| |
Public Act 103-0526 Public Act 0526 103RD GENERAL ASSEMBLY |
Public Act 103-0526 | HB2222 Enrolled | LRB103 30580 LNS 57017 b |
|
| AN ACT concerning civil law.
| Be it enacted by the People of the State of Illinois,
| represented in the General Assembly:
| Section 5. The Illinois Health Facilities Planning Act is | amended by changing Section 8.5 as follows: | (20 ILCS 3960/8.5) | (Section scheduled to be repealed on December 31, 2029) | Sec. 8.5. Certificate of exemption for change of ownership | of a health care facility; discontinuation of a category of | service; public notice and public hearing. | (a) Upon a finding that an application for a change of | ownership is complete, the State Board shall publish a legal | notice on 3 consecutive days in a newspaper of general | circulation in the area or community to be affected and afford | the public an opportunity to request a hearing. If the | application is for a facility located in a Metropolitan | Statistical Area, an additional legal notice shall be | published in a newspaper of limited circulation, if one | exists, in the area in which the facility is located. If the | newspaper of limited circulation is published on a daily | basis, the additional legal notice shall be published on 3 | consecutive days. The applicant shall pay the cost incurred by | the Board in publishing the change of ownership notice in |
| newspapers as required under this subsection. The legal notice | shall also be posted on the Health Facilities and Services | Review Board's web site and sent to the State Representative | and State Senator of the district in which the health care | facility is located and to the Office of the Attorney General . | An application for change of ownership of a hospital shall not | be deemed complete without a signed certification that for a | period of 2 years after the change of ownership transaction is | effective, the hospital will not adopt a charity care policy | that is
more restrictive than the policy in effect during the | year prior to the transaction. An application for a change of | ownership need not contain signed transaction documents so | long as it includes the following key terms of the | transaction: names and background of the parties; structure of | the transaction; the person who will be the licensed or | certified entity after the transaction; the ownership or | membership interests in such licensed or certified entity both | prior to and after the transaction; fair market value of | assets to be transferred; and the purchase price or other form | of consideration to be provided for those assets. The issuance | of the certificate of exemption shall be contingent upon the | applicant submitting a statement to the Board within 90 days | after the closing date of the transaction, or such longer | period as provided by the Board, certifying that the change of | ownership has been completed in accordance with the key terms | contained in the application. If such key terms of the |
| transaction change, a new application shall be required. | Where a change of ownership is among related persons, and | there are no other changes being proposed at the health care | facility that would otherwise require a permit or exemption | under this Act, the applicant shall submit an application | consisting of a standard notice in a form set forth by the | Board briefly explaining the reasons for the proposed change | of ownership. Once such an application is submitted to the | Board and reviewed by the Board staff, the Board Chair shall | take action on an application for an exemption for a change of | ownership among related persons within 45 days after the | application has been deemed complete, provided the application | meets the applicable standards under this Section. If the | Board Chair has a conflict of interest or for other good cause, | the Chair may request review by the Board. Notwithstanding any | other provision of this Act, for purposes of this Section, a | change of ownership among related persons means a transaction | where the parties to the transaction are under common control | or ownership before and after the transaction is completed. | Nothing in this Act shall be construed as authorizing the | Board to impose any conditions, obligations, or limitations, | other than those required by this Section, with respect to the | issuance of an exemption for a change of ownership, including, | but not limited to, the time period before which a subsequent | change of ownership of the health care facility could be | sought, or the commitment to continue to offer for a specified |
| time period any services currently offered by the health care | facility. | The changes made by this amendatory Act of the 103rd | General Assembly are inoperative on and after January 1, 2027. | (a-3) (Blank). | (a-5) Upon a finding that an application to discontinue a | category of service is complete and provides the requested | information, as specified by the State Board, an exemption | shall be issued. No later than 30 days after the issuance of | the exemption, the health care facility must give written | notice of the discontinuation of the category of service to | the State Senator and State Representative serving the | legislative district in which the health care facility is | located. No later than 90 days after a discontinuation of a | category of service, the applicant must submit a statement to | the State Board certifying that the discontinuation is | complete. | (b) If a public hearing is requested, it shall be held at | least 15 days but no more than 30 days after the date of | publication of the legal notice in the community in which the | facility is located. The hearing shall be held in the affected | area or community in a place of reasonable size and | accessibility and a full and complete written transcript of | the proceedings shall be made. All interested persons | attending the hearing shall be given a reasonable opportunity | to present their positions in writing or orally. The applicant |
| shall provide a summary or describe the proposed change of | ownership at the public hearing.
