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Public Act 101-0414 | ||||
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AN ACT concerning criminal law.
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Be it enacted by the People of the State of Illinois,
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represented in the General Assembly:
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Section 5. The Illinois Controlled Substances Act is | ||||
amended by changing Sections 314.5, 316, and 320 as follows: | ||||
(720 ILCS 570/314.5) | ||||
Sec. 314.5. Medication shopping; pharmacy shopping. | ||||
(a) It shall be unlawful for any person knowingly or | ||||
intentionally to fraudulently obtain or fraudulently seek to | ||||
obtain any controlled substance or prescription for a | ||||
controlled substance from a prescriber or dispenser while being | ||||
supplied with any controlled substance or prescription for a | ||||
controlled substance by another prescriber or dispenser, | ||||
without disclosing the fact of the existing controlled | ||||
substance or prescription for a controlled substance to the | ||||
prescriber or dispenser from whom the subsequent controlled | ||||
substance or prescription for a controlled substance is sought. | ||||
(b) It shall be unlawful for a person knowingly or | ||||
intentionally to fraudulently obtain or fraudulently seek to | ||||
obtain any controlled substance from a pharmacy while being | ||||
supplied with any controlled substance by another pharmacy, | ||||
without disclosing the fact of the existing controlled | ||||
substance to the pharmacy from which the subsequent controlled |
substance is sought. | ||
(c) A person may be in violation of Section 3.23 of the | ||
Illinois Food, Drug and Cosmetic Act or Section 406 of this Act | ||
when medication shopping or pharmacy shopping, or both. | ||
(c-5) Effective January 1, 2018, each prescriber | ||
possessing an Illinois controlled substances license shall | ||
register with the Prescription Monitoring Program. | ||
Notwithstanding any provision of this Act to the contrary, | ||
beginning on and after the effective date of this amendatory | ||
Act of the 101st General Assembly, a licensed veterinarian | ||
shall be exempt from registration and prohibited from accessing | ||
patient information in the Prescription Monitoring Program. | ||
Licensed veterinarians that are existing registrants shall be | ||
removed from the Prescription Monitoring Program. Each | ||
prescriber or his or her designee shall also document an | ||
attempt to access patient information in the Prescription | ||
Monitoring Program to assess patient access to controlled | ||
substances when providing an initial prescription for Schedule | ||
II narcotics such as opioids, except for prescriptions for | ||
oncology treatment or palliative care, or a 7-day or less | ||
supply provided by a hospital emergency department when | ||
treating an acute, traumatic medical condition. This attempt to | ||
access shall be documented in the patient's medical record. The | ||
hospital shall facilitate the designation of a prescriber's | ||
designee for the purpose of accessing the Prescription | ||
Monitoring Program for services provided at the hospital. |
(d) When a person has been identified as having 3 or more | ||
prescribers or 3 or more pharmacies, or both, that do not | ||
utilize a common electronic file as specified in Section 20 of | ||
the Pharmacy Practice Act for controlled substances within the | ||
course of a continuous 30-day period, the Prescription | ||
Monitoring Program may issue an unsolicited report to the | ||
prescribers, dispensers, and their designees informing them of | ||
the potential medication shopping. If an unsolicited report is | ||
issued to a prescriber or prescribers, then the
report must | ||
also be sent to the applicable dispensing pharmacy. | ||
(e) Nothing in this Section shall be construed to create a | ||
requirement that any prescriber, dispenser, or pharmacist | ||
request any patient medication disclosure, report any patient | ||
activity, or prescribe or refuse to prescribe or dispense any | ||
medications. | ||
(f) This Section shall not be construed to apply to | ||
inpatients or residents at hospitals or other institutions or | ||
to institutional pharmacies.
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(g) Any patient feedback, including grades, ratings, or | ||
written or verbal statements, in opposition to a clinical | ||
decision that the prescription of a controlled substance is not | ||
medically necessary shall not be the basis of any adverse | ||
action, evaluation, or any other type of negative | ||
credentialing, contracting, licensure, or employment action | ||
taken against a prescriber or dispenser. | ||
(Source: P.A. 99-480, eff. 9-9-15; 100-564, eff. 1-1-18.)
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(720 ILCS 570/316)
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Sec. 316. Prescription Monitoring Program. | ||
(a) The Department must provide for a
Prescription | ||
Monitoring Program for Schedule II, III, IV, and V controlled | ||
substances that includes the following components and | ||
requirements:
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(1) The
dispenser must transmit to the
central | ||
repository, in a form and manner specified by the | ||
Department, the following information:
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(A) The recipient's name and address.
