The proposed 
rule used email addresses as a way to determine the number of 
disseminations, views, or accessing of the communication. Because not 
all ``electronic communications'' involve an ``email address,'' we 
believe ``each dissemination, viewing, or accessing of the electronic 
communication'' is a more appropriate description of potential 
violations of the rule.
    We received no comments on this subpart and finalize, as proposed, 
except as explained above.
Subpart H--CMPs for Adverse Action Reporting and Disclosure Violations
    Subpart H covers violations for failing to report payments in 
settlement of a medical malpractice claim in accordance with section 
421 of Public Law 99-660 (42 U.S.C. 11131); failing to report adverse 
actions pursuant to section 221 of Public Law 104-191 as set forth in 
section 1128E of the Act (42 U.S.C. 1320a-7e); or improperly 
disclosing, using, or permitting access to information reported in 
accordance with Part B of Title IV of Public Law 99-660 (42 U.S.C. 
11137).
    The language in proposed subpart H remains largely unchanged from 
the existing regulations at Sec. Sec.  1003.102(b)(5)-(6) and 
Sec. Sec.  1003.103(c), (g). We proposed to remove the reference to the 
Healthcare Integrity and Protection Data Bank (HIPDB) in conformity 
with section 6403(a) of the ACA, which removed the reference from 
section 1128E of the Act. The relevant reporting requirements, 
violation, and penalties would remain unchanged. Under section 1128E of 
the Act, providers must still report the same information. Once the 
HIPDB is phased out pursuant to section 6403(a) of ACA, the information 
will be collected and stored in the National Practitioner Data Bank 
established pursuant to the Health Care Quality Improvement Act of 1986 
(42 U.S.C. 11101 et seq.). In the penalty section, we proposed to 
clarify that a CMP may be imposed for each failure to report required 
information or adverse action and for each improper disclosure, use, or 
permitting of access to information.
    We received no comments on this subpart and finalize, as proposed.
Subpart I--CMPs for Select Agent Program Violations
    Subpart I contains penalties for violations involving select 
agents, found in the existing regulations at Sec.  1003.102(b)(16) and 
Sec.  1003.103(l). The Public Health Security and Bioterrorism 
Preparedness and Response Act of 2002 (Bioterrorism Act of 2002), 
Public Law 107-188, provides for the regulation of certain biological 
agents and toxins (referred to below as ``select agents and toxins'') 
by HHS. The regulations created pursuant to the Bioterrorism Act of 
2002 are found at 42 CFR part 73. The regulations set forth 
requirements for the possession and use in the United States, receipt 
from outside the United States, and transfer within the United States 
of the select agents and toxins. For each violation of 42 CFR part 73, 
OIG is authorized to impose CMPs of up to of $250,000 in the case of an 
individual, and $500,000 in the case of an entity.
    Proposed subpart I explains that the CMP may be assessed for each 
individual violation of 42 CFR part 73. The Bioterrorism Act of 2002 
states that any person who violates ``any provision'' of the 
regulations is subject to the maximum statutory penalty. The plain 
meaning of ``any provision'' means that any single violation can

[[Page 88351]]

subject a person to the maximum penalty. Thus, we proposed amending the 
regulation to add ``each individual'' before ``violation'' to clarify 
our longstanding interpretation of this section to mean that each 
violation subjects a person to a CMP up to the maximum amount.
    In addition, proposed subpart I includes several aggravating 
circumstances to guide our penalty determinations. Aggravating factors 
include: (1) The Responsible Official participated in or knew or should 
have known of the violation; (2) the violation was a contributing 
factor, regardless of proportionality, to an unauthorized individual's 
access to or possession of a select agent or toxin, an individual's 
exposure to a select agent or toxin, or the unauthorized removal of a 
select agent or toxin from the person's physical location as identified 
on the person's certificate of registration; and (3) the person 
previously received a statement of deficiency from HHS or the 
Department of Agriculture for the same or substantially similar 
conduct. In the final rule, we removed ``regardless of 
proportionality'' from the second aggravating factor. Such 
proportionality would be relevant to our qualitative weighing of the 
aggravating factor, but it would not be relevant to the applicability 
of the aggravating factor. We also added ``observation'' and 
``finding'' to previous ``statements of deficiency'' in the third 
aggravating factor to better reflect the terminology used by HHS and 
the Department of Agriculture in Facility Inspection Reports.
    We received no comments on this subpart and, except as noted above, 
finalize, as proposed.
Subpart J--CMPs, Assessments, and Exclusions for Beneficiary Inducement 
Violations
    Subpart J covers two statutory provisions concerning beneficiary 
inducement violations. We proposed moving the existing regulation, 
Sec.  1003.102(b)(13), concerning the beneficiary inducement provision 
in the CMPL (section 1128A(a)(5) of the Act), to this subpart. We also 
proposed regulatory language for the authority at section 1862(b)(3)(C) 
of the Act. The statutory authority is self-implementing and does not 
require a regulation. We proposed adding the regulatory language at 
this time in light of the general reorganization. Under section 
1862(b)(3)(C) of the Act, a penalty of up to $5,000 may be imposed 
against any person who offers any financial or other incentive for an 
individual entitled to benefits under Medicare not to enroll, or to 
terminate enrollment, under a group health plan or a large group health 
plan that would, in the case of such enrollment, be a primary plan as 
defined in section 1862(b)(2)(A) of the Act. The proposed regulatory 
text closely follows the language of the statute.
    We proposed to incorporate the general factors listed in Sec.  
1003.140 for determining amounts of penalties and assessments for 
violations in this subpart and to clarify that we will consider the 
amount of remuneration, other financial incentives, or other 
incentives. This provision was in the existing regulations at Sec.  
1003.106(a)(1)(vii).
    We changed the basis for penalties for violations of Sec.  
1003.1000(a) in the final rule to reflect the statute, which uses the 
CMPL default of penalties for each item or service.
    We received the following comment on this subpart. As the comment 
was outside the scope of this rulemaking, we are finalizing this 
subpart, as proposed, except as explained above.
    Comment: A commenter urged OIG to include in proposed Sec.  
1003.1000(a) the current exceptions to the beneficiary inducement 
prohibition. As examples, the commenter included gifts or free services 
to beneficiaries that do not exceed $10 per item and $50 annually, and 
services or other remuneration permissibly furnished to financially 
needy beneficiaries.
    Response: Any exceptions to liability under Sec.  1003.1000(a) 
would be appropriately located in the definition of ``remuneration,'' 
which is at Sec.  1003.101, not in Sec.  1003.1000(a) itself. Any 
proposed amendments to the definition of ``remuneration'' are outside 
the scope of this rulemaking. The OIG proposed changes to that 
definition in a separate notice of proposed rulemaking, 79 FR 59,717 
(October 3, 2014). The OIG plans to address the dollar limits discussed 
in this comment as part of that other rulemaking. Moreover, the 
examples raised by the commenter do not clearly fall within any of the 
exceptions set forth at Sec.  1128A(i)(6) of the Act.
Subpart K--CMPs for the Sale of Medicare Supplemental Policies
    Subpart K covers violations relating to the sale of Medicare 
supplemental policies. The statutory authority is self-implementing and 
does not require a regulation. Omnibus Budget Reconciliation Act of 
1990, Public Law 101-508, section 4354(c), 104 Stat. 3327 (1990); 42 
U.S.C. 1395ss(d). However, we proposed adding the regulatory language 
at this time in light of the general reorganization.
    The OIG may impose a penalty against any person who it determines 
has violated section 1882(d)(1) of the Act (42 U.S.C. 1395ss(d)(1)) by 
knowingly and willfully making or causing to be made or inducing or 
seeking to induce the making of any false statement or representation 
of material fact with respect to the compliance of any policy with 
Medicare supplemental policy standards and requirements or with respect 
to the use of the Secretary's emblem (described at section 1882(a)(1) 
of the Act (42 U.S.C. 1395ss(a)(1))) indicating that a policy has 
received the Secretary's certification. We proposed to add this 
violation at Sec.  1003.1100(a).
    The OIG may impose a penalty against any person who it determines 
has violated section 1882(d)(2) of the Act (42 U.S.C. 1395ss(d)(2)) by 
falsely assuming or pretending to be acting, or misrepresenting in any 
way that he is acting, under the authority of or in association with, 
Medicare or any Federal agency, for the purpose of selling or 
attempting to sell insurance, or in such pretended character demands or 
obtains money, paper, documents or anything of value. We proposed to 
add this violation at Sec.  1003.1100(b).
    The OIG may also impose a penalty against any person who it 
determines has violated section 1882(d)(4)(A) of the Act (42 U.S.C. 
1395ss(d)(4)(A)) by mailing or causing to be mailed any matter for 
advertising, soliciting, offering for sale, or the delivery of Medicare 
supplemental insurance policy that has not been approved by the State 
commissioner or superintendent of insurance. We proposed to add this 
violation at Sec.  1003.1100(c).
    The OIG may impose a penalty against any person who it determines 
has violated section 1882(d)(3)(A)(i) of the Act (42 U.S.C. 
1395ss(d)(3)(A)) by issuing or selling to an individual entitled to 
benefits under Part A or enrolled in Part B (including an individual 
electing a Medicare Part C plan): (1) A health insurance policy with 
the knowledge that the policy duplicates Medicare or Medicaid health 
benefits to which the individual is otherwise entitled; (2) a Medicare 
supplemental policy to an individual who has not elected a Medicare 
Part C plan where the person knows that the individual is entitled to 
benefits under another Medicare supplemental policy; (3) a Medicare 
supplemental policy to an individual who has elected a Medicare Part C 
plan where the person knows that the policy duplicates health

[[Page 88352]]

benefits to which the individual is otherwise entitled under the 
Medicare Part C plan or under another Medicare supplemental policy; and 
(4) a health insurance policy (other than a Medicare supplemental 
policy) with the knowledge that the policy duplicates health benefits 
to which the individual is otherwise entitled, other than benefits to 
which the individual is entitled under a requirement of State or 
Federal law. We proposed to add this violation at Sec.  1003.1100(d).
    The OIG may also impose a penalty against any person who violated 
section 1882(d)(3)(A)(vi)(II) of the Act (42 U.S.C. 
1395ss(d)(3)(A)(vi)(II)) by issuing or selling a health insurance 
policy (other than a policy described in section 1882(d)(3)(A)(vi)(III) 
of the Act) to an individual entitled to benefits under Part A or 
enrolled under Part B who is applying for a health insurance policy 
without furnishing a disclosure statement (described at section 
1882(d)(3)(A)(vii) of the Act). We proposed to add this violation at 
Sec.  1003.1100(e).
    The OIG may also impose a penalty against any person who it 
determines has violated section 1882(d)(3)(B)(iv) of the Act (42 U.S.C. 
1395ss(d)(3)(B)(iv)) by issuing or selling a Medicare supplemental 
policy to any individual eligible for benefits under Part A or enrolled 
under Part B without obtaining the written statement from the 
individual or written acknowledgement from the seller required by 
section 1882(d)(3)(B) of the Act (42 U.S.C. 1395ss(d)(3)(B)). We 
proposed to add this violation at Sec.  1003.1100(f).
    For violations of section 1882(d)(1), (d)(2), and (d)(4)(A) of the 
Act, OIG may impose a penalty of not more than $5,000 for each 
violation. We proposed to add this penalty at Sec.  1003.1110(a). For 
violations of section 1882(d)(3)(A) and (B) of the Act, OIG may impose 
a penalty of not more than $25,000 for each violation by a seller that 
is also the issuer of the policy and a penalty of not more than $15,000 
for each violation by a seller that is not the issuer of the policy. We 
proposed to add these penalties at Sec. Sec.  1003.1110(b) and (c). In 
determining the amount of the penalty in accordance with proposed 
subpart K, OIG would consider the factors listed in the proposed Sec.  
1003.140.
    We received the following comment on this subpart. As discussed 
below, we are finalizing this subpart, as proposed.
    Comment: A commenter requested that OIG defer adopting the proposed 
Sec.  1003.1100(d), which relates to the issuance or sale of 
duplicative coverage, until the application of the prohibitions in that 
section to QHPs and State and Federally facilitated exchanges are 
better understood. The commenter stated that questions arose during the 
2013 open enrollment period for exchange-based health insurance 
coverage as to individuals eligible for or enrolled in Medicare and 
exchange-based health insurance coverage. According to the commenter, 
some exchanges did not inquire as to a beneficiary's Medicare status 
prior to instructing plans to enroll these individuals into QHPs. The 
commenter asserted that exchanges are best-positioned to verify an 
individual's Medicare status and that it would be inappropriate to 
penalize QHPs under this CMP authority.
    Response: We respectfully disagree with the suggestion to defer 
issuance of the regulation and are finalizing the rule, as proposed. 
The CMP authorities covered in this subpart have existed in statute for 
many years and should be added to part 1003 at this time in light of 
our reorganization. In addition, the concerns raised by the commenter 
appear to be addressed by the fact that Sec.  1003.1100(d)(1) and (2) 
apply only when a health insurance policy is issued with knowledge that 
the policy duplicates health benefits to which the individual is 
otherwise entitled.
Subpart L--CMPs for Drug Price Reporting
    Subpart L contains the CMPs for drug-price reporting found in 
section 1927(b)(3)(B)-(C) of the Act (42 U.S.C. 1396r-8(b)(3)(B)-(C)). 
Although the statutory authority is self-implementing and does not 
require a regulation, we proposed adding the regulatory language at 
this time in light of the general reorganization. The proposed 
regulation text closely mirrors the language of the statute.
    Section 1927(a) of the Act implements a drug-pricing program in 
which manufacturers that sell covered outpatient drugs to covered 
entities must agree to charge a price that will not exceed an amount 
determined under a statutory formula. Under section 1927(a) of the Act, 
manufacturers must provide certain statutorily mandated discounts to 
covered entities. Section 1927(b)(3)(A) of the Act requires 
manufacturers with Medicaid Drug Rebate Agreements to provide specified 
drug-pricing and product information to the Secretary, including, but 
not limited to, average manufacturer price (AMP), average sales price 
(ASP), wholesale acquisition cost, and best price. Labelers are 
required to certify each product and pricing data submission made to 
CMS.
    Manufacturers submit the product and pricing information required 
by section 1927 of the Act using the National Drug Code (NDC) product 
identifier. The OIG proposed calculating CMPs under section 
1927(b)(3)(C) of the Act at the NDC level. For example, a manufacturer 
that fails to provide the information required by section 1927(b)(3)(A) 
of the Act for five separate NDCs may be penalized for each NDC, in an 
aggregate amount of not more than $50,000 per day for each day that the 
information is not provided. If, after 2 days, the manufacturer in this 
example submitted information for two of the missing NDCs, the 
manufacturer would be subject to an aggregate penalty of not more than 
$30,000 per day for each additional day that information was not 
provided for the remaining three NDCs. The OIG believes that this 
interpretation is supported by the statutory text, which refers to 
NDCs, and by the reporting systems employed by CMS, under which 
manufacturers are required to report AMP and ASP product and pricing 
data using NDCs.
    Section 1927(b)(3)(B) of the Act provides for verification surveys 
of AMPs and establishes that a penalty of not more than $100,000 may be 
imposed against a wholesaler, direct seller, or manufacturer that 
directly distributes its covered outpatient drugs for refusing a 
request for information by, or for knowingly providing false 
information to, the Secretary about charges or prices in connection 
with such a survey.
    Pursuant to section 1927(b)(3)(C) of the Act, OIG may impose a 
penalty of not more than $100,000 against any manufacturer with an 
agreement under section 1927 of the Act that knowingly provides false 
information for each item of false information.
    We received the following comments on this subpart. To the extent 
provisions of the proposed rule are not addressed in our response to 
the comments below, we are finalizing this section of the rule, as 
proposed.
    Comment: One commenter expressed concern with OIG's proposal to 
calculate penalties at the NDC level instead of per late report. The 
commenter argued that, where one report contained multiple NDCs, 
imposing multiple penalties per day instead of one penalty per day 
would be unduly harsh.
    Response: The OIG is finalizing the rule, as proposed. The OIG 
believes that this interpretation is supported by the statutory text, 
which refers to NDCs, and by the reporting systems employed by CMS, 
under which manufacturers are required to report AMP and ASP product 
and pricing data using NDCs.
    Comment: One commenter expressed concern with OIG's proposal to

[[Page 88353]]

calculate penalties at the 9-digit NDC level. The commenter suggested 
that OIG avoid establishment of a bright-line rule that would rigidly 
define products at the 9-digit NDC level for the purposes of 
calculating penalties. This commenter noted that the preamble language 
in which OIG proposed calculating penalties at the 9-digit NDC level is 
not reflected in the regulation text.
    Response: We agree that OIG should have discretion to determine the 
appropriate NDC level at which to calculate penalties based on the 
particular requirements and submissions for each manufacturer. Neither 
section 1927(b)(3)(C) of the Act nor the regulation dictates which NDC 
level must be used in calculating the penalties. Therefore, we have not 
included the discussion of 9-digit and 11-digit NDC levels in the text 
of the final rule. To the extent the commenter may have been 
recommending that OIG not use NDCs to calculate penalties, OIG believes 
that the use of NDCs is appropriate based on the statutory text and the 
reporting systems employed by CMS.
Subpart M--CMPs for Notifying a Skilled Nursing Facility, Nursing 
Facility, Home Health Agency, or Community Care Setting of a Survey
    In subpart M, we proposed to add regulations providing for CMPs for 
notifying a skilled nursing facility (SNF), nursing facility (NF), home 
health agency (HHA), or a community care setting of the date or time of 
a survey. The statutory authority for these CMPs is self-implementing 
and does not require a regulation. Sections 1819(g)(2)(A), 
1919(g)(2)(A), 1891(c)(1), 1929(i)(3)(A); 42 U.S.C. 1395i-3(g)(2)(A), 
1396r(g)(2)(A), 1395bbb(c)(1), 1396t(i)(3)(A) of the Act. However, we 
proposed adding the regulatory language at this time in light of the 
general reorganization. The proposed regulation text closely mirrors 
the language of the statute.
    SNFs, NFs, HHAs, and community care settings are subject to State 
compliance surveys without any prior notice. Sections 1819(g)(2)(A), 
1919(g)(2)(A), 1891(c)(1), and 1929(i)(3)(A) of the Act provide for 
imposing a penalty of not more than $2,000 against any individual who 
notifies, or causes to be notified, a SNF, NF, home health agency, or 
community care setting of the time or date on which a survey is 
scheduled to be conducted.
    The OIG will consider the general factors listed in Sec.  1003.140 
when determining the amount of the penalties to be imposed under this 
subpart.
    We received no comments on this subpart and finalize, as proposed.
Subpart O--Procedures for the Imposition of CMPs, Assessments, and 
Exclusions
    Subpart O contains the procedural provisions that apply to part 
1003. We proposed several clarifying changes to procedures in this 
subpart. We proposed amending the methods permitted for service of a 
notice of a proposal of a penalty, assessment, or exclusion under part 
1003. Section 1003.109 required service by certified mail, return 
receipt requested. Section 1128A(c)(1) of the Act, however, permits 
service by any method authorized by Rule 4 of the Federal Rules of 
Civil Procedure (FRCP), which has been amended to authorize various 
service methods depending on whether the recipient is a domestic or 
foreign individual or corporation. Therefore, we are amending our 
regulation at Sec. Sec.  1003.1500(a) and 1003.1510 to permit service 
under any means authorized by FRCP Rule 4. By referencing the rule, the 
regulation would reflect any future amendments to Rule 4 automatically.
    We also proposed technical changes to the judicial review provision 
at Sec.  1003.127 in the existing regulation and redesignated as Sec.  
1003.1540 to better conform to the statutory scheme requiring a person 
to exhaust his or her administrative remedies before filing a claim in 
Federal court. Exhaustion of administrative remedies is a well-settled 
legal principle, particularly concerning section 405(g) of the Act (42 
U.S.C. 205(g)). Consistent with existing law, the proposed regulations 
clarify that a person may not bring a claim in Federal court without 
first raising that claim at every applicable stage within the 
administrative process, including any administrative appeal process. In 
the context of part 1003, that administrative process consists of 
making a timely request for a hearing before an ALJ pursuant to 42 CFR 
1005.2 and, if the respondent loses at the ALJ level, timely filing an 
appeal of the ALJ decision to the Appellate Division of the 
Departmental Appeals Board. Only after the Departmental Appeals Board 
makes a final decision under 42 CFR 1005.21(j) is the respondent 
eligible to file an action in Federal court.
    We also proposed a technical change to the regulatory language to 
clarify the statutory limit on issues eligible for judicial review. 
Section 1128A(e) of the Act provides that ``[n]o objection that has not 
been urged before the Secretary shall be considered by the court, 
unless the failure or neglect to urge such objection shall be excused 
because of extraordinary circumstances.'' We interpret this to mean 
that a person is precluded from making arguments or raising issues in 
Federal court that were not first raised during the administrative 
process, unless the court finds that extraordinary circumstances 
prevented raising those arguments or issues. We interpret 
``extraordinary circumstances'' to mean that those arguments or issues 
were beyond the authority of the administrative process.
    We received no comments on this subpart and finalize, as proposed.
Other Changes in Part 1003
    The OIG has authority to impose CMPs against endorsed sponsors 
under the Medicare Prescription Drug Discount Card Program that 
knowingly commit certain violations. The discount card program has been 
defunct since January 1, 2006, when Medicare Part D went into effect. 
We proposed to remove this CMP from the regulations as the statute of 
limitations has expired for any conduct that might implicate this CMP.
    We received no comments on removing this CMP and finalize, as 
proposed.

F. Appeals of Exclusions, Civil Monetary Penalties, and Assessments

    We proposed changes to OIG regulations at 42 CFR part 1005 to 
correct an internal inconsistency in Sec.  1005.4(c). The regulation 
states at Sec.  1005.4(c)(5)-(6) that an ALJ is not authorized to (1) 
review the exercise of discretion by OIG to exclude an individual or 
entity under section 1128(b) of the Act, (2) determine the scope or 
effect of the exclusion, or (3) set a period of exclusion at zero when 
the ALJ finds that the individual or entity committed an act described 
in section 1128(b) of the Act. Section 1005.4(c)(7) stated that an ALJ 
is not authorized to review the exercise of discretion by OIG to impose 
a CMP, an assessment, or an exclusion under part 1003. The second and 
third limits on ALJ authority with respect to exclusions under section 
1128(b) of the Act should also apply to exclusions imposed under part 
1003. To correct this inconsistency, we proposed to clarify that when 
reviewing exclusions imposed pursuant to part 1003, an ALJ is not 
authorized to (1) review OIG's exercise of discretion to exclude an 
individual or entity, (2) determine the scope or effect of the 
exclusion, or (3) set a period of exclusion at zero if the ALJ finds 
that the individual or entity committed an act described in part 1003. 
We believe that this requirement is consistent with congressional 
intent in enacting the statutes providing authority for part

[[Page 88354]]

1003 that explicitly provide for exclusion as an appropriate remedy for 
the commission of any of the acts specified in those statutes. Thus, in 
every case in which OIG has exercised its discretion to impose an 
exclusion and when the ALJ decides that a violation did occur, 
exclusion is appropriate.
    We received the following comment on this proposal. As discussed in 
response to the comment, we are finalizing this section of the rule, as 
proposed.
    Comment: A commenter asked OIG to reconsider our proposal to limit 
an ALJ's authority in the absence of a specific legislative mandate.
    Response: We respectfully disagree with the commenter's suggestion 
and finalize the rule, as proposed. The rule ensures consistency in the 
ALJ review of discretionary exclusions imposed under sections 1128(b) 
and 1128A of the Act.

III. Regulatory Impact Statement

    We have examined the impact of this proposed rule as required by 
Executive Order 12866, Executive Order 13563, the Regulatory 
Flexibility Act (RFA) of 1980, the Unfunded Mandates Reform Act of 
1995, and Executive Order 13132.
Executive Order Nos. 12866 and 13563
    Executive Orders 12866 and 13563 direct agencies to assess all 
costs and benefits of available regulatory alternatives and, if 
regulations are necessary, to select regulatory approaches that 
maximize net benefits (including potential economic, environmental, 
public health and safety effects; distributive impacts; and equity). 
Executive Order 13563 is supplemental to and reaffirms the principles, 
structures, and definitions governing regulatory review as established 
in Executive Order 12866. A regulatory impact analysis must be prepared 
for major rules with economically significant effects, i.e., $100 
million or more in any given year. This is not a major rule as defined 
at 5 U.S.C. 804(2); it is not economically significant because it does 
not reach that economic threshold.
    This proposed rule is designed to codify in regulations new 
statutory provisions, including new CMP authorities. This proposed rule 
is also designed to clarify the intent of existing statutory 
requirements and to reorganize CMP regulation sections for ease of use. 
The vast majority of providers, suppliers, and other persons 
participating in Federal health care programs would be minimally 
affected, if at all, by these proposed revisions.
    Accordingly, we believe that the likely aggregate economic effect 
of these regulations would be significantly less than $100 million.
Regulatory Flexibility Act
    The Regulatory Flexibility Act (RFA) and the Small Business 
Regulatory Enforcement and Fairness Act of 1996, which amended the RFA, 
require agencies to analyze options for regulatory relief of small 
businesses. For purposes of the RFA, small entities include small 
businesses, nonprofit organizations, and government agencies. Most 
providers are considered small entities if they have revenues of $5 
million to $25 million or less in any one year. For purposes of the 
RFA, most physicians and suppliers are considered small entities.
    The aggregate effect of the changes to the CMP provisions would be 
minimal.
    In summary, we have concluded that this proposed rule should not 
have a significant impact on the operations of a substantial number of 
small providers and that a regulatory flexibility analysis is not 
required for this rulemaking.
    In addition, section 1102(b) of the Act (42 U.S.C. 1302) requires 
us to prepare a regulatory impact analysis if a rule under Titles XVIII 
or XIX or section B of Title XI of the Act may have a significant 
impact on the operations of a substantial number of small rural 
hospitals. This analysis must conform to section 604 of the RFA. Only 
one proposed change has been made under the relevant title, the 
amendments to the Medicare Contracting Organization Rule at proposed 
Sec.  1003.400, et seq. This rule applies only to Medicare contracting 
organizations, not to rural hospitals, and would have no effect on 
rural hospitals. Thus, an analysis under section 1102(b) is not 
required for this rulemaking.
Unfunded Mandates Reform Act
    Section 202 of the Unfunded Mandates Reform Act of 1995, Public Law 
104-4, also requires that agencies assess anticipated costs and 
benefits before issuing any rule that may result in expenditures in any 
one year by State, local, or tribal governments, in the aggregate, or 
by the private sector, of $110 million or more. As indicated above, 
these proposed revisions comport with statutory amendments and clarify 
existing law. We believe that as a result, there would be no 
significant costs associated with these proposed revisions that would 
impose any mandates on State, local, or tribal governments or the 
private sector that would result in an expenditure of $110 million or 
more (adjusted for inflation) in any given year and that a full 
analysis under the Unfunded Mandates Reform Act is not necessary.
Executive Order 13132
    Executive Order 13132, Federalism, establishes certain requirements 
that an agency must meet when it promulgates a rule that imposes 
substantial direct requirements or costs on State and local 
governments, preempts State law, or otherwise has Federalism 
implications. In reviewing this rule under the threshold criteria of 
Executive Order 13132, we have determined that this proposed rule would 
not significantly affect the rights, roles, and responsibilities of 
State or local governments.

IV. Paperwork Reduction Act

    These proposed changes to parts 1003 and 1005 impose no new 
reporting requirements or collections of information. Therefore, a 
Paperwork Reduction Act review is not required.

List of Subjects

42 CFR Part 1003

    Fraud, Grant programs--health, Health facilities, Health 
professions, Medicaid, Reporting and recordkeeping.

42 CFR Part 1005

    Administrative practice and procedure, Fraud, Investigations, 
Penalties.

    For the reasons set forth in the preamble, the Office of the 
Inspector General, Department of Health and Human Services, amends 42 
CFR chapter V, subchapter B as follows:

PART 1003--CIVIL MONEY PENALTIES, ASSESSMENTS AND EXCLUSIONS

0
1. The authority citation for part 1003 continues to read as follows:

    Authority: 42 U.S.C. 262a, 1302, 1320-7, 1320a-7a, 1320b-10, 
1395u(j), 1395u(k), 1395cc(j), 1395w-141(i)(3), 1395dd(d)(1), 
1395mm, 1395nn(g), 1395ss(d), 1396b(m), 11131(c), and 11137(b)(2).

0
2. Designate Sec. Sec.  1003.100 through 1003.135 as subpart A, and add 
a heading for subpart A to read as follows:

Subpart A--General Provisions

0
3. Revise Sec.  1003.100 to read as follows:


Sec.  1003.100  Basis and purpose.

    (a) Basis. This part implements sections 1128(c), 1128A, 1140, 
1819(b)(3)(B), 1819(g)(2)(A), 1857(g)(2)(A), 1860D-12(b)(3)(E), 1860D-
31(i)(3), 1862(b)(3)(C), 1867(d)(1), 1876(i)(6), 1877(g), 1882(d),

[[Page 88355]]

1891(c)(1); 1903(m)(5), 1919(b)(3)(B), 1919(g)(2)(A), 1927(b)(3)(B), 
1927(b)(3)(C), and 1929(i)(3) of the Social Security Act; sections 
421(c) and 427(b)(2) of Public Law 99-660; and section 201(i) of Public 
Law 107-188 (42 U.S.C. 1320a-7(c), 1320a-7a, 1320b-10, 1395i-
3(b)(3)(B), 1395i-3(g)(2)(A), 1395w-27(g)(2)(A), 1395w-112(b)(3)(E), 
1395w-141(i)(3), 1395y(b)(3)(B), 1395dd(d)(1), 1395mm(i)(6), 1395nn(g), 
1395ss(d), 1395bbb(c)(1), 1396b(m)(5), 1396r(b)(3)(B), 1396r(g)(2)(A), 
1396r-8(b)(3)(B), 1396r-8(b)(3)(C), 1396t(i)(3), 11131(c), 11137(b)(2), 
and 262a(i)).
    (b) Purpose. This part--
    (1) Provides for the imposition of civil money penalties and, as 
applicable, assessments and exclusions against persons who have 
committed an act or omission that violates one or more provisions of 
this part and
    (2) Sets forth the appeal rights of persons subject to a penalty, 
assessment, and exclusion.


Sec. Sec.  1003.102 through 1003.110, 1003.114, 1003.126 through 
1003.129, and 1003.132 through 1003.135  [Removed]

0
4. Remove Sec. Sec.  1003.102 through 1003.110, 1003.114, 1003.126 
through 1003.129, and 1003.132 through 1003.135.


Sec.  1003.101  [Redesignated as Sec.  1003.110]

0
5. Redesignate Sec.  1003.101 as Sec.  1003.110.

0
6. Amend newly designated Sec.  1003.110 by:
0
a. Removing the definitions of ``Act'', ``Adverse effect'', and 
``ALJ'';
0
b. Revising the definitions of ``Assessment'' and ``Claim'';
0
c. Removing the definition of ``CMS'';
0
d. Revising the definitions of ``Contracting organization'' and 
``Enrollee'';
0
e. Removing the definitions of ``Department'', ``Exclusion'', 
``Inspector General'', and ``Item or service'';
0
f. Adding in alphabetical order definitions for ``Items and services or 
items or services'', ``Knowingly'', and ``Material'';
0
g. Removing the definition of ``Medicaid'';
0
h. Revising the definition of ``Medical malpractice claim or action'';
0
i. Removing the definition of ``Medicare'';
0
j. Adding in alphabetical order definitions for ``Non-separately-
billable item or service'', and ``Overpayment'';
0
k. Revising the definitions of ``Participating hospital'', ``Penalty'', 
and ``Physician incentive plan'';
0
l. Adding in alphabetical order definitions for ``Reasonable request'', 
and ``Responsible Official'';
0
m. Revising the definition of ``Responsible physician'';
0
n. Removing the definition of ``Secretary'';
0
o. Revising the definition of ``Select agents and toxins'';
0
p. Adding in alphabetical order a definition for ``Separately billable 
item or service'';
0
q. Revising the definitions of ``Should know, or should have known'' 
and ``Social Services Block Grant Program'';
0
r. Removing the definitions of ``State'' and ``State health care 
program'';
0
s. Revising the definition of ``Timely basis''; and
0
t. Removing the definition of ``Transitional assistance''.
    The revisions and additions read as follows:


Sec.  1003.110  Definitions.

* * * * *
    Assessment means the amounts described in this part and includes 
the plural of that term.
    Claim means an application for payment for an item or service under 
a Federal health care program.
* * * * *
    Contracting organization means a public or private entity, 
including a health maintenance organization, Medicare Advantage 
organization, Prescription Drug Plan sponsor, or other organization 
that has contracted with the Department or a State to furnish, or 
otherwise pay for, items and services to Medicare or Medicaid 
beneficiaries pursuant to sections 1857, 1860D-12, 1876(b), or 1903(m) 
of the Act.
    Enrollee means an individual who is eligible for Medicare or 
Medicaid and who enters into an agreement to receive services from a 
contracting organization.
* * * * *
    Items and services or items or services includes without 
limitation, any item, device, drug, biological, supply, or service 
(including management or administrative services), including, but not 
limited to, those that are listed in an itemized claim for program 
payment or a request for payment; for which payment is included in any 
Federal or State health care program reimbursement method, such as a 
prospective payment system or managed care system; or that are, in the 
case of a claim based on costs, required to be entered in a cost 
report, books of account, or other documents supporting the claim 
(whether or not actually entered).
    Knowingly means that a person, with respect to an act, has actual 
knowledge of the act, acts in deliberate ignorance of the act, or acts 
in reckless disregard of the act, and no proof of specific intent to 
defraud is required.
    Material means having a natural tendency to influence, or be 
capable of influencing, the payment or receipt of money or property.
* * * * *
    Medical malpractice claim or action means a written complaint or 
claim demanding payment based on a physician's, dentist's, or other 
health care practitioner's provision of, or failure to provide, health 
care services and includes the filing of a cause of action based on the 
law of tort brought in any State or Federal court or other adjudicative 
body.
* * * * *
    Non-separately-billable item or service means an item or service 
that is a component of, or otherwise contributes to the provision of, 
an item or a service, but is not itself a separately billable item or 
service.
    Overpayment means any funds that a person receives or retains under 
Medicare or Medicaid to which the person, after applicable 
reconciliation, is not entitled under such program.
    Participating hospital means either a hospital or a critical access 
hospital, as defined in section 1861(mm)(1) of the Act, that has 
entered into a Medicare provider agreement under section 1866 of the 
Act.
    Penalty means the amount described in this part and includes the 
plural of that term.
* * * * *
    Physician incentive plan means any compensation arrangement between 
a contracting organization and a physician or physician group that may 
directly or indirectly have the effect of reducing or limiting services 
provided with respect to enrollees in the organization.
* * * * *
    Reasonable request, with respect to Sec.  1003.200(b)(10), means a 
written request, signed by a designated representative of the OIG and 
made by a properly identified agent of the OIG during reasonable 
business hours. The request will include: A statement of the authority 
for the request, the person's rights in responding to the request, the 
definition of ``reasonable request'' and ``failure to grant timely 
access'' under part 1003, the deadline by which the OIG requests 
access, and the amount of the civil money penalty or assessment that 
could be imposed and the effective date, length, and scope and effect 
of the exclusion that would be imposed for failure to comply with the 
request, and

[[Page 88356]]

the earliest date that a request for reinstatement would be considered.
* * * * *
    Responsible Official means the individual designated pursuant to 42 
CFR part 73 to serve as the Responsible Official for the person holding 
a certificate of registration to possess, use, or transfer select 
agents or toxins.
    Responsible physician means a physician who is responsible for the 
examination, treatment, or transfer of an individual who comes to a 
participating hospital's emergency department requesting examination or 
treatment, including any physician who is on-call for the care of such 
individual and fails or refuses to appear within a reasonable time at 
such hospital to provide services relating to the examination, 
treatment, or transfer of such individual. Responsible physician also 
includes a physician who is responsible for the examination or 
treatment of individuals at hospitals with specialized capabilities or 
facilities, as provided under section 1867(g) of the Act, including any 
physician who is on-call for the care of such individuals and refuses 
to accept an appropriate transfer or fails or refuses to appear within 
a reasonable time to provide services related to the examination or 
treatment of such individuals.
* * * * *
    Select agents and toxins is defined consistent with the definition 
of ``select agent and/or toxin'' and ``overlap select agent and/or 
toxin'' as set forth in 42 CFR part 73.
    Separately billable item or service means an item or service for 
which an identifiable payment may be made under a Federal health care 
program, e.g., an itemized claim or a payment under a prospective 
payment system or other reimbursement methodology.
    Should know, or should have known, means that a person, with 
respect to information, either acts in deliberate ignorance of the 
truth or falsity of the information or acts in reckless disregard of 
the truth or falsity of the information. For purposes of this 
definition, no proof of specific intent to defraud is required.
    Social Services Block Grant Program means the program authorized 
under Title XX of the Act.
* * * * *
    Timely basis means, in accordance with Sec.  1003.300(a) of this 
part, the 60-day period from the time the prohibited amounts are 
collected by the individual or the entity.
* * * * *

0
7. Add Sec. Sec.  1003.120, 1003.130, 1003.140, 1003.150, and 1003.160 
to subpart A to read as follows:
Sec.
* * * * *
1003.120 Liability for penalties and assessments.
1003.130 Assessments.
1003.140 Determinations regarding the amount of penalties and 
assessments and the period of exclusion.
1003.150 Delegation of authority.
1003.160 Waiver of exclusion.


Sec.  1003.120  Liability for penalties and assessments.

    (a) In any case in which it is determined that more than one person 
was responsible for a violation described in this part, each such 
person may be held liable for the penalty prescribed by this part.
    (b) In any case in which it is determined that more than one person 
was responsible for a violation described in this part, an assessment 
may be imposed, when authorized, against any one such person or jointly 
and severally against two or more such persons, but the aggregate 
amount of the assessments collected may not exceed the amount that 
could be assessed if only one person was responsible.
    (c) Under this part, a principal is liable for penalties and 
assessments for the actions of his or her agent acting within the scope 
of his or her agency. This provision does not limit the underlying 
liability of the agent.


Sec.  1003.130  Assessments.

    The assessment in this part is in lieu of damages sustained by the 
Department or a State agency because of the violation.


Sec.  1003.140  Determinations regarding the amount of penalties and 
assessments and the period of exclusion.

    (a) Except as otherwise provided in this part, in determining the 
amount of any penalty or assessment or the period of exclusion in 
accordance with this part, the OIG will consider the following 
factors--
    (1) The nature and circumstances of the violation;
    (2) The degree of culpability of the person against whom a civil 
money penalty, assessment, or exclusion is proposed. It should be 
considered an aggravating circumstance if the respondent had actual 
knowledge where a lower level of knowledge was required to establish 
liability (e.g., for a provision that establishes liability if the 
respondent ``knew or should have known'' a claim was false or 
fraudulent, it will be an aggravating circumstance if the respondent 
knew the claim was false or fraudulent). It should be a mitigating 
circumstance if the person took appropriate and timely corrective 
action in response to the violation. For purposes of this part, 
corrective action must include disclosing the violation to the OIG 
through the Self-Disclosure Protocol and fully cooperating with the 
OIG's review and resolution of such disclosure, or in cases of 
physician self-referral law violations, disclosing the violation to CMS 
through the Self-Referral Disclosure Protocol;
    (3) The history of prior offenses. Aggravating circumstances 
include, if at any time prior to the violation, the individual--or in 
the case of an entity, the entity itself; any individual who had a 
direct or indirect ownership or control interest (as defined in section 
1124(a)(3) of the Act) in a sanctioned entity at the time the violation 
occurred and who knew, or should have known, of the violation; or any 
individual who was an officer or a managing employee (as defined in 
section 1126(b) of the Act) of such an entity at the time the violation 
occurred--was held liable for criminal, civil, or administrative 
sanctions in connection with a program covered by this part or in 
connection with the delivery of a health care item or service;
    (4) Other wrongful conduct. Aggravating circumstances include proof 
that the individual--or in the case of an entity, the entity itself; 
any individual who had a direct or indirect ownership or control 
interest (as defined in section 1124(a)(3) of the Act) in a sanctioned 
entity at the time the violation occurred and who knew, or should have 
known, of the violation; or any individual who was an officer or a 
managing employee (as defined in section 1126(b) of the Act) of such an 
entity at the time the violation occurred--engaged in wrongful conduct, 
other than the specific conduct upon which liability is based, relating 
to a government program or in connection with the delivery of a health 
care item or service. The statute of limitations governing civil money 
penalty proceedings does not apply to proof of other wrongful conduct 
as an aggravating circumstance; and
    (5) Such other matters as justice may require. Other circumstances 
of an aggravating or mitigating nature should be considered if, in the 
interests of justice, they require either a reduction or an increase in 
the penalty, assessment, or period of exclusion to achieve the purposes 
of this part.
    (b)(1) After determining the amount of any penalty and assessment 
in accordance with this part, the OIG considers the ability of the 
person to pay the proposed civil money penalty or assessment. The 
person shall provide, in a time and manner requested by the OIG, 
sufficient financial documentation,

[[Page 88357]]

including, but not limited to, audited financial statements, tax 
returns, and financial disclosure statements, deemed necessary by the 
OIG to determine the person's ability to pay the penalty or assessment.
    (2) If the person requests a hearing in accordance with 42 CFR 
1005.2, the only financial documentation subject to review is that 
which the person provided to the OIG during the administrative process, 
unless the ALJ finds that extraordinary circumstances prevented the 
person from providing the financial documentation to the OIG in the 
time and manner requested by the OIG prior to the hearing request.
    (c) In determining the amount of any penalty and assessment to be 
imposed under this part the following circumstances are also to be 
considered--
    (1) If there are substantial or several mitigating circumstances, 
the aggregate amount of the penalty and assessment should be set at an 
amount sufficiently below the maximum permitted by this part to reflect 
that fact.
    (2) If there are substantial or several aggravating circumstances, 
the aggregate amount of the penalty and assessment should be set at an 
amount sufficiently close to or at the maximum permitted by this part 
to reflect that fact.
    (3) Unless there are extraordinary mitigating circumstances, the 
aggregate amount of the penalty and assessment should not be less than 
double the approximate amount of damages and costs (as defined by 
paragraph (e)(2) of this section) sustained by the United States, or 
any State, as a result of the violation.
    (4) The presence of any single aggravating circumstance may justify 
imposing a penalty and assessment at or close to the maximum even when 
one or more mitigating factors is present.
    (d)(1) The standards set forth in this section are binding, except 
to the extent that their application would result in imposition of an 
amount that would exceed limits imposed by the United States 
Constitution.
    (2) The amount imposed will not be less than the approximate amount 
required to fully compensate the United States, or any State, for its 
damages and costs, tangible and intangible, including, but not limited 
to, the costs attributable to the investigation, prosecution, and 
administrative review of the case.
    (3) Nothing in this part limits the authority of the Department or 
the OIG to settle any issue or case as provided by Sec.  1003.1530 or 
to compromise any exclusion and any penalty and assessment as provided 
by Sec.  1003.1550.
    (4) Penalties, assessments, and exclusions imposed under this part 
are in addition to any other penalties, assessments, or other sanctions 
prescribed by law.