| (c) For the purposes of this Section "newspaper of limited | circulation" means a newspaper intended to serve a particular | or defined population of a specific geographic area within a | Metropolitan Statistical Area such as a municipality, town, | village, township, or community area, but does not include | publications of professional and trade associations. | (d) The changes made to this Section by this amendatory | Act of the 101st General Assembly shall apply to all | applications submitted after the effective date of this | amendatory Act of the 101st General Assembly. | (Source: P.A. 100-201, eff. 8-18-17; 101-83, eff. 7-15-19.) | Section 10. The State Finance Act is amended by adding | Section 5.990 as follows: | (30 ILCS 105/5.990 new) | Sec. 5.990. The Antitrust Enforcement Fund. This Section | is repealed on January 1, 2027. | Section 15. The Illinois Antitrust Act is amended by | changing Section 7.2 and by adding Sections 7.2a and 13 as | follows:
| (740 ILCS 10/7.2) (from Ch. 38, par. 60-7.2)
|
| Sec. 7.2. (1) Whenever it appears to the Attorney General | that any person has
engaged in, is engaging in, or is about to | engage in any act or practice
prohibited by this Act, or that | any person has assisted or participated
in any agreement or | combination of the nature described herein, he may,
in his | discretion, conduct an investigation as he deems necessary in
| connection with the matter and has the authority prior to the
| commencement of any civil or criminal action as provided for | in the Act
to subpoena witnesses, and pursuant to a subpoena | (i) compel their
attendance for the purpose of examining them | under oath, (ii) require the
production of any books, | documents, records, writings or tangible things
hereafter | referred to as "documentary material" which
the Attorney | General deems relevant or material to his investigation,
for | inspection, reproducing or copying under such terms and | conditions
as hereafter set forth, (iii) require written | answers under oath to written
interrogatories, or (iv) require | compliance with a combination of the
foregoing. Any subpoena | issued by the Attorney General
shall contain the following | information:
| (a) The statute and section thereof, the alleged | violation of which
is under investigation and the general | subject matter of the
investigation.
| (b) The date and place at which time the person is | required to
appear or produce documentary material in his | possession, custody or
control or submit answers to |
| interrogatories in the office of the Attorney
General | located in Springfield or
Chicago. Said date shall not be | less than 10 days from date of service
of the subpoena.
| (c) Where documentary material is required to be | produced, the same
shall be described by class so as to | clearly indicate the material
demanded.
| The Attorney General is hereby authorized, and may so | elect, to
require the production, pursuant to this section, of | documentary
material or interrogatory answers prior to the | taking of any testimony of
the person subpoenaed. Said | documentary material shall be made available for
inspection | and copying during normal business hours at the principal
| place of business of the person served, or at such other time | and place,
as may be agreed upon by the person served and the | Attorney General.
When documentary material is demanded by | subpoena, said subpoena shall
not:
| (i) contain any requirement which would be | unreasonable or improper
if contained in a subpoena duces | tecum issued by a court of this State;
or
| (ii) require the disclosure of any documentary | material which would
be privileged, or which for any other | reason would not be required by a
subpoena duces tecum | issued by a court of this State.
| (2) The production of documentary material in response to | a subpoena served
pursuant to this Section shall be made under | a sworn certificate, in such
form as the subpoena designates, |
| by the person, if a natural person, to
whom the demand is | directed or, if not a natural person, by a person or
persons | having knowledge of the facts and circumstances relating to | such
production, to the effect that all of the documentary | material required
by the demand and in the possession, | custody, or control of the person to
whom the demand is | directed has been produced and made available to the
| custodian. Answers to interrogatories shall be accompanied by | a statement
under oath attesting to the accuracy of the | answers.
| While in the possession of the Attorney General and under | such reasonable
terms and conditions as the Attorney General | shall prescribe: (A) documentary
material shall be available | for examination by the person who produced such
material or by | any duly authorized representative of such person, (B)
| transcript of oral testimony shall be available for | examination by the person
who produced such testimony, or his | or her counsel and (C) answers to
interrogatories shall be | available for examination by the person who swore to
their | accuracy.
| Except as otherwise provided in this Section, no | documentary material,
transcripts of oral testimony, or | answers to interrogatories, or copies thereof, in the | possession of the
Attorney General shall be available for | examination by any individual other
than an authorized | employee of the Attorney General or other law enforcement
|
| officials, federal, State, or local, without the consent of | the person who produced
such material, transcripts, or | interrogatory answers. Such documentary material, transcripts | of oral testimony, or answers to interrogatories, or copies | thereof may be used by the Attorney General in any | administrative or judicial action or proceeding.