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(B) The recipient's date of birth and gender.
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(C) The national drug code number of the controlled
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substance
dispensed.
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(D) The date the controlled substance is | ||
dispensed.
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(E) The quantity of the controlled substance | ||
dispensed and days supply.
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(F) The dispenser's United States Drug Enforcement | ||
Administration
registration number.
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(G) The prescriber's United States Drug | ||
Enforcement Administration
registration number.
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(H) The dates the controlled substance | ||
prescription is filled. | ||
(I) The payment type used to purchase the | ||
controlled substance (i.e. Medicaid, cash, third party |
insurance). | ||
(J) The patient location code (i.e. home, nursing | ||
home, outpatient, etc.) for the controlled substances | ||
other than those filled at a retail pharmacy. | ||
(K) Any additional information that may be | ||
required by the department by administrative rule, | ||
including but not limited to information required for | ||
compliance with the criteria for electronic reporting | ||
of the American Society for Automation and Pharmacy or | ||
its successor. | ||
(2) The information required to be transmitted under | ||
this Section must be
transmitted not later than the end of | ||
the next business day after the date on which a
controlled | ||
substance is dispensed, or at such other time as may be | ||
required by the Department by administrative rule.
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(3) A dispenser must transmit the information required | ||
under this Section
by:
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(A) an electronic device compatible with the | ||
receiving device of the
central repository;
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(B) a computer diskette;
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(C) a magnetic tape; or
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(D) a pharmacy universal claim form or Pharmacy | ||
Inventory Control form . ;
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(4) The Department may impose a civil fine of up to | ||
$100 per day for willful failure to report controlled | ||
substance dispensing to the Prescription Monitoring |
Program. The fine shall be calculated on no more than the | ||
number of days from the time the report was required to be | ||
made until the time the problem was resolved, and shall be | ||
payable to the Prescription Monitoring Program.
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(a-5) Notwithstanding subsection (a), a licensed | ||
veterinarian is exempt from the reporting requirements of this | ||
Section. If a person who is presenting an animal for treatment | ||
is suspected of fraudulently obtaining any controlled | ||
substance or prescription for a controlled substance, the | ||
licensed veterinarian shall report that information to the | ||
local law enforcement agency. | ||
(b) The Department, by rule, may include in the | ||
Prescription Monitoring Program certain other select drugs | ||
that are not included in Schedule II, III, IV, or V. The | ||
Prescription Monitoring Program does not apply to
controlled | ||
substance prescriptions as exempted under Section
313.
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(c) The collection of data on select drugs and scheduled | ||
substances by the Prescription Monitoring Program may be used | ||
as a tool for addressing oversight requirements of long-term | ||
care institutions as set forth by Public Act 96-1372. Long-term | ||
care pharmacies shall transmit patient medication profiles to | ||
the Prescription Monitoring Program monthly or more frequently | ||
as established by administrative rule. | ||
(d) The Department of Human Services shall appoint a | ||
full-time Clinical Director of the Prescription Monitoring | ||
Program. |
(e) (Blank). | ||
(f) Within one year of January 1, 2018 ( the effective date | ||
of Public Act 100-564) this amendatory Act of the 100th General | ||
Assembly , the Department shall adopt rules requiring all | ||
Electronic Health Records Systems to interface with the | ||
Prescription Monitoring Program application program on or | ||
before January 1, 2021 to ensure that all providers have access | ||
to specific patient records during the treatment of their | ||
patients. These rules shall also address the electronic | ||
integration of pharmacy records with the Prescription | ||
Monitoring Program to allow for faster transmission of the | ||
information required under this Section. The Department shall | ||
establish actions to be taken if a prescriber's Electronic | ||
Health Records System does not effectively interface with the | ||
Prescription Monitoring Program within the required timeline. | ||
(g) The Department, in consultation with the Advisory | ||
Committee, shall adopt rules allowing licensed prescribers or | ||
pharmacists who have registered to access the Prescription | ||
Monitoring Program to authorize a licensed or non-licensed | ||
designee employed in that licensed prescriber's office or a | ||
licensed designee in a licensed pharmacist's pharmacy , and who | ||
has received training in the federal Health Insurance | ||
Portability and Accountability Act to consult the Prescription | ||
Monitoring Program on their behalf. The rules shall include | ||
reasonable parameters concerning a practitioner's authority to | ||
authorize a designee, and the eligibility of a person to be |
selected as a designee. In this subsection (g), "pharmacist" | ||
shall include a clinical pharmacist employed by and designated | ||
by a Medicaid Managed Care Organization providing services | ||
under Article V of the Illinois Public Aid Code under a | ||
contract with the Department of Healthcare Health and Family | ||
Services for the sole purpose of clinical review of services | ||
provided to persons covered by the entity under the contract to | ||
determine compliance with subsections (a) and (b) of Section | ||
314.5 of this Act. A managed care entity pharmacist shall | ||
notify prescribers of review activities. | ||
(Source: P.A. 99-480, eff. 9-9-15; 100-564, eff. 1-1-18; | ||
100-861, eff. 8-14-18; 100-1005, eff. 8-21-18; 100-1093, eff. | ||
8-26-18; revised 2-20-19.)