Sec.  1003.150  Delegation of authority.

    The OIG is delegated authority from the Secretary to impose civil 
money penalties and, as applicable, assessments and exclusions against 
any person who has violated one or more provisions of this part. The 
delegation of authority includes all powers to impose and compromise 
civil monetary penalties, assessments, and exclusion under section 
1128A of the Act.


Sec.  1003.160  Waiver of exclusion.

    (a) The OIG will consider a request from the administrator of a 
Federal health care program for a waiver of an exclusion imposed under 
this part as set forth in paragraph (b) of this section. The request 
must be in writing and from an individual directly responsible for 
administering the Federal health care program.
    (b) If the OIG subsequently obtains information that the basis for 
a waiver no longer exists, the waiver will cease and the person will be 
fully excluded from the Federal health care programs for the remainder 
of the exclusion period, measured from the time the full exclusion 
would have been imposed if the waiver had not been granted.
    (c) The OIG will notify the administrator of the Federal health 
care program whether his or her request for a waiver has been granted 
or denied.
    (d) If a waiver is granted, it applies only to the program(s) for 
which waiver is requested.
    (e) The decision to grant, deny, or rescind a waiver is not subject 
to administrative or judicial review.

0
8. Add subparts B through F to read as follows:
Subpart B--CMPs, Assessments, and Exclusions for False or Fraudulent 
Claims and Other Similar Misconduct
Sec.
1003.200 Basis for civil money penalties, assessments, and 
exclusions.
1003.210 Amount of penalties and assessments.
1003.220 Determinations regarding the amount of penalties and 
assessments and the period of exclusion.
Subpart C--CMPs, Assessments, and Exclusions for Anti-Kickback and 
Physician Self-Referral Violations
1003.300 Basis for civil money penalties, assessments, and 
exclusions.
1003.310 Amount of penalties and assessments.
1003.320 Determinations regarding the amount of penalties and 
assessments and the period of exclusion.
Subpart D--CMPs and Assessments for Contracting Organization Misconduct
1003.400 Basis for civil money penalties and assessments.
1003.410 Amount of penalties and assessments.
1003.420 Determinations regarding the amount of penalties and 
assessments.
Subpart E--CMPs and Exclusions for EMTALA Violations
1003.500 Basis for civil money penalties and exclusions.
1003.510 Amount of penalties.
1003.520 Determinations regarding the amount of penalties and the 
period of exclusion.
Subpart F--CMPs for Section 1140 Violations
1003.600 Basis for civil money penalties.
1003.610 Amount of penalties.
1003.620 Determinations regarding the amount of penalties.

Subpart B--CMPs, Assessments, and Exclusions for False or 
Fraudulent Claims and Other Similar Misconduct


Sec.  1003.200  Basis for civil money penalties, assessments, and 
exclusions.

    (a) The OIG may impose a penalty, assessment, and an exclusion 
against any person who it determines has knowingly presented, or caused 
to be presented, a claim that was for--
    (1) An item or service that the person knew, or should have known, 
was not provided as claimed, including a claim that was part of a 
pattern or practice of claims based on codes that the person knew, or 
should have known, would result in greater payment to the person than 
the code applicable to the item or service actually provided;
    (2) An item or service for which the person knew, or should have 
known, that the claim was false or fraudulent;
    (3) An item or service furnished during a period in which the 
person was excluded from participation in the Federal health care 
program to which the claim was presented;
    (4) A physician's services (or an item or service) for which the 
person knew, or should have known, that the individual who furnished 
(or supervised the furnishing of) the service--
    (i) Was not licensed as a physician;
    (ii) Was licensed as a physician, but such license had been 
obtained through a misrepresentation of material fact (including 
cheating on an examination required for licensing); or
    (iii) Represented to the patient at the time the service was 
furnished that the physician was certified by a medical specialty board 
when he or she was not so certified; or
    (5) An item or service that a person knew, or should have known was 
not

[[Page 88358]]

medically necessary, and which is part of a pattern of such claims.
    (b) The OIG may impose a penalty; an exclusion; and, where 
authorized, an assessment against any person who it determines--
    (1) Has knowingly presented, or caused to be presented, a request 
for payment in violation of the terms of--
    (i) An agreement to accept payments on the basis of an assignment 
under section 1842(b)(3)(B)(ii) of the Act;
    (ii) An agreement with a State agency or other requirement of a 
State Medicaid plan not to charge a person for an item or service in 
excess of the amount permitted to be charged;
    (iii) An agreement to be a participating physician or supplier 
under section 1842(h)(1) of the Act; or
    (iv) An agreement in accordance with section 1866(a)(1)(G) of the 
Act not to charge any person for inpatient hospital services for which 
payment had been denied or reduced under section 1886(f)(2) of the Act;
    (2) Has knowingly given, or caused to be given, to any person, in 
the case of inpatient hospital services subject to section 1886 of the 
Act, information that he or she knew, or should have known, was false 
or misleading and that could reasonably have been expected to influence 
the decision when to discharge such person or another person from the 
hospital;
    (3) Is an individual who is excluded from participating in a 
Federal health care program under section 1128 or 1128A of the Act, and 
who--
    (i) Knows, or should know, of the action constituting the basis for 
the exclusion and retains a direct or indirect ownership or control 
interest of 5 percent or more in an entity that participates in a 
Federal health care program or
    (ii) Is an officer or a managing employee (as defined in section 
1126(b) of the Act) of such entity;
    (4) Arranges or contracts (by employment or otherwise) with an 
individual or entity that the person knows, or should know, is excluded 
from participation in Federal health care programs for the provision of 
items or services for which payment may be made under such a program;
    (5) Has knowingly and willfully presented, or caused to be 
presented, a bill or request for payment for items and services 
furnished to a hospital patient for which payment may be made under a 
Federal health care program if that bill or request is inconsistent 
with an arrangement under section 1866(a)(1)(H) of the Act or violates 
the requirements for such an arrangement;
    (6) Orders or prescribes a medical or other item or service during 
a period in which the person was excluded from a Federal health care 
program, in the case when the person knows, or should know, that a 
claim for such medical or other item or service will be made under such 
a program;
    (7) Knowingly makes, or causes to be made, any false statement, 
omission, or misrepresentation of a material fact in any application, 
bid, or contract to participate or enroll as a provider of services or 
a supplier under a Federal health care program, including contracting 
organizations, and entities that apply to participate as providers of 
services or suppliers in such contracting organizations;
    (8) Knows of an overpayment and does not report and return the 
overpayment in accordance with section 1128J(d) of the Act;
    (9) Knowingly makes, uses, or causes to be made or used, a false 
record or statement material to a false or fraudulent claim for payment 
for items and services furnished under a Federal health care program; 
or
    (10) Fails to grant timely access to records, documents, and other 
material or data in any medium (including electronically stored 
information and any tangible thing), upon reasonable request, to the 
OIG, for the purpose of audits, investigations, evaluations, or other 
OIG statutory functions. Such failure to grant timely access means:
    (i) Except when the OIG reasonably believes that the requested 
material is about to be altered or destroyed, the failure to produce or 
make available for inspection and copying the requested material upon 
reasonable request or to provide a compelling reason why they cannot be 
produced, by the deadline specified in the OIG's written request, and
    (ii) When the OIG has reason to believe that the requested material 
is about to be altered or destroyed, the failure to provide access to 
the requested material at the time the request is made.
    (c) The OIG may impose a penalty against any person who it 
determines, in accordance with this part, is a physician and who 
executes a document falsely by certifying that a Medicare beneficiary 
requires home health services when the physician knows that the 
beneficiary does not meet the eligibility requirements in section 
1814(a)(2)(C) or 1835(a)(2)(A) of the Act.
    (d) The OIG may impose a penalty against any person who it 
determines knowingly certifies, or causes another individual to 
certify, a material and false statement in a resident assessment 
pursuant to sections 1819(b)(3)(B) and 1919(b)(3)(B).


Sec.  1003.210  Amount of penalties and assessments.

    (a) Penalties.\1\ (1) Except as provided in this section, the OIG 
may impose a penalty of not more than $10,000 for each individual 
violation that is subject to a determination under this subpart.
---------------------------------------------------------------------------

    \1\ The penalty amounts in this section are updated annually, as 
adjusted in accordance with the Federal Civil Monetary Penalty 
Inflation Adjustment Act of 1990 (Pub. L. 101-140), as amended by 
the Federal Civil Penalties Inflation Adjustment Act Improvements 
Act of 2015 (section 701 of Pub. L. 114-74). Annually adjusted 
amounts are published at 45 CFR part 102.
---------------------------------------------------------------------------

    (2) The OIG may impose a penalty of not more than $15,000 for each 
person with respect to whom a determination was made that false or 
misleading information was given under Sec.  1003.200(b)(2).
    (3) The OIG may impose a penalty of not more than $10,000 per day 
for each day that the prohibited relationship described in Sec.  
1003.200(b)(3) occurs.
    (4) For each individual violation of Sec.  1003.200(b)(4), the OIG 
may impose a penalty of not more than $10,000 for each separately 
billable or non-separately-billable item or service provided, 
furnished, ordered, or prescribed by an excluded individual or entity.
    (5) The OIG may impose a penalty of not more than $2,000 for each 
bill or request for payment for items and services furnished to a 
hospital patient in violation of Sec.  1003.200(b)(5).
    (6) The OIG may impose a penalty of not more than $50,000 for each 
false statement, omission, or misrepresentation of a material fact in 
violation of Sec.  1003.200(b)(7).
    (7) The OIG may impose a penalty of not more than $50,000 for each 
false record or statement in violation of Sec.  1003.200(b)(9).
    (8) The OIG may impose a penalty of not more than $10,000 for each 
item or service related to an overpayment that is not reported and 
returned in accordance with section 1128J(d) of the Act in violation of 
Sec.  1003.200(b)(8).
    (9) The OIG may impose a penalty of not more than $15,000 for each 
day of failure to grant timely access in violation of Sec.  
1003.200(b)(10).
    (10) For each false certification in violation of Sec.  
1003.200(c), the OIG may impose a penalty of not more than the greater 
of--
    (i) $5,000; or
    (ii) Three times the amount of Medicare payments for home health 
services that are made with regard to the false certification of 
eligibility by a

[[Page 88359]]

physician, as prohibited by section 1814(a)(2)(C) or 1835(a)(2)(A) of 
the Act.
    (11) For each false certification in violation of Sec.  
1003.200(d), the OIG may impose a penalty of not more than--
    (i) $1,000 with respect to an individual who willfully and 
knowingly falsely certifies a material and false statement in a 
resident assessment; and
    (ii) $5,000 with respect to an individual who willfully and 
knowingly causes another individual to falsely certify a material and 
false statement in a resident assessment.
    (b) Assessments. (1) Except for violations of Sec.  1003.200(b)(4), 
(5), and (7), and Sec.  1003.200(c) and (d), the OIG may impose an 
assessment for each individual violation of Sec.  1003.200, of not more 
than 3 times the amount claimed for each item or service.
    (2) For violations of Sec.  1003.200(b)(4), the OIG may impose an 
assessment of not more than 3 times--
    (i) The amount claimed for each separately billable item or service 
provided, furnished, ordered, or prescribed by an excluded individual 
or entity or
    (ii) The total costs (including salary, benefits, taxes, and other 
money or items of value) related to the excluded individual or entity 
incurred by the person that employs, contracts with, or otherwise 
arranges for an excluded individual or entity to provide, furnish, 
order, or prescribe a non-separately-billable item or service.
    (3) For violations of Sec.  1003.200(b)(7), the OIG may impose an 
assessment of not more than 3 times the total amount claimed for each 
item or service for which payment was made based upon the application 
containing the false statement, omission, or misrepresentation of 
material fact.


Sec.  1003.220  Determinations regarding the amount of penalties and 
assessments and the period of exclusion.

    In considering the factors listed in Sec.  1003.140--
    (a) It should be considered a mitigating circumstance if all the 
items or services or violations included in the action brought under 
this part were of the same type and occurred within a short period of 
time, there were few such items or services or violations, and the 
total amount claimed or requested for such items or services was less 
than $5,000.
    (b) Aggravating circumstances include--
    (1) The violations were of several types or occurred over a lengthy 
period of time;
    (2) There were many such items or services or violations (or the 
nature and circumstances indicate a pattern of claims or requests for 
payment for such items or services or a pattern of violations);
    (3) The amount claimed or requested for such items or services, or 
the amount of the overpayment was $50,000 or more;
    (4) The violation resulted, or could have resulted, in patient 
harm, premature discharge, or a need for additional services or 
subsequent hospital admission; or
    (5) The amount or type of financial, ownership, or control interest 
or the degree of responsibility a person has in an entity was 
substantial with respect to an action brought under Sec.  
1003.200(b)(3).

Subpart C--CMPs, Assessments, and Exclusions for Anti-Kickback and 
Physician Self-Referral Violations


Sec.  1003.300  Basis for civil money penalties, assessments, and 
exclusions.

    The OIG may impose a penalty, an assessment, and an exclusion 
against any person who it determines in accordance with this part--
    (a) Has not refunded on a timely basis, as defined in Sec.  
1003.110, amounts collected as a result of billing an individual, third 
party payer, or other entity for a designated health service furnished 
pursuant to a prohibited referral as described in 42 CFR 411.353.
    (b) Is a physician or other person who enters into any arrangement 
or scheme (such as a cross-referral arrangement) that the physician or 
other person knows, or should know, has a principal purpose of ensuring 
referrals by the physician to a particular person that, if the 
physician directly made referrals to such person, would be in violation 
of the prohibitions of 42 CFR 411.353.
    (c) Has knowingly presented, or caused to be presented, a claim 
that is for a payment that such person knows, or should know, may not 
be made under 42 CFR 411.353;
    (d) Has violated section 1128B(b) of the Act by unlawfully 
offering, paying, soliciting, or receiving remuneration to induce or in 
return for the referral of business paid for, in whole or in part, by 
Medicare, Medicaid, or other Federal health care programs.


Sec.  1003.310  Amount of penalties and assessments.

    (a) Penalties.\2\ The OIG may impose a penalty of not more than--
---------------------------------------------------------------------------

    \2\ The penalty amounts in this section are adjusted for 
inflation annually. Adjusted amounts are published at 45 CFR part 
102.
---------------------------------------------------------------------------

    (1) $15,000 for each claim or bill for a designated health service, 
as defined in Sec.  411.351 of this title, that is subject to a 
determination under Sec.  1003.300(a) or (c);
    (2) $100,000 for each arrangement or scheme that is subject to a 
determination under Sec.  1003.300(b); and
    (3) $50,000 for each offer, payment, solicitation, or receipt of 
remuneration that is subject to a determination under Sec.  
1003.300(d).
    (b) Assessments. The OIG may impose an assessment of not more than 
3 times--
    (1) The amount claimed for each designated health service that is 
subject to a determination under Sec.  1003.300(a), (b), or (c).
    (2) The total remuneration offered, paid, solicited, or received 
that is subject to a determination under Sec.  1003.300(d). Calculation 
of the total remuneration for purposes of an assessment shall be 
without regard to whether a portion of such remuneration was offered, 
paid, solicited, or received for a lawful purpose.


Sec.  1003.320  Determinations regarding the amount of penalties and 
assessments and the period of exclusion.

    In considering the factors listed in Sec.  1003.140:
    (a) It should be considered a mitigating circumstance if all the 
items, services, or violations included in the action brought under 
this part were of the same type and occurred within a short period of 
time; there were few such items, services, or violations; and the total 
amount claimed or requested for such items or services was less than 
$5,000.
    (b) Aggravating circumstances include--
    (1) The violations were of several types or occurred over a lengthy 
period of time;
    (2) There were many such items, services, or violations (or the 
nature and circumstances indicate a pattern of claims or requests for 
payment for such items or services or a pattern of violations);
    (3) The amount claimed or requested for such items or services or 
the amount of the remuneration was $50,000 or more; or
    (4) The violation resulted, or could have resulted, in harm to the 
patient, a premature discharge, or a need for additional services or 
subsequent hospital admission.

[[Page 88360]]

Subpart D--CMPs and Assessments for Contracting Organization 
Misconduct


Sec.  1003.400  Basis for civil money penalties and assessments.

    (a) All contracting organizations. The OIG may impose a penalty 
against any contracting organization that--
    (1) Fails substantially to provide an enrollee with medically 
necessary items and services that are required (under the Act, 
applicable regulations, or contract with the Department or a State) to 
be provided to such enrollee and the failure adversely affects (or has 
the substantial likelihood of adversely affecting) the enrollee;
    (2) Imposes a premium on an enrollee in excess of the amounts 
permitted under the Act;
    (3) Engages in any practice that would reasonably be expected to 
have the effect of denying or discouraging enrollment by beneficiaries 
whose medical condition or history indicates a need for substantial 
future medical services, except as permitted by the Act;
    (4) Misrepresents or falsifies information furnished to a person 
under sections 1857, 1860D-12, 1876, or 1903(m) of the Act;
    (5) Misrepresents or falsifies information furnished to the 
Secretary or a State, as applicable, under sections 1857, 1860D-12, 
1876, or 1903(m) of the Act;
    (6) Fails to comply with the requirements of 42 CFR 417.479(d) 
through (i) for Medicare and 42 CFR 417.479(d) through (g) and (i) for 
Medicaid regarding certain prohibited incentive payments to physicians; 
or
    (7) Fails to comply with applicable requirements of the Act 
regarding prompt payment of claims.
    (b) All Medicare contracting organizations. The OIG may impose a 
penalty against any contracting organization with a contract under 
section 1857, 1860D-12, or 1876 of the Act that--
    (1) Acts to expel or to refuse to reenroll a beneficiary in 
violation of the Act; or
    (2) Employs or contracts with a person excluded, under section 1128 
or 1128A of the Act, from participation in Medicare for the provision 
of health care, utilization review, medical social work, or 
administrative services, or employs or contracts with any entity for 
the provision of such services (directly or indirectly) through an 
excluded person.
    (c) Medicare Advantage and Part D contracting organizations. The 
OIG may impose a penalty, and for Sec.  1003.400(c)(4) or (5), an 
assessment, against a contracting organization with a contract under 
section 1857 or 1860D-12 of the Act that:
    (1) Enrolls an individual without the individual's (or his or her 
designee's) prior consent, except as provided under subparagraph (C) or 
(D) of section 1860D-1(b)(1) of the Act;
    (2) Transfers an enrollee from one plan to another without the 
individual's (or his or her designee's) prior consent;
    (3) Transfers an enrollee solely for the purpose of earning a 
commission;
    (4) Fails to comply with marketing restrictions described in 
subsection (h) or (j) of section 1851 of the Act or applicable 
implementing regulations or guidance; or
    (5) Employs or contracts with any person who engages in the conduct 
described in paragraphs (a) through (c) of this section.
    (d) Medicare Advantage contracting organizations. The OIG may 
impose a penalty against a contracting organization with a contract 
under section 1857 of the Act that fails to comply with the 
requirements of section 1852(j)(3) or 1852(k)(2)(A)(ii) of the Act.
    (e) Medicaid contracting organizations. The OIG may impose a 
penalty against any contracting organization with a contract under 
section 1903(m) of the Act that acts to discriminate among individuals 
in violation of the Act, including expulsion or refusal to reenroll an 
individual or engaging in any practice that would reasonably be 
expected to have the effect of denying or discouraging enrollment by 
eligible individuals with the contracting organization whose medical 
condition or history indicates a need for substantial future medical 
services.


Sec.  1003.410  Amount of penalties and assessments for Contracting 
Organization.

    (a) Penalties.\3\ (1) The OIG may impose a penalty of up to $25,000 
for each individual violation under Sec.  1001.400, except as provided 
in this section.
---------------------------------------------------------------------------

    \3\ The penalty amounts in this section are adjusted for 
inflation annually. Adjusted amounts are published at 45 CFR part 
102.
---------------------------------------------------------------------------

    (2) The OIG may impose a penalty of up to $100,000 for each 
individual violation under Sec.  1003.400(a)(3), (a)(5), or (e).
    (b) Additional penalties. In addition to the penalties described in 
paragraph (a) of this section, the OIG may impose--
    (1) An additional penalty equal to double the amount of excess 
premium charged by the contracting organization for each individual 
violation of Sec.  1003.400(a)(2). The excess premium amount will be 
deducted from the penalty and returned to the enrollee.
    (2) An additional $15,000 \4\ penalty for each individual expelled 
or not enrolled in violation of Sec.  1003.400(a)(3) or (e).
---------------------------------------------------------------------------

    \4\ This penalty amount is adjusted for inflation annually. 
Adjusted amounts are published at 45 CFR part 102.
---------------------------------------------------------------------------

    (c) Assessments. The OIG may impose an assessment against a 
contracting organization with a contract under section 1857 or 1860D-12 
of the Act (Medicare Advantage or Part D) of not more than the amount 
claimed in violation of Sec.  1003.400(a)(4) or (a)(5) on the basis of 
the misrepresentation or falsified information involved.
    (d) The OIG may impose a penalty or, when applicable, an 
assessment, against a contracting organization with a contract under 
section 1857 or 1860D-12 of the Act (Medicare Advantage or Part D) if 
any of its employees, agents, or contracting providers or suppliers 
engages in any of the conduct described in Sec.  1003.400(a) through 
(d).


Sec.  1003.420  Determinations regarding the amount of penalties and 
assessments.

    In considering the factors listed in Sec.  1003.140, aggravating 
circumstances include--
    (a) Such violations were of several types or occurred over a 
lengthy period of time;
    (b) There were many such violations (or the nature and 
circumstances indicate a pattern of incidents);
    (c) The amount of money, remuneration, damages, or tainted claims 
involved in the violation was $15,000 or more; or
    (d) Patient harm, premature discharge, or a need for additional 
services or subsequent hospital admission resulted, or could have 
resulted, from the incident; and
    (e) The contracting organization knowingly or routinely engaged in 
any prohibited practice that acted as an inducement to reduce or limit 
medically necessary services provided with respect to a specific 
enrollee in the organization.

Subpart E--CMPs and Exclusions for EMTALA Violations


Sec.  1003.500  Basis for civil money penalties and exclusions.

    (a) The OIG may impose a penalty against any participating hospital 
with an emergency department or specialized capabilities or facilities 
for each negligent violation of section 1867 of the Act or Sec.  489.24 
(other than Sec.  489.24(j)) of this title.

[[Page 88361]]

    (b) The OIG may impose a penalty against any responsible physician 
for each--
    (1) Negligent violation of section 1867 of the Act;
    (2) Certification signed under section 1867(c)(l)(A) of the Act if 
the physician knew, or should have known, that the benefits of transfer 
to another facility did not outweigh the risks of such a transfer; or
    (3) Misrepresentation made concerning an individual's condition or 
other information, including a hospital's obligations under section 
1867 of the Act.
    (c) The OIG may, in lieu of or in addition to any penalty available 
under this subpart, exclude any responsible physician who commits a 
gross and flagrant, or repeated, violation of this subpart from 
participation in Federal health care programs.
    (d) For purposes of this subpart, a ``gross and flagrant 
violation'' is a violation that presents an imminent danger to the 
health, safety, or well-being of the individual who seeks examination 
and treatment or places that individual unnecessarily in a high-risk 
situation.


Sec.  1003.510  Amount of penalties.

    The OIG may impose \5\--
---------------------------------------------------------------------------

    \5\ The penalty amounts in this section are adjusted for 
inflation annually. Adjusted amounts are published at 45 CFR part 
102.
---------------------------------------------------------------------------

    (a) Against each participating hospital, a penalty of not more than 
$50,000 for each individual violation, except that if the participating 
hospital has fewer than 100 State-licensed, Medicare-certified beds on 
the date the penalty is imposed, the penalty will not exceed $25,000 
for each violation, and
    (b) Against each responsible physician, a penalty of not more than 
$50,000 for each individual violation.


Sec.  1003.520  Determinations regarding the amount of penalties and 
the period of exclusion.

    In considering the factors listed in Sec.  1003.140,
    (a) It should be considered a mitigating circumstance if a hospital 
took appropriate and timely corrective action in response to the 
violation. For purposes of this subpart, corrective action must be 
completed prior to CMS initiating an investigation of the hospital for 
violations of section 1867 of the Act and must include disclosing the 
violation to CMS prior to CMS receiving a complaint regarding the 
violation from another source or otherwise learning of the violation.
    (b) Aggravating circumstances include:
    (1) Requesting proof of insurance, prior authorization, or a 
monetary payment prior to appropriately screening or initiating 
stabilizing treatment for an emergency medical condition, or requesting 
a monetary payment prior to stabilizing an emergency medical condition;
    (2) Patient harm, or risk of patient harm, resulted from the 
incident; or
    (3) The individual presented to the hospital with a request for 
examination or treatment of a medical condition that was an emergency 
medical condition, as defined by Sec.  489.24(b) of this title.

Subpart F--CMPs for Section 1140 Violations


Sec.  1003.600  Basis for civil money penalties.

    (a) The OIG may impose a penalty against any person who it 
determines in accordance with this part has used the words, letters, 
symbols, or emblems as defined in paragraph (b) of this section in such 
a manner that such person knew, or should have known, would convey, or 
in a manner that reasonably could be interpreted or construed as 
conveying, the false impression that an advertisement, a solicitation, 
or other item was authorized, approved, or endorsed by the Department 
or CMS or that such person or organization has some connection with or 
authorization from the Department or CMS.
    (b) Civil money penalties may be imposed, regardless of the use of 
a disclaimer of affiliation with the United States Government, the 
Department, or its programs, for misuse of--
    (1) The words ``Department of Health and Human Services,'' ``Health 
and Human Services,'' ``Centers for Medicare & Medicaid Services,'' 
``Medicare,'' or ``Medicaid'' or any other combination or variations of 
such words;
    (2) The letters ``DHHS,'' ``HHS,'' or ``CMS,'' or any other 
combination or variation of such letters; or
    (3) A symbol or an emblem of the Department or CMS (including the 
design of, or a reasonable facsimile of the design of, the Medicare 
card, the check used for payment of benefits under Title II, or 
envelopes or other stationery used by the Department or CMS) or any 
other combination or variation of such symbols or emblems.
    (c) Civil money penalties will not be imposed against any agency or 
instrumentality of a State, or political subdivision of the State, that 
uses any symbol or emblem or any words or letters that specifically 
identify that agency or instrumentality of the State or political 
subdivision.


Sec.  1003.610  Amount of penalties.

    (a) The OIG may impose a penalty of not more than \6\--
---------------------------------------------------------------------------

    \6\ The penalty amounts in this section are adjusted for 
inflation annually. Adjusted amounts are published at 45 CFR part 
102.
---------------------------------------------------------------------------

    (1) $5,000 for each individual violation resulting from the misuse 
of Departmental, CMS, or Medicare or Medicaid program words, letters, 
symbols, or emblems as described in Sec.  1003.600(a) relating to 
printed media;
    (2) $5,000 for each individual violation in the case of such misuse 
related to an electronic communication, Web page, or telemarketing 
solicitation;
    (3) $25,000 for each individual violation in the case of such 
misuse related to a broadcast or telecast.
    (b) For purposes of this paragraph, a violation is defined as--
    (1) In the case of a direct mailing solicitation or advertisement, 
each separate piece of mail that contains one or more words, letters, 
symbols, or emblems related to a determination under Sec.  1003.600(a);
    (2) In the case of a printed solicitation or advertisement, each 
reproduction, reprinting, or distribution of such item related to a 
determination under Sec.  1003.600(a);
    (3) In the case of a broadcast or telecast, each airing of a single 
commercial or solicitation related to a determination under Sec.  
1003.600(a);
    (4) In the case of an electronic communication, each dissemination, 
viewing, or accessing of the electronic communication that contains one 
or more words, letters, symbols, or emblems related to a determination 
under Sec.  1003.600(a);
    (5) In the case of a Web page accessed by a computer or other 
electronic means, each instance in which the Web page was viewed or 
accessed and that Web page contains one or more words, letters, 
symbols, or emblems related to a determination under Sec.  1003.600(a); 
and
    (6) In the case of a telemarketing solicitation, each individual 
unsolicited telephone call regarding an item or service under Medicare 
or Medicaid related to a determination under Sec.  1003.600(a).


Sec.  1003.620  Determinations regarding the amount of penalties.

    (a) In considering the factors listed in Sec.  1003.140, the 
following circumstances are to be considered--
    (1) The nature and objective of the advertisement, solicitation, or 
other communication and the degree to which it had the capacity to 
deceive members of the public;

[[Page 88362]]

    (2) The frequency and scope of the violation and whether a specific 
segment of the population was targeted; and
    (3) The prior history of the individual, organization, or entity in 
its willingness or refusal to comply with a formal or informal request 
to correct violations.
    (b) The use of a disclaimer of affiliation with the United States 
Government, the Department, or its programs will not be considered as a 
mitigating factor in determining the amount of penalty in accordance 
with Sec.  1003.600(a).

Subpart G--[Reserved]

0
9. Add reserved subpart G.

0
10. Add subparts H through M to read as follows:
Subpart H--CMPs for Adverse Action Reporting and Disclosure Violations
Sec.
1003.800 Basis for civil money penalties.
1003.810 Amount of penalties.
1003.820 Determinations regarding the amount of penalties.
Subpart I--CMPs for Select Agent Program Violations
1003.900 Basis for civil money penalties.
1003.910 Amount of penalties.
1003.920 Determinations regarding the amount of penalties.
Subpart J--CMPs, Assessments, and Exclusions for Beneficiary Inducement 
Violations
1003.1000 Basis for civil money penalties, assessments, and 
exclusions.
1003.1010 Amount of penalties and assessments.
1003.1020 Determinations regarding the amount of penalties and 
assessments and the period of exclusion.
Subpart K--CMPs for the Sale of Medicare Supplemental Policies
1003.1100 Basis for civil money penalties.
1003.1110 Amount of penalties.
1003.1120 Determinations regarding the amount of penalties.
Subpart L--CMPs for Drug Price Reporting
1003.1200 Basis for civil money penalties.
1003.1210 Amount of penalties.
1003.1220 Determinations regarding the amount of penalties.
Subpart M--CMPs for Notifying a Skilled Nursing Facility, Nursing 
Facility, Home Health Agency, or Community Care Setting of a Survey
1003.1300 Basis for civil money penalties.
1003.1310 Amount of penalties.
1003.1320 Determinations regarding the amount of penalties.

Subpart H--CMPs for Adverse Action Reporting and Disclosure 
Violations


Sec.  1003.800  Basis for civil money penalties.

    The OIG may impose a penalty against any person (including an 
insurance company) who it determines--
    (a) Fails to report information concerning--
    (1) A payment made under an insurance policy, self-insurance, or 
otherwise for the benefit of a physician, dentist, or other health care 
practitioner in settlement of, or in satisfaction in whole or in part 
of, a medical malpractice claim or action or a judgment against such a 
physician, dentist, or other practitioner in accordance with section 
421 of Public Law 99-660 (42 U.S.C. 11131) and as required by 
regulations at 45 CFR part 60 or
    (2) An adverse action required to be reported under section 1128E, 
as established by section 221 of Public Law 104-191.
    (b) Improperly discloses, uses, or permits access to information 
reported in accordance with Part B of Title IV of Public Law 99-660 (42 
U.S.C. 11137) or regulations at 45 CFR part 60. (The disclosure of 
information reported in accordance with Part B of Title IV in response 
to a subpoena or a discovery request is considered an improper 
disclosure in violation of section 427 of Public Law 99-660. However, 
disclosure or release by an entity of original documents or underlying 
records from which the reported information is obtained or derived is 
not considered an improper disclosure in violation of section 427 of 
Public Law 99-660.)


Sec.  1003.810  Amount of penalties.

    The OIG may impose a penalty of not more than \7\--
---------------------------------------------------------------------------

    \7\ The penalty amounts in this section are adjusted for 
inflation annually. Adjusted amounts are published at 45 CFR part 
102.
---------------------------------------------------------------------------

    (a) $11,000 for each payment for which there was a failure to 
report required information in accordance with Sec.  1003.800(a)(1) or 
for each improper disclosure, use, or access to information in 
accordance with a determination under Sec.  1003.800(b); and
    (b) $25,000 against a health plan for each failure to report 
information on an adverse action required to be reported in accordance 
with section 1128E of the Act and Sec.  1003.800(a)(2).


Sec.  1003.820  Determinations regarding the amount of penalties.

    In determining the amount of any penalty in accordance with this 
subpart, the OIG will consider the factors listed in Sec.  1003.140.

Subpart I--CMPs for Select Agent Program Violations


Sec.  1003.900  Basis for civil money penalties.

    The OIG may impose a penalty against any person who it determines 
in accordance with this part is involved in the possession or use in 
the United States, receipt from outside the United States or transfer 
within the United States, of select agents and toxins in violation of 
sections 351A(b) or (c) of the Public Health Service Act or 42 CFR part 
73.


Sec.  1003.910  Amount of penalties.

    For each individual violation of section 351A(b) or (c) of the 
Public Health Service Act or 42 CFR part 73, the OIG may impose a 
penalty of not more than $250,000 in the case of an individual, and not 
more than $500,000 in the case of any other person.\8\
---------------------------------------------------------------------------

    \8\ The penalty amounts in this section are adjusted for 
inflation annually. Adjusted amounts are published at 45 CFR part 
102.
---------------------------------------------------------------------------


Sec.  1003.920  Determinations regarding the amount of penalties.

    In considering the factors listed in Sec.  1003.140, aggravating 
circumstances include:
    (a) The Responsible Official participated in or knew, or should 
have known, of the violation;
    (b) The violation was a contributing factor to an unauthorized 
individual's access to or possession of a select agent or toxin, an 
individual's exposure to a select agent or toxin, or the unauthorized 
removal of a select agent or toxin from the person's physical location 
as identified on the person's certificate of registration; or
    (c) The person previously received an observation, finding, or 
other statement of deficiency from the Department or the Department of 
Agriculture for the same or substantially similar conduct.

Subpart J--CMPs, Assessments, and Exclusions for Beneficiary 
Inducement Violations


Sec.  1003.1000  Basis for civil money penalties, assessments, and 
exclusions.

    (a) The OIG may impose a penalty, an assessment, and an exclusion 
against any person who it determines offers or transfers remuneration 
(as defined in Sec.  1003.110) to any individual eligible for benefits 
under Medicare or a State health care program that such person knows, 
or should know, is likely to influence such individual to order or to 
receive from a particular provider, practitioner, or supplier, any item 
or

[[Page 88363]]

service for which payment may be made, in whole or in part, under 
Medicare or a State health care program.
    (b) The OIG may impose a penalty against any person who it 
determines offered any financial or other incentive for an individual 
entitled to benefits under Medicare not to enroll, or to terminate 
enrollment, under a group health plan or a large group health plan that 
would, in the case of such enrollment, be a primary plan as defined in 
section 1862(b)(2)(A) of the Act.


Sec.  1003.1010  Amount of penalties and assessments.

    The OIG may impose a penalty of not more than \9\--
---------------------------------------------------------------------------

    \9\ The penalty amounts in this section are adjusted for 
inflation annually. Adjusted amounts are published at 45 CFR part 
102.
---------------------------------------------------------------------------

    (a) $10,000 for each item or service for which payment may be made, 
in whole or in part, under Medicare or a State health care program, 
ordered by or received from a particular provider, practitioner, or 
supplier for a beneficiary who was offered or received remuneration in 
violation of Sec.  1003.1000(a) that was likely to influence the 
beneficiary to order or receive the item or service from the provider, 
practitioner, or supplier, and an assessment of not more than 3 times 
the amount claimed for each such item or service and
    (b) $5,000 for each individual violation of Sec.  1003.1000(b).


Sec.  1003.1020  Determinations regarding the amount of penalties and 
assessments and the period of exclusion.

    In determining the amount of any penalty or assessment or the 
period of exclusion under this subpart, the OIG will consider the 
factors listed in Sec.  1003.140, as well as the amount of remuneration 
or the amount or nature of any other incentive.

Subpart K--CMPs for the Sale of Medicare Supplemental Policies


Sec.  1003.1100  Basis for civil money penalties.

    The OIG may impose a penalty against any person who--
    (a) Knowingly and willfully makes or causes to be made or induces 
or seeks to induce the making of any false statement or representation 
of a material fact with respect to--
    (1) The compliance of any policy with the standards and 
requirements for Medicare supplemental policies set forth in section 
1882(c) of the Act or in promulgating regulations, or
    (2) The use of the emblem designed by the Secretary under section 
1882(a) of the Act for use as an indication that a policy has received 
the Secretary's certification;
    (b) Falsely assumes or pretends to be acting, or misrepresents in 
any way that he or she is acting, under the authority of or in 
association with Medicare or any Federal agency, for the purpose of 
selling or attempting to sell insurance, or in such pretended character 
demands, or obtains money, paper, documents, or anything of value;
    (c) Knowingly, directly, or through his or her agent, mails or 
causes to be mailed any matter for the advertising, solicitation, or 
offer for sale of a Medicare supplemental policy, or the delivery of 
such a policy, in or into any State in which such policy has not been 
approved by the State commissioner or superintendent of insurance;
    (d) Issues or sells to any individual entitled to benefits under 
Part A or enrolled under Part B of Medicare--
    (1) A health insurance policy with knowledge that the policy 
duplicates health benefits to which the individual is otherwise 
entitled under Medicare or Medicaid,
    (2) A health insurance policy (other than a Medicare supplemental 
policy) with knowledge that the policy duplicates health benefits to 
which the individual is otherwise entitled, other than benefits to 
which the individual is entitled under a requirement of State or 
Federal law,
    (3) In the case of an individual not electing a Part C plan, a 
Medicare supplemental policy with knowledge that the individual is 
entitled to benefits under another Medicare supplemental policy, or
    (4) In the case of an individual electing a Part C plan, a Medicare 
supplemental policy with knowledge that the policy duplicates health 
benefits to which the individual is otherwise entitled under the Part C 
plan or under another Medicare supplemental policy;
    (e) Issues or sells a health insurance policy (other than a policy 
described in section 1882(d)(3)(A)(vi)(III)) to any individual entitled 
to benefits under Medicare Part A or enrolled under Medicare Part B who 
is applying for a health insurance policy and fails to furnish the 
appropriate disclosure statement described in section 
1882(d)(3)(A)(vii); or
    (f) Issues or sells a Medicare supplemental policy to any 
individual eligible for benefits under Part A or enrolled under 
Medicare Part B without obtaining the written statement or the written 
acknowledgment described in section 1882(d)(3)(B) of the Act.


Sec.  1003.1110  Amount of penalties.