| For purposes of this Section, all documentary materials, | transcripts of oral testimony, or answers to interrogatories | obtained by the Attorney General from other law enforcement | officials , information voluntarily produced to the Attorney | General for purposes of any investigation conducted under | subsection (1), or information provided to the Attorney | General pursuant to the notice requirement of Section 7.2a | shall be treated as if produced pursuant to a subpoena served | pursuant to this Section for purposes of maintaining the | confidentiality of such information. | The changes made by this amendatory Act of the 103rd | General Assembly are inoperative on and after January 1, 2027. | (3) No person shall, with intent to avoid, evade, prevent, | or obstruct
compliance in whole or in part by any person with | any duly served subpoena
of the Attorney General under this | Act, knowingly remove from any place,
conceal, withhold, | destroy, mutilate, alter, or by any other means falsify
any | documentary material that is the subject of such subpoena. A | violation
of this subsection is a Class A misdemeanor. The | Attorney General, with
such assistance as he may from time to |
| time require of the State's Attorneys
in the several counties, | shall investigate suspected violations of this
subsection and | shall commence and try all prosecutions under this subsection.
| (Source: P.A. 96-751, eff. 1-1-10; 96-1000, eff. 7-2-10.)
| (740 ILCS 10/7.2a new) | Sec. 7.2a. Notification to the Attorney General. | (a) As used in this Section: | "Acquisition" means an agreement, arrangement, or activity
| the consummation of which results in a person acquiring
| directly or indirectly the control of another person. | "Acquisition"
includes the acquisition of voting securities | and noncorporate
interests, such as assets, capital stock, | membership
interests, or equity interests. | "Contracting affiliation" means the formation of a | relationship between 2 or more entities that permits the | entities to negotiate jointly with health carriers or | third-party administrators over rates for professional medical | services, or for one entity to negotiate on behalf of the other | entity with health carriers or third-party administrators over | rates for professional medical services. "Contracting | affiliation" does not include arrangements among entities | under common ownership. | "Covered transaction" means any merger, acquisition, or | contracting affiliation between 2 or more health care | facilities or provider organizations not previously under |
| common ownership or contracting affiliation. | "Health care facility" means the following facilities, | organizations, and related persons: | (1) An ambulatory surgical treatment center required | to be licensed under the Ambulatory Surgical Treatment | Center Act. | (2) An institution, place, building, or agency | required to be licensed under the Hospital Licensing Act. | (3) A hospital, ambulatory surgical treatment center, | or kidney disease treatment center maintained by the State | or any department or agency thereof. | (4) A kidney disease treatment center, including a | free-standing hemodialysis unit required to meet the | requirements of 42 CFR 494 in order to be certified for | participation in Medicare and Medicaid under Titles XVIII | and XIX of the federal Social Security Act of 1935. | (5) An institution, place, building, or room used for | the performance of outpatient surgical procedures that is | leased, owned, or operated by or on behalf of an | out-of-state facility. | (6) An institution, place, building, or room used for | provision of a health care category of service, as defined | under the Illinois Health Facilities Planning Act, | including, but not limited to, cardiac catheterization and | open heart surgery. | With the exception of those health care facilities |
| specifically included in this Section, nothing in this Section | shall be intended to include facilities operated as a part of | the practice of a physician or other licensed health care | professional, whether practicing in his or her individual | capacity or within the legal structure of any partnership, | medical or professional corporation, or unincorporated medical | or professional group. Further, this Section shall not apply | to physicians or other licensed health care professional's | practices where such practices are carried out in a portion of | a health care facility under contract with such health care | facility by a physician or by other licensed health care | professionals, whether practicing in his or her individual | capacity or within the legal structure of any partnership, | medical or professional corporation, or unincorporated medical | or professional groups, unless the entity constructs, | modifies, or establishes a health care facility as | specifically defined in this Section. | "Health care services revenue" means the total revenue | received for health care services in the previous 12 months. | "Health carriers" has the meaning given to that term in | Section 10 of the Health Carrier External Review Act. | "Illinois health care entity" means a health care facility | or provider organization that has an office in or is doing | business in this State. | "Merger" means the consolidation of 2 or more | organizations, including 2 or more organizations joining |
