Text of Statute
(A) Within sixty days after the imposition of any formal disciplinary action taken by any health care facility, including a hospital, health care facility operated by a health insuring corporation, ambulatory surgical center, or similar facility, against any individual holding a valid certificate to practice issued pursuant to this chapter, the chief administrator or executive officer of the facility shall report to the state medical board the name of the individual, the action taken by the facility, and a summary of the underlying facts leading to the action taken. Upon request, the board shall be provided certified copies of the patient records that were the basis for the facility's action. Prior to release to the board, the summary shall be approved by the peer review committee that reviewed the case or by the governing board of the facility. As used in this division, "formal disciplinary action" means any action resulting in the revocation, restriction, reduction, or termination of clinical privileges for violations of professional ethics, or for reasons of medical incompetence, medical malpractice, or drug or alcohol abuse. "Formal disciplinary action" includes a summary action, an action that takes effect notwithstanding any appeal rights that may exist, and an action that results in an individual surrendering clinical privileges while under investigation and during proceedings regarding the action being taken or in return for not being investigated or having proceedings held. "Formal disciplinary action" does not include any action taken for the sole reason of failure to maintain records on a timely basis or failure to attend staff or section meetings.
The filing or nonfiling of a report with the board, investigation by the board, or any disciplinary action taken by the board, shall not preclude any action by a health care facility to suspend, restrict, or revoke the individual's clinical privileges.
In the absence of fraud or bad faith, no individual or entity that provides patient records to the board shall be liable in damages to any person as a result of providing the records.
(B) If any individual authorized to practice under this chapter or any
professional association or society of such individuals believes that a
violation of any provision of this chapter, Chapter (C) Any professional association or society composed primarily of doctors of
medicine and surgery, doctors of osteopathic medicine and surgery, doctors of
podiatry, or practitioners of limited branches of medicine that suspends or
revokes an individual's membership for violations of professional ethics, or for
reasons of professional incompetence or professional malpractice, within sixty
days after a final decision shall report to the board, on forms prescribed and
provided by the board, the name of the individual, the action taken by the
professional organization, and a summary of the underlying facts leading to the
action taken.
The filing of a report with the board or decision not to file a report,
investigation by the board, or any disciplinary action taken by the board, does
not preclude a professional organization from taking disciplinary action against
an individual.
(D) Any insurer providing professional liability insurance to an individual
authorized to practice under this chapter, or any other entity that seeks to
indemnify the professional liability of such an individual, shall notify the
board within thirty days after the final disposition of any written claim for
damages where such disposition results in a payment exceeding twenty-five
thousand dollars. The notice shall contain the following information:
(1) The name and address of the person submitting the notification;
(2) The name and address of the insured who is the subject of the claim;
(3) The name of the person filing the written claim;
(4) The date of final disposition;
(5) If applicable, the identity of the court in which the final disposition
of the claim took place.
(E) The board may investigate possible violations of this chapter or the
rules adopted under it that are brought to its attention as a result of the
reporting requirements of this section, except that the board shall conduct an
investigation if a possible violation involves repeated malpractice. As used in
this division, "repeated malpractice" means three or more claims for
medical malpractice within the previous five-year period, each resulting in a
judgment or settlement in excess of twenty-five thousand dollars in favor of the
claimant, and each involving negligent conduct by the practicing individual.
(F) All summaries, reports, and records received and maintained by the board
pursuant to this section shall be held in confidence and shall not be subject to
discovery or introduction in evidence in any federal or state civil action
involving a health care professional or facility arising out of matters that are
the subject of the reporting required by this section. The board may use the
information obtained only as the basis for an investigation, as evidence in a
disciplinary hearing against an individual whose practice is regulated under
this chapter, or in any subsequent trial or appeal of a board action or order.
The board may disclose the summaries and reports it receives under this
section only to health care facility committees within or outside this state
that are involved in credentialing or recredentialing the individual or in
reviewing the individual's clinical privileges. The board shall indicate whether
or not the information has been verified. Information transmitted by the board
shall be subject to the same confidentiality provisions as when maintained by
the board.
(G) Except for reports filed by an individual pursuant to division (B) of
this section, the board shall send a copy of any reports or summaries it
receives pursuant to this section to the individual who is the subject of the
reports or summaries. The individual shall have the right to file a statement
with the board concerning the correctness or relevance of the information. The
statement shall at all times accompany that part of the record in contention.
(H) An individual or entity that, pursuant to this section, reports to the
board or refers an impaired practitioner to a treatment provider approved by the
board under section (I) In the absence of fraud or bad faith, no professional association or
society of individuals authorized to practice under this chapter that sponsors a
committee or program to provide peer assistance to practitioners with substance
abuse problems, no representative or agent of such a committee or program, and
no member of the state medical board shall be held liable in damages to any
person by reason of actions taken to refer a practitioner to a treatment
provider approved under section HISTORY: 141 v H 769 (Eff 3-17-87); 143 v H 332 (Eff 8-5-89); 143 v H 615
(Eff 3-27-91); 146 v S 143 (Eff 3-5-96); 147 v H 606 (Eff 3-9-99); 148 v S 278
(Eff 5-31-2000); 148 v H 341. Eff 8-10-2000.
© Copyright 2000
Containing legislation passed and filed through August 1, 2000.