    The OIG may impose a penalty of not more than \10\--
---------------------------------------------------------------------------

    \10\ The penalty amounts in this section are adjusted for 
inflation annually. Adjusted amounts are published at 45 CFR part 
102.
---------------------------------------------------------------------------

    (a) $5,000 for each individual violation of Sec.  1003.1100(a), 
(b), or (c).
    (b) $25,000 for each individual violation of Sec.  1003.1100(d), 
(e), or (f) by a seller who is also the issuer of the policy; and
    (c) $15,000 for each individual violation of Sec.  1003.1100(d), 
(e), or (f) by a seller who is not the issuer of the policy.


Sec.  1003.1120  Determinations regarding the amount of penalties.

    In determining the amount of the penalty in accordance with this 
subpart, the OIG will consider the factors listed in Sec.  1003.140.

Subpart L--CMPs for Drug Price Reporting


Sec.  1003.1200  Basis for civil money penalties.

    The OIG may impose a penalty against--
    (a) Any wholesaler, manufacturer, or direct seller of a covered 
outpatient drug that--
    (1) Refuses a request for information by, or
    (2) Knowingly provides false information to, the Secretary about 
charges or prices in connection with a survey being conducted pursuant 
to section 1927(b)(3)(B) of the Act; and
    (b) Any manufacturer with an agreement under section 1927 of the 
Act that--
    (1) Fails to provide any information required by section 
1927(b)(3)(A) of the Act by the deadlines specified therein, or
    (2) Knowingly provides any item information required by section 
1927(b)(3)(A) or (B) of the Act that is false.


Sec.  1003.1210  Amount of penalties.

    The OIG may impose a penalty of not more than \11\--
---------------------------------------------------------------------------

    \11\ The penalty amounts in this section are adjusted for 
inflation annually. Adjusted amounts are published at 45 CFR part 
102.
---------------------------------------------------------------------------

    (a) $100,000 for each individual violation of Sec.  1003.1200(a) or 
Sec.  1003.1200(b)(2); and
    (b) $10,000 for each day that such information has not been 
provided in violation of Sec.  1003.1200(b)(1).


Sec.  1003.1220  Determinations regarding the amount of penalties.

    In determining the amount of the penalty in accordance with this 
subpart,

[[Page 88364]]

the OIG will consider the factors listed in Sec.  1003.140.

Subpart M--CMPs for Notifying a Skilled Nursing Facility, Nursing 
Facility, Home Health Agency, or Community Care Setting of a Survey


Sec.  1003.1300  Basis for civil money penalties.

    The OIG may impose a penalty against any individual who notifies, 
or causes to be notified, a skilled nursing facility, nursing facility, 
home health agency, a community care setting, of the time or date on 
which a survey pursuant to sections 1819(g)(2)(A), 1919(g)(2)(A), 
1891(c)(1), or 1929(i) of the Act is scheduled to be conducted.


Sec.  1003.1310  Amount of penalties.

    The OIG may impose a penalty of not more than $2,000 for each 
individual violation of Sec.  1003.1300.\12\
---------------------------------------------------------------------------

    \12\ This penalty amount is adjusted for inflation annually. 
Adjusted amounts are published at 45 CFR part 102.
---------------------------------------------------------------------------


Sec.  1003.1320  Determinations regarding the amount of penalties.

    In determining the amount of the penalty in accordance with this 
subpart, the OIG will consider the factors listed in Sec.  1003.140.

Subpart N--[Reserved]

0
11. Add reserved subpart N.

0
12. Add subpart O to read as follows:
Subpart O--Procedures for the Imposition of CMPs, Assessments, and 
Exclusions
Sec.
1003.1500 Notice of proposed determination.
1003.1510 Failure to request a hearing.
1003.1520 Collateral estoppel.
1003.1530 Settlement.
1003.1540 Judicial review.
1003.1550 Collection of penalties and assessments.
1003.1560 Notice to other agencies.
1003.1570 Limitations.
1003.1580 Statistical sampling.
1003.1590 Effect of exclusion.
1003.1600 Reinstatement.

Subpart O--Procedures for the Imposition of CMPs, Assessments, and 
Exclusions


Sec.  1003.1500  Notice of proposed determination.

    (a) If the OIG proposes a penalty and, when applicable, an 
assessment, or proposes to exclude a respondent from participation in 
all Federal health care programs, as applicable, in accordance with 
this part, the OIG must serve on the respondent, in any manner 
authorized by Rule 4 of the Federal Rules of Civil Procedure, written 
notice of the OIG's intent to impose a penalty, an assessment, and an 
exclusion, as applicable. The notice will include--
    (1) Reference to the statutory basis for the penalty, assessment, 
and exclusion;
    (2) A description of the violation for which the penalty, 
assessment, and exclusion are proposed (except in cases in which the 
OIG is relying upon statistical sampling in accordance with Sec.  
1003.1580, in which case the notice shall describe those claims and 
requests for payment constituting the sample upon which the OIG is 
relying and will briefly describe the statistical sampling technique 
used by the OIG);
    (3) The reason why such violation subjects the respondent to a 
penalty, an assessment, and an exclusion,
    (4) The amount of the proposed penalty and assessment, and the 
length of the period of proposed exclusion (where applicable);
    (5) Any factors and circumstances described in this part that were 
considered when determining the amount of the proposed penalty and 
assessment and the length of the period of exclusion;
    (6) Instructions for responding to the notice, including--
    (i) A specific statement of the respondent's right to a hearing and
    (ii) A statement that failure to request a hearing within 60 days 
permits the imposition of the proposed penalty, assessment, and 
exclusion without right of appeal; and
    (7) In the case of a notice sent to a respondent who has an 
agreement under section 1866 of the Act, the notice also indicates that 
the imposition of an exclusion may result in the termination of the 
respondent's provider agreement in accordance with section 
1866(b)(2)(C) of the Act.
    (b) Any person upon whom the OIG has proposed the imposition of a 
penalty, an assessment, or an exclusion may appeal such proposed 
penalty, assessment, or exclusion to the Departmental Appeals Board in 
accordance with 42 CFR 1005.2. The provisions of 42 CFR part 1005 
govern such appeals.
    (c) If the respondent fails, within the time period permitted, to 
exercise his or her right to a hearing under this section, any 
exclusion, penalty, or assessment becomes final.


Sec.  1003.1510  Failure to request a hearing.

    If the respondent does not request a hearing within 60 days after 
the notice prescribed by Sec.  1003.1500(a) is received, as determined 
by 42 CFR 1005.2(c), by the respondent, the OIG may impose the proposed 
penalty, assessment, and exclusion, or any less severe penalty, 
assessment, or exclusion. The OIG shall notify the respondent in any 
manner authorized by Rule 4 of the Federal Rules of Civil Procedure of 
any penalty, assessment, and exclusion that have been imposed and of 
the means by which the respondent may satisfy the judgment. The 
respondent has no right to appeal a penalty, an assessment, or an 
exclusion with respect to which he or she has not made a timely request 
for a hearing under 42 CFR 1005.2.


Sec.  1003.1520  Collateral estoppel.

    (a) Where a final determination pertaining to the respondent's 
liability for acts that violate this part has been rendered in any 
proceeding in which the respondent was a party and had an opportunity 
to be heard, the respondent shall be bound by such determination in any 
proceeding under this part.
    (b) In a proceeding under this part, a person is estopped from 
denying the essential elements of the criminal offense if the 
proceeding--
    (1) Is against a person who has been convicted (whether upon a 
verdict after trial or upon a plea of guilty or nolo contendere) of a 
Federal crime charging fraud or false statements, and
    (2) Involves the same transactions as in the criminal action.


Sec.  1003.1530  Settlement.

    The OIG has exclusive authority to settle any issues or case 
without consent of the ALJ.


Sec.  1003.1540  Judicial review.

    (a) Section 1128A(e) of the Act authorizes judicial review of a 
penalty, an assessment, or an exclusion that has become final. The only 
matters subject to judicial review are those that the respondent raised 
pursuant to 42 CFR 1005.21, unless the court finds that extraordinary 
circumstances existed that prevented the respondent from raising the 
issue in the underlying administrative appeal.
    (b) A respondent must exhaust all administrative appeal procedures 
established by the Secretary or required by law before a respondent may 
bring an action in Federal court, as provided in section 1128A(e) of 
the Act, concerning any penalty, assessment, or exclusion imposed 
pursuant to this part.
    (c) Administrative remedies are exhausted when a decision becomes 
final in accordance with 42 CFR 1005.21(j).


Sec.  1003.1550  Collection of penalties and assessments.

    (a) Once a determination by the Secretary has become final, 
collection of any penalty and assessment will be the responsibility of 
CMS, except in the

[[Page 88365]]

case of the Maternal and Child Health Services Block Grant Program, in 
which the collection will be the responsibility of the Public Health 
Service (PHS); in the case of the Social Services Block Grant program, 
in which the collection will be the responsibility of the 
Administration for Children and Families; and in the case of violations 
of subpart I, collection will be the responsibility of the Program 
Support Center (PSC).
    (b) A penalty or an assessment imposed under this part may be 
compromised by the OIG and may be recovered in a civil action brought 
in the United States district court for the district where the claim 
was presented or where the respondent resides.
    (c) The amount of penalty or assessment, when finally determined, 
or the amount agreed upon in compromise, may be deducted from any sum 
then or later owing by the United States Government or a State agency 
to the person against whom the penalty or assessment has been assessed.
    (d) Matters that were raised, or that could have been raised, in a 
hearing before an ALJ or in an appeal under section 1128A(e) of the Act 
may not be raised as a defense in a civil action by the United States 
to collect a penalty under this part.


Sec.  1003.1560  Notice to other agencies.

    (a) Whenever a penalty, an assessment, or an exclusion becomes 
final, the following organizations and entities will be notified about 
such action and the reasons for it: The appropriate State or local 
medical or professional association; the appropriate quality 
improvement organization; as appropriate, the State agency that 
administers each State health care program; the appropriate Medicare 
carrier or intermediary; the appropriate State or local licensing 
agency or organization (including the Medicare and Medicaid State 
survey agencies); and the long-term-care ombudsman. In cases involving 
exclusions, notice will also be given to the public of the exclusion 
and its effective date.
    (b) When the OIG proposes to exclude a nursing facility under this 
part, the OIG will, at the same time the facility is notified, notify 
the appropriate State licensing authority, the State Office of Aging, 
the long-term-care ombudsman, and the State Medicaid agency of the 
OIG's intention to exclude the facility.


Sec.  1003.1570  Limitations.

    No action under this part will be entertained unless commenced, in 
accordance with Sec.  1003.1500(a), within 6 years from the date on 
which the violation occurred.


Sec.  1003.1580  Statistical sampling.

    (a) In meeting the burden of proof in 42 CFR 1005.15, the OIG may 
introduce the results of a statistical sampling study as evidence of 
the number and amount of claims and/or requests for payment, as 
described in this part, that were presented, or caused to be presented, 
by the respondent. Such a statistical sampling study, if based upon an 
appropriate sampling and computed by valid statistical methods, shall 
constitute prima facie evidence of the number and amount of claims or 
requests for payment, as described in this part.
    (b) Once the OIG has made a prima facie case, as described in 
paragraph (a) of this section, the burden of production shall shift to 
the respondent to produce evidence reasonably calculated to rebut the 
findings of the statistical sampling study. The OIG will then be given 
the opportunity to rebut this evidence.


Sec.  1003.1590  Effect of exclusion.

    The effect of an exclusion will be as set forth in 42 CFR 
1001.1901.


Sec.  1003.1600  Reinstatement.

    A person who has been excluded in accordance with this part may 
apply for reinstatement at the end of the period of exclusion. The OIG 
will consider any request for reinstatement in accordance with the 
provisions of 42 CFR 1001.3001 through 1001.3004.

PART 1005--[AMENDED]

0
13. The authority citation for part 1005 continues to read as follows:

    Authority: 42 U.S.C. 405(a), 405(b), 1302, 1320a-7, 1320a-7a and 
1320c-5.


0
14. Section 1005.4 is amended by republishing paragraph (c) 
introductory text and revising paragraphs (c)(5) and (6) to read as 
follows:


Sec.  1005.4  Authority of the ALJ.

* * * * *
    (c) The ALJ does not have the authority to--
* * * * *
    (5) Review the exercise of discretion by the OIG to exclude an 
individual or entity under section 1128(b) of the Act or under part 
1003 of this chapter, or determine the scope or effect of the 
exclusion;
    (6) Set a period of exclusion at zero, or reduce a period of 
exclusion to zero, in any case in which the ALJ finds that an 
individual or entity committed an act described in section 1128(b) of 
the Act or under part 1003 of this chapter; or
* * * * *

    Dated: August 3, 2016.
Daniel R. Levinson,
Inspector General.

    Approved: August 4, 2016.
Sylvia M. Burwell,
Secretary.

    Note: This document was received by the Office of the Federal 
Register on November 18, 2016.

[FR Doc. 2016-28293 Filed 12-6-16; 8:45 am]
BILLING CODE 4152-01-P



                                                  88334            Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations

                                                  DEPARTMENT OF HEALTH AND                                 8(b)(3)(B), 1396r–8(b)(3)(C), 1396t(i)(3),            I. Discussion
                                                  HUMAN SERVICES                                           11131(c), 11137(b)(2), and 262a.
                                                                                                             1005: 42 U.S.C. 405(a), 405(b), 1302,               A. Summary of Revisions and Response
                                                                                                                                                                 to Comments
                                                  Office of Inspector General                              1320a–7, 1320a–7a, and 1320c–5.
                                                                                                                                                                   In response to the notice of proposed
                                                                                                           C. Summary of Major Provisions                        rulemaking, 79 FR 27,080 (May 12,
                                                  42 CFR Parts 1003 and 1005
                                                                                                              We proposed changes to the Civil                   2014), OIG received 27 public
                                                  RIN 0936–AA04                                            Monetary Penalties (CMP) regulations at               comments from various health care
                                                                                                           42 CFR part 1003 to implement or                      providers and organizations,
                                                  Medicare and State Health Care                           codify authorities under the ACA and                  professional medical societies and
                                                  Programs: Fraud and Abuse;                               other statutes. The ACA provides for                  associations, and other interested
                                                  Revisions to the Office of Inspector                     CMPs, assessments, and exclusion for:                 parties. We also received a comment
                                                  General’s Civil Monetary Penalty Rules                      • Failure to grant OIG timely access               that was filed one day late, which we
                                                                                                           to records;                                           included in our responses. The
                                                  AGENCY:  Office of Inspector General                        • ordering or prescribing while                    comments included both concerns
                                                  (OIG), HHS.                                              excluded;                                             regarding the general factors and more
                                                  ACTION: Final rule.                                         • making false statements, omissions,              detailed comments on specific CMP
                                                                                                           or misrepresentations in an enrollment                provisions.
                                                  SUMMARY:   This final rule amends the                    application;                                            Set forth below is a discussion of the
                                                  civil monetary penalty (CMP or penalty)                     • failure to report and return an                  proposed changes to the regulations at
                                                  rules of the Office of Inspector General                 overpayment; and                                      the 42 CFR part 1003, a synopsis of the
                                                  to incorporate new CMP authorities,                         • making or using a false record or                various comments and
                                                  clarify existing authorities, and                        statement that is material to a false or              recommendations received in response
                                                  reorganize regulations on civil money                    fraudulent claim.                                     to the proposed rule, our response to
                                                  penalties, assessments, and exclusions                   These statutory changes are reflected in              those comments and recommendations,
                                                  to improve readability and clarity.                      the proposed regulations.                             and a summary of the specific revisions
                                                  DATES: These regulations are effective                      We also proposed a reorganization of               and clarifications being made to the
                                                  on January 6, 2017.                                      42 CFR part 1003 to make the                          regulations as a result of the public
                                                  FOR FURTHER INFORMATION CONTACT:                         regulations more accessible to the                    comments.
                                                  Katie Arnholt or Geoff Hymans at (202)                   public and to add clarity to the
                                                                                                           regulatory scheme. We proposed an                     B. Background
                                                  619–0335, Office of Counsel to the
                                                  Inspector General.                                       alternate methodology for calculating                   For over 27 years, OIG has exercised
                                                                                                           penalties and assessments for                         the authority to impose CMPs,
                                                  SUPPLEMENTARY INFORMATION:                                                                                     assessments, and exclusions in
                                                                                                           employing excluded individuals in
                                                  I. Executive Summary                                     positions in which the individuals do                 furtherance of its mission to protect
                                                                                                           not directly bill Federal health care                 Federal health care programs and their
                                                  A. Purpose of the Regulatory Action                                                                            beneficiaries from fraud, waste, and
                                                                                                           programs for furnishing items or
                                                     The Affordable Care Act of 2010                       services. We also clarified the liability             abuse. As those programs have changed
                                                  (Patient Protection and Affordable Care                  guidelines under OIG authorities,                     over the last two decades, OIG has
                                                  Act, Pub. L. 111–148, 124 Stat. 119                      including the Civil Monetary Penalties                received new fraud-fighting CMP
                                                  (2010), as amended by the Health Care                    Law (CMPL); the Emergency Medical                     authorities, including new authorities
                                                  and Education Reconciliation Act of                      Treatment and Labor Act (EMTALA);                     under the ACA. With the addition of
                                                  2010, Pub. L. 111–152, 124 Stat. 1029                    section 1140 of the Act for conduct                   new authorities over time, part 1003 has
                                                  (2010), hereafter the ACA) significantly                 involving electronic mail, Internet, and              become cumbersome. While adding new
                                                  expanded OIG’s authority to protect                      telemarketing solicitations; and section              authorities, we are also reorganizing
                                                  Federal health care programs from fraud                  1927 of the Act for late or incomplete                part 1003 to improve its readability and
                                                  and abuse. The OIG proposed to update                    reporting of drug-pricing information.                clarity and addressing several
                                                  its regulations to codify the changes                                                                          substantive issues in our existing
                                                  made by the ACA in the regulations. At                   D. Costs and Benefits                                 authorities.
                                                  the same time, OIG proposed updates                        There are no significant costs                        In 1981, Congress enacted the CMPL,
                                                  pursuant to the Medicare Prescription                    associated with the regulatory revisions              section 1128A of the Act (42 U.S.C.
                                                  Drug, Improvement, and Modernization                     that would impose any mandates on                     1320a–7a), as one of several
                                                  Act of 2003 and other statutory                          State, local, or tribal governments or the            administrative remedies to combat fraud
                                                  authorities, as well as technical changes                private sector. The OIG anticipates that              and abuse in Medicare and Medicaid.
                                                  to clarify and update the regulations.                   CMP collections may increase in the                   The CMPL authorized the Secretary to
                                                                                                           future in light of the new CMP                        impose penalties and assessments on a
                                                  B. Legal Authority                                       authorities and other changes proposed                person, as defined in 42 CFR part 1003,
                                                     The legal authority, laid out later in                in this rule. However, it is difficult to             who defrauded Medicare or Medicaid or
                                                  the preamble, for this regulatory action                 accurately predict the extent of any                  engaged in certain other wrongful
                                                  is found in the Social Security Act (the                 increase because of a variety of factors,             conduct. The CMPL also authorized the
                                                  Act), as amended by the ACA. The legal                   such as budget and staff resources, the               Secretary to exclude persons from
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                                                  authority for the changes is listed by the               number and quality of CMP referrals or                Medicare and all State health care
                                                  parts of Title 42 of the Code of Federal                 other potential cases, and the time                   programs (including Medicaid).
                                                  Regulations that we proposed to modify:                  needed to investigate and litigate a case.            Congress later expanded the CMPL and
                                                     1003: 42 U.S.C. 1320a–7(c), 1320a–7a,                 In calendar years 2004–2015, OIG                      the scope of exclusion to apply to all
                                                  1320b–10, 1395w–27(g), 1395w–                            collected annual amounts ranging                      Federal health care programs. The
                                                  112(b)(3)(E), 1395w–141(i)(3),                           between $10.2 million and $107.3                      Secretary delegated the CMPL’s
                                                  1395y(b)(3)(B), 1395dd(d)(1), 1395mm,                    million in CMP resolutions for a total of             authorities to OIG. 53 FR 12,993 (April
                                                  1395nn(g), 1395ss(d), 1396b(m), 1396r–                   over $309.2 million.                                  20, 1988). Since 1981, Congress has


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                                                                   Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations                                         88335

                                                  created various other CMP authorities                    commission; (4) fails to comply with                  regulatory language better reflect this
                                                  covering numerous types of fraud and                     marketing restrictions described in                   statutory framework.
                                                  abuse. These new authorities were also                   sections 1851(h) or (j) of the Act (42                   Throughout part 1003, we proposed
                                                  delegated by the Secretary to OIG and                    U.S.C. 1395w–21(h) or (j)) or applicable              replacing references to Medicare and
                                                  were added to part 1003.                                 implementing regulations or guidance;                 State health care programs with
                                                     The ACA is the most recent expansion                  or (5) employs or contracts with any                  ‘‘Federal health care programs’’ when
                                                  of the CMP provisions and OIG’s ability                  person who engages in the conduct                     the provision concerns exclusion to
                                                  to protect Federal health care programs                  described in section 1857(g)(1) of the                more completely reflect the full scope of
                                                  from fraud and abuse. Sections                           Act.                                                  exclusion. The proposed changes also
                                                  6402(d)(2)(A)(iii) and 6408(a) of ACA                       We have codified these new                         remove all references to the penalties
                                                  amended the CMPL by adding new                           authorities in the proposed regulations               and assessments available before 1997
                                                  conduct that subjects a person to                        at § 1003.400(c) and their corresponding              because any conduct prior to 1997 falls
                                                  penalties, assessments, and/or exclusion                 penalties and assessments at § 1003.410.              outside the CMPL’s statute of
                                                  from participation in Federal health care                The Centers for Medicare & Medicaid                   limitations.
                                                  programs. The new covered conduct                        Services (CMS) may also impose                           The proposed changes clarify that a
                                                  includes: (1) Failure to grant OIG timely                sanctions under its authorities related to            principal’s liability for the acts of its
                                                  access to records, upon reasonable                       Medicare Advantage or Part D                          agents does not limit liability only to the
                                                  request; (2) ordering or prescribing                     contracting organizations. Those                      principal. Agents are still liable for their
                                                  while excluded when the excluded                         authorities are at 42 CFR parts 422 and               misconduct. In our enforcement
                                                  person knows or should know that the                     423.                                                  litigation, we have encountered the
                                                  item or service may be paid for by a                                                                           argument that agents are not liable for
                                                                                                           C. Reorganization of Part 1003
                                                  Federal health care program; (3) making                                                                        their misconduct where the principal is
                                                  false statements, omissions, or                            We proposed reorganizing part 1003                  liable for the same misconduct. We
                                                  misrepresentations in an enrollment or                   to make the regulations more accessible               believed the law provides that the agent
                                                  similar bid or application to participate                to the public and to add clarity to the               remains liable for his or her conduct
                                                  in a Federal health care program; (4)                    regulatory scheme. Except for general                 and may not use the principal as a
                                                  failure to report and return an                          and procedural subparts, the                          liability shield. The proposed revision
                                                  overpayment; and (5) making or using a                   reorganized part 1003 groups CMP                      clarifies this point. In addition, we
                                                  false record or statement that is material               authorities into subparts by subject                  proposed to consolidate
                                                  to a false or fraudulent claim. See the                  matter. This revised structure also                   § 1003.102(d)(1)–(4), which addressed
                                                  Act, section 1128A(a)(8)–(12). We are                    clarifies the differences between the                 situations in which multiple parties
                                                  codifying these new authorities and                      various CMP authorities and their                     may have liability for separate CMP
                                                  remedies at 42 CFR 1003.200(b)(6)–(10),                  respective statutory remedies. For                    provisions. This proposed revision
                                                  1003.210(a)(6)–(9), and 1003.210(b)(3).                  certain CMP authorities, penalties,                   clarifies that each party may be held
                                                     Section 6408(b)(2) of the ACA                         assessments, and exclusion are                        liable for any applicable penalties and
                                                  amended section 1857(g)(1) of the Act                    authorized. For other CMP authorities,                that the parties may be held jointly and
                                                  (42 U.S.C. 1395w–27(g)(1)), which                        only penalties, or penalties and                      severally liable for the assessment.
                                                  relates to Medicare Advantage and Part                   assessments, are authorized. Each                        We received no comments on these
                                                  D contracting organizations. See the Act,                subpart is intended to be self-contained,             topics and finalize the regulation as
                                                  section 1860D–12(b)(3)(E) (42 U.S.C.                     with all the relevant provisions                      proposed.
                                                  1395w–112) (incorporating 1857(g) by                     concerning a particular violation                        Under the Federal Civil Penalties
                                                  reference). Through this amendment to                    included in the same subpart.                         Inflation Adjustment Act Improvements
                                                  the Act, the ACA made several changes                      We received no comments on the                      Act of 2015 (sec. 701 of Pub. L. 114–74,
                                                  to these authorities. First, section                     reorganization and finalize it as                     129 Stat. 599), which amended the
                                                  6408(b)(2) of the ACA clarifies that                     proposed.                                             Federal Civil Penalties Inflation
                                                  penalties, and, where applicable,                                                                              Adjustment Act of 1990 (Pub. L. 101–
                                                  assessments, may be imposed against a                    D. Technical Changes and Clarifications
                                                                                                             Because we intended each subpart to                 410, 104 Stat. 890), Federal agencies
                                                  Medicare Advantage or Part D                                                                                   must make annual adjustments to their
                                                  contracting organization when its                        be self-contained, we proposed
                                                                                                           incorporating the exclusion sections,                 CMPs, including the CMPs in the Social
                                                  employees or agents, or any provider or
                                                                                                           which were found at §§ 1003.105 and                   Security Act. The Department of Health
                                                  supplier who contracts with it, engages
                                                                                                           1003.107, into the subparts in which                  and Human Services (HHS or the
                                                  in the conduct described in the CMP
                                                                                                           exclusion is available: False Claims;                 Department) will publish all of the
                                                  authorities in section 1857(g) of the Act.
                                                                                                           Anti-kickback and Physician Self-                     Department’s adjusted CMP amounts at
                                                  This statutory change broadens the
                                                                                                           Referral; EMTALA; and Beneficiary                     45 CFR part 102. That section will
                                                  general liability of principals for the
                                                                                                           Inducement. This proposed revision                    include CMPs that have been delegated
                                                  actions of their agents under our
                                                                                                           more clearly reflects the statutory                   to OIG. To ensure transparency, we have
                                                  existing regulations at § 1003.102(d)(5)
                                                                                                           scheme, which permits both monetary                   added footnotes to subparts B through
                                                  (proposed § 1003.120(c)) to include
                                                                                                           and exclusion remedies for these                      M stating that the penalty amounts are
                                                  contracting providers and suppliers who
                                                  may not qualify as agents of the                         violations.                                           adjusted for inflation and citing to 45
                                                  contracting organization. The ACA also                     The proposed changes clarify in each                CFR part 102.
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                                                  provides for penalties and assessments                   subject matter subpart that we may                    E. Civil Monetary Penalty Authorities
                                                  against a Medicare Advantage or Part D                   impose a penalty for each individual
                                                  contracting organization that: (1) Enrolls               violation of the applicable provision. As             Subpart A—General Provisions
                                                  an individual without his or her prior                   we explained in the notice of proposed                  Subpart A contains the general
                                                  consent; (2) transfers an enrollee from                  rulemaking, and below, the statutory                  provisions that apply to part 1003. The
                                                  one plan to another without his or her                   authorities are clear that each act that              proposed changes revised the ‘‘Basis
                                                  prior consent; (3) transfers an enrollee                 constitutes a violation is subject to                 and Purpose’’ section to state more
                                                  solely for the purpose of earning a                      penalties. The proposed revisions to the              succinctly part 1003’s purpose and to


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                                                  88336            Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations

                                                  include a complete listing of CMPs. We                   proposed removing the reference to the                assessments for violations of section
                                                  also proposed updates to statutory                       False Claims Act (FCA) from the                       1128A(a)(6) of the Act.
                                                  authority citations at proposed                          definition of ‘‘knowingly’’ because it is                We did not receive comments on the
                                                  § 1003.100(a)–(b).                                       unnecessary. As used in part 1003, the                proposed definitions of ‘‘claim,’’
                                                    We received no comments on these                       term ‘‘knowingly’’ applies only to acts,              ‘‘contracting organization,’’ ‘‘item or
                                                  changes and finalize the regulations as                  such as the act of presenting a claim.                service,’’ ‘‘Responsible Official,’’ ‘‘non-
                                                  proposed.                                                When a person’s awareness or                          separately-billable item or service,’’ or
                                                                                                           knowledge of information is at issue, the             ‘‘separately billable item or service’’ and
                                                  1003.110 Definitions                                                                                           are finalizing the definition as proposed.
                                                                                                           CMPL and other statutes use either a
                                                    The proposed rule included several                     ‘‘knows or should know’’ or a ‘‘knew or               We received comments on the definition
                                                  changes to the ‘‘Definitions’’ section for               should have known’’ construction. For                 of ‘‘knowingly,’’ ‘‘should know, or
                                                  clarity and readability. First, we                       example, section 1128A(a)(2) of the Act               should have known,’’ ‘‘material,’’ and
                                                  proposed to redesignate § 1003.101 as                    subjects a person to liability when the               ‘‘timely basis,’’ which are discussed
                                                  § 1003.110. We proposed to remove                        person knowingly presents, or causes to               below. We also received comments on
                                                  terms from this part that duplicate                      be presented, a claim that the person                 the definitions of ‘‘overpayment,’’
                                                  definitions in part 1000 or are no longer                knew or should have known is false or                 ‘‘reasonable request,’’ and ‘‘responsible
                                                  used in this part. We also proposed the                  fraudulent. Here, the act is presenting               physician,’’ which we will address in
                                                  following changes and additions to the                   the claim or causing the claim to be                  the discussion of the overpayment,
                                                  specific definitions.                                    presented. The information is that the                timely access, and EMTALA CMPs
                                                                                                           claim was false or fraudulent.                        respectively.
                                                  Claim                                                                                                             Comment: One commenter
                                                     We proposed to revise the definition                  Material                                              recommended that the definitions of
                                                  of ‘‘claim’’ by changing the word ‘‘to’’ to                We proposed a definition of                         ‘‘knowingly’’ and ‘‘should know, or
                                                  ‘‘under.’’ This change more closely                      ‘‘material’’ that mirrors the FCA                     should have known’’ not include that
                                                  aligns the regulations to the CMPL’s                     definition as ‘‘having a tendency to                  ‘‘no proof of specific intent to defraud
                                                  definition of ‘‘claim’’ to avoid any                     influence, or be capable of influencing,              is required.’’ Another commenter
                                                  misinterpretation that a claim is limited                the payment or receipt of money or                    recommended that, when applied to
                                                  to an application for payment for an                                                                           § 1003.200(b)(7) for false statements,
                                                                                                           property.’’
                                                  item or service made directly to a                                                                             omissions, or misrepresentations,
                                                  Federal health care program (e.g., a                     Overpayment                                           ‘‘knowingly’’ should include a specific
                                                  claim also includes applications for                                                                           intent to defraud. Both commenters
                                                                                                              We proposed a definition of
                                                  payment to contractors).                                                                                       argued that, where there was no specific
                                                                                                           ‘‘overpayment’’ that is taken from
                                                                                                                                                                 intent to defraud, a maximum penalty of
                                                  Contracting Organization                                 section 1128J(d)(4) of the Act (42 U.S.C.             $50,000 for a violation of
                                                     We proposed to update the definition                  1320a-7k(d)(4)), as amended by section                § 1003.200(b)(7) would be unduly harsh.
                                                  of ‘‘contracting organization’’ to include               6402(a) of the ACA.                                      Response: The definition of ‘‘should
                                                  all entities covered by sections 1857,                   Reasonable Request                                    know’’ in section 1128A(i)(7) of the Act
                                                  1860D–12, 1876(b) (42 U.S.C.                                                                                   states that ‘‘no proof of specific intent to
                                                  1395mm(b)), or 1903(m) of the Act.                          We proposed a definition of                        defraud is required.’’ Similarly, the
                                                                                                           ‘‘reasonable request’’ as part of                     existing regulatory definitions of
                                                  Item or Service                                          implementing the new ACA CMP                          ‘‘knowingly’’ and ‘‘should know, or
                                                     We proposed revisions to the                          authority for failure to grant OIG timely             should have known’’ both state that ‘‘no
                                                  definition of the term ‘‘item or service.’’              access to records, as discussed below                 proof of specific intent is required.’’ We
                                                  Section 1128A of the Act provides that                   under § 1003.200, subpart B.                          proposed no changes to that language in
                                                  the term ‘‘item or service’’ ‘‘includes’’                Responsible Official                                  either definition. As discussed above,
                                                  various items, devices, supplies, and                                                                          our proposal clarified that the use of the
                                                  services. By using the word ‘‘includes’’                    We proposed a definition of                        term ‘‘knowingly’’ referred to acts, such
                                                  in section 1128A of the Act, Congress                    ‘‘Responsible Official’’ as this term                 as submitting a claim, and ‘‘should
                                                  created an illustrative statutory                        relates to the select agent and toxin CMP             know or should have known’’ referred
                                                  definition that is broad enough to                       authority. We proposed to amend the                   to information, such as the claim was
                                                  capture all the uses of the term in                      definition of ‘‘select agent and toxin’’ as           false or fraudulent. Further, OIG does
                                                  section 1128A of the Act. The term is                    the term relates to the select agent and              not believe it would be unduly harsh to
                                                  used in section 1128A of the Act in two                  toxin CMP authority (42 U.S.C. 262a(i);               apply up to a $50,000 penalty where a
                                                  different contexts: one, in reference to                 Act, section 1128A(j)(2)).                            person acted with reckless disregard
                                                  submitting claims for items and services                 Responsible Physician                                 when making a material omission on an
                                                  reimbursed by a Federal health care                                                                            application, bid, or contract to
                                                  program, and two, in the definition of                     We also proposed revising the                       participate or enroll as a provider or
                                                  ‘‘remuneration’’ to beneficiaries in                     definition of ‘‘responsible physician’’ to            supplier. We are finalizing these terms,
                                                  reference to section 1128A(a)(5) of the                  more closely conform to statutory                     as proposed.
                                                  Act. We proposed clarifying the                          intent, as discussed below under                         Comment: Some commenters
                                                  definition to ensure that it reflects the                § 1003.500, subpart E.                                disagreed with the proposed definition
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                                                  broad meaning of ‘‘item or service’’ in                  Separately Billable Item or Service and               of ‘‘material’’ and recommended we
                                                  both contexts.                                           Non-Separately-Billable Item or Service               adopt a definition of ‘‘having an actual
                                                                                                                                                                 influence on the payment or receipt of
                                                  Knowingly                                                   We also proposed definitions of                    money or property.’’
                                                    We proposed clarifying the definition                  ‘‘separately billable item or service’’ and              Response: We respectfully disagree
                                                  of ‘‘knowingly,’’ found in the existing                  ‘‘non-separately-billable item or                     with the commenters and finalize the
                                                  regulation at § 1003.102(e), to cover acts               service’’ to create an alternate method               definition, as proposed. The proposed
                                                  as opposed to information. We also                       for calculating penalties and                         language mirrors the definition of


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                                                                   Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations                                        88337

                                                  material in the FCA, 31 U.S.C.                           1003.140 Determinations Regarding                     threshold increases transparency and
                                                  3729(b)(4). In the ACA, Congress added                   the Amount of Penalties and                           gives providers better guidance on OIG’s
                                                  a new CMP cause of action against                        Assessments and the Period of                         evaluation of this factor. In assigning a
                                                  persons who knowingly make, use, or                      Exclusion                                             dollar value to the aggravating factor, we
                                                  cause to be made or used, a false record                    We proposed modifying the                          considered our practices in evaluating
                                                  or statement material to a false or                      provisions relating to the factors                    conduct for pursuing CMPs and
                                                  fraudulent claim for payment for items                   considered in determining exclusion                   proposed that a loss greater than
                                                  and services furnished under a Federal                   periods and the amount of penalties and               $15,000 is an indication of serious
                                                  health care program. This cause of                       assessments for violations. The existing              misconduct. As discussed in response to
                                                  action mirrors a cause of action under                   structure separately listed factors for               comments, we are finalizing the
                                                  the FCA at 31 U.S.C. 3729(a)(1)(B). We                   certain CMP violations in § 1003.106(a)               aggravating factor as a loss greater than
                                                  believe that the same definition should                  and provided additional detail on these               $50,000.
                                                  apply in the CMPL given the similarities                                                                         The OIG will, however, continue to
                                                                                                           factors for certain CMP violations in
                                                  with the FCA. In addition, we believe                                                                          review the facts and circumstances of a
                                                                                                           § 1003.106(b) and (d). This structure
                                                  this definition is appropriate for the                                                                         violation on a case-by-case basis. For
                                                                                                           was cumbersome and potentially
                                                  other CMP causes of action in this part                                                                        instance, when considering the nature
                                                                                                           confusing for the reader.
                                                  that use the term ‘‘material’’ because                      To add clarity and improve                         and circumstances of any case, OIG will
                                                  those authorities also involve the use of                transparency in OIG’s decision-making,                consider, among other things and to the
                                                  false statements—§§ 1003.200(a)(4)(ii),                                                                        extent they are relevant, the period over
                                                                                                           we identified the most common issues
                                                  1003.200(a)(7), 1003.200(d), and                                                                               which the conduct occurred, whether a
                                                                                                           among the factors listed and created a
                                                  1003.1100(a).                                                                                                  pattern of misconduct is indicated, the
                                                                                                           single, primary list of factors in the
                                                                                                                                                                 magnitude of the violation, the
                                                     Comment: One commenter argued                         proposed § 1003.140. The primary
                                                                                                                                                                 materiality or significance of a false
                                                  that we should change the definition of                  factors are: (1) The nature and
                                                                                                                                                                 statement or omission, the number of
                                                  ‘‘timely basis’’ to the 60-day period from               circumstances of the violation, (2) the
                                                                                                                                                                 people involved, the number of victims,
                                                  the time the individual or entity knows                  degree of culpability of the person, (3)
                                                                                                                                                                 and whether patients were or could
                                                  that the amounts collected violated the                  the history of prior offenses, (4) other
                                                                                                                                                                 have been harmed.
                                                  Physician Self-Referral Law. The                         wrongful conduct, and (5) other matters                 The proposed changes also clarify that
                                                  commenter states that it is unreasonable                 as justice may require. As the fifth factor           these factors apply to exclusion
                                                  to expect individuals and entities                       demonstrates, these are illustrative                  determinations made under part 1003 as
                                                  consistently to know, within 60 days of                  factors rather than a comprehensive list.             well as penalty and assessment amount
                                                  collection, that an amount was collected                 These factors would apply to all CMP                  determinations. We are removing
                                                  in violation of the Stark Law, and that                  violations, except as otherwise provided              § 1003.107(c) in light of this
                                                  it would be unfair to impose penalties,                  in the subpart relating to a specific                 reorganization. The existing regulations
                                                  assessments, and exclusions on                           subject matter, which may contain                     stated, at § 1003.107(c), that the
                                                  individuals and entities for failure to                  additional detail or explanation                      guidelines regarding exclusion
                                                  return payments that they did not know                   regarding a factor’s applicability to a               determinations are not binding. This
                                                  were collected in violation of the Stark                 specific violation. For example, the                  language was used to emphasize that
                                                  Law.                                                     aggravating factors listed in                         only the reasonableness of a period of
                                                     Response: Because we did not                          § 1003.106(b)(1) related to the nature                exclusion is reviewable on appeal as
                                                  propose changing the language of the                     and circumstances of a violation.                     opposed to OIG’s decision to impose an
                                                  definition, only the internal citation,                  Because these factors relate most                     exclusion. While OIG’s discretion to
                                                  this suggestion is outside the scope of                  directly to billing issues, the proposed              exercise its exclusion authority remains
                                                  this rulemaking. We are finalizing the                   regulations include them in                           unreviewable, the § 1003.107(c)
                                                  definition, as proposed.                                 §§ 1003.220, 1003.320, and 1003.420.                  language is no longer necessary under
                                                                                                           We proposed updating the claims-                      the proposed reorganization. The
                                                     Comment: We also received a                           mitigating factor by increasing the                   revisions at § 1003.140 more clearly
                                                  comment asking that OIG clarify that the                 maximum dollar amount considered as                   state that the general guidelines relate to
                                                  provisions of part 1003 applying to                      mitigation from $1,000 to $5,000. We                  the length of exclusion as opposed to
                                                  Federal health care programs do not                      believed this updated amount is an                    the decision whether to exclude a
                                                  apply to Qualified Health Plan Issuers                   appropriate threshold that is consistent              person.
                                                  or State-based or Federally facilitated                  with rationale behind the original                      At § 1003.106(b)(2), the regulations
                                                  exchanges.                                               amount. A dollar threshold as a                       discussed a person’s degree of
                                                     Response: ‘‘Federal health care                       mitigating factor for CMP purposes                    culpability and listed several
                                                  program’’ is defined in section 1128B(f)                 differentiates between conduct that                   aggravating circumstances concerning
                                                  of the Act. part 1003 does not include                   could be considered less serious and                  whether a person had knowledge of the
                                                  a definition of ‘‘Federal health care                    more serious. Conduct resulting in more               violation. We believed the language was
                                                  program’’ and none was included in our                   than $5,000 in Federal health care                    out-of-date in light of all the CMP
                                                  proposed changes to that part.                           program loss is an indication of more                 authorities that have been added to part
                                                  Therefore, this comment is beyond the                    serious conduct. Given the changes in                 1003 over the years. We proposed to
                                                  scope of the rulemaking. That said, the                  the costs of health care since this                   consider as an aggravating factor a
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                                                  Department stated in an October 30,                      regulation was last updated in 2002, we               person’s having a level of intent to
                                                  2013 letter from the Secretary to                        believed the $1,000 threshold was lower               commit the violation that is greater than
                                                  Representative Jim McDermott that it                     than appropriate. We also proposed                    the minimum intent required to
                                                  does not consider Qualified Health                       revising the claims-aggravating factor                establish liability.
                                                  Plans (QHPs) or other programs related                   that was at 1003.106(b)(1)(iii) by                      Various CMP authorities have
                                                  to the Federally facilitated marketplace                 replacing ‘‘substantial’’ with ‘‘$15,000              different intent or scienter requirements.
                                                  to be federal health care programs, for                  or more.’’ We believe that replacing                  Some authorities have a ‘‘knows or
                                                  the purposes of 1128B(f) of the Act.                     ‘‘substantial’’ with a specific dollar                should know’’ standard consistent with