| through a common parent organization or 2 or more | organizations forming a new organization, but does not include | a corporate reorganization. | "Out-of-state health care entity" means a health care | facility or provider organization that is not headquartered in | this State and does not do business in this State. | "Provider organization" means a corporation, partnership, | business trust, association, or organized group of persons, | whether incorporated or not, which is in the business of | health care delivery or management and that represents 20 or | more health care providers in contracting with health carriers | or third-party administrators for the payment of health care | services. "Provider organization" includes physician | organizations, physician-hospital organizations, independent | practice associations, provider networks, and accountable care | organizations. | "Third-party administrator" means an entity that | administers payments for health care services on behalf of a | client in exchange for an administrative fee. | (b) Health care facilities or provider organizations that | are party to a covered transaction shall provide notice of | such transaction to the Attorney General no later than 30 days | prior to the transaction closing or effective date of the | transaction. | Covered transactions between an Illinois health care | entity and an out-of-state health care entity must provide |
| notice under this subsection where the out-of-state entity | generates $10,000,000 or more in annual revenue from patients | residing in this State. | (c) The written notice provided by the parties under | subsection (b) shall be provided as follows: | (1) For any health care facility or provider | organization that is a party to a covered
transaction and | files a premerger notification with the
Federal Trade | Commission or the United States Department
of Justice, in | compliance with the Hart-Scott-Rodino
Antitrust | Improvements Act of 1976, 15 U.S.C. 18a, the
notice | requirement is satisfied by providing a copy of
such | filing to the Attorney General at the same time as it
is | provided to the federal government. | (2) For any health care facility that is a party to a
| covered transaction that is not described in paragraph
| (1), the notice requirement is satisfied when the | healthcare facility files an application for a change of
| ownership with the Health Facilities and Services Review | Board, in compliance with the Illinois Health Facilities
| Planning Act. The Health Facilities and Services Review
| Board shall provide a copy of such filing to the Attorney
| General at the same time as it is provided to the
| applicable State legislators under subsection (a) of
| Section 8.5 of the Illinois Health Facilities Planning
| Act. |
| (3) For any health care facility or provider | organization that is a party to a covered
transaction that | is not described in paragraph (1) or (2),
written notice | provided by the parties must include: | (A) the names of the parties and their current | business address; | (B) identification of all locations where health | care services are currently provided by each party; | (C) a brief description of the nature and purpose | of the proposed transaction; and | (D) the anticipated effective date of the proposed | transaction. | Nothing in this subsection prohibits the parties to a | covered transaction from voluntarily providing additional | information to the Attorney General. | (d) The Attorney General may make any requests for | additional information from the parties that is relevant to | its investigation of the covered transaction within 30 days of | the date notice is received under subsections (b) and (c). If | the Attorney General requests additional information, the | covered transaction may not proceed until 30 days after the | parties have substantially complied with the request. Any | subsequent request for additional information by the Attorney | General shall not further delay the covered transaction from | proceeding. Nothing in this Section precludes the Attorney | General from conducting an investigation or enforcing State or |
| federal antitrust laws at a later date. | (e) Any health care facility or provider organization that | fails to comply with any provision of this Section is subject | to a civil penalty of not more than $500 per day for each day | during which the health care facility or provider organization | is in violation of this Section. | Whenever the Attorney General has reason to believe that a | health care facility or provider organization has engaged in | or is engaging in a covered transaction without complying with | the provisions of this Section, the Attorney General may apply | for and obtain, in an action in the Circuit Court of Sangamon | or Cook County, a temporary restraining order or injunction, | or both, prohibiting the health care facility or provider | organization from continuing its noncompliance or doing any | act in furtherance thereof. The court may make such further | orders or judgments, at law or in equity, as may be necessary | to remedy such noncompliance. | Before bringing such an action or seeking to recover a | civil
penalty, the Attorney General shall permit the health | care
facility or provider organization to come into compliance | with this Section within 10 days of being notified of its | alleged noncompliance. The right to cure noncompliance does | not exist on or after the covered transaction's proposed or | actual closing date of the covered transaction, whichever is | sooner. | (f) This Section is repealed on January 1, 2027. |
| (740 ILCS 10/13 new) | Sec. 13. Antitrust Enforcement Fund. Any penalties | collected from an entity for violations of this Act shall be | deposited into the Antitrust Enforcement Fund, a special fund | created in the State treasury that is dedicated to enforcing | this Act. | This Section is repealed on January 1, 2027.
| Section 99. Effective date. This Act takes effect January | 1, 2024.
|
Effective Date: 1/1/2024
|
|
|