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(720 ILCS 570/320)
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Sec. 320. Advisory committee.
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(a) There is created a Prescription Monitoring Program | ||
Advisory Committee to
assist the Department of Human Services | ||
in implementing the Prescription Monitoring Program created by | ||
this Article and to advise the Department on the professional | ||
performance of prescribers and dispensers and other matters | ||
germane to the advisory committee's field of competence.
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(b) The Prescription Monitoring Program Advisory Committee | ||
shall consist of 15 16 members appointed by the Clinical | ||
Director of the Prescription Monitoring Program composed of | ||
prescribers and dispensers licensed to practice medicine in his |
or her respective profession as follows: one family or primary | ||
care physician; one pain specialist physician; 4 other | ||
physicians, one of whom may be an ophthalmologist; 2 advanced | ||
practice registered nurses; one physician assistant; one | ||
optometrist; one dentist; one veterinarian; one clinical | ||
representative from a statewide organization representing | ||
hospitals; and 3 pharmacists. The Advisory Committee members | ||
serving on August 26, 2018 ( the effective date of Public Act | ||
100-1093) this amendatory Act of the 100th General Assembly | ||
shall continue to serve until January 1, 2019. Prescriber and | ||
dispenser nominations for membership on the Committee shall be | ||
submitted by their respective professional associations. If | ||
there are more nominees than membership positions for a | ||
prescriber or dispenser category, as provided in this | ||
subsection (b), the Clinical Director of the Prescription | ||
Monitoring Program shall appoint a member or members for each | ||
profession as provided in this subsection (b), from the | ||
nominations to
serve on the advisory committee. At the first | ||
meeting of the Committee in 2019 members shall draw lots for | ||
initial terms and 6 members shall serve 3 years, 5 members | ||
shall serve 2 years, and 5 members shall serve one year. | ||
Thereafter, members shall serve 3-year 3 year terms. Members | ||
may serve more than one term but no more than 3 terms. The | ||
Clinical Director of the Prescription Monitoring Program may | ||
appoint a representative of an organization representing a | ||
profession required to be appointed. The Clinical Director of |
the Prescription Monitoring Program shall serve as the | ||
Secretary of the committee.
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(c) The advisory committee may appoint a chairperson and | ||
other officers as it deems
appropriate.
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(d) The members of the advisory committee shall receive no | ||
compensation for
their services as members of the advisory | ||
committee, unless appropriated by the General Assembly, but may | ||
be reimbursed for
their actual expenses incurred in serving on | ||
the advisory committee.