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                                                  88338            Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations

                                                  the FCA standard that includes actual                    compliance/self-disclosure-info/                      Administrative Law Judge (ALJ) finds
                                                  knowledge, deliberate ignorance, or                      protocol.asp). In response to comments,               that extraordinary circumstances
                                                  reckless disregard. Some authorities                     which are summarized below, we are                    prevented the person from providing the
                                                  require only negligence and some have                    finalizing the rule to include self-                  financial documentation to OIG in the
                                                  no intent requirement. In CMP cases in                   disclosure to CMS’s Self-Referral                     time and manner requested by OIG prior
                                                  which the scienter standard required to                  Disclosure Protocol for Stark violations.             to the hearing request.
                                                  prove a violation is lower than actual                   As further discussed in subpart E, we                    We received the following comments
                                                  knowledge, having actual knowledge is                    are also including disclosure to CMS for              on these proposals. To the extent the
                                                  more egregious. Our existing regulations                 EMTALA violations.                                    comments do not address aspects of
                                                  provide that actual knowledge is an                         The proposed changes clarified that                these changes, we are finalizing this
                                                  aggravating factor when a respondent                     when we are determining the                           section of the rule, as proposed.
                                                  knew an item or service was not                          appropriate remedy against an entity,                    Comment: Some commenters
                                                  provided as claimed or if the respondent                 aggravating circumstances include the                 disagreed with our proposal to include
                                                  knew that a claim was false or                           prior offenses or other wrongful conduct              a person’s level of intent as an
                                                  fraudulent. We intend the general                        of: (1) The entity itself; (2) any                    aggravating factor for several reasons.
                                                  ‘‘degree of culpability’’ factor to                      individual who had a direct or indirect               Some commenters viewed proving, and
                                                  encompass this approach and to extend                    ownership or control interest (as                     distinguishing between, different
                                                  to all CMP authorities that have a                       defined in section 1124(a)(3) of the Act              degrees of mental states, such as ‘‘actual
                                                  scienter standard that is lower than                     (42 U.S.C. 1320a–3)) in the entity at the             knowledge,’’ ‘‘deliberate ignorance,’’
                                                  actual knowledge. In response to                         time the violation occurred and who                   and ‘‘reckless disregard,’’ as subjective.
                                                  comments, as summarized below, we                        knew, or should have known, of the                    Commenters argued that the proposed
                                                  are finalizing the rule to provide that it               violation; or (3) any individual who was              rule’s rationale for using degrees of
                                                  shall be considered an aggravating factor                an officer or a managing employee (as                 scienter to determine the existence of
                                                  when a person has actual knowledge                       defined in section 1126(b) of the Act (42             aggravating circumstances is not
                                                  and the level of intent required to                      U.S.C. 1320a–5)) of the entity at the time            sufficient to overcome concerns
                                                  establish liability is less than actual                  the violation occurred. For ‘‘prior                   regarding the subjectivity involved in
                                                  knowledge.                                               offenses,’’ we also proposed to change                distinguishing between and proving
                                                     Possessing the lowest level intent to                 ‘‘any other public or private program for             these highly nuanced mental states.
                                                  commit a violation is not a defense                      reimbursement for medical services’’ to               Aside from the statement that ‘‘actual
                                                  against liability, a mitigating factor, or a             ‘‘in connection with the delivery of a                knowledge is considered more egregious
                                                  justification for a less serious remedy.                 health care item or service.’’ This                   than a lower level of intent,’’
                                                  Individuals and entities are expected to                 proposed change is consistent with the                commenters expressed concern that the
                                                  know the law and Federal health care                     aggravating circumstance ‘‘other                      proposed rule does not explain which
                                                  program rules. While the degree of                       wrongful conduct.’’                                   different scienter requirements carry
                                                  culpability is relevant in our                              Finally, the proposed rule clarified               respectively greater, or lesser,
                                                  determination to impose a monetary or                    when OIG considers the financial                      culpability. For example, commenters
                                                  exclusion remedy, other factors, such as                 condition of a person in determining                  argued that the proposed rule does not
                                                  the nature and circumstances of the                      penalty or assessment amounts. The                    provide if or how scienter requirements,
                                                  violation, may justify a maximum                         regulations discussed financial                       such as ‘‘reckless disregard’’ and
                                                  monetary remedy or exclusion to protect                  condition in various sections with                    ‘‘deliberate ignorance,’’ relate to one
                                                  Federal health care programs and                         varying degrees of specificity:                       another with respect to potential
                                                  beneficiaries from fraud, waste, and                     § 1003.106(a)(1)(iv); (a)(3)(i)(F);                   culpability. Commenters were also
                                                  abuse.                                                   (a)(4)(iv); (b)(5); and (d)(4). We proposed           concerned that the proposed rule does
                                                     In addition, we proposed to add a                     a more uniform and specific standard to               not set forth the evidentiary standards
                                                  mitigating circumstance to the degree-                   apply after OIG evaluates the facts and               required to prove, and distinguish
                                                  of-culpability factor for taking                         circumstances of the conduct and                      between, degrees of scienter, (e.g.,
                                                  ‘‘appropriate and timely corrective                      weighs the aggravating and mitigating                 where a person can be held liable: (1)
                                                  action in response to the violation.’’ The               factors to determine an appropriate                   For knowingly presenting an inaccurate
                                                  proposed regulation required that a                      penalty and assessment amount. Once                   claim; or (2) where the person knew, or
                                                  person, to qualify as taking corrective                  OIG proposes this penalty and                         should have known, that the claim was
                                                  action, disclose the violation to OIG                    assessment amount, the person may                     not accurate). Given that legal expertise
                                                  through the Self-Disclosure Protocol                     request that OIG consider its ability to              is typically required to fully interpret
                                                  (the Protocol) and fully cooperate with                  pay the proposed amount. To permit                    and understand these terms,
                                                  OIG’s review and resolution of the                       OIG to evaluate a person’s ability to pay,            commenters stated that physicians and
                                                  violation. We have long emphasized the                   the person must submit sufficient                     health care providers may not fully
                                                  importance of compliance programs that                   documentation that OIG deems                          comprehend the changes proposed by
                                                  result in appropriate action when                        necessary to conduct its review,                      the rule and may be disadvantaged
                                                  Federal health care program compliance                   including, but not limited to, audited                when trying to respond to OIG’s
                                                  issues are identified. We continue to                    financial statements, tax returns, and                determination that an aggravating
                                                  believe that appropriate action for                      financial disclosure statements. This                 circumstance is present on the basis of
                                                  potential violations of OIG’s CMP                        ability-to-pay review may also consider               alleged degrees of culpability.
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                                                  authorities must include self-disclosure                 the ability of the person to reduce                      Finally, while commenters
                                                  and cooperation in the inquiry and                       expenses or obtain financing to pay the               acknowledged OIG’s experience in CMP
                                                  resolution of the matter. For most OIG                   proposed penalty and assessment. If a                 enforcement as the main support for its
                                                  CMP authorities, the person should not                   person requested a hearing in                         degree-of-culpability proposal,
                                                  qualify for mitigation of the potential                  accordance with 42 CFR 1005.2, the                    commenters noted that this rule
                                                  monetary or exclusion remedies without                   only financial documentation subject to               expands OIG’s authority to new types of
                                                  self-disclosure through the Protocol                     review would be that which the person                 conduct under the five new ACA
                                                  (available at—http://oig.hhs.gov/                        submitted to OIG, unless the                          liability bases to its enforcement


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                                                                   Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations                                       88339

                                                  authority. These additional bases for                    circumstances present in the individual               statutory or regulatory provision, no
                                                  CMPs require physicians to understand                    case. In this weighing process, it is                 monetary penalty or exclusion would
                                                  new authorities and also expands OIG                     possible to conclude that one                         apply.
                                                  scienter determinations to new areas of                  aggravating circumstance should                          Comment: Several commenters
                                                  the law. Given this expanded scope,                      overweigh several mitigating                          suggested that OIG expand the
                                                  commenters urged OIG to reconsider                       circumstances because of the nature and               corrective action that would be
                                                  use of this new aggravating factor,                      circumstances of the case. As such, our               considered as a mitigating factor to
                                                  especially without providing more                        proposal that any one aggravating                     include more than submissions to the
                                                  detailed guidance distinguishing                         circumstance may justify a high penalty               Self-Disclosure Protocol. Commenters
                                                  different mental standards and their                     or assessment simply reflects this                    argued that limiting the mitigating factor
                                                  applicability to CMPs, assessments, and                  qualitative, fact-driven analysis. The                to use of the Self-Disclosure Protocol is
                                                  exclusions.                                              converse is also true, that one mitigating            overly limited and suggested that the
                                                     Response: We have altered the final                   factor could justify a lower penalty. Our             following actions be considered
                                                  rule so that in cases in which the                       proposal is not intended to change                    mitigating: Disclosure to the CMS Self-
                                                  scienter standard required to prove a                    OIG’s longstanding and repeatedly                     Referral Disclosure Protocol, returning
                                                  violation is lower than actual                           stated position that appropriate self-                payments to Medicare contractors,
                                                  knowledge, having actual knowledge                       disclosure is a critical indication that              internal investigation, and staff
                                                  will be an aggravating factor. We will                   the provider or supplier has an effective             retraining. Commenters argued that
                                                  continue evaluating each case to                         compliance program. We will continue                  retaining existing regulatory language,
                                                  determine the appropriate penalties and                  to follow the process outlined in the                 which more generally references
                                                  assessments and whether exclusion is                     Self-Disclosure Protocol in resolving                 corrective steps taken promptly after a
                                                  appropriate. In any case in which the                    Protocol submissions.                                 problem was discovered, would allow
                                                  scienter standard required to prove a                       Comment: One commenter stated that                 providers and suppliers the flexibility to
                                                  violation is lower than actual                           proposed § 1003.140(d), which provides                take the corrective action best fitted to
                                                  knowledge, actual knowledge is more                      that OIG should exclude where there are               their particular practice settings and is
                                                  egregious. The OIG’s existing                            aggravating circumstances, is                         more likely to encourage providers and
                                                  regulations provide that actual                          superfluous because OIG already has the               suppliers to actively take appropriate
                                                  knowledge is an aggravating factor                       authority to exclude where aggravating                corrective action.
                                                  where a respondent knew an item or                       circumstances exist. The commenter                       Response: We have decided to amend
                                                  service was not provided as claimed or                   expressed concern that, if read so as not             our proposal to include use of the CMS
                                                  if the respondent knew that a claim was                  to be superfluous, the provision would                Self-Referral Disclosure Protocol (SRDP)
                                                  false or fraudulent. In the final rule, OIG              suggest that exclusion is mandated by                 as meeting the corrective action
                                                  is simply extending actual knowledge as                  the rule.                                             requirement for the mitigating factor.
                                                  an aggravating factor to all cases in                       Response: We agree with the                        We decided to make this change to
                                                  which the scienter standard to prove a                   commenter that the provision is                       clarify that appropriately using the
                                                  violation is lower than actual                           superfluous. The OIG makes                            SRDP satisfies OIG’s goals of
                                                  knowledge.                                               determinations regarding penalties,                   encouraging disclosure and recognizes
                                                     Comment: One commenter expressed                      assessments, and exclusion based on a                 the specific protocol that CMS has
                                                  concern about OIG’s proposed provision                   case-by-case analysis, and for any                    created to handle physician self-referral
                                                  that any single aggravating circumstance                 particular case the presence of                       law (Stark Law) compliance issues.
                                                  may justify imposing a penalty and                       aggravating circumstances may support                 Because conduct that implicates only
                                                  assessment at or close to the maximum                    exclusion. Therefore, we are finalizing               the Stark Law is not eligible for OIG’s
                                                  even when one or more mitigating                         the rule without this proposed                        Self-Disclosure Protocol, we wanted to
                                                  factors are present. The commenter                       provision.                                            clarify that using the SRDP for this
                                                  argued that this proposed change would                      Comment: A few commenters                          conduct is appropriate. We do not
                                                  tilt the balance in favor of the                         suggested that a lower level of intent be             believe the other actions described
                                                  aggravating factors without due                          considered as a mitigating factor.                    above are appropriate for this mitigating
                                                  consideration to all of the circumstances                Commenters argued that if a higher level              factor. Returning overpayments to the
                                                  in each case and could lead to uneven                    of intent may be viewed as a potential                appropriate contractor is important.
                                                  enforcement. The commenter also stated                   aggravating factor, OIG should consider               However, this action does not address or
                                                  that this concern was compounded by                      a lower level of intent as a mitigating               eliminate CMP liability if it exists. Put
                                                  OIG’s other proposal to move away from                   factor.                                               another way, if the conduct involves
                                                  separately listed aggravating factors to a                  Response: Possessing a lower level                 only overpayments and no CMP
                                                  more general, illustrative list of factors               intent to commit a violation is not a                 liability, there is no penalty at issue to
                                                  that the commenter argues could be                       defense against liability or a justification          mitigate. Similarly, taking actions such
                                                  applied more broadly. Finally, the                       for a less serious remedy. Individuals                as internal investigations and retraining
                                                  commenter also stated that this proposal                 and entities are expected to know the                 employees can be important compliance
                                                  could discourage mitigating actions                      law and Federal health care program                   program activities. However, in the
                                                  (e.g., participating in the Self-Disclosure              rules. While the degree of culpability is             absence of a self-disclosure, these
                                                  Protocol).                                               relevant in our determination to impose               actions also do not affect CMP liability.
                                                     Response: We believe that the                         a monetary or exclusion remedy, other                    We are also amending subpart E
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                                                  proposed rule accurately reflects the                    factors, such as the nature and                       (EMTALA) to include in this mitigating
                                                  case-by-case analysis that OIG has                       circumstances of the violation, may                   factor disclosure of the violation to CMS
                                                  historically done and that is conducted                  justify a maximum monetary remedy or                  prior to CMS receiving a complaint
                                                  in the ALJ hearing process. Aggravating                  exclusion to protect the Federal health               regarding the violation from another
                                                  and mitigating circumstances require                     care programs and beneficiaries.                      source or otherwise learning of the
                                                  qualitative weighing of facts and                        Moreover, if the facts show that the                  violation.
                                                  circumstances and are, by their nature,                  person did not possess the requisite                     Comment: Some commenters stated
                                                  dependent on the facts and                               level of intent to violate a particular               that, as a practical matter, this proposal


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                                                  88340            Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations

                                                  ‘‘mandates’’ disclosure to the Protocol,                    Comment: Some commenters                           only situations in which the provider or
                                                  which would, for many providers and                      expressed concerns about the proposed                 supplier was held liable for criminal,
                                                  suppliers, limit the availability of this                rule’s expansion of the ‘‘history of prior            civil, or administrative sanctions by a
                                                  mitigating circumstance. Some                            offenses’’ and ‘‘other wrongful conduct’’             governmental entity, such as a Federal
                                                  commenters viewed participation in the                   aggravating factors. Specifically, these              or State agency or one of its contractors.
                                                  Protocol as time and labor intensive and                 commenters argued that it would be                       Comment: One commenter expressed
                                                  often necessitating the assistance of an                 unjust to consider prior offenses or                  concerns with the proposed rule’s
                                                  experienced attorney, which may be                       other wrongful conduct of officers or                 increased consideration of wrongful
                                                  expensive for smaller providers and                      managing employees unless the officer                 conduct related to the commercial
                                                  suppliers.                                               or managing employee knew or should                   market. The commenter recommended
                                                     Response: This mitigating factor                      have known of the violation.                          that OIG consider only fraud sanctions
                                                  becomes relevant only if the provider or                 Accordingly, they urged OIG to, as with               in the private market to ensure that the
                                                  supplier has CMP liability for the                       individuals with ownership or control                 wrongful conduct directly relates to the
                                                  conduct at issue. If that is the case, we                interests, limit consideration of prior               conduct being addressed by OIG.
                                                  expect the provider or supplier to                       offenses and other wrongful conduct of
                                                                                                           officers and managing employees to                       Response: We are finalizing the
                                                  appropriately disclose and resolve the                                                                         language, as proposed. We do not
                                                  conduct in the Protocol. Attorney                        situations in which the officer or
                                                                                                           managing employee knew or should                      believe the other wrongful conduct
                                                  representation is not necessary to use                                                                         needs, in all cases, to be related to fraud
                                                  the Protocol.                                            have known of the violation.
                                                                                                              Response: We are finalizing the rule,              generally or to the CMP authority at
                                                     Comment: Some commenters posed                                                                              issue to be relevant. This factor is
                                                  questions concerning the relationship                    as proposed. Officers and managing
                                                                                                           employees have significant                            intended to provide some guidance on
                                                  between the Self-Disclosure Protocol                                                                           the trustworthiness of the individual or
                                                  and the proposed rule. For example, the                  responsibility for an entity’s day-to-day
                                                                                                           operations. Owners, on the other hand,                entity in question. The OIG will
                                                  Self-Disclosure Protocol states that                                                                           continue to perform an analysis of
                                                                                                           may be active or passive. Passive
                                                  ‘‘OIG’s general practice is to require a                                                                       whether the other wrongful conduct
                                                                                                           owners may have less involvement in
                                                  minimum multiplier of 1.5 times the                                                                            should be considered an aggravating
                                                                                                           daily operations, and consequently may
                                                  single damages’’ while the proposed                                                                            circumstance in any given case.
                                                                                                           have less culpability in the entity’s
                                                  rule contains no discussion concerning
                                                                                                           conduct that creates CMP liability. As                1003.150     Delegation of Authority
                                                  the nexus between Protocol settlements
                                                                                                           such, the rule specifies that individuals
                                                  and the imposition of monetary
                                                                                                           who have a direct or indirect ownership                 The proposed rule also adds an
                                                  penalties, assessments, and exclusion.
                                                                                                           or control interest are considered in                 express delegation of authority from the
                                                  Commenters asked whether the 1.5
                                                                                                           these factors only if they knew or                    Secretary to OIG to impose penalties,
                                                  multiplier will be available to those
                                                                                                           should have known of the violation.                   assessments, and exclusions against
                                                  using the Self-Disclosure Protocol if an                 Moreover, this factor was structured to               persons who violate any of the
                                                  aggravating factor exists under the                      reflect the exclusion authority under                 provisions of part 1003. Several Federal
                                                  proposed rule. Commenters also asked                     section 1128(b)(15) of the Act. Under                 Register notices and delegation letters,
                                                  whether OIG would suspend the                            section 1128(b)(15)(A)(ii) of the Act, an             spanning more than 20 years, delegate
                                                  statutory obligation to report and return                individual who is an officer or                       various authorities to OIG. Some of
                                                  an overpayment within 60 days if the                     managing employee of an excluded                      these older notices and letters are no
                                                  provider has appropriately made a                        entity can be excluded regardless of                  longer easily accessible by the public,
                                                  disclosure under the Self-Disclosure                     whether the officer or managing                       such as 53 FR 12,993 (April 20, 1988).
                                                  Protocol and is actively seeking a                       employee knew or should of known of                   This provision, at proposed § 1003.150,
                                                  resolution.                                              the action that constituted the basis for             reiterates OIG’s authority to pursue
                                                     Response: The OIG will continue to                    the exclusion. In contrast, under section             these matters.
                                                  follow the process and principles                        1128(b)(15)(A)(i) of the Act, an owner of
                                                  outlined in the Self-Disclosure Protocol                                                                         We received no comments on this
                                                                                                           the excluded entity can be excluded                   provision and finalize, as proposed.
                                                  in resolving Protocol submissions. Even                  only if he or she knew or should have
                                                  where aggravating circumstances exist,                   known of the action constituting the                  1003.160     Waiver of Exclusion
                                                  we will generally apply a 1.5 multiplier                 basis for the exclusion. We believe that
                                                  in Protocol resolutions, as explained in                                                                          We also proposed changes to part
                                                                                                           Congress intended this different
                                                  the Protocol. Regarding the 60-day rule                                                                        1003’s exclusion-waiver provisions to
                                                                                                           treatment to account for the greater
                                                  referenced by commenters, CMS has                        responsibility of officers or managing                clarify the criteria for a waiver request
                                                  rulemaking authority concerning section                  employees in the entity’s day-to-day                  from a State agency. The existing
                                                  1128J(d) of the Act and published a final                operations.                                           regulations stated that OIG will consider
                                                  rule on February 12, 2016. 81 FR 7654                       Comment: One commenter argued                      an exclusion waiver request from a State
                                                  (February 12, 2016). The regulation                      that ‘‘administrative sanctions’’ in the              agency for exclusions imposed pursuant
                                                  adopted by that final rule states: ‘‘The                 ‘‘history of prior offenses’’ aggravating             to 42 CFR 1003.102(a), (b)(1), and (b)(4)
                                                  deadline for returning overpayments                      factor should not include actions taken               and 1003.105(a)(1)(ii) under certain
                                                  will be suspended when the following                     by purely private actors, such as health              circumstances. We proposed updating
                                                  occurs: (i) The OIG acknowledges                         insurers, because, in such private                    the regulations to permit an
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                                                  receipt of a submission to the OIG Self-                 actions, health care providers may not                administrator of a Federal health care
                                                  Disclosure Protocol and will remain                      be given due process protections                      program to request a waiver, similar to
                                                  suspended until such time as a                           comparable to those available when a                  the waiver in part 1001. Also, we
                                                  settlement agreement is entered, the                     governmental entity is seeking                        proposed removing the limitations
                                                  person withdraws from the OIG Self-                      administrative sanctions.                             concerning when a waiver may be
                                                  Disclosure Protocol, or the person is                       Response: We agree with the                        requested by such an administrator.
                                                  removed from the OIG Self-Disclosure                     commenter that the history of prior                      We received no comments on this
                                                  Protocol.’’ 42 CFR 401.305(b)(2)(i).                     offenses aggravating factor encompasses               provision and finalize, as proposed.


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                                                                   Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations                                       88341

                                                  Subpart B—CMPs, Assessments, and                         prescribes an identifiable item or service            ACA amends the CMPL by adding a
                                                  Exclusions for False or Fraudulent                       for which a claim for reimbursement                   violation for knowingly making or
                                                  Claims and Other Similar Misconduct                      may be submitted to a Federal health                  causing to be made ‘‘any false statement,
                                                     Subpart B contains most of the                        care program by either the person or                  omission, or misrepresentation of a
                                                  provisions that were found in the                        another person. Examples include                      material fact in any application, bid, or
                                                  existing regulations at § 1003.102(a) and                physician office visits and prescribed                contract to participate or enroll as a
                                                  several of the provisions that were                      pharmaceuticals.                                      provider of services or a supplier under
                                                                                                              A ‘‘non-separately-billable item or                a Federal health care program.’’
                                                  found in § 1003.102(b). The text of the
                                                                                                           service’’ is defined as ‘‘an item or                  (Emphasis added.) ACA does not,
                                                  proposed provisions remains largely
                                                                                                           service that is a component of, or                    however, include the word ‘‘omission’’
                                                  unchanged, except for a separate
                                                                                                           otherwise contributes to the provision                in its description of the penalty and
                                                  provision we created to address section
                                                                                                           of, an item or service, but is not itself             assessment for this violation. To give
                                                  1128A(a)(6) of the Act. Section
                                                                                                           a separately billable item or service.’’              full effect to the amendment adding
                                                  1128A(a)(6) of the Act subjects persons                  Non-separately-billable items or services             ‘‘omission’’ to the CMPL, we have
                                                  to liability for arranging or contracting                are reimbursed as part of the claim                   added the word ‘‘omission’’ in the
                                                  with (by employment or otherwise) a                      submitted under the applicable payment                penalty and assessment sections.
                                                  person who the employer or contractor                    methodology, e.g., nursing or clerical                   Also, we proposed clarifying the
                                                  knows or should know is excluded from                    services associated with a physician                  penalty under the CMPL, as amended by
                                                  participation in a Federal health care                   office visit, care covered by the skilled             section 6402(d)(2) of the ACA, for
                                                  program for the provision of items or                    nursing facility per diem payment,                    failure to report and return
                                                  services for which payment may be                        nursing care covered by a hospital                    overpayments. Under the amended
                                                  made under that program. This                            diagnosis-related group (DRG) payment,                section 1128J(d) of the Act,
                                                  authority was included in the                            or radiology technician services                      overpayments must be reported and
                                                  regulations describing false or                          associated with a specific procedure.                 returned by the later of 60 days after the
                                                  fraudulent claims at § 1003.102(a)(2).                      In instances in which the item or                  date the overpayment was identified or
                                                  Because of our desire to improve the                     service provided by the excluded person               the date any corresponding cost report
                                                  clarity of the regulations generally and                 is separately billable, the employing or              is due, if applicable. The new CMPL
                                                  because of the proposed penalty and                      contracting person would continue to be               authority under section 1128A(a)(10) of
                                                  assessment provisions discussed below,                   subject to penalties and assessments                  the Act does not contain a specific
                                                  the proposed regulation addressed                        based on the number and value of those                penalty amount, but instead uses the
                                                  section 1128A(a)(6) of the Act in a                      separately billable items and services.               default penalty amount in the CMPL,
                                                  separate subsection at § 1003.200(b)(4).                 For instances in which the item or                    which is up to $10,000 for each item or
                                                     On the basis of our experience                        service provided by the excluded person               service. In this context, we proposed
                                                  enforcing section 1128A(a)(6) of the Act,                is non-separately-billable, we proposed               regulatory text interpreting the CMPL’s
                                                  we proposed an alternate methodology                     an alternate methodology to calculate                 default penalty as up to $10,000 for each
                                                  for calculating penalties and                            penalties and assessments. We proposed                day a person fails to report and return
                                                  assessments. This alternate                              that penalties would be based on the                  an overpayment by the deadline in
                                                  methodology recognizes the variety of                    number of days the excluded person                    section 1128J(d) of the Act. Because the
                                                  ways in which items and services are                     was employed, was contracted with, or                 failure to report and return
                                                  reimbursed by Federal health care                        otherwise arranged to provide non-                    overpayments within 60 days of
                                                  programs and the numerous types of                       separately-billable items or services. We             identification is based on the 60-day
                                                  health care professionals and other                      proposed that assessments would be                    period passing, we believed that the
                                                  individuals and entities that contribute                 based on the total costs to the employer              penalty could be interpreted to attach to
                                                  to the provision of those items and                      or contractor of employing or                         each following day that the
                                                  services.                                                contracting with the excluded person                  overpayment is retained. However, as
                                                     The proposed regulations addressed                    during the exclusion, including salary,               we noted in the proposed rule, Congress
                                                  how penalties and assessments would                      benefits, and other money or items of                 specified a per day penalty in sections
                                                  be imposed for two distinct types of                     value. We believe this cost-based                     1128A(a)(4) and (12) of the Act and did
                                                  violations: (1) Instances in which items                 assessment achieves the purposes of                   not do so for section 1128A(a)(10) of the
                                                  or services provided by the excluded                     section 1128A(a)(6) of the Act by                     Act. Thus, we solicited comments on
                                                  person may be separately billed to the                   capturing the value of the excluded                   whether to interpret the default penalty
                                                  Federal health care programs and (2)                     person to the employing or contracting                of up to $10,000 for each item or service
                                                  instances in which the items or services                 person. As discussed below in our                     as pertaining to each claim for which
                                                  provided by the excluded person are not                  response to comments, we are finalizing               the provider or supplier identified an
                                                  separately billable to the Federal health                the assessments, as proposed, but are                 overpayment. As discussed below in our
                                                  care programs, but are reimbursed by                     finalizing the penalties based on each                response to comments, we are finalizing
                                                  the Federal health care programs in                      item or service provided by the                       the rule using the default penalty
                                                  some manner.                                             excluded person.                                      amount in the CMPL, which is up to
                                                     To achieve this distinction, we                          As discussed above, the ACA added                  $10,000 for each item or service.
                                                  proposed to define two new terms:                        five new violations and corresponding                    Section 6408(a)(2) of the ACA
                                                  ‘‘separately billable item or service’’ and              penalties to the CMPL. These new                      amended the CMPL by adding a
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                                                  ‘‘non-separately-billable item or                        violations and the corresponding                      violation for failure to grant timely
                                                  service.’’ A ‘‘separately billable item or               penalties are at proposed                             access, upon reasonable request, to OIG
                                                  service’’ is defined as ‘‘an item or                     §§ 1003.200(b)(6)–(10), 1003.210(a)(6)–               for the purpose of audits, investigations,
                                                  service for which an identifiable                        (9), and 1003.210(b)(3). In general, the              evaluations, or other statutory functions.
                                                  payment may be made under a Federal                      proposed regulatory text closely mirrors              Section 1128(b)(12) of the Act and 42
                                                  health care program.’’ This type of item                 the statutory text. However, we                       CFR 1001.1301 authorize exclusion
                                                  or service exists when a person                          supplement the statutory text where                   based on similar, but not identical,
                                                  provides, furnishes, orders, or                          appropriate. Section 6402(d)(2)(A) of the             conduct — failure to grant immediate


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                                                  88342            Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations

                                                  access. We believe Congress expanded                     has in an entity with respect to actions              individual. Commenters argued that
                                                  OIG’s authority to exclude, and created                  brought under § 1003.200(b)(3). While                 using a pro-rata share of the
                                                  an authority to impose a penalty, in a                   we will consider whether a person is a                compensation would more fairly
                                                  broader set of circumstances than                        CEO or a manager, job titles alone will               capture the portion of time the excluded
                                                  covered by section 1128(b)(12) of the                    not guide our consideration of this                   person likely spent providing items or
                                                  Act by using the phrase ‘‘timely access’’                factor; we will look at the degree of                 services to Federal health care program
                                                  in section 6408(a)(2) of the ACA. Thus,                  responsibility and influence that a                   beneficiaries in violation of their
                                                  we believe conduct that implicates                       person has in an entity.                              exclusion. These commenters noted that
                                                  section 1128(b)(12) of the Act is a subset                  We received the following comments                 OIG outlined this practice in the 2013
                                                  of the conduct implicated by the new                     on this subpart. To the extent provisions             Updated Provider Self-Disclosure
                                                  CMPL authority created by section                        of the proposed rule are not addressed                Protocol.
                                                  6408(a)(2) of the ACA. In these                          in the comments below, we are                           Response: We are finalizing the rule,
                                                  situations, OIG has the discretion to                    finalizing this section of the rule, as               as proposed. We continue to believe that
                                                  choose whether to pursue exclusion                       proposed.                                             the Federal health care program payor
                                                  under section 1128(b)(12) of the Act or                     Comment: We received many                          mix is appropriate to consider in the
                                                  penalties and/or exclusion under                         comments supporting the creation of the               context of a self-disclosure, and OIG
                                                  section 6408(a)(2) of the ACA. In                        alternate methodology for calculating                 will continue to consider it in
                                                  drafting regulations pursuant to section                 assessments for employing or                          settlements, as appropriate.
                                                  6408(a)(2) of the ACA, we evaluated the                  contracting with an excluded individual               Nevertheless, we have decided not to
                                                  conduct covered by section 1128(b)(12)                   in violation of section 1128A(a)(6) of the            require the consideration of payor mix
                                                  of the Act to ensure that this proposed                  Act. Some commenters argued against a                 in the regulations. The appropriate way
                                                  rule is consistent with § 1001.1301.                     per-day penalty. First, commenters                    to measure payor mix is not always
                                                     The proposed definitions of ‘‘failure                 argued that the assessment adequately                 clear for the many types of providers,
                                                  to grant timely access’’ and ‘‘reasonable                addresses the misconduct and a per-day                suppliers, items, and services at issue in
                                                  request’’ give OIG flexibility to                        penalty seems duplicative. Second,                    various cases. Further, there may be
                                                  determine the period in which a person                   commenters argued that liability should               cases for which a reduction of the
                                                  must respond to a specific request for                   be related to the cost of the items and               assessment based on payor mix is not
                                                  access, depending on the circumstances.                  services and may not be rationally                    appropriate. We view our approach to
                                                  Given the different purposes for which                   related to the number of days an                      this CMP as analogous to the CMP for
                                                  OIG may request access to material,                      individual was employed by, or                        violations of the anti-kickback statute.
                                                  such as audits, evaluations,                             contracted with, the entity. Third,                   Under § 1003.310(b)(2), OIG may seek
                                                  investigations, and enforcement actions,                 commenters argued that a per-day                      damages of up to three times the amount
                                                  we believe the best approach is for OIG                  penalty is contrary to the plain language             of remuneration regardless of whether
                                                  to specify the date for production or                    of the Act because Congress created                   some of the remuneration was for a
                                                  access to the material in OIG’s written                  other per-day penalties in the CMPL but               lawful purpose. Nevertheless, in self-
                                                  request. In making this decision, OIG                    did not create one in section                         disclosures and other settlements, we
                                                  will consider the circumstances of the                   1128A(a)(6) of the Act. Finally,                      often collect a multiplier based only on
                                                  request, including the volume of                         commenters maintained that the                        the portion of the remuneration that we
                                                  material, size and capabilities of the                   proposed method of calculating the                    determine was for an unlawful purpose.
                                                  party subject to the request, and OIG’s                  assessment for contracting with or                    We anticipate continuing a similar
                                                  need for the material in a timely way to                 employing an excluded individual                      approach under this CMP authority.
                                                  fulfill its responsibilities. The exception              whose services are not separately                       Comment: Several commenters
                                                  to this approach is a case in which OIG                  billable to Federal health care programs              objected to our proposed reading of the
                                                  has reason to believe that the requested                 already adequately takes into                         penalty and assessment sections
                                                  material is about to be altered or                       consideration the length of time of the               applicable to violations of section
                                                  destroyed. Under those circumstances,                    prohibited relationship. A longer period              1128A(a)(9) of the Act, as established by
                                                  timely access means access at the time                   of the prohibited relationship would                  section 6402(d)(A) of the ACA, to
                                                  the request is made. This exception is                   result in more salary and benefits paid               include ‘‘omissions.’’ Those
                                                  the same as provided in § 1001.1301.                     to the person, and thus would increase                commenters argued that our reading
                                                     Finally, we proposed revisions to the                 the value of the assessment.                          went beyond the authority of the ACA
                                                  regulation’s aggravating factors for                        Response: After considering the                    because Congress did not include the
                                                  CMPL violations. The aggravating                         comments, we are withdrawing the                      term ‘‘omissions’’ in the penalty
                                                  factors listed in proposed § 1003.220 are                proposed per-day penalty for section                  language.
                                                  based on those that apply to the                         1128A(a)(6) of the Act. Instead, we are                 Response: We respectfully disagree
                                                  violations in the existing regulations.                  finalizing a penalty of up to $10,000 for             with the commenters. Adopting the
                                                  We proposed moving the aggravating                       each item or service provided by the                  commenters’ suggested reading would
                                                  factors to one section and consolidating                 excluded person by removing proposed                  lead to the conclusion that Congress
                                                  similar factors into one factor. For                     § 1003.210(a)(4)(ii) and adding ‘‘non-                intended to restrict OIG to pursuing an
                                                  instance, the first aggravating factor, i.e.,            separately billable’’ items or services to            exclusion action only against those who
                                                  the violations were of several types or                  proposed § 1003.210(a)(4)(i). This                    omitted a material fact and intended to
                                                  occurred over a lengthy period, was                      penalty more closely tracks the Act’s                 permit OIG to choose between pursuing
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                                                  found at § 1003.106(b)(1)(i). We                         language.                                             penalties, assessments, and exclusions
                                                  interpret the phrase ‘‘several types’’ to                   Comment: Many commenters urged                     against those who made a false
                                                  include, but not be limited to, billing for              OIG to take into account the Federal                  statement or misrepresentation of a
                                                  services that are covered by different                   health care program payor mix, or                     material fact. This reading leads to an
                                                  billing codes. The final aggravating                     percentage of Federal health care                     absurd result. Instead, we are
                                                  factor relates to the amount or type of                  program business, when determining                    interpreting this provision consistent
                                                  financial, ownership, or control interest,               the assessment for employing or                       with the purpose and intent of the
                                                  or the degree of responsibility a person                 contracting with an excluded                          statute.


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                                                                   Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations                                       88343

                                                     Comment: Some commenters                                 Comment: One commenter stated that                    Response: The factors set forth in
                                                  requested that OIG clarify that liability                the $50,000 penalty amount set forth in               § 1003.140 and § 1003.220 provide a
                                                  for omission of a material fact under                    § 1003.210(a)(6) for knowingly making a               framework to identify more egregious
                                                  Section 1128A(a)(9) of the Act apply                     false statement, omission, or                         conduct and determine appropriate
                                                  only to willful omissions so that the                    misrepresentation of a material fact                  penalty amounts. The general factor of
                                                  regulations not capture clerical errors or               seemed excessive, and should be                       nature and circumstances would
                                                  omissions where there was no intention                   reconsidered by OIG and that, if levying              naturally take into account such factors
                                                  to deceive. Specifically, commenters                     a heavy penalty is authorized, the                    as the length of time the provider or
                                                  encouraged us to delete the reference to                 application should be as narrow and                   supplier knew it had received an
                                                  ‘‘omissions’’ or at a minimum use the                    temperate as possible.                                overpayment and § 1003.220 states that
                                                  term ‘‘willful omissions’’ until a greater                  Response: The penalty amount is                    an overpayment in an amount over
                                                  degree of standardization among                          statutory. We will continue to engage in              $50,000 may be considered as an
                                                  Medicare contractors and their                           our traditional evaluation of the nature              aggravating circumstance.
                                                  processes and interpretations is                         and circumstances of the conduct and                     Comment: Commenters from
                                                  achieved. Commenters argued that the                     exercise of discretion in deciding to                 pharmacy organizations expressed
                                                  proposed definitions of ‘‘knowingly’’                    pursue cases and determine appropriate                concerns with the proposed penalty
                                                  and ‘‘should know, or should have                        penalty amounts.                                      under section 1128A(a)(10) of the Act of
                                                  known’’ where ‘‘no proof of specific                        Comment: Many commenters                           $10,000 per day for each ‘‘claim.’’
                                                  intent to defraud is required’’ may result               disagreed with our proposed per-day                   Commenters argued that the proposed
                                                  in a violation based on an error or                      penalty for failure to report and return              rule would affect pharmacies more than
                                                  oversight.                                               an overpayment in violation of section                other providers because pharmacies
                                                     Response: We do not believe the                       1128A(a)(10) of the Act. Commenters                   dispense billions of low-cost
                                                  commenters’ suggestion conforms to the                   noted that Congress has created per-day               medications each year and, therefore,
                                                  statute. To violate section 1128A(a)(9) of               penalties for two different sections of               any potential penalty would be
                                                  the Act, a person must knowingly make                    section 1128A of the Act and did not do               disproportional to the injury caused.
                                                  a false statement, omission, or                          so here. One of these two sections,                   Instead of a $10,000 penalty on each
                                                  misrepresentation of material fact. We                   failure to grant timely access to OIG,                prescription, the commenters suggested
                                                  believe the commenters’ concerns are                     was enacted as part of the ACA, in                    that OIG examine other alternatives for
                                                  addressed by the evidentiary standard                                                                          calculating a penalty for pharmacies and
                                                                                                           which the overpayment authority was
                                                  OIG must meet to bring such a case. In                                                                         other entities that submit many small
                                                                                                           also enacted. The commenters argued
                                                  addition, OIG will continue to evaluate                                                                        ‘‘claims.’’ Examples of potential
                                                                                                           that if Congress had intended to create
                                                                                                                                                                 solutions include calculating the
                                                  the nature and circumstances of the                      a per-day penalty for section
                                                                                                                                                                 penalty at $10,000 per day regardless of
                                                  conduct and exercise discretion in                       1128A(a)(10) of the Act, it would have
                                                                                                                                                                 the number of individual prescription
                                                  deciding whether to pursue a case. The                   expressly done so in the ACA. In
                                                                                                                                                                 claims involved, or assessing a penalty
                                                  OIG will not pursue cases under this                     addition, some commenters stated that a
                                                                                                                                                                 in proportion to the overall dollar
                                                  section based on inadvertent (non-                       per-day approach could lead to large
                                                                                                                                                                 amount of the overpayment.
                                                  reckless) errors and minor oversights.                   penalties that may not be commensurate                   Response: Based on our evaluation of
                                                     Comment: Some commenters urged                        with the value of the underlying                      all the comments on this issue, we are
                                                  OIG to further specify the standards it                  overpayment. Most commenters                          finalizing the penalty as up to $10,000
                                                  will use to determine penalties,                         asserted that the penalty for                         for each item or service. In the case of
                                                  assessments, or exclusion imposed                        overpayments should be the CMPL’s                     pharmacies, each prescription would be
                                                  under section 1128A(a)(9) of the Act.                    default penalty of up to $10,000 for each             considered an item, and thus
                                                  Commenters stated that clarification is                  item or service. Some commenters                      pharmacies have exposure of up to
                                                  needed to understand whether this new                    recommended a per-claim penalty                       $10,000 for each prescription for which
                                                  authority could apply to simple                          calculation, rather than a per-day or per             the pharmacy received an overpayment.
                                                  documentation errors. Commenters                         item or service calculation. Other                    This is the result compelled by the
                                                  believed that such mistakes would not                    commenters argued OIG should                          statute. We will evaluate the facts and
                                                  be done ‘‘knowingly.’’ According to                      consider the lateness and size of                     circumstances in each case to determine
                                                  commenters, documentation errors are                     overpayment in determining the penalty                the appropriate penalty amount.
                                                  common—not because of deliberate                         amount.                                                  Comment: Some commenters from
                                                  physician misrepresentation, but                            Response: After careful consideration,             Part D plan sponsors expressed
                                                  because of frequent changes in the                       we are finalizing the penalty for section             concerns about the use of per-day, per-
                                                  requirements for applications, contracts,                1128A(a)(10) of the Act as up to $10,000              claim, or per-item or service penalties in
                                                  and other agreements that may lead to                    for each item or service. This penalty                the context of Part D prescription drug
                                                  confusion and miscommunications.                         methodology is the statutory default.                 claims. Given the huge volume of daily
                                                     Response: We do not believe further                   Where a person fails to return the                    prescription drug events (PDEs), which
                                                  guidance is appropriate in this context.                 overpayment for a lengthy period, the                 are not equivalent to final medical
                                                  We are unable to anticipate all potential                general aggravating factor under                      claims, commenters believed that the
                                                  factual scenarios in this rulemaking. We                 § 1003.220(b)(1) could be triggered.                  application of CMPs in Part D should
                                                  believe our traditional evaluation of the                   Comment: Some commenters                           focus on the ‘‘annual cost report’’ and
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                                                  nature and circumstances of the conduct                  encouraged OIG to adopt a penalty scale               not on individual PDEs. According to
                                                  and exercise of discretion will inform                   for violations of section 1128A(a)(10) of             commenters, Part D drug claims are not
                                                  whether to pursue an individual                          the Act that would penalize providers                 final until both the annual
                                                  enforcement action. As previously                        more gravely for more serious                         reconciliation and the final reopening
                                                  stated, it is not OIG’s intention to                     violations. Commenters suggest that                   are completed. Commenters
                                                  pursue cases under this section for                      such a scale could be based on the                    recommended that OIG clarify that, in
                                                  inadvertent (non-reckless) errors or                     length of delay, overpayment amount,                  the context of Part D, determination of
                                                  minor oversights.                                        and the number of claims.                             the penalty amount should be based on


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                                                  88344            Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations

                                                  the ‘‘annual cost report’’ submitted by                  regarding compliance with the Part C                  coordination with other providers and
                                                  Part D sponsors and not on individual                    and Part D rule, commenters requested                 suppliers. For example, for air
                                                  PDEs. Further, commenters argued that                    that OIG’s rule clarify that compliance               ambulances, additional information and
                                                  OIG should clarify that a PDE is not a                   with such rule will be deemed                         documentation are needed from other
                                                  claim until it has gone through                          compliance with OIG requirements.                     providers to determine the correct
                                                  reconciliation and the final reopening                      Response: This suggestion is outside               amount of an overpayment. Commenters
                                                  has been completed.                                      the scope of our rulemaking, which did                encouraged OIG to include in the final
                                                     Response: We are finalizing the                       not propose to interpret the CMS final                rule a clear standard as to when the 60-
                                                  penalty for section 1128A(a)(10) of the                  rule concerning Part C plans and Part D               day period begins and to exercise
                                                  Act, using the CMPL default of up to                     plan sponsors. In the context of section              discretion in enforcing this authority so
                                                  $10,000 for each item or service. This                   1128A(a)(10) of the Act, a plan or plan               that providers and suppliers are not
                                                  penalty is consistent with the final rule                sponsor may be liable if it knows of an               harshly penalized when good faith
                                                  adopted by CMS regarding Part D                          overpayment and did not report and                    efforts to meet the 60-day rule are made
                                                  overpayments. See 79 FR 29,844. In                       return it in accordance with section                  but delays occur because of the action
                                                  adopting that rule, CMS declined to                      1128J of the Act.                                     or inaction of entities beyond the
                                                  make the deadline for reporting and                         Comment: Several commenters asked                  providers’ or suppliers’ control.
                                                  returning identified overpayments the                    that OIG clarify the definition of                       Response: We will continue to
                                                  ‘‘date any corresponding cost report is                  ‘‘overpayment.’’ One commenter                        evaluate the nature and circumstances
                                                  due’’ because ‘‘Part D sponsors are paid                 suggested that OIG should use CMS’s                   of the conduct and the exercise of
                                                  based on their bids, and not based on                    definition of ‘‘funds’’ in the Part C and             discretion when deciding whether to
                                                  their actual incurred costs.’’ 79 FR at                  D final rule, 79 FR 29,844 (May 23,                   pursue a case. The obligations of section
                                                  29,920. In determining an overpayment,                   2014). One commenter also asked that                  1128J(d) of the Act became effective
                                                  CMS focuses on the submission of                         we clarify the application of section                 upon enactment, without a final rule
                                                  erroneous PDE data, and those data                       1128A(a)(10) of the Act in situations in              from CMS. However, CMS published its
                                                  constitute claims for items or services                  which the plan is not at fault for the                final rule on February 12, 2016. 81 FR
                                                  under the CMPL.                                          overpayment, such as when CMS makes                   7654 (February 12, 2016). The
                                                     Comment: Some commenters                              a retroactive change to a member’s low-               comments asking OIG to defer issuance
                                                  suggested that OIG does not recognize                    income status that triggers changes in                of its final rule are therefore moot. We
                                                  CMS’s role in overseeing section 1128J                   the low-income subsidy payments for                   do not in this regulation provide
                                                  of the Act, as applicable to Part C plans                cost sharing and premiums or affects the              definitions for or clarify the meaning of
                                                  or Part D plan sponsors, pursuant to 42                  coverage gap discount program.                        ‘‘identify’’ or clarify when the 60-day
                                                  CFR 422.326 and 423.360. One                                Response: We are finalizing the                    period begins. These topics are within
                                                  commenter suggested that OIG defer to                    definition, as proposed. The proposed                 CMS’s purview and are included in its
                                                  CMS on overpayment issues and reserve                    regulatory text simply mirrors the                    final rule. 81 FR at 7683.
                                                  its authority for instances of egregious                 statute. In the context of Parts C and D,                Comment: Some commenters stated
                                                  behavior.                                                CMS has interpreted the meaning of                    that providers should not be penalized
                                                     Response: While CMS oversees Part C                   ‘‘overpayment,’’ and we are required to               under section 1128A(a)(10) of the Act in
                                                  plans and Part D plan sponsors under its                 apply the same meaning in an                          cases in which good faith efforts to
                                                  regulations, OIG has been delegated the                  enforcement action against a Part C plan              return overpayments could not be
                                                  authority for enforcement of section                     or Part D plan sponsor under section                  completed because of the inability of
                                                  1128A of the Act. Thus, we decline to                    1128A(a)(10) of the Act. This regulation              government contractors and their
                                                  adopt the commenter’s suggestion.                        also applies to Medicare Parts A and B                payment systems to receive the
                                                     Comment: Several commenters                           and to Medicaid, so we believe the                    overpayment. The commenters
                                                  suggested that for Part C plans and Part                 overpayment definition in our                         complained that Medicare, Medicaid,
                                                  D plan sponsors, compliance with                         regulations should be broad enough to                 and Medicaid managed care
                                                  CMS’s final rule, 79 FR 29,844 (May 23,                  cover all of the programs. Commenters’                organizations (Medicaid MCOs) have
                                                  2014), should be deemed compliance                       other suggestions are outside the scope               payment process systems that can both
                                                  with section 1128A(a)(10) of the Act.                    of this rulemaking. Plans should refer to             cause overpayments and that can
                                                  Specifically, commenters recited the                     CMS’s May 2014 final rule, 79 FR                      prevent providers from promptly
                                                  language of that final rule and stated                   29,844 (May 23, 2014), in self-assessing              returning overpayments. The
                                                  that a Medicare Advantage organization                   their compliance with reporting and                   commenters contended that when a
                                                  has identified an overpayment when                       returning overpayments.                               provider discovers an overpayment and
                                                  that organization has determined, or                        Comment: Several commenters                        attempts to return it to a Medicaid MCO,
                                                  should have determined through the                       requested clarification as to when the                if the Medicaid MCO has not yet
                                                  exercise of reasonable diligence, that it                60-day period begins. Commenters also                 corrected the system error that led to the
                                                  has received an overpayment.                             requested clarification of the term                   overpayment, the Medicaid MCO may
                                                  Commenters stated that the phrase ‘‘or                   ‘‘identify.’’ Some commenters suggested               be unable accept the returned
                                                  should have determined through the                       that OIG not impose CMPs for                          overpayment. The commenters argue
                                                  exercise of reasonable diligence’’ has                   overpayments, or alternatively, defer                 that this leaves the provider with no
                                                  caused great concern among health                        issuance of this final rule, until CMS                avenue for the prompt return on the
                                                  plans because there is no guidance for                   finalizes its Part A/B overpayment                    overpayment.
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                                                  plans to follow and plans are exposed                    proposed rule, 77 FR 9179 (February 16,                  Response: As stated above, CMS is
                                                  to potential FCA liability if they do not                2012), which, among other things,                     responsible for issuing regulations
                                                  comply. According to commenters, this                    defines when an overpayment has been                  concerning section 1128J(d) of the Act
                                                  lack of clarity means that plans can act                 identified. A few commenters suggested                and, thus, these comments are outside
                                                  in good faith but still be subject to                    that OIG use the term ‘‘confirmed’’                   the scope of this rulemaking. As they
                                                  liability if their actions are later found               rather than ‘‘identify’’ because some                 relate to OIG’s enforcement of section
                                                  to not meet the ‘‘reasonable diligence’’                 providers and suppliers have complex                  1128A(a)(10) of the Act, we will
                                                  test. In light of these uncertainties                    billing processes that require                        consider the nature and circumstances


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                                                                   Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations                                        88345

                                                  of each alleged violation in determining                 at § 1003.200(b)(6), regarding excluded               provider or supplier knew or had reason
                                                  whether to bring an enforcement action                   persons who order or prescribe an item                to know that the ordering physician was
                                                  and at what amount to set the penalty                    or service that will be paid for by a                 excluded, the provider or supplier also
                                                  and assessment. In situations in which                   Federal health care program, applies                  knew or should have known that the
                                                  a person attempts to return an                           only to the excluded person and not to                claim for those emergency services is
                                                  overpayment but a Medicare contractor,                   the person who provides the service.                  not payable. Submitting that claim
                                                  Medicaid, or a Medicaid MCO rejects                      Some of these commenters mentioned                    could subject the provider or supplier to
                                                  the returned overpayment at no fault of                  the example of an air ambulance                       liability under § 1003.200(a)(2). In our
                                                  the person, it is unlikely that OIG would                provider who, as an emergency                         experience, we have not seen a case in
                                                  pursue an action.                                        responder, responds only at the request               which an air ambulance provider
                                                     Comment: One commenter suggested                      of physicians to transport a patient to a             submitted claims for emergency
                                                  that, when OIG begins imposing CMPs                      different facility, or when called to an              transportation ordered by an excluded
                                                  under section 1128A(a)(10) of the Act,                   accident scene by the Emergency                       individual and we believe such
                                                  OIG should impose CMPs of not more                       Medical System or other qualified                     circumstances would be rare. We will
                                                  than $5,000 until OIG has more                           dispatcher. In such an emergent                       continue to evaluate cases individually
                                                  experience analyzing violations of that                  situation, commenters stated it is nearly             and use our discretion in determining
                                                  section.                                                 impossible for transport providers to                 which cases to pursue.
                                                     Response: We respectfully disagree                    know the exclusion status of those who                   Comment: Several commenters
                                                  with the commenter’s suggestion. The                     ordered or prescribed the transport. One              expressed concern about the aggravating
                                                  obligations under section 1128J(d) have                  commenter acknowledged that the                       factor at § 1003.220(b)(3) relating to the
                                                  been in effect since the statute was                     service itself will likely be considered              amount of program loss. Specifically,
                                                  enacted in March 2010. As with all                       non-covered, which would result in the                the commenters suggested that OIG
                                                  other cases, OIG will determine the                      provider having received an                           continue to use the ‘‘substantial loss’’
                                                  amount of the penalty and assessment                     overpayment, but argued that the                      threshold in applying this aggravating
                                                  pursuant to the criteria set forth in                    imposition of a CMP in addition to the                factor instead of the proposed ‘‘$15,000
                                                  § 1003.140 and § 1003.220.                               overpayment would be unduly harsh.                    or more’’ threshold. The commenters
                                                     Comment: Several commenters                              Response: We agree that, based on a                viewed $15,000 as relatively low and
                                                  suggested that OIG exercise its authority                plain reading of the statutory language,              argued that it would unfairly apply
                                                  under section 1128A(a)(10) of the Act in                 the CMP authority at § 1003.200(b)(6)                 more often to providers who bill for
                                                  coordination with CMS to ensure that:                    would be imposed against the excluded                 expensive items or services. The
                                                  (1) Providers’ obligations are uniform                   person who ordered or prescribed the                  commenters asserted that a specific
                                                  across these agencies; and (2) actions by                item or service, not against the person               overpayment threshold may have no
                                                  OIG and CMS are undertaken                               who provided or supplied the items or                 correlation to the number of claims in
                                                  contemporaneously to ensure that the                     services that were ordered or prescribed.             error or the significance of the issue
                                                  associated administrative burden on                      With regard to emergency services,                    giving rise to the overpayment, and
                                                  providers is minimized.                                  section 1862 of the Act and                           argued that it should not automatically
                                                     Response: The OIG coordinates                         § 1001.1901(c)(5) allow payment for                   be considered an aggravating factor in
                                                  regularly with CMS on various program                    emergency items or services not                       determining the amount of penalties
                                                  integrity efforts, including, as                         provided in an emergency room of a                    and assessments levied against the
                                                  appropriate, on OIG administrative                       hospital in certain circumstances. Also,              provider. Therefore, these commenters
                                                  enforcement actions. As with many                        under section 1862 of the Act and                     suggested that OIG maintain the
                                                  Medicare and Medicaid subject areas,                     § 1001.1901, items and services ordered               flexibility to determine, on a case-by-
                                                  CMS issues regulations on the 60-day                     or prescribed by an excluded person are               case basis, what is a ‘‘substantial loss.’’
                                                  repayment rule in section 1128J(d) and                   not payable only if the person                        Other commenters agreed with the
                                                  OIG is authorized to pursue                              furnishing such item or service knew or               proposal to change ‘‘substantial loss’’ to
                                                  administrative sanctions against those                   had reason to know of the exclusion.                  ‘‘$15,000 or more’’ because it provided
                                                  that violate the rule. However, as set                      Comment: Some emergency transport                  transparency and better guidance to the
                                                  forth in § 1003.150, we have been                        providers requested clarification that an             provider community.
                                                  delegated the enforcement                                emergency transport provider would not                   Response: We believe that a specific
                                                  responsibility for section 1128A(a)(10)                  violate section 1128A(a)(1)(B) of the Act             dollar threshold gives clearer guidance
                                                  of the Act.                                              or § 1003.200(a)(2) for presenting a false            to the provider and supplier community
                                                     Comment: Two commenters requested                     or fraudulent claim when it relies upon               and still permits the traditional case-by-
                                                  that we clarify that penalties for                       a facially valid order to provide                     case analysis of the facts and
                                                  violation of section 1128A(a)(10) of the                 services. According to commenters,                    circumstances as discussed above. We
                                                  Act set forth in the rule are the                        because of the emergency situation,                   agree, however, with those commenters
                                                  maximum allowed, leaving discretion to                   there is little time to check the                     who stated that the proposed $15,000
                                                  OIG to levy smaller penalties, or no                     exclusion status of the ordering                      threshold is low. We have, instead,
                                                  penalties, in cases in which providers                   physician and no ability to refuse to                 raised the ‘‘substantial loss’’ threshold
                                                  are acting in good faith or the delays in                provide the emergency services.                       to $50,000. Based on our experience
                                                  repayment are beyond the control of the                  Commenters recommended adding                         resolving health care fraud matters, we
                                                  provider.                                                specific language to the regulations                  believe $50,000 better reflects the
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                                                     Response: We believe that the                         stating that, in the case of emergency                threshold amount of loss for when a
                                                  proposed rule’s language, which we are                   services or transport, the provider or                penalty or period of exclusion should be
                                                  finalizing, is clear on this point. All                  supplier would not be held liable for                 increased.
                                                  penalties in the proposed rule are                       knowingly presenting such a claim if                     Comment: Some commenters opposed
                                                  described as ‘‘not more than’’ the                       the ordering or prescribing physician                 the proposed change to the aggravating
                                                  applicable penalty amount.                               was excluded.                                         factor in proposed § 1003.220(b)(4),
                                                     Comment: Several commenters                              Response: We decline to adopt the                  which would amend existing
                                                  requested that OIG clarify that the CMP                  commenters’ recommendation. If the                    § 1003.106(b)(1)(iv) to include situations


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                                                  88346            Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations

                                                  in which the violation ‘‘could have                      request, including the volume of                      referral law to incorporate statutory
                                                  resulted’’ in patient harm, premature                    material, size and capabilities of the                terms that are unique to the physician
                                                  discharge, or a need for additional                      party subject to the request, and OIG’s               self-referral law (section 1877 of the Act
                                                  services or subsequent hospital                          need for the material in a timely way to              (42 U.S.C. 1395nn)). These revisions
                                                  admission. These commenters complain                     fulfill its responsibilities. The exception           include using ‘‘designated health
                                                  that the ‘‘could have resulted’’ language                to this approach is a case in which OIG               service’’ instead of ‘‘item or service’’
                                                  requires OIG to establish only the mere                  has reason to believe that the requested              and ‘‘furnished’’ instead of ‘‘provided.’’
                                                  possibility of harm, regardless of what                  material is about to be altered or                    In addition, we proposed revising the
                                                  actually occurred. Commenters believed                   destroyed. Under those circumstances,                 authority regarding ‘‘cross-referral
                                                  that this change would vastly expand                     timely access means access at the time                arrangements’’ that was in the existing
                                                  the application of this aggravating factor               the request is made.                                  regulations at § 1003.102(b)(10) to more
                                                  and urged OIG to retain the existing                        Comment: Some commenters noted                     closely reflect the statutory language.
                                                  language at § 1003.106(b)(1)(iv).                        that a ‘‘reasonable request’’ must be                 Section 1877(g)(4) of the Act provides
                                                     Response: We are finalizing the rule,                 ‘‘made by a properly identified agent of              for CMPs and exclusion against any
                                                  as proposed. The existing regulation                     OIG during reasonable business hours,’’               physician or other person who enters
                                                  requires proof that the violation actually               but that the definition does not specify              into any arrangement or scheme (such
                                                  caused patient harm, premature                           whether it refers to OIG’s or the                     as a cross-referral arrangement) that the
                                                  discharge, or a need for additional                      recipient’s business hours. Commenters                physician or other person knows, or
                                                  services or subsequent hospital                          urged OIG to clarify that the request                 should know, has a principal purpose of
                                                  admission. This formulation is overly                    must be made during the recipient’s                   ensuring referrals by the physician to a
                                                  constrained for several reasons. The                     regular business hours and when the                   particular person who, if the physician
                                                  CMP authorities in this part, as a general               recipient’s office is open to the public.             directly made referrals to such person,
                                                  matter, aim to redress fraud on the                         Response: ‘‘Reasonable business                    would violate the prohibitions of 42
                                                  Federal health care programs by                          hours’’ means the recipient’s business                CFR 411.353. The regulations, at
                                                  recovering funds, protecting the                         hours. This time includes when the                    § 1003.102(b)(10)(i), contained an
                                                  programs and beneficiaries from                          recipient holds itself out to the public              example of a cross-referral arrangement
                                                  untrustworthy providers and suppliers,                   as open, such as for appointments or                  whereby the physician-owners of entity
                                                  and deterring improper conduct by                        walk-in customers. However, a recipient               ‘‘X’’ refer to entity ‘‘Y’’ and the
                                                  others. Accordingly, it is highly relevant               may also conduct its business outside of              physician-owners of entity ‘‘Y’’ refer to
                                                  if the conduct put beneficiaries at risk                 the times when it is open to the public.              entity ‘‘X’’ in violation of 42 CFR
                                                  of patient harm. The requirement that                    We are finalizing the definition, as                  411.353. While this is one example of a
                                                  OIG prove causation does not conform                     proposed.                                             cross-referral arrangement, such
                                                  to this aim.                                                Comment: One commenter expressed                   arrangements and circumvention
                                                     Comment: Several commenters                           concern about OIG’s authority to                      schemes can take a variety of forms. The
                                                  objected to the proposed definition of                   exclude a provider under                              proposed changes to the regulatory
                                                  ‘‘reasonable request’’ with respect to                   § 1003.200(b)(10), asserting that OIG                 language more closely align the
                                                  § 1003.200(b)(10). Commenters asked                      requests for information could get lost               regulations to the statute to avoid any
                                                  OIG to add to the definition that a                      among other mail in light of the number               misinterpretation that
                                                  request is not reasonable unless the                     of entities that request medical                      § 1003.102(b)(10)(i) limited the conduct
                                                  recipient has a reasonable period of time                documentation from providers to                       that circumvents the prohibitions of the
                                                  to respond, taking into account the                      validate services and payment. The                    physician self-referral law.
                                                  recipient’s resources, regular business                  commenter asked that a single,
                                                  hours, availability, the location of the                                                                          The proposed changes also include
                                                                                                           recognizable standard be put in place to
                                                  records, and the complexity and scope                                                                          minor technical corrections to the CMPs
                                                                                                           clearly identify a request from OIG or
                                                  of the request. Commenters also asked                                                                          related to the anti-kickback statute to
                                                                                                           any other auditing entity.
                                                  OIG to include an objective, minimum                        Response: We do not believe that such              improve consistency with the statute.
                                                  period for compliance, such as 2 weeks                   a single standard needs to be put in                  First, we added the phrases ‘‘to induce’’
                                                  or 10 days. Some commenters suggested                    place. The OIG requests for information               and ‘‘in whole and in part’’ to
                                                  that OIG include an exception to that                    are clearly identifiable as being from                § 1003.300(d) to better mirror the
                                                  minimum period when there is a                           OIG. The requests are made in writing,                statutory language of the anti-kickback
                                                  demonstrated need for a faster response.                 appear on OIG letterhead, and are                     statute. The proposed change also
                                                  One commenter asked OIG to use                           signed by OIG officials.                              clarified that the CMP at section
                                                  discretion when a recipient of a request,                                                                      1128A(a)(7) of the Act permits imposing
                                                  acting in good faith, does not meet the                  Subpart C—CMPs, Assessments, and                      a penalty for each offer, payment,
                                                  specified timelines.                                     Exclusions for Anti-Kickback and                      solicitation, or receipt of remuneration
                                                     Response: We do not believe a                         Physician Self-Referral Violations                    and that each action constitutes a
                                                  minimum period is necessary or                             Subpart C contains the provisions                   separate violation. In addition, we
                                                  appropriate in this context. Given the                   relating to violations of the anti-                   included the language from the CMPL
                                                  different purposes for which OIG may                     kickback statute and physician self-                  stating that the calculation of the total
                                                  request access to material, such as                      referral law, which were found in the                 remuneration for purposes of an
                                                  audits, evaluations, investigations, and                 existing regulations at § 1003.102(a)(5),             assessment does not consider whether
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                                                  enforcement actions, we believe the best                 (b)(9), (b)(10), and (b)(11). The proposed            any portion of the remuneration had a
                                                  approach to defining timely access and                   changes include various technical                     lawful purpose.
                                                  reasonable request is for OIG to specify                 corrections to improve readability and                   We received no comments and
                                                  the date for production or access to the                 ensure consistency with the language in               finalize this subpart, as proposed,
                                                  material in a written request. In                        the anti-kickback statute and physician               except that, for the reasons provided in
                                                  determining the period a provider has to                 self-referral law.                                    response to comments to proposed
                                                  comply with the request, OIG will                          We proposed revising the CMP                        § 1003.220(b)(3), we increased the
                                                  consider the circumstances of the                        provisions relating to the physician self-            threshold for the aggravating factor at


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                                                                   Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations                                       88347

                                                  § 1003.302(b)(3) from $15,000 to                         1003.400(d) violations apply to                       enforcement authority with respect to
                                                  $50,000.                                                 Medicare Advantage contracting                        those areas for which OIG and CMS
                                                                                                           organizations, i.e., those with contracts             share jurisdiction, except in cases in
                                                  Subpart D—CMPs and Assessments for
                                                                                                           under section 1857 of the Act. Section                which OIG’s unique investigative
                                                  Contracting Organization Misconduct
                                                                                                           1003.400(e) violations apply to                       authority is necessary to determine non-
                                                     Subpart D contains the proposed                       Medicaid contracting organizations, i.e.,             compliance. One commenter
                                                  provisions for penalties and assessments                 those with contracts under section                    recommended that OIG state that
                                                  against managed care organizations. We                   1903(m) of the Act.                                   compliance with the Part D
                                                  proposed several stylistic changes to the                   We also proposed to remove the                     requirements, when assessed by CMS,
                                                  existing regulations at § 1003.103(f). We                definition of ‘‘violation,’’ which was                will be deemed to be compliance with
                                                  changed the verbs in this subpart from                   found at § 1003.103(f)(6), because                    OIG’s enforcement authorities. The
                                                  past tense to present tense to conform to                throughout this part, violation means                 commenter argued that, if CMS has
                                                  the statutory authorities and many other                 each incident or act that violates the                already performed audits and other
                                                  regulations in this part. The proposed                   applicable CMP authority. We also                     oversight activity, there is no reason for
                                                  regulation also removes superfluous                      proposed including aggravating                        OIG to duplicate this work.
                                                  phrases, such as ‘‘in addition to’’ or ‘‘in              circumstances to be used as guidelines                  Response: We do not agree with the
                                                  lieu of other remedies available under                   for taking into account the factors listed            comments. The OIG and CMS have
                                                  law.’’ The proposed regulation replaced                  in proposed § 1003.140. These                         concurrent jurisdiction in various
                                                  references to ‘‘an individual or entity’’                aggravating circumstances are adapted                 matters concerning the Medicare
                                                  with ‘‘a person’’ because ‘‘person’’ is                  from those listed in the existing                     program, including this area. CMS and
                                                  defined in the general section as an                     regulations at §§ 1003.106(a)(5) and                  OIG have internal mechanisms in place
                                                  individual or entity. The proposed                       1003.106(b)(1) and those published in                 to ensure that the other agency within
                                                  regulation also removes the phrase ‘‘for                 the Federal Register in July 1994. 59 FR              the Department is not simultaneously
                                                  each determination by CMS.’’ The OIG                     36072 (July 15, 1994).                                pursuing a CMP for the same or similar
                                                  may impose CMPs in addition to or in                        We received the following comments                 conduct. The OIG will continue to
                                                  place of sanctions imposed by CMS                        on the subpart. As discussed in                       coordinate appropriately with CMS on
                                                  under its authorities.                                   response to the comments, we are                      potentially overlapping CMP
                                                     We also added to the regulations                      finalizing this section of the rule as                enforcement actions.
                                                  OIG’s authority to impose CMPs against                   proposed.                                               Comment: A commenter requested a
                                                  Medicare Advantage contracting                              Comment: One commenter argued                      change in the new authority at
                                                  organizations pursuant to section                        that certain alleged violations of                    § 1003.400(b)(2) relating to employing or
                                                  1857(g)(1) of the Act and against Part D                 § 1003.410(d) by a contracting provider               contracting with an excluded person for
                                                  contracting organizations pursuant to                    or supplier might not entirely be the                 the provision of health care, utilization
                                                  section 1860D–12(b)(3) of the Act.                       responsibility of that provider and                   review, medical social work, or
                                                     The ACA amended several provisions                    supplier, but rather the result of                    administrative services, or employing or
                                                  of the Act that apply to misconduct by                   pressures from the Part C plans. The                  contracting with an entity for the
                                                  Medicare Advantage or Part D                             commenter asked that OIG not permit                   provision of such services directly or
                                                  contracting organizations. We included                   Part C plans to avoid responsibility                  indirectly through an excluded person.
                                                  these provisions in the proposed                         under § 1003.410(d) through indemnity                 Specifically, the commenter requested
                                                  regulations. We added the change in                      clauses in the plans’ contracts with                  that a plan’s liability cease with its
                                                  section 6408(b)(2)(C) of the ACA                         providers and suppliers.                              employees and direct contractors and
                                                  regarding assessing penalties against a                     Response: This comment is outside                  not extend to the employees or
                                                  Medicare Advantage or Part D                             the scope of our rulemaking. The OIG                  contractors of its contractor, whether a
                                                  contracting organization when its                        does not have regulatory authority over               health care provider or otherwise. The
                                                  employees or agents, or any provider or                  the programmatic aspects of the Part C                commenter accordingly requested that
                                                  supplier that contracts with it, violates                and Part D programs, which would                      OIG revise § 1003.400(b)(2) by striking
                                                  section 1857 of the Act. We proposed to                  include setting limitations on or                     the text after the term ‘‘administrative
                                                  add the five new violations created in                   requirements for contracting                          services.’’ To support this
                                                  the ACA, and their corresponding                         organizations’ relationships with                     recommendation, the commenter noted
                                                  penalties, at § 1003.400(c). We also                     providers and suppliers. CMS has this                 that plans contract with numerous
                                                  proposed to include the new                              programmatic authority, which                         providers, including health systems,
                                                  assessments, which are available for two                 includes, among many other things,                    that, in turn, employ or contract vast
                                                  of the five new violations, at                           implementing the provider                             numbers of persons. The commenter
                                                  § 1003.410(c). The proposed regulatory                   indemnification limitations contained                 argued that plans would not be able to
                                                  text closely mirrors that of the statute.                in section 1852 of the Act and at 42 CFR              identify all of the individuals that a
                                                     The violations in this subpart are                    422.212.                                              health system employs nor the persons
                                                  grouped according to the contracting                        Comment: Two commenters                            with which a health system contracts.
                                                  organizations to which they apply. For                   expressed concern with the overlapping                  Response: The proposed regulation
                                                  instance, § 1003.400(a) violations apply                 enforcement authority of OIG and CMS                  mirrors the statutory language.
                                                  to all contracting organizations. Section                with regard to Part D contracting                     Specifically, the ACA created a cause of
                                                  1003.400(b) violations apply to all                      organizations. The commenters argued                  action against a contracting organization
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                                                  Medicare contracting organizations, i.e.,                that this overlap could subject Part D                that employs or contracts with an
                                                  those with contracts under sections                      contracting organizations to duplicative              excluded person for the provision of
                                                  1857, 1860D–12, or 1876 of the Act.                      enforcement actions, multiple audits of               health care, utilization review, medical
                                                  Section 1003.400(c) violations apply to                  the same activities, and potentially                  social work, or administrative services,
                                                  Medicare Advantage and Part D                            inconsistent standards and                            or employs or contracts with any entity
                                                  contracting organizations, i.e., those                   interpretations of regulatory                         for the provision of such services
                                                  with contracts under sections 1857 or                    requirements. The commenters                          (directly or indirectly) through an
                                                  1860D–12 of the Act. Section                             recommended that CMS be the sole                      excluded person. Accordingly, we are


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                                                  88348            Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations

                                                  finalizing this section of the rule, as                  physicians may be liable for CMPs of up               hospital with specialized capabilities or
                                                  proposed.                                                to $50,000 ($25,000 for hospitals with                facilities may violate EMTALA by
                                                     Comment: A commenter also asserted                    fewer than 100 State-licensed and                     refusing to accept an appropriate
                                                  that OIG’s proposed reference to ‘‘health                Medicare-certified beds) for each                     transfer.
                                                  care, utilization review, medical social                 negligent violation of their respective                  We also proposed revising the factors
                                                  work, or administrative services’’ is                    EMTALA obligations. Responsible                       that were set forth in §§ 1003.106(a)(4)
                                                  overly broad and asked OIG to revise                     physicians are also subject to exclusion              and (d) to improve clarity and better
                                                  ‘‘administrative services’’ to                           for committing a gross and flagrant or                reflect OIG’s enforcement policy. First,
                                                  ‘‘administrative services for a Medicare                 repeated violation of their EMTALA                    we proposed clarifying that the factors
                                                  or Medicaid eligible individual.’’                       obligations. The OIG’s regulations                    listed in proposed § 1003.520 will be
                                                     Response: We believe that the                         concerning the EMTALA CMPs and                        used in making both CMP and exclusion
                                                  commenter’s proposed revision is                         exclusion are at 42 CFR 1003.102(c),                  determinations. Further, we proposed
                                                  inappropriately narrow and does not                      103(e) and 106(a)(4) and (d).                         incorporating the general factors listed
                                                  reflect the statutory language. The                         We proposed several updates to the                 in § 1003.140 and provide additional
                                                  regulation mirrors the language of the                   EMTALA CMP regulations. First, as part                guidance on the EMTALA subpart at
                                                  ACA. Second, there may be                                of our proposed general reorganization,               proposed § 1003.520. Many of the
                                                  administrative services related to a                     we have included the EMTALA                           factors that were in § 1003.106(a)(4) and
                                                  Federal health care program that are not                 authorities within a separate subpart.                (d) duplicate those general factors.
                                                  for a specific Medicare- or Medicaid-                    Further, the proposed revision removed                   Finally, we examined the factors that
                                                  eligible individual.                                     outdated references to the pre-1991                   were at § 1003.106(d) in light of our
                                                     Comment: A commenter requested                        ‘‘knowing’’ scienter requirement. We                  lengthy enforcement experience.
                                                  clarification on the potential liability of              also proposed minor revisions to                      Congress enacted EMTALA to ensure
                                                  plans for claims submitted by out-of-                    emphasize that the CMP may be                         that individuals with emergency
                                                  network providers or suppliers who                       assessed for each violation of EMTALA                 medical conditions are not denied
                                                  have no privity of contract with the                     and that all participating hospitals                  essential lifesaving services. 131 Cong.
                                                  health plan.                                             subject to EMTALA, including those                    Rec. S13904 (daily ed. Oct. 23, 1985)
                                                     Response: The CMP authority at                        with emergency departments and those                  (statement of Sen. David Durenberger);
                                                  § 1003.400(b)(2) does not apply to out-                  with specialized capabilities or                      H.R. Rep. No 99–241, pt. 1, at 27 (1986),
                                                  of-network providers or suppliers                        facilities, are subject to penalties.                 reprinted 1986 U.S.C.C.A.N. 579, 605. In
                                                  because the plan did not employ or                          We proposed revising the                           light of this statutory purpose, the
                                                  contract with that person.                               ‘‘responsible physician’’ definition to               circumstances surrounding the
                                                  Subpart E—CMPs and Exclusions for                        clarify that on-call physicians at any                individual’s presentment to a hospital
                                                  EMTALA Violations                                        participating hospital subject to                     are important to determinations about
                                                                                                           EMTALA, including the hospital to                     whether and to what extent a CMP or an
                                                     Subpart E contains the penalty and                    which the individual initially presented              exclusion is appropriate. Thus, the
                                                  exclusion provisions for violations of                   and the hospital with specialized                     proposed regulations revised the factors
                                                  EMTALA, section 1867 of the Act (42                      capabilities or facilities that has                   to clarify that aggravating circumstances
                                                  U.S.C. 1395dd). EMTALA was passed in                     received a request to accept an                       include: A request for proof of insurance
                                                  1986 as part of the Consolidated                         appropriate transfer, face potential CMP              or payment prior to screening or
                                                  Omnibus Budget Reconciliation Act of                     and exclusion liability under EMTALA.                 treating; patient harm, unnecessary risk
                                                  1985 (COBRA), Public Law 99–272.                            Section 1867(d) of the Act provides                of patient harm, premature discharge, or
                                                  Section 1867 of the Act sets forth the                   that any physician who is responsible                 a need for additional services or
                                                  obligations of a Medicare-participating                  for the examination, treatment, or                    subsequent hospital admission that
                                                  hospital to provide medical screening                    transfer of an individual in a                        resulted, or could have resulted, from
                                                  examinations to individuals who come                     participating hospital, including any                 the incident; and whether the
                                                  to the hospital’s emergency department                   physician on-call for the care of such an             individual presented with an emergency
                                                  and request examination or treatment                     individual, and who negligently violates              medical condition. While we removed
                                                  for a medical condition. EMTALA                          section 1867 of the Act may be                        the language at § 1003.106(a)(4), we
                                                  further provides that, if the individual                 penalized under section 1867(d)(1)(B) of              consider these circumstances to be
                                                  has an emergency medical condition,                      the Act. The definition of ‘‘responsible              included in the general factors listed at
                                                  the hospital is obligated to stabilize that              physician’’ also provides for on-call                 proposed § 1003.140. Thus, while the
                                                  condition or to arrange for an                           physician liability. We proposed to                   proposed regulations do not state that
                                                  appropriate transfer to another medical                  revise the definition to clarify the                  OIG will consider ‘‘other instances
                                                  facility where stabilizing treatment can                 circumstances when an on-call                         where the respondent failed to provide
                                                  be provided. EMTALA also requires                        physician has EMTALA liability. An on-                appropriate medical screening
                                                  hospitals with specialized capabilities                  call physician who fails or refuses to                examination, stabilization and treatment
                                                  or facilities to accept appropriate                      appear within a reasonable time after                 of individuals coming to a hospital’s
                                                  transfers of individuals from other                      such physician is requested to come to                emergency department or to effect an
                                                  hospitals. Finally, EMTALA creates                       the hospital for examination, treatment,              appropriate transfer,’’ OIG will consider
                                                  obligations for physicians responsible                   or transfer purposes is subject to                    each of these failures when determining
                                                  for the examination, treatment, or                       EMTALA liability. This includes on-call               a penalty because they relate to a
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                                                  transfer of an individual in a                           physicians at the hospital where the                  respondent’s history.
                                                  participating hospital, including a                      individual presents initially and                        We concluded that for several
                                                  physician on call for the care of that                   requests medical examination or                       reasons, the mitigating factors should be
                                                  individual. The CMS regulations related                  treatment as well as on-call physicians               removed. Because of the overall
                                                  to section 1867 of the Act are found at                  at a hospital with specialized                        statutory purpose, the fact-specific
                                                  42 CFR 489.24.                                           capabilities or facilities where the                  nature of EMTALA violations, and the
                                                     Under section 1867(d) of the Act,                     individual may need to be transferred.                CMS certification process, the
                                                  participating hospitals and responsible                  In addition, an on-call physician at the              mitigating factors that were found at


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                                                                   Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations                                        88349

                                                  § 1003.106(d) are not useful in                          an expansion of EMTALA to physicians                  circumstance-specific. If no violation is
                                                  determining an appropriate penalty                       and on-call physicians who fail to                    found to have occurred, the lack of the
                                                  amount. For example, § 1003.106(d)(5)                    accept an appropriate transfer. This                  former mitigating factor would be of no
                                                  stated that it should be considered a                    commenter argued that the                             consequence. If a violation is found to
                                                  mitigating circumstance if an individual                 nondiscrimination provisions in section               have occurred, the patient’s having left
                                                  presented a request for treatment but                    1867(g) of the Act apply only to                      voluntarily should not be a mitigating
                                                  subsequently exhibited conduct that                      participating hospitals and do not create             circumstance.
                                                  demonstrated a clear intent to leave the                 CMP liability for physicians at such                     Comment: A commenter stated that
                                                  hospital voluntarily. In our enforcement                 hospitals. One commenter noted that                   additional mitigating factors, including
                                                  activities, however, we have found                       assessing whether a responsible                       the implementation of appropriate
                                                  situations in which the individual may                   physician has neglected his or her                    policies, procedures, training and action
                                                  have demonstrated a clear intent to                      responsibilities under EMTALA is a                    against hospital personnel prior to a
                                                  leave because the hospital failed to                     rigorous undertaking. The commenter                   CMS investigation, are useful and fair
                                                  properly screen the individual within a                  said that the assessment should include               factors to distinguish hospitals making
                                                  reasonable amount of time. We do not                     more than whether the on-call physician               good faith and effective efforts to
                                                  believe that in this circumstance, the                   showed up when called, but also                       address EMTALA violations.
                                                  hospital’s penalty should be mitigated.                  whether the on-call physician was in                     Response: The OIG agrees and has
                                                  Further, the factor at § 1003.106(d)(6)(A)               the operating room when called or                     added as a mitigating factor situations in
                                                  in the existing regulation is not relevant               whether a community call arrangement                  which a hospital takes appropriate and
                                                  to mitigation because developing and                     existed. Finally, a commenter urged OIG               timely corrective action in response to
                                                  implementing a corrective action plan is                 to ensure that its enforcement against a              a violation. For purposes of this
                                                  a requirement of the CMS certification                   ‘‘responsible physician’’ is consistent               mitigating factor, corrective action must
                                                  process following an investigation of an                 with the regulations and guidance                     be completed prior to CMS initiating an
                                                  EMTALA violation. However, in                            promulgated by CMS.                                   investigation of the hospital for
                                                  response to comments discussed below,                       Response: We are finalizing the rule,              violations of EMTALA and must
                                                  we have determined that certain                          as proposed. In response to comments,                 include disclosing the violation to CMS
                                                  corrective action could be mitigating.                   we confirm that OIG is clarifying that                prior to CMS receiving a complaint
                                                  Specifically, it should be considered a                  on-call physicians at hospitals with                  regarding the violation from another
                                                  mitigating circumstance if a hospital                    specialized capabilities are considered               source or otherwise learning of the
                                                  took appropriate and timely corrective                   ‘‘responsible physicians.’’ The OIG                   violation.
                                                  action in response to the violation prior                believes this is an appropriate reading of               Comment: One commenter objected to
                                                  to CMS initiating an investigation. That                 the statute and that the proposed                     the proposed removal of the term
                                                  corrective action must include                           regulation does not expand the                        ‘‘clearly’’ from the existing regulation at
                                                  disclosing the violation to CMS prior to                 application of EMTALA. The OIG                        § 1003.106(d)(2). The commenter stated
                                                  CMS receiving a complaint regarding                      recognizes that a determination of                    that, under proposed § 1003.520(c), an
                                                  the violation from another source or                     potential liability for an on-call                    aggravating circumstance would exist
                                                  otherwise learning of the violation.                     physician is fact-intensive and takes                 even if screenings were applied with
                                                     We will continue to evaluate the                      into account factors that include a                   optimal consistency and fairness. The
                                                  circumstances of each EMTALA referral                    hospital’s compliance with CMS                        commenter asserted that even hospitals’
                                                  to determine whether to exercise our                     regulations and guidance regarding the                and physicians’ best efforts to comply
                                                  discretion to pursue the violation and to                adoption of written policies governing                with EMTALA will invariably fail to
                                                  determine the appropriate remedy.                        on-call physicians and an on-call                     identify an emergency medical
                                                     We received the following comments                    physician’s compliance with such                      condition and, therefore, physicians and
                                                  on the subpart. To the extent the                        policies.                                             hospitals may be subject to maximum
                                                  provisions of the proposed rule are not                     Comment: Several commenters                        CMPs even in cases in which the
                                                  addressed in response to the comments                    discussed OIG’s proposal to remove the                violation falls short of negligence.
                                                  below, we are finalizing this section of                 mitigating factors related to EMTALA                     Response: The OIG is finalizing the
                                                  the rule, as proposed.                                   CMPs. Two commenters objected to the                  proposal. While determination of
                                                     Comment: One commenter urged OIG                      removal of the mitigating factor under                EMTALA violations are fact- and
                                                  to adopt a regulation that does not                      which an individual presented a request               circumstance-dependent, OIG would
                                                  impose penalties where the violation of                  for treatment but subsequently exhibited              not impose a CMP where a physician or
                                                  EMTALA is based only on negligence                       conduct that demonstrated a clear intent              hospital did not at least demonstrate
                                                  and not on willful conduct.                              to leave the hospital voluntarily.                    negligence in failing to comply with
                                                     Response: The suggestion is beyond                    Another commenter stated that removal                 EMTALA. Further, if the hospital
                                                  the scope of the proposed rule and does                  of this mitigating factor would remove                complied with EMTALA and still failed
                                                  not reflect the statutory language, which                consideration of a hospital’s or                      to diagnose an emergency medical
                                                  sets the scienter level at negligence.                   physician’s attempts to comply with                   condition, there would be no violation.
                                                     Comment: Several commenters                           EMTALA’s requirements where they                         Comment: Several commenters
                                                  addressed OIG’s changes to the                           were unable to do so because of patient               addressed OIG’s proposed aggravating
                                                  definition of ‘‘responsible physician.’’                 conduct over which they had no                        factors. One commenter expressed
                                                  One commenter requested that OIG                         control. Further, a commenter asserted                concern with including premature
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                                                  clarify that it is not creating a new                    that EMTALA is not violated when a                    discharge in the aggravating factor at
                                                  application of EMTALA to hospitals                       patient leaves of his or her free will.               § 1003.520(b) given continually evolving
                                                  with specialized capabilities, but simply                   Response: We are finalizing the rule,              triage proposals and Federal guidelines
                                                  clarifying that on-call physicians at                    as proposed. The OIG believes that the                that support reduction in emergency
                                                  hospitals with specialized capabilities                  evaluation of whether an EMTALA                       department use. That commenter further
                                                  are considered ‘‘responsible                             violation occurred when the individual                stated that all three of OIG’s proposed
                                                  physicians.’’ Another commenter                          who presented for treatment left the                  aggravating factors were vague and
                                                  asserted that OIG’s revised definition is                hospital voluntarily is fact- and                     subject to widely varying


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                                                  88350            Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations

                                                  interpretations. Another commenter                       Act of 2015 amended section 1140(a)(1)                U.S.C. 1320a–7e); or improperly
                                                  expressed concern that the use of the                    of the Act to expressly include Internet              disclosing, using, or permitting access to
                                                  phrase ‘‘could have resulted’’ in                        and other electronic communications.                  information reported in accordance with
                                                  § 1003.520(b) would divorce the list of                  We believe telephonic and Internet                    Part B of Title IV of Public Law 99–660
                                                  potential aggravating factors from a                     communications are analogous to, and                  (42 U.S.C. 11137).
                                                  causal nexus to the EMTALA violation.                    therefore proposed imposing penalties                   The language in proposed subpart H
                                                    Response: In response to the                           that would apply in the same manner                   remains largely unchanged from the
                                                  comments, OIG is revising the proposed                   as, those for direct mail and other                   existing regulations at
                                                  aggravating factor at § 1003.520(b) to                   printed materials. The number of                      §§ 1003.102(b)(5)–(6) and
                                                  include only patient harm or risk of                     individuals who received direct mail                  §§ 1003.103(c), (g). We proposed to
                                                  patient harm that resulted from the                      and other printed materials can be more               remove the reference to the Healthcare
                                                  incident. However, ‘‘risk of patient’’                   easily quantified than the number of                  Integrity and Protection Data Bank
                                                  harm could, depending on the facts and                   individuals who saw a television                      (HIPDB) in conformity with section
                                                  circumstances of a case, include                         commercial or heard a radio                           6403(a) of the ACA, which removed the
                                                  premature discharge or the need for                      commercial. Telemarketing calls,                      reference from section 1128E of the Act.
                                                  additional services. The existing                        electronic messages, and Web page                     The relevant reporting requirements,
                                                  regulation requires OIG to prove that                    views can be similarly quantified. Thus,              violation, and penalties would remain
                                                  patient harm actually resulted from the                  we proposed subjecting telemarketing,                 unchanged. Under section 1128E of the
                                                  violation. This formulation is overly                    email, and Web site violations to the                 Act, providers must still report the same
                                                  constrained. It is highly relevant if the                same $5,000 penalty as printed media.                 information. Once the HIPDB is phased
                                                  violation put a beneficiary at risk of                   Each separate email address that                      out pursuant to section 6403(a) of ACA,
                                                  patient harm. Contrary to the                            received the email, each telemarketing                the information will be collected and
                                                  commenter’s assertion that the proposed                  call, and each Web page view would                    stored in the National Practitioner Data
                                                  aggravating factors are vague, OIG                       constitute a separate violation. This                 Bank established pursuant to the Health
                                                  considers them to be clear and specific                  proposal is further supported by the                  Care Quality Improvement Act of 1986
                                                  and based on OIG’s lengthy experience                    Bipartisan Budget Act of 2015, which                  (42 U.S.C. 11101 et seq.). In the penalty
                                                  pursuing penalties for violations of                     amended section 1140(b) of the Act to                 section, we proposed to clarify that a
                                                  EMTALA.                                                  state that, for violations involving the              CMP may be imposed for each failure to
                                                                                                           Internet or other electronic                          report required information or adverse
                                                  Subpart F—CMPs for Section 1140
                                                                                                           communications, ‘‘each dissemination,                 action and for each improper disclosure,
                                                  Violations
                                                                                                           viewing, or accessing of such                         use, or permitting of access to
                                                     Subpart F applies to violations of                    communication . . . shall represent a                 information.
                                                  section 1140 of the Act (42 U.S.C.                       separate violation.’’ Bipartisan Budget                 We received no comments on this
                                                  1320b–10). The most significant                          Act of 2015, section 814(b).                          subpart and finalize, as proposed.
                                                  proposed change to this subpart was                         The final rule includes changes from
                                                  clarifying the application of section                                                                          Subpart I—CMPs for Select Agent
                                                                                                           the proposed rule to reflect the                      Program Violations
                                                  1140 of the Act to telemarketing,                        Bipartisan Budget Act of 2015. We
                                                  Internet, and electronic mail                            changed ‘‘electronic message’’ and                       Subpart I contains penalties for
                                                  solicitations. Section 1140 of the Act, as               ‘‘electronic mail’’ to ‘‘electronic                   violations involving select agents, found
                                                  amended by the Bipartisan Budget Act                     communication.’’ We also state ‘‘each                 in the existing regulations at
                                                  of 2015 (Bipartisan Budget Act, Pub. L.                  dissemination, viewing, or accessing of               § 1003.102(b)(16) and § 1003.103(l). The
                                                  114–74, section 814(a), 129 stat. 604                    the electronic communication,’’ as                    Public Health Security and Bioterrorism
                                                  (2015)), prohibits the use of words,                     opposed to ‘‘each separate email address              Preparedness and Response Act of 2002
                                                  letters, symbols, or emblems of HHS,                     that received the email message,’’ will               (Bioterrorism Act of 2002), Public Law
                                                  CMS, Medicare, or Medicaid in                            constitute a violation. The proposed                  107–188, provides for the regulation of
                                                  connection with ‘‘an advertisement,                      rule used email addresses as a way to                 certain biological agents and toxins
                                                  solicitation, circular, book, pamphlet, or               determine the number of                               (referred to below as ‘‘select agents and
                                                  other communication (including any                       disseminations, views, or accessing of                toxins’’) by HHS. The regulations
                                                  Internet or other electronic                             the communication. Because not all                    created pursuant to the Bioterrorism Act
                                                  communication), or a play, motion                        ‘‘electronic communications’’ involve                 of 2002 are found at 42 CFR part 73. The
                                                  picture, broadcast, telecast, or other                   an ‘‘email address,’’ we believe ‘‘each               regulations set forth requirements for
                                                  production’’ in a manner that could                      dissemination, viewing, or accessing of               the possession and use in the United
                                                  reasonably be interpreted as conveying                   the electronic communication’’ is a                   States, receipt from outside the United
                                                  the false impression that HHS, CMS,                      more appropriate description of                       States, and transfer within the United
                                                  Medicare, or Medicaid has approved,                      potential violations of the rule.                     States of the select agents and toxins.
                                                  endorsed, or authorized such use.                           We received no comments on this                    For each violation of 42 CFR part 73,
                                                  (Emphasis added.)                                        subpart and finalize, as proposed,                    OIG is authorized to impose CMPs of up
                                                     We previously defined conduct that                    except as explained above.                            to of $250,000 in the case of an
                                                  constituted a violation for (1) direct or                                                                      individual, and $500,000 in the case of
                                                  printed mailing solicitations or                         Subpart H—CMPs for Adverse Action                     an entity.
                                                  advertisements and (2) broadcasts or                     Reporting and Disclosure Violations                      Proposed subpart I explains that the
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                                                  telecasts. The proposed regulations were                   Subpart H covers violations for failing             CMP may be assessed for each
                                                  updated to also reflect telephonic and                   to report payments in settlement of a                 individual violation of 42 CFR part 73.
                                                  Internet communications. Under a plain                   medical malpractice claim in                          The Bioterrorism Act of 2002 states that
                                                  reading of the Act, telemarketing                        accordance with section 421 of Public                 any person who violates ‘‘any
                                                  solicitations, email, and Web sites fall                 Law 99–660 (42 U.S.C. 11131); failing to              provision’’ of the regulations is subject
                                                  within the statutory terms emphasized                    report adverse actions pursuant to                    to the maximum statutory penalty. The
                                                  above. In fact, since the publication of                 section 221 of Public Law 104–191 as                  plain meaning of ‘‘any provision’’
                                                  the proposed rule, the Bipartisan Budget                 set forth in section 1128E of the Act (42             means that any single violation can


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                                                                   Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations                                      88351

                                                  subject a person to the maximum                          to terminate enrollment, under a group                language at this time in light of the
                                                  penalty. Thus, we proposed amending                      health plan or a large group health plan              general reorganization.
                                                  the regulation to add ‘‘each individual’’                that would, in the case of such                          The OIG may impose a penalty
                                                  before ‘‘violation’’ to clarify our                      enrollment, be a primary plan as                      against any person who it determines
                                                  longstanding interpretation of this                      defined in section 1862(b)(2)(A) of the               has violated section 1882(d)(1) of the
                                                  section to mean that each violation                      Act. The proposed regulatory text                     Act (42 U.S.C. 1395ss(d)(1)) by
                                                  subjects a person to a CMP up to the                     closely follows the language of the                   knowingly and willfully making or
                                                  maximum amount.                                          statute.                                              causing to be made or inducing or
                                                     In addition, proposed subpart I                         We proposed to incorporate the                      seeking to induce the making of any
                                                  includes several aggravating                             general factors listed in § 1003.140 for              false statement or representation of
                                                  circumstances to guide our penalty                       determining amounts of penalties and                  material fact with respect to the
                                                  determinations. Aggravating factors                      assessments for violations in this                    compliance of any policy with Medicare
                                                  include: (1) The Responsible Official                    subpart and to clarify that we will                   supplemental policy standards and
                                                  participated in or knew or should have                   consider the amount of remuneration,                  requirements or with respect to the use
                                                  known of the violation; (2) the violation                other financial incentives, or other                  of the Secretary’s emblem (described at
                                                  was a contributing factor, regardless of                 incentives. This provision was in the                 section 1882(a)(1) of the Act (42 U.S.C.
                                                  proportionality, to an unauthorized                      existing regulations at                               1395ss(a)(1))) indicating that a policy
                                                  individual’s access to or possession of a                § 1003.106(a)(1)(vii).                                has received the Secretary’s
                                                  select agent or toxin, an individual’s                     We changed the basis for penalties for              certification. We proposed to add this
                                                  exposure to a select agent or toxin, or                  violations of § 1003.1000(a) in the final             violation at § 1003.1100(a).
                                                  the unauthorized removal of a select                     rule to reflect the statute, which uses the              The OIG may impose a penalty
                                                  agent or toxin from the person’s                                                                               against any person who it determines
                                                                                                           CMPL default of penalties for each item
                                                  physical location as identified on the                                                                         has violated section 1882(d)(2) of the
                                                                                                           or service.
                                                  person’s certificate of registration; and                                                                      Act (42 U.S.C. 1395ss(d)(2)) by falsely
                                                                                                             We received the following comment
                                                  (3) the person previously received a                                                                           assuming or pretending to be acting, or
                                                                                                           on this subpart. As the comment was
                                                  statement of deficiency from HHS or the                                                                        misrepresenting in any way that he is
                                                                                                           outside the scope of this rulemaking, we              acting, under the authority of or in
                                                  Department of Agriculture for the same
                                                                                                           are finalizing this subpart, as proposed,             association with, Medicare or any
                                                  or substantially similar conduct. In the
                                                                                                           except as explained above.                            Federal agency, for the purpose of
                                                  final rule, we removed ‘‘regardless of
                                                  proportionality’’ from the second                          Comment: A commenter urged OIG to                   selling or attempting to sell insurance,
                                                  aggravating factor. Such proportionality                 include in proposed § 1003.1000(a) the                or in such pretended character demands
                                                  would be relevant to our qualitative                     current exceptions to the beneficiary                 or obtains money, paper, documents or
                                                  weighing of the aggravating factor, but it               inducement prohibition. As examples,                  anything of value. We proposed to add
                                                  would not be relevant to the                             the commenter included gifts or free                  this violation at § 1003.1100(b).
                                                  applicability of the aggravating factor.                 services to beneficiaries that do not                    The OIG may also impose a penalty
                                                  We also added ‘‘observation’’ and                        exceed $10 per item and $50 annually,                 against any person who it determines
                                                  ‘‘finding’’ to previous ‘‘statements of                  and services or other remuneration                    has violated section 1882(d)(4)(A) of the
                                                  deficiency’’ in the third aggravating                    permissibly furnished to financially                  Act (42 U.S.C. 1395ss(d)(4)(A)) by
                                                  factor to better reflect the terminology                 needy beneficiaries.                                  mailing or causing to be mailed any
                                                  used by HHS and the Department of                          Response: Any exceptions to liability               matter for advertising, soliciting,
                                                  Agriculture in Facility Inspection                       under § 1003.1000(a) would be                         offering for sale, or the delivery of
                                                  Reports.                                                 appropriately located in the definition               Medicare supplemental insurance
                                                     We received no comments on this                       of ‘‘remuneration,’’ which is at                      policy that has not been approved by
                                                  subpart and, except as noted above,                      § 1003.101, not in § 1003.1000(a) itself.             the State commissioner or
                                                  finalize, as proposed.                                   Any proposed amendments to the                        superintendent of insurance. We
                                                                                                           definition of ‘‘remuneration’’ are outside            proposed to add this violation at
                                                  Subpart J—CMPs, Assessments, and                         the scope of this rulemaking. The OIG                 § 1003.1100(c).
                                                  Exclusions for Beneficiary Inducement                    proposed changes to that definition in a                 The OIG may impose a penalty
                                                  Violations                                               separate notice of proposed rulemaking,               against any person who it determines
                                                    Subpart J covers two statutory                         79 FR 59,717 (October 3, 2014). The OIG               has violated section 1882(d)(3)(A)(i) of
                                                  provisions concerning beneficiary                        plans to address the dollar limits                    the Act (42 U.S.C. 1395ss(d)(3)(A)) by
                                                  inducement violations. We proposed                       discussed in this comment as part of                  issuing or selling to an individual
                                                  moving the existing regulation,                          that other rulemaking. Moreover, the                  entitled to benefits under Part A or
                                                  § 1003.102(b)(13), concerning the                        examples raised by the commenter do                   enrolled in Part B (including an
                                                  beneficiary inducement provision in the                  not clearly fall within any of the                    individual electing a Medicare Part C
                                                  CMPL (section 1128A(a)(5) of the Act),                   exceptions set forth at § 1128A(i)(6) of              plan): (1) A health insurance policy
                                                  to this subpart. We also proposed                        the Act.                                              with the knowledge that the policy
                                                  regulatory language for the authority at                                                                       duplicates Medicare or Medicaid health
                                                                                                           Subpart K—CMPs for the Sale of                        benefits to which the individual is
                                                  section 1862(b)(3)(C) of the Act. The
                                                                                                           Medicare Supplemental Policies                        otherwise entitled; (2) a Medicare
                                                  statutory authority is self-implementing
                                                  and does not require a regulation. We                      Subpart K covers violations relating to             supplemental policy to an individual
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                                                  proposed adding the regulatory                           the sale of Medicare supplemental                     who has not elected a Medicare Part C
                                                  language at this time in light of the                    policies. The statutory authority is self-            plan where the person knows that the
                                                  general reorganization. Under section                    implementing and does not require a                   individual is entitled to benefits under
                                                  1862(b)(3)(C) of the Act, a penalty of up                regulation. Omnibus Budget                            another Medicare supplemental policy;
                                                  to $5,000 may be imposed against any                     Reconciliation Act of 1990, Public Law                (3) a Medicare supplemental policy to
                                                  person who offers any financial or other                 101–508, section 4354(c), 104 Stat. 3327              an individual who has elected a
                                                  incentive for an individual entitled to                  (1990); 42 U.S.C. 1395ss(d). However,                 Medicare Part C plan where the person
                                                  benefits under Medicare not to enroll, or                we proposed adding the regulatory                     knows that the policy duplicates health


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                                                  88352            Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations

                                                  benefits to which the individual is                      Federally facilitated exchanges are                   section 1927 of the Act using the
                                                  otherwise entitled under the Medicare                    better understood. The commenter                      National Drug Code (NDC) product
                                                  Part C plan or under another Medicare                    stated that questions arose during the                identifier. The OIG proposed calculating
                                                  supplemental policy; and (4) a health                    2013 open enrollment period for                       CMPs under section 1927(b)(3)(C) of the
                                                  insurance policy (other than a Medicare                  exchange-based health insurance                       Act at the NDC level. For example, a
                                                  supplemental policy) with the                            coverage as to individuals eligible for or            manufacturer that fails to provide the
                                                  knowledge that the policy duplicates                     enrolled in Medicare and exchange-                    information required by section
                                                  health benefits to which the individual                  based health insurance coverage.                      1927(b)(3)(A) of the Act for five separate
                                                  is otherwise entitled, other than benefits               According to the commenter, some                      NDCs may be penalized for each NDC,
                                                  to which the individual is entitled                      exchanges did not inquire as to a                     in an aggregate amount of not more than
                                                  under a requirement of State or Federal                  beneficiary’s Medicare status prior to                $50,000 per day for each day that the
                                                  law. We proposed to add this violation                   instructing plans to enroll these                     information is not provided. If, after 2
                                                  at § 1003.1100(d).                                       individuals into QHPs. The commenter                  days, the manufacturer in this example
                                                     The OIG may also impose a penalty                     asserted that exchanges are best-                     submitted information for two of the
                                                  against any person who violated section                  positioned to verify an individual’s                  missing NDCs, the manufacturer would
                                                  1882(d)(3)(A)(vi)(II) of the Act (42                     Medicare status and that it would be                  be subject to an aggregate penalty of not
                                                  U.S.C. 1395ss(d)(3)(A)(vi)(II)) by issuing               inappropriate to penalize QHPs under                  more than $30,000 per day for each
                                                  or selling a health insurance policy                     this CMP authority.                                   additional day that information was not
                                                  (other than a policy described in section                   Response: We respectfully disagree                 provided for the remaining three NDCs.
                                                  1882(d)(3)(A)(vi)(III) of the Act) to an                 with the suggestion to defer issuance of              The OIG believes that this interpretation
                                                  individual entitled to benefits under                    the regulation and are finalizing the                 is supported by the statutory text, which
                                                  Part A or enrolled under Part B who is                   rule, as proposed. The CMP authorities                refers to NDCs, and by the reporting
                                                  applying for a health insurance policy                   covered in this subpart have existed in               systems employed by CMS, under
                                                  without furnishing a disclosure                          statute for many years and should be                  which manufacturers are required to
                                                  statement (described at section                          added to part 1003 at this time in light              report AMP and ASP product and
                                                  1882(d)(3)(A)(vii) of the Act). We                       of our reorganization. In addition, the               pricing data using NDCs.
                                                  proposed to add this violation at                        concerns raised by the commenter                         Section 1927(b)(3)(B) of the Act
                                                  § 1003.1100(e).                                          appear to be addressed by the fact that               provides for verification surveys of
                                                     The OIG may also impose a penalty                     § 1003.1100(d)(1) and (2) apply only                  AMPs and establishes that a penalty of
                                                  against any person who it determines                     when a health insurance policy is                     not more than $100,000 may be imposed
                                                  has violated section 1882(d)(3)(B)(iv) of                issued with knowledge that the policy                 against a wholesaler, direct seller, or
                                                  the Act (42 U.S.C. 1395ss(d)(3)(B)(iv))                  duplicates health benefits to which the               manufacturer that directly distributes its
                                                  by issuing or selling a Medicare                         individual is otherwise entitled.                     covered outpatient drugs for refusing a
                                                  supplemental policy to any individual                                                                          request for information by, or for
                                                  eligible for benefits under Part A or                    Subpart L—CMPs for Drug Price
                                                                                                                                                                 knowingly providing false information
                                                  enrolled under Part B without obtaining                  Reporting
                                                                                                                                                                 to, the Secretary about charges or prices
                                                  the written statement from the                              Subpart L contains the CMPs for drug-              in connection with such a survey.
                                                  individual or written acknowledgement                    price reporting found in section                         Pursuant to section 1927(b)(3)(C) of
                                                  from the seller required by section                      1927(b)(3)(B)–(C) of the Act (42 U.S.C.               the Act, OIG may impose a penalty of
                                                  1882(d)(3)(B) of the Act (42 U.S.C.                      1396r–8(b)(3)(B)–(C)). Although the                   not more than $100,000 against any
                                                  1395ss(d)(3)(B)). We proposed to add                     statutory authority is self-implementing              manufacturer with an agreement under
                                                  this violation at § 1003.1100(f).                        and does not require a regulation, we                 section 1927 of the Act that knowingly
                                                     For violations of section 1882(d)(1),                 proposed adding the regulatory                        provides false information for each item
                                                  (d)(2), and (d)(4)(A) of the Act, OIG may                language at this time in light of the                 of false information.
                                                  impose a penalty of not more than                        general reorganization. The proposed                     We received the following comments
                                                  $5,000 for each violation. We proposed                   regulation text closely mirrors the                   on this subpart. To the extent provisions
                                                  to add this penalty at § 1003.1110(a).                   language of the statute.                              of the proposed rule are not addressed
                                                  For violations of section 1882(d)(3)(A)                     Section 1927(a) of the Act implements              in our response to the comments below,
                                                  and (B) of the Act, OIG may impose a                     a drug-pricing program in which                       we are finalizing this section of the rule,
                                                  penalty of not more than $25,000 for                     manufacturers that sell covered                       as proposed.
                                                  each violation by a seller that is also the              outpatient drugs to covered entities                     Comment: One commenter expressed
                                                  issuer of the policy and a penalty of not                must agree to charge a price that will                concern with OIG’s proposal to
                                                  more than $15,000 for each violation by                  not exceed an amount determined under                 calculate penalties at the NDC level
                                                  a seller that is not the issuer of the                   a statutory formula. Under section                    instead of per late report. The
                                                  policy. We proposed to add these                         1927(a) of the Act, manufacturers must                commenter argued that, where one
                                                  penalties at §§ 1003.1110(b) and (c). In                 provide certain statutorily mandated                  report contained multiple NDCs,
                                                  determining the amount of the penalty                    discounts to covered entities. Section                imposing multiple penalties per day
                                                  in accordance with proposed subpart K,                   1927(b)(3)(A) of the Act requires                     instead of one penalty per day would be
                                                  OIG would consider the factors listed in                 manufacturers with Medicaid Drug                      unduly harsh.
                                                  the proposed § 1003.140.                                 Rebate Agreements to provide specified                   Response: The OIG is finalizing the
                                                     We received the following comment                     drug-pricing and product information to               rule, as proposed. The OIG believes that
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                                                  on this subpart. As discussed below, we                  the Secretary, including, but not limited             this interpretation is supported by the
                                                  are finalizing this subpart, as proposed.                to, average manufacturer price (AMP),                 statutory text, which refers to NDCs, and
                                                     Comment: A commenter requested                        average sales price (ASP), wholesale                  by the reporting systems employed by
                                                  that OIG defer adopting the proposed                     acquisition cost, and best price. Labelers            CMS, under which manufacturers are
                                                  § 1003.1100(d), which relates to the                     are required to certify each product and              required to report AMP and ASP
                                                  issuance or sale of duplicative coverage,                pricing data submission made to CMS.                  product and pricing data using NDCs.
                                                  until the application of the prohibitions                   Manufacturers submit the product                      Comment: One commenter expressed
                                                  in that section to QHPs and State and                    and pricing information required by                   concern with OIG’s proposal to


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                                                                   Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations                                       88353

                                                  calculate penalties at the 9-digit NDC                     We received no comments on this                     extraordinary circumstances.’’ We
                                                  level. The commenter suggested that                      subpart and finalize, as proposed.                    interpret this to mean that a person is
                                                  OIG avoid establishment of a bright-line                                                                       precluded from making arguments or
                                                                                                           Subpart O—Procedures for the
                                                  rule that would rigidly define products                                                                        raising issues in Federal court that were
                                                                                                           Imposition of CMPs, Assessments, and
                                                  at the 9-digit NDC level for the purposes                                                                      not first raised during the administrative
                                                                                                           Exclusions
                                                  of calculating penalties. This                                                                                 process, unless the court finds that
                                                  commenter noted that the preamble                           Subpart O contains the procedural                  extraordinary circumstances prevented
                                                  language in which OIG proposed                           provisions that apply to part 1003. We                raising those arguments or issues. We
                                                  calculating penalties at the 9-digit NDC                 proposed several clarifying changes to                interpret ‘‘extraordinary circumstances’’
                                                  level is not reflected in the regulation                 procedures in this subpart. We proposed               to mean that those arguments or issues
                                                  text.                                                    amending the methods permitted for                    were beyond the authority of the
                                                     Response: We agree that OIG should                    service of a notice of a proposal of a                administrative process.
                                                  have discretion to determine the                         penalty, assessment, or exclusion under                 We received no comments on this
                                                  appropriate NDC level at which to                        part 1003. Section 1003.109 required                  subpart and finalize, as proposed.
                                                  calculate penalties based on the                         service by certified mail, return receipt
                                                                                                           requested. Section 1128A(c)(1) of the                 Other Changes in Part 1003
                                                  particular requirements and
                                                  submissions for each manufacturer.                       Act, however, permits service by any                    The OIG has authority to impose
                                                  Neither section 1927(b)(3)(C) of the Act                 method authorized by Rule 4 of the                    CMPs against endorsed sponsors under
                                                  nor the regulation dictates which NDC                    Federal Rules of Civil Procedure (FRCP),              the Medicare Prescription Drug
                                                  level must be used in calculating the                    which has been amended to authorize                   Discount Card Program that knowingly
                                                  penalties. Therefore, we have not                        various service methods depending on                  commit certain violations. The discount
                                                  included the discussion of 9-digit and                   whether the recipient is a domestic or                card program has been defunct since
                                                  11-digit NDC levels in the text of the                   foreign individual or corporation.                    January 1, 2006, when Medicare Part D
                                                  final rule. To the extent the commenter                  Therefore, we are amending our                        went into effect. We proposed to remove
                                                  may have been recommending that OIG                      regulation at §§ 1003.1500(a) and                     this CMP from the regulations as the
                                                  not use NDCs to calculate penalties, OIG                 1003.1510 to permit service under any                 statute of limitations has expired for any
                                                  believes that the use of NDCs is                         means authorized by FRCP Rule 4. By                   conduct that might implicate this CMP.
                                                  appropriate based on the statutory text                  referencing the rule, the regulation                    We received no comments on
                                                  and the reporting systems employed by                    would reflect any future amendments to                removing this CMP and finalize, as
                                                  CMS.                                                     Rule 4 automatically.                                 proposed.
                                                                                                              We also proposed technical changes                 F. Appeals of Exclusions, Civil Monetary
                                                  Subpart M—CMPs for Notifying a                           to the judicial review provision at
                                                  Skilled Nursing Facility, Nursing                                                                              Penalties, and Assessments
                                                                                                           § 1003.127 in the existing regulation and
                                                  Facility, Home Health Agency, or                         redesignated as § 1003.1540 to better                   We proposed changes to OIG
                                                  Community Care Setting of a Survey                       conform to the statutory scheme                       regulations at 42 CFR part 1005 to
                                                     In subpart M, we proposed to add                      requiring a person to exhaust his or her              correct an internal inconsistency in
                                                  regulations providing for CMPs for                       administrative remedies before filing a               § 1005.4(c). The regulation states at
                                                  notifying a skilled nursing facility                     claim in Federal court. Exhaustion of                 § 1005.4(c)(5)–(6) that an ALJ is not
                                                  (SNF), nursing facility (NF), home                       administrative remedies is a well-settled             authorized to (1) review the exercise of
                                                  health agency (HHA), or a community                      legal principle, particularly concerning              discretion by OIG to exclude an
                                                  care setting of the date or time of a                    section 405(g) of the Act (42 U.S.C.                  individual or entity under section
                                                  survey. The statutory authority for these                205(g)). Consistent with existing law,                1128(b) of the Act, (2) determine the
                                                  CMPs is self-implementing and does not                   the proposed regulations clarify that a               scope or effect of the exclusion, or (3)
                                                  require a regulation. Sections                           person may not bring a claim in Federal               set a period of exclusion at zero when
                                                  1819(g)(2)(A), 1919(g)(2)(A), 1891(c)(1),                court without first raising that claim at             the ALJ finds that the individual or
                                                  1929(i)(3)(A); 42 U.S.C. 1395i–                          every applicable stage within the                     entity committed an act described in
                                                  3(g)(2)(A), 1396r(g)(2)(A), 1395bbb(c)(1),               administrative process, including any                 section 1128(b) of the Act. Section
                                                  1396t(i)(3)(A) of the Act. However, we                   administrative appeal process. In the                 1005.4(c)(7) stated that an ALJ is not
                                                  proposed adding the regulatory                           context of part 1003, that administrative             authorized to review the exercise of
                                                  language at this time in light of the                    process consists of making a timely                   discretion by OIG to impose a CMP, an
                                                  general reorganization. The proposed                     request for a hearing before an ALJ                   assessment, or an exclusion under part
                                                  regulation text closely mirrors the                      pursuant to 42 CFR 1005.2 and, if the                 1003. The second and third limits on
                                                  language of the statute.                                 respondent loses at the ALJ level, timely             ALJ authority with respect to exclusions
                                                     SNFs, NFs, HHAs, and community                        filing an appeal of the ALJ decision to               under section 1128(b) of the Act should
                                                  care settings are subject to State                       the Appellate Division of the                         also apply to exclusions imposed under
                                                  compliance surveys without any prior                     Departmental Appeals Board. Only after                part 1003. To correct this inconsistency,
                                                  notice. Sections 1819(g)(2)(A),                          the Departmental Appeals Board makes                  we proposed to clarify that when
                                                  1919(g)(2)(A), 1891(c)(1), and                           a final decision under 42 CFR 1005.21(j)              reviewing exclusions imposed pursuant
                                                  1929(i)(3)(A) of the Act provide for                     is the respondent eligible to file an                 to part 1003, an ALJ is not authorized
                                                  imposing a penalty of not more than                      action in Federal court.                              to (1) review OIG’s exercise of discretion
                                                  $2,000 against any individual who                           We also proposed a technical change                to exclude an individual or entity, (2)
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                                                  notifies, or causes to be notified, a SNF,               to the regulatory language to clarify the             determine the scope or effect of the
                                                  NF, home health agency, or community                     statutory limit on issues eligible for                exclusion, or (3) set a period of
                                                  care setting of the time or date on which                judicial review. Section 1128A(e) of the              exclusion at zero if the ALJ finds that
                                                  a survey is scheduled to be conducted.                   Act provides that ‘‘[n]o objection that               the individual or entity committed an
                                                     The OIG will consider the general                     has not been urged before the Secretary               act described in part 1003. We believe
                                                  factors listed in § 1003.140 when                        shall be considered by the court, unless              that this requirement is consistent with
                                                  determining the amount of the penalties                  the failure or neglect to urge such                   congressional intent in enacting the
                                                  to be imposed under this subpart.                        objection shall be excused because of                 statutes providing authority for part


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                                                  88354            Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations

                                                  1003 that explicitly provide for                            Accordingly, we believe that the                   under the Unfunded Mandates Reform
                                                  exclusion as an appropriate remedy for                   likely aggregate economic effect of these             Act is not necessary.
                                                  the commission of any of the acts                        regulations would be significantly less
                                                                                                                                                                 Executive Order 13132
                                                  specified in those statutes. Thus, in                    than $100 million.
                                                  every case in which OIG has exercised                                                                             Executive Order 13132, Federalism,
                                                                                                           Regulatory Flexibility Act                            establishes certain requirements that an
                                                  its discretion to impose an exclusion
                                                  and when the ALJ decides that a                             The Regulatory Flexibility Act (RFA)               agency must meet when it promulgates
                                                  violation did occur, exclusion is                        and the Small Business Regulatory                     a rule that imposes substantial direct
                                                  appropriate.                                             Enforcement and Fairness Act of 1996,                 requirements or costs on State and local
                                                     We received the following comment                     which amended the RFA, require                        governments, preempts State law, or
                                                  on this proposal. As discussed in                        agencies to analyze options for                       otherwise has Federalism implications.
                                                  response to the comment, we are                          regulatory relief of small businesses. For            In reviewing this rule under the
                                                  finalizing this section of the rule, as                  purposes of the RFA, small entities                   threshold criteria of Executive Order
                                                  proposed.                                                include small businesses, nonprofit                   13132, we have determined that this
                                                                                                           organizations, and government agencies.               proposed rule would not significantly
                                                     Comment: A commenter asked OIG to
                                                                                                           Most providers are considered small                   affect the rights, roles, and
                                                  reconsider our proposal to limit an
                                                                                                           entities if they have revenues of $5                  responsibilities of State or local
                                                  ALJ’s authority in the absence of a
                                                                                                           million to $25 million or less in any one             governments.
                                                  specific legislative mandate.
                                                                                                           year. For purposes of the RFA, most
                                                     Response: We respectfully disagree                    physicians and suppliers are considered               IV. Paperwork Reduction Act
                                                  with the commenter’s suggestion and                      small entities.                                         These proposed changes to parts 1003
                                                  finalize the rule, as proposed. The rule                    The aggregate effect of the changes to             and 1005 impose no new reporting
                                                  ensures consistency in the ALJ review of                 the CMP provisions would be minimal.                  requirements or collections of
                                                  discretionary exclusions imposed under                      In summary, we have concluded that                 information. Therefore, a Paperwork
                                                  sections 1128(b) and 1128A of the Act.                   this proposed rule should not have a                  Reduction Act review is not required.
                                                  III. Regulatory Impact Statement                         significant impact on the operations of
                                                                                                           a substantial number of small providers               List of Subjects
                                                    We have examined the impact of this                    and that a regulatory flexibility analysis
                                                  proposed rule as required by Executive                                                                         42 CFR Part 1003
                                                                                                           is not required for this rulemaking.
                                                  Order 12866, Executive Order 13563,                         In addition, section 1102(b) of the Act             Fraud, Grant programs—health,
                                                  the Regulatory Flexibility Act (RFA) of                  (42 U.S.C. 1302) requires us to prepare               Health facilities, Health professions,
                                                  1980, the Unfunded Mandates Reform                       a regulatory impact analysis if a rule                Medicaid, Reporting and recordkeeping.
                                                  Act of 1995, and Executive Order 13132.                  under Titles XVIII or XIX or section B                42 CFR Part 1005
                                                  Executive Order Nos. 12866 and 13563                     of Title XI of the Act may have a
                                                                                                           significant impact on the operations of                 Administrative practice and
                                                     Executive Orders 12866 and 13563                      a substantial number of small rural                   procedure, Fraud, Investigations,
                                                  direct agencies to assess all costs and                  hospitals. This analysis must conform to              Penalties.
                                                  benefits of available regulatory                         section 604 of the RFA. Only one                        For the reasons set forth in the
                                                  alternatives and, if regulations are                     proposed change has been made under                   preamble, the Office of the Inspector
                                                  necessary, to select regulatory                          the relevant title, the amendments to the             General, Department of Health and
                                                  approaches that maximize net benefits                    Medicare Contracting Organization Rule                Human Services, amends 42 CFR
                                                  (including potential economic,                           at proposed § 1003.400, et seq. This rule             chapter V, subchapter B as follows:
                                                  environmental, public health and safety                  applies only to Medicare contracting
                                                  effects; distributive impacts; and                       organizations, not to rural hospitals, and            PART 1003—CIVIL MONEY
                                                  equity). Executive Order 13563 is                        would have no effect on rural hospitals.              PENALTIES, ASSESSMENTS AND
                                                  supplemental to and reaffirms the                        Thus, an analysis under section 1102(b)               EXCLUSIONS
                                                  principles, structures, and definitions                  is not required for this rulemaking.
                                                  governing regulatory review as                                                                                 ■ 1. The authority citation for part 1003
                                                  established in Executive Order 12866. A                  Unfunded Mandates Reform Act                          continues to read as follows:
                                                  regulatory impact analysis must be                         Section 202 of the Unfunded                           Authority: 42 U.S.C. 262a, 1302, 1320–7,
                                                  prepared for major rules with                            Mandates Reform Act of 1995, Public                   1320a–7a, 1320b–10, 1395u(j), 1395u(k),
                                                  economically significant effects, i.e.,                  Law 104–4, also requires that agencies                1395cc(j), 1395w–141(i)(3), 1395dd(d)(1),
                                                  $100 million or more in any given year.                                                                        1395mm, 1395nn(g), 1395ss(d), 1396b(m),
                                                                                                           assess anticipated costs and benefits
                                                                                                                                                                 11131(c), and 11137(b)(2).
                                                  This is not a major rule as defined at 5                 before issuing any rule that may result
                                                  U.S.C. 804(2); it is not economically                    in expenditures in any one year by                    ■ 2. Designate §§ 1003.100 through
                                                  significant because it does not reach that               State, local, or tribal governments, in the           1003.135 as subpart A, and add a
                                                  economic threshold.                                      aggregate, or by the private sector, of               heading for subpart A to read as follows:
                                                     This proposed rule is designed to                     $110 million or more. As indicated                    Subpart A—General Provisions
                                                  codify in regulations new statutory                      above, these proposed revisions
                                                  provisions, including new CMP                            comport with statutory amendments                     ■ 3. Revise § 1003.100 to read as
                                                  authorities. This proposed rule is also                  and clarify existing law. We believe that             follows:
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                                                  designed to clarify the intent of existing               as a result, there would be no significant
                                                  statutory requirements and to reorganize                 costs associated with these proposed                  § 1003.100   Basis and purpose.
                                                  CMP regulation sections for ease of use.                 revisions that would impose any                         (a) Basis. This part implements
                                                  The vast majority of providers,                          mandates on State, local, or tribal                   sections 1128(c), 1128A, 1140,
                                                  suppliers, and other persons                             governments or the private sector that                1819(b)(3)(B), 1819(g)(2)(A),
                                                  participating in Federal health care                     would result in an expenditure of $110                1857(g)(2)(A), 1860D–12(b)(3)(E),
                                                  programs would be minimally affected,                    million or more (adjusted for inflation)              1860D–31(i)(3), 1862(b)(3)(C),
                                                  if at all, by these proposed revisions.                  in any given year and that a full analysis            1867(d)(1), 1876(i)(6), 1877(g), 1882(d),


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                                                                   Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations                                          88355

                                                  1891(c)(1); 1903(m)(5), 1919(b)(3)(B),                    ■  m. Revising the definition of                      of the act, and no proof of specific intent
                                                  1919(g)(2)(A), 1927(b)(3)(B),                             ‘‘Responsible physician’’;                            to defraud is required.
                                                  1927(b)(3)(C), and 1929(i)(3) of the                      ■ n. Removing the definition of                          Material means having a natural
                                                  Social Security Act; sections 421(c) and                  ‘‘Secretary’’;                                        tendency to influence, or be capable of
                                                  427(b)(2) of Public Law 99–660; and                       ■ o. Revising the definition of ‘‘Select              influencing, the payment or receipt of
                                                  section 201(i) of Public Law 107–188                      agents and toxins’’;                                  money or property.
                                                  (42 U.S.C. 1320a–7(c), 1320a–7a, 1320b–                   ■ p. Adding in alphabetical order a
                                                                                                                                                                  *      *     *     *    *
                                                  10, 1395i–3(b)(3)(B), 1395i–3(g)(2)(A),                   definition for ‘‘Separately billable item
                                                  1395w–27(g)(2)(A), 1395w–112(b)(3)(E),                    or service’’;                                            Medical malpractice claim or action
                                                  1395w–141(i)(3), 1395y(b)(3)(B),                          ■ q. Revising the definitions of ‘‘Should
                                                                                                                                                                  means a written complaint or claim
                                                  1395dd(d)(1), 1395mm(i)(6), 1395nn(g),                    know, or should have known’’ and                      demanding payment based on a
                                                  1395ss(d), 1395bbb(c)(1), 1396b(m)(5),                    ‘‘Social Services Block Grant Program’’;              physician’s, dentist’s, or other health
                                                  1396r(b)(3)(B), 1396r(g)(2)(A), 1396r–                    ■ r. Removing the definitions of ‘‘State’’
                                                                                                                                                                  care practitioner’s provision of, or
                                                  8(b)(3)(B), 1396r–8(b)(3)(C), 1396t(i)(3),                and ‘‘State health care program’’;                    failure to provide, health care services
                                                  11131(c), 11137(b)(2), and 262a(i)).                      ■ s. Revising the definition of ‘‘Timely
                                                                                                                                                                  and includes the filing of a cause of
                                                    (b) Purpose. This part—                                 basis’’; and                                          action based on the law of tort brought
                                                    (1) Provides for the imposition of civil                ■ t. Removing the definition of
                                                                                                                                                                  in any State or Federal court or other
                                                  money penalties and, as applicable,                       ‘‘Transitional assistance’’.                          adjudicative body.
                                                  assessments and exclusions against                           The revisions and additions read as                *      *     *     *    *
                                                  persons who have committed an act or                      follows:                                                 Non-separately-billable item or
                                                  omission that violates one or more                                                                              service means an item or service that is
                                                  provisions of this part and                               § 1003.110    Definitions.                            a component of, or otherwise
                                                    (2) Sets forth the appeal rights of                     *     *      *     *     *                            contributes to the provision of, an item
                                                  persons subject to a penalty, assessment,                    Assessment means the amounts                       or a service, but is not itself a separately
                                                  and exclusion.                                            described in this part and includes the               billable item or service.
                                                                                                            plural of that term.                                     Overpayment means any funds that a
                                                  §§ 1003.102 through 1003.110, 1003.114,                      Claim means an application for
                                                  1003.126 through 1003.129, and 1003.132                                                                         person receives or retains under
                                                                                                            payment for an item or service under a                Medicare or Medicaid to which the
                                                  through 1003.135 [Removed]
                                                                                                            Federal health care program.                          person, after applicable reconciliation,
                                                  ■ 4. Remove §§ 1003.102 through                           *     *      *     *     *                            is not entitled under such program.
                                                  1003.110, 1003.114, 1003.126 through                         Contracting organization means a
                                                  1003.129, and 1003.132 through                                                                                     Participating hospital means either a
                                                                                                            public or private entity, including a                 hospital or a critical access hospital, as
                                                  1003.135.                                                 health maintenance organization,                      defined in section 1861(mm)(1) of the
                                                  § 1003.101       [Redesignated as § 1003.110]             Medicare Advantage organization,                      Act, that has entered into a Medicare
                                                                                                            Prescription Drug Plan sponsor, or other              provider agreement under section 1866
                                                  ■  5. Redesignate § 1003.101 as                           organization that has contracted with
                                                  § 1003.110.                                                                                                     of the Act.
                                                                                                            the Department or a State to furnish, or
                                                  ■ 6. Amend newly designated                                                                                        Penalty means the amount described
                                                                                                            otherwise pay for, items and services to
                                                  § 1003.110 by:                                                                                                  in this part and includes the plural of
                                                                                                            Medicare or Medicaid beneficiaries
                                                  ■ a. Removing the definitions of ‘‘Act’’,                                                                       that term.
                                                                                                            pursuant to sections 1857, 1860D–12,
                                                  ‘‘Adverse effect’’, and ‘‘ALJ’’;                          1876(b), or 1903(m) of the Act.                       *      *     *     *    *
                                                  ■ b. Revising the definitions of                                                                                   Physician incentive plan means any
                                                                                                               Enrollee means an individual who is
                                                  ‘‘Assessment’’ and ‘‘Claim’’;                             eligible for Medicare or Medicaid and                 compensation arrangement between a
                                                  ■ c. Removing the definition of ‘‘CMS’’;                                                                        contracting organization and a
                                                                                                            who enters into an agreement to receive
                                                  ■ d. Revising the definitions of                                                                                physician or physician group that may
                                                                                                            services from a contracting organization.
                                                  ‘‘Contracting organization’’ and                                                                                directly or indirectly have the effect of
                                                  ‘‘Enrollee’’;                                             *     *      *     *     *
                                                                                                               Items and services or items or services            reducing or limiting services provided
                                                  ■ e. Removing the definitions of                                                                                with respect to enrollees in the
                                                  ‘‘Department’’, ‘‘Exclusion’’, ‘‘Inspector                includes without limitation, any item,
                                                                                                            device, drug, biological, supply, or                  organization.
                                                  General’’, and ‘‘Item or service’’;
                                                  ■ f. Adding in alphabetical order                         service (including management or                      *      *     *     *    *
                                                  definitions for ‘‘Items and services or                   administrative services), including, but                 Reasonable request, with respect to
                                                  items or services’’, ‘‘Knowingly’’, and                   not limited to, those that are listed in an           § 1003.200(b)(10), means a written
                                                  ‘‘Material’’;                                             itemized claim for program payment or                 request, signed by a designated
                                                  ■ g. Removing the definition of                           a request for payment; for which                      representative of the OIG and made by
                                                  ‘‘Medicaid’’;                                             payment is included in any Federal or                 a properly identified agent of the OIG
                                                  ■ h. Revising the definition of ‘‘Medical                 State health care program                             during reasonable business hours. The
                                                  malpractice claim or action’’;                            reimbursement method, such as a                       request will include: A statement of the
                                                  ■ i. Removing the definition of                           prospective payment system or managed                 authority for the request, the person’s
                                                  ‘‘Medicare’’;                                             care system; or that are, in the case of              rights in responding to the request, the
                                                  ■ j. Adding in alphabetical order                         a claim based on costs, required to be                definition of ‘‘reasonable request’’ and
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                                                  definitions for ‘‘Non-separately-billable                 entered in a cost report, books of                    ‘‘failure to grant timely access’’ under
                                                  item or service’’, and ‘‘Overpayment’’;                   account, or other documents supporting                part 1003, the deadline by which the
                                                  ■ k. Revising the definitions of                          the claim (whether or not actually                    OIG requests access, and the amount of
                                                  ‘‘Participating hospital’’, ‘‘Penalty’’, and              entered).                                             the civil money penalty or assessment
                                                  ‘‘Physician incentive plan’’;                                Knowingly means that a person, with                that could be imposed and the effective
                                                  ■ l. Adding in alphabetical order                         respect to an act, has actual knowledge               date, length, and scope and effect of the
                                                  definitions for ‘‘Reasonable request’’,                   of the act, acts in deliberate ignorance              exclusion that would be imposed for
                                                  and ‘‘Responsible Official’’;                             of the act, or acts in reckless disregard             failure to comply with the request, and


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                                                  88356            Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations

                                                  the earliest date that a request for                     Sec.                                                   in response to the violation. For
                                                  reinstatement would be considered.                       *       *      *      *       *                        purposes of this part, corrective action
                                                  *      *     *     *     *                               1003.120 Liability for penalties and                   must include disclosing the violation to
                                                     Responsible Official means the                            assessments.                                       the OIG through the Self-Disclosure
                                                  individual designated pursuant to 42                     1003.130 Assessments.                                  Protocol and fully cooperating with the
                                                  CFR part 73 to serve as the Responsible                  1003.140 Determinations regarding the                  OIG’s review and resolution of such
                                                                                                               amount of penalties and assessments and            disclosure, or in cases of physician self-
                                                  Official for the person holding a                            the period of exclusion.
                                                  certificate of registration to possess, use,                                                                    referral law violations, disclosing the
                                                                                                           1003.150 Delegation of authority.
                                                  or transfer select agents or toxins.                     1003.160 Waiver of exclusion.                          violation to CMS through the Self-
                                                     Responsible physician means a                                                                                Referral Disclosure Protocol;
                                                  physician who is responsible for the                     § 1003.120 Liability for penalties and                    (3) The history of prior offenses.
                                                  examination, treatment, or transfer of an                assessments.                                           Aggravating circumstances include, if at
                                                  individual who comes to a participating                     (a) In any case in which it is                      any time prior to the violation, the
                                                  hospital’s emergency department                          determined that more than one person                   individual—or in the case of an entity,
                                                  requesting examination or treatment,                     was responsible for a violation                        the entity itself; any individual who had
                                                  including any physician who is on-call                   described in this part, each such person               a direct or indirect ownership or control
                                                  for the care of such individual and fails                may be held liable for the penalty                     interest (as defined in section 1124(a)(3)
                                                  or refuses to appear within a reasonable                 prescribed by this part.                               of the Act) in a sanctioned entity at the
                                                  time at such hospital to provide services                   (b) In any case in which it is                      time the violation occurred and who
                                                  relating to the examination, treatment,                  determined that more than one person                   knew, or should have known, of the
                                                  or transfer of such individual.                          was responsible for a violation                        violation; or any individual who was an
                                                  Responsible physician also includes a                    described in this part, an assessment                  officer or a managing employee (as
                                                  physician who is responsible for the                     may be imposed, when authorized,                       defined in section 1126(b) of the Act) of
                                                  examination or treatment of individuals                  against any one such person or jointly                 such an entity at the time the violation
                                                  at hospitals with specialized capabilities               and severally against two or more such                 occurred—was held liable for criminal,
                                                  or facilities, as provided under section                 persons, but the aggregate amount of the               civil, or administrative sanctions in
                                                  1867(g) of the Act, including any                        assessments collected may not exceed                   connection with a program covered by
                                                  physician who is on-call for the care of                 the amount that could be assessed if                   this part or in connection with the
                                                  such individuals and refuses to accept                   only one person was responsible.                       delivery of a health care item or service;
                                                  an appropriate transfer or fails or refuses                 (c) Under this part, a principal is                    (4) Other wrongful conduct.
                                                  to appear within a reasonable time to                    liable for penalties and assessments for               Aggravating circumstances include
                                                  provide services related to the                          the actions of his or her agent acting                 proof that the individual—or in the case
                                                  examination or treatment of such                         within the scope of his or her agency.                 of an entity, the entity itself; any
                                                  individuals.                                             This provision does not limit the                      individual who had a direct or indirect
                                                                                                           underlying liability of the agent.                     ownership or control interest (as
                                                  *      *     *     *     *                                                                                      defined in section 1124(a)(3) of the Act)
                                                     Select agents and toxins is defined
                                                                                                           § 1003.130     Assessments.                            in a sanctioned entity at the time the
                                                  consistent with the definition of ‘‘select
                                                                                                             The assessment in this part is in lieu               violation occurred and who knew, or
                                                  agent and/or toxin’’ and ‘‘overlap select                                                                       should have known, of the violation; or
                                                  agent and/or toxin’’ as set forth in 42                  of damages sustained by the Department
                                                                                                           or a State agency because of the                       any individual who was an officer or a
                                                  CFR part 73.                                                                                                    managing employee (as defined in
                                                     Separately billable item or service                   violation.
                                                                                                                                                                  section 1126(b) of the Act) of such an
                                                  means an item or service for which an                    § 1003.140 Determinations regarding the                entity at the time the violation
                                                  identifiable payment may be made                         amount of penalties and assessments and                occurred—engaged in wrongful
                                                  under a Federal health care program,                     the period of exclusion.                               conduct, other than the specific conduct
                                                  e.g., an itemized claim or a payment                        (a) Except as otherwise provided in                 upon which liability is based, relating to
                                                  under a prospective payment system or                    this part, in determining the amount of                a government program or in connection
                                                  other reimbursement methodology.                         any penalty or assessment or the period                with the delivery of a health care item
                                                     Should know, or should have known,                    of exclusion in accordance with this                   or service. The statute of limitations
                                                  means that a person, with respect to                     part, the OIG will consider the following              governing civil money penalty
                                                  information, either acts in deliberate                   factors—                                               proceedings does not apply to proof of
                                                  ignorance of the truth or falsity of the                    (1) The nature and circumstances of                 other wrongful conduct as an
                                                  information or acts in reckless disregard                the violation;                                         aggravating circumstance; and
                                                  of the truth or falsity of the information.                 (2) The degree of culpability of the                   (5) Such other matters as justice may
                                                  For purposes of this definition, no proof                person against whom a civil money                      require. Other circumstances of an
                                                  of specific intent to defraud is required.               penalty, assessment, or exclusion is                   aggravating or mitigating nature should
                                                     Social Services Block Grant Program                   proposed. It should be considered an                   be considered if, in the interests of
                                                  means the program authorized under                       aggravating circumstance if the                        justice, they require either a reduction
                                                  Title XX of the Act.                                     respondent had actual knowledge where                  or an increase in the penalty,
                                                  *      *     *     *     *                               a lower level of knowledge was required                assessment, or period of exclusion to
                                                     Timely basis means, in accordance                     to establish liability (e.g., for a provision          achieve the purposes of this part.
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                                                  with § 1003.300(a) of this part, the 60-                 that establishes liability if the                         (b)(1) After determining the amount of
                                                  day period from the time the prohibited                  respondent ‘‘knew or should have                       any penalty and assessment in
                                                  amounts are collected by the individual                  known’’ a claim was false or fraudulent,               accordance with this part, the OIG
                                                  or the entity.                                           it will be an aggravating circumstance if              considers the ability of the person to
                                                  *      *     *     *     *                               the respondent knew the claim was false                pay the proposed civil money penalty or
                                                  ■ 7. Add §§ 1003.120, 1003.130,                          or fraudulent). It should be a mitigating              assessment. The person shall provide, in
                                                  1003.140, 1003.150, and 1003.160 to                      circumstance if the person took                        a time and manner requested by the
                                                  subpart A to read as follows:                            appropriate and timely corrective action               OIG, sufficient financial documentation,


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                                                                   Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations                                         88357

                                                  including, but not limited to, audited                     (4) Penalties, assessments, and                     Subpart D—CMPs and Assessments for
                                                  financial statements, tax returns, and                   exclusions imposed under this part are                Contracting Organization Misconduct
                                                  financial disclosure statements, deemed                  in addition to any other penalties,                   1003.400 Basis for civil money penalties
                                                  necessary by the OIG to determine the                    assessments, or other sanctions                           and assessments.
                                                  person’s ability to pay the penalty or                   prescribed by law.                                    1003.410 Amount of penalties and
                                                  assessment.                                                                                                        assessments.
                                                                                                           § 1003.150    Delegation of authority.                1003.420 Determinations regarding the
                                                     (2) If the person requests a hearing in
                                                                                                             The OIG is delegated authority from                     amount of penalties and assessments.
                                                  accordance with 42 CFR 1005.2, the
                                                  only financial documentation subject to                  the Secretary to impose civil money                   Subpart E—CMPs and Exclusions for
                                                  review is that which the person                          penalties and, as applicable,                         EMTALA Violations
                                                  provided to the OIG during the                           assessments and exclusions against any                1003.500 Basis for civil money penalties
                                                  administrative process, unless the ALJ                   person who has violated one or more                       and exclusions.
                                                  finds that extraordinary circumstances                   provisions of this part. The delegation of            1003.510 Amount of penalties.
                                                  prevented the person from providing the                  authority includes all powers to impose               1003.520 Determinations regarding the
                                                  financial documentation to the OIG in                    and compromise civil monetary                             amount of penalties and the period of
                                                                                                           penalties, assessments, and exclusion                     exclusion.
                                                  the time and manner requested by the
                                                                                                           under section 1128A of the Act.                       Subpart F—CMPs for Section 1140
                                                  OIG prior to the hearing request.
                                                     (c) In determining the amount of any                  § 1003.160    Waiver of exclusion.                    Violations
                                                  penalty and assessment to be imposed                        (a) The OIG will consider a request                1003.600 Basis for civil money penalties.
                                                  under this part the following                            from the administrator of a Federal                   1003.610 Amount of penalties.
                                                  circumstances are also to be                                                                                   1003.620 Determinations regarding the
                                                                                                           health care program for a waiver of an
                                                  considered—                                                                                                        amount of penalties.
                                                                                                           exclusion imposed under this part as set
                                                     (1) If there are substantial or several               forth in paragraph (b) of this section.               Subpart B—CMPs, Assessments, and
                                                  mitigating circumstances, the aggregate                  The request must be in writing and from               Exclusions for False or Fraudulent
                                                  amount of the penalty and assessment                     an individual directly responsible for                Claims and Other Similar Misconduct
                                                  should be set at an amount sufficiently                  administering the Federal health care
                                                  below the maximum permitted by this                      program.                                              § 1003.200 Basis for civil money penalties,
                                                  part to reflect that fact.                                  (b) If the OIG subsequently obtains                assessments, and exclusions.
                                                     (2) If there are substantial or several               information that the basis for a waiver                  (a) The OIG may impose a penalty,
                                                  aggravating circumstances, the aggregate                 no longer exists, the waiver will cease               assessment, and an exclusion against
                                                  amount of the penalty and assessment                     and the person will be fully excluded                 any person who it determines has
                                                  should be set at an amount sufficiently                  from the Federal health care programs                 knowingly presented, or caused to be
                                                  close to or at the maximum permitted by                  for the remainder of the exclusion                    presented, a claim that was for—
                                                  this part to reflect that fact.                          period, measured from the time the full                  (1) An item or service that the person
                                                     (3) Unless there are extraordinary                    exclusion would have been imposed if                  knew, or should have known, was not
                                                  mitigating circumstances, the aggregate                  the waiver had not been granted.                      provided as claimed, including a claim
                                                  amount of the penalty and assessment                        (c) The OIG will notify the                        that was part of a pattern or practice of
                                                  should not be less than double the                       administrator of the Federal health care              claims based on codes that the person
                                                  approximate amount of damages and                        program whether his or her request for                knew, or should have known, would
                                                  costs (as defined by paragraph (e)(2) of                 a waiver has been granted or denied.                  result in greater payment to the person
                                                  this section) sustained by the United                       (d) If a waiver is granted, it applies             than the code applicable to the item or
                                                  States, or any State, as a result of the                 only to the program(s) for which waiver               service actually provided;
                                                  violation.                                               is requested.                                            (2) An item or service for which the
                                                     (4) The presence of any single                           (e) The decision to grant, deny, or                person knew, or should have known,
                                                  aggravating circumstance may justify                     rescind a waiver is not subject to                    that the claim was false or fraudulent;
                                                  imposing a penalty and assessment at or                  administrative or judicial review.                       (3) An item or service furnished
                                                  close to the maximum even when one                       ■ 8. Add subparts B through F to read                 during a period in which the person was
                                                  or more mitigating factors is present.                   as follows:                                           excluded from participation in the
                                                     (d)(1) The standards set forth in this                Subpart B—CMPs, Assessments, and                      Federal health care program to which
                                                  section are binding, except to the extent                Exclusions for False or Fraudulent Claims             the claim was presented;
                                                  that their application would result in                   and Other Similar Misconduct                             (4) A physician’s services (or an item
                                                  imposition of an amount that would                       Sec.                                                  or service) for which the person knew,
                                                  exceed limits imposed by the United                      1003.200 Basis for civil money penalties,             or should have known, that the
                                                  States Constitution.                                          assessments, and exclusions.                     individual who furnished (or supervised
                                                     (2) The amount imposed will not be                    1003.210 Amount of penalties and                      the furnishing of) the service—
                                                  less than the approximate amount                              assessments.                                        (i) Was not licensed as a physician;
                                                  required to fully compensate the United                  1003.220 Determinations regarding the                    (ii) Was licensed as a physician, but
                                                                                                                amount of penalties and assessments and
                                                  States, or any State, for its damages and                     the period of exclusion.                         such license had been obtained through
                                                  costs, tangible and intangible, including,                                                                     a misrepresentation of material fact
                                                  but not limited to, the costs attributable               Subpart C—CMPs, Assessments, and                      (including cheating on an examination
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                                                  to the investigation, prosecution, and                   Exclusions for Anti-Kickback and Physician            required for licensing); or
                                                                                                           Self-Referral Violations
                                                  administrative review of the case.                                                                                (iii) Represented to the patient at the
                                                     (3) Nothing in this part limits the                   1003.300 Basis for civil money penalties,             time the service was furnished that the
                                                  authority of the Department or the OIG                       assessments, and exclusions.                      physician was certified by a medical
                                                                                                           1003.310 Amount of penalties and
                                                  to settle any issue or case as provided                      assessments.                                      specialty board when he or she was not
                                                  by § 1003.1530 or to compromise any                      1003.320 Determinations regarding the                 so certified; or
                                                  exclusion and any penalty and                                amount of penalties and assessments and              (5) An item or service that a person
                                                  assessment as provided by § 1003.1550.                       the period of exclusion.                          knew, or should have known was not


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                                                  88358            Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations

                                                  medically necessary, and which is part                      (6) Orders or prescribes a medical or              pursuant to sections 1819(b)(3)(B) and
                                                  of a pattern of such claims.                             other item or service during a period in              1919(b)(3)(B).
                                                     (b) The OIG may impose a penalty; an                  which the person was excluded from a
                                                                                                           Federal health care program, in the case              § 1003.210 Amount of penalties and
                                                  exclusion; and, where authorized, an
                                                                                                                                                                 assessments.
                                                  assessment against any person who it                     when the person knows, or should
                                                  determines—                                              know, that a claim for such medical or                  (a) Penalties.1 (1) Except as provided
                                                     (1) Has knowingly presented, or                       other item or service will be made under              in this section, the OIG may impose a
                                                  caused to be presented, a request for                    such a program;                                       penalty of not more than $10,000 for
                                                  payment in violation of the terms of—                       (7) Knowingly makes, or causes to be               each individual violation that is subject
                                                     (i) An agreement to accept payments                   made, any false statement, omission, or               to a determination under this subpart.
                                                  on the basis of an assignment under                      misrepresentation of a material fact in                  (2) The OIG may impose a penalty of
                                                  section 1842(b)(3)(B)(ii) of the Act;                    any application, bid, or contract to                  not more than $15,000 for each person
                                                     (ii) An agreement with a State agency                 participate or enroll as a provider of                with respect to whom a determination
                                                  or other requirement of a State Medicaid                 services or a supplier under a Federal                was made that false or misleading
                                                  plan not to charge a person for an item                  health care program, including                        information was given under
                                                  or service in excess of the amount                       contracting organizations, and entities               § 1003.200(b)(2).
                                                  permitted to be charged;                                 that apply to participate as providers of                (3) The OIG may impose a penalty of
                                                     (iii) An agreement to be a                            services or suppliers in such contracting             not more than $10,000 per day for each
                                                  participating physician or supplier                      organizations;                                        day that the prohibited relationship
                                                  under section 1842(h)(1) of the Act; or                     (8) Knows of an overpayment and                    described in § 1003.200(b)(3) occurs.
                                                     (iv) An agreement in accordance with                  does not report and return the                           (4) For each individual violation of
                                                  section 1866(a)(1)(G) of the Act not to                  overpayment in accordance with section                § 1003.200(b)(4), the OIG may impose a
                                                  charge any person for inpatient hospital                 1128J(d) of the Act;                                  penalty of not more than $10,000 for
                                                                                                              (9) Knowingly makes, uses, or causes               each separately billable or non-
                                                  services for which payment had been
                                                                                                           to be made or used, a false record or                 separately-billable item or service
                                                  denied or reduced under section
                                                                                                           statement material to a false or                      provided, furnished, ordered, or
                                                  1886(f)(2) of the Act;
                                                                                                           fraudulent claim for payment for items                prescribed by an excluded individual or
                                                     (2) Has knowingly given, or caused to
                                                                                                           and services furnished under a Federal                entity.
                                                  be given, to any person, in the case of
                                                                                                           health care program; or                                  (5) The OIG may impose a penalty of
                                                  inpatient hospital services subject to                      (10) Fails to grant timely access to
                                                  section 1886 of the Act, information that                                                                      not more than $2,000 for each bill or
                                                                                                           records, documents, and other material                request for payment for items and
                                                  he or she knew, or should have known,                    or data in any medium (including
                                                  was false or misleading and that could                                                                         services furnished to a hospital patient
                                                                                                           electronically stored information and                 in violation of § 1003.200(b)(5).
                                                  reasonably have been expected to                         any tangible thing), upon reasonable
                                                  influence the decision when to                                                                                    (6) The OIG may impose a penalty of
                                                                                                           request, to the OIG, for the purpose of               not more than $50,000 for each false
                                                  discharge such person or another person                  audits, investigations, evaluations, or
                                                  from the hospital;                                                                                             statement, omission, or
                                                                                                           other OIG statutory functions. Such                   misrepresentation of a material fact in
                                                     (3) Is an individual who is excluded                  failure to grant timely access means:                 violation of § 1003.200(b)(7).
                                                  from participating in a Federal health                      (i) Except when the OIG reasonably                    (7) The OIG may impose a penalty of
                                                  care program under section 1128 or                       believes that the requested material is               not more than $50,000 for each false
                                                  1128A of the Act, and who—                               about to be altered or destroyed, the                 record or statement in violation of
                                                     (i) Knows, or should know, of the                     failure to produce or make available for              § 1003.200(b)(9).
                                                  action constituting the basis for the                    inspection and copying the requested                     (8) The OIG may impose a penalty of
                                                  exclusion and retains a direct or indirect               material upon reasonable request or to                not more than $10,000 for each item or
                                                  ownership or control interest of 5                       provide a compelling reason why they                  service related to an overpayment that is
                                                  percent or more in an entity that                        cannot be produced, by the deadline                   not reported and returned in accordance
                                                  participates in a Federal health care                    specified in the OIG’s written request,               with section 1128J(d) of the Act in
                                                  program or                                               and                                                   violation of § 1003.200(b)(8).
                                                     (ii) Is an officer or a managing                         (ii) When the OIG has reason to                       (9) The OIG may impose a penalty of
                                                  employee (as defined in section 1126(b)                  believe that the requested material is                not more than $15,000 for each day of
                                                  of the Act) of such entity;                              about to be altered or destroyed, the                 failure to grant timely access in
                                                     (4) Arranges or contracts (by                         failure to provide access to the                      violation of § 1003.200(b)(10).
                                                  employment or otherwise) with an                         requested material at the time the                       (10) For each false certification in
                                                  individual or entity that the person                     request is made.                                      violation of § 1003.200(c), the OIG may
                                                  knows, or should know, is excluded                          (c) The OIG may impose a penalty                   impose a penalty of not more than the
                                                  from participation in Federal health care                against any person who it determines, in              greater of—
                                                  programs for the provision of items or                   accordance with this part, is a physician                (i) $5,000; or
                                                  services for which payment may be                        and who executes a document falsely by                   (ii) Three times the amount of
                                                  made under such a program;                               certifying that a Medicare beneficiary                Medicare payments for home health
                                                     (5) Has knowingly and willfully                       requires home health services when the                services that are made with regard to the
                                                  presented, or caused to be presented, a                  physician knows that the beneficiary                  false certification of eligibility by a
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                                                  bill or request for payment for items and                does not meet the eligibility
                                                  services furnished to a hospital patient                 requirements in section 1814(a)(2)(C) or                1 The penalty amounts in this section are updated
                                                  for which payment may be made under                      1835(a)(2)(A) of the Act.                             annually, as adjusted in accordance with the
                                                  a Federal health care program if that bill                  (d) The OIG may impose a penalty                   Federal Civil Monetary Penalty Inflation
                                                  or request is inconsistent with an                       against any person who it determines                  Adjustment Act of 1990 (Pub. L. 101–140), as
                                                                                                                                                                 amended by the Federal Civil Penalties Inflation
                                                  arrangement under section 1866(a)(1)(H)                  knowingly certifies, or causes another                Adjustment Act Improvements Act of 2015 (section
                                                  of the Act or violates the requirements                  individual to certify, a material and                 701 of Pub. L. 114–74). Annually adjusted amounts
                                                  for such an arrangement;                                 false statement in a resident assessment              are published at 45 CFR part 102.



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                                                                   Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations                                         88359

                                                  physician, as prohibited by section                      circumstances indicate a pattern of                    in § 411.351 of this title, that is subject
                                                  1814(a)(2)(C) or 1835(a)(2)(A) of the Act.               claims or requests for payment for such                to a determination under § 1003.300(a)
                                                     (11) For each false certification in                  items or services or a pattern of                      or (c);
                                                  violation of § 1003.200(d), the OIG may                  violations);                                             (2) $100,000 for each arrangement or
                                                  impose a penalty of not more than—                          (3) The amount claimed or requested
                                                                                                                                                                  scheme that is subject to a
                                                     (i) $1,000 with respect to an                         for such items or services, or the amount
                                                  individual who willfully and knowingly                                                                          determination under § 1003.300(b); and
                                                                                                           of the overpayment was $50,000 or
                                                  falsely certifies a material and false                   more;                                                    (3) $50,000 for each offer, payment,
                                                  statement in a resident assessment; and                     (4) The violation resulted, or could                solicitation, or receipt of remuneration
                                                     (ii) $5,000 with respect to an                        have resulted, in patient harm,                        that is subject to a determination under
                                                  individual who willfully and knowingly                   premature discharge, or a need for                     § 1003.300(d).
                                                  causes another individual to falsely                     additional services or subsequent                        (b) Assessments. The OIG may impose
                                                  certify a material and false statement in                hospital admission; or                                 an assessment of not more than 3
                                                  a resident assessment.                                      (5) The amount or type of financial,
                                                                                                                                                                  times—
                                                     (b) Assessments. (1) Except for                       ownership, or control interest or the
                                                  violations of § 1003.200(b)(4), (5), and                 degree of responsibility a person has in                 (1) The amount claimed for each
                                                  (7), and § 1003.200(c) and (d), the OIG                  an entity was substantial with respect to              designated health service that is subject
                                                  may impose an assessment for each                        an action brought under                                to a determination under § 1003.300(a),
                                                  individual violation of § 1003.200, of                   § 1003.200(b)(3).                                      (b), or (c).
                                                  not more than 3 times the amount                                                                                  (2) The total remuneration offered,
                                                  claimed for each item or service.                        Subpart C—CMPs, Assessments, and
                                                                                                                                                                  paid, solicited, or received that is
                                                     (2) For violations of § 1003.200(b)(4),               Exclusions for Anti-Kickback and
                                                                                                                                                                  subject to a determination under
                                                  the OIG may impose an assessment of                      Physician Self-Referral Violations
                                                                                                                                                                  § 1003.300(d). Calculation of the total
                                                  not more than 3 times—                                   § 1003.300 Basis for civil money penalties,            remuneration for purposes of an
                                                     (i) The amount claimed for each                       assessments, and exclusions.                           assessment shall be without regard to
                                                  separately billable item or service
                                                                                                             The OIG may impose a penalty, an                     whether a portion of such remuneration
                                                  provided, furnished, ordered, or
                                                                                                           assessment, and an exclusion against                   was offered, paid, solicited, or received
                                                  prescribed by an excluded individual or
                                                                                                           any person who it determines in                        for a lawful purpose.
                                                  entity or
                                                                                                           accordance with this part—
                                                     (ii) The total costs (including salary,                 (a) Has not refunded on a timely basis,              § 1003.320 Determinations regarding the
                                                  benefits, taxes, and other money or                      as defined in § 1003.110, amounts                      amount of penalties and assessments and
                                                  items of value) related to the excluded                  collected as a result of billing an                    the period of exclusion.
                                                  individual or entity incurred by the                     individual, third party payer, or other
                                                  person that employs, contracts with, or                                                                            In considering the factors listed in
                                                                                                           entity for a designated health service                 § 1003.140:
                                                  otherwise arranges for an excluded                       furnished pursuant to a prohibited
                                                  individual or entity to provide, furnish,                referral as described in 42 CFR 411.353.                  (a) It should be considered a
                                                  order, or prescribe a non-separately-                      (b) Is a physician or other person who               mitigating circumstance if all the items,
                                                  billable item or service.                                enters into any arrangement or scheme                  services, or violations included in the
                                                     (3) For violations of § 1003.200(b)(7),               (such as a cross-referral arrangement)                 action brought under this part were of
                                                  the OIG may impose an assessment of                      that the physician or other person                     the same type and occurred within a
                                                  not more than 3 times the total amount                   knows, or should know, has a principal                 short period of time; there were few
                                                  claimed for each item or service for                     purpose of ensuring referrals by the                   such items, services, or violations; and
                                                  which payment was made based upon                        physician to a particular person that, if              the total amount claimed or requested
                                                  the application containing the false                     the physician directly made referrals to               for such items or services was less than
                                                  statement, omission, or                                  such person, would be in violation of                  $5,000.
                                                  misrepresentation of material fact.                      the prohibitions of 42 CFR 411.353.                       (b) Aggravating circumstances
                                                  § 1003.220 Determinations regarding the                    (c) Has knowingly presented, or
                                                                                                                                                                  include—
                                                  amount of penalties and assessments and                  caused to be presented, a claim that is
                                                  the period of exclusion.                                 for a payment that such person knows,                     (1) The violations were of several
                                                    In considering the factors listed in                   or should know, may not be made under                  types or occurred over a lengthy period
                                                  § 1003.140—                                              42 CFR 411.353;                                        of time;
                                                    (a) It should be considered a                            (d) Has violated section 1128B(b) of                    (2) There were many such items,
                                                  mitigating circumstance if all the items                 the Act by unlawfully offering, paying,                services, or violations (or the nature and
                                                  or services or violations included in the                soliciting, or receiving remuneration to               circumstances indicate a pattern of
                                                  action brought under this part were of                   induce or in return for the referral of                claims or requests for payment for such
                                                  the same type and occurred within a                      business paid for, in whole or in part,                items or services or a pattern of
                                                  short period of time, there were few                     by Medicare, Medicaid, or other Federal                violations);
                                                  such items or services or violations, and                health care programs.
                                                                                                                                                                     (3) The amount claimed or requested
                                                  the total amount claimed or requested                    § 1003.310 Amount of penalties and
                                                  for such items or services was less than                                                                        for such items or services or the amount
                                                                                                           assessments.
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                                                  $5,000.                                                                                                         of the remuneration was $50,000 or
                                                                                                             (a) Penalties.2 The OIG may impose a                 more; or
                                                    (b) Aggravating circumstances                          penalty of not more than—
                                                  include—                                                   (1) $15,000 for each claim or bill for                  (4) The violation resulted, or could
                                                    (1) The violations were of several                     a designated health service, as defined                have resulted, in harm to the patient, a
                                                  types or occurred over a lengthy period                                                                         premature discharge, or a need for
                                                  of time;                                                   2 The penalty amounts in this section are adjusted   additional services or subsequent
                                                    (2) There were many such items or                      for inflation annually. Adjusted amounts are           hospital admission.
                                                  services or violations (or the nature and                published at 45 CFR part 102.



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                                                  88360            Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations

                                                  Subpart D—CMPs and Assessments                           against a contracting organization with                § 1003.400(a)(2). The excess premium
                                                  for Contracting Organization                             a contract under section 1857 or 1860D–                amount will be deducted from the
                                                  Misconduct                                               12 of the Act that:                                    penalty and returned to the enrollee.
                                                                                                             (1) Enrolls an individual without the                  (2) An additional $15,000 4 penalty for
                                                  § 1003.400 Basis for civil money penalties               individual’s (or his or her designee’s)                each individual expelled or not enrolled
                                                  and assessments.                                         prior consent, except as provided under                in violation of § 1003.400(a)(3) or (e).
                                                     (a) All contracting organizations. The                subparagraph (C) or (D) of section                       (c) Assessments. The OIG may impose
                                                  OIG may impose a penalty against any                     1860D–1(b)(1) of the Act;                              an assessment against a contracting
                                                  contracting organization that—                             (2) Transfers an enrollee from one                   organization with a contract under
                                                     (1) Fails substantially to provide an                 plan to another without the individual’s               section 1857 or 1860D–12 of the Act
                                                  enrollee with medically necessary items                  (or his or her designee’s) prior consent;              (Medicare Advantage or Part D) of not
                                                  and services that are required (under the                  (3) Transfers an enrollee solely for the             more than the amount claimed in
                                                  Act, applicable regulations, or contract                 purpose of earning a commission;                       violation of § 1003.400(a)(4) or (a)(5) on
                                                  with the Department or a State) to be                      (4) Fails to comply with marketing                   the basis of the misrepresentation or
                                                  provided to such enrollee and the                        restrictions described in subsection (h)               falsified information involved.
                                                  failure adversely affects (or has the                    or (j) of section 1851 of the Act or                      (d) The OIG may impose a penalty or,
                                                  substantial likelihood of adversely                      applicable implementing regulations or                 when applicable, an assessment, against
                                                  affecting) the enrollee;                                 guidance; or                                           a contracting organization with a
                                                     (2) Imposes a premium on an enrollee                    (5) Employs or contracts with any                    contract under section 1857 or 1860D–
                                                  in excess of the amounts permitted                       person who engages in the conduct                      12 of the Act (Medicare Advantage or
                                                  under the Act;                                           described in paragraphs (a) through (c)                Part D) if any of its employees, agents,
                                                     (3) Engages in any practice that would                of this section.                                       or contracting providers or suppliers
                                                  reasonably be expected to have the                         (d) Medicare Advantage contracting                   engages in any of the conduct described
                                                  effect of denying or discouraging                        organizations. The OIG may impose a                    in § 1003.400(a) through (d).
                                                  enrollment by beneficiaries whose                        penalty against a contracting
                                                  medical condition or history indicates a                 organization with a contract under                     § 1003.420 Determinations regarding the
                                                  need for substantial future medical                      section 1857 of the Act that fails to                  amount of penalties and assessments.
                                                  services, except as permitted by the Act;                comply with the requirements of section                  In considering the factors listed in
                                                     (4) Misrepresents or falsifies                        1852(j)(3) or 1852(k)(2)(A)(ii) of the Act.            § 1003.140, aggravating circumstances
                                                  information furnished to a person under                    (e) Medicaid contracting                             include—
                                                  sections 1857, 1860D–12, 1876, or                        organizations. The OIG may impose a                      (a) Such violations were of several
                                                  1903(m) of the Act;                                      penalty against any contracting                        types or occurred over a lengthy period
                                                     (5) Misrepresents or falsifies                                                                               of time;
                                                                                                           organization with a contract under
                                                  information furnished to the Secretary                                                                            (b) There were many such violations
                                                                                                           section 1903(m) of the Act that acts to
                                                  or a State, as applicable, under sections                                                                       (or the nature and circumstances
                                                                                                           discriminate among individuals in
                                                  1857, 1860D–12, 1876, or 1903(m) of the                                                                         indicate a pattern of incidents);
                                                                                                           violation of the Act, including
                                                  Act;                                                                                                              (c) The amount of money,
                                                                                                           expulsion or refusal to reenroll an
                                                     (6) Fails to comply with the
                                                                                                           individual or engaging in any practice                 remuneration, damages, or tainted
                                                  requirements of 42 CFR 417.479(d)
                                                                                                           that would reasonably be expected to                   claims involved in the violation was
                                                  through (i) for Medicare and 42 CFR
                                                                                                           have the effect of denying or                          $15,000 or more; or
                                                  417.479(d) through (g) and (i) for
                                                                                                           discouraging enrollment by eligible                      (d) Patient harm, premature discharge,
                                                  Medicaid regarding certain prohibited
                                                                                                           individuals with the contracting                       or a need for additional services or
                                                  incentive payments to physicians; or
                                                                                                           organization whose medical condition                   subsequent hospital admission resulted,
                                                     (7) Fails to comply with applicable
                                                                                                           or history indicates a need for                        or could have resulted, from the
                                                  requirements of the Act regarding
                                                                                                           substantial future medical services.                   incident; and
                                                  prompt payment of claims.
                                                     (b) All Medicare contracting                                                                                   (e) The contracting organization
                                                                                                           § 1003.410 Amount of penalties and                     knowingly or routinely engaged in any
                                                  organizations. The OIG may impose a                      assessments for Contracting Organization.
                                                  penalty against any contracting                                                                                 prohibited practice that acted as an
                                                                                                             (a) Penalties.3 (1) The OIG may                      inducement to reduce or limit medically
                                                  organization with a contract under                       impose a penalty of up to $25,000 for
                                                  section 1857, 1860D–12, or 1876 of the                                                                          necessary services provided with
                                                                                                           each individual violation under                        respect to a specific enrollee in the
                                                  Act that—                                                § 1001.400, except as provided in this
                                                     (1) Acts to expel or to refuse to                                                                            organization.
                                                                                                           section.
                                                  reenroll a beneficiary in violation of the                  (2) The OIG may impose a penalty of                 Subpart E—CMPs and Exclusions for
                                                  Act; or                                                  up to $100,000 for each individual                     EMTALA Violations
                                                     (2) Employs or contracts with a                       violation under § 1003.400(a)(3), (a)(5),
                                                  person excluded, under section 1128 or                   or (e).                                                § 1003.500 Basis for civil money penalties
                                                  1128A of the Act, from participation in                     (b) Additional penalties. In addition               and exclusions.
                                                  Medicare for the provision of health                     to the penalties described in paragraph                  (a) The OIG may impose a penalty
                                                  care, utilization review, medical social                 (a) of this section, the OIG may                       against any participating hospital with
                                                  work, or administrative services, or                     impose—                                                an emergency department or specialized
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                                                  employs or contracts with any entity for                    (1) An additional penalty equal to                  capabilities or facilities for each
                                                  the provision of such services (directly                 double the amount of excess premium                    negligent violation of section 1867 of
                                                  or indirectly) through an excluded                       charged by the contracting organization                the Act or § 489.24 (other than
                                                  person.                                                  for each individual violation of                       § 489.24(j)) of this title.
                                                     (c) Medicare Advantage and Part D
                                                  contracting organizations. The OIG may                     3 The penalty amounts in this section are adjusted     4 This penalty amount is adjusted for inflation
                                                  impose a penalty, and for                                for inflation annually. Adjusted amounts are           annually. Adjusted amounts are published at 45
                                                  § 1003.400(c)(4) or (5), an assessment,                  published at 45 CFR part 102.                          CFR part 102.



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                                                                   Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations                                                88361

                                                     (b) The OIG may impose a penalty                          (1) Requesting proof of insurance,                 § 1003.610    Amount of penalties.
                                                  against any responsible physician for                     prior authorization, or a monetary                       (a) The OIG may impose a penalty of
                                                  each—                                                     payment prior to appropriately                        not more than 6—
                                                     (1) Negligent violation of section 1867                screening or initiating stabilizing                      (1) $5,000 for each individual
                                                  of the Act;                                               treatment for an emergency medical                    violation resulting from the misuse of
                                                     (2) Certification signed under section                 condition, or requesting a monetary                   Departmental, CMS, or Medicare or
                                                  1867(c)(l)(A) of the Act if the physician                 payment prior to stabilizing an                       Medicaid program words, letters,
                                                  knew, or should have known, that the                      emergency medical condition;                          symbols, or emblems as described in
                                                  benefits of transfer to another facility                     (2) Patient harm, or risk of patient               § 1003.600(a) relating to printed media;
                                                  did not outweigh the risks of such a                      harm, resulted from the incident; or                     (2) $5,000 for each individual
                                                  transfer; or                                                 (3) The individual presented to the                violation in the case of such misuse
                                                     (3) Misrepresentation made                             hospital with a request for examination               related to an electronic communication,
                                                  concerning an individual’s condition or                   or treatment of a medical condition that              Web page, or telemarketing solicitation;
                                                  other information, including a hospital’s                 was an emergency medical condition, as                   (3) $25,000 for each individual
                                                  obligations under section 1867 of the                     defined by § 489.24(b) of this title.                 violation in the case of such misuse
                                                  Act.                                                                                                            related to a broadcast or telecast.
                                                     (c) The OIG may, in lieu of or in                      Subpart F—CMPs for Section 1140                          (b) For purposes of this paragraph, a
                                                  addition to any penalty available under                   Violations                                            violation is defined as—
                                                  this subpart, exclude any responsible                                                                              (1) In the case of a direct mailing
                                                  physician who commits a gross and                         § 1003.600    Basis for civil money penalties.
                                                                                                                                                                  solicitation or advertisement, each
                                                  flagrant, or repeated, violation of this                     (a) The OIG may impose a penalty                   separate piece of mail that contains one
                                                  subpart from participation in Federal                     against any person who it determines in               or more words, letters, symbols, or
                                                  health care programs.                                     accordance with this part has used the                emblems related to a determination
                                                     (d) For purposes of this subpart, a                    words, letters, symbols, or emblems as                under § 1003.600(a);
                                                  ‘‘gross and flagrant violation’’ is a                     defined in paragraph (b) of this section                 (2) In the case of a printed solicitation
                                                  violation that presents an imminent                       in such a manner that such person                     or advertisement, each reproduction,
                                                  danger to the health, safety, or well-                    knew, or should have known, would                     reprinting, or distribution of such item
                                                  being of the individual who seeks                         convey, or in a manner that reasonably                related to a determination under
                                                  examination and treatment or places                       could be interpreted or construed as                  § 1003.600(a);
                                                  that individual unnecessarily in a high-                  conveying, the false impression that an                  (3) In the case of a broadcast or
                                                  risk situation.                                           advertisement, a solicitation, or other               telecast, each airing of a single
                                                                                                            item was authorized, approved, or                     commercial or solicitation related to a
                                                  § 1003.510       Amount of penalties.
                                                                                                            endorsed by the Department or CMS or                  determination under § 1003.600(a);
                                                    The OIG may impose 5—                                   that such person or organization has
                                                    (a) Against each participating                                                                                   (4) In the case of an electronic
                                                                                                            some connection with or authorization                 communication, each dissemination,
                                                  hospital, a penalty of not more than                      from the Department or CMS.
                                                  $50,000 for each individual violation,                                                                          viewing, or accessing of the electronic
                                                                                                               (b) Civil money penalties may be                   communication that contains one or
                                                  except that if the participating hospital
                                                                                                            imposed, regardless of the use of a                   more words, letters, symbols, or
                                                  has fewer than 100 State-licensed,
                                                                                                            disclaimer of affiliation with the United             emblems related to a determination
                                                  Medicare-certified beds on the date the
                                                                                                            States Government, the Department, or                 under § 1003.600(a);
                                                  penalty is imposed, the penalty will not
                                                                                                            its programs, for misuse of—                             (5) In the case of a Web page accessed
                                                  exceed $25,000 for each violation, and
                                                    (b) Against each responsible                               (1) The words ‘‘Department of Health               by a computer or other electronic
                                                  physician, a penalty of not more than                     and Human Services,’’ ‘‘Health and                    means, each instance in which the Web
                                                  $50,000 for each individual violation.                    Human Services,’’ ‘‘Centers for                       page was viewed or accessed and that
                                                                                                            Medicare & Medicaid Services,’’                       Web page contains one or more words,
                                                  § 1003.520 Determinations regarding the                   ‘‘Medicare,’’ or ‘‘Medicaid’’ or any other            letters, symbols, or emblems related to
                                                  amount of penalties and the period of                     combination or variations of such                     a determination under § 1003.600(a);
                                                  exclusion.                                                words;                                                and
                                                    In considering the factors listed in                       (2) The letters ‘‘DHHS,’’ ‘‘HHS,’’ or                 (6) In the case of a telemarketing
                                                  § 1003.140,                                               ‘‘CMS,’’ or any other combination or                  solicitation, each individual unsolicited
                                                    (a) It should be considered a                           variation of such letters; or                         telephone call regarding an item or
                                                  mitigating circumstance if a hospital                        (3) A symbol or an emblem of the                   service under Medicare or Medicaid
                                                  took appropriate and timely corrective                    Department or CMS (including the                      related to a determination under
                                                  action in response to the violation. For                  design of, or a reasonable facsimile of               § 1003.600(a).
                                                  purposes of this subpart, corrective                      the design of, the Medicare card, the
                                                  action must be completed prior to CMS                     check used for payment of benefits                    § 1003.620 Determinations regarding the
                                                  initiating an investigation of the                                                                              amount of penalties.
                                                                                                            under Title II, or envelopes or other
                                                  hospital for violations of section 1867 of                stationery used by the Department or                     (a) In considering the factors listed in
                                                  the Act and must include disclosing the                   CMS) or any other combination or                      § 1003.140, the following circumstances
                                                  violation to CMS prior to CMS receiving                   variation of such symbols or emblems.                 are to be considered—
                                                  a complaint regarding the violation from                                                                           (1) The nature and objective of the
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                                                                                                               (c) Civil money penalties will not be
                                                  another source or otherwise learning of                   imposed against any agency or                         advertisement, solicitation, or other
                                                  the violation.                                            instrumentality of a State, or political              communication and the degree to which
                                                    (b) Aggravating circumstances                           subdivision of the State, that uses any               it had the capacity to deceive members
                                                  include:                                                  symbol or emblem or any words or                      of the public;
                                                    5 The penalty amounts in this section are adjusted
                                                                                                            letters that specifically identify that                 6 The penalty amounts in this section are adjusted

                                                  for inflation annually. Adjusted amounts are
                                                                                                            agency or instrumentality of the State or             for inflation annually. Adjusted amounts are
                                                  published at 45 CFR part 102.                             political subdivision.                                published at 45 CFR part 102.



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                                                  88362            Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations

                                                     (2) The frequency and scope of the                    Subpart H—CMPs for Adverse Action                      the OIG will consider the factors listed
                                                  violation and whether a specific                         Reporting and Disclosure Violations                    in § 1003.140.
                                                  segment of the population was targeted;
                                                                                                           § 1003.800    Basis for civil money penalties.         Subpart I—CMPs for Select Agent
                                                  and
                                                                                                             The OIG may impose a penalty                         Program Violations
                                                     (3) The prior history of the individual,              against any person (including an
                                                  organization, or entity in its willingness                                                                      § 1003.900    Basis for civil money penalties.
                                                                                                           insurance company) who it
                                                  or refusal to comply with a formal or                    determines—                                              The OIG may impose a penalty
                                                  informal request to correct violations.                    (a) Fails to report information                      against any person who it determines in
                                                     (b) The use of a disclaimer of                        concerning—                                            accordance with this part is involved in
                                                                                                             (1) A payment made under an                          the possession or use in the United
                                                  affiliation with the United States
                                                                                                           insurance policy, self-insurance, or                   States, receipt from outside the United
                                                  Government, the Department, or its                                                                              States or transfer within the United
                                                  programs will not be considered as a                     otherwise for the benefit of a physician,
                                                                                                           dentist, or other health care practitioner             States, of select agents and toxins in
                                                  mitigating factor in determining the                                                                            violation of sections 351A(b) or (c) of
                                                  amount of penalty in accordance with                     in settlement of, or in satisfaction in
                                                                                                           whole or in part of, a medical                         the Public Health Service Act or 42 CFR
                                                  § 1003.600(a).                                                                                                  part 73.
                                                                                                           malpractice claim or action or a
                                                  Subpart G—[Reserved]                                     judgment against such a physician,                     § 1003.910    Amount of penalties.
                                                                                                           dentist, or other practitioner in                        For each individual violation of
                                                  ■   9. Add reserved subpart G.                           accordance with section 421 of Public                  section 351A(b) or (c) of the Public
                                                                                                           Law 99–660 (42 U.S.C. 11131) and as                    Health Service Act or 42 CFR part 73,
                                                  ■ 10. Add subparts H through M to read                   required by regulations at 45 CFR part                 the OIG may impose a penalty of not
                                                  as follows:                                              60 or                                                  more than $250,000 in the case of an
                                                                                                             (2) An adverse action required to be
                                                  Subpart H—CMPs for Adverse Action                                                                               individual, and not more than $500,000
                                                                                                           reported under section 1128E, as                       in the case of any other person.8
                                                  Reporting and Disclosure Violations
                                                                                                           established by section 221 of Public Law
                                                  Sec.                                                     104–191.                                               § 1003.920 Determinations regarding the
                                                  1003.800 Basis for civil money penalties.                  (b) Improperly discloses, uses, or                   amount of penalties.
                                                  1003.810 Amount of penalties.                            permits access to information reported                   In considering the factors listed in
                                                  1003.820 Determinations regarding the                    in accordance with Part B of Title IV of               § 1003.140, aggravating circumstances
                                                       amount of penalties.                                Public Law 99–660 (42 U.S.C. 11137) or                 include:
                                                  Subpart I—CMPs for Select Agent Program                  regulations at 45 CFR part 60. (The                      (a) The Responsible Official
                                                  Violations                                               disclosure of information reported in                  participated in or knew, or should have
                                                                                                           accordance with Part B of Title IV in                  known, of the violation;
                                                  1003.900 Basis for civil money penalties.
                                                                                                           response to a subpoena or a discovery                    (b) The violation was a contributing
                                                  1003.910 Amount of penalties.
                                                                                                           request is considered an improper                      factor to an unauthorized individual’s
                                                  1003.920 Determinations regarding the
                                                                                                           disclosure in violation of section 427 of              access to or possession of a select agent
                                                      amount of penalties.
                                                                                                           Public Law 99–660. However,                            or toxin, an individual’s exposure to a
                                                  Subpart J—CMPs, Assessments, and                         disclosure or release by an entity of                  select agent or toxin, or the
                                                  Exclusions for Beneficiary Inducement                    original documents or underlying                       unauthorized removal of a select agent
                                                  Violations                                               records from which the reported                        or toxin from the person’s physical
                                                  1003.1000 Basis for civil money penalties,               information is obtained or derived is not              location as identified on the person’s
                                                      assessments, and exclusions.                         considered an improper disclosure in                   certificate of registration; or
                                                  1003.1010 Amount of penalties and                        violation of section 427 of Public Law                   (c) The person previously received an
                                                      assessments.                                         99–660.)                                               observation, finding, or other statement
                                                  1003.1020 Determinations regarding the                                                                          of deficiency from the Department or
                                                      amount of penalties and assessments and              § 1003.810    Amount of penalties.                     the Department of Agriculture for the
                                                      the period of exclusion.                               The OIG may impose a penalty of not                  same or substantially similar conduct.
                                                                                                           more than 7—
                                                  Subpart K—CMPs for the Sale of Medicare                    (a) $11,000 for each payment for                     Subpart J—CMPs, Assessments, and
                                                  Supplemental Policies                                    which there was a failure to report                    Exclusions for Beneficiary Inducement
                                                  1003.1100 Basis for civil money penalties.               required information in accordance with                Violations
                                                  1003.1110 Amount of penalties.                           § 1003.800(a)(1) or for each improper
                                                                                                                                                                  § 1003.1000 Basis for civil money
                                                  1003.1120 Determinations regarding the                   disclosure, use, or access to information              penalties, assessments, and exclusions.
                                                      amount of penalties.                                 in accordance with a determination
                                                                                                                                                                     (a) The OIG may impose a penalty, an
                                                  Subpart L—CMPs for Drug Price Reporting                  under § 1003.800(b); and
                                                                                                             (b) $25,000 against a health plan for                assessment, and an exclusion against
                                                  1003.1200 Basis for civil money penalties.               each failure to report information on an               any person who it determines offers or
                                                  1003.1210 Amount of penalties.                           adverse action required to be reported in              transfers remuneration (as defined in
                                                  1003.1220 Determinations regarding the                   accordance with section 1128E of the                   § 1003.110) to any individual eligible for
                                                      amount of penalties.                                 Act and § 1003.800(a)(2).                              benefits under Medicare or a State
                                                                                                                                                                  health care program that such person
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                                                  Subpart M—CMPs for Notifying a Skilled
                                                                                                           § 1003.820 Determinations regarding the                knows, or should know, is likely to
                                                  Nursing Facility, Nursing Facility, Home
                                                                                                           amount of penalties.                                   influence such individual to order or to
                                                  Health Agency, or Community Care Setting
                                                  of a Survey                                                In determining the amount of any                     receive from a particular provider,
                                                                                                           penalty in accordance with this subpart,               practitioner, or supplier, any item or
                                                  1003.1300 Basis for civil money penalties.
                                                  1003.1310 Amount of penalties.                             7 The penalty amounts in this section are adjusted     8 The penalty amounts in this section are adjusted
                                                  1003.1320 Determinations regarding the                   for inflation annually. Adjusted amounts are           for inflation annually. Adjusted amounts are
                                                      amount of penalties.                                 published at 45 CFR part 102.                          published at 45 CFR part 102.



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                                                                   Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations                                              88363

                                                  service for which payment may be                         of the Act for use as an indication that              § 1003.1110    Amount of penalties.
                                                  made, in whole or in part, under                         a policy has received the Secretary’s                    The OIG may impose a penalty of not
                                                  Medicare or a State health care program.                 certification;                                        more than 10—
                                                    (b) The OIG may impose a penalty                          (b) Falsely assumes or pretends to be                 (a) $5,000 for each individual
                                                  against any person who it determines                     acting, or misrepresents in any way that              violation of § 1003.1100(a), (b), or (c).
                                                  offered any financial or other incentive                 he or she is acting, under the authority                 (b) $25,000 for each individual
                                                  for an individual entitled to benefits                   of or in association with Medicare or                 violation of § 1003.1100(d), (e), or (f) by
                                                  under Medicare not to enroll, or to                      any Federal agency, for the purpose of                a seller who is also the issuer of the
                                                  terminate enrollment, under a group                      selling or attempting to sell insurance,              policy; and
                                                  health plan or a large group health plan                 or in such pretended character                           (c) $15,000 for each individual
                                                  that would, in the case of such                          demands, or obtains money, paper,                     violation of § 1003.1100(d), (e), or (f) by
                                                  enrollment, be a primary plan as                         documents, or anything of value;                      a seller who is not the issuer of the
                                                  defined in section 1862(b)(2)(A) of the                     (c) Knowingly, directly, or through his            policy.
                                                  Act.                                                     or her agent, mails or causes to be
                                                                                                                                                                 § 1003.1120 Determinations regarding the
                                                  § 1003.1010 Amount of penalties and                      mailed any matter for the advertising,                amount of penalties.
                                                  assessments.                                             solicitation, or offer for sale of a
                                                                                                           Medicare supplemental policy, or the                    In determining the amount of the
                                                    The OIG may impose a penalty of not                                                                          penalty in accordance with this subpart,
                                                  more than 9—                                             delivery of such a policy, in or into any
                                                                                                           State in which such policy has not been               the OIG will consider the factors listed
                                                    (a) $10,000 for each item or service for                                                                     in § 1003.140.
                                                  which payment may be made, in whole                      approved by the State commissioner or
                                                  or in part, under Medicare or a State                    superintendent of insurance;                          Subpart L—CMPs for Drug Price
                                                  health care program, ordered by or                          (d) Issues or sells to any individual              Reporting
                                                  received from a particular provider,                     entitled to benefits under Part A or
                                                  practitioner, or supplier for a                          enrolled under Part B of Medicare—                    § 1003.1200    Basis for civil money
                                                  beneficiary who was offered or received                     (1) A health insurance policy with                 penalties.
                                                  remuneration in violation of                             knowledge that the policy duplicates                     The OIG may impose a penalty
                                                  § 1003.1000(a) that was likely to                        health benefits to which the individual               against—
                                                  influence the beneficiary to order or                    is otherwise entitled under Medicare or                  (a) Any wholesaler, manufacturer, or
                                                  receive the item or service from the                     Medicaid,                                             direct seller of a covered outpatient drug
                                                  provider, practitioner, or supplier, and                    (2) A health insurance policy (other               that—
                                                  an assessment of not more than 3 times                   than a Medicare supplemental policy)                     (1) Refuses a request for information
                                                  the amount claimed for each such item                    with knowledge that the policy                        by, or
                                                  or service and                                           duplicates health benefits to which the                  (2) Knowingly provides false
                                                    (b) $5,000 for each individual                         individual is otherwise entitled, other               information to, the Secretary about
                                                  violation of § 1003.1000(b).                             than benefits to which the individual is              charges or prices in connection with a
                                                                                                           entitled under a requirement of State or              survey being conducted pursuant to
                                                  § 1003.1020 Determinations regarding the                 Federal law,                                          section 1927(b)(3)(B) of the Act; and
                                                  amount of penalties and assessments and                                                                           (b) Any manufacturer with an
                                                  the period of exclusion.
                                                                                                              (3) In the case of an individual not
                                                                                                           electing a Part C plan, a Medicare                    agreement under section 1927 of the Act
                                                    In determining the amount of any                       supplemental policy with knowledge                    that—
                                                  penalty or assessment or the period of                                                                            (1) Fails to provide any information
                                                                                                           that the individual is entitled to benefits
                                                  exclusion under this subpart, the OIG                                                                          required by section 1927(b)(3)(A) of the
                                                                                                           under another Medicare supplemental
                                                  will consider the factors listed in                                                                            Act by the deadlines specified therein,
                                                                                                           policy, or
                                                  § 1003.140, as well as the amount of                                                                           or
                                                                                                              (4) In the case of an individual
                                                  remuneration or the amount or nature of                                                                           (2) Knowingly provides any item
                                                                                                           electing a Part C plan, a Medicare
                                                  any other incentive.                                                                                           information required by section
                                                                                                           supplemental policy with knowledge
                                                                                                           that the policy duplicates health                     1927(b)(3)(A) or (B) of the Act that is
                                                  Subpart K—CMPs for the Sale of
                                                                                                           benefits to which the individual is                   false.
                                                  Medicare Supplemental Policies
                                                                                                           otherwise entitled under the Part C plan              § 1003.1210    Amount of penalties.
                                                  § 1003.1100      Basis for civil money                   or under another Medicare
                                                  penalties.                                               supplemental policy;                                    The OIG may impose a penalty of not
                                                    The OIG may impose a penalty                              (e) Issues or sells a health insurance             more than 11—
                                                  against any person who—                                                                                          (a) $100,000 for each individual
                                                                                                           policy (other than a policy described in
                                                    (a) Knowingly and willfully makes or                                                                         violation of § 1003.1200(a) or
                                                                                                           section 1882(d)(3)(A)(vi)(III)) to any
                                                  causes to be made or induces or seeks                                                                          § 1003.1200(b)(2); and
                                                                                                           individual entitled to benefits under
                                                  to induce the making of any false                                                                                (b) $10,000 for each day that such
                                                                                                           Medicare Part A or enrolled under
                                                  statement or representation of a material                                                                      information has not been provided in
                                                                                                           Medicare Part B who is applying for a
                                                  fact with respect to—                                                                                          violation of § 1003.1200(b)(1).
                                                                                                           health insurance policy and fails to
                                                    (1) The compliance of any policy with                  furnish the appropriate disclosure                    § 1003.1220 Determinations regarding the
                                                  the standards and requirements for                       statement described in section                        amount of penalties.
                                                  Medicare supplemental policies set
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                                                                                                           1882(d)(3)(A)(vii); or                                  In determining the amount of the
                                                  forth in section 1882(c) of the Act or in                   (f) Issues or sells a Medicare                     penalty in accordance with this subpart,
                                                  promulgating regulations, or                             supplemental policy to any individual
                                                    (2) The use of the emblem designed                     eligible for benefits under Part A or                   10 The penalty amounts in this section are
                                                  by the Secretary under section 1882(a)                   enrolled under Medicare Part B without                adjusted for inflation annually. Adjusted amounts
                                                                                                           obtaining the written statement or the                are published at 45 CFR part 102.
                                                    9 The penalty amounts in this section are adjusted                                                             11 The penalty amounts in this section are

                                                  for inflation annually. Adjusted amounts are
                                                                                                           written acknowledgment described in                   adjusted for inflation annually. Adjusted amounts
                                                  published at 45 CFR part 102.                            section 1882(d)(3)(B) of the Act.                     are published at 45 CFR part 102.



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                                                  88364            Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations

                                                  the OIG will consider the factors listed                 of the OIG’s intent to impose a penalty,               assessment, or exclusion. The OIG shall
                                                  in § 1003.140.                                           an assessment, and an exclusion, as                    notify the respondent in any manner
                                                                                                           applicable. The notice will include—                   authorized by Rule 4 of the Federal
                                                  Subpart M—CMPs for Notifying a                             (1) Reference to the statutory basis for             Rules of Civil Procedure of any penalty,
                                                  Skilled Nursing Facility, Nursing                        the penalty, assessment, and exclusion;                assessment, and exclusion that have
                                                  Facility, Home Health Agency, or                           (2) A description of the violation for               been imposed and of the means by
                                                  Community Care Setting of a Survey                       which the penalty, assessment, and                     which the respondent may satisfy the
                                                                                                           exclusion are proposed (except in cases                judgment. The respondent has no right
                                                  § 1003.1300      Basis for civil money
                                                  penalties.                                               in which the OIG is relying upon                       to appeal a penalty, an assessment, or an
                                                                                                           statistical sampling in accordance with                exclusion with respect to which he or
                                                    The OIG may impose a penalty
                                                                                                           § 1003.1580, in which case the notice                  she has not made a timely request for a
                                                  against any individual who notifies, or
                                                                                                           shall describe those claims and requests               hearing under 42 CFR 1005.2.
                                                  causes to be notified, a skilled nursing
                                                                                                           for payment constituting the sample
                                                  facility, nursing facility, home health                                                                         § 1003.1520   Collateral estoppel.
                                                                                                           upon which the OIG is relying and will
                                                  agency, a community care setting, of the                                                                           (a) Where a final determination
                                                                                                           briefly describe the statistical sampling
                                                  time or date on which a survey pursuant                                                                         pertaining to the respondent’s liability
                                                                                                           technique used by the OIG);
                                                  to sections 1819(g)(2)(A), 1919(g)(2)(A),                                                                       for acts that violate this part has been
                                                                                                             (3) The reason why such violation
                                                  1891(c)(1), or 1929(i) of the Act is                                                                            rendered in any proceeding in which
                                                                                                           subjects the respondent to a penalty, an
                                                  scheduled to be conducted.                                                                                      the respondent was a party and had an
                                                                                                           assessment, and an exclusion,
                                                  § 1003.1310      Amount of penalties.                      (4) The amount of the proposed                       opportunity to be heard, the respondent
                                                                                                           penalty and assessment, and the length                 shall be bound by such determination in
                                                    The OIG may impose a penalty of not
                                                                                                           of the period of proposed exclusion                    any proceeding under this part.
                                                  more than $2,000 for each individual                                                                               (b) In a proceeding under this part, a
                                                  violation of § 1003.1300.12                              (where applicable);
                                                                                                             (5) Any factors and circumstances                    person is estopped from denying the
                                                  § 1003.1320 Determinations regarding the                 described in this part that were                       essential elements of the criminal
                                                  amount of penalties.                                     considered when determining the                        offense if the proceeding—
                                                    In determining the amount of the                       amount of the proposed penalty and                        (1) Is against a person who has been
                                                  penalty in accordance with this subpart,                 assessment and the length of the period                convicted (whether upon a verdict after
                                                  the OIG will consider the factors listed                 of exclusion;                                          trial or upon a plea of guilty or nolo
                                                  in § 1003.140.                                             (6) Instructions for responding to the               contendere) of a Federal crime charging
                                                                                                           notice, including—                                     fraud or false statements, and
                                                  Subpart N—[Reserved]                                       (i) A specific statement of the                         (2) Involves the same transactions as
                                                                                                           respondent’s right to a hearing and                    in the criminal action.
                                                  ■   11. Add reserved subpart N.                            (ii) A statement that failure to request
                                                  ■   12. Add subpart O to read as follows:                                                                       § 1003.1530   Settlement.
                                                                                                           a hearing within 60 days permits the
                                                                                                                                                                    The OIG has exclusive authority to
                                                  Subpart O—Procedures for the Imposition                  imposition of the proposed penalty,
                                                                                                                                                                  settle any issues or case without consent
                                                  of CMPs, Assessments, and Exclusions                     assessment, and exclusion without right
                                                                                                                                                                  of the ALJ.
                                                  Sec.                                                     of appeal; and
                                                  1003.1500 Notice of proposed                               (7) In the case of a notice sent to a                § 1003.1540   Judicial review.
                                                       determination.                                      respondent who has an agreement under                     (a) Section 1128A(e) of the Act
                                                  1003.1510 Failure to request a hearing.                  section 1866 of the Act, the notice also               authorizes judicial review of a penalty,
                                                  1003.1520 Collateral estoppel.                           indicates that the imposition of an
                                                  1003.1530 Settlement.
                                                                                                                                                                  an assessment, or an exclusion that has
                                                                                                           exclusion may result in the termination                become final. The only matters subject
                                                  1003.1540 Judicial review.
                                                  1003.1550 Collection of penalties and                    of the respondent’s provider agreement                 to judicial review are those that the
                                                       assessments.                                        in accordance with section 1866(b)(2)(C)               respondent raised pursuant to 42 CFR
                                                  1003.1560 Notice to other agencies.                      of the Act.                                            1005.21, unless the court finds that
                                                  1003.1570 Limitations.                                     (b) Any person upon whom the OIG                     extraordinary circumstances existed that
                                                  1003.1580 Statistical sampling.                          has proposed the imposition of a                       prevented the respondent from raising
                                                  1003.1590 Effect of exclusion.                           penalty, an assessment, or an exclusion                the issue in the underlying
                                                  1003.1600 Reinstatement.                                 may appeal such proposed penalty,                      administrative appeal.
                                                                                                           assessment, or exclusion to the                           (b) A respondent must exhaust all
                                                  Subpart O—Procedures for the
                                                                                                           Departmental Appeals Board in                          administrative appeal procedures
                                                  Imposition of CMPs, Assessments, and
                                                                                                           accordance with 42 CFR 1005.2. The                     established by the Secretary or required
                                                  Exclusions
                                                                                                           provisions of 42 CFR part 1005 govern                  by law before a respondent may bring an
                                                  § 1003.1500 Notice of proposed                           such appeals.                                          action in Federal court, as provided in
                                                  determination.                                             (c) If the respondent fails, within the              section 1128A(e) of the Act, concerning
                                                    (a) If the OIG proposes a penalty and,                 time period permitted, to exercise his or              any penalty, assessment, or exclusion
                                                  when applicable, an assessment, or                       her right to a hearing under this section,             imposed pursuant to this part.
                                                  proposes to exclude a respondent from                    any exclusion, penalty, or assessment                     (c) Administrative remedies are
                                                  participation in all Federal health care                 becomes final.                                         exhausted when a decision becomes
                                                  programs, as applicable, in accordance                                                                          final in accordance with 42 CFR
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                                                                                                           § 1003.1510       Failure to request a hearing.
                                                  with this part, the OIG must serve on                                                                           1005.21(j).
                                                  the respondent, in any manner                              If the respondent does not request a
                                                  authorized by Rule 4 of the Federal                      hearing within 60 days after the notice                § 1003.1550 Collection of penalties and
                                                                                                           prescribed by § 1003.1500(a) is received,              assessments.
                                                  Rules of Civil Procedure, written notice
                                                                                                           as determined by 42 CFR 1005.2(c), by                    (a) Once a determination by the
                                                      12 This
                                                           penalty amount is adjusted for inflation
                                                                                                           the respondent, the OIG may impose the                 Secretary has become final, collection of
                                                  annually. Adjusted amounts are published at 45           proposed penalty, assessment, and                      any penalty and assessment will be the
                                                  CFR part 102.                                            exclusion, or any less severe penalty,                 responsibility of CMS, except in the


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                                                                   Federal Register / Vol. 81, No. 235 / Wednesday, December 7, 2016 / Rules and Regulations                                              88365

                                                  case of the Maternal and Child Health                    and the long-term-care ombudsman. In                   reinstatement at the end of the period of
                                                  Services Block Grant Program, in which                   cases involving exclusions, notice will                exclusion. The OIG will consider any
                                                  the collection will be the responsibility                also be given to the public of the                     request for reinstatement in accordance
                                                  of the Public Health Service (PHS); in                   exclusion and its effective date.                      with the provisions of 42 CFR
                                                  the case of the Social Services Block                       (b) When the OIG proposes to exclude                1001.3001 through 1001.3004.
                                                  Grant program, in which the collection                   a nursing facility under this part, the
                                                  will be the responsibility of the                        OIG will, at the same time the facility                PART 1005—[AMENDED]
                                                  Administration for Children and                          is notified, notify the appropriate State
                                                  Families; and in the case of violations                  licensing authority, the State Office of               ■ 13. The authority citation for part
                                                  of subpart I, collection will be the                     Aging, the long-term-care ombudsman,                   1005 continues to read as follows:
                                                  responsibility of the Program Support                    and the State Medicaid agency of the
                                                                                                                                                                    Authority: 42 U.S.C. 405(a), 405(b), 1302,
                                                  Center (PSC).                                            OIG’s intention to exclude the facility.               1320a–7, 1320a–7a and 1320c–5.
                                                     (b) A penalty or an assessment
                                                  imposed under this part may be                           § 1003.1570       Limitations.
                                                                                                                                                                  ■ 14. Section 1005.4 is amended by
                                                  compromised by the OIG and may be                          No action under this part will be
                                                                                                                                                                  republishing paragraph (c) introductory
                                                  recovered in a civil action brought in                   entertained unless commenced, in
                                                                                                                                                                  text and revising paragraphs (c)(5) and
                                                  the United States district court for the                 accordance with § 1003.1500(a), within
                                                                                                                                                                  (6) to read as follows:
                                                  district where the claim was presented                   6 years from the date on which the
                                                  or where the respondent resides.                         violation occurred.                                    § 1005.4   Authority of the ALJ.
                                                     (c) The amount of penalty or                          § 1003.1580       Statistical sampling.                *     *     *    *     *
                                                  assessment, when finally determined, or
                                                                                                             (a) In meeting the burden of proof in                  (c) The ALJ does not have the
                                                  the amount agreed upon in compromise,
                                                                                                           42 CFR 1005.15, the OIG may introduce                  authority to—
                                                  may be deducted from any sum then or
                                                                                                           the results of a statistical sampling                  *     *     *    *     *
                                                  later owing by the United States
                                                                                                           study as evidence of the number and
                                                  Government or a State agency to the                                                                               (5) Review the exercise of discretion
                                                                                                           amount of claims and/or requests for
                                                  person against whom the penalty or                                                                              by the OIG to exclude an individual or
                                                                                                           payment, as described in this part, that
                                                  assessment has been assessed.                            were presented, or caused to be                        entity under section 1128(b) of the Act
                                                     (d) Matters that were raised, or that                                                                        or under part 1003 of this chapter, or
                                                                                                           presented, by the respondent. Such a
                                                  could have been raised, in a hearing                                                                            determine the scope or effect of the
                                                                                                           statistical sampling study, if based upon
                                                  before an ALJ or in an appeal under                                                                             exclusion;
                                                                                                           an appropriate sampling and computed
                                                  section 1128A(e) of the Act may not be
                                                                                                           by valid statistical methods, shall                      (6) Set a period of exclusion at zero,
                                                  raised as a defense in a civil action by
                                                                                                           constitute prima facie evidence of the                 or reduce a period of exclusion to zero,
                                                  the United States to collect a penalty
                                                                                                           number and amount of claims or                         in any case in which the ALJ finds that
                                                  under this part.
                                                                                                           requests for payment, as described in                  an individual or entity committed an act
                                                  § 1003.1560      Notice to other agencies.               this part.                                             described in section 1128(b) of the Act
                                                     (a) Whenever a penalty, an                              (b) Once the OIG has made a prima                    or under part 1003 of this chapter; or
                                                  assessment, or an exclusion becomes                      facie case, as described in paragraph (a)              *     *     *    *     *
                                                  final, the following organizations and                   of this section, the burden of production
                                                                                                           shall shift to the respondent to produce                 Dated: August 3, 2016.
                                                  entities will be notified about such
                                                                                                           evidence reasonably calculated to rebut                Daniel R. Levinson,
                                                  action and the reasons for it: The
                                                  appropriate State or local medical or                    the findings of the statistical sampling               Inspector General.
                                                  professional association; the appropriate                study. The OIG will then be given the                    Approved: August 4, 2016.
                                                  quality improvement organization; as                     opportunity to rebut this evidence.
                                                                                                                                                                  Sylvia M. Burwell,
                                                  appropriate, the State agency that                       § 1003.1590       Effect of exclusion.                 Secretary.
                                                  administers each State health care                         The effect of an exclusion will be as
                                                  program; the appropriate Medicare                                                                                 Note: This document was received by the
                                                                                                           set forth in 42 CFR 1001.1901.                         Office of the Federal Register on November
                                                  carrier or intermediary; the appropriate
                                                  State or local licensing agency or                       § 1003.1600       Reinstatement.                       18, 2016.
                                                  organization (including the Medicare                       A person who has been excluded in                    [FR Doc. 2016–28293 Filed 12–6–16; 8:45 am]
                                                  and Medicaid State survey agencies);                     accordance with this part may apply for                BILLING CODE 4152–01–P
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Document Created: 2016-12-07 05:31:41
Document Modified: 2016-12-07 05:31:41
CategoryRegulatory Information
CollectionFederal Register
sudoc ClassAE 2.7:
GS 4.107:
AE 2.106:
PublisherOffice of the Federal Register, National Archives and Records Administration
SectionRules and Regulations
ActionFinal rule.
DatesThese regulations are effective on January 6, 2017.
ContactKatie Arnholt or Geoff Hymans at (202) 619-0335, Office of Counsel to the Inspector General.
FR Citation81 FR 88334 
RIN Number0936-AA04
CFR Citation42 CFR 1003
42 CFR 1005
CFR AssociatedFraud; Grant Programs-Health; Health Facilities; Health Professions; Medicaid; Reporting and Recordkeeping; Administrative Practice and Procedure; Investigations and Penalties

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