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(e) The advisory committee shall: | ||
(1) provide a uniform approach to reviewing this Act in | ||
order to determine whether changes should be recommended to | ||
the General Assembly; | ||
(2) review current drug schedules in order to manage | ||
changes to the administrative rules pertaining to the | ||
utilization of this Act; | ||
(3) review the following: current clinical guidelines | ||
developed by health care professional organizations on the | ||
prescribing of opioids or other controlled substances; | ||
accredited continuing education programs related to | ||
prescribing and dispensing; programs or information | ||
developed by health care professional organizations that | ||
may be used to assess patients or help ensure compliance | ||
with prescriptions; updates from the Food and Drug | ||
Administration, the Centers for Disease Control and | ||
Prevention, and other public and private organizations |
which are relevant to prescribing and dispensing; relevant | ||
medical studies; and other publications which involve the | ||
prescription of controlled substances; | ||
(4) make recommendations for inclusion of these | ||
materials or other studies which may be effective resources | ||
for prescribers and dispensers on the Internet website of | ||
the inquiry system established under Section 318; | ||
(5) semi-annually review the content of the Internet | ||
website of the inquiry system established pursuant to | ||
Section 318 to ensure this Internet website has the most | ||
current available information; | ||
(6) semi-annually review opportunities for federal | ||
grants and other forms of funding to support projects which | ||
will increase the number of pilot programs which integrate | ||
the inquiry system with electronic health records; and | ||
(7) semi-annually review communication to be sent to | ||
all registered users of the inquiry system established | ||
pursuant to Section 318, including recommendations for | ||
relevant accredited continuing education and information | ||
regarding prescribing and dispensing. | ||
(f) The Advisory Committee shall select from its members 10 | ||
11 members of the Peer Review Committee composed of: 6, and one | ||
dentist, | ||
(1) 3 physicians; | ||
(2) 3 pharmacists; | ||
(3) one dentist; |
(4) one advanced practice registered nurse; | ||
(4.5) (blank) one veterinarian ; | ||
(5) one physician assistant; and | ||
(6) one optometrist. | ||
The purpose of the Peer Review Committee is to establish a | ||
formal peer review of professional performance of prescribers | ||
and dispensers. The deliberations, information, and | ||
communications of the Peer Review Committee are privileged and | ||
confidential and shall not be disclosed in any manner except in | ||
accordance with current law. | ||
(1) The Peer Review Committee shall periodically | ||
review the data contained within the prescription | ||
monitoring program to identify those prescribers or | ||
dispensers who may be prescribing or dispensing outside the | ||
currently accepted standard and practice of their | ||
profession. The Peer Review Committee member, whose | ||
profession is the same as the prescriber or dispenser being | ||
reviewed, shall prepare a preliminary report and | ||
recommendation for any non-action or action. The | ||
Prescription Monitoring Program Clinical Director and | ||
staff shall provide the necessary assistance and data as | ||
required. | ||
(2) The Peer Review Committee may identify prescribers | ||
or dispensers who may be prescribing outside the currently | ||
accepted medical standards in the course of their | ||
professional practice and send the identified prescriber |
or dispenser a request for information regarding their | ||
prescribing or dispensing practices. This request for | ||
information shall be sent via certified mail, return | ||
receipt requested. A prescriber or dispenser shall have 30 | ||
days to respond to the request for information. | ||
(3) The Peer Review Committee shall refer a prescriber | ||
or a dispenser to the Department of Financial and | ||
Professional Regulation in the following situations: | ||
(i) if a prescriber or dispenser does not respond | ||
to three successive requests for information; | ||
(ii) in the opinion of a majority of members of the | ||
Peer Review Committee, the prescriber or dispenser | ||
does not have a satisfactory explanation for the | ||
practices identified by the Peer Review Committee in | ||
its request for information; or | ||
(iii) following communications with the Peer | ||
Review Committee, the prescriber or dispenser does not | ||
sufficiently rectify the practices identified in the | ||
request for information in the opinion of a majority of | ||
the members of the Peer Review Committee. | ||
(4) The Department of Financial and Professional | ||
Regulation may initiate an investigation and discipline in | ||
accordance with current laws and rules for any prescriber | ||
or dispenser referred by the Peer Review Committee peer | ||
review subcommittee . | ||
(5) The Peer Review Committee shall prepare an annual |
report starting on July 1, 2017. This report shall contain | ||
the following information: the number of times the Peer | ||
Review Committee was convened; the number of prescribers or | ||
dispensers who were reviewed by the Peer Review Committee; | ||
the number of requests for information sent out by the Peer | ||
Review Committee; and the number of prescribers or | ||
dispensers referred to the Department of Financial and | ||
Professional Regulation. The annual report shall be | ||
delivered electronically to the Department and to the | ||
General Assembly. The report to the General Assembly shall | ||
be filed with the Clerk of the House of Representatives and | ||
the Secretary of the Senate in electronic form only, in the | ||
manner that the Clerk and the Secretary shall direct. The | ||
report prepared by the Peer Review Committee shall not | ||
identify any prescriber, dispenser, or patient. | ||
(Source: P.A. 99-480, eff. 9-9-15; 100-513, eff. 1-1-18; | ||
100-861, eff. 8-14-18; 100-1093, eff. 8-26-18; revised | ||
10-3-18.)
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Section 99. Effective date. This Act takes effect upon | ||
becoming law